MORGAN STANLEY CAPITAL I INC. ABS-15G
Exhibit 99.4 - Schedule 3
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| 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 | ||||