0001539497-15-001574.txt : 20151006 0001539497-15-001574.hdr.sgml : 20151006 20151005210723 ACCESSION NUMBER: 0001539497-15-001574 CONFORMED SUBMISSION TYPE: FWP PUBLIC DOCUMENT COUNT: 29 FILED AS OF DATE: 20151006 DATE AS OF CHANGE: 20151005 SUBJECT COMPANY: COMPANY DATA: COMPANY CONFORMED NAME: GS Mortgage Securities Trust 2015-GC34 CENTRAL INDEX KEY: 0001652672 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: 333-191331-10 FILM NUMBER: 151144957 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 n556_x1.htm FREE WRITING PROSPECTUS

 

 

  FREE WRITING PROSPECTUS
  FILED PURSUANT TO RULE 433
  REGISTRATION FILE NO.: 333-191331-10
   

 

October 2, 2015

 

Free Writing Prospectus

 

Structural and Collateral Term Sheet

 

$848,384,739

(Approximate Mortgage Pool Balance)

 

$777,332,000

(Offered Certificates)

 

GS Mortgage Securities Trust 2015-GC34

As Issuing Entity

 

GS Mortgage Securities Corporation II

As Depositor

 

Commercial Mortgage Pass-Through Certificates

Series 2015-GC34

 

Citigroup Global Markets Realty Corp.

Goldman Sachs Mortgage Company

MC-Five Mile Commercial Mortgage Finance LLC

Starwood Mortgage Funding I LLC

Cantor Commercial Real Estate Lending, L.P.

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 the above conditions are 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, Goldman, Sachs & Co., Citigroup Global Markets Inc., Cantor Fitzgerald & Co., 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 if you email a request 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) the fact that there is no representation being made that these materials are accurate or complete and that these materials may not be updated or (3) these materials possibly being confidential, are, in each case, 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
     
Cantor Fitzgerald & Co.   Drexel Hamilton
Co-Managers

 

 
 

 

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 October 5, 2015 (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., Cantor Fitzgerald & Co. 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., Cantor Fitzgerald & Co. 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The issuing entity will be relying upon an exclusion or exemption from the definition of “investment company” under the Investment Company Act of 1940, as amended (the “Investment Company Act”), contained in Section 3(c)(5) of the Investment Company Act or Rule 3a-7 under the Investment Company Act, although there may be additional exclusions or exemptions available to the issuing entity. The issuing entity is being structured so as not to constitute a “covered fund” for purposes of the Volcker Rule under the Dodd-Frank Act (both as defined in “Risk Factors—Legal and Regulatory Provisions Affecting Investors Could Adversely Affect the Liquidity of the Offered Certificates” in the Free Writing Prospectus). See also “Legal Investment” in the Free Writing Prospectus.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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CERTIFICATE SUMMARY

 

OFFERED CERTIFICATES

Offered Class 

 

Expected Ratings
(Moody’s / Fitch / KBRA)(1) 

 

Initial Certificate
Principal Amount or
Notional Amount(2) 

 

Approximate Initial Credit Support 

 

Initial Pass-
Through Rate(3) 

 

Pass-
Through
Rate Description 

 

Expected
Wtd. Avg. Life (Yrs)(4) 

 

Expected Principal Window(4) 

Class A-1   Aaa(sf) / AAAsf / AAA(sf)   $ 30,283,000     30.000%(5)   [    ]%   (6)   2.90   11/15 – 10/20
Class A-2   Aaa(sf) / AAAsf / AAA(sf)   $ 28,822,000     30.000%(5)   [    ]%   (6)   4.96   10/20 – 10/20
Class A-3   Aaa(sf) / AAAsf / AAA(sf)   $ 185,000,000     30.000%(5)   [    ]%   (6)   9.81   07/25 – 09/25
Class A-4   Aaa(sf) / AAAsf / AAA(sf)   $ 284,382,000     30.000%(5)   [    ]%   (6)   9.88   09/25 – 09/25
Class A-AB   Aaa(sf) / AAAsf / AAA(sf)   $ 65,382,000     30.000%(5)   [    ]%   (6)   7.42   10/20 – 07/25
Class X-A   Aa1(sf) / AAAsf / AAA(sf)   $ 634,167,000 (7)   N/A   [    ]%   Variable IO(8)   N/A   N/A
Class X-B   NR / AA-sf / AAA(sf)   $ 48,782,000 (7)   N/A   [    ]%   Variable IO(8)   N/A   N/A
Class A-S(9)   Aa2(sf) / AAAsf / AAA(sf)   $ 40,298,000 (10)   25.250%   [    ]%   (6)(11)   9.93   09/25 – 10/25
Class B(9)   NR / AA-sf / AA-(sf)   $ 48,782,000 (10)   19.500%   [    ]%   (6)(11)   9.96   10/25 – 10/25
Class PEZ(9)   NR / A-sf / A-(sf)   $ 131,499,000 (10)   14.500%(12)   (11)   (11)   9.95   09/25 – 10/25
Class C(9)   NR / A-sf / A-(sf)   $ 42,419,000 (10)   14.500%(12)   [    ]%   (6)(11)   9.96   10/25 – 10/25
Class D   NR / BBB-sf / BBB-(sf)   $ 51,964,000     8.375%   [    ]%   (6)   9.96   10/25 – 10/25
Class X-D   NR / BBB-sf / BBB-(sf)   $ 51,964,000 (7)   N/A   [    ]%   Variable IO(8)   N/A   N/A

 

NON-OFFERED CERTIFICATES

Non-Offered Class 

 

Expected Ratings
(Moody’s / Fitch / KBRA)(1) 

 

Initial Certificate
Principal Amount(2) 

 

Approximate Initial Credit Support 

 

Initial Pass-
Through
Rate(3) 

 

Pass-
Through
Rate Description 

 

Expected
Wtd. Avg.
Life (Yrs)(4) 

 

Expected Principal Window(4) 

Class E   NR / BB-sf / BB-(sf)   $  23,331,000     5.625%   [    ]%   (6)   9.96   10/25 – 10/25
Class F   NR / B-sf / B-(sf)   $  8,483,000     4.625%   [    ]%   (6)   9.96   10/25 – 10/25
Class G   NR / NR / NR   $  39,238,739     0.000%   [    ]%   (6)   9.96   10/25 – 10/25
Class S(13)   N/A     N/A     N/A   N/A   N/A   N/A   N/A
Class R(14)   N/A     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”), Fitch Ratings, Inc. (“Fitch”) and Kroll Bond Rating Agency, Inc. (“KBRA”). 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, Fitch and KBRA 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 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-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 fixed rate and the rate specified in clause (ii), or (iv) the rate specified in clause (ii) less a fixed percentage.

 

(7)The Class X-A, Class X-B 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 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 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-D certificates will be equal to the certificate principal amount of the Class D 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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CERTIFICATE SUMMARY (continued)

 

(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 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-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 pass-through rate of the Class D 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 $40,298,000, $48,782,000 and $42,419,000, 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 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.

 

(12)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.

 

(13)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.

 

(14)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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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MORTGAGE POOL CHARACTERISTICS

 

Mortgage Pool Characteristics(1)
Initial Pool Balance(2) $848,384,739
Number of Mortgage Loans 57
Number of Mortgaged Properties 75
Average Cut-off Date Mortgage Loan Balance $14,883,943
Weighted Average Mortgage Interest Rate 4.6761%
Weighted Average Remaining Term to Maturity/ARD (months)(3) 117
Weighted Average Remaining Amortization Term (months)(4) 357
Weighted Average Cut-off Date LTV Ratio(5) 64.2%
Weighted Average Maturity Date/ARD LTV Ratio(3)(6) 54.6%
Weighted Average Underwritten Debt Service Coverage Ratio(7) 1.52x
Weighted Average Debt Yield on Underwritten NOI(8) 10.0%
% of Mortgage Loans with Mezzanine Debt 1.4%
% of Mortgage Loans with Preferred Equity/Return(9) 10.3%
% of Mortgaged Properties with Single Tenants 6.4%

 

 
(1)Each of the Illinois Center, 750 Lexington Avenue, Hammons Hotel Portfolio, DoubleTree Hotel Universal and Hyatt Place Texas Portfolio mortgage loans has one or more related pari passu companion loans, and the loan-to-value ratio, debt service coverage ratio, debt yield and balance per SF/Room calculations presented in this Term Sheet include the related pari passu companion loan(s) 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. With respect to the Drakeshire Apartments and Drakeshire Plaza mortgage loans, which are cross-collateralized and cross-defaulted with each other, the loan-to-value ratio, debt service coverage ratio and debt yield calculations with respect to those mortgage loans are presented in this Term Sheet in the aggregate unless otherwise indicated.

 

(2)Subject to a permitted variance of plus or minus 5%.

 

(3)Unless otherwise indicated, the mortgage loan with an anticipated repayment date is presented as if it were to mature on its 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 9 mortgage loans (three of which are secured by a portfolio of mortgaged properties), representing approximately 22.4% of the initial pool balance, the respective Cut-off Date LTV Ratio was calculated using (i) an “as-is” appraised value plus related property improvement plan (“PIP”) costs, (ii) an “as-is” appraised value plus a reserve or “capital deduction”, (iii) the cut-off date principal balance of a mortgage loan less a reserve taken at origination, (iv) an “as stabilized” appraised value or (v) a “value upon completion” appraised value. The weighted average Cut-off Date LTV Ratio for the mortgage pool without making such adjustments is 66.0%. 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/ARD LTV Ratio is calculated utilizing the “as-is” appraised value. With respect to 14 mortgage loans, representing approximately 42.4% of the initial pool balance, the respective Maturity Date/ARD LTV Ratios were each calculated using the related “as stabilized” appraised value instead of the related “as-is” appraised value. With respect to one mortgage loan, respresenting approximately 1.8% of the initial pool balance, the respective Maturity Date/ARD LTV Ratio was calculated using the “as-is” appraised value plus a “capital deduction”. The weighted average Maturity Date/ARD LTV Ratio for the mortgage pool without making such adjustments is 57.7%. See “Description of the Mortgage Pool—Certain Calculations and Definitions” in the Free Writing Prospectus for a description of Maturity Date/ARD 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. 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 Park on Clairmont mortgage loan, representing approximately 1.0% of the initial pool balance, the respective Debt Yield on Underwritten NOI and Debt Yield on Underwritten NCF were calculated using the Cut-off Date principal balance of the Park on Clairmont mortgage loan less a $1,000,000 holdback taken at origination. The weighted average Debt Yield on Underwritten NOI and Debt Yield on Underwritten NCF of the mortgage pool without adjustments are 9.9% and 9.2%, respectively. See “Description of the Mortgage Pool—Certain Calculations and Definitions” in the Free Writing Prospectus for descriptions of Debt Yield on Underwritten NOI and Debt Yield on Underwritten NCF.

 

(9)See “Description of the Mortgage Pool—Statistical Characteristics of the Mortgage Loans—Additional Indebtedness” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

6
 

 

KEY FEATURES OF THE CERTIFICATES

     
Co-Lead Managers and   Goldman, Sachs & Co.
Joint Bookrunners:   Citigroup Global Markets Inc.
     
Co-Managers:   Cantor Fitzgerald & Co.
    Drexel Hamilton, LLC
     
Depositor:   GS Mortgage Securities Corporation II
     
Initial Pool Balance:   $848,384,739
     
Master Servicer:   Wells Fargo Bank, National Association
     
Special Servicer:   Midland Loan Services, a Division of PNC Bank, National Association
     
Certificate Administrator:   U.S. Bank National Association
     
Trustee:   U.S. Bank National Association
     
Operating Advisor:   Pentalpha Surveillance LLC
     
Pricing:   Week of October 5, 2015
     
Closing Date:   October 23, 2015
     
Cut-off Date:   For each mortgage loan, the related due date for such mortgage loan in October 2015 (or, in the case of any mortgage loan that has its first due date in November 2015, the date that would have been its due date in October 2015 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 November 2015
     
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:   October 2048
     
Cleanup Call:   1.0%
     
Minimum Denominations:   $10,000 minimum for the offered certificates (except with respect to Class X-A, Class X-B and Class X-D: $1,000,000 minimum); integral multiples of $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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

7
 

 

TRANSACTION HIGHLIGHTS

 

$848,384,739 (Approximate) New-Issue Multi-Borrower CMBS:

 

Overview: The mortgage pool consists of 57 fixed-rate commercial mortgage loans that have an aggregate Cut-off Date Balance of $848,384,739 (the “Initial Pool Balance”), have an average mortgage loan Cut-off Date Balance of $14,883,943 and are secured by 75 mortgaged properties located throughout 19 states

 

LTV: 64.2% weighted average Cut-off Date LTV Ratio

 

DSCR: 1.52x 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-AB

 

Loan Structural Features:

 

Amortization: 91.5% of the mortgage loans by Initial Pool Balance have scheduled amortization:

 

29.0% of the mortgage loans by Initial Pool Balance have amortization for the entire term with a balloon payment due at maturity

 

62.5% 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: 48.1% of the mortgage loans by Initial Pool Balance have a Hard Lockbox in place

 

Cash Traps: 99.0% 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: 52 mortgage loans representing 91.5% of the Initial Pool Balance

 

Insurance: 38 mortgage loans representing 44.4% of the Initial Pool Balance

 

Replacement Reserves (Including FF&E Reserves): 57 mortgage loans representing 100.0% of the Initial Pool Balance

 

Tenant Improvements / Leasing Commissions: 27 mortgage loans representing 86.8% of the portion of the Initial Pool Balance that is secured by office, retail, mixed use and industrial properties only

 

Predominantly Defeasance: 89.0% 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:

 

Office: 24.5% of the mortgaged properties by allocated Initial Pool Balance are office properties

 

Retail: 23.3% of the mortgaged properties by allocated Initial Pool Balance are retail properties (19.6% are anchored retail properties)

 

Mixed Use: 16.6% of the mortgaged properties by allocated Initial Pool Balance are mixed use properties

 

Hospitality: 13.6% of the mortgaged properties by allocated Initial Pool Balance are hospitality properties

 

Multifamily: 12.0% of the mortgaged properties by allocated Initial Pool Balance are multifamily properties

 

Geographic Diversity: The 75 mortgaged properties are located throughout 19 states with only three states having greater than 10.0% of the allocated Initial Pool Balance: Texas (18.0%), New York (17.7%) and Illinois (12.1%)

  

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request 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.   12   17   $298,082,276   35.1%
Goldman Sachs Mortgage Company   15   21   245,379,623   28.9
MC-Five Mile Commercial Mortgage Finance LLC   9   11   112,247,610   13.2
Starwood Mortgage Funding I LLC   11   15   103,139,685   12.2
Cantor Commercial Real Estate Lending, L.P.  

10

 

11

 

89,535,544

 

10.6

Total   57   75   $848,384,739   100.0%

 

Ten Largest Mortgage Loans

Mortgage Loan Name

 

Cut-off Date
Balance

 

% of Initial
Pool
Balance

 

Property Type

 

Property
Size

SF / Rooms /
Units / Beds

 

Cut-off Date
Balance Per
SF / Room /
Unit / Bed

 

UW
NCF
DSCR

 

UW
NOI
Debt
Yield

 



Cut-off
Date
LTV
Ratio

Illinois Center   $100,000,000   11.8%   Office   2,091,889   $124   1.35x   9.1%   66.7%  
750 Lexington Avenue   84,500,000   9.96   Mixed Use   382,256   $340   1.48x   9.7%   43.3%  
Hammons Hotel Portfolio   72,412,136   8.5   Hospitality   1,869   $134,027   1.68x   12.4%   68.2%  
Parkside at So7   54,100,000   6.4   Mixed Use   300   $180,333   1.33x   8.5%   71.4%  
444-450 West 56th Street   30,000,000   3.5   Office   284,500   $105   2.31x   11.2%   18.8%  
Denton Center   29,750,000   3.5   Retail   335,102   $89   1.96x   9.9%   65.7%  
Bluejay Grocery Portfolio   27,448,750   3.2   Retail   239,393   $115   1.36x   8.9%   73.4%  
The Heights at State College Phase III   24,000,000   2.8   Multifamily   340   $70,588   1.26x   7.9%   74.3%  
Festival at Sawmill Centre   23,470,181   2.8   Retail   199,887   $117   1.33x   9.1%   74.5%  
Woodlands Corporate Center and 7049 Williams Road Portfolio  

23,300,000

 

2.7

  Office / Industrial   212,032   $110  

1.32x

 

9.0%

 

70.2%

 
Top 10 Total / Wtd. Avg.   $468,981,067   55.3%               1.52x   9.8%   61.5%  
Remaining Total / Wtd. Avg.  

379,403,672

 

44.7

             

1.52x

 

10.2%

 

67.7%

 
Total / Wtd. Avg.   $848,384,739   100.0%               1.52x   10.0%   64.2%  

 

Companion Loan Summary

 
   

Mortgage Loan Name

 

Mortgage
Loan Cut-off
Date Balance

 

% of
Initial
Pool
Balance

 

Number of
Companion
Loans(1)

 

Companion
Loan Cut-off
Date Balance

 

Whole Loan
Cut-off Date
Balance

 


Controlling
Pooling & Servicing
Agreement
(“Controlling PSA”)

 

Master
Servicer

 

Special
Servicer

Illinois Center   $100,000,000   11.8%   2   $160,000,000   $260,000,000   CGCMT 2015-GC33   Wells Fargo   LNR
750 Lexington Avenue   $84,500,000   9.96%   1   $45,500,000   $130,000,000   GSMS 2015-GC34   Wells Fargo   Midland
Hammons Hotel Portfolio   $72,412,136   8.5%   3   $178,083,915   $250,496,051   CGCMT 2015-GC33   Wells Fargo   LNR
DoubleTree Hotel Universal   $18,500,000   2.2%   1   $32,500,000   $51,000,000   GSMS 2015-GC34   Wells Fargo   Midland
Hyatt Place Texas Portfolio   $13,500,000   1.6%   1   $25,000,000   $38,500,000   (2)   Wells Fargo(3)   LNR(3)
                                   

 

 

(1)Each companion loan is pari passu in right of payment to its related mortgage loan.
(2)The Hyatt Place Texas Portfolio Companion Loan is expected to be contributed to JPMBB 2015-C32 securitization and the Controlling PSA is expected to be the JPMBB 2015-C32 PSA.
(3)Expected to be the master servicer and special servicer, respectively, under the JPMBB 2015-C32 PSA.

 

Mortgage Loans with Existing Mezzanine Debt

 

Mortgage Loan Name

 

Mortgage Loan Cut-off Date
Balance

 

Mezzanine Debt Cut-off Date
Balance

 

Cut-off Date
Total Debt
Balance

 


Wtd. Avg.
Cut-off Date
Total Debt
Interest Rate

 

Cut-off
Date
Mortgage
Loan LTV

 

Cut-off
Date
Total
Debt LTV

 

Cut-off Date Mortgage
Loan UW
NCF DSCR

 

Cut-off Date
Total Debt UW
NCF DSCR

LA Fitness Powell(1)   $11,500,000   $1,260,000   $12,760,000   6.1807%   65.7%   72.9%   1.36x   1.10x

 

 

(1)As of the Cut-off Date, the related mezzanine loan is held by an unrelated third party.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

9
 

 

COLLATERAL OVERVIEW (continued)

 

Previously Securitized Mortgaged Properties(1)            
             

Mortgaged 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

Illinois Center   CGMRC   Chicago   Illinois   Office   $100,000,000   11.8%   Various(3)
750 Lexington Avenue   CGMRC   New York   New York   Mixed Use   $84,500,000   10.0%   BSCMS 2006-PW14
Denton Center   GSMC   Denton   Texas   Retail   $29,750,000   3.5%   BSCMS 2005-PWR8
Festival at Sawmill Centre   GSMC   Dublin   Ohio   Retail   $23,470,181   2.8%   JPMCC 2005-CB13
Lake Fredrica Shopping Center   CCRE   Orlando   Florida   Retail   $16,000,000   1.9%   MLMT 2005-CKI1
Hyatt Place Texas Portfolio   SMF I   Various   Texas   Hospitality   $13,500,000   1.6%   MSC 2007-XLF9
Parkville Commons   CCRE   Parkville   Missouri   Retail   $12,600,000   1.5%   CSMC 2006-C1
Mill Creek Estates MHP   CCRE   York   Pennsylvania   Man. Housing   $9,138,432   1.1%   WBCMT 2005-C21
Deer Run MHP   CCRE   Honey Brook   Pennsylvania   Man. Housing   $12,084,702   1.4%   WBCMT 2005-C21
Gratiot Crossing   CGMRC   Chesterfield   Michigan   Retail   $11,150,000   1.3%   BACM 2006-4
Meadowview MHP   CCRE   Dover   Pennsylvania   Man. Housing   $6,641,593   0.8%   WBCMT 2005-C21
Coors Central Shopping Center   SMF I   Albuquerque   New Mexico   Retail   $6,541,819   0.8%   MSC 2006-HQ8
Dobson Medical Office   CCRE   Chandler   Arizona   Office   $6,000,000   0.7%   JPMCC 2005-LDP4
1445 North Loop West   MC-Five Mile   Houston   Texas   Office   $5,785,715   0.7%   LBUBS 2005-C7
Webster Plaza   MC-Five Mile   Webster   Texas   Retail   $5,785,247   0.7%   JPMCC 2005-CB13
Oceanside Square   SMF I   Oceanside   California   Retail   $5,200,000   0.6%   GECMC 2005-C4
Stonecrest Center   GSMC   Lithonia   Georgia   Retail   $3,992,908   0.5%   JPMCC 2005-CB13
Cook Street Office   SMF I   Palm Desert   California   Office   $3,945,096   0.5%   CD 2005-CD1
Midtown Crossing   MC-Five Mile   Houston   Texas   Retail   $2,650,000   0.3%   JPMCC 2005-LDP3
Fair Oaks and Levee Place   SMF I   Various   Indiana   Man. Housing   $2,400,000   0.3%   MSC 2005-HQ7
Windhorst MHC   SMF I   Indianapolis   Indiana   Man. Housing   $1,792,500   0.2%   MLMT 2005-LC1
                                     

 

 

(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)The 111 East Wacker mortgaged property and 233 North Michigan Avenue mortgaged property were securitized in the WBCMT 2006-C27 securitization and the COMM 2001-J2A securitization, 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

10
 

 

(THIS PAGE INTENTIONALLY LEFT BLANK)

 

11
 

 

COLLATERAL OVERVIEW (continued)

 

 

Property Types

Property Type / Detail

 

Number of
Mortgaged
Properties

 

Aggregate Cut-off
Date Balance(1)

 

% of Initial
Pool
Balance(1)

 

Wtd. Avg. Underwritten
NCF DSCR(2)

 

Wtd. Avg. Cut-
off Date LTV
Ratio(2)

 

Wtd. Avg.

Debt Yield on Underwritten
NOI(2)

Office   13   $207,762,811   24.5%   1.59x   59.1%   10.2%
CBD   3   107,500,000   12.7   1.37x   63.9%   9.3%
General Suburban   7   60,562,811   7.1   1.63x   69.6%   11.2%
School   1   30,000,000   3.5   2.31x   18.8%   11.2%
Medical   2   9,700,000   1.1   1.47x   64.2%   9.9%
Retail   21   $197,624,833   23.3%   1.54x   68.5%   9.7%
Anchored   7   119,945,181   14.1   1.56x   68.8%   9.5%
Single Tenant Retail   7   45,961,463   5.4   1.39x   69.7%   9.4%
Unanchored   5   19,334,185   2.3   1.63x   67.7%   10.8%
Shadow Anchored   2   12,384,004   1.5   1.65x   62.9%   10.7%
Mixed Use   3   $141,050,000   16.6%   1.42x   54.5%   9.2%
Office/Retail   1   84,500,000   9.96   1.48x   43.3%   9.7%
Multifamily/Retail/Office   1   54,100,000   6.4   1.33x   71.4%   8.5%
Retail/Multifamily   1   2,450,000   0.3   1.24x   66.2%   8.0%
Hospitality   12   $115,098,785   13.6%   1.77x   66.2%   13.0%
Full Service   6   78,538,911   9.3   1.78x   65.6%   13.2%
Limited Service   4   22,510,491   2.7   1.67x   67.8%   12.1%
Select Service   1   10,686,649   1.3   1.88x   66.8%   13.6%
Extended Stay   1   3,362,734   0.4   1.68x   68.2%   12.4%
Multifamily   10   $101,796,671   12.0%   1.31x   71.2%   8.7%
Garden   7   61,279,457   7.2   1.30x   69.5%   8.7%
Student Housing   1   24,000,000   2.8   1.26x   74.3%   7.9%
Conventional   1   10,425,000   1.2   1.29x   74.5%   8.8%
High-Rise   1   6,092,214   0.7   1.61x   70.4%   10.9%
Manufactured Housing   7   $35,208,238   4.2%   1.33x   73.7%   8.4%
Industrial   2   $24,248,000   2.9%   1.46x   73.6%   9.6%
Warehouse/Distribution   1   19,290,000   2.3   1.49x   74.5%   9.8%
Flex   1   4,958,000   0.6   1.32x   70.2%   9.0%
Self Storage   6   $14,995,401   1.8%   1.39x   67.2%   9.0%
Senior Housing   1   $10,600,000   1.2%   1.31x   70.7%   8.4%
Total  

75

 

$848,384,739

 

100.0%

 

1.52x

 

64.2%

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

12
 

 

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

Texas   13   $152,661,453   18.0%   $288,114,314   13.7%   $20,130,235   15.1%
New York   7   149,773,000   17.7   527,200,000   25.0   19,361,597   14.5
Illinois   3   102,450,000   12.1   393,700,000   18.7   23,742,659   17.8
Pennsylvania   8   78,205,738   9.2   106,370,000   5.0   6,685,702   5.0
Ohio   5   67,052,395   7.9   91,000,000   4.3   7,171,942   5.4
Florida   4   57,450,000   6.8   125,525,000   6.0   11,470,702   8.6
Arizona   8   42,033,921   5.0   102,680,000   4.9   6,911,640   5.2
Michigan   5   35,730,270   4.2   49,350,000   2.3   3,438,260   2.6
Georgia   4   28,697,681   3.4   41,200,000   2.0   3,118,969   2.3
Missouri   3   18,982,539   2.2   39,316,188   1.9   3,025,848   2.3
North Carolina   1   18,048,176   2.1   89,300,000   4.2   8,274,837   6.2
Wisconsin   2   16,393,750   1.9   22,400,000   1.1   1,444,327   1.1
California   3   15,645,096   1.8   24,250,000   1.1   1,691,437   1.3
Tennessee   1   14,652,775   1.7   72,500,000   3.4   6,453,957   4.8
Maryland   1   14,625,000   1.7   21,000,000   1.0   1,234,483   0.9
Oklahoma   1   11,350,342   1.3   54,600,000   2.6   4,584,940   3.4
Indiana   4   10,774,500   1.3   14,590,000   0.7   983,021   0.7
Alabama   1   7,316,282   0.9   36,200,000   1.7   3,072,698   2.3
New Mexico  

1

 

6,541,819

 

0.8

 

10,300,000

 

0.5

 

740,600

 

0.6

Total   75   $848,384,739   100.0%   $2,109,595,502   100.0%   $133,537,854   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 reflect the aggregate values without any reduction for the pari passu companion loan(s).

 

(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

13
 

 

                         
  Distribution of Cut-off Date Balances  
  Range of Cut-off Date
Balances ($)
  Number
of
Mortgage
Loans
  Cut-off Date
Balance
  % of
Initial
Pool
Balance
 
  598,938 - 5,000,000   14     $43,305,980     5.1 %  
  5,000,001 - 10,000,000   15     95,036,898     11.2    
  10,000,001 - 15,000,000   14     170,220,794     20.1    
  15,000,001 - 20,000,000   4     70,840,000     8.3    
  20,000,001 - 25,000,000   3     70,770,181     8.3    
  25,000,001 - 30,000,000   3     87,198,750     10.3    
  30,000,001 - 75,000,000   2     126,512,136     14.9    
  75,000,001 - 100,000,000   2     184,500,000     21.7    
  Total   57     $848,384,739     100.0 %  
                         
  Distribution of Underwritten DSCRs(1)  
  Range of UW DSCR (x)   Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of
Initial
Pool
Balance
 
  1.17 - 1.30   12     $130,564,420     15.4 %  
  1.31 - 1.40   16     303,075,970     35.7    
  1.41 - 1.50   8     143,545,521     16.9    
  1.51 - 1.70   10     122,836,933     14.5    
  1.71 - 1.80   3     23,740,000     2.8    
  1.81 - 1.90   3     22,971,895     2.7    
  1.91 - 2.00   2     42,100,000     5.0    
  2.01 - 2.10   1     11,050,000     1.3    
  2.11 - 2.31   2     48,500,000     5.7    
  Total   57     $848,384,739     100.0 %  
  (1) See footnotes (1) and (7) to the table entitled “Mortgage Pool Characteristics” above.  
                         
  Distribution of Amortization Types(1)  
  Amortization Type   Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of
Initial
Pool
Balance
 
  Interest Only, then Amort.(2)   29     $518,589,375     61.1 %  
  Amortizing (30 Years)   18     219,626,980     25.9    
  Interest Only   3     72,100,000     8.5    
  Amortizing (25 Years)   5     13,968,385     1.6    
  Amortizing (23 Years)   1     12,600,000     1.5    
  Interest Only, then Amort. - ARD(3) 1     11,500,000     1.4    
  Total   57     $848,384,739     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.  
  (3) Original partial interest only period is 27 months.  
                         
  Distribution of Lockboxes                    
  Lockbox Type   Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of
Initial
Pool
Balance
 
  Hard   14     $408,320,692     48.1 %  
  Springing   32     321,388,595     37.9    
  Soft   4     48,065,738     5.7    
  Soft Springing   2     39,300,000     4.6    
  None   5     31,309,714     3.7    
  Total   57     $848,384,739     100.0 %  
                         
  Distribution of Cut-off Date LTV Ratios(1)  
  Range of Cut-off
Date LTV (%)
  Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of
Initial
Pool
Balance
 
  18.8 - 25.0   1     $30,000,000     3.5 %  
  25.1 - 30.0   1     7,500,000     0.9    
  30.1 - 50.0   2     88,200,000     10.4    
  50.1 - 60.0   4     34,778,154     4.1    
  60.1 - 65.0   6     48,279,405     5.7    
  65.1 - 70.0   16     302,869,576     35.7    
  70.1 - 75.0   27     336,757,604     39.7    
  Total   57     $848,384,739     100.0 %  
  (1) See footnotes (1) and (5) to the table entitled “Mortgage Pool Characteristics” above.  
                         
  Distribution of Maturity Date/ARD LTV Ratios(1)  
  Range of Maturity
Date/ARD LTV (%)
  Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of
Initial
Pool
Balance
 
  18.8 - 30.0   2     $37,500,000     4.4 %  
  30.1 - 40.0   2     88,200,000     10.4    
  40.1 - 50.0   9     60,176,010     7.1    
  50.1 - 55.0   6     133,848,274     15.8    
  55.1 - 60.0   12     168,946,197     19.9    
  60.1 - 65.0   21     284,039,258     33.5    
  65.1 - 68.5   5     75,675,000     8.9    
  Total   57     $848,384,739     100.0 %  
  (1) See footnotes (1), (3) and (6) to the table entitled “Mortgage Pool Characteristics” above.  
                         
  Distribution of Loan Purpose  
  Loan Purpose   Number
of
Mortgage
Loans
  Cut-off Date
Balance
  % of
Initial
Pool
Balance
 
  Refinance   34     $490,711,140     57.8 %  
  Acquisition   22     349,873,600     41.2    
  Recapitalization   1     7,800,000     0.9    
  Total   57     $848,384,739     100.0 %  
                         
  Distribution of Mortgage Interest Rates  
  Range of Mortgage
Interest Rates (%)
  Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of
Initial
Pool
Balance
 
    4.300 - 4.500   11     $245,896,181     29.0 %  
    4.501 - 4.750   24     354,245,553     41.8    
    4.751 - 5.000   18     214,393,005     25.3    
    5.001 - 5.250   3     22,350,000     2.6    
    5.251 - 5.324   1     11,500,000     1.4    
    Total   57     $848,384,739     100.0 %  


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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

14
 

 

                         
  Distribution of Debt Yield on Underwritten NOI(1)  
  Range of
Debt Yields on
Underwritten NOI (%)
  Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of Initial
Pool
Balance
 
  7.7 - 8.0   3     $43,500,000     5.1 %  
  8.1 - 9.0   19     240,325,113     28.3    
  9.1 - 10.0   13     314,055,276     37.0    
  10.1 - 11.0   4     27,554,204     3.2    
  11.1 - 12.0   10     95,448,182     11.3    
  12.1 - 13.0   5     87,265,314     10.3    
  13.1 - 15.0   2     21,736,649     2.6    
  15.1 - 15.8   1     18,500,000     2.2    
  Total   57     $848,384,739     100.0 %  
  (1) See footnotes (1) and (8) to the table entitled “Mortgage Pool Characteristics” above.  
                         
  Distribution of Debt Yield on Underwritten NCF(1)  
  Range of
Debt Yields on
Underwritten NCF (%)
  Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of Initial
Pool
Balance
 
  7.5 - 8.0   7     $80,339,702     9.5 %  
  8.1 - 9.0   24     391,100,687     46.1    
  9.1 - 10.0   8     147,179,920     17.3    
  10.1 - 11.0   8     160,089,357     18.9    
  11.1 - 12.0   8     40,125,073     4.7    
  12.1 - 13.4   2     29,550,000     3.5    
  Total   57     $848,384,739     100.0 %  
  (1) See footnotes (1) and (8) to the table entitled “Mortgage Pool Characteristics” above.  
                         
  Mortgage Loans with Original Partial Interest Only Periods  
  Original Partial
Interest Only
Period (months)
  Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of Initial
Pool
Balance
 
  12   1     $16,000,000     1.9 %  
  18   2     $4,192,500     0.5 %  
  24   10     $83,140,000     9.8 %  
  27   1     $11,500,000     1.4 %  
  36   9     $126,413,750     14.9 %  
  42   1     $8,318,125     1.0 %  
  60   6     $280,525,000     33.1 %  
                         
  Distribution of Original Terms to Maturity/ARD(1)  
  Original Term to
Maturity/ARD (months)
  Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of Initial
Pool
Balance
 
  60   3     $29,800,000     3.5 %  
  120   54     818,584,739     96.5    
  Total   57     $848,384,739     100.0 %  
  (1) See footnote (3) to the table entitled “Mortgage Pool Characteristics” above.  
                         
  Distribution of Remaining Terms to Maturity/ARD(1)  
  Range of Remaining
Terms to Maturity/ARD
(months)
  Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of Initial
Pool
Balance
 
  60   3     $29,800,000     3.5 %  
  61 - 120   54     818,584,739     96.5    
  Total   57     $848,384,739     100.0 %  
  (1) See footnote (3) to the table entitled “Mortgage Pool Characteristics” above.  
                         
  Distribution of Original Amortization Terms(1)  
  Range of Original
Amortization
Terms (months)
  Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of
Initial
Pool
Balance
 
  Interest Only   3     $72,100,000     8.5 %  
  276 - 300   6     26,568,385     3.1    
  301 - 360   48     749,716,355     88.4    
  Total   57     $848,384,739     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
Remaining
Amortization
Terms (months)
  Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of
Initial
Pool
Balance
 
  Interest Only   3     $72,100,000     8.5 %  
  276 - 300   6     26,568,385     3.1    
  301 - 360   48     749,716,355     88.4    
  Total   57     $848,384,739     100.0 %  
  (1) All of the mortgage loans will have balloon payments at maturity or anticipated repayment date.  
                         
  Distribution of Prepayment Provisions  
  Prepayment
Provision
  Number of
Mortgage
Loans
  Cut-off Date
Balance
  % of
Initial
Pool
Balance
 
  Defeasance   51     $755,174,469     89.0 %  
  Defeasance or YM   1     54,100,000     6.4    
  Yield Maintenance   5     39,110,270     4.6    
  Total   57     $848,384,739     100.0 %  
                         
  Distribution of Escrow Types  
  Escrow Type   Number
of
Mortgage
Loans
  Cut-off Date
Balance
  % of
Initial
Pool
Balance
 
  Real Estate Tax   52     $776,328,082     91.5 %  
  Replacement Reserves(1)   57     $848,384,739     100.0 %  
  Insurance   38     $376,685,720     44.4 %  
  TI/LC(2)   27     $495,593,986     86.8 %  
  (1) Includes mortgage loans with FF&E reserves.  
  (2) Percentage of Initial Pool Balance secured by office, retail, mixed use and industrial 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

15
 

 

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

 

Underwritten NCF DSCR

 

Debt Yield on Underwritten NOI

 

Cut-off Date LTV Ratio

Hyatt Place Texas Portfolio   Hospitality   $13,500,000   1.6%   60   1.66x   11.9%   67.5%
LA Fitness Powell   Retail   $11,500,000   1.4%   60   1.36x     9.4%   65.7%
US Storage Center Portfolio   Self Storage   $4,800,000   0.6%   60   1.41x     9.2%   67.6%

 

 
(1)The table above presents the mortgage loans whose balloon payments would be applied to pay down the principal balance of the Class A-2 certificates 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 prior to maturity or anticipated repayment date, as applicable, 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. Each class of certificates, including the Class A-2 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. See the footnotes 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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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-AB, X-A and X-B certificates: To interest on the Class A-1, Class A-2, Class A-3, Class A-4, Class A-AB, Class X-A and Class X-B certificates, up to, and pro rata in accordance with, their respective interest entitlements.

 

2.   Class A-1, A-2, A-3, A-4 and A-AB certificates: to the extent of funds allocable to principal received or advanced on the mortgage loans, (i) to principal on the Class A-AB certificates until their certificate principal amount is reduced to the Class A-AB scheduled principal balance set forth in Annex F to the Free Writing Prospectus for the relevant Distribution Date, 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, and then (vi) 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-4 in clause (v) 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 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 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 and A-AB certificates: To reimburse the Class A-1, Class A-2, Class A-3, Class A-4 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 the 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 and Class A-AB certificates), to principal on the 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 the 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 the 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 and Class A-AB certificates and the Class A-S trust component), to principal on the 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 the 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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STRUCTURAL OVERVIEW (continued)

 

Distributions (continued)  

6.   Class C and Class PEZ certificates: (i) first, to interest on the 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 and Class A-AB certificates and the Class A-S and Class B trust components), to principal on the 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 the 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 and Class X-D certificates: (i) first, to interest on the Class D and Class X-D certificates in the amount of, and pro rata in accordance with, their respective interest entitlements; (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 and Class A-AB certificates and the Class A-S, Class B and Class C trust components), to principal on the Class D certificates until their certificate principal amount is reduced to zero; and (iii) next, to reimburse the 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.   Class E certificates: (i) first, to interest on the Class E 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-AB and Class D certificates and the Class A-S, Class B and Class C trust components), to principal on the Class E certificates until their certificate principal amount is reduced to zero; and (iii) next, to reimburse the Class E 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.

 

9.   After Class A-1, Class A-2, Class A-3, Class A-4, Class A-AB, Class X-A, Class X-B, Class A-S, Class B, Class PEZ, Class C, Class D, Class X-D and Class E 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 unreimbursed losses to the Class F and Class G certificates sequentially in that order in a manner analogous to the Class E 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-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 such class of certificates or trust component on such Distribution Date. On each 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 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 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-D certificates will be reduced to reflect reductions in the certificate principal amount of the Class D 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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STRUCTURAL OVERVIEW (continued)

 

Prepayment Premiums and Yield Maintenance Charges

 

 

 

 

On each Distribution Date, each yield maintenance charge collected on the mortgage loans during the applicable one-month period ending on the related Determination Date is required to be distributed as follows: (1) first such yield maintenance charge will be allocated between (x) the group (the “YM Group A”) of Class A-1, Class A-2, Class A-3, Class A-4, 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 together with the YM Group A, the “YM Groups”), of 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 and Class X-B certificates, pro rata, based upon the aggregate amount of principal distributed to the classes of certificates (other than the Class X Certificates) and trust components in each YM group on such Distribution Date, and (2) then the portion of such yield maintenance charge allocated to each YM Group will be further allocated as among the classes of certificates and trust components in such YM Group in the following manner: (A) each class of certificates (other than the Class X and Exchangeable Certificates) and trust component in such YM Group will entitle the applicable certificateholders to receive on the applicable Distribution Date that 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 (other than the Class X and Exchangeable Certificates) and trust components in that YM Group 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 amount of such yield maintenance charge allocated to such YM Group and (B) the amount of such yield maintenance charge allocated to such YM Group and remaining after such distributions will be distributed to the Class X Certificates in such YM Group. If there is more than one class of certificates (other than the Class X and Exchangeable Certificates) and/or trust component (and thus the applicable classes 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 and/or trust components, the aggregate amount of such yield maintenance charges will be allocated among all such classes of certificates (other than the Class X and 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-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 (i) the 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 loan documents.

 

No prepayment premiums or yield maintenance charges will be distributed to holders of the Class X-D, Class E, Class F, Class G, Class S or Class R certificates. Instead, after the notional amounts of the Class X-A and Class X-B certificates and the certificate principal amounts of the Class A-1, Class A-2, Class A-3, Class A-4, Class A-AB and Class D certificates and all 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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STRUCTURAL OVERVIEW (continued)

 

Non-Serviced Loans   Each of the Illinois Center, Hammons Hotel Portfolio and Hyatt Place Texas Portfolio mortgage loans 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, or are expected to be, 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, or are expected to to be, effected in accordance with, the Controlling PSA set forth under the “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 PSA. Each Controlling PSA provides for servicing in a manner acceptable for rated transactions similar in nature to this securitization. The non-serviced loans are discussed further under “—Whole Loans” below.
     
Advances   The master servicer and, if it fails to do so, the trustee, will be obligated to make P&I advances with respect to each mortgage loan in the issuing entity and, with respect to each mortgage loan (other than a non-serviced loan) and serviced whole loan, 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 (or, if applicable, serviced whole loan) and, in the case of P&I advances, subject to reduction in connection with any appraisal reduction amounts that may occur. Notwithstanding the forgoing, servicing advances for each non-serviced loan will be made by the parties of, and pursuant to, the applicable Controlling PSA (as discussed under “—Whole Loans” below).
     
Appraisal Reduction Amounts  

An appraisal reduction amount generally will be created with respect to a required appraisal loan (which is a mortgage loan or whole loan serviced under the pooling and servicing agreement for this transaction) as to which certain defaults, modifications or insolvency events have occurred (as further described in the Free Writing Prospectus) in the amount, if any, by which the principal balance of such required appraisal loan, plus other amounts overdue or advanced in connection with such required appraisal 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 such required appraisal loan. In general, any appraisal reduction amount calculated with respect to a whole loan will be allocated, first, to any related subordinate companion loan, up to its outstanding principal amount, and then, to the related mortgage loan and pari passu companion loan(s) on a pro rata basis in accordance with their respective outstanding principal balances. In the case of a non-serviced loan, any appraisal reduction amounts will be calculated pursuant to, and by a party to, the related Controlling PSA (as discussed under “—Whole Loans” below). As a result of an appraisal reduction amount being calculated for and/or allocated to a given mortgage 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 (exclusive of the Exchangeable Certificates, Class S certificates and Class R certificates) and/or trust components then outstanding (i.e., first to the Class G certificates, then to the Class F certificates, then to the Class E certificates, then, pro rata based on interest entitlements, to the Class D and Class X-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-AB, Class X-A and Class X-B certificates). In general, a mortgage loan (or whole loan, if applicable) serviced under the pooling and servicing agreement for this transaction will cease to be a required appraisal loan, and no longer be subject to an appraisal reduction amount, when the same has ceased to be a specially serviced loan (if applicable), has been brought current for at least three consecutive months and no other circumstances exist that would cause such mortgage loan (or whole loan, if applicable) to be a required appraisal loan.

 

At any time an Appraisal is ordered with respect to a property that would result in appraisal reduction amount with respect to a mortgage loan (or whole loan, if applicable) serviced under the pooling and servicing agreement for this transaction 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) ordered under the pooling and servicing agreement for this transaction with respect to a mortgaged property 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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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 or the issuing entity’s interest therein 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 aggregate certificate principal amounts of all certificates (exclusive of the Class X Certificates) senior to the Class E certificates, and the notional amounts of the Class X-A, Class X-B and Class X-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 (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 Class E 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.

 

KKR Real Estate Finance Holdings L.P., or its affiliate, is expected to purchase the Class E, Class F and Class G certificates and, on the Closing Date, is expected to appoint KKR Real Estate Finance Holdings L.P., or its 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) unless 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 servicers to take, or refrain from taking, certain actions that would constitute major decisions with respect to a mortgage loan (other than a non-serviced loan) or serviced whole loan and will also have the right to notice and to 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 (other than a non-serviced loan) or serviced 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 as 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 serviced companion loans, 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.

 

If at any time that KKR Real Estate Finance Holdings L.P., or its affiliate, 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 exist until such time as the certificate registrar receives any such notice.

 

With respect to each non-serviced whole loan, so long as a Consultation Termination Event does not exist, the controlling class representative for this transaction will have limited consultation rights, and the applicable controlling class representative (or equivalent entity) or another directing holder pursuant to the related Controlling PSA will have consultation, approval and direction rights, with respect to certain major decisions (including with respect to assumptions, waivers, loan modifications and workouts) regarding such non-serviced whole loan, as provided for in the related co-lender agreement and in the related Controlling PSA, and as described under “Description of the Mortgage Pool—The Whole Loans” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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STRUCTURAL OVERVIEW (continued)

 

Whole Loans  

The Illinois Center 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, represents approximately 11.8% of the Initial Pool Balance, and has two related companion loans with an aggregate outstanding principal balance as of the Cut-off Date of $160,000,000. One such companion loan was contributed to the CGCMT 2015-GC33 securitization trust, and the other companion loan is currently held by Citigroup Global Markets Realty Corp., a sponsor and originator, and is expected to be contributed to one or more future securitization trusts. The pari passu companion loan described above in this paragraph is referred to in this Term Sheet as a “pari passu companion loan”, a “serviced companion loan” and a “companion loan”. The Illinois Center mortgage loan and the related pari passu companion loans are pari passu in right of payment to each other to the extent described under “Description of the Mortgage Pool—The Whole Loans” in the Free Writing Prospectus and are collectively referred to in this Term Sheet as the “Illinois Center whole loan”, a “non-serviced whole loan” and a “whole loan”. The Illinois Center whole loan will be serviced by the CGCMT 2015-GC33 master servicer and, if and to the extent necessary, the CGCMT 2015-GC33 special servicer, under the Citigroup Commercial Mortgage Trust 2015-GC33 pooling and servicing agreement (referred to as the “CGCMT 2015-GC33 PSA” in this Term Sheet).

 

The 750 Lexington Avenue mortgage loan, which will be contributed to the issuing entity, has an outstanding principal balance as of the Cut-off Date of $84,500,000, represents approximately 9.96% of the Initial Pool Balance, and has one related companion loan with an outstanding principal balance as of the Cut-off Date of $45,500,000, which is currently held by Citigroup Global Markets Realty Corp., a sponsor and originator, and is expected to be contributed to one or more future securitization trusts. The pari passu companion loan described above in this paragraph is referred to in this Term Sheet as a “pari passu companion loan”, a “serviced companion loan” and a “companion loan”. The 750 Lexington Avenue mortgage loan and the related pari passu companion loan are pari passu in right of payment to each other to the extent described under “Description of the Mortgage Pool—The Whole Loans” in the Free Writing Prospectus and are collectively referred to in this Term Sheet as the “750 Lexington Avenue whole loan”, a “serviced whole loan” and a “whole loan”.

 

The Hammons Hotel Portfolio mortgage loan, which will be contributed to the issuing entity, has an outstanding principal balance as of the Cut-off Date of $72,412,136, represents approximately 8.5% of the Initial Pool Balance, and has three related companion loans with an aggregate outstanding principal balance as of the Cut-off Date of $178,083,915. One such companion loan was contributed to the CGCMT 2015-GC33 securitization trust, and the other companion loans are currently held by Goldman Sachs Mortgage Company, a sponsor and originator, and are expected to be contributed to one or more future securitization trusts. Each pari passu companion loan described above in this paragraph is referred to in this Term Sheet as a “pari passu companion loan”, a “companion loan” and a “non-serviced companion loan”. The Hammons Hotel Portfolio mortgage loan and the related pari passu companion loans are pari passu in right of payment to each other to the extent described under “Description of the Mortgage Pool—The Whole Loans” in the Free Writing Prospectus and are collectively referred to in this Term Sheet as the “Hammons Hotel Portfolio whole loan”, a “whole loan” and a “non-serviced whole loan”. The Hammons Hotel Portfolio whole loan will be serviced by the CGCMT 2015-GC33 master servicer and, if and to the extent necessary, the CGCMT 2015-GC33 special servicer, under the CGCMT 2015-GC33 PSA.

 

The DoubleTree Hotel Universal mortgage loan, which will be contributed to the issuing entity, has an outstanding principal balance as of the Cut-off Date of $18,500,000, represents approximately 2.2% of the Initial Pool Balance, and has one related companion loan with an outstanding principal balance as of the Cut-off Date of $32,500,000, which is currently held by Goldman Sachs Mortgage Company, a sponsor and originator, and is expected to be contributed to one or more future securitization trusts. The pari passu companion loan described above in this paragraph is referred to in this Term Sheet as a “pari passu companion loan”, a “serviced companion loan” and a “companion loan”. The DoubleTree Hotel Universal mortgage loan and the related pari passu companion loan are pari passu in right of payment to each other to the extent described under “Description of the Mortgage Pool—The Whole Loans” in the Free Writing Prospectus and are collectively referred to in this Term Sheet as the “DoubleTree Hotel Universal whole loan”, a “serviced whole loan” and a “whole loan”.

 

The Hyatt Place Texas Portfolio mortgage loan, which will be contributed to the issuing entity, has an outstanding principal balance as of the Cut-off Date of $13,500,000, represents approximately 1.6% of the Initial Pool Balance, and has one related companion loan with an outstanding principal balance as of the Cut-off Date of $25,000,000, which is expected to be contributed to the JPMBB 2015-C32 securitization trust. The pari passu companion loan described above in this paragraph is referred to in this Term Sheet as a “pari passu companion loan”, a “non-serviced companion loan” and a “companion loan”. The Hyatt Place Texas Portfolio mortgage loan and the related pari passu companion loan are pari passu in right of payment to each other to the extent described under “Description of the Mortgage Pool—The Whole Loans” in the Free Writing Prospectus and are collectively referred to in this Term Sheet as the “Hyatt Place Texas Portfolio whole loan”, a “non-serviced whole loan” and a “whole loan”.

 

The Hyatt Place Texas Portfolio companion loan is expected to be contributed into the JPMBB 2015-C32 securitization trust. Until the Hyatt Place Texas Portfolio companion loan is included in the other securitization, the Hyatt Place Texas Portfolio companion loan will be serviced under the pooling and servicing agreement for this transaction and the related co-lender agreement. Upon the contribution of the Hyatt Place Texas Portfolio companion loan into the JPMBB 2015-C32 securitization, the Hyatt Place Texas Portfolio companion loan is expected to be serviced by the JPMBB 2015-C32 master servicer and, if and to the extent necessary, the JPMBB 2015-C32 special servicer, under the JPMBB 2015-C32 pooling and servicing agreement (referred to as the “JPMBB 2015-C32 PSA” in this Term Sheet).

 

For more information regarding the whole loans, see “—Transaction Parties and Significant Dates, Events and Periods—Companion Loan Holders” and “Description of the Mortgage Pool—The Whole Loans” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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STRUCTURAL OVERVIEW (continued)

 

Servicing Standard  

Each of the mortgage loans (other than non-serviced loans) and serviced whole loans will be serviced by the master servicer and the applicable special servicer pursuant to the terms of the pooling and servicing agreement. In all circumstances, each of the master servicer and the applicable special servicer are obligated to act in the best interests of the certificateholders (and, in the case of a serviced whole loan, the holder(s) of the related serviced companion loan(s)) as a collective whole as if such certificateholders (and, if applicable, such companion loan holder), constituted a single lender. The applicable 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:

 

(a)  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 mortgage loan rate and (iii) the yield on 10-year US treasuries; and 

(b)  all other cash flows, including property cash flow, the “discount rate” set forth in the most recent appraisal (or update of such appraisal).

 

Termination of Special Servicer

 

 

 

 

Prior to the occurrence and continuance of a Control Termination Event, the controlling class representative may replace the special servicer with respect to all the mortgage loans (other than the non-serviced loans) and the serviced whole loans , with or without cause, at any time. 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 class 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 (other than with respect to the non-serviced whole loans). The subsequent vote may result in the termination and replacement of such 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 R certificates) (considering each class 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, 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 reduction amount 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 class 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 such special servicer.

 

At any time after the occurrence and during the continuance of a Consultation Termination Event, if the operating advisor determines that the applicable 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 such special servicer resulting in a solicitation of a certificateholder vote. The subsequent vote may result in the termination and replacement of such 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 the 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 reduction amounts 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 class 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 such special servicer.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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STRUCTURAL OVERVIEW (continued)

 

Servicing Compensation  

If the special servicer becomes a “borrower party” (as described in the Free Writing Prospectus) with respect to a mortgage loan, the special servicer will not be permitted to act as special servicer with respect to that mortgage loan. Subject to certain limitations described in the Free Writing Prospectus, the Controlling Class Representative (so long as it is not itself a borrower party and so long as no Control Termination Event shall have occurred and be continuing) will be entitled to appoint a replacement special servicer for that mortgage loan. If the Controlling Class Representative is precluded from appointing a replacement special servicer, a replacement special servicer will be appointed in the manner specified in the pooling and servicing agreement for this transaction.

 

Modification Fees: With respect to those mortgage loans and the whole loan serviced under the pooling and servicing agreement (each, a “serviced loan”) certain fees resulting from modifications, amendments, waivers or other changes to the terms of the loan documents, as more fully described in the Free Writing Prospectus, will be used to offset expenses on the related serviced loan (i.e. reimburse the trust for certain expenses including unreimbursed advances and interest on unreimbursed advances previously incurred (other than special servicing fees, workout fees and liquidation fees)) on the related serviced 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. Any excess modification fees not so applied to offset expenses will be available as compensation to the master servicer and/or special servicer. Within any prior 12 month period, all excess modification fees earned by the master servicer or by the special servicer (after taking into account the offset described below applied during such 12-month period) with respect to any serviced 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.

 

All excess modification fees earned by either special servicer will be required to offset any future workout fees or liquidation fees payable with respect to the related serviced loan or related REO property; provided, that if the serviced 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 serviced loan ceasing to be a corrected loan will no longer be offset against future liquidation fees and workout fees unless such serviced loan ceased to be a corrected loan within 18 months of it becoming a modified mortgage loan (or modified whole loan, if applicable).

 

Penalty Fees: All late fees and default interest will first be used to reimburse certain expenses previously incurred with respect to the related serviced loan (other than special servicing fees, workout fees and liquidation fees) but not yet reimbursed to the trust, the master servicer or the special servicer or to pay certain expenses (other than special servicing fees, workout fees and liquidation fees) that are still outstanding on the related serviced loan , and any excess received with respect to a serviced loan will be paid to the master servicer (for penalty fees accrued while a non-specially serviced loan) and the applicable special servicer (for penalty fees accrued while a specially serviced loan). To the extent any amounts reimbursed out of penalty charges are subsequently recovered on a related serviced loan, they will be paid to the master servicer or special servicer who would have been entitled to the related penalty charges that were previously used to reimburse such expense.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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STRUCTURAL OVERVIEW (continued)

 

Servicing Compensation (continued)  

Liquidation / Workout Fees: Liquidation fees will be calculated at the lesser of (a) 1.0% and (b) such lower rate as would result in a liquidation fee of $1,000,000, for each serviced loan that is a specially serviced loan and any REO property, subject in any case to a minimum liquidation fee of $25,000. For any serviced loan that is a corrected loan, workout fees will be calculated at the lesser of (a) 1.0% and (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 (other than default interest and, if applicable, post-ARD excess interest) on the related serviced loan from the date such serviced loan becomes a corrected loan through and including the then related maturity date or anticipated repayment date; or in any case such higher rate as would result in a workout fee of $25,000 when applied to each expected payment of principal and interest (other than default interest and, if applicable, post-ARD excess interest) on the related serviced loan from the date such serviced loan becomes a corrected loan through and including the then related maturity date or anticipated repayment 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 serviced loan within 90 days of the maturity default.

 

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 consultation rights. After the occurrence and during the continuance of a Control Termination Event, the operating advisor will be entitled to consult with the applicable 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 serviced whole 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. However, the operating advisor has no rights or obligations with respect to the non-serviced whole loans.

 

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-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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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CERTAIN DEFINITIONS

 

ADR”: Means, for any hospitality property, average daily rate.

 

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 complete,” “as stabilized,” “as repaired,” “hypothetical,” “prospective as-is”, “value upon completion”, “as renovated” or similar 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 Hammons Hotel Portfolio mortgage loan, the Appraised Value represents the aggregate “as-is” appraised value of $363,750,000 plus a $3,570,502 capital deduction related to franchise mandated capital improvements at the three related mortgaged properties for which the borrowers reserved $7,890,000 for the estimated mandatory and additional elective capital improvement costs. With respect to the Hyatt Place Texas Portfolio mortgage loan, the appraised value represents the appraiser’s aggregate “as complete” appraised value relating to PIPs at each of the respective mortgaged properties. 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.

 

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.

 

FF&E”: Furniture, fixtures and equipment.

 

GLA”: Gross leasable area.

 

Hard Lockbox”: An account controlled by the lender into which the borrower is required to direct the tenants to pay rents directly. 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.

 

MSA”: Metropolitan statistical area.

 

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.

 

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.

 

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.

 

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 reduction amounts 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.

 

Occupancy Cost”: With respect to any mortgaged property, total rental revenues divided by total sales.

 

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.

 

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.

 

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.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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CERTAIN DEFINITIONS (continued)

 

Owned Occupancy”: With respect to any particular mortgaged property, as of a certain date (or, in the case of a hospitality property, for a trailing 12-month period ending on a certain date), the percentage of net rentable square footage, available rooms, units or pads that are leased or rented (as applicable), solely with respect to the aggregate leased space, available rooms, units 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.

 

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.

 

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.

 

Rating Agency Confirmation”: With respect to any matter, confirmation in writing (which may be in electronic form) by the rating agencies engaged by the depositor 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 (or, with respect to a matter that affects a serviced 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.

 

RevPAR”: With respect to any hospitality property, revenues per available room.

 

SF”: Square feet.

 

Soft Lockbox”: An account into which the related borrower is required to deposit or cause the property manager to deposit all rents collected. Hospitality properties, multifamily properties 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.

 

Soft Springing Lockbox”: An account into which the related borrower is required to deposit, or cause the property manager to deposit, all rents collected until the occurrence of an event of default or one or more specified trigger events under the loan documents, at which time the lockbox account converts to a Hard Lockbox.

 

Springing Lockbox”: An account that is not currently in place, but the related loan documents require the imposition of a lockbox account upon the occurrence of an event of default or one or more specified trigger events under the loan documents.

 

Total Occupancy”: With respect to any particular mortgaged property, as of a certain date (or, in the case of a hospitality property, for a trailing 12-month period ending on a certain date), the percentage of net rentable square footage, available rooms, units or pads that are leased or rented (as applicable), for the aggregate leased space, available 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.

 

TRIPRA”: The Terrorism Risk Insurance Program Reauthorization Act of 2015.

 

TTM”: Trailing twelve months.

 

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.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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CERTAIN DEFINITIONS (continued)

 

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.

 

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 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.

 

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 15 months past the Cut-off Date (or, in the case of one mortgaged property, up to 48 months), 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 period or in some cases may have relied on information provided in the appraisal for market rental rates and vacancy. In certain cases, with respect to mortgaged properties with leases with rent increases during the term of the related mortgage loan, Underwritten Revenues were based on the weighted average rent over the term of the mortgage loan. In certain 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. 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 2   Loan Seller   CGMRC
Location (City/State) Chicago, Illinois   Cut-off Date Principal Balance(3)   $100,000,000
Property Type Office   Cut-off Date Principal Balance per SF(1)   $124.29
Size (SF) 2,091,889   Percentage of Initial Pool Balance   11.8%
Total Occupancy as of 6/29/2015 72.3%   Number of Related Mortgage Loans   None
Owned Occupancy as of 6/29/2015 72.3%   Type of Security   Fee Simple
Year Built / Latest Renovation Various / 2011-2014   Mortgage Rate   4.4950%
Appraised Value $390,000,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Term (Months) 60
Underwritten Revenues $53,299,974    
Underwritten Expenses $29,752,726     Escrows  
Underwritten Net Operating Income (NOI) $23,547,248     Upfront Monthly
Underwritten Net Cash Flow (NCF) $21,333,686   Taxes $1,922,899 $961,450
Cut-off Date LTV Ratio(1) 66.7%   Insurance $0 $0
Maturity Date LTV Ratio(1)(2) 50.6%   Replacement Reserve $0 $34,865
DSCR Based on Underwritten NOI / NCF(1) 1.49x / 1.35x   TI/LC(4) $12,500,000 $0
Debt Yield Based on Underwritten NOI / NCF(1) 9.1% / 8.2%   Other(5) $18,182,623 $0

 

             
Sources and Uses
Sources $ %   Uses $ %
Whole Loan Amount $260,000,000 62.7%   Purchase Price $376,000,000 90.6%
Principal’s Equity Contribution 139,713,237 33.7   Reserves 32,605,522 7.9
Other Sources 15,081,343 3.6   Closing Costs 6,189,058 1.5
             
Total Sources $414,794,580 100.0%   Total Uses $414,794,580 100.0%

 

 
(1)Calculated based on the aggregate outstanding principal balance of the Illinois Center Whole Loan.
(2)The Maturity Date LTV Ratio is calculated based on “as stabilized” appraised value of $470,000,000 as of July 1, 2017. The Maturity Date LTV Ratio calculated based on “as-is” appraised value is 61.0%. See “—Appraisal” below.
(3)The Illinois Center Loan, with an outstanding principal balance as of the Cut-off Date of $100,000,000, is evidenced by the non-controlling note A-2, and is part of the $260,000,000 Illinois Center Whole Loan, which is evidenced by three pari passu notes. The companion loans are evidenced by (i) the controlling note A-1, with an outstanding principal balance as of the Cut-off Date of $100,000,000, which was contributed to the CGCMT 2015-GC33 securitization transaction and (ii) the non-controlling note A-3, with an outstanding principal balance as of the Cut-off Date of $60,000,000, which is expected to be contributed to a future securitization transaction. See “— The Mortgage Loan” below.
(4)Subject to reduction and cap upon certain conditions. See “—Escrows” below.
(5)Other upfront reserves represent rent concessions of $9,522,058, unfunded obligations of $7,841,315 and deferred maintenance of $819,250 for façade repairs. See “—Escrows” below.

 

The Mortgage Loan. The mortgage loan (the “Illinois Center Loan”) is part of a whole loan (the “Illinois Center Whole Loan”) evidenced by three pari passu notes that are together secured by a first mortgage encumbering the borrowers’ fee simple interest in two adjacent office buildings with ground floor retail in Chicago, Illinois (the “Illinois Center Property”). The Illinois Center Loan, which is evidenced by note A-2 and represents a non-controlling interest in the Illinois Center Whole Loan, has an outstanding principal balance as of the Cut-off Date of $100,000,000 and represents approximately 11.8% of the Initial Pool Balance. The related companion loans (the “Illinois Center Companion Loans”), which are evidenced by notes A-1 (controlling interest in the Illinois Center Whole Loan) and A-3 (non-controlling interest in the Illinois Center Whole Loan) have an aggregate outstanding principal balance as of the Cut-off Date of $160,000,000. The $100,000,000 note A-1 was securitized in the CGCMT 2015-GC33 securitization transaction and the $60,000,000 note A-3 is expected to be contributed to a future securitization transaction. The Illinois Center Whole Loan was originated by Citigroup Global Markets Realty Corp. on August 4, 2015. The Illinois Center Whole Loan has an outstanding principal balance as of the Cut-off Date of $260,000,000 and accrues interest at an interest rate of 4.4950% per annum. The proceeds of the Illinois Center Whole Loan were used to acquire the Illinois Center Property, pay origination costs and fund reserves.

 

The Illinois Center Loan had an initial term of 120 months, and has a remaining term as of the Cut-off Date of 118 months. The Illinois Center Loan requires interest only payments on each due date through and including the due date occurring in August 2020 and thereafter requires payments of interest and principal based on a 30-year amortization schedule. The scheduled maturity date of the Illinois Center Loan is the due date in August 2025. Voluntary prepayment of the Illinois Center Loan without payment of any prepayment premium is permitted on or after the due date in April 2025. Provided no event of default under the Illinois Center Loan documents has occurred and is continuing, at any time prior to the maturity date and after the earlier to occur of (i) the second anniversary of the closing date of the securitization into which the last piece of the Illinois Center Whole Loan is deposited and (ii) the third anniversary of the origination of the Illinois Center Whole Loan, the Illinois Center 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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ILLINOIS CENTER

 

may be defeased with certain direct, non-callable obligations of the United States of America or other obligations which are “government securities” permitted under the Illinois Center Loan documents.

 

The Mortgaged Property. The Illinois Center Property consists of two adjoining Class A office towers that comprise part of the Illinois Center complex: 111 East Wacker, consisting of 1,018,462 SF and constructed in 1969, and 233 North Michigan Avenue, consisting of 1,073,427 SF and constructed in 1972. Both buildings underwent renovations between 2011 and 2014. The buildings are connected by a main concourse area at the second level, along with a lower-level pedestrian concourse and four levels of subterranean parking which contains 872 parking spaces for a parking ratio of 0.41. The typical floor plate is approximately 34,000 SF. Total Occupancy and Owned Occupancy at the Illinois Center Property were both 72.3% as of June 29, 2015.

 

The following table presents certain information relating to the major tenants at the Illinois Center Property:

 

Tenant Name

 

Tenant Description

 

Renewal/Extension
Options

General Services Administration  

General Services Administration leases the space on behalf of the U.S. Department of Health and Human Services (“HHS”). HHS provides for effective health and human services and fosters advances in medicine, public health, and social services. The Region 5 division serves state and local organizations in Illinois, Indiana, Michigan, Minnesota, Ohio, and Wisconsin. According to the 2014 Summary of Performance and Financial Information, HHS reported total assets of $482.3 billion and a net position of $358.2 billion.

  NA
         
Bankers Life and Casualty   Founded in 1879, Bankers Life and Casualty (“Bankers Life”) provides life and health insurance products for Americans who are near or in retirement. With over 300 offices nationwide, Bankers Life serves over 1.4 million customers. Bankers Life is a part of CNO Financial Group which reported financials for Calendar Year End (“CYE”) 2014 with total assets of $31.2 billion and a net income of $51.4 million, which can be compared to financials for CYE 2013 with total assets of $34.8 billion and a net income of $478 million.   2, 5-year options
         
Combined Insurance Company  

Combined Insurance Company specializes in supplemental insurance and offers products in North America, Europe, and Asia. The company was founded in 1922 and sold to current owner ACE Limited (NYSE: ACE) in 2008. ACE Limited is the parent company of ACE Group, a multiline property and casualty insurer with operations in 54 countries. ACE Limited reported financials for CYE 2014 with total assets of $98.2 billion and a net income of $2.9 billion, which can be compared to CYE 2013 with total assets of $94.5 billion and a net income of $3.8 billion.

  2, 5-year options
         
Clear Channel Broadcasting   IHeartMedia, Inc. (OTCBB: IHRT), formerly known as Clear Channel Broadcasting, owns and operates 858 broadcast radio stations and the industry-leading iHeartRadio digital service, serving more than 245 million monthly listeners.   1, 5-year option
         
Young & Rubicam, Inc.   Young & Rubicam, Inc. (“Y&R”) is a marketing and communications company specializing in advertising, digital and social media, sales promotion, direct marketing and brand identity consulting.   1, 5-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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

36
 

 

ILLINOIS CENTER

 

The following table presents certain information relating to the major tenants at the Illinois Center 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

General Services Administration   NR / Aaa / NR   184,042   8.8%   $5,109,580   16.6%   $27.76   11/30/2020   NA
Bankers Life and Casualty(2)   BB+ / Ba1 / BB+   139,252   6.7   2,710,612   8.8   19.47   8/31/2023   2, 5-year options
Combined Insurance Company(3)   NR / NR / NR   99,204   4.7   1,717,364   5.6   17.31   7/14/2021   2, 5-year options
Clear Channel Broadcasting   NR / NR / NR   73,353   3.5   1,441,860   4.7   19.66   7/31/2024   1, 5-year option
Young & Rubicam, Inc.   BBB+ / NR / BBB   69,292   3.3   1,323,477   4.3   19.10   11/30/2018   1, 5-year option
Zenith Media Services, Inc.(4)   NR / Baa2 / BBB+   66,768   3.2   1,300,036   4.2   19.47   7/31/2019   1, 5-year option
Taft Stettinius & Hollister   NR / NR / NR   69,298   3.3   1,175,690   3.8   16.97   5/31/2025   1, 5-year option
American Health Information   NR / NR / NR   34,780   1.7   702,904   2.3   20.21   10/31/2024         1, 5-year option
Burrell Communications Group(5)   NR / NR / NR   34,508   1.6   690,160   2.2   20.00   12/31/2023   NA
State Boards of Nursing   NR / NR / NR  

35,174 

 

1.7

 

666,036 

 

2.2

 

18.94

  4/30/2022      1, 5-year option
Ten Largest Tenants       805,671   38.5%   $16,837,718      54.7%   $20.90        
Remaining Tenants       707,060   33.8   13,949,676   45.3   19.73        
Vacant      

579,158 

 

27.7

0

 

0.0

 

0.00

       
Total / Wtd. Avg. All Tenants       2,091,889   100.0%   $30,787,394   100.0%   $20.35        

 

 
(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.
(2)Bankers Life and Casualty has the right to reduce its premises by 16,500 to 17,500 SF on August 31, 2019.
(3)Combined Insurance Company has a contraction right to reduce its premises by 20,000 SF on July 14, 2017 with between 14 to 18 months’ notice and payment of a contraction fee. The tenant also has an option to terminate its lease on July 14, 2018 with at least 12 months’ notice and payment of a termination fee.
(4)Zenith Media Services, Inc. has an option to terminate its lease on January 31, 2017 with 12 months’ notice.
(5)Burrell Communications Group has an option to terminate its lease on December 31, 2021 with 12 months’ notice.

 

The following table presents the lease rollover schedule at the Illinois 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(2)   20,938   1.0%   1.0%   $126,257   0.4%   $6.03   16
2015   16,165   0.8   1.8%   393,569   1.3   24.35   5
2016   118,800   5.7   7.5%   2,345,795   7.6   19.75   23
2017   108,617   5.2   12.6%   2,312,555   7.5   21.29   19
2018   129,786   6.2   18.8%   2,620,885   8.5   20.19   19
2019   100,655   4.8   23.7%   1,918,218   6.2   19.06   7
2020   249,393   11.9   35.6%   6,232,832   20.2   24.99   10
2021   169,498   8.1   43.7%   3,073,096   10.0   18.13   7
2022   48,956   2.3   46.0%   1,044,309   3.4   21.33   4
2023   223,270   10.7   56.7%   4,626,316   15.0   20.72   8
2024   144,061   6.9   63.6%   2,761,571   9.0   19.17   4
2025   94,294   4.5   68.1%   1,783,062   5.8   18.91   4
2026 & Thereafter   88,298   4.2   72.3%   1,548,929   5.0   17.54   6
Vacant  

579,158

 

27.7

  100.0%  

0

 

0.0

 

0.00

 

0

Total / Wtd. Avg.   2,091,889   100.0%       $30,787,394   100.0%   $20.35   132

 

 

(1)Calculated based on approximate square footage occupied by each Owned Tenant.
(2)Approximately 16,599 SF of the month-to-month space represents non-rentable space at the Illinois Center Property. Such space is currently utilized as a conference center, fitness center and security and management office and does not contribute any rental 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

37
 

 

ILLINOIS CENTER

 

The following table presents certain information relating to historical leasing at the Illinois Center Property:

 

Historical Leased %(1)

 

 

 

2010(2)

 

2011(2)

 

2012(2)

 

2013(2)

 

2014(2)

 

As of 6/29/2015

Owned Space   84.0%   90.9%   82.9%   74.9%   73.6%   72.3%

 

 
(1)As provided by the borrowers and which reflects average occupancy for the specified year unless otherwise indicated.
(2)The Illinois Center Property was remeasured in 2013/2014 resulting in increased total rentable square footage. Historical occupancy figures are based on total square footage of 2,026,835 for all years prior to 2015.

 

The following table presents certain information relating to the historical average annual rent per SF at the Illinois Center Property:

 

Historical Average Base Rent per SF(1)

 

 

 

2013

 

2014

 

TTM
6/30/2015

Base Rent per SF (Triple Net Basis)   $17.06   $17.38   $15.11

 

 
(1)Base Rent per SF calculation is based on borrower-provided rental figures and total square footage of 2,026,835 for years 2013 and 2014. The Illinois Center Property was acquired by the borrowers in 2015, and operating statements for years prior to 2013 were not provided.

 

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 Illinois Center Property:

 

Cash Flow Analysis(1)

 

 

 

 

2013

 

2014

 

TTM 6/30/2015(2) (3)

 

Underwritten(2) 

 

Underwritten
$ per SF 

Base Rent   $25,897,606   $23,366,087   $22,853,746   $29,093,671   $19.23
Contractual Rent Steps(4)   0   0   0   1,693,723   1.12
Gross Up Vacancy  

0

 

0

 

0

 

18,079,522

 

11.95

Total Rent   $25,897,606   $23,366,087   $22,853,746   $48,866,916   $32.30
Total Reimbursables   16,224,217   14,398,844   15,954,033   16,694,403   11.04
Parking Income   4,572,178   4,840,830   4,925,213   4,925,213   3.26
Other Income(5)   860,193   846,936   892,964   892,964   0.59
Vacancy & Credit Loss  

(70,052

)

(256,544)

 

(683,173)

 

(18,079,522)

 

(11.95)

Effective Gross Income   $47,484,142   $43,196,152   $43,942,782   $53,299,974   $35.23
                     
Real Estate Taxes   $12,058,223   $10,971,204   $10,893,219   $11,309,640   $7.48
Insurance   392,576   340,584   283,298   523,401   0.35
Management Fee   1,290,956   1,174,443   1,148,016   1,000,000   0.66
Other Operating Expenses  

14,699,244

 

16,364,606

 

16,765,036

 

16,919,685 

 

11.18

Total Operating Expenses   $28,440,999   $28,850,838   $29,089,569   $29,752,726   $19.67
                     
Net Operating Income   $19,043,143   $14,345,314   $14,853,213   $23,547,248   $15.57
TI/LC   0   0   0   1,795,184   1.19
Replacement Reserves  

0

 

0

 

0

 

418,378 

 

0.28

Net Cash Flow   $19,043,143   $14,345,314   $14,853,213   $21,333,686   $14.10

 

 
(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)The increase between TTM 6/30/2015 and Underwritten Effective Gross Income is primarily due to an increase in Base Rent and Total Reimbursements from new leases signed during the first half of 2015 and Contractual Rent Steps.
(3)The Net Operating Income for the period beginning on January 1, 2015 and ending on June 30, 2015 was $9,694,657.
(4)Contractual Rent Steps are underwritten based upon the actual scheduled rent increases on August 1, 2016 for 111 East Wacker and on December 1, 2016 for 233 North Michigan Avenue.
(5)Other income includes other services income, design directory income, miscellaneous license agreements, 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

38
 

 

ILLINOIS CENTER

 

Appraisal. According to the appraisal, the Illinois Center Property had an “as-is” appraised value of $390,000,000 as of June 24, 2015 and an “as stabilized” appraised value of $470,000,000 as of July 1, 2017 based on an assumed stabilized occupancy rate of 89.0%.

 

Environmental Matters. Based on the Phase I environmental report dated August 4, 2015, there were no recommendations for further action for the Illinois Center Property other than the continuation of an operations and maintenance plan for asbestos specifically for the 111 East Wacker property, which was in place at origination of the Illinois Center Loan.

 

Market Overview and Competition. The Illinois Center Property is located between North Michigan and Stetson avenues on East Wacker in Chicago’s Central Business District. Land uses in the immediate area west of Michigan Avenue primarily consist of a mixture of mid- to high-rise commercial office and retail properties, hotels, and government facilities. Millennium and Grant Parks, as well as the Art Institute of Chicago are located to the east of the Illinois Center Property on Michigan Avenue. The Chicago Transit Authority elevated tracks are situated just one block west of the Illinois Center Property at Randolph Street and Wabash Avenue. The Illinois Center Property is also three blocks north of Congress Parkway, which becomes Interstate 290, and one mile east of Interstate 90/94. According to the appraisal, the 2015 population within the 0.25-, 0.5-, and 1.0-mile radii are 5,041, 29,355, and 73,280, respectively. The 2015 estimated average household income within the 0.25-, 0.5-, and 1.0-mile radii are $121,665, $123,924 and $124,390, respectively.

 

The Illinois Center Property is part of the East Loop submarket which is generally bounded by the Chicago River along the north and west, Lake Michigan on the east and Congress Parkway on the south. Per the appraiser, the East Loop submarket is comprised of 22 million SF with a current vacancy of 15.8% and average gross asking rent of $33.57 per SF as of the first quarter of 2015. There is no new office construction specific to the East Loop underway or proposed.

 

The appraiser has identified five office lease comparables which have occupancy rates between 61% to 99% and quoted base rent of $16.00 to $26.00 per SF. The appraiser concluded a base rental rate of between $17.00 to $19.00 per SF for the office space, $55.00 and $80.00 per SF for the retail space at the 111 East Wacker property and the 233 North Michigan Avenue property, respectively, and $15.00 per SF for storage space. The appraiser also concluded a stabilized vacancy rate of 11% for the Illinois Center Property.

 

The following table presents certain information relating to certain office lease comparables provided in the appraisal for the Illinois Center Property:

 

Office Lease Comparables(1)

  

 

Illinois Center
Property

 

One & Two
Prudential Plaza 

 

Aon Center

 

Borg Warner
Building

 

 

Three Illinois
Center
 

 

200 North LaSalle

Address   111 E. Wacker Drive & 233 North Michigan Avenue  

130 East Randolph Street &

180 North Stetson Avenue

 

  200 E. Randolph Street   200 South Michigan Avenue   303 E. Wacker Drive   200 North LaSalle Street
Year Built / Renovated   1969, 1972 / 2011-2014   1955 / NAP   1972 / NAP   1957 / NAP   1979 / NAP   1984 / NAP
Total GLA   2,091,889   2,194,385   2,577,318   358,802   859,187   645,170
Occupancy %   72%   65%   83%   88%   61%   99%
Quoted Base Rent   -   $18.00 - $26.00   $18.00 - $22.00   $16.00 - $18.00   $17.00 - 22.00   $18.00 - $20.00
Expense Basis       Triple Net   Triple Net   Triple Net   Triple Net   Triple Net

 

 
(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

39
 

 

ILLINOIS CENTER

 

The Borrowers. The borrowers are IC 233 Building Company LLC and IC 111 Building Company LLC, two single-purpose, single-asset Delaware limited liability companies. Legal counsel to the borrowers delivered a non-consolidation opinion in connection with the origination of the Illinois Center Whole Loan. The guarantor of the non-recourse carveouts is Michael Karfunkel.

  

Michael Karfunkel founded AmTrust Realty Corp. in 1993. AmTrust Realty Corp. owns eight million SF of commercial real estate including 59 Maiden Lane and 250 Broadway in downtown Manhattan, 303 South Broadway in Tarrytown, NY, AXA Towers in Syracuse, NY, 135 South LaSalle, 33 West Monroe, and 1 East Wacker Drive in Chicago, and Fifth Third Center in Toledo, OH.

 

Escrows. On the origination date of the Illinois Center Loan, the borrowers funded a reserve of (i) $1,922,899 for real estate taxes, (ii) $12,500,000 for tenant improvements and leasing commissions, (iii) $9,522,058 representing the amount of future rent credits or abatements under leases at the Illinois Center Property in place as of the origination date, (iv) $7,841,315 for unfunded tenant improvement and leasing commission obligations under leases at the Illinois Center Property in place as of the origination date, and (v) $819,250 for deferred maintenance.

 

On each due date, the borrowers are required to pay to the lender (i) one-twelfth of the taxes that the lender estimates will be payable over the then succeeding 12-month period, (ii) at the option of the lender, if the liability or casualty policy maintained by the borrowers does not constitute an approved blanket or umbrella insurance policy under the Illinois Center 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, (iii) a tenant improvements and leasing commissions reserve (the “Leasing Reserve”) subject to suspension and/or reduction as set forth below, and (iv) a replacement reserve in the amount of $34,865.

 

The borrowers are not required to make a monthly Leasing Reserve payment unless the Leasing Reserve account falls below a minimum balance (initially, $7,500,000), after which the borrowers must pay the Leasing Reserve monthly payment until the Leasing Reserve equals or exceeds the Leasing Reserve cap (initially, $15,000,000). If the Illinois Center Property achieves a debt yield of 10% (as determined by the lender in its reasonable discretion) for two consecutive calendar quarters, the Leasing Reserve cap will be reduced to $6,000,000 and the minimum balance will be reduced to $2,500,000. If for two consecutive calendar quarters (i) the Illinois Center Property achieves a debt yield of 13% (as determined by the lender in its reasonable discretion) and (ii) the physical occupancy rate for the Illinois Center Property equals or exceeds 95%, the Leasing Reserve cap will be reduced to $2,500,000, the minimum balance will be reduced to $0, and the Leasing Reserve monthly deposit amount will be reduced to $87,162.

 

Lockbox and Cash Management. The Illinois Center Loan documents require a hard lockbox with springing cash management. The Illinois Center Loan documents require the borrowers to direct all tenants to pay rent directly to a lender-controlled lockbox account and require that all other money received by the borrowers with respect to the Illinois Center Property be promptly deposited into such lockbox account following receipt. So long as an Illinois Center Trigger Period is not in effect, all funds in the lockbox account are required to be swept and remitted on each business day to the borrowers’ operating account. During the continuance of an Illinois Center Trigger Period, all funds in the lockbox account are required to be transferred on each business day to a lender-controlled cash management account, and if no event of default under the Illinois Center Loan documents is continuing, applied to pay debt service and operating expenses of the Illinois Center Property and to fund required reserves in accordance with the Illinois Center Loan documents. After the foregoing disbursements are made and so long as an Illinois Center Trigger Period is continuing, all excess cash is trapped in an excess cash account and held as additional collateral for the Illinois Center Whole Loan. During the continuance of an event of default under the Illinois Center Loan documents, the lender may apply any funds in the cash management account to amounts payable under the Illinois Center Whole Loan and/or toward the payment of expenses of the Illinois Center Property, in such order of priority as the lender may determine.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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ILLINOIS CENTER

 

An “Illinois Center Trigger Period” means a period (i) commencing upon the occurrence of an event of default under the Illinois Center Loan documents and continuing until the same is cured, or (ii) commencing on the date that the trailing 12-month debt service coverage ratio is less than 1.15x and continuing until the debt service coverage ratio is equal to or greater than 1.15x for two consecutive calendar quarters.

 

Property Management. The Illinois Center Property is currently managed by AmTrust Realty Corp., an affiliate of the borrowers. Under the Illinois Center Loan documents, the Illinois Center Property may not be managed by any party other than AmTrust Realty Corp.; provided, however, that so long as no event of default under the Illinois Center Loan documents exists, the borrowers can replace AmTrust Realty Corp. with a property manager upon notice to the lender, provided that (i) the replacement would not cause a termination right, right of first refusal, first offer or any other similar right or cause any termination fees to be due or cause a material adverse effect to occur under any reciprocal easement agreement or certain other documents affecting the Illinois Center Property, (ii) the replacement property manager meets certain criteria and is reasonably approved by the lender in writing, or is otherwise approved by the lender in writing (which approval may be conditioned upon receipt of a rating agency confirmation) and (iii) if such property manager is an affiliate of the borrowers, a new non-consolidation opinion is provided from the borrowers’ counsel. The lender has the right to terminate the management agreement and replace the property manager or require that the borrowers terminate the management agreement and replace the property manager if (a) the property manager becomes a debtor in (i) any involuntary bankruptcy or insolvency proceeding that is not dismissed within 90 days of the filing thereof or (ii) any voluntary bankruptcy or insolvency proceeding, (b) there exists an Illinois Center Trigger Period, (c) the property manager has engaged in gross negligence, fraud, willful misconduct or misappropriation of funds or (d) there exists a default by the property manager beyond all applicable notice and cure periods under the management agreement.

  

Parking at the Illinois Center Property is managed by System Parking, Inc., and the borrowers have the right to replace the parking manager upon notice to the lender provided that (i) no event of default has occurred and is continuing under the Illinois Center Loan documents, (ii) the borrowers deliver an officer’s certificate certifying that the replacement would not cause a termination right, right of first refusal, first offer or any other similar right or cause any termination fees to be due or cause a material adverse effect to occur under any reciprocal easement agreement or certain other Illinois Center Loan documents, and (iii) the replacement parking manager is one of certain specified parking managers and the replacement parking management agreement meets certain terms.

  

Mezzanine or Subordinate Indebtedness. Not permitted.

  

Terrorism Insurance. The borrowers are required to maintain an “all-risk” insurance policy that provides coverage for terrorism in an amount equal to the full replacement cost of the Illinois Center Property (plus 18 months of rental loss and/or business interruption coverage plus an additional period of indemnity covering the 6 months following restoration). See “Risk Factors—Terrorism Insurance May Be Unavailable or Insufficient” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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750 LEXINGTON AVENUE

 

 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   CGMRC
Location (City/State) New York, New York   Cut-off Date Principal Balance(2)   $84,500,000
Property Type Mixed Use   Cut-off Date Principal Balance per SF(1)   $340.09
Size (SF) 382,256   Percentage of Initial Pool Balance   9.96%
Total Occupancy as of 5/1/2015 100.0%   Number of Related Mortgage Loans(3)   2
Owned Occupancy as of 5/1/2015 100.0%   Type of Security Fee Simple / Leasehold
Year Built / Latest Renovation 1986 / NAP   Mortgage Rate   4.5500%
Appraised Value $300,000,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Term (Months) 60
Underwritten Revenues $30,029,402          
Underwritten Expenses $17,373,051     Escrows    
Underwritten Net Operating Income (NOI) $12,656,351     Upfront   Monthly
Underwritten Net Cash Flow (NCF) $11,781,648   Taxes $2,724,550   $544,910
Cut-off Date LTV Ratio(1) 43.3%   Insurance $0   $0
Maturity Date LTV Ratio(1) 39.7%   Replacement Reserve $0   $6,371
DSCR Based on Underwritten NOI / NCF(1) 1.59x / 1.48x   TI/LC(4) $0   $32,232
Debt Yield Based on Underwritten NOI / NCF(1) 9.7% / 9.1%   Other(5) $8,446,960   $348,480
                           
Sources and Uses  
Sources   $   %   Uses   $   %  
Whole Loan Amount   $130,000,000   99.9 %   Loan Payoff   $71,547,059   55.0 %  
Other Sources   115,000   0.1     Principal Equity Distribution   44,336,230   34.1    
              Reserves   11,171,510   8.6    
              Closing Costs   2,616,056   2.0    
              Other Uses   444,144   0.3    
Total Sources   $130,115,000   100.0 %   Total Uses   $130,115,000   100.0 %  

 

 
(1)Calculated based on the aggregate outstanding principal balance of the 750 Lexington Avenue Whole Loan.
(2)The 750 Lexington Avenue Loan, with an outstanding principal balance as of the Cut-off Date of $84,500,000, is evidenced by the controlling note A-1, and is part of the $130,000,000 750 Lexington Avenue Whole Loan, which is evidenced by two pari passu notes. The companion loan, evidenced by the non-controlling note A-2 which has an outstanding principal balance as of the Cut-off Date of $45,500,000, is expected to be contributed to a future securitization transaction. See “— The Mortgage Loan” below.
(3)The indirect owner of the borrower is also the indirect owner of the borrower for the 222 East 59th Street Loan.
(4)The TI/LC Reserve is subject to a $1,933,920 cap (with replenishment).
(5)Other upfront reserves represent tenant improvement and leasing commission reserve of $7,750,000 associated with the Lock Lorde space, and a ground rent reserve of $696,960. Other monthly reserve represents 1/12th of the borrower’s annual ground rent payments. See “—Escrows” below.
The Mortgage Loan. The mortgage loan (the “750 Lexington Avenue Loan”) is part of a whole loan (the “750 Lexington Avenue Whole Loan”) evidenced by two pari passu notes that are together secured by a first mortgage encumbering the borrower’s fee simple and leasehold interests in a 31-story office and retail building located in Midtown Manhattan, New York (the “750 Lexington Avenue Property”). The 750 Lexington Avenue Loan, which is evidenced by note A-1 and represents a controlling interest in the 750 Lexington Avenue Whole Loan, had an original principal balance of $84,500,000, has an outstanding principal balance as of the Cut-off Date of $84,500,000 and represents approximately 9.96% of the Initial Pool Balance. The related companion loan (the “750 Lexington Avenue Companion Loan”), which is evidenced by note A-2 (the non-controlling interest in the 750 Lexington Avenue Whole Loan) had an original principal balance of $45,500,000, has an outstanding principal balance as of the Cut-off Date of $45,500,000, is currently held by Citigroup Global Markets Realty Corp. and is expected to be contributed to a future securitization transaction. The 750 Lexington Avenue Whole Loan was originated by Citigroup Global Markets Realty Corp. on September 10, 2015. The 750 Lexington Avenue Whole Loan had an original principal balance of $130,000,000, has an outstanding principal balance as of the Cut-off Date of $130,000,000 and accrues interest at an interest rate of 4.5500% per annum. The proceeds of the 750 Lexington Avenue Whole Loan were primarily used to refinance the 750 Lexington Avenue Property, pay origination costs and fund reserves.

The 750 Lexington Avenue Loan had an initial term of 120 months, and has a remaining term as of the Cut-off Date of 120 months. The 750 Lexington Avenue Loan requires interest only payments on each due date through and including the due date occurring in October 2020 and thereafter requires payments of interest and principal based on a 30-year amortization schedule. The scheduled maturity date of the 750 Lexington Avenue Loan is the due date in October 2025. Voluntary prepayment of the 750 Lexington Avenue Loan without payment of any prepayment premium is permitted on or after the due date in July 2025. Provided no event of default under the 750 Lexington Avenue Whole Loan documents has occurred and is continuing, at any time prior to the maturity date and after the earlier to occur of (i) the second anniversary of the closing date of the securitization into which

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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the last piece of the 750 Lexington Avenue Whole Loan is deposited and (ii) the fourth anniversary of the origination of the 750 Lexington Avenue Whole Loan, the 750 Lexington Avenue Whole Loan may be defeased with certain direct, non-callable obligations of the United States of America or other obligations which are “government securities” permitted under the 750 Lexington Avenue Whole Loan documents.

 

The Mortgaged Property. The 750 Lexington Avenue Property consists of a 382,256 SF, 31-story, Class A office building with ground floor retail located on Lexington Avenue between East 59th and 60th Streets in Midtown Manhattan. The 750 Lexington Avenue Property was built in 1986 and is comprised of 335,576 SF of office space, 22,680 SF of retail space, and 24,000 SF of parking space. The retail space is 100% leased to three tenants, Sephora, USA, Jones Retail Corp (dba Nine West) and Zara International. The parking garage is located in concourse level 2, contains 134 spaces, and is operated under a parking service agreement by Ampco Parking SVC. Total Occupancy and Owned Occupancy at the 750 Lexington Avenue Property were both 100.0% as of May 1, 2015. A portion of the 750 Lexington Avenue Property, containing 7,676 SF of the 24,602 SF site, located at the southwest corner of East 60th Street and Lexington Avenue, is ground leased by the borrower pursuant to terms as described below.

 

Ground Lease. 7,676 SF of the 24,602 SF site is encumbered by a ground lease between the borrower, as ground lessee, and Siegel Family Associates, as ground lessor. The current term of the ground lease expires on December 31, 2041 with three, 12-year renewal options (December 31, 2077 being the fully extended expiration date). The ground rent from January 2012 through December 2017 is calculated as 110% of the prior rent (calculated as 9% of the fair market value of the land during the period January 1, 2006, through December 31, 2011) and currently is equal to $4,181,760. In January 2018 and for each successive 12-year period, the ground rent resets to the greater of (i) 110% of the prior periods’ rent or (ii) 110% of 9% of the fair market value of the land, with a fixed 10% increase after year six of each reset. The appraiser concluded a land value of $54,000,000 as of June 1, 2015. We cannot assure you that the land value will be $54,000,000 at the time of the ground rent reset in January 2018.

Underwritten Ground Rent Calculation(1)

Year

 

# Months

 

Ground Rent ($)

 

Assumption

2015   3   $1,045,440   3 months of contractual ground rent
2016   12   4,181,760   1 year of contractual ground rent
2017   12   4,181,760   1 year of contractual ground rent
2018   12   5,346,000(2)   Reset to 110% of 9% of $54,000,000 land value
2019   12   5,346,000(2)   Reset to 110% of 9% of $54,000,000 land value
2020   12   5,346,000(2)   Reset to 110% of 9% of $54,000,000 land value
2021   12   5,346,000(2)   Reset to 110% of 9% of $54,000,000 land value
2022   12   5,346,000(2)   Reset to 110% of 9% of $54,000,000 land value
2023   12   5,346,000(2)   Reset to 110% of 9% of $54,000,000 land value
2024   12   5,880,600(2)   110% of 2023 ground rent

2025

 

9

 

4,410,450(2)

  110% of 2023 ground rent
Total / Avg.   120   $5,177,601      

 

 
(1)Represents ground rent during the term of the 750 Lexington Avenue Whole Loan.
(2)For purposes of this estimation, ground rent is calculated based on the current appraised land value of $54,000,000 as of June 1, 2015. Under the lease, beginning in 2018, rent will be calculated based on a future appraised value. We cannot assure you that the land value will be $54,000,000 at the time of the ground rent reset in January 2018.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The following table presents certain information relating to the major tenants at the 750 Lexington Avenue 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

Locke Lord(2)   NR / NR / NR   119,350     31.2 %   $5,849,635      21.0 %   $49.01   6/30/2016   NA
Sephora, USA (Retail)   NR / NR/ NR   7,000     1.8     5,000,000     17.9     714.29 (3)   1/31/2025   NA
Zara International (Retail)   NR / NR / NR   11,500     3.0     2,800,000     10.0     243.48 (4)   9/30/2018   1, 5-year option
Scientific Games Corp   NR / NR / NR   22,700     5.9     1,793,300     6.4     79.00     4/30/2018   NA
EIM Management   NR / NR / NR   22,700     5.9     1,722,076     6.2     75.86     10/31/2018   1, 5-year option
The Invus Group   NR / NR / NR   14,700     3.8     1,176,000     4.2     80.00     10/31/2021   2, 3-year options
Keryx Biopharmaceuticals   NR / NR / NR   18,460     4.8     1,114,360     4.0     60.37     9/30/2016   NA
J. Choo USA   NR / NR / NR   20,000     5.2     1,100,000     3.9     55.00     1/31/2021   NA
Jones Retail Corp dba Nine West (Retail)   NR / NR / NR   4,180     1.1     950,000     3.4     227.27 (5)   7/31/2019   NA
Guaranteed Rate, Inc.   NR / NR / NR  

17,350

   

4.5

   

694,008

   

2.5

   

40.00

    8/31/2021   1, 5-year option
Ten Largest Tenants       257,940     67.5 %   $22,199,379      79.6 %   $86.06          
Remaining Owned Tenants       124,316     32.5     5,673,346     20.4     45.64          
Vacant Spaces (Owned Space)      

0

   

0.0

   

0

   

0.0

   

0.00

         
Total / Wtd. Avg. All Tenants       382,256     100.0 %   $27,872,725     100.0 %   $72.92          

 
(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.
(2)Locke Lord currently subleases 37,100 SF of its premises.
(3)Sephora, USA occupies 6,042 SF of corner grade space and 958 SF of concourse storage space. The appraiser concluded to a market rent of $850 per SF for corner grade space and $25 per SF for concourse storage space, resulting in a weighted average market rent of $737.09 per SF for Sephora, USA space.
(4)Zara International occupies 2,911 SF of corner grade space and 8,589 SF of concourse retail space. The appraiser concluded to a market rent of $850 per SF for corner grade space and $75 per SF for concourse retail space, resulting in a weighted average market rent of $271.18 per SF for the Zara International space. The current base rent of $243.48 per SF is 10.2% below the appraiser’s concluded market rent of $271.18 per SF.
(5)Jones Retail Corp dba Nine West executed its lease in 2009. Jones Retail Corp dba Nine West occupies 1,700 SF of midblock grade space, 1,880 SF of concourse storage space and 600 SF of mezzanine storage space. The appraiser concluded to a market rent of $800 per SF for the midblock storage space and $25 per SF for the concourse storage space and mezzanine storage space, resulting in a weighted average market rent of $340.19 for Jones Retail Corp dba Nine West space. The current base rent of $227.27 per SF is 33.2% below the appraiser’s concluded market rent of $340.19 per SF.

 

The following table presents the lease rollover schedule at the 750 Lexington Avenue 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(2)  24,000   6.3%  6.3%  $0   0.0%  $0.00   1 
2015  0   0.0   6.3%  0   0.0   0.00   0 
2016  146,849   38.4   44.7%  7,439,781   26.7   50.66   6 
2017  26,319   6.9   51.6%  1,551,835   5.6   58.96   9 
2018  69,324   18.1   69.7%  7,024,828   25.2   101.33   6 
2019  19,396   5.1   74.8%  1,982,684   7.1   102.22   4 
2020  4,880   1.3   76.1%  244,000   0.9   50.00   1 
2021  61,654   16.1   92.2%  3,542,957   12.7   57.47   6 
2022  0   0.0   92.2%  0   0.0   0.00   0 
2023  0   0.0   92.2%  0   0.0   0.00   0 
2024  0   0.0   92.2%  0   0.0   0.00   0 
2025  7,000   1.8   94.0%  5,000,000   17.9   714.29   1 
2026 & Thereafter  22,834   6.0   100.0%  1,086,640   3.9   47.59   3 
Vacant  0   0.0   100.0%  0   0.0   0.00   0 
Total / Wtd. Avg.  382,256   100.0%      $27,872,725   100.0%  $72.92   37 

 

 
(1)Calculated based on approximate square footage occupied by each Owned Tenant.
(2)Represents the parking space at the 750 Lexington Avenue Property which is operated under a parking service agreement by Ampco Parking SVC.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The following table presents certain information relating to historical leasing at the 750 Lexington Avenue Property:

 

Historical Leased %(1)

 

 

 

2010

 

2011

 

2012

 

2013

 

2014

 

As of 5/1/2015

Owned Space   88.9%   94.2%   98.0%   96.6%   100.0%   100.0%

 

 
(1)As provided by the borrower and which reflects average occupancy for the specified year 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 750 Lexington Avenue Property:

 

Cash Flow Analysis(1)

 

 

 

2012

 

2013

 

2014

 

TTM 3/31/2015

 

Underwritten

 

Underwritten
$ per SF

Base Rent   $22,096,157     $22,274,103     $24,891,129     $25,784,950     $27,517,000     $71.99  
Contractual Rent Steps(2)   0     0     0     0     355,725     0.93  
Gross Up Vacancy  

0

   

0

   

0

   

0

   

0

   

0.00

 
Total Rent   $22,096,157     $22,274,103     $24,891,129     $25,784,950     $27,872,725     $72.92  
Total Reimbursables   681,586     947,481     1,712,497     1,427,124     1,550,758     4.06  
Parking Income   1,237,857     1,230,576     1,160,447     1,155,021     1,155,021     3.02  
Other Income(3)   849,963     748,860     903,704     922,072     922,072     2.41  
Vacancy & Credit Loss  

0

   

0

   

0

   

0

   

(1,471,174

)  

(3.85

)
Effective Gross Income   $24,865,562     $25,201,019     $28,667,776     $29,289,167     $30,029,402     $78.56  
                                     
Real Estate Taxes   $5,040,712     $5,324,180     $5,897,818     $5,897,818     $6,077,375     $15.90  
Insurance   159,973     165,353     185,928     174,566     133,862     0.35  
Management Fee   1,000,000     1,000,000     1,000,000     1,000,000     1,000,000     2.62  
Ground Rent(4)   4,181,760     4,181,760     4,181,760     4,181,760     5,177,601     13.54  
Other Operating Expenses  

4,976,869

   

4,898,810

   

4,911,489

   

4,845,872

   

4,984,213

   

13.04

 
Total Operating Expenses   $15,359,314     $15,570,103     $16,176,995     $16,100,015     $17,373,051     $45.45  
                                     
Net Operating Income   $9,506,248     $9,630,916     $12,490,781     $13,189,151     $12,656,351     $33.75  
TI/LC   0     0     0     0     798,252     2.09  
Replacement Reserves  

0

   

0

   

0

   

0

   

76,451

   

0.20

 
Net Cash Flow   $9,506,248     $9,630,916     $12,490,781     $13,189,151     $11,781,648     $30.82  

 
(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 rent increases on November 1, 2016.
(3)Other income includes electricity reimbursements, tenant services income, and minor miscellaneous income sources.
(4)Underwritten ground rent is based on the assumed average ground rent over the 10 year term of the 750 Lexington Avenue Whole Loan. The ground rent from January 2012 through December 2017 is calculated as 110% of the prior rent (calculated as 9% of the fair market value of the land during the period January 1, 2006, through December 31, 2011) and currently is equal to $4,181,760. In January 2018 and for each successive 12-year period, the ground rent resets to the greater of (i) 110% of the prior periods’ rent or (ii) 110% of 9% of the fair market value of the land (assumed to be $54,000,000 for these calculations), with a fixed 10% increase after year six of each reset. See “—Ground Lease” above for calculation of underwritten ground rent.

 

Appraisal. According to the appraisal, the 750 Lexington Avenue Property had an “as-is” appraised value of $300,000,000 as of June 1, 2015.

 

Environmental Matters. Based on the Phase I environmental report dated May 21, 2015, there were no recommendations for further action for the 750 Lexington Avenue Property.

 

Market Overview and Competition. The 750 Lexington Avenue Property is located in Midtown Manhattan at 750 Lexington Avenue between East 59th and 60th Street within the East Side Office Submarket. According to a third party report, the East Side Class A office submarket contains approximately 17.4 million SF with a 4.4% vacancy rate and average rental rates of $67.33 per SF.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The appraiser has identified 10 office rental comparables with direct asking rents ranging from $57 to $90 PSF on a gross basis. The appraiser concluded market rent of $65 per SF for floors 4-6, $70 per SF for floors 7-20, $75 per SF for floors 21-27 and $80 per SF for floors 28-31 at 750 Lexington Avenue Property. The weighted average concluded market rent for the office space is $71.28 per SF on a gross basis. The weighted average underwritten in-place office rent at the 750 Lexington Avenue Property is $56.98 per SF, or 20.1% below the weighted average office market rent concluded to by the appraiser.

 

The following table presents certain information relating to certain directly competitive office buildings provided in the appraisal for the 750 Lexington Avenue Property:

 

Directly Competitive Office Buildings(1)

 

 

 

 

 

750
Lexington
Avenue

 

135 East
57th Street

 

560
Lexington
Avenue

 

126 East
56th Street

 

875 Third
Avenue

 

 

885 Third
Avenue

 

 

900 Third
Avenue

 

950 Third
Avenue

Total GLA   382,256   340,000   327,000   157,265   662,588   581,339   515,200   270,000
Direct Occupancy   100.0%   55.2%   100.0%   98.3%   98.5%   96.2%   99.1%   99.2%
Total Occupancy   100.0%   51.4%   100.0%   98.3%   98.5%   96.2%   99.1%   99.2%
Direct Asking Rent (per SF)   $68-$82   $75-$90   NA   $70-$80   $60-$70   $62-$82   $55-$75   $59-$82

 

 
(1)Source: Appraisal.

 

The Borrower. The borrower is International Plaza Associates L.P., a single-purpose, single-asset New York limited partnership. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of the 750 Lexington Avenue Loan. The guarantor of the non-recourse carveouts under the 750 Lexington Avenue Loan is Charles Steven Cohen.

 

Charles Steven Cohen is the President and CEO of Cohen Brothers Realty Corporation (“CBRC”). CBRC is a private real estate development and management firm that has been in business for over 50 years. CBRC is headquartered in New York City, and has commercial properties in New York, Houston, South Florida, and Southern California. CBRC owns more than 12 million SF of commercial real estate.

 

Escrows. On the origination date of the 750 Lexington Avenue Whole Loan, the borrower funded a reserve of (i) $2,724,550 for real estate taxes, (ii) $7,750,000 for tenant improvements and leasing commissions with respect to the Locke Lord premises, and (iii) $696,960 for ground rent.

 

On each due date, the borrower will be required to fund (i) one-twelfth of the taxes that the lender estimates will be payable over the then succeeding 12-month period, (ii) at the option of the lender, if the liability or casualty policy maintained by the borrower does not constitute an approved blanket or umbrella insurance policy under the 750 Lexington Avenue 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, (iii) a tenant improvements and leasing commissions reserve in the amount of $32,232, subject to a cap of $1,933,920, (iv) a replacement reserve in the amount of $6,371 and (v) one-twelfth of the ground rent that the lender estimates will be payable during the next ensuing 12 months.

 

Lockbox and Cash Management. The 750 Lexington Avenue Whole Loan documents require a hard lockbox with springing cash management. The 750 Lexington Avenue Whole Loan documents require the borrower to direct all tenants to pay rent directly to a lender-controlled lockbox account and require that all other money received by the borrower with respect to the 750 Lexington Avenue Property be promptly deposited into such lockbox account following receipt. So long as a 750 Lexington Avenue Trigger Period is not in effect, all funds in the lockbox account are required to be swept on each business day to the borrower’s operating account. During the continuance of a 750 Lexington Avenue Trigger Period, all funds in the lockbox account are required to be transferred on each business day to a lender-controlled cash management account, and, if no event of default

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

49
 

 

750 LEXINGTON AVENUE

   

under the 750 Lexington Avenue Loan documents is continuing, applied to pay debt service and operating expenses of the 750 Lexington Avenue Property and to fund required reserves in accordance with the 750 Lexington Avenue Loan documents. After the foregoing disbursements are made and so long as a 750 Lexington Avenue Trigger Period is continuing, all excess cash is trapped in an excess cash account and held as additional collateral for the 750 Lexington Avenue Loan. During the continuance of an event of default under the 750 Lexington Avenue Loan documents, the lender may apply any funds in the cash management account to amounts payable under the 750 Lexington Avenue Loan and/or toward the payment of expenses of the 750 Lexington Avenue Property, in such order of priority as the lender may determine.

 

A “750 Lexington Avenue Trigger Period” means a period (i) commencing upon the occurrence of an event of default under the 750 Lexington Avenue Loan documents and continuing until the same is cured, or (ii) commencing on the date that the debt service coverage ratio as calculated under the related loan documents based on a trailing 12-month period is less than 1.20x and continuing until the debt service coverage ratio is equal to or greater than 1.25x for two consecutive calendar quarters.

 

Property Management. The 750 Lexington Avenue Property is currently managed by CBRC, an affiliate of the borrower. Under the 750 Lexington Avenue Loan documents, the 750 Lexington Avenue Property may not be managed by any party other than CBRC; provided, however, that so long as no event of default under the 750 Lexington Avenue Loan documents exists, the borrower can replace CBRC with a property manager upon notice to the lender, provided that (i) the replacement would not cause a termination right, right of first refusal, first offer or any other similar right or cause any termination fees to be due or cause a material adverse effect to occur under any reciprocal easement agreement, the ground lease or certain other documents affecting the 750 Lexington Avenue Property, (ii) the replacement property manager is reasonably approved by the lender in writing (which approval may be conditioned upon receipt of a rating agency confirmation) and (iii) if such property manager is an affiliate of the borrower, a new non-consolidation opinion is provided from the borrower’s counsel. The lender has the right to terminate the management agreement and replace the property manager or require that the borrower terminate the management agreement and replace the property manager if (a) the property manager becomes a debtor in (i) any involuntary bankruptcy or insolvency proceeding that is not dismissed within 90 days of the filing thereof or (ii) any voluntary bankruptcy or insolvency proceeding, (b) there exists a 750 Lexington Avenue Trigger Period, (c) the property manager has engaged in gross negligence, fraud, willful misconduct or misappropriation of funds or (d) there exists a default by the property manager beyond all applicable notice and cure periods under the management agreement.

 

Mezzanine or Subordinate Indebtedness. Not permitted.

 

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 750 Lexington Avenue Property (plus 18 months of rental loss and/or business interruption coverage plus an additional period of indemnity covering the six months following restoration). If TRIPRA or a similar or subsequent statute is not in effect, then provided that terrorism coverage is commercially available, the borrower is required to carry terrorism insurance throughout the term of the 750 Lexington Avenue Whole Loan, but in such event the borrower is not required to spend on terrorism insurance coverage more than two times the amount of the insurance premium that is payable at such time in respect of the property and business interruption/rental loss insurance required under the related loan documents (without giving effect to the cost of the terrorism component of such property and business interruption/rental loss insurance), and if the cost of terrorism insurance exceeds such amount, the borrower must purchase the maximum amount of terrorism insurance available with funds equal to such amount. See “Risk Factors—Terrorism Insurance May Be Unavailable or Insufficient” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

50
 

 

(THIS PAGE INTENTIONALLY LEFT BLANK)

 

51
 

 

 

HAMMONS HOTEL 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

52
 

 

HAMMONS HOTEL 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

53
 

 

HAMMONS HOTEL PORTFOLIO

             
Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 7   Loan Seller   GSMC
Location (City/State) Various   Cut-off Date Principal Balance(4)   $72,412,136
Property Type Hospitality   Cut-off Date Principal Balance per Room(2)   $134,026.78
Size (Rooms) 1,869   Percentage of Initial Pool Balance   8.5%
Total TTM Occupancy as of 6/30/2015 74.8%   Number of Related Mortgage Loans   None
Owned TTM Occupancy as of 6/30/2015 74.8%   Type of Security Fee Simple / Leasehold
Year Built / Latest Renovation 2006, 2007, 2008, 2010 / 2015   Mortgage Rate   4.9535%
Appraised Value(1) $367,320,502   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Period (Months)   NAP
           
Underwritten Revenues $104,481,960        
Underwritten Expenses $73,369,148        
Underwritten Net Operating Income (NOI) $31,112,812   Escrows
Underwritten Net Cash Flow (NCF) $26,933,534     Upfront Monthly
Cut-off Date LTV Ratio(1)(2) 68.2%   Taxes $3,172,482 $358,585
Maturity Date LTV Ratio(2)(3) 55.5%   Insurance $0 $0
DSCR Based on Underwritten NOI / NCF(2) 1.94x / 1.68x   FF&E(5) $0 $360,433
Debt Yield Based on Underwritten NOI / NCF(2) 12.4% / 10.8%   Other(6) $8,562,974 $98,159

             
Sources and Uses
Sources $ %   Uses $ %
Whole Loan Amount $250,800,000 100.0%   Loan Payoff $214,972,179 85.7%
        Principal Equity Distribution 20,464,715 8.2
        Reserves 11,735,456 4.7
        Closing Costs 3,627,650 1.4
Total Sources $250,800,000 100.0%   Total Uses $250,800,000 100.0%

 

 

(1)The Appraised Value represents the aggregate “as-is” appraised value of the Hammons Hotel Portfolio Properties of $363,750,000 plus a $3,570,502 capital deduction related to franchise mandated capital improvements at the three Marriott properties for which the borrowers reserved $7,890,000 for the estimated mandatory and additional elective capital improvement costs. The Cut-off Date LTV Ratio calculated on the basis of the aggregate “as-is” appraised value without adding the capital deduction is 68.9%. See “—Appraisals” below.

(2)Calculated based on the aggregate outstanding principal balance of the Hammons Hotel Portfolio Whole Loan.

(3)The Maturity Date LTV Ratio is calculated utilizing the aggregate “as stabilized” appraised value of $371,300,000 which includes “as stabilized” appraised values for three of the Hammons Hotel Portfolio Properties. The Maturity Date LTV Ratio calculated on the basis of the aggregate “as-is” appraised value adding the $3,570,502 capital deduction is 56.1% and the Maturity Date LTV Ratio calculated on the basis of the aggregate “as-is” appraised value without adding the $3,570,502 capital deduction is 56.6%. See “—Appraisals” below.

(4)The Cut-off Date Principal Balance of $72,412,136 represents the non-controlling note A-2 of a $250,800,000 whole loan evidenced by four pari passu notes. The related companion loans are respectively evidenced by the controlling note A-1 with a principal balance of $99,878,808 as of the Cut-off Date, which was contributed to the Citigroup Commercial Mortgage Trust 2015-GC33, Commercial Mortgage Pass-Through Certificates, Series 2015-GC33 (“CGCMT 2015-GC33”) transaction, and by the non-controlling note A-3 and note A-4 with an aggregate outstanding principal balance of $78,205,107, which are expected to be contributed to one or more future securitization transactions.

(5)On each due date, the borrowers are required to fund the FF&E reserve in an amount equal to the greater of (i) any franchise-mandated amount and (ii) 4.0% of the actual revenues from the respective properties for the most recently ended calendar month. See “—Escrows” below.

(6)Other reserve represents property improvement costs ($7,890,000) and a ground lease reserve ($672,974 upfront and $98,159 monthly). See “—Escrows” below.

 

The Mortgage Loan. The mortgage loan (the “Hammons Hotel Portfolio Loan”) is part of a whole loan (the “Hammons Hotel Portfolio Whole Loan”) evidenced by four pari passu notes that are secured by first mortgages encumbering the borrowers’ fee simple and/or leasehold interests in a portfolio of full service, limited service and extended stay hotels located in various states (each individually, a “Hammons Hotel Portfolio Property” and, collectively, the “Hammons Hotel Portfolio Properties”). The Hammons Hotel Portfolio Loan (evidenced by note A-2), which represents a non-controlling interest in the Hammons Hotel Portfolio Whole Loan, will be contributed to the Issuing Entity, has an outstanding balance as of the Cut-off Date of $72,412,136 and represents approximately 8.5% of the Initial Pool Balance. The related companion loans (the “Hammons Hotel Portfolio Companion Loans”), are evidenced by note A-1, which represents the controlling interest in the Hammons Hotel Portfolio Whole Loan and was contributed to the CGCMT 2015-GC33 transaction, and note A-3 and note A-4, each of which represents a non-controlling interest in the Hammons Hotel Portfolio Whole Loan and is currently held by Goldman Sachs Mortgage Company outside of the Issuing Entity. The Hammons Hotel Portfolio Companion Loans have an aggregate outstanding principal balance as of the Cut-off Date of $178,083,915 and note A-3 and note A-4 are expected to be contributed to one or more future securitization transactions. The Hammons Hotel Portfolio Whole Loan was originated by Goldman Sachs Mortgage Company on August 13, 2015. The Hammons Hotel Portfolio Whole Loan had an original principal balance of $250,800,000 and each note accrues interest at a rate of 4.9535% per annum. The borrowers utilized the proceeds of the Hammons Hotel Portfolio Whole Loan to refinance the existing debt on the Hammons Hotel Portfolio Properties, fund reserves, pay origination costs and return equity to the borrower sponsor.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The Hammons Hotel Portfolio Whole Loan had an initial term of 120 months and has a remaining term of 119 months as of the Cut-off Date. The Hammons Hotel Portfolio Whole 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 Hammons Hotel Portfolio Whole Loan is the due date in September 2025. Other than in connection with the release of a Hammons Hotel Portfolio Property as described under “—Release of Collateral” below, voluntary prepayment of the Hammons Hotel Portfolio Loan is permitted on or after the due date in June 2025 without payment of any prepayment premium. Provided that no event of default under the Hammons Hotel Portfolio Whole Loan is continuing, defeasance with direct, non-callable obligations of the United States of America is permitted at any time on or after the first due date following the earlier of (a) the third anniversary of the origination date of the Hammons Hotel Portfolio Whole Loan and (b) the second anniversary of the closing date of the securitization into which the last piece of the Hammons Hotel Portfolio Whole Loan is deposited.

 

In addition, at any time on or after the first due date following the earlier of (a) the third anniversary of the origination date of the Hammons Hotel Portfolio Loan and (b) the second anniversary of the closing date of the securitization into which the last piece of the Hammons Hotel Portfolio Whole Loan is deposited, in connection with a partial defeasance of the Hammons Hotel Portfolio Whole Loan, the borrower is permitted to prepay the Hammons Hotel Portfolio Property only to the extent necessary to cause the debt service coverage ratio (as calculated under the related loan documents) for the related trailing 12-month period (ending on the last day of any fiscal quarter) to be no less than the greater of (a) 1.86x and (b) the debt service coverage ratio immediately prior to the release, and which prepayment is required to include the applicable yield maintenance premium (as described under the related loan documents).

 

The Mortgaged Properties. The Hammons Hotel Portfolio Properties consist of seven hotels totaling 1,869 rooms, including four Embassy Suites hotels, one Courtyard by Marriott hotel, one Residence Inn by Marriott hotel and one Renaissance by Marriott hotel. Four of the Hammons Hotel Portfolio Properties have convention centers located immediately adjacent to the respective hotel and are included as collateral for the Hammons Hotel Portfolio Whole Loan. The borrower sponsor developed the Hammons Hotel Portfolio Properties between 2006 and 2010, with an estimated cost basis in excess of $378,000,000.

 

Embassy Suites Concord, NC Property

The Embassy Suites Concord, NC Property opened in 2007 and consists of a 308-room, full service hotel and an adjacent approximately 42,000 SF convention center located in Concord, North Carolina, east of Charlotte. The respective borrower has a fee simple ownership interest in the hotel and a leasehold ownership interest in the convention center at the Embassy Suites Concord, NC Property. There are no significant planned renovations at the Embassy Suites Concord, NC Property.

 

Embassy Suites Murfreesboro, TN Property

The Embassy Suites Murfreesboro, TN Property opened in 2008 and consists of a 283-room, full service hotel and an adjacent approximately 41,802 SF convention center located in Murfreesboro, Tennessee, just south of Nashville. An owner of the respective borrower has a fee simple ownership interest in the Embassy Suites Murfreesboro, TN Property. Approximately $26,400 of underwritten revenue is attributed to third-party antenna leases at the Embassy Suites Murfreesboro, TN Property. There are no significant planned renovations at the Embassy Suites Murfreesboro, TN Property.

 

Embassy Suites Norman, OK Property

The Embassy Suites Norman, OK Property opened in 2008 and consists of a 283-room, full service hotel and the adjacent approximately 43,346 SF convention center located in Norman, Oklahoma, within five miles of the University of Oklahoma’s main campus. The respective borrower has a fee simple ownership interest in the Embassy Suites Norman, OK Property. There are no significant planned renovations at the Embassy Suites Norman, OK Property.

 

Courtyard by Marriott Dallas/Allen, TX Property

The Courtyard by Marriott Dallas/Allen, TX Property opened in 2010 and consists of a 228-room, limited service hotel located in Allen, Texas, approximately 35 miles north of Dallas. The Courtyard by Marriott Dallas/Allen, TX Property is adjacent to the Allen Event Center and surrounded by retail and entertainment space. The respective

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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borrower has a fee simple ownership interest in the Courtyard by Marriott Dallas/Allen, TX Property. Approximately $60,000 of underwritten revenue is attributed to third-party antenna leases at the Courtyard by Marriott Dallas/Allen, TX Property. There are planned renovations and capital improvements including new flooring and wall vinyl for common areas and guestrooms, totaling approximately $1,944,314 (for which the borrower has reserved $1,940,000) at the Courtyard by Marriott Dallas/Allen, TX Property.

 

Renaissance by Marriott Phoenix/Glendale, AZ Property

The Renaissance by Marriott Phoenix/Glendale, AZ Property opened in 2007 and consists of a 320-room, full service hotel located in Glendale, Arizona, a parking garage and the adjacent approximately 147,503 SF convention center and expo hall. The Renaissance by Marriott Phoenix/Glendale, AZ Property is adjacent to the University of Phoenix Stadium (home of the NFL’s Arizona Cardinals), the Gila River Arena (home of the NHL’s Arizona Coyotes), and the Westgate Entertainment District (featuring 8,000,000 SF of retail and entertainment space). The respective borrower has a fee simple ownership interest in the hotel and a space lease interest in the convention center, expo hall and parking garage at the Renaissance by Marriott Phoenix/Glendale, AZ Property. Approximately $6.3 million of underwritten revenue is attributed to operations from the space lease interest in the convention center, expo hall and parking garage. Approximately $12,000 of underwritten revenue is attributed to a third party antenna lease at the Renaissance by Marriott Phoenix/Glendale, AZ Property. There are planned renovations and capital improvements in 2016 totaling approximately $650,000 and a full property renovation beginning in 2017 which will include new flooring for all common areas and guestrooms (for which the borrower has reserved $5,000,000) at the Renaissance by Marriott Phoenix/Glendale, AZ Property.

 

Embassy Suites Huntsville, AL Property

The Embassy Suites Huntsville, AL Property opened in 2006 and consists of a 295-room, full service hotel and parking garage located in Huntsville, Alabama. The Embassy Suites Huntsville, AL Property is adjacent to, and is the only hotel with an interior skywalk connecting to the Von Braun Center, which is a 170,000 SF conference center that includes a 21,624 SF arena. The respective borrower has a leasehold ownership interest in the hotel and parking garage at the Embassy Suites Huntsville, AL Property. Approximately $285,000 of underwritten revenue is attributed to a lease with Ruth’s Chris Steakhouse, and approximately $11,500 of underwritten revenue is attributed to a lease with a gift shop at the Embassy Suites Huntsville, AL Property. There are no significant planned renovations at the Embassy Suites Huntsville, AL Property.

 

Residence Inn by Marriott Kansas City, MO Property

The Residence Inn by Marriott Kansas City, MO Property opened in 2007, was renovated in 2015 and consists of a 152-room, extended stay hotel located in Kansas City, Missouri. The Residence Inn by Marriott Kansas City, MO Property is within 5 miles of the Kansas City airport, and the respective borrower has a fee simple ownership interest in the hotel at the Residence Inn by Marriott Kansas City, MO Property. There are planned renovations and capital improvements, including guestroom updates and new flooring/wall vinyl for common areas, totaling approximately $976,188 (for which the borrower has reserved $950,000) at the Residence Inn by Marriott Kansas City, MO Property.

 

The following table presents certain information relating to the Hammons Hotel Portfolio Properties:

                             

Property

 

Cut-off Date
Allocated Loan
Amount

 

Rooms

 

Occupancy

 

Year Built

 

Appraised
Value(1)

 

UW NCF

 

UW NCF
per Room

Embassy Suites Concord, NC   $18,048,176   308   75.5%   2007   $89,300,000   $7,292,421   $23,677
Embassy Suites Murfreesboro, TN   14,652,775   283   78.0%   2008   72,500,000   5,706,173   20,163
Embassy Suites Norman, OK   11,350,342   283   74.3%   2008   54,600,000   3,945,402   13,941
Courtyard by Marriott Dallas/Allen, TX   9,010,491   228   77.9%   2010   43,344,314   3,170,771   13,907
Renaissance by Marriott Phoenix/Glendale, AZ   8,671,336   320   63.8%   2007   55,200,000   3,046,468   9,520
Embassy Suites Huntsville, AL   7,316,282   295   78.2%   2006   36,200,000   2,640,907   8,952
Residence Inn by Marriott Kansas City, MO  

3,362,734

 

152

 

80.9%

  2007  

16,176,188

 

1,131,392

 

7,443

Total / Wtd. Avg.   $72,412,136   1,869   74.8%       $367,320,502   $26,933,534   $14,411

 

 

(1)The Appraised Value represents the aggregate “as-is” appraised value of the Hammons Hotel Portfolio Properties of $363,750,000 plus a $3,570,502 capital deduction related to franchise mandated capital improvements at the three Marriott properties for which the borrowers reserved $7,890,000 for the estimated mandatory and additional elective capital improvement costs. See “—Appraisals” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The following table presents certain information relating to the 2014 demand analysis with respect to the Hammons Hotel Portfolio Properties based on market segmentation, as provided in the appraisals for the Hammons Hotel Portfolio Properties:

 

Estimated 2014 Accommodated Room Night Demand(1)

 

Property

 

Commercial

 

Meeting and Group

 

Leisure

 

Government

Embassy Suites Concord, NC   70.0%   15.0%   15.0%   0.0%
Embassy Suites Murfreesboro, TN   45.0%   45.0%   10.0%   0.0%
Embassy Suites Norman, OK   35.0%   45.0%   15.0%   5.0%
Courtyard by Marriott Dallas/Allen, TX   40.0%   20.0%   40.0%   0.0%
Renaissance by Marriott Phoenix/Glendale, AZ   10.0%   45.0%   45.0%   0.0%
Embassy Suites Huntsville, AL   40.0%   30.0%   10.0%   20.0%
Residence Inn by Marriott Kansas City, MO   20.0%   20.0%   20.0%   40.0%

 

 

(1)Source: Appraisals.

  

The following tables present certain information relating to historical occupancy, ADR and RevPAR at the Hammons Hotel Portfolio Properties:

 

Hammons Hotel Portfolio(1)

                         

 

 

2010

 

2011

 

2012

 

2013

 

2014

 

TTM June 2015

Occupancy(2)   63.9%   66.0%   68.6%   72.1%   73.9%   74.8%
ADR   $120.36   $121.21   $122.00   $122.95   $127.57   $130.39
RevPAR   $76.85   $79.98   $83.66   $88.59   $94.27   $97.59

 

 

(1)As provided by the borrower.

(2)Reflects average occupancy as of December 31 for the specified year unless otherwise noted.

 

Hammons Hotel Portfolio Properties(1)

                                           
   

2010

 

2011

 

2012

Property

 

Occ.(2)

 

ADR

 

RevPAR

 

Occ.(2)

 

ADR

 

RevPAR

 

Occ.(2)

 

ADR

 

RevPAR

Embassy Suites Concord, NC   70.4%   $131.65     $92.69   70.0%   $133.41     $93.41   72.3%   $137.23   $99.16  
Embassy Suites Murfreesboro, TN   64.5%   $124.62     $80.39   64.0%   $127.03     $81.28   70.5%   $126.27   $88.97  
Embassy Suites Norman, OK   59.4%   $114.39     $67.97   59.1%   $116.10     $68.63   67.6%   $112.29   $75.91  
Courtyard by Marriott Dallas/Allen, TX   47.9%   $93.70     $44.93   66.5%   $99.18     $66.00   72.0%   $104.98   $75.58  
Renaissance by Marriott Phoenix/Glendale, AZ   58.5%   $142.83     $83.52   55.7%   $147.42     $82.09   53.2%   $147.42   $78.36  
Embassy Suites Huntsville, AL   77.0%   $113.04     $87.07   78.4%   $113.42     $88.94   77.4%   $113.47   $87.80  
Residence Inn by Marriott Kansas City, MO  

66.9%

 

$101.77

   

$68.09

 

71.0%

 

$99.39

   

$70.59

 

69.6%

 

$103.42

 

$71.97

 
Hammons Hotel Portfolio Properties   63.9%   $120.36     $76.85   66.0%   $121.21     $79.98   68.6%   $122.00   $83.66  

                                           
   

2013

 

2014

 

TTM June 2015

Property

 

Occ.(2)

 

ADR

 

RevPAR

 

Occ.(2)

 

ADR

 

RevPAR

 

Occ.(2)

 

ADR

 

RevPAR

Embassy Suites Concord, NC   71.4%   $139.80     $99.87   74.2%   $146.44   $108.72     75.5%   $147.60   $111.43  
Embassy Suites Murfreesboro, TN   76.2%   $129.23     $98.42   78.5%   $133.64   $104.94     78.0%   $134.42   $104.82  
Embassy Suites Norman, OK   72.8%   $115.41     $84.00   74.1%   $118.12   $87.57     74.3%   $118.40   $87.99  
Courtyard by Marriott Dallas/Allen, TX   75.0%   $111.78     $83.80   75.5%   $113.96   $86.00     77.9%   $115.61   $90.01  
Renaissance by Marriott Phoenix/Glendale, AZ   60.1%   $141.54     $85.00   59.8%   $149.77   $89.57     63.8%   $163.99   $104.66  
Embassy Suites Huntsville, AL   74.2%   $113.48     $84.21   78.6%   $115.22   $90.56     78.2%   $114.52   $89.55  
Residence Inn by Marriott Kansas City, MO  

81.0%

 

$97.75

   

$79.19

 

82.3%

 

$105.81

 

$87.04

   

80.9%

 

$106.41

 

$86.03

 
Hammons Hotel Portfolio Properties   72.1%   $122.95     $88.59   73.9%   $127.57   $94.27     74.8%   $130.39   $97.59  

 

 

(1)As provided by the borrower.

(2)Reflects average occupancy as of December 31 for the specified year unless otherwise noted.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The following table presents certain information relating to the historical penetration rates for the Hammons Hotel Portfolio Properties, as provided in the June 2015 travel research reports:

 

Historical Penetration Rates(1) 

                                         
   

TTM June 2013

 

TTM June 2014

 

TTM June 2015

Property

 

Occupancy

 

ADR

 

RevPAR

 

Occupancy

 

ADR

 

RevPAR

 

Occupancy

 

ADR

 

RevPAR

Embassy Suites Concord, NC   106.7%     127.9%   136.5%   104.1%     130.7%   136.1%   102.0%   127.1%   129.7%
Embassy Suites Murfreesboro, TN   110.3%     132.7%   146.5%   115.3%     131.8%   152.1%   109.8%   132.5%   145.5%
Embassy Suites Norman, OK   101.8%     115.5%   117.6%   115.9%     112.4%   130.3%   124.7%   114.5%   142.8%
Courtyard by Marriott Dallas/Allen, TX   109.7%     115.3%   126.4%   100.4%     115.7%   116.2%   106.9%   111.5%   119.2%
Renaissance by Marriott Phoenix/Glendale, AZ   94.0%     113.2%   106.4%   99.6%     109.9%   109.5%   102.0%   108.9%   111.1%
Embassy Suites Huntsville, AL   132.8%     116.5%   154.8%   132.5%     119.5%   158.4%   130.7%   117.8%   154.0%
Residence Inn by Marriott Kansas City, MO   110.9%     135.9%   150.7%   119.3%     133.2%   158.9%   107.9%   135.7%   146.5%

 

 

(1)Source: June 2015 travel research reports.

 

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 Hammons Hotel Portfolio Properties:

 

Cash Flow Analysis(1)

                               
   

2013

 

2014

 

TTM 6/30/2015

 

Underwritten

 

Underwritten
$ per Room

Rooms Revenue   $61,425,531     $64,130,610     $66,391,088     $64,811,132     $34,677  
Food & Beverage Revenue(2)   33,448,924     35,898,278     38,903,418     37,037,054     19,817  
Other Operating Revenue  

2,853,230

   

2,749,355

   

2,835,248

   

2,633,773

   

1,409

 
Total Revenue   $97,727,685     $102,778,243     $108,129,754     $104,481,960     $55,903  
                               
Room Expense   $15,260,928     $15,727,948     $16,151,008     $15,835,594     $8,473  
Food & Beverage Expense   16,262,019     17,024,443     17,715,009     16,864,241     9,023  
Other Operating Expense  

1,671,361

   

1,648,390

   

1,743,394

   

1,703,452

   

911

 
Total Departmental Expense   $33,194,308     $34,400,781     $35,609,411     $34,403,288     $18,407  
Total Undistributed Expense   28,982,253     30,959,247     31,369,431     32,367,283     17,318  
Total Fixed Expense(3)  

5,876,809

   

6,659,044

   

6,885,581

   

6,598,578

   

3,531

 
Total Operating Expenses   $68,053,370     $72,019,072     $73,864,423     $73,369,148     $39,256  
                               
Net Operating Income   $29,674,315     $30,759,171     $34,265,331     $31,112,812     $16,647  
FF&E  

3,909,107

   

4,111,130

   

4,325,190

   

4,179,278

   

2,236

 
Net Cash Flow   $25,765,208     $26,648,041     $29,940,141     $26,933,534     $14,411  

 

 

(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)Underwritten food & beverage revenue includes approximately $6.3 million of revenue attributed to operations from the space lease interest in the convention center, expo hall and parking garage at the Renaissance by Marriott Phoenix/Glendale, AZ Property.

(3)Underwritten total fixed expense includes space lease rent associated with the Renaissance by Marriott Phoenix/Glendale, AZ Property ($1,419,741) and ground lease rent associated with the Embassy Suites Huntsville, AL Property ($224,595).

 

Appraisals. According to the appraisals, dated between June 8, 2015 and June 11, 2015, the Hammons Hotel Portfolio Properties had an aggregate “as-is” appraised value of $363,750,000 and a $3,570,502 capital deduction related to franchise mandated capital improvements at the three Marriott properties ($1,944,314 for the Courtyard by Marriott Dallas/Allen, TX Property, $650,000 for the Renaissance by Marriott Phoenix/Glendale, AZ and $976,188 for the Residence Inn by Marriott Kansas City, MO Property). The Hammons Hotel Portfolio Properties have an aggregate “as stabilized” appraised value of $371,300,000, based on the “as stabilized” appraised values for the three Marriott properties as of dates ranging from June 2016 to June 2017 assuming stabilized occupancy and completion of the franchise mandated capital improvements at the three Marriott 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Environmental Matters. According to a Phase I environmental report, dated June 25, 2015, a landfill was historically present at the Embassy Suites Huntsville, AL Property. A prior Phase II environmental report, dated September 22, 2008, identified arsenic in soil samples at concentrations in excess of the Alabama Department of Environmental Management (ADEM) preliminary screening levels for both commercial and residential use. The Phase I environmental consultant identified the landfill as a recognized environmental condition due to the elevated arsenic concentrations. Based on the non-volatile nature of the fill materials, the concrete and asphalt caps formed by the parking lot and building and the Embassy Suites Huntsville, AL Property’s commercial use, the Phase I environmental report recommended no further action.

 

According to the other Phase I environmental reports, each dated June 24, 2015 or June 25, 2015, there are no recognized environmental conditions or recommendations for further action at any of the other Hammons Hotel Portfolio Properties.

 

Market Overview and Competition. The Hammons Hotel Portfolio consists of seven hotel properties with two different flags and four different brands. The Hammons Hotel Portfolio Properties are located within seven separate markets across seven states.

 

Embassy Suites Concord, NC Property 

The Embassy Suites Concord, NC Property is located in the Concord, North Carolina market near Charlotte, North Carolina. According to the appraisal, the Embassy Suites Concord, NC Property’s competitive set collectively had an average occupancy of 74.0%, ADR of $121.80, and RevPAR of $89.87 as of TTM April 2015.

 

The following table presents certain information relating to the primary competition for the Embassy Suites Concord, NC Property:

 

Competitive Set(1)

                     

Property

 

Number of
Rooms

 

Year Built

 

TTM April 2015 Occupancy

 

TTM April 2015
ADR

 

TTM April 2015
RevPAR

Embassy Suites Concord, NC   308   2007   75%   $147.37   $109.94
Homewood Suites Charlotte North University Research Park   112   1990   73%   $95.00   $69.35
Residence Inn Charlotte University Research Park   91   1988   74%   $100.00   $74.00
Hilton Charlotte University Place   393   1986   71%   $135.00   $95.85
Courtyard Charlotte University Research Park   152   1990   71%   $110.00   $78.10
Holiday Inn Charlotte University Executive Park   174   1989   76%   $95.00   $72.20
Residence Inn Charlotte/Concord   130   2009   77%   $117.00   $90.09
Courtyard Charlotte/Concord   123   2009   77%   $125.00   $96.25
Hilton Garden Inn Charlotte/Concord   118   2010   76%   $110.00   $83.60

 

 

(1)Source: Appraisal.

 

Embassy Suites Murfreesboro, TN Property

The Embassy Suites Murfreesboro, TN Property is located in the Murfreesboro, Tennessee submarket near Nashville, Tennessee. According to the appraisal, the Embassy Suites Murfreesboro, TN Property’s competitive set collectively had an average occupancy of 79.0%, ADR of $119.13, and RevPAR of $92.45 as of TTM April 2015.

 

The following table presents certain information relating to the primary competition for the Embassy Suites Murfreesboro, TN Property:

 

Competitive Set(1) 

                     

Property

 

Number of
Rooms

 

Year Built

 

TTM April 2015 Occupancy

 

TTM April 2015
ADR

 

TTM April 2015
RevPAR

Embassy Suites Murfreesboro, TN   283   2008   78%   $133.64   $104.29
Residence Inn by Marriott Murfreesboro   112   2015   80%   $130.00   NA
Hilton Garden Inn Murfreesboro   100   2014   70%   $135.00   $94.51
Hampton Inn & Suites Murfreesboro   101   2007   82%   $125.00   $102.50
Candlewood Suites Murfreesboro   85   2010   90%   $87.00   $78.30
Fairfield Inn-Murfreesboro   69   2005   83%   $102.00   $84.66
DoubleTree Hotel Murfreesboro   168   1988   78%   $112.00   $87.36
Comfort Suites Murfreesboro   82   2007   76%   $90.00   $68.40

 

 

(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Embassy Suites Norman, OK Property 

The Embassy Suites Norman, OK Property is located in the Norman, Oklahoma submarket near Oklahoma City, Oklahoma. According to the appraisal, the Embassy Suites Norman, OK Property’s competitive set collectively had an average occupancy of 62.2%, ADR of $105.29, and RevPAR of $66.17 as of TTM April 2015.

 

The following table presents certain information relating to the primary competition for the Embassy Suites Norman, OK Property:

 

Competitive Set(1) 

                     

Property

 

Number of
Rooms

 

Year Built

 

TTM April 2015 Occupancy

 

TTM April 2015
ADR

 

TTM April 2015
RevPAR

Embassy Suites Norman, OK   283   2008   74%   $118.18   $87.19
Embassy Suites Oklahoma City   236   1982   65%   $108.00   $70.20
Sheraton Reed Conference Center Norman   151   2006   60%   $102.00   $61.20
Courtyard by Marriott Norman   113   2009   70%   $95.50   $66.85
Sheraton Oklahoma City   396   1976   59%   $131.50   $77.59
The Norman (formerly Holiday Inn) Norman   149   1984   40%   $72.00   $28.80
The Tower (formerly Marriott) Oklahoma City   354   1985   60%   $83.50   $50.10
Hilton Garden Inn Norman   121   2008   69%   $102.00   $70.38

 

 

(1)Source: Appraisal.

 

Courtyard by Marriott Dallas/Allen, TX Property 

The Courtyard by Marriott Dallas/Allen, TX Property is located in the Allen, Texas submarket near Dallas, Texas. According to the appraisal, the Courtyard by Marriott Dallas/Allen, TX Property’s competitive set collectively had an average occupancy of 72.1%, ADR of $109.86, and RevPAR of $79.60 as of TTM March 2015.

 

The following table presents certain information relating to the primary competition for the Courtyard by Marriott Dallas/Allen, TX Property:

 

Competitive Set(1)

                     

Property

 

Number of
Rooms

 

Year Built

 

TTM March 2015 Occupancy

 

TTM March 2015
ADR

 

TTM March 2015
RevPAR

Courtyard by Marriott Dallas/Allen, TX   228   2010   76%   $114.83   $87.80
Hilton Garden Inn Allen   150   2002   69%   $107.36   $73.86
Holiday Inn Express & Suites Allen   87   2006   70%   $103.23   $72.36
Hampton Inn & Suites Allen   103   2006   73%   $112.42   $82.52
Holiday Inn & Suites McKinney   99   2008   68%   $112.51   $76.84
La Quinta Inn & Suites Allen   90   2008   69%   $77.38   $53.08
Homewood Suites   114   2010   75%   $129.33   $97.00

 

 

(1)Source: Appraisal.

 

Renaissance by Marriott Phoenix/Glendale, AZ Property 

The Renaissance by Marriott– Phoenix/Glendale, AZ Property is located in the Glendale, Arizona submarket, near Phoenix, Arizona. According to the appraisal, the Renaissance by Marriott Phoenix/Glendale, AZ Property and its competitive set collectively had an average occupancy of 63.3%, ADR of $129.40, and RevPAR of $80.89 as of TTM December 2014.

 

The following table presents certain information relating to the primary competition for the Renaissance by Marriott Phoenix/Glendale, AZ Property:

 

Competitive Set(1) 

                     

Property

 

Number of
Rooms

 

Year Built

 

TTM December 2014 Occupancy

 

TTM December 2014 ADR

 

TTM December 2014 RevPAR

Renaissance by Marriott Phoenix/Glendale, AZ   320   2007   60%   $149.77   $89.32
Courtyard Phoenix West/Avondale-Phoenix   127   2008   64%   $110.00   $70.40
Comfort Suites University Phoenix Stadium-Glendale   100   2008   66%   $98.00   $64.68
Hampton Inn & Suites Phoenix Glendale-Westgate-Glendale   149   2007   70%   $95.00   $66.50
Residence Inn Glendale Sports & Ent. Dist.–Glendale   126   2007   68%   $120.00   $81.60
SpringHill Suites Glendale Sports & Ent. Dist.–Glendale   120   2007   65%   $90.00   $58.50
Wigwam Resort & Spa-Litchfield Park   331   1929   60%   $160.00   $96.00

 

 

(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Embassy Suites Huntsville, AL Property  

The Embassy Suites Huntsville, AL Property is located in the Huntsville, Alabama metropolitan statistical area. According to the appraisal, the Embassy Suites Huntsville, AL Property’s competitive set collectively had an average occupancy of 65.9%, ADR of $106.94, and RevPAR of $71.21 as of TTM May 2015.

 

The following table presents certain information relating to the primary competition for the Embassy Suites Huntsville, AL Property:

 

Competitive Set(1)

                     

Property

 

Number of
Rooms

 

Year Built

 

TTM May 2015 Occupancy

 

TTM May 2015
ADR

 

TTM May 2015
RevPAR

Embassy Suites Huntsville, AL   295   2006   79%   $114.17   $89.65
Marriott Huntsville   290   1986   61%   $112.00   $68.32
Hilton Garden Inn Huntsville   101   2005   67%   $101.00   $67.67
Holiday Inn Huntsville   200   1986   57%   $89.00   $50.73
Westin Huntsville   210   2008   70%   $125.00   $87.50
Four Points Huntsville   146   1996   55%   $85.00   $46.75

 

 

(1)Source: Appraisal.

 

Residence Inn by Marriott Kansas City, MO Property 

The Residence Inn by Marriott Kansas City, MO Property is located in the Kansas City, Missouri market. According to the appraisal, the Residence Inn by Marriott Kansas City, MO Property’s competitive set collectively had an average occupancy of 75.0%, ADR of $86.73, and RevPAR of $65.42 as of TTM April 2015.

 

The following table presents certain information relating to the primary competition for the Residence Inn by Marriott Kansas City, MO Property:

 

Competitive Set(1)

                     

Property 

 

Number of
Rooms

 

Year Built

 

TTM April 2015 Occupancy

 

TTM April 2015
ADR

 

TTM April 2015
RevPAR

Residence Inn by Marriott Kansas City, MO   152   2007   83%   $106.45   $88.32
Four Points Kansas City   200   1974   65%   $83.00   $53.95
Chase Suites Kansas City   112   1986   70%   $73.70   $51.59
Courtyard by Marriott Kansas City   149   1990   83%   $107.00   $88.81
Drury Inn & Suites Kansas City Airport Kansas City   122   1998   75%   $77.50   $58.13
Extended Stay America KCI Kansas City   89   1998   75%   $50.50   $37.88
Hyatt Place Kansas City   134   1999   80%   $105.00   $84.00
Holiday Inn KCI Kansas City   141   2006   75%   $74.00   $55.50
Candlewood Suites Kansas City   88   2010   75%   $74.00   $55.50

 

 

(1)Source: Appraisal.

 

The Borrowers. The borrowers are JQH-Allen Development, LLC, JQH-Concord Development, LLC, JQH-Glendale, AZ Development, LLC, Hammons of Huntsville, LLC, JQH-Kansas City Development, LLC, JQH-Murfreesboro Development, LLC, and JQH-Norman Development, LLC, each a single-purpose, single-asset entity. Legal counsel to the borrowers delivered a non-consolidation opinion in connection with the origination of the Hammons Hotel Portfolio Whole Loan. The Revocable Trust of John Q. Hammons, dated December 28, 1989, as Amended and Restated (“JQH”), an indirect owner of the borrowers, is the non-recourse carveout guarantor under the Hammons Hotel Portfolio Whole Loan.

 

The borrowers are indirectly wholly owned by JQH. As of October 2015, JQH indirectly owns and manages 37 hotels. JQH is required to maintain a minimum net worth and liquidity of $100 million (excluding the equity in the Hammons Hotel Portfolio Properties) and $7 million, respectively, throughout the term of the Hammons Hotel Portfolio 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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As security for a line of credit, JQH has pledged its ownership interest in John Q. Hammons Hotels Development, LLC, which is the parent entity of 4 of the borrowers as well as 2 other affiliates who own hotel properties that are not part of the collateral for the Hammons Hotel Portfolio Loan. The lender under that credit line has alleged a breach of representations and warranties related to certain net worth requirements of the JQH, the guarantor on the line of credit. Additionally, JD Holdings, LLC and Atrium Hotels, L.P., 2 companies controlled by Jonathan Eilian, have filed suit against the borrowers, JQH and certain other affiliates regarding rights under the partnership agreement for Atrium Hotels, L.P. and a certain right of first refusal agreement. These agreements and the related litigations may result in the marketing of the properties for sale, and JD Holdings, LLC or an affiliate would then be entitled to exercise certain rights of first refusal with respect to the Hammons Hotel Portfolio Properties. See “Release of Collateral” below and Description of the Mortgage Pool—Litigation Considerations” in the Free Writing Prospectus and the related exceptions to the representations and warranties set forth on Annex E-2 to the Free Writing Prospectus.

 

Escrows. On the origination date, the borrowers funded (i) a tax reserve in the amount of $3,172,482, (ii) a space rent reserve in the amount of $672,974 for eight months of the space rent payment associated with the Renaissance by Marriott Phoenix/Glendale, AZ Property and two months of the fixed ground rent payment associated with the Embassy Suites Huntsville, AL Property ground lease, and (iii) property improvement plan reserves to maintain the three Marriott properties in accordance with the applicable brand standards in the amount of $5,000,000 for the Renaissance by Marriott Phoenix/Glendale, AZ Property, $1,940,000 for the Courtyard by Marriott Dallas/Allen, TX Property, and $950,000 for the Residence Inn by Marriott Kansas City, MO Property related to capital expenditures and any future brand standard improvements.

 

On each due date, the borrowers will be required to fund (i) a tax, ground rent and insurance reserve in an amount equal to one-twelfth of the amount that the lender reasonably estimates will be necessary to pay taxes, ground rent and insurance premiums over the then succeeding 12-month period (but excluding any payments in respect of taxes or insurance premiums to be made directly by one or more tenants or a ground lessor); provided, however, that reserve deposits for insurance premiums are not required if the borrowers are maintaining a blanket policy in accordance with the Hammons Hotel Portfolio Loan documents and there is no continuing event of default and (ii) a FF&E reserve in the amount of: (a) on each due date from October 2015 through and including September 2016, $360,433, (b) beginning on the due date in October 2016, the greater of (1) the monthly amount required to be reserved for each Hammons Hotel Portfolio Property pursuant to the applicable franchise agreement for the replacement of furniture, fixtures and equipment and (2) one-twelfth of 4% of the operating income for each Hammons Hotel Portfolio Property (or, in the case of the Renaissance by Marriott Glendale, AZ Property beginning on the due date in October 2017, one-twelfth of 5% of the operating income) for the previous 12-month period (as determined on August 31 of each year).

 

In addition, on each due date during the continuance of a Hammons Hotel Portfolio Trigger Period, the Hammons Hotel Portfolio Loan documents require an excess cash reserve or a property improvement plan reserve as discussed under “—Lockbox and Cash Management” below.

 

A “Hammons Hotel Portfolio Trigger Period” means any period (i) commencing upon the net operating income (as calculated under the Hammons Hotel Portfolio Loan documents) for the trailing 12-month period (as of the last day of any fiscal quarter) falling below the product of (x) $29,940,142 minus the net operating income as of the origination date of any Hammons Hotel Portfolio Property that has been released from the lien of the Hammons Hotel Portfolio Loan documents, times (y) 85%, and ending at the conclusion of the second consecutive fiscal quarter for which the net operating income is greater than or equal to such threshold; (ii) commencing upon the borrowers’ failure to deliver monthly, quarterly or annual financial reports and ending when such reports are delivered and indicate that no other Hammons Hotel Portfolio Trigger Period is ongoing; (iii) during the continuance of a Hammons Hotel Portfolio Franchise Trigger Period; and (iv) commencing when the borrower sponsor fails to maintain a net worth in excess of $100,000,000 excluding any assets attributable to the Hammons Hotel Portfolio Properties or liquid assets in excess of $7,000,000 (excluding any funds that are held by the lender in one or more accounts and sub-accounts established pursuant to the Hammons Hotel Portfolio Loan documents) and ending when such net worth and liquid assets thresholds are satisfied.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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A “Hammons Hotel Portfolio Franchise Trigger Period” means any period (a) commencing upon the occurrence of either (i) the failure to deliver, among other things, a replacement franchise agreement or management agreement (or an extension or written commitment by the applicable franchisor of an existing franchise agreement) with a term that extends at least 3 years beyond the maturity date of the Hammons Hotel Portfolio Whole Loan at least 18 months prior to the expiration date of such franchise agreement or (ii) the implementation of a property improvement plan as a condition to entering a replacement franchise agreement or the extension of the existing franchise agreement (other than the capital expenditures related to the upfront reserves for the Renaissance by Marriott Phoenix/Glendale, AZ Property, the Courtyard by Marriott Dallas/Allen, TX Property and the Residence Inn by Marriott Kansas City, MO Property described under “—Escrows” above) and (b) ending at the date upon which (x) the borrowers deliver, among other things, a replacement franchise agreement or management agreement (or an extension or written commitment by the applicable franchisor of an existing franchise agreement) with a term that extends at least 3 years beyond the maturity date of the Hammons Hotel Portfolio Whole Loan, and (y) if a property improvement plan is required in connection with such replacement (or extension or written commitment), the earlier to occur of (A) such property improvement plan being completed to the satisfaction of the applicable franchisor, (B) the balance in the property improvement plan reserve account being greater than or equal to 100% of the estimated cost to complete such property improvement plan, or (C) the delivery to the lender of a letter of credit in an amount equal to 100% of the estimated cost to complete such property improvement plan.

 

Lockbox and Cash Management. The Hammons Hotel Portfolio Whole Loan is structured with a hard lockbox and springing cash management. The Hammons Hotel Portfolio Loan documents require the borrowers to direct credit card companies to remit all credit card receivables directly to one or more lender-controlled lockbox accounts, and require that all cash revenues relating to the Hammons Hotel Portfolio Properties and all other money received by the borrowers or the property manager with respect to the Hammons Hotel Portfolio Properties be deposited into such lockbox account or a lender-controlled cash management account within three business days following receipt. On each business day that no Hammons Hotel Portfolio Trigger Period or event of default under the Hammons Hotel Portfolio Whole Loan is continuing, all funds in the lockbox accounts are required to be swept into one or more borrower-controlled operating accounts. On each business day during the continuance of a Hammons Hotel Portfolio Trigger Period or an event of default, all funds in the lockbox accounts are required to be swept into a lender-controlled cash management account and, at lender’s discretion during an event of default under the Hammons Hotel Portfolio Whole Loan, (a) be used to pay debt service, required reserves and operating expenses, and (b) for all remaining amounts, be reserved in (i) an excess cash flow reserve account during the continuance of a Hammons Hotel Portfolio Trigger Period (other than as described in clause (ii) below) or event of default or (ii) a property improvement plan reserve account during the continuance of a Hammons Hotel Portfolio Trigger Period caused by a Hammons Hotel Portfolio Franchise Trigger Period (up to a cap of 100% of the estimated cost to complete the property improvement plan, less amounts then on deposit).

 

During the continuance of an event of default under the Hammons Hotel Portfolio Whole Loan, the lender may apply all funds on deposit in any of the accounts constituting collateral for the Hammons Hotel Portfolio Whole Loan to amounts payable under the Hammons Hotel Portfolio Loan documents and/or toward the payment of expenses of the Hammons Hotel Portfolio Properties, in such order of priority as the lender may determine.

 

Property Management. The Hammons Hotel Portfolio Properties are managed by John Q. Hammons Hotels Management, LLC pursuant to a management agreement. Under the Hammons Hotel Portfolio Loan documents, the Hammons Hotel Portfolio Properties are required to remain managed by (i) John Q. Hammons Hotels Management, LLC, (ii) Winegardner & Hammons, Inc. and John Q. Hammons Accounting Services, LLC for certain financial and accounting services for the Hammons Hotel Portfolio Properties, while John Q. Hammons Hotels Management, LLC is the property manager for any Hammons Hotel Portfolio Property, (iii) any management company that is affiliated with the franchisor or licensor of a franchise, (iv) any reputable and experienced professional hotel management company meeting certain experience requirements under the Hammons Hotel Portfolio Loan documents that is approved by the applicable franchisor, or (v) any other management company approved by the lender and with respect to which Rating Agency Confirmation has been received. The lender has the right to replace, or require the borrowers to replace, the property manager with a property manager selected by the lender (i) during the continuance of an event of default under the Hammons Hotel Portfolio Whole Loan, (ii) following any foreclosure, conveyance in lieu of foreclosure or other similar

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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transaction, (iii) during the continuance of a material default by the property manager under the management agreement (after the expiration of any applicable notice and/or cure periods), (iv) if the property manager files for or is the subject of a petition in bankruptcy or (v) if a trustee or receiver is appointed for the property manager’s assets or the property manager makes an assignment for the benefit of its creditors or is adjudicated insolvent.

 

Mezzanine or Secured Subordinate Indebtedness. Not permitted.

 

Ground Leases and Space Lease. The borrower for the Embassy Suites Concord, NC Property is a tenant under a ground lease underlying the convention center at the Embassy Suites Concord, NC Property (the “Embassy Suites Concord Ground Lease”). The Embassy Suites Concord Ground Lease has an expiration date of December 9, 2059 (with three extension options through December 9, 2089). No ground rent is payable prior to November 21, 2022, at which time an annual ground lease payment of 0.25% of adjusted room sales for the previous calendar year (estimated to be approximately $27,188) will be due. The borrower for the Renaissance by Marriott Phoenix/Glendale, AZ Property is a tenant under a space lease for the convention center, expo hall and parking garage at the Renaissance by Marriott Phoenix/Glendale, AZ Property. The space lease has an expiration date of January 29, 2063 (with two extension options through January 29, 2083). The annual lease payment under the space lease is currently $1,419,741, calculated based on a fixed component of $985,725 plus a variable component based on the trailing 12-month revenue generated from the parking garage and expo hall. The borrower for the Embassy Suites Huntsville, AL Property is a tenant under a ground lease for the hotel and parking garage at the Embassy Suites Huntsville, AL Property (the “Embassy Suites Huntsville Ground Lease”). The Embassy Suites Huntsville Ground Lease has a term through February 15, 2104, and an annual ground lease payment of $224,595.

 

Release of Collateral. Provided no monetary default or event of default under the Hammons Hotel Portfolio Whole Loan is then continuing, at any time prior to the first due date following the earlier to occur of (a) the third anniversary of the origination date of the Hammons Hotel Portfolio Whole Loan and (b) the second anniversary of the closing date of the securitization into which the last piece of the Hammons Hotel Portfolio Whole Loan is deposited, the borrowers may obtain the release of one or more of the Hammons Hotel Portfolio Properties from the lien of the Hammons Hotel Portfolio Loan documents in connection with a bona fide third-party sale of such property or properties, subject to the satisfaction of certain conditions set forth in the Hammons Hotel Portfolio Loan documents, including among others: (i) prepayment in an amount equal to 115% of the allocated loan amount for each Hammons Hotel Portfolio Property being released and a prepayment fee equal to the greater of (a) a yield maintenance premium calculated based on the excess, if any, of the present values of the remaining scheduled principal and interest payments, over the outstanding principal balance of the Hammons Hotel Portfolio Whole Loan (calculated based on the portion being prepaid), and (b) 1% of the principal amount being prepaid; (ii) after giving effect to the release, the debt service coverage ratio (as calculated under the Hammons Hotel Portfolio Loan documents) for the remaining Hammons Hotel Portfolio Properties for the 12-month period preceding the end of the most recent fiscal quarter is no less than the greater of (a) 1.86x and (b) the debt service coverage ratio immediately prior to the release; (iii) delivery of Rating Agency Confirmation with respect to such partial release; and (iv) the satisfaction of certain REMIC requirements.

 

Provided no event of default under the Hammons Hotel Portfolio Whole Loan is then continuing, at any time on or after the first due date following the earlier to occur of (a) the third anniversary of the origination date of the Hammons Hotel Portfolio Whole Loan and (b) the second anniversary of the closing date of the securitization into which the last piece of the Hammons Hotel Portfolio Whole Loan is deposited, the borrowers may obtain the release of one or more of the Hammons Hotel Portfolio Properties from the lien of the Hammons Hotel Portfolio Loan documents, subject to the satisfaction of certain conditions set forth in the Hammons Hotel Portfolio Loan documents, including among others: (i) delivery of defeasance collateral in an amount equal to the lesser of (A) 115% of the allocated loan amount for each Hammons Hotel Portfolio Property being released and (B) the outstanding principal balance of the Hammons Hotel Portfolio Whole Loan, (ii) after giving effect to the release, the debt service coverage ratio (as calculated under the Hammons Hotel Portfolio Loan documents) for the remaining Hammons Hotel Portfolio Properties for the 12-month period preceding the end of the most recent fiscal quarter is no less than the greater of (a) 1.86x and (b) the debt service coverage ratio immediately prior to the release; (iii) delivery of Rating Agency Confirmation with respect to such partial defeasance; and (iv) the satisfaction of certain REMIC 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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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 a similar or subsequent statute) in an amount equal to the full replacement cost of the Hammons Hotel Portfolio Properties (plus 18 months of rental loss and/or business interruption coverage plus an additional period of indemnity covering the 12 months following restoration). If TRIPRA or a similar or subsequent statute is not in effect, then provided that terrorism insurance is commercially available, the borrowers are required to carry terrorism insurance throughout the term of the Hammons Hotel Portfolio Whole Loan as described in the preceding sentence, but in that event the borrowers are not 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 Hammons Hotel Portfolio 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 are 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 $50,000. 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 the Hammons Hotel Portfolio Properties are separately allocated to the Hammons Hotel Portfolio Properties and that the policy will provide the same protection as a separate policy. See “Risk Factors—Terrorism Insurance May Be Unavailable or Insufficient” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   SMF I
Location (City/State) Fort Worth, Texas   Cut-off Date Principal Balance   $54,100,000
Property Type Mixed Use   Cut-off Date Principal Balance per Unit(2) $180,333.33
Size (Units)(1) 300   Percentage of Initial Pool Balance   6.4%
Total Occupancy as of 9/14/2015(1) 94.3%   Number of Related Mortgage Loans   None
Owned Occupancy as of 9/14/2015(1) 94.3%   Type of Security   Fee Simple
Year Built / Latest Renovation 2009, 2014 / NAP   Mortgage Rate   4.7440%
Appraised Value $75,800,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Period (Months)   60
           
Underwritten Revenues $7,528,287        
Underwritten Expenses $2,937,761   Escrows
Underwritten Net Operating Income (NOI) $4,590,526     Upfront Monthly
Underwritten Net Cash Flow (NCF) $4,485,667   Taxes $1,096,331 $109,633
Cut-off Date LTV Ratio 71.4%   Insurance $151,313 $11,262
Maturity Date LTV Ratio(3) 64.7%   Replacement Reserve $0 $5,468
DSCR Based on Underwritten NOI / NCF 1.36x / 1.33x   TI/LC(4) $250,000 $3,271
Debt Yield Based on Underwritten NOI / NCF 8.5% / 8.3%   Other(5) $106,565 $0

 

           
Sources and Uses
Sources $ % Uses $ %
Loan Amount $54,100,000     72.2% Purchase Price $73,000,000  97.5%
Principal’s New Cash Contribution   20,800,315 27.8 Reserves     1,604,209 2.1
      Closing Costs        296,106 0.4
Total Sources $74,900,315 100.0% Total Uses $74,900,315 100.0%

 

 
(1)The Parkside at So7 Property is comprised of 300 multifamily units and 65,411 SF of commercial space. As of September 14, 2015, the multifamily units were 94.3% occupied and the commercial space was 75.1% leased.
(2)The Cut-off Date Principal Balance per Unit is calculated using the 300 multifamily units. Based on 351,161 SF (287,750 SF of multifamily space and 65,411 SF of commercial space), the Cut-off Date Principal Balance per SF is $154.06.
(3)The Maturity Date LTV Ratio is calculated utilizing the “as stabilized” appraised value of $76,800,000 which assumes the commercial space has reached a stabilized occupancy. The Maturity Date LTV Ratio, calculated on the basis of the “as-is” appraised value of $75,800,000, is 65.6%. See “—Appraisal” below.
(4)TI/LC reserves are capped at $500,000. See “—Escrows” below.
(5)Other reserve represents unfunded obligations reserves for tenant allowances and leasing commissions related to tenants Barre Code ($54,575), Sundt ($42,990) and MudSmith Coffee ($9,000). See “—Escrows” below.

 

The Mortgage Loan. The mortgage loan (the Parkside at So7 Loan”) is evidenced by a promissory note in the original principal amount of $54,100,000 and is secured by a first mortgage encumbering the borrowers’ fee simple interest in a mixed use property located in Fort Worth, Texas (the Parkside at So7 Property”). The Parkside at So7 Loan was originated by Starwood Mortgage Capital LLC on September 15, 2015 and will be acquired by Starwood Mortgage Funding I LLC on or prior to the securitization Closing Date. The Parkside at So7 Loan represents approximately 6.4% of the Initial Pool Balance. The note evidencing the Parkside at So7 Loan has an outstanding principal balance as of the Cut-off Date of $54,100,000 and an interest rate of 4.7440% per annum. The borrowers utilized the proceeds of the Parkside at So7 Loan to purchase the Parkside at So7 Property, fund reserves and pay origination costs.
The Parkside at So7 Loan had an initial term of 120 months and has a remaining term of 120 months. The Parkside at So7 Loan requires payments of interest only through the due date in October 2020, after which it requires monthly payments of interest and principal sufficient to amortize the Parkside at So7 Loan over a 30-year amortization schedule. The scheduled maturity date is the due date in October 2025. The Parkside at So7 Loan may be voluntarily prepaid on or after the due date in November 2017 with the payment of a prepayment fee equal to the greater of (i) a yield maintenance premium calculated based on the excess, if any, of the present values of the remaining scheduled principal and interest payments, over the outstanding principal balance of the Parkside at So7 Loan, and (ii) 1% of the principal amount being prepaid. Voluntary prepayment of the Parkside at So7 Loan is permitted on and after the due date in June 2025 without payment of any yield maintenance or any other prepayment premium. Provided that no event of default has occurred and is continuing, defeasance with non-callable obligations of the United States of America is permitted at any time on or after the first due date following the second anniversary of the securitization Closing Date.
The Mortgaged Property. The Parkside at So7 Property is a 300 unit Class A+ multifamily complex located in Fort Worth, Texas in Tarrant County. In addition to the multifamily units, the Parkside at So7 Property includes 38,766 SF of retail space and 26,645 SF of office space. The Parkside at So7 Property was built in two phases. Phase I was built in 2009 and includes 71 multifamily units, as well as 65,411 SF of commercial space. Phase II includes 229 multifamily units and came online in April 2014. The unit mix is made up of 33 efficiency units, 181 one-bedroom units, and 86 two-bedroom units ranging from 558 SF to 1,586 SF. The weighted average unit 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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is approximately 953 SF. The Parkside at So7 Property is LEED certified with amenities that include a fireside courtyard, two pools, lounge and game room, 24-hour fitness and cardio center and a business center. The Parkside at So7 Property also includes a private parking garage.

 

The Parkside at So7 Property is located at 2401 West 7th Street, Fort Worth, Texas and is situated at the gateway to the West 7th Street corridor of Fort Worth. Located one mile west of the Fort Worth central business district (“CBD”), it is within two miles of Sundance Square, the West 7th Street/Cultural District, the Museum District and the Medical District. As of September 14, 2015, Total Occupancy and Owned Occupancy at the Parkside at So7 Property was 94.3% for the multifamily space. As of September 14, 2015, the commercial space was 75.1% leased.

The following table presents certain information relating to the units and rent at the phase I portion of the Parkside at So7 Property:

Unit Type

 

# of Units

 

Average SF per Unit

 

Monthly Market Rent per Unit(1)

 

Monthly Actual Rent per Unit(2)

 

Underwritten Monthly Rent per Unit(2)

 

Underwritten Annual Rent(2)

1BR / 1.5BA – Chisholm   1   854   $1,601   $1,601   $1,601   $19,212
1BR / 1.5BA – Museum   7   990   1,804   1,722   1,722   144,672
1BR / 1.5BA – Sundance   24   1,010   1,842   1,760   1,763   507,828
1BR / 1.5BA – Bowie   8   1,120   2,002   1,895   1,895   181,872
1BR / 1.5BA – Fossil Creek   1   1,163   2,179   2,000   2,000   24,000
1BR / 1.5BA – Amon   1   1,298   2,228   2,200   2,200   26,400
2BR / 2.5BA – Heritage   8   1,308   2,366   2,329   2,338   224,472
2BR / 2.5BA – Overton   7   1,413   2,607   2,516   2,516   211,332
2BR / 2.5BA – Kimball   7   1,467   2,538   2,430   2,430   204,128
2BR / 2.5BA – Duke   6   1,487   2,974   2,890   2,890   208,068
2BR / 2.5BA – Trinity  

1

 

1,586

 

3,750

 

3,390

 

3,390

 

40,680

Total / Wtd. Avg.   71   1,191   $2,189   $2,102   $2,104   $1,792,664

 

 
(1)Source: Appraisal.
(2)Based on the rent roll dated September 14, 2015 with vacant units grossed up to market rent.

The following table presents certain information relating to the units and rent at the phase II portion of the Parkside at So7 Property:

Unit Type   # of Units   Average SF per Unit   Monthly Market Rent per Unit(1)   Monthly Actual Rent per Unit(2)   Underwritten Monthly Rent per Unit(2)   Underwritten Annual Rent(2)
Efficiency   29   558   $1,121   $1,067   $1,071   $372,545
Efficiency   4   693   1,119   1,084   1,084   52,020
1BR / 1BA   58   700   1,321   1,318   1,318   917,210
1BR / 1BA   26   744   1,387   1,364   1,366   426,310
1BR / 1BA   5   804   1,443   1,402   1,402   84,132
1BR / 1BA   3   900   1,658   1,518   1,518   54,660
1BR / 1BA   4   952   1,666   1,593   1,593   76,440
1BR / 1BA   26   899   1,610   1,539   1,541   480,879
1BR / 1BA   16   1,040   1,903   1,627   1,696   325,672
1BR / 1BA   1   1,158   1,805   1,655   1,655   19,860
2BR / 2BA   24   1,116   1,912   1,844   1,855   534,372
2BR / 2BA   8   1,242   2,109   2,076   2,076   199,320
2BR / 2BA   3   1,248   2,122   2,005   2,005   72,180
2BR / 2BA   3   1,465   2,495   2,495   2,495   89,808
2BR / 2BA   5   1,285   2,200   2,160   2,160   129,624
2BR / 2BA   4   1,359   2,277   2,257   2,257   108,312
2BR / 2BA   5   1,398   2,516   2,358   2,358   141,504
2BR / 2BA   5   1,373   2,727   2,566   2,566   153,944
Total / Wtd. Avg.   229   878   $1,596   $1,535   $1,542   $4,238,792

 

 
(1)Source: Appraisal.
(2)Based on the rent roll dated September 14, 2015 with vacant units grossed up to market rent.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The following table presents certain information relating to the major tenants (of which, certain tenants may have co-tenancy provisions) at the Parkside at So7 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
Chuy’s Mexican Food   NR / NR / NR   7,374   11.3%   $225,497   17.9%   $30.58   11/30/2025   3, 5-year options
GCG Time/Money Corporation   NR / NR / NR   8,016   12.3   166,332   13.2   20.75   10/31/2022   1, 5-year option
Trinity Merchants(2)   NR / NR / NR   4,137   6.3   99,288   7.9   24.00   11/30/2022   2, 5-year options
Barcadia   NR / NR / NR   3,000   4.6   96,000   7.6   32.00   3/31/2021   1, 5-year option
Floss Dental   NR / NR / NR   2,600   4.0   83,196   6.6   32.00   1/31/2021   2, 5-year options
Max’s Wine Dive   NR / NR / NR   2,376   3.6   72,468   5.8   30.50   8/31/2023   2, 5-year options
Sundt Construction   NR / NR / NR   2,866   4.4   68,784   5.5   24.00   9/30/2020   NA
MudSmith Coffee   NR / NR / NR   1,579   2.4   60,000   4.8   38.00   12/30/2020   2, 5-year options
Pho District   NR / NR / NR   2,197   3.4   57,120   4.5   26.00   2/17/2024   2, 5-year options
AZT Corporation(3)   NR / NR / NR   1,889   2.9   56,670   4.5   30.00   10/1/2020   NA
Ten Largest Tenants   36,034   55.1%   $985,355   78.3%   $27.35        
Remaining   13,093   20.0   273,713   21.7   20.91        
Vacant Spaces   16,284   24.9   0   0.0   0.00        
Total / Wtd. Avg. Tenants   65,411   100.0%   $1,259,068   100.0%   $25.63        

 

 
(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.
(2)Trinity Merchants has a one-time right to terminate its lease effective November 1, 2020 upon six months’ notice and payment of a termination fee equal to the unamortized improvement allowance and leasing commissions.
(3)AZT Corporation is an affiliate of the Parkside at So7 borrowers.
Operating History and Underwritten Net Cash Flow. The following table presents certain information relating to the Underwritten Net Cash Flow at the Parkside at So7 Property:

Cash Flow Analysis(1)(2)

    TTM 8/31/2015  Underwritten  

Underwritten
$ per Unit/SF(3)

 
Multifamily Base Rent    $5,058,074     $5,674,381     $18,914.60   
Commercial Base Rent    1,124,945     1,259,068     19.25   
Multifamily Gross Up Vacancy    0     358,153     1,193.84   
Commercial Gross Up Vacancy    0     461,700     7.06   
Gross Potential Rent    $6,183,019     $7,753,302     $22.08   
Multifamily Economic Vacancy & Credit Loss    0     (604,775)    (2,015.92)  
Commercial Economic Vacancy & Credit Loss    0     (461,700)    (7.06)  
Total Rent Revenue    $6,183,019     $6,686,827     $19.04   
Commercial Reimbursements    0     427,050     6.53   
Multifamily Other Revenue(4)    388,393     414,410     1,381.37   
Effective Gross Income    $6,571,412     $7,528,287     $21.44   
                     
Shared Operating Expenses    $2,147,027     $1,887,428     $5.37   
Multifamily Operating Expenses    728,189     728,189     2,427.30   
Commercial Operating Expenses    322,145     322,145     4.92   
Total Operating Expenses    $3,197,361     $2,937,761     $8.37   
                     
Net Operating Income    $3,374,051     $4,590,526     $13.07   
TI/LC    0     39,247     0.30   
Multifamily Replacement Reserves    0     55,800     186.00   
Commercial Replacement Reserves    0     9,812     0.15   
Net Cash Flow    $3,374,051     $4,485,667     $12.77   

 

 
(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)The Parkside at So7 Property multifamily component was built in two phases. Phase I (71 units) came online in 2009 and phase II (229 units) came online in April 2014. Due to the recent lease up of the phase II portion of the Parkside at So7 Property, historical financial information is limited and multifamily Effective Gross Income is underwritten to the trailing 12 months’ collections ($1,727,546) for the phase I portion and to the annualized trailing five months’ collections ($4,114,624) for the phase II portion.
(3)The Parkside at So7 Property is comprised of 300 multifamily units and 65,411 SF of commercial space. Underwritten $ per Unit for line items particular to the multifamily component are represented on a per unit basis based upon the 300 multifamily units. All expenses specific to the commercial component are represented on a per SF basis based upon the 65,411 SF. The expenses shared between both the multifamily and commercial spaces are represented on a per SF basis using the Parkside at So7 Property’s total space of 351,161 SF.
(4)Other Revenue consists primarily of late fees, pet fees, tenant utility reimbursements and lease termination 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Appraisal. According to the appraisal, the Parkside at So7 Property had an “as-is” appraised value of $75,800,000 as of an effective date of August 7, 2015 and an “as stabilized” appraised value of $76,800,000 as of August 7, 2016. As of August 7, 2015, the multifamily space had an “as-is” appraised value of $58,700,000 and the commercial space had an “as-is” appraised value of $17,100,000. The commercial space has an “as stabilized” value of $18,100,000, which assumes a stabilized occupancy of 89.0% and has an effective date as of August 7, 2016.
Environmental Matters. The Phase I environmental report, dated August 13, 2015, reported that the Parkside at So7 Property is located within a larger site that in 1997 became subject to a voluntary cleanup program under the Texas Commission on Environmental Quality due to contamination of soil and groundwater with polycyclic aromatic hydrocarbons and total petroleum hydrocarbons.  Contaminated soils were removed and an institutional control prohibiting groundwater use was issued for the site, and the Texas Commission on Environmental Quality subsequently issued a certificate of completion for the site in 1999.  In addition, the Phase I environmental report reported that the Parkside at So7 Property is located 140 feet downgradient from a property with groundwater that was and remains impacted with chlorinated solvents above applicable potable-water protective concentration levels, for which such property received an official state designation certifying that such groundwater is not used as potable water and is prohibited from future use as potable water.
Multifamily Market Overview and Competition. The Parkside at So7 Property is located in Fort Worth, Texas, in Tarrant County. The Parkside at So7 Property is a Class A+ apartment complex located in an area known as the West 7th District, one mile west of the Fort Worth CBD. The Parkside at So7 Property is within two miles of Sundance Square, the West 7th Street/Cultural District, the Museum District and the Medical District. Major thoroughfares located near the Parkside at So7 Property include I-30, I-35 West and Chisolm Trail Parkway. The Parkside at So7 Property is located in the Northwest Apartment submarket. According to a market research report, the Northwest Apartment submarket is 91% occupied as of the first quarter of 2015. In the past 20 years, the Northwest Apartment submarket has expanded from 849 units to 6,961 units. Despite the increase in supply, the submarket has an average of 91% occupancy over the 20-year period. Rents have grown 4.7% per year on average over the last 20 years. The 2015 population in the Fort Worth – Arlington, Texas MSA was 2,398,600, with an estimated median household income of $60,600. The 2015 population in a 3-mile radius of the Parkside at So7 Property is 83,577 with an estimated median household income of $43,465. The appraiser concluded market rents ranging from $1,119 for efficiency units to $3,750 for 3 BR / 2.5 BA units.

Comparable Set(1)

   

Bell Lancaster

 

Elan West 7th (2)

 

Lofts at West 7th III

 

Trinity District

 

Vue de Musee

City   Fort Worth   Fort Worth   Fort Worth   Fort Worth   Fort Worth
Total Occupancy   95%   31%   96%   93%   96%

 
(1)Source: Appraisal.
(2)Elan West 7th is in lease-up and is not yet stabilized.

According to a market research report, the Central Fort Worth retail submarket contained approximately 23,737,243 SF of inventory as of the second quarter of 2015. As of the second quarter of 2015, the Central Fort Worth retail submarket had a vacancy rate of 8.4%. The appraiser concluded a market rent of $30.00, $31.00 and $24.00 for the retail space, the restaurant space and the office space at Parkside at So7 Street Property, respectively.

The Borrowers. The borrowers are T Parkside KTX TX, LLC; T Parkside SDL TX, LLC, T Parkside SMR TX, LLC, T Parkside OTTM TX, LLC and T Parkside FHV TX, LLC, each a single-purpose entity formed solely for the purpose of owning and operating the Parkside at So7 Property. Legal counsel to the borrowers delivered a non-consolidation opinion in connection with the origination of the Parkside at So7 Loan. The borrowers own the Parkside at So7 Property as tenants-in-common and have waived their respective rights to partition. 2005 ZST/TBT Descendant’s Trust – T Trust, a Texas trust, and Zaffar S. Tabani are the non-recourse carveout guarantors under the Parkside at So7 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Zaffar S. Tabani is the president and CEO of The Tabani Group, a family owned and operated developer based in Dallas, Texas. The Tabani Group owns commercial real estate properties totaling more than $650 million in value. The Tabani Group’s portfolio consists mostly of retail and multifamily properties. It currently has a portfolio of more than 50 assets totaling more than 6.1 million SF of retail space and more than 1,400 multifamily units.

Escrows. On the origination date of the Parkside at So7 Loan, the borrowers funded escrow reserves in the amounts of (i) $1,096,331 with respect to certain real estate taxes, (ii) $151,313 with respect to certain insurance reserves, (iii) $250,000 for tenant improvements and leasing commissions reserves and (iv) $106,565 for tenant allowances and leasing commissions related to tenants Barre Code ($54,575), Sundt ($42,990) and MudSmith Coffee ($9,000). On each due date, the borrowers are required to fund (i) a tax and insurance reserve in monthly amounts equal to one-twelfth of the amounts the lender estimates will be necessary to pay taxes and insurance premiums over the then succeeding 12-month period, which currently equate to $109,633 and $11,262, respectively, (ii) a replacement reserve in the monthly amount of $5,468 and (iii) a tenant improvement and leasing commission reserve equal to $3,271, capped at $500,000.
Lockbox and Cash Management. The Parkside at So7 Loan is structured with a springing lockbox and springing cash management. Following the occurrence of the first Parkside at So7 Sweep Event, the Parkside at So7 Loan documents require the borrowers and/or property manager to cause rents to be deposited directly to a lender-controlled lockbox account with respect to the multifamily units and to direct the commercial tenants to pay their rents directly to a lender-controlled lockbox account. Following the occurrence of a Parkside at So7 Sweep Event, funds on deposit in the lockbox account are required to be transferred on a daily basis to a lender-controlled cash management account. On each due date during a Parkside at So7 Sweep Event, the Parkside at So7 Loan documents require that all amounts on deposit in the cash management account be used to pay debt service, fund required reserves and pay operating expenses, and all remaining amounts will be deposited in the excess cash flow reserve account and held as additional collateral for the Parkside at So7 Loan.

A “Parkside at So7 Sweep Event” means any period (i) after the occurrence of an event of default under the Parkside at So7 Loan until cured (so long as no other Parkside at So7 Sweep Event is in effect) or (ii) during which the debt service coverage ratio of the Parkside at So7 Property (based on the trailing 12 calendar months and as determined by the lender) is less than 1.10x until the debt service coverage ratio of the Parkside at So7 Property (based on trailing 12 calendar months and as determined by the lender) is equal to or greater than 1.25x for two consecutive calendar quarters (so long as no other Parkside at So7 Sweep Event is in effect).

Property Management. The Parkside at So7 Property is currently managed by ZRS Management, LLC pursuant to a management agreement. Under the Parkside at So7 Loan documents, the Parkside at So7 Property may be managed by ZRS Management, LLC or any other management company reasonably approved by the lender and with respect to which a Rating Agency Confirmation has been received. Upon any of (i) the occurrence of an event of default under the Parkside at So7 Loan documents, (ii) the debt service coverage ratio of the Parkside at So7 Property (based on the trailing 12 calendar months) being less than 1.10x, (iii) the continuance of a default by the property manager under the management agreement beyond any applicable notice and cure period, (iv) the filing of a bankruptcy petition or the occurrence of a 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 borrowers to terminate the management agreement and replace the property manager with a new property manager selected by the borrowers, subject to the lender’s approval and, if required by the lender, with respect to which a Rating Agency Confirmation has been received.
Mezzanine or Secured 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Terrorism Insurance. The borrowers are required to maintain an “all-risk” insurance policy in an amount equal to the full replacement cost of the Parkside at So7 Property and 18 months of business interruption insurance that provide coverage for certified and non-certified acts of terrorism (as such term is defined in TRIPRA or a similar or subsequent statute). The required terrorism insurance may be included in a blanket policy, provided that, among other things, any such blanket policy specifically allocates to the Parkside at So7 Property the amount of coverage from time to time required under the Parkside at So7 Loan agreement. See “Risk Factors–Terrorism Insurance May Be Unavailable or Insufficient” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

73
 

444-450 WEST 56TH STREET

 

(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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444-450 WEST 56TH STREET

 

(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   CGMRC
Location (City/State) New York, New York   Cut-off Date Principal Balance   $30,000,000
Property Type Office   Cut-off Date Principal Balance per SF   $105.45
Size (SF)  284,500   Percentage of Initial Pool Balance   3.5%
Total Occupancy as of 5/31/2015 86.6%   Number of Related Mortgage Loans   None
Owned Occupancy as of 5/31/2015 86.6%   Type of Security   Fee Simple
Year Built / Latest Renovation 1917 / 1994   Mortgage Rate   4.3000%
Appraised Value(1) $160,000,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   NAP
      Original Interest Only Term (Months) 120
       
Underwritten Revenues $4,612,197    
Underwritten Expenses $1,253,459   Escrows
Underwritten Net Operating Income (NOI) $3,358,738     Upfront Monthly
Underwritten Net Cash Flow (NCF) $3,016,239   Taxes $316,314 $79,078
Cut-off Date LTV Ratio 18.8%   Insurance $88,415 $9,824
Maturity Date LTV Ratio 18.8%   Replacement Reserve $0 $8,356
DSCR Based on Underwritten NOI / NCF 2.57x / 2.31x   TI/LC $0 $0
Debt Yield Based on Underwritten NOI / NCF 11.2% / 10.1%   Other(2) $93,035 $0
               
Sources and Uses
Sources $ %   Uses $ %  
Loan Amount $30,000,000 99.6%   Loan Payoff $24,072,824 79.9 %
Other Sources 135,000 0.4   Principal Equity Distribution 4,892,634 16.2  
        Closing Costs 671,778 2.2  
        Reserves 497,764 1.7  
Total Sources $30,135,000 100.0%   Total Uses $30,135,000 100.0 %

 

 
(1)The $160,000,000 appraised value is the sum of $130,000,000 attributable to the value of the leased fee interest and $30,000,000 attributable to the value of unused development rights at the 444-450 West 56th Street Property. See “—Appraisal” below.
(2)Other upfront reserve represents $93,035 for deferred maintenance at the 444-450 West 56th Street Property. See “—Escrows” below.

 

The Mortgage Loan. The mortgage loan (the “444-450 West 56th Street Loan”) is evidenced by a note in the original principal amount of $30,000,000 and is secured by a first mortgage encumbering the borrower’s fee simple interest in a 284,500 SF office building located in New York, New York (the “444-450 West 56th Street Property”). The 444-450 West 56th Street Loan was originated by Citigroup Global Markets Realty Corp. on September 18, 2015 and represents approximately 3.5% of the Initial Pool Balance. The note evidencing the 444-450 West 56th Street Loan has an outstanding principal balance as of the Cut-off Date of $30,000,000 and an interest rate of 4.3000% per annum. The proceeds of the 444-450 West 56th Street Loan were primarily used to refinance the existing debt on the 444-450 West 56th Street Property, fund reserves and pay origination costs.

 

The 444-450 West 56th Street Loan had an initial term of 120 months and has a remaining term of 120 months as of the Cut-off Date. The 444-450 West 56th Street Loan requires monthly payments of interest only during its term. The scheduled maturity date of the 444-450 West 56th Street Loan is the due date in October 2025. At any time after the second anniversary of the securitization Closing Date, the 444-450 West 56th Street 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 444-450 West 56th Street Loan documents. Voluntary prepayment of the 444-450 West 56th Street Loan in whole is permitted on or after the due date occurring in July 2025 without payment of any prepayment premium.

 

The 444-450 West 56th Street Loan has received a credit assessment of BBB+ by KBRA.

 

The Mortgaged Property. The 444-450 West 56th Street Property consists of four contiguous four-story office buildings totaling 284,500 SF that were initially constructed in 1917 and renovated in 1994. The 444-450 West 56th Street Property is located at the southeast corner of West 56th Street and Tenth Avenue in the Hell’s Kitchen neighborhood of Manhattan in New York City. As of May 31, 2015, the 444-450 West 56th Street Property was 86.6% occupied by two tenants. The largest tenant, the Board of Education of the City School District of the City of New York as assignee of the New York City School Construction Authority (“NYCSCA”), occupies 235,000 SF or 82.6% of gross leasable area on a lease expiring in September 2024. NYCSCA utilizes the space as two city schools, Independence High School and the High School for Environmental Studies. Sync Sound leases 11,500 SF of occupied space or 4.0% of gross leasable area at the 444-450 West 56th Street Property on a month-to-month basis. NYCSCA and Sync Sound have each occupied their space at the 444-450 West 56th Street 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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since 1995 and 1983, respectively. In addition to the improvements currently constructed at the 444-450 West 56th Street Property, there is 118,341 SF of unused development rights which are part of the collateral for the 444-450 West 56th Street Property and not subject to any release provisions for the 444-450 West 56th Street Loan term.

 

The following table presents certain information relating to the major tenants at the 444-450 West 56th Street Property:

 

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
NYCSCA(2)   AA / Aa2 / AA   235,000     82.6 %   $3,553,577     93.1 %   $15.12     9/8/2024   NA
Sync Sound(3)   NR / NR / NR   11,500     4.0     264,000     6.9     22.96     MTM   NA
Largest Tenants       246,500     86.6 %   $3,817,577     100.0 %   $15.49          
Remaining Tenants       0     0.0     0     0.0     0.00          
Vacant       38,000     13.4     0     0.0     0.00          
Total / Wtd. Avg. All Tenants       284,500     100.0 %   $3,817,577     100.0 %   $15.49          

 

 
(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.
(2)NYCSCA has the option to terminate its lease at any time upon one year’s notice.
(3)Sync Sound currently leases its space on a month-to-month basis. Sync Sound has occupied its space at the 444-450 West 56th Street Property since 1983.

 

The following table presents the lease rollover schedule at the 444-450 West 56th Street 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   11,500     4.0 %   4.0%     $264,000     6.9 %   $22.96     1
2015   0     0.0     4.0%     0     0.0     0.00     0
2016   0     0.0     4.0%     0     0.0     0.00     0
2017   0     0.0     4.0%     0     0.0     0.00     0
2018   0     0.0     4.0%     0     0.0     0.00     0
2019   0     0.0     4.0%     0     0.0     0.00     0
2020   0     0.0     4.0%     0     0.0     0.00     0
2021   0     0.0     4.0%     0     0.0     0.00     0
2022   0     0.0     4.0%     0     0.0     0.00     0
2023   0     0.0     4.0%     0     0.0     0.00     0
2024   235,000     82.6     86.6%     3,553,577     93.1     15.12     1
2025   0     0.0     86.6%     0     0.0     0.00     0
2026 & Thereafter   0     0.0     86.6%     0     0.0     0.00     0
Vacant   38,000     13.4     100.0%     0     0.0     0.00     0
Total / Wtd. Avg.   284,500     100.0 %         $3,817,577     100.0 %   $15.49     2

 

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

 

The following table presents certain information relating to historical leasing at the 444-450 West 56th Street Property:

 

Historical Leased %(1)

 

 

 

2012

 

2013

 

2014

 

As of 5/31/2015

Owned Space   86.6%   86.6%   86.6%   86.6%

 

 
(1)As provided by the borrower and which 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request 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 444-450 West 56th Street Property:

 

Cash Flow Analysis(1)

                               
    2012   2013   2014   Underwritten   Underwritten
$ per SF
Base Rent   $2,871,042     $2,736,208     $2,998,636     $3,377,750     $11.87  
Contractual Rent Steps(2)   0     0     0     439,827     1.55  
Gross Up Vacancy   0     0     0     1,748,000     6.14  
Total Rent   $2,871,042     $2,736,208     $2,998,636     $5,565,577     $19.56  
Total Reimbursables   722,028     725,617     706,950     738,993     2.60  
Other Income   42,503     26,052     55,627     55,627     0.20  
Vacancy & Credit Loss   0     0     0     (1,748,000   (6.14
Effective Gross Income   $3,635,573     $3,487,877     $3,761,213     $4,612,197     $16.21  
                               
Real Estate Taxes   $825,915     $840,683     $892,704     $912,532     $3.21  
Insurance   118,745     137,228     112,273     112,273     0.39  
Management Fee   50,000     50,000     50,000     50,000     0.18  
Other Operating Expenses   177,499     154,501     169,124     178,653     0.63  
Total Operating Expenses   $1,172,159     $1,182,412     $1,224,101     $1,253,459     $4.41  
                               
Net Operating Income   $2,463,414     $2,305,464     $2,537,112     $3,358,738     $11.81  
TI/LC   0     0     0     242,228     0.85  
Replacement Reserves   0     0     0     100,271     0.35  
Net Cash Flow   $2,463,414     $2,305,464     $2,537,112     $3,016,240     $10.60  

 

 
(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 of $439,827 represent the present value of NYCSCA’s rent increase to $16.00 per SF occurring on September 1, 2019.

 

Appraisal. According to the appraisal, the 444-450 West 56th Street Property had an “as-is” appraised value of $160,000,000 as of July 1, 2015. The $160,000,000 appraised value consists of $130,000,000, which is attributable to the value of the leased fee interest and $30,000,000, which is attributable to the value of unused development rights at the 444-450 West 56th Street Property. In order to determine the “as-is” market value of the 444-450 West 56th Street Property, the appraiser relied upon several valuation approaches.  The appraiser concluded a land value “as-vacant” of $160,000,000 based on seven comparable land sales.  In addition, the appraiser concluded an “as-is” value of $140,000,000 based on ten comparable improved sales, which includes $30,000,000 of value related to 118,341 SF of unused development rights. Lastly, the appraiser concluded an “as-is” value of $160,000,000 based on a discounted cash flow analysis that assumes, among other things, the existing rental rate for the NYCSCA lease will increase to the concluded market rent of $46.00 per SF at lease expiration.  The discounted cash flow analysis also includes the $30,000,000 of value attributable to the unused development rights.  Per the appraisal, the concluded “as-is” market value of $160,000,000 relies on both the sales comparison approach and the income capitalization approach.

 

Environmental Matters. Based on a Phase I environmental report dated June 24, 2015, the environmental consultant did not identify evidence of a recognized environmental condition and did not recommend any further action other than the institution of an operations and maintenance plan for asbestos, which was in place at origination of the 444-450 West 56th Street Loan. 

 

Market Overview and Competition. According to the appraisal, the 444-450 West 56th Street Property is part of the Midtown Manhattan office market which, as of the first quarter of 2015, contains a total inventory of approximately 240 million SF, has a direct vacancy rate of 7.9% and an average Class B office space rental rate of $55.39 per SF. The 444-450 West 56th Street Property is located within the Midtown West office district and more specifically located within the West Side submarket. The West Side submarket runs from 42nd Street north to 72nd Street and from Seventh Avenue west to the Hudson River. As of the first quarter of 2015, the Midtown West office district reported a total inventory of approximately 23.6 million SF of Class B office space, a 7.5% direct vacancy rate and an overall weighted average rental rate of $55.34 per SF. As of the first quarter of 2015, the West Side office submarket reported a total inventory of approximately 4.0 million SF of Class B office space, a 7.9% direct vacancy rate and an overall weighted average rental rate of $58.58 per SF.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The appraiser identified seven buildings with comparable leases and concluded a rental rate of $46.00 per SF on a modified gross basis for the 444-450 West 56th Street Property which is higher than the average in place rent.

 

The following table presents certain information relating to certain office lease comparables provided in the appraisal for the 444-450 West 56th Street Property:

 

Office Lease Comparables(1)

 

   

1697 Broadway

 

330 West 34th Street

 

321 West 44th Street

 

519 Eighth Avenue

Year Built   1925   1925   1929   1925
Total Building NRA   96,067   675,000   200,000   355,000
Quoted Rent Rate per SF   $45.00   $67.00   $55.00   $42.00
                 
   

460 West 34th Street

 

80 West End Avenue

 

423 West 55th Street

   
Year Built   1927   1921   1925    
Total Building NRA   723,975   218,543   273,000    
Quoted Rent Rate per SF   $41.00   $60.64   $34.50    

 

 
(1)Source: Appraisal.

 

The Borrower. The borrower is 444 56th Street Realty Co. LLC, a single-purpose, single-asset entity. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of the 444-450 West 56th Street Loan. The non-recourse carveout guarantor for the 444-450 West 56th Street Loan is LCBS Corporation. Pursuant to the 444-450 West 56th Street Loan documents, LCBS Corporation is required to maintain a minimum net worth and liquidity of $20,000,000 and $1,000,000 respectively. LCBS Corporation is controlled by the principals of Enterprise Asset Management, a privately owned business founded in 1968 with the purposes of acquiring, developing, and managing real estate throughout the United States. Enterprise Asset Management has a current real estate portfolio consisting of approximately 3.4 million SF of office space, 2,500 multi-family residential units and two regional shopping malls in Texas containing over 1.0 million SF of gross leasable area.

 

Escrows. On the origination date of the 444-450 West 56th Street Loan, the borrower funded aggregate reserves of $497,764 with respect to the 444-450 West 56th Street Property, comprised of (i) $316,314 for real estate taxes, (ii) $88,415 for insurance premiums and (iii) $93,035 for deferred maintenance costs at the 444-450 West 56th Street Property.

 

Additionally, on each due date, the borrower is required to fund the following reserves: (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 12-month period, (ii) at the option of the lender, if the liability or casualty policy maintained by the borrower does not constitute an approved blanket or umbrella insurance policy under the 444-450 West 56th Street 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 and (iii) a replacement reserve in the amount of $8,356.

 

Lockbox and Cash Management. The 444-450 West 56th Street Property is structured with a hard lockbox, which is in place, and springing cash management. Upon origination, the borrower delivered notice to tenants directing the tenants to pay their rents directly into such lender-controlled lockbox account. On each business day during which no 444-450 West 56th Street Trigger Period is ongoing, funds on deposit in the lockbox account are required to be transferred to an account designated by the borrower. During the continuance of a 444-450 West 56th Street Trigger Period, amounts on deposit in the lockbox account are required to be transferred to a lender-controlled cash management account (which cash management account is required to be established and thereafter maintained by the lender on the borrower’s behalf upon the commencement of the first 444-450 West 56th Street Trigger Period). On each due date, the 444-450 West 56th Street Loan documents require that all amounts on deposit in the cash management account, if any, after payment of debt service and funding of any required monthly reserves for budgeted operating expenses, real estate taxes, insurance premiums, replacement reserves, and other amounts due under the loan documents: (i) to the extent that a 444-450 West 56th Street Trigger Period exists, be held by the lender as additional collateral and (ii) to the extent that no 444-450 West 56th

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Street Trigger Period exists, be disbursed to the borrower. During the continuance of an event of default under the 444-450 West 56th Street Loan, the lender may apply any funds in the cash management account to amounts payable under the 444-450 West 56th Street Loan and/or toward the payment of expenses of the 444-450 West 56th Street Property, in such order of priority as the lender may determine.

  

A “444-450 West 56th Street Trigger Period” means a period commencing upon the earliest of (i) the occurrence of an event of default under the 444-450 West 56th Street Loan documents and continuing until the same is cured, (ii) the date that the debt service coverage ratio is less than 1.60x and continuing until the debt service coverage ratio is equal to or greater than 1.65x for two consecutive calendar quarters or (iii) the occurrence of a 444-450 West 56th Street Specified Tenant Trigger Period, and continuing until the same is cured.

 

A “444-450 West 56th Street Specified Tenant Trigger Period” means a period (A) commencing upon the first to occur of (i) a 444-450 West 56th Street Specified Tenant being in default under its lease beyond applicable notice and cure periods, (ii) a 444-450 West 56th Street Specified Tenant failing to be in actual, physical possession of its space, failing to be open to the public for business during customary hours and/or “going dark” in its space, (iii) a 444-450 West 56th Street Specified Tenant giving notice that it is terminating its lease, (iv) any termination, cancellation or failure to be in full force and effect of any 444-450 West 56th Street Specified Tenant lease, (v) any bankruptcy or similar insolvency of any 444-450 West 56th Street Specified Tenant and (vi) a 444-450 West 56th Street Specified Tenant failing to extend or renew the applicable 444-450 West 56th Street Specified Tenant lease on or before the earlier of one year prior to the expiration of the lease term and the date on which notice is required under such lease; and (B) expiring upon the first to occur of the lender’s receipt of reasonably acceptable evidence of (1) the occurrence of the applicable 444-450 West 56th Street Specified Tenant Cure Event, or (2) the borrower leasing substantially all or a portion of the space demised to the 444-450 West 56th Street Specified Tenant for a term of at least three years and the applicable tenant under the lease being in physical occupancy of the premises and paying the full amount of the rent due under its lease, which rent (together with all other underwritable cash flow at the 444-450 West 56th Street Property) results in a debt yield equal to or greater than 9%. Notwithstanding the foregoing, in no event shall a 444-450 West 56th Street Specified Tenant Trigger Period be deemed to exist during any period that either (i) the debt yield at the 444-450 West 56th Street Property equals or exceeds 9% or (ii) both (A) either (x) the debt service coverage ratio at the 444-450 West 56th Street Property equals or exceeds 1.60x or (y) the applicable 444-450 West 56th Street Specified Tenant Trigger Period occurred as a result of a 444-450 West 56th Street Specified Tenant being in a holdover period pursuant to its lease and such 444-450 West 56th Street Specified Tenant is paying full, unabated rent in the amount set forth in its lease immediately prior to its expiration and (B) either (x) the balance in the excess cash flow reserve account equals or exceeds $39.17 times the number of SF demised pursuant to the applicable 444-450 West 56th Street Specified Tenant’s lease or (y) the borrower has deposited cash or a letter of credit (or lender shall have collected and be holding excess cash flow) as additional collateral for the 444-450 West 56th Street Loan in an amount equal to $39.17 times the number of SF demised pursuant to the applicable 444-450 West 56th Street Specified Tenant’s lease. 

 

444-450 West 56th Street Specified Tenant Cure Event” means, as applicable, with respect to clause (A)(i) above, the applicable 444-450 West 56th Street Specified Tenant has cured all defaults under the applicable lease in all material respects; with respect to clause (A)(ii) above, the applicable 444-450 West 56th Street Specified Tenant is (x) in actual, physical possession of its space (or applicable portion thereof) and (y) to the extent the applicable 444-450 West 56th Street Specified Tenant is a retail tenant, open to the public for business during customary hours and not “dark” in its space (or applicable portion thereof); with respect to clause (A)(iii) above, the applicable 444-450 West 56th Street Specified Tenant has revoked or rescinded all termination or cancellation notices with respect to the applicable lease and has re-affirmed the applicable lease as being in full force and effect; with respect to clause (A)(iv) above, the applicable 444-450 West 56th Street Specified Tenant has renewed or extended the applicable lease for the renewal term specified in the 444-450 West 56th Street Loan documents; with respect to clause (A)(v) above, the applicable 444-450 West 56th Street Specified Tenant is no longer insolvent or subject to any bankruptcy or insolvency proceedings and has affirmed the applicable lease pursuant to final, non-appealable order of a court of competent jurisdiction; and with respect to clause (A)(vi) above, the applicable 444-450 West 56th Street Specified Tenant is paying full, unabated rent under the applicable 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

80
 

 

444-450 WEST 56TH STREET

 

A “444-450 West 56th Street Specified Tenant” means (i) NYCSCA, (ii) to the extent that NYCSCA’s lease is no longer in full force and/or effect, any tenant whose lease accounts for thirty percent (30%) or more of the annual gross rents at the 444-450 West 56th Street Property and (iii) any current or future guarantor(s) of any lease related to the foregoing.

 

Property Management. The 444-450 West 56th Street Property is currently managed by Cushman & Wakefield, Inc. pursuant to a management agreement. Under the 444-450 West 56th Street Loan documents, the 444-450 West 56th Street Property may not be managed by any party other than Cushman & Wakefield, Inc. or another management company approved by the lender, which approval may be conditioned upon the lender’s receipt of a Rating Agency Confirmation. The lender has the right to terminate the management agreement and replace the property manager or require that the borrower terminate the management agreement and replace the property manager if (a) the property manager becomes insolvent or a debtor in (i) any involuntary bankruptcy or insolvency proceeding that is not dismissed within ninety days of the filing thereof, or (ii) any voluntary bankruptcy or insolvency proceeding; (b) there exists a 444-450 West 56th Street Trigger Period which remains uncured and is continuing; (c) the property manager has engaged in gross negligence, fraud, willful misconduct or misappropriation of funds; or (d) there exists a default by the property manager beyond all applicable notice and cure periods under the management agreement.

 

Mezzanine or Secured Subordinate Indebtedness. Not permitted.

 

Terrorism Insurance. The borrower is required to maintain an “all-risk” insurance policy in an amount equal to 100% of the full replacement cost of the 444-450 West 56th Street Property, plus a business interruption insurance policy that provides 18 months of business interruption coverage with an additional six-month extended period of indemnity or until the income is restored to prior level (whichever first occurs). The insurance policies are not permitted to exclude terrorism coverage. See “Risk Factors—Terrorism Insurance May Be Unavailable or Insufficient” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

82
 

 

DENTON CENTER

 

(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

83
 

 

DENTON CENTER

 

(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   GSMC
Location (City/State) Denton, Texas   Cut-off Date Principal Balance   $29,750,000
Property Type Retail   Cut-off Date Principal Balance per SF   $88.78
Size (SF)(1) 335,102   Percentage of Initial Pool Balance   3.5%
Total Occupancy as of 8/1/2015(2) 85.3%   Number of Related Mortgage Loans   None
Owned Occupancy as of 8/1/2015(2) 85.3%   Type of Security   Fee Simple
Year Built / Latest Renovation 1964, 1984, 2001 / NAP   Mortgage Rate   4.5000%
Appraised Value $38,500,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   NAP
      Original Interest Only Period (Months)   120
Underwritten Revenues $4,103,670        
Underwritten Expenses $1,169,243   Escrows
Underwritten Net Operating Income (NOI) $2,934,427     Upfront Monthly
Underwritten Net Cash Flow (NCF) $2,658,850   Taxes $364,505 $45,563
Cut-off Date LTV Ratio(3) 65.7%   Insurance $0 $0
Maturity Date LTV Ratio(3) 65.7%   Replacement Reserve(4) $200,000 $0
DSCR Based on Underwritten NOI / NCF(2) 2.16x / 1.96x   TI/LC(4) $200,000 $0
Debt Yield Based on Underwritten NOI / NCF(2) 9.9% / 8.9%   Other(5) $7,702,350 $0

           
Sources and Uses
Sources $ % Uses $ %
Loan Amount $29,750,000 100.0% Loan Payoff $20,107,397 67.6%
      Reserves 8,466,855 28.5
      Principal Equity Distribution 751,022 2.5
      Closing Costs 424,726 1.4
Total Sources $29,750,000 100.0% Total Uses $29,750,000 100.0%

 

 
(1)Total SF includes 27,609 SF for the Movie Tavern expansion which is expected to be completed in March 2016. Movie Tavern is adding five new screens to its theater, increasing its total screen count from four to nine screens.

(2)Total Occupancy and Owned Occupancy include 27,609 SF for the Movie Tavern expansion, expected to be completed in March 2016. We cannot assure you that Movie Tavern will complete the expansion, or pay rent on the expansion space as expected or at all. Total Occupancy and Owned Occupancy excluding the Movie Tavern expansion are both 77.1%. Additionally, without the Movie Tavern expansion, the DSCR Based on Underwritten NOI / NCF are 1.77x and 1.59x, respectively, and the Debt Yield Based on Underwritten NOI / NCF are 8.1% and 7.2%, respectively.

(3)The Cut-off Date LTV Ratio and Maturity Date LTV Ratio are each calculated utilizing the “value upon completion” appraised value of $45,300,000 which is the value upon completion of the Movie Tavern expansion for which the borrower reserved $7,550,000. The Cut-off Date LTV Ratio and Maturity Date LTV Ratio based on the “as-is” appraised value are both 77.3%. See “—Appraisal” below.

(4)TI/LC and replacement reserves are capped at an aggregate $400,000. See “—Escrows” below.

(5)Other reserve represents a Movie Tavern expansion obligations reserve ($7,550,000) for tenant improvement allowance, a nine-month rent holdback and landlord work, and a deferred maintenance reserve ($152,350) to repair pavement at the property. See “—Escrows” below.

 

The Mortgage Loan. The mortgage loan (the “Denton Center Loan”) is evidenced by a note in the original principal amount of $29,750,000 and is secured by a first mortgage encumbering the borrower’s fee simple interest in a retail property located in Denton, Texas (the “Denton Center Property”). The Denton Center Loan was originated by Goldman Sachs Mortgage Company on August 28, 2015 and represents approximately 3.5% of the Initial Pool Balance. The note evidencing the Denton Center Loan has an outstanding principal balance as of the Cut-off Date of $29,750,000 and an interest rate of 4.5000% per annum. The borrower utilized the proceeds of the Denton Center Loan to refinance existing debt on the Denton Center Property, fund reserves, pay origination costs and return equity to the borrower sponsor.

 

The Denton Center Loan had an initial term of 120 months and has a remaining term of 119 months as of the Cut-off Date. The Denton Center Loan requires monthly payments of interest only during its term. The scheduled maturity date of the Denton Center Loan is the due date in September 2025. Voluntary prepayment of the Denton Center Loan is permitted on or after the date in June 2025 without payment of any prepayment premium. Provided that no event of default under the Denton Center Loan is continuing, defeasance with direct, non-callable obligations of the United States of America is permitted at any time on or after the first due date following the second anniversary of the securitization Closing Date.

 

The Mortgaged Property. The Denton Center Property is a 335,102 SF grocery-anchored, retail center located in Denton, Texas on a main east-west thoroughfare (U.S. Highway 380). The Denton Center Property is within five-miles of two universities whose combined enrollment is approximately 50,000 students. The Denton Center Property is anchored by a Kroger and Movie Tavern, and additional tenants include Drug Emporium and Planet Fitness with a total of approximately 36 stores and restaurants. Movie Tavern is undergoing a 27,609 SF expansion (adding five new screens) which is expected to be completed in March 2016. As of August 1, 2015, Total Occupancy and Owned Occupancy for the Denton Center Property were both 85.3% (excluding the Movie Tavern expansion, Total Occupancy and Owned Occupancy are both 77.1%).

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

85
 

 

DENTON CENTER

 

The following table presents certain information relating to the anchor and junior anchor tenants (of which, certain tenants may have co-tenancy provisions) at the Denton Center 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 

 

Lease Expiration 

 

Tenant Sales $ per SF/Screen(2)

 

Occupancy Cost 

 

Renewal / Extension Options 

Anchors                                        
Kroger    BBB / Baa2 / BBB   60,930   18.2%   Yes   $632,193   $10.38   2/28/2017   $923.91   1.1%   6, 5-year options
Movie Tavern(3)   NR / NR / NR  

53,029

 

15.8

  Yes   $1,088,734   $20.53   3/31/2031   $789,684   16.5%   4, 5-year options
Total Anchors       113,959   34.0%                            
                                         
Jr. Anchors                                        
Drug Emporium   NR / NR / NR   27,800   8.3%   Yes   $245,012   $8.81   2/28/2017   $292.29   3.0%   1, 5-year option
Planet Fitness   NR / NR / NR   15,400   4.6   Yes   $177,188   $11.51   8/31/2024   NA   NA   3, 5-year options
Denton Thrift   NR / NR / NR   12,600   3.8   Yes   $160,722   $12.76   10/31/2020   NA   NA   NA
Aaron Rents, Inc.   NR / NR / NR   10,596   3.2   Yes   $84,768   $8.00   3/31/2018   NA   NA   NA
China King Buffet   NR / NR / NR   10,320   3.1   Yes   $131,639   $12.76   6/30/2020   $70.40   18.1%   NA
Tuesday Morning   NR / NR / NR   10,000   3.0   Yes   $80,000   $8.00   1/15/2017   NA   NA   NA
Total Jr. Anchors       86,716   25.9%                            
                                         
Occupied In-line(4)       72,232   21.6%   Yes   $1,201,630   $16.64                
Occupied Outparcel       12,913   3.9%   Yes   $301,784   $23.37                
Vacant      

49,282

 

14.7%

  Yes   $0   $0.00                
Total Owned SF       335,102   100.0%                            
Total SF       335,102   100.0%                            

 

 

(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.

(2)Sales for Kroger are for the year ended February 28, 2015. Sales for Movie Tavern, Drug Emporium and China King Buffet are for the year ended December 31, 2014. Sales for Movie Tavern are for the four screens that are currently in use at the theater (before the expansion).

(3)Movie Tavern recently signed a lease extension involving construction of 27,609 SF of new space (increasing its space from 25,420 SF to 53,029 SF) and five new movie theater screens (increasing its total from four screens to nine screens), expected to be completed in March 2016. Movie Tavern has in-place base rent of $9.00 per SF, and base rent will increase to $17.00 per SF (based on total SF upon completion) in May 2016. Movie Tavern’s lease expiration date is estimated based on expected completion date. We cannot assure you that construction will be completed and the new lease will commence as expected or at all.

(4)Occupied In-line includes a Bank of America ATM (1 SF, $13,688 underwritten annual rent).

 

The following table presents certain information relating to the major tenants (of which, certain tenants may have co-tenancy provisions) at the Denton Center Property:

 

Ten Largest Owned Tenants Based on Underwritten Base Rent

                                         
Tenant Name  

Credit Rating 

(Fitch/MIS/S&P)(1) 

  Tenant
GLA
  % of
Owned
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
Movie Tavern(3)   NR / NR / NR   53,029   15.8%   $901,493   28.9%   $17.00   3/31/2031   $789,684   16.5%   4, 5-year options
Kroger   BBB / Baa2 / BBB   60,930   18.2   338,352   10.9   5.55   2/28/2017   $923.91   1.1%   6, 5-year options
Drug Emporium   NR / NR / NR   27,800   8.3   152,900   4.9   5.50   2/28/2017   $292.29   3.0%   1, 5-year option
Bridgestone/Firestone   NR / NR / NR   6,000   1.8   129,000   4.1   21.50   11/30/2018   NA   NA   NA
Planet Fitness   NR / NR / NR   15,400   4.6   123,200   4.0   8.00   8/31/2024   NA   NA   3, 5-year options
Dollar Tree   NR / Ba2 / BB   9,600   2.9   120,000   3.9   12.50   4/30/2020   NA   NA   3, 5-year options
Denton Thrift   NR / NR / NR   12,600   3.8   116,550   3.7   9.25   10/31/2020   NA   NA   NA
China King Buffet   NR / NR / NR   10,320   3.1   95,460   3.1   9.25   6/30/2020   $70.40   18.1%   NA
Aaron Rents, Inc.   NR / NR / NR   10,596   3.2   84,768   2.7   8.00   3/31/2018   NA   NA   NA
El Matador   NR / NR / NR   6,600   2.0   84,048   2.7   12.73   6/30/2018   $260.38   6.2%   NA
Ten Largest Owned Tenants       212,875   63.5%   $2,145,771   68.9%   $10.08                
Remaining Owned Tenants       72,945   21.8   969,375   31.1   13.29                
Vacant Spaces (Owned Space)       49,282   14.7   0   0.0   0.00                
Total / Wtd. Avg. All Owned Tenants       335,102   100.0%   $3,115,146   100.0%   $10.90                

 

 
(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.

(2)Sales for Kroger are for the year ended February 28, 2015. Sales for Movie Tavern, Drug Emporium and China King Buffet are for the year ended December 31, 2014. Sales for Movie Tavern are for the four screens that are currently in use at the theater (before the expansion). We cannot assure you that construction will be completed and the new lease will commence as expected or at all.

(3)Movie Tavern recently signed a lease extension involving construction of 27,609 SF of new space (increasing its space from 25,420 SF to 53,029 SF) and five new movie theater screens (increasing its total from four screens to nine screens), expected to be completed in March 2016. Movie Tavern has in-place base rent of $9.00 per SF, and base rent will increase to $17.00 per SF (based on total SF upon completion) in May 2016. Movie Tavern’s lease expiration date is estimated based on expected completion date. We cannot assure you that construction will be completed and the new lease will commence 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

86
 

 

DENTON CENTER

 

The following table presents certain information relating to the lease rollover schedule at the Denton 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   0   0.0%   0.0%   $0   0.0%   $0.00   0
2015   1,200   0.4   0.4%   18,000   0.6   15.00   1
2016   4,400   1.3   1.7%   58,800   1.9   13.36   2
2017   113,562   33.9   35.6%   743,324   23.9   6.55   8
2018   36,996   11.0   46.6%   488,037   15.7   13.19   8
2019   15,213   4.5   51.1%   231,794   7.4   15.24   6
2020   38,320   11.4   62.6%   411,698   13.2   10.74   6
2021   1,600   0.5   63.1%   22,400   0.7   14.00   1
2022   6,100   1.8   64.9%   116,400   3.7   19.08   2
2023   0   0.0   64.9%   0   0.0   0.00   0
2024   15,400   4.6   69.5%   123,200   4.0   8.00   1
2025   0   0.0   69.5%   0   0.0   0.00   0
2026 & Thereafter   53,029   15.8   85.3%   901,493   28.9   17.00   1
Vacant  

49,282 

 

14.7 

  100.0%   0  

0.0 

 

0.00 

 

0

Total / Wtd. Avg.   335,102   100.0%       $3,115,146   100.0%   $10.90   36

 

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

 

The following table presents certain information relating to historical leasing at the Denton Center Property:

 

Historical Leased %(1)

 

 

 

2012 

 

2013 

 

2014 

 

TTM 6/30/2015

Owned Space   87.5%   85.1%   88.3%   91.7%

 

 

(1)As provided by the borrower, and represents the average trailing 12-month occupancy as of December 31 for the indicated year unless specified otherwise.

 

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 Denton Center Property:

 

Cash Flow Analysis(1)

 

   

2013 

 

2014 

 

TTM 6/30/2015 

 

Underwritten 

 

Underwritten
$ per SF 

Base Rent(2)(3)   $2,290,188   $2,362,416   $2,458,416   $3,115,146   $9.30
Overage/Percentage Rent   138,695   147,204   183,716   183,716   0.55
Gross Up Vacancy   0   0   0   638,872   1.91
Other Revenue  

0

 

797 

 

2,179 

 

 

0.00 

Total Rent   $2,428,883   $2,510,418   $2,644,311   $3,937,735   $11.75
Total Reimbursables   649,070   714,562   761,375   804,807   2.40
Vacancy & Credit Loss  

0

 

 

 

(638,872) 

 

(1.91) 

Effective Gross Income   $3,077,953   $3,224,980   $3,405,686   $4,103,670   $12.25
                     
Total Operating Expenses  

$945,237

 

$1,097,325 

 

$1,154,361 

 

$1,169,243 

 

$3.49 

                     
Net Operating Income   $2,132,716   $2,127,655   $2,251,325   $2,934,427   $8.76
TI/LC   0   0   0   201,854   0.60
Capital Expenditures  

0

 

 

0

 

73,722 

 

0.22 

Net Cash Flow   $2,132,716   $2,127,655   $2,251,325   $2,658,850   $7.93

 

 
(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)Underwritten Base Rent is based on contractual rents as of August 1, 2015 and rent steps through October 31, 2016.

(3)Underwritten Base Rent includes rent related to the expansion of Movie Tavern ($469,353), expected to be completed in March 2016.

 

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Appraisal. According to the appraisal, the Denton Center Property had an “as-is” appraised value of $38,500,000 as of July 28, 2015 and an “value upon completion” appraised value of $45,300,000 as of March 1, 2016, after the completion of the Movie Tavern tenant’s expansion, for which the borrower reserved $7,550,000.

 

Environmental Matters. According to a Phase I environmental report, dated August 10, 2015, there are no recognized environmental conditions or recommendations for further action at the Denton Center Property other than the recommendations for development of an asbestos operations and maintenance plan (which has since been delivered to the lender).

 

Market Overview and Competition. The Denton Center Property is located in the Denton, Texas submarket within the Mid-Cities (Dallas/Fort Worth) retail market. Primary retail competition includes Denton Crossing, a 329,611 SF power center anchored by Best Buy, TJ Maxx, Michaels and Sports Authority. As of the second quarter of 2015, the submarket included a total of 7,462,748 SF of retail space, with current vacancy at 346,925 SF or 4.6% and net absorption of 103,430 SF. Average rental rates for the submarket were $15.32 per SF. As of 2015, the population within a 5-mile radius of the Denton Center Property was approximately 106,399 with a median household income of $41,281.

 

Competitive Set(1)

 

 

 

 

Denton Center 

 

Denton Crossing 

 

400 University Place 

 

Colorado Square 

 

Sunset Center 

Distance from Subject   -   5.1 miles   0.4 miles   4.7 miles   0.2 miles
Property Type   Retail   Retail   Retail   Retail   Retail
Year Built   1964, 1984, 2001   2004   1974   1987   1970
Total GLA   335,102   329,611   17,711   38,536   23,350
Total Occupancy   85.3%   95%   100%   79%   96%
Anchors & Jr. Anchors   Kroger, Movie Tavern   Best Buy, TJ Maxx, Michaels, Sports Authority       Movie Trading Company   This Timez a Charm

 

 

(1)Source: Appraisal.

 

The Borrower. The borrower is RPI Denton Center, Ltd., a single-purpose, single-asset entity. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of the Denton Center Loan. Jeffrey L. Olyan, an indirect owner of the borrower, is the non-recourse carveout guarantor under the Denton Center Loan.

 

Retail Plazas, Inc. (“RPI”), founded by Jeffrey L. Olyan, was established in 1992 to acquire, lease and manage retail properties. RPI has acquired 13 retail centers totaling approximately 2.1 million SF and 50 acres of commercial and residential development land in the Dallas/Fort Worth area.

 

Escrows. On the origination date, the borrower funded (i) a tax reserve of $364,505, (ii) an immediate repairs reserve of $152,350, (iii) a tenant improvements and leasing commissions reserve of $200,000, (iv) a replacement reserve of $200,000 and (v) an upfront reserve of $7,550,000 for the expansion of the space leased by Movie Tavern.

 

On each due date, the borrower is 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 12-month period; provided, however, that reserve deposits for insurance premiums are not required if the borrower is maintaining a blanket policy in accordance with the Denton Center Loan documents and there is no continuing event of default; (ii) a tenant improvements and leasing commissions reserve and a replacement reserve, each in the amount of 1/12th of the excess of $400,000 over the aggregate amount contained in the tenant improvements and leasing commissions reserve and the replacement reserve, capped in an aggregate amount at $400,000.

 

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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A “Denton Center Trigger Period” means (i) any period commencing upon the debt service coverage ratio (as calculated under the Denton Center Loan documents) for the trailing 12-month period (as of the last day of any fiscal quarter) being 1.50x or less (unless the borrower deposits $375,000 into the excess reserve within five business days after a Denton Center Trigger Period would have commenced and each six-month anniversary thereafter such that the debt service coverage ratio is 1.50x or less) and ending at the conclusion of the second consecutive fiscal quarter for which the debt service coverage ratio is greater than 1.50x, (ii) any period commencing upon the borrower’s failure to deliver monthly, quarterly or annual financial reports and ending when such reports are delivered and indicate that no other Denton Center Trigger Period is ongoing and (iii) a Critical Tenant Trigger Period, unless within five business days of notice thereof from the lender (x) with respect to the Kroger tenant, the borrower has deposited with or delivered to the lender to the critical tenant reserve account an amount in cash or comprised of a letter of credit equal to $340,000 or (y) with respect to the Movie Tavern tenant, the borrower has deposited with or delivered to the lender to the critical tenant reserve account an amount in cash or comprised of a letter of credit equal to $1,080,000.

 

Critical Tenant Trigger Period” generally means a period (a) commencing upon the occurrence of any of the following: (i) with respect to Kroger, on or before any date which is six months prior to any stated termination, expiration or renewal date under such tenant’s lease or any other renewal notice date or term expiration date under the lease, if Kroger tenant has not exercised a renewal and/or extension for an additional five-year period on the existing or acceptable terms, (ii) either Kroger or Movie Tavern becomes a voluntary debtor in any bankruptcy or other insolvency proceeding not dismissed within 60 days; (iii) either Kroger or Movie Tavern either vacates, surrenders, goes dark or otherwise ceases operation of its respective leased space (other than temporary cessation for ordinary course repairs or renovations after casualty or condemnation), or (iv) any date on which either Kroger or Movie Tavern gives notice of termination of its intent not to renew for an additional five-year period on the existing or acceptable terms and (b) ending when acceptable evidence of renewal or extension of such lease for an additional five-year period on the existing or acceptable terms, receipt of a satisfactory estoppel certificate, or the space demised under such lease has been relet to a satisfactory replacement tenant(s) for a term of at least five additional years on acceptable terms and such replacement tenants have taken occupancy and commenced paying rent, or in the case of clause (ii) above, each such lease has been affirmed and assumed in the bankruptcy proceedings or the space demised under such lease has been relet to a satisfactory replacement tenant(s) for a term of at least five additional years on acceptable terms and such replacement tenants have taken occupancy and commenced paying rent.

 

Lockbox and Cash Management. The Denton Center Loan is structured with a springing lockbox and springing cash management. Upon the occurrence of a Denton Center Trigger Period or event of default under the Denton Center Loan, the Denton Center Loan documents require the borrower to deliver notices to each tenant instructing them to remit all rents into a lender-controlled lockbox account and require that all cash revenues relating to the Denton Center Property and all other money received by the borrower or the property manager with respect to the Denton Center Property (other than tenant security deposits) be deposited into such lockbox account by the end of the second business day following receipt. On each business day during the continuance of a Denton Center Trigger Period or an event of default under the Denton Center Loan, all amounts in the lockbox account are required to be remitted to a lender-controlled cash management account. On each business day that no Denton Center Trigger Period or event of default under the Denton Center Loan is continuing, all funds 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 swept into a borrower-controlled operating account.

 

On each due date during the continuance of a Denton Center Trigger Period or, at the lender’s discretion, during an event of default under the Denton Center Loan, the related loan documents require that all amounts on deposit in the cash management account be used to pay debt service, required reserves and budgeted operating expenses, and that all remaining amounts be reserved in an excess cash flow reserve account. During the continuance of a Critical Tenant Trigger Period, all funds remaining in the cash management account are required to be swept into a critical tenant reserve account for tenant improvement and leasing commissions for the related leases. To the extent any Denton Center Trigger Period expires or an event of default under the Denton Center Loan is cured, all funds 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 swept into a borrower-controlled operating account.

 

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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During the continuance of an event of default under the Denton Center Loan, the lender may apply all funds on deposit in any of the accounts constituting collateral for the Denton Center Loan to amounts payable under the related loan documents and/or toward the payment of expenses of the Denton Center Property, in such order of priority as the lender may determine.

 

Property Management. The Denton Center Property is managed by Freehold Management, Inc. pursuant to a management agreement. Under the Denton Center Loan documents, the Denton Center Property is required to remain managed by Freehold Management, Inc. or any other management company approved by the lender and with respect to which Rating Agency Confirmation has been received. The lender has the right to replace, or require the borrower to replace, the property manager with a property manager selected by the lender (i) during the continuance of an event of default under the Denton Center Loan, (ii) following any foreclosure, conveyance in lieu of foreclosure or other similar transaction, (iii) if the property manager files for or is the subject of a petition in bankruptcy, (iv) if a trustee or receiver is appointed for the property manager’s assets or (v) the property manager makes an assignment for the benefit of its creditors or is adjudicated insolvent.

 

Mezzanine or Secured Subordinate Indebtedness. Not permitted.

 

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 a similar or subsequent statute) in an amount equal to the full replacement cost of the Denton Center Property (plus 12 months of rental loss and/or business interruption coverage plus an additional period of indemnity covering the 12 months following restoration). 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 Denton Center Loan as described in the preceding sentence, but in that event the borrower is not 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 related loan documents (without giving effect to the cost of terrorism and earthquake components of such property and business interruption/rental loss insurance). If the cost of terrorism insurance exceeds such amount, then the borrower 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 $50,000. 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 Denton Center Property are separately allocated to the Denton Center Property and that the policy will provide the same protection as a separate policy. See “Risk Factors—Terrorism Insurance May Be Unavailable or Insufficient” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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BLUEJAY GROCERY 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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BLUEJAY GROCERY 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 4   Loan Seller CGMRC
Location (City/State) Various, Various   Cut-off Date Principal Balance $27,448,750
Property Type Retail   Cut-off Date Principal Balance per SF $114.66
Size (SF) 239,393   Percentage of Initial Pool Balance 3.2%
Total Occupancy as of 7/13/2015 100.0%   Number of Related Mortgage Loans None
Owned Occupancy as of 7/13/2015 100.0%   Type of Security Fee Simple
Year Built / Latest Renovation Various / Various   Mortgage Rate 4.5000%
Appraised Value $37,400,000   Original Term to Maturity (Months) 120
      Original Amortization Term (Months) 360
      Original Interest Only Term (Months) 36
       
Underwritten Revenues $2,510,355    
Underwritten Expenses $75,311   Escrows
Underwritten Net Operating Income (NOI) $2,435,044     Upfront Monthly
Underwritten Net Cash Flow (NCF) $2,273,547   Taxes $0 $0
Cut-off Date LTV Ratio 73.4%   Insurance $0 $0
Maturity Date LTV Ratio 64.2%   Replacement Reserve(1) $451,150 $0
DSCR Based on Underwritten NOI / NCF 1.46x / 1.36x   TI/LC $0 $0
Debt Yield Based on Underwritten NOI / NCF 8.9% / 8.3%   Other  $0 $0

 

Sources and Uses

Sources  $ %   Uses $  %
Loan Amount $27,448,750 73.2%   Purchase Price $36,598,333 97.6%
Principal’s New Cash Contribution 9,516,989 25.4   Closing Costs 460,906 1.2
Other Sources 544,650 1.5   Reserves 451,150 1.2
             
Total Sources $37,510,389 100.0%   Total Uses $37,510,389 100.0%

 

 
(1)The upfront replacement reserve of $451,150 represents the engineer’s 12-year estimated deferred maintenance and replacement reserves for Pick N Save and Marsh Kokomo. Pick N Save and Marsh Kokomo are subject to NN leases whereby the landlord of the Bluejay Grocery Portfolio Properties is responsible for any exterior structural repairs.

 

The Mortgage Loan. The mortgage loan (the “Bluejay Grocery Portfolio Loan”) is evidenced by a note in the original principal amount of $27,448,750 and is secured by first mortgages encumbering the borrower’s fee simple interest in four grocery-anchored retail properties located in three states (the “Bluejay Grocery Portfolio Properties”). The Bluejay Grocery Portfolio Loan was originated by Citigroup Global Markets Realty Corp. on July 29, 2015 and represents approximately 3.2% of the Initial Pool Balance. The note evidencing the Bluejay Grocery Portfolio Loan has an outstanding principal balance as of the Cut-off Date of $27,448,750 and accrues interest at an interest rate of 4.5000% per annum. The proceeds of the Bluejay Grocery Portfolio Loan were primarily used to acquire the Bluejay Grocery Portfolio Properties.

 

The Bluejay Grocery Portfolio Loan had an initial term of 120 months and has a remaining term of 118 months as of the Cut-off Date. The Bluejay Grocery Portfolio Loan requires monthly payments of interest only for the initial 36 months, followed by monthly payments of principal and interest sufficient to amortize the Bluejay Grocery Portfolio Loan over a 30-year amortization schedule. The scheduled maturity date of the Bluejay Grocery Portfolio Loan is the due date in August 2025. At any time after the second anniversary of the securitization Closing Date, the Bluejay Grocery Portfolio 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 Bluejay Grocery Portfolio Loan documents. Voluntary prepayment of the Bluejay Grocery Portfolio (in whole but not in part) is permitted on or after the due date occurring in June 2025 without payment of any prepayment premium.

 

The Mortgaged Properties. The Bluejay Grocery Portfolio Properties consist of four single-tenant grocery stores: Pick N Save (the “Pick N Save Property”), Marsh Kokomo (the “Marsh Kokomo Property”), The Copps Corporation (the “Copps Madison Property”), and Tops Supermarkets (the “Tops Lockport Property”). The Bluejay Grocery Portfolio Properties were built between 1993 and 2000. As of July 13, 2015, Total Occupancy and Owned Occupancy were both 100.0%.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The following table presents certain information relating to the Bluejay Grocery Portfolio Properties:

 

Property Name

 

City

 

State

 

Cut-off Date
Allocated Loan
Amount

 

Total GLA

 

Occupancy(1)

 

Appraised
Value

 

Year Built / Renovated

 

UW NCF

Pick N Save   Glendale   WI   $9,956,250   61,910   100.0%   $13,800,000   1999 / NAP   $798,596
Marsh Kokomo   Kokomo   IN   6,582,000   55,264   100.0%   9,000,000   2000 / NAP   554,116
Copps Madison   Madison   WI   6,437,500   66,704   100.0%   8,600,000   1993 / 2006   551,588
Tops Lockport   Lockport   NY  

4,473,000

 

55,515

 

100.0%

 

6,000,000

  1993 / NAP  

369,247

Total / Wtd. Avg.           $27,448,750   239,393   100.0%   $37,400,000       $2,273,547

 

 

(1)Occupancy as of July 13, 2015.

 

The following table presents certain information relating to the tenants at the Bluejay Grocery Portfolio Properties:

 

Largest Tenants Based on Underwritten Base Rent

 

Tenant Name

 

Credit Rating (Fitch/MIS/S&P)

 

Tenant
GLA

 

% of
GLA

 

UW Base
Rent

 

% of
Total
UW
Base
Rent

 

UW
Base
Rent

$ per SF

 

Lease Expiration

 

Tenant
Sales $
per SF(1)

 

Occupancy Cost

 

Renewal /
Extension
Options

Pick n Save   NR / NR / NR   61,910   25.9%   $897,695   35.1%   $14.50   1/30/2030   NA   NA   6, 5-year options
Marsh Supermarket   NR / NR / NR   55,264   23.1   635,000   24.8   11.49   4/30/2026   $321   3.7%   3, 5-year options
The Copps Corporation   NR / NR / NR   66,704   27.9   625,000   24.4   9.37   4/30/2026   NA   NA   4, 5-year options
Tops Supermarkets   NR / NR / NR  

55,515

 

23.2

 

400,000

 

15.6

 

7.21

  12/31/2024   $432   1.7%   5, 5-year options
Largest Tenants       239,393   100.0%   $2,557,695   100.0%   $10.68                
Vacant      

0

 

0.0

 

0

 

0.0

 

0.00

               
Total / Wtd. Avg.     239,393   100.0%   $2,557,695   100.0%   $10.68                
                                           

 

 

(1)As provided by borrower for full year 2014.

 

The following table presents the lease rollover schedule at the Bluejay Grocery 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   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   0   0.0   0.0%   0    0.0   0.00   0
2023   0   0.0   0.0%   0    0.0   0.00   0
2024   55,515   23.2   23.2%   400,000   15.6   7.21   1
2025   0   0.0   23.2%   0    0.0   0.00   0
2026 & Thereafter   183,878   76.8   100.0%   2,157,695    84.4   11.73   3
Vacant  

0

 

0.0

  100.0%  

0

 

0.0

 

0.00

 

0

Total / Wtd. Avg.   239,393   100.0%       $2,557,695   100.0%   $10.68   4

 

 
(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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nOperating History and Underwritten Net Cash Flow. The following table presents certain information relating to the Underwritten Net Cash Flow at the Bluejay Grocery Portfolio Properties:

 

Cash Flow Analysis(1)(2)

 

 

 

 

Underwritten(3)

 

Underwritten
$ per SF

Base Rent   $2,557,695   $10.68
Contractual Rent Steps   0   0.00
Gross Up Vacancy  

0

 

0.00

Total Rent   $2,557,695   $10.68
Total Reimbursables   75,032   0.31
Other Income   0   0.00
Vacancy & Credit Loss  

(122,372)

 

(0.51)

Effective Gross Income   $2,510,355   $10.49
         
Real Estate Taxes   $0   $0.00
Insurance   0   0.00
Management Fee   75,311   0.31
Other Operating Expenses  

0

 

0.00

Total Operating Expenses   $75,311   $0.31
         
Net Operating Income   $2,435,044   $10.17
TI/LC   125,588   0.52
Replacement Reserves  

35,909

 

0.15

Net Cash Flow   $2,273,547   $9.50

 

 

(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 are not considered for the underwritten cash flow.
(2)Historical cash flows are not available because the Bluejay Grocery Portfolio Properties were acquired in July 2015.
(3)Underwritten base rent is based on contractual leases in place. The Bluejay Grocery Portfolio Properties are all subject to lease structures in which the tenants are responsible for operating expenses including real estate taxes and insurance expenses, hence, operating expenses were not underwritten except for management fee. While actual management contracts do not exist due to the lease structures, a management fee of 3% of effective gross income was underwritten.

 

Appraisal. As of the appraisal valuation dates of April 28, 2015 through June 23, 2015, the Bluejay Grocery Portfolio Properties had an aggregate “as-is” appraised value of $37,400,000.

 

Environmental Matters. According to the Phase I environmental reports dated May 8, 2015 through June 29, 2015, there were no recommendations for further action at the Bluejay Grocery Portfolio Properties.

 

Market Overview and Competition. The Bluejay Grocery Portfolio Properties are located in four cities and three states.

 

Pick N Save is located in Glendale, Wisconsin approximately 7.6 miles north of downtown Milwaukee. The largest employers in the area include Aurora Health Care Inc., Wheaton Franciscan Healthcare, and Froedtert and Community Health. The Pick N Save Property is situated approximately one mile east of Bayshore Mall, an approximately 800,000 SF lifestyle center that is anchored by The Boston Store, Kohl’s and Sports Authority with a number of retail strip centers, banks and fast food restaurants in close proximity. According to a third party report, average asking rents for first quarter 2015 were $13.73 per SF with a 12.1% vacancy rate in the total Milwaukee submarket. The appraiser identified eight comparable retail properties ranging from 42,330 SF to 103,611 SF with base rents ranging from $12.50 per SF to $16.61 per SF.

 

Marsh Kokomo is located in Kokomo, Indiana approximately 60 miles north of Indianapolis. The largest employers in the area include Chrysler, Delphi Electronics and Safety, Howard Regional Health Systems, GM Components Holdings LLC and St. Joseph Hospital. The Marsh Kokomo Property is located off of South Reed Road, which has a traffic count of approximately 36,729 vehicles per day. According to a third party report, the average asking rents for second quarter 2015, were $9.95 per SF with a 5.8% vacancy rate in the total Kokomo retail market. The appraiser identified seven comparable retail properties ranging from 28,888 SF to 112,655 SF with base rents ranging from $10.11 per SF to $17.50 per SF.

 

 Copps Madison is located in Madison, Wisconsin, approximately 125 miles southwest of Green Bay, 90 miles west of Milwaukee, and 125 miles northwest of Chicago. The largest employers in the area include University of Wisconsin Hospital & Clinics Authority, American Family Insurance Co., WPS Health Insurance, Meriter Health Services Inc. and University of Wisconsin Madison. The Copps Madison Property is located on South Whitney

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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 Way which is one of the main thoroughfares and retail corridor in the area. Located directly across from the Copps Madison Property is University Research Park, an office park that contains 36 office buildings totaling 1.8 million SF with more than 3,500 employees. According to a third party report, average asking rents for second quarter 2015 were $15.65 per SF with a 4.2% vacancy rate in the total Madison retail market. The appraiser identified eight comparable retail properties ranging from 56,121 SF to 95,000 SF with base rents ranging from $8.56 per SF to $15.47 per SF.

 

Tops Lockport is located in Lockport, New York, approximately 26 miles northeast of Buffalo and 54 miles west of Rochester. The largest employers in the area include Kaleida Health, University at Buffalo, Catholic Health System, Employer Services Corp., and Tops Markets Inc. The Tops Lockport Property is located on Lockport-Olcott Road which is a heavily trafficked retail corridor. According to a third party report, average asking rents for second quarter 2015 were $9.26 per SF with a 16.4% vacancy rate in the total Lockport retail market. The appraiser identified eight comparable retail properties ranging from 16,937 SF to 84,000 SF with base rents ranging from $7.80 per SF to $16.00 per SF.

 

The following table presents information related to the appraiser’s concluded market rents at the Bluejay Grocery Portfolio Properties.

 

Property Name

 

City

 

State

 

Tenant GLA

 

UW Base
Rent

$ per SF

 

Rent
Comparable
Range $ per SF
(1)

 

Rent
Comparable
Average
Rent per
SF
(1)

 

Appraisal
Concluded Market
Rent per SF
(1)

Pick N Save   Glendale   WI   61,910   $14.50   $12.50 - $16.61   $14.34   $14.50
Marsh Kokomo   Kokomo   IN   55,264   $11.49   $10.11 - $17.50   $12.12   $11.49
Copps Madison   Madison   WI   66,704   $9.37   $8.56 - $15.47   $12.12   $8.50
Tops Lockport   Lockport   NY  

55,515

 

$7.21

  $7.80 - $16.00  

$10.23

 

$8.50

Total / Wtd. Avg.           239,393   $10.68       $12.26   $10.74

 

 

(1)   Source: Appraisal.

 

The following table presents demographic information related to the Bluejay Grocery Portfolio Properties:

 

   

Population Within Radius(1)

   

Avg. Household Income Within Radius(1)

Property Name

 

1-Mile

 

3-Mile

 

5-Mile

   

1-Mile

 

3-Mile

 

5-Mile

Pick N Save   10,665   126,029   349,680     $46,746   $56,928   $54,074
Marsh Kokomo   6,961   37,961   65,025     $49,749   $50,832   $50,058
Copps Madison   7,150   95,024   200,230     $81,241   $87,606   $80,320
Tops Lockport   783   6,585   35,348     $78,228   $72,350   $64,570

 

 

(1)   Source: Appraisal.

 

The Borrower. The borrower is Madison BJ Partners LLC, a single-purpose entity. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of the Bluejay Grocery Portfolio Loan. Marc Jacobowitz and Yerachmeal Jacobson are the non-recourse carveout guarantors under the Bluejay Grocery Portfolio Loan.

 

Marc Jacobowitz and Yerachmeal Jacobson are co-founders of Bluejay, a privately-owned real estate investment management firm based in New York that specializes in the acquisition, financing and management of commercial real estate properties throughout the United States. Headquartered in Lawrence, NY, the company is comprised of Bluejay Capital and Bluejay Management. The company has owned and managed nearly 2 million SF totaling more than $300 million. Bluejay Management currently owns and manages over 1 million SF of shopping center space in the New York area and throughout the United States.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Escrows. The borrower has funded an upfront replacement reserve in the amount of $451,150. On each due date that the Reserve Waiver Conditions are not met, the borrower is required to fund the following reserves: (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 12-month period; and (ii) at the option of the lender, if the policy maintained by the borrower covering the Bluejay Grocery Portfolio Properties (or any portion thereof) does not constitute an approved blanket or umbrella policy under the Bluejay Grocery Portfolio Loan documents or the lender requires the borrower to obtain a separate policy, 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.

 

Reserve Waiver Conditions” means each of the following: (i) no event of default under the Bluejay Grocery Portfolio Loan documents exists, (ii) each lease with The Copps Corporation, Tops Markets, LLC, Marsh Supermarket LLC, Jewel Food Stores, Inc. and any other lessee(s) of the space currently leased by those tenants (the “Specified Tenants”) is in full force and effect with no defaults thereunder, (iii) each Specified Tenant continues to make the payments and perform the obligations required under its respective lease, in each case, relating to the obligations and liabilities for which the applicable reserve account was established, (iv) each Specified Tenant is not bankrupt or insolvent and (v) each Specified Tenant has not expressed its intention in writing to terminate, cancel or default under the related Specified Tenant lease (including, without limitation, in connection with any rejection in any bankruptcy or similar insolvency proceeding).

 

Lockbox and Cash Management. The Bluejay Grocery Portfolio Loan is structured with a hard lockbox and springing cash management. The borrower is required to deposit all revenue and other funds payable to the borrower into the lender-controlled lockbox account, and the borrower has instructed tenants to pay all rents directly to the lender-controlled lockbox account. Prior to the occurrence of a Bluejay Grocery Portfolio Trigger Period, all funds in the lockbox account are transferred to or at the direction of the borrower. Upon the first occurrence of a Bluejay Grocery Portfolio Trigger 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, among other things, debt service, funding of monthly escrow and property operating expenses, with any excess to be held by the lender as additional security for the Bluejay Grocery Portfolio Loan, provided that all sums in the lockbox account in excess of $1,000,560 will be disbursed to the borrower if (i) the Bluejay Grocery Portfolio Trigger Period was caused solely by a Bluejay Grocery Portfolio Specified Tenant Trigger Period (other than pursuant to clause (vii)), (ii) the debt service coverage ratio exceeds 1.20x, and (iii) no event of default is continuing under the Bluejay Grocery Portfolio Loan documents.

 

Bluejay Grocery Portfolio Trigger Period” means the period commencing upon the earlier of (i) the occurrence of an event of default under the Bluejay Grocery Portfolio Loan documents and continuing until such event of default is cured, (ii) the trailing 12-month debt service coverage ratio being less than 1.20x and continuing until the debt service coverage ratio is equal to or greater than 1.25x for two consecutive calendar quarters and (iii) the occurrence of a Bluejay Grocery Portfolio Specified Tenant Trigger Period and continuing until such period ends.

 

Bluejay Grocery Portfolio Specified Tenant Trigger Period” means a period (A) commencing upon the first to occur of (i) any Specified Tenant being in monetary and material non-monetary default under the applicable Specified Tenant lease beyond all applicable cure and grace periods, (ii) any Specified Tenant failing to be in actual, physical possession of its space or going dark, (iii) any Specified Tenant giving notice that it is terminating all or a portion of its space, (iv) any termination or cancellation of any Specified Tenant lease (including, without limitation, rejection in any bankruptcy or similar insolvency proceeding) and/or any Specified Tenant lease failing to otherwise be in full force and effect, (v) any bankruptcy or similar insolvency of any Specified Tenant, (vi) any Specified Tenant failing to provide written notice to the borrower of renewal of its lease on or prior to the dates set forth in the Bluejay Grocery Portfolio Loan documents and (vii) the Specified Tenants located at The Copps Madison Property and the Marsh Kokomo Property failing to renew their respective leases on or prior to the dates specified in the Bluejay Grocery Portfolio Loan documents; and (B) expiring upon the first to occur of the lender’s receipt of evidence reasonably acceptable to the lender of (1) with respect to (i) above, the cure of all defaults; with respect to (ii) above, the applicable Specified Tenant being in actual, physical possession of the Specified Tenant space (or applicable portion thereof), open to the public for business during customary hours and not

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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“dark”; with respect to (iii) above, the applicable Specified Tenant having revoked or rescinded all termination or cancellation notices with respect to the applicable Specified Tenant lease and having re-affirmed the applicable Specified Tenant lease as being in full force and effect; with respect to (iv), (vi) and (vii) above, the applicable Specified Tenant having renewed or extended the applicable Specified Tenant lease or the applicable Specified Tenant Space being otherwise leased for a minimum of 5 years to a tenant in physical occupancy, open for business and paying full, unabated rent; and with respect to (v) above, the applicable Specified Tenant being no longer insolvent or subject to any bankruptcy or insolvency proceedings and having affirmed the applicable Specified Tenant lease pursuant to final, non-appealable order of a court of competent jurisdiction; or (2) the borrower leasing the entire Specified Tenant space (or applicable portion thereof), the applicable Specified Tenant under such lease being in actual, physical occupancy of, and open to the public for business in, the space demised under its lease, and paying the full amount of the rent due under its lease for a minimum of 5 years.

 

Property Management. The Bluejay Grocery Portfolio Properties are currently managed by Bluejay Management, LLC. Under the Bluejay Grocery Portfolio Loan documents, the borrower may terminate and replace the property manager if, among other conditions, the applicable replacement property manager is approved by the lender in writing (which approval may be conditioned upon the lender’s receipt of Rating Agency Confirmation). The lender has the right to replace the manager upon an event of default under the management agreement, the filing of a bankruptcy or similar event with respect to the property manager, or the property manager has engaged in fraud, willful misconduct, gross negligence or misappropriation of funds.

 

Mezzanine or Subordinate Indebtedness. Not permitted.

 

Release of Collateral. Not permitted.

 

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 Bluejay Grocery Portfolio Properties (plus 12 months of rental loss and/or business interruption coverage plus an additional period of indemnity covering the 6 months following restoration). See “Risk Factors—Terrorism Insurance May Be Unavailable or Insufficient” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

99
 

 

 

 

THE HEIGHTS AT STATE COLLEGE PHASE III

 

 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

100
 

 

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 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   MC-Five Mile
Location (City/State) State College, Pennsylvania   Cut-off Date Principal Balance   $24,000,000
Property Type Multifamily   Cut-off Date Principal Balance per Bed $70,588.24
Size (Beds) 340   Percentage of Initial Pool Balance   2.8%
Total Occupancy as of 8/1/2015 100.0%   Number of Related Mortgage Loans   None
Owned Occupancy as of 8/1/2015 100.0%   Type of Security   Fee Simple
Year Built / Latest Renovation 2015 / NAP   Mortgage Rate    4.5500%
Appraised Value $32,300,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Period (Months)   60
Underwritten Revenues $2,735,625        
Underwritten Expenses $847,217   Escrows
Underwritten Net Operating Income (NOI) $1,888,408     Upfront Monthly
Underwritten Net Cash Flow (NCF) $1,854,408   Taxes $85,671 $17,134
Cut-off Date LTV Ratio 74.3%   Insurance $26,789 $2,435
Maturity Date LTV Ratio 68.0%   Replacement Reserve $0 $2,833
DSCR Based on Underwritten NOI / NCF 1.29x / 1.26x   TI/LC $0 $0
Debt Yield Based on Underwritten NOI / NCF 7.9% / 7.7%   Other $0 $0

 

Sources and Uses
Sources $ %   Uses $ %
Loan Amount $24,000,000   100.0%   Loan Payoff $18,744,979 78.1%
        Closing Costs 2,940,796 12.3
        Principal Equity Distribution 2,201,766 9.2
        Reserves 112,460 0.5
Total Sources $24,000,000 100.0%   Total Uses $24,000,000 100.0%

 

The Mortgage Loan. The mortgage loan (“The Heights at State College Phase III Loan”) is evidenced by a note in the original principal amount of $24,000,000 and is secured by a first mortgage encumbering the borrower’s fee simple interest in an 340-bed student housing complex located in State College, Pennsylvania (“The Heights at State College Phase III Property”). The Heights at State College Phase III Loan was originated by MC-Five Mile Commercial Mortgage Finance LLC on August 21, 2015. The Heights at State College Phase III Loan has an outstanding principal balance as of the Cut-off Date of $24,000,000 which represents approximately 2.8% of the Initial Pool Balance, and accrues interest at an interest rate of 4.5500% per annum. The proceeds of The Heights at State College Phase III Loan were used to refinance the existing debt, fund reserves and closing costs and to return equity to the borrower.

 

The Heights at State College Phase III Loan had an initial term of 120 months and has a remaining term of 119 months as of the Cut-off Date. The Heights at State College Phase III 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 of The Heights at State College Phase III Loan is the due date in September 2025. Voluntary prepayment of The Heights at State College Phase III Loan without payment of any prepayment premium is permitted on or after the due date in June 2025. Defeasance of The Heights at State College Phase III 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 Heights at State College Phase III Loan documents, is permitted at any time after the date that is one day after the second anniversary of the securitization’s Closing Date.

 

The Mortgaged Property. The Heights at State College Phase III Property is a 340-bed student housing complex located in State College, Pennsylvania, approximately 1.5 miles south of the University Park campus of Pennsylvania State University (“PSU”). The Heights at State College Phase III Property was built in 2015 and is part of a larger student housing development containing an additional 849 beds in 291 units (“The Heights at State College Phase I and II”). The Heights at State College Phase III Property improvements are situated on an 8.88-acre parcel and consist of 27 three- and four-story residential buildings, which offer two, three and four bedroom floor plans ranging in size from 1,182 SF to 1,888 SF. Pursuant to a reciprocal easement agreement, The Heights at State College Phase III Property has access to shared amenities with The Heights at State College Phase I and II, which include an outdoor pool with sundeck, a fire pit and a clubhouse containing a community room, game room, full kitchen, computer/business center, tanning beds and fitness center. Apartment unit amenities include a full appliance package including stainless steel appliances, in-unit washer and dryers and a full furniture package including beds, dressers, chairs, sofas and coffee tables. The sponsors intend to construct

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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additional student housing units containing 128 beds on land adjacent to The Heights at State College Phase III Property. Such additional units will not be part of the collateral for The Heights at State College Phase III Loan.

 

The following table presents certain information relating to the units and rent at The Heights at State College Phase III Property:

 

Unit Mix(1)

 

Unit Type

 

Occupied
Beds

 

Vacant
Beds

 

Total
Beds

 

% of Total
Beds

 

Average SF per
Bedroom

 

Market
Rent/Bed per
Month (1)

 

Average UW
Rent/Bed per Month

 

Underwritten
Rent
 

2BR/2BA   80   0   80   23.5%   591   $705   $705   $676,800
3BR/3.5BA   180   0   180   52.9%   550   $665   $665   1,436,400
4BR/4BA  

80

 

0

 

80

 

23.5% 

  472  

$620

 

$620

 

595,200

Total / Wtd. Avg.   340   0   340   100.0%   541   $664   $664   $2,708,400

 

 

(1)Source: Appraisal.

 

The following table presents certain information relating to historical leasing at The Heights at State College Phase III Property:

 

Historical Leased %(1)(2)

 

 

 

 As of 8/1/2015

Owned Space   100.0%  

 

 
(1)As provided by the borrower.
(2)Historical occupancy is not shown because the property was completed for the 2015-2016 academic year.

  

Operating History and Underwritten Net Cash Flow. The Heights at State College Phase III Property was constructed in 2015 and first leased for the 2015/2016 academic year. The Heights at State College Phase III Property was 100.0% occupied as of August 1, 2015. Underwritten Net Cash Flow for The Heights at State College Phase III Property reflects a 5.0% vacancy and in-place leases, which are in line with the appraisal rent on a per-bed basis. Income and expenses figures were compared to the appraiser’s estimate and borrower’s budget and rents were underwritten to leases in place.

 

The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow at The Heights at State College Phase III Property:

 

Cash Flow Analysis(1)

 

   

Underwritten

 

Underwritten
$ per Bed

Base Rent   $2,708,400   $7,966
Gross Up Vacancy  

0

 

0

Gross Potential Rent   $2,708,400   $7,966
Vacancy, Credit Loss & Concessions  

(135,420)

 

(398)

Total Rent Revenue   $2,572,980   $7,568
Other Revenue(2)  

162,645

 

478

Effective Gross Income   $2,735,625   $8,046
         
Real Estate Taxes   $199,621   $587
Insurance   30,260   89
Management Fee   109,425   322
Other Operating Expenses  

507,911

 

1,494

Total Operating Expenses   $847,217   $2,492
         
Net Operating Income   $1,888,408   $5,554
Replacement Reserves  

34,000

 

100

Net Cash Flow   $1,854,408   $5,454

 

 
(1)Historical cash flows are not available as the property was completed in 2015 and opened for the 2015-2016 academic year.
(2)Other Revenue includes late fees, activity fees, redecorating fees, utility reimbursements and other miscellaneous 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Appraisal. According to the appraisal, The Heights at State College Phase III Property had an “as-is” appraised value of $32,300,000 as of an effective date of August 20, 2015.

 

Environmental Matters. Based on a Phase I environmental report dated July 23, 2015, no recognized environmental conditions were identified in connection with The Heights at State College Phase III Property.

 

Market Overview and Competition. The Heights at State College Phase III Property is located in State College, Pennsylvania which is located in Centre County and is approximately 1.5 miles south of the University Park Campus of PSU. The overall demand for student housing in State College, PA is derived from approximately 46,000 students from PSU. The total PSU student housing supply is estimated to contain approximately 29,500 beds consisting of 14,000 on-campus beds and an estimated 15,500 off-campus beds in privately-owned properties. According to the appraisal, there is one new student housing property containing 100 units that is under construction in the State College market.

 

According to the appraisal, The Heights at State College Phase III Property’s competitive set is comprised of five student housing properties with similar amenities, located in State College, Pennsylvania. The competitive set includes 1,044 units and 3,703 beds with average occupancy of 98.1%. Average rents at the comparable properties range from $514 to $985 per bed per month.

 

The following table presents certain information relating to the primary competition for The Heights at State College Phase III Property:

 

Competitive Set(1)

 

   

The Heights at
State College
Phase III

 

The Park

 

Nittany
Crossing

 

Lions Crossing

 

The Pointe at
State College

 

Retreat at State
College

Location   State College   State College   State College   State College   State College   State College
Year Built   2015   1991   1998   1996   2001   2013
Occupancy   100.0%   100.0%   100.0%   90.0%   100.0%   100.0%
No. of Beds   340   752   684   696   984   587
Asking Rent(2)(3)   $663   $660   $553   $527   $628   $865
Distance(4)   N/A   1.9 miles   2.3 miles   2.8 miles   2.5 miles   3.5 miles

 

 

(1)Source: Appraisal.
(2)Asking rent for The Heights at State College Phase III Property is based on the weighted-average rent, while asking rent for the rest of the competitive set is based on the simple average of comparable unit types.
(3)Per-bed.
(4)Distance refers to distance from The Heights at State College Phase III Property.

  

The Borrower. The borrower is Circleville Road Partners A, LP, a single-purpose, single-asset, Pennsylvania limited partnership. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of The Heights at State College Phase III Loan. The non-recourse carveout guarantors under The Heights at State College Phase III Loan are William J. Leone, W. Grant Scott, II, David E. Meese and Keith R. Cooper.

 

Escrows. On the origination date, the borrower funded aggregate reserves of $112,460 with respect to The Heights at State College Phase III Loan, comprised of (i) $85,671 as an initial tax escrow deposit; and (ii) $26,789 as an initial insurance escrow deposit. On each due date, the borrower will be required to fund a (i) 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 12-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 succeeding 12-month period, and (iii) a replacement reserve account in the amount of $2,833.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Lockbox and Cash Management. The Heights at State College Phase III Loan is structured with a springing lockbox and springing cash management. The Heights at State College Phase III Loan documents require that, upon the commencement of the first The Heights at State College Phase III Trigger Period, the borrower shall establish and maintain a lockbox account for the sole and exclusive benefit of the lender into which the borrower is required to deposit or cause to be deposited, within three days of receipt, all revenue generated by The Heights at State College Phase III Property. During a The Heights at State College Phase III Trigger Period, funds are required to be transferred from the lockbox account to the cash management account under the control of the lender. During any The Heights at State College Phase III Trigger Period, The Heights at State College Phase III 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 The Heights at State College Phase III Loan. During the continuance of an event of default under The Heights at State College Phase III Loan, the lender may apply any excess cash flow to amounts payable under The Heights at State College Phase III Loan and/or toward the payment of expenses of The Heights at State College Phase III Property, in such order of priority as the lender may determine.

 

A “The Heights at State College Phase III Trigger Period” under The Heights at State College Phase III Loan means a period commencing upon the occurrence and continuance of (a) an event of default under The Heights at State College Phase III Loan documents, (b) the debt service coverage ratio as calculated under The Heights at State College Phase III Loan documents being less than 1.15x for two calendar quarters, (c) the debt yield as calculated under The Heights at State College Phase III Loan documents being less than 7.0% for two calendar quarters, and/or (d) June 6, 2025, if, on or prior to such date, the borrower does not provide to the lender a duly executed commitment letter from a bona-fide, third party lender committing to make a loan to the borrower in an amount sufficient to repay The Heights at State College Phase III Loan in whole on or prior to the scheduled maturity date in form and substance reasonably satisfactory to the lender, and expiring, as applicable, upon (i) the cure (if applicable) of such event of default, (ii) the debt service coverage ratio being equal to or greater than 1.15x for four calendar quarters and (iii) the debt yield being equal to or greater than 7.0% for four calendar quarters.

 

Property Management. The Heights at State College Phase III Property is currently managed by McKinney Properties, Inc. (“McKinney”), a third-party operator, pursuant to a management agreement. The Heights at State College Phase III Loan documents provide that the borrower may not, without the lender’s prior consent (i) surrender, terminate or cancel the management agreement; provided, that the borrower may replace the manager so long as the replacement manager is a qualified manager according to the terms of The Heights at State College Phase III Loan documents; (ii) reduce or consent to the reduction of the term of the management agreement; (iii) increase or consent to the increase of the amount of any charges under the management agreement; or (iv) otherwise modify, change, supplement, alter, amend, waive or release any of its rights and remedies under, the management agreement in any material respect.

 

McKinney was founded in 1946 and is an owner and manager of multifamily and student housing properties. McKinney currently operates a portfolio of more than 2000 multifamily and student housing units in seven states.

 

Mezzanine or Subordinate Indebtedness. Not Permitted.

 

Terrorism Insurance. The borrower is required to maintain property, liability and business interruption insurance coverage for losses due to any peril now or hereafter included within the classification of damage caused by war and the acts of terrorists, including nuclear, biological and/or chemical acts of terrorists, including both certified and non-certified acts of terrorists and foreign and domestic acts of terrorists. See “Risk Factors—Terrorism Insurance May Be Unavailable or Insufficient” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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FESTIVAL AT SAWMILL CENTRE

 

 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

106
 

 

FESTIVAL AT SAWMILL CENTRE

 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

107
 

  

FESTIVAL AT SAWMILL CENTRE

 

 (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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   GSMC
Location (City/State) Dublin, Ohio   Cut-off Date Principal Balance   $23,470,181
Property Type Retail   Cut-off Date Principal Balance per SF   $117.42
Size (SF) 199,887   Percentage of Initial Pool Balance   2.8%
Total Occupancy as of 8/1/2015 98.5%   Number of Related Mortgage Loans(1)   2
Owned Occupancy as of 8/1/2015 98.5%   Type of Security   Fee Simple
Year Built / Latest Renovation 1988-1993 / 2014   Mortgage Rate   4.7035%
Appraised Value $31,500,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Period (Months)   NAP
Underwritten Revenues $3,246,883        
Underwritten Expenses $1,099,944   Escrows
Underwritten Net Operating Income (NOI) $2,146,939     Upfront Monthly
Underwritten Net Cash Flow (NCF) $1,951,092   Taxes $192,618 $48,155
Cut-off Date LTV Ratio 74.5%   Insurance $0 $0
Maturity Date LTV Ratio 60.7%   Replacement Reserve $0 $4,164
DSCR Based on Underwritten NOI / NCF 1.47x / 1.33x   TI/LC(2) $0 $12,500
Debt Yield Based on Underwritten NOI / NCF 9.1% / 8.3%   Other(3) $380,496 $0
                           
Sources and Uses  
Sources   $   %   Uses   $   %  
Loan Amount   $23,500,000   99.7 %   Loan Payoff   $22,597,244   95.8 %  
Principal’s New Cash Contribution   78,379   0.3     Reserves   573,114   2.4    
              Closing Costs   408,021   1.7    
                           
Total Sources   $23,578,379   100.0 %   Total Uses   $23,578,379   100.0 %  

 

(1)The indirect owner of the borrower is also the indirect owner of the borrower for the Canterbury Apartments Loan.
(2)The TI/LC reserve is capped at $500,000. See “—Escrows” below.
(3)Other reserve represents unfunded obligations for outstanding tenant improvement allowances and leasing commissions ($322,009) and a deferred maintenance reserve ($58,487). See “—Escrows” below.

 

The Mortgage Loan. The mortgage loan (the “Festival at Sawmill Centre Loan”) is evidenced by a note in the original principal amount of $23,500,000, secured by a first mortgage encumbering the fee simple interest in a retail property located in Dublin, Ohio (the “Festival at Sawmill Centre Property”). The Festival at Sawmill Centre Loan was originated by Goldman Sachs Mortgage Company on September 1, 2015 and represents approximately 2.8% of the Initial Pool Balance. The note evidencing the Festival at Sawmill Centre Loan has a principal balance as of the Cut-off Date of $23,470,181 and an interest rate of 4.7035% per annum. The borrower utilized the proceeds of the Festival at Sawmill Centre Loan to refinance the existing debt on the Festival at Sawmill Centre Property, fund reserves and pay origination costs.

 

The Festival at Sawmill Centre Loan had an initial term of 120 months and has a remaining term of 119 months as of the Cut-off Date. The Festival at Sawmill Centre Loan requires monthly payments of interest and principal sufficient to amortize the Festival at Sawmill Centre Loan over a 30-year amortization schedule. The scheduled maturity date of the Festival at Sawmill Centre Loan is the due date in September 2025. Voluntary prepayment of the Festival at Sawmill Centre Loan is permitted on or after the due date in June 2025 without payment of any prepayment premium. Provided that no event of default under the Festival at Sawmill Centre Loan is continuing, defeasance with direct, non-callable obligations of the United States of America is permitted at any time on or after the first due date following the second anniversary of the securitization Closing Date.

 

The Mortgaged Property. The Festival at Sawmill Centre Property is an approximately 199,887 SF anchored retail property located in Dublin, Ohio at the intersection of Sawmill Road and Martin Road. The Festival at Sawmill Centre Property was originally constructed in 1988 by an affiliate of the borrower and it has been owned and operated by affiliates since. The tenant mix at the Festival at Sawmill Centre Property features Jo-Ann Fabric, Barnes & Noble, David’s Bridal, Chuck E Cheese, Park to Shop Marketplace, as well as a mix of national and local retailers. As of August 1, 2015, Total Occupancy and Owned Occupancy were both 98.5%.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The following table presents certain information relating to the major tenants (of which, certain tenants may have co-tenancy provisions) at the Festival at Sawmill Centre 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

 

Major
Tenant
Lease
Expiration

 

Tenant Sales
$ per SF(2)

 

Occupancy
Cost

 

Renewal /
Extension
Options

Anchors                                            
Jo-Ann Fabric   NR / B3 / B   48,737     24.4 %   Yes   $640,874   $13.15   1/31/2024   $136.70   9.6%   2, 5-year options
Total Anchors      

48,737

   

24.4

%                            
                                             
Junior Anchors                                            
Barnes & Noble   NR / NR / NR   20,184     10.1 %   Yes   $425,000   $21.06   1/31/2019   NA   NA   NA
Park to Shop Marketplace   NR / NR / NR   18,490     9.3     Yes   $220,823   $11.94   8/31/2024   NA   NA   2, 5-year options
Chuck E Cheese   NR / Caa1 / NR   14,220     7.1     Yes   $247,475   $17.40   7/31/2023   $130.14   13.4%   3, 5-year options
Total Junior Anchors      

52,894

   

26.5

%                            
                                             
Occupied In-line       89,560     44.8 %       $1,638,259   $18.29                
Other(3)       5,696     2.8 %       $187,921   $32.99                
Vacant Spaces      

3,000

   

1.5

%       $0   $0.00                
Total Owned SF       199,887     100.0 %                            
Total SF       199,887     100.0 %                            

 

 
(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.
(2)Sales figures for Jo-Ann Fabric and Chuck E Cheese are for the year ending December 31, 2014.
(3)Other includes Chili’s Grill & Bar (5,693 SF, $101,303 total rent, 3.0% of annual base rent) which is a ground lease and three antenna tenants: Verizon Wireless (1.3% of annual base rent), Sprint and AT&T totaling $86,618 total rent.

 

The following table presents certain information relating to the major tenants (of which, certain tenants may have co-tenancy provisions) at the Festival at Sawmill Centre Property:

 

Ten Largest Owned Tenants Based on Underwritten Base Rent

 

Tenant Name

 

Credit Rating
(Fitch/MIS/S&P)(1)

 

Tenant GLA

 

% of
Owned
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

Jo-Ann Fabric   NR / B3 / B   48,737     24.4 %   $450,817     16.9 %   $9.25     1/31/2024   $136.70   9.6%   2, 5-year options
Barnes & Noble   NR / NR / NR   20,184     10.1     425,000     15.9     21.06     1/31/2019   NA   NA   NA
David’s Bridal   NR / NR / NR   9,000     4.5     214,380     8.0     23.82     5/31/2026   NA   NA   2, 5-year options
Chuck E Cheese   NR / Caa1 / NR   14,220     7.1     190,000     7.1     13.36     7/31/2023   $130.14   13.4%   3, 5-year options
Park to Shop Marketplace   NR / NR / NR   18,490     9.3     147,920     5.5     8.00     8/31/2024   NA   NA   2, 5-year options
BD’s Mongolian Barbeque   NR / NR / NR   5,907     3.0     106,326     4.0     18.00     11/30/2019   NA   NA   1, 3-year option
Panera Bread   NR / NR / NR   4,743     2.4     104,346     3.9     22.00     3/31/2019   NA   NA   1, 5-year option
Asian Star   NR / NR / NR   6,000     3.0     90,000     3.4     15.00     2/28/2018   NA   NA   2, 5-year options
Chili’s Grill & Bar(3)   NR / NR / NR   5,693     2.8     80,000     3.0     14.05     2/13/2019   NA   NA   1, 5-year option
Bhavani Cash & Carry   NR / NR / NR   6,200     3.1     64,170     2.4     10.35     7/31/2019   NA   NA   1, 5-year option
Ten Largest Owned Tenants  

139,174

   

69.6

%  

$1,872,959

   

70.1

%  

$13.46

                 
Remaining Owned Tenants   57,713     28.9     799,471     29.9     13.85                  
Vacant Spaces (Owned Space)  

3,000

   

1.5

   

0

   

0.0

   

0.00

                 
Total / Wtd. Avg. All Owned Tenants   199,887     100.0 %   $2,672,430     100.0 %   $13.57                  

 

 
(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.
(2)Sales figures for Jo-Ann Fabric and Chuck E Cheese are for the year ending December 31, 2014.
(3)Chili’s Grill & Bar is ground leased.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The following table presents certain information relating to the lease rollover schedule at the Festival at Sawmill Centre 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  0   0.0%  0.0%  $0   0.0%  $0.00   0 
2015  5,400   2.7   2.7%  55,175   2.1   10.22   3 
2016  3,651   1.8   4.5%  66,063   2.5   18.09   3 
2017  14,273   7.1   11.7%  222,553   8.3   15.59   6 
2018  24,166   12.1   23.8%  341,523   12.8   14.13   9 
2019  50,179   25.1   48.9%  858,144   32.1   17.10   8 
2020  0   0.0   48.9%  0   0.0   0.00   0 
2021  1,571   0.8   49.6%  55,055   2.1   35.04   2 
2022  0   0.0   49.6%  0   0.0   0.00   0 
2023  20,220   10.1   59.8%  250,000   9.4   12.36   2 
2024  68,427   34.2   94.0%  609,537   22.8   8.91   3 
2025  0   0.0   94.0%  0   0.0   0.00   0 
2026 & Thereafter  9,000   4.5   98.5%  214,380   8.0   23.82   1 
Vacant  3,000   1.5   100.0%  0   0.0   0.00   0 
Total / Wtd. Avg.  199,887   100.0%      $2,672,430   100.0%  $13.57   37 

 

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

 

The following table presents certain information relating to historical leasing at the Festival at Sawmill Centre Property:

Historical Leased %(1)

 

 

 

2012

 

2013

 

2014

 

As of 7/31/2015

Owned Space   96.3%   97.3%   98.0%   98.5%

 

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

 

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 Festival at Sawmill Centre Property:

 

Cash Flow Analysis(1)

   

2012

 

2013

 

2014

 

TTM 7/31/2015

 

Underwritten

 

Underwritten

$ per SF

Base Rent(2)   $2,579,571     $2,610,457     $2,611,422     $2,802,021     $2,672,430     $13.37  
Gross Up Vacancy  

0

   

0

   

0

   

0

   

51,000

   

0.26

 
Total Rent   $2,579,571     $2,610,457     $2,611,422     $2,802,021     $2,723,430     $13.63  
Total Reimbursables   638,033     699,234     745,653     898,799     687,922     3.44  
Other Income   4,172     4,540     4,303     6,204     6,204     0.03  
Vacancy & Credit Loss  

0

   

0

   

0

   

0

   

(170,674

)  

(0.85

)
Effective Gross Income   $3,221,776     $3,314,230     $3,361,378     $3,707,024     $3,246,883     $16.24  
                                     
Total Operating Expenses  

$1,067,085

   

$1,088,040

   

$1,153,439

   

$1,163,752

   

$1,099,944

   

$5.50

 
                                     
Net Operating Income   $2,154,692     $2,226,190     $2,207,940     $2,543,272     $2,146,939     $10.74  
TI/LC   0     0     0     0     155,066     0.78  
Capital Expenditures  

0

   

0

   

0

   

0

   

40,781

   

0.20

 
Net Cash Flow   $2,154,692     $2,226,190     $2,207,940     $2,543,272     $1,951,092     $9.76  

 

 
(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)Underwritten Base Rent is based on contractual rents as of August 1, 2015 and rent steps through October 31, 2016.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Appraisal. According to the appraisal, the Festival at Sawmill Centre Property had an “as-is” appraised value of $31,500,000 as of June 1, 2015.

 

Environmental Matters. According to a Phase I environmental report dated August 5, 2015, there are no recognized environmental conditions or recommendations for further action at the Festival at Sawmill Centre Property.

 

Market Overview and Competition. The Festival at Sawmill Centre Property is located at the intersection of Sawmill Road and Martin Road in Dublin, Ohio in the Columbus North submarket, which includes the Bethel Road submarket. The Columbus North submarket is comprised of approximately 26.4 million SF of retail space with a vacancy rate of 3.8%. The Bethel Road submarket is comprised of 7.6 million SF of retail space with a vacancy rate of 5.5%.

 

The following table presents certain information relating to the primary competition for the Festival at Sawmill Centre Property:

 

Competitive Set(1)

 

 

 

Festival at Sawmill
Centre

 

Avery Square

 

Carriage Place

 

Sawmill Plaza

 

Trader Joe’s Centre

 

Sun Center

Distance from Subject   -   5.0 miles   2.4 miles   1.0 mile   0.5 miles   0.2 miles
Property Type   Anchored Retail   Anchored Retail   Anchored Retail   Anchored Retail   Anchored Retail   Anchored Retail
Year Built   1988   1997   1989   1987   1986   1995
Total GLA   199,887   216,173   318,642   209,349   75,859   433,188
Total Occupancy   98%   100%   95%   85%   97%   100%
Major Tenants   Jo-Ann Fabric, Barnes & Noble, David’s Bridal, Chuck E Cheese   Kroger, Bath & Body Works, Five Guys, Buffalo Wild Wings   Cinemark Theatres, Walmart Supercenter, Half Price Books   Hobby Lobby, Petco, Advanced Auto Parts   Trader Joes, Wendy’s Bridal Shop, Shi Chi Japanese Steakhouse   Whole Foods, Babies R Us, Ashley Furniture

 

 
(1)Source: Appraisal.

 

The Borrower. The borrower is Festival Center, LLC, a single-purpose, single-asset entity. Gloria S. Haffer, as trustee of The Bernard R. Ruben Irrevocable Trust For Issue dated December 7, 1997, an owner of the borrower, is the non-recourse carveout guarantor under the Festival at Sawmill Centre Loan.

 

Plaza Properties, Inc. an affiliate of the borrower, is the property management company. Plaza Properties, Inc. is a commercial real estate company in Columbus, Ohio responsible for managing over 1 million SF of retail and office properties and 3,000 multifamily units in the Columbus area on behalf of the Bernard R. Ruben Irrevocable Trust.

 

Escrows. On the origination date, the borrower funded (i) a tax reserve of approximately $192,618, (ii) a deferred maintenance reserve of $58,487 related to, among other things, routine maintenance at the Festival at Sawmill Centre Property including new asphalt overlay and sidewalk/curb repairs, and (iii) an unfunded obligations reserve of approximately $322,009 related to unpaid tenant improvements and leasing commissions.

 

On each due date, the borrower is 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 12-month period; provided, however, that reserve deposits for insurance premiums are not required if the borrower is maintaining a blanket or umbrella policy in accordance with the Festival at Sawmill Centre Loan documents and there is no continuing event of default, (ii) a tenant improvement and leasing commission reserve in an amount equal to $12,500 (subject to a cap of $500,000) and (iii) a capital expenditure reserve in the amount of $4,164.

 

In addition, on each due date during the continuance of a Festival at Sawmill Centre Trigger Period, the Festival at Sawmill Centre Loan documents require (i) a Jo-Ann Fabric tenant rollover reserve of $487,370, to the extent that the borrower has the funds to make such deposit (and if the borrower fails to much such deposit, all excess cash is required to be deposited into such reserve until the required deposit has been funded), (ii) a Barnes & Noble tenant rollover reserve of $403,680, to the extent that the borrower has the funds to make such deposit 

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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(and if the borrower fails to much such deposit, all excess cash is required to be deposited into such reserve until the required deposit has been funded) and (iii) an excess cash reserve as discussed under “—Lockbox and Cash Management” below.

  

A “Festival at Sawmill Centre Trigger Period” means (i) a period commencing as of the conclusion of any 12-month period (ending on the last day of any fiscal quarter) during which the net operating income (as calculated under the Festival at Sawmill Centre Loan documents) is less than $1,921,643, and ending at the conclusion of the second consecutive fiscal quarter during which the net operating income for the trailing 12-month period (ending on the last day of any fiscal quarter) is equal to or greater than $1,921,643; (ii) a period commencing upon the borrower’s failure to deliver monthly, quarterly or annual financial reports and ending when such reports are delivered and they indicate that no other Festival at Sawmill Centre Trigger Period is ongoing; (iii) a period commencing upon the borrower sponsor’s failure to maintain a net worth in excess of $25,000,000 or liquid assets in excess of $1,000,000 and ending when the borrower sponsor maintains a net worth in excess of $25,000,000 and liquid assets in excess of $1,000,000; and (iv) with respect to the JoAnn or Barnes & Noble tenants, a period (I) commencing upon the earliest of any of the following: (w) the date the applicable tenant or replacement tenant gives notice of an intent to terminate or vacate all or a material portion of its space, (x) if the applicable tenant or replacement tenant has not given notice to renew its lease as of the date that is the earlier of (a) the date required pursuant to its lease or (b) six months prior to the expiration of its lease (each of the events described in clauses (w) or (x), a “Non-Renewal Trigger Event”), (y) the date that the applicable tenant or replacement tenant discontinues its operations or business in all or substantially all of its related space, vacates or is otherwise not in occupancy of all or substantially all of its related space, for a period of 30 consecutive days or more (other than for a casualty or condemnation or certain renovations or alterations) (the event described in this clause (y), a “Vacating Trigger Event”), or (z) the date of the filing of a bankruptcy petition by or against the applicable tenant or the guarantor (the event described in this clause (z), a “Bankruptcy Trigger Event”) and (II) ending when (a) as it relates to a Non-Renewal Trigger Event, either (1) the applicable tenant renews or extends its lease, occupies the entirety of its space, pays normal monthly rent, is open for business and has provided an updated estoppel certificate acceptable to the lender or (2) the related space is subject to one or more approved substitute leases, (b) as it relates to a Vacating Trigger Event, either (1) the lender is provided with reasonably satisfactory evidence that the applicable tenant has recommenced its business and operations in its space, is paying rent and is otherwise in compliance with the terms of its lease or (2) the related space is subject to one or more approved substitute leases, or (c) as it relates to a Bankruptcy Trigger Event, either (1) the applicable tenant affirmed its lease during the bankruptcy proceeding, is paying normal monthly rent and is otherwise in compliance with the terms of its lease or (2) the lease with the applicable tenant is terminated and the related space is subject to one or more approved substitute leases.

 

Lockbox and Cash Management. The Festival at Sawmill Centre Loan is structured with a springing lockbox and springing cash management. To the extent there is no ongoing Festival at Sawmill Centre Trigger Period or event of default under the Festival at Sawmill Centre Loan, (i) the borrower is required to deposit all revenues relating to the Festival at Sawmill Centre Property (other than tenant security deposits) and all other money received by the borrower or the property manager with respect to the Festival at Sawmill Centre Property into a borrower-controlled operating account, and (ii) the borrower is required to make all payments and required deposits from the amounts on deposit in the operating account. Upon the occurrence of a Festival at Sawmill Centre Trigger Period or event of default under the Festival at Sawmill Centre Loan, the Festival at Sawmill Centre Loan documents permit the lender to deliver notices to each tenant instructing them to remit all rents into a lender-controlled lockbox account and require that all cash revenues relating to the Festival at Sawmill Centre Property and all other money received by the borrower or the property manager with respect to the Festival at Sawmill Centre Property (other than tenant security deposits) be deposited into such lockbox account within one business day following receipt. On each business day during the continuance of a Festival at Sawmill Centre Trigger Period or an event of default under the Festival at Sawmill Centre Loan, all amounts in the lockbox account are required to be remitted to a lender-controlled cash management account. On each business day that no Festival at Sawmill Centre Trigger Period or event of default under the Festival at Sawmill Centre Loan is continuing, all funds in the lockbox account will be swept into a borrower-controlled operating account.

 

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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On each due date during the continuance of a Festival at Sawmill Centre Trigger Period or, at the lender’s discretion, during an event of default under the Festival at Sawmill Centre Loan, the Festival at Sawmill Centre Loan documents require that all amounts on deposit in the cash management account be used to pay debt service, required reserves and budgeted operating expenses, and that all remaining amounts be reserved in an excess cash flow reserve account. During the continuance of an event of default under the Festival at Sawmill Centre Loan, the lender may apply all funds on deposit in any of the accounts constituting collateral for the Festival at Sawmill Centre Loan to amounts payable under the Festival at Sawmill Centre Loan documents, in such order of priority as the lender may determine.

 

Property Management. The Festival at Sawmill Centre Property is managed by Plaza Properties, Inc. pursuant to a management agreement. Under the Festival at Sawmill Centre Loan documents, the Festival at Sawmill Centre Property is required to remain managed by Plaza Properties, Inc. or any other management company approved by the lender and with respect to which Rating Agency Confirmation has been received. The lender has the right to replace, or require the borrower to replace, the property manager with a property manager selected by the lender (i) during the continuance of an event of default, which remains uncured for 60 days or more under the Festival at Sawmill Centre Loan, (ii) following any foreclosure, conveyance in lieu of foreclosure or other similar transaction, (iii) during the continuance of a material default by the property manager under the management agreement (after the expiration of any applicable notice and/or cure periods), (iv) if the property manager files for or is the subject of a petition in bankruptcy, (v) if a trustee or receiver is appointed for the property manager’s assets, or (vi) the property manager makes an assignment for the benefit of its creditors or is adjudicated insolvent.

 

Mezzanine or Subordinate Indebtedness. Not permitted.

 

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 Festival at Sawmill Centre Property (plus 12 months of rental loss and/or business interruption coverage plus an additional period of indemnity covering the six months following restoration). If TRIPRA or a similar or subsequent statute is not in effect, then provided that terrorism insurance is commercially available, the borrower will be required to carry terrorism insurance throughout the term of the Festival at Sawmill Centre Loan as described in 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 property and business interruption/rental loss insurance required under the related 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 borrower 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 $50,000. 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 Festival at Sawmill Centre Property are separately allocated to the Festival at Sawmill Centre Property and that the policy will provide the same protection as a separate policy. See “Risk Factors—Terrorism Insurance May Be Unavailable or Insufficient” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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WOODLANDS CORPORATE CENTER AND 7049 WILLIAMS ROAD 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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(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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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WOODLANDS CORPORATE CENTER AND 7049 WILLIAMS ROAD PORTFOLIO
             
Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 3   Loan Seller  MC-Five Mile
Location (City/State) Various / New York   Cut-off Date Principal Balance $23,300,000
Property Type Office / Industrial Flex   Cut-off Date Principal Balance per SF $109.89
Size (SF) 212,032   Percentage of Initial Pool Balance 2.7%
Total Occupancy as of 8/3/2015 92.3%   Number of Related Mortgage Loans None
Owned Occupancy as of 8/3/2015 92.3%   Type of Security Fee Simple
Year Built / Latest Renovation Various / NAP   Mortgage Rate 4.8700%
Appraised Value $33,200,000   Original Term to Maturity (Months) 120
      Original Amortization Term (Months) 360
      Original Interest Only Period (Months) 36
         
Underwritten Revenues $2,899,459    
Underwritten Expenses $802,289   Escrows
Underwritten Net Operating Income (NOI) $2,097,171     Upfront Monthly
Underwritten Net Cash Flow (NCF) $1,948,089   Taxes $106,882 $15,269
Cut-off Date LTV Ratio 70.2%   Insurance $25,730 $4,288
Maturity Date LTV Ratio 61.9%   Replacement Reserve(2) $0 $4,417
DSCR Based on Underwritten NOI / NCF(1) 1.42x / 1.32x   TI/LC(3) $0 $12,369
Debt Yield Based on Underwritten NOI / NCF(1) 9.0% / 8.4%   Other(4) $34,750 $0
               
Sources and Uses
Sources $ %   Uses $ %  
Loan Amount $23,300,000 100.0%   Loan Payoff $15,319,316 65.7 %
  Principal Equity Distribution 6,805,078 29.2  
        Closing Costs 1,008,244 4.3  
        Reserves 167,363 0.7  
Total Sources $23,300,000 100.0%   Total Uses $23,300,000 100.0 %

 

 
(1)Based on amortizing debt service payments for the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan. Based on the current interest-only payments, the DSCR based on Underwritten NOI and Underwritten NCF are 1.82x and 1.69x, respectively.
(2)Replacement reserves are subject to a cap of $265,040. This cap does not apply during a trigger period. See “–Escrows” below.
(3)TI/LC reserves are subject to a cap of $742,112. This cap does not apply during a trigger period. See “–Escrows” below.
(4)Other upfront reserves represent a $34,750 deferred maintenance reserve. See “–Escrows” below.

 

The Mortgage Loan.  The mortgage loan (the “Woodlands Corporate Center and 7049 Williams Road Portfolio Loan”) is secured by a first mortgage encumbering the borrower’s fee interest in two office properties and one industrial flex property located in North Tonawanda, New York and Niagara Falls, New York, respectively (the “Woodlands Corporate Center and 7049 Williams Road Portfolio Properties”) except for the parcel identified on Annex A to the Free Writing Prospectus with the address of 3829 Forest Parkway, which is part of the Woodlands East Property and is a second lien position.  The Woodlands Corporate Center and 7049 Williams Road Portfolio Loan was originated on August 13, 2015 by MC-Five Mile Commercial Mortgage Finance LLC and represents approximately 2.7% of the Initial Pool Balance.  The Woodlands Corporate Center and 7049 Williams Road Portfolio Loan had an original principal balance of $23,300,000 and has an outstanding principal balance as of the Cut-off Date of $23,300,000.  The Woodlands Corporate Center and 7049 Williams Road Portfolio Loan accrues interest at an interest rate of 4.8700% per annum.  The proceeds of the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan were primarily used to refinance the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties.

 

The Woodlands Corporate Center and 7049 Williams Road Portfolio Loan had an initial term of 120 months and has a remaining term of 119 months as of the Cut-off Date. The Woodlands Corporate Center and 7049 Williams Road Portfolio Loan requires interest only payments for the first 36 payments following origination and, thereafter, requires payments of principal and interest based on a 30-year amortization schedule. The Woodlands Corporate Center and 7049 Williams Road Portfolio Loan scheduled maturity date is the due date in September 2025.

 

Provided that no event of default under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan is continuing, at any time after the second anniversary of the securitization Closing Date, the borrower has the right to defease the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan in full with certain non-callable direct full faith and credit obligations of the United States of America or other obligations which are “government securities” permitted under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan documents.  In addition, the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan is prepayable without penalty on or after June 6, 2025.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The Mortgaged Properties. The Woodlands Corporate Center and 7049 Williams Road Properties are comprised of two office properties and one flex property containing, in total, 212,032 SF. The Woodlands Corporate Center and 7049 Williams Portfolio Properties were built between 1999 and 2007 and are located in the Buffalo MSA. The Woodlands West Property is an office property containing a total of 104,060 SF, and is located in North Tonawanda, New York. The Woodlands East Property is an office property containing a total of 72,626 SF, and is located in North Tonawanda, New York. The 7049 Williams Road Property is a flex property containing a total of 35,346 SF, and is located in Niagara Falls, New York. As of August 3, 2015, the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties are 92.3% leased to 22 tenants.

 

The following table presents certain information relating to the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties:

 

Property Name

 

City

 

State

 

Allocated
Cut-off Date
Loan Amount

 

Total GLA

 

Occupancy(1)

 

Year Built / Renovated(2)

 

Appraised Value

 

UW NCF(3)

Woodlands West   North Tonawanda   New York   $9,835,000   104,060    84.4%   2000 / NAP   $14,500,000   -
Woodlands East   North Tonawanda   New York   8,507,000   72,626   100.0%   2007 / NAP   11,700,000   -
7049 Williams Road   Niagara Falls   New York   4,958,000   35,346   100.0%   1999 / NAP   7,000,000   -
Total / Wtd. Avg.           $23,300,000   212,032   92.3%       $33,200,000   $1,948,089

 

 
(1)Occupancy as of August 3, 2015.
(2)Year Built represents the earliest year for properties that were built in multiple years or multiple buildings.
(3)The properties were underwritten as a portfolio without a property-level breakout of NCF; releases of individual properties are prohibited.

 

The following table presents certain information relating to the major tenants at the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties:

 

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
Silipos   NR / NR / NR   35,346     16.7 %   $525,744     22.7   $14.87     1/31/2019   2, 5-year options
Calamar Construction   NR / NR / NR   24,176     11.4     409,094     17.7     16.92     3/31/2025   1, 5-year option
Dynisco Viatran   NR / NR / NR   17,878     8.4     171,269     7.4     9.58     4/22/2017   1, 7-year option
United Materials   NR / NR / NR   9,433     4.4     168,369     7.3     17.85     5/30/2017   2, 5-year options
Warren’s Carpet One (Big Bob’s)   NR / NR / NR   13,863     6.5     129,394     5.6     9.33     7/31/2016   2, 5-year options
Incom Mfg.   NR / NR / NR   16,203     7.6     96,408     4.2     5.95     4/30/2019   NA
Occidental Chemical   A / A2/ A   6,989     3.3     93,146     4.0     13.33     4/30/2018   NA
VNA   NR / NR / NR   14,164     6.7     91,665     4.0     6.47     7/31/2022   2, 5-year options
Heritage Christian   NR / NR / NR   6,119     2.9     84,655     3.7     13.83     1/31/2020   NA
Seton Imaging   NR/NR/NR   1,938     0.9     77,622     3.4     40.05     1/31/2018   2, 5-year options
Ten Largest Owned Tenants       146,109     68.9 %   $1,847,366     79.9 %    $12.64          
Remaining Owned Tenants       49,700     23.4     465,552     20.1     9.37          
Vacant Spaces (Owned Space)       16,223     7.7     0     0.0     0.00          
Total / Wtd. Avg. All Owned Tenants     212,032     100.0 %   $2,312,918     100.0 %    $10.91          

 

 
(1)Certain ratings are those of the parent company whether or not the parent guarantees the 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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The following table presents certain information relating to the lease rollover schedule for the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties, based on initial lease expiration dates:

 

Lease Expiration Schedule(1)

                                           
Year Ending
December 31,
  Expiring Owned
GLA(2)
  % 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  
2015   3,750     1.8     1.8%     24,000     1.0     6.40     1  
2016   23,349     11.0     12.8%     218,375     9.4     9.35     3  
2017   37,905     17.9     30.7%     460,832     19.9     12.16     5  
2018   22,200     10.5     41.1%     328,959     14.2     14.82     5  
2019   55,405     26.1     67.3%     644,715     27.9     11.64     3  
2020   14,860     7.0     74.3%     135,278     5.8     9.10     3  
2021   0     0.0     74.3%     0     0.0     0.00     0  
2022   14,164     6.7     80.9%     91,665     4.0     6.47     1  
2023   0     0.0     80.9%     0     0.0     0.00     0  
2024   0     0.0     80.9%     0     0.0     0.00     0  
2025   24,176     11.4     92.3%     409,094     17.7     16.92     1  
2026 & Thereafter   0     0.0     92.3%     0     0.0     0.00     0  
Vacant   16,223     7.7     100.0%     0     0.0     0.00     0  
Total / Wtd. Avg.   212,032     100.0 %         $2,312,918     100.0 %    $10.91     22  

 

 
(1)Calculated based on approximate square footage occupied by each Owned Tenant.
(2)Expiring Owned GLA represents physically occupied space as reported on the August 3, 2015 rent roll.

 

The following table presents certain information relating to historical leasing at the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties:

 

Historical Leased %(1)

 

 

 

2012

 

2013

 

2014

 

TTM 5/31/2015

Owned Space   90.9%   94.7%   93.6%   92.1%

 

 
(1)As provided by the borrower and reflects average occupancy for the indicated year unless otherwise specified.

  

The following table presents certain information relating to the historical average annual rent per occupied SF at the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties:

 

Historical Average Total Rent per Occupied SF(1)

 

 

 

2012

 

2013

 

2014

 

TTM 5/31/2015

Total Rent per SF (2)   $13.26   $13.11   $13.46   $13.41

 

 
(1)Total Rent per SF calculation is based on borrower provided rental figures and total occupied average square footage of 192,647 (2012), 200,696 (2013), 198,481 (2014), and 195,241 (TTM 5/31/2015).
(2)Total rent includes both base rent and 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request 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 Woodlands Corporate Center and 7049 Williams Road Portfolio Properties:

 

Cash Flow Analysis(1)

                                     
    2012   2013   2014   TTM 5/31/2015   Underwritten   Underwritten
$ per SF
Base Rent(2)   $2,554,304     $2,631,859     $2,670,869     $2,237,738     $2,312,918     $10.91  
Other Rental Revenue   0     0     0     0     0     0.00  
Gross Up Vacancy(3)   0     0     0     0     157,617     0.74  
Total Rent   $2,554,304     $2,631,859     $2,670,869     $2,237,738     $2,470,535     $11.65  
Total Reimbursables(4)   0     0     0     380,802     681,051     3.21  
Other Income   0     0     0     0     0     0.00  
Vacancy & Credit Loss   0     0     0     0     (252,127 )   (1.19
Effective Gross Income   $2,554,304     $2,631,859     $2,670,869     $2,618,540     $2,899,459     $13.67  
                                     
Total Operating Expenses   $489,600     $543,056     $573,572     $576,105     $802,289     $3.78  
                                     
Net Operating Income   $2,064,704     $2,088,803     $2,097,297     $2,042,435     $2,097,171     $9.89  
TI/LC   0     0     0     0     106,676     0.50  
Capital Expenditures   0     0     0     0     42,406     0.20  
Net Cash Flow   $2,064,704     $2,088,803     $2,097,297     $2,042,435     $1,948,089     $9.19  

 

 
(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)Underwritten base rent is based on the underwritten rent roll and includes rent steps through 2/28/2016.
(3)Vacancy & Credit Loss represents an economic vacancy of 8.0% of underwritten base rent and reimbursements.
(4)Total Reimbursables was included in base rent for 2012, 2013 and 2014.

 

Appraisal. As of the appraisal valuation date of April 27, 2015, the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties had an aggregate “as-is” appraised value of $33,200,000.

 

Environmental Matters. According to the Phase I environmental site assessments dated April 30, 2015, there were no evidence of any recognized environmental conditions at the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties.

 

Market Overview. The Woodlands Corporate Center and 7049 Williams Road Portfolio Properties are located in the Buffalo MSA and contain both office and flex space. As of the second quarter of 2015, the Buffalo office market had a vacancy rate of 9.8%, and a quoted market rent of $14.89 per SF. According to the appraiser, all three properties are in the Outlying Niagara submarket.

 

The Outlying Niagara submarket encompasses all of the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties. According to the appraisal, the estimated 2015 populations within a one-, three- and five-mile radius of the subject properties are 6,994, 47,044, and 113,366, respectively. According to the appraisal, estimated 2015 average household incomes within a one-, three and five-mile radius of the subject properties are $83,482, $68,981, and $67,744, respectively. According to a market report, the Outlying Niagara office submarket has an inventory of 1,626,415 SF across 167 buildings with an overall vacancy rate of 9.2%, a positive net absorption over the past 12 months of 12,263 SF, and an average asking rental rate for Outlying Niagara office submarket of $8.63 per SF. According to a market report, the Outlying Niagara flex submarket had an inventory of 213,608 SF across 14 buildings with an overall vacancy rate of 5.2% and an average asking rental rate of $8.94 per SF.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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WOODLANDS CORPORATE CENTER AND 7049 WILLIAMS ROAD PORTFOLIO

 

The Borrower. The borrower is Woodlands Realty Group, LLC, which is a Delaware limited liability company and single purpose entity. Legal counsel to the borrower delivered a non-consolidation opinion in connection with the origination of the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan. The organizational documents are required to at all times provide for at least one independent director.

 

Nicholas A. Sinatra, Anthony R. Nanula, Phillip J. Nanula, Steven V. Nanula, and Paul S. Nanula are the guarantors of certain non-recourse carveouts under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan. The Nanula family has been involved in Western New York real estate development and investment since the late 1980s through their ownership of the Wilson Farms convenience store chain and their ownership of Essex Home, a large-scale, regional residential development platform. Nicholas A. Sinatra owns and founded Sinatra & Company, a Western New York-based real estate investment firm. Since its inception, Sinatra & Company has acquired over 1,100 multifamily units and 670,000 SF of commercial space predominantly in Western New York and Southern California.

 

Escrows. The Woodlands Corporate Center and 7049 Williams Road Portfolio Loan documents provide for upfront escrows in the amount of $106,882 for real estate taxes, $34,750 for deferred maintenance, and $25,730 for insurance. The Woodlands Corporate Center and 7049 Williams Road Portfolio Loan documents provide for monthly escrows in the amount equal to one-twelfth of the amount the lender estimates will be required to pay taxes over the then succeeding 12-month period for real estate taxes, the amount equal to one-twelfth of the amount the lender estimates will be required to pay insurance over the then succeeding 12-month period for insurance, $4,417 for replacement reserves, and $12,369 for rollover reserves. Monthly deposits into the replacement reserve are suspended once the amount on deposit in the replacement reserve account equals or exceeds $265,040. Monthly deposits into the rollover reserve are suspended once the amount on deposit in the rollover reserve account equals or exceeds $742,112. These reserve caps do not apply during a Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Period.

 

Lockbox and Cash Management. The Woodlands Corporate Center and 7049 Williams Road Portfolio Loan is structured with a soft springing lockbox and springing cash management.  On the origination date, the borrower was required to set up an operating account into which all revenue generated by the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties is deposited (“Borrower’s Operating Account”) and to deliver tenant direction letters to the lender along with authorization to deliver such letters to all tenants upon the occurrence of any Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Period.  The Borrower’s Operating Account will remain under the control of the borrower until any Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Period occurs in which case the lender will deliver a shifting control notice to the Borrower’s Operating Account bank and the lender will assume control of the Borrower’s Operating Account.  Following the delivery of such notice, the funds in the Borrower’s Operating Account 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 Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Period, the related loan documents require that all amounts on deposit in the cash management account, after payment of debt service, approved operating expenses and funding of required monthly reserves be held by the lender as additional collateral for the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan.  During the continuance of an event of default under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan, the lender may apply any funds in the cash management account to amounts payable under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan and/or toward the payment of expenses of the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties, in such order of priority as the lender may determine.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

122
 

 

WOODLANDS CORPORATE CENTER AND 7049 WILLIAMS ROAD PORTFOLIO

 

“Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Period” under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan means a period commencing upon the occurrence and continuance of (a) an event of default under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan documents, (b) the debt service coverage ratio as calculated under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan documents being less than 1.15x for two consecutive calendar quarters, (c) the debt yield as calculated under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan documents being less than 7.5% for two consecutive calendar quarters, and/or (d) a Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease Event and expiring, as applicable, upon (i) the cure (if applicable) of such event of default, (ii) the debt service coverage ratio being equal to or greater than 1.15x for four consecutive calendar quarters, (iii) the debt yield being equal to or greater than 7.5% for four consecutive calendar quarters and (iv) a Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease Cure.

 

“Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease Event” with respect to each Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease, the occurrence of: (a) 30 days in arrears of rent payment, (b) any bankruptcy, receivership or similar action of such tenant, (c) such tenant has vacated its space, not timely opened for business pursuant to its lease or gone dark, or (d) such lease will expire in less than 1 year.

 

“Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease” means each of the Silipos and Calamar Construction leases.

 

“Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease Cure” means, (a) in the case of a Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease Event pursuant to clause (a) of the definition thereof, that the tenant under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease has been current in the payment of all rent for 90 days; and (b) in the case of a Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease Event pursuant to clause (b) of the definition thereof, that the tenant under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease has affirmed its lease, without amendment, and exited protection under such creditors’ rights law pursuant to a confirmed plan of reorganization (or the comparable provision under any creditors’ rights law other than the bankruptcy code); and (c) in the case of a Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease Event pursuant to clause (c) of the definition of thereof, that the tenant under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease is operating and open for business in substantially all of its space, for not less than 90 consecutive days; and (d) in the case of a Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease Event pursuant to clause (d) of the definition of thereof, that either (i) the tenant under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease has exercised the next renewal option available under its lease, or (ii) until the entire space demised by the tenant under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan Trigger Lease is leased to one or more new tenants, pursuant to one or more leases approved by 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

123
 

 

WOODLANDS CORPORATE CENTER AND 7049 WILLIAMS ROAD PORTFOLIO

 

Property Management. The Woodlands Corporate Center and 7049 Williams Road Portfolio Properties are managed by S&N Buffalo Properties Group, LLC, an affiliate of the borrower, pursuant to a management agreement. Under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan documents, the Woodlands Corporate Center and 7049 Williams Road Portfolio Properties may not be managed by any other party, except (a) property managers that are qualified managers pursuant to the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan documents, or (b) a management company approved by the lender to which a Rating Agency Confirmation has been received. The lender may require the borrower to replace the property manager if (i) a Woodlands Corporate Center and 7049 Williams Road Portfolio Trigger Period occurs and is continuing (ii) the debt service coverage ratio for the immediately preceding two calendar quarters is less than 1.00x, (iii) an event of default under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan occurs and is continuing, (iv) the property manager becomes bankrupt or insolvent or (iv) a material default by the property manager occurs under the management agreement beyond any applicable grace and cure periods.

 

Release of Collateral. Not permitted.

 

PILOT Program.  The borrower of the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan has entered into a payment in lieu of taxes (“PILOT”) agreement with the Niagara County Industrial Development Agency (“IDA”) under certain buildings at the Woodlands West Property and Woodlands East Property. To encourage the construction of the project, the IDA extended a partial tax abatement to the borrower for a period of 15 years. The PILOT agreements for certain buildings expire on 12/31/2015, 12/31/2017, 12/31/2018, 12/31/2020 and 12/31/2023. In structuring the PILOT benefits the borrower ground leased the subject properties to the IDA and the IDA subleased the properties back to the borrower. In addition, the IDA has taken a first mortgage lien against the parcel with the address of 3829 Forest Parkway at the Woodlands East Property and that lien currently has a zero balance but would secure unpaid PILOT taxes should any arise.

 

Mezzanine or Subordinate Indebtedness. Not permitted.

 

Terrorism Insurance. The property, liability and business interruption insurance coverage required to be maintained under the Woodlands Corporate Center and 7049 Williams Road Portfolio Loan documents is required to include coverage for losses due to acts of terrorism, including but not limited to, damage caused by war and the acts of terrorists, including nuclear, biological and/or chemical acts of terrorists, including both certified and non-certified acts of terrorists, both foreign and domestic acts of terrorists, in each case in an amount equal to 100% of the “full replacement cost”. See “Risk Factors—Terrorism Insurance May Be Unavailable or Insufficient” 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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125
 

 

615 ALPHA DRIVE

             
Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   MC-Five Mile
Location (City/State) Pittsburgh, Pennsylvania   Cut-off Date Principal Balance   $19,290,000
Property Type Industrial   Cut-off Date Principal Balance per SF   $58.90
Size (SF) 327,496   Percentage of Initial Pool Balance   2.3%
Total Occupancy as of 9/16/2015 97.9%   Number of Related Mortgage Loans   None
Owned Occupancy as of 9/16/2015 97.9%   Type of Security   Fee Simple
Year Built / Latest Renovation 1960 / 1980, 2010   Mortgage Rate   4.6820%
Appraised Value $25,900,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Period (Months)   24
      Borrower Sponsor(2) William Rudolph and Charles Perlow
           
Underwritten Revenues $2,593,601    
Underwritten Expenses $703,553   Escrows
Underwritten Net Operating Income (NOI) $1,890,048     Upfront Monthly
Underwritten Net Cash Flow (NCF) $1,788,867   Taxes $82,604 $27,535
Cut-off Date LTV Ratio 74.5%   Insurance $29,171 $3,241
Maturity Date LTV Ratio 63.9%   Replacement Reserve $420,000 $2,729
DSCR Based on Underwritten NOI / NCF(1) 1.58x / 1.49x   TI/LC(3) $0 $12,500
Debt Yield Based on Underwritten NOI / NCF 9.8% / 9.3%   Other $0 $0

             
Sources and Uses
Sources  $ %   Uses  $  %
Loan Amount $19,290,000 100.0%   Loan Payoff $16,216,301 84.1%
        Principal Equity Distribution 2,243,744 11.6
        Reserves 531,775 2.8
        Closing Costs 298,180 1.5
Total Sources $19,290,000 100.0%   Total Uses $19,290,000 100.0%

 

 
(1)Based on amortizing debt service payments for the 615 Alpha Drive Loan. Based on the current interest only payments, the DSCR based on Underwritten NOI and Underwritten NCF are 2.06x and 1.95x, respectively.

(2)William Rudolph and Charles Perlow are the guarantors of the non-recourse carveout under the 615 Alpha Drive Loan.

(3)TI/LC reserves are capped at $700,000.

 

The following table presents certain information relating to the major tenants at the 615 Alpha Drive Property:

 

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

Benshaw, Inc   NR / NR / NR   183,295     56.0 %   $1,367,381     67.8 %   $7.46     11/30/2019   2, 5-year options(2)
Keystone Automotive   NR / Ba2 / BB+   79,262     24.2     404,236     20.0     5.10     4/30/2019   1, 5-year option
Trufood Mfg. Inc.   NR / NR / NR  

58,000

   

17.7

   

246,504

   

12.2

   

4.25

    7/31/2020   1, 5-year option
Largest Owned Tenants   320,557     97.9 %   $2,018,121     100.0 %   $16.81          
Remaining Owned Tenants   0     0.0     0     0.0     0.00          
Vacant Space (Owned Space)  

6,939

   

2.1

   

0

   

0.0

   

0.00

         
Total / Wtd. Avg. All Owned Tenants   327,496     100.0 %   $2,018,121     100.0 %   $16.81          

 

 

(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.

(2)If Benshaw, Inc exercises its renewal option, the tenant will receive an improvement allowance of approximately $691,000 ($3.77 per SF). Upon the renewal of the Benshaw, Inc lease, the borrower is required to deliver a letter of credit equal to $691,000 less an amount to be determined based on the balance in the rollover reserve account and certain other conditions.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

126
 

 

615 ALPHA DRIVE

 

The following table presents certain information relating to the lease rollover schedule at the 615 Alpha Drive 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  
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   262,557     80.2     80.2%     1,771,617     87.8     6.75     2  
2020   58,000     17.7     97.9%     246,504     12.2     4.25     1  
2021   0     0.0     97.9%     0     0.0     0.00     0  
2022   0     0.0     97.9%     0     0.0     0.00     0  
2023   0     0.0     97.9%     0     0.0     0.00     0  
2024   0     0.0     97.9%     0     0.0     0.00     0  
2025   0     0.0     97.9%     0     0.0     0.00     0  
2026 & Thereafter   0     0.0     97.9%     0     0.0     0.00     0  
Vacant  

6,939

   

2.1

    100.0%    

0

   

0.0

   

0.00

   

0

 
Total / Wtd. Avg.   327,496     100.0 %         $2,018,121     100.0 %   $6.16     3  

 

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

 

 

The following table presents certain information relating to historical leasing at the 615 Alpha Drive Property:

 

Historical Leased %(1)

 

 

 

2012 

 

2013 

 

2014

 

As of 9/16/2015

Owned Space   80.2%   80.2%   80.2%   97.9%

 

 

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

 

nOperating 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 615 Alpha Drive Property:

 

Cash Flow Analysis(1) 

                                     

 

2012

 

2013

 

2014

 

TTM 6/30/2015

 

Underwritten

 

Underwritten
$ per SF

Base Rent   $1,660,154     $1,660,154     $1,690,290     $1,741,068     $2,018,121     $6.16  
Other Rental Revenue   3,532     1,976     1,201     2,941     0     0.00  
Gross Up Vacancy  

0

   

0

   

0

   

0

   

52,043

   

0.16

 
Total Rent   $1,663,686     $1,662,130     $1,691,491     $1,744,009     $2,070,164     $6.32  
Total Reimbursables   507,816     469,603     504,160     504,006     659,943     2.02  
Vacancy & Credit Loss(2)  

0

   

0

   

0

   

0

   

(136,505

)  

(0.42

)
Effective Gross Income   $2,171,502     $2,131,732     $2,195,651     $2,248,015     $2,593,601     $7.92  
                                     
Total Operating Expenses  

$585,999

   

$598,805

   

$606,226

   

$658,710

   

$703,553

   

$2.15

 
                                     
Net Operating Income   $1,585,503     $1,532,928     $1,589,425     $1,589,305     $1,890,048     $5.77  
TI/LC   0     0     0     0     68,431     0.21  
Capital Expenditures  

0

   

0

   

0

   

0

   

32,750

   

0.10

 
Net Cash Flow   $1,585,503     $1,532,928     $1,589,425     $1,589,305     $1,788,867     $5.46  

 

 

(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)Vacancy & Credit Loss represents an economic vacancy of 5.0% of underwritten base rent and 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

127
 

 

DOUBLETREE HOTEL UNIVERSAL

               
Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   GSMC
Location (City/State) Orlando, Florida   Cut-off Date Principal Balance(4)   $18,500,000
Property Type Hospitality   Cut-off Date Principal Balance per Room(2) $68,733.15
Size (Rooms) 742   Percentage of Initial Pool Balance   2.2%
Total TTM Occupancy as of 7/31/2015 85.2%   Number of Related Mortgage Loans   None
Owned TTM Occupancy as of 7/31/2015 85.2%   Type of Security Fee Simple
Year Built / Latest Renovation 1972 / 2007-2008   Mortgage Rate   4.9000%
Appraised Value $76,000,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Term (Months) NAP
      Borrower Sponsors(5)

Sagicor Real Estate X Fund Limited

and X Fund Properties Limited

Underwritten Revenues $29,931,491    
Underwritten Expenses $21,890,963    
Underwritten Net Operating Income (NOI) $8,040,528   Escrows
Underwritten Net Cash Flow (NCF) $6,843,268     Upfront Monthly
Cut-off Date LTV Ratio(1)(2) 57.0%   Taxes $548,750 $68,594
Maturity Date LTV Ratio(2)(3) 41.4%   Insurance $0 $0
DSCR Based on Underwritten NOI / NCF(2) 2.48x / 2.11x   FF&E $0 $98,485
Debt Yield Based on Underwritten NOI / NCF(2) 15.8% / 13.4%   Other(6) $13,535,281 $0

             
Sources and Uses
Sources $ %   Uses $ %
Whole Loan Amount $51,000,000 57.0%   Purchase Price $75,000,000 83.8%
Principal’s New Cash Contribution 38,519,818 43.0   Reserves 14,084,031 15.7
        Closing Costs 435,786  0.5
             
Total Sources $89,519,818 100.0%   Total Uses $89,519,818 100.0%

 

 

(1)The Cut-off Date LTV Ratio calculated based on the $76,000,000 “as-is” appraised value plus a $13,457,731 property improvement plan (“PIP”) reserve for capital improvements valued in the appraisal at $15,800,000 upon completion. The Cut-off Date LTV Ratio calculated based on the “as-is” appraised value without the PIP reserve is 67.1%.

(2)Calculated based on the aggregate balance of the DoubleTree Hotel Universal whole loan.

(3)The Maturity Date LTV Ratio is calculated utilizing the “as stabilized” appraised value of $101,000,000. The Maturity Date LTV Ratio calculated based on the “as-is” appraised value plus the PIP reserve ($89,457,731) is 46.7% and the Maturity Date LTV Ratio calculated based on the “as-is” appraised value of $76,000,000 is 55.0%.

(4)The Cut-off Date Principal Balance of $18,500,000 represents note A-1 of a $51,000,000 whole loan evidenced by two pari passu notes. The companion loan, evidenced by note A-2 with a principal balance of $32,500,000, is expected to be contributed to a future securitization transaction.

(5)Sagicor Real Estate X Fund Limited and X Fund Properties Limited are the non-recourse carveout guarantors under the DoubleTree Hotel Universal Loan.

(6)Other upfront reserve represents a PIP reserve ($13,457,731) and a deferred maintenance reserve ($77,550).

 

2014 Accommodated Room Night Demand(1)

 

Property

 

Meeting and Group

 

Leisure

 

Corporate 

DoubleTree Hotel Universal   26.0%   20.0%   54.0%

 

 
(1)Source: Appraisal.

 

The following table presents certain information relating to the penetration rates relating to the DoubleTree Hotel Universal Property and various market segments, as provided in the July 2015 travel research report:

 

Penetration Rates(1)

 

 

Occupancy

 

ADR

 

RevPAR 

TTM July 2015   116.6%   93.8%   109.4%
TTM July 2014   110.7%   95.6%   105.8%
TTM July 2013   125.9%   102.5%   129.0%

 

 
(1)Source: July 2015 travel research report.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

128
 

 

DOUBLETREE HOTEL UNIVERSAL

 

The following table presents certain information relating to historical occupancy, ADR and RevPAR at the DoubleTree Hotel Universal Property:

 

DoubleTree Hotel Universal Property(1)

 

 

 

2013

 

2014

 

TTM 7/31/2015

Occupancy   74.4%   82.4%   85.2%
ADR   $89.67   $87.38   $91.75
RevPAR   $66.68   $71.99   $78.19

 

 

(1)As provided by the borrower and represents averages for the indicated periods.

  

nOperating History and Underwritten Net Cash Flow. The following table presents certain information relating to the historical operating performance and the Underwritten Net Cash Flow for the DoubleTree Hotel Universal Property:

 

Cash Flow Analysis(1)

                               
   

2013

 

2014 

 

TTM 7/31/2015 

 

Underwritten 

 

Underwritten
$ per Room 

Rooms Revenue   $18,059,648     $19,496,950     $21,177,297     $21,177,297     $28,541  
Food & Beverage Revenue   5,208,988     5,572,623     6,636,446     6,636,446     8,944  
Telephone Revenue   82,838     57,099     43,391     43,391     58  
Other Revenue(2)  

1,598,997

   

2,006,682

   

2,074,357

   

2,074,357

   

2,796

 
Total Revenue   $24,950,471     $27,133,354     $29,931,491     $29,931,491     $40,339  
                               
Room Expense   $5,418,095     $6,013,737     $6,242,974     $6,242,974     $8,414  
Food & Beverage Expense   3,497,525     3,682,393     4,416,674     4,416,674     5,952  
Telephone Expense   215,144     191,793     106,437     106,437     143  
Other Expense  

521,093

   

630,613

   

637,596

   

637,596

   

859

 
Total Departmental Expense   $9,651,857     $10,518,536     $11,403,681     $11,403,681     $15,369  
Total Undistributed Expense   8,585,107     8,689,402     9,031,832     9,319,816     12,560  
Total Fixed Expense  

1,794,041

   

1,700,672

   

1,632,071

   

1,167,466

   

1,573

 
Total Operating Expenses   $20,031,005     $20,908,610     $22,067,584     $21,890,963     $29,503  
                               
Net Operating Income   $4,919,466     $6,224,744     $7,863,907     $8,040,528     $10,836  
FF&E  

998,019

   

1,085,334

   

1,197,260

   

1,197,260

   

1,614

 
Net Cash Flow   $3,921,447     $5,139,410     $6,666,647     $6,843,268     $9,223  

  

 

(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 valet and daily parking, movie rentals, cancellation/attrition and other miscellaneous revenue.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

129
 

REGALIA MANSFIELD/DOLCE

 

Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   MC-Five Mile
Location (City/State) Mansfield, Texas   Cut-off Date Principal Balance   $17,050,000
Property Type Multifamily   Cut-off Date Principal Balance per Unit $110,714.29
Size (Units) 154   Percentage of Initial Pool Balance   2.0%
Total Occupancy as of 6/30/2015 97.4%   Number of Related Mortgage Loans   None
Owned Occupancy as of 6/30/2015 97.4%   Type of Security   Fee Simple
Year Built / Latest Renovation 2014 / NAP   Mortgage Rate   4.6900%
Appraised Value $27,030,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Period (Months)   36
      Borrower Sponsor(1) Ruslan Krivoruchko
       
Underwritten Revenues $2,401,824   Escrows
Underwritten Expenses $1,082,605        
Underwritten Net Operating Income (NOI) $1,319,219     Upfront Monthly
Underwritten Net Cash Flow (NCF) $1,280,719   Taxes $375,607 $46,951
Cut-off Date LTV Ratio 63.1%   Insurance 14,195 $4,732
Maturity Date LTV Ratio 55.5%   Replacement Reserve(2) $0 $3,208
DSCR Based on Underwritten NOI / NCF 1.24x / 1.21x   TI/LC $0 $0
Debt Yield Based on Underwritten NOI / NCF 7.7% / 7.5%   Other(3) $500,000 $0

           
Sources and Uses
Sources $ % Uses  $ %
Loan Amount $17,050,000 100.0% Loan Payoff $11,456,787 67.2%
      Principal Equity Distribution 2,420,573 14.2
      Closing Costs 2,282,838 13.4
      Reserves 889,802 5.2
           
Total Sources $17,050,000 100.0% Total Uses $17,050,000 100.0%

 

 

(1)Ruslan Krivoruchko is the guarantor of the non-recourse carve-outs under the Regalia Mansfield/Dolce Loan.

(2)The Replacement Reserve is capped at $115,500.

(3)Other reserve includes a $500,000 debt yield holdback reserve.

 

The following table presents certain information relating to the units and rent at the Regalia Mansfield/Dolce Property:

                                 
Unit Type   Occupied
Units
  Vacant Units   Total Units   Average SF
per Unit
  Monthly
Market Rent
per Unit(1)
  Monthly Actual Rent per Unit(2)   Annual Actual Rent(2)
1 Bed / 1 Bath (A)   78   1   79   774     $1,042   $1,015   $950,247  
2 Bed / 2 Bath (B)   60   3   63   1,116     $1,476   $1,401   1,008,615  
3 Bed / 2 Bath (C)   12   0   12   1,390     $1,880   $1,727   248,745  
Total / Wtd. Avg.   150   4   154   962     $1,285   $1,226   $2,207,607  

 

 

(1) Source: Appraisal

(2) As provided by the borrower per the 6/30/2015 rent roll.

 

The following table presents certain information relating to historical leasing at the Regalia Mansfield/Dolce Property:

 

Historical Leased %(1) (2)

 

As of 6/30/2015

97.4%

 

 

(1)As provided by the borrower and represents occupancy as of June 30, 2015.

(2)Historical leased figures were unavailable as the Regalia Mansfield/Dolce Property was constructed in phases between June 2014 and February 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

130
 

 

REGALIA MANSFIELD/DOLCE

 

nOperating History and Underwritten Net Cash Flow. The following table presents certain information relating to the Underwritten Net Cash Flow at the Regalia Mansfield/Dolce Property:

 

Cash Flow Analysis(1)(2)

         
    Underwritten(3)   Underwritten
$ per Unit
Base Rent   $2,207,607   $14,335
Gross Up Vacancy  

156,801

 

1,018

Gross Potential Rent   $2,364,408   $15,353
Vacancy, Credit Loss & Concessions  

(230,184)

 

(1,495)

Total Rent   $2,134,224   $13,859
Other Income(4)  

267,600

 

1,738

Effective Gross Income   $2,401,824   $15,596
         
Real Estate Taxes   $546,914   $3,551
Insurance   55,127   358
Management Fee   84,064   546
Other Expenses  

396,500

 

2,575

Total Operating Expenses   $1,082,605   $7,030
         
Net Operating Income   $1,319,219   $8,566
Replacement Reserves  

38,500

 

250

Net Cash Flow   $1,280,719   $8,316

 

 

(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)Historical operating statements were unavailable as the Regalia Mansfield/Dolce Property was constructed in phases between June 2014 and February 2015.

(3)Underwritten cash flow is based on the 6/30/2015 rent roll.

(4)Other Income consists of utility, water, trash reimbursements, garage income, pet fees, termination income, laundry, forfeited deposits, and other 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

131
 

 

LAKE FREDRICA SHOPPING CENTER

 

Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   CCRE
Location (City/State) Orlando, Florida   Cut-off Date Principal Balance   $16,000,000
Property Type Retail   Cut-off Date Principal Balance per SF   $179.20
Size (SF) 89,285   Percentage of Initial Pool Balance   1.9%
Total Occupancy as of 8/13/2015 96.4%   Number of Related Mortgage Loans   None
Owned Occupancy as of 8/13/2015 96.4%   Type of Security   Fee Simple
Year Built / Latest Renovation 1988 / 2016   Mortgage Rate   5.0040%
Appraised Value(1) $22,800,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Period (Months) 12
      Borrower Sponsor(2) Thomas J. Cannon III
       
Underwritten Revenues $1,795,517    
Underwritten Expenses $457,670   Escrows
Underwritten Net Operating Income (NOI) $1,337,847     Upfront Monthly
Underwritten Net Cash Flow (NCF) $1,313,820   Taxes $145,750 $13,250
Cut-off Date LTV Ratio(1) 70.2%   Insurance $25,513 $4,252
Maturity Date LTV Ratio(1) 59.2%   Replacement Reserve $0 $546
DSCR Based on Underwritten NOI / NCF 1.30x / 1.27x   TI/LC $0 $1,456
Debt Yield Based on Underwritten NOI / NCF 8.4% / 8.2%   Other(3) $6,316,490 $0

           
Sources and Uses
Sources $ % Uses $ %
Loan Amount $16,000,000 100.0% Loan Payoff $9,125,425 57.0%
      Reserves 6,487,752  40.5
      Closing Costs 386,823 2.4
           
Total Sources $16,000,000 100.0% Total Uses $16,000,000 100.0%

 

 

(1)The Cut-Off Date LTV Ratio and Maturity Date LTV Ratio are calculated utilizing the “as stabilized” appraised value of $22,800,000. The Cut-Off Date LTV Ratio and Maturity Date LTV Ratio, calculated on the basis of the “as-is” appraised value of $15,525,000 is 103.1% and 87.0%, respectively. The “as stabilized” value assumes the development of a new Publix store space as well as an additional 1,600 SF retail suite. At origination, the borrower deposited $6,316,490 into a reserve account earmarked for the redevelopment of the Publix space, as well as various other capital improvements. Additionally, the Borrower Sponsor executed a completion guaranty, in which he guaranteed the redevelopment of the space on or before October 11, 2016. On October 29th, 2014, Publix executed a new lease that includes the construction of a new 45,600 SF store; the lease expires on 11/1/2036 with seven, 5-year renewal options.

(2)Thomas J. Cannon III is the guarantor of the non-recourse carveouts under the Lake Fredrica Shopping Center Loan.

(3)At origination, the borrower deposited $6,316,490 into a reserve account related to the redevelopment of the Publix space, as well as various other capital improvements.

 

The following table presents certain information relating to the major tenants (of which, certain tenants may have co-tenancy provisions) at the Lake Fredrica Shopping 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 

 

Tenant Sales $ per SF 

 

Occupancy Cost 

 

Renewal /
Extension
Options
 

Publix(2)   NR / NR / NR   45,600   51.1%   $615,600   46.2%   $13.50   11/1/2036   NA   NA   7, 5-year options
Own It Now   NR / NR / NR   5,250   5.9   86,625   6.5   16.50   9/30/2017   NA   NA   NA
Petland   NR / NR / NR   4,875   5.5   71,906   5.4   14.75   11/30/2019   NA   NA   NA
Payless Shoesource   NR / NR / NR   2,913   3.3   51,696   3.9   17.75   7/31/2018   NA   NA   1, 5-year option
Value Dollar Store   NR / NR / NR   2,800   3.1   46,200   3.5   16.50   8/31/2016   NA   NA   NA
Canastilla Kids   NR / NR / NR   2,447   2.7   42,000   3.2   17.16   12/31/2015   NA   NA   NA
Cheng’s Chinese Restaurant   NR / NR / NR   1,933    2.2   41,560    3.1   21.50   6/30/2016   NA   NA   1, 5-year option
Napoli’s Italian Pizza   NR / NR / NR   2,250   2.5   40,500   3.0   18.00   2/28/2019   NA   NA   2, 5-year options
Spring Communications (AT&T)   NR / NR / NR   2,067   2.3   39,273   2.9   19.00   5/31/2019   NA   NA   1, 5-year option
Easy Clean Laundry   NR / NR / NR   2,400    2.7   33,000    2.5   13.75   6/30/2017   NA   NA   1, 5-year option
Ten Largest Owned Tenants      

72,535

 

81.2%

 

$1,068,360

 

80.1%

 

$14.73

               
Remaining Owned Tenants       13,550   15.2   264,686   19.9   19.53                
Vacant Spaces (Owned Space)       3,200   3.6   0   0.0   0.00                
Total / Wtd. Avg. All Owned Tenants      

89,285

 

100.0%

 

$1,333,046

 

100.0%

 

$15.49

               

 

 

(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.

(2)Publix currently occupies approximately 56,000 SF. The space occupied by the Publix will undergo redevelopment starting March 2016. Upon completion of the renovation, Publix will occupy approximately 45,600 SF. $6,316,490 was reserved at origination for the payment of the costs of replacements and repairs in connection with such redevelopment. The guarantor has guaranteed the completion of such redevelopment and the loan is full recourse to the guarantor if the Publix lease is terminated due to borrower’s failure to complete such redevelopment in accordance with the terms of the 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

132
 

  

LAKE FREDRICA SHOPPING CENTER

 

The following table presents certain information relating to the lease rollover schedule at the Lake Fredrica Shopping 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   $0     0.0 %   0.0%     $0     0.0 %   $0.00     0  
2015   2,447     2.7     2.7%     42,000     3.2     17.16     1  
2016   10,058     11.3     14.0%     185,815     13.9     18.47     6  
2017   10,450     11.7     25.7%     169,625     12.7     16.23     4  
2018   2,913     3.3     29.0%     51,696     3.9     17.75     1  
2019   14,617     16.4     45.3%     268,310     20.1     18.36     7  
2020   0     0.0     45.3%     0     0.0     0.00     0  
2021   0     0.0     45.3%     0     0.0     0.00     0  
2022   0     0.0     45.3%     0     0.0     0.00     0  
2023   0     0.0     45.3%     0     0.0     0.00     0  
2024   0     0.0     45.3%     0     0.0     0.00     0  
2025 & Thereafter   45,600     51.1     96.4%     615,600     46.2     13.50     1  
Vacant   3,200     3.6     100.0%    

0

   

0.0

   

0.00

   

0

 
Total / Wtd. Avg.  

89,285

   

100.0

%         $1,333,046     100.0%     $15.49     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 Lake Fredrica Shopping Center Property.

 

Historical Leased %(1)

 

 

 

2010 

 

2011 

 

2012 

 

2013 

 

2014 

 

TTM 8/13/2015 

Owned Space   97.0%   100.0%   100.0%   100.0%   100.0%   96.4%

 

 

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

 

nOperating 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 Lake Fredrica Shopping Center Property:

 

Cash Flow Analysis(1)

 

 

2012

 

2013

 

2014

 

Underwritten(3)

 

Underwritten

$ per SF

Base Rent(2) $1,007,116     $1,065,144     $1,049,588     $1,333,046     $14.93  
Gross Up Vacancy

0

   

0

   

0

   

64,000

   

0.72

 
Total Rent $1,007,116     $1,065,144     $1,049,588     $1,397,046     $15.65  
Total Reimbursables 382,093     377,860     412,741     411,903     4.61  
Other Income 1,364     14,558     30,822     30,822     0.35  
Vacancy & Credit Loss 0     0     0     (44,254 )   (0.50 )
Effective Gross Income

$1,390,573

   

$1,457,562

   

$1,493,150

   

$1,795,517

   

$20.11

 
                             
Total Operating Expenses

$395,174

   

$434,080

   

$453,919

   

$457,670

   

$5.13

 
                             
Net Operating Income $995,399     $1,023,482     $1,039,231     $1,337,847     $14.98  
TI/LC 0     0     0     17,474     0.20  
Capital Expenditures

0

   

0

   

0

   

6,553

   

0.07

 
Net Cash Flow $995,399     $1,023,482     $1,039,231     $1,313,820     $14.71  

 

 

(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)Underwritten Base Rent is based on contractual rents as of August 13, 2015 and rent steps through December 31, 2016.

(3)The increase from 2014 Net Cash Flow to Underwritten Net Cash Flow is primarily due to annual rent steps as well as the Publix post-renovation lease terms.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

133
 

 

WESTLAKE CENTER

 

Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   GSMC
Location (City/State) Blue Ash, Ohio   Cut-off Date Principal Balance   $14,940,000
Property Type Office   Cut-off Date Principal Balance per SF   $82.73
Size (SF) 180,578   Percentage of Initial Pool Balance   1.8%
Total Occupancy as of 8/1/2015(1) 85.3%   Number of Related Mortgage Loans(3)   2
Owned Occupancy as of 8/1/2015(1) 85.3%   Type of Security   Fee Simple/Leasehold
Year Built / Latest Renovation 1985 / NAP   Mortgage Rate   4.4990%
Appraised Value $17,650,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Period (Months)   36
      Borrower Sponsor(4) Blue Ash Deerfield Holdings, LLC
Underwritten Revenues $3,293,825        
Underwritten Expenses $1,532,658   Escrows
Underwritten Net Operating Income (NOI) $1,761,166     Upfront Monthly
Underwritten Net Cash Flow (NCF) $1,558,231   Taxes $0 $0
Cut-off Date LTV Ratio(2) 73.5%   Insurance $0 $0
Maturity Date LTV Ratio(2) 64.4%   Replacement Reserve $0 $4,326
DSCR Based on Underwritten NOI / NCF 1.94x / 1.72x   TI/LC(5) $0 $14,583
Debt Yield Based on Underwritten NOI / NCF 11.8% / 10.4%   Other(6) $2,771,513 $0

 

Sources and Uses
Sources $ %   Uses $ %
Loan Amount $14,940,000 75.1%   Purchase Price $16,950,000 85.2%
Principal’s New Cash Contribution 4,945,869 24.9   Reserves 2,771,513 13.9
        Closing Costs 164,356 0.8
             
Total Sources $19,885,869 100.0%   Total Uses $19,885,869 100.0%

 

 
(1)Total Occupancy and Owned Occupancy include 16,002 SF of space for Cassady, Schiller & Associates ($11.22 underwritten base rent per SF) which has executed a lease and taken occupancy and is expected to begin paying rent in March 2016. We cannot assure you that this tenant will begin paying rent as expected or at all. Total Occupancy and Owned Occupancy excluding the tenant described above are both 76.5%.
(2)The Cut-off Date LTV Ratio and Maturity Date LTV Ratio are each calculated based on the “as-is” appraised value of $17,650,000 plus a $2,667,000 capital deduction (for which the borrower reserved $2,667,000) related to planned capital projects. The Cut-off Date LTV Ratio and the Maturity Date LTV Ratio calculated without adjusting for the capital deduction are 84.6% and 74.1%, respectively.
(3)The indirect owner of the borrower is also the indirect owner of the borrower for the Pfeiffer Woods Loan.
(4)Blue Ash Deerfield Holdings, LLC is the borrower sponsor and non-recourse carveout guarantor under both the Westlake Center Loan and the Pfeiffer Woods Loan.
(5)The TI/LC reserve is capped at $500,000.
(6)Other upfront reserve represents unfunded obligations related to deferred maintenance ($2,667,000), outstanding free rent ($96,179), landlord obligations ($5,485) and leasing commissions ($2,850).

 

The following table presents certain information relating to the major tenants at the Westlake Center 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

Comptroller of Currency   AAA / Aaa / AA+   11,366   6.3%   $263,464   13.8%   $23.18   1/31/2017   1, 5-year option
Blue Chip Technology, Inc.   NR / NR / NR   19,023   10.5   224,471   11.8   11.80   (2)   2, 5-year options
Cassady, Schiller & Associates(3)   NR / NR / NR   16,002   8.9   179,542   9.4   11.22   7/31/2025   1, 5-year option
RoundTower Technologies, Inc.   NR / NR / NR   13,211   7.3   108,991   5.7   8.25   1/31/2017   NA
Principal Life Insurance Co.   NR / NR/ A+   8,553   4.7   101,268   5.3   11.84   11/30/2020   1, 5-year option
Black & Veatch Corporation   NR / NR / NR   7,083   3.9   86,271   4.5   12.18   5/31/2016   1, 5-year option
Big Heart Pet Brands   NR / NR / NR   7,329   4.1   82,964   4.3   11.32   2/29/2016   1, 3-year option
TCAA II, Inc.(4)   NR / NR / NR   5,485   3.0   67,904   3.6   12.38   8/31/2018   NA
Cuni, Rust & Strenk, Inc.(5)   NR / NR / NR   5,835   3.2   65,994   3.5   11.31   11/30/2019   1, 5-year option
Keyence Corporation of America   NR / NR / NR  

4,485

 

2.5

 

64,225

 

3.4

 

14.32

  12/17/2018   1, 5-year option
Ten Largest Tenants       98,372   54.5%   $1,245,095   65.2%   $12.66        
Remaining Tenants       55,733   30.9   664,267   34.8   11.92        
Vacant      

26,473

 

14.7

 

0

 

0.0

 

0.00

       
Totals / Wtd. Avg. Tenants       180,578   100.0%   $1,909,362   100.0%   $12.39        

 

 

(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.
(2)Blue Chip Technology, Inc. has two separate lease expirations, including 14,976 SF of space ($11.80 UW base rent per SF) expiring December 31, 2020 and 4,047 SF of space ($11.80 UW base rent per SF) expiring November 30, 2016.
(3)Cassady, Schiller & Associates has signed a lease and taken occupancy and is expected to begin paying rent in March 2016. We cannot assure you that the tenant will begin paying rent as expected or at all.
(4)TCAA II, Inc. may terminate its lease effective August 31, 2016 with five months’ written notice for a termination fee of $15,769.
(5)Cuni, Rust & Strenk, Inc. may terminate its lease effective November 30, 2017 with written notice on or before May 31, 2017 for a termination fee of $115,393.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

134
 

 

WESTLAKE CENTER

 

The following table presents certain information relating to the lease rollover schedule at the Westlake 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
Leases

MTM   0   0.0%   0.0%   $0   0.0%   $0.00   0
2015   996   0.6   0.6%   12,988   0.7   13.04   1
2016   44,911   24.9   25.4%   540,895   28.3   12.04   12
2017   28,231   15.6   41.1%   409,055   21.4   14.49   7
2018   19,295   10.7   51.7%   236,095   12.4   12.24   6
2019   19,493   10.8   62.5%   234,641   12.3   12.04   5
2020   25,177   13.9   76.5%   296,145   15.5   11.76   4
2021   0   0.0   76.5%   0   0.0   0.00   0
2022   0   0.0   76.5%   0   0.0   0.00   0
2023   0   0.0   76.5%   0   0.0   0.00   0
2024   0   0.0   76.5%   0   0.0   0.00   0
2025   16,002   8.9   85.3%   179,542   9.4   11.22   1
2026 & Thereafter   0   0.0   85.3%   0   0.0   0.00   0
Vacant  

26,473

 

14.7

  100.0%  

0

 

0.0

 

0.00

 

0

Total / Wtd. Avg.   180,578   100.0%       $1,909,362   100.0%   $12.39   36

 

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

 

The following table presents certain information relating to historical occupancy at the Westlake Center Property:

 

Historical Leased %(1)

 

2012

 

2013

 

2014

 

As of
8/1/2015(2)

88.9%   79.0%   75.8%   85.3%

 

 

(1)As provided by the borrower and reflects average occupancy for the indicated year ended December 31 unless specified otherwise.
(2)Occupancy as of 8/1/2015 includes 16,002 SF of space for Cassady, Schiller & Associates which has executed a lease and taken occupancy and is expected to begin paying rent in March 2016. We cannot assure you that this tenant will begin paying rent as expected or at all. Occupancy excluding Cassady, Schiller & Associates is 76.5%.

  

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 Westlake Center Property:

 

Cash Flow Analysis(1)

 

 

 

 

2012 

 

2013 

 

2014 

 

TTM 7/31/2015 

 

Underwritten(2) 

 

Underwritten
$ per SF 

Base Rent   $1,585,068   $1,718,455   $1,723,582   $1,666,535   $1,909,362   $10.63
Gross Up Vacancy  

0

 

0

 

0

 

0

 

556,992

 

3.08

Total Rent   $1,585,068   $1,718,455   $1,723,582   $1,666,535   $2,466,354   $13.66
Total Reimbursables   1,264,848   1,250,565   1,271,774   1,200,750   1,291,567   7.15
Other Income   34,279   44,129   68,924   150,670   95,939   0.53
Less Vacancy & Credit Loss  

(6,461)

 

0

 

270

 

(260)

 

(560,035)

 

(3.10)

Effective Gross Income   $2,877,734   $3,013,149   $3,064,550   $3,017,695   $3,293,825   $18.24
                         
Total Operating Expenses  

$1,496,110

 

$1,522,400

 

$1,539,649

 

$1,479,289

 

$1,532,658

 

$8.49

                         
Net Operating Income   $1,381,624   $1,490,749   $1,524,901   $1,538,405   $1,761,166   $9.75
TI/LC   0   0   0   0   151,019   0.84
Capital Expenditures  

0

 

0

 

0

 

0

 

51,916

 

0.29

Net Cash Flow   $1,381,624   $1,490,749   $1,524,901   $1,538,405   $1,558,231   $8.63

 

 

(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 August 1, 2015 and contractual rent steps through October 31, 2016.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

135
 

 

CHURCH LANE SHOPPING CENTER

 

             
Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   GSMC
Location (City/State) Cockeysville, Maryland   Cut-off Date Principal Balance   $14,625,000
Property Type Retail   Cut-off Date Principal Balance per SF   $152.75
Size (SF) 95,742   Percentage of Initial Pool Balance   1.7%
Total Occupancy as of 8/1/2015 96.2%   Number of Related Mortgage Loans   None
Owned Occupancy as of 8/1/2015 96.2%   Type of Security   Fee Simple
Year Built / Latest Renovation 1965, 1981, 1987, 1995 / NAP   Mortgage Rate   4.6000%
Appraised Value $21,000,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Term (Months) 36
      Borrower Sponsor(1) Richard E. Rotner
       
Underwritten Revenues $1,618,571    
Underwritten Expenses $384,088     Escrows  
Underwritten Net Operating Income (NOI) $1,234,483     Upfront Monthly
Underwritten Net Cash Flow (NCF) $1,162,914   Taxes $0 $0
Cut-off Date LTV Ratio 69.6%   Insurance $0 $0
Maturity Date LTV Ratio 61.1%   Replacement Reserve(2) $172,335 $2,595
DSCR Based on Underwritten NOI / NCF 1.37x / 1.29x   TI/LC(3) $0 $8,333
Debt Yield Based on Underwritten NOI / NCF 8.4% / 8.0%   Other(4) $274,463 $0

 

Sources and Uses
Sources $ %   Uses $ %
Loan Amount $14,625,000 74.5%   Purchase Price $19,000,000 96.8%
Principal’s New Cash Contribution 5,003,028 25.5   Reserves 446,798 2.3
        Closing Costs 181,230 0.9
             
Total Sources $19,628,028 100.0%   Total Uses $19,628,028 100.0%

 

 

(1)Richard E. Rotner is the non-recourse carveout guarantor under the Church Lane Shopping Center Loan.
(2)The borrower funded $172,335 at origination to address ongoing capital expenditures needed during the term of the Church Lane Shopping Center Loan.
(3)The TI/LC reserve is capped at $400,000.
(4)Other reserve represents an escrow related to a potential environmental remediation of $150,000, tenant obligation reserve of $93,113 for future concessions owed to Party City and a deferred maintenance reserve of $31,350.

 

The following table presents certain information relating to the major tenants (of which, certain tenants may have co-tenancy provisions) at the Church Lane Shopping Center 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

 

Tenant
Sales $
per SF(2)

 

Occupancy
Cost

 

Renewal /
Extension Options

Party City   NR / B3 / B   12,415   13.0%   $186,225   13.4%   $15.00   1/31/2025   NA   NA   3, 5-year options
JoAnn Fabrics   NR / B3 / B   14,600   15.2   166,375   12.0   11.40   1/31/2018   $138.10   9.4%   1, 5-year option
Sleepy’s   NR / NR / NR   4,560   4.8   127,680   9.2   28.00   11/30/2017   NA   NA   1, 5-year option
Tuesday Morning   NR / NR / NR   8,831   9.2   115,416   8.3   13.07   4/30/2017   $150.62   10.2%   NA
Moving Company (Dance Studio)   NR / NR / NR   8,260   8.6   110,130   7.9   13.33   8/31/2022   NA   NA   1, 5-year option
Kids First Swim School   NR / NR / NR   7,200   7.5   99,253   7.2   13.79   1/31/2018   NA   NA   1, 5-year option
Kims Karate   NR / NR / NR   6,439   6.7   84,433   6.1   13.11   8/31/2018   NA   NA   1, 5-year option
Pizza Hut   NR / Baa3 / BBB   3,625   3.8   68,492   4.9   18.89   5/31/2016   NA   NA   1, 5-year option
Meineke   NR / NR / NR   2,034   2.1   58,092   4.2   28.56   7/31/2025   NA   NA   NA
Rainbow Cleaners   NR / NR / NR  

2,000

 

2.1

 

50,600

 

3.6

 

25.30

  4/30/2019   NA   NA   1, 5-year option
Ten Largest Owned Tenants       69,964   73.1%   $1,066,696   76.9%   $15.25                
Remaining Owned Tenant       22,164   23.1   321,083   23.1   14.49                
Vacant (Owned Space)      

3,614

 

3.8

 

0

 

0.0

 

0.00

               
Total / Wtd. Avg. All Owned Tenants   95,742   100.0%   $1,387,779   100.0%   $15.06                

 

 
(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.
(2)Tenant Sales $ per SF are as of TTM 1/31/2015 for JoAnn Fabrics.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

136
 

 

CHURCH LANE SHOPPING CENTER

 

The following table presents the lease rollover schedule at the Church Lane Shopping 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   3,888   4.1%   4.1%   $41,779   3.0%   $10.75   2
2015   0   0.0   4.1%   0   0.0   0.00   0
2016   7,139   7.5   11.5%   148,234   10.7   20.76   4
2017   15,791   16.5   28.0%   287,160   20.7   18.19   3
2018   32,971   34.4   62.4%   408,252   29.4   12.38   5
2019   4,530   4.7   67.2%   97,506   7.0   21.52   2
2020   0   0.0   67.2%   0   0.0   0.00   0
2021   0   0.0   67.2%   0   0.0   0.00   0
2022   13,360   14.0   81.1%   160,530   11.6   12.02   3
2023   0   0.0   81.1%   0   0.0   0.00   0
2024   0   0.0   81.1%   0   0.0   0.00   0
2025   14,449   15.1   96.2%   244,317   17.6   16.91   2
2026 & Thereafter   0   0.0   96.2%   0   0.0   0.00   0
Vacant  

3,614 

 

3.8

  100.0%  

0

 

0.0

 

0.00 

 

0

Total / Wtd. Avg.   95,742   100.0%       $1,387,779   100.0%   $15.06   21

 

 

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

 

The following table presents certain information relating to historical occupancy at the Church Lane Shopping Center Property:

 

Historical Leased %(1)(2)

 

2012

 

2013

 

2014

 

As of 8/1/2015

98.7%   94.7%   96.8%   96.2%

 

 

(1)Reported historical vacancies are provided by the borrower and only pertain to 85,138 SF of the 95,742 SF of the collateral.
(2)Reflects average occupancy for the indicated year ended December 31 unless specified otherwise.

  

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 Church Lane Shopping Center Property:

 

Cash Flow Analysis(1)

 

 

 

 

2012

 

2013

 

2014

 

Underwritten(2)

 

Underwritten
$ per SF

Base Rent   $1,453,739   $1,448,318   $1,555,459   $1,387,779   $14.49
Contractual Credit Rent Steps   0   0   0   0   0.00
Gross Up Vacancy  

0

 

0

 

0

 

163,706 

 

1.71

Total Rent   $1,453,739   $1,448,318   $1,555,459   $1,551,484   $16.20
Total Reimbursables(3)   0   0   0   230,792   2.41
Other Income   0   0   0   0   0.00
Vacancy & Credit Loss  

0

 

0

 

0

 

(163,706)

 

(1.71)

Effective Gross Income   $1,453,739   $1,448,318   $1,555,459   $1,618,571   $16.91
                     
Real Estate Taxes   $144,190   $148,876   $147,475   $183,035   $1.91
Insurance   20,546   23,699   33,693   9,716   0.10
Management Fee   4,320   4,320   4,320   56,650   0.59
Other Operating Expenses  

115,658

 

151,946

 

211,827

 

134,687

 

1.41

Total Operating Expenses   $284,714   $328,841   $397,315   $384,088   $4.01
                     
Net Operating Income   $1,169,025   $1,119,477   $1,158,144   $1,234,483   $12.89
TI/LC   0   0   0   52,421   0.55
Replacement Reserves  

0

 

0

 

0

 

19,148

 

0.20

Net Cash Flow   $1,169,025   $1,119,477   $1,158,144   $1,162,914   $12.15

 

 

(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)Underwritten Base Rent is based on contractual rents as of August 1, 2015 and rent steps through October 31, 2016.
(3)Reimbursements are included in base revenues of the historicals.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

137
 

 

HYATT PLACE TEXAS PORTFOLIO

 

             
Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 3   Loan Seller SMF I
Location (City/State) Various, Texas   Cut-off Date Principal Balance(4) $13,500,000
Property Type Hospitality   Cut-off Date Principal Balance per Room(2) $99,483.20
Size (Rooms) 387   Percentage of Initial Pool Balance 1.6%
Total TTM Occupancy as of 6/30/2015 78.9%   Number of Related Mortgage Loans None
Owned TTM Occupancy as of 6/30/2015 78.9%   Type of Security Fee Simple
Year Built / Latest Renovation Various / Various   Mortgage Rate 4.8200%
Appraised Value(1) $57,000,000   Original Term to Maturity (Months) 60
      Original Amortization Term (Months) 360
      Original Interest Only Period (Months) NAP
      Borrower Sponsor(5) Christopher Gistis, Glenn Gistis, Michael
Underwritten Revenues $13,512,207     Sullivan and Lawrence Kasser
Underwritten Expenses $8,928,724    
Underwritten Net Operating Income (NOI) $4,583,483   Escrows
Underwritten Net Cash Flow (NCF) $4,042,995     Upfront Monthly
Cut-off Date LTV Ratio(1)(2) 67.5%   Taxes $660,000 $65,996
Maturity Date LTV Ratio(1)(2)(3) 57.1%   Insurance $100,670 $10,885
DSCR Based on Underwritten NOI / NCF(2) 1.89x / 1.66x   FF&E $0 $45,041
Debt Yield Based on Underwritten NOI / NCF(2) 11.9% / 10.5%   Other(6) $6,461,588 $0

 

Sources and Uses

Sources $ %   Uses $ %
Whole Loan Amount $38,500,000 68.7%   Purchase Price $48,000,000 85.6%
Principal’s New Cash Contribution 17,557,542 31.3   Reserves 7,222,258 12.9
        Closing Costs 835,284 1.5
             
Total Sources $56,057,542 100.0%   Total Uses $56,057,542 100.0%

 

 

(1)The Appraised Value represents the aggregate “as-complete market value based on a hypothetical condition” value of $57,000,000 (corresponding to a Cut-off Date LTV Ratio of 67.5%) that assumes a property improvement plan costing $6,055,088 was completed across the Hyatt Place Texas Portfolio Properties as of August 1, 2015. The related appraisals also reported an aggregate “as-is” value of $50,500,000 (corresponding to a Cut-off Date LTV Ratio of 76.2% and a Maturity Date LTV Ratio of 70.1%) that assumes the property improvement plan has not yet been completed but makes the extraordinary assumption that it will be completed during the first year of the projection period at a cost of $6,055,088. The franchisor has required property improvement plans at the Hyatt Place Texas Portfolio Properties in connection with extending the franchise agreements through 2035. At origination of the Hyatt Place Texas Portfolio Loan, the borrowers deposited $6,461,588 for property improvements. The “as-is” values for the Hyatt Place Austin Property, the Hyatt Place San Antonio Property and the Hyatt Place Dallas Property are $25,500,000, $13,000,000 and $12,000,000, respectively.
(2)Calculated on the aggregate balance of the Hyatt Place Texas Portfolio whole loan $38,500,000.
(3)The Maturity Date LTV Ratio is calculated utilizing the aggregate “as stabilized” appraised value of $62,000,000, which assumes the Hyatt Place Texas Portfolio Properties undergo property improvements and stabilize. The Maturity Date LTV Ratio, calculated on the basis of the aggregate “as-is” appraised value of $57,000,000, is 62.1%.
(4)The Cut-off Date Principal Balance of $13,500,000 is evidenced by note A-2 (a non-controlling note), which is part of a $38,500,000 whole loan evidenced by two pari passu notes. The controlling pari passu companion loan evidenced by note A-1 has a principal balance of $25,000,000 as of the Cut-off Date, is currently held by Starwood Mortgage Capital LLC and is expected to be contributed to the JPMBB 2015-C32 securitization.
(5)Christopher Gistis, Glenn Gistis, Michael Sullivan and Lawrence Kasser are the guarantors of the non-recourse carveouts under the Hyatt Place Texas Portfolio Loan.
(6)Other upfront reserves represent a property improvement plan reserve.

 

The following table presents certain information relating to the Hyatt Place Texas Portfolio Properties:

 

Property Name

 

Location

 

Number of
Rooms

 

Cut-off Date Loan
Amount

 

Year Built /
Renovated

 

Appraised
Value(1)

 

UW NCF

 

UW NCF per
Room

Hyatt Place Austin   Austin, Texas   127   $6,487,013   1999 / 2014   $27,500,000   $1,865,745   $14,691
Hyatt Place San Antonio   San Antonio, Texas   126   3,681,818   1996 / 2008   15,500,000   1,120,561   8,893
Hyatt Place Dallas   Grand Prairie, Texas  

134

 

3,331,169

  1998 / 2007  

14,000,000

 

1,056,689

 

7,886

Total / Wtd. Avg.     387   $13,500,000       $57,000,000   $4,042,995   $10,447

 

 

(1)The Appraised Value represents the aggregate “as-complete market value based on a hypothetical condition” value of $57,000,000 (corresponding to a Cut-off Date LTV Ratio of 67.5%) that assumes a property improvement plan costing $6,055,088 was completed across the Hyatt Place Texas Portfolio Properties as of August 1, 2015. The related appraisals also reported an aggregate “as-is” value of $50,500,000 (corresponding to a Cut-off Date LTV Ratio of 76.2% and a Maturity Date LTV Ratio of 70.1%) that assumes the property improvement plan has not yet been completed but makes the extraordinary assumption that it will be completed during the first year of the projection period at a cost of $6,055,088. The franchisor has required property improvement plans at the Hyatt Place Texas Portfolio Properties in connection with extending the franchise agreements through 2035. At origination of the Hyatt Place Texas Portfolio Loan, the borrowers deposited $6,461,588 for property improvements. The “as-is” values for the Hyatt Place Austin Property, the Hyatt Place San Antonio Property and the Hyatt Place Dallas Property are $25,500,000, $13,000,000 and $12,000,000, respectively.

 

The following table presents certain information relating to the 2014 market mix with respect to the Hyatt Place Texas Portfolio Properties, as provided in the appraisals for the Hyatt Place Texas Portfolio Properties:

 

Estimated Accommodated Room Night Demand(1)

 

Property Name

 

Meeting and Group

 

Leisure

 

Commercial

Hyatt Place Austin   15%   30%   55%
Hyatt Place San Antonio   10%   45%   45%
Hyatt Place Dallas   30%   35%   35%

 

 

(1)Source: Appraisals.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

138
 

 

HYATT PLACE TEXAS PORTFOLIO

 

The following table presents certain information relating to the trailing-12 month period ended June 2015 penetration rates relating to the Hyatt Place Texas Portfolio Properties, as provided in the June 2015 travel research reports:

 

TTM Through 6/30/2015 Penetration Rates(1)

 

Property Name

 

Occupancy

 

ADR

 

RevPAR

Hyatt Place Austin   100.1%   99.4%   99.5%
Hyatt Place San Antonio   107.6%   110.8%   119.2%
Hyatt Place Dallas   120.5%   84.4%   101.7%

 

 

(1)Source: June 2015 travel research reports.

 

The following table presents certain information relating to historical occupancy, ADR and RevPAR at the Hyatt Place Austin Property:

 

Hyatt Place Austin(1)

 

 

 

2012

 

2013

 

2014

 

TTM 6/30/2015

 

Underwritten

Occupancy   81.3%   81.0%   81.7%   81.4%   81.4%
ADR   $119.95   $124.48   $132.38   $137.46   $137.46
RevPAR   $97.49   $100.81   $108.18   $111.90   $111.90

 

 

(1)As provided by the borrowers.

 

The following table presents certain information relating to historical occupancy, ADR and RevPAR at the Hyatt Place San Antonio Property:

 

Hyatt Place San Antonio(1)

 

 

 

2012

 

2013

 

2014

 

TTM 6/30/2015

 

Underwritten

Occupancy   84.0%   82.1%   81.2%   81.2%   81.2%
ADR   $95.35   $96.38   $100.89   $103.54   $103.54
RevPAR   $80.12   $79.11   $81.92   $84.08   $84.08

 

 

(1)As provided by the borrowers.

 

The following table presents certain information relating to historical occupancy, ADR and RevPAR at the Hyatt Place Dallas Property:

 

Hyatt Place Dallas(1)

 

 

 

2012

 

2013

 

2014

 

TTM 6/30/2015

 

Underwritten

Occupancy   67.5%   72.1%   75.4%   74.3%   74.3%
ADR   $87.52   $84.93   $94.63   $96.15   $96.15
RevPAR   $59.09   $61.23   $71.38   $71.44   $71.44

 

 

(1)As provided by the borrowers.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

139
 

 

HYATT PLACE TEXAS PORTFOLIO

 

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 Texas Portfolio Properties:

 

Cash Flow Analysis(1)

 

   

2012

 

2013

 

2014

 

TTM 6/30/2015

 

Underwritten

 

Underwritten
$ per Room

Room Revenue   $11,094,382   $11,306,057   $12,273,536   $12,547,504   $12,547,504   $32,422
Food and Beverage Revenue   684,250   613,619   602,081   686,009   686,009   1,773
Other Income(2)  

124,894

 

169,679

 

253,702

 

278,694

 

278,694

 

720

Total Revenue   $11,903,526   $12,089,355   $13,129,319   $13,512,207   $13,512,207   $34,915
                         
Room Expense   $3,074,840   $3,213,535   $3,393,819   $3,458,296   $3,173,296   $8,200
Food and Beverage Expense   323,300   290,809   311,268   301,917   301,917   780
Other Expense  

104,820

 

157,011

 

135,912

 

133,292

 

133,292

 

344

Total Departmental Expense   $3,502,960   $3,661,355   $3,840,999   $3,893,505   $3,608,505   $9,324
Total Undistributed Expense   4,376,711   4,178,049   4,396,268   4,458,607   4,408,607   11,392
Total Fixed Charges  

756,345

 

870,490

 

859,579

 

837,393

 

911,612

 

2,356

Total Operating Expenses   $8,636,016   $8,709,894   $9,096,846   $9,189,505   $8,928,724   $23,072
                         
Net Operating Income   $3,267,510   $3,379,461   $4,032,473   $4,322,702   $4,583,483   $11,844
FF&E  

0

 

0

 

0

 

0

 

540,488

 

1,397

Net Cash Flow   $3,267,510   $3,379,461   $4,032,473   $4,322,702   $4,042,995   $10,447

 

 

(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 meeting room/banquet rental revenue, public room rentals and miscellaneous other 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

140
 

 

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141
 

 

PARKVILLE COMMONS

           
Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   CCRE
Location (City/State) Parkville, Missouri   Cut-off Date Principal Balance   $12,600,000
Property Type Retail   Cut-off Date Principal Balance per SF $115.14
Size (SF) 109,428   Percentage of Initial Pool Balance 1.5%
Total Occupancy as of 8/25/2015 100.0%   Number of Related Mortgage Loans None
Owned Occupancy as of 8/25/2015 100.0%   Type of Security Fee Simple
Year Built / Latest Renovation 2005 / NAP   Mortgage Rate 4.8500%
Appraised Value $18,800,000   Original Term to Maturity (Months) 120
      Original Amortization Term (Months) 276
      Original Interest Only Period (Months) NAP
      Borrower Sponsor(1) Clifford Illig and Neal Patterson
       
Underwritten Revenues $1,891,629    
Underwritten Expenses $505,725   Escrows
Underwritten Net Operating Income (NOI) $1,385,904     Upfront Monthly
Underwritten Net Cash Flow (NCF) $1,314,776   Taxes $713,597 $64,872
Cut-off Date LTV Ratio 67.0%   Insurance $10,750 $2,150
Maturity Date LTV Ratio 47.1%   Replacement Reserve(2) $0 $1,823
DSCR Based on Underwritten NOI / NCF 1.52x / 1.44x   TI/LC(3) $0 $4,102
Debt Yield Based on Underwritten NOI / NCF 11.0% / 10.4%   Other $0 $0

             
Sources and Uses
Sources $ %   Uses $ %
Loan Amount $12,600,000 100.0%   Loan Payoff $11,496,011 91.2%
        Reserves 724,347 5.7
        Closing Costs 300,212 2.4
        Principal Equity Distribution 79,429 0.6
Total Sources $12,600,000 100.0%   Total Uses $12,600,000 100.0%

 

 

(1)Clifford Illig and Neal Patterson are the guarantors of the non-recourse carveouts under the Parkville Commons Loan.
(2)The replacement reserve is capped at $87,500.
(3)The TI/LC reserve is capped at $300,000.

 

The following table presents certain information relating to the major tenants (of which, certain tenants may have co-tenancy provisions) at the Parkville Commons 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
Price Chopper   NR / NR / NR   73,000     66.7 %   $545,575     43.5 %   $7.47     2/1/2024     $375        2.0%   4, 5-year options
Nick and Jake’s Parkville, Inc   NR / NR / NR   6,914     6.3     190,135     15.2     27.50     10/1/2019     NA     NA   1, 5-year option
Cycle City   NR / NR / NR   5,900     5.4     115,050     9.2     19.50     2/1/2017     NA     NA   2, 2-year options
Rusty Horse Tavern   NR / NR / NR   3,500     3.2     56,625     4.5     16.18     7/1/2017     NA     NA   NA
Eye Center of Parkville   NR / NR / NR   2,700     2.5     54,000     4.3     20.00     9/1/2019     NA     NA   NA
Pride Cleaners   NR / NR / NR   2,100     1.9     47,250     3.8     22.50     2/1/2017     NA     NA   NA
GNC Live Well    NR / NR / BB+   1,400      1.3     29,400      2.3     21.00     11/1/2018     NA     NA   2, 5-year options
CW Boutique, LLC   NR / NR / NR   1,400     1.3     28,000     2.2     20.00     2/1/2018     NA     NA   NA
Pizza Hut of America, Inc   NR / NR / NR   1,568     1.4     27,440     2.2     17.50     11/1/2016     NA     NA   1, 5-year option
Foxy Nails   NR / NR / NR   1,400      1.3     27,300      2.2     19.50     8/1/2019     NA     NA   1, 5-year option
Ten Largest Owned Tenants   99,882     91.3 %   $1,120,775     89.4 %   $11.22                      
Remaining Owned Tenants   9,546     8.7     133,368     10.6     13.97                      
Vacant Spaces (Owned Space)   0     0.0     0     0.0     0.00                      
Total / Wtd. Avg. All Owned Tenants   109,428     100.0 %   $1,254,143     100.0 %   $11.46                      

 

 

(1)Certain ratings are those of the parent company, whether or not the parent guarantees the lease.
(2)Tenant Sales $ per SF are as of December 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

142
 

 

PARKVILLE COMMONS

 

The following table presents certain information relating to the lease rollover schedule at the Parkville Commons Property, based on initial lease expiration dates:

 

Lease Expiration Schedule(1)

                                           

Year Ending

December 31,

 

Expiring

Owned NRSF

  % of Owned
NRSF
  Cumulative % of Owned NRSF   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  
2015   0     0.0     0.0%     0     0.0     0.00     0  
2016   2,968     2.7     2.7%     44,240     3.5     14.91     2  
2017   13,865     12.7     15.4%     254,025     20.3     18.32     5  
2018   4,547     4.2     19.5%     80,985     6.5     17.81     3  
2019   15,048     13.8     33.3%     329,318     26.3     21.88     6  
2020   0     0.0     33.3%     0     0.0     0.00     0  
2021   0     0.0     33.3%     0     0.0     0.00     0  
2022   0     0.0     33.3%     0     0.0     0.00     0  
2023   0     0.0     33.3%     0     0.0     0.00     0  
2024   73,000     66.7     100.0%     545,575     43.5     7.47     1  
2025 & Thereafter   0     0.0     100.0%     0     0.0     0.00     0  
Vacant   0     0.0     100.0%     0     0.0     0.00     0  
Total / Wtd. Avg.   109,428     100.0%           $1,254,143     100.0%     $11.46     17  

 

 

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

 

The following table presents certain information relating to historical leasing at the Parkville Commons Property:

 

Historical Leased %(1)(2)

 

    2012   2013   2014    As of 8/25/2015
Owned Space   96.0%   100.0%   100.0%   100.0%

 

 

(1)As provided by the borrower and represents occupancy as of December 31, for the indicated year unless specified otherwise.
(2)The Parkville Commons Property has maintained an occupancy of at least 98.0% since 2008.

 

nOperating 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 Parkville Commons Property:

 

Cash Flow Analysis(1)

                                     
    2012   2013   2014   YTD 7/31/2015 Annualized   Underwritten  

Underwritten

$ per SF

Base Rent(2)   $1,222,319     $1,200,290     $1,249,392     $1,243,046     $1,254,143     $11.46  
Gross Up Vacancy   0     0     0     0     0     0.00  
Total Rent   $1,222,319     $1,200,290     $1,249,392     $1,243,046     $1,254,143     $11.46  
Total Reimbursables   486,442     472,744     476,111     555,948     476,111     4.35  
Other Income   173,022     185,537     224,082     223,988     224,082     2.05  
Vacancy & Credit Loss(3)   (54,580)     0     (49,200)     0     (62,707)     (0.57)  
Effective Gross Income   $1,827,203     $1,858,571     $1,900,385     $2,022,982     $1,891,629     $17.29  
                                     
Total Operating Expenses   $468,867     $512,426     $485,368     $501,953     $505,725     $4.62  
                                     
Net Operating Income   $1,358,336     $1,346,145     $1,415,017     $1,521,029     $1,385,904     $12.66  
TI/LC   0     0     0     0     49,243      0.45  
Capital Expenditures   0     0     0     0     21,886     0.20  
Net Cash Flow   $1,358,336     $1,346,145     $1,415,017     $1,521,029     $1,314,776     $12.01  

 

 

(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)Underwritten Base Rent is based on contractual rents as of May 31, 2015 and rent steps through December 31, 2016.
(3)Vacancy & Credit Loss represents an economic vacancy of 5.0% of underwritten base rent. As of August 25, 2015, the Parkville Commons Property was 100.0% occupied.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

143
 

CARNEGIE PARK

 

Mortgaged Property Information   Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller CGMRC
Location (City/State) Southfield, Michigan   Cut-off Date Principal Balance   $12,420,000
Property Type Multifamily   Cut-off Date Principal Balance per Unit $70,568.18
Size (Units) 176   Percentage of Initial Pool Balance   1.5%
Total Occupancy as of 8/5/2015 97.2%   Number of Related Mortgage Loans   None
Owned Occupancy as of 8/5/2015 97.2%   Type of Security   Fee Simple
Year Built / Latest Renovation 1987 / NAP   Mortgage Rate   4.9300%
Appraised Value $16,200,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   360
      Original Interest Only Period (Months)   24
      Borrower Sponsor(3)                                                            Derron Sanders and the Derron
Sanders Revocable Living Trust
       
Underwritten Revenues $2,157,150   Escrows
Underwritten Expenses $1,077,363        
Underwritten Net Operating Income (NOI) $1,079,787     Upfront Monthly
Underwritten Net Cash Flow (NCF) $1,028,571   Taxes $91,521 $22,880
Cut-off Date LTV Ratio(1) 73.9%   Insurance $0 $0
Maturity Date LTV Ratio(2) 62.6%   Replacement Reserve $0 $4,268
DSCR Based on Underwritten NOI / NCF 1.36x / 1.30x   TI/LC $0 $0
Debt Yield Based on Underwritten NOI / NCF 8.7% / 8.3%   Other(4)                             $454,625 $0

 

Sources and Uses
Sources $ %   Uses      $ %
Loan Amount $12,420,000    73.8%   Purchase Price $15,900,000   94.5%
Principal’s New Cash Contribution 3,733,240 22.2   Reserves 546,146 3.2
Other Sources 672,935  4.0   Closing Costs 380,029 2.3
             
Total Sources $16,826,174 100.0%   Total Uses $16,826,174 100.0%

 

 
(1)The Cut-off Date LTV Ratio was calculated based on the Cut-off Date Balance less a $450,000 holdback associated with capital expenditures to be released upon achieving certain debt yield and loan-to-cost thresholds. The Cut-off Date LTV Ratio, calculated without adjusting for the holdback, is 76.7%.

(2)The Maturity Date LTV Ratio is calculated utilizing the “as stabilized” appraised value of $17,130,000. The Maturity Date LTV Ratio calculated based on the “as-is” appraised value is 66.2%.

(3)Derron Sanders is the non-recourse guarantor under the Carnegie Park Loan.

(4)The upfront other reserve consists of (i) $450,000 for designated replacements and (ii) $4,625 for deferred maintenance.

 

The following table presents certain information relating to the units and rent at the Carnegie Park Property:

 

Unit Type

 

Occupied
Units(1)

 

Vacant
Units(1)

 

Total
Units(1)

 

Average
SF per
Unit(1)

 

Monthly
Market Rent
per Unit(2)

 

Annual
Market
Rent(2)(3)

 

Monthly
Actual Rent
per Unit(1)

 

Annual Actual
Rent(1)(3)

 
1 Bed / 1 Bath   56   1   57   1,018   $950   $638,400   $923   $620,148  
2 Bed / 2 Bath (Regular)   59   3   62   1,146   $1,070   757,560   $1,061   751,140  
2 Bed / 2 Bath (Penthouse)   51   1   52   1,241   $1,250   765,000   $1,222   747,642  
2 Bed / 2 Bath (Deluxe)

5

 

0

 

  5

 

1,500

 

$1,300

 

78,000

 

$1,290

 

77,412

 
Total / Wtd. Avg.   171   5   176   1,143   $1,091   $2,238,960   $1,070   $2,196,342  

 

 
(1)As provided by the borrower.

(2)Source: Appraisal.

(3)Annual rents are calculated based on currently occupied units per the rent roll dated August 5, 2015.

 

The following table presents certain information relating to historical leasing at the Carnegie Park Property:

 

Historical Leased %(1)

 

 

 

2013

 

2014

 

2015

 

As of 8/5/2015

 
Owned Space   95.4%   93.8%   95.7%   97.2%  

 

 

(1)As provided by the borrower and represents average occupancy 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

144
 

 

CARNEGIE PARK

 

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 Carnegie Park Property:

 

Cash Flow Analysis(1)

 

 

 

 

2013

 

2014

 

TTM 6/30/2015

 

Underwritten(2)

 

Underwritten
$ per Unit

 
Base Rent   $1,919,939   $2,018,137   $2,099,056   $2,196,342   $12,479  
Gross Up Vacancy  

0

 

0

 

0

 

64,920

 

369

 
Gross Potential Rent   $1,919,939   $2,018,137   $2,099,056   $2,261,262   $12,848  
Vacancy, Credit Loss & Concessions

(38,863)

 

(50,021)

 

(75,549)

 

(237,755)

 

(1,351)

 
Total Rent   $1,881,076   $1,968,116   $2,023,507   $2,023,507   $11,497  
Other Income(3)  

88,210

 

115,556

 

133,643

 

133,643

 

759

 
Effective Gross Income   $1,969,286   $2,083,672   $2,157,150   $2,157,150   $12,257  
                       
Real Estate Taxes   $312,602   $253,113   $251,924   $271,041   $1,540  
Insurance   46,984   47,794   46,694   55,894   318  
Management Fee   81,035   83,987   87,614   86,286   490  
Other Expenses  

734,178

 

673,751

 

665,353

 

664,142

 

3,774

 
Total Operating Expenses   $1,174,799   $1,058,645   $1,051,585   $1,077,363   $6,121  
                       
Net Operating Income   $794,487   $1,025,027   $1,105,565   $1,079,787   $6,135  
Replacement Reserves  

0

 

0

 

0

 

51,216

 

291

 
Net Cash Flow   $794,487   $1,025,027   $1,105,565   $1,028,571   $5,844  

 

 
(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)Underwritten cash flow is based on the August 5, 2015 rent roll.

(3)Other Income consists of clubhouse rental, reimbursed repairs, pet fees, water reimbursement, court costs reimbursement, application fees, parking income, refuse removal fees, late charges and non-sufficient funds 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

145
 

  

Shoppes at City Centre

 

Mortgaged Property Information     Mortgage Loan Information
Number of Mortgaged Properties 1   Loan Seller   GSMC
Location (City/State) North Palm Beach, Florida   Cut-off Date Principal Balance   $12,350,000
Property Type Retail   Cut-off Date Principal Balance per SF   $124.95
Size (SF) 98,843   Percentage of Initial Pool Balance   1.5%
Total Occupancy as of 6/15/2015(1) 90.6%   Number of Related Mortgage Loans   None
Owned Occupancy as of 6/15/2015(1) 90.6%   Type of Security   Fee Simple
Year Built / Latest Renovation 1999 / NAP   Mortgage Rate   4.5695%
Appraised Value $19,000,000   Original Term to Maturity (Months)   120
      Original Amortization Term (Months)   NAP
      Original Interest Only Term (Months) 120
      Borrower Sponsor(2) Martin Osher and Irving Osher
       
Underwritten Revenues $1,949,012    
Underwritten Expenses $748,964     Escrows  
Underwritten Net Operating Income (NOI) $1,200,047     Upfront Monthly
Underwritten Net Cash Flow (NCF) $1,116,424   Taxes $137,898 $19,700
Cut-off Date LTV Ratio 65.0%   Insurance $13,281 $6,640
Maturity Date LTV Ratio 65.0%   Replacement Reserve $0 $1,647
DSCR Based on Underwritten NOI / NCF 2.10x / 1.95x   TI/LC(3) $0 $8,333
Debt Yield Based on Underwritten NOI / NCF 9.7% / 9.0%   Other(4) $875,528 $0
             
Sources and Uses
Sources $         % Uses $         %  
Loan Amount $12,350,000 60.9% Purchase Price $19,000,000 93.7%
Principal’s New Cash Contribution 7,934,912 39.1    Reserves 1,026,707 5.1
      Closing Costs 258,206 1.3
           
           
Total Sources $20,284,912 100.0% Total Uses $20,284,912 100.0%

 

 
(1)Total Occupancy and Owned Occupancy include 25,213 SF of space for two tenants (Doris Italian Market and Cali ProNails) that have executed leases but have not yet taken occupancy or begun paying rent. We cannot assure you that these tenants will take occupancy or begin paying rent as expected or at all. Doris Italian Market and Cali ProNails are each expected to take occupancy and begin paying rent in November 2015. Total Occupancy and Owned Occupancy excluding the two tenants described above are both 65.0% as of June 15, 2015.
(2)Martin Osher and Irving Osher are the non-recourse carveout guarantors under the Shoppes at City Centre Loan.
(3)The TI/LC reserve is capped at $200,000.
(4)Other reserve represents a deferred maintenance reserve ($28,492), two and a half months’ rent for Doris Italian Market ($69,688) and two and a half months’ rent for Cali ProNails ($18,206), covering rent due until both tenants are expected to take occupancy and begin paying full rent in November 2015. Additionally, unpaid tenant improvement and leasing commissions (pertaining to both leases) were escrowed at origination. A total of $722,999 will be escrowed for unpaid tenant improvements ($656,099) and leasing commissions ($66,900) pertaining to the Doris Italian Market lease. A total of $36,142 will be escrowed for unpaid tenant improvements ($29,130) and leasing commissions ($7,012) pertaining to the Cali ProNails lease.

 

The following table presents certain information relating to the major tenants (of which, certain tenants may have co-tenancy provisions) at the Shoppes at City Centre 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
West Marine  NR / NR / NR  24,959    25.3%  $350,175    24.9%  $14.03    5/31/2021  2, 5-year options
Doris Italian Market(2)  NR / NR / NR  22,300    22.6   334,500    23.8   15.00    11/30/2030  3, 5-year options
Boynton Zoo Health Club  NR / NR / NR  9,520    9.6   119,004    8.5   12.50    10/31/2024  2, 5-year options
California Designs  NR / NR / NR  9,520    9.6   114,240    8.1   12.00    7/31/2020  1, 5-year option
Carrabba’s Italian Grill  NR / NR / NR  5,027    5.1   91,240    6.5   18.15    10/31/2018  5, 3-year options
Cali ProNails(2)  NR / NR / NR  2,913    2.9   87,390    6.2   30.00    1/31/2021  1, 5-year option
Tile Market (Pied Nu)  NR / NR / NR  3,438    3.5   63,122    4.5   18.36    1/31/2018  2, 4-year options
More Space Place  NR / NR / NR  2,612    2.6   55,427    3.9   21.22    3/31/2020  NA
Salon Tre-Lyn  NR / NR / NR  2,000    2.0   47,280    3.4   23.64    9/30/2017  NA
Big Apples Pizza  NR / NR / NR  1,366    1.4   36,006    2.6   26.36    8/31/2018  NA
Ten Largest Tenants     83,655    84.6%  $1,298,383    92.5%  $15.52        
Remaining Tenants     5,850    5.9   105,136    7.5   17.97        
Vacant     9,338    9.4   0    0.0   0.00        
Total / Wtd. Avg. All Tenants     98,843    100.0%  $1,403,519    100.0%  $15.68        

 

 
(1)Certain ratings are those of the parent company whether or not the parent guarantees the lease.
(2)Tenants are currently not in occupancy or paying rent. Occupancy and rent commencement are expected to take place in November 2015 for Doris Italian Market and Cali ProNails. We cannot assure you that these tenants will take occupancy or begin paying rent 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Shoppes at City Centre

 

The following table presents the lease rollover schedule at the Shoppes at City Centre 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 
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  2,000   2.0   2.0%  47,280   3.4   23.64   1 
2018  11,581   11.7   13.7%  207,867   14.8   17.95   4 
2019  2,800   2.8   16.6%  52,822   3.8   18.87   2 
2020  13,432   13.6   30.2%  204,481   14.6   15.22   3 
2021  27,872   28.2   58.4%  437,565   31.2   15.70   2 
2022  0   0.0   58.4%  0   0.0   0.00   0 
2023  0   0.0   58.4%  0   0.0   0.00   0 
2024  9,520   9.6   68.0%  119,004   8.5   12.50   1 
2025  0   0.0   68.0%  0   0.0   0.00   0 
2026 & Thereafter  22,300   22.6   90.6%  334,500   23.8   15.00   1 
Vacant  9,338   9.4   100.0%  0   0.0   0.00   0 
Total / Wtd. Avg.  98,843   100.0%      $1,403,519   100.0%  $15.68   14 

 

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

 

The following table presents certain information relating to historical leasing at the Shoppes at City Centre Property:

 

Historical Leased %(1)

 

   2012  2013  2014
Owned Space  53.0%  54.0%  53.0%

 

 
(1)As provided by the borrower and represents occupancy as of December 31, for the indicated year. Occupancy is 90.6% after Doris Italian Market and Cali ProNails take occupancy in November 2015. We cannot assure you that these tenants will take occupancy 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

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Shoppes at City Centre

  

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 Shoppes at City Centre Property:

 

Cash Flow Analysis(1)

 

   2012  2013  2014  Underwritten(2)  Underwritten
$ per SF
Base Rent(3)  $595,998   $781,642   $673,399   $1,403,519   $14.20 
Gross Up Vacancy  0   0   0   274,874   2.78 
Total Rent  $595,998   $781,642   $673,399   $1,678,393   $16.98 
Total Reimbursables  234,517   270,632   264,690   545,493   5.52 
Vacancy & Credit Loss  0   0   0   (274,874)  (2.78)
Effective Gross Income  $830,218   $1,053,874   $938,548   $1,949,012   $19.72 
                     
Real Estate Taxes  $176,198   $171,876   $180,221   $272,851   $2.76 
Insurance  75,244   78,496   29,791   79,685   0.81 
Management Fee  33,209   42,155   37,542   77,960   0.79 
Other Operating Expenses  258,991   271,177   298,645   318,468   3.22 
Total Operating Expenses  $543,641   $563,704   $546,199   $748,964   $7.58 
                     
Net Operating Income  $286,577   $490,171   $392,348   $1,200,047   $12.14 
TI/LC  0   0   0   63,855   0.65 
Replacement Reserves  0   0   0   19,769   0.20 
Net Cash Flow  $286,577   $490,171   $392,348   $1,116,424   $11.29 

 

 
(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)Underwritten figures include gross up for vacant space at estimated market rent and average estimated reimbursements.
(3)Underwritten base rent includes $421,890 related to two tenants (Doris Italian Market and Cali ProNails) that have executed leases but have not yet taken occupancy or begun paying rent. Doris Italian Market and Cali ProNails are expected to take occupancy and begin paying rent in November 2015. We cannot assure you that these tenants will take occupancy or begin paying rent as expected or at all. Underwritten total rent also includes $455,160 related to rent and reimbursables for four tenants (Boynton Zoo Health Club, California Designs, Vagabond Apparel and More Space Place) that took occupancy in the second half of 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

148
 

 

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 have the respective meanings assigned to such terms in the Free Writing Prospectus or, if not defined therein, in the Base Prospectus.

 

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.

 

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.

 

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.

 

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 (or payment in full at any anticipated repayment date) is primarily dependent upon the market value of the mortgaged property and the borrower’s ability to sell or refinance the mortgaged property.

 

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.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

149
 

 

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, may 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 agencies amend their regulations to remove reference to or reliance on credit agency ratings, including, but not limited to, those found in the federal banking agencies’ risk-based capital regulations. New capital regulations were issued by the banking regulators in July 2013 and began phasing in on January 1, 2014; these regulations implement the increased capital requirements established under the Basel Accord. These new capital regulations eliminate reliance on credit ratings and otherwise alter, and in most cases increase, the capital requirements imposed on depository institutions and their holding companies, including with respect to ownership of asset-backed securities such as CMBS. As a result of these regulations, investments in commercial mortgage-backed securities like the certificates by institutions subject to the risk based capital regulations may result in greater capital charges to these financial institutions and these new regulations may otherwise adversely affect the treatment of commercial mortgage-backed securities for their regulatory capital 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”.

 

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 properties 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

150
 

 

SUMMARY OF CERTAIN RISK FACTORS (continued)

 

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.

 

Borrower May Be Unable To Repay Remaining Principal Balance on Maturity Date or Anticipated Repayment 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 or anticipated repayment 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.

 

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.

 

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.

 

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.

 

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.

 

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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

151
 

 

SUMMARY OF CERTAIN RISK FACTORS (continued)

 

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.

 

Potential Conflicts of Interest of the Sponsors, Underwriters, the Master Servicer, the Special Servicer, the Operating Advisor, the Controlling Class Representative, the Non-Serviced Whole Loan Directing Holders, Serviced Companion Loan Holders and any Mezzanine Lenders

 

The sponsors, the underwriters, the master servicer, the special servicer, the operating advisor, the Controlling Class Representative, the directing holder for a non-serviced whole loan under the related Controlling PSA or the holder of a serviced companion loan or 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, the directing holder for a non-serviced whole loan under the related Controlling PSA or the holder of a serviced companion loan or 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.

 

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.

 

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, 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

152
 

  

SUMMARY OF CERTAIN RISK FACTORS (continued)

 

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. Underwriter Entities hold or may hold companion loans and/or mezzanine loans related to a mortgage loan in this securitization. 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.

 

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.

 

Tax Considerations

 

The offered certificates represent ownership, directly or through a grantor trust, 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 the above conditions are 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., Cantor Fitzgerald & Co., 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 if you email a request to prospectus-ny@gs.com.

153

 

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