<?xml version="1.0" encoding="utf-8"?>
<assetData xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xmlns="http://www.sec.gov/edgar/document/absee/cmbs/assetdata">
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>1</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>04-05-2017</originationDate>
		<originalLoanAmount>95000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>60</originalTermLoanNumber>
		<maturityDate>04-06-2022</maturityDate>
		<originalAmortizationTermNumber>0</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04260000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04260000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>60</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>3</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>342094.56000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>95000000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2022</prepaymentLockOutEndDate>
		<property>
			<propertyName>95 Morton Street</propertyName>
			<netRentableSquareFeetSecuritizationNumber>217084</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1911</yearBuiltNumber>
			<valuationSecuritizationAmount>210000000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-22-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>14960899.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>4820807.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>10140092.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>9621746.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.47000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.34000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>.00000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<reportPeriodInterestRatePercentage>.00000000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00000000</servicerTrusteeFeeRatePercentage>
		<reportPeriodEndScheduledLoanBalanceAmount>.00000000</reportPeriodEndScheduledLoanBalanceAmount>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>2</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>12-30-2016</originationDate>
		<originalLoanAmount>75000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>01-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04549797</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04549797</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>60</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>02-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>PP</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>288311.79000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>75000000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>07-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Moffett Place Google</propertyName>
			<propertyAddress>1170 Bordeaux Drive</propertyAddress>
			<propertyCity>Sunnyvale</propertyCity>
			<propertyState>CA</propertyState>
			<propertyZip>94089</propertyZip>
			<propertyCounty>Santa Clara</propertyCounty>
			<propertyTypeCode>OF</propertyTypeCode>
			<netRentableSquareFeetNumber>314352</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>314352</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>2016</yearBuiltNumber>
			<valuationSecuritizationAmount>272500000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>11-29-2016</valuationSecuritizationDate>
			<mostRecentValuationAmount>311100000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>03-01-2018</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Google LLC Phillip A. Verinsky, CFO</largestTenant>
			<squareFeetLargestTenantNumber>314352</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>11-30-2028</leaseExpirationLargestTenantDate>
			<revenueSecuritizationAmount>17818954.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>2382878.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>15436076.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>15373206.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.81000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.80000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-01-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>70033919.18000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>377651.36000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04549797</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00013000</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>265533.42000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>112117.94000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>69921801.24000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>69921801.24000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>3</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>01-19-2017</originationDate>
		<originalLoanAmount>65000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>02-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04720000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04720000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>36</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>03-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>259217.59000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>65000000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>3</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>true</modifiedIndicator>
		<prepaymentLockOutEndDate>11-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<unitsBedsRoomsSecuritizationNumber>284</unitsBedsRoomsSecuritizationNumber>
			<valuationSecuritizationAmount>44300000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>12-20-2016</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.75000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>02-28-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>14397710.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>10469178.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>3928532.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>3352623.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
		</property>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<unitsBedsRoomsSecuritizationNumber>271</unitsBedsRoomsSecuritizationNumber>
			<valuationSecuritizationAmount>35600000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>12-21-2016</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.68000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>02-28-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>12195856.81000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>9384473.81000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>2811383.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>2323548.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
		</property>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<unitsBedsRoomsSecuritizationNumber>227</unitsBedsRoomsSecuritizationNumber>
			<valuationSecuritizationAmount>34300000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>12-19-2016</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.74000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>02-28-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>11434649.76000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>7851598.87000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>3583050.89000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>3125664.90000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>58244011.87000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>337896.39000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04720000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>229093.11000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>108803.28000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>58135208.59000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>58135208.59000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<lastModificationDate>09-23-2020</lastModificationDate>
		<modificationCode>98</modificationCode>
		<postModificationInterestPercentage>.00000000</postModificationInterestPercentage>
		<postModificationMaturityDate>02-06-2027</postModificationMaturityDate>
		<postModificationAmortizationPeriodAmount>.00000000</postModificationAmortizationPeriodAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>4</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>03-31-2017</originationDate>
		<originalLoanAmount>58725000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04700000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04700000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>36</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>233200.78000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>58725000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>10-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Los Angeles Corporate Center</propertyName>
			<propertyAddress>900,1000,1200 &amp; 1255 Corporate Center Drive</propertyAddress>
			<propertyCity>Monterey Park</propertyCity>
			<propertyState>CA</propertyState>
			<propertyZip>91754</propertyZip>
			<propertyCounty>Los Angeles</propertyCounty>
			<propertyTypeCode>OF</propertyTypeCode>
			<netRentableSquareFeetNumber>394893</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>394893</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1983</yearBuiltNumber>
			<valuationSecuritizationAmount>83600000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>03-06-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>87750000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>08-01-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.93000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Country Los Angeles Depertmentof Cht den and Family Sermces</largestTenant>
			<squareFeetLargestTenantNumber>50043</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>06-30-2040</leaseExpirationLargestTenantDate>
			<secondLargestTenant>County of Los Angeles Fire Department</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>40211</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>12-29-2027</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>Carmichael International Svc. Inc.</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>28777</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>11-30-2031</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>11427600.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>4520017.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>6907583.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>6159020.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.47000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.20000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-31-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>52799453.39000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>304570.05000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04700000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>206797.86000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>97772.19000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>52701681.20000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>52701681.20000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>5</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>JPMCB,DBNY,GSMC,Barclays,MSBNA</originatorName>
		<originationDate>10-24-2016</originationDate>
		<originalLoanAmount>56625000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>11-01-2026</maturityDate>
		<originalAmortizationTermNumber>0</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04200000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04200000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>12-01-2016</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>A1</loanStructureCode>
		<paymentTypeCode>3</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>200916.18000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>56625000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>04-30-2019</prepaymentLockOutEndDate>
		<yieldMaintenanceEndDate>04-30-2026</yieldMaintenanceEndDate>
		<prepaymentPremiumsEndDate>04-30-2026</prepaymentPremiumsEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Hilton Hawaiian Village Waikiki Beach Resort</propertyName>
			<propertyAddress>2005 Kalia Road</propertyAddress>
			<propertyCity>Honolulu</propertyCity>
			<propertyState>HI</propertyState>
			<propertyZip>96815</propertyZip>
			<propertyCounty>Honolulu</propertyCounty>
			<propertyTypeCode>LO</propertyTypeCode>
			<unitsBedsRoomsNumber>2860</unitsBedsRoomsNumber>
			<unitsBedsRoomsSecuritizationNumber>2860</unitsBedsRoomsSecuritizationNumber>
			<yearBuiltNumber>1961</yearBuiltNumber>
			<yearLastRenovated>2016</yearLastRenovated>
			<valuationSecuritizationAmount>2230000000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>08-30-2016</valuationSecuritizationDate>
			<mostRecentValuationAmount>2230000000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>08-30-2016</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.95000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>05-01-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>09-30-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>374437742.47000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>226873258.16000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>147564484.31000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>132586974.61000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>4.98000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>4.47000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>56625000.00000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>198163.91000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04199500</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00011750</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>198163.91000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>.00000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>56625000.00000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>56625000.00000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-01-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Wells Fargo</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>6</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>02-02-2017</originationDate>
		<originalLoanAmount>50000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>02-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04740000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04740000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>03-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>PP</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>260371.79000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>49803347.43000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>11-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<netRentableSquareFeetSecuritizationNumber>275000</netRentableSquareFeetSecuritizationNumber>
			<valuationSecuritizationAmount>165000000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>01-09-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.84000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>11241397.99000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>2760281.28000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>8481116.71000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>8451640.96000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.56000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.55000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>41680832.82000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>260371.79000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04735000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00019600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>164465.62000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>95906.17000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>41584926.65000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>41584926.65000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Wells Fargo</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>7</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI,DBNY,BANA</originatorName>
		<originationDate>01-31-2017</originationDate>
		<originalLoanAmount>30000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>02-06-2027</maturityDate>
		<originalAmortizationTermNumber>300</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.05310000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.05310000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>24</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>03-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>PP</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>134593.75000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>30000000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>11-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Key Center</propertyName>
			<propertyAddress>127 Public Square</propertyAddress>
			<propertyCity>Cleveland</propertyCity>
			<propertyState>OH</propertyState>
			<propertyZip>44114</propertyZip>
			<propertyCounty>Cuyahoga</propertyCounty>
			<propertyTypeCode>OF</propertyTypeCode>
			<netRentableSquareFeetNumber>1374352</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>2389441</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1991</yearBuiltNumber>
			<yearLastRenovated>2015</yearLastRenovated>
			<valuationSecuritizationAmount>304100000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>12-01-2016</valuationSecuritizationDate>
			<mostRecentValuationAmount>362000000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>12-01-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Keybank national association</largestTenant>
			<squareFeetLargestTenantNumber>365574</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>06-30-2030</leaseExpirationLargestTenantDate>
			<secondLargestTenant>Benesch Friedlander Coplan</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>164828</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>07-31-2036</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>Brookfield Properties</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>125197</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>05-31-2033</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>67329103.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>39219780.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>28109323.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>25327136.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.37000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.14000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>01-01-2026</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>25159636.39000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>180837.83000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.05310000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00020500</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>111331.39000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>69506.44000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>25159636.39000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>25090129.95000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>04-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>180575.75000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>A</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<mostRecentSpecialServicerTransferDate>10-27-2020</mostRecentSpecialServicerTransferDate>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<workoutStrategyCode>98</workoutStrategyCode>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>8</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CGMRC,DBNY</originatorName>
		<originationDate>01-05-2017</originationDate>
		<originalLoanAmount>24000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>01-06-2027</maturityDate>
		<originalAmortizationTermNumber>0</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04730000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04730000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>02-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>PP</loanStructureCode>
		<paymentTypeCode>3</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>95913.89000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>24000000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>10-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>111 Livingston Street</propertyName>
			<propertyAddress>111 Livingston Street</propertyAddress>
			<propertyCity>Brooklyn</propertyCity>
			<propertyState>NY</propertyState>
			<propertyZip>11201</propertyZip>
			<propertyCounty>Kings</propertyCounty>
			<propertyTypeCode>OF</propertyTypeCode>
			<netRentableSquareFeetNumber>434000</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>434000</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1969</yearBuiltNumber>
			<yearLastRenovated>2001</yearLastRenovated>
			<valuationSecuritizationAmount>219000000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>10-26-2016</valuationSecuritizationDate>
			<mostRecentValuationAmount>219000000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>10-26-2016</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.98000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>The Legal Aid Society</largestTenant>
			<squareFeetLargestTenantNumber>117200</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>10-31-2037</leaseExpirationLargestTenantDate>
			<secondLargestTenant>City University of NY</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>45000</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>08-31-2027</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>Tudor Perini</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>33888</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>01-31-2030</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>09-30-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>18801753.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>9038441.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>9763312.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>8966501.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.70000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.56000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>11-01-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>24000000.00000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>94600.00000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04730000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00013000</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>94600.00000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>.00000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>24000000.00000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>24000000.00000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>9</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>BSP</originatorName>
		<originationDate>12-22-2016</originationDate>
		<originalLoanAmount>24000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>01-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.05500000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.05500000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>02-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>136269.36000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>23894196.35000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>10-05-2026</prepaymentLockOutEndDate>
		<property>
			<propertyName>Marriott Spartanburg</propertyName>
			<unitsBedsRoomsSecuritizationNumber>247</unitsBedsRoomsSecuritizationNumber>
			<yearBuiltNumber>2004</yearBuiltNumber>
			<valuationSecuritizationAmount>40100000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>10-05-2016</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.79000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>14282216.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>10395028.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>3887188.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>3173077.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.38000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.94000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>.00000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<reportPeriodInterestRatePercentage>.00000000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00000000</servicerTrusteeFeeRatePercentage>
		<reportPeriodEndScheduledLoanBalanceAmount>.00000000</reportPeriodEndScheduledLoanBalanceAmount>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<realizedLossToTrustAmount>6307473.42000000</realizedLossToTrustAmount>
		<liquidationPrepaymentCode>1</liquidationPrepaymentCode>
		<liquidationPrepaymentDate>06-05-2023</liquidationPrepaymentDate>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>10</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>02-09-2017</originationDate>
		<originalLoanAmount>23500000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>03-06-2027</maturityDate>
		<originalAmortizationTermNumber>0</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04470000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04470000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>04-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>3</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>88753.30000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>23500000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>12-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>260 West 36th Street</propertyName>
			<propertyAddress>260 West 36th Street</propertyAddress>
			<propertyCity>New York</propertyCity>
			<propertyState>NY</propertyState>
			<propertyZip>10018</propertyZip>
			<propertyCounty>New York</propertyCounty>
			<propertyTypeCode>MU</propertyTypeCode>
			<netRentableSquareFeetNumber>85145</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>85145</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1907</yearBuiltNumber>
			<yearLastRenovated>1986</yearLastRenovated>
			<valuationSecuritizationAmount>45000000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>01-13-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>26000000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>06-25-2025</mostRecentValuationDate>
			<mostRecentValuationSourceCode>98</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.97000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>AMERICAN EXCHANGE GROUP</largestTenant>
			<squareFeetLargestTenantNumber>7800</squareFeetLargestTenantNumber>
			<secondLargestTenant>BOB ELLIOTTS MUSIC MAKERS LLC</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>7500</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>06-30-2031</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>BESTCARE INC.</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>6200</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>03-31-2027</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>3175255.78000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>1131536.67000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>2043719.10000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1941545.10000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.92000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.82000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>03-31-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>23500000.00000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>87537.50000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04470000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>87537.50000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>.00000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>23500000.00000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>23500000.00000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>09-06-2025</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>676501.10000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>347244.27000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>24340.47000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>3</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<mostRecentSpecialServicerTransferDate>05-07-2025</mostRecentSpecialServicerTransferDate>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<workoutStrategyCode>2</workoutStrategyCode>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>11</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>02-24-2017</originationDate>
		<originalLoanAmount>21000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>03-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04790000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04790000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>24</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>04-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>84989.24000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>21000000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>12-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Gateway Plaza</propertyName>
			<propertyAddress>1540-1914 W. Rosecrans Avenue</propertyAddress>
			<propertyCity>Compton</propertyCity>
			<propertyState>CA</propertyState>
			<propertyZip>90220</propertyZip>
			<propertyCounty>Los Angeles</propertyCounty>
			<propertyTypeCode>RT</propertyTypeCode>
			<netRentableSquareFeetNumber>131699</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>127523</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1962</yearBuiltNumber>
			<valuationSecuritizationAmount>30000000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>11-20-2016</valuationSecuritizationDate>
			<mostRecentValuationAmount>30000000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>11-20-2016</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.94000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Food 4 Less Store #379</largestTenant>
			<squareFeetLargestTenantNumber>47188</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>02-28-2027</leaseExpirationLargestTenantDate>
			<secondLargestTenant>Fine Discount No.1, inc.</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>20455</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>01-31-2030</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>AutoZone #6408-02-01</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>8812</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>08-30-2029</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>2572765.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>714967.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1857798.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1769503.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.82000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.74000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>06-30-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>18472817.04000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>110052.83000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04790000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>73737.33000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>36315.50000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>18436501.54000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>18436501.54000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>12</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CGMRC</originatorName>
		<originationDate>01-25-2017</originationDate>
		<originalLoanAmount>20000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>02-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04920000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04920000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>03-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>PP</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>106388.60000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>19923762.67000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>6</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>11-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Hamilton Crossing</propertyName>
			<propertyAddress>12650, 12722-12802 and 13085 Hamilton Crossing Boulevard and 12800, 12900 and 13000 North Meridian Street</propertyAddress>
			<propertyCity>Carmel</propertyCity>
			<propertyState>IN</propertyState>
			<propertyZip>46032</propertyZip>
			<propertyCounty>Hamilton</propertyCounty>
			<propertyTypeCode>OF</propertyTypeCode>
			<netRentableSquareFeetNumber>590917</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>590917</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1989</yearBuiltNumber>
			<yearLastRenovated>2000</yearLastRenovated>
			<valuationSecuritizationAmount>76100000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>12-02-2016</valuationSecuritizationDate>
			<mostRecentValuationAmount>76100000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>12-02-2016</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.89000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>ADESA, INC</largestTenant>
			<squareFeetLargestTenantNumber>177842</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>07-31-2019</leaseExpirationLargestTenantDate>
			<secondLargestTenant>AMERICAN SPECIALITY HEALTH INCORPORATED</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>82001</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>12-31-2024</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>BYRIDER FRANCHISING, LLC</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>70320</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>02-29-2024</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>10973297.39000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>4339846.79000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>6633450.60000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>5903080.08000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.89000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.68000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-31-2018</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>16765065.07000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>106388.60000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04920000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00013000</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>68736.77000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>37651.83000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>16765065.07000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>16727413.24000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>04-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>106318.74000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>A</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<mostRecentSpecialServicerTransferDate>06-28-2019</mostRecentSpecialServicerTransferDate>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<workoutStrategyCode>11</workoutStrategyCode>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>13</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>BSP</originatorName>
		<originationDate>01-31-2017</originationDate>
		<originalLoanAmount>19500000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>02-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.05040000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.05040000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>03-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>105157.44000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>19427165.70000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>11-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<netRentableSquareFeetSecuritizationNumber>105357</netRentableSquareFeetSecuritizationNumber>
			<valuationSecuritizationAmount>29800000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>10-08-2016</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.97000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>2262893.42000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>472381.01000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1790512.41000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1664084.01000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.42000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.32000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>16403899.28000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>105157.44000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.05040000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>68896.38000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>36261.06000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>16367638.22000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>16367638.22000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>14</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>GACC</originatorName>
		<originationDate>12-04-2015</originationDate>
		<originalLoanAmount>18030000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>12-06-2025</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04670000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04670000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>36</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>01-06-2016</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>71065.12000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>18030000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>09-05-2025</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Kona Crossroads</propertyName>
			<propertyAddress>75-1027 Henry Street</propertyAddress>
			<propertyCity>Kailua-Kona</propertyCity>
			<propertyState>HI</propertyState>
			<propertyZip>96740</propertyZip>
			<propertyCounty>Hawaii</propertyCounty>
			<propertyTypeCode>RT</propertyTypeCode>
			<netRentableSquareFeetNumber>74896</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>74896</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1996</yearBuiltNumber>
			<valuationSecuritizationAmount>27040000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>01-23-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>6900000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>02-06-2026</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.98000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>SAFEWAY, INC</largestTenant>
			<squareFeetLargestTenantNumber>46130</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>02-28-2026</leaseExpirationLargestTenantDate>
			<secondLargestTenant>AutoZone Parts, Inc.</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>8049</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>07-31-2026</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>AKAILUA LLC</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>4998</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>05-31-2038</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>2554603.43000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>949697.25000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1604906.17000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1496332.89000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.88000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.75000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-31-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>15718030.92000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>93131.48000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04665000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>61103.85000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>32027.63000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>15686003.29000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>15686003.29000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>4</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<mostRecentSpecialServicerTransferDate>12-08-2025</mostRecentSpecialServicerTransferDate>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<workoutStrategyCode>2</workoutStrategyCode>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>15</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>04-04-2017</originationDate>
		<originalLoanAmount>18000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04600000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04600000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>24</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>69958.33000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>18000000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Embassy Suites Denver</propertyName>
			<propertyAddress>4444 Havana Street</propertyAddress>
			<propertyCity>Denver</propertyCity>
			<propertyState>CO</propertyState>
			<propertyZip>80239</propertyZip>
			<propertyCounty>Denver</propertyCounty>
			<propertyTypeCode>LO</propertyTypeCode>
			<unitsBedsRoomsNumber>210</unitsBedsRoomsNumber>
			<unitsBedsRoomsSecuritizationNumber>210</unitsBedsRoomsSecuritizationNumber>
			<yearBuiltNumber>1985</yearBuiltNumber>
			<yearLastRenovated>2013</yearLastRenovated>
			<valuationSecuritizationAmount>30500000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>01-31-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>30500000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>01-31-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.80000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>10471804.48000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>7353597.23000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>3118207.25000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>2699335.07000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>3.71000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>3.22000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>15793995.09000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>92275.99000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04600000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>60543.65000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>31732.34000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>15762262.75000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>15762262.75000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>16</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>04-06-2017</originationDate>
		<originalLoanAmount>18000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04540000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04540000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>36</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>69045.83000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>18000000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>2</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>12-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Troy Office Portfolio</propertyName>
			<propertyAddress>4685 Investment Drive &amp; 1441 West Long Lake Road</propertyAddress>
			<propertyCity>Troy</propertyCity>
			<propertyState>MI</propertyState>
			<propertyZip>48098</propertyZip>
			<propertyCounty>Oakland</propertyCounty>
			<propertyTypeCode>OF</propertyTypeCode>
			<netRentableSquareFeetNumber>186288</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>185173</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1999</yearBuiltNumber>
			<yearLastRenovated>2013</yearLastRenovated>
			<valuationSecuritizationAmount>26850000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>03-08-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>26850000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>03-08-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Plastic Om Plastic Omnium Aut Inrgy(USA</largestTenant>
			<squareFeetLargestTenantNumber>79017</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>02-28-2036</leaseExpirationLargestTenantDate>
			<secondLargestTenant>InteDeS Integrated Design Solutions</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>16394</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>07-31-2034</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>G.B Kenric G.B Kenrick and Assoctes,</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>15032</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>09-30-2032</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>3140216.65000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>884711.71000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>2255504.95000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1911456.65000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.72000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.31000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>01-01-2026</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>16133941.74000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>91631.66000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04540000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00035600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>61040.08000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>30591.58000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>16103350.16000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>16103350.16000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>17</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>04-19-2017</originationDate>
		<originalLoanAmount>18000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>05-06-2027</maturityDate>
		<originalAmortizationTermNumber>0</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04210000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04210000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>06-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>3</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>64027.08000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>18000000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>02-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Malibu Vista</propertyName>
			<propertyAddress>22761 Pacific Coast Highway</propertyAddress>
			<propertyCity>Malibu</propertyCity>
			<propertyState>CA</propertyState>
			<propertyZip>90265</propertyZip>
			<propertyCounty>Los Angeles</propertyCounty>
			<propertyTypeCode>OF</propertyTypeCode>
			<netRentableSquareFeetNumber>32583</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>32583</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1980</yearBuiltNumber>
			<yearLastRenovated>2013</yearLastRenovated>
			<valuationSecuritizationAmount>36500000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>03-02-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>36500000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>03-02-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>2176263.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>416449.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1759814.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1628714.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.29000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.12000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-31-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>18000000.00000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>63150.00000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04210000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>63150.00000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>.00000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>18000000.00000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>18000000.00000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>1000.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>18</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>03-31-2017</originationDate>
		<originalLoanAmount>17350000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2035</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04900000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04900000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>36</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>7</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>71829.80000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>17350000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<yieldMaintenanceEndDate>11-05-2026</yieldMaintenanceEndDate>
		<prepaymentPremiumsEndDate>11-05-2026</prepaymentPremiumsEndDate>
		<property>
			<propertyName>Alvogen Pharma Us</propertyName>
			<netRentableSquareFeetSecuritizationNumber>385000</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1976</yearBuiltNumber>
			<valuationSecuritizationAmount>26150000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>03-02-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<revenueSecuritizationAmount>2697942.05000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>845938.26000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1852003.79000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1794253.79000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.15000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.08000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>.00000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<reportPeriodInterestRatePercentage>.00000000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00000000</servicerTrusteeFeeRatePercentage>
		<reportPeriodEndScheduledLoanBalanceAmount>.00000000</reportPeriodEndScheduledLoanBalanceAmount>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<liquidationPrepaymentCode>2</liquidationPrepaymentCode>
		<liquidationPrepaymentDate>01-06-2026</liquidationPrepaymentDate>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>19</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>03-22-2017</originationDate>
		<originalLoanAmount>16500000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04610000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04610000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>60</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>64267.88000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>16500000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>2</NumberPropertiesSecuritization>
		<NumberProperties>2</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<yieldMaintenanceEndDate>12-05-2026</yieldMaintenanceEndDate>
		<prepaymentPremiumsEndDate>12-05-2026</prepaymentPremiumsEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Wheeling Facility</propertyName>
			<propertyAddress>1351 S. Wheeling Road</propertyAddress>
			<propertyCity>Wheeling</propertyCity>
			<propertyState>IL</propertyState>
			<propertyZip>60090</propertyZip>
			<propertyCounty>Cook</propertyCounty>
			<propertyTypeCode>IN</propertyTypeCode>
			<netRentableSquareFeetNumber>437533</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>245038</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1960</yearBuiltNumber>
			<yearLastRenovated>2009</yearLastRenovated>
			<valuationSecuritizationAmount>14900000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>03-01-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>14900000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>03-01-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<DefeasedStatusCode>X</DefeasedStatusCode>
			<largestTenant>1351 S. Wheeling Road, Wheeling, IL ,               SG360</largestTenant>
			<squareFeetLargestTenantNumber>245038</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>02-06-2034</leaseExpirationLargestTenantDate>
			<secondLargestTenant>1900 S. 25th Avenue, Broadview, IL</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>192495</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>02-06-2034</leaseExpirationSecondLargestTenantDate>
			<revenueSecuritizationAmount>1052229.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>31567.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1020662.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1020662.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-31-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<property>
			<propertyName>Broadview Facility</propertyName>
			<propertyAddress>1900 S. 25th Avenue</propertyAddress>
			<propertyCity>Broadview</propertyCity>
			<propertyState>IL</propertyState>
			<propertyZip>60155</propertyZip>
			<propertyCounty>Cook</propertyCounty>
			<propertyTypeCode>IN</propertyTypeCode>
			<netRentableSquareFeetNumber>192495</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>192495</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1958</yearBuiltNumber>
			<yearLastRenovated>1967</yearLastRenovated>
			<valuationSecuritizationAmount>10100000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>03-01-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>10100000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>03-01-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<DefeasedStatusCode>X</DefeasedStatusCode>
			<largestTenant>BROADVIEW</largestTenant>
			<squareFeetLargestTenantNumber>192495</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>02-06-2034</leaseExpirationLargestTenantDate>
			<revenueSecuritizationAmount>643521.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>19306.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>624215.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>624215.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-31-2018</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>15427192.90000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>84684.96000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04610000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>59266.13000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>25418.83000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>15401774.07000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>15401774.07000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>20</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>03-17-2017</originationDate>
		<originalLoanAmount>15000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04820000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04820000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>78881.24000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>14981368.76000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<netRentableSquareFeetSecuritizationNumber>105130</netRentableSquareFeetSecuritizationNumber>
			<valuationSecuritizationAmount>36000000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-03-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.54000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>02-28-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>2663300.49000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>825606.08000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1837694.42000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1821924.92000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.94000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.92000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>12597399.53000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>78881.24000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04820000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>50599.55000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>28281.69000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>12569117.84000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>12569117.84000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>21</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>04-03-2017</originationDate>
		<originalLoanAmount>15000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04200000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04200000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>73352.58000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>14979147.42000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<netRentableSquareFeetSecuritizationNumber>56580</netRentableSquareFeetSecuritizationNumber>
			<valuationSecuritizationAmount>28970000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-20-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.94000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>01-31-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>2247073.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>681313.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1565760.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1552181.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.78000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.76000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>12361459.27000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>73352.58000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04200000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>43265.11000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>30087.47000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>12331371.80000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>12331371.80000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>22</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>01-06-2017</originationDate>
		<originalLoanAmount>13500000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>01-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.05140000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.05140000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>36</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>02-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>58628.13000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>13500000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>true</modifiedIndicator>
		<prepaymentLockOutEndDate>10-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Embassy Suites Tempe</propertyName>
			<propertyAddress>4400 South Rural Road</propertyAddress>
			<propertyCity>Tempe</propertyCity>
			<propertyState>AZ</propertyState>
			<propertyZip>85282</propertyZip>
			<propertyCounty>Maricopa</propertyCounty>
			<propertyTypeCode>LO</propertyTypeCode>
			<unitsBedsRoomsNumber>224</unitsBedsRoomsNumber>
			<unitsBedsRoomsSecuritizationNumber>224</unitsBedsRoomsSecuritizationNumber>
			<yearBuiltNumber>1984</yearBuiltNumber>
			<yearLastRenovated>2012</yearLastRenovated>
			<valuationSecuritizationAmount>21500000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>12-01-2016</valuationSecuritizationDate>
			<mostRecentValuationAmount>21500000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>12-01-2016</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.82000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>10-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>10088904.17000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>7707775.93000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>2381128.24000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1977572.07000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>3.38000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.81000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>12175087.88000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>73630.39000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.05140000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>52149.96000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>21480.43000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>12153607.45000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>12153607.45000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<lastModificationDate>09-23-2020</lastModificationDate>
		<modificationCode>98</modificationCode>
		<postModificationInterestPercentage>.00000000</postModificationInterestPercentage>
		<postModificationPaymentAmount>.00000000</postModificationPaymentAmount>
		<postModificationMaturityDate>01-06-2027</postModificationMaturityDate>
		<postModificationAmortizationPeriodAmount>.00000000</postModificationAmortizationPeriodAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>23</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>03-27-2017</originationDate>
		<originalLoanAmount>12750000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04690000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04690000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>66072.69000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>12733790.43000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>12-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>MacArthur Shopping Center</propertyName>
			<propertyAddress>1111-1225 W Airport Freeway</propertyAddress>
			<propertyCity>Irving</propertyCity>
			<propertyState>TX</propertyState>
			<propertyZip>75062</propertyZip>
			<propertyCounty>Dallas</propertyCounty>
			<propertyTypeCode>MU</propertyTypeCode>
			<netRentableSquareFeetNumber>124220</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>124220</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1983</yearBuiltNumber>
			<yearLastRenovated>2013</yearLastRenovated>
			<valuationSecuritizationAmount>19100000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>01-11-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>19100000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>01-11-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.98000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Fiesta Mart #73</largestTenant>
			<squareFeetLargestTenantNumber>42827</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>12-31-2029</leaseExpirationLargestTenantDate>
			<secondLargestTenant>LIBIR, LLC dba Liberty Dialysis</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>7629</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>12-31-2030</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>Women, Infants and Children (WIC)</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>6854</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>09-30-2027</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1981156.45000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>694666.19000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1286490.26000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1146813.09000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.62000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.45000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>10-21-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>10667464.16000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>66072.69000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04693000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>41718.67000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>24354.02000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>10643110.14000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>10643110.14000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>24</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>03-24-2017</originationDate>
		<originalLoanAmount>12320000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04820000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04820000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>60</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>50172.63000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>12320000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>2</NumberPropertiesSecuritization>
		<NumberProperties>2</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Storquest Bradenton</propertyName>
			<propertyAddress>3805 53rd Avenue E</propertyAddress>
			<propertyCity>Bradenton</propertyCity>
			<propertyState>FL</propertyState>
			<propertyZip>34203</propertyZip>
			<propertyCounty>Manatee</propertyCounty>
			<propertyTypeCode>SS</propertyTypeCode>
			<netRentableSquareFeetNumber>103315</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>103315</netRentableSquareFeetSecuritizationNumber>
			<unitsBedsRoomsNumber>923</unitsBedsRoomsNumber>
			<yearBuiltNumber>1993</yearBuiltNumber>
			<valuationSecuritizationAmount>11400000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-17-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>11400000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>02-17-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.80000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>01-31-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1031487.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>354246.59000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>677240.41000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>666908.91000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
		</property>
		<property>
			<propertyName>Storequest Sarasota</propertyName>
			<propertyAddress>5530 Pinkney Avenue</propertyAddress>
			<propertyCity>Sarasota</propertyCity>
			<propertyState>FL</propertyState>
			<propertyZip>34233</propertyZip>
			<propertyCounty>Sarasota</propertyCounty>
			<propertyTypeCode>SS</propertyTypeCode>
			<netRentableSquareFeetNumber>78953</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>78953</netRentableSquareFeetSecuritizationNumber>
			<unitsBedsRoomsNumber>638</unitsBedsRoomsNumber>
			<yearBuiltNumber>1982</yearBuiltNumber>
			<valuationSecuritizationAmount>6800000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-17-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>6800000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>02-17-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.88000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>01-31-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>685863.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>276253.61000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>409609.39000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>401714.09000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>11548923.37000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>64787.79000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04820000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>46388.18000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>18399.61000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>11530523.76000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>11530523.76000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>25</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>04-17-2017</originationDate>
		<originalLoanAmount>11750000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>05-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04700000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04700000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>84</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>06-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>46660.01000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>11750000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>02-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Malibu Office</propertyName>
			<propertyAddress>22809 Pacific Coast Highway</propertyAddress>
			<propertyCity>Malibu</propertyCity>
			<propertyState>CA</propertyState>
			<propertyZip>90265</propertyZip>
			<propertyCounty>Los Angeles</propertyCounty>
			<propertyTypeCode>OF</propertyTypeCode>
			<netRentableSquareFeetNumber>18643</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>18643</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1989</yearBuiltNumber>
			<yearLastRenovated>2016</yearLastRenovated>
			<valuationSecuritizationAmount>17270000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>12-12-2016</valuationSecuritizationDate>
			<mostRecentValuationAmount>8500000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>07-14-2025</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>2</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<revenueSecuritizationAmount>1275297.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>299861.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>975435.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>943742.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.74000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.69000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-31-2023</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>11407598.02000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>60939.94000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04700000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>44679.76000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>16260.18000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>11470515.69000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>11391337.84000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>12-06-2025</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>233493.29000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>85575.79000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>131222.82000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>3</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<mostRecentSpecialServicerTransferDate>05-13-2024</mostRecentSpecialServicerTransferDate>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<workoutStrategyCode>7</workoutStrategyCode>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>26</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>04-10-2017</originationDate>
		<originalLoanAmount>11200000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>05-06-2027</maturityDate>
		<originalAmortizationTermNumber>0</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04430000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04430000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>06-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>3</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>41920.93000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>11200000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>02-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Torrance Medical Office</propertyName>
			<propertyAddress>3565 Del Amo Boulevard</propertyAddress>
			<propertyCity>Torrance</propertyCity>
			<propertyState>CA</propertyState>
			<propertyZip>90503</propertyZip>
			<propertyCounty>Los Angeles</propertyCounty>
			<propertyTypeCode>OF</propertyTypeCode>
			<netRentableSquareFeetNumber>55218</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>55218</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1987</yearBuiltNumber>
			<yearLastRenovated>2006</yearLastRenovated>
			<valuationSecuritizationAmount>23100000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>03-10-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>23100000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>03-10-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>DaVita Medical Management, LLC) (f/k/a HealthCare Partners, LLC)</largestTenant>
			<squareFeetLargestTenantNumber>55218</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>03-31-2028</leaseExpirationLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1490290.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>44709.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1445581.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1434537.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.87000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.85000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-31-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>11200000.00000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>41346.67000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04430000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>41346.67000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>.00000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>11200000.00000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>11200000.00000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>27</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>02-10-2017</originationDate>
		<originalLoanAmount>10950000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>03-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04860000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04860000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>04-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>57848.65000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>10924427.26000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>09-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<netRentableSquareFeetSecuritizationNumber>152073</netRentableSquareFeetSecuritizationNumber>
			<valuationSecuritizationAmount>14740000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>01-04-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.93000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>11-30-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1934722.06000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>592962.91000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1341759.15000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1223730.30000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.93000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.76000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>9188218.42000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>57848.65000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04860000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>37212.28000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>20636.37000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>9167582.05000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>9167582.05000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<mostRecentSpecialServicerTransferDate>08-10-2020</mostRecentSpecialServicerTransferDate>
		<mostRecentMasterServicerReturnDate>09-02-2020</mostRecentMasterServicerReturnDate>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<workoutStrategyCode>8</workoutStrategyCode>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>28</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>04-03-2017</originationDate>
		<originalLoanAmount>10500000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04900000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04900000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>55726.31000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>10487148.69000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<unitsBedsRoomsSecuritizationNumber>160</unitsBedsRoomsSecuritizationNumber>
			<valuationSecuritizationAmount>14500000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>01-12-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.99000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1709477.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>760704.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>948772.23000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>908772.23000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.42000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.36000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>8838933.09000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>55726.31000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04900000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>36092.31000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>19634.00000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>8819299.09000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>8819299.09000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>29</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>03-30-2017</originationDate>
		<originalLoanAmount>9870000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04790000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04790000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>51724.83000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>9857672.92000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>true</modifiedIndicator>
		<prepaymentLockOutEndDate>12-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Roslyn Hotel</propertyName>
			<propertyAddress>1221 Old Northern Boulevard</propertyAddress>
			<propertyCity>Roslyn</propertyCity>
			<propertyState>NY</propertyState>
			<propertyZip>11576</propertyZip>
			<propertyCounty>Nassau</propertyCounty>
			<propertyTypeCode>LO</propertyTypeCode>
			<unitsBedsRoomsNumber>77</unitsBedsRoomsNumber>
			<unitsBedsRoomsSecuritizationNumber>77</unitsBedsRoomsSecuritizationNumber>
			<yearBuiltNumber>1991</yearBuiltNumber>
			<yearLastRenovated>2014</yearLastRenovated>
			<valuationSecuritizationAmount>14100000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-01-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>10900000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>05-25-2021</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.68000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>3786580.85000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>2585386.12000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1201194.74000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1049731.50000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.94000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.69000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>8281741.89000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>51724.83000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04790000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>33057.95000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>18666.88000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>8263075.01000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>8263075.01000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<mostRecentSpecialServicerTransferDate>07-01-2020</mostRecentSpecialServicerTransferDate>
		<mostRecentMasterServicerReturnDate>03-10-2022</mostRecentMasterServicerReturnDate>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<workoutStrategyCode>8</workoutStrategyCode>
		<postModificationMaturityDate>04-06-2027</postModificationMaturityDate>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>30</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>03-27-2017</originationDate>
		<originalLoanAmount>9700000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04830000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04830000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>51068.58000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>9687973.92000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>true</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Watson Central Shopping Center</propertyName>
			<propertyAddress>2191 - 2203 Watson Boulevard</propertyAddress>
			<propertyCity>Warner Robins</propertyCity>
			<propertyState>GA</propertyState>
			<propertyZip>31093</propertyZip>
			<propertyCounty>Houston</propertyCounty>
			<propertyTypeCode>RT</propertyTypeCode>
			<netRentableSquareFeetNumber>222189</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>227956</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1989</yearBuiltNumber>
			<valuationSecuritizationAmount>13400000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>11-04-2016</valuationSecuritizationDate>
			<mostRecentValuationAmount>13400000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>11-04-2016</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.97000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Food Depot All America</largestTenant>
			<squareFeetLargestTenantNumber>45000</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>11-30-2032</leaseExpirationLargestTenantDate>
			<secondLargestTenant>Citi Trends</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>17664</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>05-31-2029</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>Harbor Freight</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>15249</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>08-31-2026</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1615983.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>350122.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>1265861.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>1141667.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.07000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.86000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-31-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>8148721.77000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>51068.58000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04830000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00045600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>32798.61000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>18269.97000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>8130451.80000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>8130451.80000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<mostRecentSpecialServicerTransferDate>02-15-2024</mostRecentSpecialServicerTransferDate>
		<mostRecentMasterServicerReturnDate>07-30-2025</mostRecentMasterServicerReturnDate>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<workoutStrategyCode>8</workoutStrategyCode>
		<lastModificationDate>06-27-2025</lastModificationDate>
		<modificationCode>98</modificationCode>
		<postModificationInterestPercentage>.00000000</postModificationInterestPercentage>
		<postModificationMaturityDate>04-06-2027</postModificationMaturityDate>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>31</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>03-23-2017</originationDate>
		<originalLoanAmount>8500000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>0</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04300000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04300000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>3</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>30881.37000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>8500000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>11-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>50 Bond Street</propertyName>
			<propertyAddress>50 Bond Street</propertyAddress>
			<propertyCity>New York</propertyCity>
			<propertyState>NY</propertyState>
			<propertyZip>10012</propertyZip>
			<propertyCounty>New York</propertyCounty>
			<propertyTypeCode>RT</propertyTypeCode>
			<netRentableSquareFeetNumber>6400</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>6400</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1896</yearBuiltNumber>
			<yearLastRenovated>2015</yearLastRenovated>
			<valuationSecuritizationAmount>19000000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-15-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>9300000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>09-05-2025</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>2</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Lululemon Athletica</largestTenant>
			<squareFeetLargestTenantNumber>6400</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>01-31-2026</leaseExpirationLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>879303.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>81113.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>798190.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>784430.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.15000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.12000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>03-31-2021</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>8500000.00000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>.00000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04300000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>.00000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>.00000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>8500000.00000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>8500000.00000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>07-06-2022</paidThroughDate>
		<nonRecoverabilityIndicator>true</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>1209747.52000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>132151.16000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>644238.23000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>3</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<mostRecentSpecialServicerTransferDate>06-23-2021</mostRecentSpecialServicerTransferDate>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<workoutStrategyCode>7</workoutStrategyCode>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>32</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>12-21-2016</originationDate>
		<originalLoanAmount>8347500.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>01-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.05200000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.05200000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>02-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>45837.03000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>8308589.38000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>10-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Atrium Regency Apartments</propertyName>
			<propertyAddress>5655 Glenmont Drive</propertyAddress>
			<propertyCity>Houston</propertyCity>
			<propertyState>TX</propertyState>
			<propertyZip>77081</propertyZip>
			<propertyCounty>Harris</propertyCounty>
			<propertyTypeCode>MF</propertyTypeCode>
			<unitsBedsRoomsNumber>122</unitsBedsRoomsNumber>
			<unitsBedsRoomsSecuritizationNumber>122</unitsBedsRoomsSecuritizationNumber>
			<yearBuiltNumber>1984</yearBuiltNumber>
			<yearLastRenovated>2016</yearLastRenovated>
			<valuationSecuritizationAmount>11130000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>11-21-2016</valuationSecuritizationDate>
			<mostRecentValuationAmount>11130000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>11-21-2016</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.95000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>02-28-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1393345.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>594137.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>799208.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>774808.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.45000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.41000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>7041154.07000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>45837.03000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.05200000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>30511.67000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>15325.36000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>7025828.71000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>7025828.71000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>33</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>04-05-2017</originationDate>
		<originalLoanAmount>8000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04740000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04740000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>41678.76000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>7989914.57000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Apache Plaza</propertyName>
			<propertyAddress>5105-5195 South Fort Apache Road</propertyAddress>
			<propertyCity>Las Vegas</propertyCity>
			<propertyState>NV</propertyState>
			<propertyZip>89148</propertyZip>
			<propertyCounty>Clark</propertyCounty>
			<propertyTypeCode>RT</propertyTypeCode>
			<netRentableSquareFeetNumber>42516</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>42920</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>2008</yearBuiltNumber>
			<valuationSecuritizationAmount>12100000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>12-28-2016</valuationSecuritizationDate>
			<mostRecentValuationAmount>12100000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>12-28-2016</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.88000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Visionary Properties dba Visic</largestTenant>
			<squareFeetLargestTenantNumber>4203</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>04-30-2027</leaseExpirationLargestTenantDate>
			<secondLargestTenant>Aubergine &amp; Company dba</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>3000</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>12-31-2035</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>Mattress Firm, Inc. (Store #05</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>2939</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>04-30-2028</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1050270.13000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>202345.75000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>847924.38000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>820420.38000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.70000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.64000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-31-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>6702503.99000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>41678.76000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04739000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>26469.31000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>15209.45000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>6687294.54000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>6687294.54000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>34</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>04-07-2017</originationDate>
		<originalLoanAmount>7500000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>05-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04490000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04490000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>06-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>37956.85000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>7500000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>02-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<netRentableSquareFeetSecuritizationNumber>62773</netRentableSquareFeetSecuritizationNumber>
			<valuationSecuritizationAmount>10000000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-09-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.89000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>01-31-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1208880.16000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>458317.21000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>750562.95000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>685235.35000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.65000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.50000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>6251428.39000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>37956.85000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04490000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>23390.76000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>14566.09000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>6236862.30000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>6236862.30000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<mostRecentSpecialServicerTransferDate>06-25-2020</mostRecentSpecialServicerTransferDate>
		<mostRecentMasterServicerReturnDate>08-24-2020</mostRecentMasterServicerReturnDate>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<workoutStrategyCode>8</workoutStrategyCode>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>35</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>03-27-2017</originationDate>
		<originalLoanAmount>7000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.05050000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.05050000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>24</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>29867.48000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>7000000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>12-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<netRentableSquareFeetSecuritizationNumber>88077</netRentableSquareFeetSecuritizationNumber>
			<valuationSecuritizationAmount>10750000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-04-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.90000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1126618.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>375619.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>751000.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>645307.22000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.10000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.80000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>6204053.59000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>37791.71000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.05050000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>26108.73000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>11682.98000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>6192370.61000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>6192370.61000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<mostRecentSpecialServicerTransferDate>06-23-2020</mostRecentSpecialServicerTransferDate>
		<mostRecentMasterServicerReturnDate>07-28-2020</mostRecentMasterServicerReturnDate>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<workoutStrategyCode>8</workoutStrategyCode>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>36</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CGMRC</originatorName>
		<originationDate>03-01-2017</originationDate>
		<originalLoanAmount>7000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>03-06-2027</maturityDate>
		<originalAmortizationTermNumber>0</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04540000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04540000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>04-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>3</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>26851.16000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>7000000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>12-05-2026</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Extra Space Stone Mountain</propertyName>
			<propertyAddress>5502 Memorial Drive</propertyAddress>
			<propertyCity>Stone Mountain</propertyCity>
			<propertyState>GA</propertyState>
			<propertyZip>30083</propertyZip>
			<propertyCounty>DeKalb</propertyCounty>
			<propertyTypeCode>SS</propertyTypeCode>
			<netRentableSquareFeetNumber>105990</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>105990</netRentableSquareFeetSecuritizationNumber>
			<unitsBedsRoomsNumber>1106</unitsBedsRoomsNumber>
			<yearBuiltNumber>1988</yearBuiltNumber>
			<yearLastRenovated>1998</yearLastRenovated>
			<valuationSecuritizationAmount>12300000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-11-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>12300000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>02-11-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.96000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1272643.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>486876.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>785767.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>775168.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.44000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.41000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>7000000.00000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>26483.33000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04540000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00045600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>26483.33000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>.00000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>7000000.00000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>7000000.00000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>37</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>04-06-2017</originationDate>
		<originalLoanAmount>6780000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>0</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04400000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04400000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>3</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>25205.28000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>6780000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>02-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<netRentableSquareFeetSecuritizationNumber>25600</netRentableSquareFeetSecuritizationNumber>
			<valuationSecuritizationAmount>11200000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>03-03-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>02-28-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>976409.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>249389.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>727020.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>671979.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.40000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.22000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>6780000.00000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>24860.00000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04400000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>24860.00000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>.00000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>6780000.00000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>6780000.00000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>38</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>04-06-2017</originationDate>
		<originalLoanAmount>5775000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04790000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04790000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>30264.53000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>5767787.35000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Shoppes at the Garden</propertyName>
			<propertyAddress>10800 N. Military Trail</propertyAddress>
			<propertyCity>Palm Beach Gardens</propertyCity>
			<propertyState>FL</propertyState>
			<propertyZip>33401</propertyZip>
			<propertyCounty>Palm Beach</propertyCounty>
			<propertyTypeCode>RT</propertyTypeCode>
			<netRentableSquareFeetNumber>35323</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>34192</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1970</yearBuiltNumber>
			<yearLastRenovated>2016</yearLastRenovated>
			<valuationSecuritizationAmount>7700000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-09-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>7700000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>02-09-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.95000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Anywhere, Inc.</largestTenant>
			<squareFeetLargestTenantNumber>3100</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>03-31-2029</leaseExpirationLargestTenantDate>
			<secondLargestTenant>Tranquil Radiance Spa LLC</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>3075</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>02-28-2030</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>The Escape Team LLC</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>2795</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>10-31-2028</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>01-31-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>890898.89000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>239885.23000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>651013.66000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>607431.43000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.79000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.67000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>09-30-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>4845699.87000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>30264.53000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04790000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>19342.42000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>10922.11000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>4834777.76000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>4834777.76000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>39</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>03-31-2017</originationDate>
		<originalLoanAmount>5563000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04780000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04780000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>36</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>22467.05000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>5563000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>SSM Health Hq</propertyName>
			<propertyAddress>10101 Woodfield Lane</propertyAddress>
			<propertyCity>Creve Coeur</propertyCity>
			<propertyState>MO</propertyState>
			<propertyZip>63132</propertyZip>
			<propertyCounty>St. Louis</propertyCounty>
			<propertyTypeCode>OF</propertyTypeCode>
			<netRentableSquareFeetNumber>82742</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>82742</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1982</yearBuiltNumber>
			<yearLastRenovated>1999</yearLastRenovated>
			<valuationSecuritizationAmount>11300000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>01-27-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>7860000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>01-21-2026</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>2</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1526793.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>830302.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>696490.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>683252.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.58000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.53000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-31-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>5009279.99000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>29119.92000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04780000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>19953.63000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>9166.29000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>5000113.70000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>5000113.70000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<mostRecentSpecialServicerTransferDate>05-13-2025</mostRecentSpecialServicerTransferDate>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
		<workoutStrategyCode>2</workoutStrategyCode>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>40</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>03-30-2017</originationDate>
		<originalLoanAmount>5232500.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04830000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04830000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>60</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>21353.32000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>5232500.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>2</NumberPropertiesSecuritization>
		<NumberProperties>2</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Storquest Manhattan</propertyName>
			<propertyAddress>5002 South Manhattan Avenue</propertyAddress>
			<propertyCity>Tampa</propertyCity>
			<propertyState>FL</propertyState>
			<propertyZip>33611</propertyZip>
			<propertyCounty>Hillsborough</propertyCounty>
			<propertyTypeCode>SS</propertyTypeCode>
			<netRentableSquareFeetNumber>55200</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>55200</netRentableSquareFeetSecuritizationNumber>
			<unitsBedsRoomsNumber>547</unitsBedsRoomsNumber>
			<yearBuiltNumber>1986</yearBuiltNumber>
			<valuationSecuritizationAmount>4600000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-17-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>4600000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>02-17-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.92000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>02-28-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>516056.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>250218.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>265838.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>260318.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
		</property>
		<property>
			<propertyName>Fair Oaks</propertyName>
			<propertyAddress>3820 West Fair Oaks Avenue</propertyAddress>
			<propertyCity>Tampa</propertyCity>
			<propertyState>FL</propertyState>
			<propertyZip>33611</propertyZip>
			<propertyCounty>Hillsborough</propertyCounty>
			<propertyTypeCode>SS</propertyTypeCode>
			<netRentableSquareFeetNumber>36704</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>36704</netRentableSquareFeetSecuritizationNumber>
			<unitsBedsRoomsNumber>498</unitsBedsRoomsNumber>
			<yearBuiltNumber>1962</yearBuiltNumber>
			<valuationSecuritizationAmount>4100000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-17-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>4100000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>02-17-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.90000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>02-28-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>461828.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>250547.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>211281.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>207611.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>4905609.64000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>27548.08000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04830000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>19745.08000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>7803.00000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>4897806.64000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>4897806.64000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>41</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>04-06-2017</originationDate>
		<originalLoanAmount>5025000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04790000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04790000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>26334.07000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>5018724.05000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Sunny Plaza</propertyName>
			<propertyAddress>9089-9091 North Military Trail</propertyAddress>
			<propertyCity>Palm Beach Gardens</propertyCity>
			<propertyState>FL</propertyState>
			<propertyZip>33401</propertyZip>
			<propertyCounty>Palm Beach</propertyCounty>
			<propertyTypeCode>RT</propertyTypeCode>
			<netRentableSquareFeetNumber>31362</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>33306</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1986</yearBuiltNumber>
			<yearLastRenovated>2016</yearLastRenovated>
			<valuationSecuritizationAmount>6700000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-09-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>6700000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>02-09-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Vicky Bakery</largestTenant>
			<squareFeetLargestTenantNumber>2730</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>10-31-2035</leaseExpirationLargestTenantDate>
			<secondLargestTenant>The Popper Project Palm Beach, Inc.</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>2457</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>09-30-2028</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>Cold Shoulder FIcks, LLC</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>1800</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>05-31-2027</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>01-31-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>692740.52000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>194109.14000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>498631.39000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>453570.42000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.58000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.44000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>04-01-2026</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>4216388.43000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>26334.07000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04790000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>16830.42000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>9503.65000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>4206884.78000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>4206884.78000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>42</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>03-23-2017</originationDate>
		<originalLoanAmount>5000000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>0</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04360000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04360000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>3</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>18418.98000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>5000000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<yieldMaintenanceEndDate>01-05-2027</yieldMaintenanceEndDate>
		<prepaymentPremiumsEndDate>01-05-2027</prepaymentPremiumsEndDate>
		<property>
			<propertyName>Champion Forest Self Storage</propertyName>
			<netRentableSquareFeetSecuritizationNumber>60083</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>2003</yearBuiltNumber>
			<valuationSecuritizationAmount>10700000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-23-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.83000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<financialsSecuritizationDate>01-31-2017</financialsSecuritizationDate>
			<revenueSecuritizationAmount>1037719.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>413472.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>624247.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>618239.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.82000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>2.80000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>.00000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<reportPeriodInterestRatePercentage>.00000000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00000000</servicerTrusteeFeeRatePercentage>
		<reportPeriodEndScheduledLoanBalanceAmount>.00000000</reportPeriodEndScheduledLoanBalanceAmount>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<liquidationPrepaymentCode>8</liquidationPrepaymentCode>
		<liquidationPrepaymentDate>09-06-2025</liquidationPrepaymentDate>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>43</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>03-31-2017</originationDate>
		<originalLoanAmount>4875000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.05250000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.05250000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>26919.93000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>4869408.20000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>02-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Massillon Citi Center</propertyName>
			<propertyAddress>155, 235 &amp; 275 Lincoln Way West</propertyAddress>
			<propertyCity>Massillon</propertyCity>
			<propertyState>OH</propertyState>
			<propertyZip>44647</propertyZip>
			<propertyCounty>Stark</propertyCounty>
			<propertyTypeCode>RT</propertyTypeCode>
			<netRentableSquareFeetNumber>50223</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>49763</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>1995</yearBuiltNumber>
			<valuationSecuritizationAmount>6500000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>01-17-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>6500000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>01-17-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.96000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Dollar Tree #3384</largestTenant>
			<squareFeetLargestTenantNumber>10704</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>01-31-2028</leaseExpirationLargestTenantDate>
			<secondLargestTenant>BW-3</secondLargestTenant>
			<squareFeetSecondLargestTenantNumber>6926</squareFeetSecondLargestTenantNumber>
			<leaseExpirationSecondLargestTenantDate>10-31-2027</leaseExpirationSecondLargestTenantDate>
			<thirdLargestTenant>Rockne's Pub</thirdLargestTenant>
			<squareFeetThirdLargestTenantNumber>4557</squareFeetThirdLargestTenantNumber>
			<leaseExpirationThirdLargestTenantDate>12-31-2026</leaseExpirationThirdLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>744163.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>237685.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>506479.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>450783.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.57000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.40000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>01-06-2026</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>4145249.76000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>26919.93000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.05250000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00065600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>18135.47000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>8784.46000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>4136465.30000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>4136465.30000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>1420.41000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>44</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>DBNY</originatorName>
		<originationDate>03-30-2017</originationDate>
		<originalLoanAmount>4850000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.05250000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.05250000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>26781.88000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>4844436.87000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<netRentableSquareFeetSecuritizationNumber>14490</netRentableSquareFeetSecuritizationNumber>
			<valuationSecuritizationAmount>7300000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>11-11-2016</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<revenueSecuritizationAmount>409500.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>11970.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>397530.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>396081.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.24000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.23000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>4123991.93000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>26781.88000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.05250000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>18042.46000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>8739.42000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>4115252.51000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>4115252.51000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>45</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>03-14-2017</originationDate>
		<originalLoanAmount>4380000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.05290000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.05290000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>36</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>19576.67000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>4380000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Amsdell Gateway Self Storage</propertyName>
			<propertyAddress>4209 Alliance Gateway Freeway</propertyAddress>
			<propertyCity>Fort Worth</propertyCity>
			<propertyState>TX</propertyState>
			<propertyZip>76177</propertyZip>
			<propertyCounty>Tarrant</propertyCounty>
			<propertyTypeCode>SS</propertyTypeCode>
			<netRentableSquareFeetNumber>49085</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>49085</netRentableSquareFeetSecuritizationNumber>
			<unitsBedsRoomsNumber>405</unitsBedsRoomsNumber>
			<yearBuiltNumber>2002</yearBuiltNumber>
			<valuationSecuritizationAmount>6100000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>01-23-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>6100000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>01-23-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>.86000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>592338.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>227002.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>365335.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>360427.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.56000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.53000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>3981096.56000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>24295.15000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.05290000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00104400</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>17550.00000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>6745.15000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>3974351.41000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>3974351.41000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>46</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>04-07-2017</originationDate>
		<originalLoanAmount>3315000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04910000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04910000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>2</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>17613.75000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>3310950.13000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
		<NumberProperties>1</NumberProperties>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>false</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>01-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Walgreens Columbia</propertyName>
			<propertyAddress>1202 S. James Campbell Boulevard</propertyAddress>
			<propertyCity>Columbia</propertyCity>
			<propertyState>TN</propertyState>
			<propertyZip>38401</propertyZip>
			<propertyCounty>Maury</propertyCounty>
			<propertyTypeCode>RT</propertyTypeCode>
			<netRentableSquareFeetNumber>13650</netRentableSquareFeetNumber>
			<netRentableSquareFeetSecuritizationNumber>13650</netRentableSquareFeetSecuritizationNumber>
			<yearBuiltNumber>2003</yearBuiltNumber>
			<valuationSecuritizationAmount>5130000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>03-06-2017</valuationSecuritizationDate>
			<mostRecentValuationAmount>5130000.00000000</mostRecentValuationAmount>
			<mostRecentValuationDate>03-06-2017</mostRecentValuationDate>
			<mostRecentValuationSourceCode>MAI</mostRecentValuationSourceCode>
			<physicalOccupancySecuritizationPercentage>1.00000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>6</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>N</DefeasedStatusCode>
			<largestTenant>Walgreens</largestTenant>
			<squareFeetLargestTenantNumber>13650</squareFeetLargestTenantNumber>
			<leaseExpirationLargestTenantDate>09-30-2028</leaseExpirationLargestTenantDate>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>327860.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>9836.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>318024.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>318024.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
			<netOperatingIncomeNetCashFlowCode>CREFC</netOperatingIncomeNetCashFlowCode>
			<debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.50000000</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
			<debtServiceCoverageNetCashFlowSecuritizationPercentage>1.50000000</debtServiceCoverageNetCashFlowSecuritizationPercentage>
			<mostRecentDebtServiceCoverageCode>F</mostRecentDebtServiceCoverageCode>
			<mostRecentAnnualLeaseRolloverReviewDate>12-31-2025</mostRecentAnnualLeaseRolloverReviewDate>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>2791393.21000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>17613.75000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04910000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>11421.45000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>6192.30000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>2785200.91000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>2785200.91000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
	<assets>
		<assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
		<assetNumber>47</assetNumber>
		<reportingPeriodBeginningDate>04-07-2026</reportingPeriodBeginningDate>
		<reportingPeriodEndDate>05-06-2026</reportingPeriodEndDate>
		<originatorName>CREFI</originatorName>
		<originationDate>03-28-2017</originationDate>
		<originalLoanAmount>3185000.00000000</originalLoanAmount>
		<originalTermLoanNumber>120</originalTermLoanNumber>
		<maturityDate>04-06-2027</maturityDate>
		<originalAmortizationTermNumber>360</originalAmortizationTermNumber>
		<originalInterestRatePercentage>.04860000</originalInterestRatePercentage>
		<interestRateSecuritizationPercentage>.04860000</interestRateSecuritizationPercentage>
		<interestAccrualMethodCode>3</interestAccrualMethodCode>
		<originalInterestRateTypeCode>1</originalInterestRateTypeCode>
		<originalInterestOnlyTermNumber>24</originalInterestOnlyTermNumber>
		<firstLoanPaymentDueDate>05-06-2017</firstLoanPaymentDueDate>
		<underwritingIndicator>true</underwritingIndicator>
		<lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
		<loanStructureCode>WL</loanStructureCode>
		<paymentTypeCode>5</paymentTypeCode>
		<periodicPrincipalAndInterestPaymentSecuritizationAmount>13078.41000000</periodicPrincipalAndInterestPaymentSecuritizationAmount>
		<scheduledPrincipalBalanceSecuritizationAmount>3185000.00000000</scheduledPrincipalBalanceSecuritizationAmount>
		<paymentFrequencyCode>1</paymentFrequencyCode>
		<NumberPropertiesSecuritization>2</NumberPropertiesSecuritization>
		<graceDaysAllowedNumber>0</graceDaysAllowedNumber>
		<interestOnlyIndicator>true</interestOnlyIndicator>
		<balloonIndicator>true</balloonIndicator>
		<prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
		<negativeAmortizationIndicator>false</negativeAmortizationIndicator>
		<modifiedIndicator>false</modifiedIndicator>
		<prepaymentLockOutEndDate>02-05-2027</prepaymentLockOutEndDate>
		<deferredInterestCumulativeAmount>.00000000</deferredInterestCumulativeAmount>
		<deferredInterestCollectedAmount>.00000000</deferredInterestCollectedAmount>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<netRentableSquareFeetSecuritizationNumber>43800</netRentableSquareFeetSecuritizationNumber>
			<valuationSecuritizationAmount>2700000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-24-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.95000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>263786.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>92054.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>171732.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>167352.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
		</property>
		<property>
			<propertyName>Defeased</propertyName>
			<propertyTypeCode>SE</propertyTypeCode>
			<netRentableSquareFeetSecuritizationNumber>31096</netRentableSquareFeetSecuritizationNumber>
			<valuationSecuritizationAmount>1875000.00000000</valuationSecuritizationAmount>
			<valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
			<valuationSecuritizationDate>02-24-2017</valuationSecuritizationDate>
			<physicalOccupancySecuritizationPercentage>.96000000</physicalOccupancySecuritizationPercentage>
			<propertyStatusCode>3</propertyStatusCode>
			<defeasanceOptionStartDate>06-06-2019</defeasanceOptionStartDate>
			<DefeasedStatusCode>F</DefeasedStatusCode>
			<financialsSecuritizationDate>12-31-2016</financialsSecuritizationDate>
			<revenueSecuritizationAmount>277697.00000000</revenueSecuritizationAmount>
			<operatingExpensesSecuritizationAmount>91922.00000000</operatingExpensesSecuritizationAmount>
			<netOperatingIncomeSecuritizationAmount>185775.00000000</netOperatingIncomeSecuritizationAmount>
			<netCashFlowFlowSecuritizationAmount>182665.00000000</netCashFlowFlowSecuritizationAmount>
			<netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
		</property>
		<assetAddedIndicator>false</assetAddedIndicator>
		<reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
		<reportPeriodBeginningScheduleLoanBalanceAmount>2811085.48000000</reportPeriodBeginningScheduleLoanBalanceAmount>
		<totalScheduledPrincipalInterestDueAmount>16826.30000000</totalScheduledPrincipalInterestDueAmount>
		<reportPeriodInterestRatePercentage>.04860000</reportPeriodInterestRatePercentage>
		<servicerTrusteeFeeRatePercentage>.00015600</servicerTrusteeFeeRatePercentage>
		<scheduledInterestAmount>11384.90000000</scheduledInterestAmount>
		<scheduledPrincipalAmount>5441.40000000</scheduledPrincipalAmount>
		<otherPrincipalAdjustmentAmount>.00000000</otherPrincipalAdjustmentAmount>
		<reportPeriodEndActualBalanceAmount>2805644.08000000</reportPeriodEndActualBalanceAmount>
		<reportPeriodEndScheduledLoanBalanceAmount>2805644.08000000</reportPeriodEndScheduledLoanBalanceAmount>
		<paidThroughDate>05-06-2026</paidThroughDate>
		<nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
		<totalPrincipalInterestAdvancedOutstandingAmount>.00000000</totalPrincipalInterestAdvancedOutstandingAmount>
		<totalTaxesInsuranceAdvancesOutstandingAmount>.00000000</totalTaxesInsuranceAdvancesOutstandingAmount>
		<otherExpensesAdvancedOutstandingAmount>.00000000</otherExpensesAdvancedOutstandingAmount>
		<paymentStatusLoanCode>0</paymentStatusLoanCode>
		<primaryServicerName>Midland</primaryServicerName>
		<assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
		<prepaymentPremiumYieldMaintenanceReceivedAmount>.00000000</prepaymentPremiumYieldMaintenanceReceivedAmount>
	</assets>
</assetData>
