Fannie Mae REMIC Trust - 2010-150 Contact: MBS … 31397qaa6 1 4.00000 108,931,625.50 363,105.42...
Transcript of Fannie Mae REMIC Trust - 2010-150 Contact: MBS … 31397qaa6 1 4.00000 108,931,625.50 363,105.42...
Fannie Mae REMIC Trust - 2010-150
Distribution Summary - 04/2013Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Paid Off DateTotal DistributionEnding/Notional ClassBalancePrincipal Distribution
PrepaymentPenalties/YieldMaintenance
Interest DistributionBeginning/Notional ClassBalanceInterest RateGroupCUSIP
AB 31397QAA6 1 4.00000 11,220,671.1098,074,059.8210,857,565.68N/AP363,105.42108,931,625.50
VA 31397QAB4 1 4.00000 171,080.0017,577,625.95112,114.20N/AP58,965.8017,689,740.15
AV 31397QAC2 1 4.00000 46,470.0013,941,000.000.00N/AP46,470.0013,941,000.00
ZD 31397QAD0 1 4.00000 0.0033,746,374.050.00N/AP0.0033,634,259.85
AC 31397QAE8 2 4.00000 7,658,003.6055,556,124.787,447,989.88N/AP210,013.7263,004,114.66
VT 31397QAF5 2 4.00000 114,053.3311,718,417.3074,742.80N/AP39,310.5311,793,160.10
TV 31397QAG3 2 4.00000 30,980.009,294,000.000.00N/AP30,980.009,294,000.00
ZT 31397QAH1 2 4.00000 0.0022,497,582.700.00N/AP0.0022,422,839.90
JF 31397QAJ7 3 0.75420 4,412,060.0552,549,332.824,376,282.30N/AP35,777.7556,925,615.12
JS 31397QAK4 3 6.24580 296,288.3452,549,332.820.00N/AP296,288.3456,925,615.12
AG 31397QAL2 4 0.00000 0.000.000.00N/AP0.000.00 03/01/2013
VC 31397QAM0 4 3.50000 1,919,474.6267,209,292.741,718,435.41N/AP201,039.2168,927,728.15
FA 31397QAN8 4 0.75420 704,702.5726,883,716.34687,374.14N/AP17,328.4327,571,090.48
SA 31397QAP3 4 6.24580 143,502.9326,883,716.340.00N/AP143,502.9327,571,090.48
ZX 31397QAQ1 4 4.50000 0.001,110.490.00N/AP0.001,106.34
PJ 31397QAR9 5 3.50000 1,512,567.4177,627,918.491,282,412.28N/AP230,155.1378,910,330.77
PF 31397QAS7 5 0.60420 734,524.2343,126,621.07712,451.26N/AP22,072.9743,839,072.33
PS 31397QAT5 5 6.39580 233,654.9543,126,621.070.00N/AP233,654.9543,839,072.33
PL 31397QAU2 5 4.75000 66,931.4616,909,000.000.00N/AP66,931.4616,909,000.00
ZC 31397QAV0 5 4.75000 867,590.8129,897,345.90867,590.81N/AP0.0030,643,638.98
AF 31397QAW8 5 0.71420 355,314.3420,945,110.78342,644.58N/AP12,669.7621,287,755.35
AS 31397QAX6 5 6.28580 111,508.8120,945,110.780.00N/AP111,508.8121,287,755.35
PA 31397QAY4 6 2.00000 412,623.0429,087,622.06363,537.77N/AP49,085.2729,451,159.83
FP 31397QAZ1 6 0.60420 378,366.4329,087,622.06363,537.77N/AP14,828.6629,451,159.83
SP 31397QBA5 6 6.39580 156,969.7729,087,622.060.00N/AP156,969.7729,451,159.83
LP 31397QBB3 6 4.50000 6,952.501,854,000.000.00N/AP6,952.501,854,000.00
ZE 31397QBC1 6 4.50000 1,595,671.82636,101.601,595,671.82N/AP0.002,223,435.54
BF 31397QBD9 6 0.71420 587,973.2315,166,336.43578,602.37N/AP9,370.8615,744,938.80
BS 31397QBE7 6 6.28580 82,474.6115,166,336.430.00N/AP82,474.6115,744,938.80
CA 31397QBF4 7 2.00000 260,036.3910,418,309.18242,268.76N/AP17,767.6310,660,577.94
CF 31397QBG2 7 0.45420 105,558.764,464,989.04103,829.46N/AP1,729.304,568,818.50
CS 31397QBH0 7 6.54580 24,922.144,464,989.040.00N/AP24,922.144,568,818.50
GN 31397QBJ6 8 2.00000 1,030,976.7631,240,762.03977,280.02N/AP53,696.7432,218,042.05
GF 31397QBK3 8 0.45420 424,060.5213,388,897.79418,834.29N/AP5,226.2313,807,732.08
GS 31397QBL1 8 6.54580 75,318.8813,388,897.790.00N/AP75,318.8813,807,732.08
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 1
Fannie Mae REMIC Trust - 2010-150
Distribution Summary - 04/2013Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Paid Off DateTotal DistributionEnding/Notional ClassBalancePrincipal Distribution
PrepaymentPenalties/YieldMaintenance
Interest DistributionBeginning/Notional ClassBalanceInterest RateGroupCUSIP
YA 31397QBM9 9 2.00000 1,497,962.8538,981,391.491,430,609.51N/AP67,353.3440,412,001.00
FY 31397QBN7 9 0.60420 967,304.6425,987,594.33953,739.68N/AP13,564.9626,941,334.00
SY 31397QBP2 9 6.39580 143,592.8225,987,594.330.00N/AP143,592.8226,941,334.00
NA 31397QBQ0 9 2.00000 3,826.002,295,600.000.00N/AP3,826.002,295,600.00
FE 31397QBR8 9 0.60420 770.561,530,400.000.00N/AP770.561,530,400.00
SU 31397QBS6 9 6.39580 8,156.781,530,400.000.00N/AP8,156.781,530,400.00
YL 31397QBT4 9 4.00000 2,752.78825,833.000.00N/AP2,752.78825,833.00
HF 31397QBU1 9 0.00000 0.000.000.00N/AP0.000.00 02/01/2013
HS 31397QBV9 9 0.00000 0.000.000.00N/AP0.000.00 02/01/2013
AP 31397QBW7 9 2.00000 899,962.2749,298,474.77816,437.42N/AP83,524.8550,114,912.19
NF 31397QBX5 9 0.60420 561,113.5232,865,649.85544,291.61N/AP16,821.9133,409,941.46
NS 31397QBY3 9 6.39580 178,069.4232,865,649.850.00N/AP178,069.4233,409,941.46
LK 31397QBZ0 9 4.00000 8,163.332,449,000.000.00N/AP8,163.332,449,000.00
YF 31397QCA4 9 1.30420 1,083,175.671,621,290.071,080,239.56N/AP2,936.112,701,529.63
YS 31397QCB2 9 9.39160 550,691.38810,645.12540,119.84N/AP10,571.541,350,764.96
DF 31397QCC0 9 0.67420 8,244,278.98236,709,206.538,106,733.22N/AP137,545.76244,815,939.75
SN 31397QCD8 9 6.32580 455,487.2683,544,425.840.00N/AP455,487.2686,405,625.79
MS 31397QCE6 9 6.32580 455,487.2683,544,425.840.00N/AP455,487.2686,405,625.79
SK 31397QCF3 9 6.32580 379,572.7169,620,354.860.00N/AP379,572.7172,004,688.16
EF 31397QCG1 9 0.70420 970,635.2227,848,141.95953,733.32N/AP16,901.9028,801,875.26
ES 31397QCH9 9 6.29580 151,109.0427,848,141.950.00N/AP151,109.0428,801,875.26
FJ 31397QCJ5 9 0.72420 1,700,852.1448,774,408.211,670,408.69N/AP30,443.4550,444,816.90
SJ 31397QCK2 9 6.27580 263,817.9848,774,408.210.00N/AP263,817.9850,444,816.90
KA 31397QCL0 10 2.50000 941,400.4313,382,906.82911,620.17N/AP29,780.2614,294,527.00
KF 31397QCM8 10 0.60420 735,053.9810,706,325.39729,296.14N/AP5,757.8411,435,621.52
KS 31397QCN6 10 6.39580 60,949.9610,706,325.390.00N/AP60,949.9611,435,621.52
ZK 31397QCP1 10 0.00000 0.000.000.00N/AP0.000.00 09/01/2011
KV 31397QCQ9 11 2.50000 139,205.1316,930,535.34103,717.10N/AP35,488.0317,034,252.43
VF 31397QCR7 11 0.65420 90,402.8813,544,427.9282,973.67N/AP7,429.2113,627,401.60
VS 31397QCS5 11 6.34580 72,063.9713,544,427.920.00N/AP72,063.9713,627,401.60
LV 31397QCT3 11 3.50000 28,908.339,911,429.000.00N/AP28,908.339,911,429.00
FC 31397QCU0 11 0.75420 2,491.733,964,571.000.00N/AP2,491.733,964,571.00
SC 31397QCV8 11 6.24580 20,634.933,964,571.000.00N/AP20,634.933,964,571.00
VL 31397QCW6 11 3.50000 69,620.2923,869,815.000.00N/AP69,620.2923,869,815.00
FV 31397QCX4 11 0.80420 6,398.709,547,925.000.00N/AP6,398.709,547,925.00
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 2
Fannie Mae REMIC Trust - 2010-150
Distribution Summary - 04/2013Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Paid Off DateTotal DistributionEnding/Notional ClassBalancePrincipal Distribution
PrepaymentPenalties/YieldMaintenance
Interest DistributionBeginning/Notional ClassBalanceInterest RateGroupCUSIP
SV 31397QCY2 11 6.19580 49,297.539,547,925.000.00N/AP49,297.539,547,925.00
QA 31397QCZ9 12 0.00000 0.000.000.00N/AP0.000.00 09/01/2011
QB 31397QDA3 12 2.50000 2,220,032.4314,875,089.462,184,491.64N/AP35,540.7917,059,581.10
FQ 31397QDB1 12 0.60420 1,754,464.8611,900,071.261,747,593.26N/AP6,871.6013,647,664.52
SQ 31397QDC9 12 6.39580 72,739.7811,900,071.260.00N/AP72,739.7813,647,664.52
QL 31397QDD7 12 4.50000 1,492.50398,000.000.00N/AP1,492.50398,000.00
QM 31397QDE5 12 0.00000 0.000.000.00N/AP0.000.00 11/01/2011
FH 31397QDF2 12 0.00000 0.000.000.00N/AP0.000.00 10/01/2011
SH 31397QDG0 12 0.00000 0.000.000.00N/AP0.000.00 10/01/2011
LA 31397QDH8 13 2.50000 630,204.395,946,174.14616,532.09N/AP13,672.306,562,706.24
LF 31397QDJ4 13 0.55420 495,650.344,756,938.93493,225.64N/AP2,424.705,250,164.56
LS 31397QDK1 13 6.44580 28,201.264,756,938.930.00N/AP28,201.265,250,164.56
LM 31397QDL9 13 0.00000 0.000.000.00N/AP0.000.00 11/01/2011
HL 31397QDM7 13 0.00000 0.000.000.00N/AP0.000.00 10/01/2011
LZ 31397QDN5 13 0.00000 0.000.000.00N/AP0.000.00 11/01/2011
R 31397QDP0 0.00000 0.000.000.00N/AP0.000.00
RL 31397QDQ8 0.00000 0.000.000.00N/AP0.000.00
VU* 31397QDR6 ** 4.00000 285,133.3329,296,043.26186,857.00N/AP98,276.3329,482,900.26
UV* 31397QDS4 ** 4.00000 77,450.0023,235,000.000.00N/AP77,450.0023,235,000.00
ZA* 31397QDT2 ** 4.00000 0.0056,243,956.740.00N/AP0.0056,057,099.74
FL* 31397QDU9 ** 0.75420 5,116,762.6279,433,049.165,063,656.44N/AP53,106.1884,496,705.60
SL* 31397QDV7 ** 6.24580 439,791.2779,433,049.160.00N/AP439,791.2784,496,705.60
FM* 31397QDW5 ** 0.70420 5,113,241.9279,433,049.165,063,656.44N/AP49,585.4884,496,705.60
SM* 31397QDX3 ** 6.29580 443,311.9779,433,049.160.00N/AP443,311.9784,496,705.60
PB* 31397QDY1 6 2.50000 472,104.8332,319,579.81403,930.85N/AP68,173.9832,723,510.67
PC* 31397QDZ8 6 3.00000 546,457.0836,359,527.58454,422.21N/AP92,034.8736,813,949.79
PD* 31397QEA2 6 3.50000 642,052.8441,553,745.48519,339.67N/AP122,713.1742,073,085.14
PE* 31397QEB0 6 4.00000 769,513.8348,479,370.10605,896.28N/AP163,617.5549,085,266.38
PG* 31397QEC8 6 4.50000 947,959.2458,175,244.12727,075.54N/AP220,883.7058,902,319.66
FD* 31397QED6 ** 0.71420 943,287.5836,111,447.21921,246.95N/AP22,040.6337,032,694.15
CN* 31397QEE4 ** 2.00000 1,291,013.1641,659,071.211,219,548.79N/AP71,464.3742,878,619.99
GB* 31397QEF1 ** 2.25000 1,368,364.4143,851,653.591,283,735.56N/AP84,628.8545,135,389.15
GK* 31397QEG9 ** 2.50000 1,454,310.2646,287,856.711,355,054.20N/AP99,256.0647,642,910.91
GC* 31397QEH7 ** 3.00000 1,658,431.6952,073,839.391,524,436.00N/AP133,995.6953,598,275.39
FG* 31397QEJ3 ** 0.45420 529,619.2617,853,886.83522,663.74N/AP6,955.5218,376,550.58
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 3
Fannie Mae REMIC Trust - 2010-150
Distribution Summary - 04/2013Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Paid Off DateTotal DistributionEnding/Notional ClassBalancePrincipal Distribution
PrepaymentPenalties/YieldMaintenance
Interest DistributionBeginning/Notional ClassBalanceInterest RateGroupCUSIP
BP* 31397QEK0 9 2.50000 1,023,159.4254,776,082.86907,152.68N/AP116,006.7455,683,235.55
CP* 31397QEL8 9 3.00000 1,177,155.8761,623,093.471,020,546.77N/AP156,609.1062,643,640.24
EP* 31397QEM6 9 3.50000 1,375,151.3070,426,392.351,166,339.17N/AP208,812.1371,592,731.51
GP* 31397QEN4 9 4.00000 1,639,145.2182,164,124.621,360,729.03N/AP278,416.1883,524,853.65
MA* 31397QEP9 9 2.00000 1,501,788.8541,276,991.491,430,609.51N/AP71,179.3442,707,601.00
MB* 31397QEQ7 9 2.50000 1,688,426.3145,863,322.981,589,566.12N/AP98,860.1947,452,889.10
MC* 31397QER5 9 3.00000 1,921,723.1451,596,239.361,788,261.89N/AP133,461.2553,384,501.25
MD* 31397QES3 9 3.50000 2,221,676.2158,967,130.032,043,727.87N/AP177,948.3461,010,857.90
ME* 31397QET1 9 4.00000 2,621,613.6468,794,985.812,384,349.19N/AP237,264.4571,179,335.00
YB* 31397QEU8 9 2.50000 1,683,112.4243,312,656.981,589,566.12N/AP93,546.3044,902,223.10
YC* 31397QEV6 9 3.00000 1,914,549.3948,726,739.361,788,261.89N/AP126,287.5050,515,001.25
YD* 31397QEW4 9 3.50000 2,212,111.2155,687,702.032,043,727.87N/AP168,383.3457,731,429.90
YE* 31397QEX2 9 4.00000 2,608,860.3164,968,985.812,384,349.19N/AP224,511.1267,353,335.00
KB* 31397QEY0 10 3.00000 1,065,776.0515,055,770.131,025,572.69N/AP40,203.3616,081,342.83
KC* 31397QEZ7 10 3.50000 1,225,687.5617,206,594.441,172,083.08N/AP53,604.4818,378,677.51
KD* 31397QFA1 10 4.00000 1,438,902.8820,074,360.061,367,430.25N/AP71,472.6321,441,790.31
KE* 31397QFB9 10 4.50000 1,737,404.3724,089,232.211,640,916.31N/AP96,488.0625,730,148.52
DV* 31397QFC7 11 3.00000 164,590.5619,046,852.04116,681.73N/AP47,908.8319,163,533.77
EV* 31397QFD5 11 3.50000 197,229.0021,767,831.15133,350.55N/AP63,878.4521,901,181.70
GV* 31397QFE3 11 4.00000 240,746.9025,395,803.00155,575.64N/AP85,171.2625,551,378.65
HV* 31397QFF0 11 4.50000 301,671.9730,474,963.26186,690.77N/AP114,981.2030,661,654.03
MV* 31397QFG8 11 4.00000 38,544.4411,563,333.000.00N/AP38,544.4411,563,333.00
NV* 31397QFH6 11 4.50000 52,035.0013,876,000.000.00N/AP52,035.0013,876,000.00
PV* 31397QFJ2 11 4.00000 92,827.0627,848,118.000.00N/AP92,827.0627,848,118.00
QV* 31397QFK9 11 4.50000 125,316.5333,417,740.000.00N/AP125,316.5333,417,740.00
QC* 31397QFL7 12 3.00000 2,505,533.1316,734,475.452,457,553.06N/AP47,980.0719,192,028.51
QD* 31397QFM5 12 3.50000 2,872,605.5019,125,114.762,808,632.07N/AP63,973.4321,933,746.82
QE* 31397QFN3 12 4.00000 3,362,035.3322,312,634.043,276,737.43N/AP85,297.9025,589,371.47
QG* 31397QFP8 12 4.50000 4,047,237.0726,775,160.723,932,084.90N/AP115,152.1730,707,245.62
LB* 31397QFQ6 13 3.00000 712,056.196,689,445.67693,598.58N/AP18,457.617,383,044.25
LC* 31397QFR4 13 3.50000 817,294.257,645,080.87792,684.10N/AP24,610.158,437,764.97
LD* 31397QFS2 13 4.00000 957,611.658,919,260.97924,798.12N/AP32,813.539,844,059.09
LE* 31397QFT0 13 4.50000 1,154,056.0010,703,113.071,109,757.73N/AP44,298.2711,812,870.80
LH* 31397QFU7 13 0.00000 0.000.000.00N/AP0.000.00 11/01/2011
Totals 61,687,279.431,342,631,118.0056,088,928.16N/AP5,598,351.271,398,403,549.37
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 4
Principal Distribution Statement - 04/2013
Fannie Mae REMIC Trust - 2010-150
Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Original Class Balance Paid Off DateEnding/Notional ClassBalance
AccretionPrincipal DistributionBeginning/Notional ClassBalanceGroup
AB 1 98,074,059.8210,857,565.68 N/AP108,931,625.50300,000,000.00
VA 1 17,577,625.95112,114.20 N/AP17,689,740.1520,580,000.00
AV 1 13,941,000.000.00 N/AP13,941,000.0013,941,000.00
ZD 1 33,746,374.050.00 112,114.2033,634,259.8530,744,000.00
AC 2 55,556,124.787,447,989.88 N/AP63,004,114.66200,000,000.00
VT 2 11,718,417.3074,742.80 N/AP11,793,160.1013,720,000.00
TV 2 9,294,000.000.00 N/AP9,294,000.009,294,000.00
ZT 2 22,497,582.700.00 74,742.8022,422,839.9020,496,000.00
JF 3 52,549,332.824,376,282.30 N/AP56,925,615.12107,422,159.00
JS 3 52,549,332.820.00 N/AP56,925,615.12107,422,159.00
AG 4 0.000.00 N/AP0.001,000.00 03/01/2013
VC 4 67,209,292.741,718,435.41 N/AP68,927,728.1570,948,572.00
FA 4 26,883,716.34687,374.14 N/AP27,571,090.4828,379,428.00
SA 4 26,883,716.340.00 N/AP27,571,090.4828,379,428.00
ZX 4 1,110.490.00 4.151,106.341,000.00
PJ 5 77,627,918.491,282,412.28 N/AP78,910,330.77111,169,286.00
PF 5 43,126,621.07712,451.26 N/AP43,839,072.3361,760,714.00
PS 5 43,126,621.070.00 N/AP43,839,072.3361,760,714.00
PL 5 16,909,000.000.00 N/AP16,909,000.0016,909,000.00
ZC 5 29,897,345.90867,590.81 121,297.7430,643,638.9833,018,143.00
AF 5 20,945,110.78342,644.58 N/AP21,287,755.3527,857,143.00
AS 5 20,945,110.780.00 N/AP21,287,755.3527,857,143.00
PA 6 29,087,622.06363,537.77 N/AP29,451,159.8338,415,000.00
FP 6 29,087,622.06363,537.77 N/AP29,451,159.8338,415,000.00
SP 6 29,087,622.060.00 N/AP29,451,159.8338,415,000.00
LP 6 1,854,000.000.00 N/AP1,854,000.001,854,000.00
ZE 6 636,101.601,595,671.82 8,337.882,223,435.5420,000,000.00
BF 6 15,166,336.43578,602.37 N/AP15,744,938.8024,671,000.00
BS 6 15,166,336.430.00 N/AP15,744,938.8024,671,000.00
CA 7 10,418,309.18242,268.76 N/AP10,660,577.9417,305,589.00
CF 7 4,464,989.04103,829.46 N/AP4,568,818.507,416,680.00
CS 7 4,464,989.040.00 N/AP4,568,818.507,416,680.00
GN 8 31,240,762.03977,280.02 N/AP32,218,042.0558,967,812.00
GF 8 13,388,897.79418,834.29 N/AP13,807,732.0825,271,919.00
GS 8 13,388,897.790.00 N/AP13,807,732.0825,271,919.00
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 5
Principal Distribution Statement - 04/2013
Fannie Mae REMIC Trust - 2010-150
Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Original Class Balance Paid Off DateEnding/Notional ClassBalance
AccretionPrincipal DistributionBeginning/Notional ClassBalanceGroup
YA 9 38,981,391.491,430,609.51 N/AP40,412,001.0058,015,200.00
FY 9 25,987,594.33953,739.68 N/AP26,941,334.0038,676,800.00
SY 9 25,987,594.330.00 N/AP26,941,334.0038,676,800.00
NA 9 2,295,600.000.00 N/AP2,295,600.002,295,600.00
FE 9 1,530,400.000.00 N/AP1,530,400.001,530,400.00
SU 9 1,530,400.000.00 N/AP1,530,400.001,530,400.00
YL 9 825,833.000.00 N/AP825,833.00825,833.00
HF 9 0.000.00 N/AP0.0015,771,333.00 02/01/2013
HS 9 0.000.00 N/AP0.007,885,667.00 02/01/2013
AP 9 49,298,474.77816,437.42 N/AP50,114,912.1976,017,000.00
NF 9 32,865,649.85544,291.61 N/AP33,409,941.4650,678,000.00
NS 9 32,865,649.850.00 N/AP33,409,941.4650,678,000.00
LK 9 2,449,000.000.00 N/AP2,449,000.002,449,000.00
YF 9 1,621,290.071,080,239.56 N/AP2,701,529.6318,094,146.00
YS 9 810,645.12540,119.84 N/AP1,350,764.969,047,074.00
DF 9 236,709,206.538,106,733.22 N/AP244,815,939.75425,000,000.00
SN 9 83,544,425.840.00 N/AP86,405,625.79150,000,000.00
MS 9 83,544,425.840.00 N/AP86,405,625.79150,000,000.00
SK 9 69,620,354.860.00 N/AP72,004,688.16125,000,000.00
EF 9 27,848,141.95953,733.32 N/AP28,801,875.2650,000,000.00
ES 9 27,848,141.950.00 N/AP28,801,875.2650,000,000.00
FJ 9 48,774,408.211,670,408.69 N/AP50,444,816.9087,572,105.00
SJ 9 48,774,408.210.00 N/AP50,444,816.9087,572,105.00
KA 10 13,382,906.82911,620.17 N/AP14,294,527.0038,783,889.00
KF 10 10,706,325.39729,296.14 N/AP11,435,621.5231,027,111.00
KS 10 10,706,325.390.00 N/AP11,435,621.5231,027,111.00
ZK 10 0.000.00 N/AP0.007,631,121.00 09/01/2011
KV 11 16,930,535.34103,717.10 N/AP17,034,252.4319,692,778.00
VF 11 13,544,427.9282,973.67 N/AP13,627,401.6015,754,222.00
VS 11 13,544,427.920.00 N/AP13,627,401.6015,754,222.00
LV 11 9,911,429.000.00 N/AP9,911,429.009,911,429.00
FC 11 3,964,571.000.00 N/AP3,964,571.003,964,571.00
SC 11 3,964,571.000.00 N/AP3,964,571.003,964,571.00
VL 11 23,869,815.000.00 N/AP23,869,815.0023,869,815.00
FV 11 9,547,925.000.00 N/AP9,547,925.009,547,925.00
SV 11 9,547,925.000.00 N/AP9,547,925.009,547,925.00
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 6
Principal Distribution Statement - 04/2013
Fannie Mae REMIC Trust - 2010-150
Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Original Class Balance Paid Off DateEnding/Notional ClassBalance
AccretionPrincipal DistributionBeginning/Notional ClassBalanceGroup
QA 12 0.000.00 N/AP0.001,733,000.00 09/01/2011
QB 12 14,875,089.462,184,491.64 N/AP17,059,581.1048,574,445.00
FQ 12 11,900,071.261,747,593.26 N/AP13,647,664.5238,859,555.00
SQ 12 11,900,071.260.00 N/AP13,647,664.5238,859,555.00
QL 12 398,000.000.00 N/AP398,000.00398,000.00
QM 12 0.000.00 N/AP0.004,196,000.00 11/01/2011
FH 12 0.000.00 N/AP0.0014,774,189.00 10/01/2011
SH 12 0.000.00 N/AP0.004,924,730.00 10/01/2011
LA 13 5,946,174.14616,532.09 N/AP6,562,706.2424,606,112.00
LF 13 4,756,938.93493,225.64 N/AP5,250,164.5619,684,888.00
LS 13 4,756,938.930.00 N/AP5,250,164.5619,684,888.00
LM 13 0.000.00 N/AP0.004,338,000.00 11/01/2011
HL 13 0.000.00 N/AP0.003,835,000.00 10/01/2011
LZ 13 0.000.00 N/AP0.009,546.00 11/01/2011
R 0.000.00 N/AP0.000.00
RL 0.000.00 N/AP0.000.00
VU* ** 29,296,043.26186,857.00 N/AP29,482,900.2634,300,000.00
UV* ** 23,235,000.000.00 N/AP23,235,000.0023,235,000.00
ZA* ** 56,243,956.740.00 186,857.0056,057,099.7451,240,000.00
FL* ** 79,433,049.165,063,656.44 N/AP84,496,705.60135,801,587.00
SL* ** 79,433,049.160.00 N/AP84,496,705.60135,801,587.00
FM* ** 79,433,049.165,063,656.44 N/AP84,496,705.60135,801,587.00
SM* ** 79,433,049.160.00 N/AP84,496,705.60135,801,587.00
PB* 6 32,319,579.81403,930.85 N/AP32,723,510.6742,683,333.00
PC* 6 36,359,527.58454,422.21 N/AP36,813,949.7948,018,750.00
PD* 6 41,553,745.48519,339.67 N/AP42,073,085.1454,878,571.00
PE* 6 48,479,370.10605,896.28 N/AP49,085,266.3864,025,000.00
PG* 6 58,175,244.12727,075.54 N/AP58,902,319.6676,830,000.00
FD* ** 36,111,447.21921,246.95 N/AP37,032,694.1552,528,143.00
CN* ** 41,659,071.211,219,548.79 N/AP42,878,619.9976,273,401.00
GB* ** 43,851,653.591,283,735.56 N/AP45,135,389.1580,287,790.00
GK* ** 46,287,856.711,355,054.20 N/AP47,642,910.9184,748,223.00
GC* ** 52,073,839.391,524,436.00 N/AP53,598,275.3995,341,752.00
FG* ** 17,853,886.83522,663.74 N/AP18,376,550.5832,688,599.00
BP* 9 54,776,082.86907,152.68 N/AP55,683,235.5584,463,333.00
CP* 9 61,623,093.471,020,546.77 N/AP62,643,640.2495,021,250.00
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 7
Principal Distribution Statement - 04/2013
Fannie Mae REMIC Trust - 2010-150
Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Original Class Balance Paid Off DateEnding/Notional ClassBalance
AccretionPrincipal DistributionBeginning/Notional ClassBalanceGroup
EP* 9 70,426,392.351,166,339.17 N/AP71,592,731.51108,595,714.00
GP* 9 82,164,124.621,360,729.03 N/AP83,524,853.65126,695,000.00
MA* 9 41,276,991.491,430,609.51 N/AP42,707,601.0060,310,800.00
MB* 9 45,863,322.981,589,566.12 N/AP47,452,889.1067,011,999.00
MC* 9 51,596,239.361,788,261.89 N/AP53,384,501.2575,388,500.00
MD* 9 58,967,130.032,043,727.87 N/AP61,010,857.9086,158,285.00
ME* 9 68,794,985.812,384,349.19 N/AP71,179,335.00100,518,000.00
YB* 9 43,312,656.981,589,566.12 N/AP44,902,223.1064,461,333.00
YC* 9 48,726,739.361,788,261.89 N/AP50,515,001.2572,519,000.00
YD* 9 55,687,702.032,043,727.87 N/AP57,731,429.9082,878,857.00
YE* 9 64,968,985.812,384,349.19 N/AP67,353,335.0096,692,000.00
KB* 10 15,055,770.131,025,572.69 N/AP16,081,342.8343,631,875.00
KC* 10 17,206,594.441,172,083.08 N/AP18,378,677.5149,865,000.00
KD* 10 20,074,360.061,367,430.25 N/AP21,441,790.3158,175,833.00
KE* 10 24,089,232.211,640,916.31 N/AP25,730,148.5269,811,000.00
DV* 11 19,046,852.04116,681.73 N/AP19,163,533.7722,154,375.00
EV* 11 21,767,831.15133,350.55 N/AP21,901,181.7025,319,286.00
GV* 11 25,395,803.00155,575.64 N/AP25,551,378.6529,539,167.00
HV* 11 30,474,963.26186,690.77 N/AP30,661,654.0335,447,000.00
MV* 11 11,563,333.000.00 N/AP11,563,333.0011,563,333.00
NV* 11 13,876,000.000.00 N/AP13,876,000.0013,876,000.00
PV* 11 27,848,118.000.00 N/AP27,848,118.0027,848,118.00
QV* 11 33,417,740.000.00 N/AP33,417,740.0033,417,740.00
QC* 12 16,734,475.452,457,553.06 N/AP19,192,028.5154,646,250.00
QD* 12 19,125,114.762,808,632.07 N/AP21,933,746.8262,452,857.00
QE* 12 22,312,634.043,276,737.43 N/AP25,589,371.4772,861,667.00
QG* 12 26,775,160.723,932,084.90 N/AP30,707,245.6287,434,000.00
LB* 13 6,689,445.67693,598.58 N/AP7,383,044.2527,681,875.00
LC* 13 7,645,080.87792,684.10 N/AP8,437,764.9731,636,429.00
LD* 13 8,919,260.97924,798.12 N/AP9,844,059.0936,909,167.00
LE* 13 10,703,113.071,109,757.73 N/AP11,812,870.8044,291,000.00
LH* 13 0.000.00 N/AP0.008,173,000.00 11/01/2011
Totals 1,342,631,118.0056,088,928.16 316,496.771,398,403,549.372,468,532,929.00
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 8
Principal Distribution Factors Statement - 04/2013
Fannie Mae REMIC Trust - 2010-150
Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Original Class Balance Paid Off DateEnding/Notional ClassBalance
AccretionPrincipal DistributionBeginning/Notional ClassBalanceGroup
AB 1 0.326913530.03619189 N/AP0.36310542300,000,000.00
VA 1 0.854112050.00544773 N/AP0.8595597720,580,000.00
AV 1 1.000000000.00000000 N/AP1.0000000013,941,000.00
ZD 1 1.097657240.00000000 0.003646701.0940105330,744,000.00
AC 2 0.277780620.03723995 N/AP0.31502057200,000,000.00
VT 2 0.854112050.00544773 N/AP0.8595597713,720,000.00
TV 2 1.000000000.00000000 N/AP1.000000009,294,000.00
ZT 2 1.097657240.00000000 0.003646701.0940105320,496,000.00
JF 3 0.489185220.04073910 N/AP0.52992433107,422,159.00
JS 3 0.489185220.00000000 N/AP0.52992433107,422,159.00
AG 4 0.000000000.00000000 N/AP0.000000001,000.00 03/01/2013
VC 4 0.947295920.02422086 N/AP0.9715167870,948,572.00
FA 4 0.947295920.02422086 N/AP0.9715167828,379,428.00
SA 4 0.947295920.00000000 N/AP0.9715167828,379,428.00
ZX 4 1.110492510.00000000 0.004148791.106343721,000.00
PJ 5 0.698285660.01153567 N/AP0.70982133111,169,286.00
PF 5 0.698285660.01153567 N/AP0.7098213361,760,714.00
PS 5 0.698285660.00000000 N/AP0.7098213361,760,714.00
PL 5 1.000000000.00000000 N/AP1.0000000016,909,000.00
ZC 5 0.905482360.02627618 0.003673670.9280848733,018,143.00
AF 5 0.751875770.01230006 N/AP0.7641758327,857,143.00
AS 5 0.751875770.00000000 N/AP0.7641758327,857,143.00
PA 6 0.757194380.00946343 N/AP0.7666578138,415,000.00
FP 6 0.757194380.00946343 N/AP0.7666578138,415,000.00
SP 6 0.757194380.00000000 N/AP0.7666578138,415,000.00
LP 6 1.000000000.00000000 N/AP1.000000001,854,000.00
ZE 6 0.031805080.07978359 0.000416890.1111717820,000,000.00
BF 6 0.614743480.02345273 N/AP0.6381962124,671,000.00
BS 6 0.614743480.00000000 N/AP0.6381962124,671,000.00
CA 7 0.602019910.01399945 N/AP0.6160193617,305,589.00
CF 7 0.602019910.01399945 N/AP0.616019367,416,680.00
CS 7 0.602019910.00000000 N/AP0.616019367,416,680.00
GN 8 0.529793480.01657311 N/AP0.5463665858,967,812.00
GF 8 0.529793480.01657311 N/AP0.5463665825,271,919.00
GS 8 0.529793480.00000000 N/AP0.5463665825,271,919.00
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 9
Principal Distribution Factors Statement - 04/2013
Fannie Mae REMIC Trust - 2010-150
Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Original Class Balance Paid Off DateEnding/Notional ClassBalance
AccretionPrincipal DistributionBeginning/Notional ClassBalanceGroup
YA 9 0.671916870.02465922 N/AP0.6965760958,015,200.00
FY 9 0.671916870.02465922 N/AP0.6965760938,676,800.00
SY 9 0.671916870.00000000 N/AP0.6965760938,676,800.00
NA 9 1.000000000.00000000 N/AP1.000000002,295,600.00
FE 9 1.000000000.00000000 N/AP1.000000001,530,400.00
SU 9 1.000000000.00000000 N/AP1.000000001,530,400.00
YL 9 1.000000000.00000000 N/AP1.00000000825,833.00
HF 9 0.000000000.00000000 N/AP0.0000000015,771,333.00 02/01/2013
HS 9 0.000000000.00000000 N/AP0.000000007,885,667.00 02/01/2013
AP 9 0.648519080.01074020 N/AP0.6592592776,017,000.00
NF 9 0.648519080.01074020 N/AP0.6592592750,678,000.00
NS 9 0.648519080.00000000 N/AP0.6592592750,678,000.00
LK 9 1.000000000.00000000 N/AP1.000000002,449,000.00
YF 9 0.089603020.05970105 N/AP0.1493040718,094,146.00
YS 9 0.089603020.05970105 N/AP0.149304079,047,074.00
DF 9 0.556962840.01907467 N/AP0.57603751425,000,000.00
SN 9 0.556962840.00000000 N/AP0.57603751150,000,000.00
MS 9 0.556962840.00000000 N/AP0.57603751150,000,000.00
SK 9 0.556962840.00000000 N/AP0.57603751125,000,000.00
EF 9 0.556962840.01907467 N/AP0.5760375150,000,000.00
ES 9 0.556962840.00000000 N/AP0.5760375150,000,000.00
FJ 9 0.556962840.01907467 N/AP0.5760375187,572,105.00
SJ 9 0.556962840.00000000 N/AP0.5760375187,572,105.00
KA 10 0.345063560.02350513 N/AP0.3685686938,783,889.00
KF 10 0.345063560.02350513 N/AP0.3685686931,027,111.00
KS 10 0.345063560.00000000 N/AP0.3685686931,027,111.00
ZK 10 0.000000000.00000000 N/AP0.000000007,631,121.00 09/01/2011
KV 11 0.859733210.00526676 N/AP0.8649999719,692,778.00
VF 11 0.859733210.00526676 N/AP0.8649999715,754,222.00
VS 11 0.859733210.00000000 N/AP0.8649999715,754,222.00
LV 11 1.000000000.00000000 N/AP1.000000009,911,429.00
FC 11 1.000000000.00000000 N/AP1.000000003,964,571.00
SC 11 1.000000000.00000000 N/AP1.000000003,964,571.00
VL 11 1.000000000.00000000 N/AP1.0000000023,869,815.00
FV 11 1.000000000.00000000 N/AP1.000000009,547,925.00
SV 11 1.000000000.00000000 N/AP1.000000009,547,925.00
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 10
Principal Distribution Factors Statement - 04/2013
Fannie Mae REMIC Trust - 2010-150
Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Original Class Balance Paid Off DateEnding/Notional ClassBalance
AccretionPrincipal DistributionBeginning/Notional ClassBalanceGroup
QA 12 0.000000000.00000000 N/AP0.000000001,733,000.00 09/01/2011
QB 12 0.306232820.04497203 N/AP0.3512048648,574,445.00
FQ 12 0.306232820.04497203 N/AP0.3512048638,859,555.00
SQ 12 0.306232820.00000000 N/AP0.3512048638,859,555.00
QL 12 1.000000000.00000000 N/AP1.00000000398,000.00
QM 12 0.000000000.00000000 N/AP0.000000004,196,000.00 11/01/2011
FH 12 0.000000000.00000000 N/AP0.0000000014,774,189.00 10/01/2011
SH 12 0.000000000.00000000 N/AP0.000000004,924,730.00 10/01/2011
LA 13 0.241654360.02505605 N/AP0.2667104124,606,112.00
LF 13 0.241654360.02505605 N/AP0.2667104119,684,888.00
LS 13 0.241654360.00000000 N/AP0.2667104119,684,888.00
LM 13 0.000000000.00000000 N/AP0.000000004,338,000.00 11/01/2011
HL 13 0.000000000.00000000 N/AP0.000000003,835,000.00 10/01/2011
LZ 13 0.000000000.00000000 N/AP0.000000009,546.00 11/01/2011
R 1.000000000.00000000 N/AP1.000000000.00
RL 1.000000000.00000000 N/AP1.000000000.00
VU* ** 0.854112050.00544773 N/AP0.8595597734,300,000.00
UV* ** 1.000000000.00000000 N/AP1.0000000023,235,000.00
ZA* ** 1.097657240.00000000 0.003646701.0940105351,240,000.00
FL* ** 0.584919890.03728717 N/AP0.62220706135,801,587.00
SL* ** 0.584919890.00000000 N/AP0.62220706135,801,587.00
FM* ** 0.584919890.03728717 N/AP0.62220706135,801,587.00
SM* ** 0.584919890.00000000 N/AP0.62220706135,801,587.00
PB* 6 0.757194380.00946343 N/AP0.7666578142,683,333.00
PC* 6 0.757194380.00946343 N/AP0.7666578148,018,750.00
PD* 6 0.757194380.00946343 N/AP0.7666578154,878,571.00
PE* 6 0.757194380.00946343 N/AP0.7666578164,025,000.00
PG* 6 0.757194380.00946343 N/AP0.7666578176,830,000.00
FD* ** 0.687468570.01753816 N/AP0.7050067352,528,143.00
CN* ** 0.546180850.01598918 N/AP0.5621700376,273,401.00
GB* ** 0.546180850.01598918 N/AP0.5621700380,287,790.00
GK* ** 0.546180850.01598918 N/AP0.5621700384,748,223.00
GC* ** 0.546180850.01598918 N/AP0.5621700395,341,752.00
FG* ** 0.546180850.01598918 N/AP0.5621700332,688,599.00
BP* 9 0.648519080.01074020 N/AP0.6592592784,463,333.00
CP* 9 0.648519080.01074020 N/AP0.6592592795,021,250.00
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 11
Principal Distribution Factors Statement - 04/2013
Fannie Mae REMIC Trust - 2010-150
Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Original Class Balance Paid Off DateEnding/Notional ClassBalance
AccretionPrincipal DistributionBeginning/Notional ClassBalanceGroup
EP* 9 0.648519080.01074020 N/AP0.65925927108,595,714.00
GP* 9 0.648519080.01074020 N/AP0.65925927126,695,000.00
MA* 9 0.684404640.02372062 N/AP0.7081252660,310,800.00
MB* 9 0.684404640.02372062 N/AP0.7081252667,011,999.00
MC* 9 0.684404640.02372062 N/AP0.7081252675,388,500.00
MD* 9 0.684404640.02372062 N/AP0.7081252686,158,285.00
ME* 9 0.684404640.02372062 N/AP0.70812526100,518,000.00
YB* 9 0.671916870.02465922 N/AP0.6965760964,461,333.00
YC* 9 0.671916870.02465922 N/AP0.6965760972,519,000.00
YD* 9 0.671916870.02465922 N/AP0.6965760982,878,857.00
YE* 9 0.671916870.02465922 N/AP0.6965760996,692,000.00
KB* 10 0.345063560.02350513 N/AP0.3685686943,631,875.00
KC* 10 0.345063560.02350513 N/AP0.3685686949,865,000.00
KD* 10 0.345063560.02350513 N/AP0.3685686958,175,833.00
KE* 10 0.345063560.02350513 N/AP0.3685686969,811,000.00
DV* 11 0.859733210.00526676 N/AP0.8649999722,154,375.00
EV* 11 0.859733210.00526676 N/AP0.8649999725,319,286.00
GV* 11 0.859733210.00526676 N/AP0.8649999729,539,167.00
HV* 11 0.859733210.00526676 N/AP0.8649999735,447,000.00
MV* 11 1.000000000.00000000 N/AP1.0000000011,563,333.00
NV* 11 1.000000000.00000000 N/AP1.0000000013,876,000.00
PV* 11 1.000000000.00000000 N/AP1.0000000027,848,118.00
QV* 11 1.000000000.00000000 N/AP1.0000000033,417,740.00
QC* 12 0.306232820.04497203 N/AP0.3512048654,646,250.00
QD* 12 0.306232820.04497203 N/AP0.3512048662,452,857.00
QE* 12 0.306232820.04497203 N/AP0.3512048672,861,667.00
QG* 12 0.306232820.04497203 N/AP0.3512048687,434,000.00
LB* 13 0.241654360.02505605 N/AP0.2667104127,681,875.00
LC* 13 0.241654360.02505605 N/AP0.2667104131,636,429.00
LD* 13 0.241654360.02505605 N/AP0.2667104136,909,167.00
LE* 13 0.241654360.02505605 N/AP0.2667104144,291,000.00
LH* 13 0.000000000.00000000 N/AP0.000000008,173,000.00 11/01/2011
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 12
Fannie Mae REMIC Trust - 2010-150
Interest Distribution Statement - 04/2013
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Report Date : 4/17/13 1:48 AM
Class Ending/NotionalClass Balance
Current InterestShortfallInterest DistributionBeginning/Notional
Class BalanceCurrent Interest
RateOriginal ClassBalance
GroupDelay/NoDelayAccrual Basis Paid Off DateCumulative Interest
Shortfall
30/360AB DELAY 1 300,000,000.00 4.00000 108,931,625.50 363,105.42 N/AP N/AP 98,074,059.82
30/360VA DELAY 1 20,580,000.00 4.00000 17,689,740.15 58,965.80 N/AP N/AP 17,577,625.95
30/360AV DELAY 1 13,941,000.00 4.00000 13,941,000.00 46,470.00 N/AP N/AP 13,941,000.00
30/360ZD DELAY 1 30,744,000.00 4.00000 33,634,259.85 0.00 N/AP N/AP 33,746,374.05
30/360AC DELAY 2 200,000,000.00 4.00000 63,004,114.66 210,013.72 N/AP N/AP 55,556,124.78
30/360VT DELAY 2 13,720,000.00 4.00000 11,793,160.10 39,310.53 N/AP N/AP 11,718,417.30
30/360TV DELAY 2 9,294,000.00 4.00000 9,294,000.00 30,980.00 N/AP N/AP 9,294,000.00
30/360ZT DELAY 2 20,496,000.00 4.00000 22,422,839.90 0.00 N/AP N/AP 22,497,582.70
30/360JF NO DELAY 3 107,422,159.00 0.75420 56,925,615.12 35,777.75 N/AP N/AP 52,549,332.82
30/360JS NO DELAY 3 107,422,159.00 6.24580 56,925,615.12 296,288.34 N/AP N/AP 52,549,332.82
30/360AG DELAY 4 1,000.00 0.00000 0.00 0.00 N/AP N/AP 0.00 03/01/2013
30/360VC DELAY 4 70,948,572.00 3.50000 68,927,728.15 201,039.21 N/AP N/AP 67,209,292.74
30/360FA NO DELAY 4 28,379,428.00 0.75420 27,571,090.48 17,328.43 N/AP N/AP 26,883,716.34
30/360SA NO DELAY 4 28,379,428.00 6.24580 27,571,090.48 143,502.93 N/AP N/AP 26,883,716.34
30/360ZX DELAY 4 1,000.00 4.50000 1,106.34 0.00 N/AP N/AP 1,110.49
30/360PJ DELAY 5 111,169,286.00 3.50000 78,910,330.77 230,155.13 N/AP N/AP 77,627,918.49
30/360PF NO DELAY 5 61,760,714.00 0.60420 43,839,072.33 22,072.97 N/AP N/AP 43,126,621.07
30/360PS NO DELAY 5 61,760,714.00 6.39580 43,839,072.33 233,654.95 N/AP N/AP 43,126,621.07
30/360PL DELAY 5 16,909,000.00 4.75000 16,909,000.00 66,931.46 N/AP N/AP 16,909,000.00
30/360ZC DELAY 5 33,018,143.00 4.75000 30,643,638.98 0.00 N/AP N/AP 29,897,345.90
30/360AF NO DELAY 5 27,857,143.00 0.71420 21,287,755.35 12,669.76 N/AP N/AP 20,945,110.78
30/360AS NO DELAY 5 27,857,143.00 6.28580 21,287,755.35 111,508.81 N/AP N/AP 20,945,110.78
30/360PA DELAY 6 38,415,000.00 2.00000 29,451,159.83 49,085.27 N/AP N/AP 29,087,622.06
30/360FP NO DELAY 6 38,415,000.00 0.60420 29,451,159.83 14,828.66 N/AP N/AP 29,087,622.06
30/360SP NO DELAY 6 38,415,000.00 6.39580 29,451,159.83 156,969.77 N/AP N/AP 29,087,622.06
30/360LP DELAY 6 1,854,000.00 4.50000 1,854,000.00 6,952.50 N/AP N/AP 1,854,000.00
30/360ZE DELAY 6 20,000,000.00 4.50000 2,223,435.54 0.00 N/AP N/AP 636,101.60
30/360BF NO DELAY 6 24,671,000.00 0.71420 15,744,938.80 9,370.86 N/AP N/AP 15,166,336.43
30/360BS NO DELAY 6 24,671,000.00 6.28580 15,744,938.80 82,474.61 N/AP N/AP 15,166,336.43
30/360CA DELAY 7 17,305,589.00 2.00000 10,660,577.94 17,767.63 N/AP N/AP 10,418,309.18
30/360CF NO DELAY 7 7,416,680.00 0.45420 4,568,818.50 1,729.30 N/AP N/AP 4,464,989.04
30/360CS NO DELAY 7 7,416,680.00 6.54580 4,568,818.50 24,922.14 N/AP N/AP 4,464,989.04
30/360GN DELAY 8 58,967,812.00 2.00000 32,218,042.05 53,696.74 N/AP N/AP 31,240,762.03
30/360GF NO DELAY 8 25,271,919.00 0.45420 13,807,732.08 5,226.23 N/AP N/AP 13,388,897.79
30/360GS NO DELAY 8 25,271,919.00 6.54580 13,807,732.08 75,318.88 N/AP N/AP 13,388,897.79
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 13
Fannie Mae REMIC Trust - 2010-150
Interest Distribution Statement - 04/2013
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Report Date : 4/17/13 1:48 AM
Class Ending/NotionalClass Balance
Current InterestShortfallInterest DistributionBeginning/Notional
Class BalanceCurrent Interest
RateOriginal ClassBalance
GroupDelay/NoDelayAccrual Basis Paid Off DateCumulative Interest
Shortfall
30/360YA DELAY 9 58,015,200.00 2.00000 40,412,001.00 67,353.34 N/AP N/AP 38,981,391.49
30/360FY NO DELAY 9 38,676,800.00 0.60420 26,941,334.00 13,564.96 N/AP N/AP 25,987,594.33
30/360SY NO DELAY 9 38,676,800.00 6.39580 26,941,334.00 143,592.82 N/AP N/AP 25,987,594.33
30/360NA DELAY 9 2,295,600.00 2.00000 2,295,600.00 3,826.00 N/AP N/AP 2,295,600.00
30/360FE NO DELAY 9 1,530,400.00 0.60420 1,530,400.00 770.56 N/AP N/AP 1,530,400.00
30/360SU NO DELAY 9 1,530,400.00 6.39580 1,530,400.00 8,156.78 N/AP N/AP 1,530,400.00
30/360YL DELAY 9 825,833.00 4.00000 825,833.00 2,752.78 N/AP N/AP 825,833.00
30/360HF NO DELAY 9 15,771,333.00 0.00000 0.00 0.00 N/AP N/AP 0.00 02/01/2013
30/360HS NO DELAY 9 7,885,667.00 0.00000 0.00 0.00 N/AP N/AP 0.00 02/01/2013
30/360AP DELAY 9 76,017,000.00 2.00000 50,114,912.19 83,524.85 N/AP N/AP 49,298,474.77
30/360NF NO DELAY 9 50,678,000.00 0.60420 33,409,941.46 16,821.91 N/AP N/AP 32,865,649.85
30/360NS NO DELAY 9 50,678,000.00 6.39580 33,409,941.46 178,069.42 N/AP N/AP 32,865,649.85
30/360LK DELAY 9 2,449,000.00 4.00000 2,449,000.00 8,163.33 N/AP N/AP 2,449,000.00
30/360YF NO DELAY 9 18,094,146.00 1.30420 2,701,529.63 2,936.11 N/AP N/AP 1,621,290.07
30/360YS NO DELAY 9 9,047,074.00 9.39160 1,350,764.96 10,571.54 N/AP N/AP 810,645.12
30/360DF NO DELAY 9 425,000,000.00 0.67420 244,815,939.75 137,545.76 N/AP N/AP 236,709,206.53
30/360SN NO DELAY 9 150,000,000.00 6.32580 86,405,625.79 455,487.26 N/AP N/AP 83,544,425.84
30/360MS NO DELAY 9 150,000,000.00 6.32580 86,405,625.79 455,487.26 N/AP N/AP 83,544,425.84
30/360SK NO DELAY 9 125,000,000.00 6.32580 72,004,688.16 379,572.71 N/AP N/AP 69,620,354.86
30/360EF NO DELAY 9 50,000,000.00 0.70420 28,801,875.26 16,901.90 N/AP N/AP 27,848,141.95
30/360ES NO DELAY 9 50,000,000.00 6.29580 28,801,875.26 151,109.04 N/AP N/AP 27,848,141.95
30/360FJ NO DELAY 9 87,572,105.00 0.72420 50,444,816.90 30,443.45 N/AP N/AP 48,774,408.21
30/360SJ NO DELAY 9 87,572,105.00 6.27580 50,444,816.90 263,817.98 N/AP N/AP 48,774,408.21
30/360KA DELAY 10 38,783,889.00 2.50000 14,294,527.00 29,780.26 N/AP N/AP 13,382,906.82
30/360KF NO DELAY 10 31,027,111.00 0.60420 11,435,621.52 5,757.84 N/AP N/AP 10,706,325.39
30/360KS NO DELAY 10 31,027,111.00 6.39580 11,435,621.52 60,949.96 N/AP N/AP 10,706,325.39
30/360ZK DELAY 10 7,631,121.00 0.00000 0.00 0.00 N/AP N/AP 0.00 09/01/2011
30/360KV DELAY 11 19,692,778.00 2.50000 17,034,252.43 35,488.03 N/AP N/AP 16,930,535.34
30/360VF NO DELAY 11 15,754,222.00 0.65420 13,627,401.60 7,429.21 N/AP N/AP 13,544,427.92
30/360VS NO DELAY 11 15,754,222.00 6.34580 13,627,401.60 72,063.97 N/AP N/AP 13,544,427.92
30/360LV DELAY 11 9,911,429.00 3.50000 9,911,429.00 28,908.33 N/AP N/AP 9,911,429.00
30/360FC NO DELAY 11 3,964,571.00 0.75420 3,964,571.00 2,491.73 N/AP N/AP 3,964,571.00
30/360SC NO DELAY 11 3,964,571.00 6.24580 3,964,571.00 20,634.93 N/AP N/AP 3,964,571.00
30/360VL DELAY 11 23,869,815.00 3.50000 23,869,815.00 69,620.29 N/AP N/AP 23,869,815.00
30/360FV NO DELAY 11 9,547,925.00 0.80420 9,547,925.00 6,398.70 N/AP N/AP 9,547,925.00
30/360SV NO DELAY 11 9,547,925.00 6.19580 9,547,925.00 49,297.53 N/AP N/AP 9,547,925.00
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 14
Fannie Mae REMIC Trust - 2010-150
Interest Distribution Statement - 04/2013
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Report Date : 4/17/13 1:48 AM
Class Ending/NotionalClass Balance
Current InterestShortfallInterest DistributionBeginning/Notional
Class BalanceCurrent Interest
RateOriginal ClassBalance
GroupDelay/NoDelayAccrual Basis Paid Off DateCumulative Interest
Shortfall
30/360QA DELAY 12 1,733,000.00 0.00000 0.00 0.00 N/AP N/AP 0.00 09/01/2011
30/360QB DELAY 12 48,574,445.00 2.50000 17,059,581.10 35,540.79 N/AP N/AP 14,875,089.46
30/360FQ NO DELAY 12 38,859,555.00 0.60420 13,647,664.52 6,871.60 N/AP N/AP 11,900,071.26
30/360SQ NO DELAY 12 38,859,555.00 6.39580 13,647,664.52 72,739.78 N/AP N/AP 11,900,071.26
30/360QL DELAY 12 398,000.00 4.50000 398,000.00 1,492.50 N/AP N/AP 398,000.00
30/360QM DELAY 12 4,196,000.00 0.00000 0.00 0.00 N/AP N/AP 0.00 11/01/2011
30/360FH NO DELAY 12 14,774,189.00 0.00000 0.00 0.00 N/AP N/AP 0.00 10/01/2011
30/360SH NO DELAY 12 4,924,730.00 0.00000 0.00 0.00 N/AP N/AP 0.00 10/01/2011
30/360LA DELAY 13 24,606,112.00 2.50000 6,562,706.24 13,672.30 N/AP N/AP 5,946,174.14
30/360LF NO DELAY 13 19,684,888.00 0.55420 5,250,164.56 2,424.70 N/AP N/AP 4,756,938.93
30/360LS NO DELAY 13 19,684,888.00 6.44580 5,250,164.56 28,201.26 N/AP N/AP 4,756,938.93
30/360LM DELAY 13 4,338,000.00 0.00000 0.00 0.00 N/AP N/AP 0.00 11/01/2011
30/360HL DELAY 13 3,835,000.00 0.00000 0.00 0.00 N/AP N/AP 0.00 10/01/2011
30/360LZ DELAY 13 9,546.00 0.00000 0.00 0.00 N/AP N/AP 0.00 11/01/2011
N/APR N/AP 0.00 0.00000 0.00 0.00 N/AP N/AP 0.00
N/APRL N/AP 0.00 0.00000 0.00 0.00 N/AP N/AP 0.00
30/360VU* DELAY ** 34,300,000.00 4.00000 29,482,900.26 98,276.33 N/AP N/AP 29,296,043.26
30/360UV* DELAY ** 23,235,000.00 4.00000 23,235,000.00 77,450.00 N/AP N/AP 23,235,000.00
30/360ZA* DELAY ** 51,240,000.00 4.00000 56,057,099.74 0.00 N/AP N/AP 56,243,956.74
30/360FL* NO DELAY ** 135,801,587.00 0.75420 84,496,705.60 53,106.18 N/AP N/AP 79,433,049.16
30/360SL* NO DELAY ** 135,801,587.00 6.24580 84,496,705.60 439,791.27 N/AP N/AP 79,433,049.16
30/360FM* NO DELAY ** 135,801,587.00 0.70420 84,496,705.60 49,585.48 N/AP N/AP 79,433,049.16
30/360SM* NO DELAY ** 135,801,587.00 6.29580 84,496,705.60 443,311.97 N/AP N/AP 79,433,049.16
30/360PB* DELAY 6 42,683,333.00 2.50000 32,723,510.67 68,173.98 N/AP N/AP 32,319,579.81
30/360PC* DELAY 6 48,018,750.00 3.00000 36,813,949.79 92,034.87 N/AP N/AP 36,359,527.58
30/360PD* DELAY 6 54,878,571.00 3.50000 42,073,085.14 122,713.17 N/AP N/AP 41,553,745.48
30/360PE* DELAY 6 64,025,000.00 4.00000 49,085,266.38 163,617.55 N/AP N/AP 48,479,370.10
30/360PG* DELAY 6 76,830,000.00 4.50000 58,902,319.66 220,883.70 N/AP N/AP 58,175,244.12
30/360FD* NO DELAY ** 52,528,143.00 0.71420 37,032,694.15 22,040.63 N/AP N/AP 36,111,447.21
30/360CN* DELAY ** 76,273,401.00 2.00000 42,878,619.99 71,464.37 N/AP N/AP 41,659,071.21
30/360GB* DELAY ** 80,287,790.00 2.25000 45,135,389.15 84,628.85 N/AP N/AP 43,851,653.59
30/360GK* DELAY ** 84,748,223.00 2.50000 47,642,910.91 99,256.06 N/AP N/AP 46,287,856.71
30/360GC* DELAY ** 95,341,752.00 3.00000 53,598,275.39 133,995.69 N/AP N/AP 52,073,839.39
30/360FG* NO DELAY ** 32,688,599.00 0.45420 18,376,550.58 6,955.52 N/AP N/AP 17,853,886.83
30/360BP* DELAY 9 84,463,333.00 2.50000 55,683,235.55 116,006.74 N/AP N/AP 54,776,082.86
30/360CP* DELAY 9 95,021,250.00 3.00000 62,643,640.24 156,609.10 N/AP N/AP 61,623,093.47
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 15
Fannie Mae REMIC Trust - 2010-150
Interest Distribution Statement - 04/2013
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Report Date : 4/17/13 1:48 AM
Class Ending/NotionalClass Balance
Current InterestShortfallInterest DistributionBeginning/Notional
Class BalanceCurrent Interest
RateOriginal ClassBalance
GroupDelay/NoDelayAccrual Basis Paid Off DateCumulative Interest
Shortfall
30/360EP* DELAY 9 108,595,714.00 3.50000 71,592,731.51 208,812.13 N/AP N/AP 70,426,392.35
30/360GP* DELAY 9 126,695,000.00 4.00000 83,524,853.65 278,416.18 N/AP N/AP 82,164,124.62
30/360MA* DELAY 9 60,310,800.00 2.00000 42,707,601.00 71,179.34 N/AP N/AP 41,276,991.49
30/360MB* DELAY 9 67,011,999.00 2.50000 47,452,889.10 98,860.19 N/AP N/AP 45,863,322.98
30/360MC* DELAY 9 75,388,500.00 3.00000 53,384,501.25 133,461.25 N/AP N/AP 51,596,239.36
30/360MD* DELAY 9 86,158,285.00 3.50000 61,010,857.90 177,948.34 N/AP N/AP 58,967,130.03
30/360ME* DELAY 9 100,518,000.00 4.00000 71,179,335.00 237,264.45 N/AP N/AP 68,794,985.81
30/360YB* DELAY 9 64,461,333.00 2.50000 44,902,223.10 93,546.30 N/AP N/AP 43,312,656.98
30/360YC* DELAY 9 72,519,000.00 3.00000 50,515,001.25 126,287.50 N/AP N/AP 48,726,739.36
30/360YD* DELAY 9 82,878,857.00 3.50000 57,731,429.90 168,383.34 N/AP N/AP 55,687,702.03
30/360YE* DELAY 9 96,692,000.00 4.00000 67,353,335.00 224,511.12 N/AP N/AP 64,968,985.81
30/360KB* DELAY 10 43,631,875.00 3.00000 16,081,342.83 40,203.36 N/AP N/AP 15,055,770.13
30/360KC* DELAY 10 49,865,000.00 3.50000 18,378,677.51 53,604.48 N/AP N/AP 17,206,594.44
30/360KD* DELAY 10 58,175,833.00 4.00000 21,441,790.31 71,472.63 N/AP N/AP 20,074,360.06
30/360KE* DELAY 10 69,811,000.00 4.50000 25,730,148.52 96,488.06 N/AP N/AP 24,089,232.21
30/360DV* DELAY 11 22,154,375.00 3.00000 19,163,533.77 47,908.83 N/AP N/AP 19,046,852.04
30/360EV* DELAY 11 25,319,286.00 3.50000 21,901,181.70 63,878.45 N/AP N/AP 21,767,831.15
30/360GV* DELAY 11 29,539,167.00 4.00000 25,551,378.65 85,171.26 N/AP N/AP 25,395,803.00
30/360HV* DELAY 11 35,447,000.00 4.50000 30,661,654.03 114,981.20 N/AP N/AP 30,474,963.26
30/360MV* DELAY 11 11,563,333.00 4.00000 11,563,333.00 38,544.44 N/AP N/AP 11,563,333.00
30/360NV* DELAY 11 13,876,000.00 4.50000 13,876,000.00 52,035.00 N/AP N/AP 13,876,000.00
30/360PV* DELAY 11 27,848,118.00 4.00000 27,848,118.00 92,827.06 N/AP N/AP 27,848,118.00
30/360QV* DELAY 11 33,417,740.00 4.50000 33,417,740.00 125,316.53 N/AP N/AP 33,417,740.00
30/360QC* DELAY 12 54,646,250.00 3.00000 19,192,028.51 47,980.07 N/AP N/AP 16,734,475.45
30/360QD* DELAY 12 62,452,857.00 3.50000 21,933,746.82 63,973.43 N/AP N/AP 19,125,114.76
30/360QE* DELAY 12 72,861,667.00 4.00000 25,589,371.47 85,297.90 N/AP N/AP 22,312,634.04
30/360QG* DELAY 12 87,434,000.00 4.50000 30,707,245.62 115,152.17 N/AP N/AP 26,775,160.72
30/360LB* DELAY 13 27,681,875.00 3.00000 7,383,044.25 18,457.61 N/AP N/AP 6,689,445.67
30/360LC* DELAY 13 31,636,429.00 3.50000 8,437,764.97 24,610.15 N/AP N/AP 7,645,080.87
30/360LD* DELAY 13 36,909,167.00 4.00000 9,844,059.09 32,813.53 N/AP N/AP 8,919,260.97
30/360LE* DELAY 13 44,291,000.00 4.50000 11,812,870.80 44,298.27 N/AP N/AP 10,703,113.07
30/360LH* DELAY 13 8,173,000.00 0.00000 0.00 0.00 N/AP N/AP 0.00 11/01/2011
Totals 2,468,532,929.00 1,398,403,549.37 5,598,351.27 N/AP N/AP 1,342,631,118.00
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 16
Fannie Mae REMIC Trust - 2010-150
Interest Distribution Factors Statement - 04/2013Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Ending/Notional ClassBalance
Cumulative InterestShortfallCurrent Interest
ShortfallInterest DistributionBeginning/Notional
Class BalanceCurrent InterestOriginal ClassBalanceGroupDelay/No
DelayAccrual Basis Paid Off Date
30/360AB DELAY 1 300,000,000.00 3.333333333 0.36310542 0.00121035 N/AP N/AP 0.32691353
30/360VA DELAY 1 20,580,000.00 3.333333333 0.85955977 0.00286520 N/AP N/AP 0.85411205
30/360AV DELAY 1 13,941,000.00 3.333333333 1.00000000 0.00333333 N/AP N/AP 1.00000000
30/360ZD DELAY 1 30,744,000.00 3.333333333 1.09401053 0.00000000 N/AP N/AP 1.09765724
30/360AC DELAY 2 200,000,000.00 3.333333333 0.31502057 0.00105007 N/AP N/AP 0.27778062
30/360VT DELAY 2 13,720,000.00 3.333333333 0.85955977 0.00286520 N/AP N/AP 0.85411205
30/360TV DELAY 2 9,294,000.00 3.333333333 1.00000000 0.00333333 N/AP N/AP 1.00000000
30/360ZT DELAY 2 20,496,000.00 3.333333333 1.09401053 0.00000000 N/AP N/AP 1.09765724
30/360JF NO DELAY 3 107,422,159.00 0.628500000 0.52992433 0.00033306 N/AP N/AP 0.48918522
30/360JS NO DELAY 3 107,422,159.00 5.204833333 0.52992433 0.00275817 N/AP N/AP 0.48918522
30/360AG DELAY 4 1,000.00 0.000000000 0.00000000 0.00000000 N/AP N/AP 0.00000000 03/01/2013
30/360VC DELAY 4 70,948,572.00 2.916666667 0.97151678 0.00283359 N/AP N/AP 0.94729592
30/360FA NO DELAY 4 28,379,428.00 0.628500000 0.97151678 0.00061060 N/AP N/AP 0.94729592
30/360SA NO DELAY 4 28,379,428.00 5.204833333 0.97151678 0.00505658 N/AP N/AP 0.94729592
30/360ZX DELAY 4 1,000.00 3.750000000 1.10634372 0.00000000 N/AP N/AP 1.11049251
30/360PJ DELAY 5 111,169,286.00 2.916666667 0.70982133 0.00207031 N/AP N/AP 0.69828566
30/360PF NO DELAY 5 61,760,714.00 0.503500000 0.70982133 0.00035740 N/AP N/AP 0.69828566
30/360PS NO DELAY 5 61,760,714.00 5.329833333 0.70982133 0.00378323 N/AP N/AP 0.69828566
30/360PL DELAY 5 16,909,000.00 3.958333333 1.00000000 0.00395833 N/AP N/AP 1.00000000
30/360ZC DELAY 5 33,018,143.00 3.958333333 0.92808487 0.00000000 N/AP N/AP 0.90548236
30/360AF NO DELAY 5 27,857,143.00 0.595166667 0.76417583 0.00045481 N/AP N/AP 0.75187577
30/360AS NO DELAY 5 27,857,143.00 5.238166667 0.76417583 0.00400288 N/AP N/AP 0.75187577
30/360PA DELAY 6 38,415,000.00 1.666666667 0.76665781 0.00127776 N/AP N/AP 0.75719438
30/360FP NO DELAY 6 38,415,000.00 0.503500000 0.76665781 0.00038601 N/AP N/AP 0.75719438
30/360SP NO DELAY 6 38,415,000.00 5.329833333 0.76665781 0.00408616 N/AP N/AP 0.75719438
30/360LP DELAY 6 1,854,000.00 3.750000000 1.00000000 0.00375000 N/AP N/AP 1.00000000
30/360ZE DELAY 6 20,000,000.00 3.750000000 0.11117178 0.00000000 N/AP N/AP 0.03180508
30/360BF NO DELAY 6 24,671,000.00 0.595166667 0.63819621 0.00037983 N/AP N/AP 0.61474348
30/360BS NO DELAY 6 24,671,000.00 5.238166667 0.63819621 0.00334298 N/AP N/AP 0.61474348
30/360CA DELAY 7 17,305,589.00 1.666666667 0.61601936 0.00102670 N/AP N/AP 0.60201991
30/360CF NO DELAY 7 7,416,680.00 0.378500000 0.61601936 0.00023316 N/AP N/AP 0.60201991
30/360CS NO DELAY 7 7,416,680.00 5.454833333 0.61601936 0.00336028 N/AP N/AP 0.60201991
30/360GN DELAY 8 58,967,812.00 1.666666667 0.54636658 0.00091061 N/AP N/AP 0.52979348
30/360GF NO DELAY 8 25,271,919.00 0.378500000 0.54636658 0.00020680 N/AP N/AP 0.52979348
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
All Interest factors on the Interest Distribution Factors Statement are expressed in 30/360 regardless of the accrual basis.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 17
Fannie Mae REMIC Trust - 2010-150
Interest Distribution Factors Statement - 04/2013Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Ending/Notional ClassBalance
Cumulative InterestShortfallCurrent Interest
ShortfallInterest DistributionBeginning/Notional
Class BalanceCurrent InterestOriginal ClassBalanceGroupDelay/No
DelayAccrual Basis Paid Off Date
30/360GS NO DELAY 8 25,271,919.00 5.454833333 0.54636658 0.00298034 N/AP N/AP 0.52979348
30/360YA DELAY 9 58,015,200.00 1.666666667 0.69657609 0.00116096 N/AP N/AP 0.67191687
30/360FY NO DELAY 9 38,676,800.00 0.503500000 0.69657609 0.00035073 N/AP N/AP 0.67191687
30/360SY NO DELAY 9 38,676,800.00 5.329833333 0.69657609 0.00371263 N/AP N/AP 0.67191687
30/360NA DELAY 9 2,295,600.00 1.666666667 1.00000000 0.00166667 N/AP N/AP 1.00000000
30/360FE NO DELAY 9 1,530,400.00 0.503500000 1.00000000 0.00050350 N/AP N/AP 1.00000000
30/360SU NO DELAY 9 1,530,400.00 5.329833333 1.00000000 0.00532983 N/AP N/AP 1.00000000
30/360YL DELAY 9 825,833.00 3.333333333 1.00000000 0.00333333 N/AP N/AP 1.00000000
30/360HF NO DELAY 9 15,771,333.00 0.000000000 0.00000000 0.00000000 N/AP N/AP 0.00000000 02/01/2013
30/360HS NO DELAY 9 7,885,667.00 0.000000000 0.00000000 0.00000000 N/AP N/AP 0.00000000 02/01/2013
30/360AP DELAY 9 76,017,000.00 1.666666667 0.65925927 0.00109877 N/AP N/AP 0.64851908
30/360NF NO DELAY 9 50,678,000.00 0.503500000 0.65925927 0.00033194 N/AP N/AP 0.64851908
30/360NS NO DELAY 9 50,678,000.00 5.329833333 0.65925927 0.00351374 N/AP N/AP 0.64851908
30/360LK DELAY 9 2,449,000.00 3.333333333 1.00000000 0.00333333 N/AP N/AP 1.00000000
30/360YF NO DELAY 9 18,094,146.00 1.086833333 0.14930407 0.00016227 N/AP N/AP 0.08960302
30/360YS NO DELAY 9 9,047,074.00 7.826333333 0.14930407 0.00116850 N/AP N/AP 0.08960302
30/360DF NO DELAY 9 425,000,000.00 0.561833333 0.57603751 0.00032364 N/AP N/AP 0.55696284
30/360SN NO DELAY 9 150,000,000.00 5.271500000 0.57603751 0.00303658 N/AP N/AP 0.55696284
30/360MS NO DELAY 9 150,000,000.00 5.271500000 0.57603751 0.00303658 N/AP N/AP 0.55696284
30/360SK NO DELAY 9 125,000,000.00 5.271500000 0.57603751 0.00303658 N/AP N/AP 0.55696284
30/360EF NO DELAY 9 50,000,000.00 0.586833333 0.57603751 0.00033804 N/AP N/AP 0.55696284
30/360ES NO DELAY 9 50,000,000.00 5.246500000 0.57603751 0.00302218 N/AP N/AP 0.55696284
30/360FJ NO DELAY 9 87,572,105.00 0.603500000 0.57603751 0.00034764 N/AP N/AP 0.55696284
30/360SJ NO DELAY 9 87,572,105.00 5.229833333 0.57603751 0.00301258 N/AP N/AP 0.55696284
30/360KA DELAY 10 38,783,889.00 2.083333333 0.36856869 0.00076785 N/AP N/AP 0.34506356
30/360KF NO DELAY 10 31,027,111.00 0.503500000 0.36856869 0.00018557 N/AP N/AP 0.34506356
30/360KS NO DELAY 10 31,027,111.00 5.329833333 0.36856869 0.00196441 N/AP N/AP 0.34506356
30/360ZK DELAY 10 7,631,121.00 0.000000000 0.00000000 0.00000000 N/AP N/AP 0.00000000 09/01/2011
30/360KV DELAY 11 19,692,778.00 2.083333333 0.86499997 0.00180208 N/AP N/AP 0.85973321
30/360VF NO DELAY 11 15,754,222.00 0.545166667 0.86499997 0.00047157 N/AP N/AP 0.85973321
30/360VS NO DELAY 11 15,754,222.00 5.288166667 0.86499997 0.00457426 N/AP N/AP 0.85973321
30/360LV DELAY 11 9,911,429.00 2.916666667 1.00000000 0.00291667 N/AP N/AP 1.00000000
30/360FC NO DELAY 11 3,964,571.00 0.628500000 1.00000000 0.00062850 N/AP N/AP 1.00000000
30/360SC NO DELAY 11 3,964,571.00 5.204833333 1.00000000 0.00520483 N/AP N/AP 1.00000000
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
All Interest factors on the Interest Distribution Factors Statement are expressed in 30/360 regardless of the accrual basis.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 18
Fannie Mae REMIC Trust - 2010-150
Interest Distribution Factors Statement - 04/2013Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Ending/Notional ClassBalance
Cumulative InterestShortfallCurrent Interest
ShortfallInterest DistributionBeginning/Notional
Class BalanceCurrent InterestOriginal ClassBalanceGroupDelay/No
DelayAccrual Basis Paid Off Date
30/360VL DELAY 11 23,869,815.00 2.916666667 1.00000000 0.00291667 N/AP N/AP 1.00000000
30/360FV NO DELAY 11 9,547,925.00 0.670166667 1.00000000 0.00067017 N/AP N/AP 1.00000000
30/360SV NO DELAY 11 9,547,925.00 5.163166667 1.00000000 0.00516317 N/AP N/AP 1.00000000
30/360QA DELAY 12 1,733,000.00 0.000000000 0.00000000 0.00000000 N/AP N/AP 0.00000000 09/01/2011
30/360QB DELAY 12 48,574,445.00 2.083333333 0.35120486 0.00073168 N/AP N/AP 0.30623282
30/360FQ NO DELAY 12 38,859,555.00 0.503500000 0.35120486 0.00017683 N/AP N/AP 0.30623282
30/360SQ NO DELAY 12 38,859,555.00 5.329833333 0.35120486 0.00187186 N/AP N/AP 0.30623282
30/360QL DELAY 12 398,000.00 3.750000000 1.00000000 0.00375000 N/AP N/AP 1.00000000
30/360QM DELAY 12 4,196,000.00 0.000000000 0.00000000 0.00000000 N/AP N/AP 0.00000000 11/01/2011
30/360FH NO DELAY 12 14,774,189.00 0.000000000 0.00000000 0.00000000 N/AP N/AP 0.00000000 10/01/2011
30/360SH NO DELAY 12 4,924,730.00 0.000000000 0.00000000 0.00000000 N/AP N/AP 0.00000000 10/01/2011
30/360LA DELAY 13 24,606,112.00 2.083333333 0.26671041 0.00055565 N/AP N/AP 0.24165436
30/360LF NO DELAY 13 19,684,888.00 0.461833333 0.26671041 0.00012318 N/AP N/AP 0.24165436
30/360LS NO DELAY 13 19,684,888.00 5.371500000 0.26671041 0.00143263 N/AP N/AP 0.24165436
30/360LM DELAY 13 4,338,000.00 0.000000000 0.00000000 0.00000000 N/AP N/AP 0.00000000 11/01/2011
30/360HL DELAY 13 3,835,000.00 0.000000000 0.00000000 0.00000000 N/AP N/AP 0.00000000 10/01/2011
30/360LZ DELAY 13 9,546.00 0.000000000 0.00000000 0.00000000 N/AP N/AP 0.00000000 11/01/2011
N/APR N/AP 0.00 0.000000000 1.00000000 0.00000000 N/AP N/AP 1.00000000
N/APRL N/AP 0.00 0.000000000 1.00000000 0.00000000 N/AP N/AP 1.00000000
30/360VU* DELAY ** 34,300,000.00 3.333333333 0.85955977 0.00286520 N/AP N/AP 0.85411205
30/360UV* DELAY ** 23,235,000.00 3.333333333 1.00000000 0.00333333 N/AP N/AP 1.00000000
30/360ZA* DELAY ** 51,240,000.00 3.333333333 1.09401053 0.00000000 N/AP N/AP 1.09765724
30/360FL* NO DELAY ** 135,801,587.00 0.628500000 0.62220706 0.00039106 N/AP N/AP 0.58491989
30/360SL* NO DELAY ** 135,801,587.00 5.204833333 0.62220706 0.00323848 N/AP N/AP 0.58491989
30/360FM* NO DELAY ** 135,801,587.00 0.586833333 0.62220706 0.00036513 N/AP N/AP 0.58491989
30/360SM* NO DELAY ** 135,801,587.00 5.246500000 0.62220706 0.00326441 N/AP N/AP 0.58491989
30/360PB* DELAY 6 42,683,333.00 2.083333333 0.76665781 0.00159720 N/AP N/AP 0.75719438
30/360PC* DELAY 6 48,018,750.00 2.500000000 0.76665781 0.00191664 N/AP N/AP 0.75719438
30/360PD* DELAY 6 54,878,571.00 2.916666667 0.76665781 0.00223609 N/AP N/AP 0.75719438
30/360PE* DELAY 6 64,025,000.00 3.333333333 0.76665781 0.00255553 N/AP N/AP 0.75719438
30/360PG* DELAY 6 76,830,000.00 3.750000000 0.76665781 0.00287497 N/AP N/AP 0.75719438
30/360FD* NO DELAY ** 52,528,143.00 0.595166667 0.70500673 0.00041960 N/AP N/AP 0.68746857
30/360CN* DELAY ** 76,273,401.00 1.666666667 0.56217003 0.00093695 N/AP N/AP 0.54618085
30/360GB* DELAY ** 80,287,790.00 1.875000000 0.56217003 0.00105407 N/AP N/AP 0.54618085
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
All Interest factors on the Interest Distribution Factors Statement are expressed in 30/360 regardless of the accrual basis.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 19
Fannie Mae REMIC Trust - 2010-150
Interest Distribution Factors Statement - 04/2013Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Ending/Notional ClassBalance
Cumulative InterestShortfallCurrent Interest
ShortfallInterest DistributionBeginning/Notional
Class BalanceCurrent InterestOriginal ClassBalanceGroupDelay/No
DelayAccrual Basis Paid Off Date
30/360GK* DELAY ** 84,748,223.00 2.083333333 0.56217003 0.00117119 N/AP N/AP 0.54618085
30/360GC* DELAY ** 95,341,752.00 2.500000000 0.56217003 0.00140543 N/AP N/AP 0.54618085
30/360FG* NO DELAY ** 32,688,599.00 0.378500000 0.56217003 0.00021278 N/AP N/AP 0.54618085
30/360BP* DELAY 9 84,463,333.00 2.083333333 0.65925927 0.00137346 N/AP N/AP 0.64851908
30/360CP* DELAY 9 95,021,250.00 2.500000000 0.65925927 0.00164815 N/AP N/AP 0.64851908
30/360EP* DELAY 9 108,595,714.00 2.916666667 0.65925927 0.00192284 N/AP N/AP 0.64851908
30/360GP* DELAY 9 126,695,000.00 3.333333333 0.65925927 0.00219753 N/AP N/AP 0.64851908
30/360MA* DELAY 9 60,310,800.00 1.666666667 0.70812526 0.00118021 N/AP N/AP 0.68440464
30/360MB* DELAY 9 67,011,999.00 2.083333333 0.70812526 0.00147526 N/AP N/AP 0.68440464
30/360MC* DELAY 9 75,388,500.00 2.500000000 0.70812526 0.00177031 N/AP N/AP 0.68440464
30/360MD* DELAY 9 86,158,285.00 2.916666667 0.70812526 0.00206537 N/AP N/AP 0.68440464
30/360ME* DELAY 9 100,518,000.00 3.333333333 0.70812526 0.00236042 N/AP N/AP 0.68440464
30/360YB* DELAY 9 64,461,333.00 2.083333333 0.69657609 0.00145120 N/AP N/AP 0.67191687
30/360YC* DELAY 9 72,519,000.00 2.500000000 0.69657609 0.00174144 N/AP N/AP 0.67191687
30/360YD* DELAY 9 82,878,857.00 2.916666667 0.69657609 0.00203168 N/AP N/AP 0.67191687
30/360YE* DELAY 9 96,692,000.00 3.333333333 0.69657609 0.00232192 N/AP N/AP 0.67191687
30/360KB* DELAY 10 43,631,875.00 2.500000000 0.36856869 0.00092142 N/AP N/AP 0.34506356
30/360KC* DELAY 10 49,865,000.00 2.916666667 0.36856869 0.00107499 N/AP N/AP 0.34506356
30/360KD* DELAY 10 58,175,833.00 3.333333333 0.36856869 0.00122856 N/AP N/AP 0.34506356
30/360KE* DELAY 10 69,811,000.00 3.750000000 0.36856869 0.00138213 N/AP N/AP 0.34506356
30/360DV* DELAY 11 22,154,375.00 2.500000000 0.86499997 0.00216250 N/AP N/AP 0.85973321
30/360EV* DELAY 11 25,319,286.00 2.916666667 0.86499997 0.00252292 N/AP N/AP 0.85973321
30/360GV* DELAY 11 29,539,167.00 3.333333333 0.86499997 0.00288333 N/AP N/AP 0.85973321
30/360HV* DELAY 11 35,447,000.00 3.750000000 0.86499997 0.00324375 N/AP N/AP 0.85973321
30/360MV* DELAY 11 11,563,333.00 3.333333333 1.00000000 0.00333333 N/AP N/AP 1.00000000
30/360NV* DELAY 11 13,876,000.00 3.750000000 1.00000000 0.00375000 N/AP N/AP 1.00000000
30/360PV* DELAY 11 27,848,118.00 3.333333333 1.00000000 0.00333333 N/AP N/AP 1.00000000
30/360QV* DELAY 11 33,417,740.00 3.750000000 1.00000000 0.00375000 N/AP N/AP 1.00000000
30/360QC* DELAY 12 54,646,250.00 2.500000000 0.35120486 0.00087801 N/AP N/AP 0.30623282
30/360QD* DELAY 12 62,452,857.00 2.916666667 0.35120486 0.00102435 N/AP N/AP 0.30623282
30/360QE* DELAY 12 72,861,667.00 3.333333333 0.35120486 0.00117068 N/AP N/AP 0.30623282
30/360QG* DELAY 12 87,434,000.00 3.750000000 0.35120486 0.00131702 N/AP N/AP 0.30623282
30/360LB* DELAY 13 27,681,875.00 2.500000000 0.26671041 0.00066678 N/AP N/AP 0.24165436
30/360LC* DELAY 13 31,636,429.00 2.916666667 0.26671041 0.00077791 N/AP N/AP 0.24165436
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
All Interest factors on the Interest Distribution Factors Statement are expressed in 30/360 regardless of the accrual basis.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 20
Fannie Mae REMIC Trust - 2010-150
Interest Distribution Factors Statement - 04/2013Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Class Ending/Notional ClassBalance
Cumulative InterestShortfallCurrent Interest
ShortfallInterest DistributionBeginning/Notional
Class BalanceCurrent InterestOriginal ClassBalanceGroupDelay/No
DelayAccrual Basis Paid Off Date
30/360LD* DELAY 13 36,909,167.00 3.333333333 0.26671041 0.00088903 N/AP N/AP 0.24165436
30/360LE* DELAY 13 44,291,000.00 3.750000000 0.26671041 0.00100016 N/AP N/AP 0.24165436
30/360LH* DELAY 13 8,173,000.00 0.000000000 0.00000000 0.00000000 N/AP N/AP 0.00000000 11/01/2011
NOTE: N/AV - Not Available. N/AP - Not Applicable. * RCR Classes.*** Please contact MBS Helpline for interest rate information.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
All Interest factors on the Interest Distribution Factors Statement are expressed in 30/360 regardless of the accrual basis.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 21
Collateral Statement - 04/2013
Fannie Mae REMIC Trust - 2010-150
Report Date : 4/17/13 1:48 AM
Contact: MBS Helpline [email protected]
1-800-237-8627 1-202-752-5858
Group Prepayment PenaltyPaid AmountScheduled InterestEnding Scheduled
Balance
Beginning ScheduledBalance
EndingSecurityCount
BeginningSecurity Count
WeightedAverage
RemainingTerm
WeightedAverage Pass-Through Rate
Weighted AverageCoupon Rate
CollateralDescription
1 N/AP580,655.43163,339,060.50174,196,626.18553264.000004.45194MBS
2 N/AP355,047.0599,066,125.21106,514,115.09443284.000004.47404MBS
3 N/AP332,066.0852,549,332.8956,925,615.20993224.500004.91560RBR
4 N/AP361,874.7294,094,119.5796,499,924.97333234.500004.94425RBR
5 N/AP798,290.81188,505,996.60191,589,797.8856563105.000005.43512MBS
6 N/AP328,019.5775,831,682.7478,724,694.5914143205.000005.35633MBS
7 N/AP44,419.0814,883,299.2015,229,397.4311853.500004.08400MBS
8 N/AP134,241.8444,629,661.4946,025,775.8022873.500003.87382MBS
9 N/AP2,430,469.75469,997,636.34486,093,949.2377772836.000006.60083MBS
10 N/AP96,488.0624,089,232.5925,730,148.91112986.000006.52724RBR
11 N/AP292,332.7377,768,703.6977,955,394.46553074.500004.93589RBR
12 N/AP116,644.6827,173,161.0231,105,245.92233244.500004.85593RBR
13 N/AP44,298.2710,703,113.2311,812,870.96111914.500004.94415RBR
NOTE: N/AV - Not Available. N/AP - Not Applicable.
Any Group(s) where the underlying collateral is backed by private label securities, please refer to the prospectus and the trustee's remittance report for information on the underlying security.
Disclaimer: Please refer to the REMIC and SMBS Legal Notice on our site for important information pertaining to this report.
** Refer to either the Prospectus Supplement or to the Excel file for tranches supported by more than one group.
Page 22