Exhibit 99.04 - Schedule 5
| Loan ID | Redaction ID | Investor Loan ID | Transaction ID | Field Name | Source | Verified Value | Bid Tape Value | Comment |
| XXXX | 2141290 | XXXX | XXXX | Cash out Include Debt Paid at Close | closingDetailsNonCompliancePage | XXXX | XXXX | Per bank statements and cash out |
| XXXX | 2141290 | XXXX | XXXX | Cash Disbursement Date | closingDetailsNonCompliancePage | XXXX | XXXX | Per settlement stmnt |
| XXXX | 2141290 | XXXX | XXXX | Qualifying Total Reserves Number of Months | assetPage | 18.61 | 47.00 | Per bank statements and cash out |
| XXXX | 2171413 | XXXX | XXXX | Loan Type | the1003Page | DSCR | Conventional | per approval |
| XXXX | 2171413 | XXXX | XXXX | Amount of Other Lien | titlePage | 0 | XXXX | no other liens |
| XXXX | 2171413 | XXXX | XXXX | Number of Mortgaged Properties | creditLiabilitiesPage | 2 | 1.0 | per credit report |
| XXXX | 2171412 | XXXX | XXXX | Loan Type | the1003Page | DSCR | Conventional | Per 1003 |
| XXXX | 2167915 | XXXX | XXXX | Loan Type | the1003Page | DSCR | Conventional | Per 1008 |