0001539497-14-000684.txt : 20140623 0001539497-14-000684.hdr.sgml : 20140623 20140602154420 ACCESSION NUMBER: 0001539497-14-000684 CONFORMED SUBMISSION TYPE: FWP PUBLIC DOCUMENT COUNT: 25 FILED AS OF DATE: 20140602 DATE AS OF CHANGE: 20140602 SUBJECT COMPANY: COMPANY DATA: COMPANY CONFORMED NAME: GS Mortgage Securities Trust 2014-GC22 CENTRAL INDEX KEY: 0001607865 STANDARD INDUSTRIAL CLASSIFICATION: ASSET-BACKED SECURITIES [6189] STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: FWP SEC ACT: 1934 Act SEC FILE NUMBER: 333-191331-04 FILM NUMBER: 14883886 BUSINESS ADDRESS: STREET 1: 85 BROAD ST CITY: NEW YORK STATE: NY ZIP: 10004 BUSINESS PHONE: 2129021000 MAIL ADDRESS: STREET 1: 85 BROAD ST CITY: NEW YORK STATE: NY ZIP: 10004 FILED BY: COMPANY DATA: COMPANY CONFORMED NAME: GS MORTGAGE SECURITIES CORP II CENTRAL INDEX KEY: 0001004158 STANDARD INDUSTRIAL CLASSIFICATION: ASSET-BACKED SECURITIES [6189] IRS NUMBER: 223442024 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: FWP BUSINESS ADDRESS: STREET 1: 85 BROAD ST CITY: NEW YORK STATE: NY ZIP: 10004 BUSINESS PHONE: 2129021000 MAIL ADDRESS: STREET 1: 85 BROAD ST CITY: NEW YORK STATE: NY ZIP: 10004 FWP 1 n325_fwpx1.htm FREE WRITING PROSPECTUS Unassociated Document
   
FREE WRITING PROSPECTUS
   
FILED PURSUANT TO RULE 433
   
REGISTRATION FILE NO.: 333-191331-04
     
 
May 30, 2014

 
Free Writing Prospectus
 
Structural and Collateral Term Sheet
 
$961,465,513
(Approximate Mortgage Pool Balance)
 
$830,465,000
(Offered Certificates)
 
GS Mortgage Securities Trust 2014-GC22
As Issuing Entity
 
GS Mortgage Securities Corporation II
As Depositor
 
Commercial Mortgage Pass-Through Certificates
Series 2014-GC22
 
Citigroup Global Markets Realty Corp.
Goldman Sachs Mortgage Company
Cantor Commercial Real Estate Lending, L.P.
Starwood Mortgage Funding I LLC
As Sponsors
 
IMPORTANT NOTICE REGARDING THE CONDITIONS FOR THIS OFFERING OF ASSET-BACKED SECURITIES
 
The securities offered by these materials are being offered when, as and if issued. In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
STATEMENT REGARDING THIS FREE WRITING PROSPECTUS
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
IMPORTANT NOTICE RELATING TO AUTOMATICALLY GENERATED EMAIL DISCLAIMERS
 
Any legends, disclaimers or other notices that may appear at the bottom of the email communication to which this free writing prospectus is attached relating to (1) these materials not constituting an offer (or a solicitation of an offer), (2) no representation being made that these materials are accurate or complete and may not be updated or (3) these materials possibly being confidential, are not applicable to these materials and should be disregarded.  Such legends, disclaimers or other notices have been automatically generated as a result of these materials having been sent via Bloomberg or another system.
 
Goldman, Sachs & Co.
Citigroup
 
Co-Lead Managers and Joint Bookrunners
 
Drexel Hamilton
 
Co-Manager
 
 
 

 
 
The securities offered by this structural and collateral term sheet (this “Term Sheet”) are described in greater detail in the prospectus included as part of our registration statement (SEC File No. 333-191331) (the “Base Prospectus”) and a separate free writing prospectus, each anticipated to be dated May 30, 2014 (the “Free Writing Prospectus”).  The Base Prospectus and the Free Writing Prospectus contain material information that is not contained in this Term Sheet (including without limitation a detailed discussion of risks associated with an investment in the offered securities under the heading “Risk Factors” in each of the Base Prospectus and the Free Writing Prospectus).  The Base Prospectus and the Free Writing Prospectus are available upon request from Goldman, Sachs & Co., Citigroup Global Markets Inc. or Drexel Hamilton, LLC.  Capitalized terms used but not otherwise defined in this Term Sheet have the respective meanings assigned to those terms in the Free Writing Prospectus or, if not defined in the Free Writing Prospectus, in the Base Prospectus.  This Term Sheet is subject to change.
 
The Securities May Not Be a Suitable Investment for You
 
The securities offered by this Term Sheet are not suitable investments for all investors. In particular, you should not purchase any class of securities unless you understand and are able to bear the prepayment, credit, liquidity and market risks associated with that class of securities. For those reasons and for the reasons set forth under the heading “Risk Factors” in each of the Base Prospectus and the Free Writing Prospectus, the yield to maturity and the aggregate amount and timing of distributions on the offered securities are subject to material variability from period to period and give rise to the potential for significant loss over the life of those securities. The interaction of these factors and their effects are impossible to predict and are likely to change from time to time. As a result, an investment in the offered securities involves substantial risks and uncertainties and should be considered only by sophisticated institutional investors with substantial investment experience with similar types of securities and who have conducted appropriate due diligence on the mortgage loans and the securities. Potential investors are advised and encouraged to review the Base Prospectus and the Free Writing Prospectus in full and to consult with their legal, tax, accounting and other advisors prior to making any investment in the offered securities described in this Term Sheet.
 
This Term Sheet is not to be construed as an offer to sell or the solicitation of any offer to buy any security in any jurisdiction where such an offer or solicitation would be illegal.  The information contained in this Term Sheet may not pertain to any securities that will actually be sold.  The information contained in this Term Sheet may be based on assumptions regarding market conditions and other matters as reflected in this Term Sheet.  We make no representations regarding the reasonableness of such assumptions or the likelihood that any of such assumptions will coincide with actual market conditions or events, and this Term Sheet should not be relied upon for such purposes.  We and our affiliates, officers, directors, partners and employees, including persons involved in the preparation or issuance of this Term Sheet may, from time to time, have long or short positions in, and buy or sell, the securities mentioned in this Term Sheet or derivatives thereof (including options).  Information contained in this Term Sheet is current as of the date appearing on this Term Sheet only.  Information in this Term Sheet regarding the securities and the mortgage loans backing any securities discussed in this Term Sheet supersedes all prior information regarding such securities and mortgage loans. None of Goldman, Sachs & Co., Citigroup Global Markets Inc. or Drexel Hamilton, LLC provides accounting, tax or legal advice.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.

 
2

 

 
NOTICE TO NEW HAMPSHIRE RESIDENTS
 
NEITHER THE FACT THAT A REGISTRATION STATEMENT OR AN APPLICATION FOR A LICENSE HAS BEEN FILED WITH THE STATE OF NEW HAMPSHIRE UNDER CHAPTER 421-B OF THE NEW HAMPSHIRE REVISED STATUTES (“RSA 421-B”), NOR THE FACT THAT A SECURITY IS EFFECTIVELY REGISTERED OR A PERSON IS LICENSED IN THE STATE OF NEW HAMPSHIRE CONSTITUTES A FINDING BY THE SECRETARY OF STATE OF NEW HAMPSHIRE THAT ANY DOCUMENT FILED UNDER RSA 421-B IS TRUE, COMPLETE, AND NOT MISLEADING.  NEITHER ANY SUCH FACT NOR THE FACT THAT ANY EXEMPTION OR EXCEPTION IS AVAILABLE FOR A SECURITY OR A TRANSACTION MEANS THAT THE SECRETARY OF STATE HAS PASSED IN ANY WAY UPON THE MERITS OR QUALIFICATIONS OF, OR RECOMMENDED OR GIVEN APPROVAL TO, ANY PERSON, SECURITY, OR TRANSACTION.  IT IS UNLAWFUL TO MAKE, OR CAUSE TO BE MADE, TO ANY PROSPECTIVE PURCHASER, CUSTOMER, OR CLIENT ANY REPRESENTATION INCONSISTENT WITH THE PROVISIONS OF THIS PARAGRAPH.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
3

 
 
CERTIFICATE SUMMARY

 
OFFERED CERTIFICATES
                             
                        Pass-
Through
  Expected     
Wtd. Avg.   
   
       
Initial Certificate Principal
 
Approximate
 
Initial Pass-
   
Expected
 
   
Expected Ratings
 
Amount or Notional
 
Initial Credit
 
Through
 
Rate
 
Life
 
Principal
 
Offered Class
 
(Moody’s / KBRA / DBRS)(1)
 
Amount(2)
 
Support
 
Rate(3)
 
Description
 
(Yrs)(4)
 
Window(4)
 
Class A-1
 
Aaa(sf) / AAA(sf) / AAA(sf)
  $ 36,754,000     30.000 %(5)   [   ]%   (6)   2.72  
07/14 – 05/19
 
Class A-2
 
Aaa(sf) / AAA(sf) / AAA(sf)
  $ 8,879,000     30.000 %(5)   [   ]%   (6)   4.88  
05/19 – 05/19
 
Class A-3
 
Aaa(sf) / AAA(sf) / AAA(sf)
  $ 197,682,000     30.000 %(5)   [   ]%   (6)   6.96  
05/21 – 06/21
 
Class A-4
 
Aaa(sf) / AAA(sf) / AAA(sf)
  $ 160,000,000     30.000 %(5)   [   ]%   (6)   9.75  
01/24 – 05/24
 
Class A-5
 
Aaa(sf) / AAA(sf) / AAA(sf)
  $ 217,072,000     30.000 %(5)   [   ]%   (6)   9.88  
05/24 – 05/24
 
Class A-AB
 
Aaa(sf) / AAA(sf) / AAA(sf)
  $ 52,638,000     30.000 %(5)   [   ]%   (6)   7.19  
05/19 – 01/24
 
Class X-A
 
Aaa(sf) / AAA(sf) / AAA(sf)
  $ 719,897,000 (7)   N/A     [   ]%  
Variable IO(8)
  N/A   N/A  
Class X-B
 
Aa3(sf) / AAA(sf) / AAA(sf)
  $ 72,110,000 (7)   N/A     [   ]%  
Variable IO(8)
  N/A   N/A  
Class A-S(9)
 
Aaa(sf) / AAA(sf) / AAA(sf)
  $ 46,872,000 (10)   25.125 %   [   ]%   (6)   9.88  
05/24 – 05/24
 
Class B(9)
 
Aa3(sf) / AA-(sf) / AA(sf)
  $ 72,110,000 (10)   17.625 %   [   ]%   (6)   9.95  
05/24 – 06/24
 
Class PEZ(9)
 
A1(sf) / A(sf) / A(high)(sf)
  $ 157,440,000 (10)   13.625 %(11)   [   ]%   (6)   9.93  
05/24 – 06/24
 
Class C(9)
 
A3(sf) / A(sf) / A(high)(sf)
  $ 38,458,000 (10)   13.625 %(11)   [   ]%   (6)   9.96  
06/24 – 06/24
 
                                 
NON-OFFERED CERTIFICATES
                               
                          Pass-
Through
  Expected
Wtd. Avg.
     
       
Initial Certificate Principal
   
Approximate
 
Initial Pass-
     
Expected
 
Non-Offered
 
Expected Ratings
 
Amount or Notional
   
Initial Credit
 
Through
 
Rate
 
Life
 
Principal
 
Class
 
(Moody’s / KBRA / DBRS)(1)
 
Amount(2)
   
Support
 
Rate(3)
 
Description
 
(Yrs)(4)
 
Window(4)
 
Class X-C
 
NR / BB+(sf) / AAA(sf)
  $ 16,826,000 (7)   N/A     [   ]%  
Variable IO(8)
  N/A   N/A  
Class X-D
 
NR / NR / AAA(sf)
  $ 54,082,512 (7)   N/A     [   ]%  
Variable IO(8)
  N/A   N/A  
Class D
 
NR / BBB-(sf) / BBB(low)(sf)
  $ 60,092,000     7.375 %   [   ]%    (6)   9.96  
06/24 – 06/24
 
Class E
 
NR / BB+(sf) / BB(sf)
  $ 16,826,000     5.625 %   [   ]%    (6)   9.96  
06/24 – 06/24
 
Class F
 
NR / B+(sf) / B(sf)
  $ 20,431,000     3.500 %   [   ]%    (6)   9.96  
06/24 – 06/24
 
Class G
 
NR / NR / NR
  $ 33,651,512     0.000 %   [   ]%    (6)   9.96  
06/24 – 06/24
 
Class S(12)
 
NR / NR / NR
    N/A     N/A     N/A   N/A   N/A   N/A  
Class R(13)
 
NR / NR / NR
    N/A     N/A     N/A   N/A   N/A   N/A  
 

(1)
It is a condition of issuance that the offered certificates receive the ratings set forth above.  The anticipated ratings shown are those of Moody’s Investors Service, Inc. (“Moody’s”), Kroll Bond Rating Agency, Inc. (“KBRA”) and DBRS, Inc. (“DBRS”).  Subject to the discussion under “Ratings” in the Free Writing Prospectus, the ratings on the certificates address the likelihood of the timely receipt by holders of all payments of interest to which they are entitled on each distribution date and, except in the case of the interest only certificates, the ultimate receipt by holders of all payments of principal to which they are entitled on or before the applicable rated final distribution date.  Certain nationally recognized statistical rating organizations, as defined in Section 3(a)(62) of the Securities Exchange Act of 1934, as amended, that were not hired by the depositor may use information they receive pursuant to Rule 17g-5 under the Securities Exchange Act of 1934, as amended, to rate the offered certificates. We cannot assure you as to what ratings a non-hired nationally recognized statistical rating organization would assign. See “Risk Factors—Nationally Recognized Statistical Rating Organizations May Assign Different Ratings to the Certificates; Ratings of the Certificates Reflect Only the Views of the Applicable Rating Agencies as of the Dates Such Ratings Were Issued; Ratings May Affect ERISA Eligibility; Ratings May Be Downgraded” in the Free Writing Prospectus.  Moody’s, KBRA and DBRS have informed us that the “sf” designation in the ratings represents an identifier of structured finance product ratings.  For additional information about this identifier, prospective investors can go to the related rating agency’s website. The depositor and the underwriters have not verified, do not adopt and do not accept responsibility for any statements made by the rating agencies on those websites.  Credit ratings referenced throughout this Term Sheet are forward-looking opinions about credit risk and express a rating agency’s opinion about the willingness and ability of an issuer of securities to meet its financial obligations in full and on time. Ratings are not indications of investment merit and are not buy, sell or hold recommendations, a measure of asset value or an indication of the suitability of an investment.
 
(2)
Approximate, subject to a variance of plus or minus 5%.
 
(3)
Approximate per annum rate as of the closing date.
 
(4)
Assuming no prepayments prior to the maturity date or anticipated repayment date, as applicable, for each mortgage loan and based on the modeling assumptions described under “Yield, Prepayment and Maturity Considerations” in the Free Writing Prospectus.
 
(5)
The credit support percentages set forth for the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5 and Class A-AB certificates are represented in the aggregate.
 
(6)
For any distribution date, the pass-through rates on the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5, Class A-AB, Class A-S, Class B, Class C, Class D, Class E, Class F and Class G certificates will each be a per annum rate equal to one of (i) a fixed rate, (ii) the weighted average of the net interest rates on the mortgage loans (in each case, adjusted, if necessary, to accrue on the basis of a 360-day year consisting of twelve 30-day months) as of their respective due dates in the month preceding the month in which the related distribution date occurs, (iii) the  lesser of a specified pass-through rate and the rate specified in clause (ii), or (iv) the rate specified in clause (ii) less a specified percentage. The Class PEZ certificates will not have a pass-through rate, but will be entitled to receive the sum of the interest distributable on the percentage interests of the Class A-S, Class B and Class C trust components represented by the Class PEZ certificates.  The pass-through rates on the Class A-S, Class B and Class C trust components will at all times be the same as the pass-through rates of the Class A-S, Class B and Class C certificates, respectively.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
4

 
 
CERTIFICATE SUMMARY (continued)
 
(7)
The Class X-A, Class X-B, Class X-C and Class X-D certificates (the “Class X Certificates”) will not have certificate principal amounts and will not be entitled to receive distributions of principal.  Interest will accrue on the Class X-A, Class X-B, Class X-C and Class X-D certificates at their respective pass-through rates based upon their respective notional amounts.  The notional amount of the Class X-A certificates will be equal to the aggregate certificate principal amounts of the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5 and Class A-AB certificates and the Class A-S trust component.  The notional amount of the Class X-B certificates will be equal to the certificate principal amount of the Class B trust component.  The notional amount of the Class X-C certificates will be equal to the certificate principal amount of the Class E certificates. The notional amount of the Class X-D certificates will be equal to the aggregate certificate principal amounts of the Class F and Class G certificates.
 
(8)
The pass-through rate of the Class X-A certificates will generally be a per annum rate equal to the excess, if any, of (i) the weighted average of the net interest rates on the mortgage loans (in each case adjusted, if necessary, to accrue on the basis of a 360-day year consisting of twelve 30-day months), over (ii) the weighted average of the pass-through rates of the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5 and Class A-AB certificates and the Class A-S trust component, as described in the Free Writing Prospectus. The pass-through rate of the Class X-B certificates will generally be a per annum rate equal to the excess, if any, of (i) the weighted average of the net interest rates on the mortgage loans (in each case adjusted, if necessary, to accrue on the basis of a 360-day year consisting of twelve 30-day months), over (ii) the pass-through rate of the Class B trust component, as described in the Free Writing Prospectus. The pass-through rate of the Class X-C certificates will generally be a per annum rate equal to the excess, if any, of (i) the weighted average of the net interest rates on the mortgage loans (in each case adjusted, if necessary, to accrue on the basis of a 360-day year consisting of twelve 30-day months), over (ii) the pass-through rate of the Class E certificates, as described in the Free Writing Prospectus.  The pass-through rate of the Class X-D certificates will generally be a per annum rate equal to the excess, if any, of (i) the weighted average of the net interest rates on the mortgage loans (in each case adjusted, if necessary, to accrue on the basis of a 360-day year consisting of twelve 30-day months), over (ii) the weighted average of the pass-through rates of the Class F and Class G certificates, as described in the Free Writing Prospectus.
 
(9)
The Class A-S, Class B and Class C certificates may be exchanged for Class PEZ certificates, and Class PEZ certificates may be exchanged for the Class A-S, Class B and Class C certificates. The Class A-S, Class B, Class PEZ and Class C certificates are collectively referred to as the “Exchangeable Certificates”.
 
(10)
On the closing date, the issuing entity will issue the  Class A-S, Class B and Class C trust components, which will have outstanding principal balances on the closing date of $46,872,000, $72,110,000 and $38,458,000, respectively.  The Class A-S, Class B, Class PEZ and Class C certificates will, at all times, represent undivided beneficial ownership interests in a grantor trust that will hold such trust components.  Each class of the Class A-S, Class B and Class C certificates will, at all times, represent a beneficial interest in a percentage of the outstanding principal balance of the Class A-S, Class B and Class C trust components, respectively.  The Class PEZ certificates will, at all times, represent a beneficial interest in the remaining percentages of each of the outstanding principal balances of the Class A-S, Class B and Class C trust components.  Following any exchange of Class A-S, Class B and Class C certificates for Class PEZ certificates or any exchange of Class PEZ certificates for Class A-S, Class B and Class C certificates, the percentage interest of the outstanding principal balances of the Class A-S, Class B and Class C trust components that is represented by the Class A-S, Class B, Class PEZ and Class C certificates will be increased or decreased accordingly.  The initial certificate principal amount of each of the Class A-S, Class B and Class C certificates shown in the table above represents the maximum certificate principal amount of such class without giving effect to any issuance of Class PEZ certificates.  The initial certificate principal amount of the Class PEZ certificates shown in the table above is equal to the aggregate of the maximum initial certificate principal amounts of the Class A-S, Class B and Class C certificates, representing the maximum certificate principal amount of the Class PEZ certificates that could be issued in an exchange.  The actual certificate principal amount of any class of the Class A-S, Class B, Class PEZ and Class C certificates issued on the closing date may be less than the maximum certificate principal amount of that class and may be zero.  The certificate principal amounts of the Class A-S, Class B and Class C certificates to be issued on the closing date will be reduced, in required proportions, by an amount equal to the certificate principal amount of the Class PEZ certificates issued on the closing date.
 
(11)
The initial subordination levels for the Class C and Class PEZ certificates are equal to the subordination level of the underlying Class C trust component, which will have an initial outstanding balance on the closing date of $38,458,000.
 
(12)
The Class S certificates will not have a certificate principal amount, notional amount, pass-through rate, rating or rated final distribution date.  The Class S certificates will only be entitled to distributions of excess interest accrued on the mortgage loan with an anticipated repayment date.  See “Description of the Mortgage Pool—Certain Terms of the Mortgage Loans—ARD Loan” in the Free Writing Prospectus.
 
(13)
The Class R certificates will not have a certificate principal amount, notional amount, pass-through rate, rating or rated final distribution date.  The Class R certificates will represent the residual interest in each of two separate REMICs, as further described in the Free Writing Prospectus.  The Class R certificates will not be entitled to distributions of principal or interest.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
5

 

MORTGAGE POOL CHARACTERISTICS
 
Mortgage Pool Characteristics(1)
Initial Pool Balance                                                                                                                                     
    $961,465,513
Number of Mortgage Loans                                                                                                                                     
    59
Number of Mortgaged Properties                                                                                                                                     
    113
Average Cut-off Date Mortgage Loan Balance                                                                                                                                     
    $16,296,026
Weighted Average Mortgage Interest Rate(2)                                                                                                                                     
    4.7129%
Weighted Average Remaining Term to Maturity/ARD (months)(3)
    111
Weighted Average Remaining Amortization Term (months)(4)
    358
Weighted Average Cut-off Date LTV Ratio(5)                                                                                                                                     
    67.2%
Weighted Average Maturity Date/ARD LTV Ratio(3)(6)                                                                                                                                     
    59.4%
Weighted Average Underwritten Debt Service Coverage Ratio(7)
    1.65x
Weighted Average Debt Yield on Underwritten NOI(8)                                                                                                                                     
    10.0%
% of Mortgage Loans with Additional Mezzanine Debt                                                                                                                                     
    0.0%
% of Mortgage Loans with Other Financing                                                                                                                                     
    1.1%
% of Mortgaged Properties with Single Tenants                                                                                                                                     
    4.2%
 

(1)
Each of the Maine Mall mortgage loan, Selig Portfolio mortgage loan and Newcastle Senior Housing Portfolio mortgage loan has one or more related pari passu companion loans, and the loan-to-value ratio, debt service coverage ratio and debt yield calculations presented in this Term Sheet include the related pari passu companion loan(s) unless otherwise indicated. Additionally, with respect to the Corporate Park Office Center I&II and  AirPark North Business Center mortgage loans, which are cross-collateralized and cross-defaulted with each other, the loan-to-value ratio, debt service coverage ratio and debt yield of those mortgage loans are presented in the aggregate unless otherwise indicated.  Other than as specifically noted, the loan-to-value ratio, debt service coverage ratio, debt yield and mortgage loan rate information for each mortgage loan is presented in this Term Sheet without regard to any other indebtedness (whether or not secured by the related mortgaged property, ownership interests in the related borrower or otherwise) that currently exists or that may be incurred by the related borrower or its owners in the future, in order to present statistics for the related mortgage loan without combination with the other indebtedness.
 
(2)
With respect to the Newcastle Senior Housing Portfolio mortgage loan, the initial coupon is 4.0000% from the origination date through January 5, 2019.  From and after January 6, 2019, the Newcastle Senior Housing Portfolio mortgage loan mortgage interest rate will be 4.9900%. For purposes of calculating Weighted Average Mortgage Interest Rate presented in this Term Sheet, the Newcastle Senior Housing Portfolio mortgage loan is assumed to have a coupon of 4.9900%. See “Newcastle Senior Housing Portfolio” in this Term Sheet.
 
(3)
Unless otherwise indicated, mortgage loans with anticipated repayment dates are considered as if they were to mature on the anticipated repayment date.
 
(4)
Excludes mortgage loans that are interest only for the entire term.
 
(5)
Unless otherwise indicated, the Cut-off Date LTV Ratio is calculated utilizing the “as-is” appraised value.  With respect to the Newcastle Senior Housing Portfolio mortgage loan, the Cut-off Date LTV Ratio was calculated based on the aggregate “leased fee” value for the related mortgaged properties. See “Newcastle Senior Housing Portfolio” in this Term Sheet.  Additionally, with respect to the Hampton Inn Pineville mortgage loan, the Cut-off Date LTV Ratio was calculated based on the appraiser’s “as-is” appraised value of $12,000,000 plus a stated $1,400,000 “capital deduction” related to capital improvements at the related mortgaged property for which $1,500,000 was reserved in connection with the origination of the Hampton Inn Pineville mortgage loan. The Weighted Average Cut-off Date LTV Ratio of the mortgage pool without adding the “capital deduction” is 67.3%.  See “Description of the Mortgage Pool—Certain Calculations and Definitions” in the Free Writing Prospectus for a description of Cut-off Date LTV Ratio.
 
(6)
Unless otherwise indicated, the Maturity Date LTV Ratio is calculated utilizing the “as-is” appraised value.  With respect to 8 mortgage loans, representing approximately 19.2% of the initial pool balance, the respective Maturity Date LTV Ratios were each calculated using the related aggregate “as stabilized” appraised value. With respect to the Newcastle Senior Housing Portfolio mortgage loan, the Maturity Date LTV Ratio was calculated based on the aggregate “leased fee” value for the related mortgaged properties. See “Newcastle Senior Housing Portfolio” in this Term Sheet. See “Description of the Mortgage Pool—Certain Calculations and Definitions” in the Free Writing Prospectus for a description of Maturity Date LTV Ratio.
 
(7)
Unless otherwise indicated, the Underwritten Debt Service Coverage Ratio for each mortgage loan is calculated by dividing the Underwritten Net Cash Flow from the related mortgaged property or mortgaged properties by the annual debt service for such mortgage loan, as adjusted in the case of mortgage loans with a partial interest only period by using the first 12 amortizing payments due instead of the actual interest only payment. With respect to the Newcastle Senior Housing Portfolio mortgage loan, the Underwritten Debt Service Coverage Ratio is calculated using such mortgage loan’s non-standard amortization schedule as set forth in Annex G in the Free Writing Prospectus. Also, with respect to the Newcastle Senior Housing Portfolio mortgage loan, as to which the related mortgaged properties are subject to a master lease and as to which the borrowers are only entitled to amounts payable under the master lease, the Underwritten Debt Service Coverage Ratio is calculated based on the total revenue generated at the related mortgaged properties (not just rent payments under the master lease) and debt service based on the 12 month period immediately succeeding the coupon rate step up. The Weighted Average Underwritten Debt Service Coverage Ratio for the mortgage pool calculated using, in the case of the Newcastle Senior Housing Portfolio mortgage loan, solely the rent payable under the master lease and based on the scheduled increase in interest rate to 4.9900% is 1.65x. See “Newcastle Senior Housing Portfolio” in this Term Sheet and “Annex G—Newcastle Senior Housing Portfolio Loan Combination Amortization Schedule” in the Free Writing Prospectus. See “Description of the Mortgage Pool—Certain Calculations and Definitions” in the Free Writing Prospectus for a description of Underwritten Debt Service Coverage Ratio.
 
(8)
Unless otherwise indicated, the Debt Yield on Underwritten NOI for each mortgage loan is the related mortgaged property’s Underwritten NOI divided by the Cut-off Date Balance of such mortgage loan, and the Debt Yield on Underwritten NCF for each mortgage loan is the related mortgaged property’s Underwritten NCF divided by the Cut-off Date Balance of such mortgage loan. With respect to the Newcastle Senior Housing Portfolio mortgage loan, as to which the related mortgaged properties are subject to a master lease and as to which the borrowers are only entitled to amounts payable under the master lease, the Debt Yield on Underwritten NOI and NCF of the Newcastle Senior Housing Portfolio mortgage loan is calculated based on the total revenue generated at the Newcastle Senior Housing Portfolio mortgaged properties (not just rent payments under the master lease). The Weighted Average Debt Yield on Underwritten NOI for the mortgage pool calculated using, in the case of the Newcastle Senior Housing Portfolio mortgage loan, solely the rent payable under the master lease is 10.0%. See “Newcastle Senior Housing Portfolio” in this Term Sheet.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
6

 
 
KEY FEATURES OF THE CERTIFICATES
 
Co-Lead Managers and
Joint Bookrunners:
 
Goldman, Sachs & Co.
Citigroup Global Markets Inc.
 
Co-Manager:
 
Drexel Hamilton, LLC
 
Depositor:
 
GS Mortgage Securities Corporation II
 
Initial Pool Balance:
 
$961,465,513
 
Master Servicer:
 
Wells Fargo Bank, National Association
 
Special Servicer:
 
CWCapital Asset Management LLC
 
Certificate Administrator:
 
Wells Fargo Bank, National Association
 
Trustee:
 
Deutsche Bank Trust Company Americas
 
Operating Advisor:
 
Pentalpha Surveillance LLC
 
Pricing:
 
Week of June 2, 2014
 
Closing Date:
 
June 24, 2014
 
Cut-off Date:
 
For each mortgage loan, the related due date for such mortgage loan in June 2014 (or, in the case of any mortgage loan that has its first due date in July 2014, the date that would have been its due date in June 2014 under the terms of that mortgage loan if a monthly payment were scheduled to be due in that month)
Determination Date:
 
The 6th day of each month or next business day
 
Distribution Date:
 
The 4th business day after the Determination Date, commencing in July 2014
 
Interest Accrual:
 
Preceding calendar month
 
ERISA Eligible:
 
The offered certificates are expected to be ERISA eligible
 
SMMEA Eligible:
 
No
 
Payment Structure:
 
Sequential Pay
 
Day Count:
 
30/360
 
Tax Structure:
 
REMIC
 
Rated Final Distribution Date:
 
June 2047
 
Cleanup Call:
 
1.0%
 
Minimum Denominations:
 
$10,000 minimum for the offered certificates (except with respect to Class X-A and Class X-B: $1,000,000 minimum); $1 thereafter for all the offered certificates
 
Delivery:
 
Book-entry through DTC
 
Bond Information:
 
Cash flows are expected to be modeled by TREPP, INTEX and BLOOMBERG
 
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
7

 
 
TRANSACTION HIGHLIGHTS
 
$961,465,512 (Approximate) New-Issue Multi-Borrower CMBS:
 
 
Overview: The mortgage pool consists of 59 fixed-rate commercial mortgage loans that have an aggregate Cut-off Date Balance of $961,465,513 (the “Initial Pool Balance”), have an average mortgage loan Cut-off Date Balance of $16,296,026 and are secured by 113 mortgaged properties located throughout 29 states
 
 
LTV:  67.2% weighted average Cut-off Date LTV Ratio
 
 
DSCR:  1.65x weighted average Underwritten Debt Service Coverage Ratio
 
 
Debt Yield:  10.0% weighted average Debt Yield on Underwritten NOI
 
 
Credit Support:  30.000% credit support to Class A-1 / A-2 / A-3 / A-4 / A-5 / A-AB
 
Loan Structural Features:
 
 
Amortization:  68.5% of the mortgage loans by Initial Pool Balance have scheduled amortization:
 
 
36.0% of the mortgage loans by Initial Pool Balance have amortization for the entire term with a balloon payment due at maturity
 
 
32.5% of the mortgage loans by Initial Pool Balance have scheduled amortization following a partial interest only period with a balloon payment due at maturity or, in the case of one mortgage loan, anticipated repayment date
 
 
Hard Lockboxes:  48.2% of the mortgage loans by Initial Pool Balance have a Hard Lockbox in place
 
 
Cash Traps:  89.9% of the mortgage loans by Initial Pool Balance have cash traps triggered by certain declines in cash flow, all at levels equal to or greater than a 1.00x coverage, that fund an excess cash flow reserve
 
 
Reserves: The mortgage loans require amounts to be escrowed for reserves as follows:
 
 
Real Estate Taxes: 57 mortgage loans representing 88.0% of the Initial Pool Balance
 
 
Insurance: 49 mortgage loans representing 67.5% of the Initial Pool Balance
 
 
Replacement Reserves (Including FF&E Reserves): 58 mortgage loans representing 88.6% of Initial Pool Balance
 
 
Tenant Improvements / Leasing Commissions: 34 mortgage loans representing 79.6% of the allocated Initial Pool Balance of office, retail, industrial and mixed use properties only
 
 
Predominantly Defeasance:  86.5% of the mortgage loans by Initial Pool Balance permit defeasance after an initial lockout period
 
Multiple-Asset Types > 5.0% of the Initial Pool Balance:
 
 
Retail:  24.0% of the mortgaged properties by allocated Initial Pool Balance are retail properties (11.4% are super-regional mall properties and 4.8% are anchored retail properties)
 
 
Multifamily:  23.3% of the mortgaged properties by allocated Initial Pool Balance are multifamily properties
 
 
Office:  20.6% of the mortgaged properties by allocated Initial Pool Balance are office properties
 
 
Mixed Use:  12.3% of the mortgaged properties by allocated Initial Pool Balance are mixed use properties
 
 
Self Storage: 7.6% of the mortgaged properties by allocated Initial Pool Balance are self storage properties
 
Geographic Diversity:  The 113 mortgaged properties are located throughout 29 states, with four states having greater than or equal to 10.0% of the allocated Initial Pool Balance: North Carolina (11.7%), Michigan (11.7%), Maine (11.4%) and Washington (10.4%)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
8

 
 
COLLATERAL OVERVIEW
 
Mortgage Loans by Loan Seller
 
Mortgage Loan Seller
 
 
Mortgage Loans
 
 
Mortgaged Properties
 
 
Aggregate Cut-off Date Balance
 
 
% of Initial Pool Balance
Citigroup Global Markets Realty Corp.
  19     30     $ 356,310,147       37.1 %
Goldman Sachs Mortgage Company
  13     52       257,376,932       26.8  
Cantor Commercial Real Estate Lending, L.P.
  15     19       211,480,696       22.0  
Starwood Mortgage Funding I LLC
  12     12       136,297,738       14.2  
Total
  59     113     $ 961,465,513       100.0 %
 
Ten Largest Mortgage Loans or Crossed Group
 
Mortgage Loan Name
 
Cut-off Date
Balance
 
% of
Initial
Pool
Balance
 
Property
Type
 
Property Size
SF / Rooms /
Units
 
Cut-off Date
Balance Per
SF / Room /
Unit
 
UW
NCF
DSCR
 
UW
NOI
Debt
Yield
 
Cut-off
Date
LTV
Ratio
Maine Mall
  $110,000,000     11.4 %  
Retail
  730,444   $322     1.83 x   9.1 %   59.5 %
Selig Portfolio
  100,000,000     10.4    
Office
  1,082,617   $182     2.06 x   10.2 %   58.8 %
EpiCentre
  85,000,000     8.8    
Mixed Use
  304,772   $279     2.27 x   10.9 %   65.1 %
Ridgeview Apartments
  66,000,000     6.9    
Multifamily
  416   $158,654     1.28 x   8.2 %   64.1 %
The Cove Apartments
  42,600,000     4.4    
Multifamily
  689   $61,829     1.39 x   8.5 %   74.5 %
Newcastle Senior Housing Portfolio
  38,720,475     4.0    
Senior Housing
  3,002   $119,890     1.55 x   10.6 %   71.0 %
Mason Multifamily Portfolio
  33,300,000     3.5    
Multifamily
  705   $47,234     1.44 x   9.9 %   75.0 %
The Hamptons of Cloverlane
  32,800,000     3.4    
Multifamily
  440   $74,545     1.36 x   9.0 %   78.1 %
Allspace Self Storage Portfolio
  30,966,108     3.2    
Self Storage
  344,895   $90     1.42 x   9.1 %   65.4 %
Corporate Park and AirPark Portfolio
  21,600,000     2.2    
Office/Industrial
  261,951   $82     1.46 x   10.5 %   70.1 %
Top 10 Total / Wtd. Avg.
  $560,986,583     58.3 %                 1.73 x   9.6 %   65.4 %
Remaining Total / Wtd. Avg.
  400,478,929     41.7                   1.54 x   10.6 %   69.6 %
Total / Wtd. Avg.
  $961,465,513     100.0 %                 1.65 x   10.0 %   67.2 %
 
Pari Passu Companion Loan Summary
 
Mortgage Loan Name
 
 
Mortgage Loan Cut-off Date Balance
 
 
% of Initial Pool Balance
 
 
Pari Passu Companion Loan Cut-off Date Balance
 
 
Whole Loan Cut-off Date Balance
 
 
Controlling Pooling & Servicing Agreement
 
 
Initial Master Servicer
 
 
Initial Special Servicer
Maine Mall
  $110,000,000   11.4%   $125,000,000   $235,000,000  
CGCMT 2014-GC21
 
Wells Fargo
 
LNR
Selig Portfolio
  $100,000,000   10.4%   $97,000,000   $197,000,000  
GSMS 2014-GC22
 
Wells Fargo
 
CWCapital
Newcastle Senior Housing Portfolio
  $38,720,475    4.0%   $321,189,610   $359,910,085  
CGCMT 2014-GC19
 
Wells Fargo
 
Midland
 
Mortgage Loans with Other Financing
 
Mortgage Loan Name
 
 
Mortgage
Loan Cut-off
Date Balance
 
 
Preferred
Equity Cut-off
Date Balance
 
 
Cut-off Date
Total Debt
Balance
 
 
Cut-off Date
Wtd. Avg.
Total Debt
Interest Rate
 
 
Cut-off
Date
Mortgage
Loan LTV
 
 
Cut-off Date Total Debt
LTV
 
 
Cut-off Date Mortgage Loan DSCR
 
 
Cut-off Date
Total Debt
DSCR
Myrtle Beach Medical(1)
  $10,300,000   $2,100,000   $12,400,000  
NA
    70.5%  
NA
  1.48x  
NA
 

  
(1)
The related preferred equity in the borrower is currently held by a third party and the preferred equity holder has executed a subordination agreement for the benefit of the related mortgage lender.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
9

 
 
COLLATERAL OVERVIEW (continued)
 
                               
Previously Securitized Mortgaged Properties(1)
                               
Property Name
 
Mortgage
Loan Seller
 
City
 
State
 
Property Type
 
Cut-off Date
Balance /
Allocated
Cut-off Date
Balance(2)
 
% of
Initial
Pool
Balance
 
Previous Securitization
Maine Mall
 
CGMRC
 
South Portland
 
ME
 
Retail
 
$110,000,000
   
11.4%
   
CD 2005-CD1
Ridgeview Apartments
 
CCRE
 
Elmsford
 
NY
 
Multifamily
 
$66,000,000
   
6.9%
   
DBUBS 2011-LC2A
The Cove Apartments
 
SMF I
 
Tampa
 
FL
 
Multifamily
 
$42,600,000
   
4.4%
   
LBCMT 2007-C3
Fourth & Blanchard(3)
 
GSMC
 
Seattle
 
WA
 
Office
 
$31,315,240
   
3.3%
   
JPMCC 2004-CIBC9
College Towers
 
GSMC
 
Kent
 
OH
 
Multifamily
 
$16,460,000
   
1.7%
   
CSFB 2004-C3
American Heritage
 
SMF I
 
Gallup
 
NM
 
Retail
 
$15,250,000
   
1.6%
   
GECMC 2006-C1
One New Hampshire
 
CGMRC
 
Portsmouth
 
NH
 
Office
 
$14,084,084
   
1.5%
   
MLMT 2004-KEY2
Huntington Beach(4)
 
CCRE
 
Huntington Beach
 
CA
 
Self Storage
 
$14,034,639
   
1.5%
   
MLCFC 2007-6
Fifth & Jackson(3)
 
GSMC
 
Seattle
 
WA
 
Office
 
$11,482,255
   
1.2%
   
GMACC 2004-C3
Buffalo Grove Town Center
 
SMF I
 
Buffalo Grove
 
IL
 
Retail
 
$10,500,000
   
1.1%
   
JPMCC 2004-CIBC9
Hampton Inn Pineville
 
GSMC
 
Pineville
 
NC
 
Hospitality
 
$10,000,000
   
1.0%
   
JPMCC 2006-LDP7
Costa Mesa(4)
 
CCRE
 
Costa Mesa
 
CA
 
Self Storage
 
$8,660,521
   
0.9%
   
MLCFC 2007-6
Encore Plaza
 
CCRE
 
Gilbert
 
AZ
 
Retail
 
$7,342,058
   
0.8%
   
LBUBS 2004-C4
Two Research Park
 
GSMC
 
College Station
 
TX
 
Office
 
$7,187,919
   
0.7%
   
CSFB 2004-C2
Discovery Point Apartments
 
CCRE
 
Mesa
 
AZ
 
Senior Housing
 
$6,500,000
   
0.7%
   
IFUND 2001-AA
Devon Madison
 
CCRE
 
Madison
 
TN
 
Self Storage
 
$6,492,078
   
0.7%
   
GECMC 2005-C1
Widewater Square
 
CGMRC
 
Columbia
 
SC
 
Retail
 
$6,255,688
   
0.7%
   
BSCMS 2005-PWR7
San Marcos(4)
 
CCRE
 
San Marcos
 
CA
 
Self Storage
 
$6,173,244
   
0.6%
   
MLCFC 2007-6
Pine Creek Apartments
 
CGMRC
 
Clio
 
MI
 
Multifamily
 
$5,019,483
   
0.5%
   
GMACC 1998-C1
North Tower - 100 West Harrison(3)
 
GSMC
 
Seattle
 
WA
 
Office
 
$4,533,254
   
0.5%
   
JPMCC 2004-CIBC10
200 West Thomas(3)
 
GSMC
 
Seattle
 
WA
 
Office
 
$4,443,782
   
0.5%
   
JPMCC 2004-CIBC10
Smoky Hill Village I
 
CCRE
 
Centennial
 
CO
 
Retail
 
$4,425,000
   
0.5%
   
GCCFC 2005-GG3
South Tower - 100 West Harrison(3)
 
GSMC
 
Seattle
 
WA
 
Office
 
$4,384,134
   
0.5%
   
JPMCC 2004-CIBC10
Century Plaza
 
SMF I
 
Troy
 
MI
 
Retail
 
$2,775,000
   
0.3%
   
GMACC 2004-C2
Marianna Center
 
CGMRC
 
Marianna
 
FL
 
Retail
 
$2,741,679
   
0.3%
   
MSC 2004-IQ8
Smoky Hill Village II
 
CCRE
 
Centennial
 
CO
 
Retail
 
$2,700,000
   
0.3%
   
BSCMS 1999-WF2
Briar Pointe Plaza
 
CGMRC
 
Novi
 
MI
 
Retail
 
$2,597,282
   
0.3%
   
JPMCC 2004-PNC1
Garden Grove(4)
 
CCRE
 
Garden Grove
 
CA
 
Self Storage
 
$2,097,704
   
0.2%
   
MLCFC 2007-6
 

 
(1)
The table above includes mortgaged properties securing mortgage loans for which the most recent prior financing of all or a significant portion of such mortgaged property was included in a securitization. Information under “Previous Securitization” represents the most recent such securitization with respect to each of those mortgaged properties. The information in the above table is based solely on information provided by the related borrower or obtained through searches of a third-party database, and has not otherwise been confirmed by the mortgage loan sellers.
 
(2)
Reflects the allocated loan amount in cases where the applicable mortgaged property is one of a portfolio of mortgaged properties securing a particular mortgage loan.
 
(3)
Multiple Selig Portfolio mortgaged properties were included in prior securitizations.  A mortgage loan secured by the Fourth & Blanchard mortgaged property was included in the JPMCC 2004-CIBC9 securitization.  A mortgage loan secured by the Fifth & Jackson mortgaged property was included in the GMACC 2004-C3 securitization. A mortgage loan secured by the North Tower - 100 West Harrison, 200 West Thomas and South Tower - 100 West Harrison mortgaged properties was included in the JPMCC 2004-CIBC10 securitization. The table above does not include any mortgage loans secured by the other mortgaged properties that secure the Selig Portfolio mortgage loan.
 
(4)
A mortgage loan secured by the Huntington Beach, Costa Mesa, San Marcos and Garden Grove mortgaged properties of the Allspace Self Storage Portfolio mortgage loan was included in the MLCFC 2007-6 securitization.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.

 
 
10

 

 
COLLATERAL OVERVIEW (continued)
 
Property Types
 
Property Type / Detail
 
Number of Mortgaged Properties
 
Aggregate Cut-off Date Balance(1)
 
% of Initial Pool Balance
 
Wtd. Avg. Underwritten NCF DSCR(2)
 
Wtd. Avg. Cut-off Date LTV Ratio(2)
 
Wtd. Avg.
Debt Yield on Underwritten NOI(2)
Retail
  22     $230,989,993     24.0 %   1.65 x   65.1 %   9.8 %
Super-Regional Mall
  1     110,000,000     11.4     1.83 x   59.5 %   9.1 %
Anchored
  6     46,517,287     4.8     1.49 x   71.1 %   10.3 %
Unanchored
  7     31,763,481     3.3     1.42 x   73.0 %   10.2 %
Shadow Anchored
  5     24,149,738     2.5     1.56 x   69.3 %   10.7 %
Power Center/Big Box
  1     11,390,000     1.2     1.33 x   75.4 %   8.9 %
Single Tenant Retail
  2     7,169,487     0.7     1.90 x   47.7 %   13.7 %
Multifamily
  17     $223,718,714     23.3 %   1.39 x   71.5 %   9.0 %
Garden
  15     202,713,686     21.1     1.39 x   71.4 %   9.0 %
Student Housing
  2     21,005,027     2.2     1.35 x   72.4 %   9.0 %
Office
  15     $198,463,310     20.6 %   1.81 x   64.1 %   10.8 %
CBD
  8     114,500,000     11.9     2.00 x   60.8 %   10.4 %
General Suburban
  6     73,663,310     7.7     1.57 x   68.4 %   11.5 %
Medical
  1     10,300,000     1.1     1.48 x   70.5 %   9.9 %
Mixed Use
  4     $118,217,589     12.3 %   2.03 x   66.7 %   10.4 %
Retail/Office
  3     113,817,589     11.8     2.05 x   66.5 %   10.4 %
Multifamily/Retail
  1     4,400,000     0.5     1.43 x   72.0 %   9.6 %
Self Storage
  19     $73,125,687     7.6 %   1.51 x   67.3 %   9.6 %
Senior Housing
  27     $45,220,475     4.7 %   1.58 x   66.0 %   10.7 %
Independent Living
  27     45,220,475     4.7     1.58 x   66.0 %   10.7 %
Hospitality
  3     $32,675,067     3.4 %   1.79 x   72.7 %   12.9 %
Limited Service
  3     32,675,067     3.4     1.79 x   72.7 %   12.9 %
Industrial
  3     $20,534,678     2.1 %   1.45 x   70.2 %   10.3 %
Flex
  3     20,534,678     2.1     1.45 x   70.2 %   10.3 %
Manufactured Housing
  2     $10,520,000     1.1 %   1.28 x   71.1 %   8.5 %
Parking
  1     $8,000,000     0.8 %   1.81 x   58.2 %   8.3 %
Total / Wtd. Avg.
  113     $961,465,513     100.0 %   1.65 x   67.2 %   10.0 %
 

 
(1)
Calculated based on the mortgaged property’s allocated loan amount for mortgage loans secured by more than one mortgaged property.
 
(2)
Weighted average based on the mortgaged property’s allocated loan amount for mortgage loans secured by more than one mortgaged property.
 
PIE CHART
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
11

 
 
COLLATERAL OVERVIEW (continued)
 
Geographic Distribution
Property Location
 
 
Number of Mortgaged Properties
 
Aggregate Cut-off Date Balance(1)
 
% of Initial Pool Balance
 
Aggregate Appraised
Value(2)
 
% of Total Appraised Value
 
Underwritten
NOI(2)
 
% of Total Underwritten NOI
North Carolina
  6     $112,782,448     11.7 %   $214,200,000     9.4 %   $15,927,280     10.5 %
Michigan
  10     112,196,194     11.7     153,550,000     6.7     11,817,363     7.8  
Maine
  1     110,000,000     11.4     395,000,000     17.3     21,367,118     14.1  
Washington
  7     100,000,000     10.4     335,300,000     14.7     20,077,779     13.2  
New York
  2     74,000,000     7.7     116,750,000     5.1     6,082,295     4.0  
Florida
  4     64,577,130     6.7     89,950,000     4.0     5,744,416     3.8  
California
  9     52,617,931     5.5     99,970,000     4.4     6,915,925     4.6  
Illinois
  10     43,800,000     4.6     60,525,000     2.7     4,476,958     3.0  
Pennsylvania
  7     35,555,471     3.7     95,755,000     4.2     6,620,510     4.4  
Texas
  10     34,443,751     3.6     136,850,000     6.0     10,563,546     7.0  
Alabama
  9     32,587,500     3.4     46,200,000     2.0     3,203,747     2.1  
South Carolina
  3     28,842,601     3.0     40,550,000     1.8     3,097,675     2.0  
Ohio
  2     24,551,307     2.6     34,600,000     1.5     2,430,271     1.6  
Arizona
  4     23,272,208     2.4     54,180,000     2.4     2,893,566     1.9  
Colorado
  5     20,144,192     2.1     40,925,000     1.8     3,374,821     2.2  
Georgia
  4     15,300,000     1.6     21,500,000     0.9     1,523,564     1.0  
New Mexico
  1     15,250,000     1.6     21,700,000     1.0     1,557,434     1.0  
Kentucky
  1     14,500,000     1.5     19,500,000     0.9     1,684,965     1.1  
New Hampshire
  1     14,084,084     1.5     19,500,000     0.9     1,411,595     0.9  
Tennessee
  2     7,423,483     0.8     23,350,000     1.0     1,729,610     1.1  
Oregon
  5     5,865,559     0.6     76,830,000     3.4     6,068,384     4.0  
Connecticut
  2     4,321,107     0.4     56,600,000     2.5     4,419,923     2.9  
North Dakota
  1     3,660,000     0.4     4,880,000     0.2     349,957     0.2  
Indiana
  1     2,930,000     0.3     4,270,000     0.2     274,429     0.2  
Missouri
  1     2,213,995     0.2     29,000,000     1.3     2,149,371     1.4  
Iowa
  2     2,091,843     0.2     27,400,000     1.2     1,893,388     1.2  
Nevada
  1     1,771,196     0.2     23,200,000     1.0     1,439,954     0.9  
Wisconsin
  1     1,446,731     0.2     18,950,000     0.8     1,486,265     1.0  
Kansas
  1     1,236,783     0.1     16,200,000     0.7     1,144,258     0.8  
Total
  113     $961,465,513     100.0 %   $2,277,185,000     100.0 %   $151,726,370     100.0 %
 

 
(1)
Calculated based on the mortgaged property’s allocated loan amount for mortgage loans secured by more than one mortgaged property.
 
(2)
Aggregate Appraised Values and Underwritten NOI values are calculated based on the inclusion of the pari passu companion loans.
 
MAP
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
12

 
 
                     
 
Distribution of Cut-off Date Balances
   
               
% of
 
     
Number of
       
Initial
 
 
Range of Cut-off Date
 
Mortgage
 
Cut-off Date
 
Pool
 
 
Balances ($)
 
Loans
 
Balance
 
Balance
 
 
2,276,422 - 3,000,000
 
6
 
$16,020,383
   
1.7
 
 
3,000,001 - 5,000,000
 
7
 
30,384,790
   
3.2
   
 
5,000,001 - 10,000,000
 
20
 
141,977,015
   
14.8
   
 
10,000,001 - 15,000,000
 
12
 
146,304,602
   
15.2
   
 
15,000,001 - 20,000,000
 
4
 
65,892,138
   
6.9
   
 
20,000,001 - 30,000,000
 
1
 
21,500,000
   
2.2
   
 
30,000,001 - 60,000,000
 
5
 
178,386,583
   
18.6
   
 
60,000,001 - 80,000,000
 
1
 
66,000,000
   
6.9
   
 
80,000,001 - 100,000,000
 
2
 
185,000,000
   
19.2
   
 
100,000,001 - 110,000,000
 
1
 
110,000,000
   
11.4
   
 
Total
 
59
 
$961,465,513
   
100.0
 
                     
 
Distribution of Underwritten DSCRs(1)
   
               
% of
 
     
Number of
       
Initial
 
     
Mortgage
 
Cut-off Date
 
Pool
 
 
Range of UW DSCR (x)
 
Loans
 
Balance
 
Balance
 
 
1.28 - 1.30
 
3
 
$78,796,422
   
8.2
 
 
1.31 - 1.40
 
13
 
173,254,094
   
18.0
   
 
1.41 - 1.50
 
18
 
203,646,192
   
21.2
   
 
1.51 - 1.60
 
7
 
87,737,154
   
9.1
   
 
1.61 - 1.70
 
5
 
53,089,456
   
5.5
   
 
1.71 - 1.80
 
3
 
24,591,307
   
2.6
   
 
1.81 - 1.90
 
4
 
127,785,201
   
13.3
   
 
1.91 - 2.20
 
5
 
127,565,686
   
13.3
   
 
2.21 - 2.27
 
1
 
85,000,000
   
8.8
   
 
Total
 
59
 
$961,465,513
   
100.0
 
 
(1)    See footnotes (1) and (7) to the table entitled “Mortgage Pool
   
 
Characteristics” above.
   
                     
 
Distribution of Amortization Types(1)
                 
               
% of
 
     
Number of
       
Initial
 
     
Mortgage
 
Cut-off Date
 
Pool
 
 
Amortization Type
 
Loans
 
Balance
 
Balance
 
 
Amortizing (30 Years)
 
32
 
$326,914,920
   
34.0
 
 
Interest Only
 
4
 
303,000,000
   
31.5
   
 
Interest Only, Then
                 
 
Amortizing(2)
 
18
 
302,045,000
   
31.4
   
 
Amortizing (25 Years)
 
4
 
19,005,593
   
2.0
   
 
Interest Only, Then
                 
 
Amortizing - ARD(2)
 
1
 
10,500,000
   
1.1
   
 
Total
 
59
 
$961,465,513
   
100.0
 
 
(1)    All of the mortgage loans will have balloon payments at maturity date or
 
 
 anticipated repayment date.
     
 
(2)    Original partial interest only periods range from 12 to 60 months.
   
                     
 
Distribution of Lockboxes
       
               
% of
 
               
Initial
 
     
Number of
 
Cut-off Date
 
Pool
 
 
Lockbox Type
 
Mortgage Loans
 
Balance
 
Balance
 
 
Hard
 
20
 
$474,836,763
   
49.4
 
 
Springing
 
28
 
273,958,655
   
28.5
   
 
None
 
5
 
87,154,204
   
9.1
   
 
Soft Springing
 
2
 
74,932,500
   
7.8
   
 
Soft
 
4
 
50,583,391
   
5.3
   
 
Total
 
59
 
$961,465,513
   
100.0
 
                     
 
Distribution of Cut-off Date LTV Ratios(1)
     
               
% of
 
     
Number of
       
Initial
 
 
Range of Cut-off
 
Mortgage
       
Pool
 
 
Date LTV (%)
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
36.1 - 55.0
 
2
 
$12,191,252
   
1.3
 
 
55.1 - 60.0
 
7
 
239,271,483
   
24.9
   
 
60.1 - 65.0
 
2
 
73,800,000
   
7.7
   
 
65.1 - 70.0
 
15
 
233,649,092
   
24.3
   
 
70.1 - 75.0
 
31
 
358,363,685
   
37.3
   
 
75.1 - 78.1
 
2
 
44,190,000
   
4.6
   
 
Total
 
59
 
$961,465,513
   
100.0
 
 
(1)   See footnotes (1) and (5) to the table entitled “Mortgage Pool
   
 
Characteristics” above.
       
                     
 
Distribution of Maturity Date/ARD LTV Ratios(1)
     
               
% of
 
     
Number of
       
Initial
 
 
Range of Maturity
 
Mortgage
       
Pool
 
 
Date/ARD LTV (%)
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
31.6 - 45.0
 
3
 
$19,379,171
   
2.0
 
 
45.1 - 50.0
 
4
 
21,883,564
   
2.3
   
 
50.1 - 55.0
 
7
 
80,844,765
   
8.4
   
 
55.1 - 60.0
 
21
 
487,547,067
   
50.7
   
 
60.1 - 65.0
 
20
 
179,520,946
   
18.7
   
 
65.1 - 70.1
 
4
 
172,290,000
   
17.9
   
 
Total
 
59
 
$961,465,513
   
100.0
 
 
(1)    See footnotes (1), (3) and (6) to the table entitled “Mortgage Pool
   
 
Characteristics” above.
       
                     
 
Distribution of Loan Purpose
   
               
% of
 
     
Number of
       
Initial
 
     
Mortgage
       
Pool
 
 
Loan Purpose
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
Refinance
 
43
 
$665,069,272
   
69.2
 
 
Acquisition
 
13
 
282,190,554
   
29.4
   
 
Recapitalization
 
2
 
8,955,688
   
0.9
   
 
Acquisition/Refinance
 
1
 
5,250,000
   
0.5
   
 
Total
 
59
 
$961,465,513
   
100.0
 
                     
 
Distribution of Mortgage Interest Rates (1)
   
               
% of
 
 
Range of
 
Number of
       
Initial
 
 
Mortgage Interest
 
Mortgage
       
Pool
 
 
Rates (%)
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
4.330 - 4.500
 
5
 
$148,592,078
   
15.5
 
 
4.501 - 4.750
 
20
 
481,439,811
   
50.1
   
 
4.751 - 5.000
 
24
 
279,420,351
   
29.1
   
 
5.001 - 5.250
 
9
 
49,271,594
   
5.1
   
 
5.251 - 5.450
 
1
 
2,741,679
   
0.3
   
 
Total
 
59
 
$961,465,513
   
100.0
 
 
(1)     See footnote (2) to the table entitled “Mortgage Pool Characteristics” above.
   
                     

 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.

 
13

 
 
                     
 
Distribution of Debt Yield on Underwritten NOI(1)
 
               
% of
 
 
Range of
 
Number of
       
Initial
 
 
Debt Yields on
 
Mortgage
       
Pool
 
 
Underwritten NOI (%)
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
8.2 - 9.0
 
9
 
$204,830,451
   
21.3
%
 
 
9.1 - 10.0
 
21
 
326,036,997
   
33.9
   
 
10.1 - 11.0
 
11
 
291,699,735
   
30.3
   
 
11.1 - 12.0
 
8
 
56,936,652
   
5.9
   
 
12.1 - 13.0
 
4
 
41,102,868
   
4.3
   
 
13.1 - 14.0
 
3
 
19,785,201
   
2.1
   
 
14.1 - 14.6
 
3
 
21,073,608
   
2.2
   
 
Total
 
59
 
$961,465,513
   
100.0
%
 
 
(1)    See footnotes (1) and (8) to the table entitled “Mortgage Pool
 
 
Characteristics” above.
 
                     
 
Distribution of Debt Yield on Underwritten NCF(1)
 
               
% of
 
 
Range of
 
Number of
       
Initial
 
 
Debt Yields on
 
Mortgage
       
Pool
 
 
Underwritten NCF (%)
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
8.0 - 9.0
 
21
 
$425,540,283
   
44.3
%
 
 
9.1 - 10.0
 
20
 
290,581,425
   
30.2
   
 
10.1 - 11.0
 
11
 
197,992,917
   
20.6
   
 
11.1 - 12.0
 
2
 
12,597,282
   
1.3
   
 
12.1 - 13.0
 
3
 
24,068,150
   
2.5
   
 
13.1 - 14.1
 
2
 
10,685,455
   
1.1
   
 
Total
 
59
 
$961,465,513
   
100.0
%
 
 
(1)    See footnotes (1) and (8) to the table entitled “Mortgage Pool
 
 
Characteristics” above.
 
                     
 
Mortgage Loans with Original Partial Interest Only Periods
 
               
% of
 
 
Original Partial
 
Number of
       
Initial
 
 
Interest Only
 
Mortgage
       
Pool
 
 
Period (months)
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
12 - 24
 
12
 
$103,355,000
   
10.7
%
 
 
25 - 36
 
1
 
$66,000,000
   
6.9
%
 
 
37 - 48
 
2
 
$53,990,000
   
5.6
%
 
 
49 - 60
 
4
 
$89,200,000
   
9.3
%
 
                     
 
Distribution of Original Terms to Maturity/ARD
 
               
% of
 
 
Range of Original
 
Number of
       
Initial
 
 
Term to Maturity/ARD
 
Mortgage
       
Pool
 
 
(months)
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
60
 
1
 
$8,000,000
   
0.8
%
 
 
84
 
6
 
206,226,422
   
21.4
   
 
120
 
52
 
747,239,090
   
77.7
   
 
Total
 
59
 
$961,465,513
   
100.0
%
 
                     
                     
 
Distribution of Remaining Terms to Maturity/ARD(1)
 
 
Range of
           
% of
 
 
Remaining Terms
 
Number of
       
Initial
 
 
to Maturity/ARD
 
Mortgage
       
Pool
 
 
(months)
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
59 - 60
 
1
 
$8,000,000
   
0.8
%
 
 
61 - 120
 
58
 
953,465,513
   
99.2
   
 
Total
 
59
 
$961,465,513
   
100.0
%
 
 
(1)  See footnote (3) to the table entitled “Mortgage Pool Characteristics” above.
 
                     
 
Distribution of Original Amortization Terms(1)
 
               
% of
 
 
Range of Original
 
Number of
       
Initial
 
 
Amortization
 
Mortgage
       
Pool
 
 
Terms (months)
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
Interest Only
 
4
 
$303,000,000
   
31.5
%
 
 
300
 
4
 
19,005,593
   
2.0
   
 
301 - 360
 
51
 
639,459,920
   
66.5
   
 
Total
 
59
 
$961,465,513
   
100.0
%
 
 
(1)  All of the mortgage loans will have balloon payments at maturity or
 
 
   anticipated repayment date.
 
                     
 
Distribution of Remaining Amortization Terms(1)
 
 
Range of
           
% of
 
 
Remaining
 
Number of
       
Initial
 
 
Amortization
 
Mortgage
       
Pool
 
 
Terms (months)
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
Interest Only
 
4
 
$303,000,000
   
31.5
%
 
 
299 - 300
 
4
 
19,005,593
   
2.0
   
 
301 - 360
 
51
 
639,459,920
   
66.5
   
 
Total
 
59
 
$961,465,513
   
100.0
%
 
 
(1)  All of the mortgage loans will have balloon payments at maturity or
 
 
   anticipated repayment date.
   
                     
 
Distribution of Prepayment Provisions
 
               
% of
 
     
Number of
       
Initial
 
 
Prepayment
 
Mortgage
       
Pool
 
 
Provision
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
Defeasance
 
51
 
$831,259,813
   
86.5
%
 
 
Yield Maintenance
 
8
 
130,205,700
   
13.5
   
 
Total
 
59
 
$961,465,513
   
100.0
%
 
                     
 
Distribution of Escrow Types
 
     
Number
       
% of
 
     
of
       
Initial
 
     
Mortgage
       
Pool
 
 
Escrow Type
 
Loans
 
Cut-off Date Balance
 
Balance
 
 
Replacement Reserves(1)
 
58
 
$851,465,513
   
88.6
%
 
 
Real Estate Tax
 
57
 
$845,774,261
   
88.0
%
 
 
Insurance
 
49
 
$648,785,799
   
67.5
%
 
 
TI/LC(2)
 
34
 
$452,514,319
   
79.6
%
 
 
(1)  Includes mortgage loans with FF&E reserves.
 
 
(2)  Percentage of total retail, mixed use, industrial and office properties only.
 

 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.

 
14

 
 
SHORT TERM CERTIFICATE PRINCIPAL PAY DOWN SCHEDULE
 
Class A-2 Principal Pay Down(1)
Mortgage Loan Name
 
 
Property Type
 
 
Cut-off Date
Balance
 
% of Initial
Pool
Balance
 
Remaining Loan Term
 
Wtd. Avg. Underwritten
NCF DSCR
 
Wtd. Avg. Debt
Yield on
Underwritten
NOI
 
Wtd. Avg.
Cut-off Date
LTV Ratio
500 West 43rd Street
 
Parking
 
$8,000,000
 
0.8%
 
59
 
1.81x
 
8.3%
 
58.2%
 
Class A-3 Principal Pay Down(1)
Mortgage Loan Name
 
 
Property Type
 
Cut-off Date
Balance
 
% of Initial
Pool
Balance
 
Remaining
Loan Term
 
Wtd. Avg. Underwritten NCF DSCR
 
Wtd. Avg. Debt Yield on Underwritten
NOI
 
Wtd. Avg.
Cut-off Date
LTV Ratio
EpiCentre
 
Mixed Use
 
$85,000,000
   
8.8%
 
84
 
2.27x
 
10.9%
   
65.1%
 
Ridgeview Apartments
 
Multifamily
 
$66,000,000
   
6.9%
 
84
 
1.28x
 
8.2%
   
64.1%
 
The Cove Apartments
 
Multifamily
 
$42,600,000
   
4.4%
 
84
 
1.39x
 
8.5%
   
74.5%
 
Discovery Point Apartments
 
Senior Housing
 
$6,500,000
   
0.7%
 
84
 
1.74x
 
11.5%
   
36.1%
 
Grandview Plaza
 
Retail
 
$3,850,000
   
0.4%
 
84
 
1.51x
 
11.2%
   
74.0%
 
Normandy Square
 
Retail
 
$2,276,422
   
0.2%
 
83
 
1.28x
 
9.6%
   
70.0%
 
 

(1)
The tables above present the mortgage loans whose balloon payments would be applied to pay down the aggregate principal balances of the Class A-2 Certificates and Class A-3 Certificates, respectively, assuming a 0% CPR and applying the modeling assumptions described under “Yield, Prepayment and Maturity Considerations” in the Free Writing Prospectus, including the assumptions that (i) none of the mortgage loans in the pool experience prepayments, defaults or losses; (ii) there are no extensions of maturity dates of any mortgage loans in the pool; and (iii) each mortgage loan in the pool is paid in full on its stated maturity date or anticipated repayment date, as applicable. Each class of Certificates, including the Class A-2 and Class A-3 Certificates, evidences undivided ownership interests in the entire pool of mortgage loans. Debt service coverage ratio, debt yield and loan-to-value ratio information does not take into account subordinate debt (whether or not secured by the mortgaged property), if any, that is allowed under the terms of any mortgage loan. See Annex A to the Free Writing Prospectus.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
15

 
 
STRUCTURAL OVERVIEW
 
Distributions
 
On each Distribution Date, funds available for distribution from the mortgage loans, net of specified trust expenses, yield maintenance charges, prepayment premiums and excess interest, will be distributed in the following amounts and order of priority (in each case to the extent of remaining available funds):
       
   
1.
Class A-1, A-2, A-3, A-4, A-5, A-AB, X-A, X-B, X-C and X-D certificates: To interest on the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5, Class A-AB, Class X-A, Class X-B, Class X-C and Class X-D certificates, pro rata, in each case in accordance with their respective interest entitlements.
       
   
2.
Class A-1, A-2, A-3, A-4, A-5 and A-AB certificates: (i) to principal on the Class A-AB certificates until their certificate principal amount is reduced to the Class A-AB scheduled principal balance for the related Distribution Date set forth in Annex F to the Free Writing Prospectus, all funds allocable to principal attributable to all mortgage loans, then (ii) to principal on the Class A-1 certificates until their certificate principal amount is reduced to zero, all funds available for distribution of principal remaining after the distributions to Class A-AB in clause (i) above, then (iii) to principal on the Class A-2 certificates until their certificate principal amount is reduced to zero, all funds available for distribution of principal remaining after the distributions to Class A-1 in clause (ii) above, then (iv) to principal on the Class A-3 certificates until their certificate principal amount is reduced to zero, all funds available for distribution of principal remaining after the distributions to Class A-2 in clause (iii) above, then (v) to principal on the Class A-4 certificates until their certificate principal amount is reduced to zero, all funds available for distribution of principal remaining after the distributions to Class A-3 in clause (iv) above, then (vi) to principal on the Class A-5 certificates until their certificate principal amount is reduced to zero, all funds available for distribution of principal remaining after the distributions to Class A-4 in clause (v) above, and then (vii) to principal on the Class A-AB certificates until their certificate principal amount is reduced to zero, all funds available for distribution of principal remaining after the distributions to Class A-5 in clause (vi) above.  If the certificate principal amounts of each and every class of certificates other than the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5 and Class A-AB certificates have been reduced to zero as a result of the allocation of mortgage loan losses to those certificates, funds available for distributions of principal will be distributed to the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5 and Class A-AB certificates, pro rata, based on their respective certificate principal amounts (and the schedule for the Class A-AB principal distributions will be disregarded).
       
   
3.
Class A-1, A-2, A-3, A-4, A-5 and A-AB certificates: To reimburse Class A-1, Class A-2, Class A-3, Class A-4, Class A-5 and Class A-AB certificates, pro rata, for any previously unreimbursed losses on the mortgage loans allocable to principal that were previously borne by those classes, together with interest at their respective pass-through rates.
       
   
4.
Class A-S and Class PEZ certificates:  (i) first, to interest on Class A-S and Class PEZ certificates in the amount of the interest entitlement with respect to the Class A-S trust component, pro rata in proportion to their respective percentage interests in the Class A-S trust component; (ii) next, to the extent of funds allocated to principal remaining after distributions in respect of principal to each class with a higher priority (in this case, the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5 and Class A-AB certificates), to principal on Class A-S and Class PEZ certificates, pro rata in proportion to their respective percentage interests in the Class A-S trust component, until the certificate principal amount of the Class A-S trust component is reduced to zero; and (iii) next, to reimburse Class A-S and Class PEZ certificates for any previously unreimbursed losses on the mortgage loans allocable to principal that were previously borne by the Class A-S trust component, together with interest at the pass-through rate for such trust component, pro rata in proportion to their respective percentage interests in the Class A-S trust component.
       
   
5.
Class B and Class PEZ certificates:  (i) first, to interest on Class B and Class PEZ certificates in the amount of the interest entitlement with respect to the Class B trust component, pro rata in proportion to their respective percentage interests in the Class B trust component; (ii) next, to the extent of funds allocated to principal remaining after distributions in respect of principal to each class of certificates and each trust component with a higher priority (in this case, the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5 and Class A-AB certificates and the Class A-S trust component), to principal on Class B and Class PEZ certificates, pro rata in proportion to their respective percentage interests in the Class B trust component, until the certificate principal amount of the Class B trust component is reduced to zero; and (iii) next, to reimburse Class B and Class PEZ certificates for any previously unreimbursed losses on the mortgage loans allocable to principal that were previously borne by the Class B trust component, together with interest at the pass-through rate for such trust component, pro rata in proportion to their respective percentage interests in the Class B trust component.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
16

 
 
STRUCTURAL OVERVIEW (continued)
 
Distributions
(continued)
 
6.
Class C and Class PEZ certificates:  (i) first, to interest on Class C and Class PEZ certificates in the amount of the interest entitlement with respect to the Class C trust component, pro rata in proportion to their respective percentage interests in the Class C trust component; (ii) next, to the extent of funds allocated to principal remaining after distributions in respect of principal to each class of certificates and each trust component with a higher priority (in this case, the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5 and Class A-AB certificates and the Class A-S and Class B trust components), to principal on Class C and Class PEZ certificates, pro rata in proportion to their respective percentage interests in the Class C trust component, until the certificate principal amount of the Class C trust component is reduced to zero; and (iii) next, to reimburse Class C and Class PEZ certificates for any previously unreimbursed losses on the mortgage loans allocable to principal that were previously borne by the Class C trust component, together with interest at the pass-through rate for such trust component, pro rata in proportion to their respective percentage interests in the Class C trust component.
       
   
7.
Class D certificates:  (i) first, to interest on Class D certificates in the amount of their interest entitlement; (ii) next, to the extent of funds allocated to principal remaining after distributions in respect of principal to each class of certificates and each trust component with a higher priority (in this case, the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5 and Class A-AB certificates and the Class A-S, Class B and Class C trust components), to principal on Class D certificates until their certificate principal amount is reduced to zero; and (iii) next, to reimburse Class D certificates for any previously unreimbursed losses on the mortgage loans allocable to principal that were previously borne by that class, together with interest at its pass-through rate.
       
   
8.
After Class A-1, Class A-2, Class A-3, Class A-4, Class A-5, Class A-AB, Class A-S, Class B, Class PEZ, Class C and Class D certificates are paid all amounts to which they are entitled, the remaining funds available for distribution will be used to pay interest and principal and to reimburse any previously unreimbursed losses to the Class E, Class F and Class G certificates sequentially in that order in a manner analogous to the Class D certificates, until the certificate principal amount of each such class is reduced to zero.
       
       
Realized Losses
  The certificate principal amounts of the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5, Class A-AB, Class D, Class E, Class F and Class G certificates and the Class A-S, Class B and Class C trust components (and thus, the Exchangeable Certificates) will each be reduced without distribution on any Distribution Date as a write-off to the extent of any loss realized on the mortgage loans allocated to the such class on such Distribution Date. Any such write-offs will be applied to such classes of certificates and trust components in the following order, in each case until the related certificate principal amount is reduced to zero:  first, to the Class G certificates; second, to the Class F certificates; third, to the Class E certificates; fourth, to the Class D certificates; fifth, to the Class C trust component (and correspondingly to the Class C and Class PEZ certificates, pro rata based on their respective percentage interests in the Class C trust component); sixth, to the Class B trust component (and correspondingly to the Class B and Class PEZ certificates, pro rata based on their respective percentage interests in the Class B trust component); seventh, to the Class A-S trust component (and correspondingly to the Class A-S and Class PEZ certificates, pro rata based on their respective percentage interests in the Class A-S trust component); and, finally pro rata, to the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5 and Class A-AB certificates, based on their then current respective certificate principal amounts.  The notional amount of the Class X-A certificates will be reduced to reflect reductions in the certificate principal amounts of the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5 and Class A-AB certificates and the Class A-S trust component resulting from allocations of losses realized on the mortgage loans. The notional amount of the Class X-B certificates will be reduced to reflect reductions in the certificate principal amount of the Class B trust component resulting from allocations of losses realized on the mortgage loans.  The notional amount of the Class X-C certificates will be reduced to reflect reductions in the certificate principal amount of the Class E certificates resulting from allocations of losses realized on the mortgage loans.  The notional amount of the Class X-D certificates will be reduced to reflect reductions in the certificate principal amounts of the Class F and Class G certificates resulting from allocations of losses realized on the mortgage loans.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
17

 
 
STRUCTURAL OVERVIEW (continued)
 
     
Prepayment Premiums
and Yield Maintenance
Charges
 
On each Distribution Date, any yield maintenance charge collected on the mortgage loans during the one-month period ending on the related Determination Date is required to be distributed as follows: (1) pro rata, between (x) the group (the “YM Group A”) of Class A-1, Class A-2, Class A-3, Class A-4, Class A-5, Class A-AB and Class X-A certificates and the Class A-S trust component (and correspondingly to the Class A-S and Class PEZ certificates, pro rata based on their respective percentage interests in the Class A-S trust component), and (y) the group (the YM Group B” and collectively with the YM Group A, the “YM Groups”), of the Class X-B Certificates, the Class B trust component (and correspondingly to the Class B and Class PEZ certificates, pro rata based on their respective percentage interests in the Class B trust component), the Class C trust component (and correspondingly to the Class C and Class PEZ certificates, pro rata based on their respective percentage interests in the Class C trust component) and the Class D certificates based upon the aggregate of principal distributed to the classes of certificates (other than the Class X certificates) or trust components in each YM group on such Distribution Date, and (2) as among the classes of certificates or trust components in each YM Group in the following manner: (A) the holders of each class of certificates (other than the Class X certificates) or trust components in such YM Group will be entitled to receive on each Distribution Date the portion of such yield maintenance charge equal to the product of (x) a fraction whose numerator is the amount of principal distributed to such class of certificates or trust component on such Distribution Date and whose denominator is the total amount of principal distributed to all of the certificates (exclusive of the Class X-A, Class X-B, Class X-C, Class X-D, Class E, Class F, Class G, Class S, Class R and Exchangeable Certificates) and trust components on such Distribution Date, (y) the Base Interest Fraction for the related principal prepayment and such class of certificates or trust component, and (z) the aggregate amount of such yield maintenance charge allocated to such YM Group and (B) any portion of such yield maintenance charge allocated to such YM Group remaining after such distributions to the applicable classes of certificates or trust component, will be distributed to the Class X certificates in the related YM Group.  If there is more than one class of certificates (exclusive of the Class X and Exchangeable Certificates) or trust component (and thus the applicable class of Exchangeable Certificates) in either YM Group entitled to distributions of principal on any particular Distribution Date on which yield maintenance charges are distributable to such classes of certificates or trust components, the aggregate amount of such yield maintenance charges will be allocated among all such classes of certificates (exclusive of the Exchangeable Certificates) and/or trust components (and, therefore, the applicable classes of Exchangeable Certificates) up to, and on a pro rata basis in accordance with, their respective entitlements in those yield maintenance charges in accordance with the first sentence of this paragraph.
     
   
The “Base Interest Fraction” with respect to any principal prepayment on any mortgage loan and with respect to any class of Class A-1, Class A-2, Class A-3, Class A-4, Class A-5, Class A-AB and Class D certificates or any trust component is a fraction (a) whose numerator is the amount, if any, by which (i) the pass-through rate on such class of certificates or trust component exceeds (ii) the discount rate used in accordance with the related loan documents in calculating the yield maintenance charge with respect to such principal prepayment and (b) whose denominator is the amount, if any, by which the (i) mortgage loan rate on such mortgage loan exceeds (ii) the discount rate used in accordance with the related loan documents in calculating the yield maintenance charge with respect to such principal prepayment; provided, however, that under no circumstances will the Base Interest Fraction be greater than one.  If such discount rate is greater than or equal to the lesser of (x) the mortgage loan rate on the prepaid mortgage loan and (y) the pass-through rate described in the preceding sentence, then the Base Interest Fraction will equal zero; provided, however, if such discount rate is greater than or equal to the mortgage loan rate, but less than the pass-through rate, the fraction will be one.
     
   
If a prepayment premium is imposed in connection with a prepayment rather than a yield maintenance charge, then the prepayment premium so collected will be allocated as described above.  For this purpose, the discount rate used to calculate the Base Interest Fraction will be the discount rate used to determine the yield maintenance charge for mortgage loans that require payment at the greater of a yield maintenance charge or a minimum amount equal to a fixed percentage of the principal balance of the mortgage loan or, for mortgage loans that only have a prepayment premium based on a fixed percentage of the principal balance of the mortgage loan, such other discount rate as may be specified in the related mortgage loan documents.
     
   
No prepayment premiums or yield maintenance charges will be distributed to holders of the Class X-C, Class X-D, Class E, Class F, Class G, Class S or Class R certificates.  Instead, after the certificate principal amounts of the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5, Class A-AB and Class D certificates and the trust components have been reduced to zero, all prepayment premiums and yield maintenance charges with respect to the mortgage loans will be distributed to holders of the Class X-B certificates.  For a description of prepayment premiums and yield maintenance charges required on the mortgage loans, see Annex A to the Free Writing Prospectus.  See also “Certain Legal Aspects of the Mortgage Loans—Enforceability of Certain Provisions” in the Base Prospectus. Prepayment premiums and yield maintenance charges will be distributed on any Distribution Date only to the extent they are received in respect of the mortgage loans as of the related Determination Date.
     
   
See also “Description of the Offered Certificates—Distributions—Prepayment Premiums” in the Free Writing Prospectus.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
18

 
 
STRUCTURAL OVERVIEW (continued)
 
Non-Serviced Loans
 
Each of the Maine Mall mortgage loan and the Newcastle Senior Housing Portfolio mortgage loan are referred to in this Term Sheet as, individually, a “non-serviced loan” and, collectively, the “non-serviced loans”. The non-serviced loans and each related companion loan are being serviced and administered in accordance with, and all decisions, consents, waivers, approvals and other actions on the part of the holders of the non-serviced loans and the related companion loans will be effected in accordance with, the Controlling Pooling & Servicing Agreement set forth under the “Pari Passu Companion Loan Summary” table above and the related co-lender agreement.  Consequently, the servicing provisions set forth in this Term Sheet will generally not be applicable to the non-serviced loans, but instead such servicing and administration of the non-serviced loans will, in each case, be governed by the related Controlling Pooling & Servicing Agreement. Each Controlling Pooling & Servicing Agreement provides for servicing in a manner acceptable for rated transactions similar in nature to this securitization.
     
Advances
 
The master servicer and, if it fails to do so, the trustee, will be obligated to make P&I advances and servicing advances, including paying delinquent property taxes, condominium assessments, insurance premiums and ground lease rents, but only to the extent that those advances are not deemed non-recoverable from collections on the related mortgage loan and, in the case of P&I advances, subject to reduction in connection with any appraisal reductions that may occur. Notwithstanding the foregoing, servicing advances for each non-serviced loan will be made by the parties of, and pursuant to, the applicable Controlling Pooling & Servicing Agreement.
     
Appraisal Reductions
 
An appraisal reduction generally will be created in the amount, if any, by which the principal balance of a required appraisal loan or whole loan (which is a mortgage loan or whole loan with respect to which certain defaults, modifications or insolvency events have occurred as further described in the Free Writing Prospectus) plus other amounts overdue or advanced in connection with such mortgage loan or whole loan, exceeds 90% of the appraised value of the related mortgaged property plus certain escrows and reserves (including letters of credit) held with respect to the mortgage loan or whole loan.  As a result of calculating an appraisal reduction for a given mortgage loan or whole loan, the interest portion of any P&I advance for such mortgage loan will be reduced, which will have the effect of reducing the amount of interest available for distribution to the most subordinate class(es) of certificates and/or trust component then outstanding (i.e., first to the Class G certificates, then to the Class F certificates, then to the Class E certificates, then to the Class D certificates, then to the Class C trust component (and correspondingly, to the Class C certificates and the Class PEZ certificates, pro rata based on their respective percentage interests in the Class C trust component), then to the Class B trust component (and correspondingly, to the Class B certificates and the Class PEZ certificates, pro rata based on their respective percentage interests in the Class B trust component), then to the Class A-S trust component (and correspondingly, to the Class A-S certificates and the Class PEZ certificates, pro rata based on their respective percentage interests in the Class A-S trust component), and then, pro rata based on interest entitlements, to the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5, Class A-AB, Class X-A, Class X-B, Class X-C and Class X-D certificates).  A mortgage loan will cease to be a required appraisal loan, and no longer be subject to an appraisal reduction, when the same has ceased to be a specially serviced mortgage loan (if applicable), has been brought current for at least three consecutive months and no other circumstances exist that would cause such mortgage loan to be a required appraisal loan.
     
   
At any time an Appraisal is ordered with respect to a property that would result in appraisal reduction that would result in a change in the controlling class, certain certificateholders will have a right to request a new appraisal as described in the Free Writing Prospectus.
     
Age of Appraisals
 
Appraisals (which can be an update of a prior appraisal) are required to be no older than 9 months for purposes of determining appraisal reductions (other than the annual re-appraisal), market value, and other calculations as described in the Free Writing Prospectus.
     
Sale of Defaulted
Loans
 
There will be no “Fair Market Value Purchase Option”, instead defaulted loans will be sold in a process similar to the sale process for REO property.

The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.

 
19

 
 
STRUCTURAL OVERVIEW (continued)
 
Cleanup Call
 
On any distribution date on which the aggregate unpaid principal balance of the mortgage loans remaining in the issuing entity is less than 1% of the aggregate principal balance of the pool of mortgage loans as of the Cut-off Date, certain specified persons will have the option to purchase all of the remaining mortgage loans (and all property acquired through exercise of remedies in respect of any mortgage loan) at the price specified in the Free Writing Prospectus.  Exercise of the option will terminate the issuing entity and retire the then outstanding certificates.
     
   
If the certificate principal amounts or notional amounts, as applicable, of the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5, Class A-AB, Class X-A, Class X-B, Class A-S, Class B, Class PEZ, Class C and Class D certificates have been reduced to zero and if the master servicer has received from the remaining certificateholders the payment specified in the pooling and servicing agreement, the issuing entity could also be terminated in connection with an exchange of all the then-outstanding certificates (including the Class X-C and Class X-D certificates but excluding the Class R certificates), for the mortgage loans remaining in the issuing entity, but all of the holders of those classes of outstanding certificates would have to voluntarily participate in the exchange.
     
Controlling Class Representative
 
The “Controlling Class Representative” will be the controlling class certificateholder or representative designated by at least a majority of the voting rights of the controlling class.  The controlling class is the most subordinate class of the Class E, Class F and Class G certificates that has an outstanding certificate principal amount as notionally reduced by any appraisal reductions allocated to such class, that is equal to or greater than 25% of the initial certificate principal amount of that class of certificates.  At any time when the Class E certificates is the controlling class, the majority Controlling Class Representative may elect under certain circumstances to opt-out from its rights under the pooling and servicing agreement.  See “The Pooling and Servicing Agreement—Controlling Class Representative” in the Free Writing Prospectus. No other class of certificates will be eligible to act as the controlling class or appoint a Controlling Class Representative.
     
   
It is anticipated that entities managed by Seer Capital Partners Master Fund L.P. will be the initial holder of a majority of the controlling class of the Class E, Class F, Class G and Class S certificates and, on the closing date, are expected to appoint Seer Capital Partners Master Fund L.P. or an affiliate to be the initial Controlling Class Representative.
     
Control/Consultation
Rights
 
The Controlling Class Representative will be entitled to have consultation and approval rights with respect to certain major decisions (including with respect to assumptions, waivers, loan modifications and workouts) until no class of the Class E, Class F and Class G certificates has an outstanding certificate principal amount, as notionally reduced by any appraisal reductions allocated to such class, that is equal to or greater than 25% of the initial certificate principal amount of that class of certificates (a “Control Termination Event”).
     
   
So long as a Control Termination Event does not exist, the Controlling Class Representative will be entitled to direct the special servicer to take, or refrain from taking, certain actions that would constitute major decisions with respect to a mortgage loan or whole loan and will also have the right to notice and consent to certain material actions that would constitute major decisions that the master servicer or the special servicer plan on taking with respect to a mortgage loan or whole loan subject to the servicing standard and other restrictions as described in the Free Writing Prospectus.
     
   
Following the occurrence and during the continuation of a Control Termination Event until such time no Class of the Class E, Class F and Class G certificates has an outstanding certificate principal amount, without regard to the application of any appraisal reductions, that is equal to or greater 25% of the initial certificate principal amount of that class of certificates (a “Consultation Termination Event”), all of the rights of the Controlling Class Representative will terminate other than a right to consult with respect to the major decisions as to which it previously had approval rights.  After the occurrence and during the continuation of a Control Termination Event, the operating advisor will be entitled to consult with the special servicer with respect to certain major decisions on behalf of the issuing entity and in the best interest of, and for the benefit of, the certificateholders and, in the case of the Selig Portfolio companion loan, the related companion loan holder(s), as a collective whole, as if those certificateholders and, if applicable, such companion loan holder(s) constituted a single lender.
     
   
Additionally, with respect to the non-serviced mortgage loans, the directing holder is the holder of the related pari passu companion loan or its representative under the related Controlling Pooling and Servicing Agreement.
     
   
If at any time that Seer Capital Partners Master Fund LP, or one of its affiliates, or any successor Controlling Class Representative or Controlling Class Certificateholder(s) is no longer the certificate holder (or beneficial owner) of at least a majority of the Controlling Class by certificate principal amount and the certificate registrar has neither (i) received notice of the then-current holders (or, in the case of book-entry certificates, beneficial owners) of at least a majority of the Controlling Class by certificate principal amount nor (ii) received notice of a replacement Controlling Class Representative pursuant to the pooling and servicing agreement, then a Control Termination Event and a Consultation Termination Event will be deemed to have occurred and will be deemed to continue until such time as the certificate registrar receives either such notice.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
20

 
 
STRUCTURAL OVERVIEW (continued)
 
Whole Loans
 
The Maine Mall mortgage loan, which will be contributed to the issuing entity, has an outstanding principal balance as of the Cut-off Date of $110,000,000 and represents approximately 11.4% of the Initial Pool Balance, and the related pari passu companion loan, which was contributed to the Citigroup Commercial Mortgage Trust 2014-GC21 securitization, has an outstanding principal balance as of the Cut-off Date of $125,000,000.
       
   
The Selig Portfolio mortgage loan, which will be contributed to the issuing entity, has an outstanding principal balance as of the Cut-off Date of $100,000,000 and represents approximately 10.4% of the Initial Pool Balance, and has a related pari passu companion loan, which will be initially retained by Goldman Sachs Mortgage Company and is expected to be contributed to a future securitization transaction, with an outstanding principal balance as of the Cut-off Date of $97,000,000.
       
   
The Newcastle Senior Housing Portfolio mortgage loan, which will be contributed to the issuing entity, has an outstanding principal balance as of the Cut-off Date of $38,720,475 and represents approximately 4.0% of the Initial Pool Balance, and the related pari passu companion loans have an outstanding principal balance as of the Cut-off Date of $321,189,610.
       
 
 
In connection with each of these whole loans, a co-lender agreement was executed between the holder of the mortgage loan and the holder of the related companion loan(s) that governs the relative rights and obligations of such holders.  The related co-lender agreement provides, among other things, that (i)(a) the Maine Mall whole loan is serviced under the CGCMT 2014-GC21 pooling and servicing agreement, (b) the Selig Portfolio whole loan will be serviced under the GSMS 2014-GC22 pooling and servicing agreement and (c) the Newcastle Senior Housing Portfolio whole loan is serviced under the CGCMT 2014-GC19 pooling and servicing agreement, (ii) with respect to the Selig Portfolio whole loan, the trustee as holder of the mortgage loan (acting through the Controlling Class Representative unless a Control Termination Event exists) is the directing holder with the right to advise and direct the special servicer with respect to material servicing actions and replace the special servicer, and (iii) with respect to the Selig Portfolio whole loan, the holder of the related companion loan will have certain consultation rights (but not consent rights) with respect to certain material decisions as to which the Controlling Class Representative has or would have had consent or consultation rights (regardless of the occurrence of a Control Termination Event or a Consultation Termination Event).
   
See “Description of the Mortgage Pool—The Whole Loans” in the Free Writing Prospectus for more information regarding the whole loans.
       
Servicing Standard
 
In all circumstances, each of the master servicer and the special servicer is obligated to act in the best interests of the certificateholders and, in the case of a whole loan, the related companion loan holder (as a collective whole as if such certificateholders and, if applicable, such companion loan holder, constituted a single lender).  The special servicer is required to determine the effect on net present value of various courses of action (including workout or foreclosure), using the Calculation Rate as the discount rate, and pursue the course of action that it determines would maximize recovery on a net present value basis.
       
   
Calculation Rate” means:
     
   
for principal and interest payments on a mortgage loan or proceeds from the sale of a defaulted loan, the highest of (i) the rate determined by the master servicer or the special servicer, as applicable, that approximates the market rate that would be obtainable by borrowers on similar debt of the borrowers as of such date of determination, (ii) the note rate and (iii) the yield on the most recently issued 10-year US treasuries; and
       
   
for all other cash flows, including property cash flow, the “discount rate” set forth in the most recent appraisal (or update of such appraisal).
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
21

 
 
STRUCTURAL OVERVIEW (continued)
 
     
Termination of Special
Servicer
 
Prior to the occurrence and continuance of a Control Termination Event, the special servicer may be replaced by the controlling class representative at any time. With respect to the pool of mortgage loans and the whole loans, after the occurrence and during the continuance of a Control Termination Event, the holders of at least 25% of the voting rights of the certificates (other than the Class S and Class R certificates) (considering each of the Class A-S, Class B and Class C certificates together with the Class PEZ certificates’ applicable percentage interest of the related Class A-S, Class B or Class C trust component as a single “Class” for such purpose) may request a vote to replace the special servicer.  The subsequent vote may result in the termination and replacement of the special servicer if, within 180 days of the initial request for that vote, the holders of (a) at least 75% of the voting rights of the certificates (other than the Class S and the Class R certificates) (considering each of the Class A-S, Class B and Class C certificates together with the Class PEZ certificates’ applicable percentage interest of the related Class A-S, Class B or Class C trust component as a single “Class” for such purpose), or (b) more than 50% of the voting rights of each class of certificates (other than the Class S, the Class R and Class X certificates) (but only such classes of certificates that, in each case, have an outstanding certificate principal amount, as notionally reduced by any appraisal reductions allocated to such class, equal to or greater than 25% of the initial certificate principal amount of such class, minus all payments of principal made on such class of certificates) (and considering each of the Class A-S, Class B and Class C certificates together with the Class PEZ certificates’ applicable percentage interest of the related Class A-S, Class B or Class C trust component as a single “Class” for such purpose) vote affirmatively to so replace the special servicer.
     
   
At any time after the occurrence and during the continuance of a Consultation Termination Event, if the operating advisor determines that the special servicer is not performing its duties as required under the pooling and servicing agreement or is otherwise not acting in accordance with the servicing standard, the operating advisor may recommend the replacement of the special servicer resulting in a solicitation of a certificateholder vote.  The subsequent vote may result in the termination and replacement of the special servicer if, within 180 days of the initial request for that vote, the holders of more than 50% of the voting rights of each class of certificates (other than Class S, Class R and Class X certificates) (but only such classes of certificates that have, in each such case, an outstanding certificate principal amount, as notionally reduced by any appraisal reductions allocated to such class, equal to or greater than 25% of the initial certificate principal amount of such class of certificates, minus all payments of principal made on such class of certificates) (and considering each of the Class A-S, Class B and Class C certificates together with the Class PEZ certificates’ applicable percentage interest of the related Class A-S, Class B or Class C trust component as a single “Class” for such purpose, vote affirmatively to so replace the special servicer).   
     
Servicing Fees
 
Modification Fees: All fees resulting from modifications, amendments, waivers or any other changes to the terms of the mortgage loan documents, as more fully described in the Free Writing Prospectus, will be used to offset expenses on the related mortgage loan (i.e. reimburse the trust for certain expenses including advances and interest on advances previously incurred (other than special servicing fees, workout fees and liquidation fees) on the related mortgage loan but not yet reimbursed to the trust or servicers) or to pay expenses (other than special servicing fees, workout fees and liquidation fees) that are still outstanding, in each case unless as part of the written modification the related borrower is required to pay these amounts on a going forward basis or in the future. All excess modification fees earned by the special servicer will be required to offset future workout fees or liquidation fees payable with respect to the related mortgage loan or REO property; provided that if the mortgage loan ceases being a corrected loan, and is subject to a subsequent modification, any excess modification fees earned by the special servicer prior to such mortgage loan ceasing to be a corrected loan will no longer be offset against future liquidation fees and workout fees unless such mortgage loan ceased to be a corrected loan within 18 months of it becoming a modified mortgage loan.  Within any 12-month period, all excess modification fees earned by the master servicer or the special servicer (after taking into account any offset described above applied during such 12-month period) with respect to any mortgage loan will be subject to a cap equal to the greater of (i) 1% of the outstanding principal balance of such mortgage loan after giving effect to such transaction and (ii) $25,000.
     
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
22

 
 
STRUCTURAL OVERVIEW (continued)
 
       
Servicing Fees
(continued)
 
Penalty Fees: All late fees and default interest will first be used to reimburse certain expenses previously incurred with respect to the related mortgage loan (other than special servicing fees, workout fees and liquidation fees) but not yet reimbursed to the trust, the master servicer or special servicer or to pay certain expenses (other than special servicing fees, workout fees and liquidation fees) that are still outstanding on the related mortgage loan, and any excess will be paid to the master servicer (for penalty fees accrued while a non-specially serviced loan) and the special servicer (for penalty fees accrued while specially serviced loan).  To the extent any amounts reimbursed out of penalty charges are subsequently recovered on the related mortgage loan, they will be paid to the master servicer or special servicer who would have been entitled to the related penalty charges used to reimburse such expense.
     
   
Liquidation / Workout Fees: Liquidation fees will be calculated at the lesser of (a) 1.0% or (b) such lower rate as would result in a liquidation fee of $1,000,000 for each specially serviced mortgage loan and REO property, subject to a minimum liquidation fee of $25,000. For any corrected mortgage loan, workout fees will be calculated at the lesser of (a) 1.0% or (b) such lower rate as would result in a workout fee of $1,000,000 when applied to each expected payment of principal and interest on the related mortgage loan from the date such mortgage loan (other than a non-serviced loan) becomes a corrected mortgage loan through and including the then related maturity date (or such higher rate as would result in a workout fee of $25,000 when applied to each expected payment of principal and interest on the related mortgage loan from the date such mortgage loan becomes a corrected mortgage loan through and including the then related maturity date).
     
   
Notwithstanding the foregoing, in connection with a maturity default, no liquidation or workout fee will be payable in connection with a payoff or refinancing of the related mortgage loan within 90 days of the maturity default. In addition, the application of penalty charges allocable to a Selig Portfolio companion loan will be subject to the terms of the related co-lender agreement.
     
Operating Advisor
 
Prior to the occurrence and continuance of a Control Termination Event, the operating advisor will review certain information on the certificate administrator’s website, and will have access to any final asset status report but will not have any approval or consultation rights.  After the occurrence of and during the continuation of a Control Termination Event, the operating advisor will have consultation rights with respect to certain major decisions and will have additional monitoring and reporting responsibilities with respect to certain actions of the special servicer.
     
   
After the occurrence and during the continuance of a Control Termination Event, the operating advisor will be entitled to consult with the special servicer with respect to certain major decisions on behalf of the issuing entity and in the best interest of, and for the benefit of, the certificateholders and, in the case of a Selig Portfolio companion loan, the related companion loan holder(s), as a collective whole, as if those certificateholders and, if applicable, such companion loan holder(s) constituted a single lender.
     
   
The operating advisor will be subject to termination without cause if the holders of at least 15% of the voting rights of Non-Reduced Certificates vote to terminate and replace the operating advisor and such vote is approved by the holders of more than 50% of the voting rights of Non-Reduced Certificates that exercise their right to vote, provided that the holders of at least 50% of the voting rights of Non-Reduced Certificates have exercised their right to vote.  The holders initiating such vote will be responsible for the fees and expenses in connection with the vote and replacement. In addition, if none of the Class A-1, Class A-2, Class A-3, Class A-4, Class A-5, Class A-AB, Class A-S, Class B, Class C, Class PEZ or Class D certificates are outstanding, then at the option of the Controlling Class Representative, all of the rights and obligations of the operating advisor under the pooling and servicing agreement (other than any rights or obligations that accrued prior to such termination, including the right to accrued and unpaid compensation and indemnification rights that arose out of events that occurred prior to such termination) will terminate without the payment of any termination fee, provided, however, that the operating advisor will continue to receive the operating advisor fee until the termination of the trust fund.
     
Deal Website
 
The certificate administrator will maintain a deal website including, but not limited to:
     
   
all special notices delivered
   
summaries of final asset status reports
   
all appraisals in connection with an appraisal reduction plus any subsequent appraisal updates
   
an “Investor Q&A Forum” and
   
a voluntary investor registry

The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
23

 
 
CERTAIN DEFINITIONS
 
n
ADR”: Means, for any hospitality property, average daily rate.
 
n
Appraised Value”: With respect to each mortgaged property, the most current appraised value of such property as determined by an appraisal of the mortgaged property and in accordance with MAI standards made not more than 4 months prior to the origination date of the related mortgage loan. The appraisals for certain of the mortgaged properties state an “as stabilized” value as well as an “as-is” value for such mortgaged properties assuming that certain events will occur with respect to the re-tenanting, renovation or other repositioning of the mortgaged property. With respect to the Newcastle Senior Housing Portfolio mortgage loan the Appraised Value represents the aggregate “leased fee” appraised values for the Newcastle Senior Housing Portfolio mortgaged properties. Additionally, with respect to the Hampton Inn Pineville mortgage loan the Appraised Value is calculated based on the appraiser’s “as-is” appraised value of $12,000,000 plus a stated $1,400,000 “capital deduction” related to capital improvements at the related mortgaged property for which $1,500,000 was reserved in connection with the origination of the mortgage loan. For purposes of calculating the Maturity Date/ARD LTV Ratio for certain mortgage loans, the “as stabilized” value of the related mortgaged property is the applicable Appraised Value in this Term Sheet. See “Description of the Mortgage Pool—Certain Calculations and Definitions” in the Free Writing Prospectus for a description of Maturity Date/ARD LTV Ratio.
 
n
Borrower Sponsor”: The indirect owner, or one of the indirect owners, of the related borrower (in whole or in part) that may or may not have control of the related borrower. The Borrower Sponsor may be, but is not necessarily, the entity that acts as the guarantor of the non-recourse carveouts.
 
n
FF&E”: Furniture, fixtures and equipment.
 
n
GLA”: Gross leasable area.
 
n
Hard Lockbox”: Means that the borrower is required to direct the tenants to pay rents directly to a lockbox account controlled by the lender. Hospitality properties, multifamily properties and manufactured housing community properties are considered to have a hard lockbox if credit card receivables are required to be deposited directly into the lockbox account even though cash, checks or “over the counter” receipts are deposited by the manager of the related mortgaged property into the lockbox account controlled by the lender.
 
n
Non-owned Anchor(s)”: Tenants that occupy space equal to or greater than 30,000 SF at the related mortgaged property, which occupied space is not owned by the related borrower and is not part of the collateral for the related mortgage loan.
 
n
Non-owned Junior Anchor(s)”: Tenants that occupy space equal to or greater than 10,000 SF at the related mortgaged property and less than 30,000 SF at the related mortgaged property, which occupied space is not owned by the related borrower and is not part of the collateral for the related mortgage loan.
 
n
Non-owned Outparcel(s)”: Freestanding tenants that occupy space at the property that is separated from the rest of the tenants at the applicable mortgaged property which space occupied by those freestanding tenants is not owned by the related borrower and is not part of the collateral for the related mortgage loan.
 
n
Non-Reduced Certificates”: Each class of certificates (other than Class S, Class R or Class X certificates) (considering each of the Class A-S, Class B and Class C certificates together with the Class PEZ certificates’ applicable percentage interest of the related Class A-S, Class B or Class C trust component as a single “Class” for such purpose) that has an outstanding certificate principal amount as may be notionally reduced by any appraisal reductions allocated to that class, equal to or greater than 25% of an amount equal to the initial certificate principal amount of that class of certificates minus all principal payments made on such class of certificates.
 
n
Occupancy Cost”: With respect to any mortgaged property, total rental revenues divided by total sales.
 
n
Owned Anchor(s)”: Tenants that lease space equal to or greater than 30,000 SF at the related mortgaged property, which leased space is owned by the related borrower and is part of the collateral for the related mortgage loan.
 
n
Owned GLA”: With respect to any particular mortgaged property, the GLA of the space that is owned by the related borrower and is part of the collateral.
 
n
Owned Junior Anchor(s)”: Tenants that lease space equal to or greater than 10,000 SF and less than 30,000 SF at the related mortgaged property, which leased space is owned by the related borrower and is part of the collateral for the related mortgage loan.
 
n
Owned Occupancy”: With respect to any particular mortgaged property, as of a certain date, the percentage of net rentable square footage, rooms, units, beds or pads that are leased or rented (as applicable), solely with respect to the aggregate leased space, rooms, units, beds or pads in the property that is owned by the related borrower. In some cases Owned Occupancy was based on assumptions regarding occupancy, such as the assumption that a certain tenant at the mortgaged property that has executed a lease, but has not yet taken occupancy and / or has not yet commenced paying rent, will take occupancy on a future date generally expected to occur within 12 months after the Cut-off Date, assumptions regarding the execution of leases that are currently under negotiation and are expected to be executed, assumptions regarding the renewal of particular leases, the taking of additional space by tenants that have agreed to do so as described under “Description of the Mortgage Pool—Tenant Issues” in the Free Writing Prospectus to the extent material and / or assumptions regarding the re-leasing of certain space at the related mortgaged property, or in some cases, the exclusion of dark tenants, tenants with material aged receivables, tenants that may have already given notice to vacate their space, bankrupt tenants that have not yet affirmed their lease and certain additional leasing assumptions.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
24

 
 
CERTAIN DEFINITIONS (continued)
 
n
Owned Outparcel(s)”: Freestanding tenants that occupy space at the property that is separated from the rest of the tenants at the applicable mortgaged property which space occupied by those freestanding tenants is owned by the related borrower and is part of the collateral for the related mortgage loan.
 
n
Owned Tenant(s)”: Tenants whose leased space at the related mortgaged property is owned by the related borrower and is part of the collateral for the related mortgage loan.
 
n
Rating Agency Confirmation”: With respect to any matter, confirmation in writing (which may be in electronic form) by Moody’s, KBRA and DBRS that a proposed action, failure to act or other event so specified will not, in and of itself, result in the downgrade, qualification or withdrawal of the then current rating assigned by that rating agency to any class of certificates and with respect to a matter regarding a whole loan, any companion loan securities. However, such confirmation will be deemed received or not required in certain circumstances as further described in the Free Writing Prospectus. See “The Pooling and Servicing Agreement—Rating Agency Confirmations” in the Free Writing Prospectus.
 
n
RevPAR”: Means, with respect to any hospitality property, revenues per available room.
 
n
SF”: Square feet.
 
n
Soft Lockbox”: Means that the related borrower is required to deposit or cause the property manager to deposit all rents collected into a lockbox account. Hospitality, multifamily and manufactured housing community properties are considered to have a soft lockbox if credit card receivables, cash, checks or “over the counter” receipts are deposited into the lockbox account by the borrower or property manager.
 
n
Soft Springing Lockbox”: Means that the related borrower is required to deposit, or cause the property manager to deposit, all rents collected into a lockbox account until the occurrence of an event of default under the loan documents or one or more specified trigger events, at which time the lockbox converts to a Hard Lockbox.
 
n
Springing Lockbox”: Means a lockbox that is not currently in place, but the related loan documents require the imposition of a lockbox upon the occurrence of an event of default under the loan documents or one or more specified trigger events.
 
n
Total Occupancy”: With respect to any particular mortgaged property, as of a certain date, the percentage of net rentable square footage, rooms, units or pads that are leased or rented (as applicable), for the aggregate leased space, rooms, units or pads at the property, including any space that is owned by the related borrower and is part of the collateral in addition to any space that is owned by the applicable tenant and not part of the collateral for the related mortgage loan. In some cases Total Occupancy was based on assumptions regarding occupancy, such as the assumption that a certain tenant at the mortgaged property that has executed a lease, but has not yet taken occupancy and / or has not yet commenced paying rent, will take occupancy on a future date generally expected to occur within 12 months after the Cut-off Date, assumptions regarding the execution of leases that are currently under negotiation and are expected to be executed, assumptions regarding the renewal of particular leases, the taking of additional space by tenants that have agreed to do so as described under “Description of the Mortgage Pool—Tenant Issues” in the Free Writing Prospectus to the extent material and / or the assumptions regarding re-leasing of certain space at the related mortgaged property, or in some cases, the exclusion of dark tenants, tenants with material aged receivables, tenants that may have already given notice to vacate their space, bankrupt tenants that have not yet affirmed their lease and certain additional leasing assumptions.
 
n
TRIPRA”: Means the Terrorism Risk Insurance Program Reauthorization Act of 2007.
 
n
TTM”: Means trailing twelve months.
 
n
Underwritten Expenses”: With respect to any mortgage loan or mortgaged property, an estimate of operating expenses, as determined by the related originator and generally derived from historical expenses at the mortgaged property(-ies), the borrower’s budget or appraiser’s estimate, in some cases adjusted for significant occupancy increases and a market-rate management fee. We cannot assure you that the assumptions made with respect to any mortgaged property will, in fact, be consistent with that mortgaged property’s actual performance.
 
n
Underwritten Net Cash Flow (NCF)”: With respect to any mortgage loan or mortgaged property, cash flow available for debt service, generally equal to the Underwritten NOI decreased by an amount that the related originator has determined for tenant improvements and leasing commissions and / or replacement reserves for capital items. Underwritten NCF does not reflect debt service or non-cash items such as depreciation or amortization. With respect to the Newcastle Senior Housing Portfolio mortgage loan, as to which the related mortgaged properties are subject to a master lease and as to which the borrowers are only entitled to amounts payable under the master lease, the Underwritten Net Cash Flow is calculated based on the total revenue generated at the Newcastle Senior Housing Portfolio mortgaged properties. See “Newcastle Senior Housing Portfolio” in this Term Sheet. The Underwritten Net Cash Flow for each mortgaged property is calculated based on the basis of numerous assumptions and subjective judgments, which, if ultimately proved erroneous, could cause the actual operating income for the mortgaged property to differ materially from the Underwritten Net Cash Flow set forth in this Term Sheet.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
25

 
 
CERTAIN DEFINITIONS (continued)
 
n
Underwritten Net Operating Income (NOI)”: With respect to any mortgage loan or mortgaged property, Underwritten Revenues less Underwritten Expenses, as both are determined by the related originator, based in part upon borrower supplied information (including but not limited to a rent roll, leases, operating statements and budget) for a recent period which is generally the 12 months prior to the origination date or acquisition date of the mortgage loan (or whole loan, if applicable) adjusted for specific property, tenant and market considerations. Historical operating statements may not be available for newly constructed mortgaged properties, mortgaged properties with triple net leases, mortgaged properties that have recently undergone substantial renovations and/or newly acquired mortgaged properties. With respect to the Newcastle Senior Housing Portfolio mortgage loan, as to which the related mortgaged properties are subject to a master lease and as to which the borrowers are only entitled to amounts payable under the master lease, the Underwritten Net Operating Income is calculated based on the total revenue generated at the Newcastle Senior Housing Portfolio mortgaged properties. See “Newcastle Senior Housing Portfolio” in this Term Sheet.
 
n
Underwritten Revenues: With respect to any mortgage loan or mortgaged property, an estimate of operating revenues, as determined by the related originator and generally derived from the rental revenue based on leases in place, leases that have been executed but the tenant is not yet paying rent, in certain cases leases that are being negotiated and are expected to be signed, in certain cases leases that provide for a tenant to take additional space as described under “Description of the Mortgage Pool—Tenant Issues” in the Free Writing Prospectus to the extent material and in certain cases contractual rent increases generally within 13 months past the Cut-off Date, in certain cases certain appraiser estimates of rental income, and in some cases adjusted downward to market rates, with vacancy rates equal to the mortgaged property’s historical rate, current rate, market rate or an assumed vacancy as determined by the related originator; plus any additional recurring revenue fees. Additionally, in determining rental revenue for multifamily rental, manufactured housing community and self-storage properties, the related originator generally either reviewed rental revenue shown on the certified rolling 12-month operating statements or annualized the rental revenue and reimbursement of expenses shown on rent rolls or recent partial year operating statements with respect to the prior one- to 12-month periods or in some cases may have relied on information provided in the appraisal for market rental rates and vacancy. In some cases the related originator included revenue otherwise payable by a tenant but for the existence of an initial “free rent” period or a permitted rent abatement while the leased space is built out. With respect to the Newcastle Senior Housing Portfolio mortgage loan, as to which the related mortgaged properties are subject to a master lease and as to which the borrowers are only entitled to amounts payable under the master lease, Underwritten Revenues are based on the total revenue generated at the Newcastle Senior Housing Portfolio mortgaged properties. See “Newcastle Senior Housing Portfolio” in this Term Sheet. We cannot assure you that the assumptions made with respect to any mortgaged property will, in fact, be consistent with that mortgaged property’s actual performance.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
26

 
 
(THIS PAGE INTENTIONALLY LEFT BLANK)
 
 
27

 
 
MAINE MALL
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
28

 
 
MAINE MALL
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
29

 
 
MAINE MALL
 
(MAP)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
30

 
 
MAINE MALL
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1
 
Loan Seller
CGMRC
Location (City/State)
South Portland, Maine
 
Cut-off Date Principal Balance(2)
$110,000,000
Property Type
Retail
 
Cut-off Date Principal Balance per SF(1)
$321.72
Size (SF)
730,444
 
Percentage of Initial Pool Balance
11.4%
Total Occupancy as of 1/31/2014
98.0%
 
Number of Related Mortgage Loans
None
Owned Occupancy as of 1/31/2014
97.2%
 
Type of Security
Fee Simple
Year Built / Latest Renovation
1971, 1983 / 1989, 1994
 
Mortgage Rate
4.6600%
Appraised Value
$395,000,000
 
Original Term to Maturity (Months)
120
     
Original Amortization Term (Months)
NAP
     
Original Interest Only Period (Months)
120
Underwritten Revenues
$29,216,598
       
Underwritten Expenses
$7,849,481
 
Escrows(3)
Underwritten Net Operating Income (NOI)
$21,367,118
   
Upfront
Monthly
Underwritten Net Cash Flow (NCF)
$20,337,144
 
Taxes
$0
$0
Cut-off Date LTV Ratio(1)
59.5%
 
Insurance
$0
$0
Maturity Date LTV Ratio(1)
59.5%
 
Replacement Reserves
$0
$0
DSCR Based on Underwritten NOI / NCF(1)
1.92x / 1.83x
 
TI/LC
$0
$0
Debt Yield Based on Underwritten NOI / NCF(1)
9.1% / 8.7%
 
Other
$0
$0
 
Sources and Uses  
Sources
$
%
 
Uses
$
%
Loan Amount
$235,000,000
100.0%
 
Loan Payoff(4)
$194,093,064
82.6
       
Principal Equity Distribution
39,693,966
16.9
 
       
Closing Costs
1,212,970
0.5
 
Total Sources
$235,000,000
100.0%
 
Total Uses
$235,000,000
100.0
 

 
(1)
Calculated based on the Maine Mall Whole Loan.
 
(2)
The Cut-off Date Balance of $110,000,000 represents the note A-2 of a $235,000,000 whole loan evidenced by two pari passu notes. The companion loan is the note A-1 with a principal balance of $125,000,000 as of the Cut-off Date that is held outside the Issuing Entity and was contributed to the Citigroup Commercial Mortgage Trust 2014-GC21 (“CGCMT 2014-GC21”) securitization.
 
(3)
The Maine Mall loan agreement does not require upfront reserves for taxes, insurance, replacement reserves, TI/LCs or other reserves. The Maine Mall loan agreement requires certain monthly reserves upon the occurrence of a Maine Mall Trigger Period or a Maine Mall Cash Sweep Event Period. See “—Escrows” below.
 
(4)
The Maine Mall Property was previously encumbered by an approximately $127.3 million loan and two B-notes totaling approximately $66.8 million.
 
n
The Mortgage Loan. The mortgage loan (the “Maine Mall Loan”) is part of a whole loan structure (the “Maine Mall Whole Loan”) comprised of two pari passu notes that are together secured by a first mortgage encumbering the borrower’s fee interest in a retail property located in South Portland, Maine (the “Maine Mall Property”). The Maine Mall Loan (evidenced by note A-2), which will be contributed to the Issuing Entity, has an outstanding principal balance as of the Cut-off Date of $110,000,000 and represents approximately 11.4% of the Initial Pool Balance and the related companion loan (the “Maine Mall Companion Loan”) (evidenced by note A-1), which was contributed to the CGCMT 2014-GC21 transaction, has an outstanding principal balance as of the Cut-off Date of $125,000,000. The Maine Mall Whole Loan was originated on March 11, 2014 by Citigroup Global Markets Realty Corp. The Maine Mall Whole Loan had an original principal balance of $235,000,000 and has an interest rate of 4.6600% per annum. The proceeds of the Maine Mall Whole Loan were primarily used to refinance existing debt on the Maine Mall Property, pay closing costs and return equity to the borrower sponsor. The Maine Mall Whole Loan will be serviced under the CGCMT 2014-GC21 pooling and servicing agreement. See “Description of the Mortgage Pool — The Whole Loans” in the Free Writing Prospectus for more information regarding the co-lender agreement that governs the relative rights of the holders of the Maine Mall Loan and the Maine Mall Companion Loan.
 
The Maine Mall Loan had an initial term of 120 months and has a remaining term of 118 months as of the Cut-off Date and requires interest only payments. The scheduled maturity date of the Maine Mall Loan is the due date in April 2024. At any time after the second anniversary of the securitization Closing Date, the Maine Mall Loan may be defeased with certain direct full faith and credit obligations of the United States of America or other obligations which are “government securities” permitted under the loan documents (and acceptable to the Rating Agencies). On or after the due date occurring in January 2024, the borrower will be permitted to prepay the Maine Mall Loan in whole (but not in part) without incurring a prepayment premium or yield maintenance charge.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
31

 
 
MAINE MALL
 
n
The Mortgaged Property. The shopping center comprised of the Maine Mall Property (inclusive of Macy’s and Sears stores which are not part of the collateral) is a 1,022,208 SF super-regional mall located in South Portland, Maine and was constructed in 1971 and 1983 and most recently renovated in 1994. The Maine Mall Property is located in the Portland, Maine metropolitan statistical area at the junction of I-295 and I-95, approximately 0.25 miles from the Portland International Jetport. The Maine Mall Property’s space (exclusive of Macy’s and Sears) that constitutes collateral totals approximately 730,444 SF and includes tenants such as The Bon Ton, JC Penney, Best Buy, Sports Authority, XXI Forever, H&M, Banana Republic, Gap and Apple. As of January 31, 2014, the Total Occupancy was 98.0% and Owned Occupancy was 97.2%. The Maine Mall Property generates in-line sales, less than 10,000 SF comparable tenant (tenants that report sales and have been in occupancy for a minimum of two Januarys), of approximately $598 PSF and an occupancy cost of 11.4% as of January 31, 2014.
 
The following table presents certain information relating to certain tenants (of which, certain tenants may have co-tenancy provisions) at the Maine Mall Property:
 
Tenant Name
 
Credit Rating
(Fitch/MIS/S&P)(1)
 
Tenant
GLA
 
% of
Total
GLA
 
Mortgage Loan Collateral Interest
 
Total
 Rent(2)
 
Total Rent $ per SF(2)
 
Lease Expiration
 
Tenant Sales $ per SF(2)
 
Actual Occupancy Cost(2)
 
Renewal / Extension Options
Anchors
                                               
Macy’s
 
BBB / Baa2 / BBB+
 
188,912
   
18.5
 
No
   
         NA
   
NA
 
NA
 
NA
 
NA
 
NA
The Bon Ton
 
NR / Caa2 / B-
 
120,844
   
11.8
   
Yes
   
$1,266,549
   
$10.48
 
1/31/2029
 
NA(3)
 
NA(3)
 
4, 5-year options
Sears
 
B- / Caa1 / CCC+
 
102,852
   
10.1
   
No
   
         NA
   
NA
 
NA
 
NA
 
NA
 
NA
JC Penney
 
CCC / Caa1 / CCC+
 
85,898
   
8.4
   
Yes
   
$552,250
   
$6.43
 
7/31/2018
 
$115
 
5.6%
 
6, 5-year options
Best Buy
 
BB- / Baa2 / BB
 
45,793
   
4.5
   
Yes
   
$1,320,811
   
$28.84
 
1/31/2019
 
NA
 
NA
 
2, 5-year options
Sports Authority
 
NR / NR / NR
 
43,326
   
4.2
   
Yes
   
$976,075
   
$22.53
 
6/30/2017
 
$116
 
19.4%
 
NA
Total Anchors
     
587,625
   
57.5
                               
                                                 
Major Tenants
                                               
XXI Forever
 
NR / NR / NR
 
26,339
   
2.6
 
Yes
   
$1,249,522
   
$47.44
 
1/31/2019
 
$200
 
23.7%
 
NA
Old Navy
 
BBB- / Baa3 / BBB-
 
20,876
   
2.0
   
Yes
   
$417,520
   
$20.00
 
1/31/2022
 
$366
 
5.5%
 
1, 5-year option
H&M
 
NR / NR / NR
 
17,185
   
1.7
   
Yes
   
$869,780
   
$50.61
 
1/31/2019
 
$205
 
24.7%
 
NA
Gap
 
BBB- / Baa3 / BBB-
 
16,169
   
1.6
   
Yes
   
$702,424
   
$43.44
 
1/31/2016
 
$185
 
23.5%
 
NA
Super Shoes
 
NR / NR / NR
 
15,804
   
1.5
   
Yes
   
$237,060
   
$15.00
 
9/30/2020
 
$169
 
8.9%
 
2, 5-year options
Abercrombie & Fitch
 
NR / NR / NR
 
10,525
   
1.0
   
Yes
   
$469,471
   
$44.61
 
1/31/2019
 
$188
 
23.7%
 
NA
Pier 1 Imports
 
NR / B1 / B+
 
10,100
   
1.0
   
Yes
   
$290,501
   
$28.76
 
6/30/2023
 
NA
 
NA
 
2, 5-year options
Total Major Tenants
     
116,998
   
11.4
                         
                                                 
15 Largest In-line Tenants based on Underwritten Base Rent
                                 
American Eagle Outfitters
 
NR / NR / NR
 
9,083
   
0.9
 
Yes
   
$738,514
   
$81.31
 
4/30/2018
 
$421
 
19.3%
 
NA
Victoria’s Secret
 
NR / NR / NR
 
8,830
   
0.9
   
Yes
   
$534,776
   
$60.56
 
1/31/2015
 
$961
 
6.3%
 
NA
Olympia Sports
 
NR / NR / NR
 
6,375
   
0.6
   
Yes
   
$456,606
   
$71.62
 
1/31/2019
 
$335
 
21.4%
 
NA
Express
 
NR / NR / NR
 
7,225
   
0.7
   
Yes
   
$396,181
   
$54.83
 
1/31/2015
 
$318
 
17.2%
 
NA
Lane Bryant
 
NR / NR / NR
 
5,861
   
0.6
   
Yes
   
$376,144
   
$64.18
 
4/30/2015
 
$177
 
36.3%
 
NA
Coldwater Creek(4)
 
NR / NR / NR
 
6,644
   
0.6
   
Yes
   
$372,864
   
$56.12
 
1/31/2019
 
$150
 
37.4%
 
NA
Pacsun
 
NR / NR / NR
 
4,471
   
0.4
   
Yes
   
$366,550
   
$81.98
 
6/30/2019
 
$254
 
32.3%
 
NA
Ulta
 
NR / NR / NR
 
9,967
   
1.0
   
Yes
   
$365,991
   
$36.72
 
2/28/2021
 
$316
 
11.6%
 
2, 5-year options
Lenscrafters
 
NR / NR / NR
 
4,242
   
0.4
   
Yes
   
$358,285
   
$84.46
 
1/31/2019
 
$863
 
9.8%
 
NA
Eddie Bauer
 
NR / NR / NR
 
5,876
   
0.6
   
Yes
   
$354,187
   
$60.28
 
1/31/2023
 
$244
 
24.7%
 
NA
Banana Republic
 
BBB- / Baa3 / BBB-
 
6,000
   
0.6
   
Yes
   
$340,101
   
$56.68
 
10/31/2014
 
$296
 
19.1%
 
2 options(5)
David’s Bridal
 
NR / NR / NR
 
9,163
   
0.9
   
Yes
   
$332,933
   
$36.33
 
1/31/2019
 
$312
 
11.6%
 
NA
Sephora
 
NR / NR / NR
 
5,200
   
0.5
   
Yes
   
$328,466
   
$63.17
 
1/31/2021
 
$814
 
7.8%
 
NA
Apple
 
NR / Aa1 / AA+
 
5,322
   
0.5
   
Yes
   
$322,334
   
$60.57
 
1/31/2019
 
$6,357
 
1.0%
 
NA
Loft
 
NR / NR / NR
 
5,500
   
0.5
   
Yes
   
$310,709
   
$56.49
 
1/31/2015
 
$404
 
14.0%
 
NA
Fifteen Largest In-line Tenants
     
99,759
   
9.8
                               
                                                 
Remaining Tenants
     
197,720
   
19.3
       
$12,627,646
   
$63.87
               
Vacant Spaces
     
20,106
   
2.0
       
 $0
   
$0.00
               
Total Owned SF
     
730,444
   
71.5
                               
Total SF
     
1,022,208
   
100.0
                               
 

 
(1)
Certain ratings are those of the parent company whether or not the parent guarantees the lease.
 
(2)
Total Rent, Tenant Sales and Actual Occupancy Cost as of TTM December 31, 2013.
 
(3)
The Bon Ton opened in September 2013 and sales are not available.
 
(4)
Coldwater Creek filed Chapter 11 Bankruptcy on April 11, 2014. Coldwater Creek’s stores and website are currently open for business, however, it is expected that they will be closing all of their stores. Coldwater Creek may terminate its lease with 90 days’ notice and payment of 50% of the unamortized portion of the construction allowance if its net sales are less than $2,657,600 during the period from February 1, 2013 through January 31, 2014. Coldwater Creek’s sales were $994,283 during the period from February 1, 2013 through January 31, 2014.
 
(5)
Banana Republic has two renewal options. The first renewal option is for three years and the second renewal option is for five years.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
32

 
 
MAINE MALL
 
The following table presents general descriptions of certain major tenants at the Maine Mall Property:
 
Five Largest Owned Tenants Based On Underwritten Base Rent
 
Tenant Name
 
 
Tenant Description
 
 
Renewal / Extension Options
XXI Forever
 
Forever 21 is an American chain of clothing retailers with branches in major cities in the United States and Canada, Europe, Asia and the Middle East offering fashion and accessories for young women and men.
 
NA
         
Best Buy
 
Best Buy Co., Inc. is a multinational corporation selling consumer electronics and a variety of related merchandise, including software, video games, music, DVDs, Blu-ray discs, mobile phones, digital cameras, car stereos and video cameras, in addition to home appliances. In 2013, Best Buy operated 1,056 Best Buy and 409 Best Buy Mobile stand-alone stores in the US. Best Buy also operated; 140 Future Shop, 72 Best Buy and 49 Best Buy Mobile stand-alone stores in Canada; 211 Five Star stores in China; and 14 Best Buy stores in Mexico. As of 2013, Best Buy employed approximately 180,000 employees worldwide.
 
2, 5-year options
         
H&M
 
H & M Hennes & Mauritz AB (operating as H&M) is a Swedish retail-clothing company, known for its clothing offerings for women, men, teenagers and children. It has over 2,200 stores in 41 markets and as of 2011 employed around 87,000 people.
 
NA
         
The Bon Ton
 
The Bon Ton is a regional department store company based in York, Pennsylvania chiefly operating 275 stores, including 11 furniture galleries, in 23 states throughout the northern United States with 27,100 employees.
 
4, 5-year options
         
Sports Authority
 
Sports Authority, Inc. is one of the largest sporting goods retailers in the United States with around 14,250 employees. Sports Authority is headquartered in Englewood, Colorado and it operates more than 460 stores in 45 U.S. States and Puerto Rico.
 
NA
 
The following table presents certain information relating to the lease rollover schedule at the Maine Mall Property, based on initial lease expiration dates:
 
Lease Expiration Schedule(1)
 
Year Ending
December 31,
 
Expiring
Owned GLA
 
% of Owned
GLA
 
Cumulative % of Owned GLA
 
UW Base Rent
 
% of Total UW Base Rent
 
UW Base Rent
$ per SF
 
# Expiring Tenants
MTM
 
1,809
   
0.2
 
0.2%
   
$94,068
   
0.5
 
$52.00
   
1
 
2014
 
7,126
   
1.0
   
1.2%
   
410,348
   
2.2
   
57.58
   
2
 
2015
 
77,228
   
10.6
   
11.8%
   
2,299,639
   
12.1
   
29.78
   
18
 
2016
 
27,359
   
3.7
   
15.5%
   
1,488,686
   
7.9
   
54.41
   
9
 
2017
 
61,663
   
8.4
   
24.0%
   
1,647,696
   
8.7
   
26.72
   
12
 
2018
 
115,091
   
15.8
   
39.7%
   
1,283,925
   
6.8
   
11.16
   
10
 
2019
 
148,408
   
20.3
   
60.1%
   
5,722,034
   
30.2
   
38.56
   
17
 
2020
 
26,312
   
3.6
   
63.7%
   
940,540
   
5.0
   
35.75
   
9
 
2021
 
39,660
   
5.4
   
69.1%
   
1,797,667
   
9.5
   
45.33
   
12
 
2022
 
38,399
   
5.3
   
74.3%
   
1,068,207
   
5.6
   
27.82
   
10
 
2023
 
33,395
   
4.6
   
78.9%
   
1,042,483
   
5.5
   
31.22
   
8
 
2024
 
7,044
   
1.0
   
79.9%
   
265,429
   
1.4
   
37.68
   
4
 
2025 & Thereafter
 
126,844
   
17.4
   
97.2%
   
893,041
   
4.7
   
 7.04
   
2
 
Vacant
 
20,106
   
2.8
   
100.0%
   
0
   
0.0
   
0.00
   
0
 
Total / Wtd. Avg.
 
730,444
   
100.0
       
$18,953,764
   
100.0
 
$26.68
   
114
 
 

 
(1)
Calculated based on approximate square footage occupied by each Owned Tenant.

The following table presents certain information relating to historical leasing at the Maine Mall Property:
 
Historical Leased %(1)
   
 
2008
 
 
2009
 
 
2010
 
 
2011
 
 
2012
 
 
2013
 
 
As of
1/31/2014
Owned Space
 
91.6%
 
93.8%
 
92.3%
 
95.2%
 
97.0%
 
96.3%
 
97.2%
 

 
(1)
As provided by the borrower and represents occupancy as of December 31, for the indicated year unless otherwise specified.

The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
33

 
 
MAINE MALL
 
The following table presents certain information relating to the historical average annual rent per SF at the Maine Mall Property:
 
Historical Average Base Rent PSF(1)
   
 
2011
 
 
2012
 
 
2013
Base Rent per SF
 
$22.46
 
$23.70
 
$24.95


 
(1)
Base Rent PSF calculation is based on borrower provided rental figures and total occupied square footage of 695,383 (2011), 708,531 (2012) and 710,338 (2013).
 
The following table presents certain information relating to comparable in-line sales at the Maine Mall Property:
 
Historical Sales and Occupancy Cost for Comparable In-line Tenants (< 10,000 SF)(1)
   
 
2010
 
 
2011
 
 
2012
 
 
2013
Comparable In-line sales per SF including Apple
 
$555
 
$594
 
$638
 
$598
Occupancy cost including Apple
 
11.3%
 
10.7%
 
10.2%
 
11.4%
Comparable In-line sales per SF excluding Apple
 
$443
 
$450
 
$468
 
$456
Occupancy cost excluding Apple
 
14.2%
 
14.1%
 
13.6%
 
15.0%
 

 
(1)
As provided by the borrower.
 
n
Operating History and Underwritten Net Cash Flow. The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the Maine Mall Property:
 
Cash Flow Analysis(1)(2)
 
   
2010
 
 
2011
 
2012
 
2013
 
TTM 1/31/2014
 
Underwritten
 
Underwritten
$ per SF
Base Rent
 
$14,453,882
 
$15,619,492
 
$16,794,264
 
$17,551,914
 
$17,695,135
 
$18,556,163
   
$25.40
 
Contractual Rent Steps
 
0
 
0
 
0
 
0
 
0
 
397,601
   
0.54
 
Percentage Rent
 
1,283,095
 
1,433,349
 
1,499,733
 
1,025,403
 
960,451
 
675,830
   
0.93
 
Specialty Leasing(3)
 
819,844
 
907,858
 
893,470
 
1,061,494
 
1,057,360
 
1,057,360
   
1.45
 
Gross Up Vacancy
 
0
 
0
 
0
 
0
 
0
 
1,005,071
   
1.38
 
Total Rent
 
$16,556,821
 
$17,960,699
 
$19,187,467
 
$19,638,810
 
$19,712,946
 
$21,692,025
   
$29.70
 
Total Reimbursables
 
6,160,245
 
5,772,842
 
5,652,568
 
7,172,705
 
7,287,990
 
7,994,784
   
10.95
 
Other Income(4)
 
692,937
 
862,217
 
993,517
 
556,866
 
541,715
 
534,860
   
0.73
 
Vacancy & Credit Loss
 
8,622
 
(20,560)
 
(5,634)
 
(87,460)
 
17,004
 
(1,005,071)
   
(1.38)
 
Effective Gross Income
 
$23,418,625
 
$24,575,198
 
$25,827,918
 
$27,280,921
 
$27,559,654
 
$29,216,598
   
$40.00
 
                                 
Real Estate Taxes
 
$3,650,659
 
$3,592,381
 
$3,824,411
 
$4,143,975
 
$4,148,939
 
$4,192,300
   
$5.74
 
Insurance
 
115,623
 
111,553
 
151,445
 
176,097
 
176,258
 
169,362
   
0.23
 
Management Fee
 
0
 
0
 
0
 
0
 
0
 
438,249
   
0.60
 
Other Operating Expenses
 
3,078,958
 
3,155,522
 
3,248,688
 
2,952,059
 
2,921,081
 
3,049,569
   
4.17
 
Total Operating Expenses
 
$6,845,240
 
$6,859,456
 
$7,224,545
 
7,272,131
 
$7,246,278
 
$7,849,481
   
$10.75
 
                                 
Net Operating Income
 
$16,573,385
 
$17,715,742
 
$18,603,373
 
$20,008,790
 
$20,313,377
 
$21,367,118
   
$29.25
 
TI/LC
 
0
 
0
 
0
 
0
 
0
 
879,416
   
1.20
 
Capital Expenditures
 
0
 
0
 
0
 
0
 
0
 
150,558
   
0.21
 
Net Cash Flow
 
$16,573,385
 
$17,715,742
 
$18,603,373
 
$20,008,790
 
$20,313,377
 
$20,337,144
   
$27.84
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, lease cancellation income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Underwritten cash flow based on the January 31, 2014 rent roll with contractual rent steps taken through March 1, 2015.
 
(3)
Specialty leasing represents rent from various temporary kiosks, removable units, wireless kiosks, and storage which are not included within the GLA of the mall.
 
(4)
Other income includes certain tenants’ utility payments, trash pad rental, antenna rent, storage income, advertising revenue, sponsorship income, vending income, telephone income, stroller revenue, gift card income, and other miscellaneous revenue.
 
n
Appraisal. According to the appraisal, the Maine Mall Property had an “as-is” appraised value of $395,000,000 as of an effective date of February 25, 2014.
 
n
Environmental Matters. A Phase I environmental report, dated February 26, 2014, did not identify the presence of a recognized environmental condition and recommended no further action other than the institution of an operations and maintenance plan for asbestos, which was in place at origination of the Maine Mall Loan.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
34

 
 
MAINE MALL
 
n
Market Overview and Competition. The Maine Mall Property is a super-regional mall located in South Portland, Maine and is the largest enclosed mall in the state of Maine. Per the appraisal, the Maine Mall Property is the only enclosed center within a 30-mile radius and is the dominant center for a sizable geographical trade area. The closest competing super-regional mall identified in the appraisal is The Mall at Fox Run, located approximately 50 miles from the Maine Mall Property, in Newington, New Hampshire. As of 2013, the population within a 30-mile radius of the Maine Mall Property was 449,225 with an average household income of $71,316.
 
The following table presents certain information relating to the primary competition for the Maine Mall Property:
 
Competitive Set(1)
   
 
Maine Mall
 
 
Bangor Mall
 
 
The Mall at Fox Run
 
 
Kittery Outlets
 
 
Freeport Village Station
Distance from Subject
 
-
 
138 miles
 
50 miles
 
45 miles
 
20 miles
Property Type
 
Super-Regional Mall
 
Super-Regional Mall
 
Super-Regional Mall
 
Outlet Center
 
Lifestyle Center
Year Built / Renovated
 
1971, 1983 / 1989, 1994
 
1979 / 1997
 
1982 / 2000
 
1978 / 1990
 
2012 / NAP
Total GLA
 
1,022,208
 
654,823
 
600,831
 
700,000
 
114,026
Total Occupancy
 
98.0%
 
98.0%
 
97.0%
 
99.0%
 
99.0%
Anchors
 
Macy’s, The Bon Ton, Sears, JC Penney, Best Buy
 
Macy’s, Sears, JC Penney, Dick’s Sporting Goods
 
Macy’s, Sears, JC Penney
 
Crate & Barrel, Banana Republic, Corning Factory Outlet, Gap
 
LL Bean, Old Navy
 

 
(1)
Source: Appraisal.
 
n
The Borrower. The borrower is GGP-Maine Mall L.L.C., a recycled single-purpose, single-asset entity. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of the Maine Mall Loan. The Maine Mall Loan’s sponsor and non-recourse carveout guarantor is GGP Real Estate Holding I, Inc., a Delaware corporation (“GGP Holding I”), an affiliate of General Growth Properties, Inc. (“GGP”).
 
n
Escrows. On each due date during the continuance of a Maine Mall Cash Sweep Event Period or a Maine Mall Trigger Period, the borrower is required to fund (i) a tax and insurance reserve in an amount equal to one-twelfth of the amount the lender estimates will be necessary to pay tax and insurance premiums over the then succeeding twelve month period, unless, with respect to insurance, the borrower provides evidence that the required insurance is being provided under any blanket policy reasonably acceptable to the lender, (ii) a tenant improvement and leasing commission reserve in the monthly amount of $50,000, capped at $600,000, and (iii) a capital expenditure reserve in the monthly amount of $8,598, capped at $103,177.
 
Additionally, at origination, GGP Holding I, delivered to the lender a guarantee of certain unfunded landlord obligations of the borrower totaling $260,683 at the Maine Mall Property, in lieu of a cash reserve for the same amount.
 
A “Maine Mall Cash Sweep Event Period” means any period commencing as of (i) the occurrence and continuance of an event of default, (ii) the filing of a bankruptcy petition or a similar event with respect to the borrower, (iii) the filing of a bankruptcy petition or a similar event with respect to the guarantor, (iv) the filing of a bankruptcy petition or a similar event with respect to the property manager, or (v) the occurrence and continuance of an event of default under a subordinate mezzanine loan document, if any, and terminating upon the cure of any such Maine Mall Cash Sweep Event Period in accordance with the loan documents.
 
A “Maine Mall Trigger Period” means any period commencing as of the end of any fiscal quarter in which the debt service coverage ratio (as calculated under the loan documents) of the Maine Mall Property for the twelve-month period immediately preceding such fiscal quarter end is less than 1.50x and terminating as of the end of the second consecutive fiscal quarter in which the debt service coverage ratio of the Maine Mall Property for the twelve-month period immediately preceding such fiscal quarter end is equal to or greater than 1.50x.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
35

 
 
MAINE MALL
 
n
Lockbox and Cash Management. The Maine Mall Loan requires a hard lockbox, which is already in place, with springing cash management. The loan documents require the borrower to cause all rents (excluding (i) rents paid by tenants under seasonal leases, licensees and other miscellaneous payors, (ii) de minimis income, and (iii) rents generated pursuant to multi-property sponsorship and advertising programs which are attributable to the Maine Mall Property) to be paid directly to a lender controlled lockbox account. The loan documents also require that all rents and other amounts (other than de minimis income and rents generated pursuant to multi-property sponsorship and advertising programs which are attributable to the Maine Mall Property) received by the borrower or the property manager be deposited into the lockbox account within 3 business days after receipt. On each business day that no Maine Mall Cash Sweep Event Period is continuing and no Maine Mall Trigger Period is continuing, all amounts in the lockbox account are required to be swept to an operating account of borrower. During the continuance of a Maine Mall Trigger Period or a Maine Mall Cash Sweep Event Period, all amounts in the lockbox account are required to be swept to the lender-controlled cash management account on a daily basis and, provided no event of default is continuing, applied to payment of applicable debt service, payment of operating expenses, and funding of required reserves, with the remainder being deposited into the excess cash flow reserve. Funds in the excess cash flow reserve are (i) to the extent no Maine Mall Cash Sweep Event Period is continuing, to be swept into the borrower’s operating account, and (ii) to the extent a Maine Mall Cash Sweep Event Period is continuing, to be held as additional collateral for the Maine Mall Loan. Following the initiation of foreclosure proceedings, exercise of a power of sale or initiation of proceedings for the appointment of a receiver with respect to the Maine Mall Property, or following an acceleration of the Maine Mall Loan, the lender may apply any funds in the cash management account to amounts payable under the Maine Mall Loan and/or toward the payment of expenses of the Maine Mall Property, in such order of priority as the lender may determine.
 
n
Property Management. Under the loan documents, the Maine Mall Property must be managed by (i) the borrower, (ii) General Growth Services, Inc., (iii) General Growth Management, Inc., or such other affiliate of GGP Holding I (provided such entity operates under a written management agreement on arm’s length terms reasonably acceptable to lender that provides for the segregation of funds as between the Maine Mall Property and other managed properties), or (iv) a reputable and experienced management company, which, in the reasonable judgment of the lender, possesses experience in managing properties similar in location, size, class, use and operation of the Maine Mall Property and with respect to which the lender has received Rating Agency Confirmation (and a new non-consolidation opinion if the property manager is an affiliate of the borrower). During the continuance of an event of default under the Maine Mall Loan, a material default by the property manager under its management agreement, the filing of a bankruptcy petition or a similar event with respect to the property manager, or if the property manager has engaged in gross negligence, fraud, willful misconduct or misappropriation of funds, the lender may require the borrower to replace the manager if the property is not self-managed. If the property is self-managed, following the initiation of foreclosure proceedings, exercise of a power of sale or initiation of proceedings for the appointment of a receiver with respect to the Maine Mall Property, the lender has the right to require the borrower to engage an approved unaffiliated property manager.
 
n
Mezzanine or Secured Subordinate Indebtedness. Mezzanine debt is permitted from certain qualified institutional lenders meeting the requirements set forth in the Maine Mall loan agreement (or from multiple lenders, to the extent that more than 50% of such debt is held by such qualified institutional lenders) to a direct or indirect equity owner of borrower that is secured by a pledge of direct or indirect equity interests in borrower, so long as, among other things (i) immediately after giving effect to such debt, the combined loan-to-value ratio (as calculated under the loan documents) does not exceed 56.5%, (ii) immediately after giving effect to such debt, the combined debt service coverage ratio (as calculated under the loan documents) is at least 1.95x, (iii) an intercreditor agreement is received by the lender, (iv) the mezzanine debt is either coterminous with the Maine Mall Loan or prepayable without premium or penalty from and after the maturity date of the Maine Mall Loan, (v) if such mezzanine debt bears a floating rate of interest, borrower obtains an interest rate cap agreement, (vi) such mezzanine debt is a current-pay loan with no “pay-in-kind” feature, and (vii) if required by lender, Rating Agency Confirmation has been obtained.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
36

 
 
MAINE MALL
 
n
Terrorism Insurance. The borrower is required to maintain a “special peril” insurance policy that provides coverage for terrorism in an amount equal to the full replacement cost of the Maine Mall Property, plus twelve months of business interruption coverage with an additional extended period of indemnity for twelve months or until the income is restored to the prior level. Such “special peril” insurance policy is required to contain a deductible that is no larger than $100,000. See “Risk Factors—Terrorism Insurance May Not Be Available for All Mortgaged Properties” in the Free Writing Prospectus.
 
n
Release, Substitution and Expansion. The Maine Mall loan documents permit the borrower to release certain vacant non-income producing parcels, and additionally, to substitute certain vacant, non-income producing parcels with other parcels at the shopping center subject to satisfaction of certain conditions set forth in the Maine Mall loan documents. See “Description of the Mortgage Pool—Certain Terms of the Mortgage Loans—Partial Releases” in the Free Writing Prospectus. Additionally, the borrower may, from time to time, acquire one or more parcels of land that constitute an integral part of, or adjoins, the shopping center of which the Maine Mall Property is a part, subject to the satisfaction of certain conditions including that: (i) no event of default is then continuing, (ii) upon the date of the expansion, the borrower acquires a fee simple or leasehold interest to the expansion parcel, (iii) the borrower executes and delivers substitute loan documents adding such parcel to the collateral, (iv) the borrower delivers a clean Phase I environmental report and, if recommended under the Phase I environmental report, a Phase II environmental report, (v) if the expansion parcel is improved, the borrower delivers to lender a physical conditions report acceptable to lender, (vi) the borrower delivers evidence that the expansion parcel constitutes one or more separate tax lots, and (vii) the acquisition of the expansion parcel does not violate any of the provisions of the leases, operating agreements, parking agreements, or other similar agreements affecting the Maine Mall Property.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
37

 
 
SELIG PORTFOLIO
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
38

 
 
SELIG PORTFOLIO
 
(GRAPHIC)
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
39

 
 
SELIG PORTFOLIO
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
7
 
Loan Seller
 
GSMC
Location (City/State)
Seattle, Washington
 
Cut-off Date Principal Balance(4)
 
$100,000,000
Property Type
Office
 
Cut-off Date Principal Balance per SF(2)
 
$181.97
Size (SF)
 1,082,617
 
Percentage of Initial Pool Balance
 
10.4%
Total Occupancy as of 3/25/2014(1)
85.4%
 
Number of Related Mortgage Loans
 
None
Owned Occupancy as of 3/25/2014(1)
85.4%
 
Type of Security
 
Fee Simple
Year Built / Latest Renovation
Various / Various
 
Mortgage Rate
 
4.6080%
Appraised Value
$335,300,000
 
Original Term to Maturity (Months)
 
120
     
Original Amortization Term (Months)
 
NAP
     
Original Interest Only Term (Months)
120
       
       
Underwritten Revenues
$27,283,001
   
Underwritten Expenses
$7,205,223
 
Escrows
Underwritten Net Operating Income (NOI)
$20,077,778
   
Upfront
Monthly
Underwritten Net Cash Flow (NCF)
$18,955,579
 
Taxes
$154,704
$154,704
Cut-off Date LTV Ratio(2)
58.8%
 
Insurance
$178,601
$13,739
Maturity Date LTV Ratio(2)(3)
55.6%
 
Replacement Reserve
$0
$22,553
DSCR Based on Underwritten NOI / NCF(2)
2.18x / 2.06x
 
TI/LC
$0
$135,316
Debt Yield Based on Underwritten NOI / NCF(2)
10.2% / 9.6%
 
Other(5)
$3,151,122
$0
 
  Sources and Uses(2)
Sources
$
  %
 Uses
$
 %
Loan Amount
$197,000,000
   99.4%
 Loan Payoff
$193,987,842
   97.9%
Principal’s New Cash Contribution
1,219,280
 0.6
 Reserves
3,484,427
 1.8
     
 Closing Costs
747,011
 0.4
           
Total Sources
$198,219,280
100.0%
 Total Uses
$198,219,280
100.0%
 

 
(1)
Total and Owned Occupancy includes 41,059 SF for the following tenants who have executed leases but have not yet taken occupancy or begun paying rent: Walsh Construction, Lorber Law, Dental Health Services, Qliance Medical Mgmt. Inc., Denice E. Rasch, Tinyhr, Burkett & Burdette, Seattle Corporate Search, J. Mark Weiss, P.S. and Reid Case Management. The Total and Owned Occupancy without taking into account these signed but not open tenants are both 81.6%. We cannot assure you that these tenants will take occupancy and begin paying rent as expected or at all.
 
(2)
Calculated based on the Selig Portfolio Whole Loan.
 
(3)
The Maturity Date LTV Ratio is calculated utilizing the “as-stabilized” appraised value of $354,500,000. The Maturity Date LTV Ratio, calculated on the basis of the “as-is” appraised value is 58.8%. See “—Appraisal” below.
 
(4)
The Cut-off Date Principal Balance of $100,000,000 represents the note A-1 of a $197,000,000 whole loan evidenced by two pari passu notes. One companion loan with an aggregate principal balance of $97,000,000 is held outside the Issuing Entity and is expected to be contributed to a future securitization.
 
(5)
Other upfront reserve represents a free rent reserve amount equal to seven months’ base rent under the Amazon lease in connection with the seven-month free rent period prior to November 21, 2014 when Amazon is required to take occupancy and begin paying rent ($2,478,190), tenant allowances ($419,822) and a deferred maintenance reserve ($253,110). See “—Escrows” below.
 
n
The Mortgage Loan. The mortgage loan (the “Selig Portfolio Loan”) is part of a whole loan structure (the “Selig Portfolio Whole Loan”) comprised of two pari passu notes that are together secured by first mortgages encumbering seven office buildings located in Seattle, Washington (collectively, the “Selig Portfolio Properties”). The Selig Portfolio Loan (evidenced by Note A-1), which will be contributed to the Issuing Entity, has an outstanding principal balance as of the Cut-off Date of $100,000,000 and represents approximately 10.4% of the Initial Pool Balance. The related companion loan (the “Selig Portfolio Companion Loan”), currently held by Goldman Sachs Mortgage Company outside the Issuing Entity, has an outstanding principal balance as of the Cut-off Date of $97,000,000 and is expected to be contributed to a future securitization transaction. The Selig Portfolio Whole Loan was originated by Goldman Sachs Mortgage Company on April 24, 2014. The Selig Portfolio Whole Loan has an original principal balance of $197,000,000 and each note has an interest rate of 4.6080% per annum. The borrower utilized the proceeds of the Selig Portfolio Whole Loan to refinance the existing debt on the Selig Portfolio Properties.
 
The Selig Portfolio Whole Loan had an initial term of 120 months and has a remaining term of 119 months as of the Cut-off Date and requires interest only payments for the term of the loan. The scheduled maturity date is the due date in May 2024. The Selig Portfolio Whole Loan may be voluntarily prepaid in whole or in part on or after the due date in February 2024. Provided no event of default is continuing, defeasance of the Selig Portfolio Whole Loan with direct, non-callable obligations that are either the direct obligations of, or are fully guaranteed by the full faith and credit of, the United States of America or other obligations which are “government securities” permitted under the loan documents, is permitted at any time on or after the first due date following the earlier of (a) the third anniversary of the origination date or (b) the second anniversary of the closing date of the securitization into which the Selig Portfolio Companion Loan is deposited.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
40

 
 
SELIG PORTFOLIO
 
n
The Mortgaged Properties. The Selig Portfolio Properties consist of three Class A, one Class A/B and three Class B office buildings located in Seattle, Washington and were constructed between 1970 and 2009. The collateral securing the Selig Portfolio Whole Loan totals approximately 1,082,617 SF and the largest tenants include Amazon (17.6% GLA), Sound Transit (5.5% GLA) and Clear Channel Communications (3.5% GLA). As of March 25, 2014, Total Occupancy and Owned Occupancy were both 85.4%.
 
The following table presents certain information relating to the Selig Portfolio Properties:
 
Property Name
 
City
 
State
 
Cut-off Date
Loan Amount
 
Total
GLA
 
Occupancy(1)(2)
 
Year Built /
Renovated
 
Appraised
Value(1)
 
UW NCF(1)
 
Fourth & Blanchard
 
Seattle
 
WA
 
31,315,240
   
406,158
   
86.9%
   
1979 / NAP
 
$105,000,000
   
$5,587,768
 
635 Elliott
 
Seattle
 
WA
 
25,648,673
   
190,956
   
100.0%
   
2009 / NAP
 
86,000,000
   
6,000,832
 
645 Elliott
 
Seattle
 
WA
 
18,192,663
   
145,120
   
59.3%
   
2009 / NAP
 
61,000,000
   
2,139,102
 
Fifth & Jackson
 
Seattle
 
WA
 
11,482,255
   
144,338
   
100.0%
   
2002 / NAP
 
38,500,000
   
2,867,610
 
North Tower – 100 West Harrison
 
Seattle
 
WA
 
4,533,254
   
65,298
   
88.9%
   
1972 / 2003
 
15,200,000
   
896,036
 
200 West Thomas
 
Seattle
 
WA
 
4,443,782
   
64,640
   
72.7%
   
1974 / 2003
 
14,900,000
   
745,515
 
South Tower – 100 West Harrison
 
Seattle
 
WA
 
4,384,134
   
66,107
   
68.4%
   
1970 / 2003
 
14,700,000
   
718,715
 
Total / Wtd. Avg.
         
$100,000,000
   
1,082,617
   
85.4%
       
$335,300,000
   
$18,955,579
 
 

 
(1)
Based on the Selig Portfolio Whole Loan.
 
(2)
Occupancy as of March 25, 2014.
 
The following table presents certain information relating to the major tenants at the Selig Portfolio Properties:
 
Tenant Name
 
Tenant Description
 
Renewal / Extension Options
Amazon
 
Amazon.com (NASDAQ: AMZN) is an American e-commerce company headquartered in Seattle, Washington. Founded in 1994, Amazon is now a Fortune 100 company and one of the largest online retailers in the world, with $74.45 billion of net sales in 2013.
 
 
2, 5-year options
Sound Transit
 
Sound Transit (also known as the Central Puget Sound Regional Transit Authority) plans, builds and operates express bus, light rail and commuter train services for the urban areas of King, Pierce and Snohomish counties in Washington State. The entity is funded by public tax dollars.
 
 
2, 5-year options
Clear Channel Communications
 
Clear Channel Communications is one of the world’s leading media and entertainment companies, operating as CC Media Holdings (OTCBB: CCMO). Founded in 1972, Clear Channel consists of two main media businesses: Clear Channel Outdoor Holdings (NYSE: CCO) and Clear Channel Media and Entertainment. Clear Channel’s Media and Entertainment division has 243 million monthly listeners. It serves 150 cities through 850 owned radio stations in the U.S., as well as more than 140 stations in New Zealand and Australia.
 
 
2, 5-year options
Summit Law Group, PLLC
 
Summit Law Group is a Seattle-based regional law firm offering legal services in business, environmental, labor/employment and litigation areas.
 
 
2, 5-year options
Dept. of Labor & Industries
 
The Washington Department of Labor & Industries is a state agency dedicated to the safety, health and security of Washington’s workers. The agency helps employers meet safety and health standards, conducts inspections of workplaces when alerted to hazards, and oversees benefits to workers who are injured or become ill on the job, among other duties.
 
1, 3-year option
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
41

 
 
SELIG PORTFOLIO
 
The following table presents certain information relating to the major tenants at the Selig Portfolio Properties:
 
Ten Largest Tenants Based on Underwritten Base Rent
 
Tenant Name
 
 
Credit Rating (Fitch/MIS/S&P)(1)
 
 
Tenant GLA
 
 
% of GLA
 
 
UW Base
Rent
 
 
% of
Total UW Base
Rent
 
 
UW Base
Rent
$ per SF
 
 
Lease Expiration
 
 
Renewal / Extension Options
Amazon(2)
 
NR / Baa1 / AA-
 
190,956
   
17.6
 
$4,248,326
   
18.8
 
$22.25
   
8/31/2019
 
2, 5-year options
Sound Transit(3)(4)
 
NR / Aa2 / AAA
 
60,006
   
5.5
   
1,502,872
   
6.7
   
25.05
   
(3)
 
2, 5-year options
Clear Channel Communications
 
CCC / Caa2 / CCC+
 
37,699
   
3.5
   
1,287,262
   
5.7
   
34.15
   
3/31/2026
 
2, 5-year options
Summit Law Group, PLLC
 
NR / NR / NR
 
30,386
   
2.8
   
949,563
   
4.2
   
31.25
   
12/31/2022
 
2, 5-year options
Dept. of Labor & Industries
 
AA+ / Aa3 / AA+
 
27,665
   
2.6
   
774,620
   
3.4
   
28.00
   
9/30/2017
 
1, 3-year option
Pacific Biomarkers
 
NR / NR / NR
 
21,216
   
2.0
   
759,821
   
3.4
   
35.81
   
5/9/2022
 
1, 5-year option
Varian Medical Systems, Inc.(5)
 
NR / NR / NR
 
33,349
   
3.1
   
750,353
   
3.3
   
22.50
   
11/17/2017
 
1, 5-year option
Department of Revenue
 
AAA / Aaa / AA+
 
22,722
   
2.1
   
545,328
   
2.4
   
24.00
   
2/28/2019
 
1, 5-year option
Amnis Corporation
 
NR / NR / NR
 
18,334
   
1.7
   
527,664
   
2.3
   
28.78
   
11/30/2021
 
2, 5-year options
Wireless Advocates, LLC(6)
 
NR / NR / NR
 
23,333
   
2.2
   
524,993
   
2.3
   
22.50
   
12/31/2017
 
1, 5-year option
Ten Largest Tenants
     
465,666
   
43.0
 
$11,870,801
   
52.6
 
$25.49
         
Remaining Tenants
     
458,915
   
42.4
   
10,681,891
   
47.4
   
23.28
         
Vacant
     
158,036
   
14.6
   
0
   
0.0
   
0.00
         
Total / Wtd. Avg. All Tenants
     
1,082,617
   
100.0
 
$22,552,692
   
100.0
 
$24.39
         
 

 
(1)
Certain ratings are those of the parent company whether or not the parent guarantees the lease.
 
(2)
Amazon has an executed lease but has not yet taken occupancy or commenced paying rent. Amazon is expected to take occupancy in September 2014. Rental payments are required to commence upon the earlier of (a) Amazon taking occupancy and (b) November 21, 2014. Initial annual base rent is $4,248,326 with annual rent steps beginning in September 2015 and continuing through lease expiration. We cannot assure you that Amazon will take occupancy and begin paying rent as expected or at all.
 
(3)
Sound Transit has 5,277 SF that expires on November 1, 2014 and 54,729 SF that expires on February 29, 2020.
 
(4)
Sound Transit has termination options in both of its two leases. For the 5,277 SF expiring in November 2014, Sound Transit has the option to terminate its lease at any time by giving the landlord at least 120 days’ prior notice and paying a termination fee. For the remaining space, Sound Transit has the option to terminate its lease any time after March 1, 2017 by giving the landlord at least nine months’ prior notice and paying a termination fee. In each instance, the termination fee is required to be equivalent to the unamortized portion of costs incurred by the landlord pursuant to its lease (e.g., architectural fees, tenant improvement costs and broker commission).
 
(5)
Varian Medical Systems, Inc. has the right to terminate its lease at any time by giving the landlord at least six months’ notice and paying an unamortized real estate fee and a penalty equal to two months’ current total monthly rent.
 
(6)
Wireless Advocates, LLC has the option to terminate its lease beginning January 1, 2015 in the event that they lose their contract with Costco or in the event they decide to co-locate with Car Toys, subject to providing six months’ prior notice and paying a penalty equal to the unamortized portion of transaction costs.
 
The following table presents the lease rollover schedule at the Selig Portfolio Properties, based on initial lease expiration dates:
 
Lease Expiration Schedule(1)
 
Year Ending
December 31,
 
 
Expiring Owned
GLA
 
 
% of Owned
GLA
 
 
Cumulative % of Owned GLA
 
 
UW
Base Rent
 
 
% of Total UW
Base Rent
 
 
UW Base Rent
$ per SF
 
 
# of Expiring
Suites
MTM
 
7,267
   
0.7
 
0.7%
   
$6,912
   
0.0
 
$0.95
   
32
 
2014
 
33,354
   
3.1
   
3.8%
   
670,542
   
3.0
   
20.10
   
14
 
2015
 
52,764
   
4.9
   
8.6%
   
1,196,395
   
5.3
   
22.67
   
25
 
2016
 
68,649
   
6.3
   
15.0%
   
1,560,949
   
6.9
   
22.74
   
25
 
2017
 
157,474
   
14.5
   
29.5%
   
3,708,532
   
16.4
   
23.55
   
42
 
2018
 
82,344
   
7.6
   
37.1%
   
2,069,630
   
9.2
   
25.13
   
26
 
2019
 
270,896
   
25.0
   
62.1%
   
6,298,513
   
27.9
   
23.25
   
27
 
2020
 
85,712
   
7.9
   
70.1%
   
2,140,607
   
9.5
   
24.97
   
12
 
2021
 
48,944
   
4.5
   
74.6%
   
1,222,473
   
5.4
   
24.98
   
7
 
2022
 
67,676
   
6.3
   
80.8%
   
2,112,387
   
9.4
   
31.21
   
10
 
2023
 
11,802
   
1.1
   
81.9%
   
278,490
   
1.2
   
23.60
   
5
 
2024
 
0
   
0.0
   
81.9%
   
0
   
0.0
   
0.00
   
0
 
2025 & Thereafter
 
37,699
   
3.5
   
85.4%
   
1,287,262
   
5.7
   
34.15
   
5
 
Vacant
 
158,036
   
14.6
   
100.0%
   
0
   
0.0
   
0.00
   
0
 
Total / Wtd. Avg.
 
1,082,617
   
100.0
       
$22,552,692
   
100.0
 
$24.39
   
230
 
 

 
(1)
Calculated based on approximate square footage occupied by each owned tenant.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
42

 
 
SELIG PORTFOLIO
 
The following table presents certain information relating to historical leasing at the Selig Portfolio Properties:
 
Historical Leased %(1)
   
 
2009
 
 
2010
 
 
2011
 
 
2012
 
 
2013
Selig Portfolio Properties
 
61.4%
 
61.2%
 
63.9%
 
66.7%
 
64.6%
 

 
(1)
As provided by the borrower which reflects average occupancy for the specified year. The 635 Elliott and 645 Elliott properties were constructed and completed in 2009 and were in the process of lease-up during the period shown above (they do not reflect the lease recently executed with Amazon for 17.6% of the Selig Portfolio Properties SF). Excluding the 635 Elliott and 645 Elliott properties from the historical occupancy presentation, the Selig Portfolio Properties occupancy for 2009-2013 was: 89.0%, 88.8%, 88.0%, 86.9% and 82.4%, respectively.
 
The following table presents certain information relating to historical leasing at the Selig Portfolio Properties:
 
Historical Weighted Average Rent PSF(1)
   
 
2011
 
 
2012
 
 
2013
Fourth & Blanchard
 
 $23.85
 
 $23.87
 
 $23.97
635 Elliott(2)
 
NAP
 
NAP
 
NAP
645 Elliott
 
 $32.63
 
 $34.31
 
 $34.92
Fifth & Jackson
 
 $26.96
 
 $25.60
 
 $26.57
South Tower – 100 West Harrison
 
 $22.99
 
 $23.10
 
 $23.00
200 West Thomas
 
 $18.16
 
 $20.09
 
 $21.03
North Tower – 100 West Harrison
 
 $20.14
 
 $20.51
 
 $20.83
Total / Wtd. Average
 
 $24.53
 
 $24.74
 
 $25.20
 

 
(1)
As provided by the borrower.
 
(2)
The 635 Elliott property has not been occupied since its completion in 2009.
 
n
Operating History and Underwritten Net Cash Flow. The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the Selig Portfolio Properties:
 
Cash Flow Analysis(1)
   
 
2011
 
 
2012
 
 
2013
 
 
TTM 2/28/2014
 
 
Underwritten
 
 
Underwritten
$ per SF
Base Rent(2)
 
$16,394,751
   
$17,085,826
   
$16,898,437
   
$16,791,453
   
$22,552,692
   
$20.83
 
Gross Up Vacancy
 
0
   
0
   
0
   
0
   
3,682,347
   
3.40
 
Contractual Rent Steps(3)
 
0
   
0
   
0
   
0
   
656,782
   
0.61
 
Total Rent
 
$16,394,751
   
$17,085,826
   
$16,898,437
   
$16,791,453
   
$26,891,821
   
$24.84
 
Total Reimbursables(4)
 
600,054
   
421,384
   
343,235
   
336,487
   
937,469
   
0.87
 
Parking Revenue(5)
 
1,507,812
   
1,469,156
   
1,568,802
   
1,572,615
   
2,940,615
   
2.72
 
Other Revenue
 
148,729
   
177,679
   
190,764
   
195,443
   
195,443
   
0.18
 
Vacancy & Credit Loss(6)
 
161,278
   
(523,510
 
(513,067
 
(987,999
 
(3,682,347
 
(3.40
Effective Gross Income
 
$18,812,623
   
$18,630,534
   
$18,488,171
   
$17,907,999
   
$27,283,001
   
$25.20
 
                                     
Total Operating Expenses
 
$6,962,129
   
$7,294,412
   
$7,234,287
   
$7,347,957
   
$7,205,223
   
$6.66
 
                                     
Net Operating Income
 
$11,850,495
   
$11,336,122
   
$11,253,884
   
$10,560,042
   
$20,077,778
   
$18.55
 
TI/LC
 
0
   
0
   
0
   
0
   
851,546
   
0.79
 
Replacement Reserves
 
0
   
0
   
0
   
0
   
270,654
   
0.25
 
Net Cash Flow
 
$11,850,495
   
$11,336,122
   
$11,253,884
   
$10,560,042
   
$18,955,579
   
$17.51
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, lease cancellation income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Underwritten cash flow based on contractual rents as of March 25, 2014 and contractual rent steps through June 30, 2015. Base Rent includes $4,248,326 of rental revenue for the recently executed Amazon lease. Base rent also includes $1,053,501 for the following tenants who have executed leases but have not yet taken occupancy or begun paying rent: Walsh Construction, Lorber Law, Dental Health Services, Qliance Medical Mgmt. Inc., Denice E. Rasch, Tinyhr, Burkett & Burdette, Seattle Corporate Search, J. Mark Weiss, P.S. and Reid Case Management. We cannot assure you that these tenants will take occupancy and begin paying rent as expected or at all.
 
(3)
Present value of contractual rent steps for investment-grade tenants (Amazon, Sound Transit and J.B. Hunt Transport, Inc.) through the loan maturity date using an 8.0% discount rate.
 
(4)
Includes reimbursement of all estimated expenses at the 635 Elliott property, as Amazon will lease 100% of the space on a triple-net basis.
 
(5)
Incorporates estimated parking usage at the 635 Elliott property (which is part of the collateral) based on the number of spaces Amazon has the right to use at a contractual rate per its lease.
 
(6)
Historical Credit Loss includes a recovery of $182,753 in 2011, and losses of $520,400, $472,818 and $932,818 in 2012, 2013 and the 2/28/2014 TTM period, respectively. The losses are driven by tenants that are no longer at the Selig Portfolio Properties.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
43

 
 
SELIG PORTFOLIO
 
n
Appraisal. According to the appraisals dated as of April 3, 2014, the Selig Portfolio Properties had an aggregate “as-is” appraised value of $335,300,000 and an aggregate “as stabilized” appraised value of $354,500,000, based on stabilized occupancy at certain of the Selig Portfolio Properties as of dates ranging from September 2014 to October 2015.
 
n
Environmental Matters. According to a Phase I environmental report dated April 14, 2014, the 635 Elliott and 645 Elliott properties had together been listed as a leaking underground storage tank site and a state hazardous waste site, and was remediated from 1990 through 2011 as a voluntary cleanup program case that was closed in 2011. Although a no further action letter was issued with respect to the historic contamination, the associated underground storage tank and state hazardous waste site case remains open for administrative purposes, and the environmental consultant recommended consultation with the Washington Department of Ecology to determine whether any additional administrative, investigation, or remediation actions are needed in order to achieve administrative closure of the open case. In addition, a Phase I environmental report dated April 14, 2014, related to the Fourth & Blanchard property reported the presence of a groundwater monitoring well in an alley between the Fourth & Blanchard property and an adjacent building. The well reportedly is associated with a public works project, but no records were immediately available. The Phase I environmental report recommended that an agency review be performed in order to determine the purpose of the well. According to the remaining Phase I environmental reports, each dated April 14, 2014, there are no recognized environmental conditions or recommendations for further action other than a recommendation for an asbestos operations and maintenance (O&M) plan at the 200 West Thomas, North Tower - 100 West Harrison and South Tower - 100 West Harrison properties.
 
n
Market Overview and Competition. The Selig Portfolio Properties are located within the Seattle central business district, which contains approximately 41.5 million SF of office space with a direct vacancy level of 12.2% as of the 4th quarter 2013, and rents with an average asking rate of $31.31 per SF. The Seattle central business district recorded 3.1 million SF of office leasing activity and approximately 1.4 million SF of absorption in 2013. The Fifth & Jackson property is located in the Pioneer Square / International District submarket, and the remaining six properties are located in the Lower Queen Anne / Lake Union submarket. Office space in the Pioneer Square / International District submarket totaled 4.2 million SF with a direct vacancy level of 9.1% as of the 4th quarter 2013, and rents with an average asking rate of $27.06 per SF. Office space in the Lower Queen Anne / Lake Union submarket totaled 7.7 million SF with a direct vacancy level of 8.7% as of the 4th quarter 2013, and rents with an average asking rate of $27.97 per SF. The Selig Office Portfolio Properties compete with office properties of similar location, type and class, which vary across the Selig Office Portfolio.
 
n
The Borrower. The borrower of the Selig Portfolio Whole Loan is SREH 2014 LLC, a single-purpose entity that owns no assets other than the Selig Portfolio Properties. The non-recourse carveout guarantors are Selig Family Holdings, LLC and Martin Selig, jointly and severally. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of the Selig Portfolio Whole Loan. Martin Selig is the principal and founder of Martin Selig Real Estate. Martin Selig Real Estate was founded in 1958 and is a privately-held company in the commercial real estate industry in Washington state. Martin Selig Real Estate is headquartered in Seattle, Washington and owns a portfolio of more than 4.25 million SF of Seattle commercial office space across 19 buildings.
 
n
Escrows. At origination, the borrower funded (a) an insurance reserve of $178,601, (b) a tax reserve of $154,704, (c) a deferred maintenance reserve of $253,110 and (d) a reserve of $2,898,012 which includes, (i) a free rent reserve amount equal to seven months’ base rent under the Amazon lease in connection with the seven-month free rent period prior to November 21, 2014, the date the tenant is required to take occupancy and begin paying rent ($2,478,190), that will be remitted to the cash management account on a monthly basis and reduced proportionately for any space that Amazon commences paying rent on or prior to November 21, 2014 and (ii) a tenant allowances reserve ($419,822). On each due date, the borrower will be required to fund (i) a tax reserve in an amount equal to one-twelfth of the amount that the lender estimates will be necessary to pay taxes over the then succeeding twelve-month period, (ii) an insurance reserve in an amount equal to one-twelfth of the amount that the lender estimates will be necessary to pay insurance premiums over the then succeeding twelve-month period, (iii) a tenant improvement and leasing commissions reserve in the amount of $135,316 and (iv) a capital expenditure reserve in the amount of $22,553.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
44

 
 
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n
Lockbox and Cash Management. The Selig Portfolio Whole Loan requires a hard lockbox, which is already in place. The loan documents require the borrower to direct the tenants to pay their rents directly to a lender-controlled lockbox account. The loan documents also require that all rents received by the borrower or the property manager be deposited into the lockbox account within one business day after receipt. All amounts in the lockbox account are required to be swept on a daily basis to a lender-controlled cash management account.
 
On each business day that no Selig Portfolio Trigger Period or event of default under the Selig Portfolio Loan is continuing, all amounts in the cash management account in excess of the amounts required to pay monthly reserves and debt service on the next due date are required to be deposited into a borrower-controlled account containing only amounts relating to the Selig Portfolio Whole Loan (the “Operating Account”). On each due date during a Selig Portfolio Trigger Period (and, at lender’s option, during the continuance of an event of default until the Selig Portfolio Whole Loan has been accelerated), the loan documents require that all amounts on deposit in the cash management account be used to pay debt service, required reserves and operating expenses and that all remaining amounts be reserved in an excess cash flow reserve account. So long as no event of default is continuing, all amounts in the excess cash flow reserve account are required to be swept into the cash management account on the first due date after which the borrower delivers evidence reasonably satisfactory to the lender that no Selig Portfolio Trigger Period is then continuing. During the continuance of an event of default, the lender may apply all funds on deposit in the cash management account to amounts payable under the Selig Portfolio Whole Loan in such order of priority as the lender may determine.
 
A “Selig Portfolio Trigger Period” means the period (A) commencing as of the end of any fiscal quarter in which the net operating income (as calculated under the loan documents) of the Selig Portfolio Properties for the twelve-month period immediately preceding such fiscal quarter end is less than $15,087,022.40 (as adjusted to account for property releases) and terminating as of the end of the second consecutive fiscal quarter in which the net operating income of the Selig Portfolio Properties for the twelve-month period immediately preceding such fiscal quarter end is equal to or greater than $15,087,022.40 (as adjusted to account for property releases) or (B) commencing upon the borrower’s failure to deliver the required annual, quarterly and monthly financial reports and ending when such financial reports are delivered and they indicate that no trigger period under clause (A) above has commenced.
 
n
Property Management. The Selig Portfolio Properties are currently managed by MSRE Management, L.L.C. pursuant to a management agreement. Under the loan documents, the Selig Portfolio Properties may not be managed by any other party, other than a management company approved by the lender and with respect to which the lender has received a Rating Agency Confirmation. The lender may replace or require the borrower to replace the property manager during the continuance of an event of default under the Selig Portfolio Loan, following any foreclosure, conveyance in lieu of foreclosure or other similar transaction, during the continuance of a default under the management agreement after the expiration of any applicable notice and/or cure periods (after the expiration of any applicable notice and/or cure period), if the property manager files or is the subject of a petition in bankruptcy, if a trustee or receiver is appointed for the property manager’s assets, if the property manager makes an assignment for the benefit of creditors or if the property manager is adjudicated insolvent.
 
n
Permitted Pari Passu Debt. Upon 30 days’ prior written notice to the lender, the borrower may elect (an “Additional Permitted Debt Election”), to incur additional pari passu fixed-rate debt that is co-terminus with the Selig Portfolio Loan (“Additional Permitted Debt”) secured by the Selig Portfolio Properties, provided that (i) immediately after giving effect to such Additional Permitted Debt, if the borrower requests the lender’s approval of an Additional Permitted Debt Election on or prior to April 24, 2019, the aggregate loan-to-value ratio (as calculated under the loan documents) may not exceed 60%, and if the borrower requests the lender’s approval of an Additional Permitted Debt Election after April 24, 2019, the aggregate loan-to-value ratio may not exceed 55%; (ii) immediately after giving effect to such Additional Permitted Debt, if the borrower requests the lender’s approval of an Additional Permitted Debt Election on or prior to April 24, 2019, debt service coverage ratio (as calculated under the loan documents) for the twelve-month period immediately preceding the most recently ended fiscal quarter must be equal to or greater than 1.65x, and if such request is made after April 24, 2019, the debt service coverage ratio for the twelve-month period immediately preceding such fiscal quarter end must be equal to or greater than 1.60x; (iii) the debt yield (as calculated under the loan documents) for the twelve-month period
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
45

 
 
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immediately preceding the most recently ended fiscal quarter may be no less than 9.57%; (iv) the lender of the Additional Permitted Debt is required to enter into a co-lender agreement with the lender; (v) Rating Agency Confirmation is obtained; (vi) a REMIC opinion, as well as updated non-consolidation and enforceability opinions must be delivered; (vii) the borrower, the lender and the lender of the Additional Permitted Debt have executed amendments to the loan documents reasonably requested by any such party to reflect the existence of such Additional Permitted Debt; (viii) borrower must pay all reasonable out of pocket costs and expenses incurred by the lender and (ix) lender has otherwise approved the terms and documentation of such loan.
 
n
Mezzanine or Subordinate Indebtedness. Fixed rate mezzanine debt is permitted from certain qualified institutional lenders meeting the requirements set forth in the loan agreement for the Selig Portfolio Loan to a direct owner of the borrower that is secured by a pledge of direct equity interests in the borrower (a “Permitted Mezzanine Loan”), so long as (i) the aggregate loan-to-value ratio (as calculated under the loan documents) does not exceed 58.8%; (ii) the debt yield (as calculated under the loan documents) for the twelve-month period immediately preceding such fiscal quarter end is at least 9.57%; (iii) the debt service coverage ratio (as calculated under the loan documents) for the twelve-month period immediately preceding such fiscal quarter end is at least 2.05x; (iv) no event of default has occurred and is continuing under any of the loan documents; (v) the lender has received evidence that the Permitted Mezzanine Loan has no adverse effect on the bankruptcy remote status of the borrower under the rating agency requirements and a new non-consolidation opinion; (vi) the lender receives all items reasonably required to evaluate and approve of the Permitted Mezzanine Loan, including current rent rolls, operating statements and financial statements; (vii) the lender determines that there has been no material adverse change in the condition, financial, physical or otherwise, of any of the Selig Portfolio Properties or the borrower from and after the origination date; (viii) the borrower has executed amendments to the loan documents reasonably required by the lender to reflect the existence of such Permitted Mezzanine Loan and has received enforceability and due authorization opinions with respect thereto; (ix) the borrower pays all reasonable out of pocket costs and expenses incurred by the lender; (x) Rating Agency Conformation has been obtained and (xi) lender has otherwise approved the terms and documentation of such loan.
 
n
Release of Collateral. Provided no event of default is then continuing under the Selig Portfolio Loan, at any time on or after the first due date following the earlier to occur of the third anniversary of the origination date and the second anniversary of the closing date of the securitization into which the Selig Companion Loan is deposited, the borrower may obtain the release of one or more of the Selig Portfolio Properties from the lien of the loan documents, subject to the satisfaction of certain conditions set forth in the loan documents, including among others: (i) delivery of defeasance collateral in an amount equal to the Selig Portfolio Release Price for each Selig Portfolio Property being released, (ii) after giving effect to the release, the debt service coverage ratio (as calculated under the loan documents) for the remaining Selig Portfolio Properties for the twelve-month period preceding the end of the most recent fiscal quarter is no less than the greater of (a) 2.05x and (b) the debt service coverage ratio immediately prior to the release and (iii) delivery of Rating Agency Confirmation with respect to such defeasance.
 
Selig Portfolio Release Price” means, with respect to the release of any Selig Portfolio Property, the greater of (x) 90% of net sales proceeds with respect to such Selig Portfolio Property and (y) (i) in the case of the 635 Elliott property, the 645 Elliott property, the Fourth & Blanchard property and the Fifth & Jackson property, 125% of their respective allocated loan amounts and (ii) in the case of the North Tower – 100 West Harrison Street property, the South Tower – 100 West Harrison property and the 200 West Thomas property, 115% of their respective allocated loan amounts.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
46

 
 
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Terrorism Insurance. So long as TRIPRA or a similar or subsequent statute is in effect, the borrower is required to maintain terrorism insurance for foreign and domestic acts (as those terms are defined in TRIPRA or similar or subsequent statute) in an amount equal to the full replacement cost of the Selig Portfolio Properties, plus twelve months of rental loss and/or business interruption coverage. If TRIPRA or a similar or subsequent statute is not in effect, then provided that terrorism insurance is commercially available, the borrower is required to carry terrorism insurance throughout the term of the Selig Portfolio Loan as required by the preceding sentence, but in that event the borrower will not be required to spend more than two times the amount of the insurance premium that is payable at that time in respect of the Selig Portfolio Properties and business interruption/rental loss insurance required under the loan documents on a stand-alone basis (not including the terrorism and earthquake components of such casualty and business interruption/rental loss insurance), and if the cost of terrorism insurance exceeds such amount, then the borrower is required to purchase the maximum amount of terrorism insurance available on the current market rates with funds equal to such amount, in either such case with a deductible not exceeding $50,000. The required terrorism insurance may be included in a blanket policy, provided that the borrower provides evidence reasonably satisfactory to the lender that the insurance premiums for the Selig Portfolio Properties are separately allocated to the Selig Portfolio Properties under the blanket policy. See “Risk Factors—Terrorism Insurance May Not Be Available for All Mortgaged Properties” in the Free Writing Prospectus.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
47

 
 
EPICENTRE
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
48

 
 
EPICENTRE
 
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
49

 
 
 
EPICENTRE
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
50

 
 
EPICENTRE
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1
    Loan Seller
CGMRC
Location (City/State)
Charlotte, North Carolina
    Cut-off Date Principal Balance
$85,000,000
Property Type(1)
Mixed Use
    Cut-off Date Principal Balance per SF
$278.90
Size (SF)(1)
 304,772
    Percentage of Initial Pool Balance
8.8%
Total Occupancy as of 3/1/2014
89.9%
    Number of Related Mortgage Loans
None
Owned Occupancy as of 3/1/2014
89.9%
    Type of Security
 Fee Simple
 Year Built / Latest Renovation
 2008 / 2011 - 2013   
    Mortgage Rate
4.4300%
Appraised Value
$130,500,000
    Original Term to Maturity (Months)
84
        Original Amortization Term (Months)
NAP
        Original Interest Only Period (Months)
84
Underwritten Revenues
$13,689,726
     
Underwritten Expenses
$4,448,342
 
Escrows
Underwritten Net Operating Income (NOI)
$9,241,384
   
Upfront
Monthly
Underwritten Net Cash Flow (NCF)
$8,673,062
 
Taxes
$643,513
$71,501
Cut-off Date LTV Ratio
65.1%
 
Insurance
$0
$0
Maturity Date LTV Ratio
65.1%
 
Replacement Reserve
$0
$3,810
DSCR Based on Underwritten NOI / NCF
2.42x / 2.27x
 
TI/LC
$445,584
$43,551
Debt Yield Based on Underwritten NOI / NCF
10.9% / 10.2%
 
Other(2)
$90,000
$0
 
  Sources and Uses
Sources
$
%
 
Uses
$
%
Loan Amount
$85,000,000
63.9
 
Purchase Price
$130,500,000
98.1
Principal’s New Cash Contribution
46,674,314
35.1
   
Closing Costs
1,415,577
1.1
 
Other Sources
1,420,360
1.1
   
Reserves
1,179,097
0.9
 
Total Sources
$133,094,674
100.0
 
Total Uses
$133,094,674
100.0
 

 
(1)
The EpiCentre Property is a mixed use property with a total of 304,772 SF consisting of 264,323 SF of retail space and 40,449 SF of office space.
 
(2)
Other upfront reserves consist of a deferred maintenance reserve of $90,000. See “–Escrows” below.
 
n
The Mortgage Loan. The mortgage loan (the “EpiCentre Loan”) is evidenced by a note in the original principal amount of $85,000,000 and is secured by a first mortgage encumbering the borrower’s fee interest in a mixed use property known as the EpiCentre, located in Charlotte, North Carolina (the “EpiCentre Property”). The EpiCentre Loan was originated by Citigroup Global Markets Realty Corp. on May 9, 2014. The EpiCentre Loan has an outstanding principal balance as of the Cut-off Date of $85,000,000 which represents 8.8% of the Initial Pool Balance, and accrues interest at an interest rate of 4.4300% per annum. The proceeds of the EpiCentre Loan were primarily used to acquire the EpiCentre Property.
 
The EpiCentre Loan had an initial term of 84 months and has a remaining term of 84 months as of the Cut-off Date. The EpiCentre Loan requires interest only payments during the entire term of the EpiCentre Loan. The scheduled maturity date of the EpiCentre Loan is the due date in June 2021. Voluntary prepayment of the EpiCentre Loan is permitted, without payment of a prepayment premium or a yield maintenance charge, on or after the due date in August 2020. At any time after the second anniversary of the securitization Closing Date, the EpiCentre Loan may be defeased with certain direct full faith and credit obligations of the United States of America or other obligations which are “government securities” permitted under the loan documents.
 
n
The Mortgaged Property. The EpiCentre Property is a 304,772 SF mixed use property, consisting of 264,323 SF of retail space and 40,449 SF of office space on a 3.162 acre site, in Charlotte, North Carolina. The EpiCentre Property includes, as part of the collateral, a four-story parking structure with a total of 989 spaces of which 706 spaces are available for use in connection with the EpiCentre Property. The EpiCentre Property was constructed in 2008 and renovated from 2011 to 2013 and it occupies an entire city block. Access to the EpiCentre Property is afforded by frontage along East Trade Street, South College Street and East Fourth Street, as well as by frontage along the Lynx light rail tracks. The EpiCentre Property consists of a condominium unit (the “Mixed Use Unit”) in a two-unit master condominium. The only other condominium unit consists of the aloft Hotel (the “Hotel Unit”), located above one of the buildings which is part of the mortgaged property. The Hotel Unit neither constitutes part of the collateral for the EpiCentre Loan nor relates to the hotel to be constructed above another part of the mortgaged property, as described below under “—Air Rights”. The borrower, as owner of the Mixed Use Unit, owns a 77.4% interest in the common elements shared by those two condominium units (with the Hotel Unit owner owning a 22.7% interest in such common elements). The borrower also has the right to appoint two of the three board members of the condominium association, including the board chairperson.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
51

 
 
EPICENTRE
 
The EpiCentre Property contains an on-site four-level underground parking garage. The first three levels are available for use in connection with the EpiCentre Property. However, the fourth (bottom) level and the ramp between levels three and four (the “Parking Premises”) are leased to an affiliate of the Air Rights Owner (as defined below) and are not available for use by the EpiCentre Property. In addition, pursuant to a parking agreement between the borrower and the owner of the Hotel Unit, the borrower is required to make available to the Hotel Unit owner 40 parking spaces within the parking facility at the EpiCentre Property for valet parking use for overnight guests of the Hotel Unit. The borrower is also required to make not less than an additional 100 parking spaces available for overnight hotel guests of the aloft Hotel Unit through valet service, which additional parking spaces may be located in any off-site parking facility. The borrower is permitted to charge market rates for parking provided to Hotel Unit guests. Certain costs associated with the parking facility are allocated to the Hotel Unit owner pursuant to the condominium documents.
 
The EpiCentre Property is located in the downtown retail submarket of Charlotte which is part of the Charlotte Central Business District (“CBD”). While there are other retail stores in the area, the EpiCentre Property is the only entertainment center in the area and it is located directly across the street from the Time Warner Cable Arena and within walking distance of the Charlotte Convention Center. The EpiCentre Property is connected to the Overstreet Mall via a covered sky-bridge providing pedestrian access from the Bank of America building and six other office buildings in the area including the Wells Fargo building and the Hearst Tower. The EpiCentre Property has national and regional tenants such as Bank of America, Firehouse Subs and Brueggers Bagels. It also has a variety of restaurants including Enso and La Tagliatella. Additionally, tenants such as Strike City Lanes, Studio Movie Grill and Pavilion offer bowling, dinner and movies and special events/catering, respectively. As of March 1, 2014, the Total Occupancy was 89.9%.
 
The following table presents certain information relating to the major tenants (of which, certain tenants may have co-tenancy provisions) at the EpiCentre Property:
 
Ten Largest Owned Tenants Based On Underwritten Base Rent
 
Tenant Name
 
Credit Rating
(Fitch/MIS/S&P)(1)
 
Tenant
GLA
 
% of
GLA
 
UW Base
Rent
 
% of
Total
UW
Base
Rent
 
UW
Base
Rent
$ per
SF
 
Lease Expiration
 
Tenant Sales
$ per
SF/Screen(2)
 
Occupancy
Cost
 
Renewal /
Extension
Options
Studio Movie Grill(3)
 
NR / NR / NR
  32,691     10.7 %     $604,784     7.9 %   $18.50    
1/31/2023
  $719,985     19.6 %  
3, 5-year options
 
Strike City Lanes
 
NR / NR / NR
  26,918     8.8       581,054     7.6     21.59    
12/31/2022
  $244     9.7 %  
2, 5-year options
 
Gold’s Gym
 
NR / NR / NR
  30,046     9.9       493,440     6.4     16.42    
11/14/2022
  $40     54.0 %  
3, 5-year options
 
Whisky River
 
NR / NR / NR
  10,168     3.3       443,956     5.8     43.66    
6/30/2023
  $425     11.1 %  
2, 5-year options
 
CVS Pharmacy
 
NR / NR / NR
  13,705     4.5       436,778     5.7     31.87    
1/31/2029
  $480     9.1 %  
2, 5-year options
 
Blackfinn American Saloon
 
NR / NR / NR
  9,275     3.0       425,141     5.6     45.84    
12/31/2022
  $748     6.4 %  
 2, 5-year options
 
Bubble
 
NR / NR / NR
  6,370     2.1       377,383     4.9     59.24    
7/31/2023
  $484     12.7 %  
2, 5-year options
 
First Charlotte Physicians
 
NR / NR / NR
  12,950     4.2       375,678     4.9     29.01    
3/31/2019
 
NA
   
NA
   
2, 5-year options
 
Vida Mexican Kitchen y Cantina
 
NR / NR / NR
  7,219     2.4       347,234     4.5     48.10    
7/31/2022
  $456     11.0 %  
2, 5-year options
 
Enso
 
NR / NR / NR
  9,760     3.2       340,934     4.5     34.93    
8/31/2019
 
NA
   
NA
   
2, 5-year options
 
Ten Largest Owned Tenants
  159,102     52.2 %     $4,426,382     57.9 %   $27.82                        
Remaining Owned Tenants
  114,978     37.7       3,223,870     42.1     28.04                        
Vacant Spaces (Owned Space)
  30,692     10.1       0     0.0     0.00                        
Total / Wtd. Avg. All Owned Tenants
  304,772     100.0 %     $7,650,253     100.0 %   $27.91                        
 

 
(1)
Certain ratings are those of the parent company whether or not the parent guarantees the lease.
 
(2)
Sales are as of February 28, 2014.
 
(3)
Studio Movie Grill sales are calculated per screen. There are a total of five screens.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
52

 
 
EPICENTRE
 
The following table presents certain information relating to the lease rollover schedule at the EpiCentre Property:
 
Lease Expiration Schedule(1)
 
Year Ending
December 31,
 
Expiring
Owned GLA
 
% of Owned
GLA
 
Cumulative % of Owned GLA
 
UW Base Rent
 
% of Total UW
Base Rent
 
UW Base Rent
$ per SF
 
# Expiring
Tenants
MTM(2)
  0     0.0 %   0.0 %   $6,600     0.1 %   $3,300 (2)   2  
2014
  4,113     1.3     1.3 %   122,951     1.6     29.89     10  
2015
  1,256     0.4     1.8 %   27,984     0.4     22.28     1  
2016
  5,595     1.8     3.6 %   229,800     3.0     41.07     2  
2017
  9,144     3.0     6.6 %   189,316     2.5     20.70     2  
2018
  18,115     5.9     12.5 %   671,317     8.8     37.06     4  
2019
  28,184     9.2     21.8 %   948,813     12.4     33.66     5  
2020
  2,182     0.7     22.5 %   76,370     1.0     35.00     1  
2021
  18,065     5.9     28.4 %   586,036     7.7     32.44     5  
2022
  87,994     28.9     57.3 %   2,170,412     28.4     24.67     7  
2023
  81,582     26.8     84.1 %   2,160,686     28.2     26.48     8  
2024
  0     0.0     84.1 %   0     0.0     0.00     0  
2025 & Thereafter
  17,850     5.9     89.9 %   459,968     6.0     25.77     3  
Vacant
 
30,692
   
10.1
   
100.0
 
0
   
0.0
   
0.00
   
0
 
Total / Wtd. Avg.
 
304,772
   
100.0
%  
 
   
$7,650,253
   
100.0
%  
$27.91
   
50
 
 

 
(1)
Calculated based on approximate square footage occupied by each Owned Tenant.
 
(2)
MTM leases include 2 storage units. UW Base Rent is calculated per unit.

The following table presents certain information relating to historical leasing at the EpiCentre Property:
 
Historical Leased %(1)
 
2011
 
2012
 
2013
 
As of 3/1/2014
74.3%
 
84.3%
 
90.3%
 
89.9%
 

 
(1)
As provided by the borrower and represents occupancy as of December 31, for the indicated year unless otherwise specified.
 
n
Operating History and Underwritten Net Cash Flow. The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the EpiCentre Property:
 
Cash Flow Analysis(1)
 
   
2011
 
2012
 
2013
 
TTM 2/28/2014
 
Underwritten
 
Underwritten
$ per SF
Base Rent
  $4,236,055     $5,342,913     $6,400,429     $6,535,713     $7,472,480     $24.52  
Contractual Rent Steps(2)
  0     0     0     0     177,772     0.58  
Gross Up Vacancy
  0     0     0     0     1,184,353     3.89  
Total Rent
  $4,236,055     $5,342,913     $6,400,429     $6,535,713     $8,834,606     $28.99  
Total Reimbursables
  1,233,606     1,631,398     1,767,352     1,771,709     1,667,753     5.47  
Percentage Rent
  10,211     14,510     294,388     360,704     44,045     0.14  
Signage Income
  238,225     630,291     1,164,658     1,249,006     1,201,006     3.94  
Parking Income
  1,269,167     3,196,519     3,368,484     3,478,925     2,771,216     9.09  
Other Income(3)
  176,177     475,785     317,241     354,586     355,454     1.17  
Vacancy & Credit Loss
  0     (171,994 )   (238,968 )   (125,615 )   (1,184,353 )   (3.89 )
Effective Gross Income
  $7,163,441     $11,119,422     $13,073,586     $13,625,028     $13,689,726     $44.92  
                                     
Real Estate Taxes
  $575,179     $456,810     $541,705     $544,899     $646,667     $2.12  
Insurance
  70,691     106,692     111,836     117,471     65,000     0.21  
Management Fee
  168,687     212,237     234,043     237,445     393,504     1.29  
Other Operating Expenses
  2,724,011     3,460,313     3,111,971     3,323,865     3,343,171     10.97  
Total Operating Expenses
  $3,538,568     $4,236,052     $3,999,553     $4,223,680     $4,448,342     $14.60  
                                     
Net Operating Income
  $3,624,873     $6,883,370     $9,074,032     $9,401,348     $9,241,384     $30.32  
TI/LC
  0     0     0     0     522,607     1.71  
Replacement Reserves
  0     0     0     0     45,716     0.15  
Net Cash Flow
  $3,624,873     $6,883,370     $9,074,032     $9,401,348     $8,673,062     $28.46  
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, lease cancellation income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Contractual rent steps are underwritten based upon the actual scheduled increases through March 1, 2015.
 
(3)
Other Income includes tenant electric and water reimbursements, AT&T antenna rent, specialty leasing and late fee income.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
53

 
 
EPICENTRE
 
n
Appraisal. According to the appraisal, the EpiCentre Property had an “as-is” appraised value of $130,500,000 as of an effective date March 14, 2014.
 
n
Environmental Matters. A Phase I environmental report dated May 9, 2014 identified no recognized environmental conditions and recommended no further action.
 
n
Market Overview and Competition. The EpiCentre Property is a 304,772 SF mixed use property, consisting of 264,323 SF of retail space and 40,449 SF of office space. The EpiCentre Property is located in the Charlotte CBD and is part of the downtown retail submarket and the CBD office submarket. According to the appraisal, the 2013 population within a one-, three- and five-mile radius of the EpiCentre Property was 17,096, 225,234 and 690,055, respectively. In 2013, the average household income within a one-, three- and five-mile radius of the EpiCentre Property was estimated at $78,562, $67,936 and $71,719, respectively. Major employers in the area include Bank of America, Wells Fargo, Carolina Health Care System, Charlotte-Mecklenberg Schools and Duke Energy Corp.
 
 
The Charlotte CBD is home to the newly constructed BB&T Ball Park, Time Warner Arena, the NASCAR Hall of Fame, Charlotte Convention Center and Bank of America Stadium, all of which are within a few blocks of the EpiCentre Property. The EpiCentre Property is accessible via Charlotte’s established highway infrastructure. Additionally, the Charlotte Area Transit System provides bus service and the Lynx light rail provides commuter rail service to the EpiCentre Property’s neighborhood. The Charlotte/Douglas International Airport is located approximately eight miles from the Charlotte CBD.
 
According to a market report, as of the fourth quarter of 2013, the Charlotte retail market totaled approximately 149.5 million SF in 11,856 retail properties with an overall vacancy rate of 7.4% and positive net absorption of 203,327 SF. The average rental rate for the Charlotte retail market was $12.24 per SF. The downtown retail submarket totaled 1.0 million SF in 78 retail properties with an overall vacancy rate of 6.1% and positive net absorption of 9,097 SF. The average rental rate for the downtown retail submarket was $19.31 per SF. According to a market report, as of the fourth quarter of 2013, the Charlotte office market totaled approximately 99.5 million SF in 5,330 office properties with an overall vacancy rate of 10.9% and positive net absorption of 623,911 SF. The average rental rate for the Charlotte office market was $19.65 per SF. The Charlotte CBD office submarket totaled approximately 22.8 million SF in 150 office properties with an overall vacancy rate of 8.6% and positive net absorption of 48,092 SF. The average rental rate for the Charlotte CBD office submarket was $24.17 per SF.
 
The following table presents certain information relating to the primary competition for the EpiCentre Property:
 
Competitive Set(1)
   
 
EpiCentre
 
 
Phillips Place
 
 
McMullen Creek Market
Distance from Subject
 
_
 
5.3 miles
 
9 miles
Property Type
 
Mixed Use
 
Lifestyle Center
 
Lifestyle Center
Year Built / Renovated
 
2008 / 2011
 
1997
 
1987
Total GLA
 
304,772
 
172,628
 
260,679
Total Occupancy
 
89.9%
 
98.8%
 
82.5%
Anchors / Significant Tenants
 
Studio Movie Grill, Strike City Lanes, Gold’s Gym, CVS Pharmacy
 
Orvis, Regal Cinemas, Brooks Brothers
 
Burlington Coat Factory, Winn Dixie, Dollar Tree, Chili’s
 
   
 
Promenade on Providence
 
 
Blakeney Shopping Center
   
Distance from Subject
 
11 miles
 
13 miles
   
Property Type
 
Lifestyle Center
 
Lifestyle Center
   
Year Built / Renovated
 
2001
 
2006-2008
   
Total GLA
 
450,000
 
289,540
   
Total Occupancy
 
95.5%
 
98.6%
   
Anchors / Significant Tenants
 
Home Depot, Stein Mart, Staples, CVS, Jos A. Bank, Men’s Warehouse, Pier 1 Imports
 
Target, Marshalls, Banana Republic, Victoria Secret, Harris Teeter
   
 

 
(1)
Source: Appraisal.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
54

 
 
EPICENTRE
 
n
The Borrower. The borrower is EpiCentre SPE (Charlotte), LLC, a single purpose Delaware limited liability company. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of the EpiCentre Loan. CIM SMA I Investments, LLC is the non-recourse carveout guarantor under the EpiCentre Loan. CIM Group, LLC is an urban real estate and infrastructure investment firm founded in 1994 with over $14.7 billion of assets under management. Cactus Multi-Asset Investor, LLC, which is wholly owned by the Arizona State Retirement System, is the 95.238% non-managing member of the non-recourse carveout guarantor.
 
n
Air Rights. An entity unrelated to the borrower (the “Air Rights Owner”) owns the air rights (“Air Rights”) above a certain portion of the EpiCentre Property. The Air Rights Owner is expected to construct a 15-story hotel above a portion of the EpiCentre Property (the “Air Rights Construction”, and any period after commencement of such construction and prior to completion of such construction, an “Air Rights Construction Period”). The “Air Rights Property” means the tract or parcel of real estate located above such portion of the EpiCentre Property. Neither the Air Rights Property nor any improvements constructed thereon (including the hotel expected to be constructed) will constitute part of the EpiCentre Property or otherwise constitute collateral for the EpiCentre Loan. In connection with the Air Rights Construction, the borrower and the Air Rights Owner are required to fund various escrows and reserves as described below.
 
n
Escrows. On the origination date, the borrower funded aggregate upfront reserves of $1,179,097 with respect to the EpiCentre Property, comprised of: (a) $643,513 for real estate taxes, (b) $445,584 for tenant improvements and leasing commissions consisting of $431,584 for unfunded tenant improvements, leasing commissions and free rent for Corfu, unfunded tenant improvements for three tenants (Pavilion, Strike City Lanes, and Wild Wings Cafe) and $14,000 for tenant improvements for Gold’s Gym and (c) $90,000 for deferred maintenance consisting of certain correction, remediation and repair work to the floor of the premises leased at the EpiCentre Property by CVS Pharmacy.
 
On each due date, the borrower is required to fund the following reserves with respect to the EpiCentre Property: (a) a tax reserve in an amount equal to one-twelfth of the amount that the lender estimates will be necessary to pay taxes over the then succeeding 12-month period, (b) at the option of the lender if the liability or casualty policy maintained by the borrower does not constitute an approved blanket or umbrella policy under the loan documents, an insurance reserve in an amount equal to one-twelfth of the amount that the lender estimates will be necessary to pay insurance premiums over the-then succeeding 12-month period, (c) a leasing reserve in the amount of $43,551 and (d) a replacement reserve in the amount of $3,810.
 
Air Rights Escrow. At origination of the EpiCentre Loan, the borrower and MV EpiCentre II LLC, the seller of the EpiCentre Property (“Seller”), an affiliate of the Air Rights Owner, funded on a 50:50 basis, a $1,000,000 escrow (the “Air Rights Escrow”) with First American Title Insurance Company, as escrow agent (the “Air Rights Escrow Agent”), in order to offset certain costs related to the Air Rights Construction. The borrower has the right to recover from the Air Rights Escrow (i) any rent abatement or other concession or claim granted or paid by the borrower to any tenant at the EpiCentre Property in order to compensate such tenant for any disruptions or inconvenience to such tenant’s business, (ii) the cost of any temporary identification signage reasonably related to construction activities occurring on the Air Rights Property, (iii) cost of any cleaning of any buildings and other improvements at the EpiCentre Property resulting from the Air Rights Construction and (iv) any legal fees actually incurred by the borrower in connection therewith actually incurred by the borrower in connection with construction. Each distribution from the Air Rights Escrow will be made 50% from funds deposited by the seller and 50% from funds deposited by the borrower until the date (the “Air Rights Escrow Release Date”) that is the earlier of (A) the date the funds in the Air Rights Escrow are completely depleted or (B) the earlier to occur of (x) issuance of a certificate of occupancy for the improvements on the Air Rights Property and (y) May 9, 2019. Within three days of the Air Rights Escrow Release Date, the Air Rights Escrow agent is required to release the remaining Air Rights Escrow funds; 50% to the seller and 50% to the borrower. The borrower is required to deposit any such amounts received by it with lender in the Additional Cash Account (as defined below). The borrower assigned its rights under the Air Rights Escrow to lender as additional collateral for the EpiCentre Loan. In addition, pursuant to the EpiCentre loan documents, the borrower may not request or consent to the disbursement of any funds from the Air Rights Escrow without the prior reasonable consent of the lender.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
55

 
 
EPICENTRE
 
Additional Cash Reserve. In addition to the assignment of the Air Rights Escrow to the lender, the borrower is required to deposit into an account held by the lender (the “Additional Cash Account”) (a) the amount of any funds belonging to the borrower then on deposit with the Air Rights Escrow Agent on the Air Rights Escrow Release Date and (b) on each monthly payment date during the continuance of an Additional Cash Sweep Event (as defined below), an amount equal to the Additional Cash Reserve Required Deposit (collectively, “Additional Cash Reserve Funds”). All Additional Cash Reserve Funds are required to be held in the Additional Cash Account until the Air Rights Construction is completed. Upon request of the borrower, to be granted or denied by the lender in the lender’s sole discretion, the lender may make Additional Cash Reserve Funds available to cover the cost of any abatement, credits, adjustments or other lease concessions made to tenants at the EpiCentre Property. Any funds remaining in the Additional Cash Account on the monthly due date following the occurrence of an Air Rights Construction Completion Event will be disbursed to the borrower by the lender if no event of default is continuing under the EpiCentre loan documents.
 
Additional Cash Sweep Event” means the occurrence of each of the following events prior to the occurrence of an Air Rights Construction Completion Event: (i) the sum of (a) the amount then on deposit pursuant to the Air Rights Escrow plus (b) the amount of Additional Cash Reserve Funds then on deposit in the Additional Cash Account is less than $500,000 and (ii) either (a) the debt service coverage ratio (as calculated pursuant to the loan documents) (excluding for the purposes of such calculation, rent attributable to signage and paid to borrower as lessor pursuant the Signage Lease (as defined below) being less than 1.35x calculated on a forward basis (meaning annualized prior month income minus TTM operating expenses) or (b) the debt service coverage ratio (including for the purposes of such calculation, rent attributable to the signage and paid to borrower as lessor pursuant the Signage Lease) being less than 1.55x calculated on a forward basis (meaning annualized prior month income minus TTM operating expenses).
 
Additional Cash Reserve Required Deposit” means, during the continuance of an Additional Cash Sweep Event, the lesser of (a) the amount of excess cash flow funds in the Cash Management Account (as defined below) on the applicable monthly payment date and (b) the difference between $500,000 and the sum of (i) the amount, if any, then on deposit in the Air Rights Escrow plus (ii) the amount of Additional Cash Reserve Funds then on deposit in the Additional Cash Account on such monthly payment date.
 
Air Rights Make Whole Escrow. If the Air Rights Owner needs to make certain limited alterations to the EpiCentre Property in connection with the Air Rights Construction or negotiates a buy-out of the lease of any tenant in the building in the EpiCentre Property upon which the Air Rights Property sits in connection with such alterations, in addition to paying for the cost of such alterations, the Air Rights Owner is required to (A) compensate the borrower for any lost value to the EpiCentre Property as a result of such alteration (any such compensation, an “Air Rights Construction Compensation Payment”) in an amount equal to, (i) in the case of any affected leasable area at the EpiCentre Property, (x) the product of $400 and the consumer price index increase multiplied by (y) the number of square feet occupied by any improvements constructed by the Air Rights Owner as a result of such alterations, and (ii) in the case of any affected parking space at the EpiCentre Property, (x) the product of $15,000 and the consumer price index increase multiplied by (y) the number of parking spaces that cease to be legal parking spaces as a result of such alterations and (B) compensate borrower for any loss of rents as a result of the voluntary buy-out of any tenant’s lease and all costs of re-leasing such tenant’s space at the EpiCentre Property (any such payment, an “Air Rights Make-Whole Payment”). The Air Rights Owner has agreed to set up an escrow (the “Air Rights Make-Whole Escrow”) with a nationally recognized third party escrow agent to deposit any Air Rights Make-Whole Payments, and the borrower has agreed to collaterally assign to lender all of its right, title and interest in and to any Air Rights Make-Whole Escrow. Pursuant to the loan documents, the borrower may not request or consent to the disbursement of any funds from the Air Rights Make-Whole Escrow without the prior reasonable consent of the lender. In addition, the borrower is required to deposit any amounts released to the borrower from the Air Rights Make-Whole Escrow into the Air Rights Compensation Account to be established with lender as described below.
 
Air Rights Compensation Account. The borrower is required to deposit into an account held by lender (the “Air Rights Compensation Account”) (a) on the date of commencement of the Air Rights Construction, out of its own funds, the amount of $800,000, (b) any Air Rights Construction Compensation Payment received by the borrower as described above, (c) any Air Rights Make-Whole Payment received by the borrower from the Air Rights Make-
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
56

 
 
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Whole Escrow, and (d) commencing on the date that is six months after the date of commencement of Air Rights Construction and on each monthly payment date thereafter, an amount equal to $116,667 (the “Air Rights Compensation Reserve Required Deposit”), provided, however that the borrower will not be required to make any additional Air Rights Compensation Reserve Required Deposit described in clause (d) at such time as the amounts in the Air Rights Compensation Account are in an amount equal to $1,500,000. All funds remaining in the Air Rights Compensation Account on the monthly due date following the earlier of (x) the occurrence of an Air Rights Construction Completion Event and (y) the lender’s receipt of a final slab, electrical and plumbing inspection for the Air Rights Property, in form and substance reasonably acceptable to lender, will be disbursed to borrower provided that no event of default shall have occurred and be continuing under the EpiCentre loan documents.
 
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Lockbox and Cash Management. The EpiCentre Property requires a hard lockbox, which is already in place. Pursuant to the loan documents, the borrower is required to direct all tenants to deposit all rent into a lockbox account in the name of the borrower and subject to the control of the lender on each business day during the term of the EpiCentre Loan. So long as an EpiCentre Trigger Period is not then in effect, all funds in the lockbox will be remitted on each business day to the borrower’s operating account. Upon the first occurrence of an EpiCentre Trigger Period, the lender, on borrower’s behalf, will establish an eligible cash management account (“Cash Management Account”) with the lender or the servicer. If an EpiCentre Trigger Period has occurred and is continuing, all funds in the lockbox will be transferred on each business day to the cash management account, and the lender will apply funds on deposit in the Cash Management Account to pay debt service, to pay operating expenses of the EpiCentre Property and fund required reserves in accordance with the loan documents. During the continuance of an event of default under the EpiCentre Loan, the lender may apply any funds in the Cash Management Account to amounts payable under the EpiCentre Loan and/or toward the payment of expenses of the EpiCentre Property, in such order of priority as the lender may determine.
 
An “EpiCentre Trigger Period” means any period (A) commencing upon the earliest of, (i) the occurrence and continuance of an event of default, (ii) the debt service coverage ratio (as calculated under the loan documents) falling below 1.25x if neither an Air Rights Construction Period nor an Additional Parking Event has occurred and is then continuing, (iii) the debt service coverage ratio (as calculated under the loan documents) falling below 1.30x if an Additional Parking Event has occurred, (iv) if an Air Rights Construction Period has occurred and is continuing then, either (x) the debt service coverage ratio (excluding rents attributable to the signage at the EpiCentre Property and paid to borrower as lessor pursuant to the Signage Lease) being less than 1.25x as calculated by lender on a forward basis (meaning annualized prior month income minus TTM operating expenses) or (y) the debt service coverage ratio (including for the purposes of such calculation, rents attributable to the signage at the EpiCentre Property and paid to the borrower as lessor pursuant the Signage Lease) being less than 1.50x as calculated by lender on a forward basis (meaning annualized prior month income minus TTM operating expenses), (v) the occurrence of an Air Rights Construction cessation event (“Air Rights Construction Cessation Event”), a period commencing upon cessation of the Air Rights Construction for more than 90 days within a 110 day period and at such time the Air Rights Property has not been fully secured, restored or repaired to a specified required standard (i.e. cleaning debris, removing scaffolding, securing access, etc.) by the Air Rights Owner or the borrower and ending once (a) the proper securing/restoration work has occurred or the Air Rights Construction is completed and (b) the debt service coverage ratio is greater than (x) 1.30x (excluding revenue from EpiCentre Signage) and (y) 1.50x (including revenue from EpiCentre Signage) for 2 consecutive calendar quarters on a trailing basis, and (vi) the occurrence of a Specified Tenant Trigger Period; and (B) expiring upon: (i) in connection with clause (A)(i) above, the cure (if applicable) of such event of default, (ii) in connection with clause (A)(ii) above, the debt service coverage ratio being equal to or greater than 1.30x for two consecutive quarters, (iii) in connection with clause (A)(iii) above, the debt service coverage ratio being equal to or greater than 1.35x for two consecutive quarters, (iv) in connection with clause (A)(iv) above, (a) if no Air Rights Construction Cessation Event has occurred and is continuing, the date that (1) the debt service coverage ratio (excluding for the purposes of such calculation, rents attributable to the signage at the EpiCentre Property and paid to borrower as lessor pursuant the Signage Lease) for the period commencing after the applicable EpiCentre Trigger Period has commenced being equal to or greater than 1.30x for two consecutive calendar quarters calculated by the lender on a trailing basis and (2) the debt service coverage ratio (including for the purposes of such calculation, rents attributable to the signage at the EpiCentre Property and paid to the borrower as lessor pursuant the Signage Lease) for the period commencing after the applicable EpiCentre Trigger Period has
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
57

 
 
EPICENTRE
 
commenced being equal to or greater than 1.50x for two consecutive calendar quarters calculated by the lender on a trailing basis or (b) if an Air Rights Construction Cessation Event has occurred and is continuing, the date that the Air Rights Construction Cessation Event ceases to exist in accordance with the terms of the loan agreement, (v) in connection with clause (A)(v) above, the Air Rights Construction Cessation Event ceasing to exist in accordance with the terms of the loan agreement, and (vi) in connection with clause (A)(vi) above, a Specified Tenant Trigger Period ceasing to exist in accordance with the terms of the loan agreement.
 
An “Additional Parking Event” means any period of time when the borrower and/or any parking manager appointed by borrower to manage the parking facility has failed to maintain in effect one or more agreements pursuant to which adequate additional parking spaces are available for use offsite from the EpiCentre Property as required by the Hotel Unit parking agreement.
 
A “Specified Tenant Trigger Period” means a period (A) commencing upon the occurrence of at least two of four specified major tenants (Strike City Bowl, LLC (d/b/a Strike City Lanes and Libretto’s Pizzeria and Italian Kitchen), Studio Movie Grill Concepts XV, LLC (d/b/a Studio Movie Grill), EpiCentre Fitness Group, Inc. (d/b/a Gold’s Gym) and BLACKFINN CLT, LLC (d/b/a BlackFinn American Saloon and/or BlackFinn American Grille)) failing to extend or renew the applicable lease of such major tenant on or prior the date by which such tenant is required to give notice of the renewal of its lease in accordance with the applicable terms of such lease and the EpiCentre loan documents; and (B) expiring upon the first to occur of lender’s receipt of evidence reasonably acceptable to lender (which such evidence shall include, without limitation, a duly executed estoppel certificate from both of the applicable major tenants in form and substance acceptable to lender) of (1) the renewal or extension of the applicable leases or (2) borrower re-leasing the entire applicable tenant spaces (or applicable portion thereof), each applicable tenant under such lease being in actual, physical occupancy of, and open to the public for business in, the applicable space demised under its applicable lease and paying the full and unabated amount of the rent due under its lease.
 
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Signage Rent and Signage Pledge Collateral. The signage at the EpiCentre Property is owned and operated by OB Charlotte, LLC (“OB Charlotte”) pursuant to a sublease with EpiCentre Signage (Charlotte), LLC (“EpiCentre Signage”), which has leased the signage from the borrower under a lease (the “Signage Lease”). EpiCentre Signage owns 50% of the membership interests of OB Charlotte. EpiCentre Member (Charlotte), LLC, an affiliate of borrower, owns 100% of the membership interests of EpiCentre Signage. Pursuant a Pledge and Security Agreement, dated as of May 9, 2014, EpiCentre Member (Charlotte), LLC, pledged all of its membership interests in EpiCentre Signage to lender as additional collateral for the EpiCentre Loan.
 
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Property Management. The EpiCentre Property is managed by Jones Lang Lasalle Americas, Inc. (“Jones Lang”), a third-party manager. Under the loan documents, the borrower has the right to terminate or cancel a management agreement and replace the applicable property manager, or consent to the assignment of a property manager’s rights under the applicable management agreement, to the extent that no event of default has occurred and is continuing and the applicable replacement manager is a qualified manager who is either (a) approved in writing by the lender and engaged pursuant to a qualified management agreement or (b) a manager affiliated with the guarantor and engaged pursuant to the management agreement approved by the lender on the closing date of the origination of the EpiCentre Loan. The lender has the right to terminate the management agreement and replace a manager or require that the borrower terminate a management agreement and replace a manager if (i) Jones Lang becomes insolvent or a debtor in a bankruptcy proceeding; (ii) there exists an EpiCentre Trigger Period; (iii) Jones Lang engages in gross negligence, fraud, willful misconduct or misappropriation of funds; or (iv) a default has occurred and is continuing under the applicable management agreement.
 
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Mezzanine or Subordinate Indebtedness. Not permitted.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
58

 
 
EPICENTRE
 
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Terrorism Insurance. The borrower is required to maintain an “all-risk” insurance policy that provides coverage for terrorism, in an amount equal to the full replacement cost of the EpiCentre Property, plus 18 months of business interruption coverage. The “all-risk” insurance policy that provides coverage for terrorism insurance is required to contain a deductible that is acceptable to the lender and is no higher than $100,000. However, in the event the Terrorism Risk Insurance Act of November 26, 2002, as amended (TRIA) and/or the Terrorism Risk Insurance Program Reauthorization Act of 2007, as amended (TRIPRA) is not renewed or extended (or replaced by a comparable statute) at any time during the term of the EpiCentre Loan, and terrorism insurance coverage is then subject to rating and availability on the open market, for each subsequent policy term, borrower is required to maintain terrorism insurance coverage at a cost not to exceed 200% of all insurance premiums for all insurance coverages required pursuant to the loan documents. See “Risk Factors—Terrorism Insurance May Not Be Available for All Mortgaged Properties” in the Free Writing Prospectus.
 
 
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Release Provision. The EpiCentre Loan documents permit the borrower to release the Parking Premises of the EpiCentre Property from the liens of the loan documents, which is currently leased to an affiliate of the Air Rights Owner and not available for use by the EpiCentre Property or borrower, upon satisfaction of certain conditions set forth in the loan documents, including, without limitation, (i) the parking garage (including the Parking Premises being released) is subjected to a condominium declaration (and the lender has received evidence reasonably acceptable to lender thereof) which imposes no material economic burdens or obligations on the borrower, in excess of those already imposed on the borrower under the lease currently demising the Parking Premises, (ii) the lender has received a Rating Agency Confirmation and (iii) immediately after such release the loan to value ratio determined, in lender’s sole discretion, by any commercially reasonable method permitted to a REMIC Trust (excluding the value of personal property or going concern value, if any) based on the value of the remaining portion of the EpiCentre Property is equal to or less than 125%.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
59

 
 
RIDGEVIEW APARTMENTS
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
60

 
 
RIDGEVIEW APARTMENTS
 
(MAP)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
61

 
 
RIDGEVIEW APARTMENTS
 
             
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1
 
Loan Seller
 
CCRE
Location (City/State)
Elmsford, New York
 
Cut-off Date Principal Balance
 
$66,000,000
Property Type
Multifamily
 
Cut-off Date Principal Balance per Unit
$158,653.85
Size (Units)
416
 
Percentage of Initial Pool Balance
 
6.9%
Total Occupancy as of 5/1/2014
99.8%
 
Number of Related Mortgage Loans
 
None
Owned Occupancy as of 5/1/2014
99.8%
 
Type of Security
 
Fee Simple
Year Built / Latest Renovation
1990-1993 / 2013
 
Mortgage Rate
 
4.7425%
Appraised Value
$103,000,000
 
Original Term to Maturity (Months)
 
84
     
Original Amortization Term (Months)
 
360
     
Original Interest Only Period (Months)
 
36
       
Underwritten Revenues
$8,643,056
       
Underwritten Expenses
$3,221,162
 
Escrows
Underwritten Net Operating Income (NOI)
$5,421,894
   
Upfront
Monthly
Underwritten Net Cash Flow (NCF)
$5,287,110
 
Taxes
$606,500
$148,167
Cut-off Date LTV Ratio
64.1%
 
Insurance
$26,276
$13,138
Maturity Date LTV Ratio
60.0%
 
Replacement Reserves
$0
$11,232
DSCR Based on Underwritten NOI / NCF(1)
1.31x / 1.28x
 
TI/LC
$0
$0
Debt Yield Based on Underwritten NOI / NCF
8.2% / 8.0%
 
Other(2)
$580,675
$0
 
Sources and Uses  
Sources
$
%
Uses
$
%
Loan Amount
$66,000,000
100.0%
Loan Payoff
$55,131,357
 83.5
%
     
Principal Equity Distribution
7,950,256
12.0
 
     
Closing Costs
1,704,936
2.6
 
     
Reserves
1,213,451
 1.8
 
Total Sources
$66,000,000
100.0%
Total Uses
$66,000,000
100.0
 

 
(1)
Based on amortizing debt service payments. Based on the current interest only payments, the DSCR Based on Underwritten NOI and DSCR Based on Underwritten NCF are 1.71x and 1.67x, respectively.
 
(2)
Other reserve represents a debt service / regulatory reserve of $545,000 and a deferred maintenance reserve of $35,675 which is 125.0% of the expected cost of the required repairs determined in the engineering reports. See “—Escrows” below.
 
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The Mortgage Loan. The mortgage loan (the “Ridgeview Apartments Loan”) is evidenced by a promissory note in the original principal amount of $66,000,000 and is secured by a first mortgage encumbering the borrower’s fee simple interest in a 416-unit multifamily property located in Elmsford, New York (the “Ridgeview Apartments Property”). The Ridgeview Apartments Loan was originated by CCRE on May 21, 2014. The Ridgeview Apartments Loan represents approximately 6.9% of the Initial Pool Balance. The note evidencing the Ridgeview Apartments Loan has an outstanding principal balance as of the Cut-off Date of $66,000,000 and an interest rate of 4.7425% per annum. The borrower utilized the proceeds of the Ridgeview Apartments Loan to refinance existing debt, return equity to the borrower sponsors, pay closing costs and fund reserves.
 
The Ridgeview Apartments Loan has an initial term of 84 months and has a remaining term of 84 months. The Ridgeview Apartments Loan requires payments of interest only prior to the due date in July 2017, after which it requires monthly payments of interest and principal sufficient to amortize the loan over a 30-year amortization schedule. The scheduled maturity date is the due date in June 2021. Voluntary prepayment of the Ridgeview Apartments Loan is prohibited prior to March 6, 2021. Defeasance with government securities is permitted at any time on or after July 6, 2016.
 
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The Mortgaged Property. The Ridgeview Apartments Property is a 416-unit garden style apartment complex located at 32 Nob Hill Drive in Elmsford, New York in Westchester County. The Ridgeview Apartments Property was constructed in phases between 1990 and 1993, and as of May 1, 2014 Total Occupancy and Owned Occupancy were both 99.8%. The borrower sponsor acquired the Ridgeview Apartment Property in 2010 and subsequently invested approximately $1.9 million of capital expenditures ($4,529 per unit) into the Ridgeview Apartments Property, including upgrading the air conditioning units, hot water heaters, kitchen cabinets, roof repairs and repainting the Ridgeview Apartments Property. The Ridgeview Apartments Property is located on an approximately 23-acre site, featuring a total of 22 two-story apartment buildings. Amenities consist of barbecue areas, a children’s playground, surface parking, under-building tenant parking and an on-site leasing office. All units are allotted a private parking space with additional parking available, for a total of 850 spaces. Each unit features a full appliance package including garbage disposals and dishwashers, and the bathrooms feature marble counters and built-in porcelain sinks. Tenants are required to pay for all their own utilities.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
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RIDGEVIEW APARTMENTS
 
The Ridgeview Apartments Property is located in the suburban Village of Elmsford, in the northwestern portion of the Town of Greenburgh. The Town of Greenburgh is located six miles northwest of downtown White Plains and approximately 30 miles north of Manhattan.
 
The Ridgeview Apartments Property has access to I-87 and I-287, both located just south within view of the Ridgeview Apartments Property. Primary access to the neighborhood is provided by I-287, which provides access to White Plains and the Tappan-Zee Bridge. The Saw Mill River Parkway, Route 9A and the Sprain Brook Parkway are also in close proximity to the Ridgeview Apartments Property, providing access to New York City.

The commute to New York City is approximately 40 minutes by car or train via Metro North Rail Road. The closest Metro North stop to the Ridgeview Apartment Property is the Elmsford stop, which is 0.3 miles away. The Ridgeview Apartments Property is also approximately 10.0 miles from the Westchester County Airport. Additionally, Bee-Line buses provide bus service within Westchester County.
 
The following table presents certain information relating to the units and rent at the Ridgeview Apartments Property:
 
 
Unit Type
 
 
# of Units
 
 
Average SF
per Unit
 
 
Monthly Market
Rent per Unit(1)
 
 
Monthly Actual
Rent per Unit(2)
1 Bed / 1 Bath
 
185
   
652
   
$1,590
   
$1,542
 
2 Bed / 1 Bath
 
160
   
828
   
$1,790
   
$1,748
 
2 Bed / 1.5 Bath
 
62
   
934
   
$1,875
   
$1,920
 
3 Bed / 2 Bath
 
9
   
1,304
   
$2,520
   
$2,421
 
Total / Wtd. Avg.
 
416
   
776
   
$1,730
   
$1,696
 
 

 
(1)
Source: Appraisal.
 
(2)
As provided by the borrower.
 
The following table presents certain information relating to historical leasing at the Ridgeview Apartments Property:
 
Historical Leased %(1)
 
2010
 
 
2011
 
 
2012
 
 
2013
 
 
As of
5/1/2014
89.0%
 
94.0%
 
96.0%
 
99.0%
 
99.8%
 

 
(1)
As provided by the borrower and represents occupancy based on units as of December 31, unless otherwise indicated.
 
The Ridgeview Apartments Property is located in a Residential Cluster Development District (the “RCD District”) and is subject to a Declaration of Restrictive Covenants which runs with the land (the “Declaration”). The RCD District and Declaration require 20% of the total number of units (83 units) to be made available for rent to certain qualifying households and rent on those units cannot exceed 28% of the income eligibility limitations established for Westchester County. In addition, pursuant to a regulatory agreement, which expires in December 2016, 15 units must be occupied by tenants whose incomes are less than 30% of the area median income, adjusted for family size.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
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Operating History and Underwritten Net Cash Flow. The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the Ridgeview Apartments Property:
 
Cash Flow Analysis
   
 
2011
 
 
2012
 
 
2013
 
 
Underwritten
 
Underwritten
$ per Unit
Base Rent
 
$8,112,907
   
$8,348,749
   
$8,723,952
   
$8,301,360
   
$19,955
 
Gross Up Vacancy
 
0
   
0
   
0
   
332,400
   
799
 
Goss Potential Rent
 
$8,112,907
   
$8,348,749
   
$8,723,952
   
$8,633,760
   
$20,754
 
Vacancy, Credit Loss & Concessions(1)
 
0
   
0
   
0
   
(431,688)
   
(1,038)
 
Total Rent Revenue
 
$8,112,907
   
$8,348,749
   
$8,723,952
   
$8,202,072
   
$19,717
 
Other Revenue(2)
 
15,160
   
(7,369)
   
27,543
   
440,984
   
1,060
 
Effective Gross Income
 
$8,128,067
   
$8,341,380
   
$8,751,495
   
$8,643,056
   
$20,777
 
                               
Total Operating Expenses
 
$2,792,133
   
$3,077,735
   
$3,125,862
   
$3,221,162
   
$7,743
 
                               
Net Operating Income
 
$5,335,934
   
$5,263,645
   
$5,625,633
   
$5,421,894
   
$13,033
 
Replacement Reserves(3)
 
89,728
   
186,792
   
347,838
   
134,784
   
324
 
Net Cash Flow
 
$5,246,206
   
$5,076,853
   
$5,277,795
   
$5,287,110
   
$12,709
 
 

 
(1)
Underwritten vacancy of 5.0%, which is greater than the market vacancy of 4.2% and the current in-place vacancy as of May 1, 2014 of 0.2%.
 
(2)
Other revenue includes water, trash, parking and pet/fee revenues. These revenues are reflected in Base Rent from 2011 to 2013, and broken out into Underwritten Other Revenue.
 
(3)
Underwritten replacement reserves of $324 per unit are based on the property condition report.
 
n
Appraisal. According to the appraisal, the Ridgeview Apartments Property had an “as-is” appraised value of $103,000,000 as of an effective date of February 20, 2014.
 
n
Environmental Matters. According to a Phase I environmental report, dated March 4, 2014, there are no recognized environmental conditions or recommendations for further action at the Ridgeview Apartments Property other than the development and implementation of an operations and maintenance plan for asbestos, which is already in place.
 
n
Market Overview and Competition. The Ridgeview Apartments Property is located in the Village of Elmsford, within the Town of Greenburgh, New York in Westchester County. Greenburgh is located six miles northwest of downtown White Plains and approximately 30 miles north of Manhattan. Westchester County is considered to be part of the New York City Metropolitan area and is located just north of the Bronx. The county is bordered to the west by the Hudson River, to the north by Putnam County, and to the east by the Long Island Sound and Connecticut.
 
The Ridgeview Apartments Property is located in the Westchester County multifamily market, which contains 39,814 units with an average occupancy of 96.9% as of year-end 2013. Since 2005, the occupancy for the market has not fallen below 94.8% and has been above 96.5% since 2011. Asking rents in the market as of year-end 2013 were $1,977 per unit, a 6.5% increase since year-end 2010. The Ridgeview Apartments Property is located in the Central Westchester submarket which contains 14,116 units with an average occupancy of 95.8% as of year-end 2013. Since 2005, the occupancy for the submarket has not fallen below 93.4% and has been above 95.1% since 2011. Asking rents in the submarket as of year-end 2013 were $2,463 per unit, a 9.0% increase since year-end 2010.

The population in Westchester County as of 2013 was 963,608, with a median household income of $78,566. The estimated 2013 population in a 3-mile radius of the Ridgeview Apartments Property was 82,072 with a median household income of $80,228.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
64

 
 
RIDGEVIEW APARTMENTS
 
The following table presents certain information relating to the primary competition for the Ridgeview Apartments Property:
 
Competitive Set(1)
   
 
Ridgeview Apartments
 
 
Avalon Green Phase I
 
 
Avalon Green Phase II
 
 
Talleyrand Crescent
 
 
Sleepy Hollow Gardens
 
 
Washington Irving Gardens
Location
 
Elmsford, NY
 
Elmsford, NY
 
Elmsford, NY
 
Tarrytown, NY
 
Tarrytown, NY
 
Tarrytown, NY
Distance From Subject
 
NAP
 
1.4 miles
 
1.4 miles
 
1.7 miles
 
1.9 miles
 
2.5 miles
Year Built
 
1990-1993
 
1995
 
2011
 
1997
 
1981
 
1920
Number of Units
 
416
 
105
 
288
 
300
 
214
 
66
Occupancy(2)
 
99.8%
 
98.0%
 
96.0%
 
96.0%
 
98.0%
 
99.0%
 

 
(1)
Source: Appraisal
 
(2)
Occupancy for the Ridgeview Appartements Property as provided by the borrower as of 5/1/2014.
 
n
The Borrower. The borrower, Ridgeview Holdings II LLC, is a single purpose Delaware limited liability company. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of the Ridgeview Apartments Loan. The sponsors of the borrower and the non-recourse carveout guarantors on a joint and several basis, are Stephen V. Reitano, Mark Bassani and Joseph J. Santangelo.
 
Stephen V. Reitano is currently the President of Sprague Associates, LLC, a real estate and strategic management consulting firm providing financial and business development services to companies engaged in business with state, city and county governments. Mr. Reitano primarily serves firms within the New York metropolitan area and serves as Chairman of Reitano and Knauf, a business advisory company. In addition to his private sector experience, Mr. Reitano has had state and local governmental experience, serving as the Deputy Executive Director and Chief Financial Officer of the NYS Metropolitan Transportation Authority.

Mark Bassani has over 13 years of real estate experience, and has owned or operated 12 apartment buildings comprising over 600 rental units in the aggregate. Mr. Bassani is currently the onsite facility manager at the Ridgeview Apartment Property.

Joseph Santangelo has over 14 years of real estate experience and has owned and operated 14 apartment buildings comprising over 700 rental units in the aggregate.
 
n
Escrows. On the origination date, the borrower funded aggregate reserves of $1,213,451 with respect to the Ridgeview Apartments Loan comprised of (i) $606,500 for real estate taxes, (ii) $26,276 for insurance expenses, (iii) $35,675 for deferred maintenance, which is 125.0% of the expected cost of the required repairs determined in the engineering report and (iv) $545,000 for termination fees associated with the potential future termination of a regulatory agreement, which funds may also be (i) disbursed to the borrower (in two disbursements of $136,250 on each of the 24th and 45th due dates) so long as the regulatory agreement has previously been terminated, and (ii) applied to the reduction of the principal amount of the Ridgeview Apartments Loan at the option of the lender following the occurrence of an event of default under the Ridgeview Apartments Loan. If the termination of the regulatory agreement occurs (x) prior to and including November 11, 2015 the total sum payable is required to be $300,000 and (y) during the period of November 12, 2015 through November 11, 2016 the total sum payable is required to be $225,000.
 
On each due date, the borrower is required to fund the following reserves with respect to the Ridgeview Apartments Loan: (i) a real estate tax reserve in the amount of one-twelfth of the next year’s estimated annual taxes, which currently equates to $148,167, (ii) an insurance reserve in the amount of one-twelfth of the annual insurance premiums, which currently equates to $13,138 and (iii) a replacement reserve in an amount equal to $11,232 ($324 per unit annually).
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
65

 
 
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Lockbox and Cash Management. The Ridgeview Apartments Loan is structured with a soft springing lockbox with springing cash management, which was established upon origination of the Ridgeview Apartments Loan. The loan documents require that all rents received by the borrower or the property manager be deposited into the lender-controlled lockbox account by the end of the first business day after receipt. On each business day, so long as no event of default or Ridgeview Apartments Cash Management Period (as defined below) is continuing, the lockbox bank will remit all amounts contained in the lockbox account to an operating account maintained by the borrower. On each business day, during the continuance of an event of default under the Ridgeview Apartments Loan or a Ridgeview Apartments Cash Management Period, the lockbox bank will remit all amounts contained in the lockbox account to a lender-controlled cash management account. During the continuance of an event of default under the Ridgeview Apartments Loan, the lender is entitled to apply all funds on deposit in the cash management account to amounts payable under the Ridgeview Apartments Loan in such order of priority as the lender may determine.
 
A “Ridgeview Apartments Cash Management Period” means the period (A) commencing upon (i) the occurrence of an event of default under the loan documents, (ii) the failure by the borrower, after the end of one calendar quarter, to maintain a debt service coverage ratio of at least 1.15x (based on the trailing twelve calendar months), (iii) the failure by the borrower, after the end of two consecutive calendar quarters, to maintain a debt service coverage ratio of at least 1.18x (based on the trailing twelve calendar months), (iv) the failure by the borrower, after the end of four consecutive calendar quarters, to maintain a debt service coverage ratio of at least 1.20x (based on the trailing twelve calendar months) or (v) any bankruptcy action of borrower, principal, guarantor or property manager and (B) expiring upon (x) in the case of clause (i) above, the cure (if applicable) of such event of default, (y) in the case of clauses (ii), (iii) and (iv) above, the achievement of a debt service coverage ratio (based on the trailing twelve calendar months) of 1.25x or greater for four consecutive calendar quarters or (z) in the case of clause (v) in the case of a bankruptcy action of the property manager only, if the borrower replaces the property manager with a qualified property manager under a replacement management agreement.
 
n
Property Management. The Ridgeview Apartments Property is currently managed by Knapp Management, Corp., an affiliate of the borrower, pursuant to a management agreement. Under the loan documents, the Ridgeview Apartments Property may be managed by Knapp Management, Corp. or any other management company reasonably approved by the lender and with respect to which Rating Agency Confirmation has been received. The lender has the right to terminate or require the borrower to terminate the property manager and engage a replacement property manager if (i) the debt service coverage ratio is less than 1.20x, (ii) an event of default has occurred under the Ridgeview Apartments loan documents, (iii) a material default by the property manager under the management agreement has occurred (after the expiration of any applicable notice and/or cure periods), (iv) a bankruptcy petition is filed by the property manager or a similar event or (v) 50.0% or more of the direct or indirect ownership interest in the property manager has changed, or control of the property manager has changed.
 
n
Terrorism Insurance. The borrower is required to maintain an “all-risk” insurance policy that provides coverage for terrorism, so long as lender determines that either (i) prudent owners of real estate comparable to the Ridgeview Apartments Property are maintaining such insurance, or (ii) prudent institutional lenders to such owners are requiring that such owners maintain such insurance, in an amount equal to the full replacement cost of the Ridgeview Apartments Property, plus 18 months of business interruption coverage. See “Risk Factors—Terrorism Insurance May Not Be Available for All Mortgaged Properties” in the Free Writing Prospectus.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
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67

 
 
THE COVE APARTMENTS
 

(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
68

 
 
THE COVE APARTMENTS
 
(MAP)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
69

 
 
THE COVE APARTMENTS
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1
 
Loan Seller
 
SMF I
Location (City/State)
Tampa, Florida
 
Cut-off Date Principal Balance
 
$42,600,000
Property Type
Multifamily
 
Cut-off Date Principal Balance per Unit
$61,828.74
Size (Units)
689
 
Percentage of Initial Pool Balance
 
4.4%
Total Occupancy as of 4/9/2014
95.6%
 
Number of Related Mortgage Loans
 
None
Owned Occupancy as of 4/9/2014
95.6%
 
Type of Security
 
Fee Simple
Year Built / Latest Renovation
1979 / 2011-2014
 
Mortgage Rate
 
4.3300%
Appraised Value
$57,200,000
 
Original Term to Maturity (Months)
 
84
     
Original Amortization Term (Months)
 
360
     
Original Interest Only Period (Months)
 
42
         
Underwritten Revenues
$7,115,144
       
Underwritten Expenses
$3,502,223
 
Escrows
Underwritten Net Operating Income (NOI)
$3,612,921
   
Upfront
Monthly
Underwritten Net Cash Flow (NCF)
$3,526,796
 
Taxes
$546,726
$68,341
Cut-off Date LTV Ratio
74.5%
 
Insurance
$151,388
$30,278
Maturity Date LTV Ratio
70.1%
 
Replacement Reserves(1)
$924,588
$0
DSCR Based on Underwritten NOI / NCF
1.42x / 1.39x
 
TI/LC
$0
$0
Debt Yield Based on Underwritten NOI / NCF
8.5% / 8.3%
 
Other(2)
$75,412
$0
 
Sources and Uses  
Sources
$
%
 
Uses
$
%
Loan Amount
$42,600,000
75.9
 
Purchase Price
$53,025,000
 94.5
Principal’s New Cash Contribution
13,508,265
24.1
   
Reserves
1,698,113
 3.0
 
         
Closing Costs
1,385,152
2.5
 
                 
Total Sources
$56,108,265
100.0
 
Total Uses
$56,108,265
100.0
 

 
(1)
Replacement reserves are capped at $300,000. See “—Escrows” below.
 
(2)
Other upfront reserve represents a deferred maintenance reserve. See “—Escrows” below.

n
The Mortgage Loan. The mortgage loan (“The Cove Apartments Loan”) is evidenced by a promissory note in the principal amount of $42,600,000 and is secured by a first mortgage encumbering a 689-unit multifamily property located in Tampa, Florida (“The Cove Apartments Property”). The Cove Apartments Loan was originated by Starwood Mortgage Capital LLC on May 15, 2014 and will be acquired by Starwood Mortgage Funding I LLC on or prior to the securitization Closing Date. The Cove Apartments Loan represents approximately 4.4% of the Initial Pool Balance. The note evidencing The Cove Apartments Loan has an outstanding principal balance as of the Cut-off Date of $42,600,000 and an interest rate of 4.3300% per annum. The borrower utilized the proceeds of The Cove Apartments Loan to acquire The Cove Apartments Property.
 
The Cove Apartments Loan had an initial term of 84 months and has a remaining term of 84 months. The Cove Apartments Loan requires payments of interest only prior to the due date in January 2018, on and after which it requires monthly payments of interest and principal sufficient to amortize the loan over a 30-year amortization schedule. The scheduled maturity date is the due date in June 2021. The Cove Apartments Loan may be voluntarily prepaid on any business day on or after the due date in July 2016 with the payment of a yield maintenance premium. Voluntary prepayment of The Cove Apartments Loan is permitted on and after the due date in February 2021 without payment of any yield maintenance or prepayment premium.
 
n
The Mortgaged Property. The Cove Apartments Property is a 689-unit multifamily apartment community located in Tampa in Hillsborough County, Florida. The Cove Apartments Property was built in 1979 and renovated between 2011 and 2014. The Cove Apartments Property consists of 49 two-story buildings. On-site amenities include three swimming pools, a tennis court, a sports court (racquetball and basketball) and two clubhouses. The clubhouses include a fitness center, game room, and management and leasing offices. The Cove Apartments Property offers studio, one-, and two- bedroom floor plans. As of April 9, 2014, Total Occupancy and Owned Occupancy at The Cove Apartments Property were both 95.6%.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
70

 
 
THE COVE APARTMENTS
 
The following table presents certain information relating to the units and rent at The Cove Apartments Property:
 
 
Unit Type
 
 
# of Units
 
 
Average SF
per Unit
 
 
Monthly Market Rent per Unit
 
 
Yearly Market Rent
 
 
Monthly Actual Rent per Unit
 
 
Yearly Actual Rent
Studio
 
160
   
495
   
$725
   
$1,391,160
   
$695
   
$1,333,766
 
1 Bed / 1 Bath
 
368
   
610
   
$835
   
3,686,400
   
$815
   
3,597,892
 
1 Bed / 1 Bath Loft
 
1
   
886
   
$1,755
   
21,060
   
$1,755
   
21,060
 
2 Bed / 2 Bath
 
160
   
872
   
$1,075
   
2,064,840
   
$1,042
   
2,000,928
 
Total / Wtd. Avg.
 
689
   
645
   
$867
   
$7,163,460
   
$842
   
$6,953,646
 
 

Source: As provided by the borrower.
 
The following table presents certain information relating to historical leasing at The Cove Apartments Property:
 
Historical Leased %(1)
 
2011
 
 
2012
 
 
2013
86.7%
 
95.8%
 
95.5%
 

 
(1)
As provided by the borrower and represents occupancy as of December 31, for the indicated year unless otherwise specified.
 
n
Operating History and Underwritten Net Cash Flow. The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at The Cove Apartments Property:
 
Cash Flow Analysis(1)
   
 
2012
 
 
2013
 
 
TTM 3/31/2014
 
 
Underwritten
 
 
Underwritten
$ per Unit
Base Rent
 
$6,806,415
   
$7,020,125
   
$7,094,275
   
$7,163,460
   
$10,397
 
Gross Up Vacancy
 
0
   
0
   
0
   
0
   
0
 
Gross Potential Rent
 
$6,806,415
   
$7,020,125
   
$7,094,275
   
$7,163,460
   
$10,397
 
Economic Vacancy & Credit Loss
 
(1,282,891
 
(716,730
 
(731,550
 
(744,034
 
(1,080
Total Rent Revenue
 
$5,523,524
   
$6,303,395
   
$6,362,725
   
$6,419,426
   
$9,317
 
Reimbursements
 
357,058
   
374,175
   
377,002
   
377,002
   
547
 
Other Revenue(2)
 
310,579
   
325,619
   
318,716
   
318,716
   
463
 
Effective Gross Income
 
$6,191,161
   
$7,003,189
   
$7,058,443
   
$7,115,144
   
$10,327
 
                               
Total Operating Expenses
 
$3,324,185
   
$3,580,144
   
$3,557,993
   
$3,502,223
   
$5,083
 
                               
Net Operating Income
 
$2,866,977
   
$3,423,045
   
$3,500,450
   
$3,612,921
   
$5,244
 
Replacement Reserves
 
0
   
0
   
0
   
86,125
   
125
 
Net Cash Flow
 
$2,866,977
   
$3,423,045
   
$3,500,450
   
$3,526,796
   
$5,119
 


 
(1)
Certain items such as straight line rent, interest expense, interest income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Includes administrative fees, month-to-month and short term premiums, application fees, late fees, termination fees and pet fees.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
71

 
 
THE COVE APARTMENTS
 
n
Appraisal. According to the appraisal, The Cove Apartments Property had an “as-is” appraised value of $57,200,000 as of April 21, 2014.
 
n
Environmental Matters. According to a Phase I environmental report, dated April 14, 2014, there are no recognized environmental conditions or recommendations for further action at The Cove Apartments Property.
 
n
Market Overview and Competition. The Cove Apartments Property is located within the city of Tampa, Hillsborough County, Florida. Primary access to The Cove Apartments Property neighborhood is provided by South Dale Mabry Highway. The Cove Apartments Property is located approximately nine miles southwest of downtown Tampa in a neighborhood consisting of a mixture of multifamily and single family developments. The largest employer in Hillsborough County is MacDill Air Force Base with 15,000 employees. Other employers in Hillsborough County include JPMorgan Chase, H. Lee Moffitt Cancer Center & Research Institution, Citi, PricewaterhouseCoopers and Progressive Insurance. The Cove Apartments Property is located in Tampa’s Westshore neighborhood with waterfront access to Old Tampa Bay and is less than ten miles from the Westshore business district, downtown Tampa, the University of Tampa and Tampa International Airport.
 
The population in Hillsborough County is 1,272,618, with an estimated average household income of $47,483 for 2013. The estimated 2013 population in a 3-mile radius of the property is 72,769 with an estimated average household income of $89,197. At $1,015 and $995 per month, average fourth quarter 2013 asking and effective rents, as reported by a submarket research report, were up 1.1% and 1.3%, respectively, for the quarter and were up 3.0% and 4.7%, respectively, for the year. Fourth quarter Class A and B/C asking averages were $1,183 and $832, respectively.
 
The following table presents certain information relating to the primary competition for The Cove Apartments Property:
 
Competitive Set(1)
   
 
The Cove Apartments
 
 
Camden Bayside
 
 
Mainsail South
 
 
Lighthouse Bay
 
 
Camden Westshore
 
 
South Pointe
Location
 
Tampa, FL
 
Tampa, FL
 
Tampa, FL
 
Tampa, FL
 
Tampa, FL
 
Tampa, FL
Occupancy(2)
 
95.6%
 
96.0%
 
96.0%
 
98.0%
 
97.0%
 
95.0%
Year Built
 
1979
 
1986
 
1984
 
1986
 
1986
 
1986
No. of Units
 
689
 
832
 
330
 
318
 
278
 
112
Average SF per Unit
 
645
 
749
 
838
 
746
 
728
 
871
Avg. Rent per Unit
 
$844
 
$912
 
$1,080
 
$769
 
$967
 
$991
Avg. Rent per SF
 
$1.31
 
$1.22
 
$1.29
 
$1.04
 
$1.33
 
$1.14
 

 
(1)
Source: Appraisal.
 
(2)
For The Cove Apartments Property, as provided by the borrower.
 
n
The Borrower. The borrower is Westshore Cove Apartments, LLC, a single-purpose, single-asset entity formed solely for the purpose of owning and operating The Cove Apartments Property. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of The Cove Apartments Loan. The Laramar Group, L.L.C. is the non-recourse carveout guarantor under The Cove Apartments Loan.
 
n
Escrows. On the origination date, the borrower funded escrow reserves in the amount of (i) $546,726 in respect of certain real estate taxes, (ii) $151,388 in respect of certain insurance reserves, (iii) $924,588 for replacement reserve and (iv) $75,412 for deferred maintenance. On each due date, the borrower is required to fund (i) a tax and insurance reserve in a monthly amount equal to one-twelfth of the amount the lender estimates will be necessary to pay taxes and insurance premiums over the then succeeding twelve-month period which currently equates to $68,341 and $30,278 respectively, and (ii) a replacement reserve in the monthly amount of $17,725, capped at $300,000.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
72

 
 
THE COVE APARTMENTS
 
n
Lockbox and Cash Management. None.
 
n
Property Management. The Cove Apartments Property is currently managed by Laramar Communities, L.L.C. and Laramar Construction Services L.L.C., affiliates of the borrower, pursuant to a management agreement. Under the loan documents, The Cove Apartments Property may be managed by Laramar Communities, L.L.C. and Laramar Construction Services L.L.C. or any other management company reasonably approved by the lender and with respect to which Rating Agency Confirmation has been received. During or upon any of (i) the continuance of an event of default under The Cove Apartments Loan, (ii) any time when the debt service coverage ratio of The Cove Apartments Property (based on the trailing 12 calendar months) is less than 1.00x for six consecutive calendar months, (iii) the continuance of a material default by the property manager under the management agreement beyond any applicable notice and cure period, (iv) the filing of a bankruptcy petition or similar event with respect to the property manager or (v) engagement by the property manager in gross negligence, fraud, willful misconduct or misappropriation of funds, the lender may require the borrower to terminate the management agreement and replace the property manager with a new property manager selected by the borrower, subject to the lender’s reasonable approval, and with respect to which Rating Agency Confirmation has been received.
 
n
Mezzanine or Subordinate Indebtedness. Not permitted.
 
n
Terrorism Insurance. The borrower is required to maintain an “all-risk” insurance policy including coverage for certified and non-certified acts of terrorism (as those terms are defined in TRIPRA or similar or subsequent statute) in an amount equal to the full replacement cost of The Cove Apartments Property, plus 18 months of business interruption coverage. The required terrorism insurance may be included in a blanket policy, provided that the borrower provides evidence satisfactory to the lender that the insurance premiums for The Cove Apartments Property are separately allocated under the blanket policy and that certain requirements are satisfied. In the event that TRIPRA discontinues, the borrower is not required to spend for terrorism insurance coverage more than two times the premium for a separate special-form, all-risk insurance policy or similar policy. See “Risk Factors—Terrorism Insurance May Not Be Available for All Mortgaged Properties” in the Free Writing Prospectus.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
73

 
 
NEWCASTLE SENIOR HOUSING PORTFOLIO
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
74

 

 
NEWCASTLE SENIOR HOUSING PORTFOLIO
 
(MAP)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
75

 
 
NEWCASTLE SENIOR HOUSING PORTFOLIO

Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
26  
 
Loan Seller
GSMC  
Location (City/State)
Various  
 
Cut-off Date Principal Balance(4)
$38,720,475  
Property Type
Senior Housing  
 
Cut-off Date Principal Balance per Unit(5)
$119,890.10  
Size (Units)
3,002  
 
Percentage of Initial Pool Balance
4.0%  
Total Occupancy as of 1/31/2014
90.9%  
 
Number of Related Mortgage Loans
None  
Owned Occupancy as of 1/31/2014
90.9%  
 
Type of Security
Fee Simple/Leasehold  
Year Built / Latest Renovation
Various / NAP  
 
Mortgage Rate(2)
4.9900%  
Appraised Value(1)
$507,180,000  
 
Original Term to Maturity (Months)
120  
     
Original Amortization Term (Months)
360  
     
Original Interest Only Period (Months)
NAP  
Underwritten Revenues
$83,423,512  
     
Underwritten Expenses
$45,095,540  
 
Escrows
Underwritten Net Operating Income (NOI)
$38,327,972  
   
Upfront
Monthly  
Underwritten Net Cash Flow (NCF)
$37,349,320  
 
Taxes
$0
$346,784  
Cut-off Date LTV Ratio(1)
71.0%  
 
Insurance
$189,009
$36,856  
LTV Ratio at Maturity(1)
56.8%  
 
Replacement Reserves(6)
$0
$81,564  
DSCR Based on Underwritten NOI / NCF(2)(3)
1.59x / 1.55x  
 
TI/LC
$0
$0  
Debt Yield Based on Underwritten NOI / NCF(3)
10.6% / 10.4%    
Other(7)
$652,265
$0  
 
 
Sources and Uses
   
Sources
$
%
 
Uses
$
 %
Loan Amount
$362,499,000
 70.6%
 
Purchase Price
$505,656,938
 98.5%
Principal’s New Cash Contribution
  150,750,203
29.4 
 
Closing Costs
      6,750,991
1.3
       
Reserves
         841,274
0.2
Total Sources
$513,249,203
100.0%
 
Total Uses
$513,249,203
100.0%
 

 
(1)
Appraised Value represents the aggregate “leased fee” appraised values for the Newcastle Senior Housing Portfolio Properties and the Cut-off Date LTV Ratio and LTV Ratio at Maturity are calculated based on this value. The Cut-off Date LTV Ratio and LTV Ratio at Maturity calculated based on aggregate “fee simple” appraised value of $551,370,000 are 65.3% and 52.2%, respectively. See “—Appraisal” below.
 
(2)
The coupon for the Newcastle Senior Housing Portfolio Loan is 4.0000% from the origination date through January 5, 2019.  From and after January 6, 2019, the Newcastle Senior Housing Portfolio Loan coupon will be 4.9900%. The DSCR Based on Underwritten NOI / NCF is calculated based on the 4.9900% coupon rate. The DSCR Based on Underwritten NOI / NCF calculated based on the initial coupon rate of 4.0000% are 1.85x and 1.80x, respectively. See “Annex G—Newcastle Senior Housing Portfolio Amortization Schedule” in the Free Writing Prospectus.
 
(3)
The DSCR Based on Underwritten NOI / NCF and Debt Yield Based on Underwritten NOI / NCF are calculated based on the total revenue generated at the Newcastle Senior Housing Portfolio Properties. The DSCR (calculated based on the 4.9900% coupon) and Debt Yield based solely on the rent payable under the master lease are 1.37x and 9.1%, respectively. The borrowers are only entitled to amounts payable under the master lease. See “—Master Lease” below.
 
(4)
The Cut-off Date Balance of $38,720,475 represents the note A-4 of a $362,499,000 whole loan evidenced by multiple pari passu notes. Note A-1, with a Cut-off Date Balance of $100,775,102, was contributed to CGCMT 2014-GC19, Note A-2, with a Cut-off Date Balance of $117,157,261, was contributed to GSMS 2014-GC20 and Note A-3, with a Cut-off Date Balance of $103,257,247, was contributed to CGCMT 2014-GC21.
 
(5)
Calculated based on the entire Newcastle Senior Housing Portfolio Whole Loan.
 
(6)
Replacement reserves of $27.17 per unit, collected monthly. See “—Escrows” below.
 
(7)
Other reserve represents a deferred maintenance reserve. See “—Escrows” below.
 
n
The Mortgage Loan. The mortgage loan (the “Newcastle Senior Housing Portfolio Loan”) is part of a whole loan structure (the “Newcastle Senior Housing Portfolio Whole Loan”) comprised of four pari passu notes that are together secured by first mortgages encumbering 26 independent living facilities with multiple residents located in 14 states (collectively, the “Newcastle Senior Housing Portfolio Properties”). The Newcastle Senior Housing Portfolio Loan (evidenced by Note A-4), which will be contributed to the Issuing Entity, has an outstanding principal balance as of the Cut-off Date of $38,720,475 and represents approximately 4.0% of the Initial Pool Balance. The related companion loans (the “Newcastle Senior Housing Portfolio Companion Loans”) (evidenced by multiple pari passu notes), are held outside the Issuing Entity. One related companion loan (evidenced by Note A-1) was contributed to the CGCMT 2014-GC19 transaction and has an outstanding principal balance as of the Cut-off Date of $100,775,102, another related companion loan (evidenced by Note A-2) was contributed to the GSMS 2014-GC20 transaction and has an outstanding principal balance as of the Cut-off Date of $117,157,261 and another related companion loan (evidenced by Note A-3) was contributed to the CGCMT 2014-GC21 transaction and has an outstanding principal balance as of the Cut-off Date of $103,257,247. The Newcastle Senior Housing Portfolio Whole Loan was originated by GS Commercial Real Estate LP on December 23, 2013 and the Newcastle Senior Housing Portfolio Loan will be acquired by Goldman Sachs Mortgage Company on or prior to the securitization Closing Date. The Newcastle Senior Housing Portfolio Whole Loan has an original principal balance of $362,499,000 and each note has an initial interest rate of 4.0000% per annum that increases to 4.9900% per annum beginning January 6, 2019. The borrowers utilized the proceeds of the Newcastle Senior Housing Portfolio Whole Loan to acquire the Newcastle Senior Housing Portfolio Properties from subsidiaries of Harvest Facility Holdings LP, (d/b/a Holiday Retirement Corp.) (“Holiday”), via a sale-leaseback transaction. NCT Master Tenant II LLC, an affiliate of Holiday, has entered into a triple net master lease, described under “—Master Lease” below, to lease the Newcastle Senior Housing Portfolio Properties from the borrowers. The Newcastle Senior Housing Portfolio Whole Loan will be serviced
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
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NEWCASTLE SENIOR HOUSING PORTFOLIO
 
under the CGCMT 2014-GC19 pooling and servicing agreement. See “Description of the Mortgage Pool—The Whole Loans” in the Free Writing Prospectus for more information regarding the co-lender agreement that governs the relative rights of the holders of the Newcastle Senior Housing Portfolio Loan and the Newcastle Senior Housing Portfolio Companion Loans.
  
The Newcastle Senior Housing Portfolio Loan had an initial term of 120 months and has a remaining term of 115 months as of the Cut-off Date. The Newcastle Senior Housing Portfolio Loan requires monthly payments of interest and principal sufficient to amortize the loan over a 30-year amortization schedule (see “Annex G—Newcastle Senior Housing Portfolio Amortization Schedule” in the Free Writing Prospectus). The scheduled maturity date is the due date in January 2024. The Newcastle Senior Housing Portfolio Whole Loan may be voluntarily prepaid in whole or in part on any date after June 23, 2014, with the payment of a yield maintenance premium of no less than 1% of the amount prepaid. On or after the due date occurring in October 2023, the borrowers will be permitted to prepay Newcastle Senior Housing Portfolio Whole Loan without payment of any yield maintenance premium.
 
The mortgage loan documents restrict the lender from transferring the mortgage loan to HCP, Inc., Senior Housing Properties Trust, Ventas, Inc. and Health Care REIT, Inc. and their affiliates. This may have an adverse effect on the special servicer’s ability to liquidate the mortgage loan if an event of default occurs.
 
n
Master Lease. The borrowers have entered into a triple net master lease (the “Newcastle Senior Housing Portfolio Master Lease”) with NCT Master Tenant II LLC (an affiliate of Holiday), that covers each of the Newcastle Senior Housing Portfolio Properties. The master tenant has fully subordinated the Newcastle Senior Housing Portfolio Master Lease to the Newcastle Senior Housing Portfolio Whole Loan pursuant to a subordination, non-disturbance and attornment agreement. The initial aggregate annual rent under the Newcastle Senior Housing Portfolio Master Lease is $32,867,701. The annual base rent will increase on January 1 of each year as follows: (i) for 2015 through 2017, by 4.5% of the annual base rent for the prior year and (ii) for 2018 through the final year of the Newcastle Senior Housing Portfolio Master Lease, by the product of (a) the annual base rent for the prior year and (b) the lesser of (1) 3.75% and (2) the greater of 3.50% and the percentage increase in the Consumer Price Index (calculated using the average Consumer Price Index for the 6 months prior to the date of determination over the average Consumer Price Index for the 6 months prior to January 1, 2018) during the period commencing on January 1, 2018 and ending on December 30 of the calendar year immediately preceding the date of such base rent increase. The Newcastle Senior Housing Portfolio Master Lease has a 17-year term. Upon expiration of the Newcastle Senior Housing Portfolio Master Lease, the master tenant will not have a purchase option.
 
Year
 
Master Lease Base Rent(1)
2014
 
$32,867,701
     
2015
 
$34,346,748
     
2016
 
$35,892,351
     
2017
 
$37,507,507
     
2018 and Thereafter
 
The base rent for the previous year, plus the product of (i) base rent for the previous year, multiplied by (ii) the lesser of (x) 3.75% and (y) the greater of (1) 3.50% and (2) the CPI increase (6 month trailing CPI over average CPI published for the 6 months ending January 1, 2018).
 
 
(1)
As may be reduced pursuant to releases and described under “–Release of Collateral” below.
 
The master tenant has deposited $21,911,801 with the borrowers as a security deposit for the performance of the master tenant of the provisions of the Newcastle Senior Housing Portfolio Master Lease. This amount has not been pledged to the lender to secure the Newcastle Senior Housing Portfolio Whole Loan. During the continuation of an event of default under the Newcastle Senior Housing Portfolio Master Lease, the borrowers may use the security deposit to satisfy any outstanding obligation of the master tenant under the Newcastle Senior Housing Portfolio Master Lease. The master tenant is required to replenish the security deposit by paying to the borrowers an amount equal to any portion of the security deposit expended or applied by the borrowers. The security deposit was not pledged by the borrowers as collateral for the Newcastle Senior Housing Portfolio Whole Loan.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
77

 
 
NEWCASTLE SENIOR HOUSING PORTFOLIO
 
In addition, if the lease coverage ratio (i.e., the ratio of (x) net operating income (as defined in the Newcastle Senior Portfolio Master Lease) for the Newcastle Senior Housing Portfolio Properties in the aggregate to (y) the base rent under the Newcastle Senior Portfolio Master Lease) for the trailing twelve-month period falls below (i) 1.00x, from and after the quarter ending December 31, 2014 through the quarter ending December 31, 2018, (ii) 1.05x, from and after the quarter ending March 31, 2019 through the quarter ending December 31, 2023, (iii) 1.10x, from and after the quarter ending March 31, 2024 through the quarter ending December 31, 2028, or (iv) 1.15x, from and after the quarter ending March 31, 2029 through each following quarter, then the master tenant will be required to deposit with the borrowers an amount (“Ratio Shortfall Deposits”) sufficient to achieve the applicable lease coverage ratio, which amount will be placed in escrow as described under “—Escrows” below.  The Ratio Shortfall Deposits may be released back to the master tenant upon delivery of an officer’s certificate which reflects compliance with the lease coverage ratio requirements described above for two consecutive quarters.
 
The guarantor of the master tenant’s obligations under the Newcastle Senior Housing Portfolio Master Lease is Holiday AL Holdings LP.  The guarantor’s failure to comply with certain obligations under the guaranty beyond any applicable cure periods or meet certain minimum financial requirements, among other things, will constitute an event of default under the Newcastle Senior Housing Portfolio Master Lease.
 
Upon an event of default under the Newcastle Senior Housing Portfolio Master Lease, the borrowers will have the right to terminate the Newcastle Senior Housing Portfolio Master Lease, subject to the master tenant’s 10-day cure period after notice of such termination.  However, if the event of default only relates to one or more single Newcastle Senior Housing Portfolio Properties, then the borrowers may only terminate the Newcastle Senior Housing Portfolio Master Lease with respect to the affected Newcastle Senior Housing Portfolio Properties; provided that, if the Newcastle Senior Housing Portfolio Master Lease has already been terminated with respect to at least two Newcastle Senior Housing Portfolio Properties, then the borrowers may terminate the entire Newcastle Senior Housing Portfolio Master Lease.  If the Newcastle Senior Housing Portfolio Master Lease is terminated with respect to any single Newcastle Senior Housing Portfolio Property, then the borrowers will be required to re-lease that Newcastle Senior Housing Portfolio Property within 90 days, among other conditions, (i) to a tenant that is an affiliate of the Newcastle Senior Housing Portfolio Master Lease guarantor or any acceptable replacement guarantor that satisfies the requirements in the loan documents, or satisfies the financial covenants set forth in the guaranty of the Master Lease, or any other person approved by the lender, in each case, subject to a Rating Agency Confirmation, (ii) pursuant to a lease that is either in substantially the same form and substance as the Newcastle Senior Housing Portfolio Master Lease or on a commercially reasonable form (provided any differences do not result in a material adverse effect on the financial condition of the borrowers, the ability of the borrowers to perform their material obligations under the loan documents or the rights and remedies of the lender under the loan documents and are limited to modifications that are permitted in accordance with the loan documents) and (iii) the replacement lease is guaranteed by a guarantor that meets certain financial requirements specified in the Newcastle Senior Housing Portfolio Master Lease for which Rating Agency Confirmation has been obtained (clauses (i), (ii) and (iii), together with certain other conditions contained in the loan documents, collectively, the “Re-Lease Requirements”), subject to rent at least equal to the rent allocated to such Newcastle Senior Housing Portfolio Property under the Newcastle Senior Housing Portfolio Master Lease as of the origination date (subject to annual escalations as if the rent had been increased annually at the lower of the increase for CPI and 2% per annum).  In addition, the borrowers have the right to cure any event of default under the Newcastle Senior Housing Portfolio Master Lease.
 
An event of default under the Newcastle Senior Housing Portfolio Master Lease will constitute an event of default under the Newcastle Senior Housing Whole Loan, unless, within 90 days, (i) such event of default is cured, (ii) if such event of default relates to one or more (but not all) of the Newcastle Senior Housing Portfolio Properties, then the borrowers re-lease the related Newcastle Senior Housing Property or Properties in accordance with the Re-Lease Requirements, subject to rent at least equal to the rent allocated to such Newcastle Senior Housing Portfolio Property or Properties under the Newcastle Senior Housing Portfolio Master Lease as of the origination date (subject to annual escalations as if the rent had been increased annually at the lower of the increase for CPI and 2% per annum) or (iii) in the case of any other event of default, then the borrowers re-lease all of the Newcastle Senior Housing Portfolio Properties in accordance with the Re-Lease Requirements.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
78

 
 
NEWCASTLE SENIOR HOUSING PORTFOLIO
 
In addition to the re-leasing of a Newcastle Senior Housing Portfolio Property after an event of default under the Newcastle Senior Housing Master Lease, the borrowers may release one or more Newcastle Senior Housing Portfolio Properties from the Newcastle Senior Housing Portfolio Master Lease absent an event of default under the Newcastle Senior Housing Portfolio Loan if such Newcastle Senior Housing Portfolio Property or Properties are re-leased in accordance with the Re-Lease Requirements, subject to rent at least equal to the rent allocated to such Newcastle Senior Housing Portfolio Property or Properties under the Newcastle Senior Housing Portfolio Master Lease as of the origination date subject to annual escalations as if the rent had been increased annually at the lower of the increase for CPI and 2% per annum.
 
A Newcastle Senior Housing Portfolio Property may only be released from the Newcastle Senior Housing Portfolio Master Lease in connection with a casualty or condemnation, a release as described under “—Release of Collateral” below, or in connection with a re-leasing as set forth above.
 
Each Newcastle Senior Housing Portfolio Property is further subleased from the master tenant to a subtenant pursuant to a sublease, each dated December 23, 2013.  Each subtenant is a subsidiary of the Master Tenant.
 
n
The Mortgaged Properties.  The Newcastle Senior Housing Portfolio Properties consist of 26 independent living facilities across 14 states totaling 3,002 units, which were constructed between 1983 and 2006. The Newcastle Senior Housing Portfolio Properties are age-restricted rental properties that provide residents, as part of their monthly fee, with access to meals and other services such as housekeeping, linen service, transportation and social/recreational activities. All of the Newcastle Senior Housing Portfolio Properties are 100% private pay and do not have healthcare licenses.
 
The following table presents certain information relating to the Newcastle Senior Housing Portfolio Properties:
 
Property Name
 
 
City
 
 
State
 
 
Allocated Cut-
off Date Loan Amount
 
 
% Allocated Cut-off Date Loan
Amount
 
 
Total
Units
 
 
Occupancy(1)
 
 
Initial Master Lease Base Rent
 
 
Underwritten NCF(2)
 
 
Underwritten
NCF $ per Unit(2)
Orchid Terrace
 
St. Louis
 
MO
 
$2,213,995
   
5.7
 
117
   
91.5%
   
$1,884,468
   
$2,111,229
   
$18,045
 
Village Gate of Farmington
 
Farmington
 
CT
 
2,198,726
   
5.7
   
164
   
93.9%
   
1,870,034
   
2,472,990
   
15,079
 
Lodge At Cold Spring
 
Rocky Hill
 
CT
 
2,122,381
   
5.5
   
112
   
85.7%
   
1,807,426
   
1,856,957
   
16,580
 
The Manor At Oakridge
 
Susquehanna Township
 
PA
 
2,038,402
   
5.3
   
115
   
85.2%
   
1,737,497
   
1,352,114
   
11,758
 
Durham Regent
 
Durham
 
NC
 
2,015,499
   
5.2
   
123
   
95.1%
   
1,717,292
   
1,902,061
   
15,464
 
Dogwood Estates
 
Denton
 
TX
 
1,969,692
   
5.1
   
118
   
85.6%
   
1,673,850
   
1,585,981
   
13,441
 
Sheldon Oaks
 
Eugene
 
OR
 
1,839,906
   
4.8
   
111
   
95.5%
   
1,565,785
   
1,714,322
   
15,444
 
Jordan Oaks
 
Cary
 
NC
 
1,832,271
   
4.7
   
117
   
99.1%
   
1,562,892
   
1,971,434
   
16,850
 
Sky Peaks
 
Reno
 
NV
 
1,771,196
   
4.6
   
121
   
86.0%
   
1,506,079
   
1,400,508
   
11,574
 
The Westmont
 
Santa Clara
 
CA
 
1,725,389
   
4.5
   
137
   
97.8%
   
1,466,014
   
2,049,346
   
14,959
 
Pinewood Hills
 
Flower Mound
 
TX
 
1,671,948
   
4.3
   
117
   
93.2%
   
1,424,063
   
1,754,505
   
14,996
 
Hidden Lakes
 
Salem
 
OR
 
1,565,065
   
4.0
   
135
   
96.3%
   
1,279,858
   
1,588,851
   
11,769
 
Walnut Woods
 
Boyertown
 
PA
 
1,465,817
   
3.8
   
113
   
98.2%
   
1,246,509
   
1,731,331
   
15,322
 
Oakwood Hills
 
Eau Claire
 
WI
 
1,446,731
   
3.7
   
116
   
83.6%
   
1,231,550
   
1,448,449
   
12,487
 
Madison Estates
 
San Antonio
 
TX
 
1,412,376
   
3.6
   
160
   
89.4%
   
1,201,417
   
1,452,481
   
9,078
 
Thornton Place
 
Topeka
 
KS
 
1,236,783
   
3.2
   
121
   
84.3%
   
1,050,226
   
1,104,812
   
9,131
 
Whiterock Court
 
Dallas
 
TX
 
1,221,514
   
3.2
   
117
   
94.9%
   
1,037,021
   
1,373,042
   
11,735
 
The Bentley
 
Dallas
 
TX
 
1,213,880
   
3.1
   
118
   
89.0%
   
1,034,571
   
1,362,766
   
11,549
 
Pueblo Regent
 
Pueblo
 
CO
 
1,152,804
   
3.0
   
99
   
90.9%
   
978,927
   
1,074,167
   
10,850
 
Vista De La Montana
 
Surprise
 
AZ
 
1,122,266
   
2.9
   
115
   
80.9%
   
958,132
   
717,775
   
6,242
 
Rock Creek
 
Hillsboro
 
OR
 
1,106,997
   
2.9
   
110
   
95.5%
   
941,741
   
1,121,178
   
10,193
 
Illahee Hills
 
Urbandale
 
IA
 
1,061,191
   
2.7
   
109
   
85.3%
   
902,842
   
937,940
   
8,605
 
Palmer Hills
 
Bettendorf
 
IA
 
1,030,653
   
2.7
   
106
   
80.2%
   
875,401
   
885,359
   
8,352
 
Uffelman Estates
 
Clarksville
 
TN
 
931,405
   
2.4
   
109
   
92.7%
   
762,868
   
891,514
   
8,179
 
The Regent
 
Corvallis
 
OR
 
748,177
   
1.9
   
84
   
98.8%
   
635,677
   
897,673
   
10,687
 
The Fountains At Hidden Lakes
 
Salem
 
OR
 
605,413
   
1.6
   
38
   
100.0%
   
515,561
   
590,533
   
15,540
 
Total Portfolio
         
$38,720,475
   
100.0
 
3,002
   
90.9%
   
$32,867,701
   
$37,349,320
   
$12,441
 
 

 
(1)
Occupancy as of January 31, 2014.
 
(2)
Underwritten NCF represents amounts payable by residents to the master tenant. These amounts will not be paid to the borrowers while the master lease is in place as the borrowers are only entitled to amounts payable as rent under the Newcastle Senior Housing Portfolio Master Lease as indicated in the Initial Master Lease Base Rent column.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
79

 
 
NEWCASTLE SENIOR HOUSING PORTFOLIO
 
The following table presents certain information relating to the units and rent at the Newcastle Senior Housing Portfolio Properties:
 
Unit Type
 
# of Units
 
Average SF per
Unit
 
Monthly Market
Rent per Unit(1)
 
Monthly Actual
Rent per Unit(2)
 
Underwritten
Monthly Rent(3)
 
 
Underwritten Annual Rent(3)
Studio
 
990
   
427
   
$2,127
   
$1,978
   
$1,792,043
   
$21,504,515
 
1 Bedroom
 
1,522
   
586
   
2,685
   
2,598
   
3,595,610
   
43,147,314
 
Cottage 1 Bedroom
 
13
   
680
   
2,625
   
2,506
   
32,578
   
390,936
 
Garden Suite 1 Bedroom
 
6
   
724
   
2,657
   
2,736
   
10,944
   
131,328
 
2 Bedroom
 
394
   
943
   
3,522
   
3,531
   
1,228,778
   
14,745,341
 
Cottage 2 Bedroom
 
49
   
1,073
   
2,699
   
2,697
   
129,453
   
1,553,436
 
Garden Suite 2 Bedroom
 
12
   
1,050
   
2,986
   
3,276
   
36,035
   
432,420
 
3 Bedroom
 
1
   
1,009
   
3,500
   
2,995
   
2,995
   
35,940
 
Cottage 3 Bedroom
 
15
   
1,379
   
2,775
   
2,673
   
37,419
   
449,028
 
Total / Wtd. Avg.
 
3,002
   
595
   
$2,608
   
$2,516
   
$6,865,855
   
$82,390,259
 
 

 
(1)
Calculated using data provided in the appraisals. Averages are calculated off of number of occupied units.
 
(2)
As provided by the borrowers.
 
(3)
Underwritten monthly rent and underwritten annual rent represents amounts payable by residents to the master tenant. These amounts will not be paid to the borrowers while the master lease is in place as the borrowers are only entitled to amounts payable as rent under the Newcastle Senior Housing Portfolio Master Lease.
 
The following table presents certain information relating to historical leasing at the Newcastle Senior Housing Portfolio Properties:
 
Historical Leased %
   
 
2011(1)(2)
 
 
2012(1)
   
 
2013(1)
 
 
As of
1/31/2014
Total Unit Count
 
2,871
 
2,955
  2,990  
3,002
Physical Occupancy
 
82.1%
 
85.7%
  87.9%  
90.9%
 

 
(1)
Total weighted average occupancy for each respective year and represents occupancy by residents. The Newcastle Senior Housing Portfolio Properties are 100% leased to the master tenant.
 
(2)
2011 figures exclude The Regent Property (acquired in 2012).
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
80

 
 
NEWCASTLE SENIOR HOUSING PORTFOLIO
 
n
Operating History and Underwritten Net Cash Flow.  The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the Newcastle Senior Housing Portfolio Properties:
 
Cash Flow Analysis(1)
   
 
2011(2)
 
 
2012
 
 
2013
 
 
T3 Annualized 1/31/2014
 
 
Underwritten(3)
 
 
Underwritten
$ per Unit
Resident Fees
 
 $69,577,760
   
 $76,230,639
   
 $79,780,528
   
 $81,805,888
   
 $90,738,336
   
 $30,226
 
Vacancy Loss
 
0
   
0
   
0
   
0
   
(8,348,078
 
(2,781
Concessions
 
(5,938,629
 
(3,538,802
 
(1,188,313
 
(1,019,514
 
(1,019,514
 
(340
Less Bad Debt-Fees
 
(305,452
 
(458,107
 
(329,112
 
(666,779
 
(419,214
 
(140
Less Bad Debt-VA
 
(443,867
 
(284,171
 
(170,054
 
47,200
   
0
   
0
 
Net Resident Fee Income
 
 $62,889,812
   
 $71,949,560
   
 $78,093,048
   
 $80,166,796
   
 $80,951,531
   
 $26,966
 
Other Income
 
394,317
   
393,883
   
458,735
   
492,075
   
492,075
   
164
 
Community Fees
 
2,751,939
   
2,485,940
   
1,966,437
   
1,979,906
   
1,979,906
   
660
 
Effective Gross Revenue
 
$66,036,068
   
$74,829,383
   
$80,518,220
   
$82,638,777
   
$83,423,512
   
$27,789
 
                                     
Real Estate Taxes
 
 $4,233,939
   
 $4,571,936
   
 $4,429,249
   
 $4,500,422
   
 $4,717,850
   
 $1,572
 
Insurance
 
462,577
   
724,256
   
651,075
   
507,618
   
647,285
   
216
 
Utilities
 
4,682,667
   
4,660,053
   
4,893,133
   
5,045,884
   
5,119,162
   
1,705
 
Housekeeping
 
1,956,518
   
2,054,560
   
2,074,460
   
2,121,648
   
2,158,651
   
719
 
Resident Relations
 
1,284,052
   
1,375,339
   
1,393,276
   
1,362,444
   
1,450,881
   
483
 
Repairs & Maintenance
 
3,153,388
   
3,157,982
   
3,302,129
   
3,076,430
   
3,462,500
   
1,153
 
Food Services
 
9,373,632
   
10,190,113
   
10,473,746
   
10,576,438
   
10,853,429
   
3,615
 
Employee Benefits
 
4,196,351
   
4,540,671
   
4,368,789
   
4,225,352
   
4,523,288
   
1,507
 
Administrative Expenses
 
4,957,788
   
5,093,240
   
5,123,950
   
5,147,787
   
5,354,389
   
1,784
 
Marketing
 
2,109,751
   
2,236,251
   
2,518,866
   
2,330,885
   
2,636,931
   
878
 
Management Fee
 
3,301,803
   
3,741,469
   
4,025,911
   
4,131,939
   
4,171,176
   
1,389
 
Total Operating Expenses
 
 $39,712,466
   
 $42,345,869
   
 $43,254,582
   
 $43,026,847
   
 $45,095,540
   
 $15,022
 
                                     
Net Operating Income
 
$26,323,602
   
$32,483,514
   
$37,263,639
   
$39,611,930
   
$38,327,972
   
$12,767
 
Replacement Reserves
 
935,946
   
963,330
   
974,767
   
978,652
   
978,652
   
326
 
Net Cash Flow
 
$25,387,656
   
$31,520,184
   
$36,288,871
   
$38,633,278
   
$37,349,320
   
$12,441
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, lease cancellation income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
2011 financials excludes The Regent Property (acquired in 2012).
 
(3)
Underwritten cash flow based on actual rental revenue net of loss to lease for occupied units from the January 31, 2014 rent rolls plus vacant units at the average in-place rent net of loss to lease for each unit type at each Newcastle Senior Housing Portfolio Property (9.6% of the Newcastle Senior Housing Portfolio as of the January 31, 2014 rent roll). The underwritten cash flow represents amounts payable by residents to the master tenant. These amounts will not be paid to the borrowers while the Master Lease is in place as the borrowers are only entitled to amounts payable as rent under the Newcastle Senior Housing Portfolio Master Lease. The net cash flow based solely on the rent payable under the Master Lease is $32,867,701 and the DSCR calculated based on this value and the 4.9900% coupon is 1.37x.
 
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Ground Leases.  The Westmont property was ground leased to Harvest Westmont Retirement Residence LLC (which is not a borrower under the Newcastle Senior Housing Portfolio Whole Loan) by Masonic Hall Corporation of Santa Clara and the interest of the ground lessee thereunder was subsequently assigned to NIC 13 The Westmont Owner LLC.  At the origination of the Newcastle Senior Housing Portfolio Whole Loan, Masonic Hall Corporation of Santa Clara entered into an agreement providing the lender with customary leasehold mortgage protections with respect to the ground lease.  The ground lease expires December 31, 2086.  The annual rent under the ground lease is $5,000.
 
The Lodge at Cold Spring property was ground leased to Rocky Hill Retirement Residence LLC (which is not a borrower under the Newcastle Senior Housing Portfolio Whole Loan) by Rocky Hill Holdings LLC, each of which are affiliates of Holiday, and the interest of the ground lessee thereunder was subsequently assigned to NIC 13 Lodge at Cold Spring Owner LLC.  At the origination of the Newcastle Senior Housing Portfolio Whole Loan, Rocky Hills Holdings LLC entered into an agreement providing the lender with customary leasehold mortgage protections with respect to the ground lease.  The ground lease expires December 31, 2095.  The annual rent under the ground lease is $100, plus applicable costs for shared access roads and real property taxes.
 
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Appraisal.  According to the appraisals, the Newcastle Senior Housing Portfolio Properties had an aggregate “leased fee” appraised value of $507,180,000 as of December 31, 2013.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
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Environmental Matters.  According to a Phase I environmental report, dated December 16, 2013, the Village Gate of Farmington property contains a 1,000 gallon underground storage tank for which tank tightness testing data was not available and the Phase I recommended that a tank tightness test should be performed to ensure the structural integrity of the tank. The test was completed and no further action is necessary. According to the remaining Phase I environmental reports, dated December 16, 2013 and December 17, 2013, there are no recognized environmental conditions or recommendations for further action other than a recommendation for (a) additional radon gas testing to be conducted under controlled conditions at the Illahee Hills property, the Sky Peaks property, the Uffelman Estates property and the Vista De La Montana property, (b) evidence of mold and moisture observed at the Illahee Hills property and the Whiterock Court property to be remedied by properly trained building maintenance staff and the source of the moisture to be remedied, (c) approximately one inch of water affecting approximately 600 SF at the Madison Estates property to be addressed by a restoration company and the source of the moisture to be addressed to prevent future mold problems and (d) an asbestos operations and maintenance (O&M) plan at the Whiterock Court property.
 
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The Borrowers.  The borrowers are 26 Delaware limited liability companies, each of which is a single-purpose, single-asset entity.  Legal counsel to the borrowers delivered a non-consolidation opinion in connection with the origination of the Newcastle Senior Housing Portfolio Whole Loan. Newcastle Investment Corp. is the non-recourse carveout guarantor under the Newcastle Senior Housing Portfolio Whole Loan.
 
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Escrows. At origination, out of proceeds from the Newcastle Senior Housing Portfolio Whole Loan, the borrowers funded (i) an escrow reserve in the amount of $189,009 in respect of insurance premiums and (ii) a deferred maintenance reserve in the amount of $652,265. On each due date, the borrowers will be required to fund (i) a tax and insurance reserve in an amount equal to one-twelfth of the amount that the lender reasonably estimates will be necessary to pay taxes and insurance premiums over the then succeeding twelve-month period and (ii) a capital expenditure reserve in an amount equal to $27.17 per residential unit in the Newcastle Senior Housing Portfolio Properties, in each case only to the extent such amounts are not remitted by the master tenant under the Newcastle Senior Housing Portfolio Master Lease as described in the next paragraph.  In addition, the borrowers will be required to remit Ratio Shortfall Deposits (as described under “—Master Lease” above) to the lender to be held as additional collateral for the Newcastle Senior Housing Portfolio Whole Loan until such amount is required to be remitted to the master tenant under the Newcastle Senior Housing Portfolio Master Lease.
 
In addition, on each due date, the master tenant will be required to fund (i) a tax and insurance reserve in an amount equal to one-twelfth of the amount that the lender reasonably estimates will be necessary to pay taxes and insurance premiums over the then succeeding twelve-month period and (ii) a capital expenditure reserve in an amount equal to $27.17 per residential unit in the Newcastle Senior Housing Portfolio Properties.
 
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Cash Management.  The Newcastle Senior Housing Portfolio Whole Loan requires a cash management account that is structured like a hard lockbox, which is already in place.  The loan documents require the borrowers to direct the master tenant to pay all amounts required to be paid or funded to the borrowers under the Newcastle Senior Housing Portfolio Master Lease directly to a lender-controlled cash management account.  The loan documents also require that all revenues received by the borrowers be deposited into the cash management account within two business days after receipt.
 
On each business day, other than during a Newcastle Senior Housing Portfolio Trigger Period or an event of default under the Newcastle Senior Housing Portfolio Whole Loan, all amounts on deposit in the cash management account in excess of the amounts required to be paid to or reserved with the lender on the next due date will be swept into a borrower-controlled operating account.  On each due date during which no Newcastle Senior Housing Portfolio Trigger Period or event of default is continuing, the loan documents require that all amounts on deposit in the cash management account, after the payment of debt service and required reserves, be swept into the operating account.  On each due date during a Newcastle Senior Housing Portfolio Trigger Period, the loan documents require that all amounts on deposit in the cash management account be used to pay debt service and required reserves, and all remaining amounts will be reserved in an excess cash flow reserve account.  During the continuance of an event of default under the Newcastle Senior Housing Portfolio Whole Loan, the lender may apply all funds on deposit in any of the accounts consisting collateral for the Newcastle Senior Housing Portfolio Whole Loan to amounts payable under the Newcastle Senior Housing Portfolio Whole
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
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NEWCASTLE SENIOR HOUSING PORTFOLIO
 
Loan and/or toward the payment of expenses of the Newcastle Senior Housing Portfolio Properties, in such order of priority as the lender may determine.
 
A “Newcastle Senior Housing Portfolio Trigger Period” means the period (i) commencing as of the conclusion of any twelve-month period (ending on the last day of any fiscal quarter) during which the debt service coverage ratio (as calculated under the loan documents) is less than 1.05x, and ending at the conclusion of the second fiscal quarter for which the debt service coverage ratio for the trailing twelve-month period is equal to or greater than 1.05x; or (ii) commencing upon the master tenant’s failure to deliver certain financial reports pursuant to the Newcastle Senior Housing Portfolio Master Lease and ending when such financial reports are delivered.
 
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Property Management.  Each Newcastle Senior Housing Portfolio Property is managed by Holiday AL Management Sub LLC, each pursuant to a separate management agreement between the property manager and the applicable subtenant.  Under the loan documents, each Newcastle Senior Housing Portfolio Property must remain managed by (i) Holiday AL Management Sub LLC, (ii) any tenant under, or guarantor of, the Newcastle Senior Housing Portfolio Master Lease, or any affiliate of such tenant or guarantor that (a) is a reputable and experienced professional manager of senior housing communities and, collectively with its affiliates, owns, operates or manages at least 20 senior housing communities (excluding the Newcastle Senior Housing Portfolio Property and other property acquired by affiliates of the non-recourse carveout guarantor on the origination date) and (b) does not have a chief executive officer, chief financial officer, chief operating officer or chief compliance officer or any person holding a reasonably equivalent position that has been convicted of a felony relating to the ownership or operation of senior housing facilities, fraud or embezzlement or (iii) any other manager of senior housing communities that is approved by the lender in its sole discretion (which approval may be deemed after certain notice periods) and with respect to which the lender has received Rating Agency Confirmation.
 
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Release of Collateral. Other than in connection with a casualty or condemnation event, provided no event of default is then continuing under the Newcastle Senior Housing Portfolio Whole Loan, at any time after June 23, 2014, the borrowers may voluntarily obtain the release of one or more of the Newcastle Senior Housing Portfolio Properties from the liens of the loan documents, subject to the satisfaction of certain conditions set forth in the loan documents, including among others: (i) prepayment in an amount equal to or greater than 125% of the allocated loan amount (as calculated in the loan agreement for the Newcastle Senior Housing Portfolio Whole Loan) for each Newcastle Senior Housing Portfolio Property being released, (ii) payment of a yield maintenance premium of no less than 1% of the amount prepaid if such release occurs prior to the due date occurring in October 2023, (iii) after giving effect to the release, the debt service coverage ratio as calculated under the loan agreement for the remaining Newcastle Senior Housing Portfolio Properties for the twelve-month period preceding the end of the most recent fiscal quarter is no less than the greater of (a) 1.42x and (b) the debt service coverage ratio immediately prior to the release, (iv) the released Newcastle Senior Housing Portfolio Property may no longer be subject to the Newcastle Senior Housing Portfolio Master Lease and the rent under the Newcastle Senior Housing Portfolio Master Lease may not be reduced by an amount that is in excess of the allocated property rent for such Newcastle Senior Housing Property and (v) delivery of a REMIC opinion.
 
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Mezzanine or Subordinate Indebtedness.  Not permitted.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
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NEWCASTLE SENIOR HOUSING PORTFOLIO
 
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Terrorism Insurance.  So long as TRIPRA or a similar or subsequent statute is in effect, the borrowers are required to maintain terrorism insurance for foreign and domestic acts (as those terms are defined in TRIPRA or similar or subsequent statute) in an amount equal to the full replacement cost of the Newcastle Senior Housing Portfolio Properties, plus twelve months of rental loss and/or business interruption coverage.  If TRIPRA or a similar or subsequent statute is not in effect, then provided that terrorism insurance is commercially available, the borrowers will be required to carry terrorism insurance throughout the term of the Newcastle Senior Housing Portfolio Whole Loan as described in the preceding sentence, but in that event the borrowers will not be required to spend more than two times the amount of the insurance premium that is payable at that time in respect of the property and business interruption/rental loss insurance required under the loan documents (without giving effect to the cost of terrorism and earthquake components of such property and business interruption/rental loss insurance), and if the cost of terrorism insurance exceeds such amount, then the borrowers will be required to purchase the maximum amount of terrorism insurance available with funds equal to such amount.  In either such case, terrorism insurance may not have a deductible in excess of $100,000.  The required terrorism insurance may be included in a blanket policy, provided that the borrowers provide evidence satisfactory to the lender that the insurance premiums for Newcastle Senior Housing Portfolio Properties are separately allocated to Newcastle Senior Housing Portfolio Properties and that certain other requirements are satisfied. Under the Newcastle Senior Housing Portfolio Master Lease, if requested by the borrowers, the master tenant is required to comply with insurance requirements imposed on the Newcastle Senior Housing Portfolio Properties, provided such requirements are customary in the industry for properties similar to the Newcastle Senior Housing Portfolio Properties in the same general areas in which the Newcastle Senior Housing Portfolio Properties are located, are customarily required by institutional lenders, are commercially reasonable and consistent with industry standards at the applicable time, and such insurance is available at commercially reasonable rates. See “Risk Factors—Terrorism Insurance May Not Be Available for All Mortgaged Properties” in the Free Writing Prospectus.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
84

 
 
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85

 
 
MASON MULTIFAMILY PORTFOLIO
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
86

 
 
MASON MULTIFAMILY PORTFOLIO
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
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Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
9   
 
Loan Seller
CGMRC   
Location (City/State)
Various, Illinois   
 
Cut-off Date Principal Balance
$33,300,000   
Property Type
 Multifamily   
 
Cut-off Date Principal Balance per Unit
$47,234.04   
Size (Units)
705   
 
Percentage of Initial Pool Balance
3.5%   
Total Occupancy as of 3/1/2014
95.7%   
 
Number of Related Mortgage Loans
None   
Owned Occupancy as of 3/1/2014
95.7%   
 
Type of Security
Fee Simple   
Year Built / Latest Renovation
Various / NAP   
 
Mortgage Rate
4.9900%   
Appraised Value
$44,400,000   
 
Original Term to Maturity (Months)
120   
     
Original Amortization Term (Months)
360   
     
Original Interest Only Period (Months)
60   
Underwritten Revenues
$5,853,160   
   
Underwritten Expenses
$2,554,018   
   
Underwritten Net Operating Income (NOI)
$3,299,142   
 
Escrows
Underwritten Net Cash Flow (NCF)
$3,087,642   
   
Upfront     
Monthly   
Cut-off Date LTV Ratio
75.0%   
 
Taxes
$276,303     
$69,076   
Maturity Date LTV Ratio
69.2%   
 
Insurance
$0     
$0   
DSCR Based on Underwritten NOI / NCF
1.54x / 1.44x   
 
Replacement Reserves(1)
$0     
$17,625   
Debt Yield Based on Underwritten NOI / NCF
9.9% / 9.3%   
 
Other(2)
$317,625     
$0   
 
Sources and Uses
Sources
$
 
%
 
Uses
$
 
%
Loan Amount
$33,300,000
 
100.0
 
Loan Payoff
$29,808,932
 
89.5
           
Principal Equity Distribution
2,180,391
 
6.5
 
           
Closing Costs
716,750
 
2.2
 
           
Reserves
593,928
 
1.8
 
Total Sources
$33,300,000
 
100.0
 
Total Uses
$33,300,000
 
100.0
 

 
(1)
Replacement reserves are capped at $529,125. The replacement reserve cap will decrease to $423,000 upon the completion of immediate repairs. See “—Escrows” below.
 
(2)
Other upfront reserve represents a deferred maintenance reserve.
 
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The Mortgage Loan.  The mortgage loan (the “Mason Multifamily Portfolio Loan”) is evidenced by a note in the original principal amount of $33,300,000 and is secured by a first mortgage encumbering eight multifamily properties located in DeKalb, Illinois and one multifamily property located in Sycamore, Illinois (the “Mason Multifamily Portfolio Properties”). The Mason Multifamily Portfolio Loan was originated by Citigroup Global Markets Realty Corp. on May 16, 2014 and represents approximately 3.5% of the Initial Pool Balance. The Mason Multifamily Portfolio Loan has an outstanding principal balance as of the Cut-off Date of $33,300,000 and has an interest rate of 4.9900% per annum. The proceeds of the Mason Multifamily Portfolio Loan were used to refinance existing debt on the Mason Multifamily Portfolio Properties.
 
The Mason Multifamily Portfolio Loan had an initial term of 120 months and has a remaining term of 120 months.  The Mason Multifamily Portfolio Loan requires payments of interest only for the initial 60 months and then payments of principal and interest based on a 30-year amortization schedule.  The scheduled maturity date is the due date in June 2024. Voluntary prepayment of the Mason Multifamily Portfolio Loan without prepayment premium or yield maintenance premium is permitted on or after the due date in April 2024. Defeasance with certain direct full faith and credit obligations of the United States of America or other obligations which are “government securities” permitted under the loan documents (and acceptable to the Rating Agencies) is permitted at any time following the second anniversary of the securitization Closing Date.
 
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The Mortgaged Properties.  The Mason Multifamily Portfolio Properties consist of eight properties located in DeKalb, Illinois and one property located in Sycamore, Illinois.  The collateral securing the Mason Multifamily Portfolio Loan totals approximately 565,301 SF and 705 residential rental units.  The Mason Multifamily Portfolio Properties consist of studios, one-, two-, three-, four-, and five-bedroom units with an average unit size of 802 SF. The Mason Multifamily Portfolio Properties are all within the Chicago metropolitan area.  Historical occupancy for the Mason Multifamily Portfolio Properties was 95.6% in 2011 and 96.4% in 2012. Current Total Occupancy and Owned Occupancy as of March 1, 2014 is 95.7%. All of the Mason Multifamily Portfolio Properties offer either washer/dryer hookups or separate laundry rooms.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
88

 
 
MASON MULTIFAMILY PORTFOLIO
 
The following table presents certain information relating to the Mason Multifamily Portfolio Properties:
 
 
Property Name
 
 
City
 
 
State
 
 
Year Built
 
 
Total Units
 
 
Occupancy(1)
 
 
Allocated
Cut-off Date Loan
Amount
 
%
Allocated
Cut-off
Date
Loan
Amount
 
 
UW NCF
   
 
UW NCF
per Unit
 
 
Appraised
Value
 
 
% Student
University Heights
 
DeKalb
 
IL
 
1976
 
170
 
92.9%
   
$6,975,000
   
20.9
 
$649,038
   
$3,818
   
$9,300,000
   
93%
 
Ashbury Court
 
DeKalb
 
IL
 
1974
 
144
 
95.1%
   
5,887,500
   
17.7
   
556,485
   
3,864
   
7,850,000
   
18%
 
James Court
 
DeKalb
 
IL
 
1967
 
96
 
96.9%
   
4,537,500
   
13.6
   
444,795
   
4,633
   
6,050,000
   
38%
 
Old Orchard
 
DeKalb
 
IL
 
1984
 
36
 
100.0%
   
3,675,000
   
11.0
   
326,078
   
9,058
   
4,900,000
   
86%
 
St. Albans
 
Sycamore
 
IL
 
1971
 
80
 
97.5%
   
3,525,000
   
10.6
   
331,306
   
4,141
   
4,700,000
   
11%
 
Ashbury East
 
DeKalb
 
IL
 
1974
 
60
 
95.0%
   
2,400,000
   
7.2
   
212,971
   
3,550
   
3,200,000
   
22%
 
Colonial West
 
DeKalb
 
IL
 
1985
 
40
 
97.5%
   
2,175,000
   
6.5
   
196,109
   
4,903
   
2,900,000
   
90%
 
Cardinal
 
DeKalb
 
IL
 
1959
 
41
 
100.0%
   
2,100,000
   
6.3
   
195,636
   
4,772
   
2,800,000
   
78%
 
Colonial East
 
DeKalb
 
IL
 
1984
 
38
 
94.7%
   
2,025,000
   
6.1
   
175,224
   
4,611
   
2,700,000
   
87%
 
Total / Wtd. Avg.
             
705
 
95.7%
   
$33,300,000
   
100.0
 
$3,087,642
   
$4,380
   
$44,400,000
   
53%
 
 

 
(1)
Occupancy as of March 1, 2014.
 
The following table presents certain information relating to the units and rent at the Mason Multifamily Portfolio Properties:
 
Unit Type
 
 
# of Units
 
 
Average SF
per Unit
 
 
Monthly Market
Rent per Unit
 
 
Annual Market
Rent(1)
 
 
Monthly Actual
Rent per Unit(2)
 
 
Annual Actual
Rent(1)
Studio
 
94
   
438
   
$511
   
$576,468
   
$495
   
$558,216
 
1BR/1BA
 
205
   
599
   
595
   
1,464,696
   
575
   
1,415,328
 
2BR/1BA
 
144
   
782
   
666
   
1,150,632
   
622
   
1,074,048
 
2BR/2BA
 
76
   
810
   
685
   
625,008
   
649
   
591,540
 
3BR/1BA
 
1
   
1,024
   
870
   
10,440
   
870
   
10,440
 
3BR/1.5BA
 
94
   
1,071
   
738
   
832,680
   
717
   
808,776
 
3BR/2BA
 
39
   
1,100
   
795
   
372,168
   
776
   
362,964
 
4BR/1BA
 
16
   
1,130
   
887
   
170,304
   
832
   
159,708
 
4BR/3BA
 
2
   
1,650
   
1,188
   
28,512
   
1,188
   
28,500
 
5BR/3BA
 
34
   
1,800
   
1,278
   
521,424
   
1,278
   
521,280
 
Total / Wtd. Avg.
 
705
   
802
   
$680
   
$5,752,332
   
$654
   
$5,530,800
 
 

 
(1)
As provided by borrower and is as of the date March 1, 2014.
 
(2)
Monthly Actual Rent per Unit calculated as an average of the actual collections for the specific unit type across the portfolio.
 
The following table presents certain information relating to historical leasing at the Mason Multifamily Portfolio Properties:
 
Historical Leased %(1)
 
2011(2)
 
 
2012
 
 
2013
 
 
As of 3/1/2014
95.6%
 
96.4%
 
95.6%
 
95.7%
 

 
(1)
As provided by borrower which reflects average occupancy for each year unless otherwise specified.
 
(2)
2011 historical occupancy does not include occupancy for the Ashbury East property. The Ashbury East property was acquired towards year-end 2011, as such, 2011 occupancy is unavailable.

The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
89

 
 
MASON MULTIFAMILY PORTFOLIO
 
n
Operating History and Underwritten Net Cash Flow.  The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the Mason Multifamily Portfolio Properties:
 
Cash Flow Analysis(1)
   
 
2011(2)
 
 
2012
 
 
2013
 
 
TTM 3/31/2014
 
 
Underwritten
 
 
Underwritten
$ per Unit
Base Rent
 
$5,088,805
 
$5,422,603
   
$5,579,378
   
$5,543,523
   
$5,530,800
   
$7,845
 
Gross Up Vacancy
 
0
 
0
   
0
   
0
   
233,832
   
332
 
Gross Potential Rent
 
$5,088,805
 
$5,422,603
   
$5,579,378
   
$5,543,523
   
$5,764,632
   
$8,177
 
Vacancy, Credit Loss & Concessions
 
(22,623
(32,362)
   
(27,996)
   
(27,544)
   
(302,319)
   
(429)
 
Total Rent Revenue
 
$5,066,182
 
$5,390,241
   
$5,551,382
   
$5,515,979
   
$5,462,313
   
$7,748
 
Other Income(3)
 
345,774
 
388,664
   
383,554
   
390,847
   
390,847
   
554
 
Effective Gross Income
 
$5,411,956
 
$5,778,906
   
$5,934,936
   
$5,906,826
   
$5,853,160
   
$8,302
 
                                   
Real Estate Taxes
 
$702,338
 
$794,517
   
$810,364
   
$810,364
   
$828,908
   
$1,176
 
Insurance
 
120,388
 
145,927
   
119,775
   
121,969
   
190,591
   
270
 
Management Fee
 
193,944
 
205,207
   
211,354
   
206,955
   
234,126
   
332
 
Other Expenses
 
1,214,392
 
1,217,593
   
1,249,713
   
1,292,802
   
1,300,394
   
1,845
 
Total Operating Expenses
 
$2,231,062
 
$2,363,245
   
$2,391,206
   
$2,432,090
   
$2,554,018
   
$3,623
 
                                   
Net Operating Income
 
$3,180,895
 
$3,415,660
   
$3,543,730
   
$3,474,736
   
$3,299,142
   
$4,680
 
Replacement Reserves
 
0
 
0
   
0
   
0
   
211,500
   
300
 
Net Cash Flow
 
$3,180,895
 
$3,415,660
   
$3,543,730
   
$3,474,736
   
$3,087,642
   
$4,380
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, lease cancellation income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
2011 cash flow numbers do not include those from the Ashbury East Apartments property. The Ashbury East Apartments property was acquired towards year-end 2011, as such, 2011 cash flows are unavailable for that property.
 
(3)
Other income includes damage fees, vending income, parking income, storage income, terminations fees and late fees.
 
n
Appraisal.  According to the appraisals, the Mason Multifamily Portfolio Properties had an aggregate “as-is” appraised value of $44,400,000 as of March 20, 2014.
 
n
Environmental Matters.  Based on the Phase I environmental reports dated April 17, 2014, there were no recommendations for further action other than, with respect to certain of the Mason Multifamily Portfolio Properties, operations and maintenance plans for asbestos, which were implemented in connection with the origination of the Mason Multifamily Portfolio Loan.
 
n
Market Overview.  The Mason Multifamily Portfolio Properties are located in DeKalb and Sycamore, Illinois, both which are a part of DeKalb County within the Chicago metropolitan area. According to the appraisals, the city of DeKalb has approximately 16,398 housing units, of which 45.8% are multifamily rental units. The city of Sycamore has 7,264 housing units, of which 22.6% are multifamily rental units. The area immediately surrounding the Mason Multifamily Portfolio Properties includes a mix of residential, educational and commercial uses. Moreover, a 4,000,000 SF industrial development lies to the southeast of the properties along Interstate 88 and includes distribution centers for Target, Nestle, Caterpillar, Goodyear, 3M, Monsanto, Alloyd and Panduit.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
90

 
 
MASON MULTIFAMILY PORTFOLIO
 
The following table presents certain information relating to certain multifamily lease comparables provided in the appraisals for the Mason Multifamily Portfolio Properties:
 
Multifamily Lease Comparables(1)
 
Property
 
Year Built
 
Number of
Units
 
 
Avg. Unit Size
 
Market Rent – Low
 
Market Rent – High
 
Occupancy
Canterbury Place
 
1999
 
12
   
1,250
   
$850
   
$850
   
100%
 
High Meadows
 
1968
 
192
   
417
   
$450
   
$550
   
98%
 
Stadium View
 
1993
 
60
   
1,048
   
$860
   
$950
   
100%
 
1205 Rushmore
 
1999
 
8
   
1,300
   
$1,090
   
$1,090
   
100%
 
Lincolnshire West
 
1968
 
252
   
809
   
$805
   
$1,245
   
99%
 
Amber Manor
 
1971
 
228
   
827
   
$489
   
$1,013
   
94%
 
Townhouse Suites
 
2005
 
65
   
2,200
   
$1,600
   
$1,600
   
100%
 
Eco Park
 
1994
 
192
   
932
   
$984
   
$1,395
   
99%
 
Russell Road Apartments
 
1982
 
26
   
1,053
   
$685
   
$1,200
   
100%
 
Hillcrest Place
 
1970
 
120
   
748
   
$450
   
$725
   
98%
 
Total / Wtd. Avg.
     
1,155
   
866
   
$724
   
$1,053
   
98%
 
 

 
(1)
Source: Appraisal.
 
n
The Borrower.  The borrower is Mason Properties Delaware, LLC, a single-purpose entity.  Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of the Mason Multifamily Portfolio Loan.  James C. Mason and Linda Mason are the guarantors of the non-recourse carveouts under the Mason Multifamily Portfolio Loan.
 
n
Escrows.  At origination, the borrowers funded reserves in the amount of (i) $276,303 for real estate taxes and (ii) $317,625 for deferred maintenance.
 
On each due date, the borrower is required to fund the following reserves with respect to Mason Multifamily Portfolio Loan: (i) a tax reserve in an amount equal to one-twelfth of the amount that the lender estimates will be necessary to pay taxes over the succeeding twelve month period; (ii) from and after the first occurrence of a Mason Multifamily Portfolio Trigger Period, an insurance reserve in an amount equal to one-twelfth of the amount that the lender estimates will be necessary to pay insurance premiums over the then succeeding twelve month period, provided, however, that such deposits are not required to the extent that the borrower is maintaining an approved umbrella or blanket policy in accordance with the loan documents; and (iii) a replacement reserve in an amount equal to $17,625, or such additional amount as may be required from the time repairs associated with the deferred maintenance are completed through and including the due date in June 2016 in order to ensure that $423,000 is on deposit in the replacement reserve as of the due date in June 2016.  Until the completion of immediate repairs, replacement reserves are capped at $529,125. Upon the completion of immediate repairs, the monthly replacement reserve will be the greater of (i) $17,625 or (ii) the difference between the replacement reserve balance on the date of which all immediate repairs are completed and the $423,000 cap, divided by the number of monthly payment dates remaining until the due date in June 2016. Otherwise, the monthly replacement reserve payment will be $17,625.  The borrower is permitted to substitute an acceptable letter of credit in lieu of making deposits into the replacement reserve account.
 
A “Mason Multifamily Portfolio Trigger Period” means a period (a) commencing upon the earliest of (i) the occurrence of an event of default and (ii) the debt service coverage ratio as calculated under the loan documents being less than 1.15x (tested monthly) and (b) ending, as applicable, upon (i) with respect to clause (a)(i) the cure (if applicable) of such event of default or (ii) with respect to clause (a)(ii) the debt service coverage ratio being equal to or greater than 1.20x for two consecutive calendar quarters.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
91

 
 
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n
Lockbox and Cash Management.  The Mason Multifamily Portfolio Loan requires a springing lockbox.  Following the first occurrence of a Mason Multifamily Portfolio Trigger Period, the loan documents require the borrower to establish a soft lockbox account for the benefit of the lender into which the borrower is required to deposit or cause to be deposited all revenue generated by Mason Multifamily Portfolio Properties. The loan documents also require that the funds on deposit in the lockbox account be transferred on each business day to the borrower unless a Mason Multifamily Portfolio Trigger Period exists, in which case the funds are required to be transferred on each business day to the cash management account under the control of the lender.  On each due date during the continuance of a Mason Multifamily Portfolio Trigger Period, the loan documents require that all amounts on deposit in the cash management account, after payment of debt service and funding of required monthly reserves for budgeted operating expenses, real estate taxes, insurance premiums and replacement reserves be reserved with the lender and held as additional collateral for Mason Multifamily Portfolio Loan.  During the continuance of an event of default under Mason Multifamily Portfolio Loan, the lender may apply any funds in the cash management account to amounts payable under Mason Multifamily Portfolio Loan and/or toward the payment of expenses of Mason Multifamily Portfolio Property, in such order of priority as the lender may determine.
 
n
Property Management.  The Mason Multifamily Portfolio Properties are currently managed by Mason Administration LLC, an affiliate of the borrower, pursuant to a management agreement.  Under the loan documents, the borrower may terminate and replace the property manager without the lender’s consent, so long as (i) no event of default has occurred and is continuing, (ii) the lender receives at least 60 days prior written notice, and (iii) the applicable replacement property manager is reasonably approved by the lender in writing (which approval may be conditioned upon the lender’s receipt of Rating Agency Confirmation). Upon the (i) occurrence of a default by the property manager under the management agreement beyond any applicable cure period, (ii) filing of a bankruptcy petition or a similar event with respect to the property manager, (iii) occurrence of a Mason Multifamily Portfolio Trigger Period or (iv) commission of any gross negligence, fraud, willful misconduct or misapplication of funds by the property manager, the lender may replace or, require the borrower to replace, the property manager with a new property manager selected by the lender and with respect to which Rating Agency Confirmation has been received.
 
n
Mezzanine or Secured Subordinate Indebtedness.  Not permitted.
 
n
Terrorism Insurance.  The borrower is required to maintain an “all-risk” insurance policy that provides coverage for terrorism in an amount equal to the full replacement cost of the Mason Multifamily Portfolio Properties, plus 12 months of business interruption coverage as calculated under loan documents in an amount equal to 100% of the projected gross income from the Mason Multifamily Portfolio Properties (on an actual loss sustained basis) for a period continuing until the restoration of the Mason Multifamily Portfolio Properties are completed and containing an extended period endorsement which provides for up to six months of additional coverage. The “all-risk’ insurance policy providing terrorism insurance is required to contain a deductible that is no higher than $10,000 other than deductibles for flood and earthquake coverage. See “Risk Factors—Terrorism Insurance May Not Be Available for All Mortgaged Properties” in the Free Writing Prospectus.
 
n
Partial Release.  Not permitted.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
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93

 
 
THE HAMPTONS OF CLOVERLANE
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
94

 
 
THE HAMPTONS OF CLOVERLANE
 
(MAP)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
95

 
 
THE HAMPTONS OF CLOVERLANE
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1
 
Loan Seller
CGMRC
Location (City/State)
Pittsfield Township, Michigan
 
Cut-off Date Principal Balance
$32,800,000
Property Type
Multifamily
  Cut-off Date Principal Balance per Unit
$74,545.45
Size (Units)
440
 
Percentage of Initial Pool Balance
3.4%
Total Occupancy as of 4/7/2014
98.2%
 
Number of Related Mortgage Loans
None
Owned Occupancy as of 4/7/2014
98.2%
 
Type of Security
Fee Simple
Year Built / Latest Renovation
1986-1988 / 2013
 
Mortgage Rate
 4.8400%
Appraised Value
$42,000,000
 
Original Term to Maturity (Months)
120
     
Original Amortization Term (Months)
360
     
Original Interest Only Period (Months)
60
Underwritten Revenues
$5,005,562
     
Underwritten Expenses
$2,048,447
 
Escrows(2)
Underwritten Net Operating Income (NOI)
$2,957,115
   
Upfront
Monthly
Underwritten Net Cash Flow (NCF)
$2,825,115
 
Taxes
$264,304
$44,051
Cut-off Date LTV Ratio
78.1%
 
Insurance
$0
$0
Maturity Date LTV Ratio(1)
62.4%
 
Replacement Reserves
$1,400,000
$11,000
DSCR Based on Underwritten NOI / NCF
1.43x / 1.36x
 
TI/LC
$0
$0
Debt Yield Based on Underwritten NOI / NCF
9.0% / 8.6%
 
Other
$0
$0
 
Sources and Uses  
Sources
$
%  
   
Uses
$
%  
 
Loan Amount
$32,800,000
 74.3
%  
Purchase Price
$41,750,000
94.6
%
Principal’s New Cash Contribution
11,216,318
25.4
   
Reserves
1,664,304
3.8
 
Other Sources
129,963
0.3
   
Closing Costs
731,977
1.7
 
Total Sources
$44,146,281
100.0
%  
Total Uses
$44,146,281
100.0
%
 

 
(1)
The Maturity Date LTV Ratio is calculated utilizing the “as stabilized” appraised value of $48,400,000. The Maturity Date LTV Ratio, calculated on the basis of the “as-is” appraised value of $42,000,000, is 71.9%. See “—Appraisal” below.
 
(2)
See “—Escrows” below.
 
n
The Mortgage Loan. The mortgage loan (“The Hamptons of Cloverlane Loan”) is evidenced by a note in the original principal amount of $32,800,000 and is secured by a first mortgage encumbering the borrower’s fee interest in a 440-unit multifamily complex located in Pittsfield Township, Michigan (“The Hamptons of Cloverlane Property”). The Hamptons of Cloverlane Loan was originated by Citigroup Global Markets Realty Corp. on April 16, 2014. The Hamptons of Cloverlane Loan has an outstanding principal balance as of the Cut-off Date of $32,800,000 which represents approximately 3.4% of the Initial Pool Balance, and accrues interest at an interest rate of 4.8400% per annum. The proceeds of The Hamptons of Cloverlane Loan were primarily used to acquire The Hamptons of Cloverlane Property.
 
 
The Hamptons of Cloverlane Loan had an initial term of 120 months and has a remaining term of 119 months as of the Cut-off Date and requires payments of interest only for the initial 60 months and then payments of principal and interest based on a 30-year amortization schedule. The scheduled maturity date of The Hamptons of Cloverlane Loan is the due date in May 2024. At any time after the second anniversary of the securitization Closing Date, The Hamptons of Cloverlane Loan may be defeased with certain direct full faith and credit obligations of the United States of America or other obligations which are “government securities” permitted under the loan documents (and acceptable to the Rating Agencies). Voluntary prepayment of The Hamptons of Cloverlane Loan without prepayment premium or yield maintenance charge is permitted on or after the due date in February 2024.
 
n
The Mortgaged Property. The Hamptons of Cloverlane Property is a 440-unit, Class B, multifamily complex located in Pittsfield Township, Michigan, approximately four miles southeast of downtown Ann Arbor and 30 miles west of Detroit. The Hamptons of Cloverlane Property was built between 1986 and 1988 and renovated in 2013 by the prior owner and consists of 28 two-story buildings, one clubhouse/leasing office, one racquetball building and one maintenance building. Amenities at The Hamptons of Cloverlane Property include fully-equipped kitchens, full-size washer/dryer, wood burning fireplaces, an outdoor pool, private balconies/patios, racquetball and volleyball courts, tennis courts, and a fitness room. The Hamptons of Cloverlane Property also has a total of approximately 926 parking spaces consisting of 638 open spaces, 186 garage spaces and 102 carport spaces. As of April 7, 2014, Total Occupancy and Owned Occupancy were both 98.2%.
 
Prior to April 16, 2017, the borrower sponsor of The Hamptons of Cloverlane Loan is required to make $2,860,000 of capital improvements to The Hamptons of Cloverlane Property including, but not limited to, roofing repairs, HVAC upgrades, parking lot repairs, pool repairs and tennis court repairs and interior renovations. See “—Renovation” below.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
96

 
 
THE HAMPTONS OF CLOVERLANE
 
The following table presents certain information relating to the units and rent at The Hamptons of Cloverlane Property:
 
Unit Type
 
Occupied
Units
 
Vacant
Units
 
Total
Units
 
% of Total
Units
 
Average
SF per Unit
 
Monthly
Market Rent
per Unit
 
Monthly
Actual Rent
per Unit
 
Monthly
Average UW
Rent per Unit
 
Underwritten
Base Rent
1BR (676 SF)
 
79
   
1
   
80
   
18.2
 
676
   
$800
   
$780
   
$780
   
$738,972
 
1BR (730 SF)
 
17
   
1
   
18
   
4.1
   
730
   
$800
   
$864
   
$864
   
176,352
 
1BR-den (790 SF)
 
38
   
0
   
38
   
8.6
   
787
   
$850
   
$826
   
$826
   
376,560
 
1BR-den (841 SF)
 
51
   
1
   
52
   
11.8
   
841
   
$850
   
$861
   
$861
   
526,920
 
1BR-den (890 SF)
 
18
   
2
   
20
   
4.5
   
890
   
$850
   
$908
   
$908
   
196,176
 
2BR/1BA-vanity (848 SF)
 
22
   
0
   
22
   
5.0
   
848
   
$920
   
$893
   
$893
   
235,620
 
2BR/1BA-vanity (898 SF)
 
26
   
0
   
26
   
5.9
   
898
   
$920
   
$927
   
$927
   
289,332
 
2BR/2BA (1,000 SF)
 
72
   
0
   
72
   
16.4
   
1,000
   
$1,000
   
$971
   
$971
   
838,512
 
2BR/2BA (1,053 SF)
 
22
   
2
   
24
   
5.5
   
1,053
   
$1,000
   
$1,012
   
$1,012
   
267,084
 
2BR/2BA (1,072 SF)
 
87
   
1
   
88
   
20.0
   
1,072
   
$1,000
   
$1,015
   
$1,015
   
1,060,154
 
Total / Wtd. Avg.
 
432
   
8
   
440
   
100.0
 
892
   
$909
   
$908
   
$908
   
$4,705,682
 
 

Source: As provided by the borrower and appraisal.
 
The following table presents certain information relating to historical leasing at The Hamptons of Cloverlane Property:
 
Historical Leased %(1)
 
2011
 
 
2012
 
 
2013
 
 
As of 4/7/2014
93.6%
 
96.0%
 
94.9%
 
98.2%

 
(1)
As provided by the borrower and represents average occupancy for the specified year unless otherwise specified.
 
n
Operating History and Underwritten Net Cash Flow. The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at The Hamptons of Cloverlane Property:
 
Cash Flow Analysis(1)
   
 
2011
 
 
2012
 
 
2013
 
 
TTM 3/31/2014
 
 
Underwritten
 
 
Underwritten
$ per Unit
Base Rent
 
$4,378,866
   
$4,471,622
   
$4,691,793
   
$4,733,158
   
$4,705,682
   
$10,695
 
Gross Up Vacancy
 
0
   
0
   
0
   
0
   
85,800
   
195
 
Gross Potential Rent
 
$4,378,866
   
$4,471,622
   
$4,691,793
   
$4,733,158
   
$4,791,482
   
$10,890
 
Vacancy, Credit Loss & Concessions
 
(537,073)
   
(257,189)
   
(243,685)
   
(227,954)
   
(286,278)
   
 (651
Total Rent Revenue
 
$3,841,793
   
$4,214,433
   
$4,448,108
   
$4,505,204
   
$4,505,204
   
$10,239
 
Other Revenue(2)
 
595,824
   
522,786
   
521,066
   
500,358
   
500,358
   
1,137
 
Effective Gross Income
 
$4,437,617
   
$4,737,219
   
$4,969,174
   
$5,005,562
   
$5,005,562
   
$11,376
 
                                     
Real Estate Taxes
 
614,011
   
615,354
   
578,715
   
539,772
   
504,302
   
1,146
 
Insurance
 
100,889
   
112,054
   
109,934
   
108,093
   
107,185
   
244
 
Management Fee
 
124,518
   
136,352
   
142,055
   
144,491
   
175,195
   
398
 
Other Operating Expenses
 
1,153,461
   
1,219,821
   
1,268,318
   
1,261,765
   
1,261,765
   
2,868
 
Total Operating Expenses
 
$1,992,879
   
$2,083,581
   
$2,099,022
   
$2,054,121
   
$2,048,447
   
$4,656
 
                                     
Net Operating Income
 
$2,444,738
   
$2,653,638
   
$2,870,152
   
$2,951,441
   
$2,957,115
   
$6,721
 
Replacement Reserves
 
0
   
0
   
0
   
0
   
132,000
   
300
 
Net Cash Flow
 
$2,444,738
   
$2,653,638
   
$2,870,152
   
$2,951,441
   
$2,825,115
   
$6,421
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Other Revenue includes utility reimbursements, late charges, insufficient funds charges, damage charges, legal charges, garage charges, application fee charges, cable TV income, pet rent, admin fees, carport fees, other charges & fees, laundry, vending, forfeited deposits, and miscellaneous rental income.
 
n
Appraisal. According to the appraisal, The Hamptons of Cloverlane Property had an “as-is” appraised value of $42,000,000 as of an effective date of February 6, 2014 and is expected to have an “as stabilized” appraised value of $48,400,000 as of an effective date of February 6, 2017, upon the completion of the capital improvement plan described under “—Renovation” below.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
97

 
 
THE HAMPTONS OF CLOVERLANE
 
n
Environmental Matters. Based on a Phase I environmental report dated February 14, 2014, the environmental consultant recommended no further action other than the implementation of an operations and maintenance plan for asbestos, which is currently in place.
 
n
Market Overview and Competition. The Hamptons of Cloverlane Property is located in Pittsfield Township, Michigan, a suburb in Washtenaw County and approximately four miles southeast of downtown Ann Arbor and 30 miles west of Detroit. Per the appraisal, as of December 2013, the unemployment rate in Pittsfield Township was 4.8% which is lower than the unemployment rates of 5.2% and 7.7% for Washtenaw County and the state of Michigan, respectively. Major employers in Washtenaw County include the University of Michigan, Trinity Health Medical Center, Ann Arbor Public Schools, Eastern Michigan University and Toyota Technical Center, amongst others. Per the appraisal, other notable components of the local economy include computer technology, health services, pharmaceuticals, automotive and biotechnology, thus various medical offices, laboratories and research facilities are found in close proximity to The Hamptons of Cloverlane Property. Additional employment opportunities are also more accessible in surrounding areas given Washtenaw County’s location in the south-central portion of Michigan which has easy access to the local and national freeway system. Large employment centers are located in metropolitan Detroit to the east and the Lansing-East Lansing area to the northwest. The Hamptons of Cloverlane Property is located directly south of Interstate-94 which is the primary east-west highway in the southern part of the state and provides access to Ypsilanti and Ann Arbor, Michigan and also Chicago, Illinois to the southwest and Detroit to the east. The Detroit Metropolitan-Wayne County Airport is located in Romulus to the east and is the largest airport serving southeast Michigan. Public transportation in the region is provided by the Ann Arbor Transportation Authority (AATA).
 
According to the appraisal, as of 2014, the population and average household income of Washtenaw County are 354,530 and $80,912, respectively. The population and average household income within a five-mile radius of The Hamptons of Cloverlane Property are 139,498 and $72,047, respectively. The Hamptons of Cloverlane Property is part of the Ann Arbor multifamily submarket. According to a market report, as of the third quarter of 2013, the Ann Arbor multifamily submarket had a total inventory of 24,282 units and an average occupancy rate of 97.7% with an average effective rental rate of $925 per unit. Furthermore, as of the third quarter of 2013, Class B/C properties in the Ann Arbor submarket had a total inventory of 13,297 units and an average occupancy rate of 98.4% with an average effective rental rate of $867 per unit.
 
The following table presents certain information relating to the primary competition for The Hamptons of Cloverlane Property:
 
Competitive Set(1)
   
 
The Hamptons of
Cloverlane
 
 
Golfside Lake
 
 
Roundtree
 
 
Arbor Knoll
 
 
Glencoe Hills
Location
 
Pittsfield Township
 
Pittsfield Township
 
Ypsilanti Township
 
Pittsfield Township
 
Pittsfield Township
Year Built
 
1986-1988
 
1969-1970
 
1973
 
1989
 
1972
Occupancy
 
98.2%
 
98.0%
 
99.0%
 
98.0%
 
98.0%
No. of Units
 
440
 
598
 
228
 
220
 
584
Distance from subject
     
2.3 miles
 
0.9 miles
 
1.7 miles
 
2.3 miles
   
 
The Lake Shore
 
 
Village Green
 
 
The Pines of Cloverlane
       
Location
 
Ypsilanti Township
 
Ann Arbor
 
Pittsfield Township
       
Year Built
 
1970
 
1987
 
1974-1977
       
Occupancy
 
96.0%
 
96.0%
 
97.3%(2)
       
No. of Units
 
1,028
 
520
 
582
       
Distance
 
4.4 miles
 
3.9 miles
 
Adjacent
       
 

 
(1)
Source: Appraisal.
 
(2)
The occupancy for The Pines of Cloverlane property is as of April 7, 2014.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
98

 
 
THE HAMPTONS OF CLOVERLANE
 
n
The Borrower. The borrower is Hamptons of Cloverlane, LLC, a single-purpose, single-asset entity. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of The Hamptons of Cloverlane Loan. The non-recourse carveout guarantors are Alan Hayman, Andrew Hayman and Sheldon Yellen. Alan and Andrew Hayman are principals of the Hayman Company.
 
The Hayman Company, which is affiliated with the non-recourse carveout guarantors and is the property manager was founded in 1965 and is a privately owned commercial real estate organization. The Hayman Company is headquartered in suburban Detroit and has satellite offices in Chicago and Dallas with a total of 450 employees nationwide. The company’s focus includes acquisitions and investments, property management and leasing, receivership services for lenders and special servicers and asset management. The company has owned and/or managed over 40,000 multifamily units and 16 million SF of commercial space.
 
n
Escrows. On the origination date, the borrower funded aggregate reserves of $1,664,304 with respect to The Hamptons of Cloverlane Loan, comprised of (i) $1,400,000 for designated replacement reserves and (ii) $264,304 for real estate taxes related to The Hamptons of Cloverlane Property.
 
On each due date, the borrower is required to fund the following reserves with respect to The Hamptons of Cloverlane Loan: (i) a tax reserve in an amount equal to one-twelfth of the amount that the lender estimates will be necessary to pay taxes over the succeeding twelve month period; (ii) an insurance reserve in an amount equal to one-twelfth of the amount that the lender estimates will be necessary to pay insurance premiums over then succeeding twelve month period, unless the borrower provides evidence that the required insurance is being provided under any blanket policy reasonably acceptable to the lender; and (iii) a replacement reserve in an amount equal to $11,000.
 
n
Renovation. The Hamptons of Cloverlane loan documents require the borrower to complete (1) $5,625 of immediate repairs on or before the date that is 90 days from the origination date and (2) $1,394,375 of specified capital improvements prior to April 16, 2017. These capital improvements are part of the borrower’s $2,860,000 capital improvement plan. The capital improvements include, but are not limited to, roofing repairs, HVAC upgrades, parking lot repairs, pool repairs and tennis court repairs and interior renovations. At origination, $1,400,000 was deposited with the lender in a lender controlled capital improvement reserve. If the borrower fails to satisfy the conditions for the release of the capital improvements reserve set forth in the loan documents by the third anniversary of the origination date of the mortgage loan, then any funds on deposit in the capital improvements reserve will be held as additional collateral for The Hamptons of Cloverlane Loan.
 
n
Lockbox and Cash Management. The Hamptons of Cloverlane Loan requires a springing lockbox. Following the first occurrence of a The Hamptons of Cloverlane Trigger Period (and, if such The Hamptons of Cloverlane Trigger Period has been caused by a reduction in the debt service coverage ratio, upon written notice to the borrower), the loan documents require the borrower to set up the lockbox account for the sole and exclusive benefit of the lender into which the borrower is required to deposit or cause to be deposited all revenue generated by The Hamptons of Cloverlane Property. The loan documents also require that the funds on deposit in the lockbox account be transferred on each business day to the borrower unless a The Hamptons of Cloverlane Trigger Period exists, in which case the funds are required to be transferred on each business day to the cash management account under the control of the lender. On each due date during the continuance of a The Hamptons of Cloverlane Trigger Period, the loan documents require that all amounts on deposit in the cash management account, after payment of debt service and funding of required monthly reserves, be held by the lender as additional collateral for The Hamptons of Cloverlane Loan. During the continuance of an event of default under The Hamptons of Cloverlane Loan, the lender may apply any funds in the cash management account to amounts payable under The Hamptons of Cloverlane Loan and/or toward the payment of expenses of The Hamptons of Cloverlane Property, in such order of priority as the lender may determine.
 
A “The Hamptons of Cloverlane Trigger Period” means a period (a) commencing upon the earliest of (i) the occurrence and continuance of an event of default and (ii) the debt service coverage ratio as calculated under the loan documents being less than 1.15x and (b) ending, as applicable, upon (i) the cure (if applicable) of such event of default or (ii) the debt service coverage ratio being equal to or greater than 1.20x for two consecutive calendar quarters.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
99

 
 
THE HAMPTONS OF CLOVERLANE
 
n
Property Management. The Hamptons of Cloverlane Property is currently managed by The Hayman Company, an affiliate of the borrower, pursuant to a management agreement. Under the loan documents, the borrower may terminate and replace the property manager without the lender’s consent, so long as (i) no event of default has occurred and is continuing, (ii) the lender receives at least 30 days prior written notice, and (iii) the applicable replacement property manager is reasonably approved by the lender in writing (which approval may be conditioned upon the lender’s receipt of Rating Agency Confirmation). Upon the occurrence of (i) a default by the property manager under the management agreement beyond any applicable cure period or (ii) the filing of a bankruptcy petition or a similar event with respect to the property manager, the lender may replace or, require the borrower to replace, the property manager with a new property manager selected by the lender and with respect to which Rating Agency Confirmation has been received.
 
n
Mezzanine or Subordinate Indebtedness. Not Permitted.
 
n
Terrorism Insurance. The borrower is required to maintain an “all-risk” insurance policy that provides coverage for terrorism in an amount equal to the full replacement cost of The Hamptons of Cloverlane Property, plus 18 months of business interruption coverage as calculated under loan documents in an amount equal to 100% of the projected gross income from The Hamptons of Cloverlane Property (on an actual loss sustained basis) for a period continuing until the restoration of The Hamptons of Cloverlane Property is completed and containing an extended period endorsement which provides for up to six months of additional coverage. The “all-risk’ insurance policy providing terrorism insurance is required to contain a deductible that is no higher than $25,000, other than deductibles for flood and earthquake coverage. See “Risk Factors—Terrorism Insurance May Not Be Available for All Mortgaged Properties” in the Free Writing Prospectus.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
100

 
 
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101

 
 
ALLSPACE SELF STORAGE PORTFOLIO
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
102

 
 
ALLSPACE SELF STORAGE PORTFOLIO
 
(MAP)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
103

 
 
ALLSPACE SELF STORAGE PORTFOLIO
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
4  
    Loan Seller
CCRE  
Location (City/State)
Various, California  
    Cut-off Date Principal Balance
$30,966,108  
Property Type
 Self Storage  
      Cut-off Date Principal Balance per SF
$89.78  
Size (SF)
344,895  
    Percentage of Initial Pool Balance
3.2%  
Total Occupancy as of 3/31/2014
92.1%  
    Number of Related Mortgage Loans
None  
Owned Occupancy as of 3/31/2014
92.1%  
    Type of Security
Fee Simple  
Year Built / Latest Renovation
1962-1985 / 2007-2013  
    Mortgage Rate
4.8785%  
Appraised Value
$47,350,000  
    Original Term to Maturity
120  
        Original Amortization Term (Months)
360  
        Original Interest Only Period (Months)
NAP  
Underwritten Revenues
$4,280,611  
     
Underwritten Expenses
$1,456,164  
 
Escrows
Underwritten Net Operating Income (NOI)
$2,824,446  
   
Upfront
Monthly  
Underwritten Net Cash Flow (NCF)
$2,789,957  
 
Taxes
$25,834
$12,917  
Cut-off Date LTV Ratio
65.4%  
 
Insurance
$49,563
$6,561  
Maturity Date LTV Ratio
53.6%  
 
Replacement Reserves
$0
$2,874  
DSCR Based on Underwritten NOI / NCF
1.43x / 1.42x  
 
TI/LC
$0
$0  
Debt Yield Based on Underwritten NOI / NCF
9.1% / 9.0%  
 
Other(1)
$8,500
$0  
 
Sources and Uses  
Sources
$
%  
 
Uses
$
 
Loan Amount
$31,000,000
100.0
Loan Payoff
$27,461,908
88.6
       
Principal Equity Distribution
$2,985,664
9.6
 
       
Closing Costs
468,531
1.5
 
       
Reserves
83,897
0.3
 
Total Sources
$31,000,000
100.0
Total Uses
$31,000,000
100.0
 

 
(1)
Other upfront reserve represents $8,500 for a deferred maintenance reserve, which is approximately 118.1% of the expected cost of the required repairs determined in the engineering reports. See “—Escrows” below.
 
n
The Mortgage Loan. The mortgage loan (the “Allspace Self Storage Portfolio Loan”) is evidenced by a note in the original principal amount of $31,000,000 and is secured by a first mortgage encumbering the borrower’s fee simple interests in four self storage properties, all located in California, known as the Allspace Self Storage Portfolio (the “Allspace Self Storage Portfolio Properties”). The Allspace Self Storage Portfolio Loan was originated by CCRE on April 21, 2014 and represents approximately 3.2% of the Initial Pool Balance. The note evidencing the Allspace Self Storage Portfolio Loan has an outstanding principal balance as of the Cut-off Date of $30,966,108 and has an interest rate of 4.8785% per annum. The proceeds of the Allspace Self Storage Portfolio Loan were used to refinance existing debt, return equity to the borrower sponsor, pay closing costs and fund reserves. The Allspace Self Storage Portfolio Properties were previously securitized in the MLCFC 2007-6 transaction.
 
The Allspace Self Storage Portfolio Loan had an initial term of 120 months and has a remaining term of 119 months as of the Cut-off Date. The Allspace Self Storage Portfolio Loan requires monthly payments of interest and principal sufficient to amortize the loan over a 30-year amortization schedule. The scheduled maturity date of the Allspace Self Storage Portfolio Loan is the due date in May 2024. Voluntary prepayment of the Allspace Self Storage Portfolio Loan is prohibited prior to February 6, 2024. Defeasance with government securities is permitted at any time on or after July 6, 2016.
 
n
The Mortgaged Properties. The Allspace Self Storage Portfolio Properties consist of four self storage properties located in Huntington Beach, Costa Mesa, San Marcos and Garden Grove, California totaling 344,895 SF and containing 2,685 non-climate controlled units. 63 of these units are flex industrial storage units ranging in size from 940 SF to 8,750 SF.
 
The Allspace Self Storage Portfolio Properties range from 39,943 SF to 115,684 SF of storage space, or 345 units to 1,079 units. The unit mixes include interior and exterior storage units, as well as flex industrial storage units. As of March 31, 2014, the Allspace Self Storage Portfolio Properties Total Occupancy and Owned Occupancy were both 92.1%.
 
The borrower developed the Allspace Self Storage Portfolio Properties between 1962 and 1985. From 2007 to 2013, the borrower invested approximately $5.3 million to upgrade the Allspace Self Storage Portfolio Properties. The upgrades mainly consisted of re-paving, re-painting and roof repairs at the Allspace Self Storage Portfolio Properties. Amenities at the properties include on-site resident managers, fenced facilities with a personalized computer controlled gate system, personal lock & key, an intercom system and video surveillance.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
104

 
 
ALLSPACE SELF STORAGE PORTFOLIO
 
Three of the four Allspace Self Storage Portfolio Properties are located in Orange County, California (Huntington Beach Property, Costa Mesa Property and Garden Grove Property). Orange County serves as headquarters to five of the nation’s Fortune 500 corporations: Ingram Micro, Broadcom, Spectrum Group International, Pacific-Life and Allergan. While not headquartered in Orange County, The Walt Disney Company is the region’s largest employer with 25,000 employees. Orange County’s public universities are another employment sector. The University of California, Irvine has 21,800 employees, while California State University, Fullerton employs 4,984 people.
 
The three Allspace Self Storage Portfolio Properties located in Orange County are proximate to major traffic thoroughfares such as the Pacific Coast Highway, the San Diego Freeway, the Santa Anna Freeway and the San Gabriel Freeway.
 
The San Marcos Property is located within San Diego County and is bordered by Escondido to the east, Encinitas to the southwest, Carlsbad to the west, and Vista to the northwest. The San Marcos Property is located on Grand Avenue which runs parallel to State Route 78, and is in close proximity to West San Marcos Boulevard, South Las Posas Road and Rancho Santa Fe Road.
 
The following tables present certain information relating to the Allspace Self Storage Portfolio Properties:
 
Portfolio Summary(1)(2)

Property Name
 
City, State
 
Total
Units
 
Total GLA
 
Year Built / Renovated
 
Capital
Improvements(3)
 
Appraised
Value
 
Occupancy
(SF/ Units)
Huntington Beach
 
Huntington Beach, CA
 
619
   
115,684
   
1972 / 2007-2013
 
$2,267,800
   
$19,900,000
   
97% / 97%
 
Costa Mesa
 
Costa Mesa, CA
 
 1,079
   
80,601
   
1962 / 2007-2013
 
781,700
   
14,000,000
   
94% / 93%
 
San Marcos
 
San Marcos, CA
 
642
   
108,667
   
1985 / 2007-2013
 
 1,556,000
   
10,350,000
   
89% / 88%
 
Garden Grove
 
Garden Grove, CA
 
 345
   
39,943
   
1974 / 2007-2013
 
705,900
   
3,100,000
   
83% / 77%
 
Total / Wtd. Avg. Portfolio
     
2,685
   
 344,895
       
$5,311,400
   
$47,350,000
   
92% / 90%
 
 

 
(1)
As provided by the borrower and represents occupancy as of March 31, 2014.
 
(2)
The Allspace Self Storage Portfolio Loan does not permit releases.
 
(3)
$5.3 million of Capital Improvement were made between 2007 and 2013.
 
Unit Mix(1)
 
Property Name
 
Total GLA
 
Total
Units
 
Flex Industrial Units
Huntington Beach
 
115,684
   
619
   
37
 
Costa Mesa
 
80,601
   
 1,079
   
0
 
San Marcos
 
108,667
   
642
   
16
 
Garden Grove
 
39,943
   
 345
   
10
 
Total
 
344,895
   
2,685
   
 63
 
 

 
(1)
As provided by the borrower and represents unit mix as of March 31, 2014.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
105

 
 
ALLSPACE SELF STORAGE PORTFOLIO
 
Market Comparison

Property Name
 
Monthly Rent per
SF
 
Occupancy(1)
 
Market
Monthly Rent
PSF(2)
 
Market
Occupancy(3)
 
Population(3)
 
Median
Household
Income(3)
Huntington Beach
 
$1.49
   
96.8%
   
$1.63
   
 91.6%
   
123,720
   
$95,140
 
Costa Mesa
 
1.43
   
92.7%
   
$1.54
   
86.5%
   
 136,115
   
$100,871
 
San Marcos
 
0.81
   
88.0%
   
$0.99
   
85.2%
   
 93,693
   
$70,693
 
Garden Grove
 
0.98
   
76.5%
   
$1.33
   
81.9%
   
328,928
   
$66,989
 
Total / Wtd. Avg.
 
$1.20
   
 90.4%
   
$1.37
   
 87.3%
   
140,922
   
$85,517
 
 

 
(1)
As provided by the borrower and represents occupancy by unit count as of March 31, 2014.
 
(2)
Source: Appraisals.
 
(3)
Market Occupancy, Population and Median Household Income based on a three-mile radius per the appraisals.

The following table presents certain information relating to historical leasing at the Allspace Self Storage Portfolio Properties:
 
Historical Leased %(1)
 
Property Name
 
 
2008
 
 
2009
 
 
2010
 
 
2011
 
 
2012
 
 
2013
 
 
As of
3/31/2014
Huntington Beach
 
 79.0%
 
 78.0%
 
 72.0%
 
 72.0%
 
 82.0%
 
 92.0%
 
 96.8%
Costa Mesa
 
79.0%
 
78.0%
 
72.0%
 
76.0%
 
82.0%
 
90.0%
 
92.7%
San Marcos
 
80.0%
 
80.0%
 
68.0%
 
75.0%
 
78.0%
 
84.0%
 
88.0%
Garden Grove
 
70.0%
 
66.0%
 
77.0%
 
62.0%
 
69.0%
 
77.1%
 
76.5%
Total / Wtd. Avg.
 
 78.1% 
 
 76.9% 
 
 71.7% 
 
 73.0% 
 
 79.4% 
 
 87.4% 
 
 90.4% 
 

 
(1)
As provided by the borrower and represents occupancy based on units as of December 31, unless otherwise indicated.
 
n
Operating History and Underwritten Net Cash Flow. The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the Allspace Self Storage Portfolio Properties:
 
Cash Flow Analysis
   
 
2012
 
 
2013
 
 
TTM 2/28/2014
 
 
Underwritten
 
 
Underwritten
$ per SF
Base Rent
 
$3,772,871
   
$4,135,896
   
$4,162,658
   
$4,162,658
   
$12.07
 
Gross Up Vacancy(1)
 
0
   
0
   
0
   
314,939
   
0.91
 
Total Rent Revenue
 
$3,772,871
   
$4,135,896
   
$4,162,658
   
$4,477,597
   
$12.98
 
Other Income(2)
 
141,169
   
107,543
   
117,953
   
117,953
   
0.34
 
Less Vacancy & Credit Loss
 
0
   
0
   
0
   
(314,939)
   
(0.91)
 
Effective Gross Income
 
$3,914,040
   
$4,243,439
   
$4,280,611
   
$4,280,611
   
$12.41
 
                               
Total Operating Expenses
 
$1,233,415
   
$1,328,990
   
$1,238,836
   
$1,456,164
   
$4.22
 
                               
Net Operating Income
 
$2,680,625
   
$2,914,449
   
$3,041,775
   
$2,824,446
   
$8.19
 
Replacement Reserves
 
0
   
0
   
0
   
34,490
   
0.10
 
Net Cash Flow
 
$2,680,625
   
$2,914,449
   
$3,041,775
   
$2,789,957
   
$8.09
 
 

 
(1)
Vacancy based on actual in place trailing 12-month economic vacancy of 7.0%.
 
(2)
Other Income consists of income from sale of merchandise and supplies as well as late fees.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
106

 
 
ALLSPACE SELF STORAGE PORTFOLIO
 
n
Appraisal. According to the appraisals, the Allspace Self Storage Portfolio Properties had an aggregate “as-is” appraised value of $47,350,000 as of an effective date of March 20, 2014. Additionally, the appraiser valued the land of the Allspace Self Storage Portfolio Properties at $20,310,000 or 65.5% of the loan amount.
 
n
Environmental Matters. The Phase I environmental reports dated April 2014 recommended no further action other than the development and implementation of an operations and maintenance plan for asbestos at all of the Allspace Self Storage Portfolio Properties and an operations and maintenance plan for lead based paint at all of the Allspace Self Storage Portfolio Properties except the San Marcos Property, all of which were in place at origination.
 
n
The Borrower. The borrower, Allspace Storage, L.P. is a Delaware limited partnership. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of the Allspace Self Storage Portfolio Loan. The sponsor of the borrower and the non-recourse carveout guarantor is Byron M. Tarnutzer.
 
Mr. Tarnutzer has over 50 years of real estate experience as an owner, investor, property manager and broker. Mr. Tarnutzer has managed the Allspace Self Storage Properties since developing them between 1962 an 1985. Mr. Tarnutzer has owned and developed 507,000 SF of self storage space, 879,690 SF of mixed use business parks, 216,000 SF of retail centers, 681,050 SF of industrial buildings and 11 multifamily and residential projects all in California.
 
n
Escrows. On the origination date, the borrower funded aggregate reserves of $83,897 with respect to the Allspace Self Storage Portfolio Properties comprised of (i) $25,834 for real estate taxes, (ii) $49,563 for insurance expenses and (iii) $8,500 for deferred maintenance, which is approximately 118.1% of the expected cost of the required repairs determined in the engineering reports.
 
On each due date, the borrower is required to fund the following reserves with respect to the Allspace Self Storage Portfolio Properties: (i) a real estate tax reserve in the amount of one-twelfth of the estimated taxes to be paid in the next 12 months, which currently equates to $12,917, (ii) insurance reserve in the amount of one-twelfth of the lender’s estimate of current annual insurance premiums which currently equates to $6,561 and (iii) a replacement reserve in an amount equal to $2,874 ($0.10 PSF annually).
 
n
Lockbox and Cash Management. The Allspace Self Storage Portfolio Loan is structured with a soft lockbox and springing cash management, with the lockbox being established upon origination. The loan documents require that all rents received by the borrower or the property manager be deposited into the lender controlled lockbox account by the end of the second business day after receipt. On each business day, so long as no event of default or an Allspace Self Storage Portfolio Cash Management Period (as defined below) is continuing, the lockbox bank will remit all amounts contained in the lockbox account to an operating account maintained by the borrower. During an Allspace Self Storage Portfolio Cash Management Period, all funds in the lockbox account are swept each day to the cash management account. On each due date during the continuance of an Allspace Self Storage Portfolio Cash Management Period, the loan documents require that all amounts on deposit in the cash management account, after payment of debt service, required reserves and budgeted operating expenses (x) during the continuance of an Allspace Self Storage Portfolio Cash Trap Period, be held as additional collateral for the Allspace Self Storage Portfolio Loan or (y) if no Allspace Self Storage Portfolio Cash Trap Period is then continuing, be disbursed to the borrower. During the continuance of an event of default under the Allspace Self Storage Portfolio Loan, the lender is entitled to apply all funds on deposit in the cash management account to amounts payable under the Allspace Self Storage Portfolio Loan in such order of priority as the lender may determine.
 
An Allspace Self Storage Portfolio Cash Trap Period” means the period (A) commencing upon (i) the occurrence of an event of default under the loan documents, (ii) the failure by the borrower, after the end of one calendar quarter to maintain a debt service coverage ratio (based on trailing 12 calendar months) of at least 1.10x or (iii) any bankruptcy action of borrower, principal, guarantor or manager and (B) expiring upon (x) in the case of clause (i) above, the cure (if applicable) of such event of default, (y) in the case of clause (ii) above, the achievement of a debt service coverage ratio (based on trailing 12 calendar months) of 1.25x or greater for four consecutive calendar quarters or (z) in the case of clause (iii) above in the case of a bankruptcy action of manager only, if the borrower replaces the manager with a qualified manager under a replacement management agreement.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
107

 
 
ALLSPACE SELF STORAGE PORTFOLIO
 
An Allspace Self Storage Portfolio Cash Management Period” means the period (A) commencing upon (i) the occurrence of an Allspace Self Storage Portfolio Cash Trap Period or (ii) the failure by the borrower, after the end of one calendar quarter to maintain a debt service coverage ratio (based on trailing 12 calendar months) of at least 1.15x and (B) expiring upon (y) in the case of clause (i) above no Allspace Self Storage Portfolio Cash Trap Period has occurred for four consecutive calendar quarters or (z) in the case of clause (ii) above the achievement of a debt service coverage ratio (based on trailing 12 calendar months) of 1.25x or greater for four consecutive calendar quarters.
 
n
Property Management. The Allspace Self Storage Portfolio Properties are currently owner managed and no property management agreements are currently in effect. Pursuant to the terms of the Allspace Self Storage Portfolio Loan, the Allspace Self Storage Portfolio Properties may not be managed by any other party, other than a management company approved by the lender and with respect to which Rating Agency Confirmation has been received. During (i) the continuance of an event of default under the Allspace Self Storage Portfolio Loan, (ii) the continuance of a material default by a property manager under the management agreements (if any) beyond any applicable notice and cure period, (iii) such time that a bankruptcy petition has been filed or other similar action has been taken with respect to a property manager or (iv) the failure by the borrower, after the end of any calendar quarter to maintain a debt service coverage ratio (based on trailing 12 calendar months) of at least 1.10x, the lender may require the borrower to terminate the management agreements (if any) and replace the property manager with a new property manager selected by the borrower (or engage qualified manager if the borrower self-manages), subject to the lender’s reasonable approval, and with respect to which Rating Agency Confirmation has been received.
 
n
Mezzanine or Secured Subordinate Indebtedness. Not permitted.
 
n
Partial Release. The Allspace Self Storage Portfolio Loan does not permit releases.
 
n
Terrorism Insurance. The borrower is required to maintain an “all-risk” insurance policy that provides coverage for terrorism, so long as the lender determines that either (i) prudent owners of real estate comparable to the Allspace Self Storage Portfolio Properties are maintaining such insurance or (ii) prudent institutional lenders to such owners are requiring that such owners maintain such insurance, in an amount equal to the full replacement cost of the Allspace Self Storage Portfolio Properties, plus 12 months of business interruption insurance. The “all risk” insurance policy is required to contain a deductible that is acceptable to the lender and is no larger than $25,000. See “Risk Factors—Terrorism Insurance May Not Be Available for All Mortgaged Properties” in the Free Writing Prospectus.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
108

 
 
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109

 
 
CORPORATE PARK AND AIRPARK PORTFOLIO
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
110

 
 
 
CORPORATE PARK AND AIRPARK PORTFOLIO
 
(GRAPHIC)
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
111

 
 
CORPORATE PARK AND AIRPARK PORTFOLIO
 
Mortgaged Property Information(1)
 
Mortgage Loan Information(2)
Number of Mortgaged Properties
2  
 
Loan Seller
CCRE  
Location (City/State)
Various  
 
Cut-off Date Principal Balance(3)
$21,600,000  
Property Type
 Office / Industrial  
 
Cut-off Date Principal Balance per SF(3)
$82.46  
Size (SF)
261,951  
 
Percentage of Initial Pool Balance(3)
2.2%  
Total Occupancy as of 5/5/2014
90.1%  
 
Number of Related Mortgage Loans
2  
Owned Occupancy as of 5/5/2014
90.1%  
   
Type of Security
Fee Simple  
Year Built / Latest Renovation
1986,1988, 2006 / 2011,2012  
   
Mortgage Rate
4.5945%  
Appraised Value
$30,800,000  
 
Original Term to Maturity (Months)
120   
     
Original Amortization Term (Months)
360  
     
Original Interest Only Period (Months)
12  
Underwritten Revenues
$3,385,523  
     
Underwritten Expenses
$1,124,198  
 
Escrows(3)
Underwritten Net Operating Income (NOI)
$2,261,325  
   
Upfront
Monthly  
Underwritten Net Cash Flow (NCF)
$1,941,511  
 
Taxes
$127,917
$17,167  
Cut-off Date LTV Ratio(3)
70.1%  
 
Insurance
$52,122
$7,900  
Maturity Date LTV Ratio(3)
58.5%  
 
Replacement Reserves
$0
$4,366  
DSCR Based on Underwritten NOI / NCF(3)
1.70x / 1.46x  
 
TI/LC(4)
$250,000
$21,829  
Debt Yield Based on Underwritten NOI / NCF(3)
10.5% / 9.0%  
 
Other(5)
$103,313
$0  
 
Sources and Uses(3)
Sources
$
%    
 
Uses
$
  %
Loan Amount
$21,600,000
100.0%
 
Loan Payoff
$16,362,998
75.8
       
Principal Equity Distribution
4,367,066
20.2
 
       
Reserves
533,352
2.5
 
       
Closing Costs
336,584
1.6
 
Total Sources
$21,600,000
100.0%
 
Total Uses
$21,600,000
100.0
 

  
(1)
The Corporate Park and AirPark Portfolio consists of two mortgage loans that are cross-collateralized and cross-defaulted, that are secured by the mortgaged properties identified on Annex A to the Free Writing Prospectus as Corporate Park Office Center I&II and AirPark North Business Center.
 
(2)
Each of the mortgage loans in the Corporate Park and AirPark Portfolio crossed loan group may be released from the cross-collateralization and cross-default arrangement provided certain conditions are satisfied. See “Description of the Mortgage Pool–Certain Terms of the Mortgage Loans–Partial Releases and Substitution” in the Free Writing Prospectus.
 
(3)
Presented as the aggregate of Corporate Park Office Center I&II Loan and AirPark North Business Center Loan. See “—Escrows” below.
 
(4)
TI/LC reserve is capped at $600,000, taking into account the amount on reserve for both loans combined. See “—Escrows” below.
 
(5)
Other upfront reserve represents a deferred maintenance reserve. See “—Escrows” below.
 
n
The Mortgage Loans. The mortgage loans (the “Corporate Park Office Center I&II Loan” and the “AirPark North Business Center Loan,” together, the “Corporate Park and AirPark Portfolio Loans”) are cross-collateralized and cross-defaulted with one another and each are evidenced by a note in the original principal amount of $15,000,000 and $6,600,000, respectively, and are secured by first mortgages encumbering one office property located in Huntsville, Alabama and one industrial property in Tampa, Florida (the “Corporate Park Property” and the “AirPark North Business Center Property,” together, the “Corporate Park and AirPark Portfolio Properties”). The Corporate Park and AirPark Portfolio Loans were originated by CCRE on May 20, 2014 and represent approximately 2.2% of the Initial Pool Balance. The Corporate Park and AirPark Portfolio Loans have an aggregate outstanding principal balance as of the Cut-off Date of $21,600,000 and have an interest rate of 4.5945% per annum. The borrowers utilized proceeds of the Corporate Park and AirPark Portfolio Loans to refinance existing debt on the Corporate Park and AirPark Portfolio Properties, to return equity to the borrower sponsor, to pay closing costs and to fund reserves.
 
Each of the Corporate Park and AirPark Portfolio Loans has an initial and remaining term of 120 months. The Corporate Park and AirPark Portfolio Loans require payments of interest only for the initial 12 months of the loan term and then payments of principal and interest based on a 30-year amortization schedule for the remainder of the loan term. The Corporate Park and AirPark Portfolio Loans are scheduled to mature on June 6, 2024. The Corporate Park Office Center I&II Loan and the AirPark North Business Center Loan may both be voluntarily prepaid in full after the second anniversary of the securitization Closing Date so long as such prepayment is accompanied by the applicable yield maintenance premium. Voluntary prepayment of the Corporate Park Office Center I&II Loan and the AirPark North Business Center Loan is permitted on or after March 6, 2024 without a payment of any yield maintenance premium.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
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CORPORATE PARK AND AIRPARK PORTFOLIO
 
Furthermore, the Corporate Park Office Center I&II Loan and the AirPark North Business Center Loan may be released from the cross-collateralization and cross-default arrangement two years after the securitization Closing Date if: (i) one of the two loans is being prepaid in full and the borrower paying off its loan pays the applicable release price (110% of the outstanding principal balance for the Corporate Park Office Center I&II Loan or 100% of the outstanding principal balance for the AirPark North Business Center Loan) plus a yield maintenance premium, (ii) no event of default exists, (iii) the debt yield for the loan not being prepaid is at least 9%, (iv) the loan-to-value ratio for the property securing such remaining loan is lower than 75%, (v) the prepayment occurs contemporaneously with an arm’s length bona fide cash sale of the property corresponding to the applicable loan that is subject to the prepayment, and (vi) delivery of a REMIC opinion and Rating Agency confirmation. If the loan-to-value ratio for the remaining loan is greater than 75%, the borrower may prepay a portion of such remaining loan by the lowest amount that would be necessary to satisfy the loan to value ratio, which prepayment must be accompanied by the payment of a yield maintenance premium. In connection with the prepayment of the Corporate Park Office Center I&II Loan, any excess proceeds received by the lender are required to be either applied to reduce the principal balance of the AirPark North Business Center Loan, with yield maintenance premium or held as additional collateral for the AirPark North Business Center Loan, at the borrower’s election.
 
n
The Mortgaged Properties. The Corporate Park and AirPark Portfolio Properties consist of one office property located in Huntsville, Alabama and one industrial property in Tampa, Florida, totaling 261,951 SF.
 
Corporate Park Office Center I&II (70.6% of GLA; 74.5% of Underwritten Base Rent)
The Corporate Park Property is an eight-building, 184,811 SF, multi-tenant Class B office complex located in the Cummings Research Park in Huntsville, Alabama. The improvements were constructed in 1986 and 1988 and renovated from 2011 to 2012 on a 23.0 acre site and feature 863 parking spaces.
 
As of May 5, 2014, the Total Occupancy and Owned Occupancy at the Corporate Park Property were both 86.0%. The Corporate Park Property is occupied by 34 tenants, with no tenant representing more than 8.6% of the property’s GLA and 10.2% of the property’s Underwritten Base Rent. In particular, five of the tenants are rated investment-grade, representing approximately 29.7% of GLA and 34.3% of Underwritten Base Rent at the Corporate Park Property.
 
The two largest tenants, Arrow Electronics (rated BBB-/Baa3/BBB- by Fitch/MIS/S&P) and Johnson Controls, Inc. (rated NR/Baa1/BBB+ by Fitch/MIS/S&P), representing 16.7% of the property’s GLA, are Fortune 500 Companies. Arrow Electronics is a provider of products, services and solutions to industrial and commercial users of electronic components and enterprise computing solutions, with 2013 sales of $21.4 billion. Johnson Controls, Inc. is a diversified technology and industrial company that focuses on building efficiencies and energy management as well as automotive batteries and automotive interior design.
 
AirPark North Business Center (29.4% of GLA; 25.5% of Underwritten Base Rent)
The AirPark North Business Center Property is a two-building, 77,140 SF, multi-tenant Class A industrial flex complex located in Tampa, Florida. The improvements were constructed in 2006 and renovated from 2011 to 2012 on a 6.1 acre site and feature 238 parking spaces.
 
As of May 5, 2014, the Total Occupancy and Owned Occupancy at the AirPark North Business Center Property were both 100.0%. The AirPark North Business Center Property is occupied by two tenants, with One Touch Direct representing 68.5% of the property’s GLA and 64.8% of the property’s Underwritten Base Rent. Headquartered at the AirPark North Business Center Property, One Touch Direct, LLC offers call center support with over 2,000 employees. The second tenant, Times Publishing Co., is Florida’s largest daily newspaper by circulation and has been part of the Tampa Bay community for more than 125 years.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
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The following table presents certain information relating to the tenants at the Corporate Park and AirPark Portfolio Properties:
 
Ten Largest Owned Tenants Based on Underwritten Base Rent
 
Tenant Name
 
 
Property
 
 
Credit Rating (Fitch/MIS/S&P)(1)
 
 
Tenant GLA
 
 
% of
GLA
 
 
UW Base
Rent
 
 
% of
Total UW
Base
Rent
 
 
UW Base
Rent
$ per SF
 
 
Lease Expiration
 
 
Renewal / Extension Options
One Touch Direct, LLC(2)
 
AirPark
 
NR / NR / NR
  52,815     20.2 %   $554,558     17.2 %   $10.50    
11/30/2021
 
NA
Times Publishing Co.
 
AirPark
 
NR / NR / NR
  24,325     9.3     267,575     8.3     11.00    
1/31/2018
 
2, 5-year options
Arrow Electronics
 
Corporate Park
 
BBB- / Baa3 / BBB-
  15,979     6.1     246,471     7.6     15.42    
7/31/2015
 
2, 3-year options
Johnson Controls, Inc.
 
Corporate Park
 
NR / Baa1 / BBB+
  14,941     5.7     207,755     6.4     13.91    
7/31/2016
 
1, 3-year option
Alabama Department of Revenue(3)
 
Corporate Park
 
NR / Aa1 / AA
  11,862     4.5     177,930     5.5     15.00    
6/30/2020
 
NA
EADS
 
Corporate Park
 
NR / NR / NR
  9,240     3.5     162,254     5.0     17.56    
1/31/2015
 
2, 1-year options
Shearer & Associates, Inc.
 
Corporate Park
 
NR / NR / NR
  8,964     3.4     154,267     4.8     17.21    
6/30/2016
 
NA
Tennessee Valley Authority(4)
 
Corporate Park
 
NR / Aaa / AA+
  8,216     3.1     130,179     4.0     15.84    
9/30/2016
 
2, 1-year options
Layer 8 Technology, Inc.
 
Corporate Park
 
NR / NR / NR
  8,525     3.3     129,532     4.0     15.19    
MTM
 
NA
Brockwell Technologies, Inc.
 
Corporate Park
 
NR / NR / NR
  7,188     2.7     117,307     3.6     16.32    
7/31/2015
 
2, 3-year options
Ten Largest Tenants
          162,055     61.9 %   $2,147,828     66.5 %   $13.25          
Remaining Tenant
          73,975     28.2     1,080,293     33.5     14.60          
Vacant
          25,921     9.9     0     0.0     0.00          
Total / Wtd. Avg. All Owned Tenants
      261,951     100.0 %   $3,228,121     100.0 %   $13.68          
 

 
(1)
Certain ratings are those of the parent company whether or not the parent guarantees the lease.
 
(2)
A full excess cash flow sweep will occur, with respect to the AirPark North Business Center Loan, upon the date which is the earlier to occur of (i) twelve months prior to One Touch Direct, LLC’s lease expiration or (ii) the date One Touch Direct, LLC is required to give notice of its intent to renew or terminate its lease, fails to continuously operate, becomes the subject of a bankruptcy action, gives notice of its intent to vacate or terminates its lease.
 
(3)
Alabama Department of Revenue has the right to terminate its lease at the end of any fiscal year of the State of Alabama if state legislature fails to fund the appropriate funds for the tenant.
 
(4)
Tennessee Valley Authority has the right to terminate its lease any time with 180 days prior written notice.
 
The following table presents the lease rollover schedule at the Corporate Park and AirPark Portfolio Properties, based on initial lease expiration dates:
 
Lease Expiration Schedule(1)
 
Year Ending December 31,
 
Expiring Owned GLA
 
% of Owned
GLA
 
Cumulative % of Owned GLA
 
UW Base Rent
 
% of Total UW
Base Rent
 
UW Base Rent
$ per SF
 
# of Expiring Tenants
MTM
    10,800     4.1 %   4.1 %   $167,304       5.2 %   $15.49     2  
2014
    12,892     4.9     9.0 %   189,649       5.9     14.71     6  
2015
    58,547     22.4     31.4 %   876,405       27.1     14.97     10  
2016
    51,191     19.5     50.9 %   805,727       25.0     15.74     10  
2017
    13,598     5.2     56.1 %   188,973       5.9     13.90     5  
2018
    24,325     9.3     65.4 %   267,575       8.3     11.00     1  
2019
    0     0.0     65.4 %   0       0.0     0.00     0  
2020
    11,862     4.5     69.9 %   177,930       5.5     15.00     1  
2021(2)
    52,815     20.2     90.1 %   554,558       17.2     10.50     1  
2022
    0     0.0     90.1 %   0       0.0     0.00     0  
2023
    0     0.0     90.1 %   0       0.0     0.00     0  
2024
    0     0.0     90.1 %   0       0.0     0.00     0  
2025 & Thereafter
    0     0.0     90.1 %   0       0.0     0.00     0  
Vacant
    25,921     9.9     100.0 %   0       0.0     0.00     0  
Total / Wtd. Avg.
    261,951     100.0 %         $3,228,121       100.0 %   $13.68     36  
 

 
(1)
Certain tenants have lease termination options that may become exercisable prior to the originally stated expiration date that are not considered in this lease expiration schedule.
 
(2)
A full excess cash flow sweep will occur with respect to the AirPark North Business Center Loan upon the date which is the earlier to occur of (i) twelve months prior to One Touch Direct, LLC’s lease expiration or (ii) the date One Touch Direct, LLC is required to give notice of its intent to renew or terminate its lease, fails to continuously operate, becomes the subject of a bankruptcy action, gives notice of its intent to vacate or terminates its lease.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
114

 
 
CORPORATE PARK AND AIRPARK PORTFOLIO
 
The following table presents certain information relating to historical leasing at the Corporate Park and AirPark Portfolio Properties:
 
Historical Leased %(1)
 
Property
 
 
2011
 
 
2012
 
 
2013
 
 
As of 5/5/2014
Corporate Park Office Center I&II
 
  88.0%
 
  89.0%
 
  86.0%
 
  86.0%
AirPark North Business Center
 
100.0%
 
100.0%
 
100.0%
 
100.0%
Wtd. Avg. Portfolio
 
  91.5%
 
  92.2%
 
 90.1%
 
  90.1%
 

 
(1)
As provided by the borrowers and represents occupancy as of December 31, unless otherwise indicated.
 
n
Operating History and Underwritten Net Cash Flow.  The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the Corporate Park and AirPark Portfolio Properties:
 
Cash Flow Analysis
   
2011
 
2012
 
2013
 
TTM 3/1/2014
 
Underwritten
 
 Underwritten
 $ per SF
Base Rent(1)
    $3,591,365     $3,484,217     $3,430,568     $3,515,281     $3,228,121     $12.32  
Gross Up Vacancy
    0     0     0     0     401,776     1.53  
Total Rent Revenue
    $3,591,365     $3,484,217     $3,430,568     $3,515,281     $3,629,896     $13.86  
Total Reimbursables
    277,616     266,700     287,622     280,646     263,076     1.00  
Other Income
    3,128     1,672     5,501     4,343     360     0.00  
Less Vacancy & Credit Loss(2)
    0     0     0     0     (507,809 )   (1.94 )
Effective Gross Income
    $3,872,109     $3,752,589     $3,723,691     $3,800,270     $3,385,523     $12.92  
                                       
Total Operating Expenses
    $1,163,095     $1,066,574     $1,123,032     $1,178,244     $1,124,198     $4.29  
                                       
Net Operating Income
    $2,709,014     $2,686,015     $2,600,659     $2,622,026     $2,261,325     $8.63  
TI/LC
    261,951     261,951     261,951     261,951     261,951     1.00  
Capital Expenditures
    57,863     57,863     57,863     57,863     57,863     0.22  
Net Cash Flow
    $2,389,201     $2,366,202     $2,280,845     $2,302,212     $1,941,511     $7.41  
 

 
(1)
Underwritten Base Rent includes contractual rent steps ($45,435) through March 31, 2015 at the Corporate Park Property as well as mark-to-market adjustments ($32,839) for above market rents at the AirPark North Business Center Property.
 
(2)
Underwriting reflects an economic vacancy of 10.0% and 13.0% for the AirPark North Business Center Property and Corporate Park Property, respectively. The AirPark North Business Center Property and Corporate Park Property were 100.0% and 86.0% occupied as of May 5, 2014, respectively.
 
n
Appraisal.  According to the appraisals, the Corporate Park and AirPark Portfolio Properties had a combined “as-is” appraised value of $30,800,000 as of an effective date as of March 24, 2014 and March 26, 2014.
 
n
Environmental Matters.  According to the Phase I environmental reports, dated April 2, 2014 and April 8, 2014, there are no recognized environmental conditions or recommendations for further action at the Corporate Park and AirPark Portfolio Properties, other than the implementation of an operations and maintenance program for asbestos-containing material at the Corporate Park Property, which is currently in-place.
 
n
Market Overview and Competition.
 
Corporate Park Office Center I&II
 
The Corporate Park Property is located in the Cummings Research Park in Huntsville, Alabama. Over 300 companies and 29,000 workers are located within the Cummings Research Park. Interstate 565, the primary east-west freeway, is located within 5.0 miles of the Corporate Park Property and provides access to Interstate-65 as well as US 72. As of 2013, the population within a five-mile radius of the Corporate Park Property was 109,527 with an average household income of $58,657.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
115

 
 
CORPORATE PARK AND AIRPARK PORTFOLIO
 
According to the appraisal, in 2013 the Huntsville office market reported an inventory of approximately 18.1 million SF, with a vacancy rate of 12.4%. For the same time period, the Cummings Research Park submarket reported an inventory of approximately 7.7 million SF, with a vacancy rate of 9.3%. The concluded average market rent for the Corporate Park Property is $15.50, which is in-line with the in-place rent of $15.06.
 
The following table presents certain information relating to certain office lease comparables provided in the appraisal for the Corporate Park Property:
 
Competitive Set(1)
   
 
Corporate Park  Property
 
 
Progress Center
 
 
Research West
Office Center
 
 
Research Park
Office Center
 
 
Research Place
GSA
Miles
 
NAP
 
1.8
 
2.7
 
2.0
 
0.4
Year Built
 
1986, 1988
 
1989
 
2012
 
1984
 
1980
Total NRA
 
184,811
 
225,000
 
22,000
 
57,000
 
272,500
Total Occupancy
 
86%
 
99%
 
18%
 
92%
 
66%
Asking Rent
 
$15.06
 
$14.50
 
$13.50-$15.50
 
$14.75
 
$17.50
 

 
(1)
Source: Appraisal.
 
AirPark North Business Center
 
The AirPark North Business Center Property is located in Tampa, the second most populous metropolitan area in the state of Florida. The AirPark North Business Center Property is located within 3.0 miles of Veterans Expressway, which connects to Interstate 275. Interstate 275 provides access from southern Pinellas County, across Tampa Bay and into Hillsborough County. As of 2013, the population within a five-mile radius of the AirPark North Business Center Property was 266,371 with an average household income of $56,943.
 
According to the appraisal, in 2013 the Westshore/Airport office market reported an inventory of approximately 5.2 million SF, with a vacancy rate of 12.5%. The concluded average market rent for the AirPark North Business Center Property is $10.87, which is below with the in-place rent of $12.97.
 
The following table presents certain information relating to certain office lease comparables provided in the appraisal for the AirPark North Business Center Property:
 
Competitive Set(1)
   
 
AirPark North
Business Center
Property
 
 
Sunstate Center
Park
 
 
Thompson Center
 
 
Thompson
Center II
 
 
Benjamin Center
 
Executive
Industrial Park
Miles
 
NAP
 
2.3
 
2.3
 
1.5
 
1.9
 
2.3
Year Built
 
2006
 
1985
 
1990
 
1995
 
1985
 
2000
Total NRA
 
77,140
 
73,445
 
290,490
 
60,338
 
54,112
 
200,000
Total Occupancy
 
100%
 
84%
 
81%
 
90%
 
96%
 
84%
Asking Rent
 
$12.97
 
$8.50-$10.00
 
$8.00-$11.00
 
$5.85-$9.50
 
$8.95-$8.95
 
$5.95-$8.00
 

 
(1)
Source: Appraisal.
 
n
The Borrower.  The borrower of the Corporate Park Office Center I&II Loan, FGH Corporate Park, LTD., is an Alabama limited partnership. The borrower of the AirPark North Business Center Loan, PCC Airpark LLC, is a Florida limited liability company. Legal counsel to the borrowers delivered a non-consolidation opinion in connection with the origination of the Corporate Park and AirPark Portfolio Loans. The guarantor of the non-recourse carveouts under the Corporate Park and AirPark Portfolio Loans is Gary Felsher, the president of FGH Investments. FGH Investments’ portfolio includes apartment complexes, shopping centers, industrial and office buildings located in New York, Delaware, Texas, Florida, Utah, Indiana, Alabama and the Bahamas.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
116

 
 
CORPORATE PARK AND AIRPARK PORTFOLIO
 
n
Escrows.  On the origination date, the borrowers funded aggregate reserves of $533,352 with respect to the Corporate Park and AirPark Portfolio Properties, comprised of (i) $127,917 for real estate taxes, (ii) $52,122 for insurance expenses, (iii) $250,000 for future tenant improvement and leasing commission expenses and (iv) $103,313 for deferred maintenance, which represents 125% of the engineer’s recommendation.
 
On each due date, the borrowers are required to fund (i) a tax reserve in an amount equal to one-twelfth of the amount that the lender estimates will be necessary to pay taxes over the then succeeding twelve-month period, (ii) an insurance reserve in an amount equal to one-twelfth of the amount that the lender estimates will be necessary to pay insurance premiums over the then succeeding twelve-month period, (iii) a replacement reserve in an amount equal to $4,366 ($0.20 PSF annually) and (iv) a tenant improvement and leasing commission reserve in the amount of $21,829, capped at $600,000 (taking into account the amount on reserve for both loans combined) so long as 82.0% of the Corporate Park Property is occupied, no event of default has occurred, and the loans are still subject to cross-collateralization. Amounts available in the tenant improvement and leasing commission reserve for one loan may be used for approved leasing expenses for the other loan. Each of the other reserves, however, will only be disbursed for the loan for which such reserve was established.
 
n
Lockbox and Cash Management.  The Corporate Park and AirPark Portfolio Loans are structured with a springing lockbox and springing cash management. Upon the first occurrence of a Cash Management Period, the loan documents require each borrower to establish a lender-controlled lockbox account and to direct tenants at the Corporate Park and AirPark Portfolio Properties to pay their rents directly to the lender-controlled lockbox account. After the lockbox accounts are established and effective, the loan documents also require each borrower and its property manager to deposit within two business days all revenues derived from each applicable property and received by such borrower or property manager into the lender-controlled lockbox account. During the continuance of a Cash Management Period, all sums on deposit in the lockbox account are required to be swept on a daily basis into a cash management account for the payment of debt service and funding of monthly escrows with any excess (i) to be held by lender as additional security for the loan if a Cash Trap Period exists, or (ii) to be paid to the applicable borrower if no Cash Trap Period exists.
 
 
A “Cash Management Period” means a period that (a) commences on: (i) the occurrence of any Cash Trap Period; (ii) the failure by both borrowers (on an aggregate basis), after the end of two calendar quarters, to maintain a debt service coverage ratio of at least 1.10x based on the trailing 12-month net operating income; or (iii) the occurrence of a Lease Trigger Period; and (b) ends if, for two consecutive calendar quarters since the commencement of the existing Cash Management Period (A) no Cash Trap Period, default or event of default has occurred or remains in effect during such period, (B) no other Cash Management Period is then in effect and no event that would trigger another Cash Management Period has occurred; (C) the debt service coverage ratio for both borrowers (on an aggregate basis) has been at least equal to 1.15x for the trailing 12-month period; and (D) the Lease Trigger Period, if previously commenced, has terminated.  If a Cash Management Period occurs under one loan, then a Cash Management Period is deemed to exist under the other loan.
 
A “Cash Trap Period” means a period that (a) commences on: (i) the occurrence of any event of default; (ii) (A) any bankruptcy action of a borrower, its principal or guarantor has occurred or (B) any bankruptcy event of the property manager has occurred and such property manager is not replaced with a qualified property manager within 60 days; or (iii) the failure by both borrowers (on an aggregate basis), after the end of two calendar quarters, to maintain a debt service coverage ratio of at least 1.10x based on the trailing 12-month net operating income; and (b) ends if: (i) in the case of the foregoing clause (a)(i), the lender accepts a cure of such event of default and no other event of default exists; (ii) in the case of a bankruptcy action of the property manager only, such property manager is replaced with a qualified property manager; or (iii) in the case of the foregoing clause (a)(iii), for two consecutive calendar quarters, the debt service coverage ratio for both borrowers (on an aggregate basis) has been at least equal to 1.15x for the trailing 12-month period. If a Cash Trap Period occurs under one loan, then a Cash Trap Period is deemed to exist under the other loan.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
117

 
 
CORPORATE PARK AND AIRPARK PORTFOLIO
 
A “Lease Trigger Period” means the date which is the earlier to occur of (i) twelve months prior to One Touch Direct, LLC’s lease expiration or (ii) the date One Touch Direct, LLC (a) is required to give notice of its intent to renew or terminate its lease, (b) fails to continuously operate, (c) becomes the subject of a bankruptcy action, (d) gives notice of its intent to vacate or (e) terminates its lease. A Lease Trigger Period terminates when (i) an acceptable lease extension by One Touch Direct, LLC is delivered to lender or (ii) an acceptable replacement lease is executed for the One Touch Direct, LLC space.
 
During a Lease Trigger Period, excess cash for the AirPark North Business Center Loan will be deposited into an occupancy reserve for such loan and such reserve funds may be utilized to pay approved leasing expenses associated with the One Touch Direct, LLC space.
 
n
Property Management. The Corporate Park Property and AirPark North Business Center Property are currently managed by Chase Commercial Real Estate Services, Inc. and FGH Management Group, LLC, respectively, pursuant to certain management agreements. Pursuant to the terms of the Corporate Park and AirPark Portfolio Loans, the Corporate Park and AirPark Portfolio Properties may not be managed by any other party, other than a management company approved by the lender and with respect to which Rating Agency Confirmation has been received. During or upon any of (i) the continuance of an event of default under the Corporate Park and AirPark Portfolio Loans, (ii) the continuance of a material default by the property manager under the management agreements beyond any applicable notice and cure period, (iii) the filing of a bankruptcy petition or a similar event with respect to the property manager or (iv) the property manager has engaged in gross negligence, fraud, willful misconduct or misappropriation of funds, the lender may require the applicable borrower to terminate the applicable management agreement and replace the property manager with a new property manager selected by such borrower, subject to the lender’s reasonable approval, and with respect to which Rating Agency Confirmation has been received.
 
n
Mezzanine or Secured Subordinate Indebtedness.  Not permitted
 
n
Terrorism Insurance.  The borrowers are required to maintain an “all-risk” insurance policy that provides coverage for terrorism, so long as lender determines that either (i) prudent owners of real estate comparable to the Corporate Park and AirPark Portfolio Properties are maintaining such insurance, or (ii) prudent institutional lenders to such owners are requiring that such owners maintain such insurance, in an amount equal to the full replacement cost of the Corporate Park and AirPark Portfolio Properties, plus 12 months of business interruption coverage. The “all-risk” insurance policy that provides coverage for terrorism is required to contain a deductible that is acceptable to the lender and is no higher than $25,000. See “Risk Factors—Terrorism Insurance May Not Be Available for All Mortgaged Properties” in the Free Writing Prospectus.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
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119

 
 
MACCABEES CENTER
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1
 
Loan Seller
 
GSMC
Location (City/State)
Southfield, Michigan
 
Cut-off Date Principal Balance
 
$21,500,000
Property Type
Office
 
Cut-off Date Principal Balance per SF
 
$59.68
Size (SF)
360,280
 
Percentage of Initial Pool Balance
 
2.2%
Total Occupancy as of 5/1/2014
80.4%
 
Number of Related Mortgage Loans
 
None
Owned Occupancy as of 5/1/2014
80.4%
 
Type of Security
 
Fee Simple
Year Built / Latest Renovation
1985, 1988 / 2013
 
Mortgage Rate
 
4.7190%
Appraised Value
$30,700,000
 
Original Term to Maturity (Months)
 
120
     
Original Amortization Term (Months)
 
360
     
Original Interest Only Period (Months)
NAP
     
Borrower Sponsor(1)
David W. Schostak
Underwritten Revenues
$5,662,005
       
Underwritten Expenses
$2,869,997
 
Escrows
Underwritten Net Operating Income (NOI)
$2,792,007
   
Upfront
Monthly
Underwritten Net Cash Flow (NCF)
$2,279,196
 
Taxes
$489,485
$54,387
Cut-off Date LTV Ratio
70.0%
 
Insurance(2)
$0
$0
Maturity Date LTV Ratio
57.1%
 
Replacement Reserves
$0
$7,506
DSCR Based on Underwritten NOI / NCF
2.08x / 1.70x
 
TI/LC(3)
$0
$37,500
Debt Yield Based on Underwritten NOI / NCF
13.0% / 10.6%
 
Other(4)
$113,747
$0
 
  Sources and Uses
Sources
$
%
Uses
$
%
Loan Amount
$21,500,000
100.0%
Loan Payoff
$20,682,086
   96.2%
     
Reserves
603,232
 2.8
     
Closing Costs
167,832
 0.8
     
Principal Equity Distribution
46,850
 0.2
Total Sources
$21,500,000
100.0%
Total Uses
$21,500,000
100.0%
 

 
(1)
David W. Schostak is the guarantor of the non-recourse carveouts under the Maccabees Center Loan.
 
(2)
Insurance reserves waived under a blanket insurance policy.
 
(3)
TI/LC reserves are capped at $2,000,000.
 
(4)
Other upfront reserves represent outstanding tenant improvement allowances for Computer Sciences Corporation ($81,580) and Hanover Insurance Co. ($32,167).
 
The following table presents certain information relating to the tenants at the Maccabees Center Property:
 
Ten Largest Owned Tenants Based on Underwritten Base Rent
 
Tenant Name
 
 
Credit Rating
(Fitch/MIS/S&P)(1)
 
 
Tenant
GLA
 
 
% of
GLA
 
 
UW Base
Rent
 
 
% of
Total
UW
Base
Rent
 
 
UW Base
Rent
$ per SF
 
 
Lease Expiration
 
 
Renewal / Extension
Options
Doner
 
NR / NR / NR
 
126,006
   
35.0
 
$2,331,111
   
44.4
 
$18.50
   
12/31/2020
 
NA
Sullivan, Ward, Asher & Patton
 
NR / NR / NR
 
42,000
   
11.7
   
987,000
   
18.8
   
23.50
   
2/28/2020
 
1, 5-year option
Real Estate One
 
NR / NR / NR
 
40,346
   
11.2
   
709,137
   
13.5
   
17.58
   
12/31/2021
 
1, 5-year option
Computer Sciences Corporation(2)
 
BBB / Baa2 / BBB+
 
20,094
   
5.6
   
267,279
   
5.1
   
13.30
   
10/31/2019
 
1, 5-year option
Hanover Insurance Co.(3)
 
BBB- / Baa3 / BBB-
 
13,483
   
3.7
   
215,728
   
4.1
   
16.00
   
2/28/2019
 
1, 5-year option
Globe Midwest
 
NR / NR / NR
 
10,610
   
2.9
   
169,760
   
3.2
   
16.00
   
12/31/2016
 
NA
Fluid Routing Solutions(4)(5)
 
NR / NR / NR
 
8,089
   
2.2
   
117,291
   
2.2
   
14.50
   
9/30/2016
 
1, 3-year option
Buckfire & Buckfire(6)
 
NR / NR / NR
 
5,845
   
1.6
   
113,978
   
2.2
   
19.50
   
3/15/2017
 
1, 3-year option
Ponto & Associates(7)
 
NR / NR / NR
 
3,963
   
1.1
   
65,390
   
1.2
   
16.50
   
11/30/2023
 
NA
Reassure America Life Insurance
 
AA- / A1 / AA
 
3,975
   
1.1
   
61,613
   
1.2
   
15.50
   
12/31/2016
 
1, 5-year option
Ten Largest Tenants
     
274,411
   
76.2
 
  $5,038,285
   
95.9
 
$18.36
         
Remaining Owned Tenants
     
15,304
   
4.2
   
215,121
   
4.1
   
 14.06
         
Vacant
     
 70,565
   
19.6
   
0
   
0.0
   
0.00
         
Total / Wtd. Avg. All Owned Tenants
     
360,280
   
100.0
 
$5,253,406
   
100.0
 
$18.13
         
 

 
(1)
Certain ratings are those of the parent company whether or not the parent guarantees the lease.
 
(2)
Computer Sciences Corporation may terminate 4,026 SF of space after June 30, 2017 with six months’ prior written notice and payment of a termination fee equal to unamortized rent abatement, tenant improvements and leasing costs.
 
(3)
Hanover Insurance Co. may terminate its lease after February 18, 2017 with nine months’ prior written notice and payment of a termination fee equal to unamortized rent abatement, tenant improvements and leasing costs.
 
(4)
Fluid Routing Solutions may terminate its lease at any time with six months’ prior written notice and payment of unamortized leasing costs.
 
(5)
Fluid Routing Solutions occupies 8,089 SF of space but utilizes and pays rent on 7,270 SF of space. Fluid Routing Solutions has the option to utilize the remaining 819 SF and would be required to pay additional base rent for that space.
 
(6)
Buckfire & Buckfire may terminate its lease after March 15, 2015 upon written notice no later than June 15, 2014.
 
(7)
If the borrower is unable to accommodate Ponto & Associates’ need for additional space, Ponto & Associates will have a one-time right to terminate, effective at the end of any month with 12 months prior written notice.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
120

 
 
MACCABEES CENTER
 
The following table presents the lease rollover schedule at the Maccabees Center Property, based on initial lease expiration dates:
 
Lease Expiration Schedule(1)
 
Year Ending
December 31,
 
 
Expiring Owned
GLA
 
 
% of Owned
GLA
 
 
Cumulative % of Owned GLA
 
 
UW
Base Rent
 
 
% of Total UW
Base Rent
 
 
UW Base Rent
$ per SF
 
 
# of Expiring Tenants
MTM
 
3,000
   
0.8
 
0.8%
   
$39,000
   
0.7
 
$13.00
   
1
 
2014
 
0
   
0.0
   
0.8%
   
0
   
0.0
   
0.00
   
0
 
2015
 
8,754
   
2.4
   
3.3%
   
113,943
   
2.2
   
13.02
   
3
 
2016
 
22,824
   
6.3
   
9.6%
   
354,741
   
6.8
   
15.54
   
4
 
2017
 
5,845
   
1.6
   
11.2%
   
113,978
   
2.2
   
19.50
   
1
 
2018
 
3,400
   
0.9
   
12.2%
   
56,100
   
1.1
   
16.50
   
1
 
2019
 
33,577
   
9.3
   
21.5%
   
483,007
   
9.2
   
14.39
   
3
 
2020
 
168,006
   
46.6
   
68.1%
   
3,318,111
   
63.2
   
19.75
   
3
 
2021
 
40,346
   
11.2
   
79.3%
   
709,137
   
13.5
   
17.58
   
2
 
2022
 
0
   
0.0
   
79.3%
   
0
   
0.0
   
0.00
   
0
 
2023
 
3,963
   
1.1
   
80.4%
   
65,390
   
1.2
   
16.50
   
1
 
2024
 
0
   
0.0
   
80.4%
   
0
   
0.0
   
0.00
   
0
 
2025 & Thereafter
 
0
   
0.0
   
80.4%
   
0
   
0.0
   
0.00
   
0
 
Vacant
 
70,565
   
19.6
   
100.0%
   
0
   
0.0
   
0.00
   
0
 
Total / Wtd. Avg.
 
360,280
   
100.0
       
$5,253,406
   
100.0
 
$18.13
   
19
 
 

 
(1)
Calculated based on approximate square footage occupied by each Owned Tenant.

The following table presents certain information relating to historical leasing at the Maccabees Center Property:
 
Historical Leased %(1)
 
2009
 
 
2010
 
 
2011
 
 
2012(2)
 
 
2013
 
 
As of
5/1/2014
96.0%
 
96.4%
 
97.5%
 
74.4%
 
79.6%
 
80.4%
 

 
(1)
As provided by the borrower and represents occupancy as of December 31, for the indicated year unless otherwise indicated.
 
(2)
Decrease in occupancy attributed to a major tenant, Royal Maccabees, vacating the property. Royal Maccabees occupied 157,000 square feet (43.6% of GLA) at the property. Royal Maccabees was acquired by Reassure America Life Insurance in 2012 and was subsequently relocated.
 
n
Operating History and Underwritten Net Cash Flow.  The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the Maccabees Center Property:
 
Cash Flow Analysis(1)
   
 
2011
 
 
2012(2)
 
 
2013
 
 
Underwritten(3)
 
 
Underwritten
$ per SF
Base Rent
 
$5,850,893
   
$4,873,740
   
$4,486,058
   
$5,253,406
   
$14.58
 
Overage Rent
 
0
   
0
   
0
   
0
   
0.00
 
Gross Up Vacancy
 
0
   
0
   
0
   
1,316,651
   
3.65
 
Total Rent
 
$5,850,893
   
$4,873,740
   
$4,486,058
   
$6,570,057
   
$18.24
 
Total Reimbursables
 
2,303,654
   
438,691
   
403,466
   
437,075
   
1.21
 
Other Income
 
57,213
   
46,295
   
84,799
   
33,300
   
0.09
 
Less Vacancy & Credit Loss
 
0
   
0
   
0
   
(1,378,427
 
(3.83
Effective Gross Income
 
$8,211,760
   
$5,358,726
   
$4,974,323
   
$5,662,005
   
$15.72
 
                               
Total Operating Expenses
 
$3,103,109
   
$3,033,279
   
$2,879,223
   
$2,869,997
   
$7.97
 
                               
Net Operating Income
 
$5,108,651
   
$2,325,447
   
$2,095,100
   
$2,792,007
   
$7.75
 
TI/LC
 
0
   
0
   
0
   
422,741
   
1.17
 
Capital Expenditures
 
0
   
0
   
0
   
90,070
   
0.25
 
Net Cash Flow
 
$5,108,651
   
$2,325,447
   
$2,095,100
   
$2,279,196
   
$6.33
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, lease cancellation income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Decrease in Effective Gross Income attributed to a major tenant, Royal Maccabees, vacating the property. Royal Maccabees occupied 157,000 square feet (43.6% of GLA) at the subject property. Royal Maccabees was acquired by Reassure America Life Insurance in 2012 and was subsequently relocated.
 
(3)
Underwritten cash flow based on contractual rents as of 5/1/2014 and rent steps through 6/30/2015.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
121

 
 
ASHFORD APARTMENTS
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1
 
Loan Seller
 
CCRE
Location (City/State)
Shelby Township, Michigan
 
Cut-off Date Principal Balance
 
$18,000,000
Property Type
Multifamily
 
Cut-off Date Principal Balance per Unit
$100,000.00
Size (Units)
180
 
Percentage of Initial Pool Balance
 
1.9%
Total Occupancy as of 2/28/2014
95.6%
 
Number of Related Mortgage Loans
 
None
Owned Occupancy as of 2/28/2014
95.6%
 
Type of Security
 
Fee Simple
Year Built / Latest Renovation
2012 / NAP
 
Mortgage Rate
 
 4.5920%
Appraised Value
$24,000,000
 
Original Term to Maturity (Months)
 
120
     
Original Amortization Term (Months)
 
360
     
Original Interest Only Period (Months)
 
NAP
     
Borrower Sponsor(1)
Michael A. Chirco
Underwritten Revenues
$2,577,215
       
Underwritten Expenses
$877,734
 
Escrows
Underwritten Net Operating Income (NOI)
$1,699,482
   
Upfront
Monthly
Underwritten Net Cash Flow (NCF)
$1,654,482
 
Taxes
$163,393
$24,757
Cut-off Date LTV Ratio
75.0%
 
Insurance
$35,081
$2,699
Maturity Date LTV Ratio
60.8%
 
Replacement Reserves(2)
$0
$3,750
DSCR Based on Underwritten NOI / NCF
1.54x / 1.50x
 
TI/LC
$0
$0
Debt Yield Based on Underwritten NOI / NCF
9.4% / 9.2%
 
Other
$0
$0
 
  Sources and Uses
Sources
$
%
  Uses
$
   %
Loan Amount
$18,000,000
100.0%
  Loan Payoff
$16,712,419
   92.8%
     
  Principal Equity Distribution
747,632
 4.2
     
  Closing Costs
341,476
 1.9
     
  Reserves
198,474
     1.1
Total Sources
$18,000,000
100.0%
  Total Uses
$18,000,000
100.0%
 

(1)      Michael A. Chirco is the guarantor of the non-recourse carveouts under the Ashford Apartments loan.
(2)      The replacement reserve is capped at $225,000.
 
The following table presents certain unit and rent information relating to the Ashford Apartments Property:
 
Unit Type
 
 
# of Units
 
 
Average SF
per Unit
 
 
Monthly Market
Rent per Unit
 
 
Monthly Actual
Rent per Unit
Bloomfield 2 Bed / 2 Bath
 
60
 
1,567
 
$1,360
 
$1,290
Arlington 2 Bed / 2 Bath
 
60
 
1,451
 
$1,310
 
$1,243
Carriage 2 Bed / 2 Bath
 
60
 
1,310
 
$1,190
 
$1,129
Total / Wtd. Avg.
 
180
 
1,443
 
$1,287
 
$1,221
 

Source: As provided by the borrower.
 
The following table presents certain information relating to historical leasing at the Ashford Apartments Property:
 
Historical Leased %(1)
 
2012(2)
 
 
2013
 
 
As of
2/28/2014
83.8%
 
97.8%
 
95.6%
 

 
(1)
As provided by the borrower and represents occupancy as of December 31, for the indicated year unless otherwise specified
 
(2)
The Ashford Apartments Property was built in 2012.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
122

 
 
ASHFORD APARTMENTS
 
n
Operating History and Underwritten Net Cash Flow.  The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the Ashford Apartments Property:
 
Cash Flow Analysis(1)
   
 
2012
 
 
2013
 
 
TTM 2/28/2014
 
 
Underwritten
 
 
Underwritten
$ per Unit
Base Rent
 
$1,219,724
   
$2,540,512
   
$2,605,628
   
$2,604,110
   
$14,467
 
Gross Up Vacancy
 
0
   
0
   
0
   
175,090
   
973
 
Gross Potential Rent
 
$1,219,724
   
$2,540,512
   
$2,605,628
   
$2,779,200
   
$15,440
 
Vacancy, Credit Loss & Concessions(2)
 
(51,950
 
(102,850
 
(104,650
 
(276,286
 
(1,535
Total Rent Revenue
 
$1,167,774
   
$2,437,662
   
$2,500,978
   
$2,502,914
   
$13,905
 
Other Revenue(3)
 
63,227
   
75,603
   
74,301
   
74,301
   
413
 
Effective Gross Income
 
$1,231,001
   
$2,513,265
   
$2,575,279
   
$2,577,215
   
$14,318
 
                               
Total Operating Expenses
 
$128,225
   
$777,313
   
$811,931
   
$877,734
   
$4,876
 
                               
Net Operating Income
 
$1,102,776
   
$1,735,952
   
$1,763,348
   
$1,699,482
   
$9,442
 
Capital Expenditures
 
0
   
0
   
0
   
45,000
   
250
 
Net Cash Flow
 
$1,102,776
   
$1,735,952
   
$1,763,348
   
$1,654,482
   
$9,192
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Vacancy, Credit Loss & Concessions represent 10.0% of Underwritten Gross Potential Rent.  As of February 28, 2014, the Ashford Apartments Property was 4.4% physically vacant.  The Ashford Apartments Property submarket exhibited a multifamily vacancy rate of 2.7% as of fourth quarter 2013 and the appraiser concluded a multifamily vacancy rate of 3.0%.
 
(3)
Other revenue includes pet fees, garbage collection and cleaning fees.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
123

 
 
COLLEGE TOWERS
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1
 
Loan Seller
 
GSMC
Location (City/State)
Kent, Ohio
 
Cut-off Date Principal Balance
 
$16,460,000
Property Type
Multifamily
 
Cut-off Date Principal Balance per Unit
$56,955.02
Size (Units)
289
 
Percentage of Initial Pool Balance
 
1.7%
Total Occupancy as of 2/18/2014
96.9%
 
Number of Related Mortgage Loans
 
None
Owned Occupancy as of 2/18/2014
96.9%
 
Type of Security
 
Fee Simple
Year Built / Latest Renovation
1968 / NAP
 
Mortgage Rate
 
4.5970%
Appraised Value
$22,700,000
 
Original Term to Maturity (Months)
 
120
     
Original Amortization Term (Months)
 
360
     
Original Interest Only Period (Months)
 
NAP
     
Borrower Sponsor(1)
Michael Priore and Daniel Siegel
         
Underwritten Revenues
$2,655,545
       
Underwritten Expenses
$1,215,172
 
Escrows
Underwritten Net Operating Income (NOI)
$1,440,373
   
Upfront
Monthly
Underwritten Net Cash Flow (NCF)
$1,340,878
 
Taxes
$0
$16,824
Cut-off Date LTV Ratio
72.5%
 
Insurance
$5,346
$2,673
Maturity Date LTV Ratio
58.8%
 
Replacement Reserves
$0
$8,291
DSCR Based on Underwritten NOI / NCF
1.42x / 1.32x
 
TI/LC
$0
$0
Debt Yield Based on Underwritten NOI / NCF
8.8% / 8.1%
 
Other(2)
$91,072
$0
 
Sources and Uses
Sources
$
%
Uses
$
%
Loan Amount
$16,460,000
100.0%
Principal Equity Distribution
 $8,712,375
    52.9%
     
Loan Payoff
   7,296,899
44.3
     
Closing Costs
      354,307
 2.2
     
Reserves
        96,418
     0.6
Total Sources
$16,460,000
100.0%
Total Uses
$16,460,000
 100.0%
 

 
(1)
Michael Priore and Daniel Siegel are the guarantors of the non-recourse carveouts under the College Towers Loan.
 
(2)
Other upfront reserve represents a deferred maintenance reserve of $91,072.
 
The following table presents certain information relating to the units and rent at the College Towers Property:
 
Unit Type
 
 
# of Units
 
 
Average SF per
Unit
 
 
Monthly Market Rent per Unit(1)
 
 
Monthly Actual
Rent per Unit
 
 
Underwritten
Monthly Rent per
Unit
 
 
Underwritten Rent
1 Bed / 1 Bath
 
  65
 
547
 
$557
 
$553
 
$553
 
  $431,699
2 Bed / 1 Bath
 
  54
 
840
 
$740
 
$710
 
$710
 
     460,210
2 Bed / 2 Bath
 
170
 
865
 
$840
 
$808
 
$808
 
  1,647,810
Total / Wtd. Avg.
 
289
 
789
 
$758
 
$732
 
$732
 
$2,539,718
 

 
(1)
Source: Appraisal.
 
The following table presents certain information relating to historical leasing at the College Towers Property:
 
Historical Leased %(1)
 
2011
 
 
2012
 
 
2013
97.6%
 
97.2%
 
95.7%
 

 
(1)
As provided by the borrower and which reflects average occupancy for each year.

The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
124

 
 
COLLEGE TOWERS
 
n
Operating History and Underwritten Net Cash Flow.  The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the College Towers Property:
 
Cash Flow Analysis(1)
   
 
2011
 
 
2012
 
 
2013
 
 
Underwritten
 
 
Underwritten
$ per Unit
Base Rent
 
$2,373,496
   
$2,417,919
   
$2,413,969
   
$2,478,818
   
$8,577
 
Gross Up Vacancy
 
0
   
0
   
0
   
60,900
   
211
 
Goss Potential Rent
 
$2,373,496
   
$2,417,919
   
$2,413,969
   
$2,539,718
   
$8,788
 
Vacancy, Credit Loss & Concessions
 
0
   
0
   
0
   
(126,986
 
(439
Total Rent Revenue
 
$2,373,496
   
$2,417,919
   
$2,413,969
   
$2,412,732
   
$8,349
 
Other Revenue(2)
 
196,345
   
212,169
   
222,812
   
242,812
   
840
 
Effective Gross Income
 
$2,569,841
   
$2,630,088
   
$2,636,782
   
$2,655,545
   
$9,189
 
                               
Total Operating Expenses
 
$1,308,031
   
$1,320,159
   
$1,304,069
   
$1,215,172
   
$4,205
 
                               
Net Operating Income
 
$1,261,809
   
$1,309,929
   
$1,332,712
   
$1,440,373
   
$4,984
 
Replacement Reserves
 
0
   
0
   
0
   
99,496
   
344
 
Net Cash Flow
 
$1,261,809
   
$1,309,929
   
$1,332,712
   
$1,340,878
   
$4,640
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Other revenue includes cable income, application fees, vending income, utility reimbursement, laundry income, and other miscellaneous revenues.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
125

 
 
SIMON OFFICE
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1
 
Loan Seller
 
SMF I
Location (City/State)
  Bloomfield Township, Michigan     
Cut-off Date Principal Balance
 
$16,182,138
Property Type
Mixed Use
 
Cut-off Date Principal Balance per SF
 
$277.46
Size (SF)
 58,322
 
Percentage of Initial Pool Balance
 
1.7%
Total Occupancy as of 4/14/2014
100.0%
 
Number of Related Mortgage Loans
 
None
Owned Occupancy as of 4/14/2014
100.0%
 
Type of Security
 
Fee Simple
Year Built / Latest Renovation
2012-2013 / NAP 
 
Mortgage Rate
 
4.8420%
Appraised Value
$21,650,000
 
Original Term to Maturity (Months)
 
120
     
Original Amortization Term (Months)
 
360
     
Original Interest Only Period (Months)
 
NAP
     
Borrower Sponsor(1)
 
Frank Simon
Underwritten Revenues
$1,960,580
       
Underwritten Expenses
$464,190
 
Escrows
Underwritten Net Operating Income (NOI)
$1,496,390
   
Upfront
Monthly
Underwritten Net Cash Flow (NCF)
$1,470,145
 
Taxes
$61,142
$15,286
Cut-off Date LTV Ratio
74.7%
 
Insurance
$3,166
$1,055
Maturity Date LTV Ratio
61.2%
 
Replacement Reserves
$0
$729
DSCR Based on Underwritten NOI / NCF
1.46x / 1.43x
 
TI/LC(2)
$0
$1,458
Debt Yield Based on Underwritten NOI / NCF
9.2% / 9.1%
 
Other(3)
$47,069
$0
 
Sources and Uses
Sources
$
%
Uses
$
%
Loan Amount
$16,200,000
100.0%
Loan Payoff
$14,743,023
91.0
%
     
Principal Equity Distribution
1,036,383
6.4
 
     
Closing Costs
309,217
1.9
 
     
Reserves
111,377
0.7
 
Total Sources
$16,200,000
100.0%
Total Uses
$16,200,000
100.0
%
 

 
(1)
Frank Simon is the guarantor of the non-recourse carveouts under the Simon Office Loan.
 
(2)
TI/LC reserves are capped at $87,480.
 
(3)
Other upfront reserves represent rent concessions associated with the First Fertility PC lease ($27,789) and the Sports Medicine Assoc. PLC lease ($19,280). First Fertility PC and Sports Medicine Assoc. PLC are in occupancy, paying rent and open for operations in their respective spaces.
 
The following table presents certain information relating to the tenants at the Simon Office Property:
 
Tenants Based on Underwritten Base Rent

 
Tenant Name
 
 
Credit Rating (Fitch/MIS/S&P)(1)
 
 
Tenant
GLA
 
 
% of
GLA
 
 
UW Base
Rent
 
% of
Total
UW
Base
Rent
 
 
UW Base
Rent
$ per SF
 
 
Lease Expiration
 
 
Renewal / Extension Options
Simon PLC
 
NR / NR / NR
 
15,216
   
26.1%
   
 $471,696
   
27.1%
   
 $31.00
   
5/31/2029
 
1, 5-year option
Eddie Merlot’s
 
NR / NR / NR
 
 12,296
   
21.1
   
385,000
   
22.1
   
31.31
   
4/30/2028
 
3, 5-year options
First Fertility PC
 
NR / NR / NR
 
12,126
   
20.8
   
321,339
   
18.4
   
26.50
   
4/30/2024
 
2, 5-year options
Roland Berger Strategy Consultants
 
NR / NR / NR
 
7,560
   
13.0
   
238,140
   
13.7
   
31.50
   
8/31/2022
 
5, 6-year options
Sports Medicine Assoc. PLC
 
NR / NR / NR
 
7,011
   
12.0
   
217,341
   
12.5
   
31.00
   
12/31/2023
 
2, 5-year options
Level One Bank(2)
 
NR / NR / NR
 
4,113
   
7.1
   
110,000
   
6.3
   
26.74
   
11/30/2031
 
2, 5-year options
Largest Tenants
     
58,322
   
100.0%
   
$1,743,516
   
100.0%
   
$29.89
         
Vacant
     
0
   
0.0
   
0
   
0.0
   
0.00
         
Total / Wtd. Avg. All Owned Tenants
     
58,322
   
100.0%
   
$1,743,516
   
100.0%
   
$29.89
         
 

 
(1)
Certain ratings are those of the parent company whether or not the parent guarantees the lease.
 
(2)
Level One Bank is a ground lease tenant.

The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
126

 
 
SIMON OFFICE
 
The following table presents the lease rollover schedule at the Simon Office Property, based on initial lease expiration dates:
 
Lease Expiration Schedule(1)
 
Year Ending
December 31,
 
 
Expiring Owned
GLA
 
 
% of Owned
GLA
 
 
Cumulative % of Owned GLA
 
 
UW
Base Rent
 
 
% of Total UW
Base Rent
 
 
UW Base Rent
$ per SF
 
 
# of Expiring
Tenants
MTM
 
0
   
0.0
%
 
0.0
%
 
$0
   
0.0
%
 
$0.00
   
0
2014
 
0
   
0.0
   
0.0
%
 
0
   
0.0
   
0.00
   
0
2015
 
0
   
0.0
   
0.0
%
 
0
   
0.0
   
0.00
   
0
2016
 
0
   
0.0
   
0.0
%
 
0
   
0.0
   
0.00
   
0
2017
 
0
   
0.0
   
0.0
%
 
0
   
0.0
   
0.00
   
0
2018
 
0
   
0.0
   
0.0
%
 
0
   
0.0
   
0.00
   
0
2019
 
0
   
0.0
   
0.0
%
 
0
   
0.0
   
0.00
   
0
2020
 
0
   
0.0
   
0.0
%
 
0
   
0.0
   
0.00
   
0
2021
 
0
   
0.0
   
0.0
%
 
0
   
0.0
   
0.00
   
0
2022
 
7,560
   
13.0
   
13.0
%
 
238,140
   
13.7
   
31.50
   
1
2023
 
7,011
   
12.0
   
25.0
%
 
217,341
   
12.5
   
31.00
   
1
2024
 
12,126
   
20.8
   
45.8
%
 
321,339
   
18.4
   
26.50
   
1
2025 & Thereafter
 
31,625
   
54.2
   
100.0
%
 
966,696
   
55.4
   
30.57
   
3
Vacant
 
0
   
0.0
   
100.0
%
 
0
   
0.0
   
0.00  
   
0
Total / Wtd. Avg.
 
58,322
   
100.0
%
       
$1,743,516
   
100.0
%
 
$29.89
   
6
 

 
(1)
Calculated based on approximate square footage occupied by each Owned Tenant.
 
n
Operating History and Underwritten Net Cash Flow. The following table presents certain information relating to the Underwritten Net Cash Flow at the Simon Office Property:
 
Cash Flow Analysis(1)
   
 
Underwritten
 
 
Underwritten
$ per SF
Base Rent(2)
 
$1,743,516
   
$29.89
 
Overage Rent
 
0
   
0.00
 
Gross Up Vacancy
 
0
   
0.00
 
Total Rent
 
$1,743,516
   
$29.89
 
Total Reimbursables
 
299,685
   
5.14
 
Other Income(3)
 
49,200
   
0.84
 
Less Vacancy & Credit Loss
 
(131,821
 
(2.26
Effective Gross Income
 
$1,960,580
   
$33.62
 
             
Total Operating Expenses
 
$464,190
   
$7.96
 
             
Net Operating Income
 
$1,496,390
   
$25.66
 
TI/LC
 
17,497
   
0.30
 
Capital Expenditures
 
8,748
   
0.15
 
Net Cash Flow
 
$1,470,145
   
$25.21
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, lease cancellation income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Underwritten Base Rent based on the in place rent roll dated 4/14/2014.
 
(3)
Includes parking and storage income.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
127

 
 
AMERICAN HERITAGE
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1
 
Loan Seller
SMF I
Location (City/State)
Gallup, New Mexico
 
Cut-off Date Principal Balance
$15,250,000
Property Type
Retail
 
Cut-off Date Principal Balance per SF
$76.67
Size (SF)
198,897
 
Percentage of Initial Pool Balance
1.6%
Total Occupancy as of 4/30/2014
98.6%
 
Number of Related Mortgage Loans
None
Owned Occupancy as of 4/30/2014
98.6%
 
Type of Security
Leasehold
Year Built / Latest Renovation
1979 / 2013
 
Mortgage Rate
4.5470%
Appraised Value
$21,700,000
 
Original Term to Maturity (Months)
120
     
Original Amortization Term (Months)
360
     
Original Interest Only Period (Months)
12
     
Borrower Sponsor(1)
Hanina Mathalon, Moussa Shaaya and Houshang Shabani
Underwritten Revenues
$2,241,850
       
Underwritten Expenses
$684,417
 
Escrows
Underwritten Net Operating Income (NOI)
$1,557,434
   
Upfront
Monthly
Underwritten Net Cash Flow (NCF)
$1,417,658
 
Taxes
$39,133
$13,044
Cut-off Date LTV Ratio
70.3%
 
Insurance
$15,100
$3,020
Maturity Date LTV Ratio
58.5%
 
Replacement Reserves
$0
$3,315
DSCR Based on Underwritten NOI / NCF
1.67x / 1.52x
 
TI/LC(2)
$0
$8,333
Debt Yield Based on Underwritten NOI / NCF
10.2% / 9.3%
 
Other(3)
$49,907
$0
 
Sources and Uses  
Sources
$
%
Uses
$
%  
 
Loan Amount
$15,250,000
100.0%
Loan Payoff
$12,679,541
83.1
     
Principal Equity Distribution
2,230,203
14.6
 
     
Closing Costs
236,116
1.5
 
     
Reserves
104,140
0.7
 
Total Sources
$15,250,000
100.0%
Total Uses
$15,250,000
100.0
 

 
(1)
Hanina Mathalon, Moussa Shaaya and Houshang Shabani are the guarantors of the non-recourse carveouts under the American Heritage Loan.
 
(2)
TI/LC reserves are capped at $400,000.
 
(3)
Other upfront reserves represent ground rent ($28,813) and deferred maintenance ($21,094).
 
The following table presents certain information relating to the anchor tenants (of which, certain tenants may have co-tenancy provisions) at the American Heritage Property:
 
Tenant Name
 
Credit Rating
(Fitch/MIS/S&P)(1)
 
Tenant GLA
 
% of
Total
GLA
 
Mortgage
Loan
Collateral Interest
 
Total Rent
 
Total
Rent $
per SF
 
Owned
Anchor
Tenant
Lease Expiration
 
Tenant
Sales $
per SF (2)
 
Occupancy
Cost
 
Renewal / Extension Options
Anchors
                                                 
Safeway(3)
 
BBB- / Baa3 / BBB
 
54,000
   
27.1
%
 
Yes
 
$259,203
   
$4.80
   
3/31/2019
 
NA
 
NA
   
5, 5-year options
Total Anchors
     
54,000
   
27.1
%
                                 
                                                   
Jr. Anchors
                                                 
Big Lots
 
NR / NR / BBB-
 
27,376
   
13.8
%
 
Yes
 
$197,321
   
$7.21
   
1/31/2016
 
$118
 
6.1
%
 
2, 5-year options
Pep Boys
 
NR / NR / B
 
24,809
   
12.5
   
Yes
 
$251,647
   
$10.14
   
1/31/2020
 
$154
 
6.6
%
 
2, 10-year options
Fashion Mart
 
NR / NR / NR
 
15,000
   
7.5
   
Yes
 
$225,611
   
$15.04
   
6/30/2021
 
NA
 
NA
   
1, 5-year option
Family Dollar
 
NR / Baa3 / BBB-
 
14,576
   
7.3
   
Yes
 
$142,970
   
$9.81
   
12/31/2018
 
$240
 
4.1
%
 
4, 5-year options
Boot Barn
 
NR / NR / NR
 
12,000
   
6.0
   
Yes
 
$119,649
   
$9.97
   
10/31/2018
 
$143
 
7.0
%
 
NA
Total Jr. Anchors
     
93,761
   
47.1
%
                                 
                                                   
Occupied In-line(4)
     
31,227
   
15.7
%
     
$539,913
   
$17.29
                   
Occupied Outparcel/Other(3)
 
17,109
   
8.6
%
     
$540,382
   
$31.58
                   
Vacant Spaces
     
2,800
   
1.4
%
     
$0
   
$0.00
                   
Total Owned SF
     
198,897
   
 100.0
%
                                 
Total SF
     
198,897
   
100.0
%
                                 


 
(1)
Certain ratings are those of the parent company, whether or not the parent guarantees the lease.
 
(2)
Big Lots and Boot Barn sales are as February 28, 2014. Pep Boys sales are as of September 30, 2013. Family Dollar sales are as of December 31, 2013.
 
(3)
Safeway (54,000 SF) and McDonald’s (3,600 SF) are on sub-ground leases.
 
(4)
Tattoo Salon currently occupies 1,200 SF at the property but does not commence base rent payments until March 2015. We cannot assure you that this tenant will commence base rent payments as expected or at all.

The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
128

 
 
AMERICAN HERITAGE
 
The following table presents certain information relating to the major tenants (of which, certain tenants may have co-tenancy provisions) at the American Heritage Property:
 
Ten Largest Owned Tenants Based On Underwritten Base Rent

Tenant Name
 
Credit Rating
(Fitch/MIS/S&P)(1)
 
Tenant
GLA
 
% of
GLA
 
UW Base
Rent
 
% of Total
UW Base
Rent
 
UW Base
Rent $ per
SF
 
Lease Expiration
 
Tenant
Sales
$ per SF (2)
 
Occupancy Cost
 
Renewal / Extension Options
Pep Boys
 
NR / NR / B
 
24,809
   
12.5
%
 
$225,000
   
12.3
%
 
$9.07
   
1/31/2020
 
$154
 
6.6
%
 
2, 10-year options
Fashion Mart
 
NR / NR / NR
 
15,000
   
7.5
   
182,400
   
10.0
   
12.16
   
6/30/2021
 
NA
 
NA
   
1, 5-year option
Big Lots
 
NR / NR / BBB-
 
27,376
   
13.8
   
154,000
   
8.4
   
5.63
   
1/31/2016
 
$118
 
6.1
%
 
2, 5-year options
Sizzler Restaurants
 
NR / NR / NR
 
4,700
   
2.4
   
145,128
   
8.0
   
30.88
   
4/30/2021
 
NA
 
NA
   
NA
Giant
 
NR / NR / NR
 
600
   
0.3
   
135,624
   
7.4
   
226.04
   
6/30/2016
 
NA
 
NA
   
3, 5-year options
Family Dollar
 
NR / Baa3 / BBB-
 
14,576
   
7.3
   
110,000
   
6.0
   
7.55
   
12/31/2018
 
$240
 
4.1
%
 
4, 5-year options
Safeway(3)
 
BBB- / Baa3 / BBB
 
54,000
   
27.1
   
106,587
   
5.8
   
1.97
   
3/31/2019
 
NA
 
NA
   
5, 5-year options
Big 5
 
NR / NR / NR
 
8,407
   
4.2
   
95,508
   
5.2
   
11.36
   
11/17/2018
 
NA
 
NA
   
4, 5-year options
Boot Barn
 
NR / NR / NR
 
12,000
   
6.0
   
91,476
   
5.0
   
7.62
   
10/31/2018
 
$143
 
7.0
%
 
NA
Gallup Children’s Dentistry
 
NR / NR / NR
 
5,320 
   
2.7
   
69,160
   
3.8
   
13.00  
   
3/31/2018
 
NA
 
NA
   
3, 5-year options
Ten Largest Owned Tenants
 
166,788
   
83.9
%
 
$1,314,884
   
72.1
%
 
$7.88
                   
Remaining Owned Tenants(3)(4)
 
29,309
   
14.7
   
508,689
   
27.9
   
17.36
                   
Vacant Spaces (Owned Space)
 
2,800 
   
1.4
   
0
   
0.0
   
0.00  
                   
Total / Wtd. Avg. All Owned Tenants
 
198,897 
   
100.0
%
 
$1,823,573
   
100.0
%
 
$9.30  
                   
 

 
(1)
Certain ratings are those of the parent company whether or not the parent guarantees the lease.
 
(2)
Big Lots and Boot Barn sales are as February 28, 2014. Pep Boys sales are as of September 30, 2013. Family Dollar sales are as of December 31, 2013.
 
(3)
Safeway (54,000 SF) and McDonald’s (3,600 SF) are on sub-ground leases.
 
(4)
Tattoo Salon currently occupies 1,200 SF at the property but does not commence base rent payments until March 2015. We cannot assure you that this tenant will commence base rent payments as expected or at all.
 
The following table presents certain information relating to the lease rollover schedule at the American Heritage Property, based on initial lease expiration dates:
 
Lease Expiration Schedule(1)

Year Ending
December 31,
 
Expiring
Owned GLA
 
% of Owned
GLA
 
Cumulative % of Owned GLA
 
UW Base Rent
 
% of Total UW
Base Rent
 
UW Base Rent
$ per SF
 
# of Expiring Tenants
MTM
 
0
   
0.0
%
 
0.0
%
 
$0
   
0.0
%
 
$0.00
   
0
2014
 
3,500
   
1.8
   
1.8
%
 
33,090
   
1.8
   
9.45
   
1
2015
 
0
   
0.0
   
1.8
%
 
0
   
0.0
   
0.00
   
0
2016
 
33,745
   
17.0
   
18.7
%
 
402,066
   
22.0
   
11.91
   
5
2017
 
2,500
   
1.3
   
20.0
%
 
40,860
   
2.2
   
16.34
   
2
2018
 
45,503
   
22.9
   
42.9
%
 
445,077
   
24.4
   
9.78
   
6
2019
 
59,600
   
30.0
   
72.8
%
 
199,767
   
11.0
   
3.35
   
3
2020
 
24,809
   
12.5
   
85.3
%
 
225,000
   
12.3
   
9.07
   
1
2021
 
22,500
   
11.3
   
96.6
%
 
389,441
   
21.4
   
17.31
   
3
2022
 
1,600
   
0.8
   
97.4
%
 
28,272
   
1.6
   
17.67
   
1
2023
 
2,340
   
1.2
   
98.6
%
 
60,000
   
3.3
   
25.64
   
1
2024
 
0
   
0.0
   
98.6
%
 
0
   
0.0
   
0.00
   
0
2025 & Thereafter
 
0
   
0.0
   
98.6
%
 
0
   
0.0
   
0.00
   
0
Vacant
 
2,800 
   
1.4
   
100.0
%
 
   
0.0
   
0.00 
   
0
Total / Wtd. Avg.
 
198,897
   
100.0
%
       
$1,823,573
   
100.0
%
 
$9.30
   
23
 

 
(1)
Calculated based on approximate square footage occupied by each Owned Tenant.
 
The following table presents certain information relating to historical leasing at American Heritage Property:
 
Historical Leased %(1)
 
2011
 
 
2012
 
 
2013
98.5%
 
96.7%
 
98.0%
 

 
(1)
As provided by the borrower and represents occupancy as of December 31, for the indicated year.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
129

 
 
AMERICAN HERITAGE
 
n
Operating History and Underwritten Net Cash Flow. The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the American Heritage Property:
 
Cash Flow Analysis(1)

   
2011
 
2012
 
2013
 
TTM 4/30/2014
 
Underwritten(2)
 
Underwritten
$ per SF
Base Rent
 
$1,667,733
   
$1,644,762
   
$1,697,163
   
$1,742,943
   
$1,823,573
   
$9.17
 
Overage Rent
 
12,364
   
40,664
   
28,702
   
25,860
   
26,937
   
0.14
 
Gross Up Vacancy
 
0
   
0
   
0
   
0
   
47,600
   
0.24
 
Total Rent
 
$1,680,096
   
$1,685,426
   
$1,725,865
   
$1,768,803
   
$1,898,110
   
$9.54
 
Total Reimbursables
 
449,929
   
376,426
   
423,630
   
453,123
   
453,123
   
2.28
 
Other Income(3)
 
4,511
   
352
   
7,825
   
8,610
   
8,610
   
0.04
 
Vacancy & Credit Loss
 
0
   
0
   
0
   
0
   
(117,992
)
 
(0.59
)
Effective Gross Income
 
$2,134,536
   
$2,062,203
   
$2,157,320
   
$2,250,536
   
$2,241,850
   
$11.27
 
                                     
Total Operating Expenses
 
$523,660
   
$619,171
   
$637,274
   
$638,072
   
$684,417
   
$3.44
 
                                     
Net Operating Income
 
$1,610,877
   
$1,443,032
   
$1,520,046
   
$1,612,464
   
$1,557,434
   
$7.83
 
TI/LC
 
0
   
0
   
0
   
0
   
99,996
   
0.50
 
Capital Expenditures
 
0
   
0
   
0
   
0
   
39,779
   
0.20
 
Net Cash Flow
 
$1,610,877
   
$1,443,032
   
$1,520,046
   
$1,612,464
   
$1,417,658
   
$7.13
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, lease cancellation income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Underwritten cash flow based on the April 30, 2014 rent roll with rent steps through October 1, 2014.
 
(3)
Other income includes late fees and miscellaneous income.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
130

 
 
(THIS PAGE INTENTIONALLY LEFT BLANK)
 
 
131

 
 
BLUEGRASS CORPORATE CENTER
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1   
 
Loan Seller
 
CCRE   
Location (City/State)
Lexington, Kentucky   
 
Cut-off Date Principal Balance
 
$14,500,000   
Property Type
Office   
 
Cut-off Date Principal Balance per SF
 
$59.96   
Size (SF)
241,826   
 
Percentage of Initial Pool Balance
 
1.5%   
Total Occupancy as of 12/31/2013
78.4%   
 
Number of Related Mortgage Loans
 
None   
Owned Occupancy as of 12/31/2013
78.4%   
 
Type of Security
 
Fee Simple   
Year Built / Latest Renovation
1982 / 2012-2013   
 
Mortgage Rate
 
4.6500%   
Appraised Value
$19,500,000   
 
Original Term to Maturity (Months)
 
120   
     
Original Amortization Term (Months)
 
360   
     
Original Interest Only Period (Months)
 
12   
     
Borrower Sponsor(1)
Donald Woodford Webb, Jr.   
Underwritten Revenues
$3,258,483   
       
Underwritten Expenses
$1,573,518   
 
Escrows
Underwritten Net Operating Income (NOI)
$1,684,965   
   
Upfront
Monthly   
Underwritten Net Cash Flow (NCF)
$1,396,600   
 
Taxes
$66,000
$11,000   
Cut-off Date LTV Ratio
74.4%   
 
Insurance
$8,325
$2,775   
Maturity Date LTV Ratio
57.7%   
 
Replacement Reserves
$0
$4,030   
DSCR Based on Underwritten NOI / NCF
1.88x / 1.56x   
 
TI/LC(2)
$0
$20,000   
Debt Yield Based on Underwritten NOI / NCF
11.6% / 9.6%   
 
Other(3)
$725,796
$0   
 
Sources and Uses
Sources
$
 
%
 
Uses
 
$
 
   %
Loan Amount
$14,500,000
 
80.3
 
Purchase Price(4)
 
$17,000,000
 
94.1
Principal Equity Contribution
3,556,550
 
19.7
   
Reserves
 
800,121
 
4.4
 
           
Closing Costs
 
256,429
 
1.4
 
Total Sources
$18,056,550
 
100.0
 
Total Uses
 
$18,056,550
 
100.0
 

 
(1)
Donald Woodford Webb, Jr. is the guarantor of the non-recourse carveouts under the Bluegrass Corporate Center Loan.
 
(2)
The TI/LC reserve is capped at $840,000 subject to at least 88.0% of the total SF of the Bluegrass Corporate Center Property occupied by tenants paying full unabated rent.  The borrower is required to deposit an additional $17,500 monthly on each of the first 12 due dates.
 
(3)
The borrower deposited an upfront reserve of $594,056 for elevator refurbishment and $131,740 for oustanding tenant improvements associated with recent leasing.
 
(4)
The $17,000,000 purchase price represents the borrower sponsor’s acquisition of the controlling equity interest in the ownership of the Bluegrass Corporate Center Property, of which the borrower sponsor previously held a non-controlling interest.
 
The following table presents certain information relating to the major tenants (of which, certain tenants may have co-tenancy provisions) at the Bluegrass Corporate Center Property:
 
Ten Largest Owned Tenants Based On Underwritten Base Rent
 
Tenant Name
 
Credit Rating
(Fitch/MIS/S&P)(1)
 
Tenant
GLA
 
% of
GLA
 
UW Base
Rent
 
% of Total
UW Base
Rent
 
UW Base
Rent
$ per SF
 
Lease
Expiration
 
Renewal /
Extension
Options
Belcan Corporation(2)
 
NR / NR / NR
 
29,652
   
12.3
 
$452,193
   
14.5
 
$15.25
   
4/30/2019
 
2, 5-year options
United Healthcare(3)
 
NR / NR / NR
 
27,081
   
11.2
   
420,659
   
13.4
   
15.53
   
1/31/2018
 
2,3-year options
Sturgill Tuner Barker & Moloney
 
NR / NR / NR
 
18,672
   
7.7
   
334,976
   
10.7
   
17.94
   
12/31/2018
 
2, 5-year options
Ward Hocker & Thornton(4)
 
NR / NR / NR
 
15,147
   
6.3
   
289,728
   
9.3
   
19.13
   
3/31/2019
 
1, 5-year option
Bowles Rice McDavid Graf & Love
 
NR / NR / NR
 
13,897
   
5.7
   
274,466
   
8.8
   
19.75
   
6/30/2019
 
2, 5-year options
Mountjoy Chilton Medley, LLP(5)
 
NR / NR / NR
 
8,057
   
3.3
   
136,969
   
4.4
   
17.00
   
11/30/2017
 
2, 5-year options
ARCORP, LLC
 
NR / NR / NR
 
7,643
   
3.2
   
129,931
   
4.2
   
17.00
   
4/30/2024
 
2, 5-year options
QX Networking & Design(6)
 
NR / NR / NR
 
7,194
   
3.0
   
123,521
   
3.9
   
17.17
   
8/31/2021
 
NA
Premier Executive Centers, Inc.
 
NR / NR / NR
 
9,217
   
3.8
   
119,821
   
3.8
   
13.00
   
8/31/2019
 
1, 3-year option
Xspedious
 
NR / NR / NR
 
5,575
   
2.3
   
116,406
   
3.7
   
20.88
   
7/14/2019
 
1,5-year option
Ten Largest Owned Tenants
 
142,135
   
58.8
 
$2,398,669
   
76.7
 
$16.88
         
Remaining Owned Tenants
 
47,512
   
19.6
   
729,039
   
23.3
   
15.34
         
Vacant Spaces (Owned Space)
 
52,179
   
21.6
   
0
   
0.0
   
0.00
         
Total / Wtd. Avg. All Owned Tenants
 
241,826
   
100.0
 
$3,127,708
   
100.0
 
$16.49
         
 

(1)
Certain ratings are those of the parent company whether or not the parent guarantees the lease.
(2)
Belcan Corporation has a one-time option to terminate its lease effective May 1, 2017 with prior notice by November 30, 2016 and payment of a $137,593 termination fee.
(3)
United Healthcare has 2 one-time options to terminate its lease effective August 1, 2015 and August 1, 2016, respectively, with six months prior notice and payment of any remaining unamortized tenant improvements and leasing commissions.
(4)
Approximately 321 SF of the 15,147 SF leased by Ward Hocker & Thornton is occupied on a month to month basis.
(5)
Mountjoy Chilton Medley, LLP has a one-time option to reduce its premises effective November 1, 2015 with six months prior notice and payment of any unamortized tenant improvements and leasing commissions.  Additionally, Mountjoy Chilton Medley, LLP may terminate its lease at any time after November 1, 2017 with nine months prior notice.
(6)
1,827 SF of QX Networking & Design’s GLA expires August 31, 2017 and the remaining 5,322 SF expires August 31, 2021.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
132

 
 
BLUEGRASS CORPORATE CENTER
 
The following table presents certain information relating to the lease rollover schedule at the Bluegrass Corporate Center Property, based on initial lease expiration dates:
 
Lease Expiration Schedule(1)
 
Year Ending
December 31,
 
Expiring
Owned GLA
 
% of
Owned GLA
 
Cumulative % of
Owned GLA
 
UW Base Rent
 
% of Total UW
Base Rent
 
UW Base Rent
$ per SF
 
# of Expiring Tenants
MTM
 
3,595
   
1.5
 
1.5%
   
$25,035
   
0.8
 
$6.96
   
11
 
2014
 
2,559
   
1.1
   
2.5%
   
44,783
   
1.4
   
17.50
   
1
 
2015
 
6,425
   
2.7
   
5.2%
   
103,599
   
3.3
   
16.12
   
3
 
2016
 
7,057
   
2.9
   
8.1%
   
110,024
   
3.5
   
15.59
   
3
 
2017
 
22,476
   
9.3
   
17.4%
   
379,195
   
12.1
   
16.87
   
6
 
2018
 
50,996
   
21.1
   
38.5%
   
853,102
   
27.3
   
16.73
   
3
 
2019
 
78,333
   
32.4
   
70.9%
   
1,335,453
   
42.7
   
17.05
   
6
 
2020
 
3,818
   
1.6
   
72.5%
   
55,208
   
1.8
   
14.46
   
1
 
2021
 
5,322
   
2.2
   
74.7%
   
91,379
   
2.9
   
17.17
   
1
 
2022
 
0
   
0.0
   
74.7%
   
0
   
0.0
   
0.00
   
0
 
2023
 
0
   
0.0
   
74.7%
   
0
   
0.0
   
0.00
   
0
 
2024
 
7,643
   
3.2
   
77.8%
   
129,931
   
4.2
   
17.00
   
1
 
2025 & Thereafter
 
1,423
   
0.6
   
78.4%
   
0
   
0.0
   
0.00
   
1
 
Vacant
 
52,179
   
21.6
   
100.0%
   
0
   
0.0
   
0.00
   
0
 
Total / Wtd. Avg.
 
241,826
   
100.0
       
$3,127,708
   
100.0
 
$16.49
   
37
 
 

 
(1)
Calculated based on approximate square footage occupied by each Owned Tenant.
 
The following table presents certain information relating to historical leasing at the Bluegrass Corporate Center Property:
 
Historical Leased %(1)(2)
 
2011
 
 
2012
 
 
2013
66.0%
 
74.7%
 
78.4%
 

 
(1)
As provided by the borrower and represents occupancy as of December 31, for the specified year.
 
(2)
The Bluegrass Corporate Center Property has experienced an increase in occupancy as a result of ongoing renovations that began in 2012.  The appraiser’s concluded stabilized occupancy is 90.0%.
 
n
Operating History and Underwritten Net Cash Flow.  The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the Bluegrass Corporate Center Property:
 
Cash Flow Analysis(1)
   
2012
 
2013
 
Underwritten(2)
 
Underwritten
$ per SF
Base Rent
 
$2,789,813
   
$2,986,878
   
$3,127,708
   
$12.93
 
Other Rental Revenue(3)
 
0
   
0
   
20,160
   
0.08
 
Gross Up Vacancy
 
0
   
0
   
860,954
   
3.56
 
Total Rent
 
$2,789,813
   
$2,986,878
   
$4,008,822
   
$16.58
 
Total Reimbursables
 
0
   
0
   
110,615
   
0.46
 
Vacancy & Credit Loss(4)
 
0
   
0
   
(860,953
 
(3.56
Effective Gross Income
 
$2,789,813
   
$2,986,878
   
$3,258,483
   
$13.47
 
                         
Total Operating Expenses
 
$1,567,297
   
$1,524,242
   
$1,573,518
   
$6.51
 
                         
Net Operating Income
 
$1,222,516
   
$1,462,636
   
$1,684,965
   
$6.97
 
TI/LC
 
0
   
0
   
240,000
   
0.99
 
Capital Expenditures
 
0
   
0
   
48,365
   
0.20
 
Net Cash Flow
 
$1,222,516
   
$1,462,636
   
$1,396,600
   
$5.78
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, lease cancellation income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Underwritten cash flow based on the December 31, 2013 rent roll with contractual rent steps through February 2015.
 
(3)
Other rental revenue includes parking income, late charges and antenna rent.
 
(4)
Vacancy & Credit Loss represents an in-place economic vacancy of 21.0% of Total Rent and Total Reimbursables.  The Bluegrass Corporate Center Property was 21.6% physically vacant as of December 31, 2013 and the appraiser concluded a stabilized vacancy of 10.0%.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.

 
 
133

 
 
ONE NEW HAMPSHIRE
 
Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1
 
Loan Seller
CGMRC
Location (City/State)
Portsmouth, New Hampshire
 
Cut-off Date Principal Balance
$14,084,084
Property Type
Office
 
Cut-off Date Principal Balance per SF
$130.72
Size (SF)
 107,746
 
Percentage of Initial Pool Balance
1.5%
Total Occupancy as of 4/2/2014
93.8%
 
Number of Related Mortgage Loans
None
Owned Occupancy as of 4/2/2014
93.8%
 
Type of Security
Leasehold
Year Built / Latest Renovation
2001 / NAP
 
Mortgage Rate
4.7400%
Appraised Value
$19,500,000
 
Original Term to Maturity (Months)
120
     
Original Amortization Term (Months)
360
      Original Interest Only Term (Months)   NAP   
      Borrower Sponsor(1)  Daniel L. Plummer and Cyrus W. Gregg   
Underwritten Revenues
$2,361,009
   
Underwritten Expenses
$949,414
 
Escrows
Underwritten Net Operating Income (NOI)
$1,411,595
   
Upfront  
Monthly
Underwritten Net Cash Flow (NCF)
$1,236,145
 
Taxes
$23,593  
$11,796
Cut-off Date LTV Ratio
72.2%
 
Insurance
$17,379  
$1,448
Maturity Date LTV Ratio
58.9%
 
Replacement Reserves
$0  
$1,796
DSCR Based on Underwritten NOI / NCF
1.60x / 1.40x
 
TI/LC(2)
$0  
$8,799
Debt Yield Based on Underwritten NOI / NCF
10.0% / 8.8%
 
Other(3)
$59,107  
$0
 
Sources and Uses
Sources
$
 
%
 
Uses
$
 
          %
Loan Amount
$14,100,000
 
100.0
 
Loan Payoff
$11,174,252
 
79.3
           
Principal Equity Distribution
2,572,438
 
18.2
 
           
Closing Costs
253,231
 
1.8
 
           
Reserves
100,078
 
0.7
 
Total Sources
$14,100,000
 
100.0
 
Total Uses
$14,100,000
 
100.0
 

 
(1)
Daniel L. Plummer and Cyrus W. Gregg are the guarantors of the non-recourse carveouts under the One New Hampshire Loan.
 
(2)
TI/LC reserves are capped at $323,238.
 
(3)
Other upfront reserves include a Pierce Atwood reserve ($40,000) that will be used for amenities improvements in the space currently occupied by the Pierce Atwood tenant, a deferred maintenance reserve ($11,380) and a ground lease reserve ($7,727).
 
The following table presents certain information relating to the major tenants at the One New Hampshire Property:
 
Ten Largest Tenants Based on Underwritten Base Rent
 
Tenant Name
 
 
Credit Rating (Fitch/MIS/S&P)(1)
 
 
Tenant GLA
 
 
% of GLA
 
 
UW Base
Rent
 
 
% of
Total UW
Base
Rent
 
 
UW Base
Rent
$ per SF
 
 
Lease Expiration
 
 
Renewal / Extension Options
Pierce Atwood
 
NR / NR / NR
 
17,237
   
16.0
 
$378,554
   
18.5
 
$21.96
   
4/30/2023
 
2, 5-year options
International Office
 
NR / NR / NR
 
18,337
   
17.0
   
368,574
   
18.0
   
20.10
   
1/31/2021
 
NA
Willis of NH, Inc.(2)
 
NR / NR / NR
 
17,029
   
15.8
   
256,767
   
12.5
   
15.08
   
6/30/2022
 
2, 5-year options
Wells Fargo Advisors, LLC(3)
 
AA- / A2 / A+
 
7,284
   
6.8
   
181,757
   
8.9
   
24.95
   
3/31/2019
 
3, 3-year options
Baycorp Holdings
 
NR / NR / NR
 
5,968
   
5.5
   
131,550
   
6.4
   
22.04
   
10/31/2015
 
NA
Cummings Lamont
 
NR / NR / NR
 
4,467
   
4.1
   
108,014
   
5.3
   
24.18
   
6/30/2020
 
NA
Data Risk, LLC
 
NR / NR / NR
 
3,525
   
3.3
   
88,125
   
4.3
   
25.00
   
4/30/2019
 
1, 5-year option
AMSEC
 
NR / NR / NR
 
6,150
   
5.7
   
79,950
   
3.9
   
13.00
   
6/30/2016
 
3, 1-year options
Two International GR
 
NR / NR / NR
 
2,883
   
2.7
   
66,309
   
3.2
   
23.00
   
5/31/2024
 
NA
Pease Gym Co., LLC
 
NR / NR / NR
 
2,044
   
1.9
   
51,100
   
2.5
   
25.00
   
2/28/2016
 
NA
Ten Largest Tenants
     
84,924
   
78.8
 
$1,710,700
   
83.5
 
$20.14
         
Remaining Tenants
     
16,131
   
15.0
   
337,495
   
16.5
   
20.92
         
Vacant
     
6,691
   
6.2
   
0
   
0.0
   
0.00
         
Total / Wtd. Avg. All Tenants
     
107,746
   
100.0
%  
$2,048,195
   
100.0
 
$20.27
         
 

 
(1)
Certain ratings are those of the parent company whether or not the parent guarantees the lease.
 
(2)
Willis of NH, Inc. has a one-time right to terminate its lease on June 30, 2017 with 12 months’ prior written notice and payment of a termination fee equal to five months’ rent and unamortized tenant improvements.
 
(3)
Wells Fargo has a one-time right to terminate its lease on March 31, 2017 with nine months’ prior written notice and payment of a $125,242.55 termination fee provided that there is no default by subtenant under sublease.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
134

 
 
ONE NEW HAMPSHIRE
 
The following table presents the lease rollover schedule at the One New Hampshire Property, based on initial lease expiration dates:
 
Lease Expiration Schedule(1)
 
Year Ending
December 31,
 
 
Expiring Owned
GLA
 
 
% of Owned
GLA
 
 
Cumulative % of Owned GLA
 
 
UW
Base Rent
 
 
% of Total UW
Base Rent
 
 
UW Base Rent
$ per SF
 
 
# of Expiring Tenants
MTM
 
0
   
0.0
 
0.0%
   
$0
   
0.0
 
$0.00
   
0
 
2014
 
0
   
0.0
   
0.0%
   
0
   
0.0
   
0.00
   
0
 
2015
 
9,011
   
8.4
   
8.4%
   
205,958
   
10.1
   
22.86
   
3
 
2016
 
9,436
   
8.8
   
17.1%
   
151,305
   
7.4
   
16.03
   
3
 
2017
 
5,257
   
4.9
   
22.0%
   
131,445
   
6.4
   
25.00
   
3
 
2018
 
1,602
   
1.5
   
23.5%
   
36,456
   
1.8
   
22.76
   
1
 
2019
 
10,809
   
10.0
   
33.5%
   
269,882
   
13.2
   
24.97
   
2
 
2020
 
4,467
   
4.1
   
37.7%
   
108,014
   
5.3
   
24.18
   
1
 
2021
 
18,337
   
17.0
   
54.7%
   
368,574
   
18.0
   
20.10
   
1
 
2022
 
18,745
   
17.4
   
72.1%
   
297,274
   
14.5
   
15.86
   
2
 
2023
 
18,758
   
17.4
   
89.5%
   
412,979
   
20.2
   
22.02
   
2
 
2024
 
2,883
   
2.7
   
92.2%
   
66,309
   
3.2
   
23.00
   
1
 
2025 & Thereafter
 
1,750
   
1.6
   
93.8%
   
0
   
0.0
   
0.00
   
1
 
Vacant
 
6,691
   
6.2
   
100.0%
   
0
   
0.0
   
0.00
   
0
 
Total / Wtd. Avg.
 
107,746
   
100.0
       
$2,048,195
   
100.0
 
$20.27
   
20
 
 

 
(1)
Calculated based on approximate square footage occupied by each owned tenant.
 
The following table presents certain information relating to historical leasing at the One New Hampshire Property:
 
Historical Leased %(1)
 
2011
 
 
2012
 
 
2013
 
 
As of
4/2/2014
87.4%
 
78.1%
 
90.7%
 
93.8%
 

 
(1)
As provided by the borrower and reflects occupancy as of December 31 for each year, unless otherwise indicated.
 
n
Operating History and Underwritten Net Cash Flow.  The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the One New Hampshire Property:
 
Cash Flow Analysis(1)
   
 
2011
 
 
2012
 
 
2013
 
 
TTM 3/31/2014
 
 
Underwritten
 
 
Underwritten
$ per SF
Base Rent
 
$2,141,816
   
$1,826,287
   
$1,666,916
   
$1,674,588
   
$1,999,656
   
$18.56
 
Gross Up Vacancy
 
0
   
0
   
0
   
0
   
160,584
   
1.49
 
Contractual Rent Steps(2)
 
45,527
   
20,100
   
6,808
   
2,810
   
48,540
   
0.45
 
Total Rent
 
$2,187,342
   
$1,846,387
   
$1,673,723
   
$1,677,398
   
$2,208,779
   
$20.50
 
Total Reimbursables
 
138,059
   
128,563
   
154,894
   
165,961
   
188,869
   
1.75
 
Other Income(3)
 
113,098
   
107,720
   
101,692
   
108,546
   
108,546
   
1.01
 
Parking Income
 
33,015
   
29,205
   
33,315
   
35,332
   
35,332
   
0.33
 
Vacancy & Credit Loss
 
0
   
0
   
0
   
0
   
(180,517
 
(1.68
Effective Gross Income
 
$2,471,514
   
$2,111,875
   
$1,963,624
   
$1,987,237
   
$2,361,009
   
$21.91
 
                                     
Real Estate Taxes
 
124,412
   
128,731
   
132,970
   
135,226
   
134,816
   
1.25
 
Insurance
 
14,851
   
15,126
   
17,448
   
17,742
   
16,551
   
0.15
 
Management Fee
 
85,499
   
77,126
   
71,832
   
70,636
   
82,635
   
0.77
 
Other Operating Expenses
 
711,569
   
643,992
   
705,010
   
708,229
   
715,411
   
6.64
 
Total Operating Expenses
 
$936,331
   
$864,975
   
$927,259
   
$931,834
   
$949,414
   
$8.81
 
                                     
Net Operating Income
 
$1,535,183
   
$1,246,900
   
$1,036,365
   
$1,055,404
   
$1,411,595
   
13.10
 
TI/LC
 
0
   
0
   
0
   
0
   
153,901
   
1.43
 
Replacement Reserves
 
0
   
0
   
0
   
0
   
21,549
   
0.20
 
Net Cash Flow
 
$1,535,183
   
$1,246,900
   
$1,036,365
   
$1,055,404
   
$1,236,145
   
$11.47
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, lease cancellation income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Underwritten cash flow based on contractual rents as of April 2, 2014 and contractual rent steps through May 1, 2015.
 
(3)
Other income includes electricity income, gym fee income and storage rent income.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
135

 
 
NITNEIL PORTFOLIO I - ALABAMA
 
Mortgaged Property Information
   
Mortgage Loan Information
 
Number of Mortgaged Properties
6
   
Loan Seller
 
GSMC
 
Location (City/State)
Various, Alabama
   
Cut-off Date Principal Balance
 
$13,200,000
 
Property Type
 Self Storage
   
Cut-off Date Principal Balance per SF
 
$49.04
 
Size (SF)
269,151
   
Percentage of Initial Pool Balance
 
1.4%
 
Total Occupancy as of 3/31/2014
85.9%
   
Number of Related Mortgage Loans(1)
 
2
 
Owned Occupancy as of 3/31/2014
85.9%
   
Type of Security
 
Fee Simple
 
Year Built / Latest Renovation
Various / NAP
   
Mortgage Rate
 
4.5900%
 
Appraised Value
$18,850,000
   
Original Term to Maturity
 
120
 
       
Original Amortization Term (Months)
 
360
 
       
Original Interest Only Period (Months)
 
60
 
        Borrower Sponsor(2)  NitNeil Partners, LLC  
               
Underwritten Revenues
$1,890,235
           
Underwritten Expenses
$646,134
   
Escrows
 
Underwritten Net Operating Income (NOI)
$1,244,101
     
Upfront
 
Monthly
 
Underwritten Net Cash Flow (NCF)
$1,214,087
   
Taxes
$31,601
 
$5,267
 
Cut-off Date LTV Ratio
70.0%
   
Insurance
$1,862
 
$1,862
 
Maturity Date LTV Ratio
64.2%
   
Replacement Reserves
$0
 
$2,500
 
DSCR Based on Underwritten NOI / NCF
1.53x / 1.50x
   
TI/LC
$0
 
$0
 
Debt Yield Based on Underwritten NOI / NCF
9.4% / 9.2%
   
Other
$0
 
$0
 
 
Sources and Uses  
Sources
$
%
 
Uses
$
 
%
Loan Amount
$13,200,000
100.0
 
Loan Payoff
$9,090,922
 
68.9
         
Principal Equity Distribution
3,753,159
 
28.4
 
         
Closing Costs
322,456
 
2.4
 
         
Reserves
33,464
 
0.3
 
Total Sources
$13,200,000
100.0
%  
Total Uses
$13,200,000
 
100.0
 

 
(1)
An indirect owner of the borrower is also an indirect owner of the borrower of the Nitneil Portfolio I – Georgia loan.
 
(2)
Val T. Sapra, founder of NitNeil Partners, LLC, is the guarantor of the non-recourse carveouts under the Nitneil Portfolio I – Alabama loan.
 
The following tables present certain information relating to the Nitneil Portfolio I - Alabama Properties:
 
Portfolio Summary(1)
 
Property Name
 
City
 
State
 
Allocated
Cut-off
Date Loan Amount
 
Total
Units
 
Total
GLA
 
Year Built / Renovated
 
Occupancy
 
Appraised
Value
 
UW NCF
Slaughter
 
Madison
 
AL
 
$2,801,061
 
391
   
49,800
   
1996 - 2013 / NAP
 
82.7%
 
$4,000,000
   
$252,028
 
County Line
 
Madison
 
AL
 
2,415,915
 
337
   
50,051
   
2006, 2013 / NAP
 
82.4%
 
3,450,000
   
197,439
 
Leeman
 
Huntsville
 
AL
 
2,380,902
 
297
   
41,400
   
1999 - 2009 / NAP
 
93.4%
 
3,400,000
   
244,936
 
Blake Bottom
 
Huntsville
 
AL
 
2,030,769
 
330
   
55,450
   
2002 - 2008 / NAP
 
81.7%
 
2,900,000
   
199,235
 
Oakwood
 
Huntsville
 
AL
 
1,890,716
 
279
   
35,100
   
1984 - 1986 / NAP
 
91.4%
 
2,700,000
   
178,120
 
Martin
 
Huntsville
 
AL
 
1,680,637
 
256
   
37,350
   
2002 / NAP
 
87.8%
 
2,400,000
   
142,329
 
Total / Wtd. Avg. Portfolio
         
$13,200,000
 
1,890
   
269,151
       
85.9%
 
$18,850,000
   
$1,214,087
 
 

 
(1)
As provided by the borrower and represents occupancy as of March 31, 2014.
 
Unit Mix(1)
Property Name
 
Total GLA
 
Total Units
 
Climate Controlled Units
 
Non-Climate Controlled Units
Slaughter
 
49,800
   
391
   
69
   
322
 
County Line
 
50,051
   
337
   
75
   
262
 
Leeman
 
41,400
   
297
   
99
   
198
 
Blake Bottom
 
55,450
   
330
   
0
   
330
 
Oakwood
 
35,100
   
279
   
0
   
279
 
Martin
 
37,350
   
256
   
67
   
189
 
Total
 
269,151
   
1,890
   
310
   
1,580
 
 

 
(1)
As provided by the borrower and represents unit mix as of March 31, 2014.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
136

 
 
NITNEIL PORTFOLIO I - ALABAMA
 
The following table presents certain information relating to historical leasing at the Nitneil Portfolio I – Alabama Properties:
 
Historical Leased %(1)
 
Property Name
 
 
2011
 
 
2012
 
 
2013
Slaughter
 
90.8%
 
93.0%
 
84.9%
County Line
 
89.0%
 
92.8%
 
82.0%
Leeman
 
86.8%
 
90.3%
 
90.9%
Blake Bottom
 
92.3%
 
87.3%
 
86.2%
Oakwood
 
86.5%
 
90.5%
 
95.2%
Martin
 
89.8%
 
89.8%
 
90.8%
Wtd. Avg. Occupancy
 
89.3%
 
90.6%
 
87.9%
 

 
(1)
As provided by the borrower and represents average occupancy for the 12-month period ended December 31, unless otherwise indicated.
 
Operating History and Underwritten Net Cash Flow. The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the Nitneil Portfolio I – Alabama Properties:
 
Cash Flow Analysis(1)
   
 
2011
 
 
2012
 
 
2013
 
 
TTM 3/31/2014
 
 
Underwritten
 
 
Underwritten
$ per SF
Base Rent
 
$1,674,474
   
$1,740,135
   
$1,836,714
   
$1,847,358
   
$1,967,778
   
$7.31
 
Gross Up Vacancy
 
0
   
0
   
0
   
0
   
373,302
   
1.39
 
Total Rent
 
$1,674,474
   
$1,740,135
   
$1,836,714
   
$1,847,358
   
$2,341,080
   
$8.70
 
Vacancy Loss
 
0
   
0
   
0
   
0
   
(373,302
 
(1.39
Concessions
 
0
   
0
   
0
   
0
   
(91,763
 
(0.34
Net Rent Revenue
 
$1,674,474
   
$1,740,135
   
$1,836,714
   
$1,847,358
   
$1,876,015
   
$6.97
 
Other Income(2)
 
(5,394
 
26,970
   
23,648
   
21,256
   
14,220
   
0.05
 
Effective Gross Income
 
$1,669,080
   
$1,767,105
   
$1,860,362
   
$1,868,614
   
$1,890,235
   
$7.02
 
                                     
Total Operating Expenses
 
$667,674
   
$666,234
   
$697,167
   
$695,623
   
$646,134
   
$2.40
 
                                     
Net Operating Income
 
$1,001,406
   
$1,100,870
   
$1,163,195
   
$1,172,992
   
$1,244,101
   
$4.62
 
Replacement Reserves
 
0
   
0
   
0
   
0
   
30,014
   
0.11
 
Net Cash Flow
 
$1,001,406
   
$1,100,870
   
$1,163,195
   
$1,172,992
   
$1,214,087
   
$4.51
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, lease cancellation income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Other Income consists of net insurance income and net merchandise income. It also includes billboard and cell tower income from the Slaughter property and billboard income from the Martin property.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
137

 
 
AVENTURA MEDICAL OFFICE & BANK
 
Mortgaged Property Information
   
Mortgage Loan Information
 
Number of Mortgaged Properties
1
   
Loan Seller
CCRE
 
Location (City/State)
Aventura, Florida
   
Cut-off Date Principal Balance
$12,635,451
 
Property Type
 Mixed Use
   
Cut-off Date Principal Balance per SF
$384.85
 
Size (SF)(1)(2)
32,832
   
Percentage of Initial Pool Balance
1.3%
 
Total Occupancy as of 4/1/2014(1)
90.6%
   
Number of Related Mortgage Loans
None
 
Owned Occupancy as of 4/1/2014(1)
90.6%
   
Type of Security(2)
Fee Simple
 
Year Built / Latest Renovation
1983, 2010 / NAP
   
Mortgage Rate
4.6580%
 
Appraised Value
$19,300,000
   
Original Term to Maturity (Months)
120
 
       
Original Amortization Term (Months)
360
 
       
Original Interest Only Period (Months)
NAP
 
       
Borrower Sponsor(3)
Arnold S. Wax
 
Underwritten Revenues
$1,699,688
           
Underwritten Expenses
$598,831
   
Escrows
 
Underwritten Net Operating Income (NOI)
$1,100,857
     
Upfront
Monthly
 
Underwritten Net Cash Flow (NCF)
$1,058,175
   
Taxes
$70,500
$23,500
 
Cut-off Date LTV Ratio
65.5%
   
Insurance
$25,785
$10,325
 
Maturity Date LTV Ratio
53.3%
   
Replacement Reserves(4)
$0
$821
 
DSCR Based on Underwritten NOI / NCF
1.41x / 1.35x
   
TI/LC
$45,000
$2,736
 
Debt Yield Based on Underwritten NOI / NCF
8.7% / 8.4%
   
Other(5)
$166,450
$0
 
 
Sources and Uses  
Sources
$
 
%
 
Uses
$
 
%
Loan Amount
$12,650,000
 
 62.9
 
Purchase Price
$19,300,000
 
96.0
Principal’s New Cash Contribution
7,457,784
 
37.1
   
Closing Costs
500,049
 
2.5
 
           
Reserves
307,735
 
1.5
 
Total Sources
$20,107,784
 
100.0
 
Total Uses
$20,107,784
 
100.0
 

 
(1)
Does not include SF attributable to the Wells Fargo tenant who is under a ground lease.
 
(2)
The Aventura Medical Office & Bank Property consists of 32,832 SF of medical office as well as a 5,200 SF outparcel ground leased to Wells Fargo.
 
(3)
Arnold S. Wax is the non-recourse carveout guarantor under the Aventura Medical Office & Bank Loan.
 
(4)
Replacement reserve is capped at $49,248.
 
(5)
Other upfront reserve represents outstanding tenant improvements and free rent associated with a new tenant, Atlantic South.

The following table presents certain information relating to the tenants at the Aventura Medical Office & Bank Property:
 
Ten Largest Owned Tenants Based On Underwritten Base Rent

Tenant Name
 
Credit Rating
(Fitch/MIS/S&P)
 
Tenant
GLA(1)
 
% of GLA
 
UW Base Rent
 
% of Total
UW Base
Rent
 
UW Base
Rent $ per
SF(2)
 
Lease Expiration
 
Renewal / Extension
Options
Wells Fargo
 
AA- / A2 / A+
 
   NA
   
0.0
 
$361,150
   
29.5
 
    NA
   
3/31/2030
 
4, 5-year options
Skin & Cancer
 
NR / NR / NR
 
6,959
   
21.2
   
226,794
   
18.5
   
$32.59
   
2/28/2018
 
1, 5-year option
Elite Imaging
 
NR / NR / NR
 
5,200
   
15.8
   
142,064
   
11.6
   
27.32
   
12/31/2018
 
2, 5-year options
Atlantic South
 
NR / NR / NR
 
3,306
   
10.1
   
82,656
   
6.7
   
25.00
   
4/30/2019
 
1, 5-year option
Pediatric Psyc.
 
NR / NR / NR
 
2,422
   
7.4
   
68,155
   
5.6
   
28.14
   
6/17/2015
 
1, 5-year option
Aventura Medical
 
NR / NR / NR
 
2,155
   
6.6
   
66,288
   
5.4
   
30.76
   
6/30/2018
 
1, 5-year option
Quest Diag.
 
NR / NR / NR
 
1,616
   
4.9
   
54,828
   
4.5
   
33.93
   
12/31/2014
 
1, 5-year option
Asthma & Allergy
 
NR / NR / NR
 
1,779
   
5.4
   
46,592
   
3.8
   
26.19
   
12/31/2016
 
NA
Dr. Santos
 
NR / NR / NR
 
1,804
   
5.5
   
45,930
   
3.8
   
25.46
   
1/21/2016
 
1, 5-year option
Dr. Rosenbaum
 
NR / NR / NR
 
1,324
   
4.0
   
40,263
   
3.3
   
30.41
   
3/31/2015
 
1, 5-year option
Ten Largest Owned Tenants
 
26,565
   
80.9
%  
$1,134,719
   
92.7
%  
$29.12
         
Remaining Owned Tenants
 
3,174
   
9.7
   
89,955
   
7.3
   
28.34
         
Vacant Spaces (Owned Space)
 
3,093
   
9.4
   
0
   
0.0
   
0.00
         
Total / Wtd. Avg. All Owned Tenants
 
32,832
   
100.0
%  
$1,224,674
   
100.0
%  
$29.04
         


 
(1)
Wells Fargo occupies an outparcel at the Aventura Medical Office & Bank Property that totals 5,200 SF. Because the improvements are not owned by the borrower, the square footage is not included in the total GLA.
 
(2)
UW Base Rent per SF does not include rent attributed to Wells Fargo.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
138

 
 
AVENTURA MEDICAL OFFICE & BANK
 
The following table presents certain information relating to the lease rollover schedule at the Aventura Medical Office & Bank Property, based on initial lease expiration dates:
 
Lease Expiration Schedule
 
Year Ending
December 31,
 
Expiring
Owned GLA
 
% of
Owned GLA
 
Cumulative % of
Owned GLA
 
UW Base Rent
 
% of Total UW Base Rent
 
UW Base
Rent $ per
SF(1)
 
# of
Expiring
Tenants
MTM
 
0
   
0.0
 
0.0%
   
$0
   
0.0
 
$0.00
   
0
 
2014
 
3,889
   
11.8
   
11.8%
   
120,888
   
9.9
   
31.08
   
3
 
2015
 
3,746
   
11.4
   
23.3%
   
108,418
   
8.9
   
28.94
   
2
 
2016
 
3,583
   
10.9
   
34.2%
   
92,522
   
7.6
   
25.82
   
2
 
2017
 
901
   
2.7
   
36.9%
   
23,895
   
2.0
   
26.52
   
1
 
2018(2)
 
14,314
   
43.6
   
80.5%
   
435,146
   
35.5
   
30.40
   
3
 
2019
 
3,306
   
10.1
   
90.6%
   
82,656
   
6.7
   
25.00
   
1
 
2020
 
0
   
0.0
   
90.6%
   
0
   
0.0
   
0.00
   
0
 
2021
 
0
   
0.0
   
90.6%
   
0
   
0.0
   
0.00
   
0
 
2022
 
0
   
0.0
   
90.6%
   
0
   
0.0
   
0.00
   
0
 
2023
 
0
   
0.0
   
90.6%
   
0
   
0.0
   
0.00
   
0
 
2024
 
0
   
0.0
   
90.6%
   
0
   
0.0
   
0.00
   
0
 
2025 & Thereafter(3)
 
NAP
   
NAP
 
90.6%
   
361,150
   
29.5
   
NAP
   
1
 
Vacant
 
3,093
   
9.4
   
100.0%
   
0
   
0.0
   
0.00
   
0
 
Total / Wtd. Avg.
 
32,832
   
100.0
%        
$1,224,674
   
100.0
%  
$29.04
   
13
 
 

 
(1)
UW Base Rent per SF does not include rent attributed to Wells Fago.
 
(2)
The 2018 expiration consists of the two largest tenants by square footage, Skin & Cancer and Elite Imaging. The largest tenant by square footage, Skin & Cancer, has been at the Aventura Medical Office & Bank Property since 1995. Skin & Cancer has one five-year extension option and Elite Imaging has two five-year extension options.
 
(3)
The 2025 & Thereafter statistics relate to Wells Fargo. Because the improvements are not owned by the borrower, the square footage is not included in total GLA.
 
The following table presents certain information relating to historical leasing at the Aventura Medical Office & Bank Property:
 
Historical Leased %(1)(2)
   
 
2011
 
 
2012
 
 
2013
 
 
As of 4/1/2014
Owned Space
 
88.7%
 
96.7%
 
83.6%
 
90.6%
 

 
(1)
As provided by the borrower and represents occupancy based on SF as of January 1, unless otherwise indicated.
 
(2)
Does not include SF attributable to the Wells Fargo tenant who is under a ground lease.
 
n
Operating History and Underwritten Net Cash Flow. The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at the Aventura Medical Office & Bank Property:
 
Cash Flow Analysis(1)
 
   
2011
 
2012
 
2013
 
TTM 3/1/2014
 
Underwritten(2)
 
Underwritten
$ per SF
Base Rent
 
$999,780
   
$1,083,382
   
$1,047,481
   
$1,056,102
   
$1,224,674
   
$37.30
 
Gross Up Vacancy(3)
 
0
   
0
   
0
   
0
   
86,604
   
2.64
 
Total Rent
 
$999,780
   
$1,083,382
   
$1,047,481
   
$1,056,102
   
$1,311,278
   
39.94
 
Total Reimbursables(4)
 
365,236
   
345,548
   
370,615
   
373,690
   
519,477
   
15.82
 
Vacancy & Credit Loss
 
0
   
0
   
0
   
0
   
(131,066)
   
(3.99)
 
Effective Gross Income
 
$1,365,017
   
$1,428,930
   
$1,418,096
   
$1,429,792
   
$1,699,688
   
$51.77
 
                                     
Total Operating Expenses
 
$494,545
   
$472,069
   
$472,858
   
$469,907
   
$598,831
   
$18.24
 
                                     
Net Operating Income
 
$870,472
   
$956,861
   
$945,238
   
$959,885
   
$1,100,857
   
$33.53
 
TI/LC
 
0
   
0
   
0
   
0
   
32,832
   
1.00
 
Capital Expenditures
 
0
   
0
   
0
   
0
   
9,850
   
0.30
 
Net Cash Flow
 
$870,472
   
$956,861
   
$945,238
   
$959,885
   
$1,058,175
   
$32.23
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, lease cancellation income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flow.
 
(2)
Underwritten cash flow based on the 3/1/2014 rent roll with contractual rent steps taken through 3/1/2015 totaling $19,203 for all tenants except Wells Fargo, whose rent was averaged for the term of the loan, totaling $66,150. Additionally $82,656 is attributed to the execution of the new Atlantic South lease.
 
(3)
Underwriting reflects an in-place economic vacancy of 10.0%. The Aventura Medical Office & Bank Property is 90.6% physically occupied as of April 1, 2014. The appraiser concluded a vacancy rate of 5.0% on the medical office building.
 
(4)
Total Reimbursables and Total Operating Expenses increased due to an expected real estate tax increase in conjunction with the acquisition of the Aventura Medical Office & Bank Property. Since all tenants except two (including Wells Fargo) are triple net, expenses are passed back through reimbursements.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
139

 
 
HYATT PLACE CHARLESTON AIRPORT

Mortgaged Property Information
 
Mortgage Loan Information
Number of Mortgaged Properties
1
 
Loan Seller
 
SMF I
Location (City/State)
North Charleston, South Carolina
 
Cut-off Date Principal Balance
 
$12,286,914
Property Type
Hospitality
 
Cut-off Date Principal Balance per Room
$96,747.35
Size (Rooms)
127
 
Percentage of Initial Pool Balance
 
1.3%
Total TTM Occupancy as of 2/28/2014
74.3%
 
Number of Related Mortgage Loans
 
None
Owned TTM Occupancy as of 2/28/2014
74.3%
 
Type of Security
 
Fee Simple
Year Built / Latest Renovation
2010 / NAP
 
Mortgage Rate
 
4.9950%
Appraised Value
$17,600,000
 
Original Term to Maturity (Months)
 
120
     
Original Amortization Term (Months)
 
360
     
Original Interest Only Period (Months)
NAP
     
Borrower Sponsor(1)
Ashok Patel and Surendra Patel
Underwritten Revenues
$3,787,193
       
Underwritten Expenses
$2,360,766
   
Underwritten Net Operating Income (NOI)
$1,426,427
 
Escrows
Underwritten Net Cash Flow (NCF)
$1,274,940
   
Upfront
Monthly
Cut-off Date LTV Ratio
69.8%
 
Taxes
$105,666
$15,095
Maturity Date LTV Ratio
57.5%
 
Insurance
$7,448
$2,483
DSCR Based on Underwritten NOI / NCF
1.80x / 1.61x
 
FF&E(2)
$0
$3,753
Debt Yield Based on Underwritten NOI / NCF
11.6% / 10.4%
 
Other
$0
$0
 
Sources and Uses
Sources
$
%
Uses
$
%
Loan Amount
$12,300,000
100.0%
Loan Payoff
$8,589,174
    69.8%
     
Principal Equity Distribution
3,414,605
27.8
     
Closing Costs
183,107
  1.5
     
Reserves
113,114
  0.9
Total Sources
$12,300,000
100.0%
Total Uses
$12,300,000
 100.0%
 

 
(1)
Ashok Patel and Surendra Patel are the guarantors of the non-recourse carveouts under the Hyatt Place Charleston Airport Loan.
 
(2)
On each monthly due date, the borrower is required to fund the FF&E reserve in an amount equal to one-twelfth of 4% of annual gross revenue.
 
The following table presents certain information relating to the 2013 market mix with respect to the Hyatt Place Charleston Airport Property, as provided in the appraisal for the Hyatt Place Charleston Airport Property:
 
Estimated Accommodated Room Night Demand(1)
 
Property
 
 
Meeting and Group
 
 
Leisure
 
 
Commercial
Hyatt Place Charleston Airport
 
30%
 
30%
 
40%
 

 
(1)
Source: Appraisal.
 
The following table presents certain information relating to the TTM February 2014 penetration rates relating to the Hyatt Place Charleston Airport Property, as provided in a February 2014 travel research report for the Hyatt Place Charleston Airport Property:
 
TTM Through 2/28/2014 Penetration Rates(1)
 
Property
 
 
Occupancy
 
 
ADR
 
 
RevPAR
Hyatt Place Charleston Airport
 
107.9%
 
102.2%
 
110.3%
 

 
(1)
Source: February 2014 travel research report.
 
The following table presents certain information relating to historical occupancy, ADR and RevPAR at the Hyatt Place Charleston Airport Property:
 
Hyatt Place Charleston Airport(1)
   
 
2011
 
 
2012
 
 
2013
 
 
TTM 2/28/2014
 
 
Underwritten
Occupancy
 
69.3%
 
69.3%
 
72.7%
 
74.3%
 
74.3%
ADR
 
$100.20
 
$101.65
 
$104.02
 
$104.65
 
$104.65
RevPAR
 
$69.43
 
$70.49
 
$75.61
 
$77.79
 
$77.79
 

 
(1)
As provided by the borrower.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
140

 
 
HYATT PLACE CHARLESTON AIRPORT
 
n
Operating History and Underwritten Net Cash Flow.  The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow, on an aggregate basis and per room, at the Hyatt Place Charleston Airport Property:
 
Cash Flow Analysis(1)
   
2011
 
2012
 
2013
 
TTM
2/28/2014
 
Underwritten
 
Underwritten
$ per Room
Room Revenue
 
$3,218,220
   
$3,276,383
   
$3,505,128
   
$3,605,876
   
$3,605,876
   
$28,393
 
Food & Beverage Revenue
 
151,546
   
163,460
   
156,137
   
163,962
   
163,962
   
1,291
 
Telephone
 
705
   
468
   
541
   
508
   
508
   
4
 
Other Income(2)
 
14,696
   
5,423
   
14,543
   
16,847
   
16,847
   
133
 
Total Revenue
 
$3,385,167
   
$3,445,733
   
$3,676,350
   
$3,787,193
   
$3,787,193
   
$29,820
 
                                     
Room Expense
 
$846,008
   
$890,587
   
$875,583
   
$913,850
   
$913,850
   
$7,196
 
Food & Beverage Expense
 
143,146
   
145,258
   
148,652
   
146,729
   
146,729
   
1,155
 
Telephone Expense
 
28,750
   
22,490
   
19,787
   
18,128
   
18,128
   
143
 
Total Departmental Expense
 
$1,017,904
   
$1,058,335
   
$1,044,022
   
$1,078,706
   
$1,078,706
   
$8,494
 
Total Undistributed Expense
 
1,072,645
   
1,056,181
   
1,064,086
   
1,076,214
   
1,076,214
   
8,474
 
Total Fixed Charges
 
220,827
   
213,877
   
209,472
   
199,801
   
205,846
   
1,621
 
Total Operating Expenses
 
$2,311,376
   
$2,328,394
   
$2,317,580
   
$2,354,721
   
$2,360,766
   
$18,589
 
                                     
Net Operating Income
 
$1,073,792
   
$1,117,339
   
$1,358,769
   
$1,432,472
   
$1,426,427
   
$11,232
 
FF&E
 
135,407
   
137,829
   
147,054
   
151,488
   
151,488
   
1,193
 
Net Cash Flow
 
$938,385
   
$979,510
   
$1,211,715
   
$1,280,985
   
$1,274,940
   
$10,039
 
 

 
(1)
Certain items such as straight line rent, interest expense, interest income, depreciation, amortization, debt service payments and any other non-recurring or non-operating items were excluded from the historical presentation and are not considered for the underwritten cash flows.
 
(2)
Includes pet fees, in-room movies, laundry/valet commissions and attrition fees.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
141

 
 
SUMMARY OF CERTAIN RISK FACTORS
 
Investors should review the Free Writing Prospectus and the Base Prospectus, including the description of risk factors contained in the Free Writing Prospectus and the Base Prospectus, prior to making a decision to invest in the certificates offered by this Term Sheet. The Free Writing Prospectus and the Base Prospectus will include more complete descriptions of the risks described below as well as additional risks relating to, among other things, risks related to specific mortgage loans and specific property types. Any decision to invest in the offered certificates should be made after reviewing the Free Writing Prospectus and the Base Prospectus, conducting such investigations as the investor deems necessary and consulting the investor’s own legal, accounting and tax advisors in order to make an independent determination of the suitability and consequences of an investment in the offered certificates. Capitalized terms used but not defined in this Term Sheet shall have the respective meanings assigned to such terms in the Free Writing Prospectus or, if not defined therein, in the Base Prospectus.
 
n
The Volatile Economy, Credit Crisis and Downturn in the Real Estate Market Have Adversely Affected and May Continue to Adversely Affect the Value of CMBS
 
 
In recent years, the real estate and securitization markets, including the market for commercial mortgage-backed securities (“CMBS”), as well as global financial markets and the economy generally, experienced significant dislocations, illiquidity and volatility. We cannot assure you that a dislocation in the CMBS market will not re-occur or become more severe.
 
n
The Offered Certificates May Not Be A Suitable Investment for You
 
 
The offered certificates are not suitable investments for all investors. In particular, you should not purchase any class of offered certificates unless you understand and are able to bear the risk that the yield to maturity and the aggregate amount and timing of distributions on the offered certificates are subject to material variability from period to period and give rise to the potential for significant loss over the life of the offered certificates.
 
 
An investment in the offered certificates should be considered only by sophisticated institutional investors with substantial investment experience with similar types of securities and who have conducted appropriate due diligence on the mortgage loans and the offered certificates.
 
n
The Offered Certificates Are Limited Obligations
 
 
The offered certificates, when issued, will represent beneficial interests in the issuing entity. The offered certificates will not represent an interest in, or obligation of, the sponsors, the depositor, the master servicer, the special servicer, the operating advisor, the certificate administrator, the trustee, the underwriters, or any of their respective affiliates, or any other person.
 
 
The primary assets of the issuing entity will be the notes evidencing the mortgage loans, and the primary security and source of payment for the mortgage loans will be the mortgaged properties and the other collateral described in the Free Writing Prospectus. Payments on the offered certificates are expected to be derived from payments made by the borrowers on the mortgage loans.
 
n
Mortgage Loans Are Nonrecourse and Are Not Insured or Guaranteed
 
 
The mortgage loans are not insured or guaranteed by any person or entity, governmental or otherwise.
 
 
Investors should treat each mortgage loan as a nonrecourse loan. If a default occurs, recourse generally may be had only against the specific properties and other assets that have been pledged to secure the loan. Consequently, payment prior to maturity is dependent primarily on the sufficiency of the net operating income of the mortgaged property. Payment at maturity is primarily dependent upon the market value of the mortgaged property and the borrower’s ability to sell or refinance the mortgaged property.
 
n
The Offered Certificates May Have Limited Liquidity and the Market Value of the Offered Certificates May Decline
 
 
Your certificates will not be listed on any national securities exchange or traded on any automated quotation systems of any registered securities association, and there is currently no secondary market for your certificates. While we have been advised by the underwriters that one or more of them, or one or more of their affiliates, currently intend to make a market in the offered certificates, none of the underwriters has any obligation to do so, any market-making may be discontinued at any time, and we cannot assure you that an active secondary market for the offered certificates will develop.
 
 
The market value of the offered certificates will also be influenced by the supply of and demand for CMBS generally. The supply of CMBS will depend on, among other things, the amount of commercial and multifamily mortgage loans, whether newly originated or held in the portfolios that are available for securitization.
 
n
Legal and Regulatory Provisions Affecting Investors Could Adversely Affect the Liquidity of the Offered Certificates
 
 
We make no representation as to the proper characterization of the offered certificates for legal investment, financial institution regulatory, financial reporting or other purposes, as to the ability of particular investors to purchase the offered certificates under applicable legal investment or other restrictions or as to the consequences of an investment in the offered certificates for such purposes or under such restrictions. We note that regulatory or legislative provisions applicable to certain investors may have the effect of limiting or restricting their ability to hold or acquire CMBS, which in turn may adversely affect the ability of investors in the offered certificates who are not subject to those provisions to resell their certificates in the secondary market.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
142

 
 
SUMMARY OF CERTAIN RISK FACTORS (continued)
 
 
Effective January 1, 2014, EU Regulation 575/2013 (the “CRR”) imposes on European Economic Area (“EEA”) credit institutions and investment firms investing in securitizations issued on or after January 1, 2011, or in securitizations issued prior to that date where new assets are added or substituted after December 31, 2014: (a) a requirement (the “Retention Requirement”) that the originator, sponsor or original lender of such securitization has explicitly disclosed that it will retain, on an ongoing basis, a material net economic interest which, in any event, shall not be less than 5%; and (b) a requirement (the “Due Diligence Requirement”) that the investing credit institution or investment firm has undertaken certain due diligence in respect of the securitization and the underlying exposures and has established procedures for monitoring them on an ongoing basis.
 
National regulators in EEA member states impose penal risk weights on securitization investments in respect of which the Retention Requirement or the Due Diligence Requirement has not been satisfied in any material respect by reason of the negligence or omission of the investing credit institution or investment firm.
 
If either of the Retention Requirement or the Due Diligence Requirement is not satisfied in respect of a securitization investment held by a non-EEA subsidiary of an EEA credit institution or investment firm, then an additional risk weight may be applied to such securitization investment when taken into account on a consolidated basis at the level of the EEA credit institution or investment firm.
 
Requirements similar to the Retention Requirement and the Due Diligence Requirement (the “Similar Requirements”): (i) apply to investments in securitizations by investment funds managed by EEA investment managers subject to EU Directive 2011/61/EU; and (ii) subject to the adoption of certain secondary legislation, will apply to investments in securitizations by EEA insurance and reinsurance undertakings and by EEA undertakings for collective investment in transferable securities.
 
None of the sponsors, the depositor or any other party intends to retain a material net economic interest in the securitization constituted by the issue of the offered certificates in accordance with the Retention Requirement or to take any other action which may be required by EEA-regulated investors for the purposes of their compliance with the Retention Requirement, the Due Diligence Requirement or Similar Requirements. Consequently, the offered certificates are not a suitable investment for EEA credit institutions, investment firms or the other types of EEA regulated investors mentioned above. As a result, the price and liquidity of the offered certificates in the secondary market may be adversely affected. EEA-regulated investors are encouraged to consult with their own investment and legal advisors regarding the suitability of the offered certificates for investment.
 
 
The Dodd-Frank Wall Street Reform and Consumer Protection Act enacted in the United States requires that federal banking regulators amend their regulations to exclude reliance on credit ratings, including the use of such ratings to determine the permissibility of, and capital charges imposed on, investments by banking institutions. Such regulations, including those that have been proposed to implement the more recent Basel internal ratings based and advanced measures approaches, may result in greater capital charges to financial institutions that own CMBS, or otherwise adversely affect the attractiveness of investments in CMBS for regulatory purposes.
 
 
The Financial Accounting Standards Board has adopted changes to the accounting standards for structured products. These changes, or any future changes, may affect the accounting for entities such as the issuing entity, could under certain circumstances require an investor or its owner generally to consolidate the assets of the issuing entity in its financial statements and record third parties’ investments in the trust fund as liabilities of that investor or owner or could otherwise adversely affect the manner in which the investor or its owner must report an investment in CMBS for financial reporting purposes.
 
 
Section 619 of the Dodd-Frank Wall Street Reform and Consumer Protection Act added a provision, commonly referred to as the “Volcker Rule,” to federal banking law to generally prohibit various covered banking entities from, among other things, engaging in proprietary trading in securities and derivatives, subject to certain exemptions. Section 619 became effective on July 21, 2012, and final regulations were issued on December 10, 2013. Conformance with the Volcker Rule’s provisions is required by July 21, 2015, subject to the possibility of up to two one-year extensions granted by the Federal Reserve in its discretion. The Volcker Rule and the regulations adopted under the Volcker Rule restrict certain purchases or sales of securities generally and derivatives by banking entities if conducted on a proprietary trading basis. The Volcker Rule’s provisions may adversely affect the ability of banking entities to purchase and sell the certificates.
 
 
For purposes of the Secondary Mortgage Market Enhancement Act of 1984, as amended, no class of offered certificates will constitute “mortgage related securities”.
 
n
Commercial, Multifamily and Manufactured Housing Community Lending is Dependent Upon Net Operating Income
 
 
The repayment of the mortgage loans in the pool (or related whole loans) will be dependent upon the ability of the related mortgaged property to produce cash flow through the collection of rents. However, net operating income can be volatile and may be insufficient to cover debt service on a mortgage loan (or related whole loan) at any given time. The performance and/or value of a particular income-producing real property will depend on a number of variables, including but not limited to property type, geographic location, competition and sponsorship.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
143

 
 
SUMMARY OF CERTAIN RISK FACTORS (continued)
 
n
Risks Resulting from Various Concentrations
 
 
The performance of the pool of mortgage loans may be adversely impacted as a result of (i) mortgage loans that account for a disproportionately large percentage of the pool’s aggregate principal balance, (ii) a concentration of mortgage loans secured by the same mortgaged property types, (iii) a concentration of mortgage loans secured by mortgaged properties located in a particular geographic area, (iv) a concentration of mortgage loans secured by mortgaged properties with the same tenant(s) and (v) a concentration of mortgage loans with the same borrower or related borrowers. The effect of loan pool losses will be more severe if the losses relate to mortgage loans that account for a disproportionately large percentage of the pool’s aggregate principal balance. Likewise, mortgaged properties in which a single tenant makes up a significant portion of the rental income are more susceptible to interruptions of cash flow if that tenant’s business operations are negatively impacted or if such tenant fails to renew its lease.
 
 
A concentration of related borrowers, mortgaged property types, tenant occupancy or mortgaged properties in similar geographic regions can pose increased risks because a decline in the financial condition of the corporate family of the related borrowers, in a particular industry or business or in a particular geographic area would have a disproportionately large impact on the pool of mortgage loans.
 
n
Borrower May Be Unable To Repay Remaining Principal Balance on Maturity Date
 
 
Mortgage loans (or whole loans) with substantial remaining principal balances at their stated maturity date or anticipated repayment date involve greater risk than fully-amortizing mortgage loans. This is because the borrower may be unable to repay the loan at that time. A borrower’s ability to repay a mortgage loan (or whole loan) on its stated maturity date typically will depend upon its ability either to refinance the mortgage loan (or whole loan) or to sell the mortgaged property at a price sufficient to permit repayment.
 
n
The Timing of Prepayments and Repurchases May Change Your Anticipated Yield
 
 
We are not aware of any relevant publicly available or authoritative statistics with respect to the historical prepayment experiences of commercial mortgage loans, including both voluntary prepayments, if permitted, and involuntary prepayments, such as prepayments resulting from casualty or condemnation, application of reserve funds, defaults and liquidations or repurchases upon breaches of representations and warranties or material document defects or purchases by a mezzanine lender , if any, pursuant to a purchase option or sales of defaulted mortgage loans.
 
 
Any changes in the weighted average lives of your certificates may adversely affect your yield.
 
 
Each sponsor is the sole warranting party in respect of the mortgage loans sold by such sponsor to the depositor and the sole party with repurchase/substitution obligations in connection with a material breach of representation and warranty or a material document deficiency except that Starwood Mortgage Capital LLC will guarantee the obligations of Starwood Mortgage Funding I LLC. We cannot assure you that the applicable sponsor (or guarantor) will repurchase or substitute any mortgage loan sold by it in connection with either a material breach of the applicable sponsor’s representations and warranties or any material document defects.
 
n
Litigation Regarding the Mortgaged Properties or Borrowers May Impair Your Distributions
 
 
There may be pending or threatened legal proceedings against the borrowers and the managers of the mortgaged properties and their respective affiliates arising out of their ordinary business. Any such litigation may materially impair distributions to certificateholders if borrowers must use property income to pay judgments or litigation costs. We cannot assure you that any litigation or any settlement of any litigation will not have a material adverse effect on your investment.
 
n
Appraisals May Not Reflect Current or Future Market Value of Each Property
 
 
Appraisals were obtained with respect to each of the mortgaged properties at or about the time of origination of the applicable mortgage loan by the related originator, or at or around the time of the acquisition of the mortgage loan by the related sponsor. In general, appraisals represent the analysis and opinion of qualified appraisers and are not guarantees of present or future value.
 
 
Prospective investors should consider that the information set forth in this Term Sheet regarding appraised values or loan-to-value ratios may not accurately reflect past, present or future market values of the mortgaged properties. Additionally, with respect to the appraisals setting forth assumptions as to the “as-is” and “as stabilized” values prospective investors should consider that those assumptions may not be accurate and that the “as stabilized” values may not be the values of the related mortgaged properties prior to or at maturity.
 
n
Adverse Environmental Conditions at or Near Mortgaged Properties May Result in Losses
 
 
The issuing entity could become liable for a material adverse environmental condition at an underlying mortgaged property. Any such potential liability could reduce or delay payments on the offered certificates.
 
 
Although an environmental report was prepared for each mortgaged property securing a mortgage loan in connection with origination, it is possible that the environmental reports and/or supplemental “Phase II” sampling did not reveal all environmental liabilities, or that there are material environmental liabilities of which we are not aware. Also, the environmental condition of the mortgaged properties in the future could be affected by the activities of tenants or by third parties unrelated to the borrowers.
 
n
Insurance May Not Be Available or Adequate
 
 
Although the mortgaged properties are required to be insured, or permitted to be self-insured by a sole or significant tenant, against certain risks, there is a possibility of casualty loss with respect to the mortgaged properties for which insurance proceeds may not be adequate or which may result from risks not covered by insurance.
 
 
Even if terrorism insurance is required by the loan documents for a mortgage loan, that requirement may be subject to a cap on the cost of the premium for terrorism insurance that a borrower is required to pay or a commercially reasonable standard on the availability of the insurance.
 
 
We cannot assure you that all of the mortgaged properties are required to be or will be insured against the risks of terrorism and similar acts.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
144

 
 
SUMMARY OF CERTAIN RISK FACTORS (continued)
 
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Risks Relating to a Bankruptcy of an Originator, a Sponsor or the Depositor, or a Receivership or Conservatorship of Goldman Sachs Bank USA
 
 
In the event of the bankruptcy or insolvency of an originator, a sponsor or the depositor, or a receivership or conservatorship of Goldman Sachs Bank USA (“GS Bank”), the parent entity of Goldman Sachs Mortgage Company (“GSMC”), it is possible that the issuing entity’s right to payment from or ownership of the mortgage loans could be challenged. If such challenge is successful, payments on the offered certificates would be reduced or delayed. Even if the challenge is not successful, payments on the offered certificates would be delayed while a court resolves the claim.
 
 
The Federal Deposit Insurance Corporation (the “FDIC”) has adopted a rule, substantially revised and effective January 1, 2011, establishing a safe harbor (the “FDIC Safe Harbor”) from its repudiation powers for securitizations meeting the requirements of the rule (12 C.F.R. § 360.6). The transfers of the applicable mortgage loans by GSMC, to the depositor, will not qualify for the FDIC Safe Harbor. However, those transfers are not transfers by a bank, and in any event, even if the FDIC Safe Harbor were applicable to those transfers, the FDIC Safe Harbor is non-exclusive. Additionally, an opinion of counsel will be rendered on the Closing Date to the effect that the transfers of the applicable mortgage loans by GSMC to the depositor, would generally be respected as a sale in the event of a bankruptcy or insolvency of GSMC. Notwithstanding the foregoing, the FDIC, a creditor, bankruptcy trustee or another interested party, including an entity transferring a mortgage loan, as debtor-in-possession, could still attempt to assert that the transfer of a mortgage loan by any of the sponsors was not a sale. If such party’s challenge is successful, payments on the offered certificates would be reduced or delayed. Even if the challenge is not successful, payments on the offered certificates would be delayed while a court resolves the claim.
 
n
Potential Conflicts of Interest of the Sponsors, Underwriters, the Master Servicer, the Special Servicer, the Operating Advisor and the Controlling Class Representative
 
 
The sponsors, the underwriters, the master servicer, the special servicer, the operating advisor, the Controlling Class Representative or the holder of a mezzanine loan, if any, or any of their respective affiliates may have interests when dealing with the mortgage loans that are in conflict with those of holders of the offered certificates, especially if the sponsors, the underwriters, the master servicer, the special servicer, the operating advisor, the Controlling Class Representative or the holder of a mezzanine loan, if any, or any of their respective affiliates holds certificates, or has financial interests in or other financial dealings with a borrower or an affiliate of the borrower. Each of these relationships may create a conflict of interest and should be considered carefully by you before you invest in any offered certificates.
 
n
Potential Conflicts of Interest in the Selection of the Underlying Mortgage Loans
 
 
The anticipated initial investor in the Class E, Class F and Class G certificates (the “B-Piece Buyer”) was given the opportunity by the sponsors to perform due diligence on the mortgage loans originally identified by the sponsors for inclusion in the issuing entity, and to request the removal, re-sizing or change in other features of some or all of the mortgage loans. Actions of the B-Piece Buyer may be adverse to those of purchasers of the offered certificates.
 
n
Interests and Incentives of the Originators, the Sponsors and Their Affiliates May Not Be Aligned With Your Interests
 
 
The originators, the sponsors and their affiliates (including certain of the underwriters) expect to derive ancillary benefits from this offering of offered certificates and their respective incentives may not be aligned with those of purchasers of the offered certificates. The sponsors originated or purchased the mortgage loans in order to securitize the mortgage loans by means of a transaction such as this offering of the offered certificates. The sponsors will sell the applicable mortgage loans to the depositor (an affiliate of GSMC, one of the sponsors, and of GS Commercial Real Estate LP, one of the originators, and of Goldman, Sachs & Co., one of the underwriters) on the Closing Date in exchange for cash, derived from the sale of certificates to investors, and/or in exchange for certificates. A completed offering would reduce the originators’ exposure to the mortgage loans. The originators made the mortgage loans with a view toward securitizing them and distributing the exposure by means of a transaction such as this offering of the offered certificates. The offering of offered certificates will effectively transfer the originators’ exposure to the mortgage loans to purchasers of the offered certificates and the other certificates of the same series.
 
 
The originators, the sponsors and their affiliates expect to receive various benefits, including compensation, commissions, payments, rebates, remuneration and business opportunities in connection with or as a result of this offering of offered certificates and their interests in the mortgage loans.
 
 
Each of the foregoing relationships should be considered carefully by you before you invest in any offered certificates.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
145

 

SUMMARY OF CERTAIN RISK FACTORS (continued)
 
n
Interests and Incentives of the Underwriter Entities May Not Be Aligned With Your Interests
 
 
The activities and interests of the underwriters and their respective affiliates (collectively, the “Underwriter Entities”) will not align with, and may in fact be directly contrary to, those of the certificateholders. The Underwriter Entities are part of global investment banking, securities and investment management firms that provide a wide range of financial services to a substantial and diversified client base that includes corporations, financial institutions, governments and high-net-worth individuals. As such, they actively make markets in and trade financial instruments for their own account and for the accounts of customers.
 
 
The Underwriter Entities’ activities include, among other things, executing large block trades and taking long and short positions directly and indirectly, through derivative instruments or otherwise. The securities and instruments in which the Underwriter Entities take positions, or expect to take positions, include loans similar to the mortgage loans, securities and instruments similar to the offered certificates and other securities and instruments. Market making is an activity where the Underwriter Entities buy and sell on behalf of customers, or for their own account, to satisfy the expected demand of customers. By its nature, market making involves facilitating transactions among market participants that have differing views of securities and instruments. As a result, you should expect that the Underwriter Entities will take positions that are inconsistent with, or adverse to, the investment objectives of investors in the offered certificates.
 
 
If an Underwriter Entity becomes a holder of any of the certificates, through market-making activity or otherwise, any actions that it takes in its capacity as a certificateholder, including voting, providing consents or otherwise will not necessarily be aligned with the interests of other holders of the same class or other classes of the certificates.
 
 
In addition, the Underwriter Entities will have no obligation to monitor the performance of the certificates or the actions of the master servicer, the special servicer, the certificate administrator, the trustee or the operating advisor and will have no authority to advise the master servicer, the special servicer, the certificate administrator, the trustee or the operating advisor or to direct their actions.
 
 
Each of the foregoing relationships should be considered carefully by you before you invest in any offered certificates.
 
n
Other Rating Agencies May Assign Different Ratings to the Certificates
 
 
Nationally recognized statistical rating organizations that the depositor did not engage to rate the offered certificates may nevertheless issue unsolicited credit ratings on one or more classes of offered certificates. If any such unsolicited ratings are issued, we cannot assure you that they will not be different from any ratings assigned by the rating agencies engaged by the depositor. The issuance of unsolicited ratings by any nationally recognized statistical rating organization on a class of the offered certificates that are lower than ratings assigned by a rating agency engaged by the depositor may adversely impact the liquidity, market value and regulatory characteristics of that class.
 
n
Tax Considerations
 
 
The offered certificates represent ownership of one or more regular interests in one or more real estate mortgage investment conduits (each a “REMIC”) for U.S. federal income tax purposes.
 
 
Special tax considerations may apply to certain types of investors. Prospective investors should consult their own tax advisors regarding tax implications of an investment in offered certificates.
 
 
State, local and other tax laws may differ substantially from the corresponding federal law. Prospective investors should consult with their own tax advisors with respect to the various state, local and other tax consequences of an investment in the offered certificates.
 
The securities offered by these materials are being offered when, as and if issued.  In particular, you are advised that the offered securities, and the asset pool backing them, are subject to modification or revision (including, among other things, the possibility that one or more classes of securities may be split, combined or eliminated), at any time prior to issuance or availability of a final prospectus.  As a result, you may commit to purchase securities that have characteristics that may change, and you are advised that all or a portion of the offered securities may not be issued that have the characteristics described in these materials.  Our obligation to sell securities to you is conditioned on the offered securities and the underlying transaction having the characteristics described in these materials.  If we determine that a condition is not satisfied in any material respect, we will notify you, and neither the issuer nor any of the underwriters will have any obligation to you to deliver all or any portion of the securities which you have committed to purchase, and there will be no liability between us as a consequence of the non-delivery.
 
The depositor has filed a registration statement (including the prospectus) with the Securities and Exchange Commission (“SEC”) (SEC File No. 333-191331) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Goldman, Sachs & Co., Citigroup Global Markets Inc., Drexel Hamilton, LLC, any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-866-471-2526 or by email to prospectus-ny@gs.com.
 
 
146

 
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