MORGAN STANLEY CAPITAL I INC. ABS-15G

Exhibit 99.4 - Schedule 3

 

Client Name:  
Client Project Name:  
Start - End Dates: 7/8/2024 - 8/10/2025
Deal Loan Count: 219
   
       
Loan Level Tape Compare Upload  
       
Loans in Report 219
Loan Number Borrower Last Name Field Name Tape Data Reviewer Data
8148625 XXXXXX Cash Reserves XXXXXX XXXXXX
8148625 XXXXXX Months Reserves 16.00 16.05
8148625 XXXXXX Total Cash Out XXXXXX XXXXXX
8148628 XXXXXX Cash Reserves XXXXXX XXXXXX
8148628 XXXXXX Months Reserves 11.00 11.02
8148628 XXXXXX Total Cash Out XXXXXX XXXXXX
9137731 XXXXXX Cash Reserves XXXXXX XXXXXX
9137731 XXXXXX Months Reserves 3.00 4.50
9137731 XXXXXX Next Payment Change Date XXXXXX XXXXXX
9137731 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9137731 XXXXXX Product Type 30 Yr Fixed 7/6 IO ARM
9137731 XXXXXX Total Cash Out XXXXXX XXXXXX
9104579 XXXXXX Cash Reserves XXXXXX XXXXXX
9104579 XXXXXX Combined LTV 63.47 80.00
9104579 XXXXXX Months Reserves 5.00 1.10
9104579 XXXXXX Total Cash Out XXXXXX XXXXXX
9104710 XXXXXX Cash Reserves XXXXXX XXXXXX
9104710 XXXXXX Months Reserves 4.00 3.50
9104710 XXXXXX Number of Units 2 1
9104710 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9104710 XXXXXX Property Type 2 Family SFR
9104710 XXXXXX Total Cash Out XXXXXX XXXXXX
9137744 XXXXXX Borrower DSCR Percent 1.0390 0.9217
9104749 XXXXXX Cash Reserves XXXXXX XXXXXX
9104749 XXXXXX Months Reserves 7.00 6.66
9104749 XXXXXX Total Cash Out XXXXXX XXXXXX
9158396 XXXXXX Cash Reserves XXXXXX XXXXXX
9158396 XXXXXX Months Reserves 7.00 6.42
9158396 XXXXXX Total Cash Out XXXXXX XXXXXX
9158408 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9137856 XXXXXX Cash Reserves XXXXXX XXXXXX
9137856 XXXXXX Combined LTV 66.79 68.85
9137856 XXXXXX Months Reserves '-55.00 19.50
9137856 XXXXXX Original LTV 66.79 68.85
9137857 XXXXXX Cash Reserves XXXXXX XXXXXX
9137857 XXXXXX Debt to Income Ratio (Back) 49.8750 46.4546
9137857 XXXXXX Property Type Detached PUD Attached PUD
9137857 XXXXXX Total Cash Out XXXXXX XXXXXX
9158449 XXXXXX Months Reserves 71.00 56.68
9222012 XXXXXX Cash Reserves XXXXXX XXXXXX
9222012 XXXXXX Combined LTV 77.30 80.00
9222012 XXXXXX Months Reserves 82.00 40.38
9222012 XXXXXX Total Cash Out XXXXXX XXXXXX
9158524 XXXXXX Total Cash Out XXXXXX XXXXXX
9158536 XXXXXX Cash Reserves XXXXXX XXXXXX
9158536 XXXXXX Disbursement Date XXXXXX XXXXXX
9158536 XXXXXX Months Reserves 37.00 36.54
9158536 XXXXXX Total Cash Out XXXXXX XXXXXX
9158566 XXXXXX Borrower 1 Total Income 7190.58 7189.99
9158566 XXXXXX Cash Reserves XXXXXX XXXXXX
9158566 XXXXXX Combined LTV 72.02 75.00
9158566 XXXXXX Months Reserves 1.00 3.37
9158566 XXXXXX Total Cash Out XXXXXX XXXXXX
9158566 XXXXXX Total Monthly Income 9763.60 9763.01
9158572 XXXXXX Combined LTV 73.44 75.81
9158572 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9158572 XXXXXX Total Cash Out XXXXXX XXXXXX
9158579 XXXXXX Borrower DSCR Percent 1.8798 2.0063
9158579 XXXXXX Cash Reserves XXXXXX XXXXXX
9158579 XXXXXX Combined LTV 62.77 80.00
9158579 XXXXXX Months Reserves 14.00 3.40
9158579 XXXXXX Total Cash Out XXXXXX XXXXXX
9158591 XXXXXX Borrower 1 Total Income 105054.88 256893.09
9158591 XXXXXX Debt to Income Ratio (Back) 8.9040 3.5447
9158591 XXXXXX Total Monthly Income 105054.88 256893.09
9222144 XXXXXX Total Cash Out XXXXXX XXXXXX
9222077 XXXXXX Credit Report Date XXXXXX XXXXXX
9158592 XXXXXX Borrower 1 Total Income 21489.67 13948.38
9158592 XXXXXX Cash Reserves XXXXXX XXXXXX
9158592 XXXXXX Debt to Income Ratio (Back) 28.8280 42.8306
9158592 XXXXXX Months Reserves 31.00 6.36
9158592 XXXXXX Representative Credit Score for Grading 740 764
9158592 XXXXXX Total Cash Out XXXXXX XXXXXX
9158592 XXXXXX Total Monthly Income 28956.95 19774.42
9221903 XXXXXX Cash Reserves XXXXXX XXXXXX
9221903 XXXXXX Months Reserves 80.00 2.25
9221903 XXXXXX Total Cash Out XXXXXX XXXXXX
9222132 XXXXXX Cash Reserves XXXXXX XXXXXX
9222132 XXXXXX Combined LTV 66.32 70.00
9222132 XXXXXX Months Reserves 249.00 245.35
9222132 XXXXXX Total Cash Out XXXXXX XXXXXX
9222119 XXXXXX Cash Reserves XXXXXX XXXXXX
9222119 XXXXXX Months Reserves 29.00 4.05
9222119 XXXXXX Total Cash Out XXXXXX XXXXXX
9222078 XXXXXX Cash Reserves XXXXXX XXXXXX
9222078 XXXXXX Months Reserves 15.00 14.86
9222078 XXXXXX Total Cash Out XXXXXX XXXXXX
9221953 XXXXXX Borrower 2 First Name XXXXXX XXXXXX
9221953 XXXXXX Representative Credit Score for Grading 720 806
9222153 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9222153 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9222006 XXXXXX Total Cash Out XXXXXX XXXXXX
9221945 XXXXXX Cash Reserves XXXXXX XXXXXX
9221945 XXXXXX Disbursement Date XXXXXX XXXXXX
9221945 XXXXXX Months Reserves 90.00 2.18
9221945 XXXXXX Total Cash Out XXXXXX XXXXXX
9221902 XXXXXX Cash Reserves XXXXXX XXXXXX
9221902 XXXXXX Combined LTV 74.38 80.00
9221902 XXXXXX Months Reserves 42.00 11.49
9221902 XXXXXX Total Cash Out XXXXXX XXXXXX
9221909 XXXXXX Ever in Foreclosure No Yes
9222190 XXXXXX Cash Reserves XXXXXX XXXXXX
9222190 XXXXXX Months Reserves 38.00 39.19
9222190 XXXXXX Origination Date XXXXXX XXXXXX
9222190 XXXXXX Total Cash Out XXXXXX XXXXXX
9222181 XXXXXX Cash Reserves XXXXXX XXXXXX
9222181 XXXXXX Disbursement Date XXXXXX XXXXXX
9222181 XXXXXX Months Reserves 87.00 3.18
9222181 XXXXXX Total Cash Out XXXXXX XXXXXX
9221926 XXXXXX Borrower DSCR Percent 1.2914 1.1724
9221926 XXXXXX Cash Reserves XXXXXX XXXXXX
9221926 XXXXXX Combined LTV 61.44 80.00
9221926 XXXXXX Months Reserves 97.00 42.58
9221926 XXXXXX Representative Credit Score for Grading 775 809
9221926 XXXXXX Total Cash Out XXXXXX XXXXXX
9222084 XXXXXX Cash Reserves XXXXXX XXXXXX
9222084 XXXXXX Months Reserves 10.00 10.26
9222084 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9222084 XXXXXX Original Appraised Value XXXXXX XXXXXX
9222058 XXXXXX Cash Reserves XXXXXX XXXXXX
9222058 XXXXXX Months Reserves 1045.00 1045.99
9222058 XXXXXX Total Cash Out XXXXXX XXXXXX
9221972 XXXXXX Disbursement Date XXXXXX XXXXXX
9221972 XXXXXX Product Type 30 Yr Fixed 30 Yr Fixed Interest Only
9221972 XXXXXX Total Cash Out XXXXXX XXXXXX
9222243 XXXXXX Property Type SFR High Rise Condo (9+)
9222243 XXXXXX Total Cash Out XXXXXX XXXXXX
9222158 XXXXXX Cash Reserves XXXXXX XXXXXX
9222158 XXXXXX Months Reserves 114.00 46.36
9222158 XXXXXX Total Cash Out XXXXXX XXXXXX
9221938 XXXXXX Borrower DSCR Percent 1.4962 1.0557
9221942 XXXXXX Disbursement Date XXXXXX XXXXXX
9221942 XXXXXX Total Cash Out XXXXXX XXXXXX
9221984 XXXXXX Cash Reserves XXXXXX XXXXXX
9221984 XXXXXX Months Reserves 124.00 126.78
9221984 XXXXXX Total Cash Out XXXXXX XXXXXX
9222141 XXXXXX Cash Reserves XXXXXX XXXXXX
9222141 XXXXXX Combined LTV 70.81 79.39
9222141 XXXXXX Months Reserves 66.00 3.73
9222141 XXXXXX Total Cash Out XXXXXX XXXXXX
9222090 XXXXXX Cash Reserves XXXXXX XXXXXX
9222090 XXXXXX Disbursement Date XXXXXX XXXXXX
9222090 XXXXXX Months Reserves 37.00 23.38
9222090 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9222090 XXXXXX Total Cash Out XXXXXX XXXXXX
9222177 XXXXXX Cash Reserves XXXXXX XXXXXX
9222177 XXXXXX Combined LTV 77.79 80.00
9222177 XXXXXX Disbursement Date XXXXXX XXXXXX
9222177 XXXXXX Months Reserves 32.00 8.12
9222177 XXXXXX Total Cash Out XXXXXX XXXXXX
9221983 XXXXXX Cash Reserves XXXXXX XXXXXX
9221983 XXXXXX Months Reserves 12.00 2.70
9221983 XXXXXX Total Cash Out XXXXXX XXXXXX
9221950 XXXXXX Cash Reserves XXXXXX XXXXXX
9221950 XXXXXX Months Reserves 48.00 40.86
9222095 XXXXXX Disbursement Date XXXXXX XXXXXX
9221993 XXXXXX Cash Reserves XXXXXX XXXXXX
9221993 XXXXXX Months Reserves 53.00 3.53
9222091 XXXXXX Cash Reserves XXXXXX XXXXXX
9222091 XXXXXX Combined LTV 70.40 80.00
9222091 XXXXXX Months Reserves 16.00 15.57
9222091 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9222091 XXXXXX Total Cash Out XXXXXX XXXXXX
9221992 XXXXXX Cash Reserves XXXXXX XXXXXX
9221992 XXXXXX Months Reserves 6.00 6.16
9221992 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9221892 XXXXXX Cash Reserves XXXXXX XXXXXX
9221892 XXXXXX Months Reserves 17.00 16.54
9221892 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9221952 XXXXXX Cash Reserves XXXXXX XXXXXX
9221952 XXXXXX Credit Report Date XXXXXX XXXXXX
9221952 XXXXXX Months Reserves 8.00 7.36
9221952 XXXXXX Original Appraised Value XXXXXX XXXXXX
9221952 XXXXXX Total Cash Out XXXXXX XXXXXX
9221919 XXXXXX Borrower 2 First Name XXXXXX XXXXXX
9221919 XXXXXX Cash Reserves XXXXXX XXXXXX
9221919 XXXXXX Months Reserves 7.00 2.02
9221919 XXXXXX Property Type Low Rise Condo (1-4) High Rise Condo (9+)
9221919 XXXXXX Total Cash Out XXXXXX XXXXXX
9222138 XXXXXX Cash Reserves XXXXXX XXXXXX
9222138 XXXXXX Months Reserves 308.00 231.71
9222138 XXXXXX Total Cash Out XXXXXX XXXXXX
9221990 XXXXXX Cash Reserves XXXXXX XXXXXX
9221990 XXXXXX Months Reserves 101.00 41.20
9221990 XXXXXX Total Cash Out XXXXXX XXXXXX
9221997 XXXXXX Total Cash Out XXXXXX XXXXXX
9222016 XXXXXX Borrower 1 Total Income 44125.00 46052.86
9222016 XXXXXX Cash Reserves XXXXXX XXXXXX
9222016 XXXXXX Months Reserves 23.00 18.03
9222016 XXXXXX Total Cash Out XXXXXX XXXXXX
9222016 XXXXXX Total Monthly Income 44125.00 46052.86
9221963 XXXXXX Cash Reserves XXXXXX XXXXXX
9221963 XXXXXX Months Reserves 4.00 4.95
9221963 XXXXXX Total Cash Out XXXXXX XXXXXX
9222211 XXXXXX Disbursement Date XXXXXX XXXXXX
9222211 XXXXXX Total Cash Out XXXXXX XXXXXX
9221924 XXXXXX Cash Reserves XXXXXX XXXXXX
9221924 XXXXXX Months Reserves 105.00 81.78
9221995 XXXXXX Cash Reserves XXXXXX XXXXXX
9221995 XXXXXX Months Reserves 141.00 60.99
9221995 XXXXXX Origination Date XXXXXX XXXXXX
9221995 XXXXXX Total Cash Out XXXXXX XXXXXX
9222096 XXXXXX Cash Reserves XXXXXX XXXXXX
9222096 XXXXXX Months Reserves 202.00 74.87
9222096 XXXXXX Origination Date XXXXXX XXXXXX
9222096 XXXXXX Total Cash Out XXXXXX XXXXXX
9221999 XXXXXX Cash Reserves XXXXXX XXXXXX
9221999 XXXXXX Combined LTV 70.91 78.39
9221999 XXXXXX Months Reserves 37.00 36.61
9221999 XXXXXX Total Cash Out XXXXXX XXXXXX
9222251 XXXXXX Cash Reserves XXXXXX XXXXXX
9222251 XXXXXX Months Reserves 1.00 1.52
9222251 XXXXXX Total Cash Out XXXXXX XXXXXX
9222187 XXXXXX Borrower 1 Total Income 29094.34 43748.98
9222187 XXXXXX Cash Reserves XXXXXX XXXXXX
9222187 XXXXXX Disbursement Date XXXXXX XXXXXX
9222187 XXXXXX Months Reserves 16.00 12.71
9222187 XXXXXX Total Cash Out XXXXXX XXXXXX
9222187 XXXXXX Total Monthly Income 29094.34 43748.98
9222143 XXXXXX Cash Reserves XXXXXX XXXXXX
9222143 XXXXXX Disbursement Date XXXXXX XXXXXX
9222143 XXXXXX Months Reserves 11.00 12.87
9222143 XXXXXX Total Cash Out XXXXXX XXXXXX
9222109 XXXXXX Total Cash Out XXXXXX XXXXXX
9221913 XXXXXX Total Cash Out XXXXXX XXXXXX
9222216 XXXXXX Borrower 1 Total Income 36820.00 36600.77
9222216 XXXXXX Cash Reserves XXXXXX XXXXXX
9222216 XXXXXX Disbursement Date XXXXXX XXXXXX
9222216 XXXXXX Months Reserves 8.00 8.22
9222216 XXXXXX Total Cash Out XXXXXX XXXXXX
9222216 XXXXXX Total Monthly Income 36820.00 36600.77
9222038 XXXXXX Cash Reserves XXXXXX XXXXXX
9222038 XXXXXX Months Reserves 6.00 75.94
9222038 XXXXXX Total Cash Out XXXXXX XXXXXX
9222075 XXXXXX Borrower DSCR Percent 1.2261 1.12
9222075 XXXXXX Cash Reserves XXXXXX XXXXXX
9222075 XXXXXX Combined LTV 77.27 80.00
9222075 XXXXXX Months Reserves 15.00 2.54
9222075 XXXXXX Total Cash Out XXXXXX XXXXXX
9222157 XXXXXX Cash Reserves XXXXXX XXXXXX
9222157 XXXXXX Total Cash Out XXXXXX XXXXXX
9222104 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9222244 XXXXXX Borrower DSCR Percent 1.1854 0.8813
9222244 XXXXXX Cash Reserves XXXXXX XXXXXX
9222244 XXXXXX Months Reserves 21.00 20.75
9222244 XXXXXX Total Cash Out XXXXXX XXXXXX
9221982 XXXXXX Cash Reserves XXXXXX XXXXXX
9221982 XXXXXX Months Reserves 33.00 37.39
9221982 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9221894 XXXXXX Loan Purpose Rate and Term Refi Cashout Refi
9221894 XXXXXX Total Cash Out XXXXXX XXXXXX
9222252 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9222230 XXXXXX Cash Reserves XXXXXX XXXXXX
9222230 XXXXXX Months Reserves 83.00 76.72
9222242 XXXXXX Combined LTV 77.52 80.00
9222242 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9222242 XXXXXX Total Cash Out XXXXXX XXXXXX
9221971 XXXXXX Total Cash Out XXXXXX XXXXXX
9222039 XXXXXX Total Cash Out XXXXXX XXXXXX
9221893 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9222170 XXXXXX Cash Reserves XXXXXX XXXXXX
9222170 XXXXXX Months Reserves 1.00 0.53
9222170 XXXXXX Total Cash Out XXXXXX XXXXXX
9222032 XXXXXX Cash Reserves XXXXXX XXXXXX
9222032 XXXXXX Documentation Type Asset Depletion Alt Doc/Bank Statements
9222032 XXXXXX Months Reserves 73.00 95.98
9222032 XXXXXX Total Cash Out XXXXXX XXXXXX
9222135 XXXXXX Cash Reserves XXXXXX XXXXXX
9222135 XXXXXX Months Reserves 39.00 8.34
9222135 XXXXXX Total Cash Out XXXXXX XXXXXX
9222239 XXXXXX Cash Reserves XXXXXX XXXXXX
9222239 XXXXXX Combined LTV 77.19 80.00
9222239 XXXXXX Months Reserves 23.00 23.30
9222239 XXXXXX Total Cash Out XXXXXX XXXXXX
9222133 XXXXXX Borrower 1 Self Employed Flag Yes No
9222133 XXXXXX Origination Date XXXXXX XXXXXX
9222166 XXXXXX Cash Reserves XXXXXX XXXXXX
9222166 XXXXXX Months Reserves 67.00 22.37
9222166 XXXXXX Total Cash Out XXXXXX XXXXXX
9222102 XXXXXX Cash Reserves XXXXXX XXXXXX
9222102 XXXXXX Months Reserves 86.00 7.70
9222102 XXXXXX Total Cash Out XXXXXX XXXXXX
9221920 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9221920 XXXXXX Property Type SFR Low Rise Condo (1-4)
9221920 XXXXXX Total Cash Out XXXXXX XXXXXX
9222197 XXXXXX Cash Reserves XXXXXX XXXXXX
9222197 XXXXXX Disbursement Date XXXXXX XXXXXX
9222197 XXXXXX Months Reserves 8.00 6.24
9222197 XXXXXX Total Cash Out XXXXXX XXXXXX
9221991 XXXXXX Combined LTV 76.37 80.00
9221991 XXXXXX Total Cash Out XXXXXX XXXXXX
9222098 XXXXXX Cash Reserves XXXXXX XXXXXX
9222098 XXXXXX Combined LTV 75.89 85.00
9222098 XXXXXX Disbursement Date XXXXXX XXXXXX
9222098 XXXXXX Months Reserves 35.00 57.43
9222098 XXXXXX Total Cash Out XXXXXX XXXXXX
9222013 XXXXXX Cash Reserves XXXXXX XXXXXX
9222013 XXXXXX Months Reserves 74.00 2.05
9222013 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9222013 XXXXXX Total Cash Out XXXXXX XXXXXX
9222118 XXXXXX Cash Reserves XXXXXX XXXXXX
9222118 XXXXXX Months Reserves 148.00 13.88
9222118 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9222118 XXXXXX Total Cash Out XXXXXX XXXXXX
9222151 XXXXXX Cash Reserves XXXXXX XXXXXX
9222151 XXXXXX Months Reserves 280.00 97.75
9222151 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9222151 XXXXXX Total Cash Out XXXXXX XXXXXX
9222161 XXXXXX Borrower 1 Total Income 127289.44 135779.63
9222161 XXXXXX Cash Reserves XXXXXX XXXXXX
9222161 XXXXXX Combined LTV 64.47 70.00
9222161 XXXXXX Months Reserves 107.00 107.06
9222161 XXXXXX Total Cash Out XXXXXX XXXXXX
9222161 XXXXXX Total Monthly Income 127289.44 135779.63
9221988 XXXXXX Cash Reserves XXXXXX XXXXXX
9221988 XXXXXX Credit Report Date XXXXXX XXXXXX
9221988 XXXXXX Months Reserves 111.00 12.11
9221988 XXXXXX Total Cash Out XXXXXX XXXXXX
9222048 XXXXXX Cash Reserves XXXXXX XXXXXX
9222048 XXXXXX Months Reserves 138.00 84.28
9222048 XXXXXX Total Cash Out XXXXXX XXXXXX
9221901 XXXXXX Cash Reserves XXXXXX XXXXXX
9221901 XXXXXX Combined LTV 73.97 80.00
9221901 XXXXXX Months Reserves 19.00 35.07
9221901 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9221901 XXXXXX Total Cash Out XXXXXX XXXXXX
9221932 XXXXXX Cash Reserves XXXXXX XXXXXX
9221932 XXXXXX Combined LTV 77.24 79.86
9221932 XXXXXX Months Reserves 10.00 9.62
9221932 XXXXXX Total Cash Out XXXXXX XXXXXX
9221931 XXXXXX Total Cash Out XXXXXX XXXXXX
9221914 XXXXXX Cash Reserves XXXXXX XXXXXX
9221914 XXXXXX Months Reserves 13.00 12.88
9221914 XXXXXX Total Cash Out XXXXXX XXXXXX
9222003 XXXXXX Cash Reserves XXXXXX XXXXXX
9222003 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9222003 XXXXXX Total Cash Out XXXXXX XXXXXX
9222002 XXXXXX Cash Reserves XXXXXX XXXXXX
9222002 XXXXXX Months Reserves 10.00 10.12
9222002 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9222002 XXXXXX Total Cash Out XXXXXX XXXXXX
9222139 XXXXXX Borrower 1 Self Employed Flag No Yes
9222139 XXXXXX Cash Reserves XXXXXX XXXXXX
9222139 XXXXXX Disbursement Date XXXXXX XXXXXX
9222139 XXXXXX Months Reserves 10.00 9.79
9222139 XXXXXX Total Cash Out XXXXXX XXXXXX
9222206 XXXXXX Cash Reserves XXXXXX XXXXXX
9222206 XXXXXX Months Reserves 67.00 37.57
9222206 XXXXXX Original Appraisal Date XXXXXX XXXXXX
9222206 XXXXXX Original Appraised Value XXXXXX XXXXXX
9222206 XXXXXX Total Cash Out XXXXXX XXXXXX
9222213 XXXXXX Cash Reserves XXXXXX XXXXXX
9222213 XXXXXX Months Reserves 30.00 30.22
9222213 XXXXXX Total Cash Out XXXXXX XXXXXX
9221957 XXXXXX Borrower 1 Total Income 28032.73 27857.77
9221957 XXXXXX Cash Reserves XXXXXX XXXXXX
9221957 XXXXXX Combined LTV 82.31 90.00
9221957 XXXXXX Months Reserves 14.00 14.27
9221957 XXXXXX Total Cash Out XXXXXX XXXXXX
9221957 XXXXXX Total Monthly Income 28032.73 27857.77
9221898 XXXXXX Cash Reserves XXXXXX XXXXXX
9221898 XXXXXX Months Reserves 23.00 16.48
9221898 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9221941 XXXXXX Cash Reserves XXXXXX XXXXXX
9221941 XXXXXX Months Reserves 8.00 0.00
9221941 XXXXXX Total Cash Out XXXXXX XXXXXX
9222155 XXXXXX Cash Reserves XXXXXX XXXXXX
9222155 XXXXXX Combined LTV 77.22 80.00
9222155 XXXXXX Months Reserves 52.00 7.36
9222155 XXXXXX Total Cash Out XXXXXX XXXXXX
9221915 XXXXXX Cash Reserves XXXXXX XXXXXX
9221915 XXXXXX Months Reserves 4.00 4.30
9221915 XXXXXX Total Cash Out XXXXXX XXXXXX
9222007 XXXXXX Cash Reserves XXXXXX XXXXXX
9222007 XXXXXX Months Reserves 3.00 59.22
9222007 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9222007 XXXXXX Total Cash Out XXXXXX XXXXXX
9221960 XXXXXX Cash Reserves XXXXXX XXXXXX
9221960 XXXXXX Credit Report Date XXXXXX XXXXXX
9221960 XXXXXX Months Reserves 123.00 20.50
9221960 XXXXXX Total Cash Out XXXXXX XXXXXX
9222225 XXXXXX Cash Reserves XXXXXX XXXXXX
9222225 XXXXXX Combined LTV 71.51 75.00
9222225 XXXXXX Months Reserves 79.00 8.04
9222225 XXXXXX Total Cash Out XXXXXX XXXXXX
9222046 XXXXXX Cash Reserves XXXXXX XXXXXX
9222046 XXXXXX Months Reserves 13.00 18.27
9222046 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9222046 XXXXXX Total Cash Out XXXXXX XXXXXX
9222214 XXXXXX Cash Reserves XXXXXX XXXXXX
9222214 XXXXXX Months Reserves 87.00 6.12
9222214 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9222214 XXXXXX Total Cash Out XXXXXX XXXXXX
9222188 XXXXXX Total Cash Out XXXXXX XXXXXX
9221939 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
9221939 XXXXXX Property Type Detached PUD Attached PUD
9222154 XXXXXX Cash Reserves XXXXXX XXXXXX
9222154 XXXXXX Months Reserves 110.00 69.98
9222154 XXXXXX Total Cash Out XXXXXX XXXXXX
9031935 XXXXXX Disbursement Date XXXXXX XXXXXX
9031935 XXXXXX Property Type SFR-Attached Attached PUD
8442356 XXXXXX Cash Reserves XXXXXX XXXXXX
8442356 XXXXXX Months Reserves 91.00 35.54
8442356 XXXXXX Original Appraised Value XXXXXX XXXXXX
8999072 XXXXXX Cash Reserves XXXXXX XXXXXX
8999072 XXXXXX Months Reserves 468.00 962.49
9165705 XXXXXX Disbursement Date XXXXXX XXXXXX
9165705 XXXXXX Total Cash Out XXXXXX XXXXXX
9101386 XXXXXX Total Cash Out XXXXXX XXXXXX
9165694 XXXXXX Disbursement Date XXXXXX XXXXXX
9165695 XXXXXX Disbursement Date XXXXXX XXXXXX
9165696 XXXXXX Disbursement Date XXXXXX XXXXXX
9165684 XXXXXX Total Cash Out XXXXXX XXXXXX
9165650 XXXXXX Disbursement Date XXXXXX XXXXXX
9165594 XXXXXX Total Cash Out XXXXXX XXXXXX
9165628 XXXXXX Property Type SFR SFR-Attached
9165628 XXXXXX Total Cash Out XXXXXX XXXXXX
9165625 XXXXXX Total Cash Out XXXXXX XXXXXX
9165676 XXXXXX Cash Reserves XXXXXX XXXXXX
9165676 XXXXXX Months Reserves 11.00 16.84
9165600 XXXXXX Cash Reserves XXXXXX XXXXXX
9165600 XXXXXX Months Reserves 49.00 84.74
9165633 XXXXXX Borrower DSCR Percent 1.4900 1.1369
9165655 XXXXXX Disbursement Date XXXXXX XXXXXX
9165555 XXXXXX Total Cash Out XXXXXX XXXXXX
9165561 XXXXXX Cash Reserves XXXXXX XXXXXX
9165561 XXXXXX Months Reserves 20.00 5.67
9165602 XXXXXX Disbursement Date XXXXXX XXXXXX
9165602 XXXXXX Total Cash Out XXXXXX XXXXXX
9165580 XXXXXX Documentation Type Full Doc Alt Doc/Bank Statements
9165648 XXXXXX Cash Reserves XXXXXX XXXXXX
9165648 XXXXXX Months Reserves 26.00 31.74
9165648 XXXXXX Property Type SFR Detached PUD
9165642 XXXXXX Original Appraised Value XXXXXX XXXXXX
9165644 XXXXXX Disbursement Date XXXXXX XXXXXX
9165665 XXXXXX Total Cash Out XXXXXX XXXXXX
9165667 XXXXXX Property Type Detached PUD Attached PUD
9165552 XXXXXX Cash Reserves XXXXXX XXXXXX
9165552 XXXXXX Months Reserves 18.00 33.19
9165640 XXXXXX Disbursement Date XXXXXX XXXXXX
9173503 XXXXXX Property State XXXXXX XXXXXX
9173503 XXXXXX Property Type SFR 4 Family
9173505 XXXXXX Property State XXXXXX XXXXXX
9173505 XXXXXX Property Type Mixed Use 4 Family
9173506 XXXXXX Property State XXXXXX XXXXXX
9173506 XXXXXX Property Type SFR 4 Family
9182110 XXXXXX Property Type SFR Detached PUD
9158606 XXXXXX Borrower 2 First Name XXXXXX XXXXXX
9158606 XXXXXX Borrower DSCR Percent 1.4093 1.2
9158606 XXXXXX Cash Reserves XXXXXX XXXXXX
9158606 XXXXXX Months Reserves '-101.00 134.67
9158606 XXXXXX Original P&I XXXXXX XXXXXX
9158606 XXXXXX Representative Credit Score for Grading 780 783
9222019 XXXXXX Combined LTV 76.96 80.00
9222019 XXXXXX Total Cash Out XXXXXX XXXXXX
9081756 XXXXXX Property State XXXXXX XXXXXX
9130206 XXXXXX Property Type 2 Family 3 Family
9173457 XXXXXX Property Type SFR Detached PUD
9173483 XXXXXX Property Type SFR 2 Family
9173483 XXXXXX Representative Credit Score for Grading 763 774
9190365 XXXXXX Documentation Type Asset Utilization 12 Month BS
9190365 XXXXXX Original LTV 50.00 64.71
9190365 XXXXXX Rate Lock Date XXXXXX XXXXXX
9197017 XXXXXX Note Rate 7.49 7.5000

 

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