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06/19/2019 22:17 adjustments 347
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06/19/2019 22:17 adjustments 347
06/19/2019 22:16 Loan Office 163
06/19/2019 22:16 total payments 5
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06/19/2019 22:16 descr 925
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06/19/2019 22:16 APR 183
06/19/2019 22:15 Funding Funder Name 1
06/19/2019 22:15 HMDA.X 107
06/19/2019 22:15 Mi compa 61
06/19/2019 22:15 Resident 9
06/19/2019 22:15 3143 1
06/19/2019 22:15 Loan Info Refi Yr 1
06/19/2019 22:15 Department 2
06/19/2019 22:15 heloc draw amount 3
06/19/2019 22:15 place 8
06/19/2019 22:14 HMDA Pr 11
06/19/2019 22:14 3532 1
06/19/2019 22:14 ide 6,999
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06/19/2019 22:14 3047 13
06/19/2019 22:14 Busine 181
06/19/2019 22:14 Applica 79
06/19/2019 22:14 initial es 131
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06/19/2019 22:13 3335 2
06/19/2019 22:13 RACE 49
06/19/2019 22:13 freddie property type 3
06/19/2019 22:13 1636 3
06/19/2019 22:13 3422 2
06/19/2019 22:13 delivery metho 2
06/19/2019 22:12 955 21
06/19/2019 22:12 HMDA.X23 1
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06/19/2019 22:12 first pymt date 3
06/19/2019 22:12 DISCLOSURE.X947 1
06/19/2019 22:12 userid 4
06/19/2019 22:12 shipper name 1
06/19/2019 22:11 rate lock requ 8,029
06/19/2019 22:11 p&I 9
06/19/2019 22:11 special feat 1
06/19/2019 22:11 144 74
06/19/2019 22:11 deposit account 23
06/19/2019 22:11 co-mort3 12
06/19/2019 22:11 cbc 4
06/19/2019 22:11 Initial Loan Amount 2
06/19/2019 22:11 LE1.X29 1
06/19/2019 22:11 paid 2,586
06/19/2019 22:11 sold date 7
06/19/2019 22:11 retirement income 13
06/19/2019 22:11 AUS.X73 2
06/19/2019 22:11 1521 4
06/19/2019 22:11 Guarantee 51
06/19/2019 22:10 closing doc 1003 signature date 1
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06/19/2019 22:09 Notary 67
06/19/2019 22:09 1342 3
06/19/2019 22:09 B p 14,470
06/19/2019 22:09 hmda.x13 1
06/19/2019 22:09 co-applicant 3
06/19/2019 22:09 408 62
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06/19/2019 22:09 origination 87
06/19/2019 22:09 Hmda.x107 1
06/19/2019 22:09 foreclos 19
06/19/2019 22:09 proj 218
06/19/2019 22:09 loan officer n 162
06/19/2019 22:09 tolerance cure 7
06/19/2019 22:09 property inspection waiver 1
06/19/2019 22:09 prepaymen 51
06/19/2019 22:09 Closing Disclo 1,019
06/19/2019 22:09 Purpose of Loan 1
06/19/2019 22:09 atr qm 375
06/19/2019 22:09 ARM index 23
06/19/2019 22:09 398 57
06/19/2019 22:08 credit agency 8
06/19/2019 22:08 DISCLOSURE 2,488
06/19/2019 22:08 # 423
06/19/2019 22:08 Trans Details hoepa 1
06/19/2019 22:08 paid Mortgage 43
06/19/2019 22:08 subject pr 340
06/19/2019 22:08 832 67
06/19/2019 22:08 inspecti 21
06/19/2019 22:08 AUS Code 19
06/19/2019 22:08 asi 49
06/19/2019 22:08 1659 4
06/19/2019 22:08 HUD ID 115
06/19/2019 22:08 message 114
06/19/2019 22:08 disclosur 2,488
06/19/2019 22:08 4462 2
06/19/2019 22:08 penelaty 12
06/19/2019 22:08 2298 2
06/19/2019 22:08 lock cancel 5
06/19/2019 22:08 Escrow setup 19
06/19/2019 22:08 closer id 1
06/19/2019 22:08 from Date 86
06/19/2019 22:08 inclu 38
06/19/2019 22:08 income documentation 1
06/19/2019 22:08 Document out 2
06/19/2019 22:08 2329 2
06/19/2019 22:08 monthly pay 111
06/19/2019 22:08 NJ 14
06/19/2019 22:08 home improvement loan 1
06/19/2019 22:08 Empl name 21
06/19/2019 22:08 Declaration 32
06/19/2019 22:08 Currentdate 1
06/19/2019 22:07 Co-Borr Declarations L 28
06/19/2019 22:07 reg z 280
06/19/2019 22:07 HUD1 Borr - Gross Amt Due fr 6
06/19/2019 22:07 loan info construction loan type 1
06/19/2019 22:07 DENIAL.X38 1
06/19/2019 22:07 data template 1
06/19/2019 22:07 1845 2
06/19/2019 22:07 File Cont 1,009
06/19/2019 22:07 cat 1,018
06/19/2019 22:07 logged in 1
06/19/2019 22:07 vend.x152 1
06/19/2019 22:07 NEWHUD2.X1266 1
06/19/2019 22:06 cu 2,356
06/19/2019 22:06 close dat 50
06/19/2019 22:06 currentmilestone 1
06/19/2019 22:06 DOT 52
06/19/2019 22:06 va rl 1
06/19/2019 22:06 des 5,647
06/19/2019 22:06 under 291
06/19/2019 22:06 es 17,173
06/19/2019 22:06 x5 955
06/19/2019 22:05 hmda.x44 1
06/19/2019 22:05 attorn 91
06/19/2019 22:05 internet 1
06/19/2019 22:05 ecoa_name 1
06/19/2019 22:05 801c 29
06/19/2019 22:05 tpoi 12
06/19/2019 22:05 Loan Snapsh 33
06/19/2019 22:05 paid outside 1
06/19/2019 22:05 fait 39
06/19/2019 22:04 no escrow 7
06/19/2019 22:04 MORNET.X72 1
06/19/2019 22:04 fha 331
06/19/2019 22:04 221 105
06/19/2019 22:04 le2.x25 1
06/19/2019 22:04 ULDD.G 46
06/19/2019 22:04 inclu 35
06/19/2019 22:04 remain 26
06/19/2019 22:03 wag 27
06/19/2019 22:03 Condit 190
06/19/2019 22:03 3239 2
06/19/2019 22:03 soc 27
06/19/2019 22:03 fa 781
06/19/2019 22:03 2015 6
06/19/2019 22:03 submitted 8
06/19/2019 22:03 LENDER FHA 6
06/19/2019 22:03 en 17,063
06/19/2019 22:03 Military 78
06/19/2019 22:03 newhud.x217 2
06/19/2019 22:02 avail date for all other gfe sttlmnt chr 2
06/19/2019 22:02 penalty 111
06/19/2019 22:02 se 14,772
06/19/2019 22:02 208 102
06/19/2019 22:02 fees line 1,307
06/19/2019 22:02 Borr C 2,832
06/19/2019 22:02 alternate le 19
06/19/2019 22:02 nmlsid 8
06/19/2019 22:01 disposit 2
06/19/2019 22:01 VA funding fee 6
06/19/2019 22:01 Borr Not Hispanic or 2
06/19/2019 22:01 fail 2
06/19/2019 22:01 1989 2
06/19/2019 22:01 original pric 2
06/19/2019 22:01 3000 2
06/19/2019 22:01 PROJE 214
06/19/2019 22:01 H9 7
06/19/2019 22:01 (Previo 5,954
06/19/2019 22:01 VASUMM.X2 22
06/19/2019 22:00 NEWHUD2.X 3,978
06/19/2019 22:00 1554 2
06/19/2019 22:00 than 32
06/19/2019 22:00 BORROWER T 1,871
06/19/2019 22:00 fannie mae 290
06/19/2019 22:00 1128 3
06/19/2019 22:00 housing ratio 15
06/19/2019 21:59 disclosure.x497 1
06/19/2019 21:59 arrange 28
06/19/2019 21:59 amortiza 33
06/19/2019 21:59 MORNET.X76 2
06/19/2019 21:59 LOCKRATE.REQUEST.2965 1
06/19/2019 21:59 DENIAL.X85 1
06/19/2019 21:59 2850 2
06/19/2019 21:59 1730 2
06/19/2019 21:59 1179 4
06/19/2019 21:59 units 31
06/19/2019 21:59 Comp 3,352
06/19/2019 21:59 file c 1,044
06/19/2019 21:59 TOT 1,256
06/19/2019 21:59 borr last 74
06/19/2019 21:59 1978 2
06/19/2019 21:59 mortgaged 1
06/19/2019 21:59 2008 2
06/19/2019 21:59 loan numbe 23
06/19/2019 21:58 no co-app 1
06/19/2019 21:58 disclosure.x957 1
06/19/2019 21:58 message 114
06/19/2019 21:58 HMDA.X31 1
06/19/2019 21:58 831 68
06/19/2019 21:58 346 156
06/19/2019 21:58 casasrn.x88 1
06/19/2019 21:58 Dis 3,054
06/19/2019 21:58 NEWHUD.X1640 1
06/19/2019 21:58 Interest Per diem 1
06/19/2019 21:57 USDA Annual 52
06/19/2019 21:57 l84 1
06/19/2019 21:57 rate is locked 1
06/19/2019 21:57 rate 13,952
06/19/2019 21:57 e 35,115
06/19/2019 21:57 question 2
06/19/2019 21:57 Corr 194
06/19/2019 21:57 PTP 9
06/19/2019 21:57 valuation method 2
06/19/2019 21:57 taxes and insurance 11
06/19/2019 21:56 1408 3
06/19/2019 21:56 1604 3
06/19/2019 21:56 2356 2
06/19/2019 21:56 sync 4
06/19/2019 21:56 Borr Ow 1,979
06/19/2019 21:56 le1.x4 11
06/19/2019 21:56 2317 1
06/19/2019 21:56 rate lock date 393
06/19/2019 21:56 749 32
06/19/2019 21:56 40 1,054
06/19/2019 21:56 NEWHUD2.X292 11
06/19/2019 21:56 manage 401
06/19/2019 21:55 LE1.X56 1
06/19/2019 21:55 2295 13
06/19/2019 21:55 cd sent 24
06/19/2019 21:55 amt 565
06/19/2019 21:55 supervisor 1
06/19/2019 21:55 NEWHUD.X808 1
06/19/2019 21:55 Net Tangible 68
06/19/2019 21:55 NEWHUD.X1721 1
06/19/2019 21:55 branch concessi 48
06/19/2019 21:55 BROKER COMPENSATION 57
06/19/2019 21:55 prel 49
06/19/2019 21:55 hud 6,344
06/19/2019 21:54 T 32,362
06/19/2019 21:54 coborr name 13
06/19/2019 21:54 Adjustments and Other 25
06/19/2019 21:54 Credit report Fee 19
06/19/2019 21:54 document view date 4
06/19/2019 21:54 TOT 1,256
06/19/2019 21:54 VASUMM.X23 12
06/19/2019 21:54 Division 7
06/19/2019 21:54 mortgage insurance 77
06/19/2019 21:54 TOT 1,219
06/19/2019 21:53 LoanAmount 6
06/19/2019 21:53 term year 2
06/19/2019 21:53 Amortiza 32
06/19/2019 21:53 LE ini 92
06/19/2019 21:53 Mortgage Credit 29
06/19/2019 21:53 property type 52
06/19/2019 21:53 coborrow 130
06/19/2019 21:53 IRS Form 11
06/19/2019 21:53 Amort term 1
06/19/2019 21:53 1408 3
06/19/2019 21:53 Other Description 88
06/19/2019 21:53 UNIVERSAL 3
06/19/2019 21:53 198 53
06/19/2019 21:53 pla 174
06/19/2019 21:53 abil 207
06/19/2019 21:53 AUS tracking 465
06/19/2019 21:53 loan numb 25
06/19/2019 21:53 buydown mo 9
06/19/2019 21:53 CD3.X113 1
06/19/2019 21:52 borrower first 8
06/19/2019 21:52 EDISCLOSED20 5
06/19/2019 21:52 299 41
06/19/2019 21:52 cushion 10
06/19/2019 21:52 4472 2
06/19/2019 21:52 Co-Borr Employer Sta 2
06/19/2019 21:52 base p 7,641
06/19/2019 21:52 rec 5,416
06/19/2019 21:52 ORIGINAL A 37
06/19/2019 21:52 escrow waived 1
06/19/2019 21:52 State Tax Stamps 3
06/19/2019 21:51 recast 13
06/19/2019 21:51 evaluate 28
06/19/2019 21:51 disclosure tracking 11
06/19/2019 21:51 lookba 1
06/19/2019 21:51 funding 345
06/19/2019 21:51 AUSF.X1 11
06/19/2019 21:51 document id 415
06/19/2019 21:51 2036 2
06/19/2019 21:51 borr las 73
06/19/2019 21:51 warehouse co name 6
06/19/2019 21:51 proposed taxes 3
06/19/2019 21:51 DISCLOSURE.X993 1
06/19/2019 21:51 new c 255
06/19/2019 21:51 failure 1
06/19/2019 21:51 Que 8,513
06/19/2019 21:51 X50 87
06/19/2019 21:50 hfa 2
06/19/2019 21:50 approval exp 4
06/19/2019 21:50 site 41
06/19/2019 21:50 last date 89
06/19/2019 21:50 Borrower Age 47
06/19/2019 21:50 count borr 86
06/19/2019 21:50 Was the Sex 2
06/19/2019 21:49 ar 5,854
06/19/2019 21:49 EIN 27
06/19/2019 21:49 2303 2
06/19/2019 21:49 VA Loan Code 2
06/19/2019 21:49 univer 3
06/19/2019 21:49 Current Lock request status 1
06/19/2019 21:49 borrower ph 1
06/19/2019 21:49 credit rep 62
06/19/2019 21:49 loan orig 72
06/19/2019 21:49 side 6,255
06/19/2019 21:48 1174 4
06/19/2019 21:48 Impounds Waive 24
06/19/2019 21:48 County Property Tax 2
06/19/2019 21:48 1086 5
06/19/2019 21:48 AUS Lo 66
06/19/2019 21:48 MI Type 43
06/19/2019 21:47 HMDA.X36 1
06/19/2019 21:47 excludi 12
06/19/2019 21:47 lender name 37
06/19/2019 21:47 lock date 407
06/19/2019 21:47 lender's 20
06/19/2019 21:47 loa 1,909
06/19/2019 21:47 appraisal ordered 2
06/19/2019 21:46 curren 288
06/19/2019 21:46 aquired 1
06/19/2019 21:46 482 35
06/19/2019 21:46 MI 1,277
06/19/2019 21:46 2150 13
06/19/2019 21:46 c 26,922
06/19/2019 21:46 projected 143
06/19/2019 21:46 HUD 92900 LT Loan for 203K 13
06/19/2019 21:46 defined 238
06/19/2019 21:46 lpid 1
06/19/2019 21:46 EDISCLOSED2015TRK.EDISCLOSUREBORROWE 1
06/19/2019 21:46 UWC.OPENEX 1
06/19/2019 21:46 arm 107
06/19/2019 21:45 1620 3
06/19/2019 21:45 rate l 14,034
06/19/2019 21:45 2001 2
06/19/2019 21:45 Freddie Mac key 5
06/19/2019 21:45 2867 13
06/19/2019 21:45 account no 2
06/19/2019 21:45 lender phone 26
06/19/2019 21:45 newhud.x1267 1
06/19/2019 21:45 217 162
06/19/2019 21:45 co-borrower 70
06/19/2019 21:45 ide 6,935
06/19/2019 21:45 AUS.X107 2
06/19/2019 21:44 He 2,236
06/19/2019 21:44 userid 4
06/19/2019 21:44 tpo.x46 1
06/19/2019 21:44 AUS.X49 2
06/19/2019 21:44 FIP 5
06/19/2019 21:44 Disclosure.x8 111
06/19/2019 21:44 Borr Guamanian or Chamorro 2
06/19/2019 21:44 disposition status 2
06/19/2019 21:44 VAELIG 115
06/19/2019 21:44 newhud.x609 2
06/19/2019 21:43 bl 694
06/19/2019 21:43 Chan 296
06/19/2019 21:43 3942 2
06/19/2019 21:43 applicati 43
06/19/2019 21:43 bankr 5
06/19/2019 21:43 FM1084 181
06/19/2019 21:43 299 54
06/19/2019 21:42 703 29
06/19/2019 21:42 FE 7,537
06/19/2019 21:42 641 12
06/19/2019 21:42 home ph 10
06/19/2019 21:42 FR0 54
06/19/2019 21:42 ReFi 105
06/19/2019 21:42 Lock Request Impounds Waived 15
06/19/2019 21:42 1103 50
06/19/2019 21:42 Lock (Most Recent 4,676
06/19/2019 21:42 Intr 148
06/19/2019 21:42 VEND.X1 138
06/19/2019 21:41 nmls.x2 1
06/19/2019 21:41 max23k.x29 1
06/19/2019 21:41 Income Borr Base Income 18
06/19/2019 21:41 Debt-to 3
06/19/2019 21:41 SE 14,665
06/19/2019 21:41 male 6
06/19/2019 21:41 lender 336
06/19/2019 21:41 Property Info # of L 1
06/19/2019 21:40 REQ 8,647
06/19/2019 21:40 NEWHUD2.X3336 1
06/19/2019 21:40 Rate No Closing 15
06/19/2019 21:40 145 82
06/19/2019 21:40 avail date for all other g 2
06/19/2019 21:39 ltv 90
06/19/2019 21:39 newhud.x211 1
06/19/2019 21:39 loan estimate 314
06/19/2019 21:39 CASASRN.X79 1
06/19/2019 21:39 1245 3
06/19/2019 21:39 CD2.XSCCAC 1
06/19/2019 21:39 Min 234
06/19/2019 21:39 mortgage typ 14
06/19/2019 21:39 294 170
06/19/2019 21:39 2014 1
06/19/2019 21:39 COMORTGA 2
06/19/2019 21:39 Submission 34
06/19/2019 21:39 IR0007 1
06/19/2019 21:39 appraisal type 5
06/19/2019 21:39 month count 1
06/19/2019 21:39 Construction Method 4
06/19/2019 21:39 LE2.XSTB 1
06/19/2019 21:39 arm index margin 2
06/19/2019 21:38 Disclosure record 20
06/19/2019 21:38 es 14,860
06/19/2019 21:38 VEND.X200 1
06/19/2019 21:38 experia 179
06/19/2019 21:38 ULDD.X74 1
06/19/2019 21:38 linkguid 1
06/19/2019 21:37 2336 2
06/19/2019 21:37 11 2,864
06/19/2019 21:37 assignment dat 8
06/19/2019 21:37 cd5.x1 11
06/19/2019 21:36 deposit account 23
06/19/2019 21:36 52 559
06/19/2019 21:36 coborrower n 115
06/19/2019 21:36 AUDI 3
06/19/2019 21:36 cd3.x286 1
06/19/2019 21:36 completed date 9
06/19/2019 21:36 NEWHUD2.X136 9
06/19/2019 21:36 478 35
06/19/2019 21:35 DD0020 1
06/19/2019 21:35 dec 111
06/19/2019 21:35 Consent Status 13
06/19/2019 21:35 short 6
06/19/2019 21:35 assets cash 7
06/19/2019 21:35 submit to 3
06/19/2019 21:34 STATE DISCLOSURES 1
06/19/2019 21:34 145 82
06/19/2019 21:34 closing disclosur 1,018
06/19/2019 21:34 HMDA.X30 1
06/19/2019 21:34 note rate 6
06/19/2019 21:34 business contact 121
06/19/2019 21:34 mornet.x 90
06/19/2019 21:33 endorse 46
06/19/2019 21:33 Payout 11 Desc 1
06/19/2019 21:33 Borr Guamanian or Chamorro Indicator 2
06/19/2019 21:33 conce 114
06/19/2019 21:33 borpaidamt 88
06/19/2019 21:33 property type 50
06/19/2019 21:33 marital 2
06/19/2019 21:33 mortgag 547
06/19/2019 21:33 1873 2
06/19/2019 21:33 close da 57
06/19/2019 21:33 FM000 4
06/19/2019 21:32 1550 4
06/19/2019 21:32 actual 64
06/19/2019 21:32 FL0062 1
06/19/2019 21:32 datereceived 3
06/19/2019 21:32 gross 36
06/19/2019 21:32 intent 16
06/19/2019 21:32 user 289
06/19/2019 21:31 Docs.Closin 378
06/19/2019 21:31 518 26
06/19/2019 21:31 co applicant 13
06/19/2019 21:31 borrower count 70
06/19/2019 21:31 hours 13
06/19/2019 21:30 Investor P 444
06/19/2019 21:30 TOTAL FEE PE 143
06/19/2019 21:30 3410 13
06/19/2019 21:30 Closing Disc 1,032
06/19/2019 21:30 USDA - Have You Ever Obtained a Loan/Gra 4
06/19/2019 21:30 indian 6
06/19/2019 21:30 3142 2
06/19/2019 21:30 FHA case ID 1
06/19/2019 21:30 Income Source 27
06/19/2019 21:30 vend.x55 11
06/19/2019 21:30 Monthly Pay 110
06/19/2019 21:30 3984 2
06/19/2019 21:30 Appraisal date 11
06/19/2019 21:30 sys.x27 10
06/19/2019 21:30 NTB.X7 1
06/19/2019 21:30 SYS 556
06/19/2019 21:29 DOWN PAYM 34
06/19/2019 21:29 to 6,016
06/19/2019 21:29 e-mail 1
06/19/2019 21:29 ULDD.Tot 1
06/19/2019 21:29 1157 3
06/19/2019 21:29 excluded 1
06/19/2019 21:29 broker lender zip 1
06/19/2019 21:29 Purpose 57
06/19/2019 21:29 Program Descr 1
06/19/2019 21:28 1 19,803
06/19/2019 21:28 Monthly Int And Payment 7
06/19/2019 21:28 ETS 70
06/19/2019 21:28 NEWHUD.X217 2
06/19/2019 21:28 produ 56
06/19/2019 21:28 37 1,945
06/19/2019 21:28 Mavent 18
06/19/2019 21:28 Current 290
06/19/2019 21:28 high p 6
06/19/2019 21:27 Settlement 127
06/19/2019 21:27 X70 74
06/19/2019 21:27 UWC.OPENEXTE 1
06/19/2019 21:27 3972 2
06/19/2019 21:27 Record 228
06/19/2019 21:27 CLOSIN 2,126
06/19/2019 21:27 4295 13
06/19/2019 21:27 qualified mortgage loan type 1
06/19/2019 21:27 third part 44
06/19/2019 21:27 fe0120 1
06/19/2019 21:26 1884 2
06/19/2019 21:26 ce0 52
06/19/2019 21:26 cd3.x11 18
06/19/2019 21:26 968 11
06/19/2019 21:26 1210 48
06/19/2019 21:26 3058 2
06/19/2019 21:25 borrow 1,855
06/19/2019 21:25 guam 2
06/19/2019 21:25 1602 3
06/19/2019 21:25 AUS.X15 22
06/19/2019 21:24 certif 27
06/19/2019 21:24 disclosure.x507 1
06/19/2019 21:24 vend.x7 111
06/19/2019 21:24 newhud2.x4408 1
06/19/2019 21:24 Referral Name 1
06/19/2019 21:24 Number of Borr 3
06/19/2019 21:24 file con 1,005
06/19/2019 21:24 disability 11
06/19/2019 21:24 BORROWE 1,981
06/19/2019 21:24 AUSTRACKING.AU 192
06/19/2019 21:23 last na 410
06/19/2019 21:23 allowance 17
06/19/2019 21:23 underwriter email 2
06/19/2019 21:23 HOLD 55
06/19/2019 21:23 DeliveryMethod 2
06/19/2019 21:23 CD3.X1522 1
06/19/2019 21:23 1083 4
06/19/2019 21:23 AUS.X 1 222
06/19/2019 21:23 loan program description 1
06/19/2019 21:23 cc 460
06/19/2019 21:23 COMPLETE 24
06/19/2019 21:23 AMOU 4,198
06/19/2019 21:22 Tax 314
06/19/2019 21:22 4123 2
06/19/2019 21:22 bp 1
06/19/2019 21:22 collateral tracking 3
06/19/2019 21:22 lease 21
06/19/2019 21:22 LoanAmount 4
06/19/2019 21:22 irs4506 139
06/19/2019 21:22 3165 3
06/19/2019 21:22 NEWHUD. 1,824
06/19/2019 21:22 adva 158
06/19/2019 21:22 modification 4
06/19/2019 21:21 notices. 96
06/19/2019 21:21 HMDA.X28 1
06/19/2019 21:21 156 64
06/19/2019 21:21 140 101
06/19/2019 21:21 ell 5,272
06/19/2019 21:21 Insur 276
06/19/2019 21:20 401 89
06/19/2019 21:20 1452 14
06/19/2019 21:20 Fee Details - Line 801c 28
06/19/2019 21:20 search 16
06/19/2019 21:20 Borr Equifax 52
06/19/2019 21:20 4048 2
06/19/2019 21:20 TPO.X14 1
06/19/2019 21:20 NEWHUD2.X4610 1
06/19/2019 21:19 total i 1,067
06/19/2019 21:19 file contacts email 41
06/19/2019 21:19 FR011 3
06/19/2019 21:19 GF 476
06/19/2019 21:19 associate 6
06/19/2019 21:19 max23k.x10 7
06/19/2019 21:19 3587 2
06/19/2019 21:19 closing date c 212
06/19/2019 21:18 divid 29
06/19/2019 21:18 162 65
06/19/2019 21:18 VA fu 38
06/19/2019 21:18 examin 14
06/19/2019 21:18 2nd 15
06/19/2019 21:18 3389 13
06/19/2019 21:18 buyer's 23
06/19/2019 21:18 Corporate 49
06/19/2019 21:18 336 146
06/19/2019 21:18 BE 1,098
06/19/2019 21:18 2299 2
06/19/2019 21:17 milit 78
06/19/2019 21:17 clo 3,922
06/19/2019 21:17 MORNET.X27 1
06/19/2019 21:17 Fee De 5,188
06/19/2019 21:17 5 9,851
06/19/2019 21:17 1647 3
06/19/2019 21:17 TQL 125
06/19/2019 21:17 email 143
06/19/2019 21:17 1395 3
06/19/2019 21:16 Lock Type 265
06/19/2019 21:16 3403 13
06/19/2019 21:16 brokered 1
06/19/2019 21:16 0019 17
06/19/2019 21:16 file contacts real estate 2
06/19/2019 21:16 Loan Disc 350
06/19/2019 21:16 deliver 116
06/19/2019 21:16 contact type 68
06/19/2019 21:15 BR00 35
06/19/2019 21:15 range 53
06/19/2019 21:15 borrower previous add 2
06/19/2019 21:15 borrower id 472
06/19/2019 21:15 County Limits 1
06/19/2019 21:15 processor email 2
06/19/2019 21:15 Acquire 5
06/19/2019 21:15 Mtg Ins Premium 9
06/19/2019 21:15 Mortgage C 484
06/19/2019 21:15 ESCROW CO 96
06/19/2019 21:15 Spouse 25
06/19/2019 21:15 step 8
06/19/2019 21:15 Current Loan 11
06/19/2019 21:15 472 44
06/19/2019 21:14 con 2,928
06/19/2019 21:14 AUS.X73 2
06/19/2019 21:14 3038 12
06/19/2019 21:14 31 1,328
06/19/2019 21:14 referral 6
06/19/2019 21:14 optiona 13
06/19/2019 21:14 yrs 24
06/19/2019 21:14 SERVICE. 148
06/19/2019 21:14 69 555
06/19/2019 21:14 Deferred Payment 1
06/19/2019 21:14 Co-Borr Employer 41
06/19/2019 21:14 less than 12
06/19/2019 21:14 buydown months 6
06/19/2019 21:14 sec of act 3
06/19/2019 21:14 Mi compa 61
06/19/2019 21:14 address # 3
06/19/2019 21:14 non-borr 25
06/19/2019 21:13 Trans Details Loan Purp 18
06/19/2019 21:13 purchaser type 1
06/19/2019 21:13 4169 2
06/19/2019 21:13 pay 1,364
06/19/2019 21:13 lockrate. 4,591
06/19/2019 21:13 projec 218
06/19/2019 21:13 collected 21
06/19/2019 21:13 542 12
06/19/2019 21:13 open-end 2
06/19/2019 21:13 NEWHUD2.X122 6
06/19/2019 21:13 rate set date 54
06/19/2019 21:13 certif 27
06/19/2019 21:13 case # 13
06/19/2019 21:13 Approval Date 32
06/19/2019 21:12 unit 53
06/19/2019 21:12 Employment status 1
06/19/2019 21:12 Borr Ethnicity 16
06/19/2019 21:12 2581 1
06/19/2019 21:12 buys 156
06/19/2019 21:12 propos 39
06/19/2019 21:12 u 28,919
06/19/2019 21:12 Mos Reserve Required 3
06/19/2019 21:12 market val 3
06/19/2019 21:12 denial.x67 1
06/19/2019 21:12 manu 12
06/19/2019 21:12 SS 1,653
06/19/2019 21:11 trans details int 27
06/19/2019 21:11 loan # 19
06/19/2019 21:11 ms.clo 2
06/19/2019 21:11 Flood Cert 12
06/19/2019 21:11 1158 4
06/19/2019 21:11 file contac 1,004
06/19/2019 21:11 c 27,155
06/19/2019 21:11 lender alternate 1
06/19/2019 21:11 LE due date 7
06/19/2019 21:11 Construction method 4
06/19/2019 21:11 CD1 100
06/19/2019 21:10 107 108
06/19/2019 21:10 528 25
06/19/2019 21:10 File co 1,013
06/19/2019 21:10 sign date 28
06/19/2019 21:10 confir 1,170
06/19/2019 21:10 d o 27,783
06/19/2019 21:10 CD3.X82 1
06/19/2019 21:10 cash out 11
06/19/2019 21:10 1343 3
06/19/2019 21:10 borrower sc 390
06/19/2019 21:10 disburs 79
06/19/2019 21:10 repaid 30
06/19/2019 21:10 QM.x40 1
06/19/2019 21:10 of escrow 9
06/19/2019 21:10 fund total 12
06/19/2019 21:09 DISCLOSEDTIL.COB 1
06/19/2019 21:09 rate lock buy side 3,253
06/19/2019 21:09 closing disclosur 1,018
06/19/2019 21:09 DISCLOSEDCD.SentDate 1
06/19/2019 21:09 borr cert own more than 4 1
06/19/2019 21:09 cd due 2
06/19/2019 21:09 MORTG 548
06/19/2019 21:09 DENIAL R 3,489
06/19/2019 21:09 discl 2,803
06/19/2019 21:09 loan status 54
06/19/2019 21:08 draw 30
06/19/2019 21:08 gran 22
06/19/2019 21:08 Loan disclosed 25
06/19/2019 21:08 lookback 1
06/19/2019 21:08 ot 3,630
06/19/2019 21:08 administration 2
06/19/2019 21:08 2355 2
06/19/2019 21:08 company n 194
06/19/2019 21:08 ULDD Freddie 44
06/19/2019 21:07 funder date 1
06/19/2019 21:07 CASASRN.X167 1
06/19/2019 21:07 361 59
06/19/2019 21:07 COND.OPEN.PTF 1
06/19/2019 21:07 Subject Property Estat 1
06/19/2019 21:07 Income Employment 46
06/19/2019 21:06 Closing Docs order 4
06/19/2019 21:06 buysid 156
06/19/2019 21:06 multifam 2
06/19/2019 21:06 vi 8,400
06/19/2019 21:06 usda premium 5
06/19/2019 21:06 SETTLEMENT DATE 7
06/19/2019 21:06 total costs 35
06/19/2019 21:06 2287 13
06/19/2019 21:06 472 44
06/19/2019 21:05 203K Contingency Reserve 3
06/19/2019 21:05 1393 2
06/19/2019 21:05 prio 37
06/19/2019 21:05 Order ID 20
06/19/2019 21:05 Refi property 1
06/19/2019 21:05 cd3.x279 1
06/19/2019 21:05 BE0039 1
06/19/2019 21:05 2984 2
06/19/2019 21:05 corporate 49
06/19/2019 21:05 Loan amount 347
06/19/2019 21:04 xcoc00 15
06/19/2019 21:04 3569 1
06/19/2019 21:04 kbyo.xd4113 1
06/19/2019 21:04 First Name 167
06/19/2019 21:04 FL002 9
06/19/2019 21:04 4035 2
06/19/2019 21:04 denial.x31 1
06/19/2019 21:03 4076 2
06/19/2019 21:03 ce0027 1
06/19/2019 21:03 x952 4
06/19/2019 21:03 lower 29
06/19/2019 21:03 150 90
06/19/2019 21:03 uldd.x26 1
06/19/2019 21:03 add reg 6
06/19/2019 21:02 type 1,036
06/19/2019 21:02 439 152
06/19/2019 21:02 NEWHUD.X2 115
06/19/2019 21:02 EIN 27
06/19/2019 21:02 Rate No Closing Cost Optio 13
06/19/2019 21:02 ba 9,700
06/19/2019 21:02 loan id 212
06/19/2019 21:02 dif 67
06/19/2019 21:02 modified 16
06/19/2019 21:02 initial disc 30
06/19/2019 21:01 666 35
06/19/2019 21:01 pocptc 20
06/19/2019 21:01 CLOSED 388
06/19/2019 21:01 address 2 122
06/19/2019 21:01 1987 1
06/19/2019 21:01 pairs 6
06/19/2019 21:01 4356 12
06/19/2019 21:01 file started 1
06/19/2019 21:01 DISCLOSURE.X1098 1
06/19/2019 21:01 MIP refund 1
06/19/2019 21:01 HUD Addendum 37
06/19/2019 21:01 new construc 7
06/19/2019 21:01 AUS Loan Type 3
06/19/2019 21:01 1990 2
06/19/2019 21:01 019 43
06/19/2019 21:00 case b 10
06/19/2019 21:00 (Previous 5 498
06/19/2019 21:00 4012 2
06/19/2019 21:00 Loan O 1,906
06/19/2019 21:00 Loan AMount 347
06/19/2019 21:00 IP 1,151
06/19/2019 21:00 DEBT 71
06/19/2019 20:59 Fi 4,809
06/19/2019 20:59 3149 2
06/19/2019 20:59 Payment Interest 97
06/19/2019 20:59 26 1,448
06/19/2019 20:59 merge 7
06/19/2019 20:58 3148 2
06/19/2019 20:58 518 26
06/19/2019 20:58 Conditional Approval 1
06/19/2019 20:58 1008 61
06/19/2019 20:58 file contacts 972
06/19/2019 20:58 investor buy 12
06/19/2019 20:58 exceptions 1
06/19/2019 20:58 lock day 107
06/19/2019 20:58 Final CD 26
06/19/2019 20:58 2010 10
06/19/2019 20:58 cushion 10
06/19/2019 20:58 trigger 5
06/19/2019 20:58 impounds 35
06/19/2019 20:57 Lead Source 2
06/19/2019 20:57 fee borr 1,462
06/19/2019 20:57 LE2.XLC 2
06/19/2019 20:57 Ref % 2
06/19/2019 20:57 Te 16,598
06/19/2019 20:57 FANNIES 6
06/19/2019 20:57 loan documentation type 2
06/19/2019 20:57 File contacts Hazard Ins Co Na 4
06/19/2019 20:57 1003 98
06/19/2019 20:56 Loan No 75
06/19/2019 20:56 Unpaid Prin 11
06/19/2019 20:56 ULDD.X140 1
06/19/2019 20:56 escrow w 431
06/19/2019 20:56 wid 5
06/19/2019 20:56 le is 1,078
06/19/2019 20:56 applylf 1
06/19/2019 20:56 Business Cont 121
06/19/2019 20:56 sectio 824
06/19/2019 20:56 credits 48
06/19/2019 20:55 IR0 45
06/19/2019 20:55 LE da 481
06/19/2019 20:55 File Contacts B 295
06/19/2019 20:55 LOANFILESEQUENCENUMBER 1
06/19/2019 20:55 secu 58
06/19/2019 20:55 Fannie Mae Loan Doc Type Code 12
06/19/2019 20:55 HUD Line 49
06/19/2019 20:55 Improvement 23
06/19/2019 20:55 VEND.X739 1
06/19/2019 20:55 lender credi 32
06/19/2019 20:54 disclosed finance 6
06/19/2019 20:54 compar 2,584
06/19/2019 20:54 3629 2
06/19/2019 20:54 Closing Docs REGZ Loan 6
06/19/2019 20:54 escr 1,253
06/19/2019 20:54 VEND.X656 1
06/19/2019 20:54 Y 12,081
06/19/2019 20:54 borrower id 472
06/19/2019 20:54 mae 671
06/19/2019 20:53 X1108 3
06/19/2019 20:53 QM.x24 11
06/19/2019 20:53 uwc.ptd 2
06/19/2019 20:53 leasehold 1
06/19/2019 20:53 86 409
06/19/2019 20:53 lender.c 1
06/19/2019 20:53 CD date 16
06/19/2019 20:53 Escrow Flood 13
06/19/2019 20:53 pay off 75
06/19/2019 20:53 internal 9
06/19/2019 20:52 county l 60
06/19/2019 20:52 NEWHUD2.X324 10
06/19/2019 20:52 Borr Credit Score for Decision Making 2
06/19/2019 20:52 Mavent 18
06/19/2019 20:52 Origin 153
06/19/2019 20:52 Escrow Monthly Payment 3
06/19/2019 20:52 833 66
06/19/2019 20:52 agency case identifier 1
06/19/2019 20:51 reque 8,324
06/19/2019 20:51 3942 2
06/19/2019 20:51 lockrate3 1,126
06/19/2019 20:51 Thir 47
06/19/2019 20:51 be 1,010
06/19/2019 20:51 199 52
06/19/2019 20:51 subje 323
06/19/2019 20:51 Actu 75
06/19/2019 20:50 4145 2
06/19/2019 20:50 newhud.x808 1
06/19/2019 20:50 1410 3
06/19/2019 20:50 aus type 51
06/19/2019 20:50 Loan Ap 86
06/19/2019 20:50 lender.cntcttitle 1
06/19/2019 20:50 0133 1
06/19/2019 20:49 Appraisal da 13
06/19/2019 20:49 fullfille 2
06/19/2019 20:49 1855 1
06/19/2019 20:49 fha lender id 5
06/19/2019 20:49 COMPLIANCE CHECK 1
06/19/2019 20:49 tw 22
06/19/2019 20:49 loan cont 23
06/19/2019 20:49 Loan Estimat 317
06/19/2019 20:49 NEWHUD2.X3131 1
06/19/2019 20:49 second mortgage 1
06/19/2019 20:49 LOCKRATE.2592 1
06/19/2019 20:48 Other inc 73
06/19/2019 20:48 801f 12
06/19/2019 20:48 Universal loan id 1
06/19/2019 20:48 3968 1
06/19/2019 20:47 cd5.x1 11
06/19/2019 20:47 hud69 1
06/19/2019 20:47 app date 69
06/19/2019 20:47 Bottom 16
06/19/2019 20:47 101 449
06/19/2019 20:47 ULDD.GN 46
06/19/2019 20:47 Resubmit 1
06/19/2019 20:47 Details of Tran 4
06/19/2019 20:47 HMDA.X94 1
06/19/2019 20:47 flood polic 2
06/19/2019 20:46 Set 373
06/19/2019 20:46 consummat 7
06/19/2019 20:46 CD 1,308
06/19/2019 20:46 lc count 5
06/19/2019 20:46 le1 130
06/19/2019 20:46 closing date 212
06/19/2019 20:45 Estim 337
06/19/2019 20:45 Fund date 7
06/19/2019 20:45 TPO 135
06/19/2019 20:45 139 70
06/19/2019 20:45 630 12
06/19/2019 20:45 appraiser 16
06/19/2019 20:45 3943 2
06/19/2019 20:45 3872 13
06/19/2019 20:45 telepho 32
06/19/2019 20:45 1840 2
06/19/2019 20:45 escrow haz 7
06/19/2019 20:45 s 32,420
06/19/2019 20:44 L358 1
06/19/2019 20:44 appraisal id 6
06/19/2019 20:44 Loan No 71
06/19/2019 20:44 file name 146
06/19/2019 20:44 le2.x9 5
06/19/2019 20:44 Disclosure Date 228
06/19/2019 20:44 VEND.X493 1
06/19/2019 20:44 st 17,878
06/19/2019 20:44 self indicator 1
06/19/2019 20:44 CASE ASS 2
06/19/2019 20:44 Broke 871
06/19/2019 20:44 expenses proposed 10
06/19/2019 20:44 109 156
06/19/2019 20:43 denial.x12 1
06/19/2019 20:43 fm0006 1
06/19/2019 20:43 Co-Borr Emplo 105
06/19/2019 20:43 Cor 1,083
06/19/2019 20:43 method 57
06/19/2019 20:43 settl 138
06/19/2019 20:43 lockrate.4016 1
06/19/2019 20:42 2371 2
06/19/2019 20:42 2236 13
06/19/2019 20:42 1534 4
06/19/2019 20:42 unemploy 3
06/19/2019 20:42 financedind 79
06/19/2019 20:42 fm0019 1
06/19/2019 20:42 notices.x63 1
06/19/2019 20:42 disbursement date 8
06/19/2019 20:42 FV.x345 1
06/19/2019 20:42 agency case ident 1
06/19/2019 20:42 que 8,360
06/19/2019 20:41 1952 2
06/19/2019 20:41 622 13
06/19/2019 20:41 Securi 54
06/19/2019 20:41 file cont 978
06/19/2019 20:41 msp 2
06/19/2019 20:41 3198 2
06/19/2019 20:41 1040 44
06/19/2019 20:41 agent addre 3
06/19/2019 20:40 nstitution 38
06/19/2019 20:40 386 53
06/19/2019 20:40 Number Borrower 6
06/19/2019 20:40 contractor 27
06/19/2019 20:40 interes 313
06/19/2019 20:40 line 8 2,987
06/19/2019 20:40 90 1,068
06/19/2019 20:39 MI % 23
06/19/2019 20:39 Borrower Asset Type 5
06/19/2019 20:39 co-B 582
06/19/2019 20:39 Est closing date 33
06/19/2019 20:39 document. 15
06/19/2019 20:39 Endors 51
06/19/2019 20:39 conc 134
06/19/2019 20:39 AUS.X24 2
06/19/2019 20:38 undiscount 27
06/19/2019 20:38 VOB 22
06/19/2019 20:38 MORNET.X101 1
06/19/2019 20:38 COREMILESTON 1
06/19/2019 20:38 640 12
06/19/2019 20:38 newhud.x812 1
06/19/2019 20:38 3057 2
06/19/2019 20:38 closing date 62
06/19/2019 20:38 2996 2
06/19/2019 20:38 655 23
06/19/2019 20:38 divis 9
06/19/2019 20:38 CASASRN.X32 1
06/19/2019 20:38 Loan Discount Points 5
06/19/2019 20:37 364 58
06/19/2019 20:37 own more than 4 1
06/19/2019 20:37 fl 299
06/19/2019 20:37 conditio 200
06/19/2019 20:37 univer 3
06/19/2019 20:37 disclosure.x477 1
06/19/2019 20:37 loan classificatio 1
06/19/2019 20:37 d 28,026
06/19/2019 20:36 con log 9
06/19/2019 20:36 pc 248
06/19/2019 20:36 sell side exp 36
06/19/2019 20:36 259 71
347 of 35,455 Fields in Encompass 19.2 contain 'adjustments'
Type Field ID Format Opts Description First Chng
Standard CD3.X1000 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 09 16.2 17.4
Standard CD3.X1001 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 10 16.2
Standard CD3.X1002 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 10 16.2
Standard CD3.X1003 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 10 16.2
Standard CD3.X1004 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 10 16.2
Standard CD3.X1005 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 10 16.2 17.4
Standard CD3.X1006 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 11 16.2
Standard CD3.X1007 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 11 16.2
Standard CD3.X1008 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 11 16.2
Standard CD3.X1009 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 11 16.2
Standard CD3.X1010 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 11 16.2 17.4
Standard CD3.X1011 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 12 16.2
Standard CD3.X1012 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 12 16.2
Standard CD3.X1013 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 12 16.2
Standard CD3.X1014 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 12 16.2
Standard CD3.X1015 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 12 16.2 17.4
Standard CD3.X1016 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 13 16.2
Standard CD3.X1017 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 13 16.2
Standard CD3.X1018 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 13 16.2
Standard CD3.X1019 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 13 16.2
Standard CD3.X1020 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 13 16.2 17.4
Standard CD3.X1021 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 14 16.2
Standard CD3.X1022 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 14 16.2
Standard CD3.X1023 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 14 16.2
Standard CD3.X1024 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 14 16.2
Standard CD3.X1025 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 14 16.2 17.4
Standard CD3.X1026 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 15 16.2
Standard CD3.X1027 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 15 16.2
Standard CD3.X1028 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 15 16.2
Standard CD3.X1029 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 15 16.2
Standard CD3.X1030 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 15 16.2 17.4
Standard CD3.X1031 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 16 16.2
Standard CD3.X1032 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 16 16.2
Standard CD3.X1033 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 16 16.2
Standard CD3.X1034 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 16 16.2
Standard CD3.X1035 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 16 16.2 17.4
Standard CD3.X1036 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 17 16.2
Standard CD3.X1037 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 17 16.2
Standard CD3.X1038 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 17 16.2
Standard CD3.X1039 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 17 16.2
Standard CD3.X1040 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 17 16.2 17.4
Standard CD3.X1041 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 18 16.2
Standard CD3.X1042 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 18 16.2
Standard CD3.X1043 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 18 16.2
Standard CD3.X1044 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 18 16.2
Standard CD3.X1045 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 18 16.2 17.4
Standard CD3.X117 STRING STD Adjustments Did Change Col 15.1
Standard CD3.X1225 STRING 3 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller, Taxes and Assessments (line 14) - Fee Account Type 16.2
Standard CD3.X1228 STRING 2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller, Taxes and Assessments (line 15) - Fee Account Type 16.2
Standard CD3.X1231 STRING 3 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller, Taxes and Assessments (line 16) - Fee Account Type 16.2
Standard CD3.X1234 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 01 16.2
Standard CD3.X1235 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 01 16.2
Standard CD3.X1236 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 01 16.2
Standard CD3.X13 STRING Adjustments8_1 15.1
Standard CD3.X1324 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date From - Line 01 16.2
Standard CD3.X1325 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date To - Line 01 16.2
Standard CD3.X1326 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Account Type - Line 01 16.2
Standard CD3.X14 DECIMAL_2 Adjustments8_2 15.1
Standard CD3.X1412 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 01 16.2
Standard CD3.X1413 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 01 16.2
Standard CD3.X1414 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 01 16.2
Standard CD3.X1415 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 01 16.2
Standard CD3.X1416 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 01 16.2
Standard CD3.X1417 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 02 16.2
Standard CD3.X1418 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 02 16.2
Standard CD3.X1419 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 02 16.2
Standard CD3.X1420 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 02 16.2
Standard CD3.X1421 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 02 16.2
Standard CD3.X1422 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 03 16.2
Standard CD3.X1423 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 03 16.2
Standard CD3.X1424 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 03 16.2
Standard CD3.X1425 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 03 16.2
Standard CD3.X1426 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 03 16.2
Standard CD3.X1427 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 04 16.2
Standard CD3.X1428 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 04 16.2
Standard CD3.X1429 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 04 16.2
Standard CD3.X1430 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 04 16.2
Standard CD3.X1431 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 04 16.2
Standard CD3.X1432 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 05 16.2
Standard CD3.X1433 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 05 16.2
Standard CD3.X1434 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 05 16.2
Standard CD3.X1435 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 05 16.2
Standard CD3.X1436 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 05 16.2
Standard CD3.X1437 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 06 16.2
Standard CD3.X1438 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 06 16.2
Standard CD3.X1439 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 06 16.2
Standard CD3.X1440 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 06 16.2
Standard CD3.X1441 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 06 16.2
Standard CD3.X1442 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 07 16.2
Standard CD3.X1443 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 07 16.2
Standard CD3.X1444 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 07 16.2
Standard CD3.X1445 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 07 16.2
Standard CD3.X1446 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 07 16.2
Standard CD3.X1447 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 08 16.2
Standard CD3.X1448 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 08 16.2
Standard CD3.X1449 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 08 16.2
Standard CD3.X1450 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 08 16.2
Standard CD3.X1451 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 08 16.2
Standard CD3.X1452 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 09 16.2
Standard CD3.X1453 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 09 16.2
Standard CD3.X1454 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 09 16.2
Standard CD3.X1455 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 09 16.2
Standard CD3.X1456 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 09 16.2
Standard CD3.X1457 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 10 16.2
Standard CD3.X1458 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 10 16.2
Standard CD3.X1459 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 10 16.2
Standard CD3.X1460 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 10 16.2
Standard CD3.X1461 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 10 16.2
Standard CD3.X1462 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 11 16.2
Standard CD3.X1463 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 11 16.2
Standard CD3.X1464 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 11 16.2
Standard CD3.X1465 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 11 16.2
Standard CD3.X1466 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 11 16.2
Standard CD3.X1467 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 12 16.2
Standard CD3.X1468 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 12 16.2
Standard CD3.X1469 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 12 16.2
Standard CD3.X1470 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 12 16.2
Standard CD3.X1471 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 12 16.2
Standard CD3.X1472 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 13 16.2
Standard CD3.X1473 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 13 16.2
Standard CD3.X1474 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 13 16.2
Standard CD3.X1475 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 13 16.2
Standard CD3.X1476 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 13 16.2
Standard CD3.X1477 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 14 16.2
Standard CD3.X1478 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 14 16.2
Standard CD3.X1479 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 14 16.2
Standard CD3.X1480 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 14 16.2
Standard CD3.X1481 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 14 16.2
Standard CD3.X1482 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 15 16.2
Standard CD3.X1483 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 15 16.2
Standard CD3.X1484 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 15 16.2
Standard CD3.X1485 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 15 16.2
Standard CD3.X1486 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 15 16.2
Standard CD3.X1487 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 16 16.2
Standard CD3.X1488 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 16 16.2
Standard CD3.X1489 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 16 16.2
Standard CD3.X1490 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 16 16.2
Standard CD3.X1491 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 16 16.2
Standard CD3.X1492 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 17 16.2
Standard CD3.X1493 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 17 16.2
Standard CD3.X1494 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 17 16.2
Standard CD3.X1495 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 17 16.2
Standard CD3.X1496 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 17 16.2
Standard CD3.X1497 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 18 16.2
Standard CD3.X1498 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 18 16.2
Standard CD3.X1499 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 18 16.2
Standard CD3.X15 STRING Adjustments9_1 15.1
Standard CD3.X1500 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 18 16.2
Standard CD3.X1501 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 18 16.2
Standard CD3.X1504 DECIMAL_2 UCD Total Adjustments And Other Credits 16.3.2
Standard CD3.X1505 DECIMAL_2 Non UCD Total Adjustments And Other Credits 16.3.2
Standard CD3.X1506 DECIMAL_2 Total Adjustments And Other Credits 16.3.2
Standard CD3.X16 DECIMAL_2 Adjustments9_2 15.1
Standard CD3.X17 STRING Adjustments10_1 15.1
Standard CD3.X18 DECIMAL_2 Adjustments10_2 15.1
Standard CD3.X19 STRING Adjustments11_1 15.1
Standard CD3.X2 STRING Adjustments06_1 15.1
Standard CD3.X20 DECIMAL_2 Adjustments11_2 15.1
Standard CD3.X3 DECIMAL_2 Adjustments06_2 15.1
Standard CD3.X30 STRING AdjustmentsforItemsPaidbySellerinAdvance16_1 15.1
Standard CD3.X31 DECIMAL_2 AdjustmentsforItemsPaidbySellerinAdvance16_2 15.1
Standard CD3.X340 STRING 3 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (Taxes and Assessments line 12) - Fee Account Type 16.2
Standard CD3.X343 STRING 2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (Taxes and Assessments line 13) - Fee Account Type 16.2
Standard CD3.X346 STRING 3 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (Taxes and Assessments line 14) - Fee Account Type 16.2
Standard CD3.X347 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 15) - Fee Date From 16.2
Standard CD3.X348 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 15) - Fee Date To 16.2
Standard CD3.X349 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 15) - Fee Account Type 16.2
Standard CD3.X350 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 16) - Fee Date From 16.2
Standard CD3.X351 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 16) - Fee Date To 16.2
Standard CD3.X352 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 16) - Fee Account Type 16.2
Standard CD3.X353 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Description - Line 1 16.2
Standard CD3.X354 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Amount - Line 1 16.2
Standard CD3.X355 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date From - Line 1 16.2
Standard CD3.X356 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date To - Line 1 16.2
Standard CD3.X357 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Account Type - Line 1 16.2
Standard CD3.X358 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Description - Line 2 16.2
Standard CD3.X359 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Amount - Line 2 16.2
Standard CD3.X360 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date From - Line 2 16.2
Standard CD3.X361 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date To - Line 2 16.2
Standard CD3.X362 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Account Type - Line 2 16.2
Standard CD3.X363 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Description - Line 3 16.2
Standard CD3.X364 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Amount - Line 3 16.2
Standard CD3.X365 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date From - Line 3 16.2
Standard CD3.X366 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date To - Line 3 16.2
Standard CD3.X367 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Account Type - Line 3 16.2
Standard CD3.X368 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Description - Line 4 16.2
Standard CD3.X369 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Amount - Line 4 16.2
Standard CD3.X370 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date From - Line 4 16.2
Standard CD3.X371 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date To - Line 4 16.2
Standard CD3.X372 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Account Type - Line 4 16.2
Standard CD3.X373 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Description - Line 5 16.2
Standard CD3.X374 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Amount - Line 5 16.2
Standard CD3.X375 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 5 16.2
Standard CD3.X376 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 5 16.2
Standard CD3.X377 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 5 16.2
Standard CD3.X378 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 6 16.2
Standard CD3.X379 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 6 16.2
Standard CD3.X380 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 6 16.2
Standard CD3.X381 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 6 16.2
Standard CD3.X382 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 6 16.2
Standard CD3.X383 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 7 16.2
Standard CD3.X384 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 7 16.2
Standard CD3.X385 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 7 16.2
Standard CD3.X386 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 7 16.2
Standard CD3.X387 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 7 16.2
Standard CD3.X388 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 8 16.2
Standard CD3.X389 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 8 16.2
Standard CD3.X390 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 8 16.2
Standard CD3.X391 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 8 16.2
Standard CD3.X392 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 8 16.2
Standard CD3.X393 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 9 16.2
Standard CD3.X394 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 9 16.2
Standard CD3.X395 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 9 16.2
Standard CD3.X396 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 9 16.2
Standard CD3.X397 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 9 16.2
Standard CD3.X398 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 10 16.2
Standard CD3.X399 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 10 16.2
Standard CD3.X4 STRING Adjustments07_1 15.1
Standard CD3.X400 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 10 16.2
Standard CD3.X401 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 10 16.2
Standard CD3.X402 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 10 16.2
Standard CD3.X403 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 11 16.2
Standard CD3.X404 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 11 16.2
Standard CD3.X405 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 11 16.2
Standard CD3.X406 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 11 16.2
Standard CD3.X407 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 11 16.2
Standard CD3.X408 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 12 16.2
Standard CD3.X409 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 12 16.2
Standard CD3.X410 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 12 16.2
Standard CD3.X411 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 12 16.2
Standard CD3.X412 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 12 16.2
Standard CD3.X413 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 13 16.2
Standard CD3.X414 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 13 16.2
Standard CD3.X415 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 13 16.2
Standard CD3.X416 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 13 16.2
Standard CD3.X417 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 13 16.2
Standard CD3.X418 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 14 16.2
Standard CD3.X419 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 14 16.2
Standard CD3.X420 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 14 16.2
Standard CD3.X421 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 14 16.2
Standard CD3.X422 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 14 16.2
Standard CD3.X423 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 15 16.2
Standard CD3.X424 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 15 16.2
Standard CD3.X425 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 15 16.2
Standard CD3.X426 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 15 16.2
Standard CD3.X427 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 15 16.2
Standard CD3.X428 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 16 16.2
Standard CD3.X429 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 16 16.2
Standard CD3.X430 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 16 16.2
Standard CD3.X431 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 16 16.2
Standard CD3.X432 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 16 16.2
Standard CD3.X433 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 17 16.2
Standard CD3.X434 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 17 16.2
Standard CD3.X435 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 17 16.2
Standard CD3.X436 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 17 16.2
Standard CD3.X437 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 17 16.2
Standard CD3.X438 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 18 16.2
Standard CD3.X439 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 18 16.2
Standard CD3.X440 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 18 16.2
Standard CD3.X441 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 18 16.2
Standard CD3.X442 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 18 16.2
Standard CD3.X5 DECIMAL_2 Adjustments07_2 15.1
Standard CD3.X589 STRING 3 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance (line 9) - Fee Account Type 16.2
Standard CD3.X592 STRING 2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance (line 10) - Fee Account Type 16.2
Standard CD3.X595 STRING 3 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance (line 11) - Fee Account Type 16.2
Standard CD3.X598 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 12) - Fee Date From - Line 01 16.2
Standard CD3.X599 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 12) - Fee Date To - Line 01 16.2
Standard CD3.X6 STRING Adjustments15_1 15.1
Standard CD3.X600 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 12) - Fee Account Type - Line 01 16.2 17.4
Standard CD3.X688 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 13) - Fee Date From - Line 01 16.2
Standard CD3.X689 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 13) - Fee Date To - Line 01 16.2
Standard CD3.X690 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 13) - Fee Account Type - Line 01 16.2 17.4
Standard CD3.X7 DECIMAL_2 Adjustments15_2 15.1
Standard CD3.X778 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 14) - Fee Date From - Line 01 16.2
Standard CD3.X779 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 14) - Fee Date To - Line 01 16.2
Standard CD3.X780 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 14) - Fee Account Type - Line 01 16.2 17.4
Standard CD3.X868 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 15) - Fee Date From - Line 01 16.2
Standard CD3.X869 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 15) - Fee Date To - Line 01 16.2
Standard CD3.X870 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 15) - Fee Account Type - Line 01 16.2 17.4
Standard CD3.X956 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 01 16.2
Standard CD3.X957 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 01 16.2
Standard CD3.X958 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 01 16.2
Standard CD3.X959 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 01 16.2
Standard CD3.X960 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 01 16.2 17.4
Standard CD3.X961 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 02 16.2
Standard CD3.X962 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 02 16.2
Standard CD3.X963 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 02 16.2
Standard CD3.X964 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 02 16.2
Standard CD3.X965 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 02 16.2 17.4
Standard CD3.X966 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 03 16.2
Standard CD3.X967 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 03 16.2
Standard CD3.X968 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 03 16.2
Standard CD3.X969 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 03 16.2
Standard CD3.X970 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 03 16.2 17.4
Standard CD3.X971 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 04 16.2
Standard CD3.X972 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 04 16.2
Standard CD3.X973 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 04 16.2
Standard CD3.X974 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 04 16.2
Standard CD3.X975 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 04 16.2 17.4
Standard CD3.X976 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 05 16.2
Standard CD3.X977 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 05 16.2
Standard CD3.X978 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 05 16.2
Standard CD3.X979 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 05 16.2
Standard CD3.X980 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 05 16.2 17.4
Standard CD3.X981 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 06 16.2
Standard CD3.X982 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 06 16.2
Standard CD3.X983 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 06 16.2
Standard CD3.X984 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 06 16.2
Standard CD3.X985 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 06 16.2 17.4
Standard CD3.X986 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 07 16.2
Standard CD3.X987 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 07 16.2
Standard CD3.X988 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 07 16.2
Standard CD3.X989 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 07 16.2
Standard CD3.X990 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 07 16.2 17.4
Standard CD3.X991 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 08 16.2
Standard CD3.X992 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 08 16.2
Standard CD3.X993 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 08 16.2
Standard CD3.X994 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 08 16.2
Standard CD3.X995 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 08 16.2 17.4
Standard CD3.X996 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 09 16.2
Standard CD3.X997 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 09 16.2
Standard CD3.X998 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 09 16.2
Standard CD3.X999 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 09 16.2
Standard CD3.XH100 DECIMAL_2 Decimal Value of STD LE Adjustments And Other Credits From Latest Disclosure Tracking Log 15.2
Standard CD4.X47 INTEGER Closing Disclosure Page 4 Interest Rate Adjustments 17.1
Standard DISCLOSURE.X972 DECIMAL_2 Disclosure - AK - Total Adjustments 8.1
Standard LE2.X10 DECIMAL_2 Loan Estimate - Adjustments and Other Credits Amount 3 15.1
Standard LE2.X11 STRING Loan Estimate - Adjustments and Other Credits Description 4 15.1
Standard LE2.X12 DECIMAL_2 Loan Estimate - Adjustments and Other Credits Amount 4 15.1
Standard LE2.X13 STRING Loan Estimate - Adjustments and Other Credits Description 5 15.1
Standard LE2.X14 DECIMAL_2 Loan Estimate - Adjustments and Other Credits Amount 5 15.1
Standard LE2.X15 STRING Loan Estimate - Adjustments and Other Credits Description 6 15.1
Standard LE2.X16 DECIMAL_2 Loan Estimate - Adjustments and Other Credits Amount 6 15.1
Standard LE2.X17 STRING Loan Estimate - Adjustments and Other Credits Description 7 15.1
Standard LE2.X18 DECIMAL_2 Loan Estimate - Adjustments and Other Credits Amount 7 15.1
Standard LE2.X19 STRING Loan Estimate - Adjustments and Other Credits Description 8 15.1
Standard LE2.X20 DECIMAL_2 Loan Estimate - Adjustments and Other Credits Amount 8 15.1
Standard LE2.X21 STRING Loan Estimate - Adjustments and Other Credits Description 9 15.1
Standard LE2.X22 DECIMAL_2 Loan Estimate - Adjustments and Other Credits Amount 9 15.1
Standard LE2.X23 STRING Loan Estimate - Adjustments and Other Credits Description 10 15.1
Standard LE2.X24 DECIMAL_2 Loan Estimate - Adjustments and Other Credits Amount 10 15.1
Standard LE2.X4 DECIMAL_2 Loan Estimate - Adjustments and Other Credits 15.1
Standard LE2.X5 STRING Loan Estimate - Adjustments and Other Credits Description 1 15.1
Standard LE2.X6 DECIMAL_2 Loan Estimate - Adjustments and Other Credits Amount 1 15.1
Standard LE2.X7 STRING Loan Estimate - Adjustments and Other Credits Description 2 15.1
Standard LE2.X8 DECIMAL_2 Loan Estimate - Adjustments and Other Credits Amount 2 15.1
Standard LE2.X9 STRING Loan Estimate - Adjustments and Other Credits Description 3 15.1