<?xml version="1.0" encoding="UTF-8"?>
<assetData xmlns="http://www.sec.gov/edgar/document/absee/cmbs/assetdata" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" >
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>1</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Citi Real Estate Funding Inc. and Bank of Montreal</originatorName>
  <originationDate>06-23-2026</originationDate>
  <originalLoanAmount>72000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06657000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06657000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>PP</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>412734.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>72000000.00</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>12-31-2035</prepaymentLockOutEndDate>
  <property>
   <propertyName>Arizona Mills</propertyName>
   <propertyAddress>5000 South Arizona Mills Circle</propertyAddress>
   <propertyCity>Tempe</propertyCity>
   <propertyState>AZ</propertyState>
   <propertyZip>85282</propertyZip>
   <propertyCounty>Maricopa</propertyCounty>
   <propertyTypeCode>RT</propertyTypeCode>
   <netRentableSquareFeetNumber>1223783</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>1223783</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1986</yearBuiltNumber>
   <valuationSecuritizationAmount>336000000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-21-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.989</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-01-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <largestTenant>RECLECTIC</largestTenant>
   <squareFeetLargestTenantNumber>105700</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>10-31-2034</leaseExpirationLargestTenantDate>
   <secondLargestTenant>Harkins Theatres</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>92253</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>07-31-2035</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>Burlington</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>80426</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>01-31-2028</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>03-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>39195347.87</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>10509186.13</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>28686161.75</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>27149831.08</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>3.15</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>2.98</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>72000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>412734.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06657000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>412734.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>72000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>72000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>2</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Natixis Real Estate Capital LLC</originatorName>
  <originationDate>07-31-2026</originationDate>
  <originalLoanAmount>55312500.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-06-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06813000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06813000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>PP</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>55312500.00</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>02-05-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>Orchard at Saddleback</propertyName>
   <propertyAddress>Various</propertyAddress>
   <propertyCity>Lake Forest</propertyCity>
   <propertyState>CA</propertyState>
   <propertyZip>92630</propertyZip>
   <propertyCounty>Orange</propertyCounty>
   <propertyTypeCode>RT</propertyTypeCode>
   <netRentableSquareFeetNumber>280601</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>280601</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>2004</yearBuiltNumber>
   <valuationSecuritizationAmount>143800000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-28-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.980</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <largestTenant>Ralph's</largestTenant>
   <squareFeetLargestTenantNumber>55105</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>06-30-2032</leaseExpirationLargestTenantDate>
   <secondLargestTenant>HomeGoods</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>25000</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>10-31-2032</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>PetSmart</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>20000</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>10-31-2030</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>03-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>11214209.39</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>3388544.60</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>7825664.79</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>7573123.89</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.28</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.24</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>55312500.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06813000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>55312500.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>55312500.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Wells Fargo Bank, National Association</originatorName>
  <originationDate>07-27-2026</originationDate>
  <originalLoanAmount>46900000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-06-2036</maturityDate>
  <originalAmortizationTermNumber>300</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06050000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06050000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>PP</loanStructureCode>
  <paymentTypeCode>7</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>46900000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>20</NumberPropertiesSecuritization>
  <NumberProperties>20</NumberProperties>
  <graceDaysAllowedNumber>0</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>02-05-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>U-Haul AREC Portfolio 22</propertyName>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>1075666</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>1075666</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>10286</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>10286</unitsBedsRoomsSecuritizationNumber>
   <valuationSecuritizationAmount>235000000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-06-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.903</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>18272257.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>4293731.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>13978526.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>13871711.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.34</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.33</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>46900000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06050000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00017220</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>46900000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>46900000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <hyperAmortizingDate>08-06-2051</hyperAmortizingDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>Trimont LLC</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.01</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage at Oso Blanca</propertyName>
   <propertyAddress>8525 Oso Blanca Road</propertyAddress>
   <propertyCity>Las Vegas</propertyCity>
   <propertyState>NV</propertyState>
   <propertyZip>89166</propertyZip>
   <propertyCounty>Clark</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>77819</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>77819</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>733</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>733</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2009</yearBuiltNumber>
   <valuationSecuritizationAmount>22650000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-06-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.930</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.02</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Casa Grande</propertyName>
   <propertyAddress>242 North Camino Mercado</propertyAddress>
   <propertyCity>Casa Grande</propertyCity>
   <propertyState>AZ</propertyState>
   <propertyZip>85122</propertyZip>
   <propertyCounty>Pinal</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>93320</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>93320</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>802</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>802</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2008</yearBuiltNumber>
   <valuationSecuritizationAmount>18530000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-06-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.904</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.03</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Coeur D'Alene</propertyName>
   <propertyAddress>750 West Appleway Avenue</propertyAddress>
   <propertyCity>Coeur d'Alene</propertyCity>
   <propertyState>ID</propertyState>
   <propertyZip>83814</propertyZip>
   <propertyCounty>Kootenai</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>67857</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>67857</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>711</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>711</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1983</yearBuiltNumber>
   <valuationSecuritizationAmount>17430000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-07-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.937</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.04</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Spring Valley</propertyName>
   <propertyAddress>5220 South Jones Boulevard</propertyAddress>
   <propertyCity>Las Vegas</propertyCity>
   <propertyState>NV</propertyState>
   <propertyZip>89118</propertyZip>
   <propertyCounty>Clark</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>59180</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>59180</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>667</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>667</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1998</yearBuiltNumber>
   <valuationSecuritizationAmount>17380000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-06-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.964</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.05</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of North Brunswick</propertyName>
   <propertyAddress>1224 and 1256 How Lane</propertyAddress>
   <propertyCity>North Brunswick</propertyCity>
   <propertyState>NJ</propertyState>
   <propertyZip>08902</propertyZip>
   <propertyCounty>Middlesex</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>65945</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>65945</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>578</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>578</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2000</yearBuiltNumber>
   <valuationSecuritizationAmount>17300000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-12-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.891</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.06</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Marlboro</propertyName>
   <propertyAddress>415 Route 9</propertyAddress>
   <propertyCity>Englishtown</propertyCity>
   <propertyState>NJ</propertyState>
   <propertyZip>07726</propertyZip>
   <propertyCounty>Monmouth</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>63932</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>63932</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>604</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>604</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1988</yearBuiltNumber>
   <yearLastRenovated>2014</yearLastRenovated>
   <valuationSecuritizationAmount>15300000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-12-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.921</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.07</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage at W Lake Mead Blvd</propertyName>
   <propertyAddress>3083 West Lake Mead Boulevard</propertyAddress>
   <propertyCity>North Las Vegas</propertyCity>
   <propertyState>NV</propertyState>
   <propertyZip>89032</propertyZip>
   <propertyCounty>Clark</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>76417</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>76417</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>629</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>629</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2005</yearBuiltNumber>
   <yearLastRenovated>2014</yearLastRenovated>
   <valuationSecuritizationAmount>14540000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-06-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.915</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.08</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Little River</propertyName>
   <propertyAddress>3195 Highway 9 East</propertyAddress>
   <propertyCity>Little River</propertyCity>
   <propertyState>SC</propertyState>
   <propertyZip>29566</propertyZip>
   <propertyCounty>Horry</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>81649</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>81649</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>601</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>601</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1996</yearBuiltNumber>
   <valuationSecuritizationAmount>12300000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-12-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.838</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.09</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of East Brunswick</propertyName>
   <propertyAddress>397 State Route 18</propertyAddress>
   <propertyCity>East Brunswick</propertyCity>
   <propertyState>NJ</propertyState>
   <propertyZip>08816</propertyZip>
   <propertyCounty>Middlesex</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>40704</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>40704</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>531</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>531</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1960</yearBuiltNumber>
   <valuationSecuritizationAmount>11100000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-12-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.861</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.10</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Forestville Rd</propertyName>
   <propertyAddress>4014 Forestville Road</propertyAddress>
   <propertyCity>District Heights</propertyCity>
   <propertyState>MD</propertyState>
   <propertyZip>20747</propertyZip>
   <propertyCounty>Prince George's</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>37394</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>37394</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>425</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>425</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2002</yearBuiltNumber>
   <valuationSecuritizationAmount>9230000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-11-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.935</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.11</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Storage of North Miami Beach</propertyName>
   <propertyAddress>Various</propertyAddress>
   <propertyCity>North Miami Beach</propertyCity>
   <propertyState>FL</propertyState>
   <propertyZip>33162</propertyZip>
   <propertyCounty>Miami-Dade</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>58544</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>58544</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>752</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>752</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1972</yearBuiltNumber>
   <valuationSecuritizationAmount>8910000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-06-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.886</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.12</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Downtown Jacksonville</propertyName>
   <propertyAddress>400 West Ashley Street</propertyAddress>
   <propertyCity>Jacksonville</propertyCity>
   <propertyState>FL</propertyState>
   <propertyZip>32202</propertyZip>
   <propertyCounty>Duval</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>44938</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>44938</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>598</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>598</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1925</yearBuiltNumber>
   <valuationSecuritizationAmount>8440000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-06-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.858</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.13</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Haines City</propertyName>
   <propertyAddress>3307 US Highway 17-92 West</propertyAddress>
   <propertyCity>Haines City</propertyCity>
   <propertyState>FL</propertyState>
   <propertyZip>33844</propertyZip>
   <propertyCounty>Polk</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>60330</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>60330</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>475</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>475</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2007</yearBuiltNumber>
   <valuationSecuritizationAmount>8260000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-11-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.909</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.14</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul of North Miami Beach</propertyName>
   <propertyAddress>2269 Northeast 163rd Street</propertyAddress>
   <propertyCity>North Miami Beach</propertyCity>
   <propertyState>FL</propertyState>
   <propertyZip>33160</propertyZip>
   <propertyCounty>Miami-Dade</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>2262</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>2262</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>48</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>48</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1963</yearBuiltNumber>
   <valuationSecuritizationAmount>8020000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-06-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.938</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.15</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Cedar Rapids</propertyName>
   <propertyAddress>1550 16th Avenue Southwest</propertyAddress>
   <propertyCity>Cedar Rapids</propertyCity>
   <propertyState>IA</propertyState>
   <propertyZip>52404</propertyZip>
   <propertyCounty>Linn</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>59400</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>59400</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>486</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>486</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1979</yearBuiltNumber>
   <valuationSecuritizationAmount>6750000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>06-24-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.987</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.16</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of West Warner Robins</propertyName>
   <propertyAddress>301 Robins West Parkway</propertyAddress>
   <propertyCity>Warner Robins</propertyCity>
   <propertyState>GA</propertyState>
   <propertyZip>31088</propertyZip>
   <propertyCounty>Houston</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>59025</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>59025</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>429</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>429</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1994</yearBuiltNumber>
   <valuationSecuritizationAmount>6360000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-13-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.898</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.17</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Salisbury</propertyName>
   <propertyAddress>1326 North Salisbury Boulevard</propertyAddress>
   <propertyCity>Salisbury</propertyCity>
   <propertyState>MD</propertyState>
   <propertyZip>21801</propertyZip>
   <propertyCounty>Wicomico</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>36000</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>36000</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>334</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>334</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2002</yearBuiltNumber>
   <valuationSecuritizationAmount>6350000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-11-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.897</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.18</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage at Hwy 13 &amp; Portland Ave</propertyName>
   <propertyAddress>12200 Portland Avenue South</propertyAddress>
   <propertyCity>Burnsville</propertyCity>
   <propertyState>MN</propertyState>
   <propertyZip>55337</propertyZip>
   <propertyCounty>Dakota</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>47507</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>47507</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>393</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>393</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2008</yearBuiltNumber>
   <valuationSecuritizationAmount>5500000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>06-24-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.842</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.19</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage at 36th St</propertyName>
   <propertyAddress>2476 Northwest 36th Street</propertyAddress>
   <propertyCity>Miami</propertyCity>
   <propertyState>FL</propertyState>
   <propertyZip>33142</propertyZip>
   <propertyCounty>Miami-Dade</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>13088</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>13088</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>174</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>174</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1940</yearBuiltNumber>
   <valuationSecuritizationAmount>5170000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-06-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.943</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>3.20</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Storage of Salisbury</propertyName>
   <propertyAddress>Various</propertyAddress>
   <propertyCity>Salisbury</propertyCity>
   <propertyState>MD</propertyState>
   <propertyZip>21801</propertyZip>
   <propertyCounty>Wicomico</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>30355</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>30355</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>316</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>316</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1990</yearBuiltNumber>
   <valuationSecuritizationAmount>4090000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-11-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.817</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>NWL Company, LLC</originatorName>
  <originationDate>07-21-2026</originationDate>
  <originalLoanAmount>45000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-06-2036</maturityDate>
  <originalAmortizationTermNumber>300</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06046000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06046000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>7</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>45000000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>14</NumberPropertiesSecuritization>
  <NumberProperties>14</NumberProperties>
  <graceDaysAllowedNumber>0</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>02-05-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>U-Haul - AREC2 Portfolio</propertyName>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>367702</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>367702</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>4412</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>4412</unitsBedsRoomsSecuritizationNumber>
   <valuationSecuritizationAmount>84400000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-01-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.860</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>7761510.29</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>2350417.86</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>5411092.43</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>5370534.10</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.55</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.54</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>45000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06046000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>45000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>45000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <hyperAmortizingDate>08-06-2051</hyperAmortizingDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.01</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of East Lancaster</propertyName>
   <propertyAddress>42925 Sierra Highway</propertyAddress>
   <propertyCity>Lancaster</propertyCity>
   <propertyState>CA</propertyState>
   <propertyZip>93534</propertyZip>
   <propertyCounty>Los Angeles</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>46968</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>46968</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>480</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>480</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1985</yearBuiltNumber>
   <yearLastRenovated>2002</yearLastRenovated>
   <valuationSecuritizationAmount>9190000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-25-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.866</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>825663.40</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>199348.36</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>626315.04</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>624815.04</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.02</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Downtown Mobile</propertyName>
   <propertyAddress>Various</propertyAddress>
   <propertyCity>Mobile</propertyCity>
   <propertyState>AL</propertyState>
   <propertyZip>Various</propertyZip>
   <propertyCounty>Mobile</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>27805</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>27805</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>411</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>411</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1980</yearBuiltNumber>
   <valuationSecuritizationAmount>6820000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-01-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.859</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>647961.20</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>185180.74</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>462780.46</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>456097.54</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.03</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Weymouth</propertyName>
   <propertyAddress>666 Bridge Street</propertyAddress>
   <propertyCity>Weymouth</propertyCity>
   <propertyState>MA</propertyState>
   <propertyZip>02191</propertyZip>
   <propertyCounty>Norfolk</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>17574</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>17574</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>296</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>296</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1953</yearBuiltNumber>
   <yearLastRenovated>2014</yearLastRenovated>
   <valuationSecuritizationAmount>7200000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-25-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.962</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>650191.52</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>181010.09</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>469181.43</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>467074.76</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.04</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Lake Square</propertyName>
   <propertyAddress>10128 Highway 441 South</propertyAddress>
   <propertyCity>Leesburg</propertyCity>
   <propertyState>FL</propertyState>
   <propertyZip>34788</propertyZip>
   <propertyCounty>Lake</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>29375</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>29375</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>319</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>319</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1982</yearBuiltNumber>
   <valuationSecuritizationAmount>6370000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-01-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.835</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>590432.67</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>185296.94</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>405135.73</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>398161.15</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.05</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Downtown Pensacola</propertyName>
   <propertyAddress>2817 North Pace Boulevard</propertyAddress>
   <propertyCity>Pensacola</propertyCity>
   <propertyState>FL</propertyState>
   <propertyZip>32505</propertyZip>
   <propertyCounty>Escambia</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>30056</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>30056</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>308</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>308</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1965</yearBuiltNumber>
   <valuationSecuritizationAmount>5350000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-01-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.919</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>534937.30</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>151708.82</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>383228.48</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>380133.65</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.06</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Bel Air</propertyName>
   <propertyAddress>200 West Interstate 65 Service Road South</propertyAddress>
   <propertyCity>Mobile</propertyCity>
   <propertyState>AL</propertyState>
   <propertyZip>36608</propertyZip>
   <propertyCounty>Mobile</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>35255</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>35255</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>307</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>307</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1982</yearBuiltNumber>
   <valuationSecuritizationAmount>6740000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-01-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.787</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>576512.54</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>174971.64</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>401540.90</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>398957.24</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.07</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Greensburg</propertyName>
   <propertyAddress>4693 State Route 30 and 5218 State Route 30</propertyAddress>
   <propertyCity>Greensburg</propertyCity>
   <propertyState>PA</propertyState>
   <propertyZip>15601</propertyZip>
   <propertyCounty>Westmoreland</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>34345</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>34345</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>421</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>421</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1994</yearBuiltNumber>
   <valuationSecuritizationAmount>5850000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-30-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.901</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>636048.47</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>205027.21</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>431021.26</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>428689.01</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.08</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage At Boston Ave</propertyName>
   <propertyAddress>650 Boston Avenue</propertyAddress>
   <propertyCity>Bridgeport</propertyCity>
   <propertyState>CT</propertyState>
   <propertyZip>06610</propertyZip>
   <propertyCounty>Fairfield</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>14167</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>14167</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>293</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>293</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1941</yearBuiltNumber>
   <valuationSecuritizationAmount>5900000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-03-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.742</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>525085.20</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>179138.31</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>345946.89</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>343923.98</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.09</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Storage of Umpqua Valley</propertyName>
   <propertyAddress>1182 Northeast Stephens Street</propertyAddress>
   <propertyCity>Roseburg</propertyCity>
   <propertyState>OR</propertyState>
   <propertyZip>97470</propertyZip>
   <propertyCounty>Douglas</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>20113</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>20113</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>231</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>231</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1981</yearBuiltNumber>
   <valuationSecuritizationAmount>5610000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-01-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.947</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>463143.38</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>119805.80</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>343337.58</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>342662.58</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.10</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage At S Padre Island Dr</propertyName>
   <propertyAddress>4344 South Padre Island Drive</propertyAddress>
   <propertyCity>Corpus Christi</propertyCity>
   <propertyState>TX</propertyState>
   <propertyZip>78411</propertyZip>
   <propertyCounty>Nueces</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>35593</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>35593</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>302</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>302</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1960</yearBuiltNumber>
   <yearLastRenovated>2025</yearLastRenovated>
   <valuationSecuritizationAmount>5900000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-30-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.737</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>571380.71</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>193787.06</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>377593.65</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>377314.48</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.11</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage At Box Rd</propertyName>
   <propertyAddress>1700 Box Road</propertyAddress>
   <propertyCity>Columbus</propertyCity>
   <propertyState>GA</propertyState>
   <propertyZip>31907</propertyZip>
   <propertyCounty>Muscogee</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>24425</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>24425</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>296</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>296</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1973</yearBuiltNumber>
   <yearLastRenovated>1986</yearLastRenovated>
   <valuationSecuritizationAmount>5080000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-30-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.915</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>482864.19</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>147086.95</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>335777.24</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>330210.58</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.12</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Hyde Park-Milton</propertyName>
   <propertyAddress>146-156 Fairmount Avenue</propertyAddress>
   <propertyCity>Boston</propertyCity>
   <propertyState>MA</propertyState>
   <propertyZip>02136</propertyZip>
   <propertyCounty>Suffolk</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>14333</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>14333</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>280</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>280</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1920</yearBuiltNumber>
   <valuationSecuritizationAmount>4900000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-25-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.929</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>508746.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>170855.90</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>337890.10</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>335940.85</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.13</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage At I-45 &amp; Tidwell</propertyName>
   <propertyAddress>5333 North Freeway</propertyAddress>
   <propertyCity>Houston</propertyCity>
   <propertyState>TX</propertyState>
   <propertyZip>77022</propertyZip>
   <propertyCounty>Harris</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>22960</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>22960</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>288</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>288</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1979</yearBuiltNumber>
   <yearLastRenovated>2006</yearLastRenovated>
   <valuationSecuritizationAmount>4100000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-30-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.825</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>419539.42</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>142823.05</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>276716.37</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>273788.45</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>4.14</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>U-Haul Moving &amp; Storage of Fairgrounds</propertyName>
   <propertyAddress>3028 Bessemer Road</propertyAddress>
   <propertyCity>Birmingham</propertyCity>
   <propertyState>AL</propertyState>
   <propertyZip>35208</propertyZip>
   <propertyCounty>Jefferson</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>14732</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>14732</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>180</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>180</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1960</yearBuiltNumber>
   <yearLastRenovated>1995</yearLastRenovated>
   <valuationSecuritizationAmount>2710000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-30-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.926</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>329004.29</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>114376.99</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>214627.30</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>212764.80</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>5</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Societe Generale Financial Corporation</originatorName>
  <originationDate>07-15-2026</originationDate>
  <originalLoanAmount>35000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.07235000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.07235000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>35000000.00</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>08-31-2028</prepaymentLockOutEndDate>
  <yieldMaintenanceEndDate>01-31-2036</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>01-31-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Lawrence Logistics Center</propertyName>
   <propertyAddress>40 Enterprise Avenue</propertyAddress>
   <propertyCity>Lawrence Township</propertyCity>
   <propertyState>NJ</propertyState>
   <propertyZip>08648</propertyZip>
   <propertyCounty>Mercer</propertyCounty>
   <propertyTypeCode>IN</propertyTypeCode>
   <netRentableSquareFeetNumber>261646</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>261646</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>2025</yearBuiltNumber>
   <valuationSecuritizationAmount>64000000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-20-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <largestTenant>Ceva Air &amp; Ocean USA Inc.</largestTenant>
   <squareFeetLargestTenantNumber>150272</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>06-30-2030</leaseExpirationLargestTenantDate>
   <secondLargestTenant>iApparel Brands LLC</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>111374</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>09-30-2036</leaseExpirationSecondLargestTenantDate>
   <financialsSecuritizationDate>06-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>4424615.39</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>1008277.75</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>3416337.63</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>3337843.83</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.33</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.30</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>35000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.07235000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>35000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>35000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>6</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>German American Capital Corporation</originatorName>
  <originationDate>06-01-2026</originationDate>
  <originalLoanAmount>34500000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06980900</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06980900</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>PP</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>207390.90</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>34500000.00</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>11-30-2035</prepaymentLockOutEndDate>
  <property>
   <propertyName>The Falls</propertyName>
   <propertyAddress>8888 Southwest 136th Street</propertyAddress>
   <propertyCity>Miami</propertyCity>
   <propertyState>FL</propertyState>
   <propertyZip>33176</propertyZip>
   <propertyCounty>Miami-Dade</propertyCounty>
   <propertyTypeCode>RT</propertyTypeCode>
   <netRentableSquareFeetNumber>711447</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>711447</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1980</yearBuiltNumber>
   <yearLastRenovated>2024</yearLastRenovated>
   <valuationSecuritizationAmount>209200000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-14-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.956</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-01-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <largestTenant>Macy's</largestTenant>
   <squareFeetLargestTenantNumber>240000</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>07-31-2037</leaseExpirationLargestTenantDate>
   <secondLargestTenant>LifeTime Fitness</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>102600</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>01-31-2044</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>Regal Cinema</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>39746</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>01-31-2036</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>03-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>25481292.59</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>7823260.70</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>17658031.89</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>16804295.49</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.92</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.83</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>34500000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>207390.90</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06980900</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>207390.90</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>34500000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>34500000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>Trimont LLC</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>7</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>JPMorgan Chase Bank, National Association</originatorName>
  <originationDate>06-05-2026</originationDate>
  <originalLoanAmount>30000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-06-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06760700</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06760700</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>60</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>PP</loanStructureCode>
  <paymentTypeCode>5</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>174651.42</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>30000000.00</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>02-05-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>One Dag</propertyName>
   <propertyAddress>885 Second Avenue</propertyAddress>
   <propertyCity>New York</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10017</propertyZip>
   <propertyCounty>New York</propertyCounty>
   <propertyTypeCode>OF</propertyTypeCode>
   <netRentableSquareFeetNumber>817136</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>817136</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1972</yearBuiltNumber>
   <yearLastRenovated>2005</yearLastRenovated>
   <valuationSecuritizationAmount>289480209.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-15-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.704</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <largestTenant>The United Nations</largestTenant>
   <squareFeetLargestTenantNumber>112832</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>12-31-2031</leaseExpirationLargestTenantDate>
   <secondLargestTenant>The Federal Republic of Germany</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>73252</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>02-28-2038</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>UK of Great Britain</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>49027</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>03-31-2041</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>03-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>48586061.56</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>24719530.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>23866531.56</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>21751696.36</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.75</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.59</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>30000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>174651.42</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06760700</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>174651.42</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>30000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>30000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>Trimont LLC</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>8</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>German American Capital Corporation</originatorName>
  <originationDate>04-17-2026</originationDate>
  <originalLoanAmount>25000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>05-06-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06639000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06639000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>06-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>PP</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>142922.92</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>25000000.00</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>01-05-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>The Pointe at Polaris</propertyName>
   <propertyAddress>8922-8958 Lyra Drive and 8890 Lyra Drive</propertyAddress>
   <propertyCity>Columbus</propertyCity>
   <propertyState>OH</propertyState>
   <propertyZip>43240</propertyZip>
   <propertyCounty>Delaware</propertyCounty>
   <propertyTypeCode>OF</propertyTypeCode>
   <netRentableSquareFeetNumber>245437</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>245437</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>2016</yearBuiltNumber>
   <yearLastRenovated>2019</yearLastRenovated>
   <valuationSecuritizationAmount>61700000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>02-05-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.977</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <largestTenant>Bank of America</largestTenant>
   <squareFeetLargestTenantNumber>59496</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>03-31-2031</leaseExpirationLargestTenantDate>
   <secondLargestTenant>Fiserv</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>29780</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>02-28-2030</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>MS Consulting - Dark</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>22673</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>12-31-2036</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>12-31-2025</financialsSecuritizationDate>
   <revenueSecuritizationAmount>8692822.91</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>3239148.41</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>5453674.50</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>4903895.62</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.00</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.80</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>25000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>142922.92</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06639000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>142922.92</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>25000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>25000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>9</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Citi Real Estate Funding Inc.</originatorName>
  <originationDate>08-03-2026</originationDate>
  <originalLoanAmount>23000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-06-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06090000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06090000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>PP</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>23000000.00</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>02-05-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>The Ritz Tower</propertyName>
   <propertyAddress>465 Park Avenue</propertyAddress>
   <propertyCity>New York</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10022</propertyZip>
   <propertyCounty>New York</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>100</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>100</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1927</yearBuiltNumber>
   <valuationSecuritizationAmount>153000000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-04-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <financialsSecuritizationDate>01-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>18811498.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>10652922.13</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>8158575.87</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>8133575.87</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>3.48</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>3.47</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>23000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06090000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>23000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>23000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>10</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Bank of Montreal</originatorName>
  <originationDate>07-01-2026</originationDate>
  <originalLoanAmount>22210000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-06-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06570000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06570000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>125653.08</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>22210000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>5</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>08-05-2028</prepaymentLockOutEndDate>
  <yieldMaintenanceEndDate>01-05-2036</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>01-05-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>JTM Foods</propertyName>
   <propertyAddress>2035 North Narragansett Avenue</propertyAddress>
   <propertyCity>Chicago</propertyCity>
   <propertyState>IL</propertyState>
   <propertyZip>60639</propertyZip>
   <propertyCounty>Cook</propertyCounty>
   <propertyTypeCode>IN</propertyTypeCode>
   <netRentableSquareFeetNumber>150058</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>150058</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1995</yearBuiltNumber>
   <yearLastRenovated>2026</yearLastRenovated>
   <valuationSecuritizationAmount>35700000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>07-01-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <largestTenant>JTM Foods</largestTenant>
   <squareFeetLargestTenantNumber>150058</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>06-30-2046</leaseExpirationLargestTenantDate>
   <revenueSecuritizationAmount>2481932.29</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>0.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>2481932.29</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>2391897.49</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.68</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.62</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>22210000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>125653.08</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06570000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>125653.08</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>22210000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>22210000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>11</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>UBS AG New York Branch</originatorName>
  <originationDate>04-22-2026</originationDate>
  <originalLoanAmount>21400000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>05-06-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06542000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06542000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>06-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>PP</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>135854.20</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>21349933.98</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>6</NumberPropertiesSecuritization>
  <NumberProperties>6</NumberProperties>
  <graceDaysAllowedNumber>0</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>06-05-2027</prepaymentLockOutEndDate>
  <yieldMaintenanceEndDate>12-05-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>12-05-2035</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Phoenix Industrial Portfolio XV</propertyName>
   <propertyTypeCode>IN</propertyTypeCode>
   <netRentableSquareFeetNumber>3227276</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>3227276</netRentableSquareFeetSecuritizationNumber>
   <valuationSecuritizationAmount>126000000.00</valuationSecuritizationAmount>
   <physicalOccupancySecuritizationPercentage>0.812</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <financialsSecuritizationDate>12-31-2025</financialsSecuritizationDate>
   <revenueSecuritizationAmount>11158720.93</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>3254526.05</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>7904194.88</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>7157534.05</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.69</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.53</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>21365428.40</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>135854.20</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06542000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>120359.77</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>15494.43</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>21349933.98</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>21349933.98</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>Trimont LLC</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>11.01</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>Winston Salem, NC</propertyName>
   <propertyAddress>401 West Hanes Mill Road</propertyAddress>
   <propertyCity>Winston Salem</propertyCity>
   <propertyState>NC</propertyState>
   <propertyZip>27105</propertyZip>
   <propertyCounty>Forsyth</propertyCounty>
   <propertyTypeCode>IN</propertyTypeCode>
   <netRentableSquareFeetNumber>816311</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>816311</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1960</yearBuiltNumber>
   <yearLastRenovated>2005</yearLastRenovated>
   <valuationSecuritizationAmount>41200000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-24-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.332</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <largestTenant>Corsicana Acquisition LLC</largestTenant>
   <squareFeetLargestTenantNumber>215311</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>08-31-2033</leaseExpirationLargestTenantDate>
   <secondLargestTenant>Just Brands LLC</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>55541</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>11-30-2030</leaseExpirationSecondLargestTenantDate>
   <financialsSecuritizationDate>12-31-2025</financialsSecuritizationDate>
   <revenueSecuritizationAmount>1600214.12</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>896128.59</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>704085.52</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>578417.17</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>11.02</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>Belden, MS</propertyName>
   <propertyAddress>3301 Adams Farm Road</propertyAddress>
   <propertyCity>Belden</propertyCity>
   <propertyState>MS</propertyState>
   <propertyZip>38826</propertyZip>
   <propertyCounty>Lee</propertyCounty>
   <propertyTypeCode>IN</propertyTypeCode>
   <netRentableSquareFeetNumber>722557</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>722557</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1985</yearBuiltNumber>
   <yearLastRenovated>2008</yearLastRenovated>
   <valuationSecuritizationAmount>26600000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-21-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <largestTenant>Phoenix Logistics</largestTenant>
   <squareFeetLargestTenantNumber>396289</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>09-30-2028</leaseExpirationLargestTenantDate>
   <secondLargestTenant>Ashley Furniture Industries, LLC</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>326268</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>10-31-2026</leaseExpirationSecondLargestTenantDate>
   <financialsSecuritizationDate>12-31-2025</financialsSecuritizationDate>
   <revenueSecuritizationAmount>3049402.61</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>685742.63</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>2363659.98</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>2165680.15</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>11.03</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>Dresden, TN</propertyName>
   <propertyAddress>2073 Evergreen Street</propertyAddress>
   <propertyCity>Dresden</propertyCity>
   <propertyState>TN</propertyState>
   <propertyZip>38225</propertyZip>
   <propertyCounty>Weakley</propertyCounty>
   <propertyTypeCode>IN</propertyTypeCode>
   <netRentableSquareFeetNumber>614728</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>614728</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1970</yearBuiltNumber>
   <yearLastRenovated>2023</yearLastRenovated>
   <valuationSecuritizationAmount>22800000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-27-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <largestTenant>CSS Inc.</largestTenant>
   <squareFeetLargestTenantNumber>359929</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>01-31-2034</leaseExpirationLargestTenantDate>
   <secondLargestTenant>Champion Home Builders, Inc.</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>254799</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>06-30-2028</leaseExpirationSecondLargestTenantDate>
   <financialsSecuritizationDate>12-31-2025</financialsSecuritizationDate>
   <revenueSecuritizationAmount>2431730.47</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>639661.91</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1792068.56</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1645173.45</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>11.04</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>Dwight, IL</propertyName>
   <propertyAddress>801 North Union Street</propertyAddress>
   <propertyCity>Dwight</propertyCity>
   <propertyState>IL</propertyState>
   <propertyZip>60420</propertyZip>
   <propertyCounty>Livingston</propertyCounty>
   <propertyTypeCode>IN</propertyTypeCode>
   <netRentableSquareFeetNumber>493302</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>493302</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1969</yearBuiltNumber>
   <yearLastRenovated>1987</yearLastRenovated>
   <valuationSecuritizationAmount>16500000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-25-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.877</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <largestTenant>Logisticus Projects Group, LLC</largestTenant>
   <squareFeetLargestTenantNumber>432861</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>07-31-2028</leaseExpirationLargestTenantDate>
   <financialsSecuritizationDate>12-31-2025</financialsSecuritizationDate>
   <revenueSecuritizationAmount>1826670.86</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>618713.83</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1207957.03</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1071117.30</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>11.05</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>Coffeyville, KS</propertyName>
   <propertyAddress>2412 North Highway 169</propertyAddress>
   <propertyCity>Coffeyville</propertyCity>
   <propertyState>KS</propertyState>
   <propertyZip>67337</propertyZip>
   <propertyCounty>Montgomery</propertyCounty>
   <propertyTypeCode>IN</propertyTypeCode>
   <netRentableSquareFeetNumber>405378</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>405378</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1995</yearBuiltNumber>
   <valuationSecuritizationAmount>15000000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-01-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <largestTenant>Transportation Partners and Logistics</largestTenant>
   <squareFeetLargestTenantNumber>405378</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>12-31-2029</leaseExpirationLargestTenantDate>
   <financialsSecuritizationDate>12-31-2025</financialsSecuritizationDate>
   <revenueSecuritizationAmount>1753142.40</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>263115.27</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1490027.13</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1392448.34</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>11.06</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>Washington, NC</propertyName>
   <propertyAddress>230 Clarks Neck Road</propertyAddress>
   <propertyCity>Washington</propertyCity>
   <propertyState>NC</propertyState>
   <propertyZip>27889</propertyZip>
   <propertyCounty>Beaufort</propertyCounty>
   <propertyTypeCode>IN</propertyTypeCode>
   <netRentableSquareFeetNumber>175000</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>175000</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1971</yearBuiltNumber>
   <yearLastRenovated>2022</yearLastRenovated>
   <valuationSecuritizationAmount>3900000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-25-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <largestTenant>Seolta Holdings, LLC</largestTenant>
   <squareFeetLargestTenantNumber>175000</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>09-30-2032</leaseExpirationLargestTenantDate>
   <financialsSecuritizationDate>12-31-2025</financialsSecuritizationDate>
   <revenueSecuritizationAmount>497560.48</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>151163.81</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>346396.67</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>304697.64</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>12</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>KeyBank National Association</originatorName>
  <originationDate>08-04-2026</originationDate>
  <originalLoanAmount>20500000.00</originalLoanAmount>
  <originalTermLoanNumber>121</originalTermLoanNumber>
  <maturityDate>09-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06230000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06230000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>61</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>5</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>20500000.00</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>03-31-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>Corporate Center VI</propertyName>
   <propertyAddress>2360 Corporate Circle</propertyAddress>
   <propertyCity>Henderson</propertyCity>
   <propertyState>NV</propertyState>
   <propertyZip>89074</propertyZip>
   <propertyCounty>Clark</propertyCounty>
   <propertyTypeCode>OF</propertyTypeCode>
   <netRentableSquareFeetNumber>134634</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>134634</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>2008</yearBuiltNumber>
   <valuationSecuritizationAmount>48800000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-13-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.952</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-01-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <largestTenant>Far West Division, Inc.</largestTenant>
   <squareFeetLargestTenantNumber>48785</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>05-31-2028</leaseExpirationLargestTenantDate>
   <secondLargestTenant>AtkinsRealis USA Inc.</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>16083</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>02-28-2032</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>Charles Schwab &amp; CO., Inc.</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>10568</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>10-31-2028</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>5192318.21</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>1136975.32</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>4055342.90</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>3666453.17</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.68</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>2.43</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>20500000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06230000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00024720</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>20500000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>20500000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>13</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>KeyBank National Association</originatorName>
  <originationDate>12-30-2025</originationDate>
  <originalLoanAmount>20445000.00</originalLoanAmount>
  <originalTermLoanNumber>116</originalTermLoanNumber>
  <maturityDate>09-01-2035</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.05730000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.05730000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>116</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>02-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>100879.04</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>20445000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>5</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>07-31-2035</prepaymentLockOutEndDate>
  <property>
   <propertyName>Amazon Tallahassee</propertyName>
   <propertyAddress>3799 Northwest Passage</propertyAddress>
   <propertyCity>Tallahassee</propertyCity>
   <propertyState>FL</propertyState>
   <propertyZip>32303</propertyZip>
   <propertyCounty>Leon</propertyCounty>
   <propertyTypeCode>IN</propertyTypeCode>
   <netRentableSquareFeetNumber>123903</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>123903</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>2023</yearBuiltNumber>
   <valuationSecuritizationAmount>38500000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>10-17-2025</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-01-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <largestTenant>Amazon.com Services LLC</largestTenant>
   <squareFeetLargestTenantNumber>123903</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>10-31-2038</leaseExpirationLargestTenantDate>
   <financialsSecuritizationDate>09-30-2025</financialsSecuritizationDate>
   <revenueSecuritizationAmount>3114510.14</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>713422.17</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>2401087.97</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>2377278.80</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.02</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>2.00</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>20445000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>100879.04</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.05730000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00024720</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>100879.04</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>20445000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>20445000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>14</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Bank of Montreal and Natixis Real Estate Capital LLC</originatorName>
  <originationDate>01-06-2026</originationDate>
  <originalLoanAmount>20000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>02-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06460000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06460000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>24</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>03-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>PP</loanStructureCode>
  <paymentTypeCode>5</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>111255.56</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>20000000.00</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>07-31-2035</prepaymentLockOutEndDate>
  <property>
   <propertyName>Birch Run Premium Outlets</propertyName>
   <propertyAddress>12240 South Beyer Road</propertyAddress>
   <propertyCity>Birch Run</propertyCity>
   <propertyState>MI</propertyState>
   <propertyZip>48415</propertyZip>
   <propertyCounty>Saginaw</propertyCounty>
   <propertyTypeCode>RT</propertyTypeCode>
   <netRentableSquareFeetNumber>593930</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>593930</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1986</yearBuiltNumber>
   <yearLastRenovated>2010</yearLastRenovated>
   <valuationSecuritizationAmount>158700000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>10-19-2025</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.901</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-01-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <largestTenant>Pottery Barn</largestTenant>
   <squareFeetLargestTenantNumber>30000</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>01-31-2027</leaseExpirationLargestTenantDate>
   <secondLargestTenant>Lee Wrangler</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>23975</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>01-01-2029</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>Old Navy</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>19589</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>07-31-2027</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>09-30-2025</financialsSecuritizationDate>
   <revenueSecuritizationAmount>18131920.54</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>4368907.57</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>13763012.97</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>13050297.01</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.02</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.92</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>20000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>111255.56</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06460000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>111255.56</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>20000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>20000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>Trimont LLC</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>15</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>KeyBank National Association</originatorName>
  <originationDate>07-23-2026</originationDate>
  <originalLoanAmount>19250000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06430000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06430000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>19250000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>3</NumberPropertiesSecuritization>
  <NumberProperties>3</NumberProperties>
  <graceDaysAllowedNumber>0</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>02-29-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>The Campus Portfolio</propertyName>
   <propertyCity>West Chester</propertyCity>
   <propertyState>PA</propertyState>
   <propertyCounty>Chester</propertyCounty>
   <netRentableSquareFeetNumber>281320</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>281320</netRentableSquareFeetSecuritizationNumber>
   <valuationSecuritizationAmount>53700000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-13-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.880</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-01-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>5547346.56</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>1795047.86</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>3752298.70</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>2953640.08</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.99</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>2.35</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>19250000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06430000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00024720</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>19250000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>19250000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>15.01</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>200, 300, 400 and 600 Willowbrook Lane</propertyName>
   <propertyAddress>200, 300, 400 &amp; 600 Willowbrook Lane</propertyAddress>
   <propertyCity>West Chester</propertyCity>
   <propertyState>PA</propertyState>
   <propertyZip>19382</propertyZip>
   <propertyCounty>Chester</propertyCounty>
   <propertyTypeCode>MU</propertyTypeCode>
   <netRentableSquareFeetNumber>145317</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>145317</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1981</yearBuiltNumber>
   <yearLastRenovated>2021</yearLastRenovated>
   <valuationSecuritizationAmount>31900000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-13-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.930</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <largestTenant>CDHA Manangement LLC</largestTenant>
   <squareFeetLargestTenantNumber>23355</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>04-30-2032</leaseExpirationLargestTenantDate>
   <secondLargestTenant>In Stock Cabinets Design</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>16239</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>12-31-2027</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>Clinical Care Associates of the University</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>15957</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>01-31-2029</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>3593743.28</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>1170370.73</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>2423372.55</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1873001.18</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>15.02</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>100 Willowbrook Lane</propertyName>
   <propertyAddress>100 Willowbrook Lane</propertyAddress>
   <propertyCity>West Chester</propertyCity>
   <propertyState>PA</propertyState>
   <propertyZip>19382</propertyZip>
   <propertyCounty>Chester</propertyCounty>
   <propertyTypeCode>IN</propertyTypeCode>
   <netRentableSquareFeetNumber>97494</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>97494</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1979</yearBuiltNumber>
   <yearLastRenovated>2005</yearLastRenovated>
   <valuationSecuritizationAmount>14300000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-13-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.759</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <largestTenant>Bimmerworks, LTD</largestTenant>
   <squareFeetLargestTenantNumber>28804</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>08-31-2035</leaseExpirationLargestTenantDate>
   <secondLargestTenant>Pennsylvania Liquor Control Board</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>19445</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>06-30-2027</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>Peirce Phelps, Inc.</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>13727</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>10-31-2030</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>1071961.59</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>409384.46</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>662577.13</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>549541.82</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>15.03</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>1380 Enterprise Drive</propertyName>
   <propertyAddress>1380 Enterprise Drive</propertyAddress>
   <propertyCity>West Chester</propertyCity>
   <propertyState>PA</propertyState>
   <propertyZip>19380</propertyZip>
   <propertyCounty>Chester</propertyCounty>
   <propertyTypeCode>MU</propertyTypeCode>
   <netRentableSquareFeetNumber>38509</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>38509</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1987</yearBuiltNumber>
   <yearLastRenovated>2021</yearLastRenovated>
   <valuationSecuritizationAmount>7500000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-13-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <largestTenant>USI Insurance Services, LLC</largestTenant>
   <squareFeetLargestTenantNumber>22336</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>02-28-2031</leaseExpirationLargestTenantDate>
   <secondLargestTenant>Bio-Medical Applications of PA</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>8307</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>10-31-2030</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>Theraplay, Inc</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>7866</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>05-31-2032</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>881641.69</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>215292.67</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>666349.02</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>531097.08</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>16</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>KeyBank National Association</originatorName>
  <originationDate>07-28-2026</originationDate>
  <originalLoanAmount>18000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.05970000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.05970000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>18000000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>5</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>02-28-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>Stop &amp; Stor - Bay Ridge</propertyName>
   <propertyAddress>534 63rd Street</propertyAddress>
   <propertyCity>Brooklyn</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>11220</propertyZip>
   <propertyCounty>Kings</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>129187</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>129187</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>1996</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>1996</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1931</yearBuiltNumber>
   <yearLastRenovated>2000</yearLastRenovated>
   <valuationSecuritizationAmount>52200000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>06-01-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.942</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-01-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>4766668.26</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>2195776.55</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>2570891.71</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>2557973.01</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.36</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>2.35</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>18000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.05970000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00024720</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>18000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>18000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>17</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>UBS AG New York Branch</originatorName>
  <originationDate>06-25-2026</originationDate>
  <originalLoanAmount>16000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-06-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06164000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06164000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>60</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>5</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>84926.22</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>16000000.00</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>01-05-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>BJ's Wholesale - Leased Fee</propertyName>
   <propertyAddress>831 NJ-10</propertyAddress>
   <propertyCity>Hanover</propertyCity>
   <propertyState>NJ</propertyState>
   <propertyZip>07936</propertyZip>
   <propertyCounty>Morris</propertyCounty>
   <propertyTypeCode>98</propertyTypeCode>
   <netRentableSquareFeetNumber>99828</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>99828</netRentableSquareFeetSecuritizationNumber>
   <valuationSecuritizationAmount>23600000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-28-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <revenueSecuritizationAmount>1367469.60</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>5110.45</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1362359.15</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1362359.15</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.16</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.16</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>16000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>84926.22</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06164000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>84926.22</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>16000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>16000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>18</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>KeyBank National Association</originatorName>
  <originationDate>07-31-2026</originationDate>
  <originalLoanAmount>14250000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06640000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06640000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>24</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>5</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>14250000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>5</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>09-30-2028</prepaymentLockOutEndDate>
  <yieldMaintenanceEndDate>05-31-2036</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>05-31-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Gateway Plaza</propertyName>
   <propertyAddress>Various</propertyAddress>
   <propertyCity>Visalia</propertyCity>
   <propertyState>CA</propertyState>
   <propertyZip>93277</propertyZip>
   <propertyCounty>Tulare</propertyCounty>
   <propertyTypeCode>RT</propertyTypeCode>
   <netRentableSquareFeetNumber>120575</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>120575</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1986</yearBuiltNumber>
   <valuationSecuritizationAmount>22550000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>06-15-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.963</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <largestTenant>Dick's Sporting Goods #1069</largestTenant>
   <squareFeetLargestTenantNumber>48100</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>01-31-2028</leaseExpirationLargestTenantDate>
   <secondLargestTenant>HomeGoods #744</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>20000</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>11-30-2035</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>Staples #326</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>16650</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>05-31-2030</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>05-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>2099898.92</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>512923.37</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1586975.55</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1479051.56</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.45</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.35</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>14250000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06640000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00074720</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>14250000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>14250000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>19</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Citi Real Estate Funding Inc.</originatorName>
  <originationDate>06-23-2026</originationDate>
  <originalLoanAmount>13000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-06-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06630000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06630000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>83283.41</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>12990935.76</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>0</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>09-05-2028</prepaymentLockOutEndDate>
  <yieldMaintenanceEndDate>01-05-2036</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>01-05-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>CooperTowne Center</propertyName>
   <propertyAddress>711 East Evesham Avenue</propertyAddress>
   <propertyCity>Somerdale</propertyCity>
   <propertyState>NJ</propertyState>
   <propertyZip>8083</propertyZip>
   <propertyCounty>Camden</propertyCounty>
   <propertyTypeCode>RT</propertyTypeCode>
   <netRentableSquareFeetNumber>165613</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>165613</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1988</yearBuiltNumber>
   <yearLastRenovated>2011</yearLastRenovated>
   <valuationSecuritizationAmount>23800000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>01-01-2027</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.955</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <largestTenant>Cinemark</largestTenant>
   <squareFeetLargestTenantNumber>54073</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>03-31-2034</leaseExpirationLargestTenantDate>
   <secondLargestTenant>Nova Trampoline</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>47014</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>11-30-2035</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>Planet Fitness</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>13598</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>12-08-2038</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>03-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>3300481.29</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>1313481.47</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1986999.82</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1822791.47</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.99</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.82</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>13000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>83283.41</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06630000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>74219.17</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>9064.24</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>12990935.76</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>12990935.76</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>20</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Cooperative Bank, N.A.</originatorName>
  <originationDate>06-23-2026</originationDate>
  <originalLoanAmount>12200000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06430000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06430000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>76551.52</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>12190999.20</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>12-30-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>03-30-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Fairharbor Owners, Inc.</propertyName>
   <propertyAddress>400 River Avenue</propertyAddress>
   <propertyCity>Patchogue</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>11772</propertyZip>
   <propertyCounty>Suffolk</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>246</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>246</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1970</yearBuiltNumber>
   <yearLastRenovated>2014</yearLastRenovated>
   <valuationSecuritizationAmount>78700000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-10-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>7043044.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>2596605.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>4446439.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>4372039.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>4.84</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>4.76</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>12200000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>76551.52</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06430000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>67550.72</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>9000.80</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>12190999.20</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>12190999.20</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>21</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Natixis Real Estate Capital LLC</originatorName>
  <originationDate>06-25-2026</originationDate>
  <originalLoanAmount>10080000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-06-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06340000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06340000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>60</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>5</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>55031.20</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>10080000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>5</NumberPropertiesSecuritization>
  <NumberProperties>5</NumberProperties>
  <graceDaysAllowedNumber>0</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>04-05-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>The Storage Mall Portfolio</propertyName>
   <propertyState>NY</propertyState>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>190452</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>190452</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>1187</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>1187</unitsBedsRoomsSecuritizationNumber>
   <valuationSecuritizationAmount>16580000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <physicalOccupancySecuritizationPercentage>0.817</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>1695657.91</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>566355.89</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1129302.02</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1106998.10</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.50</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.47</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>10080000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>55031.20</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06340000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>55031.20</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>10080000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>10080000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>21.01</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>The Storage Mall - Palmyra</propertyName>
   <propertyAddress>900 Route 441 and 2981 North Creek Road</propertyAddress>
   <propertyCity>Walworth &amp; Palmyra</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>Various</propertyZip>
   <propertyCounty>Wayne</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>67520</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>67520</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>391</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>391</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1990</yearBuiltNumber>
   <valuationSecuritizationAmount>5190000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-21-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.726</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>503438.58</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>204239.08</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>299199.50</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>287245.58</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>21.02</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>The Storage Mall - Ontario</propertyName>
   <propertyAddress>2731 and 3918 &amp; 3928 State Route 96</propertyAddress>
   <propertyCity>Clifton Springs &amp; Town of Manchester</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>Various</propertyZip>
   <propertyCounty>Ontario</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>28950</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>28950</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>238</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>238</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1998</yearBuiltNumber>
   <valuationSecuritizationAmount>3620000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-21-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.874</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>344903.94</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>77044.84</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>267859.10</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>264949.10</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>21.03</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>The Storage Mall - Lockport</propertyName>
   <propertyAddress>6680 Lincoln Avenue</propertyAddress>
   <propertyCity>Lockport</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>14094</propertyZip>
   <propertyCounty>Niagara</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>24682</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>24682</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>205</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>205</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1986</yearBuiltNumber>
   <valuationSecuritizationAmount>2670000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-21-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.849</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>297597.75</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>116858.18</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>180739.57</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>178149.57</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>21.04</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>The Storage Mall - Evergreen</propertyName>
   <propertyAddress>3260 Evergreen Hills Drive</propertyAddress>
   <propertyCity>Macedeon</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>14502</propertyZip>
   <propertyCounty>Wayne</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>38900</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>38900</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>180</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>180</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2002</yearBuiltNumber>
   <valuationSecuritizationAmount>2590000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-26-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.928</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>270276.22</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>84264.53</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>186011.69</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>184281.69</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>21.05</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>The Storage Mall - Rush</propertyName>
   <propertyAddress>7466 West Henrietta Road</propertyAddress>
   <propertyCity>Rush</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>14543</propertyZip>
   <propertyCounty>Monroe</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>30400</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>30400</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>173</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>173</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1999</yearBuiltNumber>
   <valuationSecuritizationAmount>2510000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-21-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.792</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>279441.42</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>83949.26</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>195492.16</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>192372.16</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>22</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>NWL Company, LLC</originatorName>
  <originationDate>04-17-2026</originationDate>
  <originalLoanAmount>10000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>05-06-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06780000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06780000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>06-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>58383.33</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>10000000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>2</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>11-05-2035</prepaymentLockOutEndDate>
  <property>
   <propertyName>Bradford Plaza</propertyName>
   <propertyAddress>501-721 North Main Street and 205-207 East McElroy</propertyAddress>
   <propertyCity>Stillwater</propertyCity>
   <propertyState>OK</propertyState>
   <propertyZip>74075</propertyZip>
   <propertyCounty>Payne</propertyCounty>
   <propertyTypeCode>RT</propertyTypeCode>
   <netRentableSquareFeetNumber>93755</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>93755</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1999</yearBuiltNumber>
   <valuationSecuritizationAmount>15500000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>02-09-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <largestTenant>TJ Maxx</largestTenant>
   <squareFeetLargestTenantNumber>25060</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>09-30-2027</leaseExpirationLargestTenantDate>
   <secondLargestTenant>Barnes and Noble</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>15047</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>01-31-2037</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>Old Navy</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>12499</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>02-28-2029</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>03-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>1552076.24</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>406081.18</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1145995.06</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1082240.86</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.67</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.57</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>10000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>58383.33</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06780000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>58383.33</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>10000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>10000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>23</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Starwood Mortgage Capital LLC and Bank of Montreal</originatorName>
  <originationDate>01-09-2026</originationDate>
  <originalLoanAmount>9000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>02-06-2036</maturityDate>
  <originalAmortizationTermNumber>324</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06925000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06925000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>24</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>03-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>PP</loanStructureCode>
  <paymentTypeCode>5</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>53668.75</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>9000000.00</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>10-05-2035</prepaymentLockOutEndDate>
  <property>
   <propertyName>One Commerce Plaza</propertyName>
   <propertyAddress>99 Washington Avenue</propertyAddress>
   <propertyCity>Albany</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>12210</propertyZip>
   <propertyCounty>Albany</propertyCounty>
   <propertyTypeCode>OF</propertyTypeCode>
   <netRentableSquareFeetNumber>736998</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>736998</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1971</yearBuiltNumber>
   <yearLastRenovated>2024</yearLastRenovated>
   <valuationSecuritizationAmount>94000000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>07-25-2025</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.979</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <largestTenant>NYS - Department of Health</largestTenant>
   <squareFeetLargestTenantNumber>176698</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>09-30-2035</leaseExpirationLargestTenantDate>
   <secondLargestTenant>NYS - Department of State</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>164252</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>08-31-2033</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>NYS - Department of Financial Services</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>99293</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>08-31-2033</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>10-31-2025</financialsSecuritizationDate>
   <revenueSecuritizationAmount>15013690.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>6660006.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>8353684.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>7542986.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.59</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.44</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>9000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>53668.75</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06925000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>53668.75</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>9000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>9000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>Trimont LLC</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>24</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Natixis Real Estate Capital LLC</originatorName>
  <originationDate>03-31-2026</originationDate>
  <originalLoanAmount>8840000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>04-06-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06715000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06715000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>05-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>51116.07</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>8840000.00</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>10-05-2035</prepaymentLockOutEndDate>
  <property>
   <propertyName>Centennial Center</propertyName>
   <propertyAddress>300-390 South McCaslin Boulevard</propertyAddress>
   <propertyCity>Louisville</propertyCity>
   <propertyState>CO</propertyState>
   <propertyZip>80027</propertyZip>
   <propertyCounty>Boulder</propertyCounty>
   <propertyTypeCode>RT</propertyTypeCode>
   <netRentableSquareFeetNumber>51977</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>51977</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1986</yearBuiltNumber>
   <valuationSecuritizationAmount>13550000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>02-12-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.931</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <largestTenant>La Petite Academy, Inc.</largestTenant>
   <squareFeetLargestTenantNumber>9400</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>06-30-2030</leaseExpirationLargestTenantDate>
   <secondLargestTenant>Ekagar Inc.</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>4810</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>08-31-2028</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>Centennial Automotive Repair Center, Inc.</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>4742</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>07-31-2032</leaseExpirationThirdLargestTenantDate>
   <financialsSecuritizationDate>12-31-2025</financialsSecuritizationDate>
   <revenueSecuritizationAmount>1623107.84</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>631921.53</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>991186.31</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>982350.22</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.65</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.63</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>8840000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>51116.07</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06715000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>51116.07</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>8840000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>8840000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>25</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Natixis Real Estate Capital LLC</originatorName>
  <originationDate>06-01-2026</originationDate>
  <originalLoanAmount>8200000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06460000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06460000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>51614.06</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>8186488.43</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>2</NumberPropertiesSecuritization>
  <NumberProperties>2</NumberProperties>
  <graceDaysAllowedNumber>0</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>02-29-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>Grizzly Self Storage Portfolio</propertyName>
   <propertyState>TX</propertyState>
   <propertyCounty>Dallas</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>132265</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>132265</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>1356</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>1356</unitsBedsRoomsSecuritizationNumber>
   <valuationSecuritizationAmount>16180000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-13-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.815</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-01-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <financialsSecuritizationDate>03-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>1471114.79</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>578848.04</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>892266.75</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>879040.25</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.44</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.42</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>8192529.27</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>51614.06</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06460000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>45573.22</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>6040.84</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>8186488.43</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>8186488.43</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>25.01</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>Grizzly Self Storage - Mesquite</propertyName>
   <propertyAddress>1125 East Main Street</propertyAddress>
   <propertyCity>Mesquite</propertyCity>
   <propertyState>TX</propertyState>
   <propertyZip>75149</propertyZip>
   <propertyCounty>Dallas</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>70860</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>70860</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>708</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>708</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2002</yearBuiltNumber>
   <valuationSecuritizationAmount>9680000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-13-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.801</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>03-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>858420.90</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>338369.38</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>520051.52</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>512965.52</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>25.02</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <property>
   <propertyName>Grizzly Self Storage - DeSoto</propertyName>
   <propertyAddress>1480 North Hampton Road</propertyAddress>
   <propertyCity>DeSoto</propertyCity>
   <propertyState>TX</propertyState>
   <propertyZip>75115</propertyZip>
   <propertyCounty>Dallas</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>61405</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>61405</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>648</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>648</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2001</yearBuiltNumber>
   <valuationSecuritizationAmount>6500000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-13-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.831</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <financialsSecuritizationDate>03-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>612693.89</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>240478.66</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>372215.23</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>366074.73</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
  </property>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>26</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>KeyBank National Association</originatorName>
  <originationDate>02-11-2026</originationDate>
  <originalLoanAmount>8000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>03-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.05850000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.05850000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>04-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>40300.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>8000000.00</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>09-30-2035</prepaymentLockOutEndDate>
  <property>
   <propertyName>Stop &amp; Stor - Glendale/Middle Village</propertyName>
   <propertyAddress>75-02 88th Street</propertyAddress>
   <propertyCity>Glendale</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>11385</propertyZip>
   <propertyCounty>Queens</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>58826</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>58826</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>940</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>940</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2005</yearBuiltNumber>
   <valuationSecuritizationAmount>25200000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>12-17-2025</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.913</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-01-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <financialsSecuritizationDate>03-31-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>2087505.40</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>1164757.84</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>922747.56</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>916864.96</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.94</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.93</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>8000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>40300.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.05850000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00024720</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>40300.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>8000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>8000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>27</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>NWL Company, LLC</originatorName>
  <originationDate>07-31-2026</originationDate>
  <originalLoanAmount>7700000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-06-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06645000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06645000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>7700000.00</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>10-05-2028</prepaymentLockOutEndDate>
  <yieldMaintenanceEndDate>05-05-2036</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>05-05-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>CubeSmart Self Storage</propertyName>
   <propertyAddress>2902 South Havana Street</propertyAddress>
   <propertyCity>Aurora</propertyCity>
   <propertyState>CO</propertyState>
   <propertyZip>80014</propertyZip>
   <propertyCounty>Arapahoe</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>93085</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>93085</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>762</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>762</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2014</yearBuiltNumber>
   <valuationSecuritizationAmount>11950000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-27-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.852</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>1266253.20</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>576460.74</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>689792.46</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>680483.96</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.33</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.31</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>7700000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06645000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>7700000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>7700000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>28</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>07-27-2026</originationDate>
  <originalLoanAmount>6900000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-01-2036</maturityDate>
  <originalAmortizationTermNumber>480</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.05900000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.05900000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>6900000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>01-30-2036</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>04-29-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>16 N. Broadway Owners, Inc.</propertyName>
   <propertyAddress>16 North Broadway</propertyAddress>
   <propertyCity>White Plains</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10601</propertyZip>
   <propertyCounty>Westchester</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>119</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>119</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1954</yearBuiltNumber>
   <yearLastRenovated>2016</yearLastRenovated>
   <valuationSecuritizationAmount>35000000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-19-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>3669881.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>1438738.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>2231143.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>2183543.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>4.96</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>4.85</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>6900000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.05900000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>6900000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>6900000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>29</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>05-29-2026</originationDate>
  <originalLoanAmount>6650000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06350000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06350000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>41378.67</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>6638760.97</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>11-29-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>02-28-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>245-55 Bronx River Owners, Inc.</propertyName>
   <propertyAddress>245-55 Bronx River Road</propertyAddress>
   <propertyCity>Yonkers</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10704</propertyZip>
   <propertyCounty>Westchester</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>96</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>96</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1954</yearBuiltNumber>
   <yearLastRenovated>2001</yearLastRenovated>
   <valuationSecuritizationAmount>18400000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>01-13-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>2119393.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>1041877.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1077516.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1043566.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.17</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>2.10</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>6643810.91</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>41378.67</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06350000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>36328.73</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>5049.94</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>6638760.97</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>6638760.97</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>30</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Starwood Mortgage Capital LLC</originatorName>
  <originationDate>06-24-2026</originationDate>
  <originalLoanAmount>6500000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-06-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.07005000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.07005000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>43266.49</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>6495942.05</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>04-05-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>Hampton Inn Cambridge</propertyName>
   <propertyAddress>8775 Georgetown Road</propertyAddress>
   <propertyCity>Cambridge</propertyCity>
   <propertyState>OH</propertyState>
   <propertyZip>43725</propertyZip>
   <propertyCounty>Guernsey</propertyCounty>
   <propertyTypeCode>LO</propertyTypeCode>
   <unitsBedsRoomsNumber>87</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>87</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2006</yearBuiltNumber>
   <yearLastRenovated>2025</yearLastRenovated>
   <valuationSecuritizationAmount>12500000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-12-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.727</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>3083763.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>1885919.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1197845.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1074494.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>2.31</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>2.07</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>6500000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>43266.49</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.07005000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>39208.54</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>4057.95</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>6495942.05</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>6495942.05</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>31</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>06-18-2026</originationDate>
  <originalLoanAmount>6000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06200000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06200000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>32033.33</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>6000000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>12-30-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>03-30-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>61 Irving Place Corporation</propertyName>
   <propertyAddress>61 Irving Place</propertyAddress>
   <propertyCity>New York</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10003</propertyZip>
   <propertyCounty>New York</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>29</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>29</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1900</yearBuiltNumber>
   <yearLastRenovated>2026</yearLastRenovated>
   <valuationSecuritizationAmount>63500000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-08-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>3395773.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>1363174.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>2032599.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>2019799.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>5.39</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>5.36</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>6000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>32033.33</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06200000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>32033.33</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>6000000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>6000000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>32</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Societe Generale Financial Corporation</originatorName>
  <originationDate>07-17-2026</originationDate>
  <originalLoanAmount>5800000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.07215000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.07215000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>5800000.00</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>08-31-2028</prepaymentLockOutEndDate>
  <yieldMaintenanceEndDate>01-31-2036</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>01-31-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Shoppes at Summer Trees</propertyName>
   <propertyAddress>5500 &amp; 5510 South Williamson Boulevard</propertyAddress>
   <propertyCity>Port Orange</propertyCity>
   <propertyState>FL</propertyState>
   <propertyZip>32128</propertyZip>
   <propertyCounty>Volusia</propertyCounty>
   <propertyTypeCode>RT</propertyTypeCode>
   <netRentableSquareFeetNumber>34100</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>34100</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>2025</yearBuiltNumber>
   <valuationSecuritizationAmount>9800000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-20-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <largestTenant>Aldi (Leased Fee)</largestTenant>
   <squareFeetLargestTenantNumber>22100</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>07-31-2045</leaseExpirationLargestTenantDate>
   <secondLargestTenant>Mattress Warehouse</secondLargestTenant>
   <squareFeetSecondLargestTenantNumber>4800</squareFeetSecondLargestTenantNumber>
   <leaseExpirationSecondLargestTenantDate>01-31-2036</leaseExpirationSecondLargestTenantDate>
   <thirdLargestTenant>Heartland Dental</thirdLargestTenant>
   <squareFeetThirdLargestTenantNumber>4000</squareFeetThirdLargestTenantNumber>
   <leaseExpirationThirdLargestTenantDate>12-31-2035</leaseExpirationThirdLargestTenantDate>
   <revenueSecuritizationAmount>797463.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>234230.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>563233.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>536833.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.33</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.27</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>5800000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.07215000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>5800000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>5800000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>33</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>KeyBank National Association</originatorName>
  <originationDate>07-31-2026</originationDate>
  <originalLoanAmount>5644000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06420000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06420000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>5644000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>3</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>09-30-2028</prepaymentLockOutEndDate>
  <yieldMaintenanceEndDate>02-29-2036</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>02-29-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Highlander Hills Estates</propertyName>
   <propertyAddress>100 Axford Avenue</propertyAddress>
   <propertyCity>Oxford</propertyCity>
   <propertyState>NJ</propertyState>
   <propertyZip>07863</propertyZip>
   <propertyCounty>Warren</propertyCounty>
   <propertyTypeCode>MH</propertyTypeCode>
   <unitsBedsRoomsNumber>94</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>94</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1960</yearBuiltNumber>
   <valuationSecuritizationAmount>8850000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-19-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <financialsSecuritizationDate>06-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>857816.60</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>346227.96</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>511588.64</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>506888.64</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.39</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.38</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>5644000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06420000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00024720</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>5644000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>5644000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>34</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>German American Capital Corporation</originatorName>
  <originationDate>05-11-2026</originationDate>
  <originalLoanAmount>5500000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-06-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06109000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06109000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>24</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>5</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>28932.90</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>5500000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>5</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>07-05-2027</prepaymentLockOutEndDate>
  <yieldMaintenanceEndDate>12-05-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>12-05-2035</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Security Public Storage &#8211; Frederick</propertyName>
   <propertyAddress>17 Western Drive</propertyAddress>
   <propertyCity>Frederick</propertyCity>
   <propertyState>MD</propertyState>
   <propertyZip>21701</propertyZip>
   <propertyCounty>Frederick</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>64035</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>64035</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>666</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>666</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2000</yearBuiltNumber>
   <valuationSecuritizationAmount>13100000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-17-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.815</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>07-06-2027</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <financialsSecuritizationDate>02-28-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>1244963.01</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>609176.78</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>635786.23</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>629304.43</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.59</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.57</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>5500000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>28932.90</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06109000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>28932.90</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>5500000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>5500000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>35</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Cooperative Bank, N.A.</originatorName>
  <originationDate>05-28-2026</originationDate>
  <originalLoanAmount>5400000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06030000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06030000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>28039.50</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>5400000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>11-29-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>02-28-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>86th Street Tenants Corp.</propertyName>
   <propertyAddress>345 East 86th Street</propertyAddress>
   <propertyCity>New York</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10028</propertyZip>
   <propertyCounty>New York</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>104</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>104</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1971</yearBuiltNumber>
   <yearLastRenovated>2005</yearLastRenovated>
   <valuationSecuritizationAmount>98700000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-24-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>8459055.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>4160108.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>4298947.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>4271997.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>13.02</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>12.94</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>5400000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>28039.50</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06030000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>28039.50</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>5400000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>5400000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>36</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Starwood Mortgage Capital LLC</originatorName>
  <originationDate>06-02-2026</originationDate>
  <originalLoanAmount>5050000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-06-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.05810000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.05810000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-06-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>25265.43</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>5050000.00</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>03-05-2036</prepaymentLockOutEndDate>
  <property>
   <propertyName>Publix Self Storage</propertyName>
   <propertyAddress>9000 Angela Place</propertyAddress>
   <propertyCity>Anchorage</propertyCity>
   <propertyState>AK</propertyState>
   <propertyZip>99502</propertyZip>
   <propertyCounty>Anchorage</propertyCounty>
   <propertyTypeCode>SS</propertyTypeCode>
   <netRentableSquareFeetNumber>64690</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>64690</netRentableSquareFeetSecuritizationNumber>
   <unitsBedsRoomsNumber>631</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>631</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>2003</yearBuiltNumber>
   <valuationSecuritizationAmount>16900000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-26-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>0.917</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-06-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <financialsSecuritizationDate>04-30-2026</financialsSecuritizationDate>
   <revenueSecuritizationAmount>1872303.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>761722.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1110582.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1104113.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>3.73</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>3.71</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>5050000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>25265.43</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.05810000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>25265.43</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>5050000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>5050000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-06-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>37</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>Societe Generale Financial Corporation</originatorName>
  <originationDate>07-07-2026</originationDate>
  <originalLoanAmount>4600000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06874000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06874000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>4600000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>5</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>09-30-2027</prepaymentLockOutEndDate>
  <yieldMaintenanceEndDate>01-31-2036</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>01-31-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Sheboygan Industrial</propertyName>
   <propertyAddress>1213 Pennsylvania Avenue</propertyAddress>
   <propertyCity>Sheboygan</propertyCity>
   <propertyState>WI</propertyState>
   <propertyZip>53081</propertyZip>
   <propertyCounty>Sheboygan</propertyCounty>
   <propertyTypeCode>IN</propertyTypeCode>
   <netRentableSquareFeetNumber>133422</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>133422</netRentableSquareFeetSecuritizationNumber>
   <yearBuiltNumber>1910</yearBuiltNumber>
   <yearLastRenovated>1989</yearLastRenovated>
   <valuationSecuritizationAmount>7250000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-27-2026</valuationSecuritizationDate>
   <physicalOccupancySecuritizationPercentage>1.000</physicalOccupancySecuritizationPercentage>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <largestTenant>Torginol LLC</largestTenant>
   <squareFeetLargestTenantNumber>133422</squareFeetLargestTenantNumber>
   <leaseExpirationLargestTenantDate>04-30-2037</leaseExpirationLargestTenantDate>
   <revenueSecuritizationAmount>553901.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>0.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>553901.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>540559.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.53</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.49</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>4600000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06874000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00015970</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>4600000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>4600000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>38</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>05-29-2026</originationDate>
  <originalLoanAmount>4500000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06350000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06350000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>28000.61</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>4492394.63</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>11-29-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>02-28-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Interlaken Owners, Inc.</propertyName>
   <propertyAddress>87 Mill Road</propertyAddress>
   <propertyCity>Eastchester</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10709</propertyZip>
   <propertyCounty>Westchester</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>524</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>524</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1939</yearBuiltNumber>
   <yearLastRenovated>2001</yearLastRenovated>
   <valuationSecuritizationAmount>205800000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-22-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>20067040.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>7259975.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>12807065.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>12677315.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>38.12</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>37.73</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>4495811.89</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>28000.61</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06350000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>24583.35</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>3417.26</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>4492394.63</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>4492394.63</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>39</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>06-29-2026</originationDate>
  <originalLoanAmount>4300000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06090000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06090000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>22549.92</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>4300000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>12-30-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>03-30-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>210 E. Broadway Owners Corp.</propertyName>
   <propertyAddress>210 East Broadway</propertyAddress>
   <propertyCity>Long Beach</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>11561</propertyZip>
   <propertyCounty>Nassau</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>72</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>72</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1958</yearBuiltNumber>
   <yearLastRenovated>2015</yearLastRenovated>
   <valuationSecuritizationAmount>35900000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-31-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>2184103.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>824345.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1359758.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1340058.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>5.12</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>5.05</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>4300000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>22549.92</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06090000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>22549.92</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>4300000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>4300000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>40</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>06-26-2026</originationDate>
  <originalLoanAmount>4125000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06430000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06430000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>25883.20</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>4121956.70</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>12-30-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>03-30-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>665-675 Apartments Corp.</propertyName>
   <propertyAddress>665 Pelham Road</propertyAddress>
   <propertyCity>New Rochelle</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10805</propertyZip>
   <propertyCounty>Westchester</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>93</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>93</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1963</yearBuiltNumber>
   <yearLastRenovated>2005</yearLastRenovated>
   <valuationSecuritizationAmount>27900000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-10-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>2785647.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>1196850.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1588797.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1560597.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>5.12</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>5.02</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>4125000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>25883.20</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06430000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>22839.90</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>3043.30</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>4121956.70</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>4121956.70</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>41</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>06-30-2026</originationDate>
  <originalLoanAmount>4000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-01-2036</maturityDate>
  <originalAmortizationTermNumber>480</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06390000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06390000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>23105.53</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>3998904.47</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>12-30-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>03-30-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>5601 Riverdale Owners Corp.</propertyName>
   <propertyAddress>Various</propertyAddress>
   <propertyCity>Bronx</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10471</propertyZip>
   <propertyCounty>Bronx</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>113</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>113</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1954</yearBuiltNumber>
   <yearLastRenovated>2017</yearLastRenovated>
   <valuationSecuritizationAmount>34600000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-05-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>3835346.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>2060650.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1774696.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1729096.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>6.40</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>6.24</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>4000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>23105.53</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06390000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>22010.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>1095.53</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>3998904.47</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>3998904.47</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>42</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>KeyBank National Association</originatorName>
  <originationDate>12-03-2025</originationDate>
  <originalLoanAmount>3152000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>01-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.05790000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.05790000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>02-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>15715.35</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>3152000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>5</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>false</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <prepaymentLockOutEndDate>07-31-2035</prepaymentLockOutEndDate>
  <property>
   <propertyName>River Place Towers</propertyName>
   <propertyAddress>115 River Place</propertyAddress>
   <propertyCity>Lowell</propertyCity>
   <propertyState>MA</propertyState>
   <propertyZip>01852</propertyZip>
   <propertyCounty>Middlesex</propertyCounty>
   <propertyTypeCode>98</propertyTypeCode>
   <netRentableSquareFeetNumber>314026</netRentableSquareFeetNumber>
   <netRentableSquareFeetSecuritizationNumber>314026</netRentableSquareFeetSecuritizationNumber>
   <valuationSecuritizationAmount>5000000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>11-07-2025</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <defeasanceOptionStartDate>09-01-2028</defeasanceOptionStartDate>
   <DefeasedStatusCode>N</DefeasedStatusCode>
   <revenueSecuritizationAmount>300000.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>0.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>300000.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>300000.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>1.62</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>1.62</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>3152000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>15715.35</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.05790000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00024720</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>15715.35</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>3152000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>3152000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>KeyBank National Association</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>43</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>06-23-2026</originationDate>
  <originalLoanAmount>3000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06430000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06430000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>18824.15</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>2997786.68</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>12-30-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>03-30-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>127 Garth Road Tenants Corp.</propertyName>
   <propertyAddress>127 Garth Road</propertyAddress>
   <propertyCity>Scarsdale</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10583</propertyZip>
   <propertyCounty>Westchester</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>47</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>47</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1927</yearBuiltNumber>
   <yearLastRenovated>2005</yearLastRenovated>
   <valuationSecuritizationAmount>21700000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-14-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>2345265.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>727185.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1618080.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1605080.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>7.16</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>7.11</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>3000000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>18824.15</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06430000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>16610.83</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>2213.32</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>2997786.68</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>2997786.68</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>44</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>05-29-2026</originationDate>
  <originalLoanAmount>3000000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-01-2036</maturityDate>
  <originalAmortizationTermNumber>480</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06320000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06320000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>17180.44</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>2997758.27</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>11-29-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>02-28-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>2165 Matthews Avenue Owners, Inc.</propertyName>
   <propertyAddress>2165 Matthews Avenue</propertyAddress>
   <propertyCity>Bronx</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10462</propertyZip>
   <propertyCounty>Bronx</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>61</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>61</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1958</yearBuiltNumber>
   <yearLastRenovated>2011</yearLastRenovated>
   <valuationSecuritizationAmount>11100000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>03-11-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>1432505.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>696818.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>735687.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>713987.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>3.57</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>3.46</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>2998619.56</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>17180.44</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06320000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>16319.15</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>861.29</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>2997758.27</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>2997758.27</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>45</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>07-30-2026</originationDate>
  <originalLoanAmount>2600000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>08-01-2036</maturityDate>
  <originalAmortizationTermNumber>240</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06240000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06240000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>09-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>0.00</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>2600000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>01-30-2036</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>04-29-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Beach House Owners Corp.</propertyName>
   <propertyAddress>740 East Broadway</propertyAddress>
   <propertyCity>Long Beach</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>11561</propertyZip>
   <propertyCounty>Nassau</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>98</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>98</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1972</yearBuiltNumber>
   <yearLastRenovated>2006</yearLastRenovated>
   <valuationSecuritizationAmount>40650000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-11-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>3125303.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>1081853.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>2043450.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>2014050.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>8.97</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>8.84</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>2600000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>0.00</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06240000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>0.00</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>2600000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>2600000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>46</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>06-23-2026</originationDate>
  <originalLoanAmount>2500000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06150000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06150000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>15230.70</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>2498008.88</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>12-30-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>03-30-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Bronxville Court, Inc.</propertyName>
   <propertyAddress>240-256 Bronxville Road a/k/a 927 Palmer Road</propertyAddress>
   <propertyCity>Yonkers</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10708</propertyZip>
   <propertyCounty>Westchester</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>54</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>54</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1924</yearBuiltNumber>
   <yearLastRenovated>2003</yearLastRenovated>
   <valuationSecuritizationAmount>21200000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-01-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>1768859.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>629616.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1139243.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1125043.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>6.23</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>6.16</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>2500000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>15230.70</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06150000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>13239.58</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>1991.12</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>2498008.88</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>2498008.88</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>47</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>05-28-2026</originationDate>
  <originalLoanAmount>1750000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-01-2036</maturityDate>
  <originalAmortizationTermNumber>0</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06110000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06110000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>120</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>3</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>9207.43</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>1750000.00</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>true</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>11-29-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>02-28-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>90 Schenck Owners Corp.</propertyName>
   <propertyAddress>90 Schenck Avenue</propertyAddress>
   <propertyCity>Great Neck</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>11021</propertyZip>
   <propertyCounty>Nassau</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>40</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>40</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1949</yearBuiltNumber>
   <yearLastRenovated>2023</yearLastRenovated>
   <valuationSecuritizationAmount>17700000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-07-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>1301519.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>480850.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>820669.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>809569.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>7.57</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>7.47</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>1750000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>9207.43</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06110000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>9207.43</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>0.00</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>1750000.00</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>1750000.00</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>48</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>06-11-2026</originationDate>
  <originalLoanAmount>1700000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>07-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06280000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06280000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>08-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>10500.38</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>1698692.84</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>12-30-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>03-30-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Crocheron Terrace Owners Corp.</propertyName>
   <propertyAddress>170-06 Crocheron Avenue</propertyAddress>
   <propertyCity>Flushing</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>11358</propertyZip>
   <propertyCounty>Queens</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>47</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>47</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1951</yearBuiltNumber>
   <yearLastRenovated>2011</yearLastRenovated>
   <valuationSecuritizationAmount>15200000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-07-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>1394519.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>612423.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>782096.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>770096.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>6.21</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>6.11</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>1700000.00</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>10500.38</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06280000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>9193.22</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>1307.16</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>1698692.84</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>1698692.84</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>49</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Cooperative Bank, N.A.</originatorName>
  <originationDate>05-26-2026</originationDate>
  <originalLoanAmount>1650000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06740000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06740000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>10690.90</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>1647453.86</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>11-29-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>02-28-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>Barclay Plaza Owners, Inc.</propertyName>
   <propertyAddress>143-50 Barclay Avenue</propertyAddress>
   <propertyCity>Flushing</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>11355</propertyZip>
   <propertyCounty>Queens</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>48</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>48</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1983</yearBuiltNumber>
   <yearLastRenovated>2023</yearLastRenovated>
   <valuationSecuritizationAmount>16700000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>05-08-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>1272960.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>410416.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>862544.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>850544.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>6.72</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>6.63</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>1648576.60</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>10690.90</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06740000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>9568.16</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>1122.74</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>1647453.86</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>1647453.86</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>50</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>05-29-2026</originationDate>
  <originalLoanAmount>1500000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-01-2036</maturityDate>
  <originalAmortizationTermNumber>360</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06100000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06100000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>9089.92</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>1497316.63</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>11-29-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>02-28-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>431 West 121 Street Housing Development Fund Corporation a/k/a 431 West 121st Street Housing Development Fund Corporation</propertyName>
   <propertyAddress>431 West 121st Street</propertyAddress>
   <propertyCity>New York</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>10027</propertyZip>
   <propertyCounty>New York</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>26</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>26</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1906</yearBuiltNumber>
   <yearLastRenovated>2011</yearLastRenovated>
   <valuationSecuritizationAmount>13300000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-02-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>1031814.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>329630.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>702184.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>689684.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>6.44</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>6.32</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>1498535.08</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>9089.92</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06100000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>7871.47</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>1218.45</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>1497316.63</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>1497316.63</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
 <assets>
  <assetTypeNumber>Prospectus Loan ID</assetTypeNumber>
  <assetNumber>51</assetNumber>
  <GroupID>1</GroupID>
  <reportingPeriodBeginningDate>07-14-2026</reportingPeriodBeginningDate>
  <reportingPeriodEndDate>08-11-2026</reportingPeriodEndDate>
  <originatorName>National Consumer Cooperative Bank</originatorName>
  <originationDate>05-29-2026</originationDate>
  <originalLoanAmount>1360000.00</originalLoanAmount>
  <originalTermLoanNumber>120</originalTermLoanNumber>
  <maturityDate>06-01-2036</maturityDate>
  <originalAmortizationTermNumber>204</originalAmortizationTermNumber>
  <originalInterestRatePercentage>0.06110000</originalInterestRatePercentage>
  <interestRateSecuritizationPercentage>0.06110000</interestRateSecuritizationPercentage>
  <interestAccrualMethodCode>3</interestAccrualMethodCode>
  <originalInterestRateTypeCode>1</originalInterestRateTypeCode>
  <originalInterestOnlyTermNumber>0</originalInterestOnlyTermNumber>
  <firstLoanPaymentDueDate>07-01-2026</firstLoanPaymentDueDate>
  <underwritingIndicator>true</underwritingIndicator>
  <lienPositionSecuritizationCode>1</lienPositionSecuritizationCode>
  <loanStructureCode>WL</loanStructureCode>
  <paymentTypeCode>2</paymentTypeCode>
  <periodicPrincipalAndInterestPaymentSecuritizationAmount>10733.39</periodicPrincipalAndInterestPaymentSecuritizationAmount>
  <scheduledPrincipalBalanceSecuritizationAmount>1352593.34</scheduledPrincipalBalanceSecuritizationAmount>
  <paymentFrequencyCode>1</paymentFrequencyCode>
  <NumberPropertiesSecuritization>1</NumberPropertiesSecuritization>
  <NumberProperties>1</NumberProperties>
  <graceDaysAllowedNumber>10</graceDaysAllowedNumber>
  <interestOnlyIndicator>false</interestOnlyIndicator>
  <balloonIndicator>true</balloonIndicator>
  <prepaymentPremiumIndicator>true</prepaymentPremiumIndicator>
  <negativeAmortizationIndicator>false</negativeAmortizationIndicator>
  <modifiedIndicator>false</modifiedIndicator>
  <yieldMaintenanceEndDate>11-29-2035</yieldMaintenanceEndDate>
  <prepaymentPremiumsEndDate>02-28-2036</prepaymentPremiumsEndDate>
  <property>
   <propertyName>425 Heights Tenants Corp.</propertyName>
   <propertyAddress>425 Prospect Place</propertyAddress>
   <propertyCity>Brooklyn</propertyCity>
   <propertyState>NY</propertyState>
   <propertyZip>11238</propertyZip>
   <propertyCounty>Kings</propertyCounty>
   <propertyTypeCode>CH</propertyTypeCode>
   <unitsBedsRoomsNumber>56</unitsBedsRoomsNumber>
   <unitsBedsRoomsSecuritizationNumber>56</unitsBedsRoomsSecuritizationNumber>
   <yearBuiltNumber>1924</yearBuiltNumber>
   <yearLastRenovated>2022</yearLastRenovated>
   <valuationSecuritizationAmount>42300000.00</valuationSecuritizationAmount>
   <valuationSourceSecuritizationCode>MAI</valuationSourceSecuritizationCode>
   <valuationSecuritizationDate>04-14-2026</valuationSecuritizationDate>
   <propertyStatusCode>6</propertyStatusCode>
   <DefeasedStatusCode>X</DefeasedStatusCode>
   <revenueSecuritizationAmount>2402880.00</revenueSecuritizationAmount>
   <operatingExpensesSecuritizationAmount>753202.00</operatingExpensesSecuritizationAmount>
   <netOperatingIncomeSecuritizationAmount>1649678.00</netOperatingIncomeSecuritizationAmount>
   <netCashFlowFlowSecuritizationAmount>1634278.00</netCashFlowFlowSecuritizationAmount>
   <netOperatingIncomeNetCashFlowSecuritizationCode>UW</netOperatingIncomeNetCashFlowSecuritizationCode>
   <netOperatingIncomeNetCashFlowCode>UW</netOperatingIncomeNetCashFlowCode>
   <debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>12.81</debtServiceCoverageNetOperatingIncomeSecuritizationPercentage>
   <debtServiceCoverageNetCashFlowSecuritizationPercentage>12.69</debtServiceCoverageNetCashFlowSecuritizationPercentage>
   <debtServiceCoverageSecuritizationCode>F</debtServiceCoverageSecuritizationCode>
  </property>
  <reportPeriodModificationIndicator>false</reportPeriodModificationIndicator>
  <reportPeriodBeginningScheduleLoanBalanceAmount>1356191.28</reportPeriodBeginningScheduleLoanBalanceAmount>
  <totalScheduledPrincipalInterestDueAmount>10733.39</totalScheduledPrincipalInterestDueAmount>
  <reportPeriodInterestRatePercentage>0.06110000</reportPeriodInterestRatePercentage>
  <servicerTrusteeFeeRatePercentage>0.00093470</servicerTrusteeFeeRatePercentage>
  <scheduledInterestAmount>7135.45</scheduledInterestAmount>
  <otherInterestAdjustmentAmount>0.00</otherInterestAdjustmentAmount>
  <scheduledPrincipalAmount>3597.94</scheduledPrincipalAmount>
  <unscheduledPrincipalCollectedAmount>0.00</unscheduledPrincipalCollectedAmount>
  <otherPrincipalAdjustmentAmount>0.00</otherPrincipalAdjustmentAmount>
  <reportPeriodEndActualBalanceAmount>1352593.34</reportPeriodEndActualBalanceAmount>
  <reportPeriodEndScheduledLoanBalanceAmount>1352593.34</reportPeriodEndScheduledLoanBalanceAmount>
  <paidThroughDate>08-01-2026</paidThroughDate>
  <servicingAdvanceMethodCode>1</servicingAdvanceMethodCode>
  <nonRecoverabilityIndicator>false</nonRecoverabilityIndicator>
  <totalPrincipalInterestAdvancedOutstandingAmount>0.00</totalPrincipalInterestAdvancedOutstandingAmount>
  <totalTaxesInsuranceAdvancesOutstandingAmount>0.00</totalTaxesInsuranceAdvancesOutstandingAmount>
  <otherExpensesAdvancedOutstandingAmount>0.00</otherExpensesAdvancedOutstandingAmount>
  <paymentStatusLoanCode>0</paymentStatusLoanCode>
  <primaryServicerName>National Cooperative Bank</primaryServicerName>
  <assetSubjectDemandIndicator>false</assetSubjectDemandIndicator>
  <realizedLossToTrustAmount>0.00</realizedLossToTrustAmount>
  <workoutStrategyCode>98</workoutStrategyCode>
 </assets>
</assetData>
