0001539497-13-000858.txt : 20130916 0001539497-13-000858.hdr.sgml : 20130916 20130916172931 ACCESSION NUMBER: 0001539497-13-000858 CONFORMED SUBMISSION TYPE: FWP PUBLIC DOCUMENT COUNT: 27 FILED AS OF DATE: 20130916 DATE AS OF CHANGE: 20130916 SUBJECT COMPANY: COMPANY DATA: COMPANY CONFORMED NAME: COMM 2013-LC13 Mortgage Trust CENTRAL INDEX KEY: 0001584492 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: 333-184376-07 FILM NUMBER: 131099583 BUSINESS ADDRESS: STREET 1: ONE INTERNATIONAL PLACE STREET 2: ROOM 520 CITY: BOSTON STATE: MA ZIP: 02110 BUSINESS PHONE: 6179517690 MAIL ADDRESS: STREET 1: ONE INTERNATIONAL PLACE STREET 2: ROOM 608 CITY: BOSTON STATE: MA ZIP: 02110 FILED BY: COMPANY DATA: COMPANY CONFORMED NAME: DEUTSCHE MORTGAGE & ASSET RECEIVING CORP CENTRAL INDEX KEY: 0001013454 STANDARD INDUSTRIAL CLASSIFICATION: ASSET-BACKED SECURITIES [6189] IRS NUMBER: 043310019 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: FWP BUSINESS ADDRESS: STREET 1: ONE INTERNATIONAL PLACE STREET 2: ROOM 520 CITY: BOSTON STATE: MA ZIP: 02110 BUSINESS PHONE: 6179517690 MAIL ADDRESS: STREET 1: ONE INTERNATIONAL PLACE STREET 2: ROOM 608 CITY: BOSTON STATE: MA ZIP: 02110 FWP 1 n245_fwpx1.htm FREE WRITING PROSPECTUS Unassociated Document
   
FREE WRITING PROSPECTUS
   
FILED PURSUANT TO RULE 433
   
REGISTRATION FILE NO.: 333-184376-07
     
 

     
September 16, 2013
 
     
 
FREE WRITING PROSPECTUS
 
     
 
STRUCTURAL AND COLLATERAL TERM SHEET
 
 
$1,077,793,714
 
 
(Approximate Total Mortgage Pool Balance)
 
     
 
$754,455,000
 
 
(Approximate Offered Certificates)
 
     
     
 
COMM 2013-LC13
 
     
     
 
Deutsche Mortgage & Asset Receiving Corporation
 
 
Depositor
 
     
 
Ladder Capital Financial LLC
 
 
German American Capital Corporation
 
 
Natixis Real Estate Capital LLC
 
 
Sponsors and Mortgage Loan Sellers
 
         
 
Deutsche Bank Securities
 
  Sole Bookrunner and Lead Manager  
     
 
Natixis Securities Americas LLC
 
Wells Fargo Securities
 
         
 
Co-Managers
 
         
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com. The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
 

 
 
 
 
 
 
 

 
 
COMM 2013-LC13 Mortgage Trust
Capitalized terms used but not defined herein have the meanings assigned to them in the other Free Writing Prospectus expected to be dated September 16, 2013, relating to the offered certificates (hereinafter referred to as the “Free Writing Prospectus”).
 
KEY FEATURES OF SECURITIZATION
           
Key Features:
 
Pooled Collateral Facts(1)(2):
Sole Bookrunner & Lead
Deutsche Bank Securities Inc.
 
Initial Outstanding Pool Balance:
$1,077,793,714
Manager:
   
Number of Mortgage Loans:
57
Co-Managers:
Natixis Securities Americas LLC
 
Number of Mortgaged Properties:
97
 
Wells Fargo Securities
 
Average Mortgage Loan Cut-off Date Balance:
$18,908,662
Mortgage Loan Sellers:
Ladder Capital Finance LLC (“LCF”) (44.1%),
 
Average Mortgaged Property Cut-off Date Balance:
$11,111,275
 
German American Capital Corporation* (“GACC”)
 
Weighted Avg Mortgage Loan U/W NCF DSCR:
1.86x
 
(29.4%), Natixis Real Estate Capital LLC (“Natixis”)
 
Range of Mortgage Loan U/W NCF DSCR:
1.23x 6.60x
 
(26.5%)
 
Weighted Avg Mortgage Loan Cut-off Date LTV(3):
61.4%
 
*An indirect wholly owned subsidiary of Deutsche Bank AG.
 
Range of Mortgage Loan Cut-off Date LTV(3):
14.6% 75.0%
Master Servicer:
Midland Loan Services
 
Weighted Avg Mortgage Loan Maturity Date or ARD LTV(3):
52.3%
Operating Advisor:
Park Bridge Lender Services LLC
 
Range of Mortgage Loan Maturity Date or ARD LTV(3):
14.6% 67.4%
Special Servicer:
Rialto Capital Advisors, LLC
 
Weighted Avg U/W NOI Debt Yield:
12.1%
Certificate Administrator:
Deutsche Bank Trust Company Americas
 
Range of U/W NOI Debt Yield:
8.6% 28.5%
Trustee:
U.S. Bank National Association
 
Weighted Avg Mortgage Loan
 
Rating Agencies:
Moody’s Investors Service, Inc., Standard & Poor’s
 
Original Term to Maturity (months)(4):
105
 
Ratings Services and Kroll Bond Rating Agency, Inc.
 
Weighted Avg Mortgage Loan
 
Determination Date:
The 6th day of each month, or if such 6th day is not a
 
Remaining Term to Maturity (months)(4):
103
 
business day, the following business day,
 
Weighted Avg Mortgage Loan Seasoning (months):
2
 
commencing in October 2013.
 
% Mortgage Loans with Amortization for Full Term(5):
62.0%
Distribution Date:
4th business day following the Determination Date in
 
% Mortgage Loans with Partial Interest Only:
30.4%
 
each month, commencing October 2013.
 
% Mortgage Loans with Full Interest Only(6):
7.6%
Cut-off Date:
Payment Date in September 2013 (or related
 
% Mortgage Loans with Upfront or Ongoing Tax Reserves:
90.3%
 
origination date, if later). Unless otherwise noted, all
 
% Mortgage Loans with Upfront or
 
 
Mortgage Loan statistics are based on balances as
 
Ongoing Replacement Reserves(7):
88.9%
 
of the Cut-off Date.
 
% Mortgage Loans with Upfront or Ongoing Insurance Reserves:
64.7%
Settlement Date:
On or about September 26, 2013
 
% Mortgage Loans with Upfront or Ongoing TI/LC Reserves(8):
87.9%
Settlement Terms:
DTC, Euroclear and Clearstream, same day funds,
 
% Mortgage Loans with Upfront Engineering Reserves:
48.2%
 
with accrued interest.
 
% Mortgage Loans with Upfront or Ongoing Other Reserves:
45.6%
ERISA Eligible:
All of the Offered Certificates are expected to be
 
(1)
With respect to the 15 MetroTech Center Loan, LTV, DSCR and Debt Yield calculations include the related pari passu companion loans.
 
ERISA eligible.
   
SMMEA Eligible:
None of the Offered Certificates will be SMMEA
 
(2)
With respect to The Ritz Tower loan, LTV, DSCR and Debt Yield calculations are based on underwritten NOI, underwritten NCF and/or an appraised value that were determined assuming that the related mortgaged property, which is a residential cooperative, is operated as a multifamily rental property.
 
eligible.
   
Day Count:
30/360
   
Tax Treatment:
REMIC
   
Rated Final Distribution Date:
August 2046
 
(3)
With respect to the Colinx Industrial Building loan, the Cut-off Date LTV and Maturity Date or ARD LTV have been calculated based on the “As Stabilized” appraised value of $46.3 million. The “As-is” Cut-off Date LTV and “As-is” Maturity Date or ARD LTV are 83.8% and 69.6%, respectively.
Minimum Denominations:
 
$10,000 (or $100,000 with respect to Class X-A) and
in each case in multiples of $1 thereafter.
   
Clean-up Call: 
1%
   
     
(4)
For the ARD loan, the original term to maturity and remaining term to maturity are through the anticipated repayment date.
      (5) 
Amortizing through the maturity date, or in the case of the ARD loan, through the anticipated repayment date.
      (6) 
Interest only through the maturity date.  
     
(7)
Includes FF&E Reserves.
     
(8)
 
Represents the percent of the allocated Initial Outstanding Pool Balance of retail, office, industrial and mixed use properties only.
 
Distribution of Collateral by Property Type
 
Pie-Chart
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com. The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
3

 
 
COMM 2013-LC13 Mortgage Trust
 
SUMMARY OF THE CERTIFICATES
 
OFFERED CERTIFICATES
 
Class(1)
Ratings
(Moody’s/S&P/KBRA)
Initial Certificate
Balance or
Notional
Amount(2)
Initial
Subordination
Levels
Weighted 
Average Life
(years)(3)
Principal
Window
(months)(3)
Certificate
Principal to
Value Ratio(4)
Underwritten
NOI Debt Yield(5)
Class A-1
Aaa(sf) / AAA(sf) / AAA(sf)
$68,822,000
30.000%(6)
2.64
1 - 58
43.0%
17.3%
Class A-2
Aaa(sf) / AAA(sf) / AAA(sf)
$237,427,000
30.000%(6)
4.94
58 - 61
43.0%
17.3%
Class A-SB
Aaa(sf) / AAA(sf) / AAA(sf)
$73,298,000
30.000%(6)
7.39
61 - 115
43.0%
17.3%
Class A-3
Aaa(sf) / AAA(sf) / AAA(sf)
$47,500,000
30.000%(6)
6.37
77 - 77
43.0%
17.3%
Class A-4
Aaa(sf) / AAA(sf) / AAA(sf)
$100,000,000
30.000%(6)
9.70
109 - 119
43.0%
17.3%
Class A-5
Aaa(sf) / AAA(sf) / AAA(sf)
$227,408,000
30.000%(6)
9.87
119 - 120
43.0%
17.3%
Class X-A(7)
Aaa(sf) / AAA(sf) / AAA(sf)
$847,415,000(8)
N/A
N/A
N/A
N/A
N/A
 
NON-OFFERED CERTIFICATES
 
Class(1)
Ratings
(Moody’s/S&P/KBRA)
Initial Certificate
Balance or
Notional 
Amount(2)
Initial
Subordination
Levels
Weighted 
Average Life (years)(3)
Principal 
Window
(months)(3)
Certificate
Principal to
Value Ratio(4)
Underwritten
NOI Debt Yield(5)
Class X-B(7)
NR / NR / NR
 $164,363,000(8)
N/A
N/A
N/A
N/A
N/A
Class X-C(7)
NR / NR / NR
   $66,015,713(8)
N/A
N/A
N/A
N/A
N/A
Class A-M
Aaa(sf) / AAA(sf) / AAA (sf)
$92,960,000
21.375%
9.96
120 - 120
48.3%
15.4%
Class B
Aa3(sf) / AA-(sf) / AA-(sf)
$68,709,000
15.000%
9.96
120 - 120
52.2%
14.2%
Class C
A3(sf) / A-(sf) / A-(sf)
$45,806,000
10.750%
9.96
120 - 120
54.8%
13.6%
Class D
NR / BBB-(sf) / BBB-(sf)
$49,848,000
6.125%
9.96
120 - 120
57.6%
12.9%
Class E
NR / BB-(sf) / BB-(sf)
$28,292,000
3.500%
9.96
120 - 120
59.3%
12.5%
Class F
NR / B+(sf) / B(sf)
   $9,431,000
2.625%
9.96
120 - 120
59.8%
12.4%
Class G
NR / NR / NR
$28,292,713
0.000%
10.01
120 - 121
61.4%
12.1%
(1)
The pass–through rates applicable to the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4, Class A–5, Class A–M, Class B, Class C, Class D, Class E, Class F and Class G Certificates will equal one of: (i) a fixed per annum rate, (ii) the weighted average of the net mortgage 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 such distribution date occurs, (iii) a rate equal to the lesser of a specified pass–through rate and the weighted average of the net mortgage 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 such distribution date occurs, or (iv) the weighted average of the net mortgage 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 such distribution date occurs, less a specified rate.
(2)
Approximate; subject to a permitted variance of plus or minus 5%.
(3)
The weighted average life and principal window during which distributions of principal would be received as set forth in the table with respect to each class of certificates with a Certificate Balance is based on (i) modeling assumptions and prepayment assumptions described in the Free Writing Prospectus, (ii) assumptions that there are no prepayments or losses on the mortgage loans and (iii) assumptions that there are no extensions of maturity dates and the mortgage loan with an anticipated repayment date is repaid on its anticipated repayment date.
(4)
“Certificate Principal to Value Ratio” for any class with a Certificate Balance is calculated as the product of (a) the weighted average mortgage loan Cut–off Date LTV of the mortgage pool, multiplied by (b) a fraction, the numerator of which is the total initial Certificate Balance of the related class of certificates and all other classes, if any, that are senior to such class, and the denominator of which is the total initial Certificate Balance of all certificates. The Certificate Principal to Value Ratios of the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4 and Class A-5 Certificates are calculated in the aggregate for those classes as if they were a single class.
(5)
“Underwritten NOI Debt Yield” for any class with a Certificate Balance is calculated as the product of (a) the weighted average U/W NOI Debt Yield for the mortgage pool, multiplied by (b) a fraction, the numerator of which is the total initial Certificate Balance and the denominator of which is the total initial Certificate Balance of the related class of certificates and all other classes, if any, that are senior to such class. The Underwritten NOI Debt Yields of the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4 and Class A–5 Certificates are calculated in the aggregate for those classes as if they were a single class.
(6)
The initial subordination levels for the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4 and Class A–5 Certificates are represented in the aggregate.
(7)
The pass–through rate applicable to the Class X–A, Class X–B and Class X–C Certificates for each Distribution Date will generally be equal to the excess of (i) the weighted average of the net mortgage 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)(A) with respect to the Class X–A Certificates, the weighted average of the pass–through rates of the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4, Class A–5 and Class A–M Certificates (based on their Certificate Balances), as further described in the Free Writing Prospectus, (B) with respect to the Class X–B Certificates, the weighted average of the pass–through rates of the Class B, Class C and Class D Certificates (based on their Certificate Balances), as further described in the Free Writing Prospectus and (C) with respect to the Class X–C Certificates, the weighted average pass–through rates of the Class E, Class F and Class G Certificates (based on their Certificate Balances), as further described in the Free Writing Prospectus.
(8)
The Class X–A, Class X–B and Class X–C Certificates (the “Class X Certificates”) will not have a Certificate Balance.  None of the Class X–A, Class X–B or Class X–C Certificates are entitled to distributions of principal.  The interest accrual amounts on the Class X–A Certificates will be calculated by reference to a notional amount equal to the sum of the total Certificate Balances of each of the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4, Class A–5 and Class A–M Certificates. The interest accrual amounts on the Class X–B Certificates will be calculated by reference to a notional amount equal to the sum of the total Certificate Balances of each of the Class B, Class C and Class D Certificates. The interest accrual amounts on the Class X–C Certificates will be calculated by reference to a notional amount equal to the sum of the total Certificate Balances of each of the Class E, Class F and Class G Certificates.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com. The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
4

 
 
COMM 2013-LC13 Mortgage Trust
 
SUMMARY OF THE CERTIFICATES
 
Short–Term Certificate Principal Paydown Summary(1)
 
Class
Mortgage Loan
Seller
Mortgage Loan
Property Type
Cut–off Date
Balance
 
Remaining Term
to Maturity (Mos.)
Cut-off Date
LTV Ratio
U/W
NCF DSCR
U/W NOI Debt Yield
A-1 / A-2
Natixis
Washington Group Plaza
Office
$35,103,154
 
58
69.6%
2.16x
14.4%  
A-1 / A-2
Natixis
DP II Portfolio
Various
$28,989,326
 
58
72.8%
1.45x
11.4%  
A-2
Natixis
Saratoga & WestShore
Office
$25,477,607
 
59
57.5%
1.57x
10.1%  
A-2
GACC
Sheraton Baltimore Inner Harbor
Hospitality
$22,477,090
 
59
45.0%
2.27x
18.4%  
A-2
LCF
1 Apollo Drive
Mixed Use
$7,489,759
 
59
59.4%
1.38x
11.0%  
A-2
Natixis
Uma Hospitality Portfolio
Hospitality
$14,000,000
 
60
62.2%
1.58x 
14.0%  
A-2
LCF
The Center Building
Office
$62,000,000
 
61
66.7%
1.82x
11.4%  
A-2
GACC
Plaza Frontenac
Retail
$52,000,000
 
61
31.3%
5.34x
17.2%  
A-3
Natixis
The Galleria - 115 East 57th Street
Office
$52,500,000
 
77
52.5%
1.37x
9.4%  
                   
(1)
This table identifies loans with balloon payments due during the principal paydown window assuming 0% CPR and no losses on the indicated loans. See “Yield and Maturity Considerations– Yield Considerations” in the Free Writing Prospectus.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
5

 
 
COMM 2013-LC13 Mortgage Trust
 
TRANSACTION HIGHLIGHTS
 
$1,077,793,713 (Approximate) New–Issue Multi–Borrower CMBS:
 
 
Overview: The mortgage pool consists of 57 fixed–rate commercial, multifamily and manufactured housing community loans that have an aggregate Cut–off Date Balance of $1,077,793,714 (the “Initial Outstanding Pool Balance”), have an average Cut–off Date Balance of $18,908,662 per Mortgage Loan and are secured by 97 Mortgaged Properties located throughout 27 states.
 
 
LTV: 61.4% weighted average Cut–off Date LTV and 52.3% weighted average Maturity Date or ARD LTV.
 
 
DSCR: 2.00x weighted average Debt Service Coverage Ratio, based on Underwritten NOI. 1.86x weighted average Debt Service Coverage Ratio, based on Underwritten NCF.
 
 
Debt Yield: 12.1% weighted average debt yield, based on Underwritten NOI. 11.2% weighted average debt yield, based on Underwritten NCF.
 
 
Credit Support: 30.000% credit support for the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4 and Class A–5 Certificates in the aggregate, which are each rated Aaa(sf) / AAA(sf) / AAA(sf) by Moody’s/S&P/KBRA.
 
Loan Structural Features:
 
 
Amortization: 92.4% of the Mortgage Loans by Cut–off Date Balance have scheduled amortization:
 
 
62.0% of the Mortgage Loans by Cut–off Date Balance have amortization for the entire term with a balloon payment due at Maturity or ARD.
 
 
30.4% of the Mortgage Loans by Cut–off Date Balance have scheduled amortization following a partial interest–only period with a balloon payment due at Maturity.
 
 
7.6% of the Mortgage Loans by Cut–off Date Balance are interest-only for the entire term.
 
 
Hard Lockboxes: 65.5% of the Mortgage Loans by Cut–off Date Balance have Hard Lockboxes in place.
 
 
Cash Traps: 89.5% of the Mortgage Loans by Cut–off Date Balance have cash traps triggered by certain declines in net cash flow, all at levels greater than or equal to 1.05x coverage, that fund an excess cash flow reserve.
 
 
Reserves: The Mortgage Loans require amounts to be escrowed for reserves upfront or on an ongoing basis as follows:
 
 
Real Estate Taxes: 52 Mortgage Loans representing 90.3% of the total Cut–off Date Balance.
 
 
Insurance Reserves: 44 Mortgage Loans representing 64.7% of the total Cut–off Date Balance.
 
 
Replacement Reserves (Including FF&E Reserves): 53 Mortgage Loans representing 88.9% of the total Cut–off Date Balance.
 
 
Tenant Improvement / Leasing Commissions: 24 Mortgage Loans representing 87.9% of the total allocated Cut–off Date Balance of office, retail, industrial and mixed use properties only.
 
 
Defeasance: 69.7% of the Mortgage Loans by Cut–off Date Balance permit defeasance only after a lockout period and prior to an open period. One of these Mortgage Loans, representing 1.0% of the Cut-off Date Balance, permits partial prepayment, with a Yield Maintenance Charge and without a lockout period, in connection with a release of individual properties subject to various conditions, including that the subject Mortgage Loan may not be prepaid below a specified balance.
 
 
Yield Maintenance: 22.9% of the Mortgage Loans by Cut–off Date Balance permit prepayment only with a Yield Maintenance Charge only after a lockout period and prior to an open period.
 
 
Defeasance or Yield Maintenance: 7.4% of the Mortgage Loans by Cut-off Date Balance permit either defeasance or prepayment only with a Yield Maintenance Charge, following a period where the loan may be prepaid only with a Yield Maintenance charge, and prior to an open period.
 
Multiple–Asset Types > 5.0% of the Total Pool:
 
 
Office: 27.7% of the Mortgaged Properties by allocated Cut–off Date Balance are office properties.
 
 
Retail: 23.4% of the Mortgaged Properties by allocated Cut–off Date Balance are retail properties (22.1% of the Mortgaged Properties are anchored retail properties, including single tenant and shadow anchored properties).
 
 
Multifamily: 17.5% of the Mortgaged Properties by allocated Cut–off Date Balance are multifamily properties.
 
 
Hospitality: 11.9% of the Mortgaged Properties by allocated Cut–off Date Balance are hospitality properties.
 
 
Industrial: 9.0% of the Mortgaged Properties by allocated Cut-off Date Balance are industrial properties.
 
 
Manufactured Housing Community: 7.3% of the Mortgaged Properties by allocated Cut–off Date Balance are manufactured housing communities.
 
Geographic Diversity: The 97 Mortgaged Properties are located throughout 27 states, with only two states having greater than 10.0% by allocated Cut–off Date Balance: New York (22.4%) and California (12.1%).
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
6

 
 
COMM 2013-LC13 Mortgage Trust
 
STRUCTURE OVERVIEW
 
Principal Payments:
Payments in respect of principal of the Certificates will be distributed, first, to the Class A–SB Certificates, until the Certificate Balance of such Class is reduced to the planned principal balance for the related Distribution Date set forth on Annex A–3 to the Free Writing Prospectus, then, to the Class A–1, Class A–2, Class A–3, Class A–4, Class A–5 and Class A–SB Certificates, in that order, until the Certificate Balance of each such Class is reduced to zero, and then, to the Class A–M, Class B, Class C, Class D, Class E, Class F and Class G Certificates, in that order, until the Certificate Balance of each such Class is reduced to zero.  Notwithstanding the foregoing, if the total principal balance of the Class A–M through Class G Certificates has been reduced to zero as a result of loss allocation, payments in respect of principal of the Certificates will be distributed, first, to the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4 and Class A–5 Certificates, on a pro rata basis, based on the Certificate Balance of each such Class, then, to the extent of any recoveries on realized losses, to the Class A–M, Class B, Class C, Class D, Class E, Class F and Class G Certificates, in that order, in each case until the Certificate Balance of each such Class is reduced to zero (or previously allocated realized losses have been fully reimbursed).

The Class X–A, Class X–B and Class X–C Certificates will not be entitled to receive distributions of principal; however, (i) the notional amount of the Class X–A Certificates will be reduced by the aggregate amount of principal distributions and realized losses allocated to the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4, Class A–5 and Class A–M Certificates; (ii) the notional amount of the Class X–B Certificates will be reduced by the principal distributions and realized losses allocated to the Class B, Class C and Class D Certificates; and (iii) the notional amount of the Class X-C Certificates will be reduced by the principal distributions and realized loses allocated to Class E, Class F and Class G Certificates.
   
Interest Payments:
On each Distribution Date, interest accrued for each Class of the Certificates at the applicable pass–through rate will be distributed in the following order of priority, to the extent of available funds: first, to the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4, Class A–5, Class X–A, Class X–B and Class X–C Certificates, on a pro rata basis, based on the accrued and unpaid interest on each such Class, and then, to the Class A–M, Class B, Class C, Class D, Class E, Class F and Class G Certificates, in that order, in each case until the interest payable to each such Class is paid in full.
 
The pass–through rates applicable to the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4, Class A–5, Class A–M, Class B, Class C, Class D, Class E, Class F and Class G Certificates for each Distribution Date will equal one of: (i) a fixed per annum rate, (ii) the weighted average of the net mortgage 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 such distribution date occurs, (iii) a rate equal to the lesser of a specified pass–through rate and the weighted average of the net mortgage 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 such distribution date occurs, or (iv) the weighted average of the net mortgage 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 such distribution date occurs, less a specified rate.
 
The pass–through rate applicable to the Class X–A, Class X–B and Class X–C Certificates for each Distribution Date will generally be equal to the excess of (i) the weighted average of the net mortgage 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–
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
7

 
 
COMM 2013-LC13 Mortgage Trust
 
STRUCTURE OVERVIEW
 
  day months), over (ii)(A) with respect to the Class X–A Certificates, the weighted average of the pass–through rates of the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4, Class A–5 and Class A–M Certificates (based on their Certificate Balances), as further described in the Free Writing Prospectus, (B) with respect to the Class X–B Certificates, the weighted average pass–through rates of the Class B, Class C and Class D Certificates (based on their Certificate Balances), as further described in the Free Writing Prospectus and (C) with respect to the Class X–C Certificates, the weighted average pass–through rates of the Class E, Class F and Class G Certificates (based on their Certificate Balances), as further described in the Free Writing Prospectus.
   
Prepayment Interest Shortfalls:
Net prepayment interest shortfalls will be allocated pro rata based on interest entitlements, in reduction of the interest otherwise payable with respect to each interest–bearing class of certificates.
 
Loss Allocation:
Losses will be allocated to each Class of Certificates in reverse alphabetical order starting with Class G through and including Class A–M, and then to Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4 and Class A–5 Certificates on a pro rata basis based on the Certificate Balance of each such class. The notional amount of either Class of Class X Certificates will be reduced by the aggregate amount of realized losses allocated to Certificates that are components of the notional amount of such Class of Class X Certificates.
 
Prepayment Premiums:
 
A percentage of all prepayment premiums (either fixed prepayment premiums or yield maintenance amount) collected will be allocated to each of the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4, Class A–5, Class A–M, Class B, Class C and Class D Certificates (the “YM P&I Certificates”) then entitled to principal distributions, which percentage will be equal to the product of (a) a fraction, not greater than one, the numerator of which is the amount of principal distributed to such Class on such Distribution Date and the denominator of which is the total amount of principal distributed to the holders of the Class A–1, Class A–2, Class A–SB, Class A–3, Class A–4, Class A–5, Class A–M, Class B, Class C and Class D Certificates on such Distribution Date, and (b) a fraction (expressed as a percentage which can be no greater than 100% nor less than 0%), the numerator of which is the excess of the pass–through rate of such Class of Certificates currently receiving principal over the relevant Discount Rate, and the denominator of which is the excess of the Mortgage Rate of the related Mortgage Loan over the relevant Discount Rate.
 
Prepayment Premium Allocation Percentage for all YM P&I Certificates =
 
 
(Pass–Through Rate – Discount Rate)
  The percentage of the principal
distribution amount to such
Class as described in (a) above
 
(Mortgage Rate – Discount Rate)
X
     
 
 
The remaining percentage of the prepayment premiums will be allocated to the Class X Certificates in the manner described in the Free Writing Prospectus. In general, this formula provides for an increase in the percentage of prepayment premiums allocated to the YM P&I Certificates then entitled to principal distributions relative to the Class X Certificates as Discount Rates decrease and a decrease in the percentage allocated to such Classes as Discount Rates rise.
 
Sale of Defaulted Loans:
Defaulted loans will be sold in a process similar to the sale process for REO property, as described under “The Pooling and Servicing Agreement—Sale of Defaulted Mortgage Loans and Serviced REO Properties” and “Description of the Mortgage Pool—Loan Combination” in the Free Writing Prospectus.  There will be no “fair market value purchase option” and the Controlling Class Representative will have no right of first
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
8

 
 
COMM 2013-LC13 Mortgage Trust
 
STRUCTURE OVERVIEW
 
  refusal with respect to the sale of defaulted loans.
   
Loan Combinations/Split Loan
    Structures:
The Mortgaged Property identified on Annex A–1 to the Free Writing Prospectus as 15 MetroTech Center secures a Mortgage Loan (the “15 MetroTech Center Loan”) with an outstanding principal balance as of the Cut–off Date of $80,000,000, collectively evidenced by Note A-2-A and Note A-2-B, representing approximately 7.4% of the Initial Outstanding Pool Balance, and secures on a pari passu basis companion loans that have an aggregate outstanding principal balance as of the Cut-off Date of $90,000,000, collectively evidenced by Note A-1-A and Note A-1-B, which are currently held by LCF or an affiliate thereof (although it may be subject to a warehousing arrangement) and Bank of America, N.A., respectively. The 15 MetroTech Center Loan and related companion loans are pari passu in right of payment and are collectively referred to herein as the “15 MetroTech Center Loan Combination.”
   
 
The 15 MetroTech Center Loan Combination will initially be serviced pursuant to the pooling and servicing agreement related to this transaction (the “Pooling and Servicing Agreement”) and the related intercreditor agreement. The 15 MetroTech Center pari passu companion loans evidenced by Note A-1-A and Note A-1-B may be sold or further divided at any time (subject to compliance with the terms of the related intercreditor agreement). Servicing of the 15 MetroTech Center Loan Combination will transfer to the pooling and servicing agreement for a to be determined securitization of all or any portion of the 15 MetroTech Center pari passu companion loans. For additional information regarding the 15 MetroTech Center Loan Combination, see “Description of the Mortgage Pool—Loan Combination—15 MetroTech Center Loan Combination” in the Free Writing Prospectus. With respect to the 15 MetroTech Center Loan Combination, the holders of the related companion loans or their designee will have certain control rights over servicing matters regarding that loan combination.
 
Control Rights:
Certain Classes of Certificates (the “Control Eligible Certificates”) will have certain control rights over servicing matters with respect to each Mortgage Loan (other than with respect to the 15 MetroTech Center Loan Combination). The majority owner or appointed representative of the Class of Control Eligible Certificates that is the Controlling Class (such owner or representative, the “Directing Holder”), will be entitled to direct the Special Servicer to take, or refrain from taking certain actions with respect to a Mortgage Loan. Furthermore, the Directing Holder will also have the right to receive notice and consent to certain material actions that the Master Servicer and the Special Servicer proposes to take with respect to such Mortgage Loan.
  
Control Eligible Certificates:
Class F and Class G Certificates.
 
Controlling Class:
The Controlling Class will be the most subordinate Class of Control Eligible Certificates then outstanding that has an aggregate Certificate Balance, as notionally reduced by any Appraisal Reduction Amounts allocable to such Class, equal to no less than 25% of the initial Certificate Balance of such Class.
 
The Controlling Class as of the Settlement Date will be the Class G Certificates.
 
Appraised–Out Class:
Any Class of Control Eligible Certificates that has been determined, as a result of Appraisal Reductions Amounts allocable to such Class, to no longer be the Controlling Class.
 
Remedies Available to Holders
     of an Appraised–Out Class:
Holders of the majority of any Class of Control Eligible Certificates that is determined at any time of determination to no longer be the Controlling Class as a result of an allocation of an Appraisal Reduction Amounts in respect of such Class will have the right, at their sole expense, to require the Special Servicer to order a second appraisal for any Mortgage Loan for which an Appraisal Reduction Event has occurred. Upon receipt of the
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
9

 
 
COMM 2013-LC13 Mortgage Trust
 
STRUCTURE OVERVIEW
 
  second appraisal, the Special Servicer will be required to determine, in accordance with the Servicing Standard, whether, based on its assessment of the second appraisal, a recalculation of the Appraisal Reduction Amount is warranted. If warranted, the Special Servicer will direct the Master Servicer to recalculate the Appraisal Reduction Amount based on the second appraisal, and if required by such recalculation, the Special Servicer will reinstate the Appraised–Out Class as the Controlling Class. The Holders of an Appraised–Out Class requesting a second appraisal will not be entitled to exercise any rights of the Controlling Class until such time, if any, as the Class is reinstated as the Controlling Class.
   
Directing Holder:
It is expected that Rialto Real Estate Fund, L.P. will be the initial Directing Holder and will own a majority of the Class F and Class G Certificates as of the Settlement Date.

Control Termination Event:
Will occur when no Class of Control Eligible Certificates has a Certificate Balance (as notionally or actually reduced by any Appraisal Reduction Amounts and Realized Losses) equal to or greater than 25% of the Certificate Balance as of the Settlement Date.
 
 
Upon the occurrence and the continuance of a Control Termination Event, the Controlling Class will no longer have any Control Rights. The Directing Holder will no longer have the right to direct certain actions of the Special Servicer and will no longer have consent rights with respect to certain material actions that the Master Servicer or Special Servicer proposes to take with respect to a Mortgage Loan.

Upon the occurrence and continuation of a Control Termination Event, the Directing Holder (i.e., the majority owner or representative of the senior most Class of Control Eligible Certificates) will retain non–binding consultation rights with respect to certain material actions that the Special Servicer proposes to take with respect to a Mortgage Loan. Such consultation rights will continue until the occurrence of a Consultation Termination Event.
 
Consultation Termination Event:
Will occur when, without giving regard to the application of any Appraisal Reduction Amounts (i.e., giving effect to principal reduction through Realized Losses only), there is no Class of Control Eligible Certificates that has an aggregate Certificate Balance equal to 25% or more of the initial Certificate Balance of such Class.

Upon the occurrence and continuance of a Consultation Termination Event, the Directing Holder will have no rights under the Pooling and Servicing Agreement other than those rights that all Certificateholders have.
 
Appointment and Replacement
     of Special Servicer:
The Directing Holder will appoint the initial Special Servicer as of the Settlement Date. Prior to the occurrence and continuance of a Control Termination Event, the Special Servicer (other than with respect to the 15 MetroTech Center Loan Combination) may generally be replaced at any time by the Directing Holder.

Upon the occurrence and during the continuance of a Control Termination Event, the Directing Holder will no longer have the right to replace the Special Servicer and such replacement (other than with respect to the 15 MetroTech Center Loan Combination) will occur based on a vote of holders of all voting eligible Classes of Certificates as described below.
 
Replacement of Special Servicer
     by Vote of Certificateholders:
If a Control Termination Event has occurred and is continuing, upon (i) the written direction of holders of Certificates evidencing not less than 25% of the voting rights of all Classes of Certificates entitled to principal (taking into account the application of Appraisal Reduction Amounts to notionally reduce the Certificate Balances of Classes to which such Appraisal Reduction Amounts are allocable) requesting a vote to replace the Special Servicer with a replacement Special Servicer, (ii) payment by such requesting
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
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COMM 2013-LC13 Mortgage Trust
 
STRUCTURE OVERVIEW
 
  holders to the Certificate Administrator of all reasonable fees and expenses to be incurred by the Certificate Administrator in connection with administering such vote and (iii) delivery by such holders to the Certificate Administrator of written confirmations from each Rating Agency that the appointment of the replacement Special Servicer will not result in a downgrade of the Certificates, the Certificate Administrator will be required to promptly provide written notice to all certificateholders of such request and conduct the solicitation of votes of all Certificates in such regard. Upon the written direction (within 180 days) of (i) Holders of at least 75% of the aggregate voting rights of all Classes of Certificates entitled to principal (taking into account Realized Losses and the application of Appraisal Reduction Amounts to notionally reduce the Certificate Balances of Classes to which such Appraisal Reduction Amounts are allocable) or (ii) the Holders of more than 50% of the voting rights of each Class of Non–Reduced Certificates, the Trustee will immediately replace the Special Servicer (other than with respect to the 15 MetroTech Center Loan Combination) with the replacement Special Servicer.
   
  In addition, after the occurrence of a Consultation Termination Event, if the Operating Advisor determines that the Special Servicer is not performing its duties in accordance with the Servicing Standard, the Operating Advisor will have the right to recommend the replacement of the Special Servicer (other than with respect to the 15 MetroTech Center Loan Combination). The Operating Advisor’s recommendation to replace the Special Servicer (other than with respect to the 15 MetroTech Center Loan Combination) must be confirmed by a majority of the voting rights of all Classes of Certificates (taking into account the application of Appraisal Reduction Amounts to notionally reduce the Certificate Balances of Classes to which such Appraisal Reduction Amounts are allocable) within 180 days from the time such recommendation is posted to the Certificate Administrator website and is subject to the receipt of written confirmations from each Rating Agency that the appointment of the replacement Special Servicer will not result in a downgrade of the Certificates.
   
Cap on Workout and Liquidation
     Fees:
The workout fees and liquidation fees payable to a Special Servicer under the Pooling and Servicing Agreement will be an amount equal to the lesser of: (1) 1.0% of each collection of interest and principal following a workout or liquidation and (2) $1,000,000 per workout or liquidation. All Modification Fees actually paid to the Special Servicer in connection with a workout or liquidation or in connection with any prior workout or partial liquidation that occurred within the prior 18 months will be deducted from the total workout and/or liquidation fees payable (other than Modification Fees earned while the Mortgage Loan was not in special servicing). In addition, the total amount of workout and liquidation fees actually payable by the Trust under the Pooling and Servicing Agreement will be capped in the aggregate at $1,000,000 for each Mortgage Loan. If a new special servicer begins servicing the Mortgage Loan, all amounts paid to the prior special servicer will be disregarded for purposes of calculating the cap.
 
Special Servicer Compensation:
The special servicing fee will equal 0.25% per annum of the stated principal balance of the related specially serviced loan or REO property. The Special Servicer and its affiliates will be prohibited from receiving or retaining any compensation or any other remuneration under the Pooling and Servicing Agreement (including in the form of commissions, brokerage fees, rebates, or as a result of any other fee–sharing arrangement) from any person (including the issuing entity, any borrower, any manager, any guarantor or indemnitor in respect of a Mortgage Loan or Serviced Loan Combination, if any, and any purchaser of any Mortgage Loan, Serviced Companion Loan or REO Property) in connection with the disposition, workout or foreclosure of any Mortgage Loan or Serviced Loan Combination, the management or disposition of any REO Property, or the performance of any other special servicing duties under the Pooling and Servicing Agreement, other than as expressly permitted in the Pooling and Servicing Agreement and other than commercially reasonable treasury management fees, banking fees and insurance commissions or fees received or retained by the Special Servicer or any of its
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
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     Affiliates in connection with any services performed by such party with respect to any mortgage loan. The Special Servicer will also be required to report any compensation or other remuneration the Special Servicer or its affiliates have received from any person and such information will be disclosed in the Certificateholders’ monthly distribution date statement.
   
Operating Advisor:
With respect to the Mortgage Loans (other than the 15 MetroTech Center Loan) and prior to the occurrence of a Control Termination Event, the Operating Advisor will have access to any final asset status report and all information available with respect to the transaction on the Certificate Administrator’s website but will not have any approval or consultation rights.  After the occurrence and during the continuance of a Control Termination Event, the Operating Advisor will have consultation rights with respect to certain major decisions and will have additional monitoring responsibilities on behalf of the entire trust.

The Operating Advisor will be subject to termination if holders of at least 15% of the aggregate voting rights of the Certificates (in connection with termination and replacement relating to the Mortgage Loans), vote to terminate and replace the Operating Advisor and such vote is approved by holders of more than 50% of the applicable voting rights that exercise their right to vote, provided that holders of at least 50% of the applicable voting rights 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.
   
Liquidated Loan Waterfall:
On liquidation of any Mortgage Loan, all net liquidation proceeds will be applied so that amounts allocated as a recovery of accrued and unpaid interest will not, in the first instance, include any amount by which the interest portion of P&I Advances previously made was reduced as a result of Appraisal Reduction Amounts. After the adjusted interest amount is so allocated, any remaining net liquidation proceeds will be allocated to pay principal on the Mortgage Loan until the unpaid principal amount of the Mortgage Loan has been reduced to zero. Any remaining liquidation proceeds would then be allocated as a recovery of accrued and unpaid interest corresponding to the amount by which the interest portion of P&I Advances previously made was reduced as a result of Appraisal Reduction Amounts.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
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COMM 2013-LC13 Mortgage Trust
 
OVERVIEW OF MORTGAGE POOL CHARACTERISTICS
 
Distribution of Cut–off Date Balances(1)(2)
                 
% of Initial
 
Weighted Averages
                 
Outstanding
       
Stated
 
U/W
       
LTV Ratio
     
Number of
 
Aggregate
 
Pool
       
Remaining Term
 
NCF
 
Cut–off Date
 
at Maturity
Range of Cut–off Date Balances
Mortgage Loans
 
Cut–off Date Balance
 
Balance
 
Mortgage Rate
 
(Mos.)(3)
 
DSCR
 
LTV Ratio(4)
 
or ARD(4)
$2,295,493
-
$9,999,999
24
   
$138,352,069
   
12.8%
   
5.4128%
 
 
116
 
1.52x
 
67.1%
   
53.6%
 
$10,000,000
-
$24,999,999
18
   
$266,067,402
   
24.7%
   
5.2718%
   
111
 
1.64x
 
63.8%
   
52.6%
 
$25,000,000
-
$39,999,999
9
   
$286,103,326
   
26.5%
   
4.9320%
   
100
 
2.04x
 
62.6%
   
55.1%
 
$40,000,000
-
$54,999,999
3
   
$144,500,000
   
13.4%
   
4.4038%
   
  83
 
2.77x
 
47.9%
   
44.8%
 
$55,000,000
-
$69,999,999
1
   
$62,000,000
   
5.8%
   
4.4310%
   
  61
 
1.82x
 
66.7%
   
63.3%
 
$70,000,000
-
$100,770,916
2
   
$180,770,916
   
16.8%
   
5.4584%
   
119
 
1.44x
 
60.7%
   
48.6%
 
Total/Weighted Average
57
   
$1,077,793,714
   
100.0%
   
5.0662%
   
103
 
1.86x
 
61.4%
   
52.3%
 
 
Distribution of Mortgage Rates(1)(2)
                 
% of Initial
 
Weighted Averages
                 
Outstanding
       
Stated
           
LTV Ratio
     
Number of
 
Aggregate
 
Pool
       
Remaining Term
 
U/W NCF
 
Cut–off Date
 
at Maturity
Range of Mortgage Rates
Mortgage Loans
 
Cut–off Date Balance
 
Balance
 
Mortgage Rate
 
(Mos.)(3)
 
DSCR
 
LTV Ratio(4)
 
or ARD(4)
3.0400%
-
4.2499%
3
   
$117,103,154
   
10.9%
   
3.5907%
 
 
75
 
4.71x
 
38.5%
   
36.6%
 
4.2500%
-
4.4999%
2
   
$71,164,879
   
6.6%
   
4.4141%
   
68
 
1.78x
 
67.5%
   
62.7%
 
4.5000%
-
4.7499%
2
   
$42,127,607
   
3.9%
   
4.6471%
   
83
 
1.53x
 
62.2%
   
57.6%
 
4.7500%
-
6.0560%
50
   
$847,398,075
   
78.6%
   
5.3458%
   
111
 
1.49x
 
64.0%
   
53.3%
 
Total/Weighted Average
57
   
$1,077,793,714
   
100.0%
   
5.0662%
   
103
 
1.86x
 
61.4%
   
52.3%
 
 
Property Type Distribution(1)(2)(5)
                   
Weighted Averages
 
                       
Property Type
 
Number of
Mortgaged
Properties
 
Aggregate
Cut–off
Date Balance
 
% of Initial
Outstanding
Pool
Balance
      
Number
of Units, Rooms,
Pads, NRA or
Beds
     
Cut–off Date
Balance per
Unit/Room
Pad/NRA/Bed
 
Mortgage
Rate
 
Stated
Remaining 
Term
(Mos.)(3)
 
Occupancy
 
U/W NCF
DSCR
 
Cut–off Date
LTV Ratio(4)
 
LTV Ratio
at Maturity
or ARD(4)
 
Office
 
13
   
$298,449,698
   
27.7%
   
2,832,277
   
$181
   
4.8849%
 
84
   
92.0%
   
1.59x
   
63.0%
   
55.1%
   
CBD
 
5
   
$242,703,154
   
22.5%
   
2,094,221
   
$197
   
4.8492%
 
87
   
92.5%
   
1.61x
   
62.7%
   
54.3%
   
Suburban
 
8
   
$55,746,544
   
5.2%
   
738,056
   
$115
   
5.0406%
 
74
   
89.9%
   
1.50x
   
64.3%
   
58.3%
   
Retail
 
37
   
$252,682,607
   
23.4%
   
1,861,187
   
$181
   
4.8772%
 
107
   
96.4%
   
2.26x
   
57.4%
   
49.8%
   
Anchored(6)
 
34
   
$238,104,551
   
22.1%
   
1,815,728
   
$172
   
4.8531%
 
106
   
96.4%
   
2.32x
   
56.6%
   
49.1%
   
Unanchored
 
3
   
$14,578,056
   
1.4%
   
45,459
   
$343
   
5.2704%
 
119
   
96.0%
   
1.40x
   
70.5%
   
60.8%
   
Multifamily(7)
 
13
   
$188,151,729
   
17.5%
   
3,991
   
$79,616
   
5.1038%
 
120
   
94.5%
   
2.23x
   
61.3%
   
52.9%
   
Hospitality
 
14
   
$127,724,609
   
11.9%
   
2,052
   
$73,116
   
5.3943%
 
101
   
66.5%
   
1.93x
   
58.7%
   
46.0%
   
Limited Service
 
10
   
$67,157,001
   
6.2%
   
1,011
   
$77,639
   
5.5243%
 
112
   
73.2%
   
1.68x
   
61.8%
   
46.1%
   
Full Service
 
3
   
$53,977,090
   
5.0%
   
945
   
$68,034
   
5.2342%
 
85
   
58.8%
   
2.27x
   
54.1%
   
45.5%
   
Extended Stay
 
1
   
$6,590,518
   
0.6%
   
96
   
$68,651
   
5.3800%
 
119
   
61.8%
   
1.65x
   
63.7%
   
48.4%
   
Industrial
 
7
   
$97,148,749
   
9.0%
   
3,121,267
   
$38
   
5.3149%
 
111
   
95.5%
   
1.43x
   
64.4%
   
50.8%
   
Manufactured Housing Community
 
3
   
$78,639,620
   
7.3%
   
858
   
$127,737
   
5.4150%
 
119
   
96.6%
   
1.26x
   
67.3%
   
59.1%
   
Mixed Use
 
6
   
$23,716,341
   
2.2%
   
270,283
   
$166
   
5.0586%
 
99
   
87.9%
   
1.37x
   
67.4%
   
56.8%
   
Multifamily/Retail/Office
 
1
   
$9,164,879
   
0.9%
   
65,352
   
$140
   
4.3000%
 
115
   
100.0%
   
1.48x
   
72.7%
   
58.8%
   
Office/Warehouse
 
1
   
$7,489,759
   
0.7%
   
181,715
   
$41
   
5.6500%
 
59
   
71.7%
   
1.38x
   
59.4%
   
53.5%
   
Retail/Multifamily
 
4
   
$7,061,703
   
0.7%
   
23,216
   
$331
   
5.4160%
 
119
   
89.3%
   
1.23x
   
69.1%
   
57.6%
   
Self Storage
 
4
   
$11,280,361
   
1.0%
   
1,861
   
$6,563
   
5.2015%
 
119
   
86.0%
   
1.60x
   
64.6%
   
52.3%
   
Total/Weighted Average
 
97
   
$1,077,793,714
   
100.0%
               
5.0662%
 
103
   
90.9%
   
1.86x
   
61.4%
   
52.3%
   
 
Geographic Distribution(1)(2)(5)
           
% of Initial
Outstanding
Pool
Balance
 
Weighted Averages
State/Location
Number of
Mortgaged
Properties
 
Aggregate Cut–off
Date Balance
   
Mortgage Rate
 
Stated
Remaining Term
(Mos.)(3)
 
U/W NCF DSCR
 
Cut–off Date
LTV Ratio(4)
 
LTV Ratio
at Maturity
or ARD(4)
New York
8
   
$241,035,638
   
22.4%
   
4.9182%
   
94
   
2.16x
 
55.1%
 
47.5%
 
California
7
   
$130,677,607
   
12.1%
   
5.2111%
   
108
   
1.38x
 
61.2%
 
55.5%
 
Northern(8)
3
   
$65,477,607
   
6.1%
   
5.1304%
   
96
   
1.37x
 
61.1%
 
56.8%
 
Southern(8)
4
   
$65,200,000
   
6.0%
   
5.2922%
   
120
   
1.39x
 
61.3%
 
54.1%
 
Texas
15
   
$98,360,702
   
9.1%
   
5.5050%
   
119
   
1.73x
 
66.0%
 
52.0%
 
Illinois
12
   
$66,899,268
   
6.2%
   
5.3390%
   
100
   
1.32x
 
70.9%
 
61.2%
 
Tennessee
3
   
$64,593,401
   
6.0%
   
5.3563%
   
119
   
1.43x
 
68.0%
 
56.6%
 
Michigan
10
   
$57,090,305
   
5.3%
   
5.0448%
   
109
   
1.55x
 
67.1%
 
49.8%
 
Ohio
4    
$53,374,948
   
5.0%
   
5.3092%
   
119
   
1.41x
 
67.4%
 
58.2%
 
Other
38
   
$365,761,844
   
33.9%
   
4.8608%
   
99
   
2.15x
 
59.8%
 
51.5%
 
Total/Weighted Average
97
   
$1,077,793,714
   
100.0%
   
5.0662%
   
103
   
1.86x
 
61.4%
 
52.3%
 
(1)
With respect to the 15 MetroTech Center Loan, LTV, DSCR and Cut–off Date Balance per Unit/Room/Pad/NRA/Bed calculations include the related pari passu companion loans.
(2)
With respect to The Ritz Tower loan, LTV and DSCR calculations are based on underwritten NOI, underwritten NCF and/or an appraised value that were determined assuming that the related mortgaged property, which is a residential cooperative, is operated as a multifamily rental property.
(3)
In the case of one mortgage loan with an anticipated repayment date, Stated Remaining Term (Mos.) is through the related anticipated repayment date.
(4)
With respect to the Colinx Industrial Building loan, the Cut-off Date LTV Ratio and LTV Ratio at Maturity or ARD have been calculated based on the “As Stabilized” appraised value of $46.3 million. The “As-is” Cut-off Date LTV and “As-is” Maturity Date or ARD LTV are 83.8% and 69.6%, respectively.
(5)
Reflects allocated loan amount for properties securing multi–property Mortgage Loans.
(6)
Includes anchored, single tenant and shadow anchored properties.
(7)
Includes one mortgaged property, securing a mortgage loan representing 2.8% of the Initial Outstanding Pool Balance, that operates as a residential cooperative.
(8)
Northern California properties have a zip code greater than 93600. Southern California properties have a zip code less than or equal to 93600.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
13

 

COMM 2013-LC13 Mortgage Trust
 
OVERVIEW OF MORTGAGE POOL CHARACTERISTICS
 
Distribution of Cut-off Date LTV Ratios(1)(2)
             
Weighted Averages
         
% of Initial
     
Stated
         
LTV Ratio
Range of Cut–off Date LTV
Ratios
Number of
 
Aggregate Cut–off
 
Outstanding
     
Remaining Term
 
U/W NCF
 
Cut–off Date
 
at Maturity
Mortgage Loans
 
Date Balance
 
Pool Balance
 
Mortgage Rate
 
(Mos.)(3)
 
DSCR 
 
LTV Ratio(4)
 
or ARD(4)
14.6%
-
49.9%
4
   
$108,464,585
   
10.1%
   
3.8860%
   
  79
 
4.92x
 
30.2%
   
29.0%
 
50.0%
-
54.9%
3
   
$81,838,133
   
7.6%
   
5.0362%
   
  90
 
1.48x
 
52.3%
   
46.1%
 
55.0%
-
59.9%
6
   
$148,248,910
   
13.8%
   
5.3967%
   
106
 
1.48x
 
59.0%
   
49.5%
 
60.0%
-
64.9%
11
   
$202,742,194
   
18.8%
   
5.4107%
   
116
 
1.57x
 
62.2%
   
50.2%
 
65.0%
-
69.9%
19
   
$338,097,048
   
31.4%
   
4.9829%
   
102
 
1.56x
 
67.7%
   
58.4%
 
70.0%
-
75.0%
14
   
$198,402,844
   
18.4%
   
5.2671%
   
110
 
1.43x
 
72.5%
   
61.4%
 
Total/Weighted Average
57
   
$1,077,793,714
   
100.0%
   
5.0662%
   
103
 
1.86x
 
61.4%
   
52.3%
 
 
 Distribution of LTV Ratios at Maturity or ARD(1)(2)
             
Weighted Averages
         
% of Initial
     
Stated
         
LTV Ratio
Range of LTV Ratios
Number of
 
Aggregate Cut–off
 
Outstanding
     
Remaining Term
 
U/W NCF
 
Cut–off Date
 
at Maturity or
at Maturity or ARD
Mortgage Loans
 
Date Balance
 
Pool Balance
 
Mortgage Rate
 
(Mos.)(3)
 
DSCR
 
LTV Ratio(4)
 
 ARD(4)
14.6%
-
49.9%
17
   
$442,344,517
   
41.0%
   
4.9894%
   
104
 
2.37x
 
51.9%
   
42.1%
 
50.0%
-
54.9%
10
   
$118,396,560
   
11.0%
   
5.2719%
   
103
 
1.53x
 
63.1%
   
53.6%
 
55.0%
-
59.9%
17
   
$261,712,682
   
24.3%
   
5.3534%
   
116
 
1.36x
 
68.0%
   
58.4%
 
60.0%
-
67.4%
13
   
$255,339,955
   
23.7%
   
4.8096%
   
  90
 
1.63x
 
70.4%
   
63.2%
 
Total/Weighted Average
57
   
$1,077,793,714
   
100.0%
   
5.0662%
   
103
 
1.86x
 
61.4%
   
52.3%
 
 
Distribution of Underwritten NCF Debt Service Coverage Ratios(1)(2)
             
Weighted Averages
         
% of Initial
     
Stated
         
LTV Ratio
Range of Underwritten NCF
Number of
 
Aggregate Cut–off
 
Outstanding
     
Remaining Term
 
U/W NCF
 
Cut–off Date
 
at Maturity or
Debt Service Coverage Ratios
Mortgage Loans
 
Date Balance
 
Pool Balance
 
Mortgage Rate
 
(Mos.)(3)
 
DSCR
 
LTV Ratio(4)
 
ARD(4)
1.23x
-
1.39x
18
   
$349,719,067
   
32.4%
   
5.2968%
   
112
 
1.32x
 
64.9%
   
56.5%
 
1.40x
-
1.44x
6
   
$100,210,709
   
9.3%
   
5.4730%
   
120
 
1.42x
 
63.1%
   
48.6%
 
1.45x
-
1.54x
13
   
$263,009,654
   
24.4%
   
5.2686%
   
112
 
1.47x
 
65.7%
   
54.5%
 
1.55x
-
1.64x
6
   
$85,299,417
   
7.9%
   
5.2935%
   
  92
 
1.58x
 
64.8%
   
54.6%
 
1.65x
-
1.74x
5
   
$34,151,051
   
3.2%
   
5.3707%
   
119
 
1.70x
 
63.8%
   
48.4%
 
1.75x
-
1.84x
1
   
$62,000,000
   
5.8%
   
4.4310%
   
   61
 
1.82x
 
66.7%
   
63.3%
 
1.85x
-
1.99x
1
   
$2,295,493
   
0.2%
   
5.3490%
   
118
 
1.91x
 
60.4%
   
50.3%
 
2.00x
-
6.60x
7
   
$181,108,323
   
16.8%
   
4.1517%
   
   82
 
3.86x
 
43.9%
   
39.1%
 
Total/Weighted Average
57
   
$1,077,793,714
   
100.0%
   
5.0662%
   
103
 
1.86x
 
61.4%
   
52.3%
 
 
Distribution of Original Terms to Maturity or ARD(1)(2)
             
Weighted Averages
         
% of Initial
     
Stated
         
LTV Ratio
Range of Original Terms
Number of
 
Aggregate Cut–off
 
Outstanding
     
Remaining Term
 
U/W NCF
 
Cut–off Date
 
at Maturity or
to Maturity or ARD
Mortgage Loans
 
Date Balance
 
 Pool Balance
 
Mortgage Rate
 
 (Mos.)(3)
 
DSCR
 
LTV Ratio(4)
 
  ARD(4)
60
-
60
7
   
$185,536,935
   
17.2%
   
4.2704%
   
  59
 
2.80x
 
53.8%
   
50.0%
 
69
-
84
2
   
$114,500,000
   
10.6%
   
4.6891%
   
  68
 
1.61x
 
60.2%
   
56.1%
 
120
-
120
48
   
$777,756,778
   
72.2%
   
5.3116%
   
119
 
1.67x
 
63.4%
   
52.3%
 
Total/Weighted Average
57
   
$1,077,793,714
   
100.0%
   
5.0662%
   
103
 
1.86x
 
61.4%
   
52.3%
 
 
Distribution of Remaining Terms to Maturity or ARD(1)(2)
             
Weighted Averages
         
% of Initial
     
Stated
         
LTV Ratio
Range of Remaining Terms
Number of
 
Aggregate Cut–off
 
Outstanding
     
Remaining Term
 
U/W NCF
 
Cut–off Date
 
at Maturity or
to Maturity or ARD
Mortgage Loans
 
Date Balance
 
 Pool Balance
 
Mortgage Rate
 
 (Mos.)(3)
 
DSCR
 
LTV Ratio(4)
 
 ARD(4)
58
-
61
8
   
$247,536,935
   
23.0%
   
4.3107%
   
  60
 
2.55x
 
57.0%
   
53.4%
 
77
-
77
1
   
$52,500,000
   
4.9%
   
4.9940%
   
  77
 
1.37x
 
52.5%
   
47.5%
 
109
-
120
48
   
$777,756,778
   
72.2%
   
5.3116%
   
119
 
1.67x
 
63.4%
   
52.3%
 
Total/Weighted Average
57
   
$1,077,793,714
   
100.0%
   
5.0662%
   
103
 
1.86x
 
61.4%
   
52.3%
 
(1)  
With respect to the 15 MetroTech Center Loan, LTV, DSCR and Cut–off Date Balance per Unit/Room/Pad/NRA/Bed calculations include the related pari passu companion loans.
(2)  
With respect to The Ritz Tower loan, LTV and DSCR calculations are based on underwritten NOI, underwritten NCF and/or an appraised value that were determined assuming that the related mortgaged property, which is a residential cooperative, is operated as a multifamily rental property.
(3)  
In the case of one mortgage loan with an anticipated repayment date, Stated Remaining Term (Mos.) is through the related anticipated repayment date.
(4)  
With respect to the Colinx Industrial Building loan, the Cut-off Date LTV Ratio and LTV Ratio at Maturity or ARD have been calculated based on the “As Stabilized” appraised value of $46.3 million. The “As-is” Cut-off Date LTV and “As-is” Maturity Date or ARD LTV are 83.8% and 69.6%, respectively.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
14

 

COMM 2013-LC13 Mortgage Trust
 
OVERVIEW OF MORTGAGE POOL CHARACTERISTICS
 
Ten Largest Mortgage Loans
Mortgage Loans
 
Mortgage
Loan
Seller
 
City, State
 
Property Type
 
Cut–off Date
Balance
 
% of Initial
Outstanding
Pool Balance
 
Cut–off Date
Balance per
Pad/NRA/Unit
 
Cut–off Date
LTV Ratio
 
U/W
NCF
DSCR
 
U/W NOI
Debt
Yield
Spirit Cole Portfolio
 
GACC
 
Various, Various
 
Various
 
$100,770,916
 
9.3%
   
$70
   
59.5%
   
1.46x
 
10.8%
15 MetroTech Center(1)
 
LCF
 
Brooklyn, NY
 
Office
 
$80,000,000
 
7.4%
   
$262
   
62.3%
   
1.42x
 
11.1%
The Center Building
 
LCF
 
Long Island City, NY
 
Office
 
$62,000,000
 
5.8%
   
$140
   
66.7%
   
1.82x
 
11.4%
The Galleria - 115 East
57th Street
 
Natixis
 
New York, NY
 
Office
 
$52,500,000
 
4.9%
   
$290
   
52.5%
   
1.37x
 
9.4%
Plaza Frontenac
 
GACC
 
Saint Louis, MO
 
Retail
 
$52,000,000
 
4.8%
   
$147
   
31.3%
   
5.34x
 
17.2%
Bay View Community MHC
 
LCF
 
Seaside, CA
 
Manufactured Housing Community
 
$40,000,000
 
3.7%
   
$179,372
   
63.4%
   
1.25x
 
8.6%
NorthPointe Apartments
 
GACC
 
Euclid, OH
 
Multifamily
 
$38,750,000
 
3.6%
   
$40,832
   
69.2%
   
1.36x
 
9.7%
Washington Group Plaza
 
Natixis
 
Boise, ID
 
Office
 
$35,103,154
 
3.3%
   
$63
   
69.6%
   
2.16x
 
14.4%
Whippletree Village MHC(2)
 
LCF
 
Wheeling, IL
 
Manufactured Housing Community
 
$33,475,185
 
3.1%
   
$82,249
   
70.8%
   
1.25x
 
8.6%
El Paseo I & II
 
LCF
 
Rancho Santa Margarita, CA  
 
Retail
 
$32,000,000
 
3.0%
   
$300
   
66.7%
   
1.38x
 
9.3%
Total/Weighted Average
             
$526,599,254
 
48.9%
         
60.1%
   
1.88x
 
11.2%
(1)
With respect to the 15 MetroTech Center Loan, LTV, DSCR, debt yield and Cut–off Date Balance per Pad/NRA/Unit calculations include the related pari passu companion loans.
(2)
The sponsor of the Whippletree Village MHC loan, representing 3.1% of the outstanding pool balance as of the cut-off date, is also the sponsor of the mortgage loan secured by the mortgaged property identified on Annex A-1 as Lake Village MHC, which represents 0.5% of the outstanding pool balance as of the cut-off date.
 
Pari Passu Companion Loan Summary
Mortgage Loan
Mortgage Loan
Cut–off Date
Balance
 
Companion
Loans
Cut–off Date
Balance
 
Loan Combination
Cut–off 
Date Balance
 
Pooling & Servicing
Agreement
 
Master Servicer
 
Special Servicer
 
Voting Rights
15 MetroTech Center
$80,000,000
 
$90,000,000
 
$170,000,000
 
COMM 2013–LC13(1)
 
 Midland Loan Services
 
Rialto Capital Advisors, LLC
 
See (1) below
(1)
Prior to the securitization of the 15 MetroTech Center pari passu companion loans, the 15 MetroTech Center Loan Combination will be serviced under the pooling and servicing agreement for this securitization and the related intercreditor agreement, and the directing holder will be the holder of the pari passu companion loans, which initially will be held by LCF (Note A-1-A) or an affiliate thereof (which may be pledged in connection with a repurchase financing arrangement) and Bank of America, N.A. (Note A-1-B). After a to be determined securitization of the 15 MetroTech Center pari passu companion loans, the 15 MetroTech Center Loan Combination will be serviced under the pooling and servicing agreement entered into in connection with that securitization and the related intercreditor agreement, and the directing holder of the 15 MetroTech Center Loan Combination will be the directing holder or its equivalent under that securitization.
 
Existing Mezzanine Debt Summary
 
Mortgage Loans
 
Mortgage Loan
Cut–off Date
Balance
 
Mezzanine Debt
Cut–off Date
Balance
 
Trust
U/W NCF
DSCR
 
Total Debt
U/W NCF
DSCR
 
Trust
Cut–off Date
LTV Ratio
 
Total Debt
Cut–off Date
LTV Ratio
 
Trust
U/W NOI
Debt Yield
 
Total Debt
U/W NOI
Debt Yield
The Center Building
 
$62,000,000
 
$10,000,000
   
1.82x
   
1.43x
 
66.7%
   
77.4%
   
11.4%
   
9.8%
 
Bay View Community MHC
 
$40,000,000
 
$4,000,000
   
1.25x
   
1.08x
 
63.4%
   
69.7%
   
8.6%
   
7.8%
 
Saratoga & WestShore
 
$25,477,607
 
$4,995,609
   
1.57x
   
1.11x
 
57.5%
   
68.8%
   
10.1%
   
8.4%
 
Bridgeview Apartments(1)(2)
 
$21,500,000
 
$6,000,000
   
1.31x
    1.03x(3)  
68.3%
   
87.3%
   
9.4%
   
7.3%
 
(1)
Until a prepayment of the Required Paydown Amount (defined below) is made, the interest rate is 14.0000%, with a 12.0000% current pay rate and a 2.0000% accrual rate.  Following the mandatory prepayment, the interest rate converts to 13.0000% current pay.  The “Required Paydown Amount” is an amount equal to the greater of (a) $3,000,000 and (b) the amount required to reduce the balance of the Bridgeview Apartments mezzanine loan to result in a debt yield of at least 8.1% and an LTV ratio of no more than 80%.
(2)
Required Paydown Amount is required to be paid no later than June 6, 2014.
(3)
The Total Debt U/W NCF DSCR is based on the $3,000,000 mezzanine loan and a 13.0000% mezzanine loan interest rate.  Based upon a $6,000,000 mezzanine loan and a 12.0000% current pay rate, the Total Debt U/W NCF DSCR is 0.88x.  The Bridgeview Apartments mortgage loan is interest only for the first 25 payment dates and during this interest only period the Total Debt U/W NCF DSCR based on a $6,000,000 mezzanine loan and a 12.0000% current pay rate is 0.99x.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
15

 

COMM 2013-LC13 Mortgage Trust
 
OVERVIEW OF MORTGAGE POOL CHARACTERISTICS
 
Previous Securitization History(1)
 
Mortgage Loans
 
Mortgage
Loan Seller
 
City, State
 
Property Type
 
Cut–off Date
Balance
 
% of Initial
Outstanding
Pool Balance
Previous Securitization
The Galleria - 115 East 57th Street
 
Natixis
 
New York, NY
 
Office
 
$52,500,000
 
4.9%
 
WBCMT 2005-C19
Plaza Frontenac
 
GACC
 
Saint Louis, MO
 
Retail
 
$52,000,000
 
4.8%
 
LBUBS 2001-C7
Bay View Community MHC
 
LCF
 
Seaside, CA
 
Manufactured Housing Community
 
$40,000,000
 
3.7%
 
LBUBS 2007-C6
Washington Group Plaza
 
Natixis
 
Boise, ID
 
Office
 
$35,103,154
 
3.3%
 
GSMS 2010-C2
Whippletree Village MHC
 
LCF
 
Wheeling, IL
 
Manufactured Housing Community
 
$33,475,185
 
3.1%
 
MLCFC 2006-3
Doubletree Midland
 
Natixis
 
Midland, TX
 
Hospitality
 
$22,500,000
 
2.1%
 
JPMCC 2007-LDPX
Sheraton Baltimore Inner Harbor
 
GACC
 
Baltimore, MD
 
Hospitality
 
$22,477,090
 
2.1%
 
JPMCC 2003-LN1
Bridgeview Apartments
 
LCF
 
Tampa, FL
 
Multifamily
 
$21,500,000
 
2.0%
 
FREMF 2010-K6
Yucaipa Valley Commercial Center
 
GACC
 
Yucaipa, CA
 
Retail
 
$14,500,000
 
1.3%
 
MSC 2004-HQ3
Premier Hotel Portfolio(2)
 
Natixis
 
Various, OK
 
Hospitality
 
$14,238,133
 
1.3%
 
BSCMS 2005-PWR9
Marabou Mills and Aragon Woods
 
GACC
 
Indianapolis, IN
 
Multifamily
 
$9,450,000
 
0.9%
 
MLMT 2007-C1
Cronacher Portfolio
 
Natixis
 
Various, Various
 
Retail
 
$7,330,000
 
0.7%
 
WBCMT 2003-C7
Storage Pros Portfolio
 
Natixis
 
Various, MI
 
Self Storage
 
$7,292,866
 
0.7%
 
MSC 2005-HQ7
Lake Village MHC
 
LCF
 
Winona, MN
 
Manufactured Housing Community
 
$5,164,436
 
0.5%
 
JPMCC 2003-LN1
Hastings Self Storage
 
LCF
 
Hastings on Hudson, NY
 
Self Storage
 
$3,987,494
 
0.4%
 
MSC 2003-IQ4
Walgreens - Mt. Pleasant
 
Natixis
 
Mount Pleasant, MI
 
Retail
 
$3,410,000
 
0.3%
 
WBCMT 2003-C7
Cooper Common Plaza
 
Natixis
 
Chandler, AZ
 
Retail
 
$2,295,493
 
0.2%
 
CSFB 2003-C5
Total
             
$347,223,852
 
32.2%
   
(1)
Includes mortgaged properties securing mortgage loans for which the most recent prior financing of all or a significant portion of such property was included in a securitization.  The table above is based on information provided by the related borrower or obtained through searches of a third-party database. The information has not otherwise been confirmed by the mortgage loan sellers.
(2)
With respect to the Premier Hotel Portfolio loan, only the Holiday Inn Express McAlester property was previously securitized in BSCMS 2005-PWR9 transaction. The Holiday Inn Express Shawnee property was not previously securitized.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
16

 
 
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17

 
 
Various
Collateral Asset Summary – Loan No. 1
Spirit Cole Portfolio
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$100,770,916
59.5%
1.46x
10.8%
 
(PITURE)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
18

 
 
Various
Collateral Asset Summary – Loan No. 1
Spirit Cole Portfolio
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$100,770,916
59.5%
1.46x
10.8%
             
Mortgage Loan Information
 
Property Information
Loan Seller:
GACC
 
Single Asset / Portfolio:
Portfolio of 24 properties
Loan Purpose(1):
Acquisition
 
Property Type:
Various
Sponsor:
Spirit Realty, L.P.
 
Collateral(4):
Fee Simple
Borrower:
Spirit SPE Loan Portfolio 2013-2, LLC
 
Location:
Various
Original Balance:
$100,865,909
 
Year Built / Renovated:
Various / Various
Cut-off Date Balance:
$100,770,916
 
Total Sq. Ft.:
1,435,439
% by Initial UPB:
9.3%
 
Property Management:
Self-managed
Interest Rate:
5.5000%
 
Underwritten NOI:
$10,848,197
Payment Date:
6th of each month
 
Underwritten NCF:
$10,048,203
First Payment Date:
September 6, 2013
 
Appraised Value:
$169,260,000
Maturity Date:
August 6, 2023
 
Appraisal Date:
April – June 2013
Amortization:
360 months
     
Additional Debt:
None
 
Historical NOI(5)
Call Protection(2):
L(25), YM1(88), O(7)
 
2012 NOI:
NAV
Lockbox / Cash Management:
Hard / Springing
 
2011 NOI:
NAV
     
2010 NOI:
NAV
Reserves(3)
     
 
Initial
Monthly
 
Historical Occupancy
Taxes:
$60,874
$7,282
 
Current Occupancy:
100.0% (September 6, 2013)
Insurance:
$0
Springing
 
2012 Occupancy:
100.0% (December 31, 2012)
Replacement:
$0
$11,962
 
2011 Occupancy:
100.0% (December 31, 2011)
TI/LC:
$0
$55,193
 
2010 Occupancy:
100.0% (December 31, 2010)
Required Repairs:
$10,000
NAP
 
(1)   Spirit Cole Portfolio Loan proceeds were used to acquire the Spirit Cole Portfolio Properties in connection with the merger of Spirit Realty Capital, Inc. and Cole Credit Property Trust II, Inc. No allocated purchase price for the Spirit Cole Portfolio Properties was provided.
(2)   Partial release is permitted. See “Partial Release” herein.
(3)   See “Initial Reserves” and “Ongoing Reserves” herein.
(4)   The Ruth’s Chris – Metairie property is subject to a right of way lease agreement between the borrower (as lessee) and Parish of Jefferson (as lessor). The lessor ground leases a certain portion of the right of way to the lessee for parking, which can only be used for customer parking in the normal course of business. Annual rent in the amount of $2,240 is due to the Parish of Jefferson on or before January 15th of each year.
(5)   Historical operating statements were not provided in connection with the acquisition of the Spirit Cole Portfolio Loan.
FedEx Ground TI:
$33,075
$0
 
       
Financial Information
 
Cut-off Date Balance / Sq. Ft.:
 
  $70    
Balloon Balance / Sq. Ft.:
    $59    
Cut-off Date LTV:
 
  59.5%    
Balloon LTV:
    49.8%    
Underwritten NOI DSCR:
 
  1.58x    
Underwritten NCF DSCR:
 
  1.46x    
Underwritten NOI Debt Yield:
 
  10.8%    
Underwritten NCF Debt Yield:
    10.0%    
Underwritten NOI Debt Yield at Balloon:
    12.9%    
Underwritten NCF Debt Yield at Balloon:
 
  11.9%        
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
19

 
 
Various
Collateral Asset Summary – Loan No. 1
Spirit Cole Portfolio
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$100,770,916
59.5%
1.46x
10.8%
 
Portfolio Summary
 Property Name
Location
Sq. Ft.
Year Built / Renovated
Allocated
Cut-off Date Balance
“As-is”
Appraised Value
Tenant(1)
 Ferguson Enterprises
Front Royal, VA
778,880
1999 / NAP
$34,687,301
$49,600,000
Ferguson Enterprises
 BJ’s Wholesale Club
Woodstock, GA
115,396
2001 / NAP
$9,060,211
$15,100,000
BJ’s Wholesale Club
 FedEx Ground
Walker, MI
104,864
2001 / 2007-2012
$6,244,114
$10,400,000
FedEx Ground
 Wynnsong 16
Johnston, IA
62,276
1997 / NAP
$5,894,444
$11,800,000
Carmike Cinemas
 LA Fitness – Greenwood
Greenwood, IN
45,000
2007 / NAP
$4,620,644
$9,250,000
LA Fitness
 Walgreens – LaMarque
LaMarque, TX
15,120
2000 / NAP
$3,063,113
$4,380,000
Walgreens
 HH Gregg
Greensboro, NC
30,167
2007 / NAP
$2,843,922
$5,650,000
HH Gregg
 Walgreens – Batesville
Batesville, MS
14,250
2007 / NAP
$2,697,457
$5,400,000
Walgreens
 Ruth’s Chris – Metairie
Metairie, LA
7,165
1965 / NAP
$2,666,489
$4,450,000
Ruth’s Chris
 PetSmart – Central Park
Fredericksburg, VA
26,060
1997 / NAP
$2,622,528
$5,250,000
PetSmart
 Allstate Insurance Call Center
Yuma, AZ
28,800
2008 / NAP
$2,598,566
$5,200,000
Allstate Insurance Company
 Walgreens – Newton
Newton, IA
15,047
2000 / NAP
$2,458,335
$4,100,000
Walgreens
 Walgreens – DeSoto
DeSoto, TX
13,905
1997 / NAP
$2,447,693
$3,500,000
Walgreens
 PetSmart – Chattanooga
Chattanooga, TN
26,040
1996 / 2000
$2,285,346
$4,575,000
PetSmart
 Tractor Supply Company – LaGrange
LaGrange, KY
19,097
2008 / NAP
$2,198,829
$3,500,000
Tractor Supply
 CVS – Atlanta (MLK)
Atlanta, GA
12,900
2006 / NAP
$2,098,022
$4,200,000
CVS
 Logan’s Roadhouse – Trussville
Trussville, AL
7,236
2007 / NAP
$1,977,215
$3,300,000
Logan’s Roadhouse
 CVS – Lincoln
Lincoln, IL
13,225
2008 / NAP
$1,748,352
$3,500,000
CVS
 Tractor Supply Company – Malone
Malone, NY
19,097
2010 / NAP
$1,713,385
$2,450,000
Tractor Supply
 Ashley Furniture – Anderson
Anderson, SC
23,800
2006 / NAP
$1,648,446
$3,300,000
Ashley Furniture
 CVS – Richardson
Richardson, TX
10,560
1996 / NAP
$1,605,384
$3,210,000
CVS
 CVS – Alpharetta
Alpharetta, GA
10,125
1998 / NAP
$1,395,689
$2,750,000
CVS
 United Supermarket
Muleshoe, TX
25,692
1999 / NAP
$1,386,193
$2,775,000
United Supermarkets, LLC
 CVS – Portsmouth
Portsmouth, OH
10,737
1997 / NAP
$809,237
$1,620,000
CVS
 Total
 
1,435,439
 
$100,770,916
$169,260,000
 
             
 (1)
Each of the Spirit Cole Portfolio Properties is 100.0% occupied as of September 6, 2013 by a single tenant.
 
Tenant Summary
 
Tenant
Ratings (Fitch/Moody’s/S&P)(1)
 
Net Rentable
Area (Sq. Ft.)
% of Net
Rentable Area
 
U/W Base 
Rent PSF
% of Total
U/W Base Rent
Lease
Expiration
Ferguson Enterprises
NR/NR/NR
 
778,880
54.3%  
 
$4.35   
24.3%  
8/31/2023
BJ’s Wholesale Club
NR/B2/B
 
115,396
8.0%  
 
$10.35   
8.6%  
5/11/2022
FedEx Ground
NR/Baa1/BBB
 
104,864
7.3%  
 
$12.78   
9.6%  
5/31/2017
Carmike Cinemas
NR/B2/B
 
62,276
4.3%  
 
$20.20   
9.0%  
3/31/2020
Walgreens
NR/Baa1/BBB
 
58,322
4.1%  
 
$21.27   
8.9%  
Various(2)
Total Major Tenants
   
1,119,738
78.0%  
 
$7.52   
60.4%  
 
Remaining Tenants
   
315,701
22.0%  
 
$17.42   
39.6%  
 
Total Occupied Collateral
   
1,435,439
100.0%  
 
$9.70   
100.0%  
 
Vacant
   
0
0.0%  
       
Total
   
1,435,439
100.0%  
       
                 
(1)
Certain ratings are those of the parent company whether or not the parent company guarantees the lease.
(2)
Walgreens leases (i) 15,120 sq. ft. of space at the Walgreens – LaMarque property expiring June 30, 2060 with a termination option effective June 30, 2020, (ii) 15,047 sq. ft. of space at the Walgreens – Newton property expiring February 28, 2061 with a termination option effective February 28, 2021, (iii) 14,250 sq. ft. of space at the Walgreens – Batesville property expiring October 31, 2082 with a termination option effective October 31, 2032 and (iv) 13,905 sq. ft. of space at the Walgreens – DeSoto property expiring November 30, 2057 with a termination option effective November 30, 2017.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
20

 
 
Various
Collateral Asset Summary – Loan No. 1
Spirit Cole Portfolio
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$100,770,916
59.5%
1.46x
10.8%
 
Lease Rollover Schedule(1)
Year
# of
Leases
Expiring
Total
Expiring
Sq. Ft.
% of Total Sq.
Ft. Expiring
Cumulative
Sq. Ft.
Expiring
Cumulative % of
Sq. Ft. Expiring
Annual U/W
Base Rent
Per Sq. Ft.
% U/W
Base Rent
Rolling
Cumulative %
of U/W
Base Rent
MTM
0
0
0.0%
0
0.0%
$0.00
0.0%
0.0%
2013
0
0
0.0%
0
0.0%
$0.00
0.0%
0.0%
2014
0
0
0.0%
0
0.0%
$0.00
0.0%
0.0%
2015
0
0
0.0%
0
0.0%
$0.00
0.0%
0.0%
2016
0
0
0.0%
0
0.0%
$0.00
0.0%
0.0%
2017
4
140,066
9.8%
140,066
9.8%
$13.89
14.0%
14.0%
2018
1
28,800
2.0%
168,866
11.8%
$21.96
4.5%
18.5%
2019
2
35,817
2.5%
204,683
14.3%
$13.10
3.4%
21.9%
2020
2
77,396
5.4%
282,079
19.7%
$20.38
11.3%
33.2%
2021
4
90,947
6.3%
373,026
26.0%
$16.08
10.5%
43.7%
2022
2
145,563
10.1%
518,589
36.1%
$11.72
12.3%
56.0%
2023
3
842,977
58.7%
1,361,566
94.9%
$5.30
32.1%
88.1%
Thereafter
6
73,873
5.1%
1,435,439
100.0%
$22.42
11.9%
100.0%
Vacant
NAP     
0
0.0%
1,435,439
100.0%
NAP
NAP
 
Total / Wtd. Avg.
24 
1,435,439
100.0%
   
$9.70
100.0%
 
                 
(1)
Certain tenants have lease termination options that may become exercisable prior to the originally stated expiration date of the tenant lease and that are not considered in the lease rollover schedule.

The Loan.    The Spirit Cole Portfolio loan (the “Spirit Cole Portfolio Loan”) is a fixed rate loan secured by the borrower’s fee simple interest in 24 retail, industrial and office properties totaling 1,435,439 sq. ft. located in 17 different states (the “Spirit Cole Portfolio Properties”) and has an original principal balance of approximately $100.9 million. The Spirit Cole Portfolio Loan has a 10-year term and amortizes on a 30-year schedule. The Spirit Cole Portfolio Loan accrues interest at a fixed rate equal to 5.5000% and has a cut-off date balance of approximately $100.8 million. Loan proceeds were used to acquire the Spirit Cole Portfolio Properties in connection with the merger of Spirit Realty Capital, Inc. and Cole Credit Property Trust II, Inc., pay closing costs of approximately $0.9 million and fund upfront reserves of approximately $0.1 million. Based on an appraised value of approximately $169.3 million as of April – June 2013, the cut-off date LTV ratio is 59.5% and the remaining implied equity is approximately $68.5 million. The Spirit Cole Portfolio Properties were unencumbered prior to the merger.

Sources and Uses
Sources
Proceeds
% of Total
 
Uses
Proceeds
% of Total
Loan Amount
$100,865,909
100.0%
 
Funds to Borrower(1)
$99,889,924
99.0%     
       
Closing Costs
$872,037
0.9%     
       
Reserves
$103,949
0.1%     
Total Sources
$100,865,909
100.0%
 
Total Uses
$100,865,909
100.0%     
(1)
Spirit Cole Portfolio Loan proceeds were used to acquire the Spirit Cole Portfolio Properties in connection with the merger of Spirit Realty Capital, Inc. and Cole Credit Property Trust II, Inc. No allocated purchase price for the Spirit Cole Portfolio Properties was provided.

The Borrower / Sponsor.    The borrower, Spirit SPE Loan Portfolio 2013-2, LLC, is a single purpose Delaware limited liability company structured to be bankruptcy-remote with two independent directors in its organizational structure. The sponsor of the borrower and nonrecourse carve-out guarantor is Spirit Realty, L.P.

The parent company of Spirit Realty, L.P. is Spirit Realty Capital, Inc., a REIT located in Scottsdale, Arizona. Spirit Realty Capital, Inc. (NYSE: SRC) was founded in 2003 to acquire single tenant real estate. In July 2013, Spirit Realty Capital, Inc. completed a $7.4 billion merger with Cole Credit Property Trust II, Inc., making the combined company one of the largest publicly traded net-lease REITS in the United States owning approximately 1,900 properties across 48 states.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
21

 
 
Various
Collateral Asset Summary – Loan No. 1
Spirit Cole Portfolio
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$100,770,916
59.5%
1.46x
10.8%
 
Cole Credit Property Trust II, Inc. acquired 22 of the Spirit Cole Portfolio Properties between 2005 and 2010 and the remaining two properties were acquired by Spirit Realty, L.P. in 2004 and 2011.

The Properties.    The Spirit Cole Portfolio Properties consist of the borrower’s fee simple interests in 24 properties totaling 1,435,439 sq. ft. Of the 24 Spirit Cole Portfolio Properties, (i) 21 are single tenant retail properties representing 56.8% of the outstanding Spirit Cole Portfolio Loan amount, (ii) two are single tenant industrial properties (the Ferguson Enterprises property and the FedEx Ground property) representing 40.6% of the outstanding Spirit Cole Portfolio Loan amount and (iii) one is a single tenant office property (the Allstate Insurance Call Center property) representing 2.6% of the outstanding Spirit Cole Portfolio Loan amount. The Spirit Cole Portfolio Properties are located in 17 different states with Virginia representing the largest percentage by allocated Spirit Cole Portfolio Loan amount (37.0%).

Each of the Spirit Cole Portfolio Properties is currently 100.0% leased as of September 6, 2013 to a single tenant. Credit rated tenants occupy 33.9% of the Spirit Cole Portfolio net rentable area.

Allocations by Property Type
 
Property Type
% Loan Balance
 
% Sq. Ft.
 
% In Place Rent
 
Retail
56.8%
 
36.4%
 
61.5%
 
Industrial
40.6%
 
61.6%
 
34.0%
 
Office
  2.6%
 
2.0%
 
4.5%
 

Environmental Matters.    The Phase I environmental report dated March 22, 2013 recommended the completion of a Phase II assessment to evaluate potential subsurface impacts resulting from underground storage tank systems located at the BJ’s Wholesale Club property. An environmental insurance policy was obtained in lieu of a Phase II assessment. This environmental insurance policy also includes Walgreens – Newton, CVS – Lincoln and CVS – Atlanta (MLK). Furthermore, pursuant to the BJ’s Wholesale Club lease, BJ’s Wholesale Club agreed to indemnify the borrower for any environmental issues that arise from the gas station the tenant currently operates on the site. The Phase I environmental reports dated March and April 2013 recommended no further action at the remaining Spirit Cole Portfolio Properties.

Major Tenants.    
 
Ferguson Enterprises (778,880 sq. ft., 54.3% of NRA, 24.3% of U/W Base Rent) Founded in 1953 and headquartered in Newport News, Virginia, Ferguson Enterprises is the largest distributor of plumbing supplies and pipe valves and fittings serving customers across the United States, Puerto Rico, the Caribbean and Mexico. Ferguson Enterprises employs approximately 18,000 employees across approximately 1,300 locations. Ferguson Enterprises is a wholly-owned subsidiary of UK-based Wolseley plc, which is listed on the London Stock Exchange.

Ferguson Enterprises has occupied 100.0% of the net rentable area at the Ferguson Enterprises property located in Front Royal, Virginia since 2008. Ferguson Enterprises uses its space for distribution of pre-fabricated piping, appliances and other pre-fabricated hardware, and operates 24 hours a day with eight-hour employee shifts. Ferguson Enterprises’ current lease expires on August 31, 2023 and has four five-year renewal options with at least 210 days prior notice. Should Ferguson Enterprises not renew, the Spirit Cole Portfolio Loan is structured with a cash flow sweep. See “Lockbox / Cash Management – “TI/LC Cash Sweep Trigger Event herein.

BJ’s Wholesale Club (115,396 sq. ft., 8.0% of NRA, 8.6% of U/W Base Rent, rated B2/B by Moody’s/S&P) Headquartered in Westborough, Massachusetts, BJ’s Wholesale Club is a leading operator of membership warehouse clubs in the eastern United States. BJ’s Wholesale Club operates over 190 clubs in 15 states from Maine to Florida and employs more than 24,000 team members.

BJ’s Wholesale Club has occupied 115,396 sq. ft. at the BJ’s Wholesale Club property located in Woodstock, Georgia since 2001, where it also operates a freestanding gas station with 12 gas pumps, a service booth and a canopy. The BJ’s Wholesale Club lease expires on May 11, 2022 and has four five-year renewal options which must be exercised by the later of (i) six months prior to the expiration of the initial or previously extended lease term and (ii) not later than 30 days after the landlord provides BJ’s Wholesale Club with an extension reminder notice, which may be sent up to one year prior to the expiration of the initial or previously extended lease term. Additionally, BJ’s Wholesale Club has an additional right to extend the original or previously extended lease term from the date of expiration of such term to January 31 of the following year with at least six months prior notice.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
22

 
 
Various
Collateral Asset Summary – Loan No. 1
Spirit Cole Portfolio
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$100,770,916
59.5%
1.46x
10.8%
 
FedEx Ground (104,864 sq. ft., 7.3% of NRA, 9.6% of U/W Base Rent, rated Baa1/BBB by Moody’s/S&P) Headquartered in Pittsburgh, Pennsylvania, FedEx Ground is a leading provider of small package delivery services throughout the United States and Canada. With over 32,000 motorized vehicles and over 70,000 employees, FedEx Ground transports over four million packages each day and reported revenue of approximately $10.6 billion for the 2013 fiscal year.

FedEx Ground has occupied 104,864 sq. ft. at the FedEx Ground property located in Walker, Michigan since 2001. FedEx Ground’s current lease expires on May 31, 2017 and has two three-year renewal options with notification by February 28, 2017 with respect to the first option and February 28, 2020 with respect to the second option.
 
 
Historical Sales PSF(1)
Property Name
Tenant
Sq. Ft.
2008
2009
2010
2011
2012  
Wynnsong 16
Carmike Cinemas(2)
62,276
NAV
NAV
NAV
$321,939
NAV  
Walgreens – LaMarque
Walgreens
15,120
NAV
NAV
$164
$152
$148  
Walgreens – Batesville
Walgreens
14,250
NAV
NAV
$160
$175
$140  
Ruth’s Chris – Metairie
Ruth’s Chris
7,165
$805
$641
$666
$659
$669  
Walgreens – Newton
Walgreens
15,047
NAV
NAV
$162
$170
$181  
Walgreens – DeSoto
Walgreens
13,905
NAV
NAV
$190
$163
$179  
Logan’s Roadhouse – Trussville
Logan’s Roadhouse
7,236
NAV
NAV
NAV
$518
$483  
CVS – Richardson
CVS
10,560
NAV
NAV
$644
$667
$687  
United Supermarket
United Supermarkets, LLC
25,692
NAV
NAV
NAV
NAV
$623  
CVS – Portsmouth
CVS
10,737
NAV
NAV
$558
$610
$513  
 
(1)
Historical Sales PSF are based on historical operating statements provided by the borrower.
 
(2)
Sales for Carmike Cinemas are on a per screen basis (16 screens).

The Market.    

The national retail market has improved its vacancy levels since 2009 to its current level of 6.7% as of the second quarter of 2013. Net absorption was positive at approximately 23.1 million sq. ft. and quoted rental rates increased over the previous quarter from $14.48 PSF to $14.50 PSF.

The national industrial market improved its vacancy levels since 2009 to its current level of 8.5% as of the second quarter of 2013. Net absorption was positive at approximately 44.6 million sq. ft. and quoted rental rates increased over the previous quarter from $5.21 PSF to $5.25 PSF.

The national office market has improved its vacancy levels since 2009 to its current level of 11.7% as of the second quarter of 2013. Net absorption was positive at approximately 21.3 million sq. ft. and quoted rental rates increased over the previous quarter from $21.36 PSF to $21.60 PSF.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
23

 
 
Various
Collateral Asset Summary – Loan No. 1
Spirit Cole Portfolio
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$100,770,916
59.5%
1.46x
10.8%

Market Summary(1)
 
Property Name
Location
Property Type
Metropolitan Statistical Area
Stabilized Occupancy
Concluded Market Rate
(PSF)
In Place
Rent
(PSF)(2)
Ferguson Enterprises
Front Royal, VA
Industrial
Washington – Baltimore
98.0%
$3.85
$4.35
BJ’s Wholesale Club
Woodstock, GA
Retail
Atlanta
100.0%
$10.75
$10.35
FedEx Ground
Walker, MI
Industrial
Grand Rapids-Muskegon-Holland
100.0%
$7.00
$12.78
Wynnsong 16
Johnston, IA
Retail
Des Moines-West Des Moines
100.0%
$16.00
$20.20
LA Fitness – Greenwood
Greenwood, IN
Retail
Indianapolis
100.0%
$11.00
$18.50
Walgreens – LaMarque
LaMarque, TX
Retail
Houston
100.0%
$21.00
$21.10
HH Gregg
Greensboro, NC
Retail
Greensboro
100.0%
$12.00
$16.98
Walgreens – Batesville
Batesville, MS
Retail
NAP
100.0%
$24.50
$24.65
Ruth’s Chris – Metairie
Metairie, LA
Retail
New Orleans
100.0%
$45.08
$45.28
PetSmart – Central Park
Fredericksburg, VA
Retail
Washington
100.0%
$15.00
$15.50
Allstate Insurance Call Center
Yuma, AZ
Office
Yuma
100.0%
$13.00
$21.96
Walgreens – Newton
Newton, IA
Retail
Des Moines
100.0%
$12.00
$21.60
Walgreens – DeSoto
DeSoto, TX
Retail
Dallas
100.0%
$23.00
$17.64
PetSmart – Chattanooga
Chattanooga, TN
Retail
Chattanooga
97.0%
$14.00
$14.11
Tractor Supply Company – LaGrange
LaGrange, KY
Retail
Louisville
100.0%
$14.38
$13.18
CVS – Atlanta (MLK)
Atlanta, GA
Retail
Atlanta
100.0%
$22.00
$21.59
Logan’s Roadhouse – Trussville
Trussville, AL
Retail
Birmingham
100.0%
$35.00
$36.06
CVS – Lincoln
Lincoln, IL
Retail
NAP
100.0%
$19.00
$19.00
Tractor Supply Company – Malone
Malone, NY
Retail
NAP
100.0%
$10.00
$13.18
Ashley Furniture – Anderson
Anderson, SC
Retail
Anderson
100.0%
$10.00
$15.40
CVS – Richardson
Richardson, TX
Retail
Dallas
100.0%
$20.00
$20.36
CVS – Alpharetta
Alpharetta, GA
Retail
Atlanta
100.0%
$22.00
$22.39
United Supermarket
Muleshoe, TX
Retail
Lubbock
100.0%
$9.50
$9.44
CVS – Portsmouth
Portsmouth, OH
Retail
Greater Cincinnati
100.0%
$15.00
$13.48
(1)
Source: Appraisal
(2)
In Place Rent (PSF) based off a rent roll dated September 6, 2013.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
24

 
 
Various
Collateral Asset Summary – Loan No. 1
Spirit Cole Portfolio
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$100,770,916
59.5%
1.46x
10.8%

Cash Flow Analysis.

Cash Flow Analysis(1)
 
 
U/W
U/W PSF
 
Base Rent(2)
$14,239,839
$9.92
 
Value of Vacant Space
0
0.00
 
Gross Potential Rent
$14,239,839
$9.92
 
Total Recoveries
0
0.00
 
Total Other Income
0
0.00
 
Less: Mark to Market(3)
(1,611,400)
(1.12)
 
Less: Vacancy(4)
        (1,298,581)
(0.90)
 
Effective Gross Income
$11,329,858
$7.89
 
Total Operating Expenses
481,661
0.34
 
Net Operating Income
$10,848,197
$7.56
 
TI/LC
             658,785
0.46
 
Capital Expenditures
141,208
0.10
 
Net Cash Flow
 $10,048,203
$7.00
 
  (1)       Historical operating statements were not provided in connection with the acquisition of the Spirit Cole Portfolio Loan.
  (2)       U/W Base Rent includes $318,852 in contractual step rent through April 2014.
  (3)       U/W Mark to Market adjustment reflects appraiser’s market rent conclusion.
  (4)       U/W Vacancy represents 9.1% of gross potential rent.
 
Property Management.    The Spirit Cole Portfolio Properties are self-managed by the borrower.

Lockbox / Cash Management.    The Spirit Cole Portfolio Loan is structured with a hard lockbox and springing cash management. Funds deposited into the clearing account are swept on a daily basis into the borrower’s operating account, unless a Triggering Event or TI/LC Cash Sweep Trigger Event (each as defined below) has occurred, in which event such funds will be swept on a daily basis into a cash management account under the control of the lender and disbursed in accordance with the Spirit Cole Portfolio Loan documents; provided that amounts will not be swept after a TI/LC Cash Sweep Trigger Event to the extent that there are sufficient amounts in the TI/LC reserve account allocated to the applicable Spirit Cole Portfolio Properties.

A “Trigger Event” will commence upon the occurrence of (i) an event of default or (ii) the DSCR for the trailing 12-month period is less than 1.20x. A Trigger Event will be cured upon (x) with respect to clause (i), if the event of default has been cured or (y) with respect to clause (ii), if the DSCR is at least 1.25x for two consecutive calendar quarters.

A “TI/LC Cash Sweep Trigger Event” will commence upon the earlier of (i) any tenant or tenants with leases at the Spirit Cole Portfolio Properties that have cumulative allocated loan amounts greater than 5% of the outstanding principal balance “goes dark,” (ii) any tenant is subject to a voluntary or involuntary bankruptcy proceeding, (iii) any tenant does not renew its lease by its related renewal notice date or any lease is terminated prior to its related termination date, or (iv) any tenant has defaulted in any material respect. A TI/LC Cash Sweep Trigger Event will be cured upon (w) with respect to clause (i), the tenant’s or tenants’ space has been re-tenanted, (x) with respect to clause (ii), the bankrupt tenant’s lease has been affirmed and such tenant is no longer insolvent or the subject of a bankruptcy proceeding, (y) with respect to clause (iii), such lease has been renewed or replaced and (z), with respect to clause (iv), the defaulted tenant lease has been cured or replaced.

Initial Reserves.    At closing, the borrower deposited (i) $60,874 into a tax reserve account, (ii) $10,000 into a required repairs reserve account and (iii) $33,075 into a reserve for tenant improvements at the FedEx Ground property.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
25

 
 
Various
Collateral Asset Summary – Loan No. 1
Spirit Cole Portfolio
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$100,770,916
59.5%
1.46x
10.8%
 
Ongoing Reserves.    On a monthly basis, the borrower is required to deposit reserves of (i) 1/12 of the estimated annual real estate taxes, which currently equates to $7,282, into a tax reserve account, (ii) $11,962 into a capital expenditure account and (iii) $55,193 into a TI/LC reserve account. The borrower will be required to deposit 1/12 of the annual insurance premiums into the insurance reserve account if an acceptable blanket policy is no longer in place.

Current Mezzanine or Subordinate Indebtedness.    None.

Future Mezzanine or Subordinate Indebtedness Permitted.    None.

Partial Release.    After the expiration of the lockout period, the borrower may obtain the release of any property subject to, among other things, (a) payment of the yield maintenance premium, if applicable, plus the greater of (i) 115% of the allocated loan amount for any property for properties to be released representing the first 10% of the loan amount to be released, and 120% of the allocated loan amount for such property released thereafter, or (ii) 100% of net sales proceeds of the property to be released, which in no event may be less than 94% of the gross sales price of the property, (b) the DSCR for the remaining properties after release is at least equal to the greater of (i) the DSCR for the portfolio (including the property to be released) immediately prior to release or (ii) 1.46x and (c) the LTV ratio for the remaining portfolio after release is no greater than 59.6%.

Substitution of Collateral.    The borrower is permitted to substitute new properties for Spirit Cole Portfolio Properties as collateral during the term of the Spirit Cole Portfolio Loan provided that, among other things: (i) the aggregate of the allocated portions of the loan related to the Spirit Cole Portfolio Properties released (through one or more substitutions) during the term of the Spirit Cole Portfolio Loan may not exceed more than 15% of the original amount of the Spirit Cole Portfolio Loan, (ii) the DSCR after substitution is greater than the greater of (a) the DSCR of the Spirit Cole Portfolio Properties (including the new property to be substituted) as of the date of substitution and (b) 1.46x, (iii) the LTV ratio after substitution is no greater than the lesser of (a) the LTV ratio of the Spirit Cole Portfolio Properties (including the new property to be substituted) as of the date of substitution and (b) 59.6%, and (iv) the debt yield for all Spirit Cole Portfolio Properties after substitution is greater than the greater of (a) the debt yield of the Spirit Cole Portfolio Properties (including the new property to be substituted) as of the date of substitution and (b) 10.0%. In addition, the tenant under the CVS – Richardson property lease has the right to substitute the CVS – Richardson property with a different property operated as an Eckerd Drug Store. The CVS – Richardson property was originally operated as an Eckerd Drug Store; however, as Eckerd no longer operates drug stores after being acquired by CVS and Rite Aid, this substitution right is not anticipated to be executed. Furthermore, the borrower’s and lender’s consent is required in order for the tenant to exercise this right.

The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
26

 
 
Various
Collateral Asset Summary – Loan No. 1
Spirit Cole Portfolio
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$100,770,916
59.5%
1.46x
10.8%

(MAP)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
27

 

 
15 MetroTech Center
Brooklyn, NY 11201
Collateral Asset Summary – Loan No. 2
15 MetroTech Center
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$80,000,000
62.3%
1.42x
11.1%
 
(GRAPHIC)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
28

 
 
15 MetroTech Center
Brooklyn, NY 11201
Collateral Asset Summary – Loan No. 2
15 MetroTech Center
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$80,000,000
62.3%
1.42x
11.1%
                     
Mortgage Loan Information
 
Property Information
 
Loan Seller:
LCF
     
Single Asset / Portfolio:
Single Asset
 
 
Loan Purpose:
Refinance
     
Property Type:
CBD Office
 
 
Sponsor:
Forest City Enterprises, Inc.
     
Collateral:
Leasehold
 
 
Borrower:
Forest City Myrtle Associates, LLC
     
Location:
Brooklyn, NY
 
 
Original Balance(1):
$80,000,000
     
Year Built / Renovated:
2003 / NAP
 
 
Cut-off Date Balance(1):
$80,000,000
     
Total Sq. Ft.:
649,492
 
 
% by Initial UPB:
7.4%
     
Property Management:
First New York Partners
 
 
Interest Rate:
5.4060%
       
Management, LLC
 
 
Payment Date:
1st of each month
     
Underwritten NOI:
$18,804,522
 
 
First Payment Date:
October 1, 2013
     
Underwritten NCF:
$17,667,149
 
 
Maturity Date:
September 1, 2023
     
Appraised Value:
$273,000,000
 
 
Amortization:
300 months
     
Appraisal Date:
July 19, 2013
 
 
Additional Debt(1):
$90,000,000 Pari Passu Debt
           
 
Call Protection(2):
YM1(24), DorYM1(92), O(4)
   
Historical NOI
 
Lockbox / Cash Management:
Hard / In Place
     
Most Recent NOI:
$20,400,186 (T-12 May 31, 2013)
 
               
2012 NOI:
$20,631,997 (December 31, 2012)
 
Reserves(3)
   
2011 NOI:
$20,454,454 (December 31, 2011)
 
   
Initial
 
Monthly
     
2010 NOI:
$20,664,715 (December 31, 2010)
 
 
Taxes:
$148,798
 
$49,599
           
 
Insurance:
$0
 
Springing
   
Historical Occupancy
 
Replacement:
$0
 
$10,825
     
Current Occupancy:
97.8% (July 31, 2013)
 
 
TI/LC:
$0
 
$81,250
     
2012 Occupancy:
97.8% (December 31, 2012)
 
 
Ground Rent:
$198,362
 
$99,181
     
2011 Occupancy:
99.9% (December 31, 2011)
 
 
Additional Tax:
$90,000
 
$0
     
2010 Occupancy:
99.9% (December 31, 2010)
 
 
WellPoint:
$0
Excess Cash Flow
   
(1)   The Original Balance and Cut-off Date Balance of $80.0 million represent the non-controlling A-2-A and A-2-B notes of a $170.0 million whole loan (the “15 MetroTech Center Loan Combination”) evidenced by four pari passu notes. The pari passu companion loans are evidenced by the controlling A-1-A and A-1-B notes with an aggregate original principal amount of $90.0 million which are held by LCF or an affiliate thereof (which may be pledged in connection with a repurchase financing arrangement) and Bank of America, N.A., respectively, and expected to be included in a future securitization.
(2)   Defeasance will be precluded for at least 24 payment dates beginning with and including the first payment date of October 1, 2013. Defeasance of the full $170.0 million 15 MetroTech Center Loan Combination is permitted after the date that is earliest to occur of (i) two years from the closing date of the securitization that includes the last pari passu note and (ii) August 2, 2016.
(3)   See “Initial Reserves” and “Ongoing Reserves” herein.
(4)   DSCR, LTV, Debt Yield and Balance / Sq. Ft. calculations are based on the entire 15 MetroTech Center Loan Combination.
 
               
Financial Information(4)
   
 
Cut-off Date Balance / Sq. Ft.:
$262
       
 
Balloon Balance / Sq. Ft.:
$199
       
 
Cut-off Date LTV:
62.3%
       
 
Balloon LTV:
47.2%
       
 
Underwritten NOI DSCR:
1.51x
       
 
Underwritten NCF DSCR:
1.42x
       
 
Underwritten NOI Debt Yield:
11.1%
       
 
Underwritten NCF Debt Yield:
10.4%
       
 
Underwritten NOI Debt Yield at Balloon:
14.6%
       
 
Underwritten NCF Debt Yield at Balloon:
13.7%
       
               
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
29

 
 
15 MetroTech Center
Brooklyn, NY 11201
Collateral Asset Summary – Loan No. 2
15 MetroTech Center
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$80,000,000
62.3%
1.42x
11.1%
 
Tenant Summary
 
Tenant
 
 
Ratings
(Fitch/Moody’s/S&P)(1)
 
Net Rentable
Area (Sq. Ft.)
 
% of Net
Rentable Area
 
U/W Base 
Rent PSF
 
% of Total
U/W Base Rent
 
Lease
Expiration
WellPoint Holding Corp.(2)(3)
 
BBB+/Baa2/A-
 
392,514
 
60.4%
 
$36.00
 
61.4%
 
6/30/2020
City of New York (HRA & DoITT)
 
AA/Aa2/AA
 
235,678
 
36.3%
 
$35.91
 
36.8%
 
7/16/2024
Luciano’s
 
NR/NR/NR
 
4,400
 
0.7%
 
$59.51
 
1.1%
 
6/19/2018
Café Metro
 
NR/NR/NR
 
2,358
 
0.4%
 
$61.89
 
0.6%
 
1/31/2024
Total Occupied Collateral
     
634,950
 
97.8%
 
$36.23
 
100.0%
   
Vacant
     
14,542
 
2.2%
           
Total
     
649,492
 
100.0%
           
                         
(1)
Certain ratings are those of the parent company whether or not the parent company guarantees the lease. Credit Ratings for the City of New York (HRA & DoITT) are the credit ratings of New York City’s general obligation bonds.
(2)
WellPoint Holding Corp. currently subleases 360,360 sq. ft. (91.8%) of its space to six sub-tenants.
(3)
The U/W Base Rent PSF for WellPoint Holding Corp. was marked down from $39.31 to $36.00 PSF.
 
Lease Rollover Schedule
Year
 
# of
Leases
Expiring
 
Total
Expiring
Sq. Ft.
 
% of Total Sq.
Ft. Expiring
 
Cumulative
Sq. Ft.
Expiring
 
Cumulative % of
Sq. Ft. Expiring
 
Annual U/W Base Rent
Per Sq. Ft.
 
% U/W Base Rent
Rolling
 
Cumulative %
of U/W
Base Rent
MTM
 
0
 
0
 
0.0%
 
0
 
0.0%
 
$0.00
 
0.0%
 
0.0%
2013
 
0
 
0
 
0.0%
 
0
 
0.0%
 
$0.00
 
0.0%
 
0.0%
2014
 
0
 
0
 
0.0%
 
0
 
0.0%
 
$0.00
 
0.0%
 
0.0%
2015
 
0
 
0
 
0.0%
 
0
 
0.0%
 
$0.00
 
0.0%
 
0.0%
2016
 
0
 
0
 
0.0%
 
0
 
0.0%
 
$0.00
 
0.0%
 
0.0%
2017
 
0
 
0
 
0.0%
 
0
 
0.0%
 
$0.00
 
0.0%
 
0.0%
2018
 
1
 
4,400
 
0.7%
 
4,400
 
0.7%
 
$59.51
 
1.1%
 
1.1%
2019
 
0
 
0
 
0.0%
 
4,400
 
0.7%
 
$0.00
 
0.0%
 
1.1%
2020
 
1
 
392,514
 
60.4%
 
396,914
 
61.1%
 
$36.00
 
61.4%
 
62.6%
2021
 
0
 
0
 
0.0%
 
396,914
 
61.1%
 
$0.00
 
0.0%
 
62.6%
2022
 
0
 
0
 
0.0%
 
396,914
 
61.1%
 
$0.00
 
0.0%
 
62.6%
2023
 
0
 
0
 
0.0%
 
396,914
 
61.1%
 
$0.00
 
0.0%
 
62.6%
Thereafter
 
2
 
238,036
 
36.6%
 
634,950
 
97.8%
 
$36.17
 
37.4%
 
100.0%
Vacant
 
NAP
 
14,542
 
2.2%
 
649,492
 
100.0%
 
NAP
 
NAP
   
Total / Wtd. Avg.
 
4
 
649,492
 
100.0%
         
$36.23
 
100.0%
   
                                 

The Loan.    The 15 MetroTech Center loan (the “15 MetroTech Center Loan”) is a fixed rate loan secured by the borrower’s leasehold interest in the 649,492 square foot Class A office building located at 15 MetroTech Center in downtown Brooklyn, New York (the “15 MetroTech Center Property”) and has an original principal balance of $80.0 million. The 15 MetroTech Center Loan is part of a $170.0 million whole loan (in its entirety, the “15 MetroTech Center Loan Combination”) that is evidenced by four pari passu notes designated as Note A-1-A, Note A-1-B, Note A-2-A and Note A-2-B. Only the $40.0 million non-controlling Note A-2-A and the $40.0 million non-controlling Note A-2-B will be included in the COMM 2013-LC13 commercial mortgage trust. The controlling Note A-1-A and Note A-1-B, with an aggregate original principal balance of $90.0 million (which notes may be further split), are expected to be included in one or more future securitizations. The 15 MetroTech Center Loan has a 10-year term and amortizes on a 25-year schedule. The 15 MetroTech Center Loan accrues interest at a fixed rate equal to 5.4060% and has a cut-off date balance of $80.0 million. The 15 MetroTech Center Loan Combination proceeds along with approximately $83.0 million of equity from the sponsor were used to refinance the existing debt of approximately $251.3 million, fund reserves and pay closing costs. Based on the appraised value of $273.0 million as of July 19, 2013, the cut-off date LTV ratio for the 15 MetroTech Center Loan Combination is 62.3% and the remaining implied equity is $103.0 million.  The most recent prior financing of the 15 MetroTech Center Property was not included in a securitization.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
30

 
 
15 MetroTech Center
Brooklyn, NY 11201
Collateral Asset Summary – Loan No. 2
15 MetroTech Center
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$80,000,000
62.3%
1.42x
11.1%
 
Sources and Uses
 
Sources
Proceeds
 
% of Total
 
Uses
Proceeds
 
% of Total
Loan Amount
$170,000,000
 
67.2%
 
Loan Payoff
$251,257,874
 
99.3%
 
Sponsor Equity
$82,978,932
 
32.8%
 
Reserves
$437,160
 
0.2%
 
         
Closing Costs
$1,283,898
 
0.5%
 
Total Sources
$252,978,932
 
100.0%
 
Total Uses
$252,978,932
 
100.0%
 
 
The Borrower / Sponsor.    The borrower, Forest City Myrtle Associates, LLC, is a single purpose Delaware limited liability company structured to be bankruptcy-remote, with two independent directors in its organizational structure.  The sponsor of the borrower and the nonrecourse carve-out guarantor is Forest City Enterprises, Inc. The nonrecourse carve-out guarantee is limited in scope to certain events of bankruptcy of the borrower and the total liability under the nonrecourse carve-out guarantee is limited to $50.0 million.
 
Forest City Enterprises, Inc. (rated BB-/B3/B+ by Fitch/Moody’s/S&P) is a national real estate company founded in 1920 that, as of April 30, 2013, reported $10.6 billion in total assets. Forest City Enterprises, Inc. is principally engaged in the ownership, development, management and acquisition of commercial and residential real estate and land throughout the United States. Forest City Enterprises, Inc. has developed and/or acquired retail projects for more than 50 years and office and mixed use projects for more than 30 years. As of January 31, 2013, the Commercial Group (Forest City Enterprise, Inc.’s largest business unit) had 93 retail, office, hotel and mixed use properties, encompassing 28.2 million sq. ft. and 1,015 hotel rooms.

The Property.    The 15 MetroTech Center Property is a 97.8% occupied as of July 31, 2013 19-story Class A office building located in downtown Brooklyn, New York.  The 15 MetroTech Center Property was constructed in 2003 by Forest City Enterprises, Inc. and totals 649,492 sq. ft. of rentable area which is comprised of 642,734 sq. ft. of office space and 6,758 sq. ft. of ground-floor retail space.  In addition, there is a sub-grade parking lot with 243 spaces.  There are four tenants at the 15 MetroTech Center Property.

The 15 MetroTech Center Property is part of the MetroTech Center, which comprises approximately 7.6 million sq. ft. of Class A office space in downtown Brooklyn, New York.  The 15 MetroTech Center Property is located proximate to 10 subway lines, serving approximately 28 million passengers annually, not including the Atlantic Terminal (located less than one mile from the 15 MetroTech Center Property), which serves an additional 40 million passengers annually on the subway and LIRR lines. The 15 MetroTech Center Property is subject to a ground lease from the City of New York that commenced on December 31, 2001 and that expires on December 31, 2100.

Environmental Matters.    The Phase I environmental report dated July 23, 2013 revealed no recognized environmental conditions at the 15 MetroTech Center Property.

Major Tenants.    The two major tenants at the 15 Metrotech Center Property are WellPoint Holding Corp. and the City of New York (HRA & DoITT).

WellPoint Holding Corp.  (392,514 sq. ft., 60.4% of NRA, 61.4% of U/W Base Rent) WellPoint Holding Corp. (NYSE:WLP) (rated BBB+/Baa2/A by Fitch/Moody’s/S&P) is one of the largest health benefits companies in the United States. Through its networks nationwide, the company delivers a number of health benefit solutions through a broad portfolio of integrated health care plans and related services, along with a wide range of specialty products such as life and disability insurance benefits, dental, vision, behavioral health benefit services, as well as long term care insurance and flexible spending accounts. WellPoint Holding Corp. has subleased approximately 91.8% (360,360 sq. ft.) of its square footage to several tenants including the Brooklyn Hospital Center, the State of NY Office of General Services, Polytechnic Institute of New York University, Tough Mudder LLC, Weil, Gotshal & Manges LLP and the Visiting Nurse Regional Health Care System.  Visiting Nurse Regional Health Care System has since sub-subleased one floor to New Jersey Basketball, LLC. All of the subleases expire on June 29, 2020, one day prior to the WellPoint Holding Corp.’s lease expiration.

City of New York (HRA & DoITT) (235,678 sq. ft., 36.3% of NRA, 36.8% of U/W Base Rent) The City of New York is rated AA/Aa2/AA by Fitch/Moody’s/S&P.  The City of New York governmental tenants at the 15 MetroTech Center Property are the New York City Human Resources Administration (“HRA”) and the New York City Department of Information Technology & Telecommunications (“DoITT”).  The HRA provides temporary help to individuals and families with social service and economic needs to assist them in reaching self-sufficiency.  The DoITT is responsible for modernizing government technology, increasing digital literacy opportunities for New Yorkers, facilitating a more transparent and open government, and creating innovative partnerships with today’s leaders in technology to improve IT infrastructure, service delivery and civic engagement across the five boroughs.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
31

 
 
15 MetroTech Center
Brooklyn, NY 11201
Collateral Asset Summary – Loan No. 2
15 MetroTech Center
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$80,000,000
62.3%
1.42x
11.1%
 
The Market.    The 15 MetroTech Center Property is located in downtown Brooklyn, New York. Brooklyn is the most populous borough in New York City with approximately 2.5 million residents and taken by itself, it would be the fourth largest city in the US. The Downtown Brooklyn office market is dominated by MetroTech Center, a 7.6 million sq. ft. commercial, academic and high technology complex constructed at a cost in excess of $1.5 billion on a ten-block 16-acre site in the center of downtown Brooklyn.  The Downtown Brooklyn Class A office market had a direct vacancy of 5.4% with an average asking rent of $35.80 PSF.

Cash Flow Analysis.

Cash Flow Analysis
 
   
2011
 
2012
 
T-12 5/31/2012
 
U/W
 
U/W PSF
 
Base Rent(1)
 
$23,891,100
 
$23,832,842
 
$23,548,122
 
$23,001,257
 
$35.41
 
Value of Vacant Space
 
0
 
0
 
0
 
523,512
 
0.81
 
Gross Potential Rent
 
$23,891,100
 
$23,832,842
 
$23,548,122
 
$23,524,769
 
$36.22
 
Total Recoveries
 
4,846,740
 
4,912,178
 
5,064,241
 
6,477,408
 
9.97
 
Total Other Income
 
631,923
 
692,714
 
955,258
 
691,240
 
1.06
 
Less: Vacancy & Credit Loss(2)
 
0
 
0
 
0
 
(1,500,109)
 
(2.31)
 
Effective Gross Income
 
$29,369,763
 
$29,437,734
 
$29,567,621
 
$29,193,307
 
$44.95
 
Total Operating Expenses(3)
 
8,915,310
 
8,805,738
 
9,167,435
 
10,388,785
 
16.00
 
Net Operating Income
 
$20,454,454
 
$20,631,997
 
$20,400,186
 
$18,804,522
 
$28.95
 
TI/LC
 
0
 
0
 
0
 
975,000
 
1.50
 
Capital Expenditures
 
0
 
0
 
0
 
162,373
 
0.25
 
    Net Cash Flow    $20,454,454  
$20,631,997
 
$20,400,186
 
$17,667,149
 
$27.20
 
(1)
U/W Base Rent reflects a $1,299,291 downward mark-to market adjustment for WellPoint Holding Corp.
(2)
U/W Vacancy & Credit Loss of 5.0% of gross income is in line with the appraiser’s conclusion of 3.0%.
(3)
U/W Total Operating Expenses were underwritten based on the average PILOT payment during the loan term and the average ground rent expense during the loan term.

Property Management.    The 15 MetroTech Center Property is managed by First New York Partners Management, LLC, a borrower affiliate.

Lockbox / Cash Management.    The 15 MetroTech Center Loan is structured with a hard lockbox and in place cash management. The borrower was required to send tenant direction letters to all tenants instructing them to deposit all rents and other payments into a lockbox account controlled by the lender. All funds deposited into the lockbox account are swept daily from the lockbox account to a cash management account under the control of the lender and disbursed during each interest period of the loan term in accordance with the loan documents. Commencing at closing and continuing through the WellPoint Holding Corp. lease expiration date (June 2020) (the “WellPoint Sweep Period”), subject to the annual “WellPoint Cap” (defined herein), 100% of excess cash flow will be deposited into the WellPoint reserve. Funds deposited into the WellPoint reserve may be used to re-tenant the WellPoint Holding Corp. space as further described in the loan documents. The maximum annual contribution to the WellPoint reserve will be $4,400,000 (“WellPoint Cap”). Following the re-tenanting of the WellPoint Holding Corp. tenant space, any balance remaining on deposit in the WellPoint reserve will be transferred to the TI/LC Reserve.  During the WellPoint Sweep Period, provided no Excess Cash Trap Period (defined herein) is in effect, funds deposited into the cash management account after achievement of the WellPoint Cap will be disbursed to borrower. If the (i) DSCR falls below 1.10x based on a trailing six month period, (ii) there is an event of default under the loan documents, or (iii) WellPoint Holding Corp. or the City of New York becomes insolvent, files for bankruptcy or has its senior unsecured debt rating fall below “BBB–” by Standard & Poor’s ratings services (or the equivalent of such rating by Moody’s), an “Excess Cash Trap Period” will commence and all excess cash flow, after making all required payments and reserve deposits, will be deposited into an excess cash flow reserve as additional security for the debt, which reserve lender may apply, in its sole and absolute discretion, to debt service, taxes and/or insurance.

Initial Reserves.    At closing, the borrower deposited (i) $148,798 into a tax reserve account, (ii) $90,000 related to costs for the separation of existing tax lots and (iii) $198,362 into a ground rent reserve.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
32

 
 
15 MetroTech Center
Brooklyn, NY 11201
Collateral Asset Summary – Loan No. 2
15 MetroTech Center
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$80,000,000
62.3%
1.42x
11.1%

Ongoing Reserves.    On a monthly basis, the borrower is required to deposit reserves of (i) 1/12 of the estimated annual real estate taxes, which currently equates to $49,599, into a tax reserve account, (ii) $10,825 into a capital expenditure account, (iii) $81,250  into a TI/LC reserve account and (iv) an amount equal to the ground rent that will be payable under the ground lease for the month immediately following the month in which such monthly payment date occurs, which currently equates to $99,181. Additionally, continuing through June 2020, subject to the WellPoint Cap, 100% of excess cash flow will be deposited into the WellPoint reserve.  These funds may be used to re-tenant the WellPoint Holding Corp. space as further described in the loan documents. The balance of the WellPoint reserve is projected to be approximately $30.4 million (approximately $77 PSF) at the time of the WellPoint Holding Corp. lease expiration (June 2020).  If there is a balance remaining in the WellPoint reserve after the borrower re-leases the WellPoint Holding Corp. tenant space, the balance will be transferred to the TI/LC reserve. Monthly deposits for insurance are waived as long as the 15 MetroTech Center Property is part of an acceptable blanket policy.

Current Mezzanine or Subordinate Indebtedness.    None.

Future Mezzanine or Subordinate Indebtedness Permitted.    None.

Ground Lease.    The 15 MetroTech Center Property is subject to a long term ground lease. The lessor on the ground lease is the City of New York. The lease commenced on December 31, 2001 and expires on December 31, 2100.  The base rent for the first period (July 1, 2003 through June 30, 2023) is $855,000, which is also during the 15 MetroTech Center Loan term.  For the remainder of the ground lease term (July 1, 2023 through December 31, 2100) the base rent will be 10% of the appraised fair market value of the land with reappraisals occurring every 10th anniversary thereafter.  From July 1, 2010 through June 30, 2015, the annual supplemental rent is $335,173.  From July 1, 2015 through June 30, 2040, the annual supplemental rent is $494,708. Additionally, commencing in 2025, the borrower is required to begin repaying $3,762,000 related to the original condemnation of the land by the City of New York, which is labeled as a surplus payment, with annual payments of $609,106 through 2039.

PILOT.    The borrower is obligated to pay the City of New York semi-annually (January and June) a payment in lieu of taxes (PILOT) in the amount of real property taxes assessed against the 15 MetroTech Center Property less 100% of the exemption base for the initial 16 years beginning July 1, 2001.  Beginning in the 2018/2019 tax year the exemption base will be reduced by 10% per year until the PILOT amount is equal to the real property taxes assessed. The PILOT payment was underwritten based on the average payment during the 15 MetroTech Center Loan term.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
33

 
 
15 MetroTech Center
Brooklyn, NY 11201
Collateral Asset Summary – Loan No. 2
15 MetroTech Center
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$80,000,000
62.3%
1.42x
11.1%
 
(FLOW CHART)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
34

 
 
15 MetroTech Center
Brooklyn, NY 11201
Collateral Asset Summary – Loan No. 2
15 MetroTech Center
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$80,000,000
62.3%
1.42x
11.1%
 
(MAP)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
35

 
 

 
33-00 Northern Boulevard
Long Island City, NY 11101
Collateral Asset Summary – Loan No. 3
The Center Building
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$62,000,000
66.7%
1.82x
11.4%
 
(PITURE)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
36

 
 
33-00 Northern Boulevard
Long Island City, NY 11101
Collateral Asset Summary – Loan No. 3
The Center Building
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$62,000,000
66.7%
1.82x
11.4%
             
Mortgage Loan Information
 
Property Information
Loan Seller:
LCF
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Acquisition
 
Property Type:
CBD Office
Sponsor:
Madison Marquette; Perella Weinberg
 
Collateral:
Fee Simple
Partners
 
Location:
Long Island City, NY
Borrower:
33-00 Northern Boulevard LLC
 
Year Built / Renovated:
1915 / 2012
Original Balance:
$62,000,000
 
Total Sq. Ft.:
442,626
Cut-off Date Balance:
$62,000,000
 
Property Management:
33-00 Northern Boulevard
% by Initial UPB:
5.8%
   
Manager LLC
Interest Rate:
4.4310%
 
Underwritten NOI:
$7,051,876
Payment Date:
6th of each month
 
Underwritten NCF:
$6,802,075
First Payment Date:
February 6, 2013
 
“As-Is” Appraised Value:
$93,000,000
Maturity Date:
October 6, 2018
 
“As-Is” Appraisal Date:
December 7, 2012
Amortization:
Interest only for first 32 months; 360
 
“As Stabilized” Appraised Value(5):
$98,000,000
 
months thereafter
 
“As Stabilized” Appraisal Date(5):
January 1, 2014
Additional Debt(1):
$10,000,000 Mezzanine Loan
     
Call Protection:
L(32), YM1(33), O(4)
 
Historical NOI
Lockbox / Cash Management:
Hard / In Place
 
2012 NOI:
$6,540,157 (T-12 September 30, 2012)
     
2011 NOI:
$6,340,934 (December 31, 2011)
Reserves(2)
 
2010 NOI:
$5,723,187 (December 31, 2010)
 
Initial
Monthly   
 
2009 NOI:
$4,925,463 (December 31, 2009)
Taxes:
$360,441
$120,147   
     
Insurance:
$22,337
Springing   
 
Historical Occupancy
Replacement:
$0
$9,224   
 
Current Occupancy(6):
87.5% (May 25, 2013)
TI/LC:
$3,000,000
$0   
 
2012 Occupancy:
87.5% (September 30, 2012)
   
2011 Occupancy:
88.6% (December 31, 2011)
Financial Information
 
2010 Occupancy:
88.6% (December 31, 2010)
  Mortgage Loan
Total Debt(3)
 
(1)   See “Current Mezzanine or Subordinate Indebtedness” herein.
(2)   See “Initial Reserves” and “Ongoing Reserves” herein.
(3)   Total Debt includes the mezzanine loan described under “Current Mezzanine or Subordinate Indebtedness” herein. The mezzanine loan has an interest rate of 10.0000%.
(4)   Based on amortizing debt service payments.  Based on the current interest only payments, the Underwritten NOI DSCR and Underwritten NCF DSCR for The Center Building Loan are 2.53x and 2.44x, respectively; and 1.86x and 1.79x for the total debt, respectively.
(5)   The “As Stabilized” LTV on The Center Building Loan is 63.3% based on achieving a stabilized occupancy of 95.0%.
(6)   On August 30, 2013 a lease was signed with The New York Foundling for 35,000 sq. ft. for a 15 year and four month lease term. This lease is not reflected in the any of the numbers presented herein. Including this lease, Current Occupancy is 95.4%.
 
Cut-off Date Balance / Sq. Ft.:
$140
$163
 
Balloon Balance / Sq. Ft.:
$133
$156
 
Cut-off Date LTV:
66.7%
77.4%
 
Balloon LTV:
63.3%
74.0%
 
Underwritten NOI DSCR(4):
1.89x
1.48x
 
Underwritten NCF DSCR(4):
1.82x
1.43x
 
Underwritten NOI Debt Yield:
11.4%
9.8%
 
Underwritten NCF Debt Yield:
11.0%
9.4%
 
Underwritten NOI Debt Yield at Balloon:
12.0%
10.2%
 
Underwritten NCF Debt Yield at Balloon:
11.6%
9.9%
 
       
       
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
37

 
 
33-00 Northern Boulevard
Long Island City, NY 11101
Collateral Asset Summary – Loan No. 3
The Center Building
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$62,000,000
66.7%
1.82x
11.4%
 
Tenant Summary
 
Tenant
Ratings
(Fitch/Moody’s/S&P)(1)
Net Rentable
Area (Sq. Ft.)
% of Net
Rentable Area
 
U/W Base 
Rent PSF
% of Total
U/W Base Rent
Lease
Expiration
NYC Department of Citywide Administrative Services
AA/Aa2/AA
149,400
33.8%  
 
$30.52
45.0%     
1/15/2017
NYC Transit Authority(2)
A/A2/A
109,625
24.8%  
 
$25.00
27.0%     
4/30/2020
Quadlogic Control Corporation(3)
NR/NR/NR
38,180
8.6%  
 
$20.10
7.6%     
6/30/2022
NYC Department of Cultural Affairs(4)
AA/Aa2/AA
35,452
8.0%  
 
$23.00
8.0%     
5/21/2028
NYC Office of Court Administration(5)
AA/Aa2/AA
19,861
4.5%  
 
$21.66
4.2%     
11/19/2024
Total Major Tenants
 
352,518
79.6%  
 
$26.42
91.8%     
 
Remaining Tenants
 
34,666
7.8%  
 
$23.84
8.2%     
 
Total Occupied Collateral
 
387,184
87.5%  
 
$26.19
100.0%     
 
Vacant
 
55,442
12.5%  
       
Total
 
442,626
100.0%  
       
               
(1)
Certain ratings are those of the parent company whether or not the parent company guarantees the lease. Credit ratings for the NYC Department of Citywide Administrative Services, NYC Department of Cultural Affairs and the NYC Office of Court Administration are the credit ratings of New York City’s general obligation bonds.  Credit Ratings for the NYC Transit Authority are the credit ratings for the NYC Transit Authority’s revenue bonds.
(2)
The NYC Transit Authority lease includes a termination option in April 2015 with nine months notice.
(3)
The Quadlogic Control Corporation lease includes a termination option in June 2017 with 18 months notice. In the event that the termination option is exercised, Quadlogic Control Corporation must pay a fee of $694,493.
(4)
The NYC Department of Cultural Affairs lease includes a termination option in May 2018 with 12 months notice. In the event that the termination option is exercised, the tenant must pay a termination fee equivalent to four months fixed rent.
(5) 
The NYC Office of Court Administration lease includes a termination option in November 2016, November 2019 and November 2022 with nine months notice. In the event that the termination option is exercised, the tenant must pay a termination fee equivalent to $160,000.
 
Lease Rollover Schedule(1)
Year
# of
Leases
Expiring
Total
Expiring
Sq. Ft.
% of Total Sq.
Ft. Expiring
Cumulative
Sq. Ft.
Expiring
Cumulative % of
Sq. Ft. Expiring
Annual U/W
Base Rent
Per Sq. Ft.
% U/W
Base Rent
Rolling
Cumulative %
of U/W
Base Rent
MTM
0  
0  
0.0%   
0
0.0%   
$0.00 
0.0%   
0.0%  
2013
1  
6,027  
1.4%   
6,027
1.4%   
$20.70 
1.2%   
1.2%  
2014
1  
1,600  
0.4%   
7,627
1.7%   
$8.25 
0.1%   
1.4%  
2015
0  
0  
0.0%   
7,627
1.7%   
$0.00 
0.0%   
1.4%  
2016
0  
0  
0.0%   
7,627
1.7%   
$0.00 
0.0%   
1.4%  
2017
2  
151,269  
34.2%   
158,896
35.9%   
$30.66 
45.7%   
47.1%  
2018
0  
0  
0.0%   
158,896
35.9%   
$0.00 
0.0%   
47.1%  
2019
0  
0  
0.0%   
158,896
35.9%   
$0.00 
0.0%   
47.1%  
2020
1  
109,625  
24.8%   
268,521
60.7%   
$25.00 
27.0%   
74.1%  
2021
0  
0  
0.0%   
268,521
60.7%   
$0.00 
0.0%   
74.1%  
2022
3  
63,350  
14.3%   
331,871
75.0%   
$21.76 
13.6%   
87.7%  
2023
0  
0  
0.0%   
331,871
75.0%   
$0.00 
0.0%   
87.7%  
Thereafter
2  
55,313  
12.5%   
387,184
87.5%   
$22.52 
12.3%   
100.0%  
Vacant
NAP  
55,442  
12.5%   
442,626
100.0%   
NAP 
NAP   
 
Total / Wtd. Avg.
10  
442,626  
100.0%   
   
$26.19 
100.0%   
 
                 
(1)
Certain tenants have lease termination options that may become exercisable prior to the originally stated expiration date of the tenant lease and that are not considered in the lease rollover schedule or the stacking plan.

The Loan.    The Center Building loan (“The Center Building Loan”) is a fixed rate loan secured by the borrower’s fee simple interest in the 442,626 sq. ft. office building located at 33-00 Northern Boulevard in Long Island City, New York (“The Center Building Property”) and has an original principal balance of $62.0 million. The Center Building Loan has a five-year nine-month term and amortizes on a 30-year schedule after an initial 32-month interest only period. The Center Building Loan accrues interest at a fixed rate equal to 4.4310% and has a cut-off date balance of $62.0 million. Loan proceeds along with mezzanine debt of $10.0 million and approximately
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
38

 
 
33-00 Northern Boulevard
Long Island City, NY 11101
Collateral Asset Summary – Loan No. 3
The Center Building
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$62,000,000
66.7%
1.82x
11.4%
 
$18.0 million of equity from the sponsors were used to acquire The Center Building Property for a total cost, inclusive of upfront reserves, of approximately $90.0 million. Based on the “As-Is” appraised value of $93.0 million as of December 7, 2012, the cut-off date LTV ratio is 66.7%. Based on the “As Stabilized” appraised value of $98.0 million as of January 1, 2014, the “As Stabilized” LTV ratio is 63.3%.

Sources and Uses
Sources
Proceeds
% of Total
 
Uses
Proceeds
% of Total
Loan Amount
$62,000,000
68.9%   
 
Purchase Price
$84,500,000
93.9%   
Mezzanine Loan
$10,000,000
11.1%   
 
Reserves(1)
$3,632,778
4.0%   
Sponsor Equity
$17,979,148
20.0%   
 
Closing Costs
$1,846,370
2.1%   
Total Sources
$89,979,148
100.0%   
 
Total Uses
$89,979,148
100.0%   
(1)
$250,000 was reserved at closing for an environmental reserve that has since been released based on work completed.

The Borrower / Sponsor.    The borrower, 33-00 Northern Boulevard LLC, is a single purpose Delaware limited liability company structured to be bankruptcy-remote, with two independent directors in its organizational structure.  The sponsors of the borrower are Madison Marquette and Perella Weinberg Partners and the nonrecourse carve-out guarantor is Madison Realty Partnership LLC.

Madison Marquette is a fully integrated private real estate investment and operating company focused on infill retail and mixed-use real estate in the major coastal markets of the United States. Madison Marquette’s current portfolio includes approximately 18 million square feet (six million owned, 12 million advisory) of properties across the United States. Madison Marquette has significant sponsorship under the umbrella of its parent company, Capital Guidance Corporation. Perella Weinberg Partners is a leading independent financial services firm. Established in 2006, Perella Weinberg Partners provides advisory and asset management services to a global client base, including corporations, institutions and governments. Including affiliates, Perella Weinberg Partners has capital commitments and managed assets of more than $9.5 billion.

Environmental Matters.    The Phase I environmental report dated August 12, 2013 recommended the development and implementation of an Asbestos Operation and Maintenance Plan at The Center Building Property, which is already in place. At closing, the borrower obtained an environmental insurance policy issued by Zurich American Insurance Company in the amount of $2.0 million for a term of nine years.

Major Tenants.  
  
NYC Department of Citywide Administrative Services (149,400 sq. ft., 33.8% of NRA, 45.0% of U/W Base Rent) The Department of Citywide Administrative Services (“DCAS”) operates the Food Stamps Program for the Borough of Queens at The Center Building Property. In total, DCAS invested approximately $5.0 million to prepare the space for occupancy. In addition, the prior landlord invested approximately $0.5 million in order to construct an independent lobby along Northern Avenue for the Food Stamps Program, allowing clients seeking assistance to access DCAS directly. DCAS has been a tenant at The Center Building Property since 2001.

NYC Transit Authority (109,625 sq. ft., 24.8% of NRA, 27.0% of U/W Base Rent) The NYC Transit Authority (“MTA”) is a public authority that operates the public transportation system in New York City.  The MTA operates its Paratransit call center at The Center Building Property. Paratransit is the term used for a “demand-response” service in which an eligible customer must reserve a trip in advance.  The service is shared-ride, door-to-door, or feeder service. The call center serves an essential function for disabled New Yorkers and is considered mission critical by New York City. During Hurricane Sandy, the call center at The Center Building Property operated 24 hours a day to evacuate disabled New Yorkers from low lying areas. In order to serve its mission critical function, MTA has invested approximately $1.75 million to provide redundant data systems including a back-up generator, UPS Equipment, and dedicated wiring and outlets that can operate 50% of the facility. The MTA moved to the Center Building Property from Manhattan in 2005. The NYC Transit Authority lease includes a termination option in April 2015 with nine months notice.

Quadlogic Control Corporation (38,180 sq. ft., 8.6% of NRA, 7.6% of U/W Base Rent) Quadlogic Control Corporation (“Quadlogic”) is headquartered at The Center Building Property. Quadlogic develops and sells electric sub-meter & energy monitoring products and systems for individual tenant billing. Quadlogic’s metering systems are installed throughout the world in commercial and residential buildings and complexes, and in power utilities in the United States, Canada, Israel, Colombia, Chile, Mexico, Dominican Republic, Costa Rica, Puerto Rico, Panama and Brazil. The Quadlogic lease includes a termination option in June 2017 with 18 months notice. In the event that the termination option is exercised, Quadlogic must pay a fee of $694,493.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
39

 
 
33-00 Northern Boulevard
Long Island City, NY 11101
Collateral Asset Summary – Loan No. 3
The Center Building
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$62,000,000
66.7%
1.82x
11.4%
 
The Market.     The Center Building Property is located within Long Island City (“LIC”) in the western portion of Queens County, New York.  LIC occupies the western most portions of Queens, running from the East River to approximately Queens Boulevard. The Center Building Property is located at the corner of Northern Boulevard and Honeywell Street in LIC.  LIC includes over 7,000 businesses with over 90,000 employees. While still one of the largest manufacturing centers in New York State, LIC has attracted a diverse mix of businesses.   LIC is a transportation hub served by eight subway lines and 12 bus lines. LIC is at the geographic center of NYC and has seen intensive redevelopment efforts in recent years.  Rezoning in 2001 opened the way to new office, retail and residential development, some of which are highlighted below. Much of the success and appeal of the area is due to its proximity to downtown and midtown Manhattan, the ease of transport, and the numerous subsidies and economic incentives from New York City to encourage redevelopment. Recently, the office sector has scored several notable new tenants, including the Jet Blue headquarters building, Publicis and CUNY Law School.

Land uses in The Center Building Property’s immediate neighborhood consist of a mixture of office, retail and industrial uses. The Center Building Property is located across Honeywell Street from a newly redeveloped six-story self-storage facility (Public Storage). To the east of The Center Building Property is a six-story Class B office building, with low-rise office/industrial buildings to the north. Northern Boulevard is a major east/west thoroughfare in the area. Land uses along Northern Boulevard are primarily commercial uses such as retail, office and industrial. Retailers located along Northern Boulevard include Best Buy, Home Depot, Sports Authority and auto dealerships. The Center Building Property is also located immediately adjacent to a New York City-owned property (34-00 Northern Boulevard) that is occupied by the Human Resources Administration (“HRA”).  That property provides job programs, family counseling and other services complementary to those offered by HRA at The Center Building Property.

The Northwest Queens County office market where The Center Building Property is located contains approximately 12.9 million sq. ft. of rentable building area within 392 buildings. As of the fourth quarter of 2012, the vacancy rate for the office market was 5.1% with an average annual rental rate of $23.60 PSF.

Cash Flow Analysis.

Cash Flow Analysis
 
 
2010
2011
T-12 9/30/2012
U/W
U/W PSF
 
Base Rent(1)
$8,768,636
$8,753,937
$9,587,375
$10,140,518
$22.91
 
Value of Vacant Space
0
0
0
1,401,740
3.17
 
Gross Potential Rent
$8,768,636
$8,753,937
$9,587,375
$11,542,258
$26.08
 
Total Recoveries
1,137,555
1,368,882
1,487,356
1,255,586
2.84
 
Total Other Income
          247,219
461,895
318,157
292,469
0.66
 
Less: Vacancy(2)
             0
             0
            0
(1,401,740)
(3.17)
 
Effective Gross Income
$10,153,409
$10,584,715
$11,392,888
$11,688,573
$26.41
 
Total Operating Expenses
4,430,222
4,243,781
4,852,731
4,636,698
10.48
 
Net Operating Income
$5,723,187
$6,340,934
$6,540,157
$7,051,876
$15.93
 
TI/LC
0
0
0
             139,118
0.31
 
Capital Expenditures
0
0
0
110,683
0.25
 
Net Cash Flow
$5,723,187
$6,340,934
$6,540,157
 $6,802,075
$15.37
 
(1)
U/W Base Rent includes $111,230 in contractual step rent through January 2014.
(2)
U/W Vacancy represents 11.0% of gross income.

Property Management.    The Center Building Property is managed by 33-00 Northern Boulevard Manager LLC, a borrower affiliate.

Lockbox / Cash Management.    The Center Building Loan is structured with a hard lockbox and in place cash management. The borrower is required to cause all tenants to deposit all rents and other payments into the lockbox account controlled by the lender. All funds in the lockbox account are swept daily to a cash management account under the control of the lender and disbursed during each interest period of the loan term in accordance with the loan documents.

Additionally, all excess cash will be swept into a lender controlled account during the existence of a Sweep Event. A “Sweep Event”, will exist if (i) The Center Building Loan DSCR falls below 1.15x, (ii) the mezzanine loan DSCR falls below 1.05x, (iii) there is an event of default under the loan documents or under the property management agreement beyond all applicable notice and cure  periods, (iv) the City of New York becomes insolvent, files for bankruptcy, or has its senior unsecured debt rating fall below BBB- by S&P or Baa3 by
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
40

 
 
33-00 Northern Boulevard
Long Island City, NY 11101
Collateral Asset Summary – Loan No. 3
The Center Building
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$62,000,000
66.7%
1.82x
11.4%
 
Moody’s, (v) the MTA or DCAS goes dark or ceases to operate in substantially all of its space (in which case, cash will be swept into the rollover reserve) or (vi) six months prior to the expiration dates under the DCAS or MTA leases (or at any earlier time) such tenant provides a notice of termination or non-renewal, as applicable.

Initial Reserves.    At closing, the borrower deposited (i) $360,441 into a tax reserve account, (ii) $22,337 into an insurance reserve account and (iii) $3,000,000 into the TI/LC reserve account.

Ongoing Reserves.    On a monthly basis, the borrower is required to deposit reserves of (i) 1/12 of the estimated annual real estate taxes, which currently equates to $120,147, into a tax reserve account and (ii) $9,224 into a capital expenditure account, which amount is capped at $300,000. The borrower will be required to deposit 1/12 of the annual insurance premiums into the insurance reserve account if an acceptable policy is not in place.

Current Mezzanine or Subordinate Indebtedness.    A $10.0 million mezzanine loan was funded at closing by CreXus S Holdings LLC, an affiliate of CreXus Investment Corporation. The mezzanine loan is coterminous with The Center Building Loan and accrues interest at a rate of 10.0000%. The mezzanine loan borrower is required to make interest only payments for the full five-year and nine-month term of the mezzanine loan.

Future Mezzanine or Subordinate Indebtedness Permitted.    None.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
41

 
 
33-00 Northern Boulevard
Long Island City, NY 11101
Collateral Asset Summary – Loan No. 3
The Center Building
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$62,000,000
66.7%
1.82x
11.4%

(MAP)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
42

 
 
33-00 Northern Boulevard
Long Island City, NY 11101
Collateral Asset Summary – Loan No. 3
The Center Building
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$62,000,000
66.7%
1.82x
11.4%

(MAP)

The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
43

 
115 East 57th Street
New York, NY 10022
Collateral Asset Summary – Loan No. 4
The Galleria - 115 East 57th Street
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,500,000
52.5%
1.37x
9.4%
 
(IMAGE)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
44

 
 
115 East 57th Street
New York, NY 10022
Collateral Asset Summary – Loan No. 4
The Galleria - 115 East 57th Street
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,500,000
52.5%
1.37x
9.4%
 
Mortgage Loan Information
 
Property Information
Loan Seller:
Natixis
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Refinance
 
Property Type:
CBD Office
Sponsor:
Joseph Moinian
 
Collateral:
Fee Simple
Borrower:
Eldad Prime LLC
 
Location:
New York, NY
Original Balance:
$52,500,000
 
Year Built / Renovated:
1975 / NAP
Cut-off Date Balance:
$52,500,000
 
Total Sq. Ft.:
180,881
% by Initial UPB:
4.9%
 
Property Management:
Cushman & Wakefield, Inc.
Interest Rate:
4.9940%
 
Underwritten NOI:
$4,952,631
Payment Date:
6th of each month
 
Underwritten NCF:
$4,640,823
First Payment Date:
March 6, 2013
 
Appraised Value:
$100,000,000
Maturity Date:
February 6, 2020
 
Appraisal Date:
August 1, 2013
Amortization:
Interest only for first 12 months; 360
     
 
months thereafter
 
Historical NOI
Additional Debt:
None
 
Most Recent NOI:
$3,401,925 (T-12 May 31, 2013)
Call Protection:
L(31), D(49), O(4)
 
2012 NOI:
$3,821,564 (December 31, 2012)
Lockbox / Cash Management:
Hard / Springing
 
2011 NOI:
$3,746,798 (December 31, 2011)
         
2010 NOI:
$3,943,708 (December 31, 2010)
Reserves(1)
     
 
Initial
 
Monthly  
 
Historical Occupancy
Taxes:
$258,654
 
$129,327  
 
Current Occupancy(3):
93.3% (August 30, 2013)
Insurance:
$14,228
 
$2,846  
 
2012 Occupancy:
74.7% (December 31, 2012)
Replacement:
$0
 
$3,712  
 
2011 Occupancy:
86.9% (December 31, 2011)
TI/LC:
$1,828,712
 
$22,272  
 
2010 Occupancy:
93.1% (December 31, 2010)
Accretive Lease Holdback:
$5,000,000
 
$0  
 
(1)   See “Initial Reserves” and “Ongoing Reserves” herein.
(2)   Based on amortizing debt service payments. Based on the current interest only payments, the Underwritten NOI DSCR and Underwritten NCF DSCR are 1.86x and 1.75x, respectively.
(3)   As of August 30, 2013, The Galleria - 115 East 57th Street Property was 71.1% occupied and 93.3% leased. Skin Laser & Surgery Specialist NY/NJ LLC, which has been at The Galleria - 115 East 57th Street Property since 2005, is in the process of relocating/expanding from 2,410 sq. ft. to 3,951 sq. ft. space. Skin Laser & Surgery Specialist NY/NJ LLC signed a 10-year lease for its new space. In addition, Spa Castle recently executed a lease for 40,275 sq. ft. or 22.3% of the gross leasable area. Spa Castle took possession of the premises on September 1, 2013, bringing the leased rate up to 93.3%.
Free Rent:
$466,761
 
$0  
 
Shortfall:
$200,000
 
$0  
 
         
Financial Information
 
Cut-off Date Balance / Sq. Ft.:
$290
   
Balloon Balance / Sq. Ft.:
$262
   
Cut-off Date LTV:
52.5%
   
Balloon LTV:
47.5%
   
Underwritten NOI DSCR(2):
1.47x
   
Underwritten NCF DSCR(2):
1.37x
   
Underwritten NOI Debt Yield:
9.4%
   
Underwritten NCF Debt Yield:
8.8%
   
Underwritten NOI Debt Yield at Balloon:
10.4%
   
Underwritten NCF Debt Yield at Balloon:
9.8%
   
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
45

 
 
115 East 57th Street
New York, NY 10022
Collateral Asset Summary – Loan No. 4
The Galleria - 115 East 57th Street
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,500,000
52.5%
1.37x
9.4%
 
Tenant Summary(1)
                         
 
Tenant
 
Ratings
(Fitch/Moody’s/S&P)
 
Net Rentable
Area (Sq. Ft.)
 
% of Net
Rentable Area
 
U/W Base 
Rent PSF(2)
 
% of Total
U/W Base Rent(2)
 
Lease
Expiration
Spa Castle(3)
 
NR/NR/NR
 
40,275
 
22.3%
 
$42.00
 
20.8%
 
10/31/2034
Kickstart c/o The Moinian Group(4)
 
NR/NR/NR
 
25,000
 
13.8%
 
$56.09
 
17.3%
 
12/31/2018
Total Major Office Tenants
     
65,275
 
36.1%
 
$47.40
 
38.1%
   
Remaining Office Tenants
     
74,819
 
41.4%
 
$55.20
 
50.8%
   
Total Occupied Office Tenants
     
140,094
 
77.5%
 
$51.57
 
88.9%
   
Retail Tenants
     
6,265
 
3.5%
 
$60.48
 
4.7%
   
Parking
     
22,467
 
12.4%
 
$23.23
 
6.4%
 
3/31/2017
Total Occupied Collateral
     
168,826
 
93.3%
 
$48.13
 
100.0%
   
Vacant
     
12,055
 
6.7%
           
Total / Wtd. Avg.
     
180,881
 
100.0%
           
                         
(1)
Based on rent roll as of August 30, 2013
(2)
U/W Base Rent PSF and % of Total U/W Base Rent includes contractual rent steps through April 2014.
(3)
Spa Castle took possession of its premises in September 2013 but will not begin paying rent until September 2014. A reserve was established to cover the base rent for Spa Castle through September 2014.
(4)
Kickstart c/o The Moinian Group is an affiliate of the Sponsor.
 
  Lease Rollover Schedule(1)(2)
Year
 
# of
Leases
Expiring
 
Total
Expiring
Sq. Ft.
 
% of Total Sq.
Ft. Expiring
 
Cumulative
Sq. Ft.
Expiring
 
Cumulative % of
Sq. Ft. Expiring
 
Annual U/W
Base Rent
PSF
 
% U/W
Base Rent
Rolling
 
Cumulative %
of U/W
Base Rent
MTM
 
1
 
1,828
 
1.0%
 
1,828
 
1.0%
 
$62.36
 
1.4%
 
1.4%
2013
 
2
 
3,469
 
1.9%
 
5,297
 
2.9%
 
$60.80
 
2.6%
 
4.0%
2014
 
3
 
9,004
 
5.0%
 
14,301
 
7.9%
 
$50.12
 
5.6%
 
9.6%
2015
 
0
 
0
 
0.0%
 
14,301
 
7.9%
 
$0.00
 
0.0%
 
9.6%
2016
 
1
 
4,535
 
2.5%
 
18,836
 
10.4%
 
$65.50
 
3.7%
 
13.2%
2017
 
6
 
33,488
 
18.5%
 
52,324
 
28.9%
 
$37.74
 
15.6%
 
28.8%
2018
 
3
 
26,500
 
14.7%
 
78,824
 
43.6%
 
$56.81
 
18.5%
 
47.3%
2019
 
3
 
8,310
 
4.6%
 
87,134
 
48.2%
 
$45.80
 
4.7%
 
52.0%
2020
 
3
 
8,631
 
4.8%
 
95,765
 
52.9%
 
$46.94
 
5.0%
 
57.0%
2021
 
2
 
4,353
 
2.4%
 
100,118
 
55.4%
 
$48.59
 
2.6%
 
59.6%
2022
 
4
 
10,882
 
6.0%
 
111,000
 
61.4%
 
$59.63
 
8.0%
 
67.6%
Thereafter
 
6
 
57,826
 
32.0%
 
168,826
 
93.3%
 
$45.59
 
32.4%
 
100.0%
Vacant
 
NAP
 
12,055
 
6.7%
 
NAP
 
NAP
 
NAP
 
NAP
   
Total / Wtd. Avg.
 
34
 
180,881
 
100.0%
         
$48.13
 
100.0%
   
                                 
(1)
Annual U/W Base Rent PSF, % U/W Base Rent Rolling and Cumulative % of U/W Base Rent include contractual rent steps through April 2014.
(2)
Certain tenants have lease termination options that may become exercisable prior to the originally stated expiration date of the tenant lease and that are not considered in the lease rollover schedule or the site plan.

The Loan.    The Galleria - 115 East 57th Street loan (“The Galleria - 115 East 57th Street Loan”) is a fixed rate loan secured by the borrower’s fee simple interest in the 180,881 sq. ft. Class A- CBD office property located at 115 East 57th Street in New York, New York (“The Galleria - 115 East 57th Street Property”) and has an original principal balance of $52.5 million. The Galleria - 115 East 57th Street Loan has a seven-year term and amortizes on a 30-year schedule after an initial 12-month interest only period. The Galleria - 115 East 57th Street Loan accrues interest at a fixed rate equal to 4.9940% and has a cut-off date balance of approximately $52.5 million. Loan proceeds, together with an equity contribution from the Sponsor of over $7.6 million were used to refinance existing debt of approximately $51.5 million, fund upfront reserves totaling approximately $7.8 million, and pay closing costs of approximately $0.8 million.  Based on the appraised value of $100.0 million as of August 1, 2013, the cut-off date LTV ratio is 52.5%. The most recent prior financing of The Galleria - 115 East 57th Street Property was included in the WBCMT 2005-C19 transaction.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
46

 
 
115 East 57th Street
New York, NY 10022
Collateral Asset Summary – Loan No. 4
The Galleria - 115 East 57th Street
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,500,000
52.5%
1.37x
9.4%
 
Sources and Uses
 
Sources
 
Proceeds
 
% of Total   
 
Uses
Proceeds
 
% of Total  
 
Loan Amount
 
$52,500,000
 
87.3%
 
Loan Payoff
$51,544,910
 
85.7%
 
Sponsor Equity
 
$7,635,092
 
12.7%
 
Reserves
$7,768,355
 
12.9%
 
           
Closing Costs
$821,827
 
1.4%
 
Total Sources
 
$60,135,092
 
100.0%
 
Total Uses
$60,135,092
 
100.0%
 

The Borrower / Sponsor.    The borrower, Eldad Prime LLC, is a single purpose Delaware limited liability company structured to be bankruptcy-remote, with two independent directors in its organizational structure.  The sponsor of the borrower and the nonrecourse carve-out guarantor is Joseph Moinian (the “Sponsor”). In 1982, the Sponsor founded the Moinian Group, a privately held real estate firm with over $10.0 billion in assets currently owned and managed.

The Property.    The Galleria - 115 East 57th Street Property is a 16-story, Class A- multi-tenant office property, built in 1975 consisting of 180,881 sq. ft. on a 17,287 sq. ft. parcel of land. The Galleria - 115 East 57th Street Property is located on the north side of East 57th Street between Park and Lexington Avenues in the Plaza Office District (more specifically East Side submarket) of Midtown Manhattan.

The Galleria - 115 East 57th Street Property represents the commercial component of a 57-story mixed use tower.  The larger building is a two unit condominium with one unit (upper floors and a portion of the first floor lobby) containing residential apartments (not part of the collateral for The Galleria - 115 East 57th Street Loan) and the other unit containing all of the commercial space. The fully sprinklered building has steel reinforced concrete fireproof construction and offers four high-speed Westinghouse automatic passenger elevators and a garage elevator distributed among two elevator banks. One of the passenger elevators also provides freight service.

The Galleria - 115 East 57th Street Property is occupied by tenants focused in the health and wellness industries. The Galleria - 115 East 57th Street Property offers these smaller space users a midtown location and a 57th Street address without the obligation to take significantly larger space at significantly higher rents.  The Galleria - 115 East 57th Street Property has historically been well occupied with a 94.8% average quarterly leased rate over the 10-year holding period from 2000-2010 and is currently 93.3% leased to 26 office tenants and 3 retail tenants, including Spa Castle, which took possession of its space in September 2013.  The Galleria - 115 East 57th Street Property has recently signed leases for approximately 64,592 sq. ft. that brought The Galleria - 115 East 57th Street Property up to market occupancy. Additionally, the Sponsor has been careful to maintain a consistent theme of tenants with a health and wellness focus creating a critical mass and density for the client base.  The recent leasing activity is a testament to The Galleria - 115 East 57th Street Property’s appeal among tenants in this industry group.

Environmental Matters.    The Phase I environmental report dated November 12, 2012 recommended no further action at The Galleria - 115 East 57th Street Property.

Major Tenants.    The Galleria - 115 East 57th Street Property is leased to two major tenants: Spa Castle on the 7th, 8th and 9th floors (40,275 sq. ft.) and Kickstart c/o The Moinian Group, a Moinian managed executive suite provider (25,000 sq. ft.) on the 10th and 11th floors. The tenant roster includes an assortment of physician’s offices, medical laboratory and testing facilities, as well as wellness focused tenants such as physical therapists, pilates and yoga instructors and homeopathic treatments.

Spa Castle (40,275 sq. ft., 22.3% of NRA, 20.8% of Total U/W Base Rent). Spa Castle offers an innovative spa and sauna system, massages and savory cuisine to The Galleria - 115 East 57th Street Property.  The facilities and services are designed to promote the health and well-being of its clients. Spa Castle first opened in College Point, New York. Spa Castle launched a Texas location in March 2012. The availability of the 40,275 sq. ft. space at The Galleria - 115 East 57th Street Property, previously leased by NY Racquet and Tennis Club, presented an opportunity for Spa Castle to open its first Manhattan location. The location will offer three full floors (7th, 8th and 9th floors) of spa facilities including an outdoor sundeck.  The space currently features a swimming pool on the 8th floor and outdoor sundeck. Spa Castle plans to convert the pool to a bade pool with a partial sundeck. The tenant plants to gut and refurbish the entire pool area. The project will be designed, constructed and operated by Spa Castle beginning in September 2013. Spa Castle executed a 20-year lease, ending in October 2034, with no renewal option.

Kickstart c/o The Moinian Group (25,000 sq. ft., 13.8% of NRA, 17.3% of Total U/W Base Rent). Kickstart c/o The Moinian Group (“Kickstart”) is a Moinian-managed executive suite provider. Joseph Moinian, the Sponsor at The Galleria - 115 East 57th Street Property, and Morad Ghadamian, together the owners of Eldad LLC, have a combined interest of less than 50.0% in Kickstart. The Kickstart space at The Galleria - 115 East 57th Street Property is the midtown location of the Office Suite Group. The Office Suite Group offers two other locations in downtown Manhattan (Battery at 1 West Street and Financial at 90 John Street). Each office space
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
47

 
 
115 East 57th Street
New York, NY 10022
Collateral Asset Summary – Loan No. 4
The Galleria - 115 East 57th Street
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,500,000
52.5%
1.37x
9.4%
 
has a different ownership structure. The three convenient New York City locations offer small businesses, large corporations and emerging startups with flexible, fully equipped office space packages from small suites to large open layouts.
 
The Kickstart space at The Galleria - 115 East 57th Street Property is specially geared to help emerging businesses grow by reducing costs. Leases generally range from six months to two years with no capital expenditure and no long term liability adapted to start-ups. The leasing spaces, from two desks up to eight desks, are fully furnished with high speed internet, advanced telephone system, furniture, shared conference rooms and a café, among others, and is 83.7% occupied to various start-ups such as web designers, a hedge fund, recruiting firms and a public relations office.  Kickstart also caters to companies in the process of moving locations.  This provides an additional short term revenue stream.

Kickstart has been at The Galleria - 115 East 57th Street Property since 2003, and expanded in 2009 to lease a total of 25,000 sq. ft. at The Galleria - 115 East 57th Street Property on the 10th and 11th floors; under a lease that expires in December 2018 with one five-year renewal option.

The Market.    The Galleria - 115 East 57th Street Property is located on the north side of East 57th Street between Park and Lexington Avenues in the Plaza Office District (more specifically East Side submarket) of Midtown Manhattan. The Galleria - 115 East 57th Street Property is accessible via mass transit due to its close proximity to several subway stations (59th Street and Lexington Avenue) which access a variety of train lines (4,5,6,N,Q,R).  The Galleria - 115 East 57th Street Property is also accessible to major roads such as the FDR Drive and is accessible to the Ed Koch Queensboro Bridge.

As per the appraisal, The Galleria - 115 East 57th Street Property is located within the East Side submarket. For Q1 2013, the overall vacancy rate within the submarket decreased to 8.3% from 8.6% and 9.6% in the Q4 2012 and Q1 2012, respectively. As of Q1 2013, the direct rental rate within the submarket decreased to $62.29 PSF from $63.38 PSF in the Q1 2012.

Competitive Set(1)
       
Asking Rent (PSF)
Property
Built / Renovated
Size
Occupancy %
Low
High
115 East 57th Street
1975
180,881
93.3%
$40
$113
70 East 55th Street
1987
142,023
74.7%
$45
$59
155 East 55th Street
1961
65,000
100.0%  
NAP
NAP
120 East 56th Street
1926
86,000
94.3%
$54
$54
19 East 57th Street
1939
95,000
100.0%  
NAP
NAP
595 Madison Avenue
1929
265,711
95.3%
$75
$75
445 Park Avenue
1947/2008
287,000
91.2%
$85
$85
500 Park Avenue
1960
180,000
95.5%
$62
$62
505 Park Avenue
1949
175,171
100.0%  
NAP
NAP
(1)
Source: Appraisal
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
48

 
 
115 East 57th Street
New York, NY 10022
Collateral Asset Summary – Loan No. 4
The Galleria - 115 East 57th Street
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,500,000
52.5%
1.37x
9.4%
 
Cash Flow Analysis.

Cash Flow Analysis
 
   
2011
2012
T-12 5/31/2013
U/W
U/W PSF
 
 Base Rent(1)
 
$6,543,500
$6,438,538
$6,068,261
$8,125,028
$44.92
 
 Value of Vacant Space
 
0
0
0
715,970
3.96
 
 Gross Potential Rent
 
$6,543,500
$6,438,538
$6,068,261
$8,840,998
$48.88
 
 Total Recoveries
 
822,095
860,681
853,636
669,718
3.70
 
 Total Other Income
 
          86,818
          106,104
97,549
61,600
0.34
 
 Less: Vacancy(2)
 
             0
             0
0
(715,970)
(3.96)
 
 Effective Gross Income
 
$7,452,413
$7,405,323
$7,019,446
$8,856,346
$48.96
 
 Total Operating Expenses
 
3,705,615
3,583,759
3,617,521
3,903,715
21.58
 
 Net Operating Income
 
$3,746,798
$3,821,564
$3,401,925
$4,952,631
$27.38
 
 TI/LC
 
0
0
0
267,264
1.48
 
 Capital Expenditures
 
0
0
0
44,544
0.25
 
 Net Cash Flow
 
$3,746,798
$3,821,564
$3,401,925
$4,640,823
$25.66
 
               
(1)
U/W Base Rent includes $81,824 in contractual step rent through April 2014.
(2)
U/W Vacancy represents 7.5% of gross income.

Property Management.    The Galleria - 115 East 57th Street Property is currently managed by Cushman & Wakefield, Inc., pursuant to a management agreement.

Lockbox / Cash Management.    The Galleria - 115 East 57th Street Loan is structured with a hard lockbox and springing cash management. The Galleria - 115 East 57th Street Loan requires all rents to be transmitted directly by non-residential tenants of The Galleria - 115 East 57th Street Property into the clearing account.  Following the commencement of any Cash Sweep Period (as detailed below), funds deposited into the clearing account are required to be swept by the clearing bank into a lender controlled deposit account, where the funds are required to be disbursed in accordance with the loan agreement. Upon a Cash Sweep Period, excess cash flow is deposited to a cash collateral account.

A “Cash Sweep Period” will commence upon lender giving notice to borrower and clearing bank of the occurrence of any of the following: (i) an event of default or (ii) at any time after June 6, 2013, the failure by borrower, after the end of two calendar quarters, to maintain a DSCR of at least 1.10x; and will end upon lender giving notice to borrower and the clearing bank that the Cash Sweep Period has ended, which notice lender is required to give and shall immediately give if (1) The Galleria - 115 East 57th Street Loan and all other obligations under the loan documents have been repaid in full, (2) there has been a full defeasance of The Galleria - 115 East 57th Street Loan, (3) if lender has accepted a cure of the event of default in its sole and reasonable discretion or (4) for six consecutive months since the commencement of the existing Cash Sweep Period (A) no event of default has occurred, (B) no event that would trigger another Cash Sweep Period has occurred and (C) the DSCR is at least equal to 1.15x (as determined at the end of a calendar quarter).

Initial Reserves.    At closing, the borrower deposited (i) $258,654 into a tax reserve account, (ii) $14,228 into an insurance reserve account, (iii) $1,828,712 into the TI/LC reserve account for leasing expenses (including tenant improvements and brokerage commissions), (iv) $466,761 into a free rent reserve account, (v) $200,000 into a shortfall reserve account to cover any shortfall in amounts due under The Galleria - 115 East 57th Loan (including funding reserves) during a Cash Sweep Period and (vi) $5,000,000 into an accretive lease holdback reserve. Funds on deposit in the accretive lease holdback reserve will be disbursed for free rent concessions provided under, and expenses incurred in connection with entering into an Accretive Lease (as defined below). In addition, at such time as the annualized base rent equals or exceeds $7,775,000, upon the delivery by borrower to lender of a written request, Natixis shall disburse to borrower the lesser of (i) the then remaining balance on deposit in the accretive lease holdback subaccount, or (ii) $1,500,000.

“Accretive Lease” means (i) the lease between the borrower and Spa Castle dated as of July 8, 2013, and (ii) any other lease that satisfies the following conditions: (i) it has an initial annual base rent of at least $42.00 PSF and (ii) the initial annualized base rent under such lease, plus the base rent under all other performing leases in effect at the property on the effective date of such lease,
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
49

 
 
115 East 57th Street
New York, NY 10022
Collateral Asset Summary – Loan No. 4
The Galleria - 115 East 57th Street
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,500,000
52.5%
1.37x
9.4%
 
equals or exceeds the sum of (a) $6,202,166 and (b) the annualized base rent under all other leases that have previously been determined by lender to be an Accretive Lease.
 
Ongoing Reserves.    On a monthly basis, the borrower is required to deposit reserves of (i) 1/12 of the estimated annual real estate taxes, which currently equates to $129,327, into a tax reserve account, (ii) 1/12 of the annual insurance premiums, which currently equates to $2,846, into an insurance reserve account, (iii) $3,712 into a capital expenditure account and (iv) $22,272 into a TI/LC reserve account.

Current Mezzanine or Subordinate Indebtedness.    None.

Future Mezzanine or Subordinate Indebtedness Permitted.    None.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
50

 
 
115 East 57th Street
New York, NY 10022
Collateral Asset Summary – Loan No. 4
The Galleria - 115 East 57th Street
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,500,000
52.5%
1.37x
9.4%
 
(MAP)

The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
51

 
 
 
1701 South Lindbergh Boulevard
Saint Louis, MO 63131
Collateral Asset Summary – Loan No. 5
Plaza Frontenac
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,000,000
31.3%
5.34x
17.2%
 
(GRAPHIC)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
52

 
 
1701 South Lindbergh Boulevard
Saint Louis, MO 63131
Collateral Asset Summary – Loan No. 5
Plaza Frontenac
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,000,000
31.3%
5.34x
17.2%
                     
Mortgage Loan Information
 
Property Information
 
Loan Seller:
GACC
     
Single Asset / Portfolio:
Single Asset
 
 
Loan Purpose:
Refinance
     
Property Type:
Regional Mall
 
 
Credit Assessment
           
Collateral:
Fee Simple
 
 
(Moody’s/S&P/KBRA)(1):
Aaa / AAA / AAA
     
Location:
Saint Louis, MO
 
 
Sponsor:
GGPLP L.L.C.
     
Year Built / Renovated:
1974 / 1994
 
 
Borrower:
Plaza Frontenac Acquisition, LLC
     
Total Sq. Ft.:
488,414
 
 
Original Balance:
$52,000,000
     
Total Collateral Sq. Ft.(5)(6):
353,370
 
 
Cut-off Date Balance:
$52,000,000
     
Property Management:
General Growth Management, Inc.
 
 
% by Initial UPB:
4.8%
     
Underwritten NOI:
$8,938,060
 
 
Interest Rate:
3.0400%
     
Underwritten NCF:
$8,555,446
 
 
Payment Date:
1st of each month
     
Appraised Value:
$166,000,000
 
 
First Payment Date(2):
October 1, 2013
     
Appraisal Date:
July 25, 2013
 
 
Maturity Date:
October 1, 2018
           
 
Amortization:
Interest Only
   
Historical NOI
 
Additional Debt(3):
Future Mezzanine Debt Permitted
     
Most Recent NOI:
$7,884,143 (T-12 June 30, 2013)
 
 
Call Protection(2):
L(24), D(33), O(4)
     
2012 NOI:
$7,184,542 (December 31, 2012)
 
 
Lockbox / Cash Management:
Hard / Springing
     
2011 NOI(7):
NAV
 
               
2010 NOI(7):
NAV
 
Reserves(4)
         
   
Initial
 
Monthly
   
Historical Occupancy
 
Taxes:
$0
 
Springing
     
Current Occupancy(5):
95.9% (June 30, 2013)
 
 
Insurance:
$0
 
Springing
     
2012 Occupancy:
97.6% (December 31, 2012)
 
 
Replacement:
$0
 
Springing
     
2011 Occupancy(7):
NAV
 
 
TI/LC:
$0
 
Springing
     
2010 Occupancy(7):
NAV
 
             
(1)   S&P does not assign credit estimates; however, the Plaza Frontenac Loan received credit enhancement consistent with an AAA rating.
(2)   The First Payment Date under the mortgage loan documents will be in November 2013. GACC will remit to the depositor on the closing date a payment in an amount equal to 30 days of interest for the interest accrual period relating to the first distribution date in October 2013 at the related interest rate on the principal balance of such mortgage loan as of the cut-off date. Such amount will be deposited into the distribution account and will be included in the funds available for the first distribution date in October 2013. The First Payment Date and Call Protection have been adjusted to reflect this additional payment being made by GACC.
(3)   See “Future Mezzanine or Subordinate Indebtedness Permitted” herein.
(4)   See “Initial Reserves” and “Ongoing Reserves” herein.
(5)   Based on Total Collateral Sq. Ft. of 353,370. The collateral sq. ft. includes 160,176 sq. ft. of tenants with ground leases including Saks Fifth Avenue (125,669 sq. ft.), Pottery Barn Kids (12,000 sq. ft.), Brio Tuscan Grille (7,751 sq. ft.), Bricktops Restaurant (7,500 sq. ft.) and Fleming’s Prime Steakhouse & Wine Bar (7,256 sq. ft.).
(6)   Excludes Neiman Marcus (135,044 sq. ft.), which is not part of the collateral.
(7)   The borrower acquired the Plaza Frontenac Property in September 2011 and full year 2010 and 2011 results are not available. Historical cash flows and occupancy numbers (prior to 2011) were provided by a third party source and were deemed unreliable.
 
Financial Information
   
 
Cut-off Date Balance / Sq. Ft.(5):
$147
       
 
Balloon Balance / Sq. Ft.(5):
$147
       
 
Cut-off Date LTV:
31.3%
       
 
Balloon LTV:
31.3%
       
 
Underwritten NOI DSCR:
5.58x
       
 
Underwritten NCF DSCR:
5.34x
       
 
Underwritten NOI Debt Yield:
17.2%
       
 
Underwritten NCF Debt Yield:
16.5%
       
 
Underwritten NOI Debt Yield at Balloon:
17.2%
       
 
Underwritten NCF Debt Yield at Balloon:
16.5%
       
   
 
         
               
               
               
               
       
 
 
     
               
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
53

 
 
1701 South Lindbergh Boulevard
Saint Louis, MO 63131
Collateral Asset Summary – Loan No. 5
Plaza Frontenac
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,000,000
31.3%
5.34x
17.2%
 
Tenant Summary
Tenant Mix
 
Ratings 
(Fitch/Moody’s/S&P)(1)
 
Total
Sq. Ft.
 
% of Total Collateral
Sq. Ft.
 
Lease 
Expiration
 
Annual UW
Base Rent
PSF
 
Total Sales
(000s)(2)(3)
 
Sales
PSF(2)(3)(4)
 
Occupancy
Cost 
(% of Sales)(2)(5)
                                 
Non-Collateral Anchors
                               
Neiman Marcus
 
NR/NR/B+
 
135,044
 
NAP
 
NAP
 
NAP
 
$35,000
 
$259
 
NAP
                                 
Collateral Anchors
                               
Saks Fifth Avenue
 
BB/Ba3/BB
 
125,669
 
35.6%
 
11/30/2023
 
$0.28
 
$25,619
 
$204
 
2.0%
Plaza Frontenac Cinema(4)
 
NR/NR/NR
 
14,307
 
4.0%
 
5/7/2018
 
$21.00
 
$2,270
 
$378,399
 
24.9%
Subtotal
     
139,976
 
39.6%
         
$27,889
       
                                 
Major Tenants
                               
Talbots
 
NR/NR/NR
 
13,813
 
3.9%
 
1/31/2018
 
$50.00
 
$4,303
 
$311
 
23.0%
Pottery Barn
 
NR/NR/NR
 
12,962
 
3.7%
 
1/31/2017
 
$46.95
 
$5,607
 
$433
 
15.3%
Stonewater Spa
 
NR/NR/NR
 
9,141
 
2.6%
 
7/31/2023
 
$33.00
 
NAP
 
NAP
 
NAP
Subtotal
     
35,916
 
10.2%
         
$9,910
 
$370
 
18.6%
                                 
In-line Tenants (<10,000 sq. ft.)
     
109,657
 
31.0%
     
$46.04
 
$62,387
 
$618
 
10.4%
                                 
Outparcel
     
38,507
 
10.9%
     
$21.04
 
$21,475
 
$558
 
5.4%
Specialty Leasing
     
11,363
 
3.2%
     
NAP
 
NAP
 
NAP
 
NAP
Storage
     
3351
 
0.9%
     
NAP
 
NAP
 
NAP
 
NAP
Total Occupied Collateral
     
338,770
 
95.9%
                   
                                 
Vacant
     
14,600
 
4.1%
                   
Total Collateral
     
353,370
 
100.0%
                   
                                 
(1)
Certain ratings may be those of the parent company whether or not the parent company guarantees the lease.
(2)
Total Sales (000s), Sales PSF and Occupancy Cost (% of Sales) are provided by the borrower and only include tenants reporting an entire 12 months of sales as of June 30, 2013. Based on a percentage of collateral square feet, approximately 92.0% of in-line tenants and 90.4% of total tenants reported sales for the period.
(3)
Total Sales (000s) and Sales PSF figures for both collateral and non-collateral anchor tenants are estimates provided by the borrower.
(4)
Plaza Frontenac Cinema Sales PSF figure represents sales per screen and is based on six screens.
(5)
Occupancy Cost (% of Sales) excludes utilities reimbursement.
 
Lease Rollover Schedule(1)
Year
 
# of Leases
Expiring
 
Total Expiring
Sq. Ft.
 
% of Total Sq.
Ft. Expiring
 
Cumulative
Sq. Ft.
Expiring
 
Cumulative 
% of Sq. Ft.
Expiring
 
Annual U/W
Base Rent
Per Sq. Ft.
 
% U/W
Base Rent
Rolling
 
Cumulative %
of U/W
Base Rent
MTM
 
0
 
0
 
0.0%
 
0
 
0.0%
 
$0.00
 
0.0%
 
0.0%
2013
 
0
 
0
 
0.0%
 
0
 
0.0%
 
$0.00
 
0.0%
 
0.0%
2014
 
14
 
27,415
 
7.8%
 
27,415
 
7.8%
 
$20.64
 
7.3%
 
7.3%
2015
 
7
 
22,154
 
6.3%
 
49,569
 
14.0%
 
$42.44
 
12.1%
 
19.3%
2016
 
5
 
12,254
 
3.5%
 
61,823
 
17.5%
 
$30.24
 
4.8%
 
24.1%
2017
 
7
 
42,301
 
12.0%
 
104,124
 
29.5%
 
$43.25
 
23.5%
 
47.5%
2018
 
6
 
43,311
 
12.3%
 
147,435
 
41.7%
 
$38.92
 
21.6%
 
69.2%
2019
 
3
 
5,923
 
1.7%
 
153,358
 
43.4%
 
$46.81
 
3.6%
 
72.7%
2020
 
2
 
3,819
 
1.1%
 
157,177
 
44.5%
 
$47.30
 
2.3%
 
75.0%
2021
 
5
 
28,698
 
8.1%
 
185,875
 
52.6%
 
$22.40
 
8.2%
 
83.3%
2022
 
5
 
13,820
 
3.9%
 
199,695
 
56.5%
 
$54.48
 
9.7%
 
92.9%
2023
 
4
 
139,075
 
39.4%
 
338,770
 
95.9%
 
$3.95
 
7.1%
 
100.0%
Thereafter
 
0
 
0
 
0.0%
 
338,770
 
95.9%
 
$0.00
 
0.0%
 
100.0%
Vacant
 
NAP
 
14,600
 
4.1%
 
353,370
 
100.0%
 
NAP
 
NAP
   
Total / Wtd. Avg.
 
58
 
353,370
 
100.0%
         
$23.01
 
100.0%
   
(1)
Certain tenants have lease termination options that may become exercisable prior to the originally stated expiration date of the tenant lease and that are not considered in the lease rollover schedule or the site plan.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
54

 
 
1701 South Lindbergh Boulevard
Saint Louis, MO 63131
Collateral Asset Summary – Loan No. 5
Plaza Frontenac
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,000,000
31.3%
5.34x
17.2%
 
The Loan.    The Plaza Frontenac loan (the “Plaza Frontenac Loan”) is a fixed rate loan secured by the borrower’s fee simple interest in a 353,370 sq. ft. portion of a regional mall located at 1701 South Lindbergh Boulevard in Saint Louis, Missouri (the “Plaza Frontenac Property”) and has an original principal balance of $52.0 million. The Plaza Frontenac Loan has a five-year interest only term. The Plaza Frontenac Loan accrues interest at a fixed rate equal to 3.0400% per annum and has a cut-off date balance of $52.0 million. Loan proceeds were used to retire existing debt of approximately $51.9 million and fund closing costs of approximately $0.2 million, giving the sponsor a return of equity of approximately $0.6 million. Based on the appraised value of $166.0 million as of July 25, 2013, the cut-off date LTV ratio is 31.3% and the remaining implied equity is $114.0 million. The most recent prior financing of the Plaza Frontenac Property was included in the LBUBS 2001-C7 transaction.

Sources and Uses
 
Sources
Proceeds
 
% of Total
 
Uses
Proceeds
 
% of Total
 
Loan Amount
$52,000,000
 
98.6%
 
Loan Payoff
$51,916,084
 
98.4%
 
Upfront Costs
$754,527
 
1.4%
 
Closing Costs
$242,241
 
0.5%
 
         
Return of Equity
$596,202
 
1.1%
 
Total Sources
$52,754,527
 
100.0%
 
Total Uses
$52,754,527
 
100.0%
 

The Borrower / Sponsor.    The borrower, Plaza Frontenac Acquisition, LLC, is a single purpose Delaware limited liability company structured to be bankruptcy-remote, with two independent directors in its organizational structure. The sponsor of the borrower is a joint venture between subsidiaries of General Growth Properties, Inc. (“GGP”) and the Canadian Pension Plan Investment Board (“CPPIB”), and the nonrecourse carve-out guarantor (GGPLP L.L.C.) is a subsidiary of GGP.

Headquartered in Chicago, Illinois, GGP (NYSE: GGP) is a real estate investment trust focused on owning, managing, leasing and redeveloping high-end regional malls throughout the United States. With a portfolio of 123 regional malls totaling approximately 124 million sq. ft, GGP is the second largest retail property REIT in the United States. In addition to the Plaza Frontenac Property, other GGP malls include Ala Moana Center in Honolulu, Hawaii, Tysons Galleria in Washington D.C., Glendale Galleria in Los Angeles, California and Water Tower Place in Chicago, Illinois.

CPPIB is a professional investment management organization that invests the funds not needed by the Canada Pension Plan to pay current benefits on behalf of 18 million Canadian contributors and beneficiaries. In order to build a diversified portfolio of CPP assets, CPPIB invests in public equities, private equities, real estate, infrastructure and fixed income instruments. Headquartered in Toronto, with offices in London and Hong Kong, CPPIB is governed and managed independently of the Canada Pension Plan and at arm’s length from governments.

The Property.    The Plaza Frontenac Property consists of 353,370 collateral sq. ft. of a 488,414 sq. ft., two-story, regional mall located approximately 12 miles west of downtown Saint Louis, Missouri and features luxury tenants including Louis Vuitton, Michael Kors, Omega, Tiffany & Co., Lululemon and Kate Spade, among others. The Plaza Frontenac Property collateral excludes 135,044 sq. ft. of anchor space owned by Neiman Marcus and is 95.9% occupied as of June 30, 2013. The Plaza Frontenac Property was constructed in 1974 and renovated in 1994. In addition, Saks Fifth Avenue recently completed a $5.0 million interior renovation of their space in 2011 and 2012. The two anchor tenants, Saks Fifth Avenue and Neiman Marcus, have been at the Plaza Frontenac Property since 1974 and 1975, respectively and both represent their only store locations within Missouri. The Plaza Frontenac Property has 2,456 parking spaces for a parking ratio of 5.03 spaces per 1,000 sq. ft., based on total square feet. The Plaza Frontenac Property was acquired by the sponsor in 2011 for approximately $135.0 million.

The subsequent chart represents historical sales PSF at the Plaza Frontenac Property.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
55

 
 
1701 South Lindbergh Boulevard
Saint Louis, MO 63131
Collateral Asset Summary – Loan No. 5
Plaza Frontenac
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,000,000
31.3%
5.34x
17.2%
 
Historical Sales PSF(1)
 
2012
T-12 6/30/2013
T-12 6/30/2013 Occupancy Cost
Neiman Marcus (Non-Collateral)(2)
$259
$259
NAP
Saks Fifth Avenue(3)
$188
$204
2.0%
Plaza Frontenac Cinema(4)
$400,925
$378,399
24.9%
       
Major Tenants (>10,000 Sq. Ft.)
$360
$370
18.6%
       
Outparcel Tenants
$556
$558
5.4%
       
In-line Tenants (<10,000 sq. ft.)(5)
$624
$618
10.4%
 
(1)
Historical Sales PSF is based on historical operating statements provided by the borrower.
 
(2)
Neiman Marcus estimated gross sales for 2012 were $35.0 million versus the T-12 July 28, 2012 national average of $43.2 million in gross sales per store.
 
(3)
Saks Fifth Avenue estimated gross sales for 2012 were $23.6 million versus the T-12 July 28, 2012 national average of $22.1 million in gross sales per store.
 
(4)
Sales information for Plaza Frontenac Cinema represents sales per screen and is based on six screens.
 
(5)
Approximately 92.0% of in-line tenants by collateral sq. ft. report sales.

Environmental Matters.    The Phase I environmental report dated July 29, 2013 recommended no further action at the Plaza Frontenac Property.

The Market.    The Plaza Frontenac Property is located approximately 12 miles west of downtown Saint Louis, at the intersection of Lindbergh Boulevard and Clayton Road, two primary traffic carriers in the neighborhood. The primary trade area of the Plaza Frontenac Property is considered to be a five-mile radius, which has a population of approximately 199,452, and an average household income of approximately $108,794. Within a one-mile radius, the average household income increases to approximately $204,082. In addition to Lindbergh Boulevard and Clayton Road, access to the Plaza Frontenac Property is provided by public bus services and Metrolink, the Saint Louis light rail system. The Saint Louis MSA is home to nine of the nation’s 2012 Fortune 500 corporations, with employment most heavily concentrated in trade, education and health services and professional and business services.

The chart below summarizes the Plaza Frontenac Property’s competitive set. The closest primary competitive property, Saint Louis Galleria, is also owned by GGP and CPPIB, the indirect owners of the Plaza Frontenac Property.

Competitive Set(1)
Name
Plaza Frontenac Property
Saint Louis Galleria
West County Center
Chesterfield Mall
Distance from Subject
NAP
3 miles
4 miles
9 miles
Property Type
Super Regional Mall
Super Regional Mall
Super Regional Mall
Super Regional Mall
Year Built / Renovated
1974 / 1994
1986 / 2006, 2011
1969 / 2003
1976 / 2006
Total Occupancy(2)(3)
97.0%
95.0%
98.0%
85.0%
Size (Sq. Ft.)(3)
488,414
1,178,691
1,211,234
1,301,776
Anchors / Major Tenants
Neiman Marcus, Saks Fifth Avenue
Macy’s, Dillard’s, Nordstrom
JC Penney, Macy’s, Dick’s Sporting Goods, Nordstrom
Macy’s, Dillard’s, Sears, AMC Theaters
(1)
Source: Appraisal
(2)
Total Occupancy for the Plaza Frontenac Property is as of the June 30, 2013 rent roll.
(3)
Total Occupancy and Size (Sq. Ft.) includes Neiman Marcus (135,044 sq. ft.), which is not part of the collateral.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
56

 
 
1701 South Lindbergh Boulevard
Saint Louis, MO 63131
Collateral Asset Summary – Loan No. 5
Plaza Frontenac
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,000,000
31.3%
5.34x
17.2%
 
Cash Flow Analysis.

Cash Flow Analysis
 
 
2012
T-12 6/30/2013
U/W
U/W PSF         
 
 Base Rent
$7,100,989
$7,257,865
$7,795,688
$22.06
 
 Step Rent(1)
0
0
64,116
0.18
 
 Value of Vacant Space
0
0
857,260
2.43
 
 Gross Potential Rent
$7,100,989
$7,257,865
$8,717,064
$24.67
 
 Total Recoveries
3,775,023
4,049,702
3,978,323
11.26
 
 Total Other Income
493,675
857,895
806,586
2.28
 
 Less: Bad Debt
(24,220)
(39,433)
0
0.00
 
 Less: Mark to Market(2)
0
0
694,838
1.97
 
 Less: Vacancy(3)
0
0
(857,260)
(2.43)
 
 Effective Gross Income
$11,345,467
$12,126,029
$13,339,550
$37.75
 
 Total Operating Expenses
4,160,925
4,241,886
4,401,491
12.46
 
 Net Operating Income
$7,184,542
$7,884,143
$8,938,060
$25.29
 
 TI/LC
0
0
295,580
0.84
 
 Capital Expenditures
0
0
87,034
0.25
 
 Net Cash Flow
$7,184,542
$7,884,143
$8,555,446
$24.21
 
           
(1)
U/W Step Rent is based on rent steps through July 2014.
(2)
The U/W Mark to Market credit of $694,838 is based on marking the overall in-line tenant occupancy cost up to 11.5%, from the T-12 June 30, 2013 in-line occupancy cost of 10.4%.
(3)
U/W Vacancy represents 6.4% of gross income.

Property Management.    The Plaza Frontenac Property is managed by General Growth Management, Inc, an affiliate of the borrower.

Lockbox / Cash Management.    The Plaza Frontenac Loan is structured with a hard lockbox and springing cash management. All rents and other payments are required to be deposited directly into a clearing account controlled by the lender and are then transferred to an account controlled by the borrower until the occurrence of a Trigger Period (as defined below).

A “Trigger Period” will exist (i) during a Cash Sweep Event Period (as defined below), (ii) if the DSCR falls below 1.50x, until such time that the DSCR is greater than 1.50x for two consecutive quarters, or (iii) upon an event of default under the mezzanine loan documents, until such time that lender receives a notice from the mezzanine lender that the applicable default has been cured or waived.

All excess cash will remain in the lender controlled account and held as additional collateral for the Plaza Frontenac Loan during a Cash Sweep Event Period. A “Cash Sweep Event Period” will exist (x) during an event of default under the loan documents or (y) upon a bankruptcy action of the borrower, guarantor or property manager, until such time that, (i) with respect to the borrower, the bankruptcy action has been discharged, stayed or dismissed or (ii) with respect to guarantor or property manager, such guarantor or property manager has been replaced in accordance with the loan documents.

Initial Reserves.    None.

Ongoing Reserves.    During a Trigger Period, the borrower is required to deposit monthly reserves of (i) 1/12 of the estimated annual real estate taxes into a tax reserve account, (ii) unless an acceptable blanket insurance policy is in place, 1/12 of the estimated insurance premiums into the insurance reserve, (iii) $7,253 into a capital expenditure account, subject to a cap equal to 12 times the required monthly deposit amount and (iv) $15,528 into a TI/LC reserve account, subject to a cap equal to 12 times the required monthly deposit amount. In addition, upon acquisition of any expansion parcels, the borrower is required to deposit 110% of any estimated required repairs to such expansion parcel into the replacement reserve.

Current Mezzanine or Subordinate Indebtedness.    None.

Future Mezzanine or Subordinate Indebtedness Permitted.    The Plaza Frontenac Loan documents permit future mezzanine debt secured by direct or indirect ownership interests in the borrower from and after the payment date in May 2014 subject to, the satisfaction of certain conditions including: (i) the combined LTV ratio is no greater than 29.8%, (ii) the combined DSCR is at least equal
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
57

 
 
1701 South Lindbergh Boulevard
Saint Louis, MO 63131
Collateral Asset Summary – Loan No. 5
Plaza Frontenac
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,000,000
31.3%
5.34x
17.2%
 
to 3.28x, (iii) the mezzanine lender enters into an acceptable intercreditor agreement and (iv) the mezzanine loan is coterminous with the term of the Plaza Frontenac Loan.

Partial Release and Substitution.    The borrower may obtain the release of any vacant, non-income producing and unimproved parcel that is not necessary for the borrower’s operation or use of the Plaza Frontenac Property provided, among other things, following the release, the LTV ratio for the remaining Plaza Frontenac Property meets REMIC guidelines.

In addition, the borrower is permitted to obtain the release of collateral parcels (an “Exchange Parcel”) from the lien of the mortgage and substitute new parcels (each, an “Acquired Parcel”) as collateral for the Plaza Frontenac Loan upon 30 days prior notice, subject to the satisfaction of certain conditions, including among other things: (i) the Exchange Parcel is vacant, non-income producing and unimproved (or improved only by landscaping or readily re-locatable facilities), (ii) with respect to the Acquired Parcel, the borrower has delivered, among other things (a) an environmental report acceptable to lender, (b) title insurance and (c) if the Acquired Parcel is improved, a property condition report indicating that the acquired parcel is in good condition and cash or a guaranty from the guarantor in an amount equal to 110% of any estimated repair costs, (iii) following the substitution, the LTV ratio for the remaining Plaza Frontenac Property meets REMIC guidelines and (iv) the substitution does not adversely affect the DSCR of the Plaza Frontenac Property.

Acquired Expansion Parcels.    The borrower has the right, at its own expense, to acquire one or more parcels to become additional collateral for the Plaza Frontenac Loan whereupon, after amending the mortgage, such parcel will constitute a portion of the Plaza Frontenac Property. The addition of an expansion parcel is permitted if, among other requirements and conditions, the borrower has among other things, satisfied the conditions identified under clauses (ii) and (iv) under “Partial Release and Substitution” above.

The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
58

 
 
1701 South Lindbergh Boulevard
Saint Louis, MO 63131
Collateral Asset Summary – Loan No. 5
Plaza Frontenac
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,000,000
31.3%
5.34x
17.2%
 
(MAP)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
59

 
 
1701 South Lindbergh Boulevard
Saint Louis, MO 63131
Collateral Asset Summary – Loan No. 5
Plaza Frontenac
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,000,000
31.3%
5.34x
17.2%
 
(MAP)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
60

 
 
1701 South Lindbergh Boulevard
Saint Louis, MO 63131
Collateral Asset Summary – Loan No. 5
Plaza Frontenac
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$52,000,000
31.3%
5.34x
17.2%
 
(MAP)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
61

 
 
 
 
5100 Coe Avenue
Seaside, CA  93955
Collateral Asset Summary – Loan No. 6
Bay View Community MHC
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$40,000,000
63.4%
1.25x
8.6%
 
 
(PICTURE)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.

 
62

 
 
5100 Coe Avenue
Seaside, CA  93955
Collateral Asset Summary – Loan No. 6
Bay View Community MHC
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$40,000,000
63.4%
1.25x
8.6%
 
Mortgage Loan Information
 
Property Information
Loan Seller:
LCF
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Refinance
 
Property Type(6):
Manufactured Housing Community
Sponsor:
Ray Roeder
 
Collateral:
Fee Simple
Borrower:
Bay View Community DE, LLC
 
Location:
Seaside, CA
Original Balance:
$40,000,000
 
Year Built / Renovated:
1985 / 2007
Cut-off Date Balance:
$40,000,000
 
Total Pads:
223
% by Initial UPB:
3.7%
 
Property Management:
Bay View MC, LLC
Interest Rate:
5.4020%
 
Underwritten NOI:
$3,433,765
Payment Date:
6th of each month
 
Underwritten NCF:
$3,378,015
First Payment Date:
October 6, 2013
 
Appraised Value(4):
$63,110,000
Maturity Date:
September 6, 2023
 
Appraisal Date:
May 13, 2013
Amortization:
Interest only for first 60 months; 360
   
 
months thereafter
 
Historical NOI
Additional Debt(1):
$4,000,000 Mezzanine Loan
 
Most Recent NOI:
$3,563,634 (T-12 June 30, 2013)
Call Protection:
L(24), D(92), O(4)
 
2012 NOI:
$3,379,803 (December 31, 2012)
Lockbox / Cash Management:
Soft / In Place
 
2011 NOI:
$3,257,778 (December 31, 2011)
   
2010 NOI:
$3,154,470 (December 31, 2010)
Reserves(2)
     
 
Initial
Monthly  
 
Historical Occupancy
Taxes:
$31,848
$5,705  
 
Current Occupancy:
100.0% (August 1, 2013)
Insurance:
$7,042
$3,521  
 
2012 Occupancy:
100.0% (December 31, 2012)
Replacement:
$0
$4,646  
 
2011 Occupancy:
100.0% (December 31, 2011)
       
2010 Occupancy:
100.0% (December 31, 2010)
Financial Information
 
(1)   See “Current Mezzanine or Subordinate Indebtedness” herein.
(2)   See “Initial Reserves” and “Ongoing Reserves” herein.
(3)   Total Debt includes the mezzanine loan described under “Current Mezzanine or Subordinate Indebtedness” herein. The mezzanine loan has an interest rate of 10.0000%.
(4)   The appraiser’s land value for the Bay View Community MHC Property as of May 13, 2013 was $68,070,000, which would produce a Cut-off Date LTV ratio of 58.8%. The land value considers its sale for more valuable alternative uses.
(5)   Based on amortizing debt service payments. Based on the current interest only payments, the Underwritten NOI DSCR and Underwritten NCF DSCR for the Bay View Community MHC Loan are 1.57x and 1.54x, respectively; and 1.32x and 1.30x, respectively, for the total debt.
(6)   Collateral for the loan includes the homes as well as the pads with both the homes and the pads leased to the tenants.
 
 
Mortgage Loan
Total Debt(3)  
 
Cut-off Date Balance / Pad:
$179,372
$197,309  
 
Balloon Balance / Pad:
$166,405
$183,892  
 
Cut-off Date LTV(4):
63.4%
69.7%  
 
Balloon LTV:
58.8%
65.0%  
 
Underwritten NOI DSCR(5):
1.27x
1.10x  
 
Underwritten NCF DSCR(5):
1.25x
1.08x  
 
Underwritten NOI Debt Yield:
8.6%
7.8%  
 
Underwritten NCF Debt Yield:
8.4%
7.7%  
 
Underwritten NOI Debt Yield at Balloon:
9.3%
8.4%  
 
Underwritten NCF Debt Yield at Balloon:
9.1%
8.2%  
 
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
63

 
 
5100 Coe Avenue
Seaside, CA  93955
Collateral Asset Summary – Loan No. 6
Bay View Community MHC
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$40,000,000
63.4%
1.25x
8.6%
 
The Loan.    The Bay View Community MHC loan (the “Bay View Community MHC Loan”) is a fixed rate loan secured by the borrower’s fee simple interest in the 223-pad manufactured housing community located at 5100 Coe Avenue in Seaside, California (the “Bay View Community MHC Property”) and has an original principal balance of $40.0 million. The Bay View Community MHC Loan has a 10-year term and amortizes on a 30-year schedule, after an initial five-year interest only period. The Bay View Community MHC Loan accrues interest at a fixed rate equal to 5.4020% and has a cut-off date balance of $40.0 million. Loan proceeds along with mezzanine debt of $4.0 million were used to retire existing debt for approximately $31.9 million, pay the defeasance penalty of approximately $5.6 million, pay closing costs of approximately $0.7 million, giving the borrower a cash out of approximately $5.7 million. Based on the appraised value of approximately $63.1 million as of May 13, 2013, the cut-off date LTV ratio is 63.4% and the remaining implied equity is approximately $23.1 million. Based on the appraiser’s land value of approximately $68.1 million as of May 13, 2013, the cut-off date LTV ratio is 58.8%. The most recent financing of the Bay View Community MHC Property was included in the LBUBS 2007-C6 transaction.

Sources and Uses
Sources
Proceeds
% of Total
 
Uses
Proceeds
% of Total   
Loan Amount
$40,000,000
90.9%
 
Loan Payoff
$37,563,540
85.4%   
Mezzanine Loan
$4,000,000
9.1%
 
Reserves
$38,890
0.1%   
       
Closing Costs
$675,704
1.5%   
       
Cash to Borrower
$5,721,866
13.0%   
Total Sources
$44,000,000
100.0%
 
Total Uses
$44,000,000
100.0%   

The Borrower / Sponsor.    The borrower, Bay View Community DE, LLC, is a single purpose Delaware limited liability company structured to be bankruptcy-remote, with one independent director in its organizational structure.  The sponsor of the borrower and the nonrecourse carve-out guarantor is Ray Roeder.

Ray Roeder is an experienced real estate owner and operator and purchased his first manufactured housing park, in Ceres, California, in 1964 and sold it in 1966. Ray Roeder currently owns three manufactured housing communities in California totaling 463 pads, including the Bay View Community MHC Property.

The Property.    The Bay View Community MHC Property is located at 5100 Coe Avenue, Seaside, CA.  The Bay View Community MHC Property is a 223-pad manufactured housing community developed in 1985 situated on a 52-acre parcel.  The Bay View Community MHC Property is operated similarly to a multifamily residential development in that the landlord owns both the homes and the pads which are then leased to the tenants.  Currently the Bay View Community MHC Property is 100.0% occupied with a waiting list.  The Bay View Community MHC Property consists predominately of single wide homes. All leases are month to month.  Amenities include an onsite leasing office, a playground and surface parking.  All of the manufactured homes have concrete drives that can accommodate two cars and a dirt pad base that serves as the base for a crawl space area under each of the homes.  Each home has its own carport.  Each pad features a deck or patio with storage closets.

Environmental Matters.    The Phase I environmental report dated August 7, 2013 recommended the development and implementation of an Asbestos Operation and Maintenance Plan at the Bay View Community MHC Property, which is already in place.

The Market.     The Bay View Community MHC Property is located in Monterey County, California.  The uses adjacent to the Bay View Community MHC Property include single family residential to the south, Seaside High School to the west, single and multifamily residential to the east (separated from the Bay View Community MHC Property by Coe Avenue) and a community center and a large 380-home single family housing development to the north, called Seaside Highlands.  This development was built from 2004 through 2007 by a partnership between national developer KB Homebuilders and local developer Bakewell Homes.  These homes were developed on land also previously used as the Fort Ord military base.
 
The Bay View Community MHC Property is different than a typical manufactured housing community in that all of the homes are owned by the park.  The Bay View Community MHC Property operates more like an apartment complex with all maintenance and turnover of the homes, as well as landscaping, taken care of by the onsite staff.  Therefore, the primary rent comparables utilized will be apartment complexes located in the Bay View Community MHC Property’s market area.

The appraiser determined that the competitive set’s average vacancy was less than 1% with an average rent of $1,528 per month.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
64

 
 
5100 Coe Avenue
Seaside, CA  93955
Collateral Asset Summary – Loan No. 6
Bay View Community MHC
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$40,000,000
63.4%
1.25x
8.6%
 
Competitive Set(1)
Name
Bay View
Community MHC
Property
Sunbay
Apartments
Seaview Village
Preston Park
Apartments
Surfside
Apartments
Casanova Grove
Distance from Subject
NAP
0.1 miles
2.5 miles
8.1 miles
3.7 miles
4.6 miles
Year Built / Renovated
1985/2007
1989/NAV
1972/NAV
1987/NAV
1970s/NAV
1968/NAV
Total Occupancy
100.0%
99.7%
100.0%
99.8%
100.0%
94.7%
No. of Units
223
296
104
500
50
76
Avg. Rent/Unit
$1,548
$1,106
$1,408
$1,805
$1,695
$1,400
(1)
Source: Appraisal

Cash Flow Analysis.

Cash Flow Analysis
 
2011
2012
T-12 6/30/2013
U/W
U/W per Pad
Gross Potential Rent
        $3,775,777
        $3,908,367
         $4,078,626
        $4,143,540
$18,581   
Total Recoveries
           0
           0
            0
         0
0   
Total Other Income
          91,237
          87,257
87,471
87,471
392   
Less: Vacancy & Credit Loss(1)
             0
             0
            0
        (207,177)
(929)   
Effective Gross Income
$3,867,014
$3,995,624
$4,166,097
$4,023,834
$18,044   
Total Operating Expenses
609,236
615,821
602,463
590,069
2,646   
Net Operating Income
$3,257,778
$3,379,803
$3,563,634
$3,433,765
$15,398   
Capital Expenditures
0
0
0
55,750
250   
Net Cash Flow
 $3,257,778
 $3,379,803
 $3,563,634
 $3,378,015
$15,148   
           
(1)
U/W Vacancy represents 5.0% of gross income. The Bay View Community MHC Property was 100.0% occupied as of August 1, 2013.
 
Property Management.    The Bay View Community MHC Property is managed by Bay View MC, LLC, a borrower affiliate.

Lockbox / Cash Management.    The Bay View Community MHC Loan is structured with a soft lockbox and in place cash management. Funds deposited into the clearing account will be swept into a cash management account under the control of the lender and disbursed in accordance with the Bay View Community MHC Loan documents. During a Sweep Period (as defined below) all excess cash will be swept into a lender controlled account.

A “Sweep Period” will commence upon the occurrence of any of the following: (i) an event of default, or (ii) if, on any calculation date, the Bay View Community MHC Loan DSCR is less than 1.10x.

Initial Reserves.    At closing, the borrower deposited (i) $31,848 into a tax reserve account and (ii) $7,042 into an insurance reserve account.

Ongoing Reserves.    On a monthly basis, the borrower is required to deposit reserves of (i) 1/12 of the estimated annual real estate taxes, which currently equates to $5,705, into a tax reserve account, (ii) 1/12 of the annual insurance premiums, which currently equates to $3,521, into an insurance reserve account and (iii) $4,646 into a capital expenditure account.

Current Mezzanine or Subordinate Indebtedness.    A $4.0 million mezzanine loan was funded at closing by Ladder Capital Finance Portfolio II LLC. The mezzanine loan is coterminous with the Bay View Community MHC Loan and has an interest rate of 10.0000%. The mezzanine loan borrower is required to make interest only payments for the first 60 months of the loan followed by a 30-year amortization schedule.

Future Mezzanine or Subordinate Indebtedness Permitted.    None.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
65

 
 
5100 Coe Avenue
Seaside, CA  93955
Collateral Asset Summary – Loan No. 6
Bay View Community MHC
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$40,000,000
63.4%
1.25x
8.6%
 
 
(PICTURE)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
66

 
 
(THIS PAGE INTENTIONALLY LEFT BLANK)
 
 
67

 

 
26151 Lake Shore Boulevard
Euclid, OH 44132
Collateral Asset Summary – Loan No. 7
NorthPointe Apartments
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$38,750,000
69.2%
1.36x
9.7%
 
(IMAGE)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
68

 
 
26151 Lake Shore Boulevard
Euclid, OH 44132
Collateral Asset Summary – Loan No. 7
NorthPointe Apartments
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$38,750,000
69.2%
1.36x
9.7%

Mortgage Loan Information
 
Property Information
Loan Seller:
GACC
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Acquisition
 
Property Type:
High Rise Multifamily
Sponsor:
The Suffolk Family Trust; Kenneth M.
 
Collateral:
Fee Simple
 
Lapine
 
Location:
Euclid, OH
Borrower:
Northpointe Towers, LTD
 
Year Built / Renovated:
1970 / 2003-2013
Original Balance:
$38,750,000
 
Total Units(3):
949
Cut-off Date Balance:
$38,750,000
 
Property Management:
APM Management LLC
% by Initial UPB:
3.6%
 
Underwritten NOI:
$3,745,431
Interest Rate:
5.1400%
 
Underwritten NCF:
$3,457,818
Payment Date:
6th of each month
 
Appraised Value:
$56,000,000
First Payment Date:
October 6, 2013
 
Appraisal Date:
July 3, 2013
Maturity Date:
September 6, 2023
     
 
Interest only for first 36 months; 360
 
Historical NOI
Amortization:
months thereafter
 
Most Recent NOI:
$3,697,214 (T-12 June 30, 2013)
Additional Debt:
None
 
2012 NOI:
$3,869,717 (December 31, 2012)
Call Protection(1):
L(24), D(92), O(4)
 
2011 NOI:
$3,892,366 (December 31, 2011)
Lockbox / Cash Management:
Soft / Springing
 
2010 NOI:
$3,507,892 (December 31, 2010)
             
Reserves(2)
 
Historical Occupancy(3)
 
Initial
 
Monthly  
 
Current Occupancy:
87.9% (July 9, 2013)
Taxes:
$132,580
 
$66,290  
 
2012 Occupancy:
89.0% (December 31, 2012)
Insurance:
$28,995
 
$14,498  
 
2011 Occupancy:
85.0% (December 31, 2011)
Replacement:
$0
 
$23,968  
 
2010 Occupancy:
NAV
Required Repairs:
$709,875
 
NAP  
 
(1)   Partial release is permitted. See “Partial Release” herein.
(2)   See “Initial Reserves” and “Ongoing Reserves” herein.
(3)   Reflects residential units only and does not reflect two commercial units which are part of the collateral for the NorthPointe Apartments Loan.
(4)   Based on amortizing debt service payments. Based on the current interest only payments, the Underwritten NOI DSCR and Underwritten NCF DSCR are 1.85x and 1.71x, respectively.
Renovation:
$1,690,125
 
$0  
 
         
Financial Information
 
Cut-off Date Balance / Unit(3):
$40,832
   
Balloon Balance / Unit(3):
$36,250
   
Cut-off Date LTV:
69.2%
   
Balloon LTV:
61.4%
   
Underwritten NOI DSCR(4):
1.48x
   
Underwritten NCF DSCR(4):
1.36x
   
Underwritten NOI Debt Yield:
9.7%
   
Underwritten NCF Debt Yield:
8.9%
   
Underwritten NOI Debt Yield at Balloon:
10.9%
   
Underwritten NCF Debt Yield at Balloon:
10.1%
   

The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
69

 
 
26151 Lake Shore Boulevard
Euclid, OH 44132
Collateral Asset Summary – Loan No. 7
NorthPointe Apartments
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$38,750,000
69.2%
1.36x
9.7%
 
Unit Mix Summary(1)(2)
Unit Type
 
# of Units
 
% of Total
 
Occupied Units
 
Occupancy
 
Average Unit Size
(Sq. Ft.)
 
Average Monthly Rental Rate
 
Average Monthly
Rental Rate PSF
1 Bed / 1 Bath
 
544
 
57.3%
 
483
 
88.8%
 
608
 
$585.81
 
$1.00
2 Bed / 1 Bath
 
114
 
12.0%
 
98
 
86.0%
 
940
 
$744.44
 
$0.79
2 Bed / 1.5 Bath
 
21
 
2.2%
 
19
 
90.5%
 
1,056
 
$801.48
 
$0.76
2 Bed / 2 Bath
 
218
 
23.0%
 
188
 
86.2%
 
1,042
 
$821.54
 
$0.79
3 Bed / 2 Bath
 
40
 
4.2%
 
37
 
92.5%
 
1,237
 
$947.51
 
$0.77
3 Bed / 2.5 Bath
 
10
 
1.1%
 
8
 
80.0%
 
2,339
 
$1,328.30
 
$0.59
4 Bed / 2.5 Bath
 
2
 
0.2%
 
1
 
50.0%
 
2,614
 
$1,873.00
 
$0.72
Total / Wtd. Avg.
 
949
 
100.0%
 
834
 
87.9%
 
806
 
$689.57
 
$0.91
(1)
Based on a rent roll dated July 9, 2013.
(2)
Reflects residential units only and does not reflect two commercial units.

The NorthPointe Apartments loan (the “NorthPointe Apartments Loan”) is a fixed rate loan secured by the borrower’s fee simple interest in the 951-unit high rise multifamily property located at 26151 Lake Shore Boulevard in Euclid, Ohio (the “NorthPointe Apartments Property”) and has an original principal balance of $38.75 million. The NorthPointe Apartments Loan has a 10-year term and amortizes on a 30-year schedule after an initial 36 month interest only period. The NorthPointe Apartments Loan accrues interest at a fixed rate equal to 5.1400% and has a cut-off date balance of $38.75 million. Loan proceeds, along with approximately $11.3 million in equity from the sponsors were used to acquire the NorthPointe Apartments Property for $46.0 million, fund upfront reserves of approximately $2.6 million and pay closing costs of approximately $1.5 million. Based on an appraised value of $56.0 million as of July 3, 2013, the cut-off date LTV ratio is 69.2%. The most recent prior financing of the NorthPointe Apartments Property was not included in a securitization.

Sources and Uses
 
Sources
 
Proceeds
 
% of Total
 
Uses
 
Proceeds
 
% of Total
 
Loan Amount
 
$38,750,000
 
77.4%
 
Purchase Price
 
$46,000,000
 
91.8%
 
Sponsor Equity
 
$11,332,678
 
22.6%
 
Reserves
 
$2,561,575
 
5.1%
 
           
Closing Costs
 
$1,521,103
 
3.0%
 
Total Sources
 
$50,082,678
 
100.0%
 
Total Uses
 
$50,082,678
 
100.0%
 

The Borrower / Sponsor.    The borrower, Northpointe Towers, LTD, is a single purpose Ohio limited liability company structured to be bankruptcy-remote, with one independent director in its organizational structure.  The sponsors of the borrower and the nonrecourse carve-out guarantors are The Suffolk Family Trust and Kenneth M. Lapine, on a joint and several basis.

Kenneth M. Lapine is the trustee of The Suffolk Family Trust and has over 40 years of experience in real estate acquisitions, dispositions, management, investment and syndication. As of February 28, 2013, The Suffolk Family Trust had an indirect ownership interest in 6,425 multifamily units and reported a net worth and liquidity of $9.9 million and $1.7 million, respectively.

The Property.    The NorthPointe Apartments Property consists of one 20-story high rise apartment building and one 21-story high rise apartment building connected by a two-story non-residential building located in Euclid, Ohio, approximately 14 miles northeast of Cleveland with frontage along Lake Erie. Originally constructed in 1970, the NorthPointe Apartments Property contains 949 residential units and two commercial units and as of July 9, 2013, 87.9% of the residential units are occupied. Amenities at the NorthPointe Apartments Property include a clubhouse, indoor swimming pool, fitness center, sauna, movie theater, laundry facilities, barber shop, business center and restaurant. Parking is offered via a two-level underground parking garage and surface parking totaling 1,545 spaces (1.6 parking spaces per unit).

Since 2003, the NorthPointe Apartments Property has received over $17.0 million in capital improvements, including a renovation of the parking garage, rebuilding of the elevator and unit upgrades such as new cabinets, carpet, tile, paint and appliances, among other improvements, as outlined in the following table.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
70

 
 
26151 Lake Shore Boulevard
Euclid, OH 44132
Collateral Asset Summary – Loan No. 7
NorthPointe Apartments
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$38,750,000
69.2%
1.36x
9.7%
 
Capital Improvements(1)
Description
Year Completed
Cost
 
Parking Garage Renovation
2003-2005
$12,000,000
 
Cabinets, Carpet, Tile, Paint, Water Saving Devices, Appliances, Lighting
2007-2011
$2,100,000
 
Elevator Rebuilds
2005-2007
$1,000,000
 
Appliances, Carpeting, Kitchen and Bath Renovations, Lighting
2012
$507,966
 
Main Roof
2005
$300,000
 
Common Area Renovations - Tile, Carpet, Lighting
2007-2008
$250,000
 
Major Tuckpointing
2005-2011
$150,000
 
Fire Alarm
2003
$150,000
 
New Fitness Center, Movie Theater, Restaurant
2008
$150,000
 
Roof, Deck Joints, Building Drops
2012
$135,210
 
Middle Roof
2011
$100,000
 
Johnson Unit Rebuilds
Ongoing
$50,000
 
New Offices
2007
$50,000
 
Hot Water System
2009
$40,000
 
New Rooftop All Units
2008
$30,000
 
Total Cost
 
$17,013,176
 
(1)    Source: Appraisal

Environmental Matters.    The Phase I environmental report dated July 22, 2013 recommended the development and implementation of asbestos and lead-based paint operation and maintenance plans at the NorthPointe Apartments Property.

The Market.     The NorthPointe Apartments Property is located approximately 14 miles northeast of Cleveland, OH within the Cleveland-Elyria-Mentor metropolitan statistical area (“MSA”). With a population of over 2.1 million as of 2010, the Cleveland-Elyria-Mentor MSA accounts for 18.2% of the total population of Ohio. Public transportation throughout the Cleveland area is provided by the Greater Cleveland Regional Transit Authority and the area is served by three airports within the county, including the Cleveland Hopkins International Airport which offers transport via eight different airline carriers. Ten interstates run through the Cleveland area, including the Ohio Turnpike (I-80).

The Cleveland area is home to 27 accredited colleges and universities including Kent State, Case Western Reserve University, Cleveland State, the University of Akron and Youngstown State. A variety of employment industries are represented within the Cleveland area, with healthcare, government and manufacturing industries representing a significant portion of the job market. Within Cuyahoga County, top employers include the Cleveland Clinic Health System, Continental Airlines and Ford Motor Corporation, among others. Unemployment has been decreasing within the Cleveland-Elyria-Mentor MSA and was 6.5% as of December 2012.

The NorthPointe Apartments Property is located within the Euclid submarket which is part of the greater Cleveland market. Since the 1970s, there has been no new high rise construction. As of the second quarter of 2013, the vacancy rates for the market and submarket were 3.2% and 5.6%, respectively. Average asking rents within the market increased 1.9% year over year to $771 per month. Over the same time period, average asking rents within the submarket increased 1.9% year over year to $653 per month.

Competitive Set(1)
 
Name
NorthPointe
Apartments
Property
The Rivera
Water’s Edge
Oaks of Euclid
Richmond Hills
Shoregate Towers
 
Distance from Subject
NAP
Adjacent
0.8 miles
2.5 miles
2.7 miles
2.9 miles
 
Year Built
1970
1965
1966
1968
1966
1971
 
Total Occupancy
87.9%(2)
95.0%
96.0%
83.0%
92.0%
99.0%
 
No. of Units
949(2)
240
428
740
198
406
 
Avg. Unit Size (Sq. Ft.)
806
566
824
990
637
761
 
Avg. Rent/Unit
$690(2)
$640
$757
$688
$609
$680
 
(1)
Source: Appraisal
(2)
Based on a rent roll dated July 9, 2013. Reflects residential units only and does not include the two commercial units.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
71

 
 
26151 Lake Shore Boulevard
Euclid, OH 44132
Collateral Asset Summary – Loan No. 7
NorthPointe Apartments
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$38,750,000
69.2%
1.36x
9.7%
 
Cash Flow Analysis.

Cash Flow Analysis
 
   
2011
 
2012
 
T-12 6/30/2013
 
U/W
 
U/W per Unit(1) 
Gross Potential Rent
 
$6,348,401
 
$6,467,087
 
$7,967,330
 
$7,860,384
 
$8,283
 
Commercial Income
 
0
 
0
 
500
 
10,500
 
11
 
Allowable Other Income
 
703,857
 
709,496
 
696,837
 
696,837
 
734
 
Less: Concessions
 
0
 
0
 
(195,326)
 
(192,704)
 
(203)
 
Less: Vacancy & Credit Loss(2)
 
0
 
0
 
(1,087,872)
 
(994,047)
 
(1,047)
 
Effective Gross Income
 
$7,052,258
 
$7,176,583
 
$7,381,469
 
$7,380,970
 
$7,778
 
Total Operating Expenses
 
3,159,893
 
3,306,866
 
3,684,255
 
3,635,539
 
3,831
 
Net Operating Income
 
$3,892,366
 
$3,869,717
 
$3,697,214
 
$3,745,431
 
$3,947
 
Capital Expenditures
 
0
 
0
 
577,403
 
287,613
 
303
 
Net Cash Flow
 
$3,892,366
 
$3,869,717
 
$3,119,811
 
$3,457,818
 
$3,644
 
                       
(1)
Reflects residential units only and does not reflect the two commercial units.
(2)
U/W Vacancy & Credit Loss represents 12.6% of gross income.

Property Management.    The NorthPointe Apartments Property is managed by APM Management LLC.

Lockbox / Cash Management.    The NorthPointe Apartments Loan is structured with a soft lockbox and springing cash management. Funds deposited into the clearing account will be swept on a daily basis into the borrower’s operating account, unless a Trigger Period (as defined below) is continuing, in which event such funds will be swept on a daily basis into a cash management account under the control of the lender and disbursed in accordance with the NorthPointe Apartments Loan documents. All excess cash will be held by the lender as cash collateral while a Trigger Period is in effect.

A “Trigger Period” will be in effect upon: (i) an event of default, until such default has been cured or waived or (ii) if the DSCR for the trailing 12-month period is less than 1.20x on the last day of the preceding calendar quarter, until such time that the DSCR exceeds 1.20x for two consecutive calendar quarters.

Initial Reserves.    At closing, the borrower deposited (i) $132,580 into a tax reserve account, (ii) $28,995 into an insurance reserve account, (iii) $709,875 into a required repairs reserve account and (iv) $1,690,125 into a reserve for planned renovations at the NorthPointe Apartments Property, including sliding patio door replacement, window replacement, landscaping renovation, lobby and common hallway remodeling, pool and rear patio renovation and other upgrades.

Ongoing Reserves.    On a monthly basis, the borrower is required to deposit reserves of (i) 1/12 of the estimated annual real estate taxes, which currently equates to $66,290, into a tax reserve account, (ii) 1/12 of the annual insurance premiums, which currently equates to $14,498, into an insurance reserve account and (iii) $23,968 into a capital expenditure account.

Current Mezzanine or Subordinate Indebtedness.    None.

Future Mezzanine or Subordinate Indebtedness Permitted.    None.

Partial Release.    After the expiration of the lockout period, the borrower may obtain the release of a vacant, non-income producing portion of the NorthPointe Apartments Property provided, among other things (i) the release parcel is not necessary for, and the release will not materially and adversely affect the borrower’s use or operation of the NorthPointe Apartments Property and (ii) the LTV ratio of the remaining property satisfies REMIC requirements.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
72

 
 
26151 Lake Shore Boulevard
Euclid, OH 44132
Collateral Asset Summary – Loan No. 7
NorthPointe Apartments
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$38,750,000
69.2%
1.36x
9.7%
 
(MAP)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
73

 
 
720 East Park Boulevard
Boise, ID 83712
Collateral Asset Summary – Loan No. 8
Washington Group Plaza
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$35,103,154
69.6%
2.16x
14.4%
 
(GRAPHIC)

The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.

 
74

 
 
720 East Park Boulevard
Boise, ID 83712
Collateral Asset Summary – Loan No. 8
Washington Group Plaza
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$35,103,154
69.6%
2.16x
14.4%
                     
Mortgage Loan Information
 
Property Information
 
Loan Seller:
Natixis
     
Single Asset / Portfolio:
Single Asset
 
 
Loan Purpose:
Acquisition
     
Property Type:
CBD Office
 
 
Sponsor:
Second City Capital Partners II,
     
Collateral:
Fee Simple
 
   
Limited Partnership
     
Location:
Boise, ID
 
 
Borrower:
SCCP Boise Limited Partnership
     
Year Built / Renovated:
1970-1982 / 2005
 
 
Original Balance:
$35,200,000
     
Total Sq. Ft.:
557,096
 
 
Cut-off Date Balance:
$35,103,154
     
Property Management:
Thornton Oliver Keller Commercial
 
 
% by Initial UPB:
3.3%
       
Real Estate, LLC
 
 
Interest Rate:
3.8480%
     
Underwritten NOI:
$5,056,029
 
 
Payment Date:
5th of each month
     
Underwritten NCF:
$4,286,073
 
 
First Payment Date:
August 5, 2013
     
Appraised Value:
$50,400,000
 
 
Maturity Date:
July 5, 2018
     
Appraisal Date:
February 19, 2013
 
 
Amortization:
360 months
           
 
Additional Debt:
None
   
Historical NOI
 
Call Protection(1):
L(26), D(30), O(4)
     
Most Recent NOI:
$4,567,818 (T-12 June 30, 2013)
 
 
Lockbox / Cash Management:
Hard / Springing
     
2012 NOI:
$4,568,373 (December 31, 2012)
 
               
2011 NOI:
$4,255,082 (December 31, 2011)
 
Reserves(2)
   
2010 NOI:
$4,125,732 (December 31, 2010)
 
   
Initial
 
Monthly
           
 
Taxes:
$444,229
 
$63,461
   
Historical Occupancy
 
Insurance:
$33,739
 
$11,246
     
Current Occupancy:
91.2% (August 1, 2013)
 
 
Replacement:
$0
 
$9,270
     
2012 Occupancy:
92.5% (December 31, 2012)
 
 
Outstanding TI/LC:
$921,276
 
$0
     
2011 Occupancy:
91.4% (December 31, 2011)
 
 
Rollover:
$2,000,000
 
$54,893
     
2010 Occupancy:
91.3% (December 31, 2010)
 
 
Immediate Repairs:
$771,969
 
NAP
   
(1)   Partial release is permitted. See “Partial Release” herein.
(2)   See “Initial Reserves” and “Ongoing Reserves” herein.
             
Financial Information
   
 
Cut-off Date Balance / Sq. Ft.:
$63
             
 
Balloon Balance / Sq. Ft.:
$57
             
 
Cut-off Date LTV:
69.6%
             
 
Balloon LTV:
63.2%
             
 
Underwritten NOI DSCR:
2.55x
             
 
Underwritten NCF DSCR:
2.16x
             
 
Underwritten NOI Debt Yield:
14.4%
             
 
Underwritten NCF Debt Yield:
12.2%
             
 
Underwritten NOI Debt Yield at Balloon:
15.9%
             
 
Underwritten NCF Debt Yield at Balloon:
13.5%
             
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
75

 
 
720 East Park Boulevard
Boise, ID 83712
Collateral Asset Summary – Loan No. 8
Washington Group Plaza
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$35,103,154
69.6%
2.16x
14.4%

Tenant Summary(1)
 
Tenant
 
Ratings
(Fitch/Moody’s/S&P)(2)
 
Net Rentable
Area (Sq. Ft.)
 
% of Net
Rentable Area
 
U/W Base 
Rent PSF(3)
 
% of Total
U/W Base Rent(3)
  Lease
Expiration
URS
 
NR/Baa3/BBB-
 
193,461(4)
 
34.7%     
 
$16.50
 
36.4%     
 
12/31/2015(5)
Idaho State Tax Commission
 
NR/Aa1/NR
 
111,381
 
20.0%     
 
$17.54
 
22.3%     
 
6/30/2017
The United States Attorney’s Office
 
AAA/Aaa/AA+
 
38,010
 
6.8%     
 
$19.00
 
8.2%     
 
5/20/2019(6)
Building Materials Holding Corp.
 
NR/NR/NR
 
27,413
 
4.9%     
 
$17.50
 
5.5%     
 
2/29/2016
TSYS Technology Center, Inc.
 
NR/Baa3/BBB+
 
20,366
 
3.7%     
 
$17.50
 
4.1%     
 
5/31/2018
Total Major Tenants
     
390,631
 
70.1%     
 
$17.17
 
76.5%     
   
Remaining Tenants
     
117,712
 
21.1%     
 
$17.51
 
23.5%     
   
Total Occupied Collateral
     
508,343
 
91.2%     
 
$17.25
 
100.0%     
   
Vacant
     
48,753
 
8.8%     
           
Total
     
557,096
 
100.0%     
           
                         
(1)
Based on the rent roll as of August 1, 2013.
(2)
Certain ratings are those of the parent company whether or not the parent company guarantees the lease.
(3)
U/W Base Rent PSF and % of Total U/W Base Rent includes contractual rent steps through December 2013.
(4)
URS is currently subleasing 28,022 sq. ft. to the State of Idaho and 18,733 sq. ft. to St. Luke’s Regional Medical Center, Ltd. through the end of the URS lease term of December 31, 2015.
(5)
A 2,878 sq. ft. portion of the space occupied by URS expires on January 31, 2014.
(6)
The United States Attorney’s Office has the right to terminate the lease at any time on or after May 20, 2014 with 90 days prior notice and with no penalty. If the tenant surrenders any part of the premises then the tenant’s rent will be reduced in proportion to the part surrendered.
 
Lease Rollover Schedule(1)
Year
 
# of
Leases
Expiring
 
Total
Expiring
Sq. Ft.
 
% of Total Sq.
Ft. Expiring
 
Cumulative
Sq. Ft.
Expiring
 
Cumulative % of
Sq. Ft. Expiring
 
Annual U/W
Base Rent
Per Sq. Ft.
 
% U/W
Base Rent
Rolling
 
Cumulative %
of U/W
Base Rent
MTM
 
1
 
0
 
0.0%
 
0
   
0.0%
 
$0.00
   
0.0%
   
0.0%
2013
 
0
 
0
 
0.0%
 
0
   
0.0%
 
$0.00
   
0.0%
   
0.0%
2014
 
5
 
20,466
 
3.7%
 
20,466
   
3.7%
 
$17.15
   
4.0%
   
4.0%
2015
 
10
 
201,935
 
36.2%
 
222,401
   
39.9%
 
$16.43
   
37.8%
   
41.9%
2016
 
7
 
65,304
 
11.7%
 
287,705
   
51.6%
 
$17.68
   
13.2%
   
55.1%
2017
 
9
 
128,809
 
23.1%
 
416,514
   
74.8%
 
$17.85
   
26.2%
   
81.3%
2018
 
4
 
26,225
 
4.7%
 
442,739
   
79.5%
 
$19.61
   
5.9%
   
87.1%
2019
 
3
 
42,622
 
7.7%
 
485,361
   
87.1%
 
$19.05
   
9.3%
   
96.4%
2020
 
1
 
11,488
 
2.1%
 
496,849
   
89.2%
 
$11.79
   
1.5%
   
98.0%
2021
 
1
 
5,158
 
0.9%
 
502,007
   
90.1%
 
$16.50
   
1.0%
   
98.9%
2022
 
0
 
0
 
0.0%
 
502,007
   
90.1%
 
$0.00
   
0.0%
   
98.9%
Thereafter
 
2
 
6,336
 
1.1%
 
508,343
   
91.2%
 
$14.89
   
1.1%
   
100.0%
Vacant
 
NAP
 
48,753
 
8.8%
 
557,096
   
100.0%
 
NAP
   
NAP
   
NAP
Total / Wtd. Avg.
 
43
 
557,096
 
100.0%
           
$17.25
   
100.0%
     
                                       
(1)
Certain tenants have lease termination options that may become exercisable prior to the originally stated expiration date of the tenant lease and that are not considered in the lease rollover schedule.

The Loan.    The Washington Group Plaza loan (the “Washington Group Plaza Loan”) is a fixed rate loan secured by the borrower’s fee simple interest in the 557,096 sq. ft. Class A, CBD office property comprised of four interconnected buildings located at 720 East Park Boulevard in Boise, Idaho (the “Washington Group Plaza Property”) and has an original principal balance of $35.2 million. The Washington Group Plaza Loan has a five-year term and amortizes on a 30-year schedule. The Washington Group Plaza Loan accrues interest at a fixed rate equal to 3.8480% and has a cut-off date balance of approximately $35.1 million. Loan proceeds, together with an equity contribution from the Sponsor of over $13.3 million were used to acquire the Washington Group Plaza Property for a purchase price of approximately $44.0 million, fund upfront reserves totaling approximately $4.2 million and pay closing costs of approximately
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
76

 
 
720 East Park Boulevard
Boise, ID 83712
Collateral Asset Summary – Loan No. 8
Washington Group Plaza
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$35,103,154
69.6%
2.16x
14.4%

$0.4 million.  Based on the appraised value of $50.4 million as of February 19, 2013, the cut-off date LTV ratio is 69.6%. The most recent prior financing of the Washington Group Plaza Property was included in the GSMS 2010-C2 transaction.
 
Sources and Uses
Sources
Proceeds
 
% of Total  
 
Uses
Proceeds
 
% of Total  
 
Loan Amount
$35,200,000
 
72.5%
 
Purchase Price
$44,003,836
 
90.7%
 
Sponsor Equity
$13,325,764
 
27.5%
 
Reserves
$4,171,214
 
8.6%
 
         
Closing Costs
$350,715
 
0.7%
 
Total Sources
$48,525,764
 
       100.0%
 
Total Uses
$48,525,764
 
        100.0%
 

The Borrower / Sponsor.    The borrower, SCCP Boise Limited Partnership, is a single purpose Delaware limited partnership structured to be bankruptcy-remote, with one independent director in its organizational structure.  The sponsor of the borrower and the nonrecourse carve-out guarantor is Second City Capital Partners II, Limited Partnership (the “Sponsor” or “SCCP”).

SCCP is a private equity group that manages capital for its principals, institutions, and a diverse group of high net worth investors through a series of funds. Founded by Samuel Belzberg, SCCP is backed by Sam Belzberg’s Gibralt Capital Corporation and developer Bosa Properties Inc. Mr. Belzberg has extensive international experience in real estate and finance with a distinguished track record. Mr. Belzberg started SCCP with over $200.0 million of equity commitments. In 1989, Mr. Belzberg was awarded the Order of Canada from the Governor General and he received an honorary doctorate from Simon Fraser University. In 1992, Mr. Belzberg received the Governor General of Canada Award. In 2002, Mr. Belzberg was promoted to Officer of the Order of Canada. City II is SCCP’s opportunistic real estate investment fund targeting acquisitions within the United States. The fund has secured capital commitments totaling $102.5 million and the general partners have committed $38.5 million. The fund’s primary objective is to build a diversified portfolio of quality assets staged for capital growth, with the secondary objective of generating a reasonable annualized yield for its investors.

The Property.    The Washington Group Plaza Property office buildings are located in Ada County, Boise, Idaho. Built in 1970 through 1982 and renovated in 2005, the Washington Group Plaza Property is situated on 23.42 acres of land and is currently 91.2% occupied. The Washington Group Plaza Property is equipped with 18 elevators (six hydraulic and 12 traction passenger elevators) and has 1,709 surface and multi-level garage parking spaces (625 in open lots and 1,084 in parking garages) with a parking ratio of 3.07 per 1,000 sq. ft. The Washington Group Plaza Property consists of four interconnected buildings: Plaza I (125,568 sq. ft.), Plaza II (113,910 sq. ft.), Central Plaza (103,838 sq. ft.) and Plaza IV (212,789 sq. ft.). The building structure consists of reinforced concrete with integral perimeter foots, interior footings and column pad footings. All roofs have been made with single ply EPDM membrane topped with stone. Roof replacements occurred for Central Plaza in 1997 and 1998, Plaza I in 2000, Plaza IV in 2001 and Plaza II in 2002.

Environmental Matters.    The Phase I environmental report dated March 4, 2013 recommended no further action at the Washington Group Plaza Property.

Major Tenants.
 
URS (193,461 sq. ft., 34.7% of NRA). URS, which is rated Baa3/BBB- by Moody’s/S&P, was founded in 1951 and started as an active research group in physical and engineering sciences. For over 60 years, URS has expanded through internal growth and strategic acquisitions that enhanced the company’s engineering, architectural, transportation and environmental practices. About half of the company’s business is derived from government projects. Today, URS operates in more than 40 countries and focuses on four key market sectors: federal, infrastructure, power and industrial and commercial. The 2007 acquisition of Washington Group International for $2.6 billion enhanced URS’s ability to provide integrated engineering and construction services throughout the project life cycle. The acquisition also expanded URS’s capabilities in the power and nuclear management markets, as well as in transportation, mining, defense and industrial infrastructure and process. The Boise office operates as the Energy and Construction Division headquarters.

URS’s initial lease started in September 1996, and expires in December 31, 2015 with the exception of suite 107, which expires on January 31, 2014. Part of the URS’s space is subleased to the State of Idaho through the Idaho Department of Fish and Game and to St. Luke’s Regional Medical Center, Ltd. URS has the right to lease an additional space of 2,000 to 20,000 sq. ft. in the campus as it becomes available with 30 days notice. URS has no renewal option.

Idaho State Tax Commission (111,381 sq. ft., 20.0% of NRA). The Idaho State Tax Commission, which is rated Aa1 by Moody’s, was created in 1913 and informs taxpayers of their tax obligations and enforces state laws regarding tax compliance. The agency is divided
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
77

 
 
720 East Park Boulevard
Boise, ID 83712
Collateral Asset Summary – Loan No. 8
Washington Group Plaza
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$35,103,154
69.6%
2.16x
14.4%
   
into four divisions: audit and collections, revenue operations, property tax and general services. The Idaho State Tax Commission is an executive branch agency operating under the guidance of the governor of the State of Idaho.

The Idaho State Tax Commission may terminate the lease if the State of Idaho fails to appropriate sufficient funds with 10 days notice and no penalty. The tenant has an option to renew the lease by providing 120 days notice of its renewal terms (renewal rate subject to negotiations between tenant and landlord). The tenant’s share of operating expenses cannot increase by more than 4.0% annually (excluding insurance, utilities, snow plowing and ice removal).

The United States Attorney’s Office (38,010 sq. ft., 6.8% of NRA). The United States Attorney’s Office, which is rated AAA/ Aaa/AA+ by Fitch/Moody’s/S&P, was founded in 1863 when Idaho became a territory of the United States. The office litigates cases on behalf of its client, the United States of America, enforcing federal law to ensure the health and safety of Idaho’s citizens.

The entire state of Idaho is served by one United States Attorney with a main office in Boise and two other branch offices. The District Attorney of Idaho has 25 lawyers prosecuting federal crimes and civil statutes and defending the United States against lawsuits.

The United States Attorney’s Office has the right to terminate any portion of the lease at any time on or after May 20, 2014 with 90 days prior notice and with no penalty. If the tenant surrenders any part of the premises then the tenant’s rent will be reduced in proportion to the part surrendered.

The Market.     The Washington Group Plaza Property is situated in the Boise - Nampa metropolitan statistical area (“MSA”). The Boise - Nampa MSA had a 2012 population of 639,600, which represents an average annual increase of 2.7% over the 2000 census of 464,840. Boise Valley is full of both established, thriving business sectors and new emerging industries. Boise Valley contains nearly a dozen colleges and universities. Boise State University, Idaho’s flagship university, is located across the Boise River less than one mile from the Washington Group Plaza Property. With nearly 20,000 students, over 75.0% of Boise State graduates continue to work and live in Boise. Downtown Boise is the largest, most dynamic urban center within a 300-mile radius. It is the center of government, business, culture and entertainment for over 460,000 people. The Boise Airport is located less than five miles from downtown Boise and handles more than three million travelers each year.

The Washington Group Plaza Property is located in the Boise Valley office market and as of the 3Q 2012, the Boise Valley office market consists of nearly 28 million sq. ft. of inventory. Overall vacancy has declined since 2009 and was at 12.6% at the end of the 3Q 2012. Class A projects reported an even lower vacancy rate of 10.8% at the end of the 3Q 2012. Average asking rates stood at $14.33 PSF in Boise Valley.

Competitive Set (1)
Name
Washington
Group Plaza
River Quarry C
Lakepointe
Centre I
University Plaza
One Front St
Center
Vetex Building
Location
Boise, ID
Boise, ID
Boise, ID
Boise, ID
Boise, ID
Boise, ID
Distance to Subject
NAP
1.4 miles
1.5 miles
0.2 miles
0.4 miles
0.7 miles
Property Type
Office
Office
Office
Office
Office
Office
Year Built / Renovated
1970-1982
1999
1986
NAV
2001
2004
Quality
Excellent
Excellent
Good
Good
Good
Good
(1)
Source: Appraisal

The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
78

 
 
720 East Park Boulevard
Boise, ID 83712
Collateral Asset Summary – Loan No. 8
Washington Group Plaza
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$35,103,154
69.6%
2.16x
14.4%
 
Cash Flow Analysis.

Cash Flow Analysis
 
 
2011
2012
T-12 6/30/2013
U/W
U/W PSF 
 Base Rent(1)
$8,417,742
$8,723,610
$8,775,385
$8,766,637
$15.74
 
 Value of Vacant Space
0
0
0
853,178
1.53
 
 Gross Potential Rent
$8,417,742
$8,723,610
$8,775,385
$9,619,815
$17.27
 
 Total Recoveries
391,779
462,910
514,992
410,390
0.74
 
 Total Other Income
32,901
29,937
36,284
30,200
0.05
 
 Less: Vacancy(2)
             0
             0
0
(853,178)
(1.53)
 
 Effective Gross Income
$8,842,422
$9,216,457
$9,326,661
$9,207,227
$16.53
 
 Total Operating Expenses
4,587,340
4,648,084
4,758,843
4,151,198
7.45
 
 Net Operating Income
$4,255,082
$4,568,373
$4,567,818
$5,056,029
$9.08
 
 TI/LC
0
0
0
474,243
0.85
 
 Capital Expenditures
0
0
0
295,713
0.53
 
 Net Cash Flow
$4,255,082
$4,568,373
$4,567,818
$4,286,073
$7.69
 
             
(1)
U/W Base Rent includes contractual rent steps through December 2013.
(2)
U/W Vacancy represents 9.3% of gross income.

Property Management.    The Washington Group Plaza Property is currently managed by Thornton Oliver Keller Commercial Real Estate, LLC, pursuant to a management agreement.

Lockbox / Cash Management.    The Washington Group Plaza Loan is structured with a hard lockbox and springing cash management. The Washington Group Plaza Loan requires all rents to be transmitted directly by the tenants of the Washington Group Plaza Property into the clearing account.  Following the commencement of any Cash Management Period (as defined below), funds deposited into the clearing account are required to be swept by the clearing bank into a lender controlled deposit account, where the funds are required to be disbursed in accordance with the loan agreement. Upon a Cash Management Period, excess cash flow is deposited to a cash collateral account.

A “Cash Management Period” will commence upon lender giving notice to borrower and clearing bank of the occurrence of any of the following: (i) an event of default or (ii) the failure by borrower, after the end of a calendar quarter, to maintain the DSCR of at least 1.20x; and will end upon lender giving notice to borrower and the clearing bank that the Cash Management Period has ended, which notice lender is required to give if for six consecutive months since the commencement of the existing Cash Management Period (A) no event of default has occurred, (B) no event that would trigger another Cash Management Period has occurred and (C) the DSCR is at least equal to 1.25x.

Initial Reserves.    At closing, the borrower deposited (i) $444,229 into a tax reserve account, (ii) $33,739 into an insurance reserve account, (iii) $921,276 into the TI/LC reserve account for outstanding tenant improvement obligations, (iv) $2,000,000 into the rollover reserve and (v) $771,969 for immediate repairs.

Ongoing Reserves.    On a monthly basis, the borrower is required to deposit reserves of (i) 1/12 of the estimated annual real estate taxes, which currently equates to $63,461, into a tax reserve account, (ii) 1/12 of the annual insurance premiums, which currently equates to $11,246, into an insurance reserve account, (iii) $9,270 into a capital expenditure account and (iv) $54,893 into a rollover reserve account. The maximum balance the borrower shall be required to maintain in the rollover reserve account is $3,500,000 (or $1,500,000 if Plaza I is released). At any time after the cap amount is reached, if the amount on deposit in the rollover reserve account falls below $500,000, monthly deposits will commence until the balance in the rollover reserve account equals $1,000,000.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
79

 
 
720 East Park Boulevard
Boise, ID 83712
Collateral Asset Summary – Loan No. 8
Washington Group Plaza
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$35,103,154
69.6%
2.16x
14.4%

Current Mezzanine or Subordinate Indebtedness.    None.

Future Mezzanine or Subordinate Indebtedness Permitted.    None.

Partial Release.    After the prepayment lockout expiration date, the borrower has the right to obtain the release of the Plaza I building and related parcel in conjunction with a third party sale of the Plaza I building and related parcel, provided among other conditions set forth in the Washington Group Plaza Loan documents, (i) no event of default is continuing, (ii) the borrower defeases an amount equal to 120% of the allocated Plaza I loan amount, (iii) the debt yield is not less than the greater of (a) the debt yield prior to the Plaza I release or (b) the debt yield at the closing of the loan, (iv) the DSCR is no less than the greater of (a) the DSCR immediately prior to the release of Plaza I release or (b) the DSCR on the date of closing of the loan and (v) the LTV ratio is no less than the greater of (a) the LTV ratio immediately prior to the Plaza I release or (b) the LTV ratio on the date at the closing of the loan.

The borrower may obtain the release of an undeveloped land parcel from the lien of the mortgage, provided that, among other conditions, (i) no event of default is continuing and (ii) the undeveloped land parcel has a tax identification number separate from the remaining Washington Group Plaza Property.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
80

 
 
720 East Park Boulevard
Boise, ID 83712
Collateral Asset Summary – Loan No. 8
Washington Group Plaza
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$35,103,154
69.6%
2.16x
14.4%

 (MAP)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
81

 
 
 
525 North McHenry Road
Wheeling, IL  60090
Collateral Asset Summary – Loan No. 9
Whippletree Village MHC
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$33,475,185
70.8%
1.25x
8.6%
 
(PITURE)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
82

 
 
525 North McHenry Road
Wheeling, IL  60090
Collateral Asset Summary – Loan No. 9
Whippletree Village MHC
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$33,475,185
70.8%
1.25x
8.6%
 
Mortgage Loan Information
 
Property Information
Loan Seller:
LCF
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Refinance
 
Property Type:
Manufactured Housing Community
Sponsor(1):
RHP Properties
 
Collateral:
Fee Simple
Borrower:
Whippletree MHC, LLC
 
Location:
Wheeling, IL
Original Balance:
$33,507,000
 
Year Built / Renovated:
1976 / NAP
Cut-off Date Balance:
$33,475,185
 
Total Pads:
407
% by Initial UPB:
3.1%
 
Property Management:
Newbury Management Company
Interest Rate:
5.4670%
 
Underwritten NOI:
$2,863,658
Payment Date:
6th of each month
 
Underwritten NCF:
$2,843,308
First Payment Date:
September 6, 2013
 
Appraised Value:
$47,280,000
Maturity Date:
August 6, 2023
 
Appraisal Date:
May 14, 2013
Amortization:
360 months
     
Additional Debt:
None
 
Historical NOI
Call Protection:
L(25), D(92), O(3)
 
Most Recent NOI:
$2,663,190 (T-12 April 30, 2013)
Lockbox / Cash Management:
Soft / Springing
 
2012 NOI:
$2,627,645 (December 31, 2012)
       
2011 NOI:
$2,204,899 (December 31, 2011)
Reserves(2)
 
2010 NOI:
$2,252,207 (December 31, 2010)
 
Initial
Monthly   
     
Taxes:
$166,844
$41,711   
 
Historical Occupancy
Insurance:
$60,503
$5,042   
 
Current Occupancy:
93.4% (May 1, 2013)
Replacement:
$0
$1,696   
 
2012 Occupancy:
93.4% (December 31, 2012)
Required Repairs:
$19,750
NAP   
 
2011 Occupancy:
93.4% (December 31, 2011)
       
2010 Occupancy:
93.9% (December 31, 2010)
Financial Information
 
(1)   The sponsor is also the sponsor of the mortgage loan secured by the mortgaged property identified on Annex A-1 as Lake Village MHC, which has a cut-off date balance of $5,164,436.
(2)   See “Initial Reserves” and “Ongoing Reserves” herein.
Cut-off Date Balance / Pad:
 
$82,249
   
Balloon Balance / Pad:
 
$68,696
   
Cut-off Date LTV:
 
70.8%
   
Balloon LTV:
 
59.1%
   
Underwritten NOI DSCR:
 
1.26x
   
Underwritten NCF DSCR:
 
1.25x
   
Underwritten NOI Debt Yield:
 
8.6%
   
Underwritten NCF Debt Yield:
 
8.5%
   
Underwritten NOI Debt Yield at Balloon:
 
10.2%
   
Underwritten NCF Debt Yield at Balloon:
 
10.2%
   

The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
83

 
 
525 North McHenry Road
Wheeling, IL  60090
Collateral Asset Summary – Loan No. 9
Whippletree Village MHC
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$33,475,185
70.8%
1.25x
8.6%
 
The Loan.    The Whippletree Village MHC loan (the “Whippletree Village MHC Loan”) is a fixed rate loan secured by the borrower’s fee simple interest in the 407-pad manufactured housing community located at 525 North McHenry Road in Wheeling, Illinois (the “Whippletree Village MHC Property”) and has an original principal balance of approximately $33.5 million. The Whippletree Village MHC Loan has a 10-year term and amortizes on a 30-year schedule. The Whippletree Village MHC Loan accrues interest at a fixed rate equal to 5.4670% and has a cut-off date balance of approximately $33.5 million. Loan proceeds were used to retire existing debt for approximately $28.3 million, giving the borrower a cash out of approximately $4.4 million. Based on the appraised value of approximately $47.3 million as of May 14, 2013, the cut-off date LTV ratio is 70.8% and the remaining implied equity is approximately $13.8 million.  The most recent financing of the Whippletree Village MHC Property was included in the MLCFC 2006-3 transaction.
 
Sources and Uses
 
Sources
Proceeds
% of Total
 
Uses
Proceeds
% of Total
 
Loan Amount
$33,507,000
100.0%
 
Loan Payoff
$28,287,270
84.4%
 
       
Reserves
$247,097
0.7%
 
       
Closing Costs
$607,976
1.8%
 
       
Cash to Borrower
$4,364,657
13.0%
 
Total Sources
$33,507,000
100.0%
 
Total Uses
$33,507,000
100.0%
 
 
The Borrower / Sponsor.    The borrower, Whippletree MHC, LLC, is a single purpose Delaware limited liability company structured to be bankruptcy-remote, with one independent director in its organizational structure.  The sponsor of the borrower is RHP Properties and the nonrecourse carve-out guarantor is Ross H. Partrich.

Ross H. Partrich is the owner of RHP Properties (“RHP”), which is a real estate investment firm specializing in the acquisition and management of manufactured home and apartment communities. By number of communities, RHP is the nation’s second largest private owner and operator of manufactured housing, owning and managing approximately 213 communities with over 54,500 housing units and sites across 25 states, with a combined value of approximately $2.3 billion.

The Property.    The Whippletree Village MHC Property is located at 525 North McHenry Road, Wheeling, Illinois.  The site consists of a 49.7-acre irregular shaped parcel of land improved with a single-story community building, a maintenance garage and 407 individual manufactured housing sites, which are predominately occupied by multisection (double-wide) homes. The Whippletree Village MHC Property was developed in 1976.  Amenities include the community building that contains an on-site leasing office, heated swimming pool, community lounge and common laundry room, as well as a children’s playground, basketball court, tennis court and water features (fountains).  On-site parking includes 46 spaces in an open asphalt paved parking lot next to the community building as well as 869 spaces located throughout the Whippletree Village MHC Property.

Environmental Matters.    The Phase I environmental report dated May 23, 2013 recommended the development and implementation of an Asbestos Operation and Maintenance Plan and Lead Based Paint Operations and Maintenance Program at the Whippletree Village MHC Property, which programs are already in place.

The Market.     The Whippletree Village MHC Property is located in Cook County, Illinois.  Within three miles of the Whippletree Village MHC Property the 2012 population was 97,110 with an average household income of $99,152.  The average home value within three miles is $305,420.  The Whippletree Village MHC Property’s immediate area is bordered by Lake Cook Road to the north, Hintz Road to the south, US 45 to the east and Wilke Road to the west.  The area surrounding the Whippletree Village MHC Property is suburban in nature.  Public transportation is available within a half mile of the Whippletree Village MHC Property, on Dundee Road.  The METRA Rail, North Central Service line runs from Chicago to Wheeling, and the ride is typically 40-50 minutes long, depending on peak/off peak service.

The appraiser determined that the competitive set’s average vacancy was 9.5% with an average rent of $753 per month.

The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
84

 
 
525 North McHenry Road
Wheeling, IL  60090
Collateral Asset Summary – Loan No. 9
Whippletree Village MHC
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$33,475,185
70.8%
1.25x
8.6%
 
Competitive Set(1)
Name
Whippletree
Village MHC
Property
 
Sunset Village
 
Willoway Terrace
 
Town & Country
Buckhorn Ranch
Sterling Estates
Distance from Subject
NAP
 
7.9 miles
 
9.4 miles
 
9.5 miles
19 miles
38 miles
Year Built
1976
 
1945
 
1954
 
1955
1955
1965
Total Occupancy
93.4%
 
NAV
 
93.2%
 
96.8%
96.2%
80.0%
No. of Units
407
 
400
 
336
 
309
234
800
Avg. Rent/Unit
$860
 
$958
 
$640
 
$625
$620
$818
(1)
Source: Appraisal and Borrower Rent Roll
 
Cash Flow Analysis.
 
Cash Flow Analysis
 
 
2011
2012
T-12 4/30/2013
U/W
U/W per Pad
 
Gross Potential Rent
        $3,896,607
        $4,044,582
         $4,064,145
        $4,219,476
$10,367
 
Total Recoveries
           0
           0
            0
         0
0.00
 
Total Other Income
          31,297
          109,127
161,320
161,320
396
 
Less: Vacancy & Credit Loss(1)
             (628,732)
             (637,835)
            (632,284)
        (496,921)
(1,221)
 
Effective Gross Income
$3,299,172
$3,515,874
$3,593,181
$3,883,875
$9,543
 
Total Operating Expenses
1,094,273
888,229
929,991
1,020,217
2,507
 
Net Operating Income
$2,204,899
$2,627,645
$2,663,190
$2,863,658
$7,036
 
Capital Expenditures
0
0
0
20,350
50.00
 
Net Cash Flow
 $2,204,899
 $2,627,645
 $2,663,190
 $2,843,308
$6,986
 
             
(1)
U/W Vacancy represents 11.8% of gross income. The Whippletree Village MHC Property was 93.4% occupied as of May 1, 2013.

Property Management.    The Whippletree Village MHC Property is managed by Newbury Management Company, a borrower affiliate.

Lockbox / Cash Management.    The Whippletree Village MHC Loan is structured with a soft lockbox and springing cash management. Funds deposited into the clearing account will be swept on a daily basis into the borrower’s operating account, unless a Cash Management Period (as defined below) is continuing, in which event such funds will be swept on a daily basis into a cash management account under the control of the lender and disbursed in accordance with the Whippletree Village MHC Loan documents.

A “Cash Management Period” will commence upon the occurrence of any of the following: (i) an event of default, (ii) if, on any calculation date, the DSCR is less than 1.05x for three consecutive calendar quarters or (iii) May 6, 2023.

Initial Reserves.    At closing, the borrower deposited (i) $166,844 into a tax reserve account, (ii) $60,503 into an insurance reserve account and (iii) $19,750 into the deferred maintenance reserve account.

Ongoing Reserves.    On a monthly basis, the borrower is required to deposit reserves of (i) 1/12 of the estimated annual real estate taxes, which currently equates to $41,711, into a tax reserve account, (ii) 1/12 of the annual insurance premiums, which currently equates to $5,042, into an insurance reserve account and (iii) $1,696 into a capital expenditure account.

Current Mezzanine or Subordinate Indebtedness.    None.

Future Mezzanine or Subordinate Indebtedness Permitted.   None.

The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
85

 
 
525 North McHenry Road
Wheeling, IL  60090
Collateral Asset Summary – Loan No. 9
Whippletree Village MHC
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$33,475,185
70.8%
1.25x
8.6%
 
(MAP)

The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
86

 
 
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87

 
 
22205-22342 El Paseo
Rancho Santa Margarita, CA 92688
Collateral Asset Summary – Loan No. 10
El Paseo I & II
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$32,000,000
66.7%
1.38x
9.3%
 
(IMAGE)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
88

 
 
22205-22342 El Paseo
Rancho Santa Margarita, CA 92688
Collateral Asset Summary – Loan No. 10
El Paseo I & II
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$32,000,000
66.7%
1.38x
9.3%

Mortgage Loan Information
 
Property Information
Loan Seller:
LCF
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Refinance
 
Property Type:
Anchored Retail
Sponsor:
Bruce M. Kahl; Joseph Goveia
 
Collateral:
Fee Simple
Borrower:
Kahl & Goveia/El Paseo One, LLC
 
Location:
Rancho Santa Margarita, CA
 
Kahl & Goveia/El Paseo Two, LLC
 
Year Built / Renovated:
2002 / NAP
Original Balance:
$32,000,000
 
Total Sq. Ft.:
106,777
Cut-off Date Balance:
$32,000,000
 
Property Management:
Kahl & Goveia Commercial Real Estate
% by Initial UPB:
3.0%
 
Underwritten NOI:
$2,990,169
Interest Rate:
5.1830%
 
Underwritten NCF:
$2,913,957
Payment Date:
6th of each month
 
Appraised Value:
$48,000,000
First Payment Date:
October 6, 2013
 
Appraisal Date:
June 20, 2013
Maturity Date:
September 6, 2023
     
Amortization:
Interest only for first 36 months; 360
 
Historical NOI
 
months thereafter
 
Most Recent NOI:
$2,705,904 (T-12 May 31, 2013)
Additional Debt:
None
 
2012 NOI:
$2,567,507 (December 31, 2012)
Call Protection:
L(24), D(92), O(4)
 
2011 NOI:
$2,631,642 (December 31, 2011)
Lockbox / Cash Management:
Soft Springing Hard / Springing
 
2010 NOI:
$2,933,877 (December 31, 2010)
         
Reserves(1)
 
Historical Occupancy
 
Initial
 
Monthly 
 
Current Occupancy(3):
91.4% (August 12, 2013)
Taxes:
$148,911
 
$24,819 
 
2012 Occupancy:
96.1% (December 31, 2012)
Insurance:
$4,239
 
$1,413 
 
2011 Occupancy:
74.7% (December 31, 2011)
Replacement:
$0
 
$2,225 
 
2010 Occupancy:
95.3% (December 31, 2010)
TI/LC:
$297,915
 
$9,380 
 
(1)   See “Initial Reserves” and “Ongoing Reserves” herein.
(2)   Based on amortizing debt service payments. Based on the current interest only payments, the Underwritten NOI DSCR and Underwritten NCF DSCR are 1.78x and 1.73x, respectively.
(3)   Current Occupancy includes BevMo!, Sport Clips and Pure Pilates which have signed leases, but have not taken occupancy or begun paying rent. Each tenant is in the process of building out their respective spaces.
Required Repairs:
$4,563
 
NAP 
 
Tenant Specific TI/LC:
$1,017,732
 
$0 
 
BevMo! Capital Expenditure:
$175,000
 
$0 
 
Free Rent:
$260,940
 
$0 
 
Wood Ranch BBQ:
$18,200
 
$0 
 
         
Financial Information
 
Cut-off Date Balance / Sq. Ft.:
$300
   
Balloon Balance / Sq. Ft.:
$266
   
Cut-off Date LTV:
66.7%
   
Balloon LTV:
59.2%
   
Underwritten NOI DSCR(2):
1.42x
   
Underwritten NCF DSCR(2):
1.38x
   
Underwritten NOI Debt Yield:
9.3%
   
Underwritten NCF Debt Yield:
9.1%
   
Underwritten NOI Debt Yield at Balloon:
10.5%
   
Underwritten NCF Debt Yield at Balloon:
10.2%
   

The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
89

 
 
22205-22342 El Paseo
Rancho Santa Margarita, CA 92688
Collateral Asset Summary – Loan No. 10
El Paseo I & II
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$32,000,000
66.7%
1.38x
9.3%
 
Tenant Summary
Tenant Mix
 
Ratings 
(Fitch/Moody’s/S&P) (1)
 
Total
Sq. Ft.(2)
 
% of Total
Collateral
Sq. Ft.
 
Lease 
Expiration
 
Annual UW
Base Rent
PSF
 
Sales PSF(3)
 
Occupancy
Cost 
(% of Sales)(3)
Non-Collateral Anchor
                           
Kohl’s
 
BBB+/Baa1/BBB+
 
93,000
 
NAP
 
NAP
 
NAP
 
NAP
 
NAP
                             
Collateral Anchor
                           
Bed Bath & Beyond
 
NR/NR/BBB+
 
26,991
 
25.3%
 
1/31/2018
 
$15.75
 
$213
 
10.8%
                             
                             
In-line Tenants (<10,000 sq. ft.)
     
70,627
 
66.1%
     
$38.74
 
$433
 
12.4%
                             
Total Occupied Collateral(4)
     
97,618
 
91.4%
               
                             
Vacant
     
9,159
 
8.6%
               
Total Collateral
     
106,777
 
100.0%
               
                             
(1)
Certain ratings may be those of the parent company whether or not the parent company guarantees the lease.
(2)
Kohl’s Total Sq. Ft. is an estimate.
(3)
Total Sales (000s), Sales PSF and Occupancy Cost provided by the borrowers as of December 31, 2012.
(4)
BevMo!, Sport Clips and Pure Pilates do not start paying rent until they have taken possession of their respective spaces. Approximately $1.0 million and $0.3 million have been reserved for tenant specific tenant improvements and leasing commissions and free rent periods, respectively. In addition, the BevMo! lease is contingent upon satisfaction of certain conditions, including the tenant obtaining the requisite building permits, a conditional use permit and any other related approvals and a liquor license for its space.
 
Lease Rollover Schedule(1)(2)
Year
 
# of
Leases
Expiring
 
Total
Expiring
Sq. Ft.
 
% of Total Sq.
Ft. Expiring
 
Cumulative
Sq. Ft.
Expiring
 
Cumulative % of
Sq. Ft. Expiring
 
Annual U/W Base Rent
Per Sq. Ft.
 
% U/W Base Rent
Rolling
 
Cumulative %
of U/W
Base Rent
MTM
 
0
 
0
 
0.0%
 
0
 
0.0%
 
$0.00
 
0.0%
 
0.0% 
2013
 
0
 
0
 
0.0%
 
0
 
0.0%
 
$0.00
 
0.0%
 
0.0% 
2014
 
3
 
2,494
 
2.3%
 
2,494
 
2.3%
 
$49.06
 
3.9%
 
3.9% 
2015
 
3
 
4,066
 
3.8%
 
6,560
 
6.1%
 
$43.98
 
5.7%
 
9.5% 
2016
 
1
 
2,500
 
2.3%
 
9,060
 
8.5%
 
$33.60
 
2.7%
 
12.2% 
2017
 
13
 
37,748
 
35.4%
 
46,808
 
43.8%
 
$41.51
 
49.6%
 
61.7% 
2018
 
5
 
34,311
 
32.1%
 
81,119
 
76.0%
 
$21.51
 
23.3%
 
85.1% 
2019
 
2
 
5,899
 
5.5%
 
87,018
 
81.5%
 
$35.11
 
6.6%
 
91.6%
2020
 
0
 
0
 
0.0%
 
87,018
 
81.5%
 
$0.00
 
0.0%
 
91.6%
2021
 
0
 
0
 
0.0%
 
87,018
 
81.5%
 
$0.00
 
0.0%
 
91.6%
2022
 
1
 
2,850
 
2.7%
 
89,868
 
84.2%
 
$34.20
 
3.1%
 
94.7% 
2023
 
0
 
0
 
0.0%
 
89,868
 
84.2%
 
$0.00
 
0.0%
 
94.7%
Thereafter
 
1
 
7,750
 
7.3%
 
97,618
 
91.4%
 
$21.50
 
5.3%
 
100.0%
Vacant
 
NAP
 
9,159
 
 8.6%
 
106,777
 
100.0%
 
NAP
 
NAP
   
Total / Wtd. Avg.
 
29
 
106,777
 
100.0%
         
$32.39
 
100.0%
   
                                 
(1)
Based on rent roll as of August 12, 2013 and excludes the non-collateral anchor tenant Kohl’s.
(2)
Certain tenants have lease termination options that may become exercisable prior to the originally stated expiration date of the tenant lease and that are not considered in the lease rollover schedule.

The Loan.    The El Paseo I & II loan (the “El Paseo I & II Loan”) is a fixed rate loan secured by the borrower’s fee simple interest in the 106,777 sq. ft., anchored retail shopping center located at 22205-22342 El Paseo in Rancho Santa Margarita, California (the “El Paseo I & II Property”) and has an original principal balance of $32.0 million. The El Paseo I & II Loan has a 10-year term and amortizes on a 30-year schedule after an initial interest only period of 36 months. The El Paseo I & II Loan accrues interest at a fixed rate equal to 5.1830% and has a cut-off date balance of $32.0 million. Loan proceeds were used to retire existing debt for approximately $29.3 million, fund upfront reserves and pay closing costs. Based on the appraised value of $48.0 million as of June 20, 2013, the cut-off date LTV ratio is 66.7% and the remaining implied equity is $16.0 million. The most recent prior financing of the El Paseo I & II Property was not included in a securitization.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
90

 
 
22205-22342 El Paseo
Rancho Santa Margarita, CA 92688
Collateral Asset Summary – Loan No. 10
El Paseo I & II
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$32,000,000
66.7%
1.38x
9.3%
 
Sources and Uses
 
Sources
 
Proceeds
 
% of Total
 
Uses
 
Proceeds
 
% of Total
 
Loan Amount
 
$32,000,000
 
100.0%
 
Loan Payoff
 
$29,266,829
 
91.5%
 
           
Reserves
 
$1,927,499
 
6.0%
 
           
Closing Costs
 
$805,672
 
2.5%
 
Total Sources
 
$32,000,000
 
100.0%
 
Total Uses
 
$32,000,000
 
100.0%
 

The Borrower / Sponsor.    The borrowers, Kahl & Goveia/El Paseo One, LLC and Kahl & Goveia/El Paseo Two, LLC are each a single purpose Delaware limited liability company structured to be bankruptcy-remote, each with one independent director in its organizational structure.  The sponsors of the borrowers and the nonrecourse carve-out guarantors are Bruce M. Kahl and Joseph Goveia. The guarantors for the El Paseo I & II Loan have developed and acquired over 3.5 million sq. ft. of retail, office, medical and residential space, primarily in California.

The Property.    The El Paseo I & II Property is a 106,777 sq. ft. open air shopping center located in Rancho Santa Margarita, California. The El Paseo I & II Property was originally constructed in 2002 by the sponsors. As of August 12, 2013, the occupancy was 91.4% excluding the non-collateral anchor tenant and approximately 95.4% occupied including the non-collateral anchor tenant.

The El Paseo I & II Property is anchored by Kohl’s and Bed Bath & Beyond. Kohl’s owns its own store and is not collateral for the El Paseo I & II Loan. Bed Bath & Beyond reported year-end sales for 2012 of $213 PSF and an occupancy cost of 10.8%. In addition, the El Paseo I & II Property is occupied by a diverse roster of national tenants including Wood Ranch BBQ, Baja Fresh, Cold Stone Creamery and regional tenants including Togos, Sport Clips and Round Table Pizza.
 
Historical Sales PSF
 
2009
2010
2011
2012
Bed Bath & Beyond
$182
$203
$210
$213
         
In-line Tenants(1)
$408
$421
$438
$433
         
(1)
Based on reporting in-line tenants.

Environmental Matters.    The Phase I environmental report dated June 24, 2013 recommended no further action at the El Paseo I & II Property.

The Market.    The El Paseo I & II Property is located in Rancho Santa Margarita which is about 50 miles southeast of Los Angeles, California and approximately five miles east of the Interstate 5 which is one of the main thoroughfares in California. According to the appraisal, within a three-mile radius the population is 76,283 and the average household income is $130,848. Additionally, within a five-mile radius the population increases to 166,972. The El Paseo I & II Property is located in the South Orange County submarket which accounts for 17.9 million sq. ft. of total retail space. Per the appraisal, the South Orange County retail submarket has a vacancy rate of 5.1% and the average annual rental rate is $29.88 PSF.

Competitive Set(1)
Name
El Paseo I & II
Property(3)
Rancho Santa
Margarita
Marketplace
Plaza Antonio
Mercantile West
Mercantile East
Distance from Subject
NAP
< 1 mile
< 1 mile
7 miles
7 miles
Property Type
Retail
Retail
Retail
Retail
Retail
Year Built
2002
2000
1992
2004
2003
Total Occupancy(2)
91.4%
99%
93%
87%
99%
Size (Sq. Ft.)
106,777
388,653
169,725
149,517
284,703
Anchors / Major Tenants
Bed Bath & Beyond
Lowe’s, PetSmart, Aaron Bros.
Pavilions, CVS
Pavilions, CVS
Kohl’s, Dick’s Sporting Goods, Staples, HomeGoods, BevMo!, Tilly’s
(1)   Source: Appraisal
(2)   Occupancy for competitive properties are as of date of the appraisal whereas the El Paseo I & II Property’s occupancy is as of August 12, 2013.
(3)   Excludes the non-collateral anchor tenant, Kohl’s.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
91

 
 
22205-22342 El Paseo
Rancho Santa Margarita, CA 92688
Collateral Asset Summary – Loan No. 10
El Paseo I & II
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$32,000,000
66.7%
1.38x
9.3%
 
Cash Flow Analysis.

Cash Flow Analysis
 
 
2011
2012
T-12 5/31/2013
U/W
U/W PSF
Base Rent(1)
$2,755,200
$2,807,886
$2,899,048
$3,161,414
$29.61
 
Value of Vacant Space
0
0
0
236,072
2.21
 
Gross Potential Rent
$2,755,200
$2,807,886
$2,899,048
$3,397,486
$31.82
 
Total Recoveries
840,101
719,710
794,274
1,024,528
9.60
 
Total Other Income
          2,196
          18,620
15,635
1,200
0.01
 
Less: Vacancy(2)
             0
             0
            0
        (317,297)
(2.97)
 
Effective Gross Income
$3,597,498
$3,546,216
$3,708,957
$4,105,917
$38.45
 
Total Operating Expenses
965,856
978,709
1,003,053
1,115,749
10.45
 
Net Operating Income
$2,631,642
$2,567,507
$2,705,904
$2,990,169
$28.00
 
TI/LC
0
0
0
             49,517
0.46
 
Capital Expenditures
0
0
0
26,694
0.25
 
Net Cash Flow
 $2,631,642
 $2,567,507
 $2,705,904
 $2,913,957
$27.29
 
             
(1)
U/W Base Rent includes $117,881 in contractual step rent through December 31, 2014.
(2)
U/W Vacancy represents 7.2% of gross income.

Property Management.    The El Paseo I & II Property is managed by Kahl & Goveia Commercial Real Estate, a borrower affiliate.

Lockbox / Cash Management.    The El Paseo I & II Loan is structured with a soft, springing hard lockbox and springing cash management. The borrowers are required to collect and deposit rents and other payments into the lockbox account controlled by the lender.

The funds are swept from the lockbox account into an account controlled by the borrowers until the occurrence of a Sweep Event (as defined below). Upon the occurrence of a Sweep Event, the borrowers are required to deliver rent direction letters to all tenants to deposit directly into the lockbox account and all funds in the lockbox account will thereafter flow through the cash flow waterfall. A “Sweep Event” is triggered by any of the following, (i) DSCR falls below 1.15x based on leases in place and trailing twelve month expenses, (ii) there is an event of default under the loan documents, (iii) there is a default under the property management agreement or (iv) a Bruxie Judgement Failure Event as defined in the loan documents (i.e. certain adverse consequences associated with a tenant litigation against the borrowers or landlord). See “Risk Factors – Risks Related to the Mortgage Loans – Risks Related to Litigation and Condemnation” in the Free Writing Prospectus.

Initial Reserves.    At closing, the borrowers deposited (i) $148,911 into a tax reserve account, (ii) $4,239 into an insurance reserve account, (iii) $1,315,647 into a rollover reserve account with $297,915 for general tenant improvement and leasing commissions and  $1,017,732 for outstanding tenant improvement and leasing commissions, (iv) $4,563 into a required repairs reserve, (v) $175,000 into the BevMo! capital expenditure reserve, (vi) $18,200 into the Wood Ranch BBQ reserve and (vii) $260,940 into the free rent reserve.

Ongoing Reserves.    On a monthly basis, the borrowers are required to deposit reserves of (i) 1/12 of the estimated annual real estate taxes, which currently equates to $24,819, into a tax reserve account, (ii) 1/12 of the annual insurance premiums, which currently equates to $1,413, into an insurance reserve account, (iii) $2,225 into a capital expenditure account and (iv) $9,380 into a TI/LC reserve account, which amount is capped at $425,000.

Current Mezzanine or Subordinate Indebtedness.    None.

Future Mezzanine or Subordinate Indebtedness Permitted.    None.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
92

 
 
22205-22342 El Paseo
Rancho Santa Margarita, CA 92688
Collateral Asset Summary – Loan No. 10
El Paseo I & II
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$32,000,000
66.7%
1.38x
9.3%

(MAP)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
93

 
 
22205-22342 El Paseo
Rancho Santa Margarita, CA 92688
Collateral Asset Summary – Loan No. 10
El Paseo I & II
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$32,000,000
66.7%
1.38x
9.3%
 
(MAP)
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
94

 
 
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95

 
 
2281 North Germantown Parkway
Cordova, TN 38016
Collateral Asset Summary – Loan No. 11
Countrywood Crossing
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$31,738,177
70.5%
1.48x
10.5%
             
Mortgage Loan Information
 
Property Information
Loan Seller:
LCF
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Refinance
 
Property Type:
Anchored Retail
Sponsor:
Inland Private Capital Corporation
 
Collateral:
Fee Simple
Borrower:
Countrywood DST
 
Location:
Cordova, TN
Original Balance:
$31,800,000
 
Year Built / Renovated:
2007 / NAP
Cut-off Date Balance:
$31,738,177
 
Total Sq. Ft.:
233,981
% by Initial UPB:
2.9%
 
Property Management:
Inland Continental Property
Interest Rate:
5.3810%
   
Management Corp.
Payment Date:
6th of each month
 
Underwritten NOI:
$3,338,812
First Payment Date:
August 6, 2013
 
Underwritten NCF:
$3,168,146
Maturity Date:
July 6, 2023
 
Appraised Value:
$45,000,000
Amortization:
360 months
 
Appraisal Date:
February 13, 2013
Additional Debt(1):
$700,000 Unsecured Subordinate
     
 
Debt; Future Unsecured Subordinate
 
Historical NOI
 
Debt Permitted
 
Most Recent NOI:
$3,163,568 (T-12 April 30, 2013)
Call Protection:
L(26), YM1(90), O(4)
 
2012 NOI:
$3,332,669 (December 31, 2012)
Lockbox / Cash Management:
Hard / In Place
 
2011 NOI:
$3,383,333 (December 31, 2011)
     
2010 NOI:
$4,452,886 (December 31, 2010)
Reserves
     
 
Initial
Monthly
 
Historical Occupancy
Taxes:
$93,728
$93,728
 
Current Occupancy:
94.2% (May 3, 2013)
Insurance(2):
$0
Springing
 
2012 Occupancy:
94.7% (December 31, 2012)
Replacement:
$0
$3,900
 
2011 Occupancy:
94.0% (December 31, 2011)
TI/LC:
$1,500,000
$17,549
 
2010 Occupancy:
93.6% (December 31, 2010)
       
(1)   The guarantor may provide additional unsecured subordinate debt to the borrower. $700,000 was funded at closing.
(2)   The borrower will be required to make monthly deposits of 1/12 of annual insurance premiums into the insurance reserve if an acceptable blanket insurance policy is no longer in place.
Financial Information
 
Cut-off Date Balance / Sq. Ft.:
$136
   
Balloon Balance / Sq. Ft.:
$113
   
Cut-off Date LTV:
70.5%
   
Balloon LTV:
58.8%
   
Underwritten NOI DSCR:
1.56x
   
Underwritten NCF DSCR:
1.48x
   
Underwritten NOI Debt Yield:
10.5%
   
Underwritten NCF Debt Yield:
10.0%
   
Underwritten NOI Debt Yield at Balloon:
12.6%
       
Underwritten NCF Debt Yield at Balloon:
12.0%
       
 
 TRANSACTION HIGHLIGHTS
 
§
Strong Location/Market. The property is located within the East Memphis submarket in Cordova, Tennessee and is located directly across I-40 from the Wolfchase Galleria. The average 2012 household income within a five-mile radius is $75,859.
 
§
Experienced Sponsorship. Inland Private Capital Corporation is part of the Inland Real Estate Group of Companies which has over $20.8 billion of assets under management in 48 states and more than 88.2 million sq. ft. of commercial real estate in its portfolio.
 
§
National Retailer Presence. The property currently operates with a strong national tenant presence, with 16 national tenants comprising 88.5% of total NRA.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
96

 

1536 Genesis Road
Crossville, TN 38555
Collateral Asset Summary – Loan No. 12
Colinx Industrial Building
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$30,569,879
66.0%
1.37x
10.3%
             
Mortgage Loan Information
 
Property Information
Loan Seller:
Natixis
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Refinance
 
Property Type:
Industrial Warehouse
Sponsor:
Kopcan LLC
 
Collateral:
Fee Simple / Leasehold
Borrower:
Crossville Owner, LLC
 
Location:
Crossville, TN
Original Balance:
$30,600,000
 
Year Built / Renovated:
1997, 2003, 2007 / 2013
Cut-off Date Balance:
$30,569,879
 
Total Sq. Ft.(4):
881,575
% by Initial UPB:
2.8%
 
Property Management:
Self-managed
Interest Rate(1):
5.3200%
 
Underwritten NOI(8):
$3,159,433
Payment Date:
5th of each month
 
Underwritten NCF(8):
$2,806,803
First Payment Date:
September 5, 2013
 
“As-Is” Appraised Value:
$36,500,000
Anticipated Repayment Date(1):
August 5, 2023
 
“As-Is” Appraisal Date:
March 8, 2013
Maturity Date(1):
August 5, 2043
 
“As Stabilized” Appraised Value(9):
$46,300,000
Amortization:
360 months
 
“As Stabilized” Appraisal Date(9):
February 1, 2014
Additional Debt:
None
     
Call Protection:
L(25), D(92), O(3)
 
Historical NOI
Lockbox / Cash Management(2):
Hard / Springing
 
Most Recent NOI:
$2,756,573 (T-12 May 31, 2013)
     
2012 NOI:
$2,745,649  (December 31, 2012)
Reserves
 
2011 NOI:
$2,738,879  (December 31, 2011)
 
Initial
Monthly
     
Taxes:
$216,667
$20,983
 
Historical Occupancy
Insurance:
$56,162
$4,680
 
Current Occupancy:
100.0% (September 5, 2013)
Replacement:
$0
$7,347
 
2012 Occupancy:
100.0% (December 31, 2012)
TI/LC(3):
$0
$22,040
 
2011 Occupancy:
100.0% (December 31, 2011)
Required Repairs:
$1,750
NAP
 
(1)   In the event that the loan is still outstanding on the Anticipated Repayment Date, the maturity date will be extended to be coterminous with the loan’s amortization period of August 5, 2043 and the interest rate will increase to 4.0000% plus the greater of (i) the then current 10-year swap yield and (ii) the initial interest rate.
(2)   A cash flow sweep period will be triggered upon the occurrence of: (i) an event of default, (ii) the borrower fails to maintain a DSCR of at least 1.15x at the end of each calendar quarter or (iii) the payment date prior to the Anticipated Repayment Date.
(3)   The borrower is required to deposit $22,040 monthly for TI/LC until completion of the construction project and $16,530 thereafter up to a cap of $793,418. If at any time the amount in the reserve falls below $250,000 then borrower is required to pay $16,530 on each payment date until the reserve contains $793,418.
(4)   The current leasable area is 672,350 sq. ft.; the borrower is in the process of expanding the building space by approximately 209,225 sq. ft., thus increasing the size of the property to 881,575 sq. ft. by May 2014. The borrower reserved $3.725 million at closing to be used for the initial work related to the 209,225 sq. ft. expansion. In addition, the borrower provided a letter of credit for $3,785,176 as security for the completion of the renovations and the debt, which may be used to pay the remaining renovation costs after the renovation reserve is depleted.
(5)   The expansion holdback reserve of $3,785,176 represents the renovation holdback for the work associated with the expansion space. Upon completion of the expansion, which is expected by May 2014, lender will release the amounts remaining in the holdback reserve to borrower.
(6)   Calculations as of the Anticipated Repayment Date.
(7)   LTVs are calculated using the “As Stabilized” appraised value. The “As-Is” cut-off date LTV is 83.8% and the “As-Is” Balloon LTV is 69.6%.
(8)   Underwritten NOI and underwritten NCF take into account the additional rent attributed to the expansion space.
(9)   The “As Stabilized” appraised value is based on the completion of the 209,225 sq. ft. expansion.
Expansion(4):
$3,725,000
$0
 
Expansion Holdback(5):
$3,785,176
$0
 
       
Financial Information
 
Cut-off Date Balance / Sq. Ft.:
$35
   
Balloon Balance / Sq. Ft. (6):
$29
   
Cut-off Date LTV(7):
66.0%
   
Balloon LTV(6) (7):
54.9%
   
Underwritten NOI DSCR(8):
1.55x
   
Underwritten NCF DSCR(8):
1.37x
   
Underwritten NOI Debt Yield:
10.3%
   
Underwritten NCF Debt Yield:
9.2%
   
Underwritten NOI Debt Yield at Balloon(6):
12.4%
   
Underwritten NCF Debt Yield at Balloon(6):
11.0%
   
         
         
         
         
         
         
         
         
             
 TRANSACTION HIGHLIGHTS
 
§
Long-Term Lease and Tenant. The property has been 100.0% occupied since 2001 by Colinx LLC which is a joint venture formed in 2000 between five of the world’s largest bearings companies, each of which are members of Colinx LLC: SKF (A3/A- by Moody’s/S&P), Baldor, Gates, Schaeffler (S&P B+) and Timken (S&P BBB-).  Colinx LLC is the tenant under the lease and subleases its space to each of the five members of the joint venture. The tenant and sub-tenants have executed lease modifications to take the additional space and extend the lease term to 2027 upon completion of the expansion.
 
§
Location. The property is located off the I-40, one of the major east-west freeways in the United States that runs from North Carolina to California, which allows for convenient ground transportation access to markets all over the country. Crossville, Tennessee is also in close proximity (four hour drive) to Charleston, South Carolina, which is the port responsible for over 60% of the imports for Colinx LLC and its customers.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
97

 
 
465 Park Avenue
New York, NY 10022
Collateral Asset Summary – Loan No. 13
The Ritz Tower
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$30,000,000
14.6%
6.60x
28.5%
 
             
Mortgage Loan Information
 
Property Information
Loan Seller:
LCF
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Refinance
 
Property Type:
Cooperative Multifamily
Credit Assessment
Aaa / AAA / AAA
 
Collateral(5):
Fee Simple / Leasehold
(Moody’s/S&P/KBRA)(1):
   
Location:
New York, NY
Sponsor:
The Ritz Tower, Inc.
 
Year Built / Renovated:
1926 / 2012
Borrower:
The Ritz Tower, Inc.
 
Total Units:
110
Original Balance:
$30,000,000
 
Property Management:
Self-managed
Cut-off Date Balance:
$30,000,000
 
Underwritten NOI(4):
$8,561,027
% by Initial UPB:
2.8%
 
Underwritten NCF(4):
$8,522,527
Interest Rate:
4.2440%
 
Appraised Value(4):
$205,000,000
Payment Date:
1st of each month
 
Appraisal Date:
July 2, 2013
First Payment Date:
October 1, 2013
     
Maturity Date:
September 1, 2023
 
Historical NOI
Amortization:
Interest Only
 
Most Recent NOI:
$1,577,114 (T-12 April 30, 2013)
Additional Debt(2):
Future Secured Subordinate Debt
 
2012 NOI:
$1,465,143 (January 31, 2013)
 
Permitted
 
2011 NOI:
$938,178 (January 31, 2012)
Call Protection:
L(35), YM(81), O(4)
 
2010 NOI:
$1,103,563 (January 31, 2011)
Lockbox / Cash Management:
None / None
     
     
Historical Occupancy
Reserves(3)
 
Current Occupancy:
100.0% (June 1, 2013)
 
Initial
Monthly
 
2012 Occupancy:
100.0%  (January 31, 2013)
Taxes:
$0
Springing
 
2011 Occupancy:
100.0%  (January 31, 2012)
Insurance:
$0
Springing
 
2010 Occupancy:
100.0%  (January 31, 2011)
Ground Rent:
$0
Springing
 
(1)   S&P does not assign credit estimates; however, the loan received credit enhancement consistent with an AAA rating.
(2)   Future secured subordinate debt is allowed, provided, among other things, the combined LTV is not greater than 25% and the subordinate lender executes a subordination and standstill agreement.
(3)   During the continuance of an event of default or failure to provide evidence of payment, the borrower will be required to deposit (i) 1/12 of the annual tax payment into the tax reserve, (ii) 1/12 of the annual insurance premiums into the insurance reserve and (iii) an amount equal to the monthly ground rent for the following month into the ground rent reserve.
(4)   The property is a cooperatively owned residential property. The Underwritten NOI, Underwritten NCF and Appraised Value are calculated based on numerous assumptions as if the property is operated as a multifamily rental property.
(5)   The borrower is a tenant-in-common with respect to the subject ground lease and has pledged such tenant-in-common interest as collateral.
       
Financial Information
 
Cut-off Date Balance / Unit:
$272,727
   
Balloon Balance / Unit:
$272,727
   
Cut-off Date LTV(4):
14.6%
   
Balloon LTV(4):
14.6%
   
Underwritten NOI DSCR(4):
6.63x
   
Underwritten NCF DSCR(4):
6.60x
   
Underwritten NOI Debt Yield(4):
28.5%
   
Underwritten NCF Debt Yield(4):
28.4%
   
Underwritten NOI Debt Yield at Balloon(4):
28.5%
   
Underwritten NCF Debt Yield at Balloon(4):
28.4%
   
             
 TRANSACTION HIGHLIGHTS
 
§
Strong Credit Metrics. The loan exhibits an Underwritten NOI Debt Yield of 28.5% and Underwritten NCF DSCR of 6.60x. Based on the appraised value of $205.0 million, the Cut-off Date LTV is 14.6%.
 
§
Landmark Asset. The exterior of the building containing the property has been granted landmark status by the Landmarks Preservation Commission.
 
§
Location. The property is located at the corner of Park Avenue and East 57th Street and is located two blocks from Central Park and two blocks from 5th Avenue, a major retail destination in the area.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
98

 
 
Illinois and Florida
Collateral Asset Summary – Loan No. 14
DP II Portfolio
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$28,989,326
72.8%
1.45x
11.4%
             
Mortgage Loan Information
 
Property Information
Loan Seller:
Natixis
 
Single Asset / Portfolio:
Portfolio of five properties
Loan Purpose:
Refinance
 
Property Type(3):
Office / Industrial
Sponsor:
Clairvue Capital Partners II-TE 1, LP;
 
Collateral:
Fee Simple
 
Clairvue Capital Partners II-TE 2, LP;
 
Location:
Various
 
Clairvue Capital Partners II-T GS, LP;
 
Year Built / Renovated:
Various / NAP
 
Clairvue Capital Partners II (Offshore)
 
Total Sq. Ft.:
649,586
 
GS, LP; Steven J. Denholtz
 
Property Management:
Denholtz Management Corp.
Borrower:
Five Pak Tower Lane LLC; Five Pak
 
Underwritten NOI:
$3,292,142
 
Church Road LLC; Five Pak Executive
 
Underwritten NCF:
$2,748,179
 
Drive LLC; Five Pak Butterfield Road
 
Appraised Value:
$39,800,000
 
LLC; Five Pak University Boulevard LLC
 
Appraisal Date:
April – May 2013
Original Balance:
$29,050,000
     
Cut-off Date Balance:
$28,989,326
 
Historical NOI
% by Initial UPB:
2.7%
 
Most Recent NOI:
$2,926,525 (T-12 April 30, 2013)
Interest Rate:
5.0830%
 
2012 NOI:
$2,688,716 (December 31, 2012)
Payment Date:
5th of each month
 
2011 NOI:
$2,146,395 (December 31, 2011)
First Payment Date:
August 5, 2013
     
Maturity Date:
July 5, 2018
 
Historical Occupancy
Amortization:
360 months
 
Current Occupancy:
81.6% (August 22, 2013)
Additional Debt:
None
 
2012 Occupancy:
82.8% (December 31, 2012)
Call Protection(1):
L(26), D(31), O(3)
 
2011 Occupancy:
71.1% (December 31, 2011)
Lockbox / Cash Management(2):
Hard / Springing
 
(1)   At any date after the lockout period ends, borrower may obtain the release of any individual property, provided, among other things, (i) the LTV ratio for the remaining properties does not exceed the lesser of the LTV ratio immediately preceding such release and the funding date LTV ratio, (ii) the DSCR for the remaining properties is not less than the greater of the DSCR immediately preceding the partial release and the funding date DSCR, and (iii) borrower defeases in an amount equal to the greater of 115% of the allocated loan amount for the release property or 100% of the net sales proceeds from the sale of the released property.
(2)   Cash management will be triggered upon: (i) an event of default or (ii) failure to maintain a DSCR of at least 1.25x at the end of each calendar quarter.
(3)   The mixed use portfolio consists of five properties that possess office and industrial components.  The property type composition of the portfolio by net rentable area is as follows: office (50.6%) and industrial (49.4%).
     
Reserves
 
 
Initial
Monthly
 
Taxes:
$329,524
$65,905
 
Insurance:
$45,705
$11,426
 
TI/LC:
$1,152,790
$14,583
 
Replacement:
$0
$13,530
 
Required Repairs:
$805,250
NAP
 
       
Financial Information
 
Cut-off Date Balance / Sq. Ft.:
$45
   
Balloon Balance / Sq. Ft.:
$41
   
Cut-off Date LTV:
72.8%
   
Balloon LTV:
67.4%
   
Underwritten NOI DSCR:
1.74x
   
Underwritten NCF DSCR:
1.45x
   
Underwritten NOI Debt Yield:
11.4%
   
Underwritten NCF Debt Yield:
9.5%
   
Underwritten NOI Debt Yield at Balloon:
12.3%
   
Underwritten NCF Debt Yield at Balloon:
10.2%
   
             
 TRANSACTION HIGHLIGHTS

§
Diversity: The DP II Portfolio shows geographical and asset class diversity. The DP II Portfolio is comprised of two office buildings, the Butterfield Office Plaza and the University Corporate Center and three industrial properties. Four of the properties are located in the Chicago MSA and one property is located in the Orlando MSA. In addition, as of August 22, 2013, the properties collectively contained over 110 tenants.  There are no tenants that account for more than 4.6% of the total square footage or 8.1% of the total underwritten base rent.  The top 10 tenants in the portfolio comprise 25.6% of total square footage and 33.0% of the total underwritten base rent.
 
§
Location: Four of the five properties are located in suburban Chicago within dense, in-fill locations with strong barriers to entry and within close proximity to Chicago O’Hare International Airport and major highways.  The University Corporate Center property is located in Winter Park, Florida, a burgeoning tech corridor in the Orlando suburbs.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
99

 

 
California
Collateral Asset Summary Loan No. 15
Saratoga & WestShore
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$25,477,607
57.5%
1.57x
10.1%
 
Mortgage Loan Information
 
Property Information
Loan Seller:
Natixis
 
Single Asset / Portfolio:
Portfolio of two properties
Loan Purpose:
Refinance
 
Property Type:
Suburban Office
Sponsor:
Sand Hill Property Company
 
Collateral:
Fee Simple
Borrower:
SHP Westshore LLC;
 
Location(5):
Various, CA
SHP Saratoga II LLC
 
Year Built / Renovated(5):
Various / NAP
Original Balance:
$25,500,000
 
Total Sq. Ft.(5):
139,111
Cut-off Date Balance:
$25,477,607
 
Property Management:
Sand Hill Property Management, LLC
% by Initial UPB:
2.4%
 
Underwritten NOI:
$2,562,387
Interest Rate:
4.7040%
 
Underwritten NCF:
$2,383,006
Payment Date:
5th of each month
 
Appraised Value(5):
$44,300,000
First Payment Date:
September 5, 2013
 
Appraisal Date:
April 22, 2013
Maturity Date:
August 5, 2018
     
Amortization(1):
360 months
 
Historical NOI
Additional Debt(2):
$4,995,609 Mezzanine Loan
 
Most Recent NOI:
$2,061,125 (T-12 March 31, 2013)
Call Protection(3):
L(25), D(32), O(3)
 
2012 NOI:
$1,976,906 (December 31, 2012)
Lockbox / Cash Management:
Hard / In Place
 
2011 NOI:
$1,573,422 (December 31, 2011)
         
Reserves
 
Historical Occupancy
 
Initial
Monthly   
 
Current Occupancy(6):
95.8% (August 31, 2013)
Taxes:
$454,690
$53,493   
 
2012 Occupancy:
91.3% (December 31, 2012)
Insurance:
$22,359
$2,795   
 
2011 Occupancy:
87.0% (December 31, 2011)
Replacement:
$0
$2,300   
 
(1)   The amortization term was calculated based on the combined amortization schedule for the Saratoga & WestShore loan and the related mezzanine loan. The amortization and payment schedule can be found in Annex H - Saratoga & WestShore Amortization Schedule of the Free Writing Prospectus.
(2)   The mezzanine loan has a five-year term, amortizes on a 30-year schedule and accrues interest at a fixed rate of 11.2500%.
(3)   At any date after the lockout period ends, the borrower may obtain the release of any individual property or the unimproved release parcel, provided, among other things per the loan documents, (i) certain LTV, DSCR and DY conditions are met, if applicable, and (ii) borrower defeases to lender the greater of 125% of the allocated loan amount for the Saratoga release parcel, the Saratoga Office Center property or the WestShore Office Park property or 100% of the net sales proceeds from the sale of the Saratoga release parcel, the Saratoga Office Center property or the WestShore Office Park property; no partial release amount is due in connection with a partial release of the unimproved parcel.
(4)   At closing, $500,000 was deposited into a reserve account held by Natixis (the “Roku Rollover Reserve”), which will be disbursed to borrower for approved tenant improvement costs and leasing commissions associated with retenanting the space currently demised to Roku, Inc. at the Saratoga Office Center property.
(5)   The Saratoga & WestShore loan is secured by the borrower’s fee simple interest in two office properties containing 139,111 sq. ft.: (i) the Saratoga Office Center property (90,366 sq. ft. built in 1985, located in Saratoga, California, appraised value of $31.2 million) and (ii) the WestShore Office Park property (48,745 sq. ft. built in 1984, located in Redwood City, California, appraised value of $13.1 million).
(6)   As of August 31, 2013, the WestShore Office Park property is 74.5% occupied and 88.0% leased. Pacific Autism Center just executed a five year lease for 3,430 sq. ft. (7.0% of the NRA) and is scheduled to take occupancy September 1, 2013. Zyme Solutions Inc. is negotiating the renewal/expansion of its lease at the WestShore Office Park property. Zyme Solutions Inc. plans to expand into the neighboring suite 240D for a total of 4,966 sq. ft. The tenant is currently doing its own TI work and is scheduled to occupy the space by September 1, 2013.
TI/LC(4):
$500,000
$12,650   
 
Required Repairs:
$55,248
NAP   
 
   
Financial Information
 
 
Mortgage Loan
Total Debt   
 
Cut-off Date Balance / Sq. Ft.:
$183
$219   
 
Balloon Balance / Sq. Ft.:
$171
$204   
 
Cut-off Date LTV:
57.5%
68.8%   
 
Balloon LTV:
53.7%
64.2%   
 
Underwritten NOI DSCR:
1.69x
1.20x   
 
Underwritten NCF DSCR:
1.57x
1.11x   
 
Underwritten NOI Debt Yield:
10.1%
8.4%   
 
Underwritten NCF Debt Yield:
9.4%
7.8%   
 
Underwritten NOI Debt Yield at Balloon:
10.8%
9.0%   
 
Underwritten NCF Debt Yield at Balloon:
10.0%
8.4%   
 
       
       
       
       
       
       
       
       
 
TRANSACTION HIGHLIGHTS
 
§
 
Location. Saratoga, California is an affluent, well-established, predominantly residential community located in the west end of Silicon Valley at the base of the Santa Cruz Mountain Range. Saratoga provides a residential location for Silicon Valley workers and is oriented toward upper middle income residents. In 2011 Bloomberg Business Week reported that the average household income was $237,804 with an average household net worth of $1,516,018. Redwood City is home to the world headquarters of Oracle Corporation, as well as the headquarters of the Electronic Arts Company and Provident Credit Union. It has also become an emerging center of private equity and venture capital. Singapore Economic Development Board and TIF have their offices there, as do venture firms Gabriel Venture Partners, Rustic Canyon Partners and Woodside Fund.
 
§
Cash Equity. The sponsor acquired the Saratoga Office Center property for $32.9 million in June 2006 and the WestShore Office Park property for $15.0 million in October 2007. As of loan closing, the sponsor has approximately $18.4 million of equity in the portfolio, adding back upfront reserves and immediate repairs.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
100

 
 
117 West Wall Street
Midland, TX 79701
Collateral Asset Summary Loan No. 16
Doubletree Midland
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$22,500,000
60.0%
2.55x
20.8%
 
Mortgage Loan Information
 
Property Information
Loan Seller:
Natixis
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Refinance
 
Property Type:
Full Service Hospitality
Sponsor:
Shafik A. Tejani; Noorali Karim
 
Collateral:
Fee Simple
Borrower:
Wall Street Hospitality, Ltd.
 
Location:
Midland, TX
Original Balance:
$22,500,000
 
Year Built / Renovated:
1973 / 2012-2013
Cut-off Date Balance:
$22,500,000
 
Total Rooms:
261
% by Initial UPB:
2.1%
 
Property Management:
MTP Hospitality Solutions, Inc.
Interest Rate:
5.2900%
 
Underwritten NOI:
$4,679,568
Payment Date:
5th of each month
 
Underwritten NCF:
$4,148,875
First Payment Date:
October 5, 2013
 
Appraised Value:
$37,500,000
Maturity Date:
September 5, 2023
 
Appraisal Date:
June 30, 2013
Amortization:
300 months
     
Additional Debt:
None
 
Historical NOI
Call Protection:
L(24), D(93), O(3)
 
Most Recent NOI:
$4,645,992 (T-12 June 30, 2013)
Lockbox / Cash Management(1):
Hard / Springing
 
2012 NOI:
$3,921,768 (December 31, 2012)
     
2011 NOI:
$2,356,465 (December 31, 2011)
Reserves
     
 
Initial
  Monthly     
Historical Occupancy
Taxes:
$444,087
  $37,007     
Current Occupancy:
59.9% (June 30, 2013)
Insurance:
$0
  $16,464     
2012 Occupancy:
64.9% (December 31, 2012)
FF&E(2):
$0
  1/12 of 4% of previous     
2011 Occupancy:
63.8% (December 31, 2011)
      calendar year gross     
(1)   Cash management will be triggered upon the occurrence of one of the following events: (i) an event of default or (ii) the borrower fails to maintain a DSCR of at least 1.25x on a trailing twelve month basis at the end of the calendar quarter.
(2)   FF&E monthly reserve will be $44,250 through December 5, 2013 and 1/12 of 4% of previous calendar year gross revenues thereafter.
      revenues     
       
Financial Information
 
Cut-off Date Balance / Room:
 
$86,207
   
Balloon Balance / Room:
 
$65,122
   
Cut-off Date LTV:
 
60.0%
   
Balloon LTV:
 
45.3%
   
Underwritten NOI DSCR:
 
2.88x
     
Underwritten NCF DSCR:
 
2.55x
     
Underwritten NOI Debt Yield:
 
20.8%
     
Underwritten NCF Debt Yield:
 
18.4%
     
Underwritten NOI Debt Yield at Balloon:
 
27.5%
     
Underwritten NCF Debt Yield at Balloon:
 
24.4%
     
             
TRANSACTION HIGHLIGHTS
 
§
Sponsor. Shafik A. Tejani and Noorali Karim are local sponsors that currently own and manage five hotels with 593 total rooms.  They currently have 79-room and 88-room hotels under construction.
 
§
 
Location. The property is located in downtown Midland, Texas at 117 West Wall Street, less than five miles from Interstate 20 and within 10 miles of the Midland International Airport. The central business district contains 3.3 million sq. ft. of office space and no new hotels are planned for development within the central business district. Downtown Midland is a hub of oil and gas activity for exploration and production for the entire Permian Basin and a major center for exploration technology.  In addition to the oil and gas industry, the healthcare industry is important within this region. Midland Memorial Hospital is one of the area’s major employers. Midland Memorial Hospital opened its state-of-the-art medical office building in October 2007; tenants include the Allison Cancer Center, Diagnostic Imaging Associates and a variety of physician offices. In 2007, the hospital was named among the nation’s “Top 100 Performance Improvement Leaders” by Thomson Healthcare. The most recent unemployment data for Midland MSA is 3.0%, which is among the lowest in the United States.  Unemployment rates in this area have consistently been well below the state and national averages.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
101

 
 
300 Charles Street
Baltimore, MD 21201
Collateral Asset Summary – Loan No. 17
Sheraton Baltimore Inner Harbor
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$22,477,090
45.0%
2.27x
18.4%
             
Mortgage Loan Information
 
Property Information
Loan Seller:
GACC
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Refinance
 
Property Type:
Full Service Hospitality
Sponsor:
Willard Hackerman
 
Collateral(7):
Fee Simple
Borrower:
Hotel Reversionary Interest, Inc.; BH
 
Location:
Baltimore, MD
 
Center LP, LLC; IHM Subtenant, LLC
 
Year Built / Renovated:
1985 / 2013
Original Balance:
$22,500,000
 
Total Rooms:
337
Cut-off Date Balance:
$22,477,090
 
Property Management:
Sheraton Operating Corporation
% by Initial UPB:
2.1%
 
Underwritten NOI:
$4,125,188
Interest Rate:
5.1800%
 
Underwritten NCF:
$3,357,936
Payment Date:
6th of each month
 
“As-is” Appraised Value:
$50,000,000
First Payment Date:
September 6, 2013
 
“As-is” Appraisal Date:
June 1, 2013
Maturity Date:
August 6, 2018
 
“As Stabilized” Appraised Value(8):
$54,000,000
Amortization:
360 months
 
“As Stabilized” Appraisal Date(8):
June 1, 2015
Additional Debt(1):
$62,906,555 Subordinate Loan
     
Call Protection:
L(10), YM1(46), O(4)
 
Historical NOI
Lockbox / Cash Management(2):
Soft / Springing
 
Most Recent NOI:
$3,255,615 (T-12 May 31, 2013)
     
2012 NOI:
$3,400,916 (December 31, 2012)
Reserves
 
2011 NOI:
$3,302,941 (December 31, 2011)
 
Initial
Monthly   
 
2010 NOI:
$3,172,825 (December 31, 2010)
Taxes(3):
$261,374
Springing   
     
Insurance(4):
$0
Springing   
 
Historical Occupancy
FF&E(5):
$0
Springing   
 
Current Occupancy:
61.2% (May 31, 2013)
PIP(6):
$0
Springing   
 
2012 Occupancy:
60.0% (December 31, 2012)
       
2011 Occupancy:
63.7% (December 31, 2011)
Financial Information
 
2010 Occupancy:
64.1% (December 31, 2010)
Cut-off Date Balance / Room:
 
$66,698
   
(1)   The sponsor provided an unsecured subordinate loan to BH Center LP, LLC (one of the borrowers) in the amount of $62,906,555, payable solely from excess cash flow. A subordination and standstill agreement is in place in which the sponsor agreed that all rights and remedies as a holder of the unsecured note are subject and subordinated in all respects to the lender’s loan.
(2)   Cash management will be triggered during (i) the continuance of an event of default, (ii) a Low Debt Service Period or (iii) a Management Agreement Sweep Period. A “Low Debt Service Period” will occur if the DSCR falls below 1.25x until such time that the DSCR is at least 1.30x for two consecutive quarters. A “Management Agreement Sweep Period” means the earlier to occur of (a) 12 months prior to the expiration of the existing management agreement, until it is renewed or replaced with a new management agreement with a term of at least 10 years or (b) upon borrower notification to the lender of commencement of replacement of the existing management agreement until there are sufficient funds in the PIP reserve account to complete any required capital improvements required by a renewal or replacement of the management agreement as determined by the lender.
(3)   The borrower will be required to make monthly deposits of 1/12 of annual taxes into the tax reserve during (i) a Low Debt Service Period or (ii) a Management Agreement Sweep Period. Borrower is also be required to make additional deposits into the tax reserve if the amount on deposit in the tax reserve is insufficient to cover three months of estimated taxes.
(4)   The borrower will be required to make monthly deposits of 1/12 of annual insurance premiums into the insurance reserve if an acceptable blanket insurance policy is no longer in place.
(5)   If the manager is no longer depositing the required amounts into the reserve fund and borrower is requesting disbursements from the FF&E reserve, then the borrower will be required to make monthly deposits of 3.0% of prior months gross revenues (4.0% if the existing management agreement is no longer in effect).
(6)   The borrower will be required to deposit all excess cash into a PIP reserve during a Management Agreement Sweep Period.
(7)   Consists of both a fee simple interest and two leasehold interests. The leasehold interests are subordinate to the fee interest and each leasehold borrower joined in the fee mortgage.
(8)   The “As Stabilized” LTV ratio is 41.6% based on achieving a stabilized occupancy of 65.0% and ADR of $170.00. 
Balloon Balance / Room:
 
$61,740
   
Cut-off Date LTV:
 
45.0%
   
Balloon LTV:
 
41.6%
   
Underwritten NOI DSCR:
 
2.79x
   
Underwritten NCF DSCR:
 
2.27x
   
Underwritten NOI Debt Yield:
 
18.4%
   
Underwritten NCF Debt Yield:
 
14.9%
   
Underwritten NOI Debt Yield at Balloon:
19.8%
   
Underwritten NCF Debt Yield at Balloon:
16.1%
   
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
 
TRANSACTION HIGHLIGHTS
 
§
Location. The property is located within the Inner Harbor area of Baltimore proximate to Camden Yards (home of the Baltimore Orioles), M&T Stadium (home of the Baltimore Ravens), the Inner Harbor and Downtown Baltimore. The Baltimore Convention Center, offering over 1.2 million sq. ft. of meeting and exhibition space, is located immediately north of the property. Access to the area is provided by I-395, which is located immediately west of the property. Baltimore’s Penn Station, providing rail service via Amtrak as well as bus service, is located approximately two miles from the Inner Harbor and BWI Airport is located approximately 10 miles to the southwest.
 
§
Hotel Amenities. Built in 1985 and undergoing renovations since 2010, the property offers approximately 20,000 sq. ft. of meeting space, fitness center, business center, indoor swimming pool, two restaurants (The Orioles Bar & Grille and Morton’s Steakhouse), a gift shop and Enterprise car rental. An adjacent seven-level parking garage offers 519 covered parking spaces and an adjacent parking lot provides an additional 82 surface parking spaces.
 
§
Renovations. Since 2010, approximately $5.0 million in capital expenditures have been invested at the property. Complete renovations of the guest rooms began in 2012 and are anticipated to be completed by the end of 2013.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
102

 
 
5307 Reflections Club Drive
Tampa, FL 33634
Collateral Asset Summary – Loan No. 18
Bridgeview Apartments
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$21,500,000
68.3%
1.31x
9.4%
             
Mortgage Loan Information
 
Property Information
Loan Seller:
LCF
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Acquisition
 
Property Type:
Garden Multifamily
Sponsor:
Louis J. Rogers
 
Collateral:
Fee Simple
Borrower:
CSRA Bridgeview Apartments, DST
 
Location:
Tampa, FL
Original Balance:
$21,500,000
 
Year Built / Renovated:
1986 / 2010
Cut-off Date Balance:
$21,500,000
 
Total Units:
348
% by Initial UPB:
2.0%
 
Property Management:
Capital Square Management, LLC
Interest Rate:
5.5400%
 
Underwritten NOI:
$2,013,363
Payment Date:
6th of each month
 
Underwritten NCF:
$1,926,363
First Payment Date(1):
October 6, 2013
 
Appraised Value:
$31,500,000
Maturity Date:
October 6, 2023
 
Appraisal Date:
August 2, 2013
Amortization(1):
Interest only for the first 25 months;
     
 
360 months thereafter
 
Historical NOI
Additional Debt(2):
$6,000,000 Mezzanine Loan
 
Most Recent NOI:
$1,922,452 (T-12 June 30, 2013)
Call Protection(1):
L(24), D(94), O(3)
 
2012 NOI:
$1,904,727 (December 31, 2012)
Lockbox / Cash Management(3):
Soft / In Place
 
2011 NOI:
$1,925,017 (December 31, 2011)
     
2010 NOI:
$1,716,222 (December 31, 2010)
Reserves
     
 
Initial
 
Monthly   
 
Historical Occupancy
Taxes:
$442,365
 
$31,597   
 
Current Occupancy:
92.5% (August 1, 2013)
Insurance:
$34,647
 
$17,323   
 
2012 Occupancy:
94.7% (December 31, 2012)
Replacement(4):
$261,000
 
Springing   
 
2011 Occupancy:
95.7% (December 31, 2011)
Required Repairs:
$75,000
 
NAP   
 
2010 Occupancy:
95.5% (December 31, 2010)
Shortfall Funds(5):
$0
 
Springing   
 
(1)   The First Payment Date under the mortgage loan documents will be in November 2013. LCF will remit to the depositor on the closing date a payment in an amount equal to 30 days of interest for the interest accrual period relating to the first distribution date in October 2013 at the related interest rate on the principal balance of such mortgage loan as of the cut-off date. Such amount will be deposited into the distribution account and will be included in the funds available for the first distribution date in October 2013. The First Payment Date, interest only period and Call Protection have been adjusted to reflect this additional payment being made by LCF.
(2)   The mezzanine loan is coterminous with the Bridgeview Apartments mortgage loan with a current interest rate of 12.0000% and an additional accrual of 2.0000%. The mezzanine borrower is required to pay down the mezzanine loan by no less than $3.0 million within the first nine months of the mezzanine loan term, at which time the interest rate will become 13.0000% per annum. The mezzanine loan is interest only for the entire term.
(3)   The transaction is structured with a soft lockbox and in place cash management at closing.  Until the required mezzanine loan principal paydown, the mezzanine lender will sweep all excess cash flow.  After such initial mezzanine principal paydown, excess cash flow will be treated as set forth in footnote 5 below.  After the mezzanine loan is paid off in full, the mortgage loan will have a springing soft lockbox with springing cash management.
(4)   The borrower will be required to make monthly payments of $7,250 into the replacement reserve starting on the earlier of the payment date in November 2016 (year four of the loan term) or when the replacement reserve balance drops below $225,000.
(5)   After the occurrence of the required mezzanine principal pay down, all excess cash flow will be swept into the Shortfall Funds reserve where it will be applied to either capital expenditures and/or to the required monthly payments if there are insufficient funds in the cash management account to make the required monthly payments. If there is no event of default and once the mezzanine loan has been paid in full, the Shortfall Funds remaining will be returned to the borrower.
(6)   The total debt balloon balance calculations are net of the $3.0 million required pay down of the mezzanine loan.
(7)   Based on amortizing debt service payments. Based on current interest only payments, the Underwritten NOI DSCR and Underwritten NCF DSCR are 1.67x and 1.60x, respectively, for the mortgage loan and 1.26x and 1.20x, respectively, for the total debt. Total debt DSCRs are shown based on a $3.0 million mezzanine loan and a 13.0000% mezzanine loan interest rate.
         
Financial Information
 
  Mortgage Loan
Total Debt   
 
Cut-off Date Balance / Unit:
 
$61,782
$79,023   
 
Balloon Balance / Unit(6):
 
$54,175
$62,795   
 
Cut-off Date LTV:
 
68.3%
87.3%   
 
Balloon LTV(6):
 
59.9%
69.4%   
 
Underwritten NOI DSCR(7):
 
1.37x
1.08x   
 
Underwritten NCF DSCR(7):
 
1.31x
1.03x   
 
Underwritten NOI Debt Yield:
 
9.4%
7.3%   
 
Underwritten NCF Debt Yield:
 
9.0%
7.0%   
 
Underwritten NOI Debt Yield at Balloon(6):
10.7%
9.2%   
 
Underwritten NCF Debt Yield at Balloon(6):
10.2%
8.8%   
 
     
   
 
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
 
TRANSACTION HIGHLIGHTS
 
§
Location. The property is located 0.7 miles west of the Tampa International Airport and six miles northwest of the WestShore Business District in downtown Tampa. Interstate 275 is located approximately three miles southwest of the property.
 
§
Cost Basis. After closing, the borrower has approximately $5.0 million of cash equity in the property.
 
§
Mezzannine Loan. Terra Secured Income Fund, LLC, a wholly owned subsidiary of Terra Capital Partners, originated a mezzanine loan in the amount of $6.0 million. The mezzanine loan is subject to an intercreditor agreement.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
103

 
 
12300 Fleming Drive
Houston, TX 77013
Collateral Asset Summary – Loan No. 19
Falls of Birchbrook
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$16,800,000
75.0%
1.59x
11.6%
 
Mortgage Loan Information
 
Property Information
Loan Seller:
GACC
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Refinance
 
Property Type:
Garden Multifamily
Sponsor:
Rao J. Polavarapu
 
Collateral:
Fee Simple
Borrower:
Falls of Birchbrook Apartments, Ltd.
 
Location:
Houston, TX
Original Balance:
$16,800,000
 
Year Built / Renovated:
1973 / 2011
Cut-off Date Balance:
$16,800,000
 
Total Units:
455
% by Initial UPB:
1.6%
 
Property Management:
NMJ, Inc.
Interest Rate:
5.4900%
 
Underwritten NOI:
$1,944,162
Payment Date:
6th of each month
 
Underwritten NCF:
$1,817,217
First Payment Date:
October 6, 2013
 
Appraised Value:
$22,400,000
Maturity Date:
September 6, 2023
 
Appraisal Date:
July 5, 2013
Amortization:
360 months
     
Additional Debt:
None
 
Historical NOI(2)
Call Protection:
L(24), D(92), O(4)
 
Most Recent NOI:
$2,024,849 (T-5 May 31, 2013 Ann.)
Lockbox / Cash Management(1):
Soft / Springing
 
2012 NOI:
$1,850,725 (December 31, 2012)
     
2011 NOI:
$1,384,199 (December 31, 2011)
Reserves
 
2010 NOI:
$837,830 (December 31, 2010)
 
Initial
 
Monthly
     
Taxes:
$115,493
 
$14,437
 
Historical Occupancy(2)
Insurance:
$107,465
 
$9,850
 
Current Occupancy:
96.7% (July 5, 2013)
Replacement:
$0
 
$10,576
 
2012 Occupancy:
94.9% (December 31, 2012)
Required Repairs:
$11,813
 
NAP
 
2011 Occupancy:
89.7% (December 31, 2011)
         
2010 Occupancy:
81.3% (December 31, 2010)
Financial Information
 
(1)   Cash management will be triggered (i) during the continuance of an event of default or (ii) if the DSCR falls below 1.25x until such time that the DSCR is at least 1.30x for two consecutive calendar quarters.
(2)   Between 2009 and 2010, the property was substantially renovated. Average monthly rents have increased from $449 per occupied unit in 2010 to $690 per occupied unit as of July 31, 2013.
Cut-off Date Balance / Unit:
$36,923
   
Balloon Balance / Unit:
$30,829
   
Cut-off Date LTV:
75.0%
   
Balloon LTV:
62.6%
   
Underwritten NOI DSCR:
1.70x
   
Underwritten NCF DSCR:
1.59x
   
Underwritten NOI Debt Yield:
11.6%
   
Underwritten NCF Debt Yield:
10.8%
   
Underwritten NOI Debt Yield at Balloon:
13.9%
   
Underwritten NCF Debt Yield at Balloon:
13.0%
   
 
TRANSACTION HIGHLIGHTS
 
§  
Amenities and Improvements. The property includes a swimming pool, clubhouse, business center, fitness center, laundry facilities and 24-hour security via video surveillance and a security guard. Since acquiring the property in 2003, the sponsor has invested approximately $5.3 million in capital expenditures, including new roofs, siding and interior upgrades.
 
§  
Houston Location. The property is located approximately 15 miles southeast of Houston’s central business district within the Houston-Sugar Land-Baytown metropolitan statistical area (“MSA”), the sixth largest MSA in the United States with a population of approximately 6.3 million. The property benefits from access to Interstate 10, Texas Beltway 8, the Crosby Freeway (State Highway 90) and the East Loop Freeway (Interstate 610). Major employers in the Houston area include BP, Shell and Chevron Phillips, among others. As of May 2013, unemployment in the Houston-Sugar Land-Baytown MSA was 6.4%, lower than both the Texas and overall United States rates of 6.5% and 7.3%, respectively.
 
§  
Experienced Sponsorship. Rao J. Polavarapu has over 30 years of commercial real estate experience. In 1997, Mr. Polavarapu started Falls Apartment Group, which now includes 11 apartment projects in Houston totaling 3,531 units. Since 1999, Mr. Polavarapu has successfully directed over $10.3 million in apartment renovations. He also owns 100% of NMJ, Inc., the manager of the property.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
104

 
 
314 Barnett Shoals Road
Athens, GA 30605
Collateral Asset Summary – Loan No. 20
Aspen Heights Apartments
Cut-off Date Balance:
Cut-off Date LTV:
U/W NCF DSCR:
U/W NOI Debt Yield:
$16,650,000
69.4%
1.47x
9.2%
 
Mortgage Loan Information
 
Property Information
Loan Seller:
LCF
 
Single Asset / Portfolio:
Single Asset
Loan Purpose:
Acquisition
 
Property Type:
Student Housing Multifamily
Sponsor:
Vesper Holdings, LLC
 
Collateral:
Fee Simple
Borrower:
Vesper Athens LLC
 
Location:
Athens, GA
Original Balance:
$16,650,000
 
Year Built / Renovated:
2012 / NAP
Cut-off Date Balance:
$16,650,000
 
Total Units:
372
% by Initial UPB:
1.5%
 
Property Management:
Campus Apartments Management,
Interest Rate:
4.5600%
   
LLC
Payment Date:
6th of each month
 
Underwritten NOI:
$1,536,783
First Payment Date:
September 6, 2013
 
Underwritten NCF:
$1,494,241
Maturity Date:
August 6, 2023
 
Appraised Value:
$24,000,000
Amortization:
Interest only for first 60 months; 360
 
Appraisal Date:
May 15, 2013
 
months thereafter
     
Additional Debt(1):
Future Mezzanine Debt Permitted
 
Historical NOI(4)
Call Protection:
L(25), D(91), O(4)
 
Most Recent NOI:
$1,394,680 (T-9 April 30, 2013 Ann.)
Lockbox / Cash Management(2):
Soft / Springing
 
2012 NOI:
NAV
         
2011 NOI:
NAP
Reserves
 
2010 NOI:
NAP
 
Initial
 
Monthly
     
Taxes:
$188,124
 
$17,102
 
Historical Occupancy(4)
Insurance:
$54,827
 
$4,984
 
Current Occupancy:
99.7% (August 31, 2013)
Replacement:
$0
 
$2,646
 
2012 Occupancy:
NAV
Required Repairs:
$29,150
 
NAP
 
2011 Occupancy:
NAP
         
2010 Occupancy:
NAP
Financial Information
 
(1)   Future mezzanine debt is permitted in connection with a sale of the property and assignment and assumption of the loan, provided, among other things, (i) the combined LTV is not greater than 72.0% (or 75.0% when the mezzanine borrower is the sole member of a third party permitted transferee), (ii) the combined DSCR is not less than 1.29x and (iii) the combined balance of the mortgage loan and the new mezzanine loan does not exceed $20.5 million.
(2)   Cash management will be triggered upon an event of default or if the DSCR is less than 1.20x.
(3)   Based on amortizing debt service payments. Based on the current interest only payments, the Underwritten NOI DSCR and Underwritten NCF DSCR are 2.00x and 1.94x, respectively.
(4)   The Historical NOI and Historical Occupancy information is limited as the property first opened for the 2012-2013 academic year.
Cut-off Date Balance / Unit:
$44,758
   
Balloon Balance / Unit:
$40,997
   
Cut-off Date LTV:
69.4%
   
Balloon LTV:
63.5%
   
Underwritten NOI DSCR(3):
1.51x
   
Underwritten NCF DSCR(3):
1.47x
   
Underwritten NOI Debt Yield:
9.2%
   
Underwritten NCF Debt Yield:
9.0%
   
Underwritten NOI Debt Yield at Balloon:
10.1%
   
Underwritten NCF Debt Yield at Balloon:
9.8%
   
 
TRANSACTION HIGHLIGHTS
 
§  
New Construction / Class A Property. The property is a 372-bed, cottage style student housing property completed in 2012. The Class-A property features community amenities including a pool and spa, tanning salon, fitness center and a game room. The unit amenities include balconies/patios, full kitchens and in-unit washer/dryers.
 
§  
Strong Leasing. The property opened for the 2012-2013 academic year and exhibited a 82.3% physical occupancy in its first nine months. The property is 99.7% leased for the 2013-2014 academic year.
 
§  
Experienced Sponsorship and Management. Vesper Holdings, LLC owns a diverse portfolio comprised of retail, parking, office and multifamily properties. Vesper Holdings, LLC’s portfolio includes 11 student housing / multifamily properties located in Michigan, Kansas, Oklahoma, Georgia and Texas. Campus Apartments Management, LLC is one of the nation’s largest developers, owners and managers of student housing with more than 32,000 beds in 24 states serving over 70 colleges and universities across the United States.
 
The depositor has filed a registration statement (including the prospectus) with the SEC (SEC File No. 333-184376) for the offering to which this communication relates.  Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing trust and this offering.  You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov.  Alternatively, the depositor or Deutsche Bank Securities Inc., any other underwriter, or any dealer participating in this offering will arrange to send you the prospectus if you request it by calling toll-free 1-800-503-4611 or by email to the following address: prospectus.cpdg@db.com.  The offered certificates referred to in these materials, and the asset pool backing them, are subject to modification or revision (including the possibility that one or more classes of certificates may be split, combined or eliminated at any time prior to issuance or availability of a final prospectus) and are offered on a “when, as and if issued” basis.  You understand that, when you are considering the purchase of these certificates, a contract of sale will come into being no sooner than the date on which the relevant class has been priced and we have verified the allocation of certificates to be made to you; any “indications of interest” expressed by you, and any “soft circles” generated by us, will not create binding contractual obligations for you or us.
 
 
105

 
 
STATEMENT REGARDING ASSUMPTIONS AS TO
SECURITIES, PRICING ESTIMATES AND OTHER INFORMATION

This material is for your information, and none of Deutsche Bank Securities Inc., Natixis Securities Americas LLC and Wells Fargo Securities, LLC or any other underwriter (the “Underwriters”) are soliciting any action based upon it.  This material 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.

Neither this document nor anything contained herein shall form the basis for any contract or commitment whatsoever. The information contained herein is preliminary as of the date hereof. These materials are subject to change, completion or amendment from time to time.  The information contained herein will be superseded by similar information delivered to you as part of the offering document relating to the Commercial Mortgage Pass-Through Certificates, Series COMM 2013-LC13 (the Offering Document).  The Information supersedes any such information previously delivered.  The Information should be reviewed only in conjunction with the entire Offering Document. All of the information contained herein is subject to the same limitations and qualifications contained in the Offering Document.  The information contained herein does not contain all relevant information relating to the underlying mortgage loans or mortgaged properties. Such information is described elsewhere in the Offering Document.  The information contained herein will be more fully described elsewhere in the Offering Document.  The information contained herein should not be viewed as projections, forecasts, predictions or opinions with respect to value.  Prior to making any investment decision, prospective investors are strongly urged to read the Offering Document its entirety.   Neither the Securities and Exchange Commission nor any state securities commission has approved or disapproved of these securities or determined if this free writing prospectus is truthful or complete. Any representation to the contrary is a criminal offense.

The attached information contains certain tables and other statistical analyses (the “Computational Materials”) which have been prepared in reliance upon information furnished by the Mortgage Loan Sellers.  Numerous assumptions were used in preparing the Computational Materials, which may or may not be reflected herein.  As such, no assurance can be given as to the Computational Materials’ accuracy, appropriateness or completeness in any particular context; or as to whether the Computational Materials and/or the assumptions upon which they are based reflect present market conditions or future market performance.  The Computational Materials should not be construed as either projections or predictions or as legal, tax, financial or accounting advice. You should consult your own counsel, accountant and other advisors as to the legal, tax, business, financial and related aspects of a purchase of these securities.  Any weighted average lives, yields and principal payment periods shown in the Computational Materials are based on prepayment and/or loss assumptions, and changes in such prepayment and/or loss assumptions may dramatically affect such weighted average lives, yields and principal payment periods.  In addition, it is possible that prepayments or losses on the underlying assets will occur at rates higher or lower than the rates shown in the attached Computational Materials.  The specific characteristics of the securities may differ from those shown in the Computational Materials due to differences between the final underlying assets and the preliminary underlying assets used in preparing the Computational Materials.  The principal amount and designation of any security described in the Computational Materials are subject to change prior to issuance. None of Underwriters or any of their respective affiliates makes any representation or warranty as to the actual rate or timing of payments or losses on any of the underlying assets or the payments or yield on the securities.

This document contains forward-looking statements. Those statements are subject to certain risks and uncertainties that could cause the success of collections and the actual cash flow generated to differ materially from the information set forth herein. While such information reflects projections prepared in good faith based upon methods and data that are believed to be reasonable and accurate as of the dates thereof, the issuer undertakes no obligation to revise these forward-looking statements to reflect subsequent events or circumstances. Individuals should not place undue reliance on forward-looking statements and are advised to make their own independent analysis and determination with respect to the forecasted periods, which reflect the issuer’s view only as of the date hereof.

IRS CIRCULAR 230 NOTICE: THIS TERM SHEET IS NOT INTENDED OR WRITTEN TO BE USED, AND CANNOT BE USED, FOR THE PURPOSE OF AVOIDING U.S. FEDERAL, STATE OR LOCAL TAX PENALTIES. THIS TERM SHEET IS WRITTEN AND PROVIDED IN CONNECTION WITH THE PROMOTION OR MARKETING BY THE DEPOSITOR AND THE UNDERWRITERS OF THE TRANSACTION OR MATTERS ADDRESSED HEREIN.   INVESTORS SHOULD SEEK ADVICE BASED ON THEIR PARTICULAR CIRCUMSTANCES FROM AN INDEPENDENT TAX ADVISOR.

IMPORTANT NOTICE RELATING TO AUTOMATICALLY GENERATED EMAIL DISCLAIMERS
 
 Any legends, disclaimers or other notices that may appear at the bottom of the email communication to which this free writing prospectus is attached relating to (1) these materials not constituting an offer (or a solicitation of an offer), (2) no representation being made that these materials are accurate or complete and may not be updated or (3) these materials possibly being confidential, are not applicable to these materials and should be disregarded.  Such legends, disclaimers or other notices have been automatically generated as a result of these materials having been sent via Bloomberg or another system.
 
 
 

 
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