Guaranty Portfolio Report
As of December 31, 2007


Guaranty Program
  Approved Lines
Availed Lines
Available Balance
Outstanding Guarantees
  Value
% to Total
  Cash
   Standard
 Bond
No. of Accounts
I. RETAIL                  
  A. Developers CTS Line
3,500,000,000
2,936,361,704
563,638,296
      1,207,419,227
1.66%
-
       14,209,943
     1,193,209,284
     2,843
  B. Financial Institutions Line       (Mortages & CTS)
134,540,000,000
119,204,796,721
15,335,203,279
    61,464,304,176
84.40%
      779,654,460
  1,527,054,672
   59,157,595,044
  157,464
 Sub-Total
138,040,000,000
122,141,158,426
15,898,841,574
 62,671,723,403
86.06%
    779,654,460
1,541,264,615
60,350,804,328
   160,307
II. DEVELOPMENTAL
-
  
  
  
   
   
  
     
  

   A. Developer's Line
      (Devt'l. Loans)

7,600,000,000
5,196,863,437
2,403,136,563
1,153,792,761
1.58%
69,277,811
-
1,084,514,951
13,297
III. SECURITIZATION SCHEME
 
 
 
 
 
 
 
 
 
    A.Bonds
 
   B.A/MBS
9,000,000,000
500,000,000
9,000,000,000
92,652,278
-
407,347,722
9,000,000,000
-
12.36%
0.00%
7,000,000,000
-
-
2,000,000,000
-
34,163
-
 Sub-Total
9,500,000,000
9,092,652,278
407,347,722
9,000,000,000
12.36%
7,000,000,000
-
2,000,000,000
34,163
TOTAL
155,140,000,000
136,430,674,141
18,709,325,859
72,825,516,164
100.00%
7,848,932,271
1,541,264,615
63,435,319,279
207,767