Common use of PCT Clause in Contracts

PCT. Range of Principal of Principal Avg. Avg. Full Margins Count Balance Total Balance Coupon CLTV Doc --------------- ----- ------------- ----- ---------- ------ ----- ----- 0.00 - 3.99 10 1,473,802.59 0.61 147,380.26 9.27 80.49 64.42 4.00 - 4.99 86 9,626,117.65 3.96 111,931.60 9 76.58 89.86 5.00 - 5.99 700 71,159,741.41 29.31 101,656.77 9.39 76.55 84.39 6.00 - 6.99 1,045 85,097,755.46 35.05 81,433.26 10.14 76 82.64 7.00 - 7.99 798 54,367,025.07 22.39 68,129.10 10.87 73.48 81.4 8.00 - 8.99 319 17,713,584.82 7.3 55,528.48 11.79 70.31 78.45 9.00 - 9.99 59 3,290,676.97 1.36 55,774.19 12.87 67.69 70.74 10.00 - 10.99 3 75,113.13 0.03 25,037.71 14.19 55.81 72.85 ----- -------------- ----- ---------- ----- ----- ----- Total: 3,020 242,803,817.10 100 80,398.61 10.19 75.11 82.58 ===== ============== ===== ========== ===== ===== ===== Min: 0.000 Max: 10.750 Weighted Average: 6.510 NOTE: Percentage may not add to 100.00% due to rounding. This Preliminary Term Sheet is provided for information purposes only, and does not constitute an offer to sell, nor a solicitation of an offer to buy, the referenced securities. It does not purport to be all-inclusive or to contain all of the information that a prospective investor may require to make a full analysis of the transaction. All amounts are approximate and subject to change. The information contained herein supersedes information contained in any prior information term sheet for this transaction. In addition, the information contained herein may be superseded by information contained in term sheets circulated after the date hereof and is qualified in its entirety by information contained in the Prospectus Supplement for this transaction. An offering may only be made through the delivery of a Prospectus Supplement and the related Prospectus. GREENWICH CAPITAL MARKETS, INC. ContiMortgage Home Equity Loan Trust 1997-3 ARM -------------------------------------------------------------------------------------------------------------------------------- Initial Outstanding Pct. Average Wtd. Wtd. Pct. Periodic Principal of Principal Avg. Avg. Full Cap Count Balance Total Balance Coupon CLTV Doc ----------------- ----- -------------- ----- ---------- ------ ----- ---- 1.000 1,643 128,374,613.77 52.87 78,134.27 9.99 75.11 81.9 1.250 1 104,949.75 0.04 104,949.75 9.63 70 100 1.500 4 268,605.31 0.11 67,151.33 10.58 70.89 66.12 2.000 8 830,867.12 0.34 103,858.39 10.57 80.57 100 2.375 1 102,937.59 0.04 102,937.59 8.5 64.38 100 3.000 1,339 111,241,879.21 45.82 83,078.33 10.4 75.07 83.12 6.000 24 1,879,964.35 0.77 78,331.85 11.26 76.98 89.78 ----- -------------- ----- ---------- ----- ----- ----- Total: 3,020 242,803,817.10 100 80,398.61 10.19 75.11 82.58 ===== ============== ===== ========== ===== ===== ===== Min: 1.000 Max: 6.000 Weighted Average: 1.960

Appears in 1 contract

Sources: Computational Materials Disclaimer (Contisecurities Asset Funding Corp)

PCT. Range of Principal of Principal Avg. Avg. Full Margins Count Balance Total Balance Coupon CLTV Doc --------------- ----- ------------- ----- ---------- ------ ----- ----- 0.00 - 3.99 10 1,473,802.59 0.61 147,380.26 9.27 80.49 64.42 4.00 - 4.99 86 9,626,117.65 3.96 111,931.60 9 76.58 89.86 5.00 - 5.99 700 71,159,741.41 29.31 101,656.77 9.39 76.55 84.39 6.00 - 6.99 1,045 85,097,755.46 35.05 81,433.26 10.14 76 82.64 7.00 - 7.99 798 54,367,025.07 22.39 68,129.10 10.87 73.48 81.4 8.00 - 8.99 319 17,713,584.82 7.3 55,528.48 11.79 70.31 78.45 9.00 - 9.99 59 3,290,676.97 1.36 55,774.19 12.87 67.69 70.74 10.00 - 10.99 3 75,113.13 0.03 25,037.71 14.19 55.81 72.85 ----- -------------- ----- ---------- ----- ----- ----- Total: 3,020 242,803,817.10 100 80,398.61 10.19 75.11 82.58 ===== ============== ===== ========== ===== ===== ===== Min: 0.000 Max: 10.750 Weighted Average: 6.510 NOTE: Percentage may not add to 100.00% due to rounding. -------------------------------------------------------------------------------- This Preliminary Term Sheet is provided for information purposes only, and does not constitute either an offer to sell, nor sell or a solicitation of an offer to buybuy any of the securities referred to herein. Offers to sell and solicitations of offers to buy the securities are made only by, and this information must be read in conjunction with, the referenced securitiesfinal Prospectus Supplement and the related Prospectus or, if not registered under the securities laws, the final Offering Memorandum (the "Offering Document"). It Information contained herein does not purport to be all-inclusive or complete and is subject to contain all the same qualifications and assumptions, and should be considered by investors only in the light of the information that a prospective investor may require to make a full analysis same warnings, lack of assurances and representations and other precautionary matters, as disclosed in the Offering Document. Information regarding the underlying assets has been provided by the issuer of the transaction. All amounts are approximate securities or an affiliate thereof and subject to changehas not been independently verified by ▇▇▇▇▇▇ Brothers Inc. or any affiliate. The information analyses contained herein have been prepared and delivered by ▇▇▇▇▇▇ Brothers Inc. and the contents and accuracy thereof have not been reviewed by the issuer. This information was prepared on the basis of certain assumptions (including, in certain cases, assumptions specified by the recipient hereof) regarding payments, interest rates, weighted average lives, weighted average loan age, losses and other matters, including, but not limited to, the assumptions described in the Offering Document. ▇▇▇▇▇▇ Brothers Inc., and any of its affiliates, make no representation or warranty as to the actual rate or timing of payments on any of the underlying assets or the payments or yield on the securities. This information supersedes information contained in any prior information term sheet for this transaction. In additionversions hereof and will be deemed to be superseded by any subsequent versions (including, with respect to any description of the securities or underlying assets, the information contained herein may be superseded by information contained in term sheets circulated after the date hereof and is qualified in its entirety by information contained in the Prospectus Supplement for this transactionOffering Document). An offering may only be made through the delivery of a Prospectus Supplement and the related Prospectus. GREENWICH CAPITAL MARKETS, INC. -------------------------------------------------------------------------------- ContiMortgage Home Equity Loan Trust 1997-3 ARM -------------------------------------------------------------------------------------------------------------------------------- Initial Outstanding Pct. Average Wtd. Wtd. Pct. Periodic Principal of Principal Avg. Avg. Full Cap Count Balance Total Balance Coupon CLTV Doc ----------------- ----- -------------- ----- ---------- ------ ----- ---- 1.000 1,643 128,374,613.77 52.87 78,134.27 9.99 75.11 81.9 1.250 1 104,949.75 0.04 104,949.75 9.63 70 100 1.500 4 268,605.31 0.11 67,151.33 10.58 70.89 66.12 2.000 8 830,867.12 0.34 103,858.39 10.57 80.57 100 2.375 1 102,937.59 0.04 102,937.59 8.5 64.38 100 3.000 1,339 111,241,879.21 45.82 83,078.33 10.4 75.07 83.12 6.000 24 1,879,964.35 0.77 78,331.85 11.26 76.98 89.78 ----- -------------- ----- ---------- ----- ----- ----- Total: 3,020 242,803,817.10 100 80,398.61 10.19 75.11 82.58 ===== ============== ===== ========== ===== ===== ===== Min: 1.000 Max: 6.000 Weighted Average: 1.960

Appears in 1 contract

Sources: Home Equity Abs (Contisecurities Asset Funding Corp)

PCT. Range of Principal of Principal Avg. Avg. Full Margins Count Balance Total Balance Coupon CLTV Doc --------------- ----- ------------- ----- ---------- ------ ----- ----- 0.00 - 3.99 10 1,473,802.59 0.61 147,380.26 9.27 80.49 64.42 4.00 - 4.99 86 9,626,117.65 3.96 111,931.60 9 76.58 89.86 5.00 - 5.99 700 71,159,741.41 29.31 101,656.77 9.39 76.55 84.39 6.00 - 6.99 1,045 85,097,755.46 35.05 81,433.26 10.14 76 82.64 7.00 - 7.99 798 54,367,025.07 22.39 68,129.10 10.87 73.48 81.4 8.00 - 8.99 319 17,713,584.82 7.3 55,528.48 11.79 70.31 78.45 9.00 - 9.99 59 3,290,676.97 1.36 55,774.19 12.87 67.69 70.74 10.00 - 10.99 3 75,113.13 0.03 25,037.71 14.19 55.81 72.85 ----- -------------- ----- ---------- ----- ----- ----- Total: 3,020 242,803,817.10 100 80,398.61 10.19 75.11 82.58 ===== ============== ===== ========== ===== ===== ===== Min: 0.000 Max: 10.750 Weighted Average: 6.510 -------------------------------------------------------------------------------- NOTE: Percentage Percentages may not add to 100.00% due to rounding. This Preliminary Term Sheet The above analysis is provided for not intended to be a prospectus and any investment decision with respect to the security should be made by you based solely upon all of the information purposes only, and does not contained in the final prospectus. Under no circumstances shall the information presented constitute an offer to sell, nor a sell or the solicitation of an offer to buy, the referenced securities. It does not purport to buy nor shall there be all-inclusive or to contain all any sale of the information that a prospective investor may require securities in any jurisdiction in which such offer, solicitation or sale would be unlawful prior to make a full analysis registration or qualification under the securities laws of the transaction. All amounts are approximate and subject to changesuch jurisdiction. The information contained herein supersedes information contained in any securities may not be sold nor may an offer to buy be accepted prior information term sheet for this transaction. In addition, the information contained herein may be superseded by information contained in term sheets circulated after the date hereof and is qualified in its entirety by information contained in the Prospectus Supplement for this transaction. An offering may only be made through to the delivery of a Prospectus Supplement final prospectus relating to the securities. The above preliminary description of the underlying assets has been provided by the issuer and has not been independently verified by Credit Suisse First Boston. All information described above is preliminary, limited in nature and subject to completion or amendment. Credit Suisse First Boston makes no representations that the related Prospectusabove referenced security will actually perform as described in any scenario presented. GREENWICH CAPITAL MARKETS, INC. [GRAPHIC OMITTED] -------------------------------------------------------------------------------- ContiMortgage Home Equity Loan Trust 1997-3 ARM -------------------------------------------------------------------------------------------------------------------------------- Initial Outstanding Pct. Average Wtd. Wtd. Pct. Periodic Principal of Principal Avg. Avg. Full Cap Count Balance Total Balance Coupon CLTV Doc ----------------- ----- -------------- ----- ---------- ------ ----- ---- 1.000 1,643 128,374,613.77 52.87 78,134.27 9.99 75.11 81.9 1.250 1 104,949.75 0.04 104,949.75 9.63 70 100 1.500 4 268,605.31 0.11 67,151.33 10.58 70.89 66.12 2.000 8 830,867.12 0.34 103,858.39 10.57 80.57 100 2.375 1 102,937.59 0.04 102,937.59 8.5 64.38 100 3.000 1,339 111,241,879.21 45.82 83,078.33 10.4 75.07 83.12 6.000 24 1,879,964.35 0.77 78,331.85 11.26 76.98 89.78 ----- -------------- ----- ---------- ----- ----- ----- Total: 3,020 242,803,817.10 100 80,398.61 10.19 75.11 82.58 ===== ============== ===== ========== ===== ===== ===== Min: 1.000 Max: 6.000 Weighted Average: 1.960

Appears in 1 contract

Sources: Home Equity Abs (Contisecurities Asset Funding Corp)