0001136999-11-000180.txt : 20110831 0001136999-11-000180.hdr.sgml : 20110831 20110831154206 ACCESSION NUMBER: 0001136999-11-000180 CONFORMED SUBMISSION TYPE: 8-K/A PUBLIC DOCUMENT COUNT: 29 CONFORMED PERIOD OF REPORT: 20040816 ITEM INFORMATION: Other Events ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20110831 DATE AS OF CHANGE: 20110831 FILER: COMPANY DATA: COMPANY CONFORMED NAME: MS STRUCTURED SATURNS SERIES 2004-6 CENTRAL INDEX KEY: 0001286865 STANDARD INDUSTRIAL CLASSIFICATION: ASSET-BACKED SECURITIES [6189] IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: 8-K/A SEC ACT: 1934 Act SEC FILE NUMBER: 001-32155 FILM NUMBER: 111068517 BUSINESS ADDRESS: STREET 1: 1585 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10036 BUSINESS PHONE: 2029741694 MAIL ADDRESS: STREET 1: 1585 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10036 FORMER COMPANY: FORMER CONFORMED NAME: MS STRUCTURED ASSET CORP SATURNS TRUST NUMBER 2004-6 DATE OF NAME CHANGE: 20040413 8-K/A 1 sat00406_form8ka.htm SATURNS 2004-6 FORM 18-K/A sat00406_form8ka.htm


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 
FORM 8-K/A
 
CURRENT REPORT
Pursuant to Section 13 OR 15(d) of The Securities Exchange Act of 1934
 
 
Date of Report (Date of earliest event reported): August 16, 2004
 

MS Structured Asset Corp. (Issuer in Respect of SATURNS Trust No. 2004-6)
(Exact name of registrant as specified in its charter)
 
 
 Delaware
001-32155
13-4026700 
(State or other jurisdiction of incorporation)
(Commission File Number)
(IRS Employer Identification No.)
 
 
Attention: In-Young Chase, 1585 Broadway, 2nd Floor,  New York, New York 10036
(Address of principal executive offices, including Zip Code)
 
 
Registrant's telephone number, including area code: (212) 761-2457
 
 
N/A
(Former name or former address, if changed since last report.)
 
 
Check the appropriate box below if the Form 8-K/A filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instruction A.2. below):
 
[ ] Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
[ ] Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
[ ] Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
[ ] Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
 
 
Section 8 - Other Events
 
Item 8.01. Other Events.
This amendment on Form 8-K/A amends and supersedes Exhibit 99.1 to each of the following:
 
Form 8-K previously filed on 8/19/2004(accession no. 0001136999-04-000364), which was revised on August 29, 2011 and attached hereto.
 
Form 8-K previously filed on 2/18/2005(accession no. 0001136999-05-000085), which was revised on August 29, 2011 and attached hereto.
 
Form 8-K previously filed on 8/18/2005(accession no. 0001136999-05-000382), which was revised on August 29, 2011 and attached hereto.
 
Form 8-K previously filed on 2/21/2006(accession no. 0001136999-06-000272), which was revised on August 29, 2011 and attached hereto.
 
Form 8-K previously filed on 8/17/2006(accession no. 0001136999-06-000935), which was revised on August 29, 2011 and attached hereto.
 
Form 8-K previously filed on 2/21/2007(accession no. 0001136999-07-000402), which was revised on August 29, 2011 and attached hereto.
 
Form 8-K previously filed on 8/20/2007(accession no. 0001136999-07-001195), which was revised on August 29, 2011 and attached hereto.
 
Form 8-K previously filed on 2/27/2008(accession no. 0001136999-08-000249), which was revised on August 29, 2011 and attached hereto.
 
Form 8-K previously filed on 8/19/2008(accession no. 0001136999-08-000643), which was revised on August 29, 2011 and attached hereto.
 
Form 8-K previously filed on 2/19/2009(accession no. 0001136999-09-000049), which was revised on August 29, 2011 and attached hereto.
 
Form 8-K previously filed on 8/19/2009(accession no. 0001136999-09-000139), which was revised on August 29, 2011and attached hereto.
 
Form 8-K previously filed on 3/1/2010(accession no. 0001136999-10-000032), which was revised on August 29, 2011 and attached hereto.
 
Form 8-K previously filed on 8/19/2010(accession no. 0001136999-10-000110), which was revised on August 29, 2011 and attached hereto.
 
Form 8-K previously filed on 2/22/2011(accession no. 0001136999-11-000059), which was revised on August 29, 2011 and attached hereto.
 
This amendment provides updated distribution information for the periods covered by the above referenced reports.
 
Section 9 - Financial Statements and Exhibits
 
Item 9.01 Financial Statements and Exhibits.
(c) Exhibits
 
(Exhibit No. Description)
99.1 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on August 16, 2004.
99.2 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on February 15, 2005.
99.3 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on August 15, 2005.
99.4 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on February 15, 2006.
99.5 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on August 15, 2006.
99.6 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on February 15, 2007.
99.7 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on August 15, 2007
99.8 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on February 15, 2008.
99.9 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on August 15, 2008.
99.10 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on February 17, 2009.
99.11 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on August 17, 2009.
99.12 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on February 16, 2010.
99.13 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on August 16, 2010.
99.14 Revised semi-annual distribution report pursuant to the Trust Agreement for the distribution on February 15, 2011.
 

 

 
SIGNATURES
    Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
 
 
    Bank of America, National Association as successor by merger to LaSalle Bank National Association, in its capacity as Trustee Under the Trust Agreement on behalf of MS Structured Asset Corp., Registrant 
     
Date:     August 31, 2011                 
By:
  /s/Jay R. Miller                                                                       
     Name: Jay R. Miller
     Title: Vice President
 
 

EX-99.1 2 sat00406_200408ex991.htm SATURNS 2004-6 REVISED DISTRIBUTION REPORT - AUGUST 2004 head>Unassociated Document
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-04
N/A
15-Feb-05
11-Aug-04
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_200408_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:29 (Q355-Q357) (c) 2004 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
16-Aug-04
N/A
15-Feb-05
11-Aug-04
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
370
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
20.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
1,600,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
24.784887767
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
88,333.34
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
1,688,333.34
Total
80,000,000.00
0.00
0.00
1,688,333.34
29-Aug-2011 - 15:29 (Q355-Q357) (c) 2004 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-04
N/A
15-Feb-05
11-Aug-04
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
1,688,333.34
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
1,688,333.34
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
1,688,333.34
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
1,688,333.34
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
1,688,333.34
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
1,688,333.34
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:29 (Q355-Q357) (c) 2004 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-04
N/A
15-Feb-05
11-Aug-04
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
1,600,000.00
1,600,000.00
1,600,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
120
0.00
0.00
0.00
0.00
0.00
B UNIT
88,333.34
88,333.34
88,333.34
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
120
0.00
0.00
0.00
0.00
0.00
1,688,333.34
1,688,333.34
1,688,333.34
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:29 (Q355-Q357) (c) 2004 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-04
N/A
15-Feb-05
11-Aug-04
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A1/A-/A
$80,000,000.00
6.345%
6.345%
$1,692,000
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:29 (Q355-Q357) (c) 2004 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-04
N/A
15-Feb-05
11-Aug-04
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:29 (Q355-Q357) (c) 2004 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-04
N/A
15-Feb-05
11-Aug-04
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A1
4/30/04
A-
4/15/04
B UNIT
804111AA0
NR
A1
A-
A1
4/30/04
A-
4/15/04
Page 7 of 9
29-Aug-2011 - 15:29 (Q355-Q357) (c) 2004 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-04
N/A
15-Feb-05
11-Aug-04
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:29 (Q355-Q357) (c) 2004 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-04
N/A
15-Feb-05
11-Aug-04
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:29 (Q355-Q357) (c) 2004 Bank of America Corporation
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Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-05
16-Aug-04
15-Aug-05
10-Feb-05
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_200502_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:35 (Q355-Q357) (c) 2005 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
15-Feb-05
16-Aug-04
15-Aug-05
10-Feb-05
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
364
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:35 (Q355-Q357) (c) 2005 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-05
16-Aug-04
15-Aug-05
10-Feb-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:35 (Q355-Q357) (c) 2005 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-05
16-Aug-04
15-Aug-05
10-Feb-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:35 (Q355-Q357) (c) 2005 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-05
16-Aug-04
15-Aug-05
10-Feb-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A1/A-/A
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:35 (Q355-Q357) (c) 2005 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-05
16-Aug-04
15-Aug-05
10-Feb-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:35 (Q355-Q357) (c) 2005 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-05
16-Aug-04
15-Aug-05
10-Feb-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A1
4/30/04
A-
4/15/04
B UNIT
804111AA0
NR
A1
A-
A1
4/30/04
A-
4/15/04
Page 7 of 9
29-Aug-2011 - 15:35 (Q355-Q357) (c) 2005 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-05
16-Aug-04
15-Aug-05
10-Feb-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:35 (Q355-Q357) (c) 2005 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-05
16-Aug-04
15-Aug-05
10-Feb-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:35 (Q355-Q357) (c) 2005 Bank of America Corporation
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Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-05
15-Feb-05
15-Feb-06
10-Aug-05
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_200508_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2005 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
15-Aug-05
15-Feb-05
15-Feb-06
10-Aug-05
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
357
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2005 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-05
15-Feb-05
15-Feb-06
10-Aug-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2005 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-05
15-Feb-05
15-Feb-06
10-Aug-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2005 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-05
15-Feb-05
15-Feb-06
10-Aug-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A1/A-/A+
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2005 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-05
15-Feb-05
15-Feb-06
10-Aug-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2005 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-05
15-Feb-05
15-Feb-06
10-Aug-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A1
4/30/04
A-
4/15/04
B UNIT
804111AA0
NR
A1
A-
A1
4/30/04
A-
4/15/04
Page 7 of 9
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2005 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-05
15-Feb-05
15-Feb-06
10-Aug-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2005 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-05
15-Feb-05
15-Feb-06
10-Aug-05
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2005 Bank of America Corporation
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Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-06
15-Aug-05
15-Aug-06
10-Feb-06
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_200602_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2006 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
15-Feb-06
15-Aug-05
15-Aug-06
10-Feb-06
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
351
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2006 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-06
15-Aug-05
15-Aug-06
10-Feb-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2006 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-06
15-Aug-05
15-Aug-06
10-Feb-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2006 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-06
15-Aug-05
15-Aug-06
10-Feb-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A1/A-/A+
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2006 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-06
15-Aug-05
15-Aug-06
10-Feb-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2006 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-06
15-Aug-05
15-Aug-06
10-Feb-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A1
4/30/04
A-
4/15/04
B UNIT
804111AA0
NR
A1
A-
A1
4/30/04
A-
4/15/04
Page 7 of 9
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2006 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-06
15-Aug-05
15-Aug-06
10-Feb-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2006 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-06
15-Aug-05
15-Aug-06
10-Feb-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:37 (Q355-Q357) (c) 2006 Bank of America Corporation
EX-99.4 9 sat00406_200602ex994.pdf SATURNS 2004-6 REVISED DISTRIBUTION REPORT - FEBRUARY 2006 begin 644 sat00406_200602ex994.pdf M)5!$1BTQ+C0-"B6FZ<_$#0HQ(#`@;V)J#0H\/`T*+T-R96%T;W(@/$9%1D8P M,#4S,#`T,3`P-30P,#,P,#`S,#`P,S0P,#,P,#`S-C`P-48P,#,R,#`S,#`P M,S`P,#,V,#`S,#`P,S(P,#5&,#`S,3`P,D4P,#)S=&EEOV\CY MW8#^`Y^Z(K!B."?)/-5QFFT6FVTV<;%`ZV*A^)"#Z,C:[AIRA:%M4 M6A0H#(CF'-\UWSW\?7*DLQ\G1ZK,WDR.R@S_WOT`_Q6-S[Y.CM8P;VRA=&9- M5:@F,ZXLE,\:'+JYG!S]FJV35=871F6KR9&K;:'K,+"<'+V?'/TR.?I=$`ZB MD<5X4K`='MFS'QXA5O8$EH;PR))5?\\A>$AF`RREJU9] M6>Z'RE=%66>J`20J\[4JS,`A\2)=UH4VB*BR=6%M&-@/464:W--4N*7)%*"+ M4:0@.QR\?@POO".P,H2$5ZS2#>-1D)CZ?,0+5CW)[8=">5,8G=6N<$UF*U`G MNWLBLJBQ147:[,'*G)?W/5G1-6ZQ96'09IQ%>26LQ#`['+QA%"^\)?`RA(17 MK'H[#D!"DMKE)5FSZLEO7WD5WI([\U6F?(V(=BV%%X$%5@V;9%E4/@SL:?U: MX1[3E$5=X M86@(C:Q8];<<@H;/9X>A=-&J+\AQ@<:@6R/_7A65#@.C++U11>/8(U'TNPM`[D, MVV<:<@8_/OF8SX!+@(6L+'CF%@DV0.@9LVVGQZ>`Q`#>F8;A=S\C/3[(Y"S/_W'Z MX^1/I_M+V)1`*KABREM8P#\P[`V3L"2F+HC$%3+D`MEK)`Y"-6!'DE,&KVD, MZ0<#<-.3>>YA]#.O"8+"WWE`(U)[/7X+XY?C$_RL$7)X[<&@@.^1;`C;TQ<$ M!W=4="($M-64T8*L&@R1SH!;;#4UHBLA1<;:X]6,O`P/%+;EEYD?3XHFH[6^ M:4GI=)&`;@C#35!FW2JO:/(B&,I;E)D'B>/ZAW7W$H\"U[/-R-P'FENRV"^# MV$6OKO`==?=DP\?`BK\-JRL:BDS]]G$YZ*PJZE@*'D(8^#)G-8J'Q?`6(&DD M#P'>`XX*==H#59<\MJ:Q+=-:3E^BA,JP80O,J;#R^8'D0+2&1TS.#?)OX0`0 M^H8(N$%Y*B#K,8*5"2+R0EJ?)G3H@E91K@MF#K*HD]"Q+^&JZ5S$SRP7$<4_ M4Z'U:";Z5GDM:A()>8CD?:DI*TQZ1+ESUYW@.3]:.:)HT>\[5/^7N1)7]>1Y M8NS6:$#.@3(@ULP5;?0AJ8@OT&RH:$QL=14JKV#>>)):Q-SK/\ MUO-TY#]M55-UJ-`)5$EMT",-JGI4]X@V@(#%8PT'&F@[SA';Q2I7Z/HE]GPD MZC@G:],[3'KF6YK9Y'!R)@R.]1Q"!62X;3B`:(4'=R"[X)3FVF#< MWVJLN_96C`"AZA2#_=XUX>PQ;4&P@?1D08]Q].9_1,DTH$;1,G;MGW@9^^`K M5GU9D`2"&U(]QBU^6Y:QC!)?OCH@4CCVOI4>BA1?F,J8=9G!>&%`W[\I_N]8 M@4/%0[\8S@'<-VN9FOZ*T;Q$T6N+,GD#DJ$\BI-1TON/D@:1]F_6O%5+EAGL MQ1$7!.PR+H>^#Y!Y^1W;VC9DHUHCNZHNRP/9BK.#$SQQ`_H3D2VYXYQ)6VR$ MG@KR?23Y)Y0X1FA?>M^/=_O24(+,A`2ICYC9XP&[4E17PB$W;%>^SK#U&7E< M&44,,(.KVSV5RLZAL'WV>J6REYL]]1%=10V.%))S6[<5`I^"ZC0_4;('TZ;; MD'!O)6L4A3W!]+D.R:&D/[R&]?PJ3C;/>=D09C;^#9O(DF8N:*@U78(S-BD/ M0L!TM&[5Q7%1J5L[O`X)V\.I'4OC/'9?RXC/A*>06A,SZR`K%G[BTB2WGB?B MNS^0Q[+J$I@7N90^3`&2WB:EK\D+)HE\>GZ7L6C:-/M=YY+&-&\R\>ZLOX)XP[1HA@"VI]IU2#ES'- M\]1F#B,:H=LN$BF*1-3J:<03]-.E4)[2VC@C.1_0)I[O95)CDV%2[208)77[ MHM5P"R4%)+6'P8_]_&/PS8'P8Q_[&/Q^:KTG_,2Q/0:_7VSN"S_V,(_!?Z() M^"#\V-0?@U\="+\US\>`UP<"C\WH,?C-Z'Q1M,?4\>E*9PC3U`6GKI)!GTUS MSG4H\]YILN_=WDC;MPC+Z\O,*UK]BDO!_$IU?5%WQ"?E,6+#G!G MQ5!Q3R]+>L$K$8]W+B^1)K("#T3QRGD@[55>47":*0]/WGDYT'%F0DJ0M\H4 M=2P\1L6'.Q8/L,*ZW#:/XW^I7> M%#=4_L9HN.)X.U;%7&,Q6XAU^H1T6HDVB**)9G^D,=&ZQ6,JMN\Y/D20"B'T M%6F\$]0WJ<%M.4\WP'C%31U$>L_TI1K5FHKL^&\07=*'`2&Y93$.(:!+:TO- MVY@Y(5%V+#O>>%'+71/*VEWF$,SSB,78PK9BY@>:F&\<]H/0Q/P>K?+/<261 M-*3')FX!,3N>!+$?TZ,?C]=R0AHYK7"A$@'O->"C&;,/VH&([^F>0#55?,M) M[6P)\AR#=^^=:U(TKN-`!VI0!O)[31NOVX@JXQ(8Y^M01E%O_GP7S69LM6=L M@])3M6UOK-/B['/<4>;*B*N@;=S:X7XRJK0O8<4;5&75E5[P#X3TL(<72_M' M.F$\MTX M1/*5%R3WR4E3KY,/T?D&O9I."5V$NY!PN\Q<#S0JN79=QO#OP_*DI@3LUS*K^B%=*GN=SO;UP-W%YX^"0:.&BFYX3Q66G4U_H<+:Y+QH%CUF`U,5/\[R`/X,U)2-Q0G- M)2]ALGQ`](+SX#E/KFGR$V]$0ZRYLZL]?K5US&M7N2;7YNC>G;/ZF6;U5$'G M#6:(6`E49-8UI7*&TCK"M.$'C\UI?LM0!-@F4!0=V;\!2[8B$`T*96YD<:5+'5IJ'N@^, M)BS[)GOQUL9&U,P48[4S<6=*$W4J%&FXRT][7SR6B-2@V' M-`HE7A(IY(;Y,2]EKU11S!BHVUH5/19 M]BR9LY'(1D[?E>X`T_Y[:KF[88HP5]8!25UK\F#G9-9PVS48A8L-&HP)I.Q& M@VZBIR2B&PTMT3>3LXO]7FN,JX4!3KZ6S51)6]N!=9YZ@:/V5'"1VR$+Q*I, MRV8J]<;R**@N!PQS`)M6(QJ3-!KDPUV6_3''\"&3;6I4=EKV+7D8)R4I8G4A M,#6,"4]6V-KEL3HUP`H0.Q=0&>-\?[7#ZMH?5C9I-`'99C2XX<"D$7A59D2V M+=.]1-"*IB`R1A+7$V1KN#@D<1019XP4<2X[,5+#&#E:ATB"E%1'^6HG26H8 M(TGFWZ8@`E3EH0Y?,LZ(V*8V>J1A6R*I`29)VH+(Q>6D"_M?/S%3AV0N7T\D MMFJ]Y`/?A82L2*U0WL[G7`CA4 MSV;SIG9`'$*H@%YS"-LBCGF58ECU%.;/M\K=SRRT1>VC8O$I M4@&>3@/<43"2&IA@;R!]M0.1`XQ3C;*M\HM(+W[-:?SE#/1IJC=1FBC`^B&9 M_LU^-PLZ]PBE'&8W@U8QT26>S"1Y+A&58')+\H/%?+4&$\(7**",!4G>\_,U M]6E;_P(_K`%Y);\6,_Z,#W.C!2`38#1'I18T^%5DUS+:S<=I\,B,3\$@/FAA M('>/U(?9<-=#%2J-3@B!HZY2&-H`YKDI!8@61>R=F)9",3'17H.*)#W(,OOU M&##82-^Q&)S]7R!S1B44,+8YV6E,3`WUMI6`[J*N8:T-T"Z@)-JM:(95NR*XZ2+%#!`LG`R-\Q\UE#64(R[ M.FU:`=ZK8EK%*=/:XPK+3N!N1<97"SVU4"VU$_8BHOB8VS$@DRD0XWA@SF]B M4^QP36\PE""EZOPC-NOJ8_Z6(B-D-X#VL5B*M$W7L^WS,P>CO.IJWSVG-"$B MV?>HOB/<$E)H^RUON^&'7LV#31\9L%C`":@TY%@230)WB+\MGQ_IZ04KO($D M#K`PN)/%<&(P5+.1OR.::Y:#B[,K?E@BRK%1]A4&Y]!Q+[1\PVVHA<&0_7B! 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Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-06
15-Feb-06
15-Feb-07
10-Aug-06
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_200608_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:38 (Q355-Q357) (c) 2006 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
15-Aug-06
15-Feb-06
15-Feb-07
10-Aug-06
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
345
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:38 (Q355-Q357) (c) 2006 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-06
15-Feb-06
15-Feb-07
10-Aug-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:38 (Q355-Q357) (c) 2006 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-06
15-Feb-06
15-Feb-07
10-Aug-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:38 (Q355-Q357) (c) 2006 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-06
15-Feb-06
15-Feb-07
10-Aug-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A1/A-/A+
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:38 (Q355-Q357) (c) 2006 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-06
15-Feb-06
15-Feb-07
10-Aug-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:38 (Q355-Q357) (c) 2006 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-06
15-Feb-06
15-Feb-07
10-Aug-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A1
4/30/04
A-
4/15/04
B UNIT
804111AA0
NR
A1
A-
A1
4/30/04
A-
4/15/04
Page 7 of 9
29-Aug-2011 - 15:38 (Q355-Q357) (c) 2006 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-06
15-Feb-06
15-Feb-07
10-Aug-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:38 (Q355-Q357) (c) 2006 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-06
15-Feb-06
15-Feb-07
10-Aug-06
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:38 (Q355-Q357) (c) 2006 Bank of America Corporation
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M/N\\L)1TPNMQ6B#MAN5*\'\FR>4%'.P)58MA>E==;YZYB9[Q)&X]7(U2;__N M4/">76/_( M0XHHM:<$8S1YE$KP>8J;UPR;CM8S,\?5E9?4/=+0#'DFXK+,7EZ]I(CE`V*- M)=5"[5[),Y%Q752:;.+59>LCE&+-6M(+!)S^B*6_OW$=;DX/'T6K1XJ+MGF7+[>,C448ZVMAB(PH>B,")4[IO MKVYT`NW-]2=%I5&0&6*B3#\37BIA;.U<#8V%R6YR63`J.@W[3EV[H-7<\YG/ M,PL#0QZ^IICSL]"4M4`APQ9\N>P7:^,"Q2IVCN:*V64\&+0US#YV; MB,U=,QF3B45HXMZY],8TB>6(NLM[VU`WZU[T*(AQ])USH&(]FZE M#IZ:36'E9LN6+\*6#GA*>W9U3PG.M!>/ZI/)PEF;4X4Q+1TCS3&8^TU!>A[W M3YZ"[>C*&ZA)>N MA"'V#@65A.*POA=@<5W1#ULY$'']RM;R3^BV?KF2SW:(`#Z+]]UZ_I7);V0_ M'[MC1KLV'E#6`V8SXM3[]DF.Z$*B-I"^#%R"&D0YU;ES0AS=T9]R^S4N=HS3 M:99?->U1G.$^`V(*R*YWD>40'UG>,(%9]DS\5+G%CQ?-O/4G;Q.W7LLF%8N$ M?8R);\7EDA'L0<8KP5I;@OJW]'M0\6\LQQ$F<+5Y]UBM<@/O(\R12[+@P2+) M./RO]`ZC[?A\DXC-XN/.R(,J+BO_HXTJ5O!)&KQ8E\_!Y@HNH'%M>,FDPB;" MCQ02+CH3K4SSDMO+N,Z\5^4*KJ6*U'[ZED8U+C2'G_DEMCAP\\T$<@9FFA*(*_+ M2,&4![0[(*/`(*`[F7E*V%'\Y0+MZ3O4..65:.PCR9(N6`QHOJ8K@11AA#^] M*.5X\'\/?A:1#0IE;F1S=')E86T-"F5N9&]B:@T*,S4@,"!O8FH-"C(V-#$- M"F5N9&]B:@T*,S8@,"!O8FH-"CP\#0HO5'EP92`O4&%G90T*+U!AI+29ZJJNRLG)G9KUZ-NOH MZ.CHZ.CHZ.CHZ.CHZ.CXD7A\?+R\O/QOP/7U]?/S\U=KU#$?4'-S+BUM3693/@].#CH]'TW0`=D[>[N3EZPM[=W<7%AT$VG4PNW MM[>A%4Z_6M^.VDI(?K7Z_Q;^_/E#-!%3B2]BZO;V]NGIB1`C'R;$`$S9A')X).CR"A[/S\][ M\OQL0`J)SCG+@.(OX0-ES%\6,JGQER@CH.X&0%PEJ^926+-YY0Z*SUZ#P*1P M,YW-X0"W6;>MGL:(FLR`TT8W?'4SQ98"XSCVC25@6_2/P6%!A9%9)S7`7V8T MC,QOC<=:@;8X@(3J`Q1&/5Z-6]$C]3?0'$WB3FLUQ)?2.\Y9!<9OP2>E>IS- M7@B'S23@6Y82[7:T(53RGE(;HEB`CM,ADE9 MSV02'RO`;Z3YW&1XQDB/M;!JQ=OG@F;4O&W8&4MK@`+C=8ASQSB^*"'ND(;8 M),.&+WRU,7[#&LV5[%_ZPOZ10*&CT!\4F*Q+YU8:%NLY%M8H(D;7OO%DC$@ M==2?:C6":/[&ZHYM-=),Z>/0RTB1C#YS^;*+N5-Y6-.\CIHN'+6)RP%F")1C MJ[1*=R;DL&8=J(F[,NH("0N\K8Y16<,FZ@-'Z=%]J#&8)N-G\[^DH$.:N_QN MC(/,.J\Q'UE.!M#:9F:?^8V;X2>+6(MYJT\&#-D8U_W&%6C5I)VYK#4R]2X: M7@ZH.E?6&&\,B$>%M014G:1"O:LCG_'JYE7JAV6$Q)(:*IW65X12FE`!Y6L3 M_43OC9*\HKG1%]8<*5S/AA5LGNF++M`\DFM:&`-2QI0A7)O,#4`K$*=+G2&5 MT8>(5O],8A MPW'W$790.^-*UXH282UO,T<@TS3%,X,E?N.3;[,FH"#3'"Z*$*35]!*@@Q66 MRARO1N(>;@,C+Y88JB9/!E['LI0UB`XO<>D,'"7K\F`N:]7^EF1WP-A7 M8:UZ&A[NRD3[-(HUN^QT1(JV%25)T:@:Y==E;39:B#HQ,2)$U37`ZJQ544I( MMF10652OPIK[M9H2&\N+[)K'K,5*"=5,FD5XND[;E"`_PM.ID[O/KJ5]SAS!6QS`Q4EVXM:I"E2U M4X=6'AA:B'Q,84ELM09;KU%G,;JK9N_HZ.CHZ/BGP`R[7>`2SJ67V.S*IH(9 M7%&(37=^K93GIHEWNV"#V]6ER.CJN1 M%=F/?\8U:.[LQM[R4]"PYK:QGGF^GS6L=#K@<<"8M?%>M;/V-F)&=XY>Q-03 MI+#FM3@[4^UO(9L7"CWD\=L5]W=N:MPEP<[Y@'J0M0%K;&>4XY[1W9/[1,L1 M2'=D5_JMEYXHAMKY[*2RABCJKWAF^WT0UHPO[Q/S-ZS5\\G)<-SAAE1R<]>, M#7,>XKD-!EF:(5>/-76H!\C8/.>-]1C$K,NK>GM%C]K'GQY1.8)(12$-5C(49M':CF' MI-]X45B;3J<9YGN^&/G_$=9R'"T1U8%G+]=/?@*1"^[<->O#"@QKR:(?R%JN MS%##-.Y94/RM7CI$OJ>=%Q<7%*),S9`YD_RAK-6S:*Q1;Z7'=YWAI7YD(I(A M4_*!K.5#.V/?P]NPYO=L82VGRHW\7\9:;,60*VOXL\_$VG5!8FWNU6=*/I"U MV>OUKHWUFUC+LK)6;_-=R#G,=5E;=[]6X95T).1V;!%KLW*=E]F6 MRK^#-:=U/P3=&>#WG,V)%D:3+S^TT\]Y2QV=66"NYAQLLQ,M=Q,51G?2IO=K_Y4\`POVI#2M>L!O.)XUIJ_*Q-]&]"_>!V M]7!E("]&;VYT#2]3=6)T>7!E("]47!E("]&;VYT1&5S8W)I<'1O<@TO1F]N=$YA;64@+R,U-",V.2,V1",V-2,W M,R,T12,V-2,W-R,U,B,V1B,V1",V,2,V12,R0R,T,B,V1B,V0R,V-",T.2,W M-",V,2,V0R,V.2,V,PTO1FQA9W,@,S0-+T9O;G1"0F]X(%LM-30W("TS,#8@ M,3(P-B`Q,#,R70TO4W1E;58@-S<-+TET86QI8T%N9VQE("TQ-@TO0V%P2&5I M9VAT(#4P,`TO07-C96YT(#@Y,0TO1&5S8V5N="`M,C$V#2]3=&5M2"`W-PTO M3&5A9&EN9R`Q,#<-+T%V9U=I9'1H(#0Q,@TO36%X5VED=&@@,37!E#2].86UE("]&,@TO0F%S949O;G0@+R,U M-",V.2,V1",V-2,W,R,T12,V-2,W-R,U,B,V1B,V1",V,2,V10TO16YC;V1I M;F<@+U=I;D%N"!;+34V."`M,S`V(#(P,#`@ M,3`P-ET-+U-T96U6(#"!;+30Y-R`M,S`V(#$Q,C`@,3`R,UT-+U-T96U6 M(#%=I9'1H(#$V,3<-+TUIF4@-#$-"B]);F9O(#$@,"!2#0HO4F]O="`R(#`@4@T* M+TE$6SQB9F8P,F,X,&)A,C0W9#=D86$V93$P,3`Q8F4V-3-D-#X\8F9F,#)C M.#!B83(T-V0W9&%A-F4Q,#$P,6)E-C4S9#0^70H^/@T* EX-99.6 12 sat00406_200702ex996.htm SATURNS 2004-6 REVISED DISTRIBUTION REPORT - FEBRUARY 2007 head>Unassociated Document
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-07
15-Aug-06
15-Aug-07
12-Feb-07
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_200702_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:39 (Q355-Q357) (c) 2007 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
15-Feb-07
15-Aug-06
15-Aug-07
12-Feb-07
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
338
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:39 (Q355-Q357) (c) 2007 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-07
15-Aug-06
15-Aug-07
12-Feb-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:39 (Q355-Q357) (c) 2007 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-07
15-Aug-06
15-Aug-07
12-Feb-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:39 (Q355-Q357) (c) 2007 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-07
15-Aug-06
15-Aug-07
12-Feb-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A1/A/A+
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:39 (Q355-Q357) (c) 2007 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-07
15-Aug-06
15-Aug-07
12-Feb-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:39 (Q355-Q357) (c) 2007 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-07
15-Aug-06
15-Aug-07
12-Feb-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A1
4/30/04
A
11/2/06
B UNIT
804111AA0
NR
A1
A-
A1
4/30/04
A
11/2/06
Page 7 of 9
29-Aug-2011 - 15:39 (Q355-Q357) (c) 2007 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-07
15-Aug-06
15-Aug-07
12-Feb-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:39 (Q355-Q357) (c) 2007 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-07
15-Aug-06
15-Aug-07
12-Feb-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:39 (Q355-Q357) (c) 2007 Bank of America Corporation
EX-99.6 13 sat00406_200702ex996.pdf SATURNS 2004-6 REVISED DISTRIBUTION REPORT - FEBRUARY 2007 begin 644 sat00406_200702ex996.pdf M)5!$1BTQ+C0-"B6FZ<_$#0HQ(#`@;V)J#0H\/`T*+T-R96%T;W(@/$9%1D8P M,#4S,#`T,3`P-30P,#,P,#`S,#`P,S0P,#,P,#`S-C`P-48P,#,R,#`S,#`P M,S`P,#,W,#`S,#`P,S(P,#5&,#`S,3`P,D4P,#)S=&FEOV\CU MNP']!W[JBD#%<$Z2^53':;99;+;9Q,4"K8M"ZT,VHB-KRTG=7]]W#3E#T;:H MM"A0!+!"SIMWS;N'OTV.=/;#Y$B5V;O)49GAOP_?P_^*QF=?)T=K6#>V4#JS MIBI4DQE7%LIG#;ZZO9P<_9*M$RCK"Z.RU>3(U;;0=7BQG!Q]G!S]/#GZ30@. MDG*5PSU:`0V7-9DV'HG%=%*T'1W9LQ\=85;V!)&&Z`C(JK_G$#JDLP&14JA5 M7Y?[D?)54=:9:H"(RGRM"C-P2`RDR[K0!@E5MBZL#2_V(U29!O!*FI+T<,L.II;C\2RIO"Z*QVA6LR6X$Y MV=T3$:#&%A59LP]Q1%U[C%EH5!GW$6]96($N/L:/"&4;+PEB#+$!&& M6/5V'$"$-+4K2P*SZNEO7WT5WE(X\U6F?(V$=CV%@<`#JX9=LBPJ'U[LZ?U: MX1[3E$5=X5<,A+$`U.:`"@RE&1DP*TO\&\!E,9`Y7]1U&F42K!T9V3)*(-DC M`@V1$8A5?\LA9/A\=@1*@59]18Y+-`;#&L7WJJAT>#'*TQM5-(XC$N5]?HY1 MO#J=,(+;Q>3HQ1N508Z$P']Z-5'T6F6ZKI&\@+/P4 MOUO0PTT^`RD!%XJRX)4[9-@`HVGP(1`W1G&EY_^`GY\4$G9WG^]],? 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MFDZBN$LOE^:97N`C[3]"G%&!^CZ%\W?Y[]Z69V\?/LXLN> M:=.@C)O2M6Q9ED&1U=!+9OT[+M^2EL\/D6JTG=@R'6PM:_1"W]/R;:1`.;(T M#_KV+!72.DYR3X6MME#.-NFW8%-82M3#=;5Z8(L5M3I08W_];G:!*Z@BSE20 MJSBM`UQLNYI=_"/H3M505:S>>]H[K_H?8Y.QY4Y7+2F"K(S+H(J;]+5J)65< MB.\^`&C,HHRT/E(5FG.N`+F`?3""=J&VB!)]Q84X\X">E=YB4@=%KF&FXS&' M1AW7]1%UJ[AVM342&NOI%&!;AHV.RBJ<@_8:X(#H1,<;]*W=)PH;ZH!R>0*J M%-J(215D*;GX59 M+:W@1Y3#]8K3S)9@HYQ63N5O]:DJK4_/4>Z0Y=@CB6;0YDT^30K(':Y;TS>Y M]81TI;3(7$-=4X"L_".Q1D^\OL%P6U+C02O52"[H(#YK;1FF="]KW"/%0%(H MX MX@6\/,>I8?EZ2S::JC`[U+6?]TDOHXJ3@(QY4EP[(;LFV,BI,3\0#5E3QED9 MY&49YU6@>:XJ`\V8Q30C']2WC.M<"ZEMH<*YDLW%!<0MJD\P:-WT_P`U@\FX MVY>2Z0CSF!(T?)R44)`TD/U$@/ZDZQJH9'*-,GX"64%7`1DHJS"QSPD9BNP* MC1<2>Q;H))BZRJ@J`5K(=?Y)Q7M_`_D%H1QB['MJ8Z4$E5M#:('&`SU:8!-= MG4+]%V;).YI=AVFBL%&FNK&+H#X:%CLP9X&Z5V$+-8M26)QA>X,_]/\S516I M[=6BE!;2WU$4*I9ROY*1/Y)2-+Y?:#OI6&]PIAZ?AM>L+>U$%XV84+>H&FE` M^DB+]XIU7JH%7_<;UG>@I6E8W^UH^T6X([2L<(%;FCYL!4*T`H]@^PM$)S&[3\!'E!*,+SF(&OV>:O*+'E;D,:+5O[R_") MR<.39J8O#.&-32'P8N\^TA^%8U!WW@1;+#WP"5<0\XUIQX*,O1!?Q_)L'Y(< MBG-'*;X6)99#_G*ZQNR5$O MYGS2;)P:Q@INW<2[$=E[61KTN*?VHP'07D$QYCI35W"@+`35B5-2',GUOP7Z MRL:Y74/`U>,J9,P\IAAQ`3ELG63OESM&*-SMNO;_N62U]M7R)U+_J\@J_M;DF%U?X92FD(-6F0:=/!&4J?VO5A M2!^2LNE#U#08`&!(M5_%L(CU-N_.Q2\9]?8?X@RBDORRW&O M.>Y=#I(-#PX<.7J,2V?.:E1'C+G_O`.O@WAFU(.8YY`B2NTIP1A-'J42?)[B MYC7#IB-Y9N:XNO*2ND<:FB'/1%R6V28RKHM*DTV\ MNFQ]A%*L64MZ@>#RX\9%(Y=U$R0D4];,#)T-,P>7_/"Q/\`,$HYTE#;'>%D\2KZP57']25!H%F2$F MRO0SX:42QM;.U=!8F.PFEP6CHM.P[]2U"UK-/9_Y/+,P,.3A:XHY/PM-60L4 M,FS!E\M^L38N4*QB)Q\MX&]-VZ!RT:D8:8[!W&\*TO.X?_(4;#\_<<[Y]_T@A&>* M78&+A^YN6(GC1G0L;P0, MMT]R1!<2M8'T9>`2U"#*JBV;5"P2]C$FOA672T:P!QFO!&MM M">K?TN]!Q;^Q'$>8P-7FW6.UR@V\CS!'+LF"!XLDX_"_TCN,MN/S32(VBX\[ M(P^JN*S\+TJJ6,$G:?!B73X'FRNX@$;9\)))A4V$'RDD7'0F6IGF);>7<9UY MK\H57$L5J?WT+8UJ%#2'G_DE`9PD-)!4KT>V*W-+2PPX??J:)0,[01%,">5U&"J8\H-T!&04&`=W)S%/" MCN(O%VA/WZ'&*4NBL8^TEG2!,*#YFJX$4H01_O2BE./!_P&A9Q:7#0IE;F1S M=')E86T-"F5N9&]B:@T*,S4@,"!O8FH-"C(V-#(-"F5N9&]B:@T*,S8@,"!O M8FH-"CP\#0HO5'EP92`O4&%G90T*+U!AI+29ZJJNRLG)G9KUZ-NOHZ.CHZ.CHZ.CHZ.CHZ.CX MD7A\?+R\O/QOP/7U]?/S\U=KU#$?4'-S+BUM369 M3/@].#CH]'TW0`=D[>[N3EZPM[=W<7%AT$VG4PNWM[>A%4Z_6M^.VDI(?K7Z_Q;^_/E#-!%3 MB2]BZO;V]NGIB1`C'R;$`$S9A')X).CR"A[/S\][\OQL0`J)SCG+@.(OX0-E MS%\6,JGQER@CH.X&0%PEJ^926+-YY0Z*SUZ#P*1P,YW-X0"W6;>MGL:(FLR` MTT8W?'4SQ98"XSCVC25@6_2/P6%!A9%9)S7`7V8TC,QOC<=:@;8X@(3J`Q1& M/5Z-6]$C]3?0'$WB3FLUQ)?2.\Y9!<9OP2>E>IS-7@B'S23@6Y82[7:T(53RGE(;HEB`CM,ADE9SV02'RO`;Z3YW&1XQDB/ MM;!JQ=OG@F;4O&W8&4MK@`+C=8ASQSB^*"'ND(;8),.&+WRU,7[#&LV5[%_Z MPOZ10*&CT!\4F*Q+YU8:%NLY%M8H(D;7OO%DC$@==2?:C6":/[&ZHYM-=), MZ>/0RTB1C#YS^;*+N5-Y6-.\CIHN'+6)RP%F")1CJ[1*=R;DL&8=J(F[,NH( M"0N\K8Y16<,FZ@-'Z=%]J#&8)N-G\[^DH$.:N_QNC(/,.J\Q'UE.!M#:9F:? M^8V;X2>+6(MYJT\&#-D8U_W&%6C5I)VYK#4R]2X:7@ZH.E?6&&\,B$>%M014 MG:1"O:LCG_'JYE7JAV6$Q)(:*IW65X12FE`!Y6L3_43OC9*\HKG1%]8<*5S/ MAA5LGNF++M`\DFM:&`-2QI0A7)O,#4`K$*=+G2&5T8>(5O],8APW'W$790.^-*UXH282UO M,T<@TS3%,X,E?N.3;[,FH"#3'"Z*$*35]!*@@Q66RARO1N(>;@,C+Y88 MJB9/!E['LI0UB`XO<>D,'"7K\F`N:]7^EF1WP-A78:UZ&A[NRD3[-(HUN^QT M1(JV%25)T:@:Y==E;39:B#HQ,2)$U37`ZJQ544I(MF10652OPIK[M9H2&\N+ M[)K'K,5*"=5,FD5X MND[;E"`_PM.ID[O/KJ5]SAS!6QS`Q4EVXM:I"E2U4X=6'AA:B'Q,84ELM09; MKU%G,;JK9N_HZ.CHZ/BGP`R[7>`2SJ67V.S*IH(97%&(37=^K93GIHEWNV"# MV]6ER.CJN1%=F/?\8U:.[LQM[R4]"P MYK:QGGF^GS6L=#K@<<"8M?%>M;/V-F)&=XY>Q-03I+#FM3@[4^UO(9L7"CWD M\=L5]W=N:MPEP<[Y@'J0M0%K;&>4XY[1W9/[1,L12'=D5_JMEYXHAMKY[*2R MABCJKWAF^WT0UHPO[Q/S-ZS5\\G)<-SAAE1R<]>,#7,>XKD-!EF:(5>/-76H M!\C8/.>-]1C$K,NK>GM%C]K'GQY1.8)(12$-5C(49M':CF'I-]X45B;3J<9YGN^&/G_ M$=9R'"T1U8%G+]=/?@*1"^[<->O#"@QKR:(?R%JNS%##-.Y94/RM7CI$OJ>= M%Q<7%*),S9`YD_RAK-6S:*Q1;Z7'=YWAI7YD(I(A4_*!K.5#.V/?P]NPYO=L M82VGRHW\7\9:;,60*VOXL\_$VG5!8FWNU6=*/I"UV>OUKHWUFUC+ MLK)6;_-=R#G,=5E;=[]6X95T).1V;!%KLW*=E]F6RK^#-:=U/P3=&>#WG,V) M%D:3+S^TT\]Y2QV=66"NYAQLLQ,M=Q,51G?2IO=K_Y4\`POVI#2M>L!O.)XUIJ_*Q-]&]"_>!V]7!E("]&;VYT1&5S8W)I M<'1O<@TO1F]N=$YA;64@+R,U-",V.2,V1",V-2,W,R,T12,V-2,W-R,U,B,V M1B,V1",V,2,V12,R0R,T,B,V1B,V0R,V-",T.2,W-",V,2,V0R,V.2,V,PTO M1FQA9W,@,S0-+T9O;G1"0F]X(%LM-30W("TS,#8@,3(P-B`Q,#,R70TO4W1E M;58@-S<-+TET86QI8T%N9VQE("TQ-@TO0V%P2&5I9VAT(#4P,`TO07-C96YT M(#@Y,0TO1&5S8V5N="`M,C$V#2]3=&5M2"`W-PTO3&5A9&EN9R`Q,#<-+T%V M9U=I9'1H(#0Q,@TO36%X5VED=&@@,37!E#2].86UE("]&,@TO0F%S949O;G0@+R,U-",V.2,V1",V-2,W,R,T M12,V-2,W-R,U,B,V1B,V1",V,2,V10TO16YC;V1I;F<@+U=I;D%N"!;+34V."`M,S`V(#(P,#`@,3`P-ET-+U-T96U6(#"!;+30Y-R`M,S`V(#$Q,C`@,3`R,UT-+U-T96U6(#%=I M9'1H(#$V,3<-+TUIF4@ M-#$-"B]);F9O(#$@,"!2#0HO4F]O="`R(#`@4@T*+TE$6SQB-3%C.3`U,3@V M.38V,CAA,3`P,# EX-99.7 14 sat00406_200708ex997.htm SATURNS 2004-6 REVISED DISTRIBUTION REPORT - AUGUST 2007 head>Unassociated Document
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-07
15-Feb-07
15-Feb-08
10-Aug-07
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_200708_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:40 (Q355-Q357) (c) 2007 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
15-Aug-07
15-Feb-07
15-Feb-08
10-Aug-07
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
332
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:40 (Q355-Q357) (c) 2007 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-07
15-Feb-07
15-Feb-08
10-Aug-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:40 (Q355-Q357) (c) 2007 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-07
15-Feb-07
15-Feb-08
10-Aug-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:40 (Q355-Q357) (c) 2007 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-07
15-Feb-07
15-Feb-08
10-Aug-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A1/A/A+
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:40 (Q355-Q357) (c) 2007 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-07
15-Feb-07
15-Feb-08
10-Aug-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:40 (Q355-Q357) (c) 2007 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-07
15-Feb-07
15-Feb-08
10-Aug-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A1
4/30/04
A
11/2/06
B UNIT
804111AA0
NR
A1
A-
A1
4/30/04
A
11/2/06
Page 7 of 9
29-Aug-2011 - 15:40 (Q355-Q357) (c) 2007 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-07
15-Feb-07
15-Feb-08
10-Aug-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:40 (Q355-Q357) (c) 2007 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-07
15-Feb-07
15-Feb-08
10-Aug-07
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:40 (Q355-Q357) (c) 2007 Bank of America Corporation
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M0L^8;.'68.X]=#1A3#-C,!6LV'9+&E%Y7M@):ML[;-]Y;M@X1F,+.H#`>1]# M':>)J-&[\#5!@S^N`YZHBP<8L$/CG43>-Q3I5\`)>G_=9X*X9@04[ZQ?#%=COFG6\X/77PS8$ M5=^-Q)A8EO7]N*1MOI"J)N&8-9F!XU\B.!:(K[OULG\`T0K-;=#R$^0%H0C/ M8P:^9IN_XHHM=QO2:-G:7X9/3![>:F;ZPA#>V!0"+_;N(_U1.`9UYTVPQ=(# MGW`%,=^8=BS(V`OQ=2S/]B'),;=',FB&=F/Q6KB$@C^"1"_(')KZ?8+W3/#4 M6&\0>G[OP#]N=[`Z#]2Q#8K$,I]9P:)/K.B!CLT_;"2XB&_1[Z4R:EL(NB!6 MUHU^2B.W&2X6(?LY7V%U2XYZ,>>39N/4,%9PZR;>C:R]EZ5!CWMJ/QH`[144 M8ZXS=04'RD)0G3@EQ9%<_UN@KVR9Q0L5A%E,&%U M4?L4Q?P"8YJ>7XY-$\V_$C6Z:+CW$YY8H_/VZ]N^Y=)7VY=(W8L^K^!KNUM2 M8;5_AE(:0DT:9-IT<(;*4C@,Z4-2-GV(FH9C45DXWO%.P)2218M7U2YL>#<; M48TN8#3\=A/I%.[$_?]5P7W'\@;QTL0IPLEXO&#OY183``RI]JL8]E!$.!G6 M!L3IZ//.`TM))[P>IP72;EBN!/]GDEQ>P,&>4+48IG?5]>:9F^@93^+6P]4H M]?;O#@7OV37V'Z*,XI+\X>7;8^0BG6K"6]0'#Y<>.BDN70TW7P],:[<>)DW2MF'CW$$<3JNX1;DG.!"8IQM:2IMC MO"P>)5_8JN9,3*7*P=1;<\9Q*KES5W!S[R'+865_\IV*91(PBM3$X\)\,<[$ MP^+?&!7C8Y!7M_7']25!H%F2$FRO0SX:42QM;.U=!8F.PFEP6CHM.P[]2U"UK- M/9_Y/+,P,.3A:XHY/PM-60L4,FS!E\M^L38N4*QB)Q\MX&]-VZ!RT:A8W@@8Y/(&)/R7XV/ER1BJ M2WCI2AAB[U!022@.ZWL!%M<5_;"5`Q'7KVPM_X1NZY-^MYU^9 M_$;V\[$[9K1KXP%E/6`V(TZ];Y_DB"XD:@/IR\`EJ$&44YT[)\31'?TIMU_C M8LQ1GN,R"F@.QZ%UD.\9'E#1.89<_$3Y5;_'C1S%M_\C9QZ[5L M4K%(V,>8^%9<+AG!'F2\$JRU):A_2[\'%?_&;=X_5*C?P/L(U6NX%JJ2.VG;VE4XT)S^)E?,H=CYYH[4]BH M"A/L5-2I(OS>((>O1N`;B$;W0']!C[_-9I+29ZJJNRLG)G9KUZ M-NOHZ.CHZ.CHZ.CHZ.CHZ.CXD7A\?+R\O/QOP/7U]?/S\U=KU#$?4'-S+BUM3693/@].#CH]'TW0`=D[>[N3EZPM[=W<7%AT$VG M4PNWM[>A%4Z_6M^.VDI(?K7Z_Q;^_/E#-!%3B2]BZO;V]NGIB1`C'R;$`$S9A')X).CR"A[/ MS\][\OQL0`J)SCG+@.(OX0-ES%\6,JGQER@CH.X&0%PEJ^926+-YY0Z*SUZ# MP*1P,YW-X0"W6;>MGL:(FLR`TT8W?'4SQ98"XSCVC25@6_2/P6%!A9%9)S7` M7V8TC,QOC<=:@;8X@(3J`Q1&/5Z-6]$C]3?0'$WB3FLUQ)?2.\Y9!<9OP2>E M>IS-7@B'S23@6Y82[7:T(53RGE(;HEB`CM, MADE9SV02'RO`;Z3YW&1XQDB/M;!JQ=OG@F;4O&W8&4MK@`+C=8ASQSB^*"'N MD(;8),.&+WRU,7[#&LV5[%_ZPOZ10*&CT!\4F*Q+YU8:%NLY%M8H(D;7OO% MDC$@==2?:C6":/[&ZHYM-=),Z>/0RTB1C#YS^;*+N5-Y6-.\CIHN'+6)RP%F M")1CJ[1*=R;DL&8=J(F[,NH("0N\K8Y16<,FZ@-'Z=%]J#&8)N-G\[^DH$.: MN_QNC(/,.J\Q'UE.!M#:9F:?^8V;X2>+6(MYJT\&#-D8U_W&%6C5I)VYK#4R M]2X:7@ZH.E?6&&\,B$>%M014G:1"O:LCG_'JYE7JAV6$Q)(:*IW65X12FE`! MY6L3_43OC9*\HKG1%]8<*5S/AA5LGNF++M`\DFM:&`-2QI0A7)O,#4`K$*=+ MG2&5T8>(5O],8APW'W$790.^-*UXH282UO,T<@TS3%,X,E?N.3;[,FH"#3'"Z*$*35]!*@ M@Q66RARO1N(>;@,C+Y88JB9/!E['LI0UB`XO<>D,'"7K\F`N:]7^EF1W MP-A78:UZ&A[NRD3[-(HUN^QT1(JV%25)T:@:Y==E;39:B#HQ,2)$U37`ZJQ5 M44I(MF10652OPIK[M9H2&\N+[)K'K,5*"=5,FD5XND[;E"`_PM.ID[O/KJ5]SAS!6QS`Q4EVXM:I M"E2U4X=6'AA:B'Q,84ELM09;KU%G,;JK9N_HZ.CHZ/BGP`R[7>`2SJ67V.S* MIH(97%&(37=^K93GIHEWNV"#V]6ER.CJN1%=F/?\8U:.[LQM[R4]"PYK:QGGF^GS6L=#K@<<"8M?%>M;/V-F)&=XY> MQ-03I+#FM3@[4^UO(9L7"CWD\=L5]W=N:MPEP<[Y@'J0M0%K;&>4XY[1W9/[ M1,L12'=D5_JMEYXHAMKY[*2RABCJKWAF^WT0UHPO[Q/S-ZS5\\G)<-SAAE1R M<]>,#7,>XKD-!EF:(5>/-76H!\C8/.>-]1C$K,NK>GM%C]K'GQY1.8)(12$-5C(49M' M:CF'I-]X45B;3J<9YGN^&/G_$=9R'"T1U8%G+]=/?@*1"^[<->O#"@QKR:(? MR%JNS%##-.Y94/RM7CI$OJ>=%Q<7%*),S9`YD_RAK-6S:*Q1;Z7'=YWAI7YD M(I(A4_*!K.5#.V/?P]NPYO=L82VGRHW\7\9:;,60*VOXL\_$VG5!8FWNU6=* M/I"UV>OUKHWUFUC+LK)6;_-=R#G,=5E;=[]6X95T).1V;!%KLW*= ME]F6RK^#-:=U/P3=&>#WG,V)%D:3+S^TT\]Y2QV=66"NYAQLLQ,M=Q,51G?2 MIO=K_Y4\`POVI#2M>L!O.)XUIJ_*Q-]&]" M_>!V]7!E("]&;VYT#2]3=6)T>7!E("]4 M7!E("]&;VYT1&5S8W)I<'1O<@TO1F]N=$YA;64@+R,U-",V.2,V1",V M-2,W,R,T12,V-2,W-R,U,B,V1B,V1",V,2,V12,R0R,T,B,V1B,V0R,V-",T M.2,W-",V,2,V0R,V.2,V,PTO1FQA9W,@,S0-+T9O;G1"0F]X(%LM-30W("TS M,#8@,3(P-B`Q,#,R70TO4W1E;58@-S<-+TET86QI8T%N9VQE("TQ-@TO0V%P M2&5I9VAT(#4P,`TO07-C96YT(#@Y,0TO1&5S8V5N="`M,C$V#2]3=&5M2"`W M-PTO3&5A9&EN9R`Q,#<-+T%V9U=I9'1H(#0Q,@TO36%X5VED=&@@,37!E#2].86UE("]&,@TO0F%S949O;G0@ M+R,U-",V.2,V1",V-2,W,R,T12,V-2,W-R,U,B,V1B,V1",V,2,V10TO16YC M;V1I;F<@+U=I;D%N"!;+34V."`M,S`V(#(P M,#`@,3`P-ET-+U-T96U6(#"!;+30Y-R`M,S`V(#$Q,C`@,3`R,UT-+U-T M96U6(#%=I9'1H(#$V,3<-+TUIF4@-#$-"B]);F9O(#$@,"!2#0HO4F]O="`R(#`@ M4@T*+TE$6SPR8V$Q,68P-S$T-#4V.65D9C!F.3$T-F-D,#(T-&0R.3X\,F-A M,3%F,# EX-99.8 16 sat00406_200802ex998.htm SATURNS 2004-6 REVISED DISTRIBUTION REPORT - FEBRUARY 2008 head>Unassociated Document
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-08
15-Aug-07
15-Aug-08
12-Feb-08
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_200802_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:44 (Q355-Q357) (c) 2008 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
15-Feb-08
15-Aug-07
15-Aug-08
12-Feb-08
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
326
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:44 (Q355-Q357) (c) 2008 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-08
15-Aug-07
15-Aug-08
12-Feb-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:44 (Q355-Q357) (c) 2008 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-08
15-Aug-07
15-Aug-08
12-Feb-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:44 (Q355-Q357) (c) 2008 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-08
15-Aug-07
15-Aug-08
12-Feb-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A1/A/A+
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:44 (Q355-Q357) (c) 2008 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-08
15-Aug-07
15-Aug-08
12-Feb-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:44 (Q355-Q357) (c) 2008 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-08
15-Aug-07
15-Aug-08
12-Feb-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A1
4/30/04
A
11/2/06
B UNIT
804111AA0
NR
A1
A-
A1
4/30/04
A
11/2/06
Page 7 of 9
29-Aug-2011 - 15:44 (Q355-Q357) (c) 2008 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-08
15-Aug-07
15-Aug-08
12-Feb-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:44 (Q355-Q357) (c) 2008 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-08
15-Aug-07
15-Aug-08
12-Feb-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:44 (Q355-Q357) (c) 2008 Bank of America Corporation
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Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-08
15-Feb-08
17-Feb-09
12-Aug-08
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_200808_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:42 (Q355-Q357) (c) 2008 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
15-Aug-08
15-Feb-08
17-Feb-09
12-Aug-08
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
320
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:42 (Q355-Q357) (c) 2008 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-08
15-Feb-08
17-Feb-09
12-Aug-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:42 (Q355-Q357) (c) 2008 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-08
15-Feb-08
17-Feb-09
12-Aug-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:42 (Q355-Q357) (c) 2008 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-08
15-Feb-08
17-Feb-09
12-Aug-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A1/A/A+
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:42 (Q355-Q357) (c) 2008 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-08
15-Feb-08
17-Feb-09
12-Aug-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:42 (Q355-Q357) (c) 2008 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-08
15-Feb-08
17-Feb-09
12-Aug-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A1
4/30/04
A
11/2/06
B UNIT
804111AA0
NR
A1
A-
A1
4/30/04
A
11/2/06
Page 7 of 9
29-Aug-2011 - 15:42 (Q355-Q357) (c) 2008 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-08
15-Feb-08
17-Feb-09
12-Aug-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:42 (Q355-Q357) (c) 2008 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Aug-08
15-Feb-08
17-Feb-09
12-Aug-08
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:42 (Q355-Q357) (c) 2008 Bank of America Corporation
EX-99.9 19 sat00406_200808ex999.pdf SATURNS 2004-6 REVISED DISTRIBUTION REPORT - AUGUST 2008 begin 644 sat00406_200808ex999.pdf M)5!$1BTQ+C0-"B6FZ<_$#0HQ(#`@;V)J#0H\/`T*+T-R96%T;W(@/$9%1D8P M,#4S,#`T,3`P-30P,#,P,#`S,#`P,S0P,#,P,#`S-C`P-48P,#,R,#`S,#`P M,S`P,#,X,#`S,#`P,S@P,#5&,#`S,3`P,D4P,#)S=&MMNV\CU MW8#^@4]=$5@QG"O)/-5QFFT6FVTV<;%`ZV*A^"('D:RL+2=UO[[G-N0,1=FB MTJ)`$<`*AV?.;3HU^SFP3*^L*H;#4Y_:C(\S*GB#2$!T!6?7W'$*'=#8@4@JU MZNMR/U*^*LHZ4PT049FO56$&#HF!=%D7VB"ARM:%M6%A/T*5:7!/4^&6)E-` M+B:1HNQH,/P867A'$&6("$.LT@WC29":^G+$`*N>YO8CH;PIC,YJ5[@FLQ68 MD]T^$0%J;%&1-7OP,N?E>4]1=(U;;%D8]!EG45^)*#'.C@9O&"4+;PFR#!%A MB%5OQP%$2%/;LB0PJY[^]M57X2V%,U]ERM=(:-M3&`@\L&K8)8IBSJ"D_&%4T_:,98.S*R98P\LB7(,T1&0%:]+0=0X!6?64N&<& MJ!LZ7TXVRKMB((P%H#8'5&`HS M$6B(C$"L^EL.()TP@AN%Y.C9Z]4!CD2`O_IU431LLIT72-YYQH,%=GI:O+WZ?M\!N8SW>0: M_M[F,W##Z7T.L61ZGL\@=LF;>P:[S1MX?\EO+O*9!H'*Z3%L4_![1V_O&,EE MV#[34#/XZ6FNBKJC0.@$M(7Y*R"PTQM^^9$(M^_>`4(#P)]S!WCF^0RL(_#X M*5Y;T,/'?`92`BX49<%O[I!A`XR>L=AV>GP*1`S0G6E8?O_J" M\.".BDZ$D+:6,EJ158,ITAD(BZVE1GPEK,A:>[R:B9?A!Y5M^6'FQ[.BR6FM M;UI6.ELDI&NB,(O]MV+_$H$)Y]1MY]H'=+5OME M4+O8U14^H^V>K/D8V/`W`;JBITMF%>R^E+U%`9-FQ`.!4@GQ_(#F1K^(G9N47Y+1P` M8E\3`[>H3P5L/<:P,D%%7ECK\X0!7<@JJG7!S4$7=9(Z]F5<-5V(^)GU(JKX M9ZJT'L_$WRJOQ4PB)0^QO"\W985%CQAW[KH3/.>?5H^H6HS[#LW_9:XD5#UY MGIB[-3J00 M?I*'[:JJ;N4&$0J)+>H,<:=/5H[A%O@`&;QQH.-/!VG"-K%ZM<8>B7W/.1 M%,8=$SW]";=0XG9\+BV,@A7$"%VZ8#R%:HC6M6E$0%CL-WG)ZJZ9^3 M%,`A^#X$M9DVF*<,/[,ML+X+JC"=.+H@)CM'\CZB9!BP\`N/0_HG!.`9? 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MGJ5"6L=)[JFPU1;*V2;]%FP*HD0]E*O5`UNLJ-6!&OORN]D%2E!%G*D@5W%: M!RALNYI=_"/H3M505:S>>]H[2_V/LKEA1!5L9E4,5-^EJUDC(NQ'8U$&1:YCI>,RA4<=U M?43=*JY=;6J5RG73/LTT0S:O,FG20&YPW-K^A:W MGI"NE-YOKJ&N*4`D_TBLT1.O;S#MA3.E>UGC'BD&DD*1 M:UK^#N>D.L'`&)-]&J0AZ-I(*OKI]5-8/F5,EC\P,V,._$33B#F>0>U""[AB M`5Z>X]2P?+TE&TU5F!WJVL_[I)=1Q4E`QCPIRD[(K@DV.]OL'Y!*`<"^)[:6"E!Y=806J#Q0(\6V$17 MIU#_A5GRCF;789HH;)2I;NPBJ(^&Q0[,6:#N5=A"S:(4%F?8WN`/_?],545J M>_522B_2WU$4*E[E?B4C?R2E:'R_T';2L=[@3#T^#:]96]J)+AHQH6Y1-=*` M])$6[Q7KO%0O?-UO6-^!1-.POMO1]HMP1VA9H8!;FCYL!4(D@<,3Y?P79;=^ M9]^)":F?YP]@PP(K6+1#NT0GB+(=_;`&WLS6UU967[`!>&%>ACMI"SNI=,]$ MEZ9WB33KMBLJKT729^A/H)#DCCOQUR4.?/!0Z!F3+=P:S+V'CB:,:68,IH(5 MVVY)(RK/"SM!;7N'[3O/#1O':&Q!!Q`X[V.HXS01-7H7OB9H\,=UP!-U\0`# M=FB\D\C[AB+]"CA![Z_[3!!7CA4OZ9FQ3D/'H7WC?*,/'GIV@Y&`"+BE,/`W MM139!@?4Y"`SL&!G_6*X`OM=LXX7O/YZV(:@ZKN1&!/+LKX?E[3-%U+5)!RS M)C-P_$L$QP+Q=;=>]@\@6J&Y#5I^@KP@%.%YS,#7;/-77+'E;D,:+5O[R_") MR<-;S4Q?&,(;FT+@Q=Y]I#\*QZ#NO`FV6'K@$ZX@YAO3C@49>R&^CN79/B0Y MYO9(!LW0;BQ>"Y=0\$>0Z`690U._3_">"9X:ZPU"S^\=^,?M#E;G@3JV09%8 MYC,K6/2)%3W0L?F'C007\2WZO51&;0M!%\3*NM%/:>0VP\4B9#_G*ZQNR5$O MYGS2;)P:Q@INW<2[D;7WLC3H<4_M1P.@O8)BS'6FKN!`60BJ$Z>D.)+K?POT ME8USNX:`J\=5R)AY3#'B`G+8.LG>+W>X&.%E#M<,8X[A8H.]LE^2$.,1T1RI M25BF23J+@9W%"[&5:1T;^<;KC(+%*J(,)JPN:I^BF%]@3-/SR[%IHOE7HD87 M#?=^PA-K=-Y^?=NW7/IJ^Q*I>]'G%7QM=TLJK/;/4$I#J$F#3)L.SE!9"HFCA%.!F/%^R]W&("@"'5?A7#'HH()\/:@#@=?=YY8"GIA-?CM$#:#`]N\;^0Y117))?CGO- M<>]RD&QX<.#(T6-<.G-6HSIBS/WG'7@=Q#.C'L0\AQ11:D\)QFCR*)7@\Q0W MKQDV':UG9HZK*R^I>Z2A&?),Q&69O;QZ21'+!\0:2ZJ%VKV29R+CNJ@TV<2K MR]9'*,6:M:07""X_;EPTN8^V M)@>/H]6BQ47;/U2>3A;,VIPIC6CI&FF,P]YN"]#SNGSP%V\]/G'/^?3\(X9EB M5^#BH;L;5N*X$1W+&P-Z`A/]R?*P\&4-U"2]="4/L'0HJ"<5A?2_`XKJB M'[9R(.+ZE:WEG]!M_7(EG^T0`7P6[[OU_"N3W\A^/G;'C'9M/*"L!\QFQ*GW M[9,>M/WB9NO99-*A8)^Q@3WXK+)2/8@XQ7@K6V M!/5OZ?>@XM]8CB-,X&KS[K%:Y0;>1Y@CEV3!@T62= MD0=57%;^1QM5K."3-'BQ+I^#S15<0./:\)))A4V$'RDD7'0F6IGQ)R1[;B_C M.O->E2NXEBI2^^E;&M6XT!Q^YI?,X=BYYLX4-JK"!#L5=:H(OS?(X:L1^`:B MT3W07]#C;W.:HZ>FF58"+O;GJM)__!RE\#K;'5Q@8SX]H,(&OFXKX3[@HZ[& M07Z%WSO`LX0&DHJUZ'9%;FGI88T.Z`C`*#@.YD MYBEA1_&7"[2G[U#CE%>BL8\D2[I@,:#YFJX$4H01_O2BE./!_P&]Z!::#0IE M;F1S=')E86T-"F5N9&]B:@T*,S4@,"!O8FH-"C(V-#<-"F5N9&]B:@T*,S8@ M,"!O8FH-"CP\#0HO5'EP92`O4&%G90T*+U!AI+29ZJJNRLG)G9KUZ-NOHZ.CHZ.CHZ.CHZ.CH MZ.CXD7A\?+R\O/QOP/7U]?/S\U=KU#$?4'-S+BU MM3693/@].#CH]'TW0`=D[>[N3EZPM[=W<7%AT$VG4PNWM[>A%4Z_6M^.VDI(?K7Z_Q;^_/E# M-!%3B2]BZO;V]NGIB1`C'R;$`$S9A')X).CR"A[/S\][\OQL0`J)SCG+@.(O MX0-ES%\6,JGQER@CH.X&0%PEJ^926+-YY0Z*SUZ#P*1P,YW-X0"W6;>MGL:( MFLR`TT8W?'4SQ98"XSCVC25@6_2/P6%!A9%9)S7`7V8TC,QOC<=:@;8X@(3J M`Q1&/5Z-6]$C]3?0'$WB3FLUQ)?2.\Y9!<9OP2>E>IS-7@B'S23@6Y82[7:T(53RGE(;HEB`CM,ADE9SV02'RO`;Z3YW&1X MQDB/M;!JQ=OG@F;4O&W8&4MK@`+C=8ASQSB^*"'ND(;8),.&+WRU,7[#&LV5 M[%_ZPOZ10*&CT!\4F*Q+YU8:%NLY%M8H(D;7OO%DC$@==2?:C6":/[&ZHYM M-=),Z>/0RTB1C#YS^;*+N5-Y6-.\CIHN'+6)RP%F")1CJ[1*=R;DL&8=J(F[ M,NH("0N\K8Y16<,FZ@-'Z=%]J#&8)N-G\[^DH$.:N_QNC(/,.J\Q'UE.!M#: M9F:?^8V;X2>+6(MYJT\&#-D8U_W&%6C5I)VYK#4R]2X:7@ZH.E?6&&\,B$>% MM014G:1"O:LCG_'JYE7JAV6$Q)(:*IW65X12FE`!Y6L3_43OC9*\HKG1%]8< M*5S/AA5LGNF++M`\DFM:&`-2QI0A7)O,#4`K$*=+G2&5T8>(5O],8APW'W$790.^-*UXH2 M82UO,T<@TS3%,X,E?N.3;[,FH"#3'"Z*$*35]!*@@Q66RARO1N(>;@,C+Y88JB9/!E['LI0UB`XO<>D,'"7K\F`N:]7^EF1WP-A78:UZ&A[NRD3[-(HU MN^QT1(JV%25)T:@:Y==E;39:B#HQ,2)$U37`ZJQ544I(MF10652OPIK[M9H2 M&\N+[)K'K,5*"=5, MFD5XND[;E"`_PM.ID[O/KJ5]SAS!6QS`Q4EVXM:I"E2U4X=6'AA:B'Q,84EL MM09;KU%G,;JK9N_HZ.CHZ/BGP`R[7>`2SJ67V.S*IH(97%&(37=^K93GIHEW MNV"#V]6ER.CJN1%=F/?\8U:.[LQM[R M4]"PYK:QGGF^GS6L=#K@<<"8M?%>M;/V-F)&=XY>Q-03I+#FM3@[4^UO(9L7 M"CWD\=L5]W=N:MPEP<[Y@'J0M0%K;&>4XY[1W9/[1,L12'=D5_JMEYXHAMKY M[*2RABCJKWAF^WT0UHPO[Q/S-ZS5\\G)<-SAAE1R<]>,#7,>XKD-!EF:(5>/ M-76H!\C8/.>-]1C$K,NK>GM%C]K'GQY1.8)(12$-5C(49M':CF'I-]X45B;3J<9YGN^ M&/G_$=9R'"T1U8%G+]=/?@*1"^[<->O#"@QKR:(?R%JNS%##-.Y94/RM7CI$ MOJ>=%Q<7%*),S9`YD_RAK-6S:*Q1;Z7'=YWAI7YD(I(A4_*!K.5#.V/?P]NP MYO=L82VGRHW\7\9:;,60*VOXL\_$VG5!8FWNU6=*/I"UV>OUKHWUFUC+ MLK)6;_-=R#G,=5E;=[]6X95T).1V;!%KLW*=E]F6RK^#-:=U/P3=&>#W MG,V)%D:3+S^TT\]Y2QV=66"NYAQLLQ,M=Q,51G?2IO=K_Y4\`POVI#2M>L!O.)XUIJ_*Q-]&]"_>!V]7!E("]&;VYT#2]3=6)T>7!E("]47!E("]&;VYT1&5S M8W)I<'1O<@TO1F]N=$YA;64@+R,U-",V.2,V1",V-2,W,R,T12,V-2,W-R,U M,B,V1B,V1",V,2,V12,R0R,T,B,V1B,V0R,V-",T.2,W-",V,2,V0R,V.2,V M,PTO1FQA9W,@,S0-+T9O;G1"0F]X(%LM-30W("TS,#8@,3(P-B`Q,#,R70TO M4W1E;58@-S<-+TET86QI8T%N9VQE("TQ-@TO0V%P2&5I9VAT(#4P,`TO07-C M96YT(#@Y,0TO1&5S8V5N="`M,C$V#2]3=&5M2"`W-PTO3&5A9&EN9R`Q,#<- M+T%V9U=I9'1H(#0Q,@TO36%X5VED=&@@,37!E#2].86UE("]&,@TO0F%S949O;G0@+R,U-",V.2,V1",V-2,W M,R,T12,V-2,W-R,U,B,V1B,V1",V,2,V10TO16YC;V1I;F<@+U=I;D%N"!;+34V."`M,S`V(#(P,#`@,3`P-ET-+U-T96U6 M(#"!;+30Y-R`M,S`V(#$Q,C`@,3`R,UT-+U-T96U6(#%=I9'1H(#$V,3<-+TUIF4@-#$-"B]);F9O(#$@,"!2#0HO4F]O="`R(#`@4@T*+TE$6SQE,C!F-V4Y M,C@S838P.3EB8F-E83DW86$T8V(X96$T8SX\93(P9C=E.3(X,V$V,#DY8F)C M96$Y-V%A-&-B.&5A-&,^70H^/@T* EX-99.10 20 sat00406_200902ex9910.htm SATURNS 2004-6 REVISED DISTRIBUTION REPORT - FEBRUARY 2009 head>Unassociated Document
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Feb-09
15-Aug-08
17-Aug-09
11-Feb-09
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_200902_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:45 (Q355-Q357) (c) 2009 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
17-Feb-09
15-Aug-08
17-Aug-09
11-Feb-09
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
313
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:45 (Q355-Q357) (c) 2009 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Feb-09
15-Aug-08
17-Aug-09
11-Feb-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:45 (Q355-Q357) (c) 2009 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Feb-09
15-Aug-08
17-Aug-09
11-Feb-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:45 (Q355-Q357) (c) 2009 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Feb-09
15-Aug-08
17-Aug-09
11-Feb-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A2/BBB/A-
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:45 (Q355-Q357) (c) 2009 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Feb-09
15-Aug-08
17-Aug-09
11-Feb-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:45 (Q355-Q357) (c) 2009 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Feb-09
15-Aug-08
17-Aug-09
11-Feb-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A2
12/23/08
BBB
12/31/08
B UNIT
804111AA0
NR
A1
A-
A2
12/23/08
BBB
12/31/08
Page 7 of 9
29-Aug-2011 - 15:45 (Q355-Q357) (c) 2009 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Feb-09
15-Aug-08
17-Aug-09
11-Feb-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:45 (Q355-Q357) (c) 2009 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Feb-09
15-Aug-08
17-Aug-09
11-Feb-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:45 (Q355-Q357) (c) 2009 Bank of America Corporation
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MR%JNS%##-.Y94/RM7CI$OJ>=%Q<7%*),S9`YD_RAK-6S:*Q1;Z7'=YWAI7YD M(I(A4_*!K.5#.V/?P]NPYO=L82VGRHW\7\9:;,60*VOXL\_$VG5!8FWNU6=* M/I"UV>OUKHWUFUC+LK)6;_-=R#G,=5E;=[]6X95T).1V;!%KLW*= ME]F6RK^#-:=U/P3=&>#WG,V)%D:3+S^TT\]Y2QV=66"NYAQLLQ,M=Q,51G?2 MIO=K_Y4\`POVI#2M>L!O.)XUIJ_*Q-]&]" M_>!V]7!E("]&;VYT#2]3=6)T>7!E("]4 M7!E("]&;VYT1&5S8W)I<'1O<@TO1F]N=$YA;64@+R,U-",V.2,V1",V M-2,W,R,T12,V-2,W-R,U,B,V1B,V1",V,2,V12,R0R,T,B,V1B,V0R,V-",T M.2,W-",V,2,V0R,V.2,V,PTO1FQA9W,@,S0-+T9O;G1"0F]X(%LM-30W("TS M,#8@,3(P-B`Q,#,R70TO4W1E;58@-S<-+TET86QI8T%N9VQE("TQ-@TO0V%P M2&5I9VAT(#4P,`TO07-C96YT(#@Y,0TO1&5S8V5N="`M,C$V#2]3=&5M2"`W M-PTO3&5A9&EN9R`Q,#<-+T%V9U=I9'1H(#0Q,@TO36%X5VED=&@@,37!E#2].86UE("]&,@TO0F%S949O;G0@ M+R,U-",V.2,V1",V-2,W,R,T12,V-2,W-R,U,B,V1B,V1",V,2,V10TO16YC M;V1I;F<@+U=I;D%N"!;+34V."`M,S`V(#(P M,#`@,3`P-ET-+U-T96U6(#"!;+30Y-R`M,S`V(#$Q,C`@,3`R,UT-+U-T M96U6(#%=I9'1H(#$V,3<-+TUIF4@-#$-"B]);F9O(#$@,"!2#0HO4F]O="`R(#`@ M4@T*+TE$6SPS-6%D9F$U8C@U,C(S831A-#$T-34T-V(T8S@W9CDP,CX\,S5A M9&9A-6(X-3(R,V$T830Q-#4U-#=B-&,X-V8Y,#(^70H^/@T* EX-99.11 22 sat00406_200908ex9911.htm SATURNS 2004-6 REVISED DISTRIBUTION REPORT - AUGUST 2009 head>Unassociated Document
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Aug-09
17-Feb-09
16-Feb-10
12-Aug-09
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_200908_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:46 (Q355-Q357) (c) 2009 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
17-Aug-09
17-Feb-09
16-Feb-10
12-Aug-09
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
307
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:46 (Q355-Q357) (c) 2009 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Aug-09
17-Feb-09
16-Feb-10
12-Aug-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:46 (Q355-Q357) (c) 2009 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Aug-09
17-Feb-09
16-Feb-10
12-Aug-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:46 (Q355-Q357) (c) 2009 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Aug-09
17-Feb-09
16-Feb-10
12-Aug-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A2/BBB/A-
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:46 (Q355-Q357) (c) 2009 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Aug-09
17-Feb-09
16-Feb-10
12-Aug-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:46 (Q355-Q357) (c) 2009 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Aug-09
17-Feb-09
16-Feb-10
12-Aug-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A2
12/10/09
BBB
12/31/08
B UNIT
804111AA0
NR
A1
A-
A2
12/10/09
BBB
12/31/08
Page 7 of 9
29-Aug-2011 - 15:46 (Q355-Q357) (c) 2009 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Aug-09
17-Feb-09
16-Feb-10
12-Aug-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:46 (Q355-Q357) (c) 2009 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
17-Aug-09
17-Feb-09
16-Feb-10
12-Aug-09
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:46 (Q355-Q357) (c) 2009 Bank of America Corporation
EX-99.11 23 sat00406_200908ex9911.pdf SATURNS 2004-6 REVISED DISTRIBUTION REPORT - AUGUST 2009 begin 644 sat00406_200908ex9911.pdf M)5!$1BTQ+C0-"B6FZ<_$#0HQ(#`@;V)J#0H\/`T*+T-R96%T;W(@/$9%1D8P M,#4S,#`T,3`P-30P,#,P,#`S,#`P,S0P,#,P,#`S-C`P-48P,#,R,#`S,#`P M,S`P,#,Y,#`S,#`P,S@P,#5&,#`S,3`P,D4P,#)S=&MMNV\CU MW8#^@4]=$:@8SI5DGNHXS3:+S3:;N%B@=5%H?9&-2%;6EI.Z7]]S&W*&HFQ1 M:5&@"&"%PS/G-N<^_&URI+,?)D>JS-Y-CLH,_WWX'OY7-#[[.CFZA??&%DIG MUE2%:C+CRD+YK,&EN\O)T2_9;0)E?6%4MIHO"VK"P'Z'*-+BGJ7!+DRD@ M%Y-(478T&'Z,++PCB#)$A"%6Z8;Q)$A-?3EB@%5/<_N14-X41F>U*UR3V0K, MR6Z?B``UMJC(FCUXF?/RO*6#7LDF51^;"PI_=K MA7M,4Q9UA2?CBJ8?-&.L'1G9,D8>V1+D&2(C(*O>E@.H\.%LB9/`K'I*W#,# MU`V=+R<;Y5TQ$,8"4)L#*C"49F3`K"SQ;P"7Q4#F?%'7:91)L'9D9,LH@62/ M"#1$1B!6_2V'D.'SV1(H!5KU%3DNT1@,:Q3?JZ+286&4IS>J:!Q'),K[_!RC M>'4Z801WB\G1BS__WT MA\D?3_?7L"F!50C%5+>P@K]GW&MF84E"71"+*Q3(!;9OD3E(U4`=64X%O*8U MY!\!C&CM[?@M3%^.3^BS1#"GY$MB%M3U\1 M'MQ1T8D0TM921BNR:C!%.@-AL;74B*^$%5EKCU%8T.:WU M3H\X\:!SA=]ON)1X%PK//R+M?Z=V2U7X9 MU"YV=87/:+LG:SX&-OQ-@*YH*7+U^Z?UH+.JJ&,M>$AA$,N5L-[P*21 M/43X"#0JM&D/7%WRVBVM;9C7R`]D:?F)V[E!^"P>` MV-?$P!WJ4P%;3S&L3%"1%];Z/&%`%[**:EUP<]!%G:2.?1E731 M)^9NC0[D'$1#DT'7!G3'J2X@,)@0 M)Z.XJ>M:NH.%0:!*ND->JQ!5X_F'O$&&+!YK.%``V_'.;)VLD.*[)VO(.BY[YAMZLG$T<4DK;PR$`OK.!!8^3ND?&0:@IYS MD.@]/M78=^UM&`%#U1D&Q[UKHMD3VH)B`^L)0$]PC.9_0,TT8.$1&(?V3PS& M,?B*[4L`DD1P1U[!M"5N"QCK*(GEJP,RA>/H6^FA3/&%N8Q%ES>8+PS8^S?E M_RTO<&AX&!?#.4#X9BM3TU\PFY>H>FU1)^]`,U1'<3%*=G\C91!9__J6MVJI M,H._.)*"D%W&[=#O`V8&?V!?VX1J5&L45]5E/S;M*U9<'9S@B1NPGXAMJ1WG MS-IB+?Q44.\CRS^BQC%#^]+[?K[;EX<2="8L2'_$PAX/^)6BOA(.N6&_\G6& MH\\HXLHJ4H`W"-WNJ51V#HWMB[[VF/&"IJ"*10G-NZ[1#X%%1G^8F1 M[2R;[D/!O9&J40SV!,OG.A2'4OXP#-OY55QLGC/8$&5V_C6[R)+>7-!2Z[J$ M9VQ1'I2`Y6C=FHOCIE*W?G@="K;=I1UKXSP.7\M(SD2F4%J3,+=!5ZS\)*1) M;3U/U/=XH(QEU14PKW)I?9@#9+TM2M]2%$P*^?3\+F/5M&7VA^2H6]U$%,8I MAY5ZD*BF\9B36-0_<\R,DTQG,]S5)*>Z'+)^DBG2$.GA-LXG28'/I_9ZG/G,8TXC==IE(42:B44\CD:!?+H7VE&#CBN1\P)KX?:^2&EL,DVDG MR2CIVQ>MA5MH*:"H/0Q_'.>?PF\.Q!_'V*?P]TOK/?$G@>TI_.Y`_'&$>0K_ M,T/`G?AC5W\*?W4@_M8]GT)>'X@\=J.G\/>;UN?K1;$>4\>G*Y,A+%,77+I* M!7TVS;G6HB"9[L)%0MQ%/5OH>KR5 MB]M/BDS6`/[V)&8**[9[',67X>Y3E[066=4@/:6ZN>@[DI.J M>+$!GJP8:N[I84D/>"7B\<[E-?)$7N"!*8:Y!4EIYGR\,L[+PLN'MBL4,4MN5VX*PUJ`4J7VM$@>/#W\(Q[I)<#)G*D6 M8/PKLRD>J/R5R7#'\7ZLB;G&8K40V_0)V;02:Q!#$\N^H36QNL53)K;O.>YB M2(44^H8LW@GIN]3A-ERG&Q"\XJ$.$GUD_E*+:EU%=OPWF"[IPX!0W+(:APC0 MI;6EN7(LG+`H.Y:=;`S42M>$MG9;.$3S,A(Q]K"-N/F!+N8;A_,@=#'?FT>[ M@7GTY[B32*;X8PNW0)@#3T+8CQF$CZ=KN2"-@A;/@Q-Y>W<#T1NS#]F!C._I MGD`U57S+2>-L2?*<@[?OG6LR-.[CP`9J,`:*>TV;K]N,*NN2&.>WH8VBV?SY M-IGUV&[/V`:UIVK;WEBGS=GG>*+,G1%W09MXM,/S9#1I7P+$.S1EU;5>\!]( MZ6$/`\OX1R9A_.8AQA:-A*E'$\,)K60T-6XG,R?QL(>Q?!ZK$%UC=%"5Q=-- M.DD9%/6F<4CD*P,D]\G)4*_3#_'Y#J.:3AE=A+N0<+O,4@\,*KEW7<;X'P-X M,M)CYX[9:=MW8>1C[!7"_I=HUWGH[:,Y&`V0<5LRF3@?V[$W].&+@M1D]/,C M$=+-(@P0Q11$9>F%_'G0"'*UK?%HN,H'*??DW^6JY`S*(XID-O@E/O(P#=PR M_W9OT&H\2MRMU5WZC*YC7H"\EFX<8F.(I;Z([X*BRW=2U^^0,0U0[^4V+U(" ML_X=AA(7';"KZ(N@2`?BJ,78`LQ3+UF5R3RVM61"_2DP*CQ=A;F>U&CIER([ M[JZH(95C3E6?N.52_HI=R)3J<7NR?3UP=^'IDV"0J''R$>VXN^*`H.EBBX2. 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M+LF"!XLDX_"_TCN,MN/S32(VBX\[(P^JN*S\CS:J6,$G:?!B73X'FRNX@,:U MX263"IL(/U)(N.A,XA>_TLB",JXS[U6Y@FNI(K6?OJ51C0O-X6=^R1R.G6ON M3&&C*DRP4U&GBO![@QR^&H%O(."K%N@OZ/&W.T.+K`QGQY080-?MY5P'_!15^,@O\+O'>!90@,3V0SI=D5N:>EAAP\_TT0@ M9VBB*8&\+B,%4Q[0[H",`H.`[F3F*6%'\9<+M*?O4..45Z*QCR1+NF`QH/F: MK@12A!'^]**4X\'_`8"L%IT-"F5N9'-T7!E("]086=E#0HO M4&%R96YT(#,@,"!2#0HO365D:6%";WA;,"`P(#@T,B`U.35=#0HO4F5S;W5R M8V5S/#P-"B]00"7QZDM)GJJJ[*R M'Q\O+R\_&_`]?7U\_/S5VO4,1]0 MWMZ$53K]:WX[9P\,#E)VF)$",?)L0`3-F$QHB:S(#31C=\=3/%E@+C./:-)6!;](_!84&% MD5DG-).:S7$E]([SED% MQF_!)Z5ZG,U>"(?-).!RT5.^)*7A:W]_GY'RBBB;&UR&(17PHJ:M0/*LL(80 M7"74TV0#Y3=FC6G:AK@6:J>\LMD0^H&`-680S+ZNVA6$E0L/'B"QL3G^0"!@ M'RI4/Q24V!`Z%E5PH6)?80V^+$EWT8>^2,)-=GH>D+=Y;EA+M=K0A5/*>4AN MB6(".TR&25G/9!(?*\!OI/G<9'C&2(^UL&K%V^>"9M2\;=@92VN``N-UB'/' M.+XH(>Z0AM@DPX8O?+4Q?L,:S97L7_K"_I%`H:/0'Q28K$OERAI_49BWM,H8 M27'1'"Z<_C)-Q^NB'BE%:2ZZ>*MAL^\62,2!UU)]J-8)H_L;JCFTUTDSIX]#+2)&,/G/YLHNY4WE8T[R.FBX< MM8G+`68(E&.KM$IW)N2P9AVHB;LRZ@@)"[RMCE%9PR;J`T?IT7VH,9@FXV?S MOZ2@0YJ[_&Z,@\PZKS$?64X&T-IF9I_YC9OA)XM8BWFK3P8,V1C7_<85:-6D MG;FL-3+U+AI>#J@Z5]88;PR(1X6U!%2=I$*]JR.?\>KF5>J'983$DAHJG=97 MA%*:4`'E:Q/]1.^-DKRBN=$7UAPI7,^&%6R>Z8LNT#R2:UH8`U+&E"%RE#6(#B]QZ0P<)>OR8"YK MU?Z69'?`V%=AK7H:'N[*1/LTBC6[['1$BK85)4G1J!KEUV5M-EJ(.C$Q(D35 M-<#JK%512DBV9%!95*_"FONUFA(;RXOLFL>LQ4H)U4QSGFZMPAIM:Y"Z!UG* M&G7JALME,*WJGB4,KLN:W9F(LNJ#-4:W=!%2)=R\!B.M^U],@4"WEE:8#0YS M-&%J(?$QA26RU!ENO46FB7>[8(/;U:7(Z.JYS<]"L_+WC+J>S;K4?P\B MK3G!RYFA1Y$5V8]_QC5H[NS&WO)3T+#FMK&>>;Z?-:QT.N!QP)BU\5ZUL_8V M8D9WCE[$U!.DL.:U.#M3[6\AFQ<*/>3QVQ7W=VYJW"7!SOF`>I"U`6ML9Y3C MGM'=D_M$RQ%(=V17^JV7GBB&VOGLI+*&*.JO>&;[?1#6C"_O$_,WK-7SRT5S3R/]6T^6 MQEGZ.Z,>`47_R7`$5UGS)(I18W9-FJ@,C[P-:[%2/7UZ/VL>?'E$Y@DA%(0U M6,A1FT=J.8>DWWA16)M.IQGF>[X8^?\1UG(<+1'5@6.D2^IYT7%Q<4HDS-D#F3_*&LU;-HK%%OI<=W MG>&E?F0BDB%3\H&LY4,[8]_#V[#F]VQA+:?*C?Q?QEILQ9`K:_BSS\3:=4%B M;>[59TH^D+79Z_6MRY(56?,`')U_&6M)\CQ4UF8O7,@.K[")'Y-\-FOYIAJ8 MA',QI#O-%K.6H3D%.R=ZC?6;6,MP_-ZRLE9O\UW(.7!E#2].86UE("]&,0TO0F%S949O;G0@+R,U-",V.2,V1",V M-2,W,R,T12,V-2,W-R,U,B,V1B,V1",V,2,V12,R0R,T,B,V1B,V0R,V-",T M.2,W-",V,2,V0R,V.2,V,PTO16YC;V1I;F<@+U=I;D%N7!E("]&;VYT M1&5S8W)I<'1O<@TO1F]N=$YA;64@+R,U-",V.2,V1",V-2,W,R,T12,V-2,W M-R,U,B,V1B,V1",V,2,V10TO1FQA9W,@,S0-+T9O;G1"0F]X(%LM-38X("TS M,#8@,C`P,"`Q,#`V70TO4W1E;58@-S<-+TET86QI8T%N9VQE(#`-+T-A<$AE M:6=H="`U,#`-+T%S8V5N="`X.3$-+T1E%=I9'1H(#(U-C@-+TUI M7!E("]& M;VYT#2]3=6)T>7!E("]47!E("]&;VYT1&5S8W)I<'1O<@TO1F]N=$YA;64@+R,U-",V.2,V1",V M-2,W,R,T12,V-2,W-R,U,B,V1B,V1",V,2,V12,R0R,T.2,W-",V,2,V0R,V M.2,V,PTO1FQA9W,@,S0-+T9O;G1"0F]X(%LM-#DW("TS,#8@,3$R,"`Q,#(S M70TO4W1E;58@-S<-+TET86QI8T%N9VQE("TQ-@TO0V%P2&5I9VAT(#4P,`TO M07-C96YT(#@Y,0TO1&5S8V5N="`M,C$V#2]3=&5M2"`W-PTO3&5A9&EN9R`Q M,#<-+T%V9U=I9'1H(#0P,0TO36%X5VED=&@@,38Q-PTO36ES7!E("]&;VYT#2]3=6)T M>7!E("]4"!;+34U."`M,S`V(#(P,#`@,3`R-5T-+U-T96U6(#7!E("]086=E7!E("]#871A;&]G#0HO4&%G97,@,R`P(%(-"B]086=E M36]D92`O57-E3F]N90T*/CX-"F5N9&]B:@T*>')E9@T*,"`T,0T*,#`P,#`P M,#`P,"`V-34S-2!F#0HP,#`P,#`P,#$W(#`P,#`P(&X-"C`P,#`P,SDY,3(@ M,#`P,#`@;@T*,#`P,#`S.3 EX-99.12 24 sat00406_201002ex9912.htm SATURNS 2004-6 REVISED DISTRIBUTION REPORT - FEBRUARY 2010 head>Unassociated Document
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Feb-10
17-Aug-09
16-Aug-10
10-Feb-10
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_201002_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:47 (Q355-Q357) (c) 2010 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
16-Feb-10
17-Aug-09
16-Aug-10
10-Feb-10
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
301
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:47 (Q355-Q357) (c) 2010 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Feb-10
17-Aug-09
16-Aug-10
10-Feb-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:47 (Q355-Q357) (c) 2010 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Feb-10
17-Aug-09
16-Aug-10
10-Feb-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:47 (Q355-Q357) (c) 2010 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Feb-10
17-Aug-09
16-Aug-10
10-Feb-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A2/BBB/A-
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:47 (Q355-Q357) (c) 2010 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Feb-10
17-Aug-09
16-Aug-10
10-Feb-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:47 (Q355-Q357) (c) 2010 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Feb-10
17-Aug-09
16-Aug-10
10-Feb-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A2
12/10/09
BBB
12/31/08
B UNIT
804111AA0
NR
A1
A-
A2
12/10/09
BBB
12/31/08
Page 7 of 9
29-Aug-2011 - 15:47 (Q355-Q357) (c) 2010 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Feb-10
17-Aug-09
16-Aug-10
10-Feb-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:47 (Q355-Q357) (c) 2010 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Feb-10
17-Aug-09
16-Aug-10
10-Feb-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:47 (Q355-Q357) (c) 2010 Bank of America Corporation
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Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-10
16-Feb-10
15-Feb-11
11-Aug-10
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_201008_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:48 (Q355-Q357) (c) 2010 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
16-Aug-10
16-Feb-10
15-Feb-11
11-Aug-10
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
295
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:48 (Q355-Q357) (c) 2010 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-10
16-Feb-10
15-Feb-11
11-Aug-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:48 (Q355-Q357) (c) 2010 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-10
16-Feb-10
15-Feb-11
11-Aug-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:48 (Q355-Q357) (c) 2010 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-10
16-Feb-10
15-Feb-11
11-Aug-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A3/BBB/A-
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:48 (Q355-Q357) (c) 2010 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-10
16-Feb-10
15-Feb-11
11-Aug-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:48 (Q355-Q357) (c) 2010 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-10
16-Feb-10
15-Feb-11
11-Aug-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A3
3/10/10
BBB
12/31/08
B UNIT
804111AA0
NR
A1
A-
A3
3/10/10
BBB
12/31/08
Page 7 of 9
29-Aug-2011 - 15:48 (Q355-Q357) (c) 2010 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-10
16-Feb-10
15-Feb-11
11-Aug-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:48 (Q355-Q357) (c) 2010 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
16-Aug-10
16-Feb-10
15-Feb-11
11-Aug-10
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:48 (Q355-Q357) (c) 2010 Bank of America Corporation
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MJ<'_*VL8$)U]YB'#RE#6(#B]QZ0P<)>OR M8"YKU?Z69'?`V%=AK7H:'N[*1/LTBC6[['1$BK85)4G1J!KEUV5M-EJ(.C$Q M(D35-<#JK%512DBV9%!95*_"FONUFA(;RXOLFL>LQ4H)U4QSGFZMPAIM:Y"Z M!UG*&G7JALME,*WJGB4,KLN:W9F(LNJ#-4:W=!%2)=R\!B.M^U],@4"WEE:8 M#0YS-&%J(?$QA26RU!ENO46FB7>[8(/;U:7(Z.JYS<]"L_+WC+J>S;K4 M?P\BK3G!RYFA1Y$5V8]_QC5H[NS&WO)3T+#FMK&>>;Z?-:QT.N!QP)BU\5ZU ML_8V8D9WCE[$U!.DL.:U.#M3[6\AFQ<*/>3QVQ7W=VYJW"7!SOF`>I"U`6ML M9Y3CGM'=D_M$RQ%(=V17^JV7GBB&VOGLI+*&*.JO>&;[?1#6C"_O$_,WK-7S MRT5S3R/] M6T^6QEGZ.Z,>`47_R7`$5UGS)(I18W9-FJ@,C[P-:[%2/7UZ/VL>?'E$Y@DA M%(0U6,A1FT=J.8>DWWA16)M.IQGF>[X8^?\1UG(<+1'5@6.D2^IYT7%Q<4HDS-D#F3_*&LU;-HK%%O MI<=WG>&E?F0BDB%3\H&LY4,[8]_#V[#F]VQA+:?*C?Q?QEILQ9`K:_BSS\3: M=4%B;>[59TH^D+79Z_6MRY(56?,`')U_&6M)\CQ4UF8O7,@.K[")'Y-\-FOY MIAJ8A',QI#O-%K.6H3D%.R=ZC?6;6,MP_-ZRLE9O\UW(.7!E#2].86UE("]&,0TO0F%S949O;G0@+R,U-",V.2,V M1",V-2,W,R,T12,V-2,W-R,U,B,V1B,V1",V,2,V12,R0R,T,B,V1B,V0R,V M-",T.2,W-",V,2,V0R,V.2,V,PTO16YC;V1I;F<@+U=I;D%N7!E("]& M;VYT1&5S8W)I<'1O<@TO1F]N=$YA;64@+R,U-",V.2,V1",V-2,W,R,T12,V M-2,W-R,U,B,V1B,V1",V,2,V10TO1FQA9W,@,S0-+T9O;G1"0F]X(%LM-38X M("TS,#8@,C`P,"`Q,#`V70TO4W1E;58@-S<-+TET86QI8T%N9VQE(#`-+T-A M<$AE:6=H="`U,#`-+T%S8V5N="`X.3$-+T1E%=I9'1H(#(U-C@- M+TUI7!E M("]&;VYT#2]3=6)T>7!E("]47!E("]&;VYT1&5S8W)I<'1O<@TO1F]N=$YA;64@+R,U-",V.2,V M1",V-2,W,R,T12,V-2,W-R,U,B,V1B,V1",V,2,V12,R0R,T.2,W-",V,2,V M0R,V.2,V,PTO1FQA9W,@,S0-+T9O;G1"0F]X(%LM-#DW("TS,#8@,3$R,"`Q M,#(S70TO4W1E;58@-S<-+TET86QI8T%N9VQE("TQ-@TO0V%P2&5I9VAT(#4P M,`TO07-C96YT(#@Y,0TO1&5S8V5N="`M,C$V#2]3=&5M2"`W-PTO3&5A9&EN M9R`Q,#<-+T%V9U=I9'1H(#0P,0TO36%X5VED=&@@,38Q-PTO36ES7!E("]&;VYT#2]3 M=6)T>7!E("]4"!;+34U."`M,S`V(#(P,#`@,3`R-5T-+U-T96U6(#7!E("]086=E7!E("]#871A;&]G#0HO4&%G97,@,R`P(%(-"B]0 M86=E36]D92`O57-E3F]N90T*/CX-"F5N9&]B:@T*>')E9@T*,"`T,0T*,#`P M,#`P,#`P,"`V-34S-2!F#0HP,#`P,#`P,#$W(#`P,#`P(&X-"C`P,#`P,SDX M-S`@,#`P,#`@;@T*,#`P,#`S.3 EX-99.14 28 sat00406_201102ex9914.htm SATURNS 2004-6 REVISED DISTRIBUTION REPORT - FEBRUARY 2011 head>Unassociated Document
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Reporting Package Table of Contents
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-11
16-Aug-10
15-Aug-11
10-Feb-11
Administrator:
Thais Hayum 312.904.8944
thais.hayum@bankofamerica.com
Revised Date:
540 W. Madison Street, Suite 1800
Chicago, IL 60661
USA
Statements to Certificateholders
Cash Reconciliation Summary
Bond Interest Reconciliation
Other Related Information
Other Related Information
Rating Information
Realized Loss Detail
US Bank Disclaimer
Page 2
Page 3
Page 4
Page 5
Page 6
Page 7
Page 8
Page 9
Page(s)
Information is available for this issue from the following sources
Issue Id:
Monthly Data File
Name:
SAT00406
SAT00406_201102_3.ZIP
Closing Date:
First Payment Date:
Rated Final Payment: Date:
15-Apr-04
16-Aug-04
15-Feb-34
Parties to The Transaction
Depositor: MS Structured Asset Corp
Underwriter: Morgan Stanley Capital Services, Inc
Rating Agency: Moody's Investors Service, Inc./Standard & Poor's, Inc.
Bank of America Merrill Lynch
www.etrustee.net
Page 1 of 9
29-Aug-2011 - 15:49 (Q355-Q357) (c) 2011 Bank of America Corporation
Class
CUSIP
Original
Opening
Principal
Principal
Negative
Closing
Interest
Interest
Pass-Through
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Factor per $ 1000
Next Rate(3)
WAC:
WAMM:
Payment Date:
Prior Payment:
Next Payment:
Record Date:
6.331250%
29-Aug-11
15-Feb-11
16-Aug-10
15-Aug-11
10-Feb-11
Structured Asset Trust Unit Repackagings (SATURNS)
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Face Value (1)
Balance
Payment
Adj. or Loss
Amortization
Balance
Payment (2)
Adjustment
Rate
288
Grantor Trust
Revised Date:
1000.000000000
0.000000000
0.000000000
1000.000000000
30.000000000
Fixed
0.00
0.00
0.000000000
6.0000000000%
0.000000000
804111201
A UNIT
80,000,000.00
0.00
0.00
80,000,000.00
2,400,000.00
80,000,000.00
1000.000000000
0.000000000
0.000000000
1000.000000000
37.177328844
0.00
0.00
0.000000000
0.0000000000%
0.000000000
N
804111AA0
B UNIT
3,564,000.00
0.00
0.00
3,564,000.00
132,500.00
3,564,000.00
Total P&I Payment
0.00
0.00
80,000,000.00
80,000,000.00
2,532,500.00
Total
80,000,000.00
0.00
0.00
2,532,500.00
29-Aug-2011 - 15:49 (Q355-Q357) (c) 2011 Bank of America Corporation
Page 2 of 9
Notes: (1) N denotes notional balance not included in total (2) Accrued Interest Plus/Minus Interest Adjustment Minus Deferred Interest equals Interest Payment (3) Estimated. * Denotes Controlling Class
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-11
16-Aug-10
15-Aug-11
10-Feb-11
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Revised Date:
Cash Reconciliation Summary
Current Scheduled Interest
Interest Summary
Less Deferred Interest
Plus Gross Advance Interest
Less PPIS Reducing Scheduled Int
2,532,500.00
0.00
0.00
Less ASER Interest Adv Reduction
0.00
Less Other Adjustment
0.00
Total
2,532,500.00
Unscheduled Interest:
Prepayment Penalties
0.00
Yield Maintenance Penalties
0.00
Other Interest Proceeds
0.00
Total
0.00
Less Fees & Expenses Paid By/To Servicer
Less Fee Paid To Servicer
Less Fee Strips Paid by Servicer
Special Servicing Fees
Interest Due Serv on Advances
Recoup of Prior Advances
Misc. Fees & Expenses
Total Unscheduled Fees & Expenses
Total Interest Due Trust
Less Fees & Expenses Paid By/To Trust
Trustee Fee
Fee Strips
Interest Reserve Withholding
Plus Interest Reserve Deposit
Total
Total Interest Due Certs
Principal Summary
Scheduled Principal:
Current Scheduled Principal
Advanced Scheduled Principal
Scheduled Principal
Unscheduled Principal:
Curtailments
Prepayments in Full
Liquidation Proceeds
Repurchase Proceeds
Other Principal Proceeds
Total Unscheduled Principal
Remittance Principal
Remittance P&I Due Trust
Remittance P&I Due Certs
Pool Balance Summary
Beginning Pool
Scheduled Principal
Unscheduled Principal
Deferred Interest
Liquidations
Repurchases
Ending Pool
Balance
Count
Principal
Interest
Prior Outstanding
Plus Current Period
Less Recovered
Ending Outstanding
Servicing Fee Summary
Current Servicing Fees
Plus Fees Advanced for PPIS
Less Reduction for PPIS
Plus Delinquent Servicing Fees
Total Servicing Fees
PPIS Summary
Gross PPIS
Reduced by PPIE
Reduced by Shortfalls in Fees
Reduced by Other Amounts
PPIS Reducing Scheduled Interest
PPIS Reducing Servicing Fee
PPIS Due Certificate
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
80,000,000.00
1
0.00
0.00
0
0.00
0.00
0
0.00
0
80,000,000.00
1
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,532,500.00
Interest Not Advanced (
Current Period
)
0.00
0.00
Workout Fees
Liquidation Fees
0.00
0.00
Less Non Recovered
0.00
0.00
0.00
0.00
0.00
Advance Summary (Advance Made by Servicer)
0
0.00
Misc. Fees
2,532,500.00
Less Modification Shortfall Amount
0.00
Page 3 of 9
29-Aug-2011 - 15:49 (Q355-Q357) (c) 2011 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Class
Accrued
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-11
16-Aug-10
15-Aug-11
10-Feb-11
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Bond Interest Reconciliation
Deductions
Allocable
Deferred &
Prior
Prepay-
Other
Additions
Interest
Original
Current(4)
Accrual
Int. Short-
falls Due
ment
Interest
Interest (2)
Payment
Amount
PPIS
Interest
Certificate
Accretion
Interest
Loss/Exp
Interest
Penalties
Proceeds (1)
Interest
Shortfalls
Certificate
Rate
Pass
Thru
Method Days
Outstanding
Remaining
Revised Date:
Distributable
Current Period
(Shortfall)/
Recovery
Int Accrual
on Prior
Shortfall (3)
1.00
1.00
Credit Support
0.00
0.00
0.00
0.00
0.00
A UNIT
2,400,000.00
2,400,000.00
2,400,000.00
0.00
NA
NA
6.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
B UNIT
132,500.00
132,500.00
132,500.00
0.00
NA
NA
0.0000000000%
0.00
0.00
0.00
30/360
180
0.00
0.00
0.00
0.00
0.00
2,532,500.00
2,532,500.00
2,532,500.00
0.00
0.00
0.00
0.00
(1) Other Interest Proceeds are additional interest amounts specifically allocated to the bond(s) and used in determining the bonds Distributable Interest.
(4) Determined as follows: (A) the ending balance of all the classes less (B) the sum of (i) the ending balance of the class and (ii) the ending balance of all classes which are not subordinate to the class divided by (A).
(3) Includes interest accrued on outstanding Interest Shortfalls and/or Loss Allocations. Where applicable.
(2) Accrued - Deductions + Additions Interest
29-Aug-2011 - 15:49 (Q355-Q357) (c) 2011 Bank of America Corporation
Page 4 of 9
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-11
16-Aug-10
15-Aug-11
10-Feb-11
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
Swap Recipients
Swap Amount Received
Next Swap Rate
Swap Information
Underlying Information
Name
Goldman Sachs Capital I 6.345% Trust Preferred Capital Securities due February 15, 2034
Cusip
38143VAA7
Balance
Current Rate
Next Rate
Amount Received
Ratings Moody/S&P/Fitch
A3/BBB-/A-
$80,000,000.00
6.345%
6.345%
$2,538,000.00
0.00
0.0000%
Series 2004-6
Page 5 of 9
29-Aug-2011 - 15:49 (Q355-Q357) (c) 2011 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-11
16-Aug-10
15-Aug-11
10-Feb-11
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Other Related Information
Revised Date:
The underlying security issuer or guarantor, as applicable, is subject to the informational requirements of the Exchange Act. The
underlying security issuer or guarantor, as applicable, currently files reports, proxy statements and other information with the SEC.
Those periodic reports, current reports and other reports and other information can be inspected and copied at the public reference
facilities maintained by the SEC at Room 1024, 450 Fifth Street, N.W., Washington, D.C. 20549, at prescribed rates. The SEC also
maintains a website on the internet at http://www.sec.gov at which users can view and download copies of reports, proxy, information
statements and other information filed electronically. In addition, those reports and other information may also be obtained from the
underlying security issuer by making a request to the underlying security issuer.
Page 6 of 9
29-Aug-2011 - 15:49 (Q355-Q357) (c) 2011 Bank of America Corporation
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-11
16-Aug-10
15-Aug-11
10-Feb-11
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Rating Information
Class
CUSIP
Fitch
Moody's
S&P
Fitch
Moody's
S&P
Original Ratings
Current Ratings/As of Date(1)
Revised Date:
A UNIT
804111201
NR
A1
A-
A3
3/10/10
BBB-
12/22/10
B UNIT
804111AA0
NR
A1
A-
A3
3/10/10
BBB-
12/22/10
Page 7 of 9
29-Aug-2011 - 15:49 (Q355-Q357) (c) 2011 Bank of America Corporation
NR - Designates that the class was not rated by the rating agency.
(1) Current ratings provided on this report are based on information provided by the applicable rating agency via electronic transmission. It shall be understood that this transmission will generally have been provided to US Bank within 30 days of the payment date
listed on this statement. Because ratings may have changed during the 30 day window, or may not be provided by the rating agency in an electronic format and therefore not being updated on this report, US Bank recommends that investors obtain current rating
information directly from the rating agency.
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-11
16-Aug-10
15-Aug-11
10-Feb-11
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Realized Loss Detail
Period
Disclosure
Control #
Appraisal
Date
Appraisal
Value
Beginning
Scheduled
Balance
Gross
Proceeds
Gross Proceeds
as a % of
Sched. Balance
Aggregate
Liquidation
Expenses *
Net
Liquidation
Proceeds
Net Proceeds
as a % of
Sched. Balance
Revised Date:
Realized Loss
Current Total
Cumulative
29-Aug-2011 - 15:49 (Q355-Q357) (c) 2011 Bank of America Corporation
Page 8 of 9
* Aggregate liquidation expenses also include outstanding P&I advances and unpaid servicing fees, unpaid trustee fees, etc..
Structured Asset Trust Unit Repackagings (SATURNS)
Payment Date:
Prior Payment:
Next Payment:
Record Date:
29-Aug-11
15-Feb-11
16-Aug-10
15-Aug-11
10-Feb-11
Goldman Sachs Capital I Capital Security Backed
Series 2004-6
Disclaimer
Revised Date:
On December 30, 2010, substantially all of the Global Securities Solutions securitization trust administration business
of Bank of America, N.A. and its affiliates (collectively, "Bank of America") located in the United States, the United
Kingdom and Ireland was acquired by the corporate trust division of U.S. Bank National Association and its affiliates
(collectively, "U.S. Bank"). As a result of the acquisition, substantially all of the relationships of the Global Securities
Solutions securitization trust administration business are being administered by U.S. Bank, with transitional assistance
from Bank of America. The securitization trust administration functions and roles that are being transitioned include,
but are not limited to, Bank of America's roles and duties as trustee, securities administrator, paying agent, collateral
agent, custodian, security registrar, calculation agent and depositary. Succession by U.S. Bank of securitization trust
administration roles from Bank of America shall be subject to satisfaction of any applicable requirements or conditions
set forth in the applicable agreements. During the transition period, until further notice is provided, all communications
and any other ongoing activities regarding the securitization trust administration business should continue to be made
through your current Bank of America contacts. Should you have any questions in relation to either this notice or the
servicing of your account, please contact the applicable Transaction Manager.
Page 9 of 9
29-Aug-2011 - 15:49 (Q355-Q357) (c) 2011 Bank of America Corporation
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