Multiple Issuer Pool Interest Rates for the following pools in the January 2014 Monthly Consolidated Disclosure File have been updated:
• For Pool 081170: The incorrect rate is 4.750; the correct rate is 1.625. • For Pool 080770: The incorrect rate is 4.125; the correct rate is 1.625.
The Monthly Consolidated Disclosure File published on the 6th Business Day of February will not be corrected; users should update their records accordingly.
For questions related to this correction, please send an email to investorinquiries@hud.gov. |