MORGAN STANLEY CAPITAL I INC. ABS-15G

Exhibit 99.4 Schedule 3

 

Client Name:  
Client Project Name: MSRM 2025-DSC2
Start - End Dates: 5/1/2024 - 5/31/2025
Deal Loan Count: 224
   
       
Loan Level Tape Compare Upload  
       
Loans in Report 224

 

Loan Number Borrower Last Name Field Name Tape Data Reviewer Data
8148628 XXXXXX Cash Reserves XXXXXX XXXXXX
8148628 XXXXXX Months Reserves 11.00 11.02
8148628 XXXXXX Total Cash Out XXXXXX XXXXXX
8997680 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9104544 XXXXXX Borrower DSCR Percent 1.5173 1.6318
9104544 XXXXXX Representative Credit Score for Grading 773 781
9104549 XXXXXX Cash Reserves XXXXXX XXXXXX
9104549 XXXXXX Months Reserves 7.00 24.39
9104549 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9104549 XXXXXX Total Cash Out XXXXXX XXXXXX
9042398 XXXXXX Cash Reserves XXXXXX XXXXXX
9042398 XXXXXX Months Reserves 11.00 11.16
9042398 XXXXXX Total Cash Out XXXXXX XXXXXX
9104564 XXXXXX Cash Reserves XXXXXX XXXXXX
9104564 XXXXXX Months Reserves 16.00 8.46
9104564 XXXXXX Total Cash Out XXXXXX XXXXXX
9104569 XXXXXX Total Cash Out XXXXXX XXXXXX
9158357 XXXXXX Cash Reserves XXXXXX XXXXXX
9158357 XXXXXX Combined LTV 47.99 50.00
9158357 XXXXXX Months Reserves 10.00 10.09
9158357 XXXXXX Total Cash Out XXXXXX XXXXXX
9104591 XXXXXX Cash Reserves XXXXXX XXXXXX
9104591 XXXXXX Months Reserves 3.00 4.14
9104591 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9104591 XXXXXX Total Cash Out XXXXXX XXXXXX
9104592 XXXXXX Total Cash Out XXXXXX XXXXXX
9104596 XXXXXX Cash Reserves XXXXXX XXXXXX
9104596 XXXXXX Months Reserves 2.00 4.64
9104596 XXXXXX Total Cash Out XXXXXX XXXXXX
9104598 XXXXXX Borrower 2 First Name XXXXXX XXXXXX
9104598 XXXXXX Original Appraised Value XXXXXX XXXXXX
9104601 XXXXXX Cash Reserves XXXXXX XXXXXX
9104601 XXXXXX Credit Report Date XXXXXX XXXXXX
9104601 XXXXXX Months Reserves 9.00 8.15
9104601 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9104601 XXXXXX Total Cash Out XXXXXX XXXXXX
9104619 XXXXXX Cash Reserves XXXXXX XXXXXX
9104619 XXXXXX Combined LTV 76.92 80.00
9104619 XXXXXX Months Reserves 126.00 126.19
9104619 XXXXXX Total Cash Out XXXXXX XXXXXX
9104625 XXXXXX Cash Reserves XXXXXX XXXXXX
9104625 XXXXXX Months Reserves 6.00 6.37
9104625 XXXXXX Total Cash Out XXXXXX XXXXXX
9104629 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9104629 XXXXXX Total Cash Out XXXXXX XXXXXX
9104637 XXXXXX Cash Reserves XXXXXX XXXXXX
9104637 XXXXXX Credit Report Date XXXXXX XXXXXX
9104637 XXXXXX Months Reserves 6.00 26.31
9104637 XXXXXX Total Cash Out XXXXXX XXXXXX
9104641 XXXXXX Borrower DSCR Percent 1.9705 1.5765
9104641 XXXXXX Total Cash Out XXXXXX XXXXXX
9158362 XXXXXX Cash Reserves XXXXXX XXXXXX
9158362 XXXXXX Credit Report Date XXXXXX XXXXXX
9158362 XXXXXX Months Reserves 148.00 148.42
9158362 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9158362 XXXXXX Total Cash Out XXXXXX XXXXXX
9104672 XXXXXX Cash Reserves XXXXXX XXXXXX
9104672 XXXXXX Months Reserves 466.00 468.30
9104672 XXXXXX Total Cash Out XXXXXX XXXXXX
9104687 XXXXXX Borrower DSCR Percent 1.1905 1.0308
9104695 XXXXXX Cash Reserves XXXXXX XXXXXX
9104695 XXXXXX Months Reserves 41.00 5.89
9104695 XXXXXX Total Cash Out XXXXXX XXXXXX
9104705 XXXXXX Cash Reserves XXXXXX XXXXXX
9104705 XXXXXX Months Reserves 4.00 3.81
9104705 XXXXXX Total Cash Out XXXXXX XXXXXX
9104706 XXXXXX Cash Reserves XXXXXX XXXXXX
9104706 XXXXXX Months Reserves 19.00 9.02
9104706 XXXXXX Property Type SFR Rowhouse
9104706 XXXXXX Total Cash Out XXXXXX XXXXXX
9104709 XXXXXX Cash Reserves XXXXXX XXXXXX
9104709 XXXXXX Disbursement Date XXXXXX XXXXXX
9104709 XXXXXX Months Reserves 11.00 10.82
9104709 XXXXXX Total Cash Out XXXXXX XXXXXX
9104714 XXXXXX Cash Reserves XXXXXX XXXXXX
9104714 XXXXXX Months Reserves 34.00 33.54
9104714 XXXXXX Total Cash Out XXXXXX XXXXXX
9104719 XXXXXX Cash Reserves XXXXXX XXXXXX
9104719 XXXXXX Months Reserves 6.00 120.03
9104719 XXXXXX Total Cash Out XXXXXX XXXXXX
9104721 XXXXXX Cash Reserves XXXXXX XXXXXX
9104721 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9104721 XXXXXX Total Cash Out XXXXXX XXXXXX
9158365 XXXXXX Disbursement Date XXXXXX XXXXXX
9158365 XXXXXX Months Reserves 61.00 72.15
9137744 XXXXXX Borrower DSCR Percent 1.0390 0.9217
9137744 XXXXXX First Payment Date XXXXXX XXXXXX
9137744 XXXXXX Maturity Date XXXXXX XXXXXX
9137745 XXXXXX Property Type SFR SFR-Attached
9104738 XXXXXX Cash Reserves XXXXXX XXXXXX
9104738 XXXXXX Credit Report Date XXXXXX XXXXXX
9104738 XXXXXX Months Reserves 12.00 11.87
9104738 XXXXXX Total Cash Out XXXXXX XXXXXX
9104739 XXXXXX Total Cash Out XXXXXX XXXXXX
9104740 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9104746 XXXXXX Borrower 2 First Name XXXXXX XXXXXX
9104746 XXXXXX Min Number XXXXXX XXXXXX
9104746 XXXXXX Total Cash Out XXXXXX XXXXXX
9104751 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9104765 XXXXXX Total Cash Out XXXXXX XXXXXX
9104769 XXXXXX Cash Reserves XXXXXX XXXXXX
9104769 XXXXXX Combined LTV 75.43 80.00
9104769 XXXXXX Months Reserves 7.00 7.02
9104769 XXXXXX Total Cash Out XXXXXX XXXXXX
9137750 XXXXXX Cash Reserves XXXXXX XXXXXX
9137750 XXXXXX Combined LTV 72.89 75.00
9137750 XXXXXX Min Number XXXXXX XXXXXX
9137750 XXXXXX Months Reserves 3.00 5.96
9137750 XXXXXX Total Cash Out XXXXXX XXXXXX
9104772 XXXXXX Borrower DSCR Percent 1.3619 1.2339
9104772 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9104772 XXXXXX Product Type 30 Yr Fixed 30 Yr Fixed Interest Only
9104772 XXXXXX Total Cash Out XXXXXX XXXXXX
9104776 XXXXXX Cash Reserves XXXXXX XXXXXX
9104776 XXXXXX Product Type 30 Yr Fixed 30 Yr Fixed Interest Only
9104778 XXXXXX Cash Reserves XXXXXX XXXXXX
9104778 XXXXXX Months Reserves 14.00 6.56
9104778 XXXXXX Total Cash Out XXXXXX XXXXXX
9104785 XXXXXX Property Type Detached PUD Rowhouse
9104787 XXXXXX Cash Reserves XXXXXX XXXXXX
9104787 XXXXXX Months Reserves 5.00 4.51
9104787 XXXXXX Total Cash Out XXXXXX XXXXXX
9104796 XXXXXX Cash Reserves XXXXXX XXXXXX
9104796 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9104797 XXXXXX Cash Reserves XXXXXX XXXXXX
9104797 XXXXXX Combined LTV 61.77 75.00
9104797 XXXXXX Months Reserves 8.00 8.19
9104797 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9104797 XXXXXX Total Cash Out XXXXXX XXXXXX
9104813 XXXXXX Cash Reserves XXXXXX XXXXXX
9104813 XXXXXX Months Reserves 152.00 88.59
9104813 XXXXXX Total Cash Out XXXXXX XXXXXX
9104841 XXXXXX Cash Reserves XXXXXX XXXXXX
9104841 XXXXXX Months Reserves 19.00 17.97
9104841 XXXXXX Total Cash Out XXXXXX XXXXXX
9137765 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9158375 XXXXXX Cash Reserves XXXXXX XXXXXX
9158375 XXXXXX Disbursement Date XXXXXX XXXXXX
9158375 XXXXXX Months Reserves 63.00 34.94
9158375 XXXXXX Total Cash Out XXXXXX XXXXXX
9104852 XXXXXX Total Cash Out XXXXXX XXXXXX
9137769 XXXXXX Cash Reserves XXXXXX XXXXXX
9137769 XXXXXX Months Reserves 9.00 8.84
9137769 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9137769 XXXXXX Total Cash Out XXXXXX XXXXXX
9104857 XXXXXX Total Cash Out XXXXXX XXXXXX
9158378 XXXXXX Cash Reserves XXXXXX XXXXXX
9158378 XXXXXX Months Reserves 8.00 8.38
9158378 XXXXXX Total Cash Out XXXXXX XXXXXX
9158381 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9137787 XXXXXX Borrower 1 Self Employed Flag Yes No
9137791 XXXXXX Cash Reserves XXXXXX XXXXXX
9137791 XXXXXX Combined LTV 77.71 80.00
9137791 XXXXXX Months Reserves 8.00 7.30
9137791 XXXXXX Total Cash Out XXXXXX XXXXXX
9137792 XXXXXX Cash Reserves XXXXXX XXXXXX
9137792 XXXXXX Combined LTV 60.53 75.00
9137792 XXXXXX Months Reserves 4.00 3.62
9137792 XXXXXX Next Payment Change Date XXXXXX XXXXXX
9137792 XXXXXX Product Type 7/1 ARM 7/6 ARM
9137792 XXXXXX Total Cash Out XXXXXX XXXXXX
9137808 XXXXXX Cash Reserves XXXXXX XXXXXX
9137808 XXXXXX Credit Report Date XXXXXX XXXXXX
9137808 XXXXXX Months Reserves 71.00 71.09
9137808 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9137808 XXXXXX Total Cash Out XXXXXX XXXXXX
9137809 XXXXXX Cash Reserves XXXXXX XXXXXX
9137809 XXXXXX Months Reserves 47.00 46.73
9137809 XXXXXX Total Cash Out XXXXXX XXXXXX
9137815 XXXXXX Cash Reserves XXXXXX XXXXXX
9137815 XXXXXX Combined LTV 71.17 80.00
9137815 XXXXXX Months Reserves 2.00 3.07
9137815 XXXXXX Total Cash Out XXXXXX XXXXXX
9137824 XXXXXX Cash Reserves XXXXXX XXXXXX
9137824 XXXXXX Combined LTV 66.83 80.00
9137824 XXXXXX Months Reserves 3.00 17.12
9137824 XXXXXX Property Type Detached PUD Attached PUD
9137824 XXXXXX Total Cash Out XXXXXX XXXXXX
9137833 XXXXXX Disbursement Date XXXXXX XXXXXX
9137833 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9137835 XXXXXX Borrower 1 Self Employed Flag Yes No
9137835 XXXXXX Cash Reserves XXXXXX XXXXXX
9137835 XXXXXX Disbursement Date XXXXXX XXXXXX
9137835 XXXXXX Months Reserves 1.00 1.01
9137835 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9137835 XXXXXX Total Cash Out XXXXXX XXXXXX
9158428 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9158428 XXXXXX Total Cash Out XXXXXX XXXXXX
9137852 XXXXXX Total Cash Out XXXXXX XXXXXX
9158430 XXXXXX Cash Reserves XXXXXX XXXXXX
9158430 XXXXXX Months Reserves 44.00 44.09
9158430 XXXXXX Property Type Detached PUD Attached PUD
9158430 XXXXXX Total Cash Out XXXXXX XXXXXX
9158433 XXXXXX Cash Reserves XXXXXX XXXXXX
9158433 XXXXXX Months Reserves 55.00 5.75
9158433 XXXXXX Original P&I XXXXXX XXXXXX
9158433 XXXXXX Total Cash Out XXXXXX XXXXXX
9137860 XXXXXX Cash Reserves XXXXXX XXXXXX
9137860 XXXXXX Months Reserves 1.00 0.65
9137860 XXXXXX Total Cash Out XXXXXX XXXXXX
9137861 XXXXXX Credit Report Date XXXXXX XXXXXX
9137873 XXXXXX Cash Reserves XXXXXX XXXXXX
9137873 XXXXXX Combined LTV 62.41 79.00
9137873 XXXXXX Months Reserves 9.00 3.81
9137873 XXXXXX Total Cash Out XXXXXX XXXXXX
9158444 XXXXXX Cash Reserves XXXXXX XXXXXX
9158444 XXXXXX Credit Report Date XXXXXX XXXXXX
9158444 XXXXXX Months Reserves 14.00 17.23
9158444 XXXXXX Total Cash Out XXXXXX XXXXXX
9158447 XXXXXX Cash Reserves XXXXXX XXXXXX
9158447 XXXXXX Months Reserves 81.00 103.64
9158447 XXXXXX Total Cash Out XXXXXX XXXXXX
9158450 XXXXXX Combined LTV 59.60 64.31
9158450 XXXXXX Original LTV 59.60 64.31
9137886 XXXXXX Total Cash Out XXXXXX XXXXXX
9137888 XXXXXX Cash Reserves XXXXXX XXXXXX
9137888 XXXXXX Combined LTV 66.59 70.00
9137888 XXXXXX Months Reserves 49.00 48.99
9137888 XXXXXX Total Cash Out XXXXXX XXXXXX
9137890 XXXXXX Total Cash Out XXXXXX XXXXXX
9158459 XXXXXX Cash Reserves XXXXXX XXXXXX
9158459 XXXXXX Months Reserves 12.00 11.03
9158459 XXXXXX Total Cash Out XXXXXX XXXXXX
9158461 XXXXXX Cash Reserves XXXXXX XXXXXX
9158461 XXXXXX Months Reserves 22.00 3.52
9158461 XXXXXX Total Cash Out XXXXXX XXXXXX
9158471 XXXXXX Cash Reserves XXXXXX XXXXXX
9158471 XXXXXX Combined LTV 71.96 75.00
9158471 XXXXXX Months Reserves 8.00 8.25
9158471 XXXXXX Total Cash Out XXXXXX XXXXXX
9158472 XXXXXX Cash Reserves XXXXXX XXXXXX
9158472 XXXXXX Credit Report Date XXXXXX XXXXXX
9158472 XXXXXX Months Reserves 103.00 0.00
9158472 XXXXXX Property Type Detached PUD Attached PUD
9158485 XXXXXX Borrower 1 Self Employed Flag Yes No
9158485 XXXXXX Borrower 1 Total Income 6500.00 0.00
9158485 XXXXXX Debt to Income Ratio (Back) 56.6900 0.0000
9158485 XXXXXX Total Monthly Income 6500.00 0.00
9158487 XXXXXX Cash Reserves XXXXXX XXXXXX
9158487 XXXXXX Combined LTV 69.94 75.00
9158487 XXXXXX Months Reserves 40.00 15.02
9158487 XXXXXX Total Cash Out XXXXXX XXXXXX
9158502 XXXXXX Cash Reserves XXXXXX XXXXXX
9158502 XXXXXX Credit Report Date XXXXXX XXXXXX
9158502 XXXXXX Months Reserves 42.00 45.55
9158502 XXXXXX Total Cash Out XXXXXX XXXXXX
9158505 XXXXXX Cash Reserves XXXXXX XXXXXX
9158505 XXXXXX Combined LTV 70.72 75.00
9158505 XXXXXX Months Reserves 16.00 15.57
9158505 XXXXXX Total Cash Out XXXXXX XXXXXX
9158508 XXXXXX Cash Reserves XXXXXX XXXXXX
9158508 XXXXXX Total Cash Out XXXXXX XXXXXX
9158513 XXXXXX Cash Reserves XXXXXX XXXXXX
9158513 XXXXXX Months Reserves 9.00 4.00
9158513 XXXXXX Total Cash Out XXXXXX XXXXXX
9158535 XXXXXX Cash Reserves XXXXXX XXXXXX
9158535 XXXXXX Months Reserves 11.00 95.15
9158535 XXXXXX Total Cash Out XXXXXX XXXXXX
9158542 XXXXXX Combined LTV 42.74 48.54
9158542 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9158542 XXXXXX Total Cash Out XXXXXX XXXXXX
9158544 XXXXXX Credit Report Date XXXXXX XXXXXX
9158544 XXXXXX Next Payment Change Date XXXXXX XXXXXX
9158544 XXXXXX Product Type 7/1 ARM 7/6 ARM
9158547 XXXXXX Total Cash Out XXXXXX XXXXXX
9158558 XXXXXX Cash Reserves XXXXXX XXXXXX
9158558 XXXXXX Combined LTV 65.71 74.68
9158558 XXXXXX Months Reserves 118.00 13.94
9158558 XXXXXX Total Cash Out XXXXXX XXXXXX
9158568 XXXXXX Cash Reserves XXXXXX XXXXXX
9158568 XXXXXX Months Reserves '-162.00 20.58
9158568 XXXXXX Property Type Detached PUD Attached PUD
9158593 XXXXXX Cash Reserves XXXXXX XXXXXX
9158593 XXXXXX Months Reserves 23.00 21.69
9158593 XXXXXX Origination Date XXXXXX XXXXXX
9158593 XXXXXX Total Cash Out XXXXXX XXXXXX
9101409 XXXXXX Disbursement Date XXXXXX XXXXXX
9031876 XXXXXX Disbursement Date XXXXXX XXXXXX
9031876 XXXXXX Total Cash Out XXXXXX XXXXXX
8999150 XXXXXX Total Cash Out XXXXXX XXXXXX
9101447 XXXXXX Total Cash Out XXXXXX XXXXXX
9031945 XXXXXX Number of Units 1 2
9031945 XXXXXX Property Type SFR 2 Family
9031945 XXXXXX Total Cash Out XXXXXX XXXXXX
9031907 XXXXXX Disbursement Date XXXXXX XXXXXX
9031907 XXXXXX Total Cash Out XXXXXX XXXXXX
9036013 XXXXXX Disbursement Date XXXXXX XXXXXX
9067343 XXXXXX Borrower 1 SSN XXXXXX XXXXXX
9067343 XXXXXX Disbursement Date XXXXXX XXXXXX
9067343 XXXXXX Property Type SFR SFR-Attached
9101361 XXXXXX Total Cash Out XXXXXX XXXXXX
9067404 XXXXXX Total Cash Out XXXXXX XXXXXX
9067327 XXXXXX Total Cash Out XXXXXX XXXXXX
9067359 XXXXXX Total Cash Out XXXXXX XXXXXX
9067374 XXXXXX Disbursement Date XXXXXX XXXXXX
9067380 XXXXXX Total Cash Out XXXXXX XXXXXX
9101378 XXXXXX Property Type Low Rise Condo (1-4) Mid Rise Condo  (5-8)
9067347 XXXXXX Disbursement Date XXXXXX XXXXXX
9067347 XXXXXX Original Appraised Value XXXXXX XXXXXX
9067355 XXXXXX Disbursement Date XXXXXX XXXXXX
9067355 XXXXXX Total Cash Out XXXXXX XXXXXX
9067391 XXXXXX Borrower DSCR Percent 1.2100 1.4983
9101363 XXXXXX Cash Reserves XXXXXX XXXXXX
9101363 XXXXXX Months Reserves 95.00 67.45
9101386 XXXXXX Total Cash Out XXXXXX XXXXXX
9101430 XXXXXX Total Cash Out XXXXXX XXXXXX
9101380 XXXXXX Total Cash Out XXXXXX XXXXXX
9101404 XXXXXX Cash Reserves XXXXXX XXXXXX
9101404 XXXXXX Months Reserves 63.00 8.45
9101404 XXXXXX Property Type Low Rise Condo (1-4) Mid Rise Condo  (5-8)
9101387 XXXXXX Cash Reserves XXXXXX XXXXXX
9101387 XXXXXX Months Reserves 383.00 430.77
9101400 XXXXXX Disbursement Date XXXXXX XXXXXX
9101433 XXXXXX Disbursement Date XXXXXX XXXXXX
9101466 XXXXXX Cash Reserves XXXXXX XXXXXX
9101466 XXXXXX Months Reserves 39.00 10.08
9101466 XXXXXX Total Cash Out XXXXXX XXXXXX
9101368 XXXXXX Total Cash Out XXXXXX XXXXXX
9101438 XXXXXX Disbursement Date XXXXXX XXXXXX
9101445 XXXXXX Cash Reserves XXXXXX XXXXXX
9101445 XXXXXX Months Reserves 211.00 203.89
9101458 XXXXXX Disbursement Date XXXXXX XXXXXX
9101458 XXXXXX Total Cash Out XXXXXX XXXXXX
9101439 XXXXXX Disbursement Date XXXXXX XXXXXX
9101370 XXXXXX Total Cash Out XXXXXX XXXXXX
9101453 XXXXXX Total Cash Out XXXXXX XXXXXX
9101399 XXXXXX Disbursement Date XXXXXX XXXXXX
9101431 XXXXXX Disbursement Date XXXXXX XXXXXX
9101413 XXXXXX Disbursement Date XXXXXX XXXXXX
9101413 XXXXXX Total Cash Out XXXXXX XXXXXX
9101450 XXXXXX Cash Reserves XXXXXX XXXXXX
9101450 XXXXXX Months Reserves 124.00 107.18
9101390 XXXXXX Cash Reserves XXXXXX XXXXXX
9101390 XXXXXX Months Reserves 31.00 12.14
9101390 XXXXXX Total Cash Out XXXXXX XXXXXX
9101423 XXXXXX Disbursement Date XXXXXX XXXXXX
9104869 XXXXXX Cash Reserves XXXXXX XXXXXX
9104869 XXXXXX Months Reserves 112.00 111.82
9104869 XXXXXX Total Cash Out XXXXXX XXXXXX
9104873 XXXXXX Cash Reserves XXXXXX XXXXXX
9104873 XXXXXX Months Reserves 216.00 204.67
9104873 XXXXXX Total Cash Out XXXXXX XXXXXX
9104876 XXXXXX Cash Reserves XXXXXX XXXXXX
9104876 XXXXXX Months Reserves 19.00 26.74
9104876 XXXXXX Total Cash Out XXXXXX XXXXXX
9104877 XXXXXX Cash Reserves XXXXXX XXXXXX
9104877 XXXXXX Months Reserves 171.00 171.42
9104877 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9104877 XXXXXX Total Cash Out XXXXXX XXXXXX
9104878 XXXXXX Cash Reserves XXXXXX XXXXXX
9104878 XXXXXX Months Reserves 3.00 3.87
9104878 XXXXXX Total Cash Out XXXXXX XXXXXX
9158603 XXXXXX Cash Reserves XXXXXX XXXXXX
9158603 XXXXXX Months Reserves 9.00 7.76
9158603 XXXXXX Total Cash Out XXXXXX XXXXXX