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EXHIBIT
4.1

 

EXECUTION VERSION

 

WASHINGTON MUTUAL MORTGAGE SECURITIES
CORP.,

as Depositor

and

WASHINGTON MUTUAL BANK,

as Servicer

and

LASALLE BANK NATIONAL
ASSOCIATION,

as Trustee

and

CHRISTIANA BANK & TRUST
COMPANY,

as Delaware
Trustee

POOLING AND SERVICING
AGREEMENT

$530,406,085.33

Washington Mutual Mortgage Securities
Corp.

Washington Mutual Mortgage Pass-Through
Certificates

WMALT Series 2005-5

Cut-Off Date: June 1, 2005

TABLE OF CONTENTS

	
 

	
Page

	

ARTICLE
I 

	

6

	
Section 1.01 
Definitions

	

6

	
Aggregate Certificate Principal
Balance

	

6

	
Appraised Value

	

6

	
Assignment of Proprietary
Lease

	

6

	
Authenticating Agent

	

6

	
Authorized Denomination

	

6

	
Bankruptcy Loss

	

6

	
Beneficial Holder

	

7

	
Benefit Plan Opinion

	

7

	
Book-Entry Certificates

	

7

	
Business Day

	

7

	
Buydown Agreement

	

7

	
Buydown Fund

	

7

	
Buydown Fund Account

	

7

	
Buydown Loan

	

8

	
Cap Counterparty

	

8

	
Carry-Forward Subsequent Recoveries
Amount

	

8

	
Certificate

	

8

	
Certificate Account

	

8

	
Certificateholder or
Holder

	

8

	
Certificate Interest
Rate

	

8

	
Certificate of Trust

	

8

	
Certificate Principal
Balance

	

9

	
Certificate Register and Certificate
Registrar

	

9

	
Class

	

9

	
Class A Certificates

	

9

	
Class A-L Regular
Interests

	

9

	
Class B Certificates

	

9

	
Class B-L Regular
Interests

	

9

	
Class B Percentage

	

9

	
Class B-1 Certificates

	

10

	
Class B-1-L Regular
Interest

	

10

	
Class B-2 Certificates

	

10

	
Class B-2-L Regular
Interest

	

10

	
Class B-3 Certificates

	

10

	
Class B-3-L Regular
Interest

	

10

	
Class B-4 Certificates

	

10

	
Class B-4-L Regular
Interest

	

10

	
Class B-5 Certificates

	

10

	
Class B-5-L Regular
Interest

	

10

	
Class B-6 Certificates

	

10

	
Class B-6-L Regular
Interest

	

10

	
Class CB-1 Certificates

	

10

	
Class CB-1 Fraction

	

10

	
Class CB-1-L Regular
Interest

	

10

	
Class CB-1-M Regular
Interest

	

11

	
Class CB-2 Certificates

	

11

	
Class CB-2 Notional
Amount

	

11

	
Class CB-3 Certificates

	

11

	
Class CB-3-L Regular
Interest

	

11

	
Class CB-4 Certificates

	

11

	
Class CB-4-L Regular
Interest

	

11

	
Class CB-5 Certificates

	

11

	
Class CB-5-L Regular
Interest

	

11

	
Class CB-6 Certificates

	

11

	
Class CB-6-L Regular
Interest

	

11

	
Class CB-6-M Regular
Interest

	

11

	
Class CB-7 Certificates

	

11

	
Class CB-7-L Regular
Interest

	

11

	
Class CB-8 Certificates

	

12

	
Class CB-8 Rounding
Account

	

12

	
Class CB-8-L Regular
Interest

	

12

	
Class CB-9 Certificates

	

12

	
Class CB-9 Rounding
Account

	

12

	
Class CB-9-L Regular
Interest

	

12

	
Class CB-10 Certificates

	

12

	
Class CB-10 Rounding
Account

	

12

	
Class CB-10-L Regular
Interest

	

12

	
Class CB-11 Certificates

	

12

	
Class CB-11-L Regular
Interest

	

13

	
Class CB-12 Certificates

	

13

	
Class CB-12-L Regular
Interest

	

13

	
Class CB-13 Certificates

	

13

	
Class CB-13-L Regular
Interest

	

13

	
Class CB-14 Certificates

	

13

	
Class CB-14-L Regular
Interest

	

13

	
Class Notional Amount

	

13

	
Class P Certificates

	

13

	
Class P Fraction

	

13

	
Class P Mortgage Loan

	

13

	
Class P-L Regular
Interest

	

13

	
Class Principal Balance

	

13

	
Class R Certificates

	

14

	
Class R Residual
Interests

	

15

	
Class R-1 Residual
Interest

	

15

	
Class R-2 Residual
Interest

	

15

	
Class X Certificates

	

15

	
Class X Notional Amount

	

15

	
Class X-L Regular
Interest

	

15

	
Clean-Up Call Percentage

	

15

	
Clearing Agency

	

15

	
Closing Date

	

15

	
Closing Date Loan-to-Value
Ratio

	

15

	
Code

	

15

	
Company

	

15

	
Compensating Interest

	

16

	
Cooperative

	

16

	
Cooperative Apartment

	

16

	
Cooperative Lease

	

16

	
Cooperative Loans

	

16

	
Cooperative Stock

	

16

	
Cooperative Stock
Certificate

	

16

	
Corporate Trust Office

	

16

	
Corporation

	

16

	
Corresponding Class

	

16

	
Credit Support Depletion
Date

	

17

	
Cumulative Carry-Forward Subsequent
Recoveries Amount

	

17

	
Curtailment

	

17

	
Curtailment Shortfall

	

17

	
Custodial Account for
P&I

	

17

	
Custodial Account for
Reserves

	

18

	
Custodial Agreement

	

18

	
Custodian

	

18

	
Cut-Off Date

	

18

	
Deceased Holder

	

18

	
Definitive Certificates

	

19

	
Delaware Trustee

	

19

	
Depositary Agreement

	

19

	
Destroyed Mortgage Note

	

19

	
Determination Date

	

19

	
Disqualified
Organization

	

19

	
Distribution Date

	

19

	
DTC

	

19

	
DTC Participant

	

19

	
Due Date

	

19

	
Eligible Institution

	

19

	
Eligible Investments

	

20

	
ERISA

	

21

	
ERISA Restricted
Certificate

	

21

	
Event of Default

	

21

	
Excess Liquidation
Proceeds

	

21

	
Excess Subsequent
Recoveries

	

21

	
Fannie Mae

	

21

	
FDIC

	

21

	
FHA

	

21

	
Final Maturity Date

	

22

	
Final Yield Maintenance Payment
Date

	

22

	
Fitch

	

22

	
Freddie Mac

	

22

	
Indirect DTC
Participants

	

22

	
Initial Custodial
Agreement

	

22

	
Initial Custodian

	

22

	
Insurance Proceeds

	

22

	
Interest Distribution
Amount

	

22

	
Investment Account

	

22

	
Investment Depository

	

23

	
Junior Subordinate
Certificates

	

23

	
Last Scheduled Distribution
Date

	

23

	
Lender

	

23

	
LIBOR

	

23

	
LIBOR Determination Date

	

23

	
Liquidated Mortgage Loan

	

23

	
Liquidation Principal

	

23

	
Liquidation Proceeds

	

23

	
Living Holder

	

23

	
Loan-to-Value Ratio

	

23

	
Lockout Adjusted
Percentage

	

23

	
Lockout Liquidation
Amount

	

24

	
Lockout Percentage

	

24

	
Lockout Prepayment
Percentage

	

24

	
Lockout Priority Amount

	

24

	
Lowest Class B Owner

	

24

	
MERS

	

24

	
MERS Loan

	

24

	
MERS® System

	

24

	
MIN

	

24

	
MOM Loan

	

24

	
Monthly P&I Advance

	

24

	
Monthly Payment

	

24

	
Moody’s

	

25

	
Mortgage

	

25

	
Mortgage File

	

25

	
Mortgage Interest Rate

	

27

	
Mortgage Loan Schedule

	

27

	
Mortgage Loans

	

28

	
Mortgage Note

	

28

	
Mortgage Pool

	

28

	
Mortgage Pool Assets

	

28

	
Mortgaged Property

	

29

	
Mortgagor

	

29

	
Nonrecoverable Advance

	

29

	
Non-U.S. Person

	

29

	
Notice Addresses

	

29

	
OTS

	

29

	
Officer’s
Certificate

	

29

	
Opinion of Counsel

	

29

	
Original Trust Agreement

	

30

	
Original Value

	

30

	
Ownership Interest

	

30

	
Pass-Through Entity

	

30

	
Pass-Through Rate

	

30

	
Paying Agent

	

30

	
Payoff

	

30

	
Payoff Earnings

	

30

	
Payoff Interest

	

31

	
Payoff Period

	

31

	
Percentage Interest

	

31

	
Permitted Transferee

	

31

	
Person

	

32

	
Premium Rate Mortgage
Loans

	

32

	
Prepaid Monthly Payment

	

32

	
Primary Insurance Policy

	

32

	
Principal Balance

	

32

	
Principal Payment

	

33

	
Principal Payment Amount

	

33

	
Principal Prepayment

	

33

	
Principal Prepayment
Amount

	

33

	
Priority Amount 1

	

33

	
Priority Amount 2

	

33

	
Prior Period

	

34

	
Prospectus

	

34

	
Purchase Obligation

	

34

	
Purchase Price

	

34

	
Random Lot

	

34

	
Rating Agency

	

34

	
Ratings

	

34

	
Realized Loss

	

34

	
Recognition Agreement

	

36

	
Record Date

	

36

	
Reference Banks

	

36

	
Regular Interests

	

37

	
Relief Act Shortfall

	

37

	
REMIC

	

37

	
REMIC Provisions

	

37

	
REMIC I

	

37

	
REMIC I Assets

	

37

	
REMIC I Available Distribution
Amount

	

37

	
REMIC I Distribution
Amount

	

38

	
REMIC I Regular
Interests

	

43

	
REMIC II

	

43

	
REMIC II Assets

	

43

	
REMIC II Available Distribution
Amount

	

43

	
REMIC II Distribution
Amount

	

43

	
REMIC II Regular
Interests

	

44

	
Residual Certificates

	

44

	
Residual Distribution
Amount

	

44

	
Responsible Officer

	

45

	
Rounding Accounts

	

45

	
Rounding Amount

	

45

	
ROV Mortgage Loan

	

45

	
S&P

	

45

	
Secretary of State

	

45

	
Securities Act

	

45

	
Security Agreement

	

45

	
Senior Liquidation
Amount

	

45

	
Senior Percentage

	

45

	
Senior Prepayment
Percentage

	

45

	
Senior Principal Distribution
Amount

	

46

	
Senior Subordinate
Certificates

	

47

	
Servicer

	

47

	
Servicer Business Day

	

47

	
Servicing Fee

	

47

	
Servicing Fee Rate

	

47

	
Servicing Officer

	

47

	
Special Primary Insurance
Policy

	

47

	
Special Primary Insurance
Premium

	

47

	
Special Retail
Certificates

	

47

	
Statutory Trust Statute

	

47

	
Step Down Percentage

	

47

	
Streamlined Mortgage
Loan

	

48

	
Stripped Interest Rate

	

48

	
Subordinate Certificates

	

48

	
Subordinate Liquidation
Amount

	

48

	
Subordinate Percentage

	

48

	
Subordinate Prepayment
Percentage

	

48

	
Subordinate Principal Distribution
Amount

	

48

	
Subordinate Principal Prepayments
Distribution Amount

	

49

	
Subordination Level

	

49

	
Subsequent Recoveries

	

49

	
Substitute Mortgage Loan

	

49

	
Tax Matters Person

	

49

	
Termination Date

	

50

	
Termination Payment

	

50

	
Transfer

	

50

	
Transferee

	

50

	
Transferee Affidavit and
Agreement

	

50

	
Trust

	

50

	
Trustee

	

50

	
Uncollected Interest

	

50

	
Uncompensated Interest
Shortfall

	

50

	
Underwriter

	

50

	
Underwriting Standards

	

50

	
Uninsured Cause

	

50

	
U.S. Person

	

51

	
VA

	

51

	
Withdrawal Date

	

51

	
Yield Maintenance
Account

	

51

	
Yield Maintenance
Agreements

	

51

	
Yield Maintenance Notional
Balance

	

51

	
Yield Maintenance Payment
Amount

	

51

	
ARTICLE II  Creation of the Trust;
Conveyance of the Mortgage Pool Assets, REMIC I Regular Interests and REMIC II Regular Interests; REMIC Election and Designations;
Original Issuance of Certificates

	

52

	
Section 2.01  Creation of the
Trust

	

52

	
Section 2.02  Restrictions on
Activities of the Trust

	

53

	
Section 2.03  Separateness
Requirements

	

53

	
Section 2.04  Conveyance of Mortgage
Pool Assets; Security Interest

	

55

	
Section 2.05  Delivery of Mortgage
Files

	

56

	
Section 2.06  REMIC Election for
REMIC I

	

57

	
Section 2.07  Acceptance by
Trustee

	

59

	
Section 2.08  Representations and
Warranties of the Company Concerning the Mortgage Loans

	

61

	
Section 2.09  Acknowledgment of
Transfer of Mortgage Pool Assets

	

65

	
Section 2.10  Conveyance of REMIC II
Assets; Security Interest

	

66

	
Section 2.11  REMIC Election for
REMIC II

	

66

	
Section 2.12  Acknowledgement of
Transfer of REMIC II Assets; Authentication of Certificates

	

68

	
Section 2.13  Legal
Title

	

68

	
Section 2.14  Compliance with ERISA
Requirements

	

68

	
Section 2.15  Additional
Representation of the Company Concerning the Mortgage Loans

	

68

	
ARTICLE III  Administration and
Servicing of Mortgage Loans

	

68

	
Section 3.01  The
Servicer

	

68

	
Section 3.02  Custodial Accounts and
Buydown Fund Accounts

	

70

	
Section 3.03  The Investment Account;
Eligible Investments

	

71

	
Section 3.04  The Certificate
Account

	

72

	
Section 3.05  Permitted Withdrawals
from the Certificate Account, the Investment Account, Custodial Accounts for P&I and Custodial Accounts for Reserves
and of Buydown Funds from the Buydown Fund Accounts

	

73

	
Section 3.06  Maintenance of Primary
Insurance Policies; Collections Thereunder

	

75

	
Section 3.07  Maintenance of Hazard
Insurance

	

75

	
Section 3.08  Enforcement of
Due-on-Sale Clauses; Assumption Agreements

	

76

	
Section 3.09  Realization Upon
Defaulted Mortgage Loans

	

76

	
Section 3.10  Trustee to Cooperate;
Release of Mortgage Files

	

78

	
Section 3.11  Compensation to the
Servicer

	

79

	
Section 3.12  Reports to the Trustee;
Certificate Account Statement

	

79

	
Section 3.13  Annual Statement as to
Compliance

	

80

	
Section 3.14  Access to Certain
Documentation and Information Regarding the Mortgage Loans

	

80

	
Section 3.15  Annual Independent
Public Accountants’ Servicing Report

	

80

	
Section 3.16  Yield Maintenance
Account.

	

80

	
Section 3.17 
[Reserved.]

	

81

	
Section 3.18 
[Reserved.]

	

81

	
Section 3.19  Determination of LIBOR
by Servicer 

	

81

	
Section 3.20 
[Reserved.]

	

83

	
Section 3.22  Maintenance of the
Rounding Accounts; Collections Thereunder.

	

83

	
ARTICLE IV  Payments to
Certificateholders; Payment of Expenses

	

84

	
Section 4.01  Distributions to
Holders of REMIC I Regular Interests and Class R-1 Residual Interest

	

84

	
Section 4.02  Monthly P&I
Advances; Distribution Reports to the Trustee

	

84

	
Section 4.03  Nonrecoverable
Advances

	

85

	
Section 4.04  Distributions to
Certificateholders; Payment of Special Primary Insurance Premiums

	

86

	
Section 4.05  Statements to
Certificateholders

	

87

	
Section 4.07  Principal Distributions
on the Special Retail Certificates

	

88

	
ARTICLE V  The
Certificates

	

92

	
Section 5.01  The
Certificates

	

92

	
Section 5.02  Certificates Issuable
in Classes; Distributions of Principal and Interest; Authorized Denominations

	

98

	
Section 5.03  Registration of
Transfer and Exchange of Certificates

	

98

	
Section 5.04  Mutilated, Destroyed,
Lost or Stolen Certificates

	

99

	
Section 5.05  Persons Deemed
Owners

	

99

	
Section 5.06  Temporary
Certificates

	

99

	
Section 5.07  Book-Entry for
Book-Entry Certificates

	

100

	
Section 5.08  Notices to Clearing
Agency

	

101

	
Section 5.09  Definitive
Certificates

	

101

	
Section 5.10  Office for Transfer of
Certificates

	

102

	
Section 5.11  Nature of
Certificates

	

102

	
ARTICLE VI  The Company and the
Servicer

	

102

	
Section 6.01  Liability of the
Company and the Servicer

	

102

	
Section 6.02  Merger or Consolidation
of the Company or the Servicer

	

102

	
Section 6.03  Limitation on Liability
of the Company, the Servicer and Others

	

102

	
Section 6.04  Neither the Company nor
the Servicer may Resign

	

103

	
Section 6.05  Trustee
Access 

	

103

	
ARTICLE VII 
Default

	

104

	
Section 7.01  Events of
Default

	

104

	
Section 7.02  Trustee to Act;
Appointment of Successor

	

106

	
Section 7.03  Notification to
Certificateholders

	

107

	
ARTICLE VIII  Concerning the
Trustees

	

108

	
Section 8.01  Duties of
Trustees

	

108

	
Section 8.02  Certain Matters
Affecting the Trustees

	

109

	
Section 8.03  Trustees Not Liable for
Certificates or Mortgage Loans

	

110

	
Section 8.04  Trustees May Own
Certificates

	

110

	
Section 8.05  The Servicer to Pay
Trustees’ Fees and Expenses

	

110

	
Section 8.06  Eligibility
Requirements for Trustees

	

111

	
Section 8.07  Resignation and Removal
of Trustees

	

111

	
Section 8.08  Successor
Trustee

	

112

	
Section 8.09  Merger or Consolidation
of Trustee

	

112

	
Section 8.10  Appointment of
Co-Trustee or Separate Trustee

	

113

	
Section 8.11  Authenticating
Agents

	

114

	
Section 8.12  Paying
Agents

	

114

	
Section 8.13  Duties of Delaware
Trustee

	

115

	
Section 8.14  Amendment to
Certificate of Trust

	

116

	
Section 8.15  Limitation of
Liability

	

116

	
Section 8.16  Yield Maintenance
Agreements

	

116

	
ARTICLE IX 
Termination

	

116

	
Section 9.01  Termination Upon
Purchase by the Servicer or Liquidation of All Mortgage Loans

	

116

	
Section 9.02  Additional Termination
Requirements

	

118

	
Section 9.03  Trust
Irrevocable

	

119

	
ARTICLE X  Miscellaneous
Provisions

	

119

	
Section 10.01 
Amendment

	

119

	
Section 10.02  Recordation of
Agreement

	

120

	
Section 10.03  Limitation on Rights
of Certificateholders

	

121

	
Section 10.04  Access to List of
Certificateholders

	

121

	
Section 10.05  Governing
Law

	

122

	
Section 10.06 
Notices

	

122

	
Section 10.07  Severability of
Provisions

	

122

	
Section 10.08  Counterpart
Signatures

	

122

	
Section 10.09  Benefits of
Agreement

	

123

	
Section 10.10  Notices and Copies to
Rating Agencies

	

123

	
 

	

123

 

	
Exhibit A

	
Form of Certificates (other than Class R
Certificates)

	
Exhibit B

	
Form of Class R
Certificates

	
Exhibit C

	
Anti-Predatory Lending
Categorization

	
Exhibit D

	
Mortgage Loan Schedule

	
Exhibit E

	
[Reserved]

	
Exhibit F

	
Form of Transferor Certificate For Junior
Subordinate Certificates

	
Exhibit G

	
Form of Transferee’s Agreement For
Junior Subordinate Certificates

	
Exhibit H

	
Form of Additional Matter Incorporated
Into the Certificates

	
Exhibit I

	
Transferor Certificate

	
Exhibit J

	
Transferee Affidavit And
Agreement

	
Exhibit K

	
[Reserved]

	
Exhibit L

	
Form of Investment
Letter

	
Exhibit M

	
Form of Trustee’s Certification
Pursuant to Section 2.07

	
Exhibit N

	
Officer’s Certificate With Respect
to ERISA Matters Pursuant to Section 5.01(d)

	
Exhibit O

	
Officer’s Certificate With Respect
to ERISA Matters Pursuant to Section 5.01(g)

 

This Pooling and Servicing Agreement,
dated and effective as of June 1, 2005 (this “Agreement”), is executed by and among Washington Mutual Mortgage
Securities Corp., as depositor (the “Company”), Washington Mutual Bank, as Servicer (the
“Servicer”), LaSalle Bank National Association, a national banking association with a corporate trust office at
135 South LaSalle Street, Suite 1625, Chicago, Illinois 60603, as Trustee (the “Trustee”), and Christiana Bank
& Trust Company, as Delaware Trustee (the “Delaware Trustee”).  Capitalized terms used in this
Agreement and not otherwise defined have the meanings ascribed to such terms in Article I hereof.

PRELIMINARY
STATEMENT

The Company at the Closing Date is the
owner of the Mortgage Loans and the other property being conveyed by it to the Trust. On the Closing Date, the Company will acquire
the REMIC I Regular Interests and the Class R-1 Residual Interest from the Trust as consideration for its transfer to the Trust of
the Mortgage Loans and certain other assets and will be the owner of the REMIC I Regular Interests and the Class R-1 Residual
Interest.  Thereafter on the Closing Date, the Company will acquire the Certificates (other than the Class R Certificates) and
the Class R-2 Residual Interest from the Trust as consideration for its transfer to the Trust of the REMIC I Regular Interests and
will be the owner of the Certificates.  The Company has duly authorized the execution and delivery of this Agreement to
provide for (i) the conveyance to the Trust of the Mortgage Loans and certain other assets, (ii) the issuance to the Company of the
REMIC I Regular Interests and the Class R-1 Residual Interest representing in the aggregate the entire beneficial interest in REMIC
I, (iii) the conveyance to the Trust of the REMIC I Regular Interests and (iv) the issuance to the Company of the Certificates,
such Certificates (other than the portion of the Class R Certificates representing ownership of the Class R-1 Residual Interest)
representing in the aggregate the entire beneficial interest in REMIC II. The Company and the Servicer are entering into this
Agreement, and the Trustee and the Delaware Trustee are each accepting the trust created hereby, for good and valuable
consideration, the receipt and sufficiency of which are hereby acknowledged.

The
Certificates issued hereunder, other than the Junior Subordinate Certificates, have been offered for sale pursuant to a Prospectus,
dated April 20, 2005, and a Prospectus Supplement, dated June 24, 2005, of the Company (together, the
“Prospectus”). The Junior Subordinate Certificates have been offered for sale pursuant to a Private Placement
Memorandum, dated June 28, 2005.  The Trust created hereunder is intended to be the “Trust” described in the
Prospectus and the Private Placement Memorandum and the Certificates are intended to be the “Certificates” described
therein. The following tables set forth the designation, type of interest, Certificate Interest Rate, initial Class Principal
Balance and Final Maturity Date for the REMIC I Regular Interests, the Class R Residual Interests and the
Certificates:

 REMIC I Interests

	
 

	
 Class Designation for each Class of REMIC I Regular Interests and the Class R-1 Residual
Interest

	
 

	
Type of
Interest

	
 

	
Certificate
Interest Rate
(1)

	
 

	
Initial
Class Principal Balance

	
 

	
Final
Maturity Date*

	
 

	
Class CB-1-L

	

 

	
Regular

	
 

	
5.500%

	
 

	

$   200,834,000.00

	
 

	
July 2035

	
 

	
Class CB-3-L

	
 

	
Regular

	
 

	
5.500%(2)

	
 

	
6,500,000.00

	
 

	
July 2035

	
 

	
Class CB-4-L

	
 

	
Regular

	
 

	
5.500%

	
 

	
68,375,800.00

	
 

	
July 2035

	
 

	
Class CB-5-L

	
 

	
Regular

	
 

	
5.500%

	
 

	

11,240,000.00

	
 

	
July 2035

	
 

	
Class CB-6-L

	
 

	
Regular

	
 

	
(3)

	
 

	
14,998,280.00

	
 

	
July 2035

	
 

	
Class CB-7-L

	

 

	
Regular

	
 

	
(4)

	
 

	

5,453,920.00

	
 

	
July 2035

	
 

	
Class CB-8-L

	

 

	
Regular

	
 

	
5.000%

	
 

	

2,500,000.00

	
 

	
July 2035

	
 

	
Class CB-9-L

	

 

	
Regular

	
 

	
5.500%

	
 

	

1,000,000.00

	
 

	
July 2035

	
 

	
Class CB-10-L

	

 

	
Regular

	
 

	
6.000%

	
 

	

2,500,000.00

	
 

	
July 2035

	
 

	
Class CB-11-L

	

 

	
Regular

	
 

	
(5)

	
 

	
51,007,000.00

	
 

	
July 2035

	
 

	
Class CB-12-L

	

 

	
Regular

	
 

	
(6)

	
 

	
4,637,000.00

	
 

	
July 2035

	
 

	
Class CB-13-L

	

 

	
Regular

	
 

	
5.500%

	
 

	
7,385,000.00

	
 

	
July 2035

	
 

	
Class CB-14-L

	

 

	
Regular

	
 

	
5.500%

	
 

	

128,640,700.00

	
 

	
July 2035

	
 

	
Class
X-L

	
 

	
Regular

	
 

	
5.500%(7)

	
 

	
-----

	
 

	
July 2035

	
 

	
Class
P-L

	
 

	
Regular

	
 

	
(8)

	
 

	
405,129.00

	
 

	
July 2035

	
 

	
Class B-1-L

	
 

	
Regular

	
 

	
5.500%

	
 

	
9,282,000.00

	
 

	
July 2035

	
 

	
Class B-2-L

	
 

	
Regular

	
 

	
5.500%

	
 

	
5,834,000.00

	
 

	
July 2035

	
 

	
Class B-3-L

	
 

	
Regular

	
 

	
5.500%

	
 

	
3,712,000.00

	
 

	
July 2035

	
 

	
Class B-4-L

	
 

	
Regular

	
 

	
5.500%

	
 

	
2,652,000.00

	
 

	
July 2035

	
 

	
Class B-5-L

	
 

	
Regular

	
 

	
5.500%

	
 

	
2,121,000.00

	
 

	
July 2035

	
 

	
Class B-6-L

	
 

	
Regular

	
 

	
5.500%

	
 

	
1,328,156.33

	
 

	
July 2035

	
 

	
Class
R-1†

	
 

	
Residual

	
 

	
5.500%

	
 

	
100.00

	
 

	
July 2035

	
 

	
 

	
 

	
 

	
 

	
 

	
 

	
 

	
 

	
 

	
*             The Distribution
Date in the specified month, which is the month following the month the latest maturing Mortgage Loan matures. For federal income
tax purposes, for each Class of REMIC I Regular and Residual Interests, the “latest possible maturity date” shall be
the Final Maturity Date.

	
 

	
†              The
Class R-1 Residual Interest is entitled to receive the applicable Residual Distribution Amount and any Excess Liquidation
Proceeds.

	
 

	
(1)          
Interest distributed on each Distribution Date to the REMIC I Regular Interests (other than the Class P-L Regular Interest, which
shall not be entitled to receive any distributions of interest) will have accrued at the applicable per annum Certificate Interest
Rate on the applicable Class Principal Balance or Class Notional Amount outstanding immediately before such Distribution
Date.

	
 

	
(2)           On each
Distribution Date on or before the Class CB-3 Accretion Termination Date, an amount equal to the Class CB-3 Accrual Amount shall be
added to the Class CB-3-L Principal Balance, and such amount shall be distributed as principal to certain Classes of Class A-L
Regular Interests and shall not be distributed as interest to the Class CB-3-L Regular Interest.

	
 

	
(3)           The Certificate Interest Rate for the Class CB-6-L Regular Interest shall equal LIBOR plus 0.600%, subject to a minimum and maximum Certificate Interest
Rate of 0.600% and 7.500% per annum, respectively.

	
 

	
(4)           The Certificate Interest Rate for the Class CB-7-L Regular Interest shall equal
18.975% minus the product of LIBOR and 2.75, subject to a minimum and maximum Certificate Interest Rate of 0.000% and 18.975% per
annum, respectively.

	
 

	
(5)           The Certificate Interest Rate for the Class CB-11-L Regular Interest shall equal LIBOR plus 1.400%, subject to a minimum and maximum Certificate Interest
Rate of 1.400% and 6.000% per annum, respectively.

	
 

	
(6)           The Certificate Interest Rate for the Class CB-12-L Regular Interest shall equal
50.6% minus the product of LIBOR and 11, subject to a minimum and maximum Certificate Interest Rate of 0.000% and 50.6% per annum,
respectively.

	
 

	
(7)          
The Class X-L
Regular Interest shall accrue interest on the Class X Notional Amount.  The Class
X-L Regular Interest shall not be entitled to receive any distributions of principal.

	
 

	
(8)           The Class P-L Regular Interest shall
not be entitled to receive any distributions of interest.

	
 

	
 

	
 

											

 

As provided herein, with respect to
REMIC I, the Servicer will cause an election to be made on behalf of REMIC I to be treated for federal income tax purposes as a
REMIC. The REMIC I Regular Interests will be designated regular interests in REMIC I and the Class R-1 Residual Interest will be
designated the sole class of residual interest in REMIC I, for purposes of the REMIC Provisions.

 

REMIC II Interests

	
 

	
 Class Designation for each Class of REMIC II Regular Interests and the Class R-2 Residual
Interest

	
 

	
Type of
Interest

	
 

	
Certificate
Interest Rate
(1)

	
 

	
Initial
Class Principal Balance

	
 

	
Final
Maturity Date*

	
 

	
Class CB-1-M

	

 

	
Regular

	
 

	
(2)

	
 

	

$   200,834,000.00

	
 

	
July 2035

	
 

	
Class CB-2

	
 

	
Regular

	
 

	
(3)

	
 

	
-----

	
 

	
July 2035

	
 

	
Class CB-3

	
 

	
Regular

	
 

	
5.500%(4)

	
 

	
6,500,000.00

	
 

	
July 2035

	
 

	
Class CB-4

	
 

	
Regular

	
 

	
5.500%

	
 

	
68,375,800.00

	
 

	
July 2035

	
 

	
Class CB-5

	
 

	
Regular

	
 

	
5.500%

	
 

	

11,240,000.00
	
 

	
July 2035

	
 

	
Class CB-6-M

	
 

	
Regular

	
 

	
(5)

	
 

	
14,998,280.00

	
 

	
July 2035

	
 

	
Class CB-7

	

 

	
Regular

	
 

	
(6)

	
 

	

5,453,920.00

	
 

	
July 2035

	
 

	
Class CB-8

	

 

	
Regular

	
 

	
5.000%

	
 

	

2,500,000.00

	
 

	
July 2035

	
 

	
Class CB-9

	

 

	
Regular

	
 

	
5.500%

	
 

	

1,000,000.00

	
 

	
July 2035

	
 

	
Class CB-10

	

 

	
Regular

	
 

	
6.000%

	
 

	

2,500,000.00

	
 

	
July 2035

	
 

	
Class CB-11

	

 

	
Regular

	
 

	
(7)

	
 

	
51,007,000.00

	
 

	
July 2035

	
 

	
Class CB-12

	

 

	
Regular

	
 

	
(8)

	
 

	
4,637,000.00

	
 

	
July 2035

	
 

	
Class CB-13

	

 

	
Regular

	
 

	
5.500%

	
 

	
7,385,000.00

	
 

	
July 2035

	
 

	
Class CB-14

	

 

	
Regular

	
 

	
5.500%

	
 

	

128,640,700.00
	
 

	
July 2035

	
 

	
Class
X

	
 

	
Regular

	
 

	
5.500%(9)

	
 

	
-----

	
 

	
July 2035

	
 

	
Class
P

	
 

	
Regular

	
 

	
(10)

	
 

	
405,129.00

	
 

	
July 2035

	
 

	
Class B-1

	
 

	
Regular

	
 

	
5.500%

	
 

	
9,282,000.00

	
 

	
July 2035

	
 

	
Class B-2

	
 

	
Regular

	
 

	
5.500%

	
 

	
5,834,000.00

	
 

	
July 2035

	
 

	
Class B-3

	
 

	
Regular

	
 

	
5.500%

	
 

	
3,712,000.00

	
 

	
July 2035

	
 

	
Class B-4

	
 

	
Regular

	
 

	
5.500%

	
 

	
2,652,000.00

	
 

	
July 2035

	
 

	
Class B-5

	
 

	
Regular

	
 

	
5.500%

	
 

	
2,121,000.00

	
 

	
July 2035

	
 

	
Class B-6

	
 

	
Regular

	
 

	
5.500%

	
 

	
1,328,156.33

	
 

	
July 2035

	
 

	
Class R-2
(11)

	
 

	
Residual

	
 

	
-----

	
 

	
-----

	
 

	
July 2035

	
 

	
 

	
 

	
 

	
 

	
 

	
 

	
 

	
 

	
 

	
*             The Distribution
Date in the specified month, which is the month following the month the latest maturing Mortgage Loan matures. For federal income
tax purposes, for each Class of REMIC II Regular and Residual Interests, the “latest possible maturity date” shall be
the Final Maturity Date.

	
 

	
(1)          
Interest distributed on each Distribution Date to the Certificates (other than the Class P Certificates, which shall not be
entitled to receive any distributions of interest) will have accrued at the applicable per annum Certificate Interest Rate on the
applicable Class Principal Balance or Class Notional Amount outstanding immediately before such Distribution
Date.

	
 

	
(2)           The
Certificate Interest Rate for the Class CB-1-M Regular Interest shall equal LIBOR plus 0.400%, subject to a minimum and maximum
Certificate Interest Rate of 0.400% and 5.500% per annum, respectively.

	
 

	
(3)           The
Certificate Interest Rate for the Class CB-2 Certificates shall equal 5.100% minus LIBOR, subject to a minimum and maximum
Certificate Interest Rate of 0.000% and 5.100% per annum, respectively.  The Class CB-2 Certificates shall accrue interest on
the Class CB-2 Notional Amount.  The Class CB-2 Certificates shall not be entitled to receive any distributions of
principal.

	
 

	
(4)           On each
Distribution Date on or before the Class CB-3 Accretion Termination Date, an amount equal to the Class CB-3 Accrual Amount shall be
added to the Class CB-3 Principal Balance, and such amount shall be distributed as principal to certain Classes of Class A
Certificates and shall not be distributed as interest to the Class CB-3 Certificates.

	
 

	
(5)           The Certificate Interest Rate for the Class CB-6 Certificates shall equal LIBOR plus 0.600%, subject to a minimum and maximum Certificate Interest
Rate of 0.600% and 7.500% per annum, respectively.

	
 

	
(6)           The Certificate Interest Rate for the Class CB-7 Certificates shall equal
18.975% minus the product of LIBOR and 2.75, subject to a minimum and maximum Certificate Interest Rate of 0.000% and 18.975% per
annum, respectively.

	
 

	
(7)           The Certificate Interest Rate for the Class CB-11 Certificates shall equal LIBOR plus 1.400%, subject to a minimum and maximum Certificate Interest
Rate of 1.400% and 6.000% per annum, respectively.

	
 

	
(8)           The Certificate Interest Rate for the Class CB-12 Certificates shall equal 50.6%
minus the product of LIBOR and 11, subject to a minimum and maximum Certificate Interest Rate of 0.000% and 50.6% per annum,
respectively.

	
 

	
(9)          
The Class X
Certificates shall accrue interest on the Class X Notional Amount.  The Class X
Certificates shall not be entitled to receive any distributions of principal.

	
 

	
(10)         The Class P Certificates shall
not be entitled to receive any distributions of interest.

	
 

	
(11)         The Class R‐2
Residual Interest shall be entitled to receive the applicable Residual Distribution Amount.  The Class R‐2 Residual
Interest shall not be entitled to receive any distributions of interest or principal.

	
 

	
 

	
 

											

As provided herein, with respect to
REMIC II, the Servicer will cause an election to be made on behalf of REMIC II to be treated for federal income tax purposes as a
REMIC. The REMIC II Regular Interests will be designated regular interests in REMIC II, and the Class R-2 Residual Interest will be
designated the sole class of residual interest in REMIC II, for purposes of the REMIC Provisions. 

In addition, the Trust will issue the
Class R Certificates, which will represent ownership of the Class R-1 and Class R-2 Residual Interests.

In addition, the Trust will issue (i)
the Class CB-1 Certificates, which will represent ownership of (x) the Class CB-1-M Regular Interest and (y) the applicable
rights specified in the second sentence of Section 4.04(a) and (ii) the Class CB-6 Certificates, which will represent ownership of
(x) the Class CB-6-M Regular Interest and (y) the applicable rights specified in the second sentence of Section
4.04(a).

As of the Cut-Off Date, the Mortgage
Loans have an aggregate Principal Balance of $530,406,085.76 and the Certificates have an Aggregate Certificate Principal Balance
of $530,406,085.33.

 

W I T N E S S E T H :

WHEREAS, the Company is a corporation
duly organized and existing under and by virtue of the laws of the State of Delaware and has full corporate power and authority to
enter into this Agreement and to undertake the obligations undertaken by it herein;

WHEREAS, the Servicer is a federal
savings association duly organized and existing under and by virtue of the laws of the United States of America and has full power
and authority to enter into this Agreement and to undertake the obligations undertaken by it herein;

WHEREAS, the Trustee is a national
banking association duly organized and existing under the laws of the United States of America and has full power and authority to
enter into this Agreement;

WHEREAS, the Delaware Trustee is a
banking corporation duly organized and existing under the laws of the State of Delaware and has full power and authority to enter
into this Agreement;

WHEREAS, prior to the execution and
delivery hereof, the Company and the Delaware Trustee have entered into the Original Trust Agreement, and the Delaware Trustee has
filed the Certificate of Trust;

WHEREAS, it is the intention of the
Company, the Trustee, the Servicer and the Delaware Trustee that the Trust created by this Agreement constitute a statutory trust
under the Statutory Trust Statute, that this Agreement constitute the governing instrument of the Trust, and that this Agreement
amend and restate the Original Trust Agreement;

WHEREAS, the Company is the owner of
the Mortgage Loans identified in the Mortgage Loan Schedule hereto having unpaid Principal Balances on the Cut-Off Date as stated
therein; and

WHEREAS, the Company has been duly
authorized to create the Trust to (i) hold the Mortgage Loans and certain other property, (ii) issue the REMIC I Regular Interests
and the Class R-1 Residual Interest, (iii) hold the REMIC I Regular Interests and (iv) issue the Certificates.

NOW, THEREFORE, in order to declare the
terms and conditions upon which the REMIC I Regular Interests, the Class R Residual Interests and the Certificates are to be
issued, and in consideration of the premises and of the purchase and acceptance of the Certificates by the Holders thereof, the
Company covenants and agrees with the Trustee, the Servicer and the Delaware Trustee, for the equal and proportionate benefit of
the respective Holders from time to time of the REMIC I Regular Interests and the Certificates, as applicable, as
follows:

ARTICLE I

Section 1.01.        Definitions.

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

Aggregate Certificate Principal Balance: At any given time, the
sum of the then current Class Principal Balances of the Certificates.

Appraised Value:  With respect to any (i) Mortgage Loan
that is not a Streamlined Mortgage Loan or ROV Mortgage Loan, the lesser of (a) the value set forth on the appraisal made in
connection with the origination of such Mortgage Loan as the value of the related Mortgaged Property and (b) the purchase price
paid for the Mortgaged Property, provided, however, that if such Mortgage Loan was
originated in connection with the refinance of a mortgage loan, such value shall be based solely on the appraisal made in
connection with the origination of such Mortgage Loan; (ii) ROV Mortgage Loan, the lesser of (a) the value set forth on the
residential appraisal review made in connection with the origination of such Mortgage Loan as the value of the related Mortgaged
Property and (b) the purchase price paid for the Mortgaged Property, provided,
however, that if such ROV Mortgage Loan was originated in connection with the refinance of a mortgage loan, such value
shall be based solely on the residential appraisal review made in connection with the origination of such ROV Mortgage Loan; and
(iii) Streamlined Mortgage Loan, the value set forth in the appraisal made in connection with the origination of the mortgage
loan being refinanced.

Assignment of Proprietary Lease: With respect to a Cooperative
Loan, the assignment or mortgage of the related Cooperative Lease from the Mortgagor to the originator of the Cooperative Loan.

Authenticating Agent: Any authenticating agent appointed by the
Trustee pursuant to Section 8.11.

Authorized Denomination: With respect to the Certificates (other
than the Class CB-2, Class CB-8, Class CB-9, Class CB-10, Class X and Class R Certificates), an initial Certificate Principal
Balance equal to $25,000 and multiples of $1 in excess thereof, except that one Certificate of each Class of the Junior Subordinate
Certificates may be issued in an amount that is not an integral multiple of $1.  With respect to the Class CB-8, Class CB-9
and Class CB-10 Certificates, an initial Certificate Principal Balance equal to $1,000 and multiples of $1,000 in excess
thereof.  With respect to the Class CB-2 and Class X Certificates, a Class Notional Amount as of the Cut-Off Date equal to
$100,000 and multiples of $1 in excess thereof. With respect to the Class R Certificates, one Certificate with a Percentage
Interest equal to 0.01% and one Certificate with a Percentage Interest equal to 99.99%.

Bankruptcy Loss: A loss on a Mortgage Loan arising out of (i) a
reduction in the scheduled Monthly Payment for such Mortgage Loan by a court of competent jurisdiction in a case under the United
States Bankruptcy Code, other than any such reduction that arises out of clause (ii) of this definition of “Bankruptcy
Loss,” including, without limitation, any such reduction that results in a permanent forgiveness of principal, or (ii) with
respect to any Mortgage Loan, a valuation, by a court of competent jurisdiction in a case under such Bankruptcy Code, of the
related Mortgaged Property in an amount less than the then outstanding Principal Balance of such Mortgage Loan.

Beneficial Holder: A Person holding a beneficial interest in any
Book-Entry Certificate as or through a DTC Participant or an Indirect DTC Participant or a Person holding a beneficial interest in
any Definitive Certificate.

Benefit Plan Opinion: With respect to any Certificate presented
for registration in the name of any Person, an Opinion of Counsel acceptable to and in form and substance satisfactory to the
Trustee and the Company to the effect that the purchase or holding of such Certificate is permissible under applicable law, will
not constitute or result in a non-exempt prohibited transaction under Section 406 of ERISA or Section 4975 of the Code, and will
not subject the Trust, the Trustee, the Delaware Trustee, the Servicer or the Company to any obligation or liability (including
obligations or liabilities under Section 406 of ERISA or Section 4975 of the Code) in addition to those undertaken in this
Agreement, which Opinion of Counsel shall not be an expense of the Trust, the Trustee, the Delaware Trustee, the Servicer or the
Company.

Book-Entry Certificates: The Class A, Class X, Class P and Senior
Subordinate Certificates, beneficial ownership and transfers of which shall be made through book entries as described in Section
5.07.

Business Day: Any day other than a Saturday, a Sunday, or a day
on which banking institutions in Stockton, California, Chicago, Illinois, New York, New York, Seattle, Washington or St. Paul,
Minnesota or any city in which the Corporate Trust Office is located are authorized or obligated by law or executive order to be
closed.

Buydown Agreement: An agreement between a Person and a Mortgagor
pursuant to which such Person has provided a Buydown Fund.

Buydown Fund: A fund provided by the originator of a Mortgage
Loan or another Person with respect to a Buydown Loan which provides an amount sufficient to subsidize regularly scheduled
principal and interest payments due on such Buydown Loan for a period. Buydown Funds may be (i) funded at the par values of future
payment subsidies, or (ii) funded in an amount less than the par values of future payment subsidies, and determined by discounting
such par values in accordance with interest accruing on such amounts, in which event they will be deposited in an account bearing
interest. Buydown Funds may be held in a separate Buydown Fund Account or may be held in a Custodial Account for P&I or a
Custodial Account for Reserves and monitored by the Servicer.

Buydown Fund Account: A separate account or accounts created and
maintained pursuant to Section 3.02 (a) with the corporate trust department of the Trustee or another financial institution
approved by the Servicer, (b) within FDIC insured accounts (or other accounts with comparable insurance coverage acceptable to the
Rating Agencies) created, maintained and monitored by the Servicer or (c) in a separate non-trust account without FDIC or other
insurance in an Eligible Institution. Such account or accounts may be non-interest bearing or may bear interest. In the event that
a Buydown Fund Account is established pursuant to clause (b) of the preceding sentence, amounts held in such Buydown Fund Account
shall not exceed the level of deposit insurance coverage on such account; accordingly, more than one Buydown Fund Account may be
established.

Buydown Loan: A Mortgage Loan for which the Mortgage Interest
Rate has been subsidized through a Buydown Fund provided at the time of origination of such Mortgage Loan.

Cap Counterparty:  Bear Stearns Financial Products Inc.

Carry-Forward Subsequent Recoveries Amount: For any Distribution
Date, the excess, if any, of (i) the Subsequent Recoveries for such Distribution Date over (ii) the amount by which the Class
Principal Balance of the Class of Subordinate Certificates with the lowest priority is increased in respect of Subsequent
Recoveries on such Distribution Date pursuant to the definition of “Class Principal Balance” herein.

Certificate: Any one of the Certificates issued pursuant to this
Agreement, executed by the Trustee and authenticated by or on behalf of the Trustee hereunder in substantially one of the forms set
forth in Exhibit A and B hereto. The additional matter appearing in Exhibit H shall be deemed incorporated into Exhibit A as though
set forth at the end of such Exhibit.

Certificate Account: The separate trust account created and
maintained with the Trustee, the Investment Depository or any other bank or trust company acceptable to the Rating Agencies which
is incorporated under the laws of the United States or any state thereof pursuant to Section 3.04, which account shall bear a
designation clearly indicating that the funds deposited therein are held in trust for the benefit of the Trust or any other account
serving a similar function acceptable to the Rating Agencies. Funds in the Certificate Account may be invested in Eligible
Investments pursuant to Section 3.04(b) and reinvestment earnings thereon shall be paid to the Servicer as additional servicing
compensation. Funds deposited in the Certificate Account (exclusive of the Servicing Fee) shall be held in trust for the
Certificateholders and for the uses and purposes set forth in Section 2.01, Section 3.04, Section 3.05, Section 4.01 and Section
4.04.

Certificateholder or Holder: With respect to the Certificates,
the Person in whose name a Certificate is registered in the Certificate Register, except that, solely for the purposes of giving
any consent pursuant to this Agreement, any Certificate registered in the name of the Company, the Servicer or any affiliate
thereof shall be deemed not to be outstanding and the Percentage Interest evidenced thereby shall not be taken into account in
determining whether the requisite percentage of Percentage Interests necessary to effect any such consent has been obtained;
provided, that the Trustee may conclusively rely upon an Officer’s Certificate
to determine whether any Person is an affiliate of the Company or the Servicer. With respect to the REMIC I Regular Interests, the
owner of the REMIC I Regular Interests, which as of the Closing Date shall be the Trust.

Certificate Interest Rate: For each Class of REMIC I Regular
Interests and REMIC II Regular Interests and the Class R-1 Residual Interest, the per annum rate set forth as the Certificate
Interest Rate for such Class in the Preliminary Statement hereto.

Certificate of Trust: The certificate of trust filed with respect
to the Trust with the Secretary of State in accordance with Section 3810(a) of the Statutory Trust Statute.

Certificate Principal Balance: For each Certificate of any Class,
the portion of the related Class Principal Balance, if any, represented by such Certificate.

Certificate Register and Certificate Registrar: The register
maintained and the registrar appointed, respectively, pursuant to Section 5.03.

Class: All REMIC I Regular Interests or the Class R-1 Residual
Interest having the same priority and rights to payments on the Mortgage Loans from the REMIC I Available Distribution Amount, and
all REMIC II Regular Interests or the Class R-2 Residual Interest having the same priority and rights to payments on the REMIC I
Regular Interests from the REMIC II Available Distribution Amount, as applicable, which REMIC I Regular Interests, REMIC II Regular
Interests and Class R Residual Interests, as applicable, shall be designated as a separate Class, and which, in the case of the
Certificates (including the Class R Certificates representing ownership of the Class R Residual Interests), shall be set forth in
the applicable forms of Certificates attached hereto as Exhibits A and B. Each Class of REMIC I Regular Interests and the Class R-1
Residual Interest shall be entitled to receive the amounts allocated to such Class pursuant to the definition of “REMIC I
Distribution Amount” only to the extent of the REMIC I Available Distribution Amount for such Distribution Date remaining
after distributions in accordance with prior clauses of the definition of “REMIC I Distribution Amount,” and each Class
of REMIC II Regular Interests and the Class R-2 Residual Interest shall be entitled to receive the amounts allocated to such Class
pursuant to the definition of “REMIC II Distribution Amount” only to the extent of the REMIC II Available Distribution
Amount for such Distribution Date remaining after distributions in accordance with prior clauses of the definition of “REMIC
II Distribution Amount.”

In addition to their right to receive
payments from the REMIC II Available Distribution Amount on the Class CB-1-M Regular Interest and the Class CB-6-M Regular
Interest, respectively, the Class CB-1 and Class CB-6 Certificates shall be entitled to receive payments, if any, as specified in
the second sentence of Section 4.04(a).

Class A Certificates: The Class CB-1, Class CB-2, Class CB-3,
Class CB-4, Class CB-5, Class CB-6, Class CB-7, Class CB-8, Class CB-9, Class CB-10, Class CB-11, Class CB-12, Class CB-13 and
Class CB-14 Certificates.

Class A-L Regular Interests:  The Class CB-1-L, Class
CB-3-L, Class CB-4-L, Class CB-5-L, Class CB-6-L, Class CB-7-L, Class CB-8-L, Class CB-9-L, Class CB-10-L, Class CB-11-L, Class
CB-12-L, Class CB-13-L and Class CB-14-L Regular Interests.

Class B Certificates: The Class B-1, Class B-2, Class B-3, Class
B-4, Class B-5 and Class B-6 Certificates.

Class B-L Regular Interests: The Class B-1-L, Class B-2-L, Class
B-3-L, Class B-4-L, Class B-5-L and Class B-6-L Regular Interests.

Class B Percentage: For any date of determination, the aggregate
Class Principal Balance of the Class B Certificates divided by the then outstanding aggregate Principal Balance of the Mortgage
Loans.

Class B-1 Certificates: The Certificates designated as
“Class B-1” on the face thereof in substantially the form attached hereto as Exhibit A.

Class B-1-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class B-2 Certificates: The Certificates designated as
“Class B-2” on the face thereof in substantially the form attached hereto as Exhibit A.

Class B-2-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class B-3 Certificates: The Certificates designated as
“Class B-3” on the face thereof in substantially the form attached hereto as Exhibit A.

Class B-3-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class B-4 Certificates: The Certificates designated as
“Class B-4” on the face thereof in substantially the form attached hereto as Exhibit A.

Class B-4-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class B-5 Certificates: The Certificates designated as
“Class B-5” on the face thereof in substantially the form attached hereto as Exhibit A.

Class B-5-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class B-6 Certificates: The Certificates designated as
“Class B-6” on the face thereof in substantially the form attached hereto as Exhibit A.

Class B-6-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-1 Certificates: The Certificates designated as
“Class CB-1” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-1 Fraction: For any Distribution Date, a fraction, the
numerator of which is the Certificate Interest Rate for the Class CB-1-M Regular Interest for such Distribution Date and the
denominator of which is 5.500%.

Class CB-1-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-1-M Regular Interest:  The uncertificated undivided
beneficial interest in REMIC II which constitutes a REMIC II Regular Interest and is entitled to distributions as set forth
herein.

Class CB-2 Certificates: The Certificates designated as
“Class CB-2” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-2 Notional Amount:  For any Distribution Date, the Class CB-1 Principal Balance immediately before
that Distribution Date.

Class CB-3 Certificates: The Certificates designated as
“Class CB-3” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-3-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-4 Certificates: The Certificates designated as
“Class CB-4” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-4-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-5 Certificates: The Certificates designated as
“Class CB-5” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-5-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-6 Certificates: The Certificates designated as
“Class CB-6” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-6-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-6-M Regular Interest:  The uncertificated undivided
beneficial interest in REMIC II which constitutes a REMIC II Regular Interest and is entitled to distributions as set forth
herein.

Class CB-7 Certificates: The Certificates designated as
“Class CB-7” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-7-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-8 Certificates: The Certificates designated as
“Class CB-8” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-8 Rounding Account: The separate trust account
maintained with the Trustee pursuant to Section 3.22, which account shall bear a designation clearly indicating that the funds
deposited therein are held in trust for the benefit of the Trust on behalf of the Class CB-8 Certificateholders, or any other
account serving a similar function acceptable to the Rating Agencies, and which account provides that the Trustee may make, or
cause to be made, withdrawals as provided in Section 3.22 hereof, to the extent of the amount then remaining in the Class CB-8
Rounding Account.

Class CB-8-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-9 Certificates: The Certificates designated as
“Class CB-9” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-9 Rounding Account: The separate trust account
maintained with the Trustee pursuant to Section 3.22, which account shall bear a designation clearly indicating that the funds
deposited therein are held in trust for the benefit of the Trust on behalf of the Class CB-9 Certificateholders, or any other
account serving a similar function acceptable to the Rating Agencies, and which account provides that the Trustee may make, or
cause to be made, withdrawals as provided in Section 3.22 hereof, to the extent of the amount then remaining in the Class CB-9
Rounding Account.

Class CB-9-L Regular Interest:  The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-10 Certificates: The Certificates designated as
“Class CB-10” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-10 Rounding Account: The separate trust account
maintained with the Trustee pursuant to Section 3.22, which account shall bear a designation clearly indicating that the funds
deposited therein are held in trust for the benefit of the Trust on behalf of the Class CB-10 Certificateholders, or any other
account serving a similar function acceptable to the Rating Agencies, and which account provides that the Trustee may make, or
cause to be made, withdrawals as provided in Section 3.22 hereof, to the extent of the amount then remaining in the Class CB-10
Rounding Account.

Class CB-10-L Regular Interest:  The uncertificated
undivided beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-11 Certificates: The Certificates designated as
“Class CB-11” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-11-L Regular Interest:  The uncertificated
undivided beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-12 Certificates: The Certificates designated as
“Class CB-12” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-12-L Regular Interest:  The uncertificated
undivided beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-13 Certificates: The Certificates designated as
“Class CB-13” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-13-L Regular Interest:  The uncertificated
undivided beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class CB-14 Certificates: The Certificates designated as
“Class CB-14” on the face thereof in substantially the form attached hereto as Exhibit A.

Class CB-14-L Regular Interest:  The uncertificated
undivided beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

 

Class Notional Amount:  With respect to any of the Class
CB-2 and Class X Certificates and the Class X-L Regular Interest, the related notional amount for such Class, as specified herein
(e.g., the “Class Notional Amount” for the Class X Certificates and the Class X-L Regular Interest is the Class X
Notional Amount).

Class P Certificates: The Certificates designated as “Class
P” on the face thereof in substantially the form attached hereto as Exhibit A.

Class P Fraction: For each Class P Mortgage Loan, a fraction, the
numerator of which is 5.500% less the Pass-Through Rate on such Class P Mortgage Loan and the denominator of which is 5.500%.

Class P Mortgage Loan: Any Mortgage Loan with a Pass-Through Rate
of less than 5.500% per annum.

Class P-L Regular Interest: The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Class Principal Balance: For any Class of REMIC I or REMIC II
Regular Interests and for the Class R-1 Residual Interest, the applicable initial Class Principal Balance therefor set forth in the
Preliminary Statement hereto (or, in the case of the Class R Certificates, the Class Principal Balance of the Class R-1 Residual
Interest), corresponding to the rights of such Class in payments of principal due to be passed through to the Holders of such Class
from principal payments on the Mortgage Loans or the REMIC I Regular Interests, as applicable, as reduced from time to time by (x)
distributions of principal (including any Class CB-3 Accrual Amount) to the Holders of such Class and (y) the portion of Realized
Losses allocated to the Class Principal Balance of such Class pursuant to the definition of “Realized Loss” (including
amounts allocated as losses to the Class B Certificates and the Class B-L Regular
Interests pursuant to the third paragraph of the definition of “Realized Loss”) with respect to a given
Distribution Date. For any Distribution Date, the reduction of the Class Principal Balance of any Class of REMIC I or REMIC II
Regular Interests pursuant to the definition of “Realized Loss” shall be deemed effective after the determination and
distribution of principal on such Class pursuant to the definitions of “REMIC I Distribution Amount” and “REMIC
II Distribution Amount.”

Notwithstanding the foregoing, (A) any
amounts distributed in respect of losses pursuant to paragraph (I)(vi) or (I)(vii) of the definition of “REMIC I Distribution
Amount” shall not cause a reduction in the Class Principal Balance of the Class P Certificates or the Class P-L Regular Interest and (B) any amounts distributed in respect of principal losses
pursuant to paragraph (I)(xxvi) of the definition of “REMIC I Distribution Amount” shall not cause a reduction in the
Class Principal Balances of the REMIC I Regular Interests or their Corresponding
Classes.

In addition to the foregoing, on each
Distribution Date, the Class Principal Balance of the Class of Class B
Certificates with the lowest priority then outstanding (and of its Corresponding
Class) shall be increased by an amount equal to the lesser of (i) the Subsequent Recoveries for such Distribution
Date and (ii) the amount of Realized Losses allocated to such Class on previous Distribution Dates (the amount in this clause (ii)
reduced by the amount, if any, by which such Class Principal Balance has been increased on prior Distribution Dates pursuant to
this paragraph in respect of Subsequent Recoveries).

In addition to the foregoing, on each
Distribution Date on or before the Class CB-3 Accretion Termination Date, the Class Principal Balance of each of the Class CB-3
Certificates and the Class CB-3-L Regular Interest shall be increased by the Class CB-3 Accrual Amount for such Distribution
Date.

The Class Principal Balance for the
Class CB-1 Certificates shall be referred to as the “Class CB-1 Principal Balance,” the Class Principal Balance for the Class CB-1-L Regular Interest shall be referred to as the “Class CB-1-L
Principal Balance” and so on.   The Class Principal Balances for the Class CB-2 and Class X Certificates
and the Class X-L Regular Interest shall each be zero.

Class R Certificates: The Certificates designated as “Class
R” on the face thereof in substantially the form attached hereto as Exhibit B, representing ownership of the Class R-1 and
Class R-2 Residual Interests, each of which Class of Residual Interests has been designated as the sole class of “residual
interest” in REMIC I and REMIC II, respectively, pursuant to Section 2.06 and Section 2.11, respectively, for purposes of
Section 860G(a)(2) of the Code.

Class R Residual Interests: The Class R-1 and Class R-2 Residual
Interests (which shall be transferable only as a unit evidenced by the Class R Certificates, in accordance with the applicable
provisions of Section 5.01).

Class R-1 Residual
Interest: The uncertificated undivided beneficial interest in REMIC I which
has been designated as the single class of “residual interest” in REMIC I pursuant to Section 2.06.  The Class R-1
Residual Interest, together with the REMIC I Regular Interests, shall be deemed to be a separate series of beneficial interests in
the assets of the Trust consisting of the REMIC I Assets pursuant to Section 3806(b)(2) of the Statutory Trust Statute.

Class R-2 Residual Interest: The uncertificated undivided beneficial interest in REMIC II which has been designated as the single
class of “residual interest” in REMIC II pursuant to Section 2.11.  The Class R-2 Residual Interest, together with
the REMIC II Regular Interests, shall be deemed to be a separate series of beneficial interests in the assets of the Trust
consisting of the REMIC II Assets pursuant to Section 3806(b)(2) of the Statutory Trust Statute.

Class X Certificates: The Certificates designated as “Class
X” on the face thereof in substantially the form attached hereto as Exhibit A.

Class X Notional Amount: With
respect to any Distribution Date, the product of (x) the aggregate scheduled principal balance, as of the second preceding Due
Date after giving effect to payments scheduled to be received as of such Due Date, whether or not received (and after giving effect
to Principal Prepayments, Monthly P&I Advances and the principal portion of Realized Losses applied prior to such Due Date), or
with respect to the initial Distribution Date, as of the Cut-Off Date, of the Premium Rate Mortgage Loans and (y) a fraction, the
numerator of which is the weighted average of the Stripped Interest Rates for the Premium Rate Mortgage Loans as of such Due Date
and the denominator of which is 5.500%.

Class X-L Regular Interest: The uncertificated undivided
beneficial interest in REMIC I which constitutes a REMIC I Regular Interest and is entitled to distributions as set forth
herein.

Clean-Up Call Percentage: 10%.

Clearing Agency: An organization registered as a “clearing
agency” pursuant to Section 17A of the Securities Exchange Act of 1934, as amended, which initially shall be DTC.

Closing Date: June 28, 2005, which is the date of settlement of
the sale of the Certificates to the original purchasers thereof.

Closing Date Loan-to-Value Ratio: For each Mortgage Loan, the
principal balance of such Mortgage Loan as of the Cut-Off Date (after application of all scheduled principal payments due on or
before the Cut-Off Date) divided by the value of the related Mortgaged Property as of the Closing Date.

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

Company: Washington Mutual Mortgage Securities Corp., a Delaware
corporation, or its successor-in-interest.

Compensating Interest: For any Distribution Date, the least of
(i) the sum of (a) 1/12 of 0.050% of the aggregate Principal Balance of the Mortgage
Loans for such Distribution Date, (b) the aggregate Payoff Earnings for such Distribution Date and (c) the aggregate
Payoff Interest for such Distribution Date; (ii) the aggregate Uncollected Interest for such Distribution Date and (iii) 1/12
of 0.125% of the aggregate Principal Balance of the Mortgage Loans immediately preceding such Distribution Date.

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 2.04.

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: The corporate trust office of the
Trustee, at which at any particular time its corporate trust business with respect to this Agreement shall be administered, which
office at the date of the execution of this Agreement is located at 135 South LaSalle Street, Suite 1625, Chicago, Illinois, 60603,
Attention: Global Securities and Trust Services – WMALT Series 2005-5.

Corporation: Any Person (other than an individual, partnership,
joint venture or unincorporated organization) incorporated, associated, organized, chartered or existing under the laws of any
state or under the federal laws of the United States of America; provided, that such
Person have indefinite existence under the law of its domicile.

Corresponding Class: With respect to the REMIC I Regular
Interests and the REMIC II Regular Interests, the “Corresponding Class” shall be as indicated in the following
table:

	
Class
CB-1-L

	
 

	
 

	
Class
CB-1-M

	
Class
CB-3-L

	
 

	
 

	
Class
CB-3

	
Class
CB-4-L

	
 

	
 

	
Class
CB-4

	
Class
CB-5-L

	
 

	
 

	
Class
CB-5

	
Class
CB-6-L

	
 

	
 

	
Class
CB-6-M

	
Class
CB-7-L

	
 

	
 

	
Class
CB-7

	
Class
CB-8-L

	
 

	
 

	
Class
CB-8

	
Class
CB-9-L

	
 

	
 

	
Class
CB-9

	
Class
CB-10-L

	
 

	
 

	
Class
CB-10

	
Class
CB-11-L

	
 

	
 

	
Class
CB-11

	
Class
CB-12-L

	
 

	
 

	
Class
CB-12

	
Class
CB-13-L

	
 

	
 

	
Class
CB-13

	
Class
CB-14-L

	
 

	
 

	
Class
CB-14

	
Class
P-L

	
 

	
 

	
Class
P

	
Class
X-L

	
 

	
 

	
Class
X

	
Class
B-1-L

	
 

	
 

	
Class
B-1

	
Class
B-2-L

	
 

	
 

	
Class
B-2

	
Class
B-3-L

	
 

	
 

	
Class
B-3

	
Class
B-4-L

	
 

	
 

	
Class
B-4

	
Class
B-5-L

	
 

	
 

	
Class
B-5

	
Class
B-6-L

	
 

	
 

	
Class
B-6

 

Credit Support Depletion Date: The first Distribution Date on
which the aggregate Class Principal Balance of the Class B Certificates has been or will be reduced to zero as a result of
principal distributions thereon and the allocation of Realized Losses on such Distribution Date.

Cumulative Carry-Forward Subsequent Recoveries Amount: For any
Distribution Date, the sum of (i) the Carry-Forward Subsequent Recoveries Amount for such Distribution Date and (ii) the
Carry-Forward Subsequent Recoveries Amounts for prior Distribution Dates to the extent such Carry-Forward Subsequent Recoveries
Amounts have not been applied in reduction of Realized Losses on prior Distribution Dates pursuant to the first paragraph of the
definition of “Realized Loss” herein.

Curtailment: Any payment of principal on a Mortgage Loan, made by
or on behalf of the related Mortgagor, other than a Monthly Payment, a Prepaid Monthly Payment or a Payoff, which is applied to
reduce the outstanding principal balance of the Mortgage Loan. (Prepayment penalties are not payments of principal and hence
Curtailments do not include prepayment penalties.)

Curtailment Shortfall: For any Distribution Date and for any
Curtailment applied with a Monthly Payment in the Prior Period other than a Prepaid Monthly Payment, an amount equal to one
month’s interest on such Curtailment at the applicable Pass-Through Rate on such Mortgage Loan.

Custodial Account for P&I: The custodial account for
principal and interest established and maintained by the Servicer pursuant to Section 3.02 either (a) with the corporate trust
department of the Trustee or another financial institution approved by the Servicer such that the rights of the Servicer, the
Trustee, the Trust, the Delaware Trustee and the Certificateholders thereto shall be fully protected against the claims of any
creditors or depositors of the institution in which such account is maintained, (b) within FDIC insured accounts (or other accounts
with comparable insurance coverage acceptable to the Rating Agencies) created, maintained and monitored by the Servicer or (c) as a
separate account at an Eligible Institution. In the event that a Custodial Account for P&I is established pursuant to clause
(b) of the preceding sentence, amounts held in such Custodial Account for P&I shall not exceed the level of deposit insurance
coverage on such account; accordingly, more than one Custodial Account for P&I may be established. Any amount that is at any
time not protected or insured to the extent, if any, required by the first sentence of this definition of “Custodial Account
for P&I” shall promptly be withdrawn from such Custodial Account for P&I and be remitted to the Investment
Account.  In the event that a Custodial Account for P&I is established pursuant to clause (c) it shall be entitled
"Washington Mutual Bank in trust for holders of Washington Mutual Mortgage Pass-Through Certificates, WMALT Series 2005-5."

Custodial Account for Reserves: The custodial account for
reserves established and maintained by the Servicer pursuant to Section 3.02 either (a) with the corporate trust department of the
Trustee or another financial institution approved by the Servicer such that the rights of the Servicer, the Trustee, the Trust, the
Delaware Trustee and the Certificateholders thereto shall be fully protected against the claims of any creditors or depositors of
the institution in which such account is maintained, (b) within FDIC insured accounts (or other accounts with comparable insurance
coverage acceptable to the Rating Agencies) created, maintained and monitored by the Servicer or (c) as a separate account at an
Eligible Institution. In the event that a Custodial Account for Reserves is established pursuant to clause (b) of the preceding
sentence, amounts held in such Custodial Account for Reserves shall not exceed the level of deposit insurance coverage on such
account; accordingly, more than one Custodial Account for Reserves may be established. Any amount that is at any time not protected
or insured to the extent, if any, required the first sentence of this definition of “Custodial Account for Reserves”
shall promptly be withdrawn from such Custodial Account for Reserves and be remitted to the Investment Account.  In the event
that a Custodial Account for Reserves is established pursuant to clause (c) it shall be entitled " Washington Mutual Bank in trust
for various mortgagors and/or holders of Washington Mutual Mortgage Pass-Through Certificates, WMALT Series 2005-5."

Custodial Agreement: The agreement, if any, between the Trustee
and a Custodian (or the Trustee, a Custodian and the Servicer) providing for the safekeeping of the Mortgage Files on behalf of the
Trust.

Custodian: A custodian (which may be the institution serving as
Trustee) that is appointed by the Trustee with the consent of the Servicer, as provided in Article II hereof, pursuant to a
Custodial Agreement. Any Custodian so appointed shall act as agent on behalf of the Trustee.  The reasonable fees and expenses
of the Custodian shall be paid by the Servicer. The Trustee shall remain at all times responsible under the terms of this
Agreement, notwithstanding the fact that certain duties have been assigned to a Custodian.

Cut-Off Date: June 1, 2005.

Deceased Holder: A Beneficial Holder of a Special Retail
Certificate who was living at the time such Certificate was acquired and whose authorized personal representative, surviving tenant
by the entirety, surviving joint tenant or surviving tenant in common or other person empowered to act on behalf of such Beneficial
Holder causes to be furnished to DTC evidence of such Beneficial Holder’s death satisfactory to the Trustee and any tax
waivers requested by the Trustee.

Definitive Certificates: Certificates in definitive, fully
registered and certificated form.

Delaware Trustee: Christiana Bank & Trust Company, or its
successor-in-interest as provided in Section 8.09, or any successor trustee appointed as herein provided.

Depositary Agreement: The Letter of Representations, dated June
27, 2005 by and among DTC, the Trust and the Trustee. The Trustee is authorized to enter into the Depositary Agreement on behalf of
the Trust.

Destroyed Mortgage Note: A Mortgage Note the original of which
(or a portion of the original of which) was permanently lost or destroyed and has not been replaced.

Determination Date: A day not later than the 10th day preceding a
related Distribution Date, as determined by the Servicer.

Disqualified Organization:  Any Person which is not a
Permitted Transferee, but does not include any Pass-Through Entity which owns or holds a Residual Certificate and of which a
Disqualified Organization, directly or indirectly, may be a stockholder, partner or beneficiary.

Distribution Date: With respect to distributions on the REMIC I
and REMIC II Regular Interests and the Certificates, the 25th day (or, if such 25th day is not a Business Day, the Business Day
immediately succeeding such 25th day) of each month, with the first such date being July 25, 2005.  The “related Due
Date” for any Distribution Date is the Due Date immediately preceding such Distribution Date.

DTC: The Depository Trust Company.

DTC Participant: A broker, dealer, bank, other financial
institution or other Person for whom DTC effects book-entry transfers and pledges of securities deposited with DTC.

Due Date: The day on which the Monthly Payment for each Mortgage
Loan is due.

Eligible Institution: An institution having (i) the highest
short-term debt rating, and one of the two highest long-term debt ratings of the Rating Agencies, (ii) with respect to any
Custodial Account for P&I and special Custodial Account for Reserves, an unsecured long-term debt rating of at least one of the
two highest unsecured long-term debt ratings of the Rating Agencies, (iii) with respect to any Buydown Fund Account or Custodial
Account which also serves as a Buydown Fund Account, the highest unsecured long-term debt rating by the Rating Agencies, or (iv)
the approval of the Rating Agencies. Notwithstanding the foregoing, Washington Mutual Bank shall be an “Eligible
Institution” if the following conditions are satisfied: (i) Washington Mutual Bank is acting as Servicer, (ii) if S&P is
a Rating Agency as defined herein, the long-term unsecured debt obligations of Washington Mutual Bank are rated no lower than
“A-” by S&P and the short-term unsecured debt obligations of Washington Mutual Bank are rated no lower than
“A-2” by S&P, (iii) if Fitch is a Rating Agency as defined herein, the long-term unsecured debt obligations of
Washington Mutual Bank are rated no lower than “A” by Fitch and the short-term unsecured debt obligations of Washington
Mutual Bank are rated no lower than “F1” by Fitch and (iv) if Moody’s is a Rating Agency as defined herein, the
long-term unsecured debt obligations of Washington Mutual Bank are rated no lower than “A2” by Moody’s and the
short-term unsecured debt obligations of Washington Mutual Bank are rated no lower than “P-1” by Moody’s;
provided, that if the long-term or short-term unsecured debt obligations of
Washington Mutual Bank are downgraded by any of the Rating Agencies to a rating lower than the applicable rating specified in this
sentence, Washington Mutual Bank shall cease to be an “Eligible Institution” ten Business Days after notification of
such downgrade.

Eligible Investments: Any one or more of the obligations or
securities listed below in which funds deposited in the Investment Account, the Certificate Account, the Custodial Account for
P&I and the Custodial Account for Reserves may be invested:

(i)                 
Obligations of, or guaranteed as to principal and interest by, the United States or any agency or instrumentality thereof when such
obligations are backed by the full faith and credit of the United States;

(ii)               
Repurchase agreements on obligations described in clause (i) of this definition of “Eligible Investments,” provided
that the unsecured obligations of the party (including the Trustee in its commercial capacity) agreeing to repurchase such
obligations have at the time one of the two highest short term debt ratings  of the Rating Agencies and provided that such
repurchaser’s unsecured long term debt has one of the two highest unsecured long term debt ratings of the Rating
Agencies;

(iii)               Federal
funds, certificates of deposit, time deposits and bankers’ acceptances of LaSalle Bank or any trust company incorporated
under the laws of the United States or any state (including the Trustee in its commercial capacity), provided that the debt
obligations of such bank or trust company (or, in the case of the principal bank in a bank holding company system, debt obligations
of the bank holding company) at the date of acquisition thereof have one of the two highest short term debt ratings of the Rating
Agencies and unsecured long term debt has one of the two highest unsecured long term debt ratings of the Rating Agencies;

(iv)              Obligations of,
or obligations guaranteed by, any state of the United States or the District of Columbia, provided that such obligations at the
date of acquisition thereof shall have the highest long-term debt ratings available for such securities from the Rating
Agencies;

(v)               
Commercial paper of any corporation incorporated under the laws of the United States or any state thereof, which on the date of
acquisition has the highest commercial paper rating of the Rating Agencies, provided that the corporation has unsecured long term
debt that has one of the two highest unsecured long term debt ratings of the Rating Agencies;

(vi)              Securities
(other than stripped bonds or stripped coupons) bearing interest or sold at a discount that are issued by any corporation
incorporated under the laws of the United States or any state thereof and have the highest long-term unsecured rating available for
such securities from the Rating Agencies; provided, however, that securities issued by any such corporation will not be investments
to the extent that investment therein would cause the outstanding principal amount of securities issued by such corporation that
are then held as part of the Investment Account or the Certificate Account to exceed 20% of the aggregate principal amount of all
Eligible Investments then held in the Investment Account and the Certificate Account; and

(vii)             Units of taxable money
market funds (which may be 12b-1 funds, as contemplated under the rules promulgated by the Securities and Exchange Commission under
the Investment Company Act of 1940), which funds have the highest rating available for such securities from the Rating Agencies or
which have been designated in writing by the Rating Agencies as Eligible Investments;

provided,
however, that such obligation or security is held for a temporary period pursuant to Section 1.860G-2(g)(1) of
the Treasury Regulations, and that such period can in no event exceed thirteen months.

In no event shall an instrument be an
Eligible Investment if such instrument (a) evidences a right to receive only interest payments with respect to the obligations
underlying such instrument or (b) has been purchased at a price greater than the outstanding principal balance of such
instrument.

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

ERISA Restricted Certificate: Any Senior Subordinate
Certificate.

Event of Default: Any event of default as specified in Section
7.01.

Excess Liquidation Proceeds: With respect to any Distribution
Date, the sum of (i) the excess, if any, of aggregate Liquidation Proceeds received during the Prior Period over the amount that
would have been received if Payoffs had been made with respect to such Mortgage Loans on the date such Liquidation Proceeds were
received and (ii) any Excess Subsequent Recoveries for such Distribution Date.

Excess Subsequent Recoveries: For any Distribution Date, the
excess, if any, of (i) amounts received by the Servicer during the Prior Period (after deduction of amounts reimbursable under
Section 3.05(a)(i) and (ii)) in connection with the liquidation of defaulted Mortgage Loans after such Mortgage Loans became
Liquidated Mortgage Loans over (ii) the Subsequent Recoveries for such Distribution Date.

Fannie Mae: The entity formerly known as the Federal National
Mortgage Association, or any successor thereto.

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

FHA: Federal Housing Administration, or any successor
thereto.

Final Maturity Date:  With respect to each Class of
the REMIC I Regular Interests and the Certificates, the date set forth in the applicable table contained in the Preliminary
Statement hereto.

Final Yield Maintenance Payment Date: For the Class CB-1
Certificates, the Distribution Date in April 2013; and for the Class CB-6 Certificates, the Distribution Date in June 2010.

Fitch: Fitch Ratings, provided that at any time it be a Rating
Agency.

Freddie Mac: The entity formerly known as the Federal Home Loan
Mortgage Corporation, or any successor thereto.

Indirect DTC Participants: Entities such as banks, brokers,
dealers or trust companies, that clear through or maintain a custodial relationship with a DTC Participant, either directly or
indirectly.

Initial Custodial Agreement:  The Custodial Agreement, dated
the date hereof, among the Trustee, the Servicer and the Initial Custodian.

Initial Custodian:  Washington Mutual
Bank fsb, which has been designated by the Servicer to be appointed by the Trustee to act as Custodian with respect to the
Mortgage Loans in Washington Mutual Bank fsb's possession.

Insurance Proceeds: Amounts paid or payable by the insurer under
any Primary Insurance Policy or any other insurance policy (including any replacement policy permitted under this Agreement)
covering any Mortgage Loan or Mortgaged Property, including, without limitation, any hazard insurance policy required pursuant to
Section 3.07, any title insurance policy required pursuant to Section 2.08 and any FHA insurance policy or VA guaranty.

Interest Distribution Amount: For any Distribution Date, for any
Class of REMIC I Regular Interests and for the Class R-1 Residual Interest, the amount of interest accrued during the Prior Period
(or, in the case of the Class CB-1-L, Class CB-6-L, Class CB-7-L, Class CB-11-L and Class CB-12-L Regular Interests, during the
period beginning on the 25th day of the preceding calendar month and ending on the 24th day of the month of the Distribution Date),
at the related Certificate Interest Rate for such Class for such Distribution Date, on the respective Class Principal Balance or
Class Notional Amount  immediately before such Distribution Date, reduced by Uncompensated Interest Shortfall and the interest
portion of Realized Losses allocated to such Class on such Distribution Date pursuant to the definitions of “Uncompensated
Interest Shortfall” and “Realized Loss,” respectively.  The computation of interest accrued shall be made on
the basis of a 360-day year of twelve 30-day months.  The Interest Distribution Amounts for the Class P-L Regular Interest
shall equal zero.

Investment Account: The commingled account (which shall be
commingled only with investment accounts related to series of pass-through certificates with a class of certificates which has a
rating equal to the highest of the Ratings of the Certificates) maintained by the Servicer in the trust department of the
Investment Depository pursuant to Section 3.03 and which bears a designation acceptable to the Rating Agencies.

Investment Depository: JPMorgan Chase Bank, or another bank or
trust company designated from time to time by the Servicer. The Investment Depository shall at all times be an Eligible
Institution.

Junior Subordinate Certificates: The Class B-4, Class B-5 and
Class B-6 Certificates.

Last Scheduled Distribution Date: With respect to any
Class of Certificates, the Final Maturity Date for such Class.

Lender: An institution from which the Company purchased any
Mortgage Loans.

LIBOR: The London Interbank Offered Rate for one-month United States dollar deposits calculated in the
manner described in Section 3.19.

LIBOR Determination Date: With respect to interest paid on any Distribution Date, the second day on which banks in London and New York City
are open for conducting transactions in foreign currency and exchange prior to the 25th day of the month preceding the Distribution
Date.

Liquidated Mortgage Loan: A Mortgage Loan (other than a Mortgage
Loan with respect to which a Payoff has been made) for which the Servicer has determined in accordance with its customary servicing
practices that it has received all amounts which it expects to recover from or on account of such Mortgage Loan, whether from
Insurance Proceeds, Liquidation Proceeds or otherwise. For purposes of this definition, acquisition of a Mortgaged Property by the
Trust shall not constitute final liquidation of the related Mortgage Loan.

Liquidation Principal: The principal portion of Liquidation
Proceeds received (exclusive of the portion thereof attributable to distributions to the Class P-L Regular Interest pursuant to
clauses (I)(i) and (II)(i) of the definition of “REMIC I Distribution Amount”) with respect to each Mortgage Loan which
became a Liquidated Mortgage Loan (but not in excess of the principal balance thereof) during the Prior Period.

Liquidation Proceeds: Amounts after deduction of amounts
reimbursable under Section 3.05(a)(i) and (ii) received and retained in connection with the liquidation of defaulted Mortgage
Loans, whether through foreclosure or otherwise, other than any Subsequent Recoveries.

Living Holder: A Beneficial Holder of a Special Retail
Certificate other than a Deceased Holder.

Loan-to-Value Ratio: The original principal amount of a Mortgage
Loan divided by the Original Value; provided, however, that references to
“current Loan-to-Value Ratio” or “Loan-to-Value Ratio as of the Cut-Off Date” in Section 2.08 shall be
deemed to mean the then current Principal Balance of a Mortgage Loan divided by the Original Value.

Lockout Adjusted Percentage: (i) For any Distribution Date occurring before July 2010, 0% and (ii) for any Distribution Date occurring in or
after July 2010, the Lockout Percentage.

Lockout Liquidation Amount: For any Distribution Date, the aggregate, for each Mortgage Loan which became a Liquidated Mortgage Loan during the
Prior Period, of the lesser of (i) the Lockout Adjusted Percentage of the Principal Balance of such Mortgage
Loan (exclusive of the Class P Fraction thereof, with respect to any Class P Mortgage Loan) and (ii) the Lockout Adjusted Percentage of the Liquidation Principal with respect to such Mortgage
Loan.

Lockout Percentage:
For any Distribution Date, the aggregate Class Principal Balance of the Class CB-4 and Class CB-13 Certificates, divided by the
aggregate Class Principal Balance of the Class A, Class B and Class R Certificates, in each case immediately before such
Distribution Date.

Lockout Prepayment Percentage: For any Distribution Date, the product of (i) the Lockout Percentage and (ii) the Step Down
Percentage.

Lockout Priority Amount: For any Distribution Date, the sum of (i) the Lockout Adjusted Percentage of the Principal Payment Amount for
the Mortgage Loans (exclusive of the portion thereof attributable to principal distributions to the Class P-L Regular
Interest pursuant to clause (I)(i) of the definition of “REMIC I Distribution Amount”), (ii) the Lockout Prepayment Percentage of the Principal Prepayment Amount for the Mortgage Loans
(exclusive of the portion thereof attributable to principal distributions to the Class P-L Regular Interest pursuant to clause
(I)(i) of the definition of “REMIC I Distribution Amount”) and
(iii) the Lockout Liquidation Amount.

Lowest Class B Owner: An owner unaffiliated with the Company or
the Servicer of (i) a 100% interest in the Class of Class B Certificates with the lowest priority or (ii) a 100% interest in a
class of securities representing such interest in such Class specified in clause (i) above.

MERS: Mortgage Electronic Registration Systems, Inc., a Delaware
corporation, or any successor thereto.

MERS Loan: Any Mortgage Loan registered on the MERS® System
for which MERS appears as the mortgagee of record on the Mortgage or on an assignment thereof.

MERS® System: The system of electronically recording
transfers of Mortgages maintained by MERS.

MIN: The Mortgage Identification Number for a MERS Loan.

MOM Loan: A Mortgage Loan that was registered on the MERS®
System at the time of origination thereof and for which MERS appears as the mortgagee of record on the Mortgage.

Monthly P&I Advance: An advance of funds by the Servicer
pursuant to Section 4.02 to cover delinquent principal and interest installments.

Monthly Payment: The scheduled payment of principal and interest
on a Mortgage Loan (including any amounts due from a Buydown Fund, if any) which is due on the related Due Date for such Mortgage
Loan.

Moody’s:  Moody’s Investors Service, Inc.,
provided that at any time it be a Rating Agency.

Mortgage: The mortgage, deed of trust or other instrument
securing a Mortgage Note.

Mortgage File: The following documents or instruments with
respect to each Mortgage Loan transferred and assigned by the Company pursuant to Section 2.04, (X) with respect to each Mortgage
Loan that is not a Cooperative Loan:

(i)                 
The original Mortgage Note endorsed (A) in blank, without recourse, or (B) to “LaSalle Bank National Association, as
Custodian/Trustee, without recourse” or to “Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust, without recourse” and all intervening endorsements evidencing a complete chain of endorsements from the originator to
the Trustee or the Trust, as applicable, or, in the event of any Destroyed Mortgage Note, a copy or a duplicate original of the
Mortgage Note (or portion thereof, as applicable), together with an original lost note affidavit from the originator of the
Mortgage Loan or the Company (or any affiliate of the Company from which the Company acquired the Mortgage Loan), as applicable,
stating that the original Mortgage Note (or portion thereof, as applicable) was lost, misplaced or destroyed, together with a copy
of the Mortgage Note (or portion thereof, as applicable); provided, however, that in
the event the Company acquired the Mortgage Loan from an affiliate of the Company, then the Mortgage Note (or portion thereof, as
applicable) need not be endorsed in blank or to LaSalle Bank National Association or the Trust as provided above (but, if not so
endorsed, shall be made payable to, or endorsed by the mortgagee named therein to, such affiliate of the Company);

(ii)                The
Buydown Agreement, if applicable;

(iii)               A Mortgage
that is either

(1)        (x) the original recorded Mortgage with evidence of recording
thereon for the jurisdiction in which the Mortgaged Property is located (which original recorded Mortgage, in the case of a MOM
Loan, shall set forth the MIN and shall indicate that the Mortgage Loan is a MOM Loan), (y) unless the Mortgage Loan is a MERS
Loan, an original Mortgage assignment thereof duly executed and acknowledged in recordable form (A) in blank or (B) to
“LaSalle Bank National Association, as Custodian/Trustee,” or to “Washington Mutual Mortgage Pass-Through
Certificates WMALT Series 2005-5 Trust,” and (z) unless the Mortgage Loan is a MOM Loan, recorded originals of all
intervening assignments evidencing a complete chain of assignment, from the originator to the name holder or the payee endorsing
the related Mortgage Note (or, in the case of a MERS Loan other than a MOM Loan, from the originator to MERS); or

(2)        (x) a copy (which may be in electronic form) of the Mortgage
(which Mortgage, in the case of a MOM Loan, shall set forth the MIN and shall indicate that the Mortgage Loan is a MOM Loan) which
represents a true and correct reproduction of the original Mortgage and which has either been certified (i) on the face thereof by
the public recording office in the appropriate jurisdiction in which the Mortgaged Property is located, or (ii) by the originator,
the related Lender, the Servicer or the escrow or title company which provided closing services in connection with such Mortgage
Loan as a true and correct copy the original of which has been sent for recordation, (y) unless the Mortgage Loan is a MERS Loan,
an original Mortgage assignment thereof duly executed and acknowledged in recordable form (A) in blank or (B) to “LaSalle
Bank National Association, as Custodian/Trustee,” or to “Washington Mutual Mortgage Pass-Through Certificates WMALT
Series 2005-5 Trust,” and (z) unless the Mortgage Loan is a MOM Loan, true and correct copies, certified by the applicable
county recorder or by the originator, Lender or Servicer as described above, of all intervening assignments evidencing a complete
chain of assignment from the originator to the name holder or the payee endorsing the related Mortgage Note (or, in the case of a
MERS Loan other than a MOM Loan, from the originator to MERS);

provided, however, that in the
event the Company acquired the Mortgage Loan from an affiliate of the Company, then the Mortgage File need not include a Mortgage
assignment executed in blank or to LaSalle Bank National Association or the Trust as provided in clause (X)(iii)(1)(y) or
(X)(iii)(2)(y) above, as applicable (but the Mortgage File shall, unless the Mortgage Loan was originated by such affiliate of the
Company, include an intervening Mortgage assignment to such affiliate as provided in clause (X)(iii)(1)(z) or (X)(iii)(2)(z) above,
as applicable); and

(iv)              For any Mortgage
Loan that has been modified or amended, the original instrument or instruments effecting such modification or amendment;

and (Y) with respect to each
Cooperative Loan:

(i)                 
the original Mortgage Note endorsed (A) in blank, without recourse, or (B) to “LaSalle Bank National Association, as
Custodian/Trustee, without recourse” or to “Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust, without recourse” and all intervening endorsements evidencing a complete chain of endorsements, from the originator to
the Trustee or the Trust, as applicable, or, in the event of any Destroyed Mortgage Note, a copy or a duplicate original of the
Mortgage Note (or portion thereof, as applicable), together with an original lost note affidavit from the originator of the
Cooperative Loan or the Company (or any affiliate of the Company from which the Company acquired the Mortgage Loan), as applicable,
stating that the original Mortgage Note (or portion thereof, as applicable) was lost, misplaced or destroyed, together with a copy
of the Mortgage Note (or portion thereof, as applicable);provided, however, that in
the event the Company acquired the Cooperative Loan from an affiliate of the Company, then the Mortgage Note need not be endorsed
in blank or to LaSalle Bank National Association or the Trust as provided above (but, if not so endorsed, shall be made payable to,
or endorsed by the originator or successor lender named therein to, such affiliate of the Company);

(ii)                A
counterpart of the Cooperative Lease and the Assignment of Proprietary Lease to the originator of the Cooperative Loan;

(iii)               The
related Cooperative Stock Certificate, representing the related Cooperative Stock pledged with respect to such Cooperative Loan,
together with an undated stock power (or other similar instrument) executed in blank;

(iv)              The Recognition
Agreement;

(v)                The
Security Agreement;

(vi)              Copies of the
original UCC financing statement, and any continuation statements, filed by the originator of such Cooperative Loan as secured
party, each with evidence of recording thereof, evidencing the interest of the originator under the Security Agreement and the
Assignment of Proprietary Lease;

(vii)             Copies of the filed
UCC assignments or amendments of the security interest referenced in clause (vi) above showing an unbroken chain of title from the
originator to the Trust, each with evidence of recording thereof, evidencing the interest of the assignee under the Security
Agreement and the Assignment of Proprietary Lease;

(viii)           An executed assignment of the
interest of the originator in the Security Agreement, the Assignment of Proprietary Lease and the Recognition Agreement, showing an
unbroken chain of title from the originator to the Trust; and

(ix)              For any
Cooperative Loan that has been modified or amended, the original instrument or instruments effecting such modification or
amendment;

provided, however, that in the event the Company acquired the Cooperative
Loan from an affiliate of the Company, then the Mortgage File need not include (1) a UCC assignment or amendment of the security
interest referenced in clause (Y)(vi) above to the Trust as provided in clause (Y)(vii) above (but the Mortgage File shall, unless
the Cooperative Loan was originated by such affiliate of the Company, include a UCC assignment or amendment of such security
interest to such affiliate) or (2) an assignment of the interest of the originator in the Security Agreement, the Assignment of
Proprietary Lease and the Recognition Agreement to the Trust as provided in clause (Y)(viii) above (but the Mortgage File shall,
unless the Cooperative Loan was originated by such affiliate of the Company, include an assignment of such interest to such
affiliate).

Mortgage Interest Rate: For any Mortgage Loan, the per annum rate
at which interest accrues on such Mortgage Loan pursuant to the terms of the related Mortgage Note.

Mortgage Loan Schedule: The schedule, as amended from time to
time, of Mortgage Loans attached hereto as Exhibit D, which shall set forth as to each Mortgage Loan the following, among other
things:

(i)                 
its loan number,

(ii)                the
city, state and zip code of the Mortgaged Property,

(iii)               the
Original Value of the property subject to the Mortgage,

(iv)              the Principal
Balance as of the Cut-Off Date,

(v)                the
Mortgage Interest Rate borne by the Mortgage Note,

(vi)              whether a
Primary Insurance Policy is in effect as of the Cut-Off Date, and, if so, whether such Primary Insurance Policy is a Special
Primary Insurance Policy,

(vii)             the maturity of the
Mortgage Note,

(viii)           the Servicing Fee Rate,
and

(ix)              whether it
imposes penalties for early prepayments.

Mortgage Loans: The mortgage loans and cooperative loans (if any)
listed on the Mortgage Loan Schedule and transferred and assigned to the Trust pursuant hereto. With respect to each Mortgage Loan
that is a Cooperative Loan, “Mortgage Loan” shall include, but not be limited to, the Mortgage Note, Security
Agreement, Assignment of Proprietary Lease, Recognition Agreement, Cooperative Stock Certificate and Cooperative Lease and, with
respect to each Mortgage Loan other than a Cooperative Loan, “Mortgage Loan” shall include, but not be limited to the
Mortgage Note and the related Mortgage.

Mortgage Note: The note or other evidence of the indebtedness of
a Mortgagor under a Mortgage Loan.

Mortgage Pool: All of the Mortgage Loans.

Mortgage Pool Assets: (i) The Mortgage Loans (including all
Substitute Mortgage Loans) identified on the Mortgage Loan Schedule, and all rights pertaining thereto, including the related
Mortgage Notes, Mortgages, Cooperative Stock Certificates, Cooperative Leases, Security Agreements, Assignments of Proprietary
Lease, and Recognition Agreements, and all payments and distributions with respect to the Mortgage Loans payable on and after the
Cut-Off Date; (ii) the Certificate Account, the Investment Account, and all money, instruments, investment property, and other
property credited thereto, carried therein, or deposited therein (except amounts constituting the Servicing Fee); (iii) the
Custodial Accounts for P&I, the Custodial Accounts for Reserves, any Buydown Fund Account (to the extent of the amounts on
deposit or other property therein attributable to the Mortgage Loans), and all money, instruments, investment property, and other
property credited thereto, carried therein, or deposited therein (except amounts constituting the Servicing Fee); (iv) all property
that secured a Mortgage Loan and that has been acquired by foreclosure or deed in lieu of foreclosure or, in the case of a
Cooperative Loan, a similar form of conversion, after the Cut-Off Date; and (v) each FHA insurance policy, Primary Insurance
Policy, VA guaranty, and other insurance policy related to any Mortgage Loan, and all amounts paid or payable thereunder and all
proceeds thereof.

Mortgaged Property: With respect to any Mortgage Loan, other than
a Cooperative Loan, the real property, together with improvements thereto, and, with respect to any Cooperative Loan, the related
Cooperative Stock and Cooperative Lease, securing the indebtedness of the Mortgagor under the related Mortgage Loan. 
“Mortgaged Property” shall also refer to property which once secured the indebtedness of a Mortgagor under the related
Mortgage Loan but which was acquired by the Trust upon foreclosure or other liquidation of such Mortgage Loan.

Mortgagor: The obligor on a Mortgage Note.

Nonrecoverable Advance: With respect to any Mortgage Loan, any
advance which the Servicer shall determine to be a Nonrecoverable Advance pursuant to Section 4.03 and which was, or is proposed to
be, made by the Servicer.

Non-U.S. Person: A Person that is not a U.S. Person.

Notice Addresses: (a) In the case of the Company, 75 North
Fairway Drive, Vernon Hills, Illinois 60061, Attention: Servicing Department, with a copy to: Washington Mutual Legal Department,
1201 Third Avenue, WMT 1706, Seattle, WA 98101, Attention: WMMSC, or such other address as may hereafter be furnished to the
Trustee in writing by the Company, (b) in the case of the Servicer, 19850 Plummer St. (Mail Stop N070205) Chatsworth, California
91311, Fax No: (818) 775-2815, Attention: Vice President Investor Reporting, with a copy to: Washington Mutual Legal Department,
1201 Third Avenue, WMT 1706, Seattle, WA 98101, Fax No: (206) 377-6244, Attention: WaMu, and with a copy to the Company (at the
Notice Address specified in clause (a) above), or such other address and fax number as may hereafter be furnished in writing by the
Servicer, (c) in the case of the Trustee, at its Corporate Trust Office, or such other address as may hereafter be furnished to the
Servicer in writing by the Trustee, (d) in the case of the Delaware Trustee, 1314 King Street, Wilmington, DE  19801, or such
other address as may hereafter be furnished to the Servicer in writing by the Delaware Trustee, (e) in the case of the Trust, c/o
LaSalle Bank National Association, at the Corporate Trust Office, or such other address as may hereafter be furnished to the
Servicer in writing by the Trustee, (f) in the case of the Certificate Registrar, at its Corporate Trust Office, or such other
address as may hereafter be furnished to the Trustee in writing by the Certificate Registrar, (g) in the case of S&P, 55 Water
Street, 41st Floor, New York, New York 10041-0003, Attention: Residential Mortgage Backed Securities Surveillance Group, or such
other address as may hereafter be furnished to the Trustee and Servicer in writing by S&P and (h) in the case of Moody’s,
99 Church Street, New York, New York 10007, Attention:  Monitoring, or such other address as may hereafter be furnished to the
Trustee and Master Servicer in writing by Moody’s.

OTS: The Office of Thrift Supervision, or any successor
thereto.

Officer’s Certificate: A certificate signed by the Chairman
of the Board, the President, a Vice President, or the Treasurer of the Servicer and delivered to the Trustee or the Delaware
Trustee, as applicable.

Opinion of Counsel: A written opinion of counsel, who shall be
reasonably acceptable to the Trustee or the Delaware Trustee, as applicable, and who may be counsel (including in-house counsel)
for the Company or the Servicer.

Original Trust Agreement: The Trust Agreement, dated as of June
1, 2005, between the Company and the Delaware Trustee, providing for the creation of the Trust.

Original Value: With respect to any Mortgage Loan other than a
Mortgage Loan originated for the purpose of refinancing an existing mortgage debt, the lesser of (a) the Appraised Value (if any)
of the Mortgaged Property at the time the Mortgage Loan was originated or (b) the purchase price paid for the Mortgaged Property by
the Mortgagor. With respect to a Mortgage Loan originated for the purpose of refinancing existing mortgage debt, the Original Value
shall be equal to the Appraised Value of the Mortgaged Property.

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

Pass-Through Entity:  Any regulated investment company, real
estate investment trust, common trust fund, partnership, trust or estate, and any organization to which Section 1381 of the Code
applies.

Pass-Through Rate: For each Mortgage Loan, the Mortgage Interest
Rate for such Mortgage Loan less (i) the Servicing Fee Rate for such Mortgage Loan and (ii) if such Mortgage Loan was covered by a
Special Primary Insurance Policy on the Closing Date (even if no longer so covered), the per annum rate at which the applicable
Special Primary Insurance Premium for such Mortgage Loan is calculated. For each Mortgage Loan, any calculation of monthly interest
at such rate shall be based upon annual interest at such rate (computed on the basis of a 360-day year of twelve 30-day months) on
the unpaid Principal Balance of such Mortgage Loan divided by twelve, and any calculation of interest at such rate by reason of a
Payoff shall be based upon annual interest at such rate on the outstanding Principal Balance of such Mortgage Loan multiplied by a
fraction, the numerator of which is the number of days elapsed from the Due Date of the last scheduled payment of principal and
interest to, but not including, the date of such Payoff, and the denominator of which is (a) for Payoffs received on a Due Date,
360, and (b) for all other Payoffs, 365.

Paying Agent: Any paying agent appointed by the Trustee pursuant
to Section 8.12.

Payoff: Any Mortgagor payment of principal on a Mortgage Loan
equal to the entire outstanding Principal Balance of such Mortgage Loan, if received in advance of the last scheduled Due Date for
such Mortgage Loan and accompanied by an amount of interest equal to accrued unpaid interest on the Mortgage Loan to the date of
such payment-in-full.  (Prepayment penalties are not payments of principal and hence Payoffs do not include prepayment
penalties.)

Payoff Earnings: For any Distribution Date with respect to each
Mortgage Loan on which a Payoff was received by the Servicer during the Payoff Period, the aggregate of the interest earned by the
Servicer from investment of each such Payoff from the date of receipt of such Payoff until the Business Day immediately preceding
the related Distribution Date (net of investment losses).

Payoff Interest: For any Distribution Date with respect to a
Mortgage Loan for which a Payoff was received on or after the first calendar day of the month of such Distribution Date and before
the 15th calendar day of such month, an amount of interest thereon at the applicable Pass-Through Rate from the first day of the
month of distribution through the day of receipt thereof; to the extent (together with aggregate Payoff Earnings and the aggregate
Servicing Fee) not required to be distributed as Compensating Interest on such Distribution Date, aggregate Payoff Interest shall
be payable to the Servicer as additional servicing compensation.

Payoff Period: For the first Distribution Date, the period from
the Cut-Off Date through July 14, 2005, inclusive; and for any Distribution Date thereafter, the period from the 15th day of the
Prior Period through the 14th day of the month of such Distribution Date, inclusive.

Percentage Interest:  (a)  With respect to the right of
each Certificate of a particular Class in the distributions allocated to such Class, “Percentage Interest” shall mean
the percentage equal to:

(i)                 
with respect to any Certificate (other than the Residual, Class X and Class CB-2 Certificates), its Certificate Principal Balance
divided by the applicable Class Principal Balance;

(ii)                with
respect to any Class X or Class CB-2 Certificate, the portion of the respective Class Notional Amount evidenced by such Certificate
divided by the respective Class Notional Amount; and

(iii)               with
respect to any Residual Certificate, the percentage set forth on the face of such Certificate.

(b)        With respect to the rights of each Certificate in connection with
Sections 5.09, 7.01, 8.01(c), 8.02, 8.07, 10.01 and 10.03, “Percentage Interest” shall mean the percentage equal
to:

(i)                 
with respect to any Certificate (other than the Residual, Class X and Class CB-2 Certificates), the product of (x) ninety-eight
percent (98%) and (y) its Certificate Principal Balance divided by the Aggregate Certificate Principal Balance of the Certificates;
provided, however, that the percentage in clause (x) above shall be increased by one
percent (1%) upon the retirement of each Class of Certificates referenced in the parenthetical above (other than the Residual
Certificates).

(ii)                with
respect to each Class X or Class CB-2 Certificate, one percent (1%) of such Certificate’s Percentage Interest as calculated
by paragraph (a)(ii) of this definition; and

(iii)               with
respect to any Residual Certificate, zero.

Permitted Transferee: With respect to the holding or ownership of
any Residual Certificate, any Person other than (i) the United States, a 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 (except certain farmers’ cooperatives described in Code Section 521) which
is exempt from the taxes imposed by Chapter 1 of the Code (unless such organization is subject to the tax imposed by Section 511 of
the Code on unrelated business taxable income), (iv) rural electric and telephone cooperatives described in Code Section
1381(a)(2)(C), (v) any “electing large partnership” as defined in Section 775(a) of
the Code, (vi) any Person from whom the Trustee has not received an affidavit to the effect that it is not a
“disqualified organization” within the meaning of Section 860E(e)(5) of the Code, and (vii) any other Person so
designated by the Company based upon an Opinion of Counsel that the transfer of an Ownership Interest in a Residual Certificate to
such Person may cause REMIC I or REMIC II to fail to qualify as a REMIC at any time that the Certificates are outstanding. The
terms “United States,” “State” and “International Organization” shall have the meanings set
forth in Code Section 7701 or successor provisions. A corporation shall not be treated as an instrumentality of the United States
or of any State or political subdivision thereof if all of its activities are subject to tax, and, with the exception of the
Freddie Mac, a majority of its board of directors is not selected by such governmental unit.

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.

Premium Rate Mortgage Loans:  The Mortgage Loans having
Pass-Through Rates greater than or equal to 5.500% per annum.

Prepaid Monthly Payment: Any Monthly Payment received prior to
its scheduled Due Date, which is intended to be applied to a Mortgage Loan on its scheduled Due Date and held in the related
Custodial Account for P&I until the Withdrawal Date following its scheduled Due Date.

Primary Insurance Policy: A policy of mortgage guaranty
insurance, if any, on an individual Mortgage Loan or on pools of mortgage loans that include an individual Mortgage Loan, providing
coverage as required by Section 2.08(xi) (including any Special Primary Insurance Policy).

Principal Balance: Except as used in Sections 2.07, 3.09 and 9.01
and for purposes of the definition of Purchase Price, at the time of any determination, the principal balance of a Mortgage Loan
remaining to be paid at the close of business on the Cut‐Off Date, after application of all scheduled principal payments due
on or before the Cut‐Off Date, whether or not received, reduced by all amounts distributed or (except when such determination
occurs earlier in the month than the Distribution Date) to be distributed to Certificateholders through the Distribution Date in
the month of determination that are reported as allocable to principal of such Mortgage Loan.

For purposes of the definition of
Purchase Price and as used in Sections 2.07, 3.09 and 9.01, at the time of any determination, the principal balance of a Mortgage
Loan remaining to be paid at the close of business on the Cut-Off Date, after deduction of all scheduled principal payments due on
or before the Cut-Off Date, whether or not received, reduced by all amounts distributed or to be distributed to Certificateholders
through the Distribution Date in the month of determination that are reported as allocable to principal of such Mortgage
Loan.

In the case of a Substitute Mortgage
Loan, “Principal Balance” shall mean, at the time of any determination, the principal balance of such Substitute
Mortgage Loan transferred to the Trust, on the date of substitution, reduced by all amounts distributed or to be distributed to
Certificateholders through the Distribution Date in the month of determination that are reported as allocable to principal of such
Substitute Mortgage Loan.

The Principal Balance of a Mortgage
Loan (including a Substitute Mortgage Loan) shall not be adjusted solely by reason of any bankruptcy or similar proceeding or any
moratorium or similar waiver or grace period. Whenever a Realized Loss has been incurred with respect to a Mortgage Loan during a
calendar month, the Principal Balance of such Mortgage Loan shall be reduced by the amount of such Realized Loss as of the Due Date
next following the end of such calendar month.

Principal Payment: Any payment of principal on a Mortgage Loan
other than a Principal Prepayment.

Principal Payment Amount: For any Distribution Date, the sum of
(i) the scheduled principal payments on the Mortgage Loans due on the related Due Date, (ii) the principal portion of proceeds
received with respect to any Mortgage Loan which was purchased or repurchased pursuant to a Purchase Obligation or as permitted by
this Agreement during the Prior Period and (iii) any other unscheduled payments of principal which were received with respect to
any Mortgage Loan during the Prior Period, other than Payoffs, Curtailments, Liquidation Principal and Subsequent Recoveries.

Principal Prepayment: Any payment of principal on a Mortgage Loan
which constitutes a Payoff or a Curtailment.

Principal Prepayment Amount: For any Distribution Date, the sum
of (i) Curtailments received during the Prior Period from the Mortgage Loans and (ii) Payoffs received during the Payoff Period
from the Mortgage Loans.

Priority Amount 1:  For any Distribution Date, $1,000.

Priority Amount 2:  For any Distribution Date, the amount
indicated below:

	

Distribution Date Occurring In

	

Priority Amount 2

	

July 2005 through June 2006

	

$4,500,000

	
July 2006 through June
2007

	

$5,700,000

	
July 2007 through June
2008

	

$5,200,000

	
July 2008 through June
2009

	

$4,300,000

	
July 2009 and after

	

$3,025,000

 

Prior Period: With respect to any Distribution Date, the calendar
month immediately preceding such Distribution Date.

Prospectus:  The Prospectus, dated April 20, 2005,
and the Prospectus Supplement, dated June 24, 2005, of the Company.

Purchase Obligation: An obligation of the Company to repurchase
Mortgage Loans under the circumstances and in the manner provided in Section 2.07 or Section 2.08.

Purchase Price: With respect to any Mortgage Loan to be purchased
pursuant to a Purchase Obligation, an amount equal to the sum of (i) the Principal Balance thereof, (ii) unpaid accrued interest
thereon, if any, during the calendar month in which the date of purchase occurs to the last day of such month at a rate equal to
the applicable Pass-Through Rate and (iii) any costs and damages incurred by the Trust in connection with any violation by such
Mortgage Loan of any predatory and abusive lending laws, to the extent such costs and damages result from a breach of the
representation and warranty made by the Company pursuant to clause (viii) of Section 2.08; provided, however, that to the extent that such costs
and damages constitute a set-off against the principal balance of the Mortgage Loan, such costs and damages will not be paid
pursuant to this clause (iii), and the amount paid pursuant to clause (i) above will be calculated without regard to such set-off;
provided, further, that no Mortgage
Loan shall be purchased or required to be purchased pursuant to Section 2.08, or more than two years after the Closing Date under
Section 2.07, unless (a) the Mortgage Loan to be purchased is in default, or default is in the judgment of the Company reasonably
imminent, or (b) the Company, at its expense, delivers to the Trustee an Opinion of Counsel addressed to the Trust and the Trustee
to the effect that the purchase of such Mortgage Loan will not give rise to a tax on a prohibited transaction, as defined in
Section 860F(a) of the Code.

Random Lot: With respect to any Distribution Date on which a
mandatory distribution is to be made on the Special Retail Certificates (as described in Section 4.07), the method by which DTC
will determine which Special Retail Certificates will be paid principal, using its established random lot procedures or, if such
Certificates are no longer represented by a Book-Entry Certificate, using the Trustee’s procedures.

Rating Agency: Initially, each of S&P and Moody’s and
thereafter, each nationally recognized statistical rating organization that has rated the Certificates at the request of the
Company, or their respective successors in interest.

Ratings: As of any date of determination, the ratings, if any, of
the Certificates as assigned by the applicable Rating Agencies.

Realized Loss: For any Distribution Date, with respect to any
Mortgage Loan which became a Liquidated Mortgage Loan during the related Prior Period, the sum of (i) the principal balance of such
Mortgage Loan remaining outstanding and the principal portion of Nonrecoverable Advances actually reimbursed with respect to such
Mortgage Loan (the principal portion of such Realized Loss), and (ii) the accrued interest on such Mortgage Loan remaining unpaid
and the interest portion of Nonrecoverable Advances actually reimbursed with respect to such Mortgage Loan (the interest portion of
such Realized Loss); provided, however,
that for purposes of allocating Realized Losses to the REMIC I and REMIC II Regular
Interests pursuant to this definition of “Realized Loss,” the aggregate principal portion of Realized
Losses for any Distribution Date shall be reduced by the Cumulative Carry-Forward Subsequent Recoveries Amount for such
Distribution Date. For any Distribution Date, with respect to any Mortgage Loan which is not a Liquidated Mortgage Loan, the amount
of the Bankruptcy Loss incurred with respect to such Mortgage Loan as of the related Due Date.

Realized Losses shall be allocated
among the REMIC I Regular Interests (i) for Realized Losses allocable to principal (a) first, to the Class B-6-L Regular Interest,
until the Class B-6-L Principal Balance has been reduced to zero, (b) second, to the Class B-5-L Regular Interest, until the Class
B-5-L Principal Balance has been reduced to zero, (c) third, to the Class B-4-L Regular Interest, until the Class B-4-L Principal
Balance has been reduced to zero, (d) fourth, to the Class B-3-L Regular Interest, until the Class B-3-L Principal Balance has been
reduced to zero, (e) fifth, to the Class B-2-L Regular Interest, until the Class B-2-L Principal Balance has been reduced to zero,
(f) sixth, to the Class B-1-L Regular Interest, until the Class B-1-L Principal Balance has been reduced to zero, and (g) seventh,
to the Class A-L Regular Interests, pro rata according to the Class Principal Balances thereof, in reduction thereof; provided, however, that if the loss is recognized with respect to a Class P Mortgage Loan, the
applicable Class P Fraction of such loss shall first be allocated to the Class P-L Regular Interest and the remainder of such loss
shall be allocated as set forth above in this clause (i); and (ii) for Realized Losses allocable to interest (a) first, to the
Class B-6-L Regular Interest, in reduction of accrued but unpaid interest thereon and then in reduction of the Class B-6-L
Principal Balance, (b) second, to the Class B-5-L Regular Interest, in reduction of accrued but unpaid interest thereon and then in
reduction of the Class B-5-L Principal Balance, (c) third, to the Class B-4-L Regular Interest, in reduction of accrued but unpaid
interest thereon and then in reduction of the Class B-4-L Principal Balance, (d) fourth, to the Class B-3-L Regular Interest, in
reduction of accrued but unpaid interest thereon and then in reduction of the Class B-3-L Principal Balance, (e) fifth, to the
Class B-2-L Regular Interest, in reduction of accrued but unpaid interest thereon and then in reduction of the Class B-2-L
Principal Balance, (f) sixth, to the Class B-1-L Regular Interest, in reduction of accrued but unpaid interest thereon and then in
reduction of the Class B-1-L Principal Balance, and (g) seventh, to the Class A-L and Class X-L Regular Interests, pro rata
according to accrued but unpaid interest on such Classes, in reduction thereof, and then to the Class A-L Regular Interests, pro
rata according to the Class Principal Balances thereof, in reduction thereof; provided,
however, that (1) until the Class CB-5-L Principal Balance has been reduced to zero, all principal losses that would
otherwise be allocated to the Class CB-1-L Regular Interest pursuant to clause (i) of this paragraph shall instead be allocated to
the Class CB-5-L Regular Interest, in reduction of the Class CB-5-L Principal Balance, and the Class CB-1 Fraction of all interest
losses that would otherwise be allocated to the Class CB-1-L Regular Interest pursuant to clause (ii) of this paragraph shall
instead be allocated to the Class CB-5-L Regular Interest, in reduction of accrued but unpaid interest thereon, and then in
reduction of the Class CB-5-L Principal Balance and (2) until the Class CB-13-L Principal Balance has been reduced to zero, (x) all
principal losses that would otherwise be allocated to the Class CB-4-L Regular Interest pursuant to clause (i) of this paragraph
shall instead be allocated to the Class CB-13-L Regular Interest, in reduction of the Class CB-13-L Principal Balance, and all
interest losses that would otherwise be allocated to the Class CB-4-L Regular Interest pursuant to clause (ii) of this paragraph
shall instead be allocated to the Class CB-13-L Regular Interest, in reduction of accrued but unpaid interest thereon, and then in
reduction of the Class CB-13-L Principal Balance and (y) all principal losses that would otherwise be allocated to the Class
CB-14-L Regular Interest pursuant to clause (i) of this paragraph shall instead be allocated to the Class CB-13-L Regular Interest,
in reduction of the Class CB-13-L Principal Balance, and all interest losses that would otherwise be allocated to the Class CB-14-L
Regular Interest pursuant to clause (ii) of this paragraph shall instead be allocated to the Class CB-13-L Regular Interest, in
reduction of accrued but unpaid interest thereon, and then in reduction of the Class CB-13-L Principal Balance; provided, further, that (1) amounts allocated to the Class CB-13-L Regular Interest pursuant to
clauses (x)(i) and (ii) of the immediately preceding proviso shall be limited to 49.09% of the Class CB-13-L Principal Balance on
the related Distribution Date (up to an aggregate maximum of $3,625,000) and (2) amounts allocated to the Class CB-13-L Regular
Interest pursuant to clauses (y)(i) and (ii) of the immediately preceding proviso shall be limited to 50.91% of the Class CB-13-L
Principal Balance on the related Distribution Date (up to an aggregate maximum of $3,760,000).

For any Distribution Date, any amounts
distributed to the Class P-L Regular Interest pursuant to clauses (I)(vi) and (I)(vii) of the definition of “REMIC I
Distribution Amount” shall be allocated as a loss to the most junior Class (or Classes) of Class B-L Regular Interests, until
the Class Principal Balance thereof has been reduced to zero.

Realized Losses
allocated to any Class of REMIC I Regular Interests pursuant to this definition of “Realized Loss” in reduction of the Class Principal Balance thereof (including losses allocated to the Class B-L Regular
Interests pursuant to the immediately preceding paragraph of this definition of “Realized Loss”) shall also be
allocated to the Corresponding Class in reduction of the Class Principal Balance thereof by the same amount.

On each Distribution Date, after giving
effect to the principal distributions and allocations of losses as provided in this Agreement (without regard to this paragraph),
if the aggregate Class Principal Balance of all outstanding Classes of REMIC I Regular Interests (plus any Cumulative Carry-Forward
Subsequent Recoveries Amount for such Distribution Date) exceeds the aggregate principal balance of the Mortgage Loans remaining to
be paid at the close of business on the Cut-Off Date, after deduction of (i) all principal payments due on or before the Cut-Off
Date in respect of each such Mortgage Loan whether or not paid, and (ii) all amounts of principal in respect of each Mortgage Loan
that have been received or advanced and included in the REMIC I Available Distribution Amount and all losses in respect of each
Mortgage Loan that have been allocated to the REMIC I Regular Interests on such Distribution Date or prior Distribution Dates, then
such excess will be deemed a principal loss and will be allocated to the most junior Class of Class B-L Regular Interests, in
reduction of the Class Principal Balance thereof.

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

Record Date: The last Business Day of the month immediately
preceding the month of the related Distribution Date.

Reference Banks: As defined in Section 3.19(b).

Regular Interests: (i) With respect to REMIC I, the REMIC I
Regular Interests and (ii) with respect to REMIC II, the REMIC II Regular Interests.

Relief Act Shortfall: For any Distribution Date for any Mortgage Loan with respect to which the Servicemembers Civil
Relief Act, formerly known as the Soldiers’ and Sailors’ Civil Relief Act of 1940, or any comparable state legislation
(collectively, the “Relief Act”), limits the amount of interest payable by the related Mortgagor, an amount
equal to one month’s interest on such Mortgage Loan at an annual interest rate equal to the excess, if any, of (i) the annual
interest rate otherwise payable by the Mortgagor on the related Due Date under the terms of the related Mortgage Note over (ii) the
annual interest rate payable by the Mortgagor on the related Due Date by application of the Relief Act.

REMIC: A real estate mortgage investment conduit, as such term is
defined in the Code.

REMIC Provisions: Sections 860A through 860G of the Code, related
Code provisions and regulations promulgated thereunder, as the foregoing may be in effect from time to time.

REMIC I: The segregated pool of assets of the Trust consisting of
the REMIC I Assets, which shall be a REMIC pursuant to the Code, with respect to which a separate REMIC election is to be made and
the beneficial interests in which shall be the REMIC I Regular Interests and the Class R-1 Residual Interest.

REMIC I Assets: All of the Mortgage Pool Assets other than the
Yield Maintenance Agreements and any proceeds thereof.

REMIC I Available Distribution Amount:  For any Distribution
Date, the sum of the following amounts with respect to the Mortgage Loans:

(1)        the total amount of all cash received by or on behalf of the
Servicer with respect to the Mortgage Loans by the Determination Date for such Distribution Date and not previously distributed,
including Monthly P&I Advances made by the Servicer, Liquidation Proceeds and scheduled amounts of distributions from Buydown
Funds respecting Buydown Loans, if any, except:

(a)        all scheduled payments of principal and interest collected but due
subsequent to such Distribution Date;

(b)        all Curtailments received after the Prior
Period;

(c)        all Payoffs received after the Payoff Period immediately preceding
such Distribution Date (together with any interest payment received with such Payoffs to the extent that it represents the payment
of interest accrued on the Mortgage Loans for the period subsequent to the Prior Period), and interest which was accrued and
received on Payoffs received during the period from the 1st to the 14th day of the month of such Distribution Date, which interest
shall not be included in the calculation of the REMIC I Available Distribution Amount for any Distribution Date;

(d)        Insurance Proceeds, Liquidation Proceeds and Subsequent Recoveries
received on the Mortgage Loans after the Prior Period;

(e)        all amounts in the Certificate Account which are due and
reimbursable to the Servicer pursuant to the terms of this Agreement;

(f)         the Servicing Fee for each Mortgage Loan, and any Special
Primary Insurance Premium payable on such Distribution Date with respect to each Mortgage Loan; and

(g)        Excess Liquidation Proceeds;

(2)        the sum, to the extent not previously distributed, of the
following amounts, to the extent advanced or received, as applicable, by the Servicer:

(a)        any Monthly P&I Advance made by the Servicer to the Trustee
with respect to such Distribution Date relating to the Mortgage Loans; and

(b)        Compensating Interest; and

(3)        the total amount of any cash received during the Prior Period by
the Trustee or the Servicer in respect of a Purchase Obligation under Section 2.07 and Section 2.08 or any permitted purchase of a
Mortgage Loan.

REMIC I Distribution Amount: (I) For any Distribution Date prior
to the Credit Support Depletion Date, the REMIC I Available Distribution Amount for such Distribution Date shall be distributed to
the REMIC I Regular Interests and the Class R-1 Residual Interest in the following amounts and priority, to the extent of the REMIC
I Available Distribution Amount for such Distribution Date:

(i)         first, to the
Class P-L Regular Interest, the aggregate for all Class P Mortgage Loans of the product for each Class P Mortgage Loan of the
applicable Class P Fraction and the sum of (x) scheduled payments of principal on such Class P Mortgage Loan due on or before the
related Due Date in respect of which no distribution has been made on any previous Distribution Date and which were received by the
Determination Date, or which have been advanced as part of a Monthly P&I Advance with respect to such Distribution Date, (y)
the principal portion received in respect of such Class P Mortgage Loan during the Prior Period of (1) Curtailments, (2) Insurance
Proceeds, (3) the amount, if any, of the principal portion of the Purchase Price paid pursuant to a Purchase Obligation or any
purchase of a Mortgage Loan permitted hereunder and (4) Liquidation Proceeds and (z) the principal portion of Payoffs received in
respect of such Class P Mortgage Loan during the Payoff Period;

(ii)        second, to the Class A-L and Class
X-L Regular Interests, concurrently, the Interest Distribution Amounts for such Classes remaining unpaid from previous Distribution
Dates, pro rata according to their respective shares of such unpaid amounts; provided,
however, that on or before the Class CB-3 Accretion Termination Date, the amount that would otherwise be payable to the
Class CB-3-L Regular Interest pursuant to this Clause (I)(ii) will be paid instead as principal as set forth in clause (I)(iii)(b)
of this definition of “REMIC I Distribution Amount”;

(iii)       third,

(a)        to the Class A-L and Class X-L Regular Interests, concurrently,
the Interest Distribution Amounts for such Classes for the current Distribution Date, pro rata according to their respective
Interest Distribution Amounts; provided, however, that on or before the Class CB-3
Accretion Termination Date, the amount that would otherwise be payable to the Class CB-3-L Regular Interest pursuant to this Clause
(I)(iii)(a) will be paid instead as principal as set forth in clause (I)(iii)(b) of this definition of “REMIC I Distribution
Amount”;

(b)        on or before the Class CB-3 Accretion Termination Date, the Class
CB-3 Accrual Amount, as principal, sequentially, as follows:

                                               
(1)        first, to the Class CB-6-L, Class CB-7-L, Class CB-8-L, Class CB-9-L, Class CB-10-L,
Class CB-11-L and Class CB-12-L Regular Interests, pro rata, an amount, up to the amount of the Priority Amount 1 for that
Distribution Date, until the Class CB-6-L, Class CB-7-L, Class CB-8-L, Class CB-9-L, Class CB-10-L, Class CB-11-L and Class CB-12-L
Principal Balances have each been reduced to zero;

                
(2)        second, to the Class CB-1-L, Class CB-5-L and Class CB-14-L Regular Interests, pro
rata, an amount, up to the amount of the Priority Amount 2 for that Distribution Date, until the Class CB-1-L, Class CB-5-L and
Class CB-14-L Principal Balances have each been reduced to zero;

                (3)        third, to the Class CB-6-L, Class CB-7-L, Class CB-8-L, Class CB-9-L, Class CB-10-L,
Class CB-11-L and Class CB-12-L Regular Interests, pro rata, until the Class CB-6-L, Class CB-7-L, Class CB-8-L, Class CB-9-L,
Class CB-10-L, Class CB-11-L and Class CB-12-L Principal Balances have each been reduced to zero;

                 (4)        fourth, to the Class CB-1-L, Class CB-5-L and Class CB-14-L Regular Interests, pro
rata, until the Class CB-1-L, Class CB-5-L and Class CB-14-L Principal Balances have each been reduced to zero;
and

               
(5)        fifth, to the Class
CB-3 Regular Interest;

(iv)       fourth, to the Class R-1 Residual Interest, until the Class Principal
Balance thereof has been reduced to zero;

(v)        fifth, to the Class A-L Regular Interests, as principal, the
Senior Principal Distribution Amount (reduced, on the first distribution date, by $100), sequentially, as
follows:

(a)        first, to the Class CB-4-L and Class CB-13-L Regular Interests, pro rata, an amount,
up to the amount of the Lockout Priority Amount for that Distribution Date;

(b)        second, to the Class CB-6-L, Class CB-7-L, Class CB-8-L, Class CB-9-L, Class CB-10-L,
Class CB-11-L and Class CB-12-L Regular Interests, pro rata, an amount, up to the amount of the Priority Amount 1 for that
Distribution Date (after taking into effect amounts already distributed on that Distribution Date to these classes in paragraph
(I)(iii)(b)(1) of this definition of “REMIC I Distribution Amount”), until the Class CB-6-L, Class CB-7-L, Class
CB-8-L, Class CB-9-L, Class CB-10-L, Class CB-11-L and Class CB-12-L Principal Balances have each been reduced to
zero;

(c)        third, to the Class CB-1-L, Class CB-5-L and Class CB-14-L Regular Interests, pro
rata, an amount, up to the amount of the Priority Amount 2 for that Distribution Date (after taking into effect amounts already
distributed on that Distribution Date to these classes in paragraph (I)(iii)(b)(2) of this definition of “REMIC I
Distribution Amount”), until the Class CB-1-L, Class CB-5-L and Class CB-14-L Principal Balances have each been reduced to
zero;

(d)        fourth, to the Class CB-6-L, Class CB-7-L, Class CB-8-L, Class CB-9-L, Class CB-10-L,
Class CB-11-L and Class CB-12-L Regular Interests, pro rata, until the Class CB-6-L, Class CB-7-L, Class CB-8-L, Class CB-9-L,
Class CB-10-L, Class CB-11-L and Class CB-12-L Principal Balances have each been reduced to zero;

(e)        fifth, to the Class CB-1-L, Class CB-5-L and Class CB-14-L Regular Interests, pro
rata, until the Class CB-1-L, Class CB-5-L and Class CB-14-L Principal Balances have each been reduced to zero;

(f)         sixth, to the Class CB-3-L Regular Interest, until the Class CB-3-L Principal
Balance has been reduced to zero; and

(g)        seventh, to the Class CB-4-L
and Class CB-13-L Regular Interests, pro rata, until the Class CB-4-L and Class CB-13-L Principal Balances have each been reduced
to zero;

(vi)       sixth, to the Class P-L Regular Interest, to the extent of amounts
otherwise available to pay the Subordinate Principal Distribution Amount (without regard to clause (B) of the definition thereof)
on such Distribution Date and to the extent not paid to such Class of Regular Interests on previous Distribution Dates pursuant to
clause (I)(vii) of this definition of “REMIC I Distribution Amount,” principal in an amount equal to the Class P
Fraction of any Realized Loss on a Class P Mortgage Loan incurred prior to the Prior Period;

(vii)      seventh, to the Class P-L Regular Interest, to the extent of amounts
otherwise available to pay the Subordinate Principal Distribution Amount (without regard to clause (B) of the definition thereof)
on such Distribution Date, principal in an amount equal to the Class P Fraction of any Realized Loss on a Class P Mortgage Loan
incurred in the Prior Period; provided, that any amounts distributed in respect of
losses pursuant to paragraph (I)(vi) or this paragraph (I)(vii) of this definition of “REMIC I Distribution Amount”
shall not cause a reduction in the Class P-L Principal Balance;

(viii)      eighth, to the Class B-1-L Regular Interest, the Interest Distribution
Amount for such Class of Regular Interests remaining unpaid from previous Distribution Dates;

(ix)       ninth, to the Class B-1-L Regular Interest, the Interest Distribution
Amount for such Class of Regular Interests for the current Distribution Date;

(x)        tenth, to the Class B-1-L Regular Interest, the portion of the
Subordinate Principal Distribution Amount allocable to such Class of Regular Interests pursuant to the definition of
“Subordinate Principal Distribution Amount,” until the Class B-1-L Principal Balance has been reduced to
zero;

(xi)       eleventh, to the Class B-2-L Regular Interest, the Interest
Distribution Amount for such Class of Regular Interests remaining unpaid from previous Distribution Dates;

(xii)      twelfth, to the Class B-2-L Regular Interest, the Interest Distribution
Amount for such Class of Regular Interests for the current Distribution Date;

(xiii)      thirteenth, to the Class B-2-L Regular Interest, the portion of the
Subordinate Principal Distribution Amount allocable to such Class of Regular Interests pursuant to the definition of
“Subordinate Principal Distribution Amount,” until the Class B-2-L Principal Balance has been reduced to
zero;

(xiv)     fourteenth, to the Class B-3-L Regular Interest, the Interest Distribution Amount
for such Class of Regular Interests remaining unpaid from previous Distribution Dates;

(xv)      fifteenth, to the Class B-3-L Regular Interest, the Interest Distribution
Amount for such Class of Regular Interests for the current Distribution Date;

(xvi)     sixteenth, to the Class B-3-L Regular Interest, the portion of the Subordinate
Principal Distribution Amount allocable to such Class of Regular Interests pursuant to the definition of “Subordinate
Principal Distribution Amount,” until the Class B-3-L Principal Balance has been reduced to zero;

(xvii)     seventeenth, to the Class B-4-L Regular Interest, the Interest Distribution
Amount for such Class of Regular Interests remaining unpaid from previous Distribution Dates;

(xviii)    eighteenth, to the Class B-4-L Regular Interest, the Interest Distribution Amount for
such Class of Regular Interests for the current Distribution Date;

(xix)     ninteenth, to the Class B-4-L Regular Interest, the portion of the Subordinate
Principal Distribution Amount allocable to such Class of Regular Interests pursuant to the definition of “Subordinate
Principal Distribution Amount,” until the Class B-4-L Principal Balance has been reduced to zero;

(xx)      twentieth, to the Class B-5-L Regular Interest, the Interest Distribution
Amount for such Class of Regular Interests remaining unpaid from previous Distribution Dates;

(xxi)     twenty-first, to the Class B-5-L Regular Interest, the Interest Distribution
Amount for such Class of Regular Interests for the current Distribution Date;

(xxii)     twenty-second, to the Class B-5-L Regular Interest, the portion of the
Subordinate Principal Distribution Amount allocable to such Class of Regular Interests pursuant to the definition of
“Subordinate Principal Distribution Amount,” until the Class B-5-L Principal Balance has been reduced to
zero;

(xxiii)    twenth-third, to the Class B-6-L Regular Interest, the Interest Distribution Amount
for such Class of Regular Interests remaining unpaid from previous Distribution Dates;

(xxiv)    twenty-fourth, to the Class B-6-L Regular Interest, the Interest Distribution Amount
for such Class of Regular Interests for the current Distribution Date;

(xxv)    twenty-fifth, to the Class B-6-L Regular Interest, the portion of the Subordinate
Principal Distribution Amount allocable to such Class of Regular Interests pursuant to the definition of “Subordinate
Principal Distribution Amount,” until the Class B-6-L Principal Balance has been reduced to zero;

(xxvi)    twenty-sixth, to each Class of REMIC I Regular Interests in order of seniority (which,
from highest to lowest, shall be as follows: the Class P-L and Class A-L Regular Interests of equal seniority, and then Class
B-1-L, Class B-2-L, Class B-3-L, Class B-4-L, Class B-5-L and Class B-6-L of decreasing seniority) the remaining portion, if any,
of the REMIC I Available Distribution Amount, up to the amount of unreimbursed Realized Losses allocable to principal previously
allocated or to be allocated on such Distribution Date to such Class, if any; provided,
however, that in the case of Classes of REMIC I Regular Interests of equal seniority, the amount distributable to such
Classes shall be allocated among such Classes according to the amount of losses allocated thereto; provided, further, that any amounts distributed pursuant to this paragraph (I)(xxvi) of this
definition of “REMIC I Distribution Amount” shall not cause a reduction in the Class Principal Balances of any of the
REMIC I Regular Interests; and

(xxvii)   twenty-seventh, to the Class R-1 Residual Interest, the Residual Distribution Amount for
such Distribution Date.

(II)       For any Distribution Date on or after the Credit Support Depletion
Date, the REMIC I Available Distribution Amount for such Distribution Date shall be distributed to the outstanding Classes of REMIC
I Regular Interests and the Class R-1 Residual Interest in the following amounts and priority, to the extent of the REMIC I
Available Distribution Amount for such Distribution Date:

(i)         first, to the Class P-L Regular Interest, principal in the
amount that would otherwise be distributed to such Class on such Distribution Date pursuant to clause (I)(i) of this definition of
“REMIC I Distribution Amount”;

(ii)        second, to the Class A-L and Class X-L Regular Interests, the
amount payable to each such Class of Regular Interests on prior Distribution Dates pursuant to clause (I)(iii) or (II)(iii) of this
definition of “REMIC I Distribution Amount,” and remaining unpaid, pro rata according to such amount payable to the
extent of amounts available;

(iii)       third, to the Class A-L and Class X-L Regular Interests, concurrently,
the Interest Distribution Amounts for the Class A-L and Class X-L Regular Interests, pro rata according to their respective
Interest Distribution Amounts;

(iv)       fourth, to the Class A-L Regular Interests, pro rata according to Class
Principal Balance, as principal, the Senior Principal Distribution Amount; and

(v)        fifth, to the Class R-1 Residual Interest, the Residual
Distribution Amount for such Distribution Date.

REMIC I Regular Interests: The Classes of undivided beneficial
interests in REMIC I designated as “regular interests” in the table titled “REMIC I Interests” in the
Preliminary Statement hereto. The REMIC I Regular Interests, together with the Class R-1 Residual Interest, shall be deemed to be a
separate series of beneficial interests in the assets of the Trust consisting of the REMIC I Assets pursuant to Section 3806(b)(2)
of the Statutory Trust Statute.

REMIC II: The segregated pool of assets of the Trust consisting
of the REMIC II Assets, which shall be a REMIC pursuant to the Code, with respect to which a separate REMIC election is to be made,
and the beneficial interests in which shall be the REMIC II Regular Interests and the Class R-2 Residual Interest.

REMIC II Assets: The REMIC I Regular Interests.

REMIC II Available Distribution Amount: For any Distribution
Date, the aggregate of all distributions to the REMIC I Regular Interests (which amount shall be available for distributions to the
Certificates (other than the Class CB-1 and Class CB-6 Certificates), the Class CB-1-M and Class CB-6-M Regular Interests and the
Class R-2 Residual Interest as provided herein).

REMIC II Distribution Amount:  The REMIC II Available
Distribution Amount for any Distribution Date shall be distributed to the Certificates (other than the Class CB-1 and Class CB-6
Certificates), the Class CB-1-M and Class CB-6-M Regular Interests and the Class R-2 Residual Interest in the following amounts and
priority, to the extent of the REMIC II Available Distribution Amount for such Distribution Date:

(i)                 
to each Class of Certificates (other than the Class CB-1, Class CB-2 and Class CB-6 Certificates), the amounts distributed to its
Corresponding Class on such Distribution Date; and

(ii)        (A) to the Class CB-1-M Regular Interest, the amount distributed
as principal to its Corresponding Class on such Distribution Date, (B) to each Class of the Class CB-1-M Regular Interest and the
Class CB-2 Certificates, the amount distributed as interest to the Class CB-1-L Regular Interest on such Distribution Date, pro
rata according to, for each such Class, the product of 1/12 of the Certificate Interest Rate for such Class and the Class Principal
Balance or Class Notional Amount, as applicable, for such Class before allocating principal losses and giving effect to
distributions of principal on such Distribution Date and (C) to the Class CB-6-M Regular Interest, the amount distributed as
principal to its Corresponding Class on such Distribution Date; and

(iii)       to the Class R-2 Residual Interest, the Residual Distribution Amount
for the Class R-2 Residual Interest for such Distribution Date.

In each case
where a distribution is required to be made concurrently to two or more Classes of Certificates pursuant to this definition of
“REMIC II Distribution Amount,” if the portion of the REMIC II Available Distribution Amount from which such
distribution is required to be made is insufficient to make such distribution in full to such Classes, such distribution shall be
allocated among such Classes pro rata according to the respective amounts to which they are otherwise entitled from such
distribution.

REMIC II Regular Interests: The Classes of undivided beneficial
interests in REMIC II designated as “regular interests” in the table titled “REMIC II Interests” in the
Preliminary Statement hereto. The REMIC II Regular Interests, together with the Class R-2 Residual Interest, shall be deemed to be
a separate series of beneficial interests in the assets of the Trust consisting of the REMIC II Assets pursuant to Section
3806(b)(2) of the Statutory Trust Statute.

Residual Certificates:  The Class R Certificates.

Residual Distribution Amount: For any Distribution Date, with
respect to the Class R-1 Residual Interest, any portion of the REMIC I Available Distribution Amount remaining after all
distributions of such REMIC I Available Distribution Amount pursuant to clauses (I)(i) through (I)(xxvi) of the definition of
“REMIC I Distribution Amount.”

For any Distribution Date, with respect
to the Class R-2 Residual Interest, any portion of the REMIC II Available Distribution Amount remaining after all distributions of
the REMIC II Available Distribution Amount pursuant to clauses (i) and (ii) of the definition of “REMIC II Distribution
Amount.”

Upon termination of the obligations
created by this Agreement and liquidation of REMIC I and REMIC II, the amounts which remain on deposit in the Certificate Account
after payment to the Holders of the REMIC I Regular Interests of the amounts set forth in Section 9.01 of this Agreement, and
subject to the conditions set forth therein, shall be distributed to the Class R-1 and Class R-2 Residual Interests in accordance
with the preceding sentences of this definition as if the date of such distribution were a Distribution Date.

Responsible Officer: When used with respect to the Trustee or the
Delaware Trustee, any officer assigned to and working in the Corporate Trust Office (in the case of the Trustee) or its corporate
trust office (in the case of the Delaware Trustee) or, in each case, in a similar group and also, with respect to a particular
matter, any other officer to whom such matter is referred because of such officer’s knowledge of and familiarity with the
particular subject.

Rounding Accounts: The Class CB-8 Rounding Account, the Class
CB-9 Rounding Account and the Class CB-10 Rounding Account, as applicable.

Rounding Amount: With respect to each Class of Special Retail
Certificates and for each Distribution Date, the amount of funds, if any, needed to be withdrawn from the related Rounding Account
and used to round the amount of any distributions in reduction of the related Class Principal Balance on any Distribution Date
upward to the next higher integral multiple of $1,000.

ROV Mortgage Loan:  A Mortgage Loan originated by Washington
Mutual Bank or an affiliate thereof with respect to which the value set forth on the appraisal has been appealed and, as a result,
an internal valuation has been conducted and included in a residential appraisal review contained in the related credit file.

S&P: Standard & Poor’s Ratings Services, a division
of The McGraw-Hill Companies, Inc., provided that at any time it be a Rating Agency.

Secretary of State: The Secretary of State of the State of
Delaware.

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

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 Liquidation Amount: For any Distribution Date, the sum of
(A) the aggregate, for each Mortgage Loan which became a Liquidated Mortgage Loan during the Prior Period, of the lesser of: (i)
the Senior Percentage of the Principal Balance of such Mortgage Loan (exclusive of the Class P Fraction thereof, with respect to
any Class P Mortgage Loan) and (ii) the Senior Prepayment Percentage of the Liquidation Principal with respect to such Mortgage
Loan and (B) the Senior Prepayment Percentage of any Subsequent Recoveries for such Distribution Date that have not already been
distributed to Certificateholders.

Senior Percentage: For any Distribution Date, the aggregate Class Principal Balance of the Class A and Residual Certificates divided by the aggregate
Principal Balance of the Class A, Class B and Residual Certificates, in each case immediately before such Distribution Date.

Senior Prepayment Percentage: For any Distribution Date, the
Senior Prepayment Percentage shall equal 100%, unless (i) the Senior Percentage for such Distribution Date is less than or equal to
the Senior Percentage as of the Closing Date, (ii) such Distribution Date occurs on or after the fifth anniversary of the first
Distribution Date and (iii) the following tests specified in clauses (a) and (b) are met:

(a)        the mean aggregate Principal Balance as of the Distribution Date
in each of the immediately preceding six calendar months of the Mortgage Loans which were 60 or more days delinquent as of such
date (including Mortgage Loans in bankruptcy or foreclosure and Mortgaged Properties held by REMIC I) is less than or equal to 50%
of the aggregate Class Principal Balance of the Class B Certificates as of the current Distribution Date, and

(b)        cumulative Realized Losses on the Mortgage Loans allocated to the
Class B Certificates, as a percentage of the aggregate Class Principal Balance of the Class B Certificates as of the Closing Date,
are less than or equal to, for any Distribution Date (1) before the sixth anniversary of the first Distribution Date, 30%, (2) on
or after the sixth anniversary but before the seventh anniversary of the first Distribution Date, 35%, (3) on or after the seventh
anniversary but before the eighth anniversary of the first Distribution Date, 40%, (4) on or after the eighth anniversary but
before the ninth anniversary of the first Distribution Date, 45%, and (5) on or after the ninth anniversary of the first
Distribution Date, 50%,

 

in which case
the Senior Prepayment Percentage shall be calculated as follows: (1) for any such Distribution Date on or after the fifth
anniversary but before the sixth anniversary of the first Distribution Date, the Senior Percentage for such Distribution Date plus
70% of the Subordinate Percentage for such Distribution Date; (2) for any such Distribution Date on or after the sixth anniversary
but before the seventh anniversary of the first Distribution Date, the Senior Percentage for such Distribution Date plus 60% of the
Subordinate Percentage for such Distribution Date; (3) for any such Distribution Date on or after the seventh anniversary but
before the eighth anniversary of the first Distribution Date, the Senior Percentage for such Distribution Date plus 40% of the
Subordinate Percentage for such Distribution Date; (4) for any such Distribution Date on or after the eighth anniversary but before
the ninth anniversary of the first Distribution Date, the Senior Percentage for such Distribution Date plus 20% of the Subordinate
Percentage for such Distribution Date; and (5) for any such Distribution Date thereafter, the Senior Percentage for such
Distribution Date.

If on any Distribution Date the
allocation to the Class A-L Regular Interests of Principal Prepayments in the percentage required would reduce the Class Principal
Balance of such Regular Interests below zero, the Senior Prepayment Percentage for such Distribution Date shall be limited to the
percentage necessary to reduce such Class Principal Balance to zero. Notwithstanding the foregoing, however, on each Distribution
Date, the Class P-L Regular Interest shall receive the applicable Class P Fraction of all principal payments, including, without
limitation, Principal Prepayments, received in respect of Class P Mortgage Loans.

Senior Principal Distribution Amount: For any Distribution Date,
an amount equal to the sum of (a) the Senior Percentage of the Principal Payment Amount (exclusive of the portion thereof
attributable to principal distributions to the Class P-L Regular Interest pursuant to clauses (I)(i) and (II)(i) of the definition
of “REMIC I Distribution Amount”), (b) the Senior Prepayment Percentage of the Principal Prepayment Amount (exclusive
of the portion thereof attributable to principal distributions to the Class P-L Regular Interest pursuant to clauses (I)(i) and
(II)(i) of the definition of “REMIC I Distribution Amount”) and (c) the Senior Liquidation Amount.

Senior Subordinate Certificates:  The Subordinate
Certificates other than the Junior Subordinate Certificates.

Servicer:  Washington Mutual Bank, or any successor thereto
appointed as provided pursuant to Section 7.02, acting to service and administer the Mortgage Loans pursuant to Section 3.01.

Servicer Business Day:  Any day other than a Saturday, a
Sunday, or a day on which banking institutions in Seattle, Washington or in any other city in which a corporate office of the
Servicer is located are authorized or obligated by law or executive order to be closed.

Servicing Fee: For each Mortgage Loan, the fee charged by the
Servicer for servicing and advancing certain expenses with respect to such Mortgage Loan, equal to 1/12 of the product of (i) the
Servicing Fee Rate for such Mortgage Loan and (ii) the outstanding Principal Balance of such Mortgage Loan, payable monthly from
the Certificate Account, the Investment Account or the Custodial Account for P&I.  In addition, any prepayment penalty
received on a Mortgage Loan will be paid as additional servicing compensation to the Servicer.

Servicing Fee Rate:  For each Mortgage Loan, the per annum
rate set forth for such Mortgage Loan in the Mortgage Loan Schedule.

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

Special Primary Insurance Policy: Any Primary Insurance Policy
covering a Mortgage Loan the premium of which is payable by the Trustee pursuant to Section 4.04(a), if so identified in the
Mortgage Loan Schedule. There are no Special Primary Insurance Policies with respect to any of the Mortgage Loans.

Special Primary Insurance Premium: With respect to any Special
Primary Insurance Policy, the monthly premium payable thereunder.

Special Retail Certificates: The Class CB-8, Class CB-9 and Class
CB-10 Certificates.

Statutory Trust Statute: Chapter 38 of Title 12 of the Delaware
Code, 12 Del.C. §3801 et seq., as the same may be amended from time to time.

Step Down Percentage: For any Distribution Date, the percentage
indicated below:

	

Distribution Date Occurring In

	

Step Down Percentage

	

July 2005 through June 2010

	

0%

	
July 2010 through June
2011

	

30%

	
July 2011 through June
2012

	

40%

	
July 2012 through June
2013

	

60%

	
July 2013 through June
2014

	

80%

	
July 2014 and after

	

100%

 

Streamlined Mortgage Loan:  A Mortgage Loan originated in
connection with the refinance of a mortgage loan pursuant to the streamlined loan documentation program then in effect of the
seller from which the Company acquired the Mortgage Loan.

Stripped Interest Rate: For
each Mortgage Loan, the excess, if any, of the Pass-Through Rate for such Mortgage Loan over 5.500% per annum.

Subordinate Certificates:  The Class B Certificates.

Subordinate Liquidation Amount: For any Distribution Date, the
excess, if any, of the sum of (A) the aggregate of Liquidation Principal for all Mortgage Loans which became Liquidated Mortgage
Loans during the Prior Period and (B) any Subsequent Recoveries for such Distribution Date, over the sum of the Senior Liquidation
Amount for such Distribution Date.

Subordinate Percentage:  For any Distribution Date, the
excess of 100% over the Senior Percentage for such date.

Subordinate Prepayment Percentage: For any Distribution Date, the
excess of 100% over the Senior Prepayment Percentage for such Distribution Date; provided,
however, that if the aggregate Class Principal Balance of the Class A Certificates and Residual Certificates has been
reduced to zero, then the Subordinate Prepayment Percentage shall equal 100%.

Subordinate Principal Distribution Amount3: For any Distribution
Date, the excess of (A) the sum of (i) the Subordinate Percentage of the Principal Payment Amount (exclusive of the portion thereof
attributable to principal distributions to the Class P-L Regular Interest pursuant to clause (I)(i) of the definition of
“REMIC I Distribution Amount”), (ii) the Subordinate Principal Prepayments Distribution Amount (without regard to the
proviso in the definition thereof) and (iii) the Subordinate Liquidation Amount over (B) the amounts required to be distributed to
the Class P-L Regular Interest pursuant to clauses (I)(vi) and (I)(vii) of the definition of “REMIC I Distribution
Amount” on such Distribution Date.

On any Distribution Date, the
Subordinate Principal Distribution Amount shall be allocated pro rata, by Class Principal Balance, among the Classes of Class B-L
Regular Interests and paid in the order of distribution to such Classes pursuant to the definition of “REMIC I Distribution
Amount” except as otherwise stated in such definition. Notwithstanding the foregoing, on any Distribution Date prior to
distributions on such date, if the Subordination Level for any Class of Class B-L Regular Interests is less than such Subordination
Level as of the Closing Date, the pro rata portion of the Subordinate Principal Prepayments Distribution Amount otherwise allocable
to the Class or Classes of Class B-L Regular Interests junior to such Class will be distributed to the most senior Class of Class
B-L Regular Interests for which the Subordination Level is less than the Subordination Level as of the Closing Date, and to the
Class or Classes of Class B-L Regular Interests senior thereto, pro rata according to the Class Principal Balances of such Classes.
For purposes of this definition and the definition of “Subordination Level,” the relative seniority, from highest to
lowest, of the Class B-L Regular Interests shall be as follows: Class B-1-L, Class B-2-L, Class B-3-L, Class B-4-L, Class B-5-L and
Class B-6-L.

Subordinate Principal Prepayments Distribution Amount: For any
Distribution Date, the Subordinate Prepayment Percentage of the Principal Prepayment Amount (exclusive of the portion thereof
attributable to principal distributions to the Class P-L Regular Interest pursuant to clause (I)(i) of the definition of
“REMIC I Distribution Amount”); provided, however, that if the amount
specified in clause (B) of the definition of “Subordinate Principal Distribution Amount” is greater than the sum of the
amounts specified in clauses (A)(i) and (A)(iii) of such definition, then the Subordinate Principal Prepayments Distribution Amount
shall be reduced by the amount of such excess.

Subordination Level: On any specified date, with respect to any
Class of Class B-L Regular Interests, the percentage obtained by dividing the aggregate Class Principal Balance of the Classes of
Class B-L Regular Interests which are subordinate in right of payment to such Class by the aggregate Class Principal Balance of the
REMIC I Regular Interests as of such date prior to giving effect to distributions of principal and interest and allocations of
Realized Losses on the Mortgage Loans on such date.

Subsequent Recoveries: For any Distribution Date, amounts
received by the Servicer during the Prior Period (after deduction of amounts reimbursable under Section 3.05(a)(i) and (ii)) in
connection with the liquidation of defaulted Mortgage Loans after such Mortgage Loans became Liquidated Mortgage Loans, for each
such Mortgage Loan up to the amount of Realized Losses, if any, previously allocated in respect of such Mortgage Loan in reduction
of the Class Principal Balance of any Class of Certificates.

Substitute Mortgage Loan: A Mortgage Loan which is substituted
for another Mortgage Loan pursuant to and in accordance with the provisions of Section 2.07.

Tax Matters Person: With respect to each of REMIC I and REMIC II,
a Holder of a Class R Certificate with a Percentage Interest of at least 0.01% or any Permitted Transferee of such Class R
Certificateholder designated as succeeding to the position of Tax Matters Person in a notice to the Trustee signed by authorized
representatives of the transferor and transferee of such Class R Certificate. The Servicer is hereby appointed to act as Tax
Matters Person so long as it holds a Class R Certificate with a Percentage Interest of at least 0.01%.  In the event that the
Servicer ceases to hold a Class R Certificate with the required Percentage Interest, the holder of the Class R Certificate with the
largest Percentage Interest shall be Tax Matters Person, and such Tax Matters Person shall be deemed to have appointed the Servicer
to act as agent for the Tax Matters Person, to perform the functions of such Tax Matters Person as provided herein. If the Tax
Matters Person becomes a Disqualified Organization, the last preceding Holder, that is not a Disqualified Organization, of the
Class R Certificate held by the Disqualified Organization shall be Tax Matters Person pursuant to and as permitted by Section
5.01(c). If any Person is appointed as tax matters person by the Internal Revenue Service pursuant to the Code, such Person shall
be Tax Matters Person.

Termination Date: The date upon which final payment of the
Certificates will be made pursuant to the procedures set forth in Section 9.01(b).

Termination Payment: The final payment delivered to the
Certificateholders on the Termination Date pursuant to the procedures set forth in Section 9.01(b).

Transfer:  Any direct or indirect transfer or sale of any
Ownership Interest in a Residual Certificate.

Transferee: Any Person who is acquiring by Transfer any Ownership
Interest in a Residual Certificate.

Transferee Affidavit and Agreement: An affidavit and agreement in
the form attached hereto as Exhibit J.

Trust: Washington Mutual Mortgage Pass-Through Certificates WMALT
Series 2005-5 Trust, a Delaware statutory trust, created pursuant to this Agreement.

Trustee: LaSalle Bank National Association, or its
successor-in-interest as provided in Section 8.09, or any successor trustee appointed as herein provided.

Uncollected Interest: With respect to any Distribution Date for
any Mortgage Loan on which a Payoff was made by a Mortgagor during the related Payoff Period, except for Payoffs received during
the period from the first through the 14th day of the month of such Distribution Date, an amount equal to one month’s
interest at the applicable Pass-Through Rate on such Mortgage Loan less the amount of interest actually paid by the Mortgagor with
respect to such Payoff.

Uncompensated Interest Shortfall: For any Distribution Date, the
sum of (i) the aggregate Relief Act Shortfall for such Distribution Date, (ii) aggregate Curtailment Shortfall for such
Distribution Date and (iii) the excess, if any, of (a) aggregate Uncollected Interest for such Distribution Date over (b)
Compensating Interest for such Distribution Date.

Uncompensated Interest Shortfall shall
be allocated to the REMIC I Regular Interests, pro rata according to the amount of interest accrued but unpaid on each such Class,
in reduction thereof.

Underwriter: WaMu Capital Corp.

Underwriting Standards: The underwriting
standards of Washington Mutual Bank, or the published underwriting standards of the Company, or, if the related Mortgage Loan was
underwritten pursuant to underwriting standards other than the published underwriting standards of the Company, then such other
underwriting standards.

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 3.07.

U.S. Person: A citizen or resident of the United States, a
corporation, partnership or other entity created or organized in or under the laws of the United States, any state thereof or the
District of Columbia, or an estate or trust that is subject to U.S. federal income tax regardless of the source of its income.

VA: The Department of Veterans Affairs, formerly known as the
Veterans Administration, or any successor thereto.

Withdrawal Date: Any day during the period commencing on the 18th
day of the month of the related Distribution Date (or if such day is not a Business Day, the immediately preceding Business Day)
and ending on the last Business Day prior to the 21st day of the month of such Distribution Date.The “related Due Date” for any Withdrawal Date is the Due Date
immediately preceding the related Distribution Date.

Yield Maintenance Account:  The separate trust account
maintained and held by the Trustee pursuant to Section 3.16, which account shall bear a designation clearly indicating that the
funds deposited therein are held in trust for the benefit of the Trust on behalf of the Class CB-1 and Class CB-6
Certificateholders, and which account provides that the Trustee may make, or cause to be made, withdrawals therefrom in accordance
with Section 3.16.

Yield Maintenance Agreements:  The transactions evidenced by
the novation agreement, together with the related confirmations, each dated as of June 28, 2005, and any other related documents
thereto, between the Cap Counterparty and the Trustee, which shall be an asset of the Trust.

Yield Maintenance Notional Balance:  For the Class CB-1
Certificates and the Class CB-6 Certificates and for any Distribution Date from and including July 2005 to and including the
related Final Yield Maintenance Payment Date, the corresponding amount listed for such Class and such Distribution Date in Schedule
1 of the Prospectus.

Yield Maintenance Payment Amount:  For the Class CB-1
Certificates and for any Distribution Date on or before the related Final Yield Maintenance Payment Date, the lesser of (a) the
amounts received by the Trustee pursuant to the Yield Maintenance Agreement with respect to the Class CB-1 Certificates for
such Distribution Date and deposited by the Trustee into the Yield Maintenance Account in accordance with Section 3.16 and (b) the
product of (i) the excess, if any, of (x) LIBOR (as determined on the LIBOR Determination Date by the Cap Counterparty), subject to
a maximum of 9.600%, over (y) 5.100%, (ii) the lesser of (a) the Class CB-1 Principal Balance immediately prior to such
Distribution Date and (b) the related Yield Maintenance Notional Balance for such Distribution Date and (iii) one-twelfth.

For the Class CB-6 Certificates
and for any Distribution Date on or before the related Final Yield Maintenance Payment Date, the lesser of (a) the amounts received
by the Trustee pursuant to the Yield Maintenance Agreement with respect to the Class CB-6 Certificates for such Distribution
Date and deposited by the Trustee into the Yield Maintenance Account in accordance with Section 3.16 and (b) the product of (i) the
excess, if any, of (x) LIBOR (as determined on the LIBOR Determination Date by the Cap Counterparty), subject to a maximum of
8.900%, over (y) 6.900%, (ii) the lesser of (a) the Class CB-6 Principal Balance immediately prior to such Distribution Date
and (b) the related Yield Maintenance Notional Balance for such Distribution Date and (iii) one-twelfth.

ARTICLE II

Creation of the Trust; Conveyance of the Mortgage Pool Assets, REMIC I Regular Interests and REMIC II Regular Interests; REMIC
Election and Designations; Original Issuance of Certificates

Section 2.01.        Creation of the Trust.  The Trust is hereby created and shall be known as
“Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5 Trust”. The purpose of the Trust is, and the
Trust shall have the power and authority, to engage in the following activities, all as provided by and subject to the terms of
this Agreement:

(i)         to acquire, hold, lease, manage, administer, control,
invest, reinvest, operate and/or transfer the Mortgage Pool Assets, the REMIC II Assets and the Yield Maintenance
Agreements;

(ii)        to issue the REMIC I Regular Interests, the REMIC II Regular
Interests and the Certificates;

(iii)       to make distributions to the REMIC I Regular Interests, the REMIC II
Regular Interests and the Certificates; and

(iv)       to engage in such other activities, including entering into agreements,
as are described in or required by the terms of this Agreement or as are necessary, suitable or convenient to accomplish the
foregoing or incidental thereto.

LaSalle Bank National Association is hereby appointed as a trustee of the Trust, to have all the rights, duties
and obligations of the Trustee with respect to the Trust expressly set forth hereunder, and LaSalle Bank National Association
hereby accepts such appointment and the Trust created hereby.  Christiana Bank & Trust Company is hereby appointed as a
Delaware trustee of the Trust, to have all the rights, duties and obligations of the Delaware Trustee with respect to the Trust
hereunder, and Christiana Bank & Trust Company hereby accepts such appointment and the Trust created hereby.  It is the
intention of the Company, the Servicer, the Trustee and the Delaware Trustee that the Trust constitute a statutory trust under the
Statutory Trust Statute, that this Agreement constitute the governing instrument of the Trust, and that this Agreement amend and
restate the Original Trust Agreement.  The parties hereto acknowledge and agree that, prior to the execution and delivery
hereof, the Delaware Trustee has filed the Certificate of Trust.

The assets of the Trust shall remain in
the custody of the Trustee (or Custodian), on behalf of the Trust, and shall be owned by the Trust except as otherwise expressly
set forth herein.  Moneys to the credit of the Trust shall be held by the Trustee and invested as provided herein.  All
assets received and held in the Trust will not be subject to any right, charge, security interest, lien or claim of any kind in
favor of either of LaSalle Bank National Association or Christiana Bank & Trust Company in its own right, or any Person
claiming through it.  Neither the Trustee nor the Delaware Trustee, on behalf of the Trust, shall have the power or authority
to transfer, assign, hypothecate, pledge or otherwise dispose of any of the assets of the Trust to any Person, except as permitted
herein.  No creditor of a beneficiary of the Trust, of the Trustee, of the Delaware Trustee, of the Servicer or of the Company
shall have any right to obtain possession of, or otherwise exercise legal or equitable remedies with respect to, the property of
the Trust, except in accordance with the terms of this Agreement.

Section 2.02.        Restrictions on Activities of the Trust. Notwithstanding any other provision of this
Agreement and any provision of law that otherwise so empowers the Trust, so long as any Certificates are outstanding, the Trust
shall not, and none of the Trustee, the Delaware Trustee, the Company or the Servicer shall knowingly cause the Trust to, do any of
the following:

(i)         engage in any business or activity other than those set
forth in Section 2.01;

(ii)        incur or assume any indebtedness except for such indebtedness
that may be incurred by the Trust in connection with the execution or performance of this Agreement or any other agreement
contemplated hereby;

(iii)       guarantee or otherwise assume liability for the debts of any other
party;

(iv)       do any act in contravention of this Agreement or any other agreement
contemplated hereby to which the Trust is a party;

(v)        do any act which would make it impossible to carry on the ordinary
business of the Trust;

(vi)       confess a judgment against the Trust;

(vii)      possess or assign the assets of the Trust for other than a Trust
purpose;

(viii)      cause the Trust to lend any funds to any entity, except as contemplated by
this Agreement; or

(ix)       change the purposes and powers of the Trust from those set forth in
this Agreement.

Section 2.03.        Separateness Requirements. Notwithstanding any other provision of this Agreement and any
provision of law that otherwise so empowers the Trust, so long as any Certificates are outstanding, the Trust shall perform the
following:

(i)         except as expressly permitted by this Agreement or the
Custodial Agreement, maintain its books, records, bank accounts and files separate from those of any other
Person;

(ii)        except as expressly permitted by this Agreement, maintain its
assets in its own separate name and in such a manner that it is not costly or difficult to segregate, identify, or ascertain such
assets;

(iii)       consider the interests of the Trust's creditors in connection with its
actions;

(iv)       hold itself out to creditors and the public as a legal entity separate
and distinct from any other Person and correct any known misunderstanding regarding its separate identity and refrain from engaging
in any activity that compromises the separate legal identity of the Trust;

(v)        prepare and maintain separate records, accounts and financial
statements in accordance with generally accepted accounting principles, consistently applied, and susceptible to audit.  To
the extent it is included in consolidated financial statements or consolidated tax returns, such financial statements and tax
returns will reflect the separateness of the respective entities and indicate that the assets of the Trust will not be available to
satisfy the debts of any other Person;

(vi)       allocate and charge fairly and reasonably any overhead shared with any
other Person;

(vii)      transact all business with affiliates on an arm's-length basis and pursuant
to written, enforceable agreements;

(viii)      conduct business solely in the name of the Trust.  In that regard all
written and oral communications of the Trust, including, without limitation, letters, invoices, purchase orders and contracts,
shall be made solely in the name of the Trust;

(ix)       maintain a separate office through which its business shall be
conducted, provided that such office may be an office of the Trustee, which office shall not be shared with the Company or any
affiliates of the Company;

(x)        in the event that services have been or are in the future
performed or paid by any Person on behalf of the Trust (other than the Trustee, the Delaware Trustee, the Servicer or the Tax
Matters Person as permitted herein), reimburse such Person, as applicable, for the commercially reasonable value of such services
or expenses provided or incurred by such Person.  Accordingly, (i) the Trust shall reimburse such Person, as applicable, for
the commercially reasonable value of such services or expenses provided or incurred by such Person; (ii) to the extent invoices for
such services are not allocated and separately billed to the Trust, the amount thereof that was or is to be allocated and
separately billed to the Trust was or will be reasonably related to the services provided to the Trust; and (iii) any other
allocation of direct, indirect or overhead expenses for items shared between the Trust and any other Person, was or will be, to the
extent practicable, allocated on the basis of actual use or value of services rendered or otherwise on a basis reasonably related
to actual use or the value of services rendered;

(xi)       except as expressly permitted by this Agreement, not commingle its
assets or funds with those of any other Person;

(xii)      except as expressly permitted by this Agreement, not assume, guarantee, or
pay the debts or obligations of any other Person;

(xiii)      except as expressly permitted by this Agreement, not pledge its assets for
the benefit of any other Person;

(xiv)     not hold out its credit or assets as being available to satisfy the obligations of
others;

(xv)      pay its liabilities only out of its funds;

(xvi)     pay the salaries of its own employees, if any; and

(xvii)     cause the agents and other representatives of the Trust, if any, to act at all
times with respect to the Trust consistently and in furtherance of the foregoing.

None of the Trustee, the Delaware
Trustee, the Company or the Servicer shall  take any action that is inconsistent with the purposes of the Trust or Section
2.02 or Section 2.03.  Neither the Company nor the Servicer shall direct the Trustee or the Delaware Trustee to take any
action that is inconsistent with the purposes of the Trust or Section 2.02 or Section 2.03.

Section 2.04.        Conveyance of Mortgage Pool Assets; Security Interest.

Concurrently with the execution and
delivery hereof, the Company does hereby irrevocably sell, transfer, assign, set over and otherwise convey to the Trust, without
recourse, all the Company’s right, title and interest in and to the Mortgage Pool Assets (such transfer and assignment by the
Company to be referred to herein as the “Conveyance”).

It is the express intent of the parties
hereto that the Conveyance of the Mortgage Pool Assets to the Trust by the Company as provided in this Section 2.04 be, and be
construed as, an absolute sale of the Mortgage Pool Assets. It is, further, not the intention of the parties that such Conveyance
be deemed the grant of a security interest in the Mortgage Pool Assets by the Company to the Trust to secure a debt or other
obligation of the Company. However, in the event that, notwithstanding the intent of the parties, the Mortgage Pool Assets are held
to be the property of the Company, or if for any other reason this Agreement is held or deemed to create a security interest in the
Mortgage Pool Assets, then

(a)        this Agreement shall constitute a security
agreement;

(b)        the conveyance provided for in this Section 2.04 shall be deemed
to be a grant by the Company to the Trust of, and the Company hereby grants to the Trust, to secure all of the Company’s
obligations hereunder, a security interest in all of the Company’s right, title, and interest, whether now owned or hereafter
acquired, in and to:

(I)        The Mortgage Pool Assets;

(II)       All accounts, chattel paper, deposit accounts, documents, general
intangibles, goods, instruments, investment property, letter-of-credit rights, letters of credit, money, and oil, gas, and other
minerals, consisting of, arising from, or relating to, any of the foregoing; and

(III)      All proceeds of the foregoing.

The Company shall file such financing
statements, and the Company, the Servicer and the Trustee acting on behalf of the Trust at the direction of the Company shall, to
the extent consistent with this Agreement, take such other actions as may be necessary to ensure that, if this Agreement were found
to create a security interest in the Mortgage Pool Assets, such security interest would be a perfected security interest of first
priority under applicable law and will be maintained as such throughout the term of the Agreement. In connection herewith, the
Trust shall have all of the rights and remedies of a secured party and creditor under the Uniform Commercial Code as in force in
the relevant jurisdiction.

Section 2.05.        Delivery of Mortgage Files.

In connection with the sale, transfer
and assignment referred to in Section 2.04, the Company, concurrently with the execution and delivery hereof, does deliver to, and
deposit with, or cause to be delivered to and deposited with, the Trustee or Custodian the Mortgage Files, which shall at all times
be identified in the records of the Trustee or the Custodian, as applicable, as being held by or on behalf of the
Trust.

Concurrently with the execution and
delivery hereof, the Company shall cause to be filed the UCC assignment or amendment referred to in clause (Y)(vii) of the
definition of “Mortgage File.”  In connection with its servicing of Cooperative Loans, the Servicer will use its
best efforts to file timely continuation statements, if necessary, with regard to each financing statement and assignment relating
to Cooperative Loans.

In instances where the original
recorded Mortgage or any intervening assignment thereof (recorded or in recordable form) required to be included in the Mortgage
File pursuant to the definition of “Mortgage File” relating to a Mortgage Loan is not included in the Mortgage File
delivered to the Trustee (or the Custodian) prior to or concurrently with the execution and delivery hereof (due to a delay on the
part of the recording office), the Company shall deliver to the Trustee (or the Custodian) a fully legible reproduction (which may
be in electronic form) of the original Mortgage or intervening assignment provided that the originator, the related Lender or the
escrow or title company which provided closing services in connection with such Mortgage Loan certifies on the face of such
reproduction(s) or copy as follows: “Certified true and correct copy of original which has been transmitted for
recordation.” For purposes hereof, transmitted for recordation means having been mailed or otherwise delivered for
recordation to the appropriate authority. In all such instances, the Company shall transmit the original recorded Mortgage and any
intervening assignments with evidence of recording thereon (or a copy of such original Mortgage or intervening assignment certified
by the applicable recording office) (which may be in electronic form) (collectively, “Recording Documents”) to
the Trustee (or the Custodian) within 270 days after the execution and delivery hereof. In instances where, due to a delay on the
part of the recording office where any such Recording Documents have been delivered for recordation, the Recording Documents cannot
be delivered to the Trustee within 270 days after execution and delivery hereof, the Company shall deliver to the Trustee within
such time period a certificate (a “Company Officer’s Certificate”) signed by the Chairman of the Board,
President, any Vice President or Treasurer of the Company stating the date by which the Company expects to receive such Recording
Documents from the applicable recording office. In the event that Recording Documents have still not been received by the Company
and delivered to the Trustee (or the Custodian) by the date specified in its previous Company Officer’s Certificate delivered
to the Trustee, the Company shall deliver to the Trustee by such date an additional Company Officer’s Certificate stating a
revised date by which the Company expects to receive the applicable Recording Documents. This procedure shall be repeated until the
Recording Documents have been received by the Company and delivered to the Trustee (or the Custodian).

For Mortgage Loans for which the
Company has received a Payoff after the Cut-Off Date and prior to the date of execution and delivery hereof, the Company, in lieu
of delivering the above documents, herewith delivers to the Trustee a certification of a Servicing Officer of the nature set forth
in Section 3.10.

The Trustee is authorized, with the
Servicer’s consent, to appoint any bank or trust company approved by each of the Company and the Servicer as Custodian of the
documents or instruments referred to in this Section 2.05 or in Section 2.10, and to enter into a Custodial Agreement for such
purpose; provided, however, that the Trustee shall be and remain liable for the acts of any such Custodian only to the extent that
it is responsible for its own acts hereunder.  Any documents delivered by the Company or the Servicer to the Custodian, if
any, shall be deemed to have been delivered to the Trustee for all purposes hereunder; and any documents held by the Custodian, if
any, shall be deemed to be held by the Trustee for all purposes hereunder. There shall be a written Custodial Agreement between the
Trustee and each Custodian. Each Custodial Agreement shall contain an acknowledgment by the Custodian that all Mortgage Pool
Assets, Mortgage Files, and other documents and property held by it at any time are held by it for the benefit of the Trust.
Pursuant to the Initial Custodial Agreement, the Initial Custodian shall perform responsibilities of the Trustee on the
Trustee’s behalf with respect to the delivery, receipt, examination, custody and release of the Mortgage Files related to the
Mortgage Loans identified in the Initial Custodial Agreement, as provided therein.  The Trustee shall not have any
responsibility for the acts or omissions of the Initial Custodian provided however that nothing herein shall relieve the Trustee
from liability for its own negligent action, its own negligent failure to act or its willful misconduct.

On or promptly after the Closing Date,
the Servicer shall cause the MERS® System to indicate that each MERS Loan, if any, has been assigned to “LaSalle Bank
National Association, as Custodian/Trustee, without recourse” or to “Washington Mutual Mortgage Pass-Through
Certificates WMALT Series 2005-5 Trust, without recourse” by including in the MERS® System computer files (a) the code
necessary to identify the Trustee and (b) the code necessary to identify the series of the Certificates issued in connection with
such Mortgage Loans; provided, however, that in the event the Company acquired such
Mortgage Loans from an affiliate of the Company, then the Servicer need not cause the MERS® System to indicate such
assignment.  The Servicer shall not alter the codes referenced in this paragraph with respect to any MERS Loan during the term
of this Agreement except in connection with an assignment of such MERS Loan or de-registration thereof from the MERS® System in
accordance with the terms of this Agreement.

Section 2.06.        REMIC Election for REMIC I.

The Tax Matters Person, shall, on
behalf of REMIC I, elect to treat REMIC I as a REMIC within the meaning of Section 860D of the Code and, if necessary, under
applicable state laws. Such election shall be included in the Form 1066 and any appropriate state return to be filed on behalf of
REMIC I for its first taxable year.

The Closing Date is hereby designated
as the “startup day” of REMIC I within the meaning of Section 860G(a)(9) of the Code.

The regular interests (as set forth in
the table contained in the Preliminary Statement hereto) relating to REMIC I are hereby designated as “regular
interests” in REMIC I for purposes of Section 860G(a)(1) of the Code. The Class R-1 Residual Interest is hereby designated as
the sole class of “residual interest” in REMIC I for purposes of Section 860G(a)(2) of the Code. The REMIC I Regular Interests and the Class R-1 Residual Interest shall together be deemed to be a separate
series of beneficial interests in the assets of the Trust consisting of the REMIC I Assets pursuant to Section 3806(b)(2) of the
Statutory Trust Statute.

The parties intend that the affairs of
REMIC I shall constitute, and that the affairs of  REMIC I shall be conducted so as to qualify REMIC I as a REMIC. In
furtherance of such intention, the Tax Matters Person shall, on behalf of REMIC I: (a) prepare and file, or cause to be prepared
and filed, a federal tax return using a calendar year as the taxable year and using an accrual method of accounting for REMIC I
when and as required by the REMIC Provisions and other applicable federal income tax laws; (b) make an election, on behalf of the
trust, for REMIC I to be treated as a REMIC on the federal tax return of  REMIC I for its first taxable year, in accordance
with the REMIC Provisions; (c) prepare and forward, or cause to be prepared and forwarded, to the Holders of the REMIC I Regular
Interests and the Class R-1 Residual Interest and the Trustee, all information reports as and when required to be provided to them
in accordance with the REMIC Provisions, and make available the information necessary for the application of Section 860E(e) of the
Code; (d) conduct the affairs of REMIC I at all times that any REMIC I Regular Interests are outstanding so as to maintain the
status of REMIC I as a REMIC under the REMIC Provisions; (e) not knowingly or intentionally take any action or omit to take any
action that would cause the termination of the REMIC status of REMIC I; and (f) pay the amount of any federal prohibited
transaction penalty taxes imposed on REMIC I when and as the same shall be due and payable (but such obligation shall not prevent
the Tax Matters Person from contesting any such tax in appropriate proceedings and shall not prevent the Tax Matters Person from
withholding payment of such tax, if permitted by law, pending the outcome of such proceedings); provided, that the Tax Matters
Person shall be entitled to be indemnified by REMIC I for any such prohibited transaction penalty taxes if the Tax Matters
Person’s failure to exercise reasonable care was not the primary cause of the imposition of such prohibited transaction
penalty taxes.

The Company, the Trustee and the
Servicer shall promptly provide the Tax Matters Person with such information in the possession of the Trustee, the Company or the
Servicer, respectively, as the Tax Matters Person may from time to time request for the purpose of enabling the Tax Matters Person
to prepare or cause the preparation of tax returns.  If so requested by the Tax Matters Person, the Trustee shall sign tax
returns on behalf of the REMICs.

In the event that a Mortgage Loan is
discovered to have a defect which, had such defect been discovered before the startup day, would have prevented such Mortgage Loan
from being a “qualified mortgage” within the meaning of Section 860G(a)(3) of the Code, and the Company does not
repurchase such Mortgage Loan within 90 days of such date, the Servicer, on behalf of the Trustee, shall within 90 days of the date
such defect is discovered sell such Mortgage Loan at such price as the Servicer in its sole discretion, determines to be the
greatest price that will result in the purchase thereof within 90 days of such date, unless the Servicer delivers to the Trustee an
Opinion of Counsel to the effect that continuing to hold such Mortgage Loan will not adversely affect the status of the electing
portion of REMIC I as a REMIC for federal income tax purposes.

In the event that any tax is imposed on
“prohibited transactions” of REMIC I as defined in Section 860F of the Code and not paid by the Tax Matters Person
pursuant to clause (f) of the third preceding paragraph, such tax shall be charged against amounts otherwise distributable to the
Class R-1 Residual Interest. Notwithstanding anything to the contrary contained herein, the Trustee is hereby authorized to retain
from amounts otherwise distributable to the Class R-1 Residual Interest on any Distribution Date sufficient funds to reimburse the
Tax Matters Person (or any agent therefor appointed in accordance with the definition of “Tax Matters Person” herein,
if applicable), for the payment of such tax (upon the written request of the Tax Matters Person or its agent, to the extent
reimbursable, and to the extent that the Tax Matters Person or its agent has not been previously reimbursed
therefor).

Section 2.07.        Acceptance by Trustee. The Trustee acknowledges receipt (or, with respect to any Mortgage
Loan subject to a Custodial Agreement, including the Initial Custodial Agreement, receipt by the Custodian thereunder) on behalf of
the Trust of the documents (or certified copies thereof as specified in Section 2.05) referred to in Section 2.05 above, but
without having made the review required to be made within 45 days pursuant to this Section 2.07. The Trustee acknowledges that all
Mortgage Pool Assets, Mortgage Files, and related documents and property held by it at any time are held by it as Trustee of the
Trust for the benefit of the Trust as holder of the REMIC I Regular Interests and the Class R-1 Residual Interest. The Trustee
agrees, for the benefit of the Trust, to review (or, with respect to the Mortgage Loans identified in the Initial Custodial
Agreement, cause the Initial Custodian to review) each Mortgage File within 45 days after the Closing Date and deliver to the
Company a certification (or, with respect to the Mortgage Loans identified in the Initial Custodial Agreement, cause the Initial
Custodian to deliver to the Company a certification, which satisfies the applicable requirements of this Agreement) in the form
attached as Exhibit M hereto, to the effect that, except as noted, all documents required (in the case of instruments described in
clauses (X)(iv) and (Y)(ix) of the definition of “Mortgage File,” known by the Trustee to be required) pursuant to the
definition of “Mortgage File” and Section 2.05 have been executed and received, and that such documents relate to the
Mortgage Loans identified in the Mortgage Loan Schedule. In performing such review, the Trustee may rely upon the purported
genuineness and due execution of any such document, and on the purported genuineness of any signature thereon. The Trustee shall
not be required to make any independent examination of any documents contained in each Mortgage File beyond the review specifically
required herein. The Trustee makes no representations as to: (i) the validity, legality, enforceability or genuineness of any of
the Mortgage Loans identified on the Mortgage Loan Schedule, or (ii) the collectability, insurability, effectiveness or suitability
of any Mortgage Loan. If the Trustee finds any document or documents constituting a part of a Mortgage File not to have been
executed or received, or to be unrelated to the Mortgage Loans identified in the Mortgage Loan Schedule, the Trustee shall promptly
so notify the Company. The Company hereby covenants and agrees that, if any such defect cannot be corrected or cured, the Company
shall, not later than 60 days after the Trustee’s notice to it respecting such defect, within the three-month period
commencing on the Closing Date (or within the two-year period commencing on the Closing Date if the related Mortgage Loan is a
“defective obligation” within the meaning of Section 860G(a)(4)(B)(ii) of the Code and Treasury Regulation Section
1.860G-2(f)), either (i) repurchase the related Mortgage Loan from the Trust at the Purchase Price, or (ii) substitute for any
Mortgage Loan to which such defect relates a different mortgage loan (a “Substitute Mortgage Loan”) which is a
“qualified replacement mortgage” (as defined in the Code) and, (iii) after such three-month or two-year period, as
applicable, the Company shall repurchase the Mortgage Loan from the Trust at the Purchase Price but only if the Mortgage Loan is in
default or default is, in the judgment of the Company, reasonably imminent. If such defect would cause the Mortgage Loan to be
other than a “qualified mortgage” (as defined in the Code), then notwithstanding the previous sentence or any provision
in the definition of “Purchase Price”, the repurchase or substitution must occur within the sooner of (i) 90 days from
the date the defect was discovered or (ii) in the case of substitution, two years from the Closing Date.

Such Substitute Mortgage Loan shall
mature no later than, and not more than two years earlier than, have a principal balance and Loan-to-Value Ratio equal to or less
than, and have a Pass-Through Rate on the date of substitution equal to or no more than 1 percentage point greater than the
Mortgage Loan being substituted for. If the aggregate of the principal balances of the Substitute Mortgage Loans substituted for a
Mortgage Loan is less than the Principal Balance of such Mortgage Loan, the Company shall pay the difference in cash, together with
unpaid accrued interest, if any, on the difference between the aggregate of the principal balances of the Substitute Mortgage Loans
and the Principal Balance of such Mortgage Loan during the calendar month in which the substitution occurs to the last day of such
month at a rate equal to the applicable Pass-Through Rate, to the Trustee for deposit into the Certificate Account, and such
payment by the Company shall be treated in the same manner as proceeds of the repurchase by the Company of a Mortgage Loan pursuant
to this Section 2.07. Furthermore, such Substitute Mortgage Loan shall otherwise have such characteristics so that the
representations and warranties of the Company set forth in Section 2.08 hereof would not have been incorrect had such Substitute
Mortgage Loan originally been a Mortgage Loan, and the Company shall be deemed to have made such representations and warranties as
to such Substitute Mortgage Loan. In addition, such Substitute Mortgage Loan shall not be a High Cost Loan or Covered Loan (as such
terms are defined in the Standard & Poor's LEVELS® Glossary in effect on the date of substitution, with such exceptions
thereto as the Company and S&P may reasonably agree). A Substitute Mortgage Loan may be substituted for a defective Mortgage
Loan whether or not such defective Mortgage Loan is itself a Substitute Mortgage Loan.  Notwithstanding anything herein to the
contrary, each Substitute Mortgage Loan shall be deemed to have the same Pass-Through Rate as the Mortgage Loan for which it was
substituted.

The Purchase Price for each purchased
or repurchased Mortgage Loan shall be deposited by the Company in the Certificate Account and, upon receipt by the Trustee of
written notification of such deposit signed by a Servicing Officer, the Trustee shall (or, if applicable, shall cause the Custodian
to) release to the Company or the Company’s designee the related Mortgage File and shall execute and deliver (or, in the
event that the Mortgage Files are held in the name of the Custodian, shall cause the Custodian to execute and deliver) on behalf of
the Trust such instruments of transfer or assignment, in each case without recourse, as shall be necessary to vest in the Company
or its designee or assignee title to any Mortgage Loan released pursuant hereto. In furtherance of the foregoing, if such Mortgage
Loan is a MERS Loan and as a result of the repurchase thereof such Mortgage Loan shall cease to be serviced by a servicer that is a
member of MERS or if the Company or its assignee shall so request, the Servicer shall cause MERS to execute and deliver an
assignment of the Mortgage in recordable form from MERS to the Company or its assignee and shall cause the Mortgage Loan to be
removed from registration on the MERS® System in accordance with MERS’ rules and procedures. The obligation of the
Company to repurchase or substitute any Mortgage Loan as to which such a defect in a constituent document exists shall constitute
the sole remedy respecting such defect available to the Trust or the Holders of the REMIC I Regular Interests or the Class R-1
Residual Interest.

Section 2.08.        Representations and Warranties of the Company Concerning the Mortgage Loans. With respect
to the conveyance of the Mortgage Loans provided for in Section 2.04 herein, the Company hereby represents and warrants to the
Trust that as of the Cut-Off Date unless otherwise indicated:

(i)                 
The information set forth in the Mortgage Loan Schedule was true and correct in all material respects at the date or dates
respecting which such information is furnished;

(ii)                As
of the Closing Date, each Mortgage relating to a Mortgage Loan that is not a Cooperative Loan is a valid and enforceable (subject
to Section 2.08(xvi)) first lien on an unencumbered estate in fee simple or (if the related Mortgage Loan is secured by the
interest of the Mortgagor as a lessee under a ground lease) leasehold estate in the related Mortgaged Property subject only to (a)
liens for current real property taxes and special assessments; (b) covenants, conditions and restrictions, rights of way, easements
and other matters of public record as of the date of recording such Mortgage, such exceptions appearing of record being acceptable
to mortgage lending institutions generally or specifically reflected in the appraisal obtained in connection with the origination
of the Mortgage Loan; (c) exceptions set forth in the title insurance policy relating to such Mortgage, such exceptions being
acceptable to mortgage lending institutions generally; and (d) other matters to which like properties are commonly subject which do
not materially interfere with the benefits of the security intended to be provided by the Mortgage;

(iii)              
Immediately upon the transfer and assignment contemplated herein, the Trust shall have good title to, and will be the sole legal
owner of, each Mortgage Loan, free and clear of any encumbrance or lien (other than any lien under this Agreement);

(iv)              Except as set
forth on Schedule 1 hereto, as of the day prior to the Cut-Off Date, all payments due on each Mortgage Loan had been made and no
Mortgage Loan had been delinquent (i.e., was more than 30 days past due) more than once in the preceding 12 months and any such
delinquency lasted for no more than 30 days;

(v)                As
of the Closing Date, there is no late assessment for delinquent taxes outstanding against any Mortgaged Property;

(vi)              As of the
Closing Date, there is no offset, defense or counterclaim to any Mortgage Note, including the obligation of the Mortgagor to pay
the unpaid principal or interest on such Mortgage Note except to the extent that the Buydown Agreement for a Buydown Loan forgives
certain indebtedness of a Mortgagor;

(vii)             As of the Closing
Date, each Mortgaged Property is free of damage and in good repair, ordinary wear and tear excepted;

(viii)           Each Mortgage Loan at the time it
was made complied with all applicable local, state and federal laws, including, without limitation, usury, equal credit
opportunity, disclosure and recording laws, and predatory and abusive lending laws applicable to the originating lender;

(ix)              Each Mortgage
Loan was originated by a savings association, savings bank, credit union, insurance company, or similar institution which is
supervised and examined by a federal or state authority or by a mortgagee approved by the FHA and will be serviced by an
institution which meets the servicer eligibility requirements established by the Company;

(x)                As
of the Closing Date, each Mortgage Loan that is not a Cooperative Loan is covered by an ALTA form or CLTA form of mortgagee title
insurance policy or other form of policy of insurance which has been issued by, and is the valid and binding obligation of, a title
insurer which, as of the origination date of such Mortgage Loan, was qualified to do business in the state in which the related
Mortgaged Property is located. Such policy insures the originator of the Mortgage Loan, its successors and assigns as to the first
priority lien of the Mortgage in the original principal amount of the Mortgage Loan subject to the exceptions set forth in such
policy. Such policy is in full force and effect and inures to the benefit of the Trust upon the consummation of the transactions
contemplated by this Agreement and no claims have been made under such policy, and no prior holder of the related Mortgage,
including the Company, has done, by act or omission, anything which would impair the coverage of such policy;

(xi)              All of the
Mortgage Loans with Loan-to-Value Ratios as of the Cut-Off Date in excess of 80% were covered by a Primary Insurance Policy or an
FHA insurance policy or a VA guaranty, and such policy or guaranty is valid and remains in full force and effect;

(xii)             As of the Closing
Date, all policies of insurance required by this Agreement have been validly issued and remain in full force and effect, including
such policies covering the Company or the Servicer;

(xiii)           As of the Closing Date, each
insurer issuing a Primary Insurance Policy holds a rating acceptable to the Rating Agencies;

(xiv)           Each Mortgage (exclusive of any
riders thereto) was documented by appropriate Fannie Mae/Freddie Mac mortgage instruments in effect at the time of origination, or
other instruments approved by the Company;

(xv)            As of the Closing Date, the
Mortgaged Property securing each Mortgage relating to a Mortgage Loan that is not a Cooperative Loan is improved with a one- to
four-family dwelling unit, including units in a duplex, triplex, fourplex, condominium project, townhouse, a planned unit
development or a de minimis planned unit development;

(xvi)           As of the Closing Date, each
Mortgage and Mortgage Note is the legal, valid and binding obligation of the maker thereof and is enforceable in accordance with
its terms, except only as such enforcement may be limited by laws affecting the enforcement of creditors’ rights generally
and principles of equity;

(xvii)         As of the date of origination, as to Mortgaged
Properties which are units in condominiums or planned unit developments, all of such units met the applicable Underwriting
Standards, are located in a condominium or planned unit development projects which have received Fannie Mae or Freddie Mac
approval, or are approvable by Fannie Mae or Freddie Mac or have otherwise been approved by the Company;

(xviii)        No Mortgage Loan is a Buydown Loan;

(xix)           Based solely on representations of
the Mortgagors obtained at the origination of the related Mortgage Loans, approximately 89.19% (by Principal Balance) of the
Mortgage Loans will be secured by owner occupied Mortgaged Properties which are the primary residences of the related Mortgagors,
approximately 2.30% (by Principal Balance) of the Mortgage Loans will be secured by owner occupied Mortgaged Properties which were
second or vacation homes of the Mortgagors and approximately 8.51% (by Principal Balance) of the Mortgage Loans will be secured by
Mortgaged Properties which were investor properties of the related Mortgagors;

(xx)            Prior to origination or
refinancing, an appraisal of each Mortgaged Property was made by an appraiser on a form satisfactory to Fannie Mae or Freddie
Mac;

(xxi)           The Mortgage Loans have been
underwritten substantially in accordance with the applicable Underwriting Standards;

(xxii)         All of the Mortgage Loans have due-on-sale
clauses; however, the due on sale provisions may not be exercised at the time of a transfer if prohibited by law;

(xxiii)        The Company used no adverse selection procedures in
selecting the Mortgage Loans from among the outstanding fixed-rate conventional mortgage loans purchased by it which were available
for inclusion in the Mortgage Pool and as to which the representations and warranties in this Section 2.08 could be made;

(xxiv)       With respect to each Cooperative Loan, the Cooperative
Stock that is pledged as security for the Cooperative Loan is held by a person as a tenant-stockholder (as defined in Section 216
of the Code) in a cooperative housing corporation (as defined in Section 216 of the Code);

(xxv)         Each Cooperative Loan is secured by a valid,
subsisting and enforceable (except as such enforcement may be limited by laws affecting the enforcement of creditors’ rights
generally and principles of equity) perfected first lien and security interest in the related Cooperative Stock securing the
related Mortgage Note, subject only to (a) liens of the Cooperative for unpaid assessments representing the Mortgagor’s pro
rata share of the Cooperative’s payments for its blanket mortgage, current and future real property taxes, insurance
premiums, maintenance fees and other assessments to which like collateral is commonly subject, and (b) other matters to which like
collateral is commonly subject which do not materially interfere with the benefits of the security intended to be provided by the
Security Agreement;

(xxvi)       With respect to any Mortgage Loan as to which an affidavit
has been delivered to the Trustee certifying that the original Mortgage Note is a Destroyed Mortgage Note, if such Mortgage Loan is
subsequently in default, the enforcement of such Mortgage Loan or of the related Mortgage by or on behalf of the Trust will not be
materially adversely affected by the absence of the original Mortgage Note (or portion thereof, as applicable);

(xxvii)      Based upon an appraisal of the Mortgaged Property securing each
Mortgage Loan, approximately 94.96% (by Principal Balance) of the Mortgage Loans had a current Loan-to-Value Ratio less than or
equal to 80%, approximately 4.95% (by Principal Balance) of the Mortgage Loans had a current Loan-to-Value Ratio greater than 80%
but less than or equal to 95% and approximately 0.09% (by Principal Balance) of the Mortgage Loans had a current Loan-to-Value
Ratio greater than 95%;

(xxviii)    Approximately 56.09% (by Principal Balance) of the Mortgage Loans were
originated for the purpose of refinancing existing mortgage debt, including cash-out refinancings; and approximately 43.90% (by
Principal Balance) of the Mortgage Loans were originated for the purpose of purchasing the Mortgaged Property;

(xxix)       Not less than approximately 26.32% (by Principal Balance)
of the Mortgage Loans, respectively, were originated under full documentation programs;

(xxx)         Each Mortgage Loan constitutes a qualified
mortgage under Section 860G(a)(3)(A) of the Code and Treasury Regulations Section 1.860G-2(a)(1);

(xxxi)       No Mortgage Loan is a High Cost Loan or Covered Loan (as
such terms are defined in the Standard & Poor's LEVELS® Glossary in effect on the Closing Date, which is now Version 5.6b
Revised, Appendix E, applicable portions of which are attached hereto as Exhibit C), and no mortgage loan originated on or after
October 1, 2002 through March 6, 2003 is governed by the Georgia Fair Lending Act;

(xxxii)      No Mortgage Loan is subject to the Home Ownership and Equity
Protection Act of 1994 or Section 226.32 of Regulation Z, is a “high-cost” loan or a “predatory” loan as
defined under any state or local law or regulation applicable to the originator of such Mortgage Loan or which would result in
liability to the purchaser or assignee of such Mortgage Loan under any predatory or abusive lending law, or, without limiting the
generality of the foregoing, is a “covered” loan under the laws of the states of California, Colorado or Ohio;
and

(xxxiii)    No Mortgage Loan has a Closing Date Loan-to-Value Ratio greater than
100%.

It is understood and agreed that the
representations and warranties set forth in this Section 2.08 shall survive delivery of the respective Mortgage Files to the
Trustee or the Custodian, as the case may be, and shall continue throughout the term of this Agreement. Upon discovery by any of
the Company, the Servicer, the Trustee or the Custodian of a breach of any of the foregoing representations and warranties (in the
case of a breach of the representation set forth in clause (xxxiii) of this Section 2.08, as based on a determination of the
applicable Closing Date Loan-to-Value Ratio using such evidence as is reasonably designed to approximate the value of the
applicable Mortgaged Property as of the Closing Date) which materially and adversely affects the value of the related Mortgage
Loans or the interests of the Trust in the related Mortgage Loans, the Company, the Servicer, the Trustee or the Custodian, as the
case may be, discovering such breach shall give prompt written notice to the others. Any breach of the representation set forth in
clause (xxxi) or clause (xxxii) of this Section 2.08 shall be deemed to materially and adversely affect the value of the related
Mortgage Loans or the interests of the Trust in the related Mortgage Loans. Within 90 days of its discovery or its receipt of
notice of breach, the Company shall repurchase, subject to the limitations set forth in the definition of “Purchase
Price,” or substitute for the affected Mortgage Loan or Mortgage Loans or any property acquired in respect thereof from the
Trust, unless it has cured such breach in all material respects; provided, however, that in the case of a breach of the representation set forth in clause (xxxiii) of
this Section 2.08, any such substitution may be made only within two years after the Closing Date. After the end of the three-month
period beginning on the “start-up day,” any such substitution shall be made only if the Company provides to the Trustee
an Opinion of Counsel addressed to the Trust and the Trustee reasonably satisfactory to the Trustee that each Substitute Mortgage
Loan will be a “qualified replacement mortgage” within the meaning of Section 860G(a)(4) of the Code. Such substitution
shall be made in the manner and within the time limits set forth in Section 2.07. Any such repurchase by the Company shall be
accomplished in the manner and at the Purchase Price, if applicable, but shall not be subject to the time limits, set forth in
Section 2.07. It is understood and agreed that the obligation of the Company to provide such substitution or to make such
repurchase of any affected Mortgage Loan or Mortgage Loans or any property acquired in respect thereof as to which a breach has
occurred and is continuing shall constitute the sole remedy respecting such breach available to the Holders of the REMIC I Regular
Interests and the Class R-1 Residual Interest or the Trustee on behalf of the Holders of the REMIC I Regular Interests and the
Class R-1 Residual Interest.

Section 2.09.        Acknowledgment of Transfer of Mortgage Pool Assets. The Trustee hereby  acknowledges
and accepts on behalf of the Trust the transfer and assignment to the Trust of the Mortgage Pool Assets, but without having made
the review required to be made within 45 days pursuant to Section 2.07, and declares that as of the Closing Date it (or, with
respect to the Mortgage Loans identified in the Initial Custodial Agreement, the Custodian on behalf of the Trustee) holds and
shall hold any documents constituting a part of the Mortgage Pool Assets, and the Mortgage Pool Assets, as Trustee in trust, upon
the trust herein set forth, for the use and benefit of all present and future Holders of the REMIC I Regular Interests and the
Class R-1 Residual Interest.  In connection therewith, as of the Closing Date, in exchange for the Mortgage Pool Assets, the
Trust does hereby issue to the Company the REMIC I Regular Interests and the Class R-1 Residual Interest.

Section 2.10.        Conveyance of REMIC II Assets; Security Interest.  Concurrently with the execution
and delivery hereof, the Company does hereby irrevocably sell, transfer, assign, set over, and otherwise convey to the Trust,
without recourse, all the Company’s right, title and interest in and to the REMIC II Assets. Pursuant to Section 3818 of the
Statutory Trust Statute, the REMIC I Regular Interests shall not be cancelled and shall be held as treasury interests owned by the
Trust. The Trustee acknowledges that the REMIC II Assets are held by it as Trustee of the Trust for the benefit of the holders of
the Certificates. It is the express intent of the parties hereto that the conveyance of the REMIC II Assets to the Trust by the
Company as provided in this Section 2.10 be, and be construed as, an absolute sale of the REMIC II Assets. It is, further, not the
intention of the parties that such conveyance be deemed the grant of a security interest in the REMIC II Assets by the Company to
the Trust to secure a debt or other obligation of the Company. However, in the event that, notwithstanding the intent of the
parties, the REMIC II Assets are held to be the property of the Company, or if for any other reason this Agreement is held or
deemed to create a security interest in the REMIC II Assets, then

(a)        this Agreement shall constitute a security
agreement;

(b)        the conveyance provided for in this Section 2.10 shall be deemed
to be a grant by the Company to the Trust of, and the Company hereby grants to the Trust, to secure all of the Company’s
obligations hereunder, a security interest in all of the Company’s right, title, and interest, whether now owned or hereafter
acquired, in and to:

(I)        The REMIC I Regular Interests, including without limitation all
rights represented thereby in and to the Mortgage Pool Assets and the proceeds thereof;

(II)       All accounts, chattel paper, deposit accounts, documents, general
intangibles, goods, instruments, investment property, letter-of-credit rights, letters of credit, money, and oil, gas, and other
minerals, consisting of, arising from, or relating to, any of the foregoing; and

(III)      All proceeds of the foregoing.

The Company shall file such financing
statements, and the Company and the Trustee acting on behalf of the Trust at the direction of the Company shall, to the extent
consistent with this Agreement, take such other actions as may be necessary to ensure that, if this Agreement were found to create
a security interest in the REMIC II Assets, such security interest would be a perfected security interest of first priority under
applicable law and will be maintained as such throughout the term of this Agreement. In connection herewith, the Trust shall have
all of the rights and remedies of a secured party and creditor under the Uniform Commercial Code as in force in the relevant
jurisdiction.

Section 2.11.        REMIC Election for REMIC II.

The Tax Matters Person shall, on behalf
of REMIC II, elect to treat REMIC II as a REMIC within the meaning of Section 860D of the Code and, if necessary, under applicable
state laws. Such election shall be included in the Form 1066 and any appropriate state return to be filed on behalf of REMIC II for
its first taxable year.

The Closing Date is hereby designated
as the “startup day” of REMIC II within the meaning of Section 860G(a)(9) of the Code.

The regular interests (as set forth in
the table contained in the Preliminary Statement hereto) relating to REMIC II are hereby designated as “regular
interests” in REMIC II for purposes of Section 860G(a)(1) of the Code. The Class R-2 Residual Interest is hereby designated
as the sole class of “residual interest” in REMIC II for purposes of Section 860G(a)(2) of the Code. The REMIC II Regular Interests and the Class R-2 Residual Interest shall together be deemed to be a
separate series of beneficial interests in the assets of the Trust consisting of the REMIC II Assets pursuant to Section 3806(b)(2)
of the Statutory Trust Statute.

The parties intend that the affairs of
REMIC II shall constitute, and that the affairs of REMIC II shall be conducted so as to qualify it as, a REMIC. In furtherance of
such intention, the Tax Matters Person shall, on behalf of REMIC II: (a) prepare and file, or cause to be prepared and filed, a
federal tax return using a calendar year as the taxable year for REMIC II when and as required by the REMIC provisions and other
applicable federal income tax laws; (b) make an election, on behalf of REMIC II, to be treated as a REMIC on the federal tax return
of REMIC II for its first taxable year, in accordance with the REMIC provisions; (c) prepare and forward, or cause to be prepared
and forwarded, to the Certificateholders and the Holders of the Class R-2 Residual Interest all information reports as and when
required to be provided to them in accordance with the REMIC provisions; (d) conduct the affairs of REMIC II at all times that any
of the Certificates are outstanding so as to maintain the status of REMIC II as a REMIC under the REMIC provisions; (e) not
knowingly or intentionally take any action or omit to take any action that would cause the termination of the REMIC status of REMIC
II; and (f) pay the amount of any federal prohibited transaction penalty taxes imposed on REMIC II when and as the same shall be
due and payable (but such obligation shall not prevent the Tax Matters Person or any other appropriate person from contesting any
such tax in appropriate proceedings and shall not prevent the Tax Matters Person from withholding payment of such tax, if permitted
by law, pending the outcome of such proceedings); provided, that the Tax Matters Person shall be entitled to be indemnified from
REMIC II for any such prohibited transaction penalty taxes if the Tax Matters Person’s failure to exercise reasonable care
was not the primary cause of the imposition of such prohibited transaction penalty taxes.

In the event that any tax is imposed on
“prohibited transactions” of REMIC II as defined in Section 860F of the Code and not paid by the Tax Matters Person
pursuant to clause (f) of the preceding paragraph, such tax shall be charged against amounts otherwise distributable to the Holders
of the Class R-2 Residual Interest. Notwithstanding anything to the contrary contained herein, the Trustee, acting at the request
of the Tax Matters Person, is hereby authorized to retain from amounts otherwise distributable to the Holders of the Class R-2
Residual Interest on any Distribution Date sufficient funds to reimburse the Tax Matters Person for the payment of such tax (to the
extent that the Tax Matters Person has not been previously reimbursed therefor).

Section 2.12.        Acknowledgement of Transfer of REMIC II Assets; Authentication of Certificates. The
Trustee hereby acknowledges and accepts on behalf of the Trust the assignment to the Trust of the REMIC II Assets and declares that
as of the Closing Date it holds and shall hold any documents constituting a part of the REMIC II Assets, and the REMIC II Assets,
as Trustee in trust, upon the trust herein set forth, for the use and benefit of all present and future Holders of the Certificates
(other than the Class R Certificates) and the Class R-2 Residual Interest.  In connection therewith, as of the Closing Date,
in exchange for the REMIC II Assets, the Trustee on behalf of the Trust shall cause to be authenticated and delivered, upon and
pursuant to the order of the Company, the Certificates in Authorized Denominations.

Section 2.13.        Legal Title. Legal title to all assets of the Trust shall be vested at all times in the
Trust as a separate legal entity.

Section 2.14.        Compliance with ERISA Requirements. For purposes of ensuring compliance with the
requirements of the “underwriter’s exemption” (U.S. Department of Labor Prohibited Transaction Exemption 2002-41,
67 Fed. Reg. 54487 (Aug. 22, 2002)), issued under ERISA, and for the avoidance of any doubt as to the applicability of other
provisions of this Agreement, to the fullest extent permitted by applicable law and except as contemplated by this Agreement, (1)
the Trust shall not be a party to any merger, consolidation or reorganization, or liquidate or sell its assets and (2) so long as
any Certificates are outstanding, none of the Company, the Trustee, the Servicer or the Delaware Trustee shall institute against
the Trust, or join in any institution against the Trust of, any bankruptcy or insolvency proceedings under any federal or state
bankruptcy, insolvency or similar law.

Section 2.15.        Additional Representation of the Company Concerning the Mortgage Loans. The Company hereby
represents and warrants to the Trust that it does not intend for the Mortgage Pool to include any Mortgage Loan that is a
“high-cost home loan” as defined under the New Jersey Home Ownership Security Act of 2002, the New Mexico Home Loan
Protection Act, the Massachusetts Predatory Home Loan Practices Act or the Indiana Home Loan Practices Act (Indiana Code, Section
24-9 et seq.). Based on the foregoing representation and warranty and on the Company’s obligation, pursuant to Section 2.08,
to repurchase or substitute for the affected Mortgage Loan in the event of a breach of the representation set forth in clauses
(xxxi) or (xxxii) of Section 2.08, the other parties hereto agree and understand that it is not intended for the Mortgage Pool to
include any Mortgage Loan that is a “high-cost home loan” as defined under the New Jersey Home Ownership Security Act
of 2002, the New Mexico Home Loan Protection Act, the Massachusetts Predatory Home Loan Practices Act or the Indiana Home Loan
Practices Act (Indiana Code, Section 24-9 et seq.).

ARTICLE III

Administration and Servicing of Mortgage Loans

Section 3.01.        The Servicer.  Washington Mutual Bank shall act as Servicer to service and administer
the Mortgage Loans on behalf of the Trust in accordance with the terms hereof, consistent with prudent mortgage loan servicing
practices and (unless inconsistent with prudent mortgage loan servicing practices) in the same manner in which, and with the same
care, skill, prudence and diligence with which, it services and administers similar mortgage loans for other portfolios, and shall
have full power and authority to do or cause to be done any and all things in connection with such servicing and administration
which a prudent servicer of mortgage loans would do under similar circumstances, including, without limitation, the power and
authority to bring actions and defend the Mortgage Pool Assets on behalf of the Trust in order to enforce the terms of the Mortgage
Notes.  The Servicer may perform its servicing responsibilities through agents or independent contractors, but shall not
thereby be released from any of its responsibilities hereunder and the Servicer shall diligently pursue all of its rights against
such agents or independent contractors.

The Servicer shall make reasonable
efforts to collect or cause to be collected all payments called for under the terms and provisions of the Mortgage Loans and shall,
to the extent such procedures shall be consistent with this Agreement and the terms and provisions of any Primary Insurance Policy,
any FHA insurance policy or VA guaranty, any hazard insurance policy, and federal flood insurance, cause to be followed such
collection procedures as are followed with respect to mortgage loans comparable to the Mortgage Loans and held in portfolios of
responsible mortgage lenders in the local areas where each Mortgaged Property is located. The Servicer shall enforce
“due-on-sale” clauses with respect to the related Mortgage Loans, to the extent permitted by law, subject to the
provisions set forth in Section 3.08.

Consistent with the foregoing, the
Servicer may, in accordance with prudent mortgage loan servicing practices, (i) waive or cause to be waived any assumption fee or
late payment charge in connection with the prepayment of any Mortgage Loan and (ii) only upon determining that the coverage of any
applicable insurance policy or guaranty related to a Mortgage Loan will not be materially adversely affected, arrange a schedule,
running for no more than 180 days after the first delinquent Due Date, for payment of any delinquent installment on any Mortgage
Note or for the liquidation of delinquent items.

Consistent with the terms of this
Section 3.01, the Servicer may waive, modify or vary any term of any Mortgage Loan or consent to the postponement of strict
compliance with any such term or in any manner grant indulgence to any Mortgagor if it has determined, exercising its good faith
business judgment in the same manner as it would if it were the owner of the related Mortgage Loan, that the security for, and the
timely and full collectability of, such Mortgage Loan would not be adversely affected by such waiver, modification, postponement or
indulgence; provided, however, that (unless the Mortgagor is in default with respect
to the Mortgage Loan or in the reasonable judgment of the Servicer such default is imminent) the Servicer shall not permit any
modification with respect to any Mortgage Loan that would (i) change the applicable Mortgage Interest Rate, defer or forgive the
payment of any principal or interest, reduce the outstanding principal balance (except for actual payments of principal) or extend
the final maturity date with respect to such Mortgage Loan, or (ii) be inconsistent with the terms of any applicable Primary
Insurance Policy, FHA insurance policy, VA guaranty, hazard insurance policy or federal flood insurance policy. Notwithstanding the
foregoing, the Servicer shall not permit any modification with respect to any Mortgage Loan that would both constitute a sale or
exchange of such Mortgage Loan within the meaning of Section 1001 of the Code (including any proposed, temporary or final
regulations promulgated thereunder) (other than in connection with a proposed conveyance or assumption of such Mortgage Loan that
is treated as a Principal Prepayment or in a default situation) and cause any REMIC to fail to qualify as such under the Code. The
Servicer shall be entitled to approve a request from a Mortgagor for a partial release of the related Mortgaged Property, the
granting of an easement thereon in favor of another Person, any alteration or demolition of the related Mortgaged Property or other
similar matters if it has determined, exercising its good faith business judgment in the same manner as it would if it were the
owner of the related Mortgage Loan, that the security for, and the timely and full collectability of, such Mortgage Loan would not
be adversely affected thereby and that REMIC I and REMIC II would not fail to continue to qualify as REMICs under the Code as a
result thereof and that no tax on “prohibited transactions” or “contributions” after the startup day would
be imposed on any REMIC as a result thereof.

The Servicer is hereby authorized and
empowered by the Trust to, and shall, execute and deliver or cause to be executed and delivered on behalf of the Holders of the
REMIC I Regular Interests and the Class R-1 Residual Interest, and the Trust or any of them, any and all instruments of
satisfaction or cancellation, or of partial or full release, discharge or modification, assignments of Mortgages and endorsements
of Mortgage Notes in connection with refinancings (in jurisdictions where such assignments are the customary and usual standard of
practice of mortgage lenders) and all other comparable instruments, with respect to the Mortgage Loans and with respect to the
Mortgaged Properties. The Servicer is hereby further authorized and empowered by the Trust to execute and deliver or cause to be
executed and delivered on behalf of the Holders of the REMIC I Regular Interests and the Class R-1 Residual Interest and the
Trust, or any of them, such instruments of assignment or other comparable instruments as the Servicer shall, in its sole judgment,
deem appropriate in order to register any Mortgage Loan on the MERS® System or to cause the removal of any Mortgage Loan from
registration thereon. Any expenses incurred in connection with the actions described in the preceding sentence shall be borne by
the Servicer with no right of reimbursement; provided, however, that any such
expenses incurred as a result of any termination by MERS of the MERS® System shall be reimbursable to the Servicer.  The
Trustee on behalf of the Trust shall execute and furnish to the Servicer, at the Servicer’s direction, any powers of attorney
and other documents prepared by the Servicer and determined by the Servicer to be necessary or appropriate to enable the Servicer
to carry out its supervisory, servicing and administrative duties under this Agreement.

The Servicer shall obtain (to the
extent generally commercially available) and maintain fidelity bond and errors and omissions coverage acceptable to Fannie Mae or
Freddie Mac with respect to its obligations under this Agreement.  The Servicer shall establish escrow accounts for, or pay
when due (by means of an advance), any tax liens in connection with the Mortgaged Properties that are not paid by the Mortgagors
when due to the extent that any such payment would not constitute a Nonrecoverable Advance when made.

In connection with the servicing and
administering of each Mortgage Loan, the Servicer and any affiliate of the Servicer (i) may perform services such as appraisals,
default management and (in the case of affiliates only) brokerage services that are not customarily provided by servicers of
mortgage loans, and shall be entitled to reasonable compensation therefor and (ii) may, at its own discretion and on behalf of
the Trust, obtain credit information in the form of a “credit score” from a credit repository.

Section 3.02.        Custodial Accounts and Buydown Fund Accounts. The Servicer shall establish and maintain
the Custodial Account for P&I, Buydown Fund Accounts (if any) and the special Custodial Account for Reserves and shall deposit
or cause to be deposited therein within 48 hours of receipt the following amounts received or advanced by the Servicer with respect
to the Mortgage Loans:

(i)         all scheduled payments of principal;

(ii)        all scheduled payments of interest, net of the Servicing Fee due
to the Servicer;

(iii)       all Curtailments and Payoffs; and

(iv)       all Insurance Proceeds, Liquidation Proceeds, Excess Liquidation
Proceeds and Subsequent Recoveries;

provided, however, that (x) proceeds received with respect to individual
Mortgage Loans from any title, hazard, or FHA insurance policy, VA guaranty, Primary Insurance Policy or other insurance policy
(other than any Special Primary Insurance Policy) covering such Mortgage Loans, if required for the restoration or repair of the
related Mortgaged Property, may be deposited either in the Custodial Account for Reserves or the Custodial Account for P&I and
(y) such proceeds (other than proceeds from any Special Primary Insurance Policy), if not required for the restoration or repair of
the related Mortgaged Property, and if not released to the Mortgagor in accordance with prudent mortgage loan servicing practices,
shall be deposited in the Custodial Account for P&I, and shall be applied to the balances of the related Mortgage Loans as
payments of interest and principal.

The Servicer is hereby authorized to
make withdrawals from and to issue drafts against the Custodial Accounts for P&I and the Custodial Accounts for Reserves for
the purposes required or permitted by this Agreement.

The Servicer hereby undertakes to
assure remittance to the Certificate Account of all amounts relating to the Mortgage Loans that have been collected by the Servicer
and are due to the Certificate Account pursuant to Section 4.01 of this Agreement.

Funds held in the Custodial Account for
P&I and the Custodial Account for Reserves may, at the Servicer’s option, be invested in (i) one or more Eligible
Investments which shall in no event mature later than the Business Day prior to the related Withdrawal Date (except if such
Eligible Investments are obligations of the Trustee, such Eligible Investments may mature on the Withdrawal Date), or (ii) such
other instruments as shall be required to maintain the Ratings.

Section 3.03.        The Investment Account; Eligible Investments.(a)     Not later than
the Withdrawal Date, the Servicer shall withdraw or direct the withdrawal of funds in the Custodial Accounts for P&I, for
deposit in the Investment Account, in an amount representing:

(i)                 
Scheduled installments of principal and interest on the Mortgage Loans received by the Servicer which were due on the related Due
Date, net of the Servicing Fees and less any amounts to be withdrawn later by the Servicer from the applicable Buydown Fund
Accounts;

(ii)               
Payoffs and the proceeds of other types of liquidations of the Mortgage Loans received by the Servicer for such Mortgage Loans
during the applicable Payoff Period, with interest to the date of Payoff or liquidation less any amounts to be withdrawn later by
the Servicer from the applicable Buydown Fund Accounts; and

(iii)              
Curtailments received by the Servicer in the Prior Period.

At its option, the Servicer may invest
funds withdrawn from the Custodial Accounts for P&I, as well as any Buydown Funds, Insurance Proceeds and Liquidation Proceeds
previously received by the Servicer (including amounts paid by the Company in respect of any Purchase Obligation or its
substitution obligations set forth in Section 2.07 or Section 2.08 or by the Servicer in connection with the exercise of the option
to terminate this Agreement pursuant to Section 9.01) for its own account and at its own risk, during any period prior to their
deposit in the Certificate Account. Such funds, as well as any funds which were withdrawn from the Custodial Accounts for P&I
on or before the Withdrawal Date, but not yet deposited into the Certificate Account, shall immediately be deposited by the
Servicer with the Investment Depository in an Investment Account in the name of the Servicer and the Trust for investment only as
set forth in this Section 3.03. The Servicer shall bear any and all losses incurred on any investments made with such funds and
shall be entitled to retain all gains realized on such investments as additional servicing compensation. Not later than the
Business Day prior to the Distribution Date, the Servicer shall deposit such funds, net of any gains (except Payoff Earnings to the
extent used to pay Compensating Interest) earned thereon, in the Certificate Account.

(b)        Funds held in the Investment Account shall be invested in (i) one
or more Eligible Investments which shall in no event mature later than the Business Day prior to the related Distribution Date
(except if such Eligible Investments are obligations of the Trustee, such Eligible Investments may mature on the Distribution
Date), or (ii) such other instruments as shall be required to maintain the Ratings.

Section 3.04.        The Certificate Account.

(a)        On or prior to the Closing Date, the Trustee shall establish or
cause to be established the Certificate Account, which shall be entitled “Washington Mutual Mortgage Pass-Through
Certificates WMALT Series 2005-5 Trust Certificate Account under the Pooling and Servicing Agreement, dated as of June 1, 2005,
among Washington Mutual Mortgage Securities Corp., as Depositor, Washington Mutual Bank, as Servicer, LaSalle Bank National
Association, as the Trustee, and Christiana Bank & Trust Company, as the Delaware Trustee, for the benefit of Washington Mutual
Mortgage Pass-Through Certificates WMALT Series 2005-5 Trust created pursuant thereto”.  Promptly after the Closing
Date, the Trustee shall communicate to the Servicer the account number and wiring instructions for the Certificate
Account.

Not later than the Business Day prior
to the related Distribution Date, the Servicer shall direct the Investment Depository to deposit into the Certificate Account the
amounts previously deposited into the Investment Account (which may include a deposit of Eligible Investments) to which the Holders
of the REMIC I Regular Interests and the Class R-1 Residual Interest are entitled or which are necessary for payment of any Special
Primary Insurance Premiums. In addition, not later than the Business Day prior to the Distribution Date, the Servicer shall deposit
into the Certificate Account any Monthly P&I Advances or other payments required to be made by the Servicer pursuant to Section
4.02 of this Agreement and any Insurance Proceeds or Liquidation Proceeds (including amounts paid by the Company in respect of any
Purchase Obligation) not previously deposited in the Custodial Accounts for P&I or the Investment Account, and any amounts paid
by the Servicer in connection with the exercise of its option to terminate this Agreement pursuant to Section 9.01 or any other
purchase of Mortgage Loans permitted by this Agreement.

(b)        Funds held in the Certificate Account shall be invested at the
written direction of the Servicer in (i) one or more Eligible Investments which shall in no event mature later than the Business
Day prior to the related Distribution Date (except if such Eligible Investments are obligations of the Trustee, such Eligible
Investments may mature on the Distribution Date), or (ii) such other instruments as shall be required to maintain the
Ratings.  The Servicer shall be entitled to receive any gains earned on such Eligible Investments and shall bear any losses
suffered in connection therewith.  If the Trustee has not received such written investment directions from the Servicer, the
Trustee shall not invest funds held in the Certificate Account.  The Trustee shall have no liability for any losses on
investments of funds held in the Certificate Account.

Section 3.05.        
 Permitted Withdrawals from the Certificate Account, the Investment Account, Custodial Accounts for P&I

and Custodial Accounts
for Reservesand of Buydown Funds from the Buydown
Fund Accounts.

(a)        The Servicer is
authorized to make withdrawals (or, in the case of the Certificate Account, to direct the Trustee to make withdrawals), from time
to time, from the Investment Account, the Certificate Account, the Custodial Accounts for P&I
or the Custodial Accounts for Reservesof amounts deposited therein in respect of the Certificates (and, to the extent applicable, to make
deposits of the amounts withdrawn), as follows:

(i)                 
To reimburse itself for Monthly P&I Advances made pursuant to Section 4.02, such right to reimbursement pursuant to this
paragraph (i) being limited to amounts received on particular Mortgage Loans (including, for this purpose, Insurance Proceeds and
Liquidation Proceeds) which represent late recoveries of principal and/or interest respecting which any such Monthly P&I
Advance was made;

(ii)                To
reimburse itself for amounts expended by or for the account of the Servicer pursuant to Section 3.09 in connection with the
restoration of property damaged by an Uninsured Cause or in connection with the liquidation of a Mortgage Loan;

(iii)               To pay to
itself, with respect to the related Mortgage Loans, the Servicing Fee (net of Compensating Interest reduced by Payoff Earnings and
Payoff Interest) as to which no prior withdrawals from funds deposited by the Servicer have been made;

(iv)              
To reimburse itself for the following amounts advanced with respect to Mortgage Loans (except for
Mortgage Loans purchased by the Servicer): 
 (A)
amounts advanced with respect to payments of taxes referred to in the last sentence of the sixth paragraph of Section 3.01 (to the
extent that such amounts have not otherwise been recovered by the Servicer), (B) amounts incurred in maintaining any insurance
described in Section 3.07 and (C) amounts which the Servicer has determined to be Nonrecoverable
Advances;

(v)                To
pay to itself reinvestment earnings deposited or earned in the Investment Account and the Certificate Account to which it is
entitled and to reimburse itself for expenses incurred by and reimbursable to it pursuant to Section 6.03;

(vi)              To deposit to
the Investment Account amounts in the Certificate Account not required to be on deposit therein at the time of such
withdrawal;

(vii)             To deposit in the
Certificate Account, not later than the Business Day prior to the related Distribution Date, the amounts in the Investment Account
specified in Section 3.04(a);

(viii)           To pay on behalf of the Trustee
any Special Primary Insurance Premium payable by the Trustee pursuant to Section 4.04(a); provided, the Servicer shall give written notice thereof to the Trustee prior to noon New York City
time two Business Days prior to the applicable Distribution Date; and

after making or providing for the above withdrawals

(ix)              To clear and
terminate the Investment Account and the Certificate Account following termination of this Agreement pursuant to Section
9.01.

Since, in connection with withdrawals
pursuant to paragraphs (i) and (ii), the Servicer’s entitlement thereto is limited to collections or other recoveries on the
related Mortgage Loan, the Servicer shall keep and maintain, separate accounting for each Mortgage Loan, for the purpose of
justifying any such withdrawals.

(b)        The Servicer is authorized to make withdrawals, from time to time,
of Buydown Funds from the Buydown Fund Account or Custodial Account for P&I (and, to the extent applicable, to make deposits of
the amounts withdrawn), as follows:

(i)                 
To deposit each month in the Investment Account the amount necessary to supplement payments received on Buydown Loans;

(ii)                In
the event of a Payoff of any Mortgage Loan having a related Buydown Fund, to apply amounts remaining in Buydown Fund Accounts to
reduce the required amount of such principal Payoff (or, if the Mortgagor has made a Payoff, to refund such remaining Buydown Fund
amounts to the Person entitled thereto);

(iii)               In the
event of foreclosure or liquidation of any Mortgage Loan having a Buydown Fund, to deposit remaining Buydown Fund amounts in the
Investment Account as Liquidation Proceeds; and

(iv)              To clear and
terminate the portion of any account representing Buydown Funds following termination of this Agreement pursuant to Section
9.01.

(c)        The Trustee is authorized to make withdrawals from time to time
from the Certificate Account to reimburse itself for advances it has made as successor Servicer pursuant to Section 7.01(a) hereof
that it has determined to be Nonrecoverable Advances.

Section 3.06.        Maintenance of Primary Insurance Policies; Collections Thereunder. The Servicer shall use
commercially reasonable efforts to keep in full force and effect each Primary Insurance Policy (except any Special Primary
Insurance Policy) required with respect to a Mortgage Loan until no longer required, and the Servicer shall use commercially
reasonable efforts to keep in full force and effect each Special Primary Insurance Policy, if any. Notwithstanding the foregoing,
the Servicer shall have no obligation to maintain any Primary Insurance Policy for a Mortgage Loan for which the outstanding
Principal Balance thereof at any time subsequent to origination was 80% or less of the Appraised Value of the related Mortgaged
Property, unless required by applicable law.

Unless required by applicable law, the
Servicer shall not cancel or refuse to renew any Primary Insurance Policy in effect at the date of the initial issuance of the
Certificates that is required to be kept in force hereunder; provided, however, that
the Servicer shall not advance funds for the payment of any premium due under (i) any Primary Insurance Policy (other than a
Special Primary Insurance Policy) if it shall determine that such an advance would be a Nonrecoverable Advance or (ii) any Special
Primary Insurance Policy.

Section 3.07.        Maintenance of Hazard Insurance. The Servicer shall cause to be maintained for each
Mortgage Loan (other than a Cooperative Loan) fire insurance with extended coverage in an amount which is not less than the
original principal balance of such Mortgage Loan, except in cases approved by the Servicer in which such amount exceeds the value
of the improvements to the Mortgaged Property. The Servicer shall also require fire insurance with extended coverage in a
comparable amount on property acquired upon foreclosure, or deed in lieu of foreclosure, of any Mortgage Loan (other than a
Cooperative Loan). Any amounts collected under any such policies (other than amounts to be applied to the restoration or repair of
the related Mortgaged Property) shall be deposited into the Custodial Account for P&I, subject to withdrawal pursuant to
Section 3.03 and Section 3.05. Any unreimbursed costs incurred in maintaining any insurance described in this Section 3.07 shall be
recoverable as an advance by the Servicer from the Custodial Account for P&I, the Investment Account or the Certificate
Account. Such insurance shall be with insurers approved by the Servicer and Fannie Mae or Freddie Mac. Other additional insurance
may be required of a Mortgagor, in addition to that required pursuant to such applicable laws and regulations as shall at any time
be in force and as shall require such additional insurance. Where any part of any improvement to the Mortgaged Property (other than
a Mortgaged Property secured by a Cooperative Loan) is located in a federally designated special flood hazard area and in a
community which participates in the National Flood Insurance Program at the time of origination of the related Mortgage Loan, the
Servicer shall cause flood insurance to be provided. The hazard insurance coverage required by this Section 3.07 may be met with
blanket policies providing protection equivalent to individual policies otherwise required.  The Servicer shall be responsible
for paying any deductible amount on any such blanket policy.  The Servicer agrees to present, or cause to be presented, on
behalf of and for the benefit of the Trust, claims under the hazard insurance policy respecting any Mortgage Loan, and in this
regard to take such reasonable actions as shall be necessary to permit recovery under such policy.

Section 3.08.        Enforcement of Due-on-Sale Clauses; Assumption Agreements. When any Mortgaged Property is
about to be conveyed by the Mortgagor, the Servicer shall, to the extent it has knowledge of such prospective conveyance and prior
to the time of the consummation of such conveyance, exercise on behalf of the Trust the Trust’s rights to accelerate the
maturity of such Mortgage Loan, to the extent that such acceleration is permitted by the terms of the related Mortgage Note, under
any “due-on-sale” clause applicable thereto; provided, however, that the
Servicer shall not exercise any such right if the due-on-sale clause, in the reasonable belief of the Servicer, is not enforceable
under applicable law or if such exercise would result in non-coverage of any resulting loss that would otherwise be covered under
any insurance policy. In the event the Servicer is prohibited from exercising such right, the Servicer is authorized to take or
enter into an assumption and modification agreement from or with the Person to whom a 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 or
unless the Mortgage Note contains a provision allowing a qualified borrower to assume the Mortgage Note, 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 any related Primary Insurance Policy. The Servicer is also authorized 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.  The Servicer shall not enter into any substitution or assumption with
respect to a Mortgage Loan if such substitution or assumption shall (i) both constitute a “significant modification”
effecting an exchange or reissuance of such Mortgage Loan under the Code (or Treasury regulations promulgated thereunder) and cause
the REMICs to fail to qualify as a REMIC under the REMIC Provisions or (ii) cause the imposition of any tax on “prohibited
transactions” or “contributions” after the startup day under the REMIC Provisions.  The Servicer shall
notify the Trustee that any such substitution or assumption agreement has been completed by forwarding to the Trustee (or the
Custodian) the original copy of such substitution or assumption agreement and other documents and instruments constituting a part
thereof. In connection with any such assumption or substitution agreement, the terms of the related Mortgage Note shall not be
changed. Any fee collected by the Servicer for entering into an assumption or substitution of liability agreement shall be retained
by the Servicer as additional servicing compensation.

Notwithstanding the foregoing paragraph
or any other provision of this Agreement, the Servicer shall not be deemed to be in default, breach or otherwise in violation of
any of its obligations hereunder by reason of any assumption of a Mortgage Loan by operation of law or any assumption which the
Servicer may be restricted by law from preventing, for any reason whatsoever.

Section 3.09.        Realization Upon Defaulted Mortgage Loans. The Servicer shall foreclose upon or otherwise
comparably convert, or cause to be foreclosed upon or comparably converted, the ownership of any Mortgaged Property securing a
Mortgage Loan which comes into and continues in default and as to which no satisfactory arrangements can be made for collection of
delinquent payments pursuant to Section 3.01. In lieu of such foreclosure or other conversion, and taking into consideration the
desirability of maximizing net Liquidation Proceeds after taking into account the effect of Insurance Proceeds upon Liquidation
Proceeds, the Servicer may, to the extent consistent with prudent mortgage loan servicing practices, accept a payment of less than
the outstanding Principal Balance of a delinquent Mortgage Loan in full satisfaction of the indebtedness evidenced by the related
Mortgage Note and release the lien of the related Mortgage upon receipt of such payment. The Servicer shall not foreclose upon or
otherwise comparably convert a Mortgaged Property if the Servicer is aware of evidence of toxic waste, other hazardous substances
or other evidence of environmental contamination thereon and the Servicer determines that it would be imprudent to do so. In
connection with such foreclosure or other conversion, the Servicer shall cause to be followed such practices and procedures as it
shall deem necessary or advisable and as shall be normal and usual in general mortgage servicing activities. The foregoing is
subject to the provision that, in the case of damage to a Mortgaged Property from an Uninsured Cause, the Servicer shall not be
required to advance its own funds towards the restoration of the property unless it shall be determined in the sole judgment of the
Servicer, (i) that such restoration will increase the proceeds of liquidation of the Mortgage Loan to Certificateholders after
reimbursement to itself for such expenses, and (ii) that such expenses will be recoverable to it through Liquidation Proceeds. The
Servicer shall be responsible for all other costs and expenses incurred by it in any such proceedings; provided, however, that it shall be entitled to reimbursement thereof (as well as its normal
servicing compensation) as an advance. The Servicer shall maintain information required for tax reporting purposes regarding any
Mortgaged Property which is abandoned or which has been foreclosed or otherwise comparably converted. The Servicer shall report
such information to the Internal Revenue Service and the Mortgagor in the manner required by applicable law.

The Servicer
may enter into one or more special servicing agreements with a Lowest Class B Owner, subject to each Rating Agency’s
acknowledgment that the Ratings of the Certificates in effect immediately prior to the entering into of such agreement would not be
qualified, downgraded or withdrawn and the Certificates would not be placed on credit review status (except for possible upgrading)
as a result of such agreement.  Any such agreement may contain provisions whereby such Lowest Class B Owner may (a) instruct
the Servicer to commence or delay foreclosure proceedings with respect to delinquent Mortgage Loans, provided that the Lowest Class
B Owner deposits a specified amount of cash with the Servicer that will be available for distribution to Certificateholders if
Liquidation Proceeds are less than they otherwise may have been had the Servicer acted pursuant to its normal servicing procedures,
(b) purchase such delinquent Mortgage Loans from the Trust immediately prior to the commencement of foreclosure proceedings at a
price equal to the aggregate outstanding Principal Balance of such Mortgage Loans plus accrued interest thereon at the applicable
Mortgage Interest Rate through the last day of the month in which such Mortgage Loans are purchased and/or (c) assume all of the
servicing rights and obligations with respect to such delinquent Mortgage Loans so long as (i) the Servicer has the right to
transfer the servicing rights and obligations of such Mortgage Loans to another servicer and (ii) such Lowest Class B Owner will
service such Mortgage Loans in accordance with the terms of this Agreement.

REMIC I shall not acquire any real
property (or personal property incident to such real property) except in connection with a default or imminent default of a
Mortgage Loan. In the event that REMIC I acquires any real property (or personal property incident to such real property) in
connection with a default or imminent default of a Mortgage Loan, such property shall be disposed of by the Servicer as soon as
practicable in a manner that, consistent with prudent mortgage loan servicing practices, maximizes the net present value of the
recovery to the Trust, but in any event within three years after its acquisition by the Servicer for REMIC I unless the Servicer
provides to the Trustee an Opinion of Counsel to the effect that the holding by REMIC I of such Mortgaged Property subsequent to
three years after its acquisition will not result in the imposition of taxes on “prohibited transactions” of REMIC I as
defined in Section 860F of the Code or under the law of any state in which real property securing a Mortgage Loan owned by REMIC I
is located or cause REMIC I to fail to qualify as a REMIC for federal income tax purposes or for state tax purposes under the laws
of any state in which real property securing a Mortgage Loan owned by REMIC I is located at any time that any Certificates are
outstanding. The Servicer shall conserve, protect and operate each such property for the Certificateholders solely for the purpose
of its prompt disposition and sale in a manner which does not cause such property to fail to qualify as “foreclosure
property” within the meaning of Section 860G(a)(8) or result in the receipt by the REMIC of any “income from
non-permitted assets” within the meaning of Section 860F(a)(2)(B) of the Code or any “net income from foreclosure
property” which is subject to taxation under the REMIC Provisions. Pursuant to its efforts to sell such property, the
Servicer shall either itself or through an agent selected by the Servicer protect and conserve such property in the same manner and
to such extent as is customary in the locality where such property is located and may, incident to its conservation and protection
of the assets of the Trust, rent the same, or any part thereof, as the Servicer deems to be in the best interest of the Servicer
and the Trust for the period prior to the sale of such property. Additionally, the Servicer shall perform the tax withholding and
shall file information returns with respect to the receipt of mortgage interests received in a trade or business, the reports of
foreclosures and abandonments of any Mortgaged Property and the information returns relating to cancellation of indebtedness income
with respect to any Mortgaged Property required by Sections 6050H, 6050J and 6050P, respectively, of the Code, and deliver to the
Trustee an Officers’ Certificate on or before March 31 of each year stating that such reports have been filed.  Such
reports shall be in form and substance sufficient to meet the reporting requirements imposed by Sections 6050H, 6050J and 6050P of
the Code.

Notwithstanding any other provision of
this Agreement, the Servicer and the Trustee, as applicable, shall comply with all federal withholding requirements with respect to
payments to Certificateholders of interest or original issue discount that the Servicer or the Trustee reasonably believes are
applicable under the Code.  The consent of Certificateholders shall not be required for any such withholding.  Without
limiting the foregoing, the Servicer agrees that it will not withhold with respect to payments of interest or original issue
discount in the case of a Certificateholder that has furnished or caused to be furnished an effective Form W-8 or an acceptable
substitute form or a successor form and who is not a “10 percent shareholder” within the meaning of Code Section
871(h)(3)(B) or a “controlled foreign corporation” described in Code Section 881(c)(3)(C) with respect to REMIC I,
REMIC II or the  depositor.  In the event the Trustee withholds any amount from interest or original issue discount
payments or advances thereof to any Certificateholder pursuant to federal withholding requirements, the Trustee shall indicate the
amount withheld to such Certificateholder.

Section 3.10.        Trustee to Cooperate; Release of Mortgage Files. Upon the Payoff or scheduled maturity of
any Mortgage Loan, the Servicer shall cause such final payment to be deposited within 48 hours in the related Custodial Account for
P&I or the Investment Account.  The Servicer shall promptly notify the Trustee thereof by a certification (which
certification shall include a statement to the effect that all amounts received in connection with such payment which are required
to be deposited in either such account have been so deposited) of a Servicing Officer and shall request delivery to it of the
Mortgage File; provided, however, that such certification shall not be required if the Mortgage File is held by a Custodian which
is also the Servicer of the Mortgage Loan. Upon receipt of such certification and request, the Trustee (or Custodian) shall, not
later than the fifth succeeding Business Day, release, or cause to be released, the related Mortgage File to the Servicer. With any
such Payoff or other final payment, the Servicer is authorized (i) to prepare for and procure from the trustee or mortgagee under
the Mortgage which secured the Mortgage Note a deed of full reconveyance or other form of satisfaction or assignment of Mortgage
and endorsement of Mortgage Note in connection with a refinancing covering the Mortgaged Property, which satisfaction, endorsed
Mortgage Note or assigning document shall be delivered by the Servicer to the person or persons entitled thereto, and (ii) with
respect to any MERS Loan, to cause the removal of such Mortgage Loan from registration on the MERS® System. No expenses
incurred in connection with such satisfaction or assignment shall be payable to the Servicer by the Trustee or from the Certificate
Account, the related Investment Account or the related Custodial Account for P&I. From time to time as appropriate for the
servicing or foreclosure of any Mortgage Loan, including, for this purpose, collection under any Primary Insurance Policy, the
Trustee (or Custodian) shall, upon request of the Servicer and delivery to it of a trust receipt signed by a Servicing Officer,
release not later than the fifth Business Day following the date of receipt of such request and trust receipt the related Mortgage
File to the Servicer and shall execute such documents as shall be necessary to the prosecution of any such proceedings. Such trust
receipt shall obligate the Servicer to return the Mortgage File to the Trustee (or Custodian) when the need therefor by the
Servicer no longer exists, unless the Mortgage Loan shall be liquidated, in which case, upon receipt of a certificate of a
Servicing Officer similar to that herein above specified, the trust receipt shall be released by the Trustee to the Servicer.

Section 3.11.        Compensation to the Servicer. As compensation for its activities hereunder, the Servicer
shall be entitled to receive from the accounts listed in Section 3.05(a) the amounts provided for by Section 3.05(a)(iii). The
Servicer shall be required to pay all expenses incurred by it in connection with its activities hereunder and shall not be entitled
to reimbursement therefor, except as specifically provided herein.

Section 3.12.        Reports to the Trustee; Certificate Account Statement. Not later than 15 days after each
Distribution Date, the Servicer shall forward a statement, certified by a Servicing Officer, to the Trustee setting forth the
status of the Certificate Account as of the close of business on such Distribution Date and showing, for the period covered by such
statement, the aggregate of deposits into and withdrawals from the Certificate Account for each category of deposit specified in
Section 3.04 and each category of withdrawal specified in Section 3.05, and stating that all distributions required by this
Agreement have been made (or if any required distribution has not been made, specifying the nature and amount thereof).  The
Trustee shall make available such statements to any Certificateholder upon request at the expense of the Servicer. Such statement
shall also, to the extent available, include information regarding delinquencies on the Mortgage Loans, indicating the number and
aggregate Principal Balance of Mortgage Loans which are one, two, three or more months delinquent, the number and aggregate
Principal Balance of Mortgage Loans with respect to which foreclosure proceedings have been initiated and the book value of any
Mortgaged Property acquired by the Trust through foreclosure, deed in lieu of foreclosure or other exercise of the Trust’s
security interest in the Mortgaged Property. The filing of such statement and reports with the Trustee is for informational
purposes only, and, except for making available such statements and reports to any Certificateholder, upon request, the Trustee
shall have no responsibility with respect thereto.

Section 3.13.        Annual Statement as to Compliance. The Servicer shall deliver to the Trustee, on or before
April 30 of each year, beginning with the first April 30 succeeding the Cut-Off Date by at least six months, an Officer’s
Certificate stating as to the signer thereof, that (i) a review of the activities of the Servicer during the preceding calendar
year and performance under this Agreement has been made under such officer’s supervision, and (ii) to the best of such
officer’s knowledge, based on such review, the Servicer has fulfilled all its obligations under this Agreement throughout
such year, or, if there has been a default in the fulfillment of any such obligation, specifying each such default known to such
officer and the nature and status thereof. Copies of such statement shall be provided by the Servicer to Certificateholders upon
request or by the Trustee (solely to the extent that such copies are available to the Trustee) at the expense of the Servicer,
should the Servicer fail to so provide such copies.

Section 3.14.        Access to Certain Documentation and Information Regarding the Mortgage Loans. In the event
that the Certificates are legal for investment by federally-insured savings associations, the Servicer shall provide to the OTS,
the FDIC and the supervisory agents and examiners of the OTS and the FDIC access to the documentation regarding the related
Mortgage Loans required by applicable regulations of the OTS or the FDIC, as applicable, and shall in any event provide such access
to the documentation regarding such Mortgage Loans to the Trustee and its representatives, such access being afforded without
charge, but only upon reasonable request and during normal business hours at the offices of the Servicer designated by it.

Section 3.15.        Annual Independent Public Accountants’ Servicing Report. On or before April 30 of
each year, beginning with the first April 30 succeeding the Cut-Off Date by at least six months, the Servicer, at its expense,
shall furnish to the Trustee a copy of a report delivered to the Servicer by a firm of independent public accountants (who may also
render other services to the Servicer or any affiliate thereof) to the effect that, on the basis of an examination conducted by
such firm in accordance with standards established by the American Institute of Certified Public Accountants, the Servicer has
complied with certain minimum residential mortgage loan servicing standards in its role as Servicer with respect to the servicing
of residential mortgage loans (including the Mortgage Loans) during the most recently completed fiscal year.  In rendering its
report such firm may rely, (a) as to matters relating to the Certificates, upon a statistical sampling of series of mortgage-backed
certificates which may include the Certificates and (b) as to matters relating to the direct servicing of residential mortgage
loans by subservicers, upon comparable reports of firms of independent certified public accountants rendered on the basis of
examinations conducted in accordance with the same standards (rendered within one year of such report) with respect to those
subservicers.

Section 3.16.        Yield Maintenance Account. On or prior to the Closing Date, the Trustee shall cause to be established and
maintained the Yield Maintenance Account, into which amounts received by the Trustee from the Cap Counterparty pursuant to the
Yield Maintenance Agreements shall be deposited for the benefit of the Class CB-1 and Class CB-6 Certificates.  On each
Distribution Date, the Trustee shall withdraw from the Yield Maintenance Account, to the extent funds are available therein and in
accordance with the statement received from the Servicer pursuant to Section 4.02(b), the Yield Maintenance Payment Amounts for the
Class CB-1 and Class CB-6 Certificates for such Distribution Date and deposit such amounts in the Certificate Account for
payment to such Classes of Certificates pursuant to Section 4.04(a).

Amounts on deposit in the Yield Maintenance Account shall not be invested and shall not be held in an
interest-bearing account.

The Trustee
shall withdraw from the Yield Maintenance Account and pay to itself any amounts remaining in the Yield Maintenance Account after
the later of the Final Yield Maintenance Payment Date for the Class CB-1 Certificates and for the Class CB-6
Certificates.

To the
extent that it constitutes a “reserve fund” for purposes of the REMIC Provisions, the Yield Maintenance Account
established hereunder shall be an “outside reserve fund” as defined in Treasury Regulation 1.860G-2(h), and in that
regard (i) such fund shall be an outside reserve fund and not an asset of any REMIC, (ii) such fund shall be owned for federal tax
purposes by the Trustee, and the Trustee shall report all amounts of income, deduction, gain or loss accruing therefrom, and (iii)
amounts transferred by the REMIC to the fund shall be treated as distributed by the REMIC to the Trustee.  The Servicer shall
deliver to the Trustee an annual statement showing (x) the amounts received by the Trustee, in its capacity as owner of the Yield
Maintenance Account for income tax purposes, as payments on the Yield Maintenance Agreements, and (y) the amounts paid to
Certificateholders from such amounts received. The Servicer shall indemnify the Trustee to the extent that any tax liability of the
Trustee, in its capacity as owner of the Yield Maintenance Account for income tax purposes (including the amount of any tax
liability resulting from the indemnity payment), exceeds the net funds (that is, the excess of the amount in clause (x) above over
the amount in clause (y) above), if any, received by the Trustee from such account.

Section 3.17.        [Reserved.]

Section 3.18.        [Reserved.]

Section 3.19.        Determination of LIBOR by Servicer. 

(a)        With respect to the
first Distribution Date, LIBOR shall be 3.210% for the Class CB-11-L, Class CB-12-L and Class CB-1-M Regular Interests and Class
CB-2, Class CB-11 and Class CB-12 Certificates, and shall be 3.180% for the Class CB-6-L, Class CB-7-L and Class CB-6-M Regular
Interests and Class CB-7 Certificates. With respect to each Distribution Date thereafter, the Servicer will determine LIBOR on the
related LIBOR Determination Date on the basis of the “Interest Settlement Rate” for United States dollar deposits of one-month maturity set
by the British Bankers’ Association (the “BBA”) as of 11:00 a.m. (London time) on such LIBOR Determination Date
as found on any of the Moneyline Telerate Service (formerly the Dow Jones Markets) page 3750, the Reuters Monitor Money Rates
Service page “LIBOR01” or the Bloomberg L.P. page “BBAM” (each such page, or such other page as may replace
any of the foregoing on such service or such other service as may be nominated by the BBA as the information vendor for the purpose
of displaying the BBA’s Interest Settlement Rates for deposits in United States dollars, each, a “Designated Telerate
Page”).

(b)        If on any LIBOR Determination Date,
such Interest Settlement Rates are not available from any Designated Telerate Page, LIBOR for the related accrual period will be
the most recently published Interest Settlement Rate.  In the event that the BBA no longer sets an Interest Settlement Rate,
the Servicer shall calculate LIBOR for the immediately following accrual period as follows:  the Servicer will determine LIBOR
by reference to the quotations offered by the principal London office of each of the designated Reference Banks meeting the
criteria set forth below for making one-month United States dollar deposits in leading banks in the London Interbank market, as of
11:00 a.m. (London time) on the LIBOR Determination Date.  Under this method LIBOR will be established by the Servicer on each
LIBOR Determination Date as follows:

(i)         If on any LIBOR
Determination Date two or more Reference Banks provide offered quotations, LIBOR for the next interest accrual period shall be the
arithmetic mean of the offered quotations, carrying the result (expressed as a percentage) out to six decimal places, and rounding
to five decimal places.

(ii)        If on any LIBOR Determination Date only one or none of the
Reference Banks provides offered quotations, LIBOR for the next interest accrual period shall be the greater of:

·        LIBOR as determined on the
previous LIBOR Determination Date (or, in the case of the first LIBOR Determination Date and the Class CB-11-L, Class CB-12-L and Class CB-1-M Regular Interests and Class CB-2, Class CB-11 and Class CB-12
Certificates, 3.210%; and in the case of the first LIBOR
Determination Date and the Class CB-6-L, Class CB-7-L and Class CB-6-M Regular
Interests and Class CB-7 Certificates, 3.180%) or

·        the Reserve Interest
Rate.

The
“Reserve Interest Rate” shall be the rate per annum that the Servicer determines to be either:

·        the arithmetic mean,
(expressed as a percentage) carried out to six decimal places, and rounded to five decimal places, of the one-month United States
dollar lending rates that New York City banks selected by the Servicer are quoting, on the relevant LIBOR Determination Date, to
the principal London offices of at least two of the Reference Banks to which the quotations are, in the opinion of the Servicer,
being so made, or

·        if the Servicer cannot
determine the arithmetic mean, the lowest one-month United States dollar lending rate which New York City banks selected by the
Servicer are quoting on the LIBOR Determination Date to leading European banks.

(iii)       If on any LIBOR Determination Date the Servicer is required but is
unable to determine the Reserve Interest Rate in the manner provided in paragraph (ii) above, LIBOR for the next interest accrual
period shall be LIBOR as determined on the preceding LIBOR Determination Date (or, in the case of the first LIBOR Determination
Date and the Class CB-11-L, Class CB-12-L and Class CB-1-M Regular Interests and
Class CB-2, Class CB-11 and Class CB-12 Certificates, 3.210%; and in the case of the first LIBOR Determination Date and the Class CB-6-L, Class CB-7-L and Class CB-6-M Regular Interests and Class CB-7 Certificates, 3.180%).

Each
“Reference Bank” (i) will be a leading bank engaged in transactions in Eurodollar deposits in the international
Eurocurrency market, (ii) will not control, be controlled by, or be under common control with, the Servicer and (iii) will have an
established place of business in London.  If any Reference Bank should be unwilling or unable to act as such or if the
Servicer should terminate the designation of any such reference bank, the Servicer will promptly designate another leading bank
meeting the criteria specified above.  If on any such LIBOR Determination Date, the Servicer calculates LIBOR on the basis of
the provisions of this Section 3.19(b), the Servicer shall designate the Reference Banks. 

(c)        The establishment of LIBOR on each LIBOR Determination Date by the
Servicer for the related accrual period will, in the absence of manifest error, be final and binding.

Section 3.20.        [Reserved.]

Section 3.21.        [Reserved.]

Section 3.22.        Maintenance of the Rounding Accounts; Collections Thereunder.On or prior to the Closing Date, the Trustee shall establish the Rounding Accounts,
and the Underwriter shall deposit $999.99 in each such Rounding Account. The Servicer shall maintain such accounts to provide, if
needed, the applicable Rounding Amount on any Distribution Date.  For each Class of Special Retail Certificates, on the first
Distribution Date with respect to which the Servicer determines that principal is required to be distributed to such Class pursuant
to Section 4.04(a)(ii), and the aggregate amount of such principal is not an amount equal to an integral multiple of $1,000, the
Servicer shall notify the Trustee by noon New York City time two Business Days prior to such Distribution Date of the applicable
Rounding Amount, and the Trustee shall withdraw such Rounding Amount from the applicable Rounding Account.  On each succeeding
Distribution Date, prior to the Credit Support Depletion Date, with respect to which the Servicer determines that principal is
required to be distributed to such Class pursuant to Section 4.04(a)(ii), the Servicer will instruct that the aggregate amount of
such principal will be applied first to repay to the applicable Rounding Account any funds withdrawn from such Rounding Account on
prior Distribution Dates which have not been repaid.  If the remainder of such aggregate amount of principal is not an amount
equal to an integral multiple of $1,000, the Servicer shall notify the Trustee by noon New York City time two Business Days prior
to such Distribution Date of the applicable Rounding Amount, and the Trustee shall withdraw from the applicable Rounding Account,
to the extent funds are available therein, the amount so notified by the Servicer.

Any amounts
withdrawn by the Trustee from either Rounding Account shall be deposited in the Certificate Account for distribution to the Holders
of the applicable Class of Special Retail Certificates as described in the immediately preceding paragraph (and shall be deemed to
have been distributed to the Corresponding Class of each such Class of Special Retail Certificates, as applicable, and deposited
for its benefit into the Certificate Account in accordance with Section 4.01).

Amounts on
deposit in the Rounding Accounts shall not be invested.

On the first Distribution Date after the earliest of (i) the Credit Support Depletion Date
and (ii) the date on which the Class Principal Balance of the applicable Class of Special Retail Certificates has been reduced to
zero, the Trustee shall remit any amounts then remaining on deposit in the applicable Rounding Account or Accounts to the Holders
of the Class R-2 Residual Interest.

ARTICLE IV

Payments to Certificateholders; Payment of Expenses

Section 4.01.        Distributions to Holders of REMIC I Regular Interests and Class R-1 Residual
Interest.  On each Distribution Date, the Trustee (or any duly appointed paying agent) (i) shall be
deemed to have distributed from the Certificate Account (A) the REMIC I Distribution Amount to the Holders of the REMIC I Regular
Interests and (B) the applicable Rounding Amount or Amounts, if any, to the holders of the Corresponding Class of each Class of
Special Retail Certificates, and to have deposited such amounts for their benefit into the Certificate Account and (ii) from the
Certificate Account shall distribute to the Class R Certificateholders, in accordance with the written statement received from the
Servicer pursuant to Section 4.02(b), the sum of (a) the Excess Liquidation Proceeds and (b) the amounts to be distributed to the
Holders of the Class R-1 Residual Interest pursuant to the definition of “REMIC I Distribution Amount” for such
Distribution Date.  Amounts distributed pursuant to clause (ii) above shall be distributed by wire transfer in immediately
available funds for the account of each Class R Certificateholder, or by any other means of payment acceptable to each Class R
Certificateholder of record on the immediately preceding Record Date (other than as provided in Section 9.01 respecting the final
distribution), as specified by each such Certificateholder and at the address of such Holder appearing in the Certificate Register.
Notwithstanding any other provision of this Agreement, no actual distributions pursuant to clause (ii) of this Section 4.01 shall
be made on account of the deemed distributions described in this paragraph except in the event of a liquidation of REMIC II and not
REMIC I.

Section 4.02.        Monthly P&I Advances; Distribution Reports to the Trustee.

(a)        To the extent described below, the Servicer is obligated to
advance its own funds to the Custodial Account for P&I, or apply funds held in the Custodial Account for P&I for future
distribution, to cover any shortfall between (i) payments of principal and interest scheduled to be received in respect of Mortgage
Loans and (ii) the amounts actually received.  The Servicer’s obligation to make any advance or advances described in
this Section 4.02 is effective only to the extent that such advance is, in the good faith judgment of the Servicer made not later
than the second Business Day prior to each Distribution Date, reimbursable from Insurance Proceeds or Liquidation Proceeds of the
related Mortgage Loans or recoverable as late Monthly Payments with respect to the related Mortgage Loans or
otherwise.

Prior to the close of business on the
second Business Day prior to each Distribution Date, the Servicer shall determine whether or not it will make a Monthly P&I
Advance not later than the second Business Day prior to such Distribution Date and shall furnish a written statement to the
Trustee, the Paying Agent, if any, and to any Certificateholder requesting the same, setting forth the aggregate amount to be
advanced on account of principal and interest in respect of the Mortgage Loans, stated separately.

In the event that the Servicer shall be
required to make a Monthly P&I Advance, it shall, not later than the second Business Day prior to the related Distribution Date
either (i) deposit in the Custodial Account for P&I an amount equal to such Monthly P&I Advance, (ii) make an appropriate
entry in the records of the Custodial Account for P&I that funds in such account being held for future distribution or
withdrawal have been, as permitted by this Section 4.02, used by the Servicer to make such Monthly P&I Advance or (iii) make
advances in the form of any combination of (i) and (ii) aggregating the amount of such Monthly P&I Advance.  Any funds
being held for future distribution and so used shall be replaced by the Servicer by deposit in the Custodial Account for P&I
not later than the second Business Day prior to any future Distribution Date to the extent that funds otherwise available for
distribution on such Distribution Date with respect to the Mortgage Loans shall be less than payments required to be made hereunder
on such Distribution Date.

(b)        Prior to noon New York City time two Business Days prior to each
Distribution Date, the Servicer shall provide (x) the Trustee and (y) the Company with a statement in writing of (1) the Rounding
Amount, if any, to be withdrawn from the Rounding Accounts pursuant to Section 3.22; (2) the amounts to be applied to repay any
funds withdrawn from the Rounding Accounts on prior Distribution Dates pursuant to Section 3.22; (3) the amount, as applicable, of
(i) interest, (ii) the interest portion, if any, of Realized Losses, (iii) Uncompensated Interest Shortfall, (iv) scheduled
principal, (v) Principal Prepayments, (vi) Liquidation Principal, (vii) Subsequent Recoveries, (viii) the principal portion of
Realized Losses (after giving effect to any reduction thereof by application of any Cumulative Carry-Forward Subsequent Recoveries
Amount), (ix) the Residual Distribution Amount and (x) the Excess Liquidation Proceeds to be distributed or allocated, as
applicable, to each Class of Certificates on such Distribution Date (such amounts to be determined in accordance with the
definitions of “REMIC I Distribution Amount” and “REMIC II Distribution Amount,” Section 4.01 and Section
4.04 hereof and other related definitions set forth in Article I hereof); (4) the applicable Class Principal Balance after giving
effect to such distributions and allocations; (5) the Cumulative Carry-Forward Subsequent Recoveries Amount for such Distribution
Date; (6) the amount of any Special Primary Insurance Premium payable on such Distribution Date; and (7) the Yield Maintenance
Payment Amount for each of the Class CB-1 and Class CB-6 Certificates for such Distribution Date.

Section 4.03.        Nonrecoverable Advances. Any advance previously made by the Servicer that the Servicer
shall determine in its good faith judgment not to be ultimately recoverable from Insurance Proceeds or Liquidation Proceeds or
otherwise with respect to such Mortgage Loan or recoverable as late Monthly Payments with respect to such Mortgage Loan shall be a
Nonrecoverable Advance.  The determination by the Servicer that it has made a Nonrecoverable Advance or that any advance would
constitute a Nonrecoverable Advance, shall be evidenced by an Officer’s Certificate of the Servicer delivered to the Trustee
on the Determination Date and detailing the reasons for such determination.  Notwithstanding any other provision of this
Agreement, any insurance policy relating to the Mortgage Loans, or any other agreement relating to the Mortgage Loans to which the
Company or the Servicer is a party, (a) the Servicer shall not be obligated to, and shall not, make any advance that, after
reasonable inquiry and in its sole discretion, the Servicer shall determine would be a Nonrecoverable Advance and (b) the Servicer
shall be entitled to reimbursement for any advance as provided in Section 3.05(a)(i), (ii) and (iv) of this Agreement.

Section 4.04.        Distributions to Certificateholders; Payment of Special Primary Insurance
Premiums. 

(a)        On each Distribution Date, the Trustee (or any duly appointed
paying agent) shall (i) subject to Section 3.05(a)(viii), withdraw from the Certificate Account any Special Primary Insurance
Premium payable on such Distribution Date and pay such amount to the insurer under the applicable Special Primary Insurance Policy
and (ii) withdraw from the Certificate Account  (A) the REMIC II Available Distribution Amount for such Distribution Date and
distribute, from the amount so withdrawn, to the extent of the REMIC II Available Distribution Amount, the REMIC II Distribution
Amount to the Holders of the REMIC II Regular Interests and the Class R-2 Residual Interest (provided that any portion of such
amount distributable to any Class of Special Retail Certificates shall be used first to pay any amount payable to the applicable
Rounding Account pursuant to Section 3.22) and (B) the applicable Rounding Amount, if any, deposited therein for distribution on
such date pursuant to Section 3.22 and distribute the amount so withdrawn to the applicable Class of Special Retail Certificates in
accordance with such Section 3.22.

Furthermore, on each Distribution Date from and including July 2005 to and including the Final Yield Maintenance
Payment Date for the Class CB-1 Certificates, the Trustee shall withdraw from the Certificate Account and distribute to the Holders
of such Class the Yield Maintenance Payment Amount for such Class; and on each Distribution Date from and including July 2005 to
and including the Final Yield Maintenance Payment Date for the Class CB-6 Certificates, the Trustee shall withdraw from the
Certificate Account and distribute to the Holders of such Class the Yield Maintenance Payment Amount for such
Class.

The net
distributions to the Certificates pursuant to this Section 4.04(a) shall be made in accordance with the written statement received
from the Servicer pursuant to Section 4.02(b) and without any responsibility to recalculate, verify or confirm the information in
such statement.  Any Special Primary Insurance Premiums distributed pursuant to clause (i) above shall be distributed by any
method specified in the respective Special Primary Insurance Policy as directed by the related insurer to the Servicer. 
Amounts distributed to the Certificateholders pursuant to clause (ii) above shall be distributed by wire transfer in immediately
available funds for the account of, or by check mailed to, each such Certificateholder of record on the immediately preceding
Record Date (other than as provided in Section 9.01 respecting the final distribution), as specified by each such Certificateholder
and at the address of such Holder appearing in the Certificate Register. 

(b)        All reductions in the Certificate Principal Balance of a
Certificate effected by distributions of principal and all allocations of Realized Losses made on any Distribution Date shall be
binding upon all Holders of such Certificate and of any Certificate issued upon the registration of transfer or exchange therefor
or in lieu thereof, whether or not such distribution is noted on such Certificate. The final distribution of principal of each
Certificate (and the final distribution upon the Class R Certificates upon (i) the termination of REMIC I and REMIC II and (ii) the
payment, or making provision for payment, of all liabilities of the Trust) shall be payable in the manner provided above only upon
presentation and surrender thereof on or after the Distribution Date therefor at the office or agency of the Certificate Registrar
specified in the notice delivered pursuant to Section 4.04(c)(ii) and Section 9.01(b).

(c)        Whenever, on the basis of Curtailments, Payoffs and Monthly
Payments on the Mortgage Loans and Insurance Proceeds and Liquidation Proceeds received and expected to be received during the
Payoff Period, the Servicer has notified the Trustee that it believes that the entire remaining unpaid Class Principal Balance of
any Class of Certificates will become distributable on the next Distribution Date, the Trustee shall, no later than the 18th day of
the month of such Distribution Date, mail or cause to be mailed to each Person in whose name a Certificate to be so retired is
registered at the close of business on the Record Date and to the Rating Agencies a notice to the effect that:

(i)                 
it is expected that funds sufficient to make such final distribution will be available in the Certificate Account on such
Distribution Date, and

(ii)                if
such funds are available, (A) such final distribution will be payable on such Distribution Date, but only upon presentation and
surrender of such Certificate at the office or agency of the Certificate Registrar maintained for such purpose (the address of
which shall be set forth in such notice), and (B) no interest shall accrue on such Certificate after such Distribution
Date.

Section 4.05.        Statements to Certificateholders. With each distribution from the Certificate Account on a
Distribution Date, the Trustee shall send to each Rating Agency and shall make available to each Certificateholder the statement
required by Section 4.02(b). The Trustee may make available such statement and certain other information, including, without
limitation, information required to be provided by the Trustee pursuant to Sections 3.12 and 3.13, to Certificateholders through
the Trustee’s Corporate Trust home page on the world wide web. Such web page is currently located at
“www.etrustee.net”. The location of such web page and the procedures used therein are subject to change from time to
time at the Trustee’s discretion.

Upon request by any Certificateholder
or Rating Agency, or the Trustee, the Servicer shall forward to such Certificateholder or Rating Agency, the Trustee and the
Company an additional report which sets forth with respect to the Mortgage Loans:

(a)        The number and aggregate Principal Balance of the Mortgage Loans
delinquent one, two and three months or more;

(b)        The (i) number and aggregate Principal Balance of Mortgage Loans
with respect to which foreclosure proceedings have been initiated, and (ii) the number and aggregate book value of Mortgaged
Properties acquired through foreclosure, deed in lieu of foreclosure or other exercise of rights respecting the Trust’s
security interest in the Mortgage Loans; and

(c)        The cumulative amount of Realized Losses allocated to the
Certificates since the Cut-Off Date.

Upon request
by any Certificateholder, the Servicer, as soon as reasonably practicable, shall provide the requesting Certificateholder with such
information as is necessary and appropriate, in the Servicer’s sole discretion, for purposes of satisfying applicable
reporting requirements under Rule 144A of the Securities Act.

The Company
or the Servicer may make available any reports, statements or other information to Certificateholders through a web page on the
world wide web. As of the Closing Date, such web page is located at “www.wamumsc.com” and information is available by
clicking on “Investor Information.”

Section 4.06.        [Reserved.]

Section 4.07.        Principal Distributions on the Special Retail Certificates. With respect to each Class of
Special Retail Certificates, prior to the Credit Support Depletion Date, distributions in reduction of the Class Principal Balance
of such Class will be made in integral multiples of $1,000 at the request of the appropriate representatives of Deceased Holders of
Certificates of such Class and at the request of Living Holders of Certificates of such Class or by mandatory distributions,
pursuant to Section 4.07(a) and Section 4.07(d). On and after the Credit Support Depletion Date, distributions in reduction of the
Class Principal Balance of such Class will be made on a pro rata basis pursuant to Section 4.07(e).

(a)        On each Distribution Date (prior to the Credit Support Depletion
Date) on which principal distributions to a Class of Special Retail Certificates are made, such distributions will be made in the
following priority:

(i)         first, to requesting Deceased Holders, in the order in which
such requests are received by DTC, but not exceeding an aggregate amount of $100,000 for each requesting Deceased Holder;
and

(ii)        second, to requesting Living Holders, in the order in which such
requests are received by DTC, but not exceeding an aggregate amount of $10,000 for each requesting Living Holder.

Thereafter,
distributions will be made, with respect to the such Class of Special Retail Certificates, as provided in clauses (i) and (ii)
above up to a second $100,000 and $10,000, respectively.  This sequence of priorities will be repeated until all requests for
principal distributions by Deceased Holders and Living Holders of such Class have been honored, to the extent of amounts available
for principal distributions to such Class.

All requests for principal
distributions to Special Retail Certificates will be accepted in accordance with the provisions set forth in Section 4.07(c).
Requests for principal distributions that are received by the Trustee after the related Record Date and requests for principal
distributions received in a timely manner but not accepted with respect to any Distribution Date, will be treated as requests for
principal distributions to Special Retail Certificates on the next succeeding Distribution Date, and each succeeding Distribution
Date thereafter, until each such request is accepted or is withdrawn as provided in Section 4.07(c). Such requests as are not so
withdrawn shall retain their order of priority without the need for any further action on the part of the appropriate Holder of the
related Special Retail Certificate, all in accordance with the procedures of DTC and the Trustee.  Upon the transfer of
beneficial ownership of any Special Retail Certificate, any distribution request previously submitted with respect to such
Certificate will be deemed to have been withdrawn only upon the receipt by the Trustee on or before the Record Date for such
Distribution Date of notification of such withdrawal in the manner set forth in Section 4.07(c) using a form required by DTC or as
otherwise required by DTC in accordance with its standard operating procedures.

Distributions in reduction of the Class
Principal Balance of any Class of Special Retail Certificates will be applied in an amount equal to the portion of the REMIC I
Available Distribution Amount allocable to such Class pursuant to Section 4.04, plus any amounts available for distribution from
the applicable Rounding Account established as provided in Section 3.22, provided that the aggregate distribution of principal to
such Class on any Distribution Date shall be made in an integral multiple of $1,000.

To the extent that the portion of the
Senior Principal Distribution Amount allocable to the Corresponding Class of any Class of Special Retail Certificates on any
Distribution Date exceeds the aggregate Certificate Principal Balance of Special Retail Certificates of such Class with respect to
which principal distribution requests, as set forth above, have been received, principal distributions in reduction of the Class
Principal Balance of such Class of Special Retail Certificates will be made by mandatory distribution pursuant to Section
4.07(d).

(b)        A Special Retail Certificate shall be deemed to be held by a
Deceased Holder for purposes of this Section 4.07 if the death of the Holder thereof is deemed to have occurred.  Special
Retail Certificates beneficially owned by tenants by the entirety, joint tenants or tenants in common will be considered to be
beneficially owned by a single owner.  The death of a tenant by the entirety, joint tenant or tenant in common will be deemed
to be the death of the Holder, and the Special Retail Certificates so beneficially owned will be eligible for priority with respect
to principal distributions, subject to the limitations stated above.  Special Retail Certificates beneficially owned by a
trust will be considered to be beneficially owned by each beneficiary of the trust to the extent of such beneficiary's beneficial
interest therein, but in no event will a trust's beneficiaries collectively be deemed to be Holders of a number of Special Retail
Certificates greater than the number of Special Retail Certificates of which such trust is the owner.  The death of a
beneficiary of a trust will be deemed to be the death of a Holder of the Special Retail Certificates beneficially owned by the
trust to the extent of such beneficiary's beneficial interest in such trust.  The death of an individual who was a tenant by
the entirety, joint tenant or tenant in common in a tenancy which is the beneficiary of a trust will be deemed to be the death of
the beneficiary of such trust.  The death of a person who, during his or her lifetime, was entitled to substantially all of
the beneficial ownership interests in a Special Retail Certificate will be deemed to be the death of the Holder of such Special
Retail Certificate regardless of the registration of ownership, if such beneficial ownership interest can be established to the
satisfaction of the Trustee.  Such beneficial interest will be deemed to exist in typical cases of street name or nominee
ownership, ownership by a trustee, ownership under the Uniform Gifts to Minors Act and community property or other joint ownership
arrangements between a husband and wife.  Beneficial interest shall include the power to sell, transfer or otherwise dispose
of a Special Retail Certificate and the right to receive the proceeds therefrom, as well as interest and principal distributions,
as applicable, payable with respect thereto.  The Trustee may rely entirely upon documentation delivered to it in establishing
beneficial ownership interests in Special Retail Certificates.  The Trustee shall not be under any duty to determine
independently the occurrence of the death of any deceased Holder.  The Trustee may rely entirely upon documentation delivered
to it pursuant to Section 4.07(c) in establishing the eligibility of any Holder to receive the priority accorded Deceased Holders
in Section 4.07(a).

(c)        Requests for principal distributions to any Special Retail
Certificate must be made by delivering a written request therefor to the DTC Participant or Indirect DTC Participant that maintains
the account evidencing such Holder's interest in such Certificate.  In the case of a request on behalf of a Deceased Holder,
appropriate evidence of death and any tax waivers are required to be forwarded to the Trustee under separate cover.  The DTC
Participant should in turn make the request of DTC (or, in the case of an Indirect DTC Participant, such Indirect DTC Participant
must notify the related DTC Participant of such request, which DTC Participant should make the request of DTC) on a form required
by DTC and provided to the DTC Participant.  Upon receipt of such request, DTC will date and time stamp such request and
notify the Trustee of such requests in accordance with its standard operating procedures.  DTC may establish such procedures
as it deems fair and equitable to establish the order of receipt of requests for such distributions received by it on the same
day.  None of the Company, the Servicer, the Certificate Insurer, the Trust or the Trustee shall be liable for any delay in
delivery or notification of requests for distributions or withdrawals of such requests by DTC, a DTC Participant or any Indirect
DTC Participant.

The Trustee
shall maintain a list (which may be in electronic form) of those DTC Participants representing the appropriate Holders of Special
Retail Certificates that have submitted requests for principal distributions, together with the order of receipt and the amounts of
such requests as identified to it by DTC in accordance with its standard operating procedures.  Subject to the priorities
described in Section 4.07(a) above, DTC will honor requests for distributions in the order of their receipt.  The Trustee
shall notify DTC as to which requests should be honored on each Distribution Date at least two Business Days prior to such
Distribution Date and shall notify DTC as to the portion of the REMIC II Available Distribution Amount (together with any amounts
available for distribution from the applicable Rounding Account) to be distributed to the Special Retail Certificates by mandatory
distribution pursuant to Section 4.07(d).  Requests shall be honored by DTC in accordance with the procedures, and subject to
the priorities and limitations, described in this Section 4.07. The exact procedures to be followed by the Trustee and DTC for
purposes of determining such priorities and limitations will be those established from time to time by the Trustee or DTC, as the
case may be.  The decisions of the Trustee and DTC concerning such matters will be final and binding on all affected
persons.

Special
Retail Certificates that have been accepted for a distribution shall be due and payable on the applicable Distribution Date. 
Such Certificates shall cease to bear interest after the last calendar day of the month preceding the month in which such
Distribution Date occurs.

Any Holder
of a Special Retail Certificate that has requested a principal distribution may withdraw its request by so notifying in writing the
DTC Participant or Indirect DTC Participant that maintains such Holder's account.  In the event that such account is
maintained by an Indirect DTC Participant, such Indirect DTC Participant must notify the related DTC Participant which in turn must
forward the withdrawal of such request, on a form required by DTC, to DTC to be forwarded or furnished to the Trustee.  If
such notice of withdrawal of a request for distribution has not been received by DTC and forwarded to the Trustee on or before the
Record Date for the next Distribution Date, the previously made request for a principal distribution will be irrevocable with
respect to the making of principal distributions on such Distribution Date.

In the event
any requests for principal distributions are rejected by the Trustee for failure to comply with the requirements of this Section
4.07, the Trustee shall return such request to the appropriate DTC Participant with a copy to DTC with an explanation as to the
reason for such rejection.

(d)        To the extent, if any, that principal distributions to be made to
any Class of Special Retail Certificates on a Distribution Date exceed the aggregate amount of principal distribution requests for
such Class which have been received on or before the applicable Record Date, as provided in Section 4.07(a) above, additional
Special Retail Certificates of such Class will be selected to receive mandatory principal distributions in lots equal to $1,000 in
accordance with the then-applicable Random Lot procedures of DTC, and the then-applicable procedures of the DTC Participants and
Indirect DTC Participants representing the Holders (which procedures may or may not be by random lot).  The Trustee shall
notify DTC of the aggregate amount of the mandatory principal distribution to be made on the next Distribution Date.  DTC
shall then allocate such aggregate amount among the DTC Participants on a Random Lot basis.  Each DTC Participant and, in
turn, each Indirect DTC Participant will then select, in accordance with its own procedures, Special Retail Certificates from among
those held in its accounts to receive mandatory principal distributions, such that the total amount of principal distributed to the
Special Retail Certificates so selected is equal to the aggregate amount of such mandatory distributions allocated to such DTC
Participant by DTC and to such Indirect DTC Participant by its related DTC Participant, as the case may be.  DTC Participants
and Indirect DTC Participants that hold Special Retail Certificates selected for mandatory principal distributions are required to
provide notice of such mandatory distributions to the affected Holders.  The Servicer shall notify the Trustee of the amount
of principal distributions to be made on each Distribution Date in a timely manner such that the Trustee may fulfill its
obligations under the Depositary Agreement.

(e)        Notwithstanding any provisions herein to the contrary, on each
Distribution Date on and after the Credit Support Depletion Date, distributions in reduction of the Class Principal Balance of any
Class of Special Retail Certificates will be made pro rata among the Holders of the Special Retail Certificates of such Class and
will not be made in integral multiples of $1,000 nor pursuant to requests for distribution as permitted by Section 4.07(a) or by
mandatory distributions as provided for by Section 4.07(d).

(f)         In the event that Definitive Certificates representing
Special Retail Certificates are issued pursuant to Section 5.09, an amendment to this Agreement, which may be approved without the
consent of any Certificateholders, shall establish procedures relating to the manner in which distributions in reduction of the
Class Principal Balance of each Class of Special Retail Certificates are to be made; provided that such procedures shall be consistent, to the extent practicable and customary for
certificates similar to the Special Retail Certificates, with the provisions of this Section 4.07.

ARTICLE V

The Certificates

Section 5.01.        The Certificates.

(a)        The Certificates shall be substantially in the forms set forth in
Exhibit A and B with the additional insertion from Exhibit H attached hereto, and shall be executed by the Trustee on behalf of the
Trust, authenticated by the Trustee (or any duly appointed Authenticating Agent) and delivered (i) upon and pursuant to the order
of the Company and (ii) upon receipt by the Trustee of the documents specified in Section 2.01. The Certificates shall be issuable
in Authorized Denominations. Certificates shall be executed by manual or facsimile signature on behalf of the Trust by authorized
officers of the Trustee. Certificates bearing the manual or facsimile signatures of individuals who were at the time of execution
the proper officers of the Trustee shall bind the Trust, notwithstanding that such individuals or any of them have ceased to hold
such offices prior to the authentication and delivery of such Certificates or did not hold such offices at the date of such
Certificates. No Certificate shall be entitled to any benefit under this Agreement, or be valid for any purpose, unless there
appears on such Certificate a certificate of authentication substantially in the form provided for herein executed by the Trustee
or any Authenticating Agent by manual signature, and such certificate 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.

(b)        The following definitions apply for purposes of this Section 5.01:
“Disqualified Organization” means any Person which is not a Permitted Transferee, but does not include any
“Pass-Through Entity” which owns or holds a Residual Certificate and of which a Disqualified Organization,
directly or indirectly, may be a stockholder, partner or beneficiary; “Pass-Through Entity” means any regulated
investment company, real estate investment trust, common trust fund, partnership, trust or estate, and any organization to which
Section 1381 of the Code applies; “Ownership Interest” means, with respect to any Residual Certificate, any
ownership or security interest in such Residual Certificate, including any interest in a Residual Certificate as the Holder thereof
and any other interest therein whether direct or indirect, legal or beneficial, as owner or as pledgee;
“Transfer” means any direct or indirect transfer or sale of, or directly or indirectly transferring or selling
any Ownership Interest in a Residual Certificate; and “Transferee” means any Person who is acquiring by Transfer
any Ownership Interest in a Residual Certificate.

(c)        Restrictions on Transfers of the Residual Certificates to
Disqualified Organizations are set forth in this Section 5.01(c).

(i)                 
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 to have irrevocably authorized
the Trustee or its designee under clause (iii)(A) below to deliver payments to a Person other than such Person and to negotiate the
terms of any mandatory sale under clause (iii)(B) below and to execute all instruments of transfer and to do all other things
necessary in connection with any such sale. The rights of each Person acquiring any Ownership Interest in a Residual Certificate
are expressly subject to the following provisions:

(A)       Each Person holding or acquiring any Ownership Interest in a Residual
Certificate shall be a Permitted Transferee and shall promptly notify the Trustee of any change or impending change in its status
as a Permitted Transferee.

(B)       In connection with any proposed Transfer of any Ownership Interest in a
Residual Certificate to a U.S. Person, the Trustee shall require delivery to it, and shall not register the Transfer of any
Residual Certificate until its receipt of (1) an affidavit and agreement (a “Transferee Affidavit and
Agreement”) attached hereto as Exhibit J from the proposed Transferee, in form and substance satisfactory to the Company,
representing and warranting, among other things, that it is not a Non-U.S. Person, that such transferee is a Permitted Transferee,
that it is not acquiring its Ownership Interest in the Residual Certificate that is the subject of the proposed Transfer as a
nominee, trustee or agent for any Person who is not a Permitted Transferee, that for so long as it retains its Ownership Interest
in a Residual Certificate, it will endeavor to remain a Permitted Transferee, and that it has reviewed the provisions of this
Section 5.01(c) and agrees to be bound by them, and (2) a certificate, attached hereto as Exhibit I, from the Holder wishing to
transfer the Residual Certificate, in form and substance satisfactory to the Company, representing and warranting, among other
things, that no purpose of the proposed Transfer is to allow such Holder to impede the assessment or collection of
tax.

(C)       Notwithstanding the delivery of a Transferee Affidavit and Agreement by
a proposed Transferee under clause (B) above, if the Trustee has actual knowledge that the proposed Transferee is not a Permitted
Transferee, no Transfer of an Ownership Interest in a Residual Certificate to such proposed Transferee shall be
effected.

(D)       Each Person holding or acquiring any Ownership Interest in a Residual
Certificate agrees by holding or acquiring such Ownership Interest (i) to require a Transferee Affidavit and Agreement from any
other Person to whom such Person attempts to transfer its Ownership Interest and to provide a certificate to the Trustee in the
form attached hereto as Exhibit J; (ii) to obtain the express written consent of the Company prior to any transfer of such
Ownership Interest, which consent may be withheld in the Company’s sole discretion; and (iii) to provide a certificate to the
Trustee in the form attached hereto as Exhibit I.

(ii)                The
Trustee shall register the Transfer of any Residual Certificate only if it shall have received the Transferee Affidavit and
Agreement, a certificate of the Holder requesting such transfer in the form attached hereto as Exhibit J and all of such other
documents as shall have been reasonably required by the Trustee as a condition to such registration.

(iii)              
(A)       If any “disqualified organization” (as defined in Section 860E(e)(5) of the
Code) shall become a holder of a Residual Certificate, then the last preceding Permitted Transferee shall be restored, to the
extent permitted by law, to all rights and obligations as Holder thereof retroactive to the date of registration of such Transfer
of such Residual Certificate. If any Non-U.S. Person shall become a holder of a Residual Certificate, then the last preceding
holder which is a U.S. Person shall be restored, to the extent permitted by law, to all rights and obligations as Holder thereof
retroactive to the date of registration of the Transfer to such Non-U.S. Person of such Residual Certificate. If a transfer of a
Residual Certificate is disregarded pursuant to the provisions of Treasury Regulations Section 1.860E-1 or Section 1.860G-3, then
the last preceding Permitted Transferee shall be restored, to the extent permitted by law, to all rights and obligations as Holder
thereof retroactive to the date of registration of such Transfer of such Residual Certificate. Neither the Trust nor the Trustee
shall be under any liability to any Person for any registration of Transfer of a Residual Certificate that is in fact not permitted
by this Section 5.01(c) or for making any payments due on such Certificate to the holder thereof or for taking any other action
with respect to such holder under the provisions of this Agreement.

(B)       If any purported Transferee shall become a Holder of a Residual
Certificate in violation of the restrictions in this Section 5.01(c) and to the extent that the retroactive restoration of the
rights of the Holder of such Residual Certificate as described in clause (iii)(A) above shall be invalid, illegal or unenforceable,
then the Company shall have the right, without notice to the Holder or any prior Holder of such Residual Certificate, to sell such
Residual Certificate to a purchaser selected by the Company on such terms as the Company may choose. Such purported Transferee
shall promptly endorse and deliver each Residual Certificate in accordance with the instructions of the Company. Such purchaser may
be the Company itself or any affiliate of the Company. The proceeds of such sale, net of the commissions (which may include
commissions payable to the Company or its affiliates), expenses and taxes due, if any, shall be remitted by the Company to such
purported Transferee. The terms and conditions of any sale under this clause (iii)(B) shall be determined in the sole discretion of
the Company, and the Company shall not be liable to any Person having an Ownership Interest in a Residual Certificate as a result
of its exercise of such discretion.

(iv)              The Servicer, on
behalf of the Trustee, shall make available, upon written request from the Trustee, all information necessary to compute any tax
imposed (A) as a result of the Transfer of an Ownership Interest in a Residual Certificate to any Person who is not a Permitted
Transferee, including the information regarding “excess inclusions” of such Residual Certificates required to be
provided to the Internal Revenue Service and certain Persons as described in Treasury Regulation Section 1.860D-1(b)(5), and (B) as
a result of any regulated investment company, real estate investment trust, common trust fund, partnership, trust, estate or
organizations described in Section 1381 of the Code having as among its record holders at any time any Person who is not a
Permitted Transferee. Reasonable compensation for providing such information may be required by the Servicer from such
Person.

(v)                The
provisions of this Section 5.01 set forth prior to this Section (v) may be modified, added to or eliminated by the Company, the
Servicer and the Trustee, provided that there shall have been delivered to the Trustee the following:

(A)       written notification from each of the Rating Agencies to the effect that
the modification, addition to or elimination of such provisions will not cause such Rating Agency to downgrade its then-current
Ratings of the Certificates; and

(B)       an Opinion of Counsel, in form and substance satisfactory to the Company
(as evidenced by a certificate of the Company), to the effect that such modification, addition to or absence of such provisions
will not cause REMIC I and REMIC II to cease to qualify as a REMIC and will not create a risk that (1) REMIC I and REMIC II may be
subject to an entity-level tax caused by the Transfer of any Residual Certificate to a Person which is not a Permitted Transferee
or (2) a Certificateholder or another Person will be subject to a REMIC-related tax caused by the Transfer of a Residual
Certificate to a Person which is not a Permitted Transferee.

(vi)              The following
legend shall appear on all Residual Certificates:

ANY
RESALE, TRANSFER OR OTHER DISPOSITION OF THIS CERTIFICATE MAY BE MADE ONLY IF THE PROPOSED TRANSFEREE PROVIDES A TRANSFER AFFIDAVIT
TO THE COMPANY AND THE TRUSTEE THAT (1) SUCH TRANSFEREE IS NOT EITHER (A) THE UNITED STATES, ANY STATE OR POLITICAL SUBDIVISION
THEREOF, ANY FOREIGN GOVERNMENT, ANY INTERNATIONAL ORGANIZATION, OR ANY AGENCY OR INSTRUMENTALITY OF ANY OF THE FOREGOING, (B) ANY
ORGANIZATION (OTHER THAN A COOPERATIVE DESCRIBED IN SECTION 521 OF THE CODE) WHICH IS EXEMPT FROM THE TAX IMPOSED BY CHAPTER 1 OF
THE CODE UNLESS SUCH ORGANIZATION IS SUBJECT TO THE TAX IMPOSED BY SECTION 511 OF THE CODE, (C) ANY ORGANIZATION DESCRIBED IN
SECTION 1381(a)(2)(C) OF THE CODE (ANY SUCH PERSON DESCRIBED IN THE FOREGOING CLAUSES (A), (B), OR (C) BEING HEREINAFTER REFERRED
TO AS A “DISQUALIFIED ORGANIZATION”), OR (D) AN AGENT OF A DISQUALIFIED ORGANIZATION AND (2) NO PURPOSE OF SUCH
TRANSFER IS TO ENABLE THE TRANSFEROR TO IMPEDE THE ASSESSMENT OR COLLECTION OF TAX. SUCH AFFIDAVIT SHALL INCLUDE CERTAIN
REPRESENTATIONS AS TO THE FINANCIAL CONDITION OF THE PROPOSED TRANSFEREE. NOTWITHSTANDING THE REGISTRATION IN THE CERTIFICATE
REGISTER OF ANY TRANSFER, SALE OR OTHER DISPOSITION OF THIS CLASS R CERTIFICATE TO A DISQUALIFIED ORGANIZATION OR AN AGENT OF A
DISQUALIFIED ORGANIZATION, SUCH REGISTRATION SHALL BE DEEMED TO BE OF NO LEGAL FORCE OR EFFECT WHATSOEVER AND SUCH PERSON SHALL NOT
BE DEEMED TO BE A CERTIFICATEHOLDER FOR ANY PURPOSE HEREUNDER, INCLUDING, BUT NOT LIMITED TO, THE RECEIPT OF DISTRIBUTIONS ON THIS
CERTIFICATE. EACH HOLDER OF THE CLASS R CERTIFICATE BY ACCEPTANCE OF THIS CERTIFICATE SHALL BE DEEMED TO HAVE CONSENTED TO THE
PROVISIONS OF THIS PARAGRAPH.

(vii)             The Tax Matters Person
for each of REMIC I and REMIC II, while not a Disqualified Organization, shall be the tax matters person for the related REMIC
within the meaning of Section 6231(a)(7) of the Code and Treasury Regulation Section 1.860F-4(d).

(d)        In the case of any Junior Subordinate Certificate presented for
registration in the name of any Person, the Trustee shall require (i) an officer’s certificate substantially in the form of
Exhibit N attached hereto acceptable to and in form and substance satisfactory to the Trustee and the Company, which
officer’s certificate shall not be an expense of the Trust, the Trustee, the Delaware Trustee, the Servicer or the Company,
and (ii) only if such officer’s certificate indicates that a Benefit Plan Opinion is delivered in connection therewith, a
Benefit Plan Opinion.

In the case of any Residual Certificate
presented for registration in the name of any Person, the Trustee shall require (i) a Transferee Affidavit and Agreement which
includes the representation set forth in paragraph 19 of the form attached hereto as Exhibit J and (ii) only if the representation
set forth in such paragraph 19 indicates that a Benefit Plan Opinion is delivered in connection therewith, a Benefit Plan
Opinion.

(e)        No transfer, sale, pledge or other disposition of a Junior
Subordinate Certificate shall be made unless such transfer, sale, pledge or other disposition is made in accordance with this
Section 5.01(e) or Section 5.01(f).  Each Person who, at any time, acquires any ownership interest in any Junior Subordinate
Certificate shall be deemed by the acceptance or acquisition of such ownership interest to have agreed to be bound by the following
provisions of this Section 5.01(e) and Section 5.01(f), as applicable. No transfer of a Junior Subordinate Certificate shall be
deemed to be made in accordance with this Section 5.01(e) unless such transfer is made pursuant to an effective registration
statement under the Securities Act or unless the Trustee is provided with the certificates and an Opinion of Counsel, if required,
on which the Trustee may conclusively rely, to the effect that such transfer is exempt from the registration requirements under the
Securities Act, as follows:  In the event that a transfer is to be made in reliance upon an exemption from the Securities Act,
the Trustee shall require, in order to assure compliance with the Securities Act, that the Certificateholder desiring to effect
such transfer certify to the Trustee in writing, in substantially the form attached hereto as Exhibit F, the facts surrounding the
transfer, with such modifications to such Exhibit F as may be appropriate to reflect the actual facts of the proposed transfer, and
that the Certificateholder’s proposed transferee certify to the Trustee in writing, in substantially the form attached hereto
as Exhibit G, the facts surrounding the transfer, with such modifications to such Exhibit G as may be appropriate to reflect the
actual facts of the proposed transfer. If such certificate of the proposed transferee does not contain substantially the substance
of Exhibit G, the Trustee shall require an Opinion of Counsel that such transfer may be made without registration, which Opinion of
Counsel shall not be obtained at the expense of the Trustee, the Delaware Trustee, the Trust, the Servicer or the Company. Such
Opinion of Counsel shall allow for the forwarding, and the Trustee shall forward, a copy thereof to the Rating Agencies.
Notwithstanding the foregoing, any Junior Subordinate Certificate may be transferred, sold, pledged or otherwise disposed of in
accordance with the requirements set forth in Section 5.01(f).

(f)         To effectuate a Certificate transfer of a Junior Subordinate
Certificate in accordance with this Section 5.01(f), the proposed transferee of such Certificate must provide the Trustee and the
Company with an investment letter substantially in the form of Exhibit L attached hereto, which investment letter shall not be an
expense of the Trust, the Trustee, the Delaware Trustee or the Company, and which investment letter states that, among other
things, such transferee (i) is a “qualified institutional buyer” as defined under Rule 144A, acting for its own account
or the accounts of other “qualified institutional buyers” as defined under Rule 144A, and (ii) is aware that the
proposed transferor intends to rely on the exemption from registration requirements under the Securities Act provided by Rule 144A.
Notwithstanding the foregoing, the proposed transferee of such Certificate shall not be required to provide the Trustee or the
Company with Annex 1 or Annex 2 to the form of Exhibit L attached hereto if the Company so consents prior to each such transfer.
Such transfers shall be deemed to have complied with the requirements of this Section 5.01(f). The Holder of a Certificate desiring
to effect such transfer does hereby agree to indemnify the Trust, the Trustee, the Delaware Trustee, the Servicer, the Company, and
the Certificate Registrar against any liability that may result if transfer is not made in accordance with this
Agreement.

(g)        (1)        In the case of any
ERISA Restricted Certificate presented for registration in the name of any Person, the prospective transferee shall be required to
provide the Trustee and the Company (A) an officer’s certificate substantially in the form of Exhibit O attached hereto
acceptable to and in form and substance satisfactory to the Trustee and the Company, which officer’s certificate shall not be
an expense of the Trust, the Servicer, the Trustee, the Delaware Trustee, the Servicer or the Company, and (B) only if such
officer’s certificate indicates that a Benefit Plan Opinion is delivered in connection therewith, a Benefit Plan
Opinion.

(2)        Notwithstanding the foregoing, a certification (and, if
applicable, a Benefit Plan Opinion) as described in Section 5.01(g)(1) above will not be required with respect to the transfer of
any ERISA Restricted Certificate to a Clearing Agency, or for any subsequent transfer of any interest in a ERISA Restricted
Certificate for so long as such Certificate is a Book-Entry Certificate (each such ERISA Restricted Certificate, a
“Book-Entry ERISA Restricted Certificate”).  Any transferee of a Book-Entry ERISA Restricted Certificate
will be deemed to have represented, by virtue of its acquisition or holding of such Certificate (or interest therein), that either
(i) such transferee is not an employee benefit or other plan subject to the prohibited transaction provisions of ERISA or Section
4975 of the Code, or any person (including an investment manager, a named fiduciary or a trustee of any such plan) acting, directly
or indirectly, on behalf of or purchasing such Certificate with “plan assets” of any such plan (a “Plan
Investor”), (ii) such transferee is an insurance company, the source of funds to be used by it to acquire or hold such
Certificate is an “insurance company general account” (within the meaning of Department of Labor Prohibited Transaction
Class Exemption (“PTCE”) 95-60), and the conditions in Sections I and III of PTCE 95-60 have been satisfied
(each entity that satisfies this clause (ii), a “Complying Insurance Company”) or (iii) such Certificate was
rated “BBB-” or better (or its equivalent) by at least one of the Rating Agencies at the time of such
transferee’s acquisition of such Certificate (or interest therein).

(3)        If any Book-Entry ERISA Restricted Certificate (or any interest
therein) is acquired or held in violation of the provisions of Section 5.01(g)(2) above, then the last preceding transferee that
either (i) is not a Plan Investor, (ii) is a Complying Insurance Company or (iii) acquired such Certificate at a time when such
Certificate was rated “BBB-” or better (or its equivalent) by at least one of the Rating Agencies shall be restored, to
the extent permitted by law, to all rights and obligations as Beneficial Holder thereof retroactive to the date of transfer of such
Certificate by such preceding transferee.  Neither the Trust nor the Trustee shall be under any liability to any Person for
making any payments due on such Certificate to such preceding transferee.

(4)        Any purported Beneficial Holder whose acquisition or holding of
any Book-Entry ERISA Restricted Certificate (or interest therein) was effected in violation of the restrictions in this Section
5.01(g) shall indemnify and hold harmless the Company, the Trustee, the Delaware Trustee, the Servicer, the Trust and each
Underwriter from and against any and all liabilities, claims, costs or expenses incurred by such parties as a result of such
acquisition or holding.

Section 5.02.        Certificates Issuable in Classes; Distributions of Principal and Interest; Authorized
Denominations. The aggregate principal amount of the Certificates that may be authenticated and delivered
under this Agreement is limited to the aggregate Principal Balance of the Mortgage Loans as of the Cut-Off Date, as specified in
the Preliminary Statement to this Agreement, except for Certificates authenticated and delivered upon registration of transfer of,
or in exchange for, or in lieu of, other Certificates pursuant to Section 5.03. Such aggregate principal amount shall be allocated
among one or more Classes having designations, types of interests, initial per annum Certificate Interest Rates, initial Class
Principal Balances and Final Maturity Dates as specified in the Preliminary Statement to this Agreement. The aggregate Percentage
Interest of each Class of Certificates of which the Class Principal Balance equals zero as of the Cut-Off Date that may be
authenticated and delivered under this Agreement is limited to 100%. Certificates shall be issued in Authorized Denominations.

Section 5.03.        Registration of Transfer and Exchange of Certificates. The Trustee shall cause to be
maintained at one of its offices or at its designated agent, a Certificate Register in which there shall be recorded the name and
address of each Certificateholder. Subject to such reasonable rules and regulations as the Trustee may prescribe, the Certificate
Register shall be amended from time to time by the Trustee or its agent to reflect notice of any changes received by the Trustee or
its agent pursuant to Section 10.06. The Trustee hereby appoints itself as the initial Certificate Registrar.

Upon surrender for registration of
transfer of any Certificate to the Trustee at the Corporate Trust Office of the Trustee, or such other address or agency as may
hereafter be provided to the Servicer in writing by the Trustee, the Trustee shall execute, and the Trustee or any Authenticating
Agent shall authenticate and deliver, in the name of the designated transferee or transferees, one or more new Certificates of
Authorized Denominations. At the option of the Certificateholders, Certificates may be exchanged for other Certificates in
Authorized Denominations of like Certificate Principal Balance or Percentage Interest, as applicable, upon surrender of the
Certificates to be exchanged at any such office or agency. Whenever any Certificates are so surrendered for exchange, the Trustee
on behalf of the Trust shall execute, and the Trustee, or any Authenticating Agent, shall authenticate and deliver, the
Certificates which the Certificateholder making the exchange is entitled to receive. Every Certificate presented or surrendered for
transfer shall (if so required by the Trustee or any Authenticating Agent) be duly endorsed by, or be accompanied by a written
instrument of transfer in form satisfactory to the Trustee or any Authenticating Agent and duly executed by, the Holder thereof or
such Holder’s attorney duly authorized in writing.

A reasonable service charge may be made
for any such exchange or transfer of Certificates, and the Trustee may require payment of a sum sufficient to cover any tax or
governmental charge that may be imposed in connection with any exchange or transfer of Certificates.

All Certificates surrendered for
exchange or transfer shall be cancelled by the Trustee or any Authenticating Agent.

Section 5.04.        Mutilated, Destroyed, Lost or Stolen Certificates. If (i) any mutilated Certificate is
surrendered to the Trustee or any Authenticating Agent, or (ii) the Trustee or any Authenticating Agent receives evidence to their
satisfaction of the destruction, loss or theft of any Certificate, and there is delivered to the Trustee or any Authenticating
Agent such security or indemnity as may be required by them to save each of them and the Trust harmless, then, in the absence of
notice to the Trustee or any Authenticating Agent that such Certificate has been acquired by a protected purchaser, the Trustee
shall execute and the Trustee or any Authenticating Agent shall authenticate and deliver, in exchange for or in lieu of any such
mutilated, destroyed, lost or stolen Certificate, a new Certificate of like Certificate Principal Balance or Percentage Interest as
applicable. Upon the issuance of any new Certificate under this Section 5.04, the Trustee or any Authenticating Agent 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 Trustee or any Authenticating Agent) connected therewith. Any replacement
Certificate issued pursuant to this Section 5.04 shall constitute complete and indefeasible evidence of ownership in REMIC II (or
with respect to the Class R Certificates, the residual ownership interests in REMIC I and REMIC II) as if originally issued,
whether or not the lost or stolen Certificate shall be found at any time.

Section 5.05.        Persons Deemed Owners. The Company, the Servicer, the Trust, the Trustee, the Delaware
Trustee and any agent of any of them 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 4.01 and Section 4.04 and for all other purposes
whatsoever, and none of the Company, the Servicer, the Trust, the Trustee, the Delaware Trustee, the Certificate Registrar or any
agent thereof shall be affected by notice to the contrary.

Section 5.06.        Temporary Certificates. Upon the initial issuance of the Certificates, the Trustee on
behalf of the Trust may execute, and the Trustee or any Authenticating Agent shall authenticate and deliver, temporary Certificates
which are printed, lithographed, typewritten or otherwise produced, in any Authorized Denomination, of the tenor of the definitive
Certificates in lieu of which they are issued and with such variations in form from the forms of the Certificates set forth as
Exhibits A, B and H hereto as the Trustee’s officers executing such Certificates may determine, as evidenced by their
execution of the Certificates.  Notwithstanding the foregoing, the Certificates may remain in the form of temporary
Certificates.

If temporary Certificates are issued,
the Trustee shall cause definitive Certificates to be prepared within ten Business Days after the Closing Date or as soon as
practicable thereafter. After preparation of definitive Certificates, the temporary Certificates shall be exchangeable for
definitive Certificates upon surrender of the temporary Certificates at the office or agency of the Trustee to be maintained as
provided in Section 5.10 hereof, without charge to the holder. Any tax or governmental charge that may be imposed in connection
with any such exchange shall be borne by the Servicer. Upon surrender for cancellation of any one or more temporary Certificates,
the Trustee on behalf of the Trust shall execute and the Trustee or any Authenticating Agent shall authenticate and deliver in
exchange therefor a like principal amount of definitive Certificates of Authorized Denominations. Until so exchanged, the temporary
Certificates shall in all respects be entitled to the same benefits under this Agreement as definitive
Certificates.

Section 5.07.        Book-Entry for Book-Entry Certificates. Notwithstanding the foregoing, the Book-Entry
Certificates, upon original issuance, shall be issued in the form of one or more typewritten Certificates of Authorized
Denomination representing the Book-Entry Certificates, to be delivered to DTC, the initial Clearing Agency, by, or on behalf of,
the Company. The Book-Entry Certificates shall initially be registered on the Certificate Register in the name of Cede & Co.,
the nominee of DTC, as the initial Clearing Agency, and no Beneficial Holder shall receive a definitive certificate representing
such Beneficial Holder’s interest in any Class of Book-Entry Certificate, except as provided above and in Section 5.09. Each
Book-Entry Certificate shall bear the following legend:

Unless this Certificate is presented by an authorized representative of
The Depository Trust Company, a New York corporation (“DTC”), to the Company or its agent for registration of
transfer, exchange, or payment, and any Certificate issued is registered in the name of Cede & Co. or 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.

Unless and until definitive,
fully registered Book-Entry Certificates (the “Definitive Certificates”) have been issued to the Beneficial
Holders pursuant to Section 5.09:

(a)        the provisions of this Section 5.07 shall be in full force and
effect with respect to the Book-Entry Certificates;

(b)        the Servicer and the Trustee may deal with the Clearing Agency for
all purposes with respect to the Book-Entry Certificates (including the making of distributions on the Book-Entry Certificates) as
the sole Certificateholder;

(c)        to the extent that the provisions of this Section 5.07 conflict
with any other provisions of this Agreement, the provisions of this Section 5.07 shall control; and

(d)        the rights of the Beneficial Holders shall be exercised only
through the Clearing Agency and the DTC Participants and shall be limited to those established by law and agreements between such
Beneficial Holders and the Clearing Agency and/or the DTC Participants. Pursuant to the Depositary Agreement, unless and until
Definitive Certificates are issued pursuant to Section 5.09, the initial Clearing Agency will make book-entry transfers among the
DTC Participants and receive and transmit distributions of principal and interest on the related Class of Book-Entry Certificates
to such DTC Participants.

For purposes of any provision of this
Agreement requiring or permitting actions with the consent of, or at the direction of, Holders of Book-Entry Certificates
evidencing a specified Percentage Interest, such direction or consent may be given by the Clearing Agency at the direction of
Beneficial Holders owning Book-Entry Certificates evidencing the requisite Percentage Interest represented by the Book-Entry
Certificates. The Clearing Agency may take conflicting actions with respect to the Book-Entry Certificates to the extent that such
actions are taken on behalf of the Beneficial Holders.

Section 5.08.        Notices to Clearing Agency. Whenever notice or other communication to the
Certificateholders is required under this Agreement, unless and until Definitive Certificates shall have been issued to the related
Certificateholders pursuant to Section 5.09, the Trustee shall give all such notices and communications specified herein to be
given to Holders of the Book-Entry Certificates to the Clearing Agency which shall give such notices and communications to the
related DTC Participants in accordance with its applicable rules, regulations and procedures.

Section 5.09.        Definitive Certificates. If (a) the Clearing Agency or the Servicer notifies the Trustee
in writing that the Clearing Agency is no longer willing or able to discharge properly its responsibilities under the Depositary
Agreement with respect to the Book-Entry Certificates and the Trustee or the Servicer is unable to locate a qualified successor,
(b) the Servicer, with the consent of the related DTC Participants, advises the Trustee in writing that it elects to terminate the
book-entry system with respect to the Book-Entry Certificates through the Clearing Agency or (c) after the occurrence of an Event
of Default, Certificateholders holding Book-Entry Certificates evidencing Percentage Interests aggregating not less than 66% of the
aggregate Class Principal Balance of such Certificates advise the Trustee and the Clearing Agency through DTC Participants in
writing that the continuation of a book-entry system with respect to the Book-Entry Certificates through the Clearing Agency is no
longer in the best interests of the Certificateholders with respect to such Certificates, the Trustee shall notify all
Certificateholders of Book-Entry Certificates of the occurrence of any such event and of the availability of Definitive
Certificates. Upon surrender to the Trustee of the Book-Entry Certificates by the Clearing Agency, accompanied by registration
instructions from the Clearing Agency for registration, the Trustee on behalf of the Trust shall execute and the Trustee or any
Authenticating Agent shall authenticate and deliver the Definitive Certificates. Neither the Company, the Servicer, the Trust nor
the Trustee shall be liable for any delay in delivery of such instructions and may conclusively rely on, and shall be protected in
relying on, such instructions. Upon the issuance of Definitive Certificates for all of the Certificates all references herein to
obligations imposed upon or to be performed by the Clearing Agency shall be deemed to be imposed upon and performed by the Trustee,
to the extent applicable with respect to such Definitive Certificates, and the Trustee shall recognize the Holders of Definitive
Certificates as Certificateholders hereunder.

Section 5.10.        Office for Transfer of Certificates. The Trustee shall maintain an office or agency where
Certificates may be surrendered for registration of transfer or exchange. The Corporate Trust Office is initially designated for
said purposes.

Section 5.11.        Nature of Certificates. The Certificates shall be personal property giving only the rights
specifically set forth therein and in this Agreement.  The Certificates shall have no preemptive or similar rights and when
issued and delivered to the Holders against payment of the purchase price therefor will be fully paid and nonassessable by the
Trust.  The Holders of the Certificates, in their capacities as such, shall be entitled to the same limitation of personal
liability extended to stockholders of private corporations for profit organized under the General Corporation Law of the State of
Delaware. THE RECEIPT AND ACCEPTANCE OF A CERTIFICATE OR ANY INTEREST THEREIN BY OR ON BEHALF OF A HOLDER OR ANY BENEFICIAL OWNER,
WITHOUT ANY SIGNATURE OR FURTHER MANIFESTATION OF ASSENT, SHALL CONSTITUTE THE UNCONDITIONAL ACCEPTANCE BY THE HOLDER AND ALL
OTHERS HAVING A BENEFICIAL INTEREST IN SUCH CERTIFICATE OF ALL THE TERMS AND PROVISIONS OF THIS AGREEMENT, AND SHALL CONSTITUTE THE
AGREEMENT OF THE TRUST, SUCH HOLDER AND SUCH OTHERS THAT THE TERMS AND PROVISIONS OF THIS AGREEMENT SHALL BE BINDING, OPERATIVE AND
EFFECTIVE AS BETWEEN THE TRUST AND SUCH HOLDER AND SUCH OTHERS.

ARTICLE VI

The Company and the Servicer

Section 6.01.        Liability of the Company and the Servicer. Each of the Company and the Servicer shall be
liable in accordance herewith only to the extent of the obligations specifically imposed upon and undertaken by the Company or the
Servicer, as applicable, herein.

Section 6.02.        Merger or Consolidation of the Company or the Servicer. Any Corporation into which either
the Company or the Servicer may be merged or consolidated, or any Corporation resulting from any merger, conversion or
consolidation to which either the Company or the Servicer shall be a party, or any Corporation succeeding to the business of either
the Company or the Servicer, shall be the successor of the Company or the Servicer, as applicable, 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.

Section 6.03.        Limitation on Liability of the Company, the Servicer and Others. Neither the Company nor
the Servicer nor any of the directors, officers, employees or agents of the Company or the Servicer shall be under any liability to
the Trust, the Holders of the REMIC I Regular Interests or the Certificateholders for any action taken by such Person or for such
Person’s 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 Company, the Servicer or
any such Person against 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 duties and obligations hereunder. Each of the
Company, the Servicer and any director, officer, employee or agent of the Company or the Servicer, as applicable, may rely in good
faith on any document of any kind properly executed and submitted by any Person respecting any matters arising hereunder. Each of
the Company, the Servicer and any director, officer, employee or agent of the Company or the Servicer, as applicable, shall be
indemnified by the Trust 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 relating to any Mortgage Loan (other than
as otherwise permitted in this Agreement) or 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 the Company nor the
Servicer shall be under any obligation to appear in, prosecute or defend any legal action which is not incidental to its duties
related to the Mortgage Loans in accordance with this Agreement and which in its opinion may involve it in any expense or
liability; provided, however, that each of the Company and the Servicer may in its
discretion undertake any such action which it may deem necessary or desirable with respect to the Mortgage Loans, this Agreement,
the Certificates or 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 and the Company and the Servicer shall be entitled to be reimbursed, as applicable, therefor out of the Certificate
Account, as provided by Section 3.05.

Section 6.04.        Neither the Company nor the Servicer may Resign. Neither the Company nor the Servicer
shall resign from its respective obligations and duties hereby imposed on it, as applicable, except upon determination by the
Company or the Servicer that its respective duties hereunder are no longer permissible under applicable law.  Any successor
Servicer shall not resign from the 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 Company, the Servicer or
any successor Servicer shall be evidenced by an Opinion of Counsel to such effect delivered to the Trustee. No such resignation
shall become effective until the Trustee or a successor Servicer shall have assumed the Servicer’s responsibilities and
obligations in accordance with Section 7.02 hereof.

If Washington Mutual Bank is no longer acting as Servicer, then the successor Servicer
shall give prompt written notice to the Company of any information received by such successor Servicer which affects or relates to
an ongoing obligation or right of the Company under this Agreement.

Section 6.05.        Trustee Access. The Servicer
shall afford the Company and the Trustee, upon reasonable notice, during normal business hours access to all records maintained by
the Servicer, in respect of the Mortgage Loans and in respect of its rights and obligations hereunder and access to such of its
officers as are responsible for such obligations.  Upon reasonable request, the Servicer, shall furnish the Company and the
Trustee with its most recent financial statements (or, for so long as Washington Mutual
Bank is the Servicer, the most recent consolidated financial statements for Washington
Mutual Bank appearing in the audited financial statements of Washington Mutual, Inc., or the entity with whose financial
statements the financial statements of Washington Mutual Bank are consolidated) and such other information as it possesses, and
which it is not prohibited by law or, to the extent applicable, binding obligations to third parties with respect to
confidentiality from disclosing, regarding its business, affairs, property and condition, financial or otherwise.

ARTICLE VII

Default

Section 7.01.        Events of Default. (a) In case one or more of the following Events of Default by the
Servicer or by a successor Servicer shall occur and be continuing, that is to say:

(i)                 
Any failure by the Servicer to deposit into the Certificate Account any payment required to be deposited therein by the Servicer
under the terms of this Agreement which continues unremedied for a period of five Business Days after the date upon which written
notice of such failure, requiring the same to be remedied, shall have been given to the Servicer by the Trustee or to the Servicer
and the Trustee by the Holders of Certificates evidencing Percentage Interests aggregating not less than 25% of REMIC II;
or

(ii)               
Failure on the part of the Servicer duly to observe or perform in any material respect any other of the covenants or agreements on
the part of the Servicer contained in the Certificates or in this Agreement which continues unremedied for a period of 60 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 Trustee, or to the Servicer and the Trustee by the Holders of Certificates evidencing Percentage Interests aggregating not less
than 25% of REMIC II; or

(iii)               A decree
or order of a court or agency or supervisory authority having jurisdiction in the premises for the appointment of a trustee in
bankruptcy, conservator or receiver or liquidator in any bankruptcy, insolvency, readjustment of debt, marshalling of assets and
liabilities or similar proceedings, or for the winding‐up or liquidation of its affairs, shall have been entered against the
Servicer and such decree or order shall have remained in force undischarged or unstayed for a period of 60 days; or

(iv)              The Servicer
shall consent to the appointment of a trustee in bankruptcy, conservator or receiver or liquidator in any bankruptcy, insolvency,
readjustment of debt, marshalling of assets and liabilities or similar proceedings of or relating to the Servicer or of or relating
to all or substantially all of its property; or

(v)                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 bankruptcy, insolvency or reorganization statute, make an assignment for the benefit of its creditors, or
voluntarily suspend payment of its obligations; or

(vi)              Any failure of
the Servicer to make any Monthly P&I Advance (other than a Nonrecoverable Advance) which continues unremedied at the opening of
business on the Distribution Date in respect of which such Monthly P&I Advance was to have been made;

then, and in each and every such
case, so long as an Event of Default shall not have been remedied, either the Trustee or the Holders of Certificates evidencing
Percentage Interests aggregating not less than 25% of REMIC II, by notice in writing to the Company and the Servicer (and to the
Trustee if given by the Certificateholders, in which case such notice shall set forth evidence reasonably satisfactory to the
Trustee that such Event of Default has occurred and shall not have been remedied) may terminate all of the rights (other than its
right to reimbursement for advances) and obligations of the Servicer, including its right to the Servicing Fee, under this
Agreement and in and to the Mortgage Loans and the proceeds thereof, if any. Such determination shall be final and binding. On or
after the receipt by the Servicer of such written notice, 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 7.01; 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 or assignment of the Mortgage Loans and related documents, or otherwise. The Servicer agrees to cooperate
with the Trustee in effecting the termination of the Servicer's responsibilities and rights hereunder, including, without
limitation, the transfer to the Trustee for administration by it of all cash amounts which shall at the time be credited by the
Servicer to the Certificate Account or thereafter be received with respect to the Mortgage Loans.

Notwithstanding the foregoing, if an
Event of Default described in clause (vi) of this Section 7.01(a) shall occur, the Trustee shall, by notice in writing to the
Servicer, which may be delivered by telecopy, immediately suspend all of the rights and obligations of the Servicer thereafter
arising under this Agreement, but without prejudice to any rights it may have as a Certificateholder or to reimbursement of Monthly
P&I Advances and other advances of its own funds, and the Trustee shall act as provided in Section 7.02 to carry out the duties
of the Servicer, including the obligation to make any Monthly P&I Advance the nonpayment of which was an Event of Default
described in clause (vi) of this Section 7.01(a). Any such action taken by the Trustee must be prior to the distribution on
the relevant Distribution Date. If the Servicer shall within two Business Days following such suspension remit to the Trustee the
amount of any Monthly P&I Advance (plus interest accrued thereon at a per annum rate equal to the prime rate for United States
money center commercial banks as published in The Wall Street Journal) the nonpayment
of which by the Servicer was an Event of Default described in clause (vi) of this Section 7.01(a), the Trustee, subject
to the last sentence of this paragraph, shall permit the Servicer to resume its rights and obligations as Servicer hereunder. The
Servicer agrees that it will reimburse the Trustee for actual, necessary and reasonable costs incurred by the Trustee because of
action taken pursuant to clause (vi) of this Section 7.01(a). The Servicer agrees that if an Event of Default as described in
clause (vi) of this Section 7.01(a) shall occur more than two times in any twelve month period, the Trustee shall be under no
obligation to permit the Servicer to resume its rights and obligations as Servicer hereunder.

(b)        In case one or more of the following Events of Default by the
Company shall occur and be continuing, that is to say:

(i)                 
Failure on the part of the Company duly to observe or perform in any material respect any of the covenants or agreements on the
part of the Company contained in the Certificates or in this Agreement which continues unremedied for a period of 60 days after the
date on which written notice of such failure, requiring the same to be remedied, shall have been given to the Company by the
Trustee, or to the Company and the Trustee by the Holders of Certificates evidencing Percentage Interests aggregating not less than
25% of REMIC II; or

(ii)                A
decree or order of a court or agency or supervisory authority having jurisdiction in the premises for the appointment of a trustee
in bankruptcy, conservator or receiver or liquidator in any bankruptcy, insolvency, readjustment of debt, marshalling of assets and
liabilities or similar proceedings, or for the winding‐up or liquidation of its affairs, shall have been entered against the
Company and such decree or order shall have remained in force undischarged or unstayed for a period of 60 days; or

(iii)               The
Company shall consent to the appointment of a trustee in bankruptcy, conservator or receiver or liquidator in any bankruptcy,
insolvency, readjustment of debt, marshalling of assets and liabilities or similar proceedings of or relating to the Company or of
or relating to all or substantially all of its property; or

(iv)              The Company
shall admit in writing its inability to pay its debts generally as they become due, file a petition to take advantage of any
applicable bankruptcy, insolvency or reorganization statute, make an assignment for the benefit of creditors, or voluntarily
suspend payment of its obligations;

then, and in each and every such
case, so long as such Event of Default shall not have been remedied, the Holders of Certificates evidencing Percentage Interests
aggregating not less than 25% of REMIC II, by notice in writing to the Company and the Trustee, may direct the Trustee in
accordance with Section 10.03 to institute an action, suit or proceeding in its own name as Trustee hereunder to enforce the
Company's obligations hereunder.

(c)        In any circumstances in which this Agreement states that
Certificateholders owning Certificates evidencing a certain Percentage Interest in REMIC II may take certain action, such action
shall be taken by the Trustee, but only if the requisite percentage of Certificateholders required under this Agreement for taking
like action or giving like instruction to the Trustee under this Agreement shall have so directed the Trustee in
writing.

Section 7.02.        Trustee to Act; Appointment of Successor.

(a)        On and after the date on which the Servicer receives a notice of
termination pursuant to Section 7.01 or the Servicer resigns pursuant to Section 6.04, the Trustee shall be the successor in all
respects to the Servicer under this Agreement with respect to the Mortgage Loans in the Mortgage Pool and with respect to the
transactions set forth or provided for herein and shall have all the rights and powers and be subject to all the responsibilities,
duties and liabilities relating thereto arising on or after such date of termination or resignation placed on the Servicer by the
terms and provisions hereof and thereof, and shall have the same limitations on liability herein granted to the Servicer; provided, that the Trustee shall not under any circumstances be responsible for any
representations and warranties or any Purchase Obligation of the Company or any liability incurred by the Servicer prior to such
date of termination or resignation and the Trustee shall not be obligated to make a Monthly P&I Advance if it is prohibited by
law from so doing. As compensation therefor, the Trustee shall be entitled to all funds relating to the Mortgage Loans which the
Servicer would have been entitled to retain or to withdraw from the Certificate Account if the Servicer had continued to act
hereunder, 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 to so act,
or shall if it is unable to so 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 Servicer hereunder in the
assumption of all or any part of the responsibilities, duties or liabilities of the Servicer hereunder. Pending any such
appointment, the Trustee is obligated to act in such capacity. In connection with such appointment and assumption, the Trustee may
make such arrangements for the compensation of such successor out of payments on Mortgage Loans as it and such successor shall
agree; provided, however, that no such compensation shall, together with the
compensation to the Trustee, be in excess of that permitted the Servicer hereunder. The Trustee and such successor shall take such
actions, consistent with this Agreement, as shall be necessary to effectuate any such succession.

(b)        In connection with any termination or resignation of the Servicer
hereunder, in the event that any of the Mortgage Loans are MERS Loans, either (i) the successor Servicer (including the Trustee if
the Trustee is acting as successor Servicer) shall represent and warrant that it is a member of MERS in good standing and shall
agree to comply in all material respects with the rules and procedures of MERS in connection with the servicing of the MERS Loans,
in which case the predecessor Servicer shall cooperate with the successor Servicer in registering the transfer of servicing of the
MERS Loans to the successor Servicer on the MERS® System in accordance with MERS’ rules and procedures, or (ii) if the
successor Servicer is not a member of MERS, the predecessor Servicer shall cooperate with the successor Servicer in (A)
de-registering the MERS Loans from the MERS® System and (B) causing MERS to execute and deliver an assignment from MERS to the
Trust of the Mortgage securing each MERS Loan in recordable form and in the form otherwise provided under clause (X)(iii) of the
definition of “Mortgage File” herein and to execute and deliver such other notices, documents and other instruments as
may be necessary or desirable to effect such de-registration and assignment. The predecessor Servicer shall bear any and all fees
of MERS and all fees and costs of preparing and recording any assignments of Mortgages as required under this Section
7.02(b).

Section 7.03.        Notification to Certificateholders. Upon any such termination or appointment of a
successor to the Servicer, the Trustee shall give prompt written notice thereof to the Certificateholders at their respective
addresses appearing in the Certificate Register.

ARTICLE VIII

Concerning the Trustees

Section 8.01.        Duties of Trustees.

(a)        The Trustee, prior to the occurrence of an Event of Default and
after the curing of all Events of Default which may have occurred, undertakes to perform such duties and only such duties as are
specifically set forth in this Agreement. In case an Event of Default has occurred (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 its
exercise as a prudent person would exercise or use under the circumstances in the conduct of such person’s own
affairs.

(b)        The Trustee, upon receipt of all resolutions, certificates,
statements, opinions, reports, documents, orders or other instruments furnished to it which are specifically required to be
furnished to it pursuant to any provision of this Agreement, shall examine them to determine whether they are in the form required
by this Agreement; provided, however, that the Trustee shall not be responsible for the accuracy or content of any such
certificate, statement, opinion, report, or other order or instrument furnished by the Company or Servicer to the Trustee pursuant
to this Agreement.

(c)        No provision of this Agreement shall be construed to relieve the
Trustee or the Delaware Trustee from liability for its own negligent action, its own negligent failure to act or its own willful
misconduct; provided, however, that:

(i)                 
Prior to the occurrence of an Event of Default and after the curing of all such Events of Default which may have occurred, the
duties and obligations of the Trustee shall be determined solely by the express provisions of this Agreement,

(ii)               
Neither the Trustee nor the Delaware Trustee shall 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
or the Delaware Trustee, and, in the absence of bad faith on the part of the Trustee or the Delaware Trustee, such trustee 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 such trustee and conforming to the requirements of this Agreement; and

(iii)               Neither
the Trustee nor the Delaware Trustee shall be personally liable with respect to any action taken or omitted to be taken by it in
good faith in accordance with the direction of the Certificateholders holding Certificates which evidence Percentage Interests
aggregating not less than 25% of REMIC II relating to the time, method and place of conducting any proceeding for any remedy
available to such trustee, or relating to the exercise of any trust or power conferred upon such trustee under this
Agreement.

(d)        Within ten Business Days after the occurrence of any Event of
Default known to the Trustee, the Trustee shall transmit by mail to the Rating Agencies notice of each Event of Default. Within 90
days after the occurrence of any Event of Default known to the Trustee, the Trustee shall transmit by mail to all
Certificateholders (with a copy to the Rating Agencies) notice of each Event of Default, unless such Event of Default shall have
been cured or waived; provided, however, the Trustee shall be protected in withholding such notice if and so long as a Responsible
Officer of the Trustee in good faith determines that the withholding of such notice is in the best interests of the
Certificateholders; and provided, further, that in the case of any Event of Default of the character specified in Section 7.01(i)
and Section 7.01(ii) no such notice to Certificateholders or to the Rating Agencies shall be given until at least 30 days after the
occurrence thereof.

Section 8.02.        Certain Matters Affecting the Trustees. Except as otherwise provided in Section 8.01:

(i)                 
Each of the Trustee and the Delaware Trustee 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,
report, notice, request, consent, order, approval, 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;

(ii)                Each
of the Trustee and the Delaware Trustee 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 Delaware Trustee shall be personally liable for any action taken or omitted by it in good faith and reasonably
believed by it to be authorized or within the discretion or rights or powers conferred upon it by this Agreement;

(iv)              Prior to the
occurrence of an Event of Default hereunder and after the curing of all Events of Default which may have occurred, neither the
Trustee nor the Delaware Trustee 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 to do so by the Holders of Certificates evidencing Percentage Interests aggregating not less than 25%
of REMIC II; provided, however, that if the payment within a reasonable time to the Trustee or the Delaware Trustee of the costs,
expenses or liabilities likely to be incurred by it in the making of such investigation is, in the opinion of such trustee, not
reasonably assured to such trustee by the security, if any, afforded to it by the terms of this Agreement, such trustee may require
reasonable indemnity against such expense or liability as a condition to proceeding;

(v)                Each
of the Trustee and the Delaware Trustee may execute the trust or any of the powers hereunder or perform any duties hereunder either
directly or by or through agents or attorneys selected by it with reasonable care or (as in the case of the Initial Custodian)
designated by the Servicer;

(vi)              Neither the
Trustee nor the Delaware Trustee shall be deemed to have knowledge or notice of any matter, including without limitation an Event
of Default, unless actually known by a Responsible Officer, or unless written notice thereof referencing this Agreement or the
Certificates is received at the Notice Address of such trustee;

(vii)             In no event shall the
Trustee or the Delaware Trustee be held liable for acts or omissions of the Servicer or the other trustee (excepting the
Trustee’s own actions as Servicer).   No provision of this Agreement shall require the Trustee or the Delaware
Trustee to expend or risk its own funds or otherwise incur any financial liability in the performance of any of its duties
hereunder (except for the giving of required notices), or in the exercise of any of its rights or powers, if it shall have
reasonable grounds for believing the repayment of such funds or adequate indemnity against such risk or liability is not reasonably
assured to it;

(viii)           When the Trustee is acting as
Servicer pursuant to Section 7.02, and to the extent permitted under applicable law, the Trustee is hereby authorized, in making or
disposing of any investment permitted hereunder, to deal with itself (in its individual capacity) or with any one or more of its
affiliates, whether it or its affiliate is acting as an agent of the Trustee or of any third person or dealing as principal for its
own account; and

(ix)              Except as
expressly provided in this Agreement, in no event shall the Trustee be under any duty or obligation to monitor, determine,
investigate or compel compliance by the Trust with the requirements of the Statutory Trust Statute.

Section 8.03.        Trustees Not Liable for Certificates or Mortgage Loans. The recitals contained herein
(other than those relating to the due organization, power and authority of the Trustee and the Delaware Trustee) and in the
Certificates (other than the execution of, and certificate of authentication on, the Certificates) shall be taken as the statements
of the Company or the Trust, as applicable, and neither the Trustee nor the Delaware Trustee assumes any responsibility for their
correctness. Neither the Trustee nor the Delaware Trustee makes any representations as to the validity or sufficiency of this
Agreement or of the Certificates or any Mortgage Loan. Neither the Trustee nor the Delaware Trustee shall be accountable for the
use or application by the Company or the Trust, as applicable, of any of the Certificates or of the proceeds of such Certificates,
or for the use or application of any funds paid to the Servicer or the Company in respect of the Mortgage Loans or deposited into
the Custodial Accounts for P&I, any Buydown Fund Account, or the Custodial Accounts for P&I or into the Investment Account,
or the Certificate Account by the Servicer or the Company.

Section 8.04.        Trustees May Own Certificates. The Trustee, the Delaware Trustee or any agent or affiliate
of such trustee, in its individual or any other capacity, may become the owner or pledgee of Certificates with the same rights it
would have if it were not trustee.

Section 8.05.        The Servicer to Pay Trustees’ Fees and Expenses. Subject to separate written
agreements with the Trustee and the Delaware Trustee, the Servicer covenants and agrees to, and the Servicer shall, pay each of the
Trustee and the Delaware Trustee from time to time, and such trustee shall be entitled to payment, for all services rendered by it
in the execution of the trust hereby created and in the exercise and performance of any of the powers and duties hereunder of such
trustee. Except as otherwise expressly provided herein, the Servicer shall pay or reimburse each of the Trustee and the Delaware
Trustee upon such trustee’s request for all reasonable expenses and disbursements incurred or made by such trustee in
accordance with any of the provisions of this Agreement, including any such expenses incurred or made in connection with a transfer
of servicing, and shall indemnify such trustee from any loss, liability or expense incurred by it hereunder (including the
reasonable compensation and the expenses and disbursements of its counsel and of all persons not regularly in its employ and any
expenses which arise out of or are imposed upon the Trustee or the Delaware Trustee in connection with the creation, operation or
termination of the Trust) except any such expense or disbursement as may arise from its own negligence or bad faith. Such
obligation shall survive the termination of this Agreement or resignation or removal of the Trustee or the Delaware Trustee. The
Tax Matters Person shall, at its expense, prepare or cause to be prepared all federal and state income tax and franchise tax and
information returns relating to REMIC I or REMIC II required to be prepared or filed by the Trustee or the Delaware Trustee and
shall indemnify the Trustee and the Delaware Trustee for any liability of such trustees arising from any error in such returns.

Section 8.06.        Eligibility Requirements for Trustees. The Trustee hereunder shall at all times be (i) an
institution insured by the FDIC, (ii) a Corporation 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 and subject to supervision or examination by federal or state authority and (iii) acceptable to the Rating Agencies. If
such Corporation publishes reports of condition at least annually, pursuant to law or to the requirements of any aforementioned
supervising or examining authority, then for the purposes of this Section 8.06, the combined capital and surplus of such
Corporation shall be deemed to be its combined capital and surplus as set forth in its most recent report of condition so
published.  The Delaware Trustee hereunder shall at all times have its principal place of business in the State of Delaware
and shall satisfy the applicable requirements under the laws of the State of Delaware authorizing it to act as the Delaware trustee
of the Trust.  In case at any time the Trustee or the Delaware Trustee shall cease to be eligible in accordance with the
provisions of this Section 8.06, such trustee shall resign immediately in the manner and with the effect specified in Section
8.07.

Section 8.07.        Resignation and Removal of Trustees. Each of the Trustee and the Delaware Trustee may at
any time resign and be discharged from the trust hereby created by giving written notice thereof to the Servicer. Upon receiving
such notice of resignation, the Servicer shall promptly appoint a successor trustee by written instrument, in duplicate, one copy
of which instrument shall be delivered to the resigning trustee and one copy to the successor trustee. If no successor trustee
shall have been so appointed and shall have accepted appointment within 30 days after the giving of such notice of resignation, the
resigning trustee may petition any court of competent jurisdiction for the appointment of a successor trustee.

If at any time the Trustee or the
Delaware Trustee shall cease to be eligible in accordance with the provisions of Section 8.06 and shall fail to resign after
written request therefor by the Servicer, or if at any time the Trustee or the Delaware Trustee shall become incapable of acting,
or shall be adjudged bankrupt or insolvent, or a receiver of such trustee or of its property shall be appointed, or any public
officer shall take charge or control of such trustee or of its property or affairs for the purpose of rehabilitation, conservation
or liquidation, then the Servicer may remove such trustee and appoint a successor trustee by written instrument, in duplicate,
copies of which instrument shall be delivered to the trustee so removed, the trustee continuing in its capacity and the successor
trustee.

The Holders of Certificates evidencing
Percentage Interests aggregating more than 50% of REMIC II may at any time remove the Trustee or the Delaware Trustee and appoint a
successor trustee by written instrument or instruments, in triplicate, signed by such Holders or their attorneys in-fact duly
authorized, one complete set of which instruments shall be delivered to the Servicer, one complete set to the Trustee so removed
and one complete set to the successor so appointed.

Any resignation or removal of the
Trustee or the Delaware Trustee and appointment of a successor trustee pursuant to any of the provisions of this Section 8.07 shall
become effective upon acceptance of appointment by the successor trustee as provided in Section 8.08. Any expenses associated with
the resignation of the Trustee or the Delaware Trustee shall be borne by such trustee, and any expenses associated with the removal
of the Trustee or the Delaware Trustee shall be borne by the Servicer.

Section 8.08.        Successor Trustee. Any successor trustee appointed as provided in Section 8.07 shall
execute, acknowledge and deliver to the Servicer and to its predecessor trustee an instrument accepting such appointment hereunder,
and thereupon the resignation or removal of the predecessor trustee shall become effective and such successor trustee, 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 Delaware Trustee herein. The predecessor shall deliver to the
successor trustee all Mortgage Files, related documents, statements and all other property held by it hereunder, and the Servicer
and the predecessor trustee shall execute and deliver such instruments and do such other things as may reasonably be required for
more fully and certainly vesting and confirming in the successor trustee all such rights, powers, duties and obligations.

No successor trustee shall accept
appointment as provided in this Section 8.08 unless at the time of such appointment such successor trustee shall be eligible under
the provisions of Section 8.06.

Upon acceptance of appointment by a
successor trustee as provided in this Section 8.08, the Servicer shall mail notice of the succession of such trustee hereunder to
(i) all Certificateholders at their addresses as shown in the Certificate Register and (ii) the Rating Agencies. If the Servicer
fails to mail such notice within ten days after acceptance of appointment by the successor trustee, the successor trustee shall
cause such notice to be mailed.

Section 8.09.        Merger or Consolidation of Trustee. Any Corporation into which the Trustee or the Delaware
Trustee may be merged or converted or with which it may be consolidated, or any Corporation resulting from any merger, conversion
or consolidation to which the Trustee or the Delaware Trustee shall be a party, or any Corporation succeeding to the corporate
trust business of such trustee, shall be the successor of such trustee hereunder, provided such resulting or successor Corporation
shall be eligible under the provisions of Section 8.06, 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.

Section 8.10.        Appointment of Co-Trustee or Separate Trustee. Notwithstanding any other provisions
hereof, at any time, for the purpose of meeting any legal requirements of any jurisdiction in which any part of the assets of the
Trust may at the time be located, the Servicer and the Trustee or the Delaware Trustee, as applicable, acting jointly shall have
the power and shall execute and deliver all instruments to appoint one or more Persons approved by such trustee to act as
co-trustee or co-trustees, jointly with such trustee, or separate trustee or separate trustees, of all or any part of the assets of
the Trust and to vest in such Person or Persons, in such capacity, such title to the assets of the Trust, or any part thereof, and,
subject to the other provisions of this Section 8.10, such powers, duties, obligations, rights and trusts as the Servicer and the
Trustee or the Delaware Trustee, as applicable, may consider necessary or desirable; provided, that the Trustee or the Delaware
Trustee, as applicable, shall remain liable for all of its obligations and duties under this Agreement. If the Servicer shall not
have joined in such appointment within 15 days after the receipt by it of a request so to do, or in case an Event of Default shall
have occurred and be continuing, the Trustee or the Delaware Trustee, as applicable, alone shall have the power to make such
appointment; provided, that such trustee shall remain liable for all of its obligations and duties under this Agreement. No
co-trustee or separate trustee hereunder shall be required to meet the terms of eligibility as a successor trustee under Section
8.06 hereunder and no notice to Certificateholders of the appointment of co-trustee(s) or separate trustee(s) shall be required
under Section 8.08 hereof.

In the case of any appointment of a
co-trustee or separate trustee pursuant to this Section 8.10, all rights, powers, duties and obligations conferred or imposed upon
the Trustee or the Delaware Trustee, as applicable, shall be conferred or imposed upon and exercised or performed by the Trustee or
the Delaware Trustee, as applicable, and such separate trustee or co-trustee jointly and severally, except to the extent that under
any law of any jurisdiction in which any particular act or acts are to be performed by the Trustee or the Delaware Trustee, as
applicable (whether as Trustee or Delaware Trustee hereunder or as successor to the Servicer hereunder), such 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 assets of the Trust 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 or the Delaware Trustee, as applicable.

Any notice, request or other writing
given to the Trustee or the Delaware Trustee shall be deemed to have been given to each of the then related separate trustee(s) and
co-trustee(s), as effectively as if given to each of them. Every instrument appointing any separate trustee(s) or co-trustee(s)
shall refer to this Agreement and the conditions of this Article VIII. 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 the Delaware Trustee, as applicable, 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 or the Delaware Trustee, as applicable. Every such instrument shall be filed with the Trustee
or the Delaware Trustee, as applicable.

Any separate trustee or co-trustee may,
at any time, constitute the Trustee or the Delaware Trustee, as applicable, 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 die, become incapable of acting, resign or be removed, all of its estates,
properties, rights, remedies and the trust shall vest in and be exercised by the Trustee or the Delaware Trustee, as applicable, to
the extent permitted by law, without the appointment of a new or successor trustee.

Section 8.11.        Authenticating Agents. The Trustee may appoint one or more Authenticating Agents which
shall be authorized to act on behalf of the Trustee in authenticating Certificates. Wherever reference is made in this Agreement to
the authentication of Certificates by the Trustee or the Trustee’s certificate of authentication, such reference shall be
deemed to include authentication on behalf of the Trustee by an Authenticating Agent and a certificate of authentication executed
on behalf of the Trustee by an Authenticating Agent. Each Authenticating Agent must be acceptable to the Servicer and must be a
corporation, trust company or banking association organized and doing business under the laws of the United States of America or of
any state, having an 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 corporation into which any
Authenticating 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 Authenticating Agent shall be a party, or any corporation succeeding to the corporate
agency business of any Authenticating Agent, shall continue to be the Authenticating Agent so long as it shall be eligible in
accordance with the provisions of the first paragraph of this Section 8.11 without the execution or filing of any paper or any
further act on the part of the Trustee or the Authenticating Agent.

Any Authenticating Agent may at any
time resign by giving written notice of resignation to the Trustee and the Servicer. The Trustee may, upon prior written approval
of the Servicer, 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 the first paragraph of this Section 8.11,
the Trustee may appoint, upon prior written approval of the Servicer, 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. Any reasonable
compensation paid to an Authenticating Agent shall be a reimbursable expense pursuant to Section 8.05 if paid by the
Trustee.

Section 8.12.        Paying Agents. The Trustee may appoint one or more Paying Agents which shall be authorized
to act on behalf of the Trustee in making withdrawals from the Certificate Account, and distributions to Certificateholders as
provided in Section 4.01, Section 4.04(a) and Section 9.01(b) to the extent directed to do so by the Servicer. Wherever reference
is made in this Agreement to the withdrawal from the Certificate Account by the Trustee, such reference shall be deemed to include
such a withdrawal on behalf of the Trustee by a Paying Agent. Whenever reference is made in this Agreement to a distribution by the
Trustee or the furnishing of a statement to Certificateholders by the Trustee, such reference shall be deemed to include such a
distribution or furnishing on behalf of the Trustee by a Paying Agent. Each Paying Agent shall provide to the Trustee such
information concerning the Certificate Account as the Trustee shall request from time to time. Each Paying Agent must be reasonably
acceptable to the Servicer and must be a corporation, trust company or banking association organized and doing business under the
laws of the United States of America or of any state, having an 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 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 8.12.

Any Paying Agent may at any time resign
by giving written notice of resignation to the Trustee and to the Servicer; provided, that the Paying Agent has returned to the
Certificate Account or otherwise accounted, to the reasonable satisfaction of the Servicer, for all amounts it has withdrawn from
the Certificate Account. The Trustee 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 8.12, the Trustee 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 the
rights, powers, duties and responsibilities of its predecessor hereunder, with like effect as if originally named as Paying Agent.
Any reasonable compensation paid to any Paying Agent shall be a reimbursable expense pursuant to Section 8.05 if paid by the
Trustee.

Section 8.13.        Duties of Delaware Trustee.

(a)        The Delaware Trustee is appointed to serve as the trustee of the
Trust in the State of Delaware for the sole purpose of satisfying the requirement of Section 3807(a) of the Statutory Trust Statute
that the Trust have at least one trustee with a principal place of business in Delaware.  It is understood and agreed by the
parties hereto that the Delaware Trustee shall have none of the duties or liabilities of the Trustee.

(b)        The duties of the Delaware Trustee shall be limited to (i)
accepting legal process served on the Trust in the State of Delaware, (ii) the execution of any certificates with respect to the
Trust required to be filed with the Secretary of State which the Delaware Trustee is required to execute under Section 3811 of the
Statutory Trust Statute and (iii) such other duties as are set forth in this Article VIII.  To the extent that, at law or in
equity, the Delaware Trustee has duties (including fiduciary duties) and liabilities relating thereto to the Trust or the Holders
of the REMIC I Regular Interests or the Certificates, it is hereby understood and agreed by the parties hereto that such duties and
liabilities are replaced by the duties and liabilities of the Delaware Trustee expressly set forth in this
Agreement.

Section 8.14.        Amendment to Certificate of Trust. If at any time required by Section 3810 of the
Statutory Trust Statute, the Trustee, the Delaware Trustee and any other trustee of the Trust shall cause an amendment to the
Certificate of Trust to be filed with the Secretary of State in accordance with the provisions of such Section 3810.

Section 8.15.        Limitation of Liability. It is expressly understood and agreed by the parties hereto that
(a) each of the representations, undertakings and agreements herein made on the part of the Trust is made and intended not as
personal representations, undertakings and agreements by the Trustee but is made and intended for the purpose of binding only the
Trust and (b) under no circumstances shall the Trustee be personally liable for the payment of any indebtedness or expenses of the
Trust or be liable for the breach or failure of any obligation, representation, warranty or covenant made or undertaken by the
Trust under this Agreement.

Section 8.16.        Yield Maintenance Agreements. The Trust shall have the power and authority, and the
Trustee (not in its individual capacity, but solely as Trustee hereunder) is hereby authorized and directed, to (i) enter into and
perform the obligations of the Trust under each Yield Maintenance Agreement and (ii) exercise and enforce the rights of the Trust
as specified therein.

ARTICLE IX

Termination

Section 9.01.        Termination Upon Purchase by the Servicer or Liquidation of All Mortgage Loans.

(a)        Except as otherwise set forth in this Article IX, including,
without limitation, the obligation of the Servicer to make payments to Certificateholders as hereafter set forth, the Trust and the
respective obligations and responsibilities of the Company, the Servicer, the Trustee and the Delaware Trustee created hereby shall
terminate in accordance with Section 3808 of the Statutory Trust Statute upon (i) the purchase by the Servicer pursuant to the
following paragraph of this Section 9.01(a) of all Mortgage Loans (other than Liquidated Mortgage Loans), all property acquired in
respect of any Mortgage Loan remaining in the Trust and all other property included in any REMIC formed under this Agreement at a
price equal, after the deduction of related advances, to the sum of (x) the excess of (A) 100% of the aggregate outstanding
Principal Balance of such Mortgage Loans (other than Liquidated Mortgage Loans) plus accrued interest at the applicable
Pass-Through Rate with respect to such Mortgage Loan (other than a Liquidated Mortgage Loan) through the last day of the month of
such purchase, over (B) with respect to any Mortgage Loan which is not a Liquidated Mortgage Loan, the amount of the Bankruptcy
Loss incurred with respect to such Mortgage Loan as of the date of such purchase by the Servicer to the extent that the Principal
Balance of such Mortgage Loan has not been previously reduced by such Bankruptcy Loss, and (y) without duplication, the appraised
fair market value as of the effective date of the termination of the Trust of (A) all property in the Trust which secured a
Mortgage Loan and which was acquired by foreclosure or deed in lieu of foreclosure after the Cut-Off Date, including related
Insurance Proceeds, and (B) all other property included in any REMIC formed under this Agreement, any such appraisal to be
conducted by an appraiser mutually agreed upon by the Servicer and the Trustee, less the sum of all unreimbursed advances made by
the Servicer pursuant to this Agreement, other than advances made with respect to Mortgage Loans as to which the Servicer expects
at the time of such purchase, in its sole judgment, that foreclosure is not imminent, or (ii) the later of the final payment or
other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust or the disposition of all
property acquired upon foreclosure in respect of any Mortgage Loan, and the payment to the Certificateholders of all amounts
required to be paid to them hereunder; provided, however, that in no event shall the Trust continue beyond the expiration of 21
years from the death of the survivor of the issue of Joseph P. Kennedy, the late ambassador of the United States to the Court of
St. James’, living on the date hereof. The Servicer shall not have any further right to reimbursement by the Trust for any
advance that is used to reduce the purchase price of the Mortgage Loans pursuant to the immediately preceding
sentence.

On any Distribution Date after the
first date on which the aggregate Principal Balance of the Mortgage Loans is less than the Clean-Up Call Percentage of the
aggregate Principal Balance of the Mortgage Loans as of the Cut-Off Date, the Servicer may purchase the outstanding Mortgage Loans
(other than Liquidated Mortgage Loans), all property acquired in respect of any Mortgage Loan remaining in the Trust and all other
property included in any REMIC formed under this Agreement at the price stated in clause (i) of the preceding paragraph; provided, that the Servicer may not so purchase the outstanding Mortgage Loans (other than Liquidated Mortgage Loans),
all property acquired in respect of any Mortgage Loan remaining in the Trust and allother property included in any REMIC formed under this Agreement if the price stated in clause (i) of
the preceding paragraph exceeds the fair market value, determined in accordance with prudent industry practices, of all outstanding
Mortgage Loans (other than Liquidated Mortgage Loans), all property acquired in respect of any Mortgage Loan remaining in the Trust
and all other property included in any REMIC formed under this Agreement. If such right is exercised,
the Servicer shall provide to the Trustee and the Company, the written certification of an officer of the Servicer (which
certification shall include a statement to the effect that all amounts required to be paid in order to purchase the Mortgage Loans
have been deposited in the Certificate Account) and the Trustee on behalf of the Trust shall promptly execute all instruments as
may be necessary to release and assign to the Servicer the Mortgage Loans (other than
Liquidated Mortgage Loans), all property acquired in respect of any Mortgage Loan remaining in the Trust and all other property
included in any REMIC formed under this Agreement.

In no event shall the Servicer be
required to expend any amounts other than those described in the first paragraph of this Section 9.01(a) in order to terminate the
Trust or purchase the Mortgage Loans under this Section 9.01, and in no event shall the Company be required to expend any amounts
in connection with such termination or purchase.

(b)        Notice of any termination, specifying the date upon which the
Certificateholders may surrender their Certificates to the Trustee for payment and cancellation, shall be given promptly by letter
from the Trustee to Certificateholders mailed not less than 30 days prior to such final distribution, specifying (i) the date upon
which final payment of the Certificates will be made upon presentation and surrender of Certificates at the office of the
Certificate Registrar therein designated (the “Termination Date”), (ii) the amount of such final payment (the
“Termination Payment”) and (iii) that the Record Date otherwise applicable to the Distribution Date upon which
the Termination Date occurs is not applicable, payments being made only upon presentation and surrender of the Certificates at the
office of the Certificate Registrar therein specified. Upon any such notice, the Certificate Account shall terminate subject to the
Servicer’s obligation to hold all amounts payable to Certificateholders in trust without interest pending such payment. The
Servicer shall provide the Trustee with written notice of its intent to terminate the Trust upon purchase at least five Business
Days, or such lesser time as is acceptable to the Trustee, such acceptance not to be unreasonably withheld, prior to the time that
the Trustee is required to mail notice to the Certificateholders.

In the event that all of the
Certificateholders shall not surrender their Certificates for cancellation within six months after the Termination Date, the
Servicer shall give a second written notice to the remaining Certificateholders to surrender their Certificates for cancellation
and receive the Termination Payment with respect thereto. If within one year after the second notice all the Certificates shall not
have been surrendered for cancellation, the Servicer may take appropriate steps to contact the remaining Certificateholders
concerning surrender of their Certificates, and the cost thereof shall be paid out of the funds and other assets which remain in
trust hereunder.

Upon the completion of winding up of
the Trust, including the payment or the making reasonable provision for payment of all obligations of the Trust in accordance with
Section 3808(e) of the Statutory Trust Statute, the Delaware Trustee shall prepare, the Trustee, the Delaware Trustee and any other
trustee hereunder shall sign, and the Delaware Trustee (upon the Trustee’s consent acting at the direction of the Servicer)
shall file, a certificate of cancellation with the Secretary of State in accordance with Section 3810 of the Statutory Trust
Statute, at which time the Trust and this Agreement shall terminate.  The Servicer shall act as the liquidator of the Trust
and shall be responsible for taking all actions in connection with winding up the Trust, in accordance with the requirements of
this Agreement (including this Section 9.01 and Section 9.02) and applicable law.

Section 9.02.        Additional Termination Requirements.

(a)        In the event the Servicer exercises its purchase option as
provided in Section 9.01, REMIC I and REMIC II shall be terminated in accordance with the following additional requirements, unless
the Servicer, at its own expense, obtains for the Trustee an Opinion of Counsel to the effect that the failure of REMIC I and REMIC
II to comply with the requirements of this Section 9.02 will not (i) result in the imposition of taxes on “prohibited
transactions” of REMIC I and REMIC II as described in Section 860F of the Code, or (ii) cause REMIC I or REMIC II to fail to
qualify as a REMIC at any time that any Certificates are outstanding:

(i)                 
Within 90 days prior to the final Distribution Date set forth in the notice given by the Trustee under Section 9.01, the Tax
Matters Person shall prepare the documentation required and the Tax Matters Person and the Trustee shall adopt a plan of complete
liquidation on behalf of REMIC I and REMIC II meeting the requirements of a qualified liquidation under Section 860F of the Code
and any regulations thereunder, as evidenced by an Opinion of Counsel obtained at the expense of the Servicer, on behalf of REMIC I
and REMIC II; and

(ii)                At
or after the time of adoption of such a plan of complete liquidation and at or prior to the final Distribution Date, the Servicer
as agent of the Trust shall sell all of the assets of REMIC I and REMIC II to the Servicer for cash in the amount specified in
Section 9.01.

(b)        By its acceptance of any Residual Certificate, the Holder thereof
hereby agrees to authorize the Tax Matters Person and the Trustee to adopt such a plan of complete liquidation upon the written
request of the Tax Matters Person and the Trustee and to take such other action in connection therewith as may be reasonably
requested by the Tax Matters Person or the Trustee.

Section 9.03.        Trust Irrevocable. Except as expressly provided herein, the trust created hereby is
irrevocable.

ARTICLE X

Miscellaneous Provisions

Section 10.01.    Amendment.

(a)        This Agreement may be amended from time to time by the Servicer,
the Company and the Trustee, without the consent of any of the Certificateholders:

(i)                 
to cure any ambiguity;

(ii)                to
correct or supplement any provision herein which may be defective or inconsistent with any other provisions herein;

(iii)               to comply
with any requirements imposed by the Code or any regulations thereunder;

(iv)              to correct the
description of any property at any time included in REMIC I or REMIC II, or to assure the conveyance to the Trust of any property
included in REMIC I or REMIC II;

(v)               
pursuant to Section 5.01(c)(v); and

(vi)              to add any
provision to, or amend any provision in, this Agreement, provided that such amendment or addition does not adversely affect in any
material respect the interests of any Certificateholder;

provided, however, that any such amendment which modifies the rights or
obligations of the Delaware Trustee hereunder shall require the consent of the Delaware Trustee. No such amendment (other than one
entered into pursuant to clause (iii) of the preceding sentence) shall change the powers of the Servicer. Prior to entering into
any amendment (other than one entered into pursuant to clause (iii) of the second preceding sentence) without the consent of
Certificateholders pursuant to this paragraph, the Trustee shall require an Opinion of Counsel addressed to the Trust and the
Trustee to the effect that such amendment is permitted under this Agreement and has no material adverse effect on the interests of
the Certificateholders; provided, however, that no such Opinion of Counsel shall be
required if the Company 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. Prior to entering into any amendment pursuant to clause
(iii) of the third preceding sentence without the consent of Certificateholders pursuant to this paragraph, the Trustee shall
require an Opinion of Counsel to the effect that such action is necessary or helpful to comply with the requirements imposed by the
Code or any regulations thereunder and shall not cause any REMIC formed under this Agreement to fail to qualify as such under the
Code.  The cost of any opinion required by this Section 10.01 shall be borne by the party requesting such amendment.

(b)        This Agreement may also be amended from time to time by the
Servicer, the Company and the Trustee with the consent of the Holders of Certificates evidencing Percentage Interests aggregating
not less than 66% of REMIC II, 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 Certificateholders; provided, however, that no such amendment shall, without the consent of the Holder of each
Certificate affected thereby (i) reduce in any manner the amount of, or delay the timing of, distributions of principal or interest
required to be made hereunder or reduce the Certificateholder’s Percentage Interest, the Certificate Interest Rate or the
Termination Payment with respect to any of the Certificates, (ii) reduce the percentage of Percentage Interests specified in this
Section 10.01 which are required to amend this Agreement, (iii) create or permit the creation of any lien against any part of REMIC
I or REMIC II, or (iv) modify any provision in any way which would permit an earlier retirement of the Certificates; provided, further, that any such amendment which modifies the rights or obligations of the
Delaware Trustee hereunder shall require the consent of the Delaware Trustee.

Promptly after the execution of any
such amendment, the Trustee shall furnish written notification of the substance of such amendment to the Delaware Trustee and each
Certificateholder. Any failure to provide such notice, or any defect therein, shall not, however, in any way impair or affect the
validity of any such amendment.

It shall not be necessary for the
consent of Certificateholders under this Section 10.01 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 regulations as the Trustee may
prescribe.

Section 10.02.    Recordation
of Agreement. To the extent permitted by applicable law, this Agreement is subject to recordation in all
appropriate public offices for real property records in all the counties or the comparable jurisdictions in which any Mortgaged
Property is situated, and in any other appropriate public recording office or elsewhere, such recordation to be effected by the
Company and at its expense on direction by the Trustee, but only upon direction accompanied by an Opinion of Counsel to the effect
that such recordation materially and beneficially affects the interests of the Certificateholders. 

Section 10.03.    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 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 or in any manner otherwise to control the operation and management of the Trust or the obligations of the parties
hereto (except as provided in Section 5.09, Section 7.01, Section 8.01, Section 8.02, Section 8.07, Section 10.01 and this Section
10.03), 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 of any provision 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 Trustee a written notice of
default and of the continuance thereof, as hereinbefore provided, and unless also the Holders of Certificates evidencing Percentage
Interests aggregating not less than 25% of REMIC II shall have made written request upon the Trustee to institute such action, suit
or proceeding in its own name as Trustee hereunder and shall have offered to the Trustee such reasonable indemnity as it may
require against the costs, expenses and liabilities to be incurred therein or thereby, and the Trustee, 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. However, the Trustee is under no obligation to exercise any of the extraordinary trusts or powers vested in it by this
Agreement or to make any investigation of matters arising hereunder or to institute, conduct or defend any litigation hereunder or
in relation hereto at the request, order or direction of any of the Certificateholders unless such Certificateholders have offered
to the Trustee reasonable security or indemnity against the costs, expenses and liabilities which may be incurred therein or
thereby. It is understood and intended, and expressly covenanted by each Certificateholder with every other Certificateholder and
the Trustee, that no one or more Holders of Certificates shall have any right in any manner whatever by virtue or by availing of
any provision of this Agreement to affect, disturb or prejudice the rights of the Holders of any other of such 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 10.03, each and every Certificateholder and the Trustee shall be entitled to such
relief as can be given either at law or in equity.

Section 10.04.    Access to
List of Certificateholders. The Certificate Registrar shall furnish or cause to be furnished to the Trustee,
within 30 days after receipt of a request by the Trustee in writing, a list, in such form as the Trustee may reasonably require, of
the names and addresses of the Certificateholders as of the most recent Record Date for payment of distributions to such
Certificateholders.

If three or more Certificateholders
(hereinafter referred to as “applicants”) apply in writing to the Trustee, 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 Trustee shall,
within five Business Days after the receipt of such list from the Certificate Registrar, afford such applicants access during
normal business hours to the most recent list of Certificateholders held by the Trustee. If such a list is as of a date more than
90 days prior to the date of receipt of such applicants’ request, the Trustee 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 the same, agrees with the Servicer, the Trust, the Trustee and the Delaware Trustee that none of the Servicer, the
Trust, the Trustee or the Delaware Trustee 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 10.05.    Governing
Law. This Agreement shall be construed in accordance with the laws of the State of Delaware without giving
effect to its conflict of laws provisions and the obligations, rights and remedies of the parties hereunder shall be determined in
accordance with such laws without giving effect to conflict of laws provisions.

Section 10.06.    Notices. All demands, notices and communications hereunder shall be in writing
and shall be deemed to have been duly given if personally delivered at or mailed by registered or certified mail or overnight
courier to the applicable Notice Address. Notices to the Rating Agencies shall also be deemed to have been duly given if mailed by
first class mail, postage prepaid, to the above listed addresses of the Rating Agencies. 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 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 10.07.    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 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 10.08.    Counterpart
Signatures. 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 10.09.    Benefits of
Agreement. Nothing in this Agreement or in any Certificate, expressed or implied, shall give to any Person,
other than the parties hereto and their respective successors hereunder, any separate trustee or co-trustee appointed under Section
8.10 and the Certificateholders, any benefit or any legal or equitable right, remedy or claim under this Agreement.

Section 10.10.    Notices and
Copies to Rating Agencies .

(a)        The Trustee shall notify the Rating Agencies of the occurrence of
any of the following events, in the manner provided in Section 10.06:

(i)                 
the occurrence of an Event of Default pursuant to Section 7.01, subject to the provisions of Section 8.01(d); and

(ii)                the
appointment of a successor Servicer pursuant to Section 7.02;

(b)        The Servicer shall notify the Rating Agencies of the occurrence of
any of the following events, or in the case of clauses (iii), (iv), (vii) and (viii) promptly upon receiving notice thereof, in the
manner provided in Section 10.06:

(i)                 
any amendment of this Agreement pursuant to Section 10.01;

(ii)                the
appointment of a successor Trustee or successor Delaware Trustee pursuant to Section 8.08;

(iii)               the filing
of any claim under or the cancellation or modification of any fidelity bond and errors and omissions coverage pursuant to Section
3.01 and Section 3.06 with respect to the Servicer;

(iv)              any change in
the location of the Certificate Account, any Custodial Account for P&I or any Custodial Account for Reserves;

(v)                the
purchase of any Mortgage Loan pursuant to a Purchase Obligation or as permitted by this Agreement or the purchase of the
outstanding Mortgage Loans pursuant to Section 9.01;

(vi)              the occurrence
of the final Distribution Date or the termination of the trust pursuant to Section 9.01(a)(ii);

(vii)             the failure of the
Servicer to make a Monthly P&I Advance following a determination on the Determination Date that the Servicer would make such
advance pursuant to Section 4.02; and

(viii)           the failure of the Servicer to
make a determination on the Determination Date regarding whether it would make a Monthly P&I Advance when a shortfall exists
between (x) payments scheduled to be received in respect of the Mortgage Loans and (y) the amounts actually deposited in the
Certificate Account on account of such payments, pursuant to Section 4.02.

The Servicer
shall provide copies of the statements pursuant to Section 4.02, Section 4.05, Section 3.12, Section 3.13 or Section 3.15 or any
other statements or reports to the Rating Agencies in such time and manner that such statements or determinations are required to
be provided to Certificateholders. With respect to the reports described in the second paragraph of Section 4.05, the Servicer
shall provide such reports to the Rating Agencies in respect of each Distribution Date, without regard to whether any
Certificateholder or the Trustee or the Delaware Trustee has requested such report for such Distribution Date.

 

IN WITNESS WHEREOF, the Company, the
Servicer, the Trustee and the Delaware Trustee have caused their names to be signed hereto by their respective officers, thereunto
duly authorized, all as of the day and year first above written.

 

	

WASHINGTON MUTUAL MORTGAGE SECURITIES
CORP.

	

By /s/ Barbara Fickle

	

       
Name: Barbara Fickle

         Title:  Assistant Vice President

	

WASHINGTON MUTUAL BANK

as Servicer

	

By /s/ Barbara Loper

	

        Name: Barbara Loper

         Title: Vice President 

	
LASALLE BANK NATIONAL ASSOCIATION,

	

as Trustee

	

By: /s/ Rita C. Lopez

	

        Name:
Rita C. Lopez

         Title: Assistant Vice President

	
CHRISTIANA BANK & TRUST COMPANY,

	

as Delaware
Trustee

	

By:  /s/ Louis W. Geibel

	

       
Name: Louis W. Geibel

         Title:   Vice President

 

[Signature page to Pooling and Servicing Agreement for WMALT Series 2005-5]

 

ACKNOWLEDGEMENT OF CORPORATION

STATE OF
WASHINGTON   )

                                                    )  SS.

COUNTY OF
KING                  )

I certify that I
know or have satisfactory evidence that Barbara Fickle is the person who appeared before me, and said person acknowledged that
she signed this instrument, on oath stated that she was authorized to execute the
instrument and acknowledged it as the Assistant Vice President of WASHINGTON
MUTUAL MORTGAGE SECURITIES CORP., to be the free and voluntary act of such party for the uses and purposes mentioned
therein.

Dated this 27th day of June,
2005.

/s/ Chriselda Landon

Notary Public in and for the State of Washington,

residing at Seattle

My commission expires:  02-26-07

 

ACKNOWLEDGEMENT

STATE OF
WASHINGTON   )

                                                    )  SS.

COUNTY OF
KING                  )

 

            I
certify that I know or have satisfactory evidence that Barbara Loper is the
person who appeared before me, and said person acknowledged that she signed this
instrument, on oath stated that she was authorized to execute the instrument and
acknowledged it as a Vice President of Washington
Mutual Bank, to be the free and voluntary act of such party for the uses and
purposes mentioned therein.

Dated this 27th day of June,
2005.

/s/ Chriselda Landon

Notary Public in and for the State of Washington,

residing at Seattle

My commission expires:  02-26-07

 

 

STATE OF
ILLINOIS              )

                                                    )  SS.

COUNTY OF COOK               
)

 

On this __ day of
June 2005 before me,  Ethel Franklin, a notary public in and for
said State, personally appeared Rita Lopez, known to me to be a Assistant Vice
President of LaSalle Bank N.A., one of the corporations that executed the within
instrument, and also known to me to be the person who executed it on behalf of
said corporation, and acknowledged to me that such corporation executed the
within instrument.

IN WITNESS  WHEREOF, I have hereunto set my hand and
affixed my official seal the day and year in this certificate first above
written.

/s/ Ethel Franklin

My commission expires: 7/18/2005

(Seal)

 

 

ACKNOWLEDGEMENT

STATE OF DELAWARE         )

                                                     )  SS.

COUNTY OF NEWCASTLE    )

On this 17th day of
June 2005 before me, a Notary Public in and for
said State, personally appeared Louis W. Geibel, personally known to me (or proved to me on the basis of satisfactory
evidence) to be the person(s) whose name(s) is/are subscribed to the within instrument and acknowledged to me that he/she/they
executed the same in his/her/their authorized capacit(ies), and that by his/her/their signature(s) on the instrument the person(s),
or the entity upon behalf of which the person(s) acted, executed the instrument.

WITNESS my hand and
official seal.

Signature /s/ Patricia A. Smith

 

(SEAL)   Patricia A. Smith

                               
Notary Public

                               
State of Delaware

                               
My Commission Expires May.  29, 2009

 

Schedule 1 – Exceptions to Section 2.08(iv) Representations

1.         As of the Cut-Off Date, one Mortgage Loan
with the following loan number was current but had been 30 days delinquent once during the twelve months preceding the Cut-Off
Date:

            Loan Number:  601593421.

  

	
 

	
Exhibit A

	
 

	
CUSIP 93934F AA0

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-1

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended, together with certain rights specified in the Pooling Agreement. The issue date of this Certificate is June 28,
2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series 2005-5

	
Portion of the Class CB-1 Principal
Balance as of

 the Cut-Off Date Evidenced by this Certificate:

	
$200,834,000.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class CB-1 Certificate Interest
Rate:

	
Variable

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class CB-1 Principal Balance as of the
Cut-Off Date:

	
$200,834,000.00

	
 

 

	
Cede & Co.

 Registered Owner

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AB8

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-2

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
Series 2005-5

	
Portion of the Class CB-2 Notional Amount
as of

 the Cut-Off Date Evidenced by this Certificate:

	
$200,834,000.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class CB-2 Certificate Interest
Rate:

	
Variable, applied to the Class CB-2
Notional Amount

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class CB-2 Principal Balance as of the
Cut-Off Date:

	
 

$0.00

	
 

	
Class CB-2 Notional Amount as of the
Cut-Off Date:

	
$200,834,000.00

	
 

 

	
Cede & Co.

 Registered Owner

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AC6

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-3

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series 2005-5

	
Portion of the Class CB-3 Principal
Balance as of

 the Cut-Off Date Evidenced by this Certificate:

	
$6,500,000.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class CB-3 Certificate Interest
Rate:

	
5.500%

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class CB-3 Principal Balance as of the
Cut-Off Date:

	
$6,500,000.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AD4

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-4

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series
2005-5

	
Portion of the Class CB-4 Principal
Balance as of

 the Cut-Off Date Evidenced by this Certificate:

	
$68,375,800.00

	
 

	
 

	
 

	
 

	
 

	
 

	
Class CB-4
Certificate Interest Rate:

	
5.500%

	
 

	
Cut-Off
Date:

	
June 1,
2005

	
 

	
First
Distribution Date:

	
July 25,
2005

	
 

	
Last Scheduled
Distribution Date:

	
July 25,
2035

	
 

	
Class CB-4 Principal Balance as of the
Cut-Off Date:

	
$68,375,800.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AE2

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-5

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

The Class CB-5 Certificates will provide credit support to another Class of Certificates, as described in the
Pooling Agreement.

 

	
WMALT Series 2005-5

	
Portion of the Class CB-5 Principal
Balance as of the

 Cut-Off Date Evidenced by this Certificate:

	
$5,625,000.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class CB-5 Certificate Interest
Rate:

	
5.500%

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class CB-5 Principal Balance as of the
Cut-Off Date:

	
$5,625,000.00

	
 

 

	
Cede & Co.

 Registered Owner

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AF9

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-6

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended, together with certain rights specified in the Pooling Agreement. The issue date of this Certificate is June 28,
2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series 2005-5

	
Portion of the Class CB-6 Principal
Balance as of

 the Cut-Off Date Evidenced by this Certificate:

	
$14,998,280.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class CB-6 Certificate Interest
Rate:

	
Variable

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class CB-6 Principal Balance as of the
Cut-Off Date:

	
$14,998,280.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AG7

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-7

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series 2005-5

	
Portion of the Class CB-7 Principal
Balance as of

 the Cut-Off Date Evidenced by this Certificate:

	
$5,453,920.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class CB-7 Certificate Interest
Rate:

	
Variable

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class CB-7 Principal Balance as of the
Cut-Off Date:

	
$5,453,920.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AH5

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-8

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series 2005-5

	
Portion of the Class CB-8 Principal
Balance as of

 the Cut-Off Date Evidenced by this Certificate:

	
$2,500,000.00

	

 

	

 

	
 

	

 

	

 

	
 

	
Class CB-8 Certificate Interest
Rate:

	
5.000%

	
 

	
Cut-Off Date:

	
June 1, 2005

	
 

	
First Distribution Date:

	
July 25, 2005

	
 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	
 

	
Class CB-8 Principal Balance as of the
Cut-Off Date:

	
$2,500,000.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AJ1

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-9

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series 2005-5

	
Portion of the Class CB-9 Principal
Balance as of

 the Cut-Off Date Evidenced by this Certificate:

	
$1,000,000.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class CB-9 Certificate Interest
Rate:

	
5.500%

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class CB-9 Principal Balance as of the
Cut-Off Date:

	
$1,000,000.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AK8

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-10

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series 2005-5

	
Portion of the Class CB-10 Principal
Balance as of

 the Cut-Off Date Evidenced by this Certificate:

	
$2,500,000.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class CB-10 Certificate Interest
Rate:

	
6.000%

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class CB-10 Principal Balance as of the
Cut-Off Date:

	
$2,500,000.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AL6

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-11

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series 2005-5

	
Portion of the Class CB-11 Principal
Balance as of

 the Cut-Off Date Evidenced by this Certificate:

	
$51,007,000.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class CB-11 Certificate Interest
Rate:

	
Variable

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class CB-11 Principal Balance as of the
Cut-Off Date:

	
$51,007,000.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AM4

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-12

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series 2005-5

	
Portion of the Class CB-12 Principal
Balance as of

 the Cut-Off Date Evidenced by this Certificate:

	
$4,637,000.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class CB-12 Certificate Interest
Rate:

	
Variable

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class CB-12 Principal Balance as of
the

 Cut-Off Date:

	
$4,637,000.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AN2

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-13

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

The Class CB-13 Certificates will provide credit support to other Classes of Certificates, as described in the
Pooling Agreement.

 

	
WMALT Series 2005-5

	
Portion of the Class CB-13 Principal
Balance as of

 the Cut-Off Date Evidenced by this Certificate:

	
$7,385,000.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class CB-13 Certificate Interest
Rate:

	
5.500%

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class CB-13 Principal Balance as of
the

 Cut-Off Date:

	
$7,385,000.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AY8

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class CB-14

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series 2005-5

	
Portion of the Class CB-14 Principal
Balance as of

 the Cut-Off Date Evidenced by this Certificate:

	
$134,255,700.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class CB-14 Certificate Interest
Rate:

	
5.500%

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class CB-14 Principal Balance as of
the

 Cut-Off Date:

	
$134,255,700.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AP7

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class X

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series 2005-5

	
Portion of the Class X Notional Amount as
of

 the Cut-Off Date Evidenced by this Certificate:

	
$15,040,846.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class X Certificate Interest
Rate:

	
5.500%, applied to the Class X Notional
Amount

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class X Principal Balance as of the
Cut-Off Date:

	
$0.00

	
 

	
Class X Notional Amount as of the

 Cut-Off Date:

	
$15,040,846.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AQ5

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class P

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005. Interest is not payable with respect to this
Certificate.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

 

	
WMALT Series 2005-5

	
Portion of the Class P Principal Balance
as of

 the Cut-Off Date Evidenced by this Certificate:

	
$405,129.00

	

 

	

 

	

 

	

 

	

 

	

 

	
Class P Certificate Interest
Rate:

	
0.00%

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class P Principal Balance as of the

 Cut-Off Date:

	
$405,129.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AR3

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class B-1

Evidencing a
beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets consisting of, among other
things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

NO TRANSFER OF THIS CLASS B-1 CERTIFICATE WILL BE MADE UNLESS THE TRUSTEE HAS RECEIVED (I) AN OFFICER’S
CERTIFICATE IN THE FORM DESCRIBED IN SECTION 5.01(g) OF THE POOLING AGREEMENT AND (II) IF SO INDICATED IN SUCH OFFICER’S
CERTIFICATE, AN OPINION OF COUNSEL ACCEPTABLE TO AND IN FORM AND SUBSTANCE SATISFACTORY TO THE TRUSTEE AND THE COMPANY TO THE
EFFECT THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE PERMISSIBLE UNDER APPLICABLE LAW, WILL NOT CONSTITUTE OR RESULT IN A
NON-EXEMPT PROHIBITED TRANSACTION UNDER SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE, AND WILL NOT SUBJECT THE TRUST, THE
TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE COMPANY TO ANY OBLIGATION OR LIABILITY (INCLUDING OBLIGATIONS OR LIABILITIES
UNDER SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE) IN ADDITION TO THOSE UNDERTAKEN IN THE POOLING AGREEMENT, WHICH OPINION OF
COUNSEL SHALL NOT BE AN EXPENSE OF THE TRUST, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE COMPANY.

NOTWITHSTANDING THE FOREGOING PARAGRAPH, WITH RESPECT TO THE TRANSFER OF THIS CLASS B-1 CERTIFICATE TO DTC OR ANY
OTHER CLEARING AGENCY OR ANY SUBSEQUENT TRANSFER OF ANY INTEREST IN THIS CERTIFICATE FOR SO LONG AS THIS CERTIFICATE IS HELD BY DTC
OR ANY OTHER CLEARING AGENCY, (I) AN OFFICER’S CERTIFICATE (AND, IF APPLICABLE, A BENEFIT PLAN OPINION), AS DESCRIBED IN THE
FOREGOING PARAGRAPH, SHALL NOT BE REQUIRED, AND (II) THE FOLLOWING CONDITIONS SHALL APPLY:

1.             ANY TRANSFEREE OF THIS CERTIFICATE
WILL BE DEEMED TO HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF THIS CERTIFICATE (OR INTEREST HEREIN), THAT EITHER
(A) SUCH TRANSFEREE IS NOT AN EMPLOYEE BENEFIT OR OTHER PLAN SUBJECT TO THE PROHIBITED TRANSACTION PROVISIONS OF ERISA OR SECTION
4975 OF THE CODE, OR ANY PERSON (INCLUDING AN INVESTMENT MANAGER, A NAMED FIDUCIARY OR A TRUSTEE OF ANY SUCH PLAN) ACTING, DIRECTLY
OR INDIRECTLY, ON BEHALF OF OR PURCHASING THIS CERTIFICATE WITH “PLAN ASSETS” OF ANY SUCH PLAN (A “PLAN
INVESTOR”), (B) SUCH TRANSFEREE IS AN INSURANCE COMPANY, THE SOURCE OF FUNDS TO BE USED BY IT TO ACQUIRE OR HOLD THIS
CERTIFICATE IS AN “INSURANCE COMPANY GENERAL ACCOUNT” (WITHIN THE MEANING OF DEPARTMENT OF LABOR PROHIBITED TRANSACTION
CLASS EXEMPTION (“PTCE”) 95-60), AND THE CONDITIONS IN SECTIONS I AND III OF PTCE 95-60 HAVE BEEN SATISFIED (EACH
ENTITY THAT SATISFIES THIS CLAUSE (B), A “COMPLYING INSURANCE COMPANY”) OR (C) THIS CERTIFICATE WAS RATED
“BBB-” OR BETTER (OR ITS EQUIVALENT) BY AT LEAST ONE OF THE RATING AGENCIES AT THE TIME OF SUCH TRANSFEREE’S
ACQUISITION OF THIS CERTIFICATE (OR INTEREST HEREIN); AND

2.             IF THIS CERTIFICATE (OR ANY INTEREST
HEREIN) IS ACQUIRED OR HELD IN VIOLATION OF THE PROVISIONS OF THE PRECEDING PARAGRAPH, THEN THE LAST PRECEDING TRANSFEREE THAT
EITHER (I) IS NOT A PLAN INVESTOR, (II) IS A COMPLYING INSURANCE COMPANY OR (III) ACQUIRED THIS CERTIFICATE AT A TIME WHEN THIS
CERTIFICATE WAS RATED “BBB-” OR BETTER (OR ITS EQUIVALENT) BY AT LEAST ONE OF THE RATING AGENCIES SHALL BE RESTORED, TO
THE EXTENT PERMITTED BY LAW, TO ALL RIGHTS AND OBLIGATIONS AS BENEFICIAL HOLDER THEREOF RETROACTIVE TO THE DATE OF TRANSFER OF THIS
CERTIFICATE BY SUCH PRECEDING TRANSFEREE.  NEITHER THE TRUST NOR THE TRUSTEE SHALL BE UNDER ANY LIABILITY TO ANY PERSON FOR
MAKING ANY PAYMENTS DUE ON THIS CERTIFICATE TO SUCH PRECEDING TRANSFEREE.

ANY PURPORTED BENEFICIAL HOLDER WHOSE ACQUISITION OR HOLDING OF THIS CERTIFICATE (OR INTEREST HEREIN) WAS
EFFECTED IN VIOLATION OF THE RESTRICTIONS IN SECTION 5.01(g) OF THE POOLING AGREEMENT SHALL INDEMNIFY AND HOLD HARMLESS THE
COMPANY, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER, THE TRUST AND THE UNDERWRITER FROM AND AGAINST ANY AND ALL LIABILITIES,
CLAIMS, COSTS OR EXPENSES INCURRED BY SUCH PARTIES AS A RESULT OF SUCH ACQUISITION OR HOLDING.

The Class B-1 Certificates will be subordinate in right of payment to and provide credit support to certain
Classes of Certificates, as described in the Pooling Agreement.

 

	
WMALT Series 2005-5

	
Portion of the Class B-1 Principal Balance
as of

 the Cut-Off Date Evidenced by this Certificate:

	
$9,282,000.00

	
 

	
 

	
 

	
 

	
 

	
 

	
Class B-1 Certificate Interest
Rate:

	
5.500%

	
 

	
Cut-Off Date:

	
June 1, 2005

	
 

	
First Distribution Date:

	
July 25, 2005

	
 

	
Last Scheduled Distribution
Date:

	
July 25, 2005

	
 

	
Class B-1 Principal Balance as of the

 Cut-Off Date:

	
$9,282,000.00

	
 

 

	
Cede & Co.

 Registered Owner

 

	

 

	
Exhibit A

	

 

	
CUSIP 93934F AS1

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class B-2

Evidencing a
beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets consisting of, among other
things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

NO TRANSFER OF THIS CLASS B-2 CERTIFICATE WILL BE MADE UNLESS THE TRUSTEE HAS RECEIVED (I) AN OFFICER’S
CERTIFICATE IN THE FORM DESCRIBED IN SECTION 5.01(g) OF THE POOLING AGREEMENT AND (II) IF SO INDICATED IN SUCH OFFICER’S
CERTIFICATE, AN OPINION OF COUNSEL ACCEPTABLE TO AND IN FORM AND SUBSTANCE SATISFACTORY TO THE TRUSTEE AND THE COMPANY TO THE
EFFECT THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE PERMISSIBLE UNDER APPLICABLE LAW, WILL NOT CONSTITUTE OR RESULT IN A
NON-EXEMPT PROHIBITED TRANSACTION UNDER SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE, AND WILL NOT SUBJECT THE TRUST, THE
TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE COMPANY TO ANY OBLIGATION OR LIABILITY (INCLUDING OBLIGATIONS OR LIABILITIES
UNDER SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE) IN ADDITION TO THOSE UNDERTAKEN IN THE POOLING AGREEMENT, WHICH OPINION OF
COUNSEL SHALL NOT BE AN EXPENSE OF THE TRUST, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE COMPANY.

NOTWITHSTANDING THE FOREGOING PARAGRAPH, WITH RESPECT TO THE TRANSFER OF THIS CLASS B-2 CERTIFICATE TO DTC OR ANY
OTHER CLEARING AGENCY OR ANY SUBSEQUENT TRANSFER OF ANY INTEREST IN THIS CERTIFICATE FOR SO LONG AS THIS CERTIFICATE IS HELD BY DTC
OR ANY OTHER CLEARING AGENCY, (I) AN OFFICER’S CERTIFICATE (AND, IF APPLICABLE, A BENEFIT PLAN OPINION), AS DESCRIBED IN THE
FOREGOING PARAGRAPH, SHALL NOT BE REQUIRED, AND (II) THE FOLLOWING CONDITIONS SHALL APPLY:

1.             ANY TRANSFEREE OF THIS CERTIFICATE
WILL BE DEEMED TO HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF THIS CERTIFICATE (OR INTEREST HEREIN), THAT EITHER
(A) SUCH TRANSFEREE IS NOT AN EMPLOYEE BENEFIT OR OTHER PLAN SUBJECT TO THE PROHIBITED TRANSACTION PROVISIONS OF ERISA OR SECTION
4975 OF THE CODE, OR ANY PERSON (INCLUDING AN INVESTMENT MANAGER, A NAMED FIDUCIARY OR A TRUSTEE OF ANY SUCH PLAN) ACTING, DIRECTLY
OR INDIRECTLY, ON BEHALF OF OR PURCHASING THIS CERTIFICATE WITH “PLAN ASSETS” OF ANY SUCH PLAN (A “PLAN
INVESTOR”), (B) SUCH TRANSFEREE IS AN INSURANCE COMPANY, THE SOURCE OF FUNDS TO BE USED BY IT TO ACQUIRE OR HOLD THIS
CERTIFICATE IS AN “INSURANCE COMPANY GENERAL ACCOUNT” (WITHIN THE MEANING OF DEPARTMENT OF LABOR PROHIBITED TRANSACTION
CLASS EXEMPTION (“PTCE”) 95-60), AND THE CONDITIONS IN SECTIONS I AND III OF PTCE 95-60 HAVE BEEN SATISFIED (EACH
ENTITY THAT SATISFIES THIS CLAUSE (B), A “COMPLYING INSURANCE COMPANY”) OR (C) THIS CERTIFICATE WAS RATED
“BBB-” OR BETTER (OR ITS EQUIVALENT) BY AT LEAST ONE OF THE RATING AGENCIES AT THE TIME OF SUCH TRANSFEREE’S
ACQUISITION OF THIS CERTIFICATE (OR INTEREST HEREIN); AND

2.             IF THIS CERTIFICATE (OR ANY INTEREST
HEREIN) IS ACQUIRED OR HELD IN VIOLATION OF THE PROVISIONS OF THE PRECEDING PARAGRAPH, THEN THE LAST PRECEDING TRANSFEREE THAT
EITHER (I) IS NOT A PLAN INVESTOR, (II) IS A COMPLYING INSURANCE COMPANY OR (III) ACQUIRED THIS CERTIFICATE AT A TIME WHEN THIS
CERTIFICATE WAS RATED “BBB-” OR BETTER (OR ITS EQUIVALENT) BY AT LEAST ONE OF THE RATING AGENCIES SHALL BE RESTORED, TO
THE EXTENT PERMITTED BY LAW, TO ALL RIGHTS AND OBLIGATIONS AS BENEFICIAL HOLDER THEREOF RETROACTIVE TO THE DATE OF TRANSFER OF THIS
CERTIFICATE BY SUCH PRECEDING TRANSFEREE.  NEITHER THE TRUST NOR THE TRUSTEE SHALL BE UNDER ANY LIABILITY TO ANY PERSON FOR
MAKING ANY PAYMENTS DUE ON THIS CERTIFICATE TO SUCH PRECEDING TRANSFEREE.

ANY PURPORTED BENEFICIAL HOLDER WHOSE ACQUISITION OR HOLDING OF THIS CERTIFICATE (OR INTEREST HEREIN) WAS
EFFECTED IN VIOLATION OF THE RESTRICTIONS IN SECTION 5.01(g) OF THE POOLING AGREEMENT SHALL INDEMNIFY AND HOLD HARMLESS THE
COMPANY, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER, THE TRUST AND THE UNDERWRITER FROM AND AGAINST ANY AND ALL LIABILITIES,
CLAIMS, COSTS OR EXPENSES INCURRED BY SUCH PARTIES AS A RESULT OF SUCH ACQUISITION OR HOLDING.

The Class B-2 Certificates will be subordinate in right of payment to and provide credit support to certain
Classes of Certificates, as described in the Pooling Agreement.

 

	
WMALT Series 2005-5

	
Portion of the Class B-2 Principal Balance
as of

 the Cut-Off Date Evidenced by this Certificate:

	
$5,834,000.00

	
 

	
 

	
 

	
 

	
 

	
 

	
Class B-2
Certificate Interest Rate:

	
5.500%

	
 

	
Cut-Off
Date:

	
June 1, 2005

	
 

	
First
Distribution Date:

	
July 25, 2005

	
 

	
Last Scheduled
Distribution Date:

	
July 25, 2005

	
 

	
Class B-2 Principal Balance as of the

 Cut-Off Date:

	
$5,834,000.00

	
 

 

	
Cede & Co.

 Registered Owner

 

	
 

	
Exhibit A

	
 

	
CUSIP 93934F AT9

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class B-3

Evidencing a
beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets consisting of, among other
things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

Unless this Certificate is presented by an authorized representative of The Depository Trust Company, a New York
corporation (“DTC”), to the Company or its agent for registration of transfer, exchange, or payment, and any
Certificate issued is registered in the name of Cede & Co. or 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.

NO TRANSFER OF THIS CLASS B-3 CERTIFICATE WILL BE MADE UNLESS THE TRUSTEE HAS RECEIVED (I) AN OFFICER’S
CERTIFICATE IN THE FORM DESCRIBED IN SECTION 5.01(g) OF THE POOLING AGREEMENT AND (II) IF SO INDICATED IN SUCH OFFICER’S
CERTIFICATE, AN OPINION OF COUNSEL ACCEPTABLE TO AND IN FORM AND SUBSTANCE SATISFACTORY TO THE TRUSTEE AND THE COMPANY TO THE
EFFECT THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE PERMISSIBLE UNDER APPLICABLE LAW, WILL NOT CONSTITUTE OR RESULT IN A
NON-EXEMPT PROHIBITED TRANSACTION UNDER SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE, AND WILL NOT SUBJECT THE TRUST, THE
TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE COMPANY TO ANY OBLIGATION OR LIABILITY (INCLUDING OBLIGATIONS OR LIABILITIES
UNDER SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE) IN ADDITION TO THOSE UNDERTAKEN IN THE POOLING AGREEMENT, WHICH OPINION OF
COUNSEL SHALL NOT BE AN EXPENSE OF THE TRUST, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE COMPANY.

NOTWITHSTANDING THE FOREGOING PARAGRAPH, WITH RESPECT TO THE TRANSFER OF THIS CLASS B-3 CERTIFICATE TO DTC OR ANY
OTHER CLEARING AGENCY OR ANY SUBSEQUENT TRANSFER OF ANY INTEREST IN THIS CERTIFICATE FOR SO LONG AS THIS CERTIFICATE IS HELD BY DTC
OR ANY OTHER CLEARING AGENCY, (I) AN OFFICER’S CERTIFICATE (AND, IF APPLICABLE, A BENEFIT PLAN OPINION), AS DESCRIBED IN THE
FOREGOING PARAGRAPH, SHALL NOT BE REQUIRED, AND (II) THE FOLLOWING CONDITIONS SHALL APPLY:

1.             ANY TRANSFEREE OF THIS CERTIFICATE
WILL BE DEEMED TO HAVE REPRESENTED, BY VIRTUE OF ITS ACQUISITION OR HOLDING OF THIS CERTIFICATE (OR INTEREST HEREIN), THAT EITHER
(A) SUCH TRANSFEREE IS NOT AN EMPLOYEE BENEFIT OR OTHER PLAN SUBJECT TO THE PROHIBITED TRANSACTION PROVISIONS OF ERISA OR SECTION
4975 OF THE CODE, OR ANY PERSON (INCLUDING AN INVESTMENT MANAGER, A NAMED FIDUCIARY OR A TRUSTEE OF ANY SUCH PLAN) ACTING, DIRECTLY
OR INDIRECTLY, ON BEHALF OF OR PURCHASING THIS CERTIFICATE WITH “PLAN ASSETS” OF ANY SUCH PLAN (A “PLAN
INVESTOR”), (B) SUCH TRANSFEREE IS AN INSURANCE COMPANY, THE SOURCE OF FUNDS TO BE USED BY IT TO ACQUIRE OR HOLD THIS
CERTIFICATE IS AN “INSURANCE COMPANY GENERAL ACCOUNT” (WITHIN THE MEANING OF DEPARTMENT OF LABOR PROHIBITED TRANSACTION
CLASS EXEMPTION (“PTCE”) 95-60), AND THE CONDITIONS IN SECTIONS I AND III OF PTCE 95-60 HAVE BEEN SATISFIED (EACH
ENTITY THAT SATISFIES THIS CLAUSE (B), A “COMPLYING INSURANCE COMPANY”) OR (C) THIS CERTIFICATE WAS RATED
“BBB-” OR BETTER (OR ITS EQUIVALENT) BY AT LEAST ONE OF THE RATING AGENCIES AT THE TIME OF SUCH TRANSFEREE’S
ACQUISITION OF THIS CERTIFICATE (OR INTEREST HEREIN); AND

2.             IF THIS CERTIFICATE (OR ANY INTEREST
HEREIN) IS ACQUIRED OR HELD IN VIOLATION OF THE PROVISIONS OF THE PRECEDING PARAGRAPH, THEN THE LAST PRECEDING TRANSFEREE THAT
EITHER (I) IS NOT A PLAN INVESTOR, (II) IS A COMPLYING INSURANCE COMPANY OR (III) ACQUIRED THIS CERTIFICATE AT A TIME WHEN THIS
CERTIFICATE WAS RATED “BBB-” OR BETTER (OR ITS EQUIVALENT) BY AT LEAST ONE OF THE RATING AGENCIES SHALL BE RESTORED, TO
THE EXTENT PERMITTED BY LAW, TO ALL RIGHTS AND OBLIGATIONS AS BENEFICIAL HOLDER THEREOF RETROACTIVE TO THE DATE OF TRANSFER OF THIS
CERTIFICATE BY SUCH PRECEDING TRANSFEREE.  NEITHER THE TRUST NOR THE TRUSTEE SHALL BE UNDER ANY LIABILITY TO ANY PERSON FOR
MAKING ANY PAYMENTS DUE ON THIS CERTIFICATE TO SUCH PRECEDING TRANSFEREE.

ANY PURPORTED BENEFICIAL HOLDER WHOSE ACQUISITION OR HOLDING OF THIS CERTIFICATE (OR INTEREST HEREIN) WAS
EFFECTED IN VIOLATION OF THE RESTRICTIONS IN SECTION 5.01(g) OF THE POOLING AGREEMENT SHALL INDEMNIFY AND HOLD HARMLESS THE
COMPANY, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER, THE TRUST AND THE UNDERWRITER FROM AND AGAINST ANY AND ALL LIABILITIES,
CLAIMS, COSTS OR EXPENSES INCURRED BY SUCH PARTIES AS A RESULT OF SUCH ACQUISITION OR HOLDING.

The Class B-3 Certificates will be subordinate in right of payment to and provide credit support to certain
Classes of Certificates, as described in the Pooling Agreement.

 

	
WMALT Series 2005-5

	
Portion of the Class B-3 Principal Balance
as of

 the Cut-Off Date Evidenced by this Certificate:

	
$3,712,000.00

	
 

	
 

	
 

	
 

	
 

	
 

	
Class B-3
Certificate Interest Rate:

	
5.500%

	
 

	
Cut-Off
Date:

	
June 1, 2005

	
 

	
First
Distribution Date:

	
July 25, 2005

	
 

	
Last Scheduled
Distribution Date:

	
July 25, 2035

	
 

	
Class B-3 Principal Balance as of the

 Cut-Off Date:

	
$3,712,000.00

	
 

 

	
Cede & Co.

 Registered Owner

 

 

	
 

	
Exhibit A

	
 

	
CUSIP 93934F AV4

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class B-4

Evidencing a
beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets consisting of, among other
things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

NO TRANSFER OF THIS CLASS B-4 CERTIFICATE WILL BE MADE UNLESS THE TRUSTEE
HAS RECEIVED (I) AN OFFICER’S CERTIFICATE IN THE FORM DESCRIBED IN SECTION 5.01(d) OF THE POOLING AGREEMENT AND (II) IF SO
INDICATED IN SUCH OFFICER’S CERTIFICATE, AN OPINION OF COUNSEL ACCEPTABLE TO AND IN FORM AND SUBSTANCE SATISFACTORY TO THE
TRUSTEE AND THE COMPANY TO THE EFFECT THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE PERMISSIBLE UNDER APPLICABLE LAW, WILL
NOT CONSTITUTE OR RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION UNDER SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE, AND WILL
NOT SUBJECT THE TRUST, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE COMPANY TO ANY OBLIGATION OR LIABILITY (INCLUDING
OBLIGATIONS OR LIABILITIES UNDER SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE) IN ADDITION TO THOSE UNDERTAKEN IN THE POOLING
AGREEMENT, WHICH OPINION OF COUNSEL SHALL NOT BE AN EXPENSE OF THE TRUST, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE
COMPANY.

THE SECURITIES REPRESENTED BY THIS CERTIFICATE HAVE NOT BEEN REGISTERED
UNDER THE SECURITIES ACT OF 1933. THESE SECURITIES MAY NOT BE OFFERED, SOLD, TRANSFERRED, PLEDGED OR HYPOTHECATED IN THE ABSENCE OF
REGISTRATION OR THE AVAILABILITY OF AN EXEMPTION FROM REGISTRATION UNDER THE SECURITIES ACT OF 1933 AND EXCEPT IN ACCORDANCE WITH
SECTION 5.01(e) OF THE POOLING AGREEMENT.

The Class B-4 Certificates will be subordinate in right of payment to and provide credit support to certain
Classes of Certificates, as described in the Pooling Agreement.

	
WMALT Series 2005-5

	
Portion of the Class B-4 Principal Balance
as of

 the Cut-Off Date Evidenced by this Certificate:

	
$2,652,000.00

	
 

	
 

	
 

	
 

	
 

	
 

	
Class B-4 Certificate Interest
Rate:

	
5.500%

	
 

	
Cut-Off Date:

	
June 1, 2005

	
 

	
First Distribution Date:

	
July 25, 2005

	
 

	
Last Scheduled Distribution
Date:

	
July 25, 2005

	
 

	
Class B-4 Principal Balance as of the

 Cut-Off Date:

	
$2,652,000.00

	
 

 

	
Hare & Co.

 Registered Owner

 

	
 

	
Exhibit A

	
 

	
CUSIP 93934F AW2

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class B-5

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

NO TRANSFER OF THIS CLASS B-5 CERTIFICATE WILL BE MADE UNLESS THE TRUSTEE
HAS RECEIVED (I) AN OFFICER’S CERTIFICATE IN THE FORM DESCRIBED IN SECTION 5.01(d) OF THE POOLING AGREEMENT AND (II) IF SO
INDICATED IN SUCH OFFICER’S CERTIFICATE, AN OPINION OF COUNSEL ACCEPTABLE TO AND IN FORM AND SUBSTANCE SATISFACTORY TO THE
TRUSTEE AND THE COMPANY TO THE EFFECT THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE PERMISSIBLE UNDER APPLICABLE LAW, WILL
NOT CONSTITUTE OR RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION UNDER SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE, AND WILL
NOT SUBJECT THE TRUST, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE COMPANY TO ANY OBLIGATION OR LIABILITY (INCLUDING
OBLIGATIONS OR LIABILITIES UNDER SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE) IN ADDITION TO THOSE UNDERTAKEN IN THE POOLING
AGREEMENT, WHICH OPINION OF COUNSEL SHALL NOT BE AN EXPENSE OF THE TRUST, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE
COMPANY.

THE SECURITIES REPRESENTED BY THIS CERTIFICATE HAVE NOT BEEN REGISTERED
UNDER THE SECURITIES ACT OF 1933. THESE SECURITIES MAY NOT BE OFFERED, SOLD, TRANSFERRED, PLEDGED OR HYPOTHECATED IN THE ABSENCE OF
REGISTRATION OR THE AVAILABILITY OF AN EXEMPTION FROM REGISTRATION UNDER THE SECURITIES ACT OF 1933 AND EXCEPT IN ACCORDANCE WITH
SECTION 5.01(e) OF THE POOLING AGREEMENT.

The Class B-5 Certificates will be subordinate in right of payment to and provide credit support to certain
Classes of Certificates, as described in the Pooling Agreement.

	
WMALT Series 2005-5

	
Portion of the Class B-5 Principal Balance
as of

 the Cut-Off Date Evidenced by this Certificate:

	
$2,121,000.00

	
 

	
 

	
 

	
 

	
 

	
 

	
Class B-4 Certificate Interest
Rate:

	
5.500%

	
 

	
Cut-Off Date:

	
June 1, 2005

	
 

	
First Distribution Date:

	
July 25, 2005

	
 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	
 

	
Class B-4 Principal Balance as of the

 Cut-Off Date:

	
$2,121,000.00

	
 

 

	
Hare & Co.

 Registered Owner

	
 

	
Exhibit A

	
 

	
CUSIP 93934F AX0

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class B-6

Evidencing a beneficial interest in a pool of assets consisting of beneficial interests in another pool of assets
consisting of, among other things, conventional one- to four-family mortgage loans formed by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

 

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  This Certificate represents ownership of a “regular interest” in a “real estate mortgage investment
conduit,” as those terms are defined in Sections 860G and 860D, respectively, of the Internal Revenue Code of 1986, as
amended. The issue date of this Certificate is June 28, 2005.

NO TRANSFER OF THIS CLASS B-6 CERTIFICATE WILL BE MADE UNLESS THE TRUSTEE
HAS RECEIVED (I) AN OFFICER’S CERTIFICATE IN THE FORM DESCRIBED IN SECTION 5.01(d) OF THE POOLING AGREEMENT AND (II) IF SO
INDICATED IN SUCH OFFICER’S CERTIFICATE, AN OPINION OF COUNSEL ACCEPTABLE TO AND IN FORM AND SUBSTANCE SATISFACTORY TO THE
TRUSTEE AND THE COMPANY TO THE EFFECT THAT THE PURCHASE AND HOLDING OF THIS CERTIFICATE ARE PERMISSIBLE UNDER APPLICABLE LAW, WILL
NOT CONSTITUTE OR RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION UNDER SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE, AND WILL
NOT SUBJECT THE TRUST, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE COMPANY TO ANY OBLIGATION OR LIABILITY (INCLUDING
OBLIGATIONS OR LIABILITIES UNDER SECTION 406 OF ERISA OR SECTION 4975 OF THE CODE) IN ADDITION TO THOSE UNDERTAKEN IN THE POOLING
AGREEMENT, WHICH OPINION OF COUNSEL SHALL NOT BE AN EXPENSE OF THE TRUST, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE
COMPANY.

THE SECURITIES REPRESENTED BY THIS CERTIFICATE HAVE NOT BEEN REGISTERED
UNDER THE SECURITIES ACT OF 1933. THESE SECURITIES MAY NOT BE OFFERED, SOLD, TRANSFERRED, PLEDGED OR HYPOTHECATED IN THE ABSENCE OF
REGISTRATION OR THE AVAILABILITY OF AN EXEMPTION FROM REGISTRATION UNDER THE SECURITIES ACT OF 1933 AND EXCEPT IN ACCORDANCE WITH
SECTION 5.01(e) OF THE POOLING AGREEMENT.

The Class B-6 Certificates will be subordinate in right of payment to and provide credit support to certain
Classes of Certificates, as described in the Pooling Agreement.

	
WMALT Series 2005-5

	
Portion of the Class B-6 Principal Balance
as of

 the Cut-Off Date Evidenced by this Certificate:

	
$1,328,156.33

	
 

	
 

	
 

	
 

	
 

	
 

	
Class B-6
Certificate Interest Rate: 

	
5.500%

	
 

	
Cut-Off
Date:

	
June 1, 2005

	
 

	
First
Distribution Date:

	
July 25, 2005

	
 

	
Last Scheduled
Distribution Date:

	
July 25, 2035

	
 

	
Class B-6 Principal Balance as of the

 Cut-Off Date:

	
$1,328,156.33

	
 

 

	
Hare & Co.

 Registered Owner

 

	
 

	
Exhibit B

	
 

	
CUSIP 93934F AU6

 

	
WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

	
Class R

Evidencing a
Percentage Interest in certain distributions with respect to a pool of conventional one- to four-family mortgage loans formed
by

 

	
WASHINGTON MUTUAL MORTGAGE SECURITIES CORP.

ANY RESALE, TRANSFER OR OTHER DISPOSITION OF THIS CERTIFICATE MAY BE MADE ONLY IF THE PROPOSED TRANSFEREE
PROVIDES A TRANSFER AFFIDAVIT TO THE COMPANY AND THE TRUSTEE THAT (1) SUCH TRANSFEREE IS NOT EITHER (A) THE UNITED STATES, ANY
STATE OR POLITICAL SUBDIVISION THEREOF, ANY FOREIGN GOVERNMENT, ANY INTERNATIONAL ORGANIZATION, OR ANY AGENCY OR INSTRUMENTALITY OF
ANY OF THE FOREGOING, (B) ANY ORGANIZATION (OTHER THAN A COOPERATIVE DESCRIBED IN SECTION 521 OF THE CODE) WHICH IS EXEMPT FROM THE
TAX IMPOSED BY CHAPTER 1 OF THE CODE UNLESS SUCH ORGANIZATION IS SUBJECT TO THE TAX IMPOSED BY SECTION 511 OF THE CODE, (C) ANY
ORGANIZATION DESCRIBED IN SECTION 1381(a)(2)(C) OF THE CODE (ANY SUCH PERSON DESCRIBED IN THE FOREGOING CLAUSES (A), (B), OR (C)
BEING HEREINAFTER REFERRED TO AS A “DISQUALIFIED ORGANIZATION”), OR (D) AN AGENT OF A DISQUALIFIED ORGANIZATION AND (2)
NO PURPOSE OF SUCH TRANSFER IS TO ENABLE THE TRANSFER TO IMPEDE THE ASSESSMENT OR COLLECTION OF TAX. SUCH AFFIDAVIT SHALL INCLUDE
CERTAIN REPRESENTATIONS AS TO THE FINANCIAL CONDITION OF THE PROPOSED TRANSFEREE. NOTWITHSTANDING THE REGISTRATION IN THE
CERTIFICATE REGISTER OF ANY TRANSFER, SALE OR OTHER DISPOSITION OF THIS CLASS R CERTIFICATE TO A DISQUALIFIED ORGANIZATION OR AN
AGENT OF A DISQUALIFIED ORGANIZATION, SUCH REGISTRATION SHALL BE DEEMED TO BE OF NO LEGAL FORCE OR EFFECT WHATSOEVER AND SUCH
PERSON SHALL NOT BE DEEMED TO BE A CERTIFICATEHOLDER FOR ANY PURPOSE HEREUNDER, INCLUDING, BUT NOT LIMITED TO, THE RECEIPT OF
DISTRIBUTIONS ON THIS CERTIFICATE. EACH HOLDER OF A CLASS R CERTIFICATE BY ACCEPTANCE OF THIS CERTIFICATE SHALL BE DEEMED TO HAVE
CONSENTED TO THE PROVISIONS OF THIS PARAGRAPH.

IN THE CASE OF ANY CLASS R CERTIFICATE PRESENTED FOR REGISTRATION IN THE NAME OF ANY PERSON, THE TRUSTEE SHALL
REQUIRE (I) AN OFFICER’S CERTIFICATE IN THE FORM DESCRIBED IN SECTION 5.01(d) OF THE POOLING AGREEMENT AND (II) IF SO
INDICATED IN SUCH OFFICER’S CERTIFICATE, AN OPINION OF COUNSEL ACCEPTABLE TO AND IN FORM AND SUBSTANCE SATISFACTORY TO THE
TRUSTEE AND THE COMPANY TO THE EFFECT THAT THE PURCHASE AND HOLDING OF A CLASS R CERTIFICATE ARE PERMISSIBLE UNDER APPLICABLE LAW,
WILL NOT CONSTITUTE OR RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION UNDER SECTION 406 OF THE EMPLOYEE RETIREMENT INCOME SECURITY
ACT OF 1974, AS AMENDED (“ERISA”), OR SECTION 4975 OF THE CODE AND WILL NOT SUBJECT THE TRUST, THE TRUSTEE, THE
DELAWARE TRUSTEE, THE SERVICER OR THE COMPANY TO ANY OBLIGATION OR LIABILITY (INCLUDING OBLIGATIONS OR LIABILITIES UNDER SECTION
406 OF ERISA OR SECTION 4975 OF THE CODE) IN ADDITION TO THOSE UNDERTAKEN IN THE POOLING AGREEMENT, WHICH OPINION OF COUNSEL SHALL
NOT BE AN EXPENSE OF THE TRUST, THE TRUSTEE, THE DELAWARE TRUSTEE, THE SERVICER OR THE COMPANY.

This Certificate is issued by Washington Mutual Mortgage Pass-Through Certificates WMALT Series 2005-5
Trust.  Solely for U.S. federal income tax purposes, this Certificate represents “residual interests” in
“real estate mortgage investment conduits,” as those terms are defined in Sections 860G and 860D, respectively, of the
Internal Revenue Code of 1986, as amended.

 

	
Series 2005-5

	
Percentage Interest evidenced by this
Class R Certificate in the distributions to be made with respect to the Class R Certificates:

	
__________%

	

 

	

 

	

 

	
Class R Certificate Interest
Rate:

	
5.500%.  Additionally the Class R
Certificates are entitled to Excess Liquidation Proceeds and the Residual Distribution Amount as defined in the Pooling
Agreement.

	

 

	
Cut-Off Date:

	
June 1, 2005

	

 

	
First Distribution Date:

	
July 25, 2005

	

 

	
Last Scheduled Distribution
Date:

	
July 25, 2035

	

 

	
Class R Principal Balance as of the

 Cut-Off Date:

	
$100.00

	

 

 

This Certificate does not represent an obligation of or interest in Washington Mutual Mortgage Securities
Corp. or any of its affiliates. Neither this Certificate nor the underlying Mortgage Loans are guaranteed by any agency or
instrumentality of the United States.

This certifies that the above-named Registered Owner is the registered owner of certain interests in (i) a
pool of assets (“REMIC I”) consisting of, among other things, conventional one- to four-family mortgage loans (the
“Mortgage Loans”), formed by Washington Mutual Mortgage Securities Corp. (the “Company”), which term
includes any successor entity under the Pooling Agreement referred to below and (ii) a pool of assets (“REMIC II”)
consisting of interests in REMIC I. REMIC I and REMIC II were created pursuant to a Pooling and Servicing Agreement, dated as of
the Cut-Off Date stated above (the “Pooling Agreement”), among the Company, the Servicer, LaSalle Bank National
Association, as Trustee (the “Trustee”), and Christiana Bank & Trust Company, as Delaware Trustee, a summary of
certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used
herein have the meanings assigned in the Pooling Agreement. Nothing herein shall be deemed inconsistent with such meanings, and in
the event of any conflict between the Pooling Agreement and the terms of this Certificate, the Pooling Agreement shall control.
This Certificate is issued under and is subject to the terms, provisions and conditions of the Pooling Agreement, to which Pooling
Agreement the Holder of this Certificate, by virtue of the acceptance hereof, assents and by which such Holder is
bound.

Distributions will be made, pursuant to the Pooling Agreement, on the 25th day of each month or, if such
25th day is not a Business Day, the Business Day immediately following (the “Distribution Date”), commencing on the
first Distribution Date specified above, to the Person in whose name this Certificate is registered at the close of business on the
last day (or if such last day is not a Business Day, the Business Day immediately preceding such last day) of the month immediately
preceding the month of such distribution (the “Record Date”), to the extent of such Certificateholder's Percentage
Interest represented by this Certificate in the portions (if any) then distributable on the Certificates of this Class of (i) the
REMIC I Available Distribution Amount for such Distribution Date, as specified in Section 4.01 of the Pooling Agreement and (ii)
the REMIC II Available Distribution Amount for such Distribution Date, as specified in Section 4.04 of the Pooling
Agreement.

Distributions on this Certificate will be made by the Trustee by wire transfer or check mailed to the
address of the Person entitled thereto, as such name and address shall appear on the Certificate Register. Notwithstanding the
above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution
and only upon presentation and surrender of this Certificate to the Certificate Registrar.

Reference is hereby made to the further provisions of this Certificate set forth below, which further
provisions shall for all purposes have the same effect as if set forth at this place.

Unless the certificate of authentication hereon has been executed by or on behalf of the Trustee, by manual
signature, this Certificate shall not be entitled to any benefit under the Pooling Agreement or be valid for any
purpose.

IN WITNESS WHEREOF, the Trust has caused
this Certificate to be duly executed.

	
 

	

WASHINGTON
MUTUAL MORTGAGE PASS-THROUGH CERTIFICATES, WMALT SERIES 2005-5 TRUST

	

 

	

 

	

 

	
 

	

By:

	

LASALLE BANK
NATIONAL ASSOCIATION, as Trustee

	
 

	
 

	
 

	
 

	

By:

	

______________________________________

 

 (TRUSTEE'S CERTIFICATE OF AUTHENTICATION)

This is one of the Certificates referred to in the within-mentioned Pooling Agreement.

	

LASALLE BANK
NATIONAL ASSOCIATION, as Trustee

	
 

	
 

	
 

	
 

	
 

	
 

	
 

	

By:

	

______________________________________

	
 

	

Dated:

	

______________________________________

	
 

 

WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

This Certificate is one of a duly authorized issue of Certificates designated as Washington Mutual
Mortgage Pass-Through Certificates of the Series and Class specified hereon (herein called the “Certificates”) and
representing certain interests in REMIC I and REMIC II.

The Certificates do not represent an obligation of, or an interest in, the Company or any of its
affiliates and are not insured or guaranteed by any governmental agency. The 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
Agreement. In the event funds are advanced with respect to any Mortgage Loan, such advance is reimbursable to the Servicer from the
related recoveries on such Mortgage Loan or from other cash deposited in the Certificate Account to the extent that such advance is
not otherwise recoverable.

As provided in the Pooling Agreement, withdrawals from the Certificate Account may be made from time to
time for purposes other than distributions to Certificateholders, such purposes including reimbursement to the Servicer of advances
made, or certain expenses incurred, by it.

The Pooling Agreement permits, with certain exceptions therein provided, the amendment thereof and the
modification of the rights and obligations of the Company and the rights of the Certificateholders under the Pooling Agreement at
any time by the Company, the Servicer and the Trustee with the consent of the Holders of the Certificates evidencing Percentage
Interests aggregating not less than 66% of REMIC II. The Pooling 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 Agreement and subject to certain limitations therein set forth, the transfer of
this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the
offices of the Certificate Registrar or the office maintained by the Trustee in the City and State of New York, duly endorsed by,
or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee or
any Authenticating Agent duly executed by, the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon
one or more new Certificates of Authorized Denominations evidencing the same Percentage Interest set forth hereinabove will be
issued to the designated transferee or transferees.

The Certificates are issuable only as registered Certificates without coupons in Authorized Denominations
specified in the Pooling Agreement. As provided in the Pooling Agreement and subject to certain limitations therein set forth,
Certificates are exchangeable for new Certificates of Authorized Denominations of like Certificate Principal Balance or Percentage
Interest, as applicable, as requested by the Holder surrendering the same.

A reasonable service charge may be made for any such registration of transfer or exchange, and the Trustee
may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection
therewith.

The Company, the Servicer, the Trustee and the Certificate Registrar and any agent of the Company, the
Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner
hereof for all purposes, and neither the Company, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be
affected by notice to the contrary.

The obligations created by the Pooling Agreement and the Trust created thereby shall terminate upon (i)
the later of the maturity or other liquidation (including purchase by the Servicer) of the last Mortgage Loan remaining in the
Trust or the disposition of all property acquired upon foreclosure or deed in lieu of foreclosure of any Mortgage Loan, and (ii)
the payment to Certificateholders of all amounts held by the Trustee and required to be paid to them pursuant to the Pooling
Agreement. In the event that the Company or the Servicer purchases any Mortgage Loan pursuant to the Pooling Agreement, the Pooling
Agreement generally requires that the Trustee distribute to the Certificateholders in the aggregate an amount equal to 100% of the
unpaid Principal Balance of such Mortgage Loan, plus unpaid accrued interest thereon at the applicable Pass-Through Rate to the
last day of the month in which such purchase occurs. The Pooling Agreement permits, but does not require, the Servicer to purchase
from the Trust all Mortgage Loans at the time subject thereto and all property acquired in respect of any Mortgage Loan upon
payment to the Certificateholders of the amounts specified in the Pooling Agreement. The exercise of such right will effect early
retirement of the Certificates, the Servicer’s right to purchase being subject to the aggregate Principal Balance of the
Mortgage Loans at the time of purchase being less than the Clean-Up Call Percentage of the aggregate Principal Balance of the
Mortgage Loans as of the Cut-Off Date.

ASSIGNMENT

	

FOR VALUE
RECEIVED the undersigned hereby sell(s) and assign(s) and transfer(s) unto

	

                                                                                                                                                           
                                                                                                                                                           
                                                                                                                                   

	

                                                                                                                                                           
                                                                                                                                                           
                                                                                                                                                           

	

(Please print
or typewrite name and address, including postal zip code of assignee. Please insert social security or other identifying number of
assignee.)

	

the within
WaMu Mortgage Pass-Through Certificate and hereby irrevocably constitutes and appoints

	

                                                                                                                                                           
                                                                                                                                                           
                                                                                   

	

Attorney to
transfer said Certificate on the Certificate Register, with full power of substitution in the premises.

 

	

Dated:

	

                                   

	
                                                                                   

 Signature Guaranteed

 

	

                                                                                                                                                           

	

NOTICE:  The signature to this assignment must correspond with the name as written upon the face of the
within instrument in every particular, without alteration or enlargement or any change whatever.  This Certificate does not
represent an obligation of or an interest in Washington Mutual Mortgage Securities Corp. or any of its affiliates.  Neither
this Certificate nor the underlying Mortgage Loans are guaranteed by any agency or instrumentality of the United
States.

 

	

 

	

Exhibit C

ANTI-PREDATORY LENDING CATEGORIZATION

I.              High-Cost Loan
Categorization

 

	

State/Jurisdiction

	

Name of Anti-Predatory Lending

Law/Effective Date

	

Category under Applicable

Anti-Predatory Lending
Law

	
Arkansas

	

Arkansas Home
Loan Protection Act, Ark. Code Ann. §§ 23-53-101
et seq.

Effective July
16, 2003

	
High Cost Home Loan

	
Cleveland Heights, OH

	

Ordinance No.
72-2003 (PSH), Mun. Code §§ 757.01 et
seq.

Effective June
2, 2003

	
Covered Loan

	
Colorado

	

Consumer Equity
Protection, Colo. Stat. Ann. §§ 5-3.5-101 et seq.

Effective for
covered loans offered or entered into on or after January 1, 2003. Other provisions of the Act took effect on June 7,
2002

	
Covered Loan

	
Connecticut

	

Connecticut
Abusive Home Loan Lending Practices Act, Conn. Gen. Stat.
§§ 36a-746 et seq.

Effective
October 1, 2001

	
High Cost Home Loan

	
District of Columbia

	

Home Loan
Protection Act, D.C. Code §§ 26-1151.01 et seq.

Effective for
loans closed on or after January 28, 2003

	
Covered Loan

	
Florida

	

Fair Lending
Act, Fla. Stat. Ann. §§ 494.0078 et
seq.

Effective October 2, 2002

	
High Cost Home Loan

	
Georgia (Oct 1, 2002 – Mar 6,
2003)

	

Georgia Fair
Lending Act, Ga. Code Ann. §§ 7-6A-1 et
seq.

Effective
October 1, 2002 – March 6, 2003

	
High Cost Home Loan

	
Georgia as amended (Mar 7, 2003 –
current)

	

Georgia Fair
Lending Act, Ga. Code Ann. §§ 7-6A-1 et
seq.

Effective for
loans closed on or after March 7, 2003

	
High Cost Home Loan

	
HOEPA Section 32

	

Home Ownership
and Equity Protection Act of 1994, 15 U.S.C. § 1639, 12 C.F.R. §§ 226.32 and 226.34

Effective
October 1, 1995, amendments October 1, 2002

	
High Cost Loan

	
Illinois

	

High Risk Home
Loan Act, Ill. Comp. Stat. tit. 815, §§ 137/5
et seq.

Effective
January 1, 2004 (prior to this date, regulations under Residential Mortgage License Act effective from May 14,
2001)

	
High Risk Home Loan

	

Indiana

	

Indiana Home
Loan Practices Act, Ind. Code Ann. §§ 24-9-1-1
et seq.

Effective for
loans originated on or after January 1, 2005.

	

High Cost Home
Loan

	
Kansas

	

Consumer Credit
Code, Kan. Stat. Ann. §§ 16a-1-101 et
seq.

Sections
16a-1-301 and 16a-3-207 became effective April 14, 1999; Section 16a-3-308a became effective July 1, 1999

	

High Loan to
Value Consumer Loan (id. § 16a-3-207) and;

High APR Consumer Loan (id. §
16a-3-308a)

 

	
Kentucky

	

2003 KY H.B. 287
– High Cost Home Loan Act, Ky. Rev. Stat. §§ 360.100 et seq.

Effective June
24, 2003

	
High Cost Home Loan

	
Maine

	

Truth in
Lending, Me. Rev. Stat. tit. 9-A, §§ 8-101 et seq.

Effective
September 29, 1995 and as amended from time to time

	
High Rate High Fee
Mortgage

	
Massachusetts

	

Part 40 and Part
32, 209 C.M.R. §§ 32.00 et seq. and 209 C.M.R. §§ 40.01 et seq.

Effective March
22, 2001 and amended from time to time

	
High Cost Home Loan

	
Nevada

	

Assembly Bill
No. 284, Nev. Rev. Stat. §§ 598D.010 et
seq.

Effective October 1, 2003

	
Home Loan

	
New Jersey

	

New Jersey Home
Ownership Security Act of 2002, N.J. Rev. Stat. §§
46:10B-22 et seq.

Effective for
loans closed on or after November 27, 2003

	
High Cost Home Loan

	
New Mexico

	

Home Loan
Protection Act, N.M. Rev. Stat. §§ 58-21A-1
et seq.

Effective as of
January 1, 2004; Revised as of February 26, 2004

	
High Cost Home Loan

	
New York

	

N.Y. Banking Law
Article 6-l

Effective for
applications made on or after April 1, 2003

	
High Cost Home Loan

	
North Carolina

	

Restrictions and
Limitations on High Cost Home Loans, N.C. Gen. Stat. §§ 24-1.1E et seq.

Effective July
1, 2000; amended October 1, 2003 (adding open-end lines of credit)

	
High Cost Home Loan

	
Ohio

	

H.B. 386
(codified in various sections of the Ohio Code), Ohio Rev. Code Ann. §§ 1349.25 et seq.

Effective May
24, 2002

	
Covered Loan

	
Oklahoma

	

Consumer Credit
Code (codified in various sections of Title 14A)

Effective July
1, 2000; amended effective January 1, 2004

	
Subsection 10 Mortgage

	
South Carolina

	

South Carolina
High Cost and Consumer Home Loans Act, S.C. Code Ann. §§ 37-23-10 et seq.

Effective for
loans taken on or after January 1, 2004

	
High Cost Home Loan

	
West Virginia

	

West Virginia
Residential Mortgage Lender, Broker and Servicer Act, W. Va. Code Ann. §§ 31-17-1 et seq.

Effective June
5, 2002

	
West Virginia Mortgage Loan Act
Loan

 

II.
           Covered Loan Categorization

 

	

State/Jurisdiction

	

Name of Anti-Predatory Lending

Law/Effective Date

	

Category under Applicable

Anti-Predatory Lending
Law

	
Georgia (Oct 1, 2002 – Mar 6,
2003)

	

Georgia Fair
Lending Act, Ga. Code Ann. §§ 7-6A-1 et
seq.

Effective
October 1, 2002 – March 6, 2003

	
Covered Loan

 	
New Jersey

	

New Jersey Home
Ownership Security Act of 2002, N.J. Rev. Stat. §§
46:10B-22 et seq.

Effective November 27, 2003 – July 5, 2004

 

	
Covered Home Loan

 

	

 

	

Exhibit D

Mortgage Loan Schedule

 

	
 

	
        The Mortgage Loan Schedule,
included as Exhibit D to the Pooling and Servicing Agreement, has been intentionally omitted from this filing.  Copies may be
obtained from Washington Mutual Mortgage Securities Corp. or LaSalle Bank National Association by contacting,:

 

	
 

	
      in the case of Washington Mutual
Mortgage Securities Corp.,

 

	
 

	
        Laura Kelsey

         Master Servicing Department

         Washington Mutual Mortgage Securities Corp.

         75 N. Fairway Drive,VHF2A01

         Vernon Hills, IL 60061

         Telephone:  (847) 393-5198

         Facsimile:     (847) 549-2997

 

	
 

	
      in the case of LaSalle Bank National
Association,

 

	
 

	
        Stefanie Edwards

         LaSalle Bank National Association

         135 S. LaSalle Street, Suite 1625

         Chicago, IL  60603

         Telephone:  (312) 904-8975

         Facsimile:    (312) 904-2084

 

 

 

	

 

	

Exhibit E

[Reserved]

	

 

	

Exhibit F

 

FORM OF TRANSFEROR CERTIFICATE FOR

JUNIOR SUBORDINATE CERTIFICATES

 [Date]

LaSalle Bank
National Association, as Trustee

135 South
LaSalle Street, Suite 1625

Chicago,
Illinois, 60603

Attention: Global Securitization Trust Services

Re:       Purchase of Washington Mutual Mortgage Pass-Through Certificates, WMALT
Series 2005-5, Class [   ]  (the “Certificates”)

Ladies and Gentlemen:

In connection with our disposition of the above Certificates we certify that (a) we understand the
Certificates have not been registered under the Securities Act of 1933, as amended (the “Act”) and are being disposed
by us in a transaction that is exempt from the registration requirements of the Act, and (b) we have not offered or sold any
certificates to, or solicited offers to buy any Certificates from, any person, or otherwise approached or negotiated with any
person with respect thereto, or taken any other action which would result in a violation of Section 5 of the Act.

	

 

	
Very truly yours,

	

 

	

 

	

 

	
[Name of Transferor]

	

 

	

 

	

 

	

 

	

 

	
                                                                          

	

 

	
By:      
Authorized Officer

	

 

	

 

 

	

 

	

Exhibit G

 

FORM OF TRANSFEREE'S AGREEMENT FOR

JUNIOR SUBORDINATE CERTIFICATES

 [Date]

	

 

	
LaSalle Bank National Association, as
Trustee

	
135 South LaSalle Street, Suite
1625

	
Chicago, Illinois,
60603

	
Attention: Global Securitization Trust
Services

	

 

	

 

	
Washington Mutual Mortgage Securities
Corp.

	
75 N. Fairway Drive

	
Vernon Hills, Illinois 
60061

	

 

The undersigned (the “Purchaser”) proposes to purchase Washington Mutual Mortgage Pass-Through
Certificates, Series 2005-5, Class [   ] (the “Purchased Certificates”) in the principal amount of
$______________. In doing so, the Purchaser hereby acknowledges and agrees as follows:

Section 1. Definitions. Each capitalized term used herein and not otherwise defined herein shall have the
meaning ascribed to it in the Pooling and Servicing Agreement, dated as of June 1, 2005 (the “Pooling Agreement”), by
and among Washington Mutual Mortgage Securities Corp. (“Washington Mutual”), Washington Mutual Bank (the "Servicer"),
LaSalle Bank National Association, as trustee (the “Trustee”), and Christiana Bank & Trust Company, as Delaware
trustee, of the Washington Mutual Mortgage Pass-Through Certificates, WMALT Series 2005-5.

Section 2. Representations and Warranties of the Purchaser. In connection with the proposed transfer, the
Purchaser represents and warrants to Washington Mutual, the Servicer, the Trustee and the Trust that:

(a)        The Purchaser is duly organized, validly existing and in
good standing under the laws of the jurisdiction in which the Purchaser is organized, is authorized to invest in the Purchased
Certificates, and to enter into this Agreement, and duly executed and delivered this Agreement;

(b)        The Purchaser is acquiring the Purchased Certificates for
its own account as principal and not with a view to the distribution thereof, in whole or in part;

(c)        The Purchaser is an “accredited investor” as
such term is defined in paragraph (a)(1), (a)(2), (a)(3), (a)(7) or (a)(8) of Section 501 of Regulation D under the Securities Act
of 1933, as amended (the “Act”), has knowledge of financial and business matters and is capable of evaluating the
merits and risks of an investment in the Purchased Certificates; the Purchaser has sought such accounting, legal and tax advice as
it has considered necessary to make an informed investment decision; and the Purchaser is able to bear the economic risk of an
investment in the Purchased Certificates and can afford a complete loss of such investment;

(d)        The Purchaser is not affiliated with the
Trustee;

(e)        The Purchaser confirms that Washington Mutual has made
available to the Purchaser the opportunity to ask questions of, and receive answers from Washington Mutual concerning the trust
created pursuant to the Pooling Agreement (the “Trust”), the purchase by the Purchaser of the Purchased Certificates
and all matters relating thereto that Washington Mutual possesses or can acquire without unreasonable effort or expense;
and

(f)        If applicable, the Purchaser has complied, and will continue
to comply, with the guidelines established by Thrift Bulletin 13a issued April 23, 1998, by the Office of Regulatory Activities of
the Federal Home Loan Bank System.

Section 3. Transfer of Purchased Certificates.

(a)        The Purchaser understands that the Purchased Certificates
have not been registered under the Act, or any state securities laws and that no transfer may be made unless the Purchased
Certificates are registered under the Act and under applicable state law or unless an exemption from registration is available. The
Purchaser further understands that neither Washington Mutual nor the Trust is under any obligation to register the Purchased
Certificates or make an exemption available. In the event that such a transfer is to be made within two years from the Closing Date
without registration under the Act or applicable state securities laws, (i) the Trustee shall require, in order to assure
compliance with such laws, that the Certificateholder's prospective transferee each certify to Washington Mutual, the Trustee and
the Trust as to the factual basis for the registration or qualification exemption relied upon, and (ii) the Trustee or Washington
Mutual may require an Opinion of Counsel that such transfer may be made pursuant to an exemption from the Act and state securities
laws, which Opinion of Counsel shall not be an expense of the Trust, the Trustee or Washington Mutual. Any such Certificateholder
desiring to effect such transfer shall, and does hereby agree to, indemnify the Trust, the Trustee and Washington Mutual 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.

(b)        No transfer of a Purchased Certificate shall be made unless
the transferee provides Washington Mutual and the Trustee with (i) a Transferee's Agreement, substantially in the form of this
Agreement, (ii) an affidavit substantially in the form of Exhibit N to the Pooling Agreement and (iii) if so indicated in such
affidavit, a Benefit Plan Opinion (as defined in Section 1.01 of the Pooling Agreement).

(c)        The Purchaser acknowledges that its Purchased Certificates
bear a legend setting forth the applicable restrictions on transfer.

IN WITNESS WHEREOF, the undersigned has caused this Agreement to be validly executed by its duly
authorized representative as of the day and the year first above written.

	
 

	
            [Purchaser]

	
 

	
 

	
 

	
 

	
 

	
By:                                                                   

	
 

	
 

	
 

	
Its:                                                                    

	
 

	
 

 

	

 

	

Exhibit H

 

FORM OF ADDITIONAL MATTER INCORPORATED INTO

THE FORM OF THE CERTIFICATES (OTHER THAN THE CLASS R CERTIFICATES)

This Certificate does not represent an obligation of or interest in Washington Mutual Mortgage Securities
Corp. or any of its affiliates. Neither this Certificate nor the underlying Mortgage Loans are guaranteed by any agency or
instrumentality of the United States.

This certifies that the above-named Registered Owner is the registered owner of certain interests in a
pool of assets (“REMIC II”) consisting of interests in another pool of assets (“REMIC I”) consisting of,
among other things, conventional one- to four-family mortgage loans (the “Mortgage Loans”), formed by Washington Mutual
Mortgage Securities Corp. (the “Company”), which term includes any successor entity under the Pooling Agreement
referred to below. REMIC I and REMIC II were created pursuant to a Pooling and Servicing Agreement, dated as of the Cut-Off Date
stated above (the “Pooling Agreement”), among the Company, the Servicer, LaSalle Bank National Association, as Trustee
(the “Trustee”), and Christiana Bank & Trust Company, as Delaware Trustee, a summary of certain of the pertinent
provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings
assigned in the Pooling Agreement. Nothing herein shall be deemed inconsistent with such meanings, and in the event of any conflict
between the Pooling Agreement and the terms of this Certificate, the Pooling Agreement shall control. This Certificate is issued
under and is subject to the terms, provisions and conditions of the Pooling Agreement, to which Pooling Agreement the Holder of
this Certificate, by virtue of the acceptance hereof, assents and by which such Holder is bound.

Distributions will be made, pursuant to the Pooling Agreement, on the 25th day of each month or, if such
25th day is not a Business Day, the Business Day immediately following (the “Distribution Date”), commencing on the
first Distribution Date specified above, to the Person in whose name this Certificate is registered at the close of business on the
last day (or if such last day is not a Business Day, the Business Day immediately preceding such last day) of the month immediately
preceding the month of such distribution (the “Record Date”), to the extent of such Certificateholder's Percentage
Interest represented by this Certificate in the portion of the REMIC II Available Distribution Amount for such Distribution Date
then distributable on the Certificates of this Class, as specified in Section 4.04 of the Pooling Agreement.

Distributions on this Certificate will be made by the Trustee by wire transfer or check mailed to the
address of the Person entitled thereto, as such name and address shall appear on the Certificate Register. Notwithstanding the
above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution
and only upon presentation and surrender of this Certificate to the Certificate Registrar.

Reference is hereby made to the further provisions of this Certificate set forth below, which further
provisions shall for all purposes have the same effect as if set forth at this place.

Unless the certificate of authentication hereon has been executed by or on behalf of the Trustee, by
manual signature, this Certificate shall not be entitled to any benefit under the Pooling Agreement or be valid for any
purpose.

IN WITNESS WHEREOF, the Trust has caused this Certificate to be duly executed.

	
 

	

WASHINGTON
MUTUAL MORTGAGE PASS-THROUGH CERTIFICATES, WMALT SERIES 2005-5 TRUST

	

 

	

 

	

 

	
 

	

By:

	

LASALLE BANK
NATIONAL ASSOCIATION, as Trustee

	
 

	
 

	
 

	
 

	

By:

	

______________________________________

 

 (TRUSTEE'S CERTIFICATE OF AUTHENTICATION)

This is one of the Certificates referred to in the within-mentioned Pooling Agreement.

	

LASALLE BANK
NATIONAL ASSOCIATION, as Trustee

	
 

	
 

	
 

	
 

	
 

	
 

	
 

	

By:

	

______________________________________

	
 

	

Dated:

	

______________________________________

	
 

WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATE

This Certificate is one of a duly authorized issue of Certificates designated as Washington Mutual
Mortgage Pass-Through Certificates of the Series and Class specified hereon (herein called the “Certificates”) and
representing certain interests in REMIC II[to be used only in the case of the Class CB-1 Certificates and Class CB-6
Certificates:][, together with certain rights specified in the Pooling Agreement].

The Certificates do not represent an obligation of, or an interest in, the Company or any of its
affiliates and are not insured or guaranteed by any governmental agency. The 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
Agreement. In the event funds are advanced with respect to any Mortgage Loan, such advance is reimbursable to the Servicer from the
related recoveries on such Mortgage Loan or from other cash deposited in the Certificate Account to the extent that such advance is
not otherwise recoverable.

As provided in the Pooling Agreement, withdrawals from the Certificate Account may be made from time to
time for purposes other than distributions to Certificateholders, such purposes including reimbursement to the Servicer of advances
made, or certain expenses incurred, by it.

The Pooling Agreement permits, with certain exceptions therein provided, the amendment thereof and the
modification of the rights and obligations of the Company and the rights of the Certificateholders under the Pooling Agreement at
any time by the Company, the Servicer and the Trustee with the consent of the Holders of the Certificates evidencing Percentage
Interests aggregating not less than 66% of REMIC II. 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 herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Pooling 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 Agreement and subject to certain limitations therein set forth, the transfer of
this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the
offices of the Certificate Registrar or the office maintained by the Trustee in the City and State of New York, duly endorsed by,
or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee or
any Authenticating Agent duly executed by, the Holder hereof or such Holder's attorney duly authorized in writing, and thereupon
one or more new Certificates of Authorized Denominations evidencing the same Percentage Interest set forth hereinabove will be
issued to the designated transferee or transferees.

[to be used only in the case of the Junior Subordinate Certificates:] [No transfer of a Certificate will
be made unless such transfer is exempt from or is made in accordance with the registration requirements of the Securities Act of
1933, as amended (the “Securities Act”) and any applicable state securities laws. In the event that a transfer is to be
made without registration or qualification under applicable laws, (i) in the event such transfer is made pursuant to Rule 144A
under the Securities Act, the Company and the Trustee shall require the transferee to execute an investment letter in substantially
the form attached as Exhibit L to the Pooling Agreement, which investment letter shall not be an expense of the Company, the
Servicer, the Trust or the Trustee and (ii) in the event that such a transfer is not made pursuant to Rule 144A under the
Securities Act, the Trustee may require an Opinion of Counsel satisfactory to the Trustee that such transfer may be made without
such registration or qualification, which Opinion of Counsel shall not be an expense of the Company, the Servicer, the Trust or the
Trustee. Neither the Company nor the Trust will register the Certificate under the Securities Act, qualify the Certificate under
any state securities law or provide registration rights to any purchaser. Any Holder desiring to effect such transfer shall, and
does hereby agree to, indemnify the Trust, the Trustee, the Company and the Servicer 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.]

The Certificates are issuable only as registered Certificates without coupons in Authorized Denominations
specified in the Pooling Agreement. As provided in the Pooling Agreement and subject to certain limitations therein set forth,
Certificates are exchangeable for new Certificates of Authorized Denominations of like Certificate Principal Balance or Percentage
Interest, as applicable, as requested by the Holder surrendering the same.

A reasonable service charge may be made for any such registration of transfer or exchange, and the Trustee
may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection
therewith.

The Company, the Servicer, the Trustee and the Certificate Registrar and any agent of the Company, the
Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner
hereof for all purposes, and neither the Company, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be
affected by notice to the contrary.

The obligations created by the Pooling Agreement and the Trust created thereby shall terminate upon (i)
the later of the maturity or other liquidation (including purchase by the Servicer) of the last Mortgage Loan remaining in the
Trust or the disposition of all property acquired upon foreclosure or deed in lieu of foreclosure of any Mortgage Loan, and (ii)
the payment to Certificateholders of all amounts held by the Trustee and required to be paid to them pursuant to the Pooling
Agreement. In the event that the Company or the Servicer purchases any Mortgage Loan pursuant to the Pooling Agreement, the Pooling
Agreement generally requires that the Trustee distribute to the Certificateholders in the aggregate an amount equal to 100% of the
unpaid Principal Balance of such Mortgage Loan, plus unpaid accrued interest thereon at the applicable Pass-Through Rate to the
last day of the month in which such purchase occurs. The Pooling Agreement permits, but does not require, the Servicer to purchase
from the Trust all Mortgage Loans at the time subject thereto and all property acquired in respect of any Mortgage Loan upon
payment to the Certificateholders of the amounts specified in the Pooling Agreement. The exercise of such right will effect early
retirement of the Certificates, the Servicer’s right to purchase being subject to the aggregate Principal Balance of the
Mortgage Loans at the time of purchase being less than the Clean-Up Call Percentage of the aggregate Principal Balance of the
Mortgage Loans as of the Cut-Off Date.

ASSIGNMENT

	

FOR VALUE
RECEIVED the undersigned hereby sell(s) and assign(s) and transfer(s) unto

	

                                                                                                                                                           
                                                                                                                                                           
                                                                                                                                                           

	

                                                                                                                                                           
                                                                                                                                                           
                                                                                                                                                           

	

(Please print
or typewrite name and address, including postal zip code of assignee. Please insert social security or other identifying number of
assignee.)

	

the within
WaMu Mortgage Pass-Through Certificate and hereby irrevocably constitutes and appoints

	

                                                                                                                                                           
                                                                                                                                                           
                                                                                                                                                           

	

Attorney to
transfer said Certificate on the Certificate Register, with full power of substitution in the premises.

 

	

Dated:

	

                                   

	
                                                           
                       

 Signature Guaranteed

 

	

                                                                                                                                                           

	

NOTICE:  The signature to this assignment must correspond with the name as written upon the face of the
within instrument in every particular, without alteration or enlargement or any change whatever.  This Certificate does not
represent an obligation of or an interest in Washington Mutual Mortgage Securities Corp. or any of its affiliates.  Neither
this Certificate nor the underlying Mortgage Loans are guaranteed by any agency or instrumentality of the United
States.

 

	

 

	

Exhibit I

 

TRANSFEROR CERTIFICATE

[Date]

	

LaSalle Bank
National Association, as Trustee

	

135 South
LaSalle Street, Suite 1625

	

Chicago,
Illinois, 60603

	

Attention: Global Securitization Trust Services

	

Re:      Washington Mutual Mortgage Pass-Through Certificates, Series
2005-5, Class R

Ladies and Gentlemen:

This letter is delivered to you in connection with the sale from
                                        
 (the “Seller”) to           
                                   
 (the “Purchaser”) of $____________________ initial Certificate Principal Balance of Washington Mutual Mortgage
Pass-Through Certificates, WMALT Series 2005-5, Class R (the “Certificate”), pursuant to Section 5.01 of the Pooling
and Servicing Agreement (the “Pooling Agreement”), dated as of June 1, 2005 among Washington Mutual Mortgage Securities
Corp., as depositor (the “Company”), Washington Mutual Bank, as servicer (the "Servicer"), LaSalle Bank National
Association, as trustee (the “Trustee”), and Christiana Bank & Trust Company, as Delaware trustee. All terms used
herein and not otherwise defined shall have the meanings set forth in the Pooling Agreement. The Seller hereby certifies,
represents and warrants to, and covenants with, the Company, the Servicer, the Trustee and the Trust that:

1.         No purpose of the Seller relating to the sale of the
Certificate by the Seller to the Purchaser is or will be to enable the Seller to impede the assessment or collection of
tax.

2.         The Seller understands that the Purchaser has delivered
to the Trustee and the Company a transferee affidavit and agreement in the form attached to the Pooling Agreement as Exhibit J. The
Seller does not know or believe that any representation contained therein is false.

3.         The Seller has no actual knowledge that the proposed
Transferee is not a Permitted Transferee.

4.         The Seller has no actual knowledge that the Purchaser
would be unwilling or unable to pay taxes due on its share of the taxable income attributable to the
Certificates.

5.         The Seller has conducted a reasonable investigation of
the financial condition of the Purchaser and, as a result of the investigation, found that the Purchaser has historically paid its
debts as they came due, and found no significant evidence to indicate that the Purchaser will not continue to pay its debts as they
come due in the future.

6.         The Purchaser has represented to the Seller that, if
the Certificates constitute a noneconomic residual interest, it (i) understands that as holder of a noneconomic residual interest
it may incur tax liabilities in excess of any cash flows generated by the interest, and (ii) intends to pay taxes associated with
its holding of the Certificates as they become due.

	
 

	
Very truly yours,

	
 

	
 

	
 

	
[Seller]

	
 

	
 

	
 

	
 

	
 

	
By:                                                                   

	
 

	

Name:

	
 

	

Title:                                                             

	
 

	
 

 

	

 

	

Exhibit J

 

TRANSFEREE AFFIDAVIT AND AGREEMENT

	

 

	

STATE
OF                              
)

	

                                               
)   ss:

	

COUNTY
OF                          
)

	

 

[NAME OF OFFICER], being first duly sworn, deposes and says:

1.         That he is [Title of Officer] of [Name of Owner]
(record or beneficial owner of the Class R Certificate (the “Owner”)), a [savings institution] [corporation] duly
organized and existing under the laws of [the State of
                 ] [the United States], on
behalf of which he makes this affidavit and agreement.

2.         That the Owner (i) is not and will not be a
“disqualified organization” as of [date of transfer] within the meaning of Section 860E(e)(5) of the Internal Revenue
Code of 1986, as amended (the “Code”) and will endeavor to remain other than a disqualified organization for so long as
it retains its ownership interest in the Class R Certificates, and (ii) is acquiring the Class R Certificates for its own account
or for the account of another Owner from which it has received an affidavit and agreement in substantially the same form as this
affidavit and agreement. (For this purpose, a disqualified organization” means the United States, any state or political
subdivision thereof, or any agency or instrumentality of any of the foregoing (other than an instrumentality all of the activities
of which are subject to tax and, except for the Federal Home Loan Mortgage Corporation, a majority of whose board of directors is
not selected by any such governmental entity), or any foreign government or international organization, or any agency or
instrumentality of such foreign government or organization, any rural electric or telephone cooperative, or any organization (other
than certain farmers' cooperatives) that is generally exempt from federal income tax unless such organization is subject to the tax
on unrelated business taxable income).

3.         That the Owner is aware (i) of the tax that would be
imposed on transfers of the Class R Certificates after March 31, 1988; (ii) that such tax would be on the transferor, or, if such
transfer is through an agent (which person includes a broker, nominee or middle-man) for a disqualified organization, on the agent;
(iii) that the person otherwise liable for the tax shall be relieved of liability for the tax if the transferee furnishes to such
person an affidavit that the transferee is not a disqualified organization and, at the time of transfer, such person does not have
actual knowledge that the affidavit is false; and (iv) that the Class R Certificates 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, if a
significant purpose of the transfer was to enable the transferor to impede the assessment or collection of tax.

4.         That the Owner is aware of the tax imposed on a
“pass-through entity” holding the Class R Certificates if at any time during the taxable year of the pass-through
entity a disqualified organization is the record holder of an interest in such entity. (For this purpose, a “pass through
entity” includes a regulated investment company, a real estate investment trust or common trust fund, a partnership, trust or
estate, and certain cooperatives.)

5.         That the Owner is aware that the Trustee will not
register the Transfer of the Class R Certificates unless the transferee, or the transferees' agent, delivers to it an affidavit and
agreement, among other things, in substantially the same form as this affidavit and agreement. The Owner expressly agrees that it
will not consummate any such transfer if it knows or believes that any of the representations contained in such affidavit and
agreement are false.

6.         That the Owner has reviewed the restrictions set forth
on the face of the Class R Certificates and the provisions of Section 5.01 of the Pooling Agreement under which the Class R
Certificates were issued (in particular, clauses (iii)(A) and (iii)(B) of Section 5.01(c) which authorize the Trustee to deliver
payments to a person other than the Owner and negotiate a mandatory sale by the Trustee in the event the Owner holds such
Certificates in violation of Section 5.01). The Owner expressly agrees to be bound by and to comply with such restrictions and
provisions.

7.         That the Owner consents to any additional restrictions
or arrangements that shall be deemed necessary upon advice of counsel to constitute a reasonable arrangement to ensure that the
Class R Certificates will only be owned, directly or indirectly, by an Owner that is not a disqualified
organization.

8.         The Owner's Taxpayer Identification Number is
                              
..

9.         That no purpose of the Owner relating to the purchase
of the Class R Certificates by the Owner is or will be to enable the transferor to impede the assessment or collection of tax and
that in making this representation, the Owner warrants that the Owner is familiar with Treasury Regulation 1.860E-1(c) and with the
preamble to the adoption of amendments to that regulation as of July 19, 2002, attached hereto as Exhibit 1.

10.        That the Owner anticipates that it will, so long as it holds
the Class R Certificates, have sufficient assets to pay any taxes owed by the holder of such Certificates, and hereby represents to
and for the benefit of the person from whom it acquired the Class R Certificates that the Owner intends to pay taxes associated
with holding such Certificates as they become due, fully understanding that it may incur tax liabilities in excess of any cash
flows generated by the Class R Certificates. That the Owner has provided financial statements or other financial information
requested by the transferor in connection with the transfer of the Class R Certificates to permit the transferor to assess the
financial capability of the Owner to pay such taxes.

11.        That the Owner has no present knowledge or expectation that
it will be unable to pay any United States taxes owed by it so long as any of the Class R Certificates remain
outstanding.

12.        That the Owner has no present knowledge or expectation that
it will become insolvent or subject to a bankruptcy proceeding for so long as any of the Class R Certificates remain
outstanding.

13.        That the Owner is familiar with Treasury Regulation
1.860E-1(c) and with the preamble to the adoption of amendments to that regulation as of July 19, 2002, attached hereto as Exhibit
1, and that no purpose of the Owner relating to any sale of the Class R Certificates by the Owner will be to impede the assessment
or collection of tax.

14.        The Owner is a citizen or resident of the United States, a
corporation, partnership or other entity treated as a partnership or corporation for U.S. federal income tax purposes created or
organized in, or under the laws of, the United States or any state thereof or the District of Columbia, or an estate or trust whose
income from sources without the United States is includible in gross income for United States federal income tax purposes
regardless of its connection with the conduct of a trade or business within the United States.

15.        The Owner hereby agrees that it will not cause income from
the Class R Certificates to be attributable to a foreign permanent establishment or fixed base (within the meaning of an applicable
income tax treaty) of the Owner or another United States taxpayer.

16.        The Owner hereby agrees to cooperate with the Company and to
take any action required of it by the Code or Treasury regulations thereunder (whether now or hereafter promulgated) in order to
create or maintain the REMIC status of REMIC I and REMIC II (the “REMICs”).

17.        The Owner hereby agrees that it will not take any action
that could endanger the REMIC status of the REMICs or result in the imposition of tax on the REMICs unless counsel for, or
acceptable to, the Company has provided an opinion that such action will not result in the loss of such REMIC status or the
imposition of such tax, as applicable.

18.        The Owner as transferee of the Class R Certificates has
represented to the transferor that, if the Class R Certificates constitute a noneconomic residual interest, the Owner (i)
understands that as holder of a noneconomic residual interest it may incur tax liabilities in excess of any cash flows generated by
the interest, and (ii) intends to pay taxes associated with its holding of the Class R Certificates as they
become due.

19.        That the Owner satisfies the condition in the paragraph marked below [mark one
paragraph only]:

___      The Owner is not an employee benefit or
other plan subject to the prohibited transaction provisions of the Employee Retirement Income Security Act of 1974, as amended, or
Section 4975 of the Internal Revenue Code of 1986, as amended (a “Plan”), or any other person (including an investment
manager, a named fiduciary or a trustee of any Plan) acting, directly or indirectly, on behalf of, or purchasing the Class R
Certificates with “plan assets” of, any Plan within the meaning of the Department of Labor (“DOL”)
regulation at 29 C.F.R. Section 2510.3-101.

___      The Owner has delivered a Benefit Plan
Opinion (as defined in Section 1.01 of the Pooling Agreement under which the Class R Certificates were issued).

IN WITNESS WHEREOF, the Owner has caused this instrument to be executed on its behalf, pursuant to the
authority of its Board of Directors, by its [Title of Officer] and its corporate seal to be hereunto attached, attested by its
[Assistant] Secretary, this           day of
          , 20 __ .\

	
 

	

[Name of
Owner]

	
 

	
 

	
 

	
 

	
 

	
By:                                                                   

	
 

	
 

	
 

	

[Name of
Officer]

	
 

	

[Title of
Officer]

	
 

	
 

	

[Corporate
Seal]

	

ATTEST:

	
 

	
 

	

[Assistant]
Secretary

 

	

Personally
appeared before me the above-named [Name of Officer], known or proved to me to be the same person who executed the foregoing
instrument and to be the [Title of Officer] of the Owner, and Acknowledged to me that he executed the same as his free act and deed
and the free act and deed of the Owner.

	

Subscribed
and sworn before me this ___ day of __________________, 20__.

 

	

 

	

 

	

 

	

 

	

 

	
NOTARY PUBLIC

	

 

	

 

	

 

	

 

	

 

	

 

	

 

	
COUNTY OF

	

 

	
STATE OF

	

 

	
My Commission expires
the    day

	

 

	
of ___________, 20__

	

 

	

 

 

 

	
 

	

Exhibit 1 to Transferee Affidavit

 

	
DEPARTMENT OF THE
TREASURY

	
Internal Revenue
Service

	
26 CFR Parts 1 and 602

	
[TD 9004]

	
RIN 1545-AW98

	

 

	
Real Estate Mortgage Investment
Conduits

	

 

	
AGENCY: Internal Revenue Service (IRS),
Treasury.

	

 

	
ACTION: Final
regulations.

	

 

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

 

SUMMARY: This
document contains final regulations relating to safe harbor transfers of noneconomic residual interests in real estate mortgage
investment conduits (REMICs). The final regulations provide additional limitations on the circumstances under which transferors may
claim safe harbor treatment.

 

	
DATES:

	
Effective Date: These regulations are
effective July 19, 2002.  Applicability Date: For dates of applicability, see Sec. 1.860E-(1)(c)(10).

 

FOR FURTHER INFORMATION CONTACT: Courtney Shepardson at (202) 622-3940 (not a toll-free
number).

SUPPLEMENTARY INFORMATION:

Paperwork Reduction Act

The collection of information in this final rule has been reviewed and, pending receipt and evaluation of public
comments, approved by the Office of Management and Budget (OMB) under 44 U.S.C. 3507 and assigned control number 1545-1675. 
The collection of information in this regulation is in Sec. 1.860E-1(c)(5)(ii). This information is required to enable the IRS to
verify that a taxpayer is complying with the conditions of this regulation. The collection of information is mandatory and is
required. Otherwise, the taxpayer will not receive the benefit of safe harbor treatment as provided in the regulation. The likely
respondents are businesses and other for-profit institutions.

Comments on the
collection of information should be sent to the Office of Management and Budget, Attn: Desk Officer for the Department of the
Treasury, Office of Information and Regulatory Affairs, Washington, DC, 20503, with copies to the Internal Revenue Service, Attn:
IRS Reports Clearance Officer, W:CAR:MP:FP:S, Washington, DC 20224. Comments on the collection of information should be received by
September 17, 2002. Comments are specifically requested concerning: 

 

	
Whether the collection of information is
necessary for the proper performance of the functions of the Internal Revenue Service, including whether the information will have
practical utility; 

	

 

	
The accuracy of the estimated burden
associated with the collection

	
of information (see
below);

	

 

	
How the quality, utility, and clarity of
the information to be collected may be enhanced;

	

 

	
How the burden of complying with the
collection of information may be minimized, including through the application of automated collection techniques or other forms of
information technology; and

	

 

	
Estimates of capital or start-up costs
and costs of operation,

	
maintenance, and purchase of service to
provide information.

 

An agency may not conduct or sponsor, and a person is not required to respond to, a collection of information
unless it displays a valid control number assigned by the Office of Management and Budget.   

The estimated total annual reporting burden is 470 hours, based on an estimated number of respondents of 470 and
an estimated average annual burden hours per respondent of one hour.

Books or records relating to a collection of information must be retained as long as their contents may become
material in the administration of any internal revenue law. Generally, tax returns and tax return information are confidential, as
required by 26 U.S.C. 6103.

Background

This document contains final regulations regarding the proposed amendments to 26 CFR part 1 under section 860E
of the Internal Revenue Code (Code). The regulations provide the circumstances under which a transferor of a noneconomic REMIC
residual interest meeting the investigation and representation requirements may avail itself of the safe harbor by satisfying
either the formula test or the asset test.

Final regulations governing REMICs, issued in 1992, contain rules governing the transfer of noneconomic REMIC
residual interests. In general, a transfer of a noneconomic residual interest is disregarded for all tax purposes if a significant
purpose of the transfer is to enable the transferor to impede the assessment or collection of tax. A purpose to impede the
assessment or collection of tax (a wrongful purpose) exists if the transferor, at the time of the transfer, either knew or should
have known that the transferee would be unwilling or unable to pay taxes due on its share of the REMIC's taxable
income.

Under a safe harbor, the transferor of a REMIC noneconomic residual interest is presumed not to have a wrongful
purpose if two requirements are satisfied: (1) the transferor conducts a reasonable investigation of the transferee's financial
condition (the investigation requirement); and (2) the transferor secures a representation from the transferee to the effect that
the transferee understands the tax obligations associated with holding a residual interest and intends to pay those taxes (the
representation requirement).

The IRS and Treasury have been concerned that some transferors of noneconomic residual interests claim they
satisfy the safe harbor even in situations where the economics of the transfer clearly indicate the transferee is unwilling or
unable to pay the tax associated with holding the interest. For this reason, on February 7, 2000, the IRS published in the Federal
Register (65 FR 5807) a notice of proposed rulemaking (REG-100276-97; REG-122450-98) designed to clarify the safe harbor by adding
the ``formula test,'' an economic test. The proposed regulation provides that the safe harbor is unavailable unless the present
value of the anticipated tax liabilities associated with holding the residual interest does not exceed the sum of: (1) The present
value of any consideration given to the transferee to acquire the interest; (2) the present value of the expected future
distributions on the interest; and (3) the present value of the anticipated tax savings associated with holding the interest as the
REMIC generates losses.

The notice of proposed rulemaking also contained rules for FASITs. Section 1.860H-6(g) of the proposed
regulations provides requirements for transfers of FASIT ownership interests and adopts a safe harbor by reference to the safe
harbor provisions of the REMIC regulations.   

In January 2001, the IRS published Rev. Proc. 2001-12 (2001-3 I.R.B. 335) to set forth an alternative safe
harbor that taxpayers could use while the IRS and the Treasury considered comments on the proposed regulations. Under the
alternative safe harbor, if a transferor meets the investigation requirement and the representation requirement but the transfer
fails to meet the formula test, the transferor may invoke the safe harbor if the transferee meets a two-prong test (the asset
test). A transferee generally meets the first prong of this test if, at the time of the transfer, and in each of the two years
preceding the year of transfer, the transferee's gross assets exceed $100 million and its net assets exceed $10 million. A
transferee generally meets the second prong of this test if it is a domestic, taxable corporation and agrees in writing not to
transfer the interest to any person other than another domestic, taxable corporation that also satisfies the requirements of the
asset test. A transferor cannot rely on the asset test if the transferor knows, or has reason to know, that the transferee will not
comply with its written agreement to limit the restrictions on subsequent transfers of the residual interest.

Rev. Proc. 2001-12 provides that the asset test fails to be satisfied in the case of a transfer or assignment of
a noneconomic residual interest to a foreign branch of an otherwise eligible transferee. If such a transfer or assignment were
permitted, a corporate taxpayer might seek to claim that the provisions of an applicable income tax treaty would resource excess
inclusion income as foreign source income, and that, as a consequence, any U.S. tax liability attributable to the excess inclusion
income could be offset by foreign tax credits. Such a claim would impede the assessment or collection of U.S. tax on excess
inclusion income, contrary to the congressional purpose of assuring that such income will be taxable in all events. See, e.g.,
sections 860E(a)(1), (b), (e) and 860G(b) of the Code.

The Treasury and the IRS have learned that certain taxpayers transferring noneconomic residual interests to
foreign branches have attempted to rely on the formula test to obtain safe harbor treatment in an effort to impede the assessment
or collection of U.S. tax on excess inclusion income. Accordingly, the final regulations provide that if a noneconomic residual
interest is transferred to a foreign permanent establishment or fixed base of a U.S. taxpayer, the transfer is not eligible for
safe harbor treatment under either the asset test or the formula test. The final regulations also require a transferee to represent
that it will not cause income from the noneconomic residual interest to be attributable to a foreign permanent establishment or
fixed base.

Section 1.860E-1(c)(8) provides computational rules that a taxpayer may use to qualify for safe harbor status
under the formula test. Section 1.860E-1(c)(8)(i) provides that the transferee is presumed to pay tax at a rate equal to the
highest rate of tax specified in section 11(b). Some commentators were concerned that this presumed rate of taxation was too high
because it does not take into consideration taxpayers subject to the alternative minimum tax rate. In light of the comments
received, this provision has been amended in the final regulations to allow certain transferees that compute their taxable income
using the alternative minimum tax rate to use the alternative minimum tax rate applicable to corporations.

Additionally, Sec. 1.860E-1(c)(8)(iii) provides that the present values in the formula test are to be computed
using a discount rate equal to the applicable Federal short-term rate prescribed by section 1274(d). This is a change from the
proposed regulation and Rev. Proc. 2001-12. In those publications the provision stated that “present values are computed
using a discount rate equal to the applicable Federal rate prescribed in section 1274(d) compounded semiannually” and that
“[a] lower discount rate may be used if the transferee can demonstrate that it regularly borrows, in the course of its trade
or business, substantial funds at such lower rate from an unrelated third party.”  The IRS and the Treasury Department
have learned that, based on this provision, certain taxpayers have been attempting to use unrealistically low or zero interest
rates to satisfy the formula test, frustrating the intent of the test. Furthermore, the Treasury Department and the IRS believe
that a rule allowing for a rate other than a rate based on an objective index would add unnecessary complexity to the safe harbor.
As a result, the rule in the proposed regulations that permits a transferee to use a lower discount rate, if the transferee can
demonstrate that it regularly borrows substantial funds at such lower rate, is not included in the final regulations; and the
Federal short-term rate has been substituted for the applicable Federal rate. To simplify taxpayers' computations, the final
regulations allow use of any of the published short-term rates, provided that the present values are computed with a corresponding
period of compounding. With the exception of the provisions relating to transfers to foreign branches, these changes generally have
the proposed applicability date of February 4, 2000, but taxpayers may choose to apply the interest rate formula set forth in the
proposed regulation and Rev. Proc. 2001-12 for transfers occurring before August 19, 2002.

It is anticipated that when final regulations are adopted with respect to FASITs, Sec. 1.860H-6(g) of the
proposed regulations will be adopted in substantially its present form, with the result that the final regulations contained in
this document will also govern transfers of FASIT ownership interests with substantially the same applicability date as is
contained in this document.

Effect on Other Documents

Rev. Proc. 2001-12 (2001-3 I.R.B. 335) is obsolete for transfers of noneconomic residual interests in REMICs
occurring on or after August 19, 2002.

Special Analyses

It is hereby certified that these regulations will not have a significant economic impact on a substantial
number of small entities. This certification is based on the fact that it is unlikely that a substantial number of small entities
will hold REMIC residual interests. Therefore, a Regulatory Flexibility Analysis under the Regulatory Flexibility Act (5 U.S.C.
chapter 6) is not required. It has been determined that this Treasury decision is not a significant regulatory action as defined in
Executive Order 12866. Therefore, a regulatory assessment is not required. It also has been determined that sections 553(b) and
553(d) of the Administrative Procedure Act (5 U.S.C. chapter 5) do not apply to these regulations.

Drafting Information

The principal author of these regulations is Courtney Shepardson. However, other personnel from the IRS and
Treasury Department participated in their development.

List of Subjects

26 CFR Part 1

Income taxes, Reporting and record keeping requirements.

26 CFR Part 602

Reporting and record keeping requirements.

Adoption of Amendments to the Regulations

Accordingly, 26 CFR parts 1 and 602 are amended as follows:

PART 1--INCOME TAXES

Paragraph 1. The authority citation for part 1 continues to read in part as
follows:

    Authority: 26 U.S.C. 7805 * * *

	
 

	

Exhibit K

[RESERVED]

	

 

	

Exhibit L

 

 

	

[FORM OF RULE 144A INVESTMENT REPRESENTATION]

	

Description of Rule 144A Securities, including numbers:

	

_________________________

	

_________________________

	

_________________________

	

_________________________

The undersigned  seller, as registered holder (the “Seller”), intends to transfer the Rule 144A
Securities described above to the undersigned buyer (the “Buyer”).

1.         In connection with such transfer and in accordance with
the agreements pursuant to which the Rule 144A Securities were issued, the Seller hereby certifies the following facts: Neither the
Seller nor anyone acting on its behalf has offered, transferred, pledged, sold or otherwise disposed of the Rule 144A Securities,
any interest in the Rule 144A Securities or any other similar security to, or solicited any offer to buy or accept a transfer,
pledge or other disposition of the Rule 144A Securities, any interest in the Rule 144A Securities or any other similar security
from, or otherwise approached or negotiated with respect to the Rule 144A Securities, any interest in the Rule 144A Securities or
any other similar security with, any person in any manner, or made any general solicitation by means of general advertising or in
any other manner, or taken any other action, that would constitute a distribution of the Rule 144A Securities under the Securities
Act of 1933, as amended (the “1933 Act”), or that would render the disposition of the Rule 144A Securities a violation
of Section 5 of the 1933 Act or require registration pursuant thereto, and that the Seller has not offered the Rule 144A Securities
to any person other than the Buyer or another “qualified institutional buyer” as defined in Rule 144A under the 1933
Act.

2.         The Buyer warrants and represents to, and covenants
with, the Seller, the Trustee, the Trust and the Servicer (as defined in Section 1.01 of the Pooling and Servicing Agreement (the
“Agreement”) dated as of June 1, 2005 among Washington Mutual Mortgage Securities Corp., as Depositor, Washington
Mutual Bank as Servicer, LaSalle Bank National Association, as Trustee, and Christiana Bank & Trust Company, as Delaware
trustee) pursuant to Section 5.01(f) of the Agreement, as follows:

a.         The Buyer understands that the Rule 144A Securities have not
been registered under the 1933 Act or the securities laws of any state.

b.         The Buyer considers itself a substantial, sophisticated
institutional investor having such knowledge and experience in financial and business matters that it is capable of evaluating the
merits and risks of investment in the Rule 144A Securities.

c.         The Buyer has received and reviewed the Private Placement
Memorandum dated as of June 28, 2005 relating to the Rule 144A Securities and has been furnished with all information regarding the
Rule 144A Securities that it has requested from the Seller, the Trustee, the Company or the Servicer.

d.         Neither the Buyer nor anyone acting on its behalf has
offered, transferred, pledged, sold or otherwise disposed of the Rule 144A Securities, any interest in the Rule 144A Securities or
any other similar security to, or solicited any offer to buy or accept a transfer, pledge or other disposition of the Rule 144A
Securities, any interest in the Rule 144A Securities or any other similar security from, or otherwise approached or negotiated with
respect to the Rule 144A Securities, any interest in the Rule 144A Securities or any other similar security with, any person in any
manner, or made any general solicitation by means of general advertising or in any other manner, or taken any other action, that
would constitute a distribution of the Rule 144A Securities under the 1933 Act or that would render the disposition of the Rule
144A Securities a violation of Section 5 of the 1933 Act or require registration pursuant thereto, nor will it act, nor has it
authorized or will it authorize any person to act, in such manner with respect to the Rule 144A Securities.

e.         The Buyer is a “qualified institutional buyer” as
that term is defined in Rule 144A under the 1933 Act and has (1) completed either of the forms of certification to that effect
attached hereto as Annex 1 or Annex 2, or (2) obtained the waiver of the Company with respect to Annex 1 and Annex 2
pursuant to Section 5.01(f) of the Agreement. The Buyer is aware that the sale to it is being made in reliance on Rule 144A. The
Buyer is acquiring the Rule 144A Securities for its own account or the accounts of other qualified institutional buyers,
understands that such Rule 144A Securities may be resold, pledged or transferred only (i) to a person reasonably believed to be a
qualified institutional buyer that purchases for its own account or for the account of a qualified institutional buyer to whom
notice is given that the resale, pledge or transfer is being made in reliance on Rule 144A, or (ii) pursuant to another exemption
from registration under the 1933 Act.

f.          The Buyer is not affiliated with (i) the Trustee
or (ii) any Rating Agency that rated the Rule 144A Securities.

g.         If applicable, the Buyer has complied, and will continue to
comply, with the guidelines established by Thrift Bulletin 13a issued April 23, 1998, by the Office of Regulatory Activities of the
Federal Home Loan Bank System.

3.         This document may be executed in one or more counterparts and
by the different parties hereto on separate counterparts, each of which, when so executed, shall be deemed to be an original; such
counterparts, together, shall constitute one and the same document.

IN WITNESS WHEREOF, each of the parties has executed this document as of the
date set forth below.

	

 

	

 

	
                                                                       

	
                                                                       

	

 

	

 

	
Print Name of Seller

	
Print Name of Buyer

	

 

	

 

	
By:                                                                  

	
By:                                                                  

	

 

	

 

	

Name:

	

Name:

	

Title:

	

Title:

	

 

	

 

	

 

	

 

	

 

	

 

	
Taxpayer Identification:
                                   

	
Taxpayer Identification:
                                   

	

 

	

 

	
No.:                                                                 

	
No.:                                                                 

	

 

	

 

	
Date:                                                               

	
Date:                                                               

	

 

	

 

 

	

 

	

Annex 1 to Exhibit L

QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A

[For Buyers Other Than Registered Investment Companies]

The undersigned hereby certifies as follows in connection with the Rule 144A Investment Representation to
which this Certification is attached:

1.         As indicated below, the undersigned is the President,
Chief Financial Officer, Senior Vice President or other executive officer of the Buyer.

2.         In connection with purchases by the Buyer, the Buyer is
a “qualified institutional buyer” as that term is defined in Rule 144A under the Securities Act of 1933 (“Rule
144A”) because (i) the Buyer owned and/or invested on a discretionary basis $______________________ (the Buyer must own
and/or invest on a discretionary basis at least $100,000,000 in securities unless the Buyer is a dealer, and, in that case, the
Buyer must own and/or invest on a discretionary basis at least $10,000,000 in securities) in securities (except for the excluded
securities referred to below) as of the end of the Buyer's most recent fiscal year (such amount being calculated in accordance with
Rule 144A) and (ii) the Buyer satisfies the criteria in the category marked below.

	

___

	

Corporation, etc. The Buyer is a corporation
(other than a bank, savings and loan association or similar institution), Massachusetts or similar business trust, partnership, or
charitable organization described in Section 501(c)(3) of the Internal Revenue Code.

	

___

	

Bank. The Buyer (a) is a national bank or
banking institution organized under the laws of any State, 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.

	

___

	

Savings and Loan. The Buyer (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 association or equivalent institution and (b) has an audited net worth of at least $25,000,000 as demonstrated in its latest
annual financial statements.

	

___

	

Broker-Dealer. The Buyer is a dealer registered
pursuant to Section 15 of the Securities Exchange Act of 1934.

	

___

	

Insurance Company. The Buyer 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 or
territory or the District of Columbia.

	

___

	

State or Local Plan. The Buyer 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 Buyer is an employee benefit
plan within the meaning of Section 3(3) of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”)
and is subject to the fiduciary responsibility provisions of ERISA.

	

___

	

Investment Adviser. The Buyer is an investment
adviser registered under the Investment Advisers Act of 1940.

	

___

	

SBIC. The Buyer is a Small Business Investment
Company licensed by the U.S. Small Business Administration under Section 301(c) or (d) of the Small Business Investment Act of
1958.

	

___

	

Business Development Company. The Buyer is a
business development company as defined in Section 202(a)(22) of the Investment Advisers Act of 1940.

	

___

	

Trust Fund. The Buyer is a trust fund whose
trustee is a bank or trust company and whose participants are exclusively (a) plans 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, or (b) employee benefit plans within the meaning of Title I of the Employee Retirement Income Security Act of 1974, but
is not a trust fund that includes as participants individual retirement accounts or H.R. 10 plans.

3.         The term “securities” as used herein does
not include (i) securities of issuers that are affiliated with the Buyer, (ii) securities that are part of an unsold
allotment to or subscription by the Buyer, if the Buyer 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.

4.         For purposes of determining the aggregate amount of
securities owned and/or invested on a discretionary basis by the Buyer, the Buyer used the cost of such securities to the Buyer and
did not include any of the securities referred to in the preceding paragraph. Further, in determining such aggregate amount, the
Buyer may have included securities owned by subsidiaries of the  Buyer,  but only if such subsidiaries are consolidated
with the Buyer in its financial statements prepared in accordance with generally accepted accounting principles and if the
investments of such subsidiaries are managed under the Buyer's direction. However, such securities were not included if the Buyer
is a majority-owned, consolidated subsidiary of another enterprise and the Buyer is not itself a reporting company under the
Securities Exchange Act of 1934.

5.         The Buyer acknowledges that it is familiar with Rule
144A and understands that the seller to it and other parties related to the Certificates are relying and will continue to rely on
the statements made herein because one or more sales to the Buyer may be in reliance on Rule 144A.

	

_____

 Yes

	

_____

 No

	

Will the
Buyer be purchasing the Rule 144A Securities only for the Buyer's own account?

 

6.         If the answer to the foregoing question is
“no”, the Buyer agrees that, in connection with any purchase of securities sold to the Buyer for the account of a third
party (including any separate account) in reliance on Rule 144A, the Buyer will only purchase for the account of a third party
that at the time is a “qualified institutional buyer” within the meaning of Rule 144A. In addition, the Buyer
agrees that the Buyer will not purchase securities for a third party unless the Buyer has obtained a current representation letter
from such third party or taken other appropriate steps contemplated by Rule 144A to conclude that such third party
independently meets the definition of “qualified institutional buyer” set forth in Rule 144A.

7.         The Buyer 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 Buyer's purchase of
Rule 144A Securities will constitute a reaffirmation of this certification as of the date of such purchase.

	

 

	

 

	

 

	
                                                                        

	

 

	
Print Name of Buyer

	

 

	

 

	

 

	

 

	

 

	
By:                                                                   

	

 

	

 

	

 

	

Name:

	

 

	

Title:

	

 

	

 

	

 

	

 

	

 

	
Date:                                                                

	

 

	

 

	

 

	

 

 

	

 

	

Annex 2 to Exhibit L

QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A

[For Buyers That Are Registered Investment Companies]

The undersigned hereby certifies as follows in connection with the Rule 144A Investment Representation to
which this Certification is attached:

1.         As indicated below, the undersigned is the President,
Chief Financial Officer or Senior Vice President of the Buyer or, if the Buyer is a “qualified institutional buyer” as
that term is defined in Rule 144A under the Securities Act of 1933 (“Rule 144A”) because Buyer is part of a Family of
Investment Companies (as defined below), is such an officer of the Adviser.

2.         In connection with purchases by Buyer, the Buyer is a
“qualified institutional buyer” as defined in SEC Rule 144A because (i) the Buyer is an investment company registered
under the Investment Company Act of 1940, and (ii) as marked below, the Buyer alone, or the Buyer'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 Buyer's most
recent fiscal year. For purposes of determining the amount of securities owned by the Buyer or the Buyer's Family of Investment
Companies, the cost of such securities was used.

	

____

	

The Buyer owned $___________________ in securities (other than the excluded securities referred to below) as of
the end of the Buyer's most recent fiscal year (such amount being calculated in accordance with Rule 144A).

	

____

	

The Buyer 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 Buyer'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).

4.         The term “securities” as used herein does
not include (i) securities of issuers that are affiliated with the Buyer or are part of the Buyer'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.

5.         The Buyer is familiar with Rule 144A and understands
that each of the parties to which this certification is made are relying and will continue to rely on the statements made herein
because one or more sales to the Buyer will be in reliance on Rule 144A. In addition, the Buyer will only purchase for the Buyer's
own account.

6.         The undersigned will notify each of the parties to
which this certification is made of any changes in the information and conclusions herein. Until such notice, the Buyer's purchase
of Rule 144A Securities will constitute a reaffirmation of this certification by the undersigned as of the date of such
purchase.

	

 

	

 

	

 

	
                                                                        

	

 

	
Print Name of Buyer

	

 

	

 

	

 

	
By:                                                                   

	

 

	

 

	

 

	

Name:

	

 

	

Title:

	

 

	

 

	

 

	
Date:                                                                

	

 

	

 

	

 

	

 

	

 

	
IF AN ADVISER:

	

 

	

 

	

 

	
                                                                        

	

 

	
Print Name of Buyer

	

 

	

 

	

 

	
By:                                                                   

	

 

	

 

	

 

	

Name:

	

 

	

Title:

	

 

	

 

	
 (SEAL)

	
Date:                                                                

 

	

 

	

Exhibit M

 

[Date]

[Company]

	

Re:

	

Pooling and Servicing Agreement dated as of June 1, 2005 by and among Washington Mutual Mortgage Securities
Corp., as Depositor, Washington Mutual Bank, as Servicer, LaSalle Bank National Association, as Trustee, and Christiana Bank &
Trust Company, as Delaware trustee, relating to Washington Mutual Mortgage Pass-Through Certificates, Series
2005-5

Ladies and Gentlemen:

In accordance with Section 2.07 of the above-captioned Pooling and Servicing Agreement, the undersigned,
as [Trustee] [Initial Custodian], hereby certifies that, except as noted on the attachment hereto, as to each Mortgage Loan listed
in the Mortgage Loan Schedule (other than any Mortgage Loan paid in full or listed on the attachment hereto) it has reviewed the
documents delivered to it pursuant to Section 2.05 of the Pooling and Servicing Agreement and has determined that (i) all documents
required (in the case of instruments described in clauses (X)(iv) and (Y)(ix) of the definition of “Mortgage File,”
known by it to be required) pursuant to the definition of “Mortgage File” and Section 2.05 of the Pooling and Servicing
Agreement to have been executed and received as of the date hereof are in its possession and (ii) all such  documents have
been executed and relate to the Mortgage Loans identified in the Mortgage Loan Schedule. The [Trustee] [Initial Custodian] has made
no independent examination of such documents beyond the review specifically required in the above referenced Pooling and Servicing
Agreement and has relied upon the purported genuineness and due execution of any such documents and upon the purported genuineness
of any signature thereon. The [Trustee] [Initial Custodian] makes no representations as to: (i) the validity, legality,
enforceability or genuineness of any of the documents contained in each Mortgage File or any of the Mortgage Loans identified on
the Mortgage Loan Schedule, or (ii) the collectability, insurability, effectiveness or suitability of any such Mortgage
Loan.

Capitalized words and phrases used herein shall have the respective meanings assigned to them in the
above-captioned Pooling and Servicing Agreement.

	

 

	
                                                                        

	

 

	
as [Trustee] [Initial
Custodian]

	

 

	

 

	

 

	
By:                                                                   

	

 

	

 

	

 

	

Name:

	

 

	

Title:

	

 

	

 

	

 

	

 

	

 

	

 

 

	

 

	

Exhibit N

 

BENEFIT PLAN AFFIDAVIT

	

LaSalle Bank
National Association, as Trustee (the “Trustee”)

	

135 South
LaSalle Street, Suite 1625

	

Chicago,
Illinois, 60603

	

Attention: Global Securitization Trust Services

	

Washington MutualMortgage Securities Corp. (“Washington Mutual”)

	

75 North
Fairway Drive

	

Vernon Hills, IL  60061

	

RE:

	

CLASS [B-4] [B-5] [B-6] CERTIFICATES (THE “PURCHASED CERTIFICATES”) ISSUED BY WASHINGTON MUTUAL
MORTGAGE PASS-THROUGH CERTIFICATES WMALT SERIES 2005-5 TRUST (THE “TRUST”)

Under penalties of perjury, I, _____________________, declare that, to the best of my knowledge and
belief, the following representations are true, correct and complete; and

1.         That I am the _______________ of __________________
(the “Purchaser”), whose taxpayer identification number is  ___________, and on behalf of which I have the
authority to make this affidavit.

2.         That the Purchaser is acquiring a Purchased Certificate
representing an interest in the assets of the Trust.

3.         That the Purchaser satisfies the condition in the
paragraph marked below [mark one paragraph only]:

	

___

	

The Purchaser is not an employee benefit plan or other plan subject to the prohibited transaction provisions of
the Employee Retirement Income Security Act of 1974, as amended, or Section 4975 of the Internal Revenue Code of 1986, as amended
(a “Plan”), or any other person (including an investment manager, a named fiduciary or a trustee of any Plan) acting,
directly or indirectly, on behalf of, or purchasing any of the Purchased Certificates with “plan assets” of, any Plan
within the meaning of the Department of Labor (“DOL”) regulation at 29 C.F.R. Section 2510.3-101.

	

___

	

The Purchaser is an insurance company, the source of funds to be used by it to acquire or hold the Purchased
Certificate is an “insurance company general account” (within the meaning of DOL Prohibited Transaction Class Exemption
(“PTCE”) 95-60), and the conditions in Sections I and III of PTCE 95-60 have been satisfied.

	

___

	

The Purchaser has delivered to Washington Mutual and the Trustee a Benefit Plan Opinion (as defined in Section
1.01 of the Pooling and Servicing Agreement, dated as of June 1, 2005, by and among Washington Mutual, the Servicer, the Trustee
and the Delaware Trustee thereunder, and relating to the Trust).

 

IN WITNESS WHEREOF, the Purchaser has caused this instrument to be duly
executed on its behalf, by its duly authorized officer this _____ day of __________________, 20__.

	

[Purchaser]

	

By:
                                                     

 Its:

 

Personally appeared before me
______________________, known or proved to me to be the same person who executed the foregoing instrument and to be a
________________ of the Purchaser, and acknowledged to me that (s)he executed the same as his/her free act and deed and as the free
act and deed of the Purchaser.

	

SUBSCRIBED and SWORN to before me this day of ____________, 20__.

	

                                                                                         

	
Notary Public

 

	

 

	

Exhibit O

 

BENEFIT PLAN AFFIDAVIT

	

LaSalle Bank
National Association, as Trustee (the “Trustee”)

	

135 South
LaSalle Street, Suite 1625

	

Chicago,
Illinois, 60603

	

Attention: Global Securitization Trust Services

	

Washington
Mutual Mortgage Securities Corp. (“Washington Mutual”)

	

75 North
Fairway Drive

	

Vernon Hills, IL  60061

	

RE:

	

CLASS [B-1] [B-2] [B-3] CERTIFICATES (THE “PURCHASED
CERTIFICATES”) ISSUED BY WASHINGTON MUTUAL MORTGAGE PASS-THROUGH CERTIFICATES WMALT SERIES 2005-5 TRUST (THE
“TRUST”)

Under penalties of perjury, I, _____________________, declare that, to the best of my knowledge and
belief, the following representations are true, correct and complete; and

1.         That I am the _______________ of __________________
(the “Purchaser”), whose taxpayer identification number is  ___________, and on behalf of which I have the
authority to make this affidavit.

2.         That the Purchaser is acquiring a Purchased Certificate
representing an interest in the assets of the Trust.

3.         That the Purchaser satisfies the condition in the
paragraph marked below [mark one paragraph only]:

	

___

	

The Purchaser is not an employee benefit or other plan subject to the prohibited transaction provisions of the
Employee Retirement Income Security Act of 1974, as amended (“ERISA”), or Section 4975 of the Internal Revenue Code of
1986, as amended (a “Plan”), or any other person (including an investment manager, a named fiduciary or a trustee of
any such Plan) acting, directly or indirectly, on behalf of or purchasing the Purchased Certificate with “plan assets”
of, any Plan within the meaning of the Department of Labor (“DOL”) regulation at 29 C.F.R. Section
2510.3-101.

	

___

	

The Purchaser is an insurance company, the source of funds to be used by it to acquire or hold the Purchased
Certificate is an “insurance company general account” (within the meaning of DOL Prohibited Transaction Class Exemption
(“PTCE”) 95-60), and the conditions in Sections I and III of PTCE 95-60 have been satisfied.

	

___

	

The Purchased Certificate was rated “BBB-” or better (or its equivalent) by at least one of the
Rating Agencies (as defined in Section 1.01 of the Pooling and Servicing Agreement (the “the Pooling and Servicing
Agreement”), dated as of June 1, 2005, by and among Washington Mutual, the Servicer, the Trustee and the Delaware Trustee
thereunder, and relating to the Trust) at the time of Purchaser’s acquisition of the Purchased Certificate (or interest
therein).

	

___

	

The Purchaser has delivered to Washington Mutual and the Trustee a Benefit Plan Opinion (as defined in Section
1.01 of the Pooling and Servicing Agreement).

IN WITNESS WHEREOF, the Purchaser has caused this instrument to be duly executed on its behalf, by its
duly authorized officer this _____ day of __________________, 20__.

	
            [Purchaser]

	
 

	
 

	
 

	
 

	
 

	
By:                                                                  

	
 

	
Its:

	
 

 

Personally
appeared before me ______________________, known or proved to me to be the same person who executed the foregoing instrument and to
be a ________________ of the Purchaser, and acknowledged to me that (s)he executed the same as his/her free act and deed and as the
free act and deed of the Purchaser.

	

SUBSCRIBED and SWORN to before me this day of ____________, 20__.

	

                                                                                         

	

Notary Public<PDF>
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