MORGAN STANLEY CAPITAL I INC. ABS-15G

 

Exhibit 99.4 - Schedule 3

 

EMBEDDED:F01A86804BB0071B1B33159D564CB2F4          
         
Loan Level Tape Compare Upload    
Loans in Report 58  
         
         
Loan Number Borrower Last Name Field Name Tape Data Reviewer Data
10110817 XXXXXX Property Type Detached PUD Attached PUD
10110950 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
10026516 XXXXXX Cash Reserves XXXXXX XXXXXX
10026516 XXXXXX Months PITI Reserves 11.0000 11.39
10026524 XXXXXX Cash Reserves XXXXXX XXXXXX
10026524 XXXXXX Months PITI Reserves 149.0000 106.99
10026566 XXXXXX Cash Reserves XXXXXX XXXXXX
10026566 XXXXXX Months PITI Reserves 86.0000 31.54
10026566 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
10110881 XXXXXX Cash Reserves XXXXXX XXXXXX
10110881 XXXXXX Combined Loan to Value 75.1100 80
10110881 XXXXXX Months PITI Reserves 13.0000 14.98
10026593 XXXXXX Cash Reserves XXXXXX XXXXXX
10026593 XXXXXX Months PITI Reserves 81.0000 155.51
10110928 XXXXXX Cash Reserves XXXXXX XXXXXX
10110928 XXXXXX Loan Purpose Rate and Term Refi Cashout Refi
10110928 XXXXXX Months PITI Reserves 41.0000 32.05
10026608 XXXXXX Cash Reserves XXXXXX XXXXXX
10026608 XXXXXX Months PITI Reserves 10.0000 13.02
10026615 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
10110859 XXXXXX Cash Reserves XXXXXX XXXXXX
10110859 XXXXXX Months PITI Reserves 66.0000 0
10110936 XXXXXX Cash Reserves XXXXXX XXXXXX
10110936 XXXXXX Months PITI Reserves 107.0000 107.08
10110936 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
10110958 XXXXXX Cash Reserves XXXXXX XXXXXX
10110958 XXXXXX Months PITI Reserves 107.0000 107.06
10110958 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
10110947 XXXXXX Cash Reserves XXXXXX XXXXXX
10110947 XXXXXX Months PITI Reserves 107.0000 106.57
10110947 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
10110945 XXXXXX Cash Reserves XXXXXX XXXXXX
10110945 XXXXXX Months PITI Reserves 107.0000 106.69
10110945 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
10110884 XXXXXX Borrower DSCR Percent 1.3637 1.0912
10110893 XXXXXX Property Type SFR SFR-Attached
10110941 XXXXXX Appraised Value XXXXXX XXXXXX
10110941 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
10110842 XXXXXX Cash Reserves XXXXXX XXXXXX
10110842 XXXXXX Months PITI Reserves 108.0000 26.68
10110862 XXXXXX Cash Reserves XXXXXX XXXXXX
10110862 XXXXXX Months PITI Reserves 51.0000 13.29
10110960 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
10110953 XXXXXX Cash Reserves XXXXXX XXXXXX
10110953 XXXXXX Months PITI Reserves 158.0000 13.89
10110953 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
10110953 XXXXXX Representative Score 797 806
10110801 XXXXXX Property Type Low Rise Condo (1-4) Mid Rise Condo  (5-8)
10110856 XXXXXX Cash Reserves XXXXXX XXXXXX
10110856 XXXXXX Months PITI Reserves 154.0000 64.94
10110956 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
10110948 XXXXXX Product Type 30 Yr Fixed 30 yr Fixed - 10 yr IO
10101497 XXXXXX Cash Reserves XXXXXX XXXXXX
10101497 XXXXXX Months PITI Reserves 18.0000 41.37
10101497 XXXXXX Qualifying DTI (Back) 30.7700 12.3795
10100936 XXXXXX Cash Reserves XXXXXX XXXXXX
10100936 XXXXXX Loan Purpose Rate and Term Refi Cashout Refi
10100936 XXXXXX Months PITI Reserves 900.0000 873.86
10007275 XXXXXX Property Type SFR Detached PUD
10100940 XXXXXX Cash Reserves XXXXXX XXXXXX
10100940 XXXXXX Months PITI Reserves 121.0000 63.09
10101008 XXXXXX Appraised Value XXXXXX XXXXXX
10100950 XXXXXX Qualifying DTI (Back) 18.6100 21.7172
10101501 XXXXXX Cash Reserves XXXXXX XXXXXX
10101501 XXXXXX Months PITI Reserves 52.0000 85.71
10100951 XXXXXX Cash Reserves XXXXXX XXXXXX
10100951 XXXXXX Months PITI Reserves 15.0000 19.5
10100952 XXXXXX Cash Reserves XXXXXX XXXXXX
10100952 XXXXXX Months PITI Reserves 21.0000 17.85
10101013 XXXXXX Loan Doc Type Alt Doc/Bank Statements Full Doc
10101013 XXXXXX Property Type Detached PUD Attached PUD
10100954 XXXXXX Appraised Value XXXXXX XXXXXX
10100956 XXXXXX Cash Reserves XXXXXX XXXXXX
10100957 XXXXXX Property Type Detached PUD Attached PUD
10101020 XXXXXX Qualifying DTI (Back) 40.0500 36.5356
10100959 XXXXXX Loan Doc Type Full Doc Alt Doc/Bank Statements
10100959 XXXXXX Qualifying DTI (Back) 49.8300 32.4923
10101022 XXXXXX Appraised Value XXXXXX XXXXXX
10101022 XXXXXX Qualifying DTI (Back) 41.6000 33.2574
10100961 XXXXXX Cash Reserves XXXXXX XXXXXX
10100961 XXXXXX Months PITI Reserves 33.0000 31.21
10101033 XXXXXX Cash Reserves XXXXXX XXXXXX
10101033 XXXXXX Months PITI Reserves 33.0000 42.33
10101108 XXXXXX Cash Reserves XXXXXX XXXXXX
10101108 XXXXXX Months PITI Reserves 101.0000 61.28
10101108 XXXXXX Property Type Detached PUD Attached PUD
10101099 XXXXXX Property Type Detached PUD Attached PUD
10100968 XXXXXX Cash Reserves XXXXXX XXXXXX
10100968 XXXXXX Months PITI Reserves 45.0000 39.51
10101038 XXXXXX Cash Reserves XXXXXX XXXXXX
10101038 XXXXXX Months PITI Reserves 5.0000 24.08
10101038 XXXXXX Representative Score 781 767
10101512 XXXXXX Qualifying DTI (Back) 44.5700 35.7425
10100976 XXXXXX Cash Reserves XXXXXX XXXXXX
10100976 XXXXXX Months PITI Reserves 30.0000 31.9
10100981 XXXXXX Cash Reserves XXXXXX XXXXXX
10100981 XXXXXX Months PITI Reserves 34.0000 28.66
10100983 XXXXXX Cash Reserves XXXXXX XXXXXX
10100983 XXXXXX Months PITI Reserves 56.0000 60.93
10100983 XXXXXX Property Type Low Rise Condo (1-4) Mid Rise Condo  (5-8)
10100984 XXXXXX Loan Purpose Rate and Term Refi Cashout Refi
10101516 XXXXXX Qualifying DTI (Back) 26.5100 16.1654
10101060 XXXXXX Appraised Value XXXXXX XXXXXX
10100996 XXXXXX Property Type Low Rise Condo (1-4) Mid Rise Condo  (5-8)
10100996 XXXXXX Qualifying DTI (Back) 37.5500 33.4635
10101524 XXXXXX Cash Reserves XXXXXX XXXXXX
10101524 XXXXXX Months PITI Reserves 104.0000 53.14
9694017 XXXXXX Loan to Value 57.1430 64.3087
9694017 XXXXXX Note Rate XXXXXX XXXXXX
         
The findings in this report are preliminary and subject to revision by Clayton. This report is confidential and for Client’s internal use only. This report is not for purposes of 17g5 filings and is not redacted. For Securitization reporting please submit a request to CL_SecondaryMarketAcquisitions@clayton.com