BANK5 Trust 2024-5YR

09/30/2025 | Press release | Distributed by Public on 09/30/2025 09:39

Asset-Backed Issuer Distribution Report (Form 10-D)

Distribution Date:

09/17/25

BANK5 Trust 2024-5YR6

Determination Date:

09/11/25

Next Distribution Date:

10/20/25

Record Date:

08/29/25

Commercial Mortgage Pass-Through Certificates

Series 2024-5YR6

Table of Contents

Contacts

Section

Pages

Role

Party and Contact Information

Certificate Distribution Detail

2

Depositor

J.P. Morgan Chase Commercial Mortgage Securities Corp.

Certificate Factor Detail

3

Attention: Kunal K. Singh

[email protected]

Certificate Interest Reconciliation Detail

4

383 Madison Avenue, 8th Floor | New York, NY 10179 | United States

Certificate Administrator

Computershare Trust Company, N.A.

Exchangeable Certificate Detail

5

Corporate Trust Services (CMBS)

[email protected];

Exchangeable Certificate Factor Detail

6

[email protected]

Additional Information

7

9062 Old Annapolis Road | Columbia, MD 21045 | United States

Bond / Collateral Reconciliation - Cash Flows

8

Master Servicer

Trimont LLC

Bond / Collateral Reconciliation - Balances

9

Attention: CMBS Servicing

[email protected]

550 S. Tryon Street, Suite 2400 | Charlotte, NC 28202 | United States

Current Mortgage Loan and Property Stratification

10-14

Primary Servicer

Midland Loan Services, a Division of PNC Bank, N.A.

Mortgage Loan Detail (Part 1)

15-16

Attention: Executive Vice President - Division Head

(913) 253-9000

askmidlandls.com

Mortgage Loan Detail (Part 2)

17-18

10851 Mastin Street, Suite 300 | Overland Park, KS 66210 | United States

Principal Prepayment Detail

19

Special Servicer

LNR Partners, LLC

Historical Detail

20

Heather Bennett and Arne Shulkin

[email protected]; [email protected];

Delinquency Loan Detail

21

[email protected]

2340 Collins Avenue, Suite 700 | Miami Beach, FL 33139 | United States

Collateral Stratification and Historical Detail

22

Operating Advisor & Asset

Park Bridge Lender Services LLC

Specially Serviced Loan Detail - Part 1

23

Representations Reviewer

Specially Serviced Loan Detail - Part 2

24

Surveillance Manager

[email protected]

600 Third Avenue,40th Floor | New York, NY 10016 | United States

Modified Loan Detail

25

Trustee

Computershare Trust Company, N.A.

Historical Liquidated Loan Detail

26

Corporate Trust Services (CMBS)

[email protected];

Historical Bond / Collateral Loss Reconciliation Detail

27

[email protected]

Interest Shortfall Detail - Collateral Level

28

9062 Old Annapolis Road | Columbia, MD 21045 | United States

Supplemental Notes

29

This report is compiled by Computershare Trust Company, N.A. from information provided by third parties. Computershare Trust Company, N.A. has not independently confirmed the accuracy of the information.

Please visit www.ctslink.com for additional information and if applicable, any special notices and any credit risk retention notices. In addition, certificate holders may register online for email notification when special notices are posted. For information or assistance please call 866-846-4526.

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Page 1 of 29

Certificate Distribution Detail

Current

Original

Pass-Through

Principal

Interest

Prepayment

Credit

Credit

Class

CUSIP

Rate (2)

Original Balance Beginning Balance

Distribution

Distribution

Penalties

Realized Losses Total Distribution Ending Balance

Support¹ Support¹

A-1

066043AA8

5.863000%

1,922,000.00

1,597,505.24

19,537.68

7,805.14

0.00

0.00

27,342.82

1,577,967.56

30.01%

30.00%

A-3

066043AB6

6.225000%

687,100,000.00

687,100,000.00

0.00

3,564,331.25

0.00

0.00

3,564,331.25

687,100,000.00

30.01%

30.00%

A-S

066043AG5

6.790000%

115,657,000.00

115,657,000.00

0.00

654,425.86

0.00

0.00

654,425.86

115,657,000.00

18.26%

18.25%

B

066043AM2

7.199145%

45,525,000.00

45,525,000.00

0.00

273,117.57

0.00

0.00

273,117.57

45,525,000.00

13.63%

13.63%

C

066043AS9

7.199145%

38,142,000.00

38,142,000.00

0.00

228,824.83

0.00

0.00

228,824.83

38,142,000.00

9.75%

9.75%

D

066043AZ3

4.000000%

10,828,000.00

10,828,000.00

0.00

36,093.33

0.00

0.00

36,093.33

10,828,000.00

8.65%

8.65%

E-RR

066043BB5

5.250000%

17,471,000.00

17,471,000.00

0.00

76,435.63

0.00

0.00

76,435.63

17,471,000.00

6.88%

6.88%

F-RR

066043BD1

5.250000%

17,226,000.00

17,226,000.00

0.00

75,363.75

0.00

0.00

75,363.75

17,226,000.00

5.13%

5.13%

G-RR

066043BF6

5.250000%

11,074,000.00

11,074,000.00

0.00

48,448.75

0.00

0.00

48,448.75

11,074,000.00

4.00%

4.00%

J-RR*

066043BH2

5.250000%

39,372,833.00

39,372,833.00

0.00

172,256.15

0.00

0.00

172,256.15

39,372,833.00

0.00%

0.00%

R

066043BV1

0.000000%

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00%

0.00%

Regular SubTotal

984,317,833.00

983,993,338.24

19,537.68

5,137,102.26

0.00

0.00

5,156,639.94

983,973,800.56

X-A

066043AX8

0.974985%

689,022,000.00

688,697,505.24

0.00

559,558.07

0.00

0.00

559,558.07

688,677,967.56

X-B

066043AY6

0.237405%

199,324,000.00

199,324,000.00

0.00

39,433.76

0.00

0.00

39,433.76

199,324,000.00

X-D

066043BK5

3.199145%

10,828,000.00

10,828,000.00

0.00

28,866.95

0.00

0.00

28,866.95

10,828,000.00

XERR

066043BM1

1.949145%

17,471,000.00

17,471,000.00

0.00

28,377.93

0.00

0.00

28,377.93

17,471,000.00

XFRR

066043BP4

1.949145%

17,226,000.00

17,226,000.00

0.00

27,979.98

0.00

0.00

27,979.98

17,226,000.00

XGRR

066043BR0

1.949145%

11,074,000.00

11,074,000.00

0.00

17,987.36

0.00

0.00

17,987.36

11,074,000.00

XJRR

066043BT6

1.949145%

39,372,833.00

39,372,833.00

0.00

63,952.81

0.00

0.00

63,952.81

39,372,833.00

Notional SubTotal

984,317,833.00

983,993,338.24

0.00

766,156.86

0.00

0.00

766,156.86

983,973,800.56

Deal Distribution Total

19,537.68

5,903,259.12

0.00

0.00

5,922,796.80

*

Denotes the Controlling Class (if required)

(1)

Calculated by taking (A) the sum of the ending certificate balance of all classes in a series less (B) the sum of (i) the ending certificate balance of the designated class and (ii) the ending certificate balance of all classes which are not subordinate to the designated class and

dividing the result by (A).

(2)

Pass-Through Rates with respect to any Class of Certificates on next month's Payment Date is expected to be the same as the current respective Pass-Through Rate, subject to any modifications on the underlying loans, any change in certificate or pool balance, any change in

the underlying index (if and as applicable), and any other matters provided in the governing documents.

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Page 2 of 29

Certificate Factor Detail

Cumulative

Interest Shortfalls

Interest

Class

CUSIP

Beginning Balance

Principal Distribution

Interest Distribution

/ (Paybacks)

Shortfalls

Prepayment Penalties

Losses

Total Distribution

Ending Balance

Regular Certificates

A-1

066043AA8

831.16817898

10.16528616

4.06094693

0.00000000

0.00000000

0.00000000

0.00000000

14.22623309

821.00289282

A-3

066043AB6

1,000.00000000

0.00000000

5.18750000

0.00000000

0.00000000

0.00000000

0.00000000

5.18750000

1,000.00000000

A-S

066043AG5

1,000.00000000

0.00000000

5.65833335

0.00000000

0.00000000

0.00000000

0.00000000

5.65833335

1,000.00000000

B

066043AM2

1,000.00000000

0.00000000

5.99928764

0.00000000

0.00000000

0.00000000

0.00000000

5.99928764

1,000.00000000

C

066043AS9

1,000.00000000

0.00000000

5.99928766

0.00000000

0.00000000

0.00000000

0.00000000

5.99928766

1,000.00000000

D

066043AZ3

1,000.00000000

0.00000000

3.33333303

0.00000000

0.00000000

0.00000000

0.00000000

3.33333303

1,000.00000000

E-RR

066043BB5

1,000.00000000

0.00000000

4.37500029

0.00000000

0.00000000

0.00000000

0.00000000

4.37500029

1,000.00000000

F-RR

066043BD1

1,000.00000000

0.00000000

4.37500000

0.00000000

0.00000000

0.00000000

0.00000000

4.37500000

1,000.00000000

G-RR

066043BF6

1,000.00000000

0.00000000

4.37500000

0.00000000

0.00000000

0.00000000

0.00000000

4.37500000

1,000.00000000

J-RR

066043BH2

1,000.00000000

0.00000000

4.37500014

0.00000000

0.26252619

0.00000000

0.00000000

4.37500014

1,000.00000000

R

066043BV1

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

Notional Certificates

X-A

066043AX8

999.52905022

0.00000000

0.81210479

0.00000000

0.00000000

0.00000000

0.00000000

0.81210479

999.50069455

X-B

066043AY6

1,000.00000000

0.00000000

0.19783749

0.00000000

0.00000000

0.00000000

0.00000000

0.19783749

1,000.00000000

X-D

066043BK5

1,000.00000000

0.00000000

2.66595401

0.00000000

0.00000000

0.00000000

0.00000000

2.66595401

1,000.00000000

XERR

066043BM1

1,000.00000000

0.00000000

1.62428768

0.00000000

0.00000000

0.00000000

0.00000000

1.62428768

1,000.00000000

XFRR

066043BP4

1,000.00000000

0.00000000

1.62428770

0.00000000

0.00000000

0.00000000

0.00000000

1.62428770

1,000.00000000

XGRR

066043BR0

1,000.00000000

0.00000000

1.62428752

0.00000000

0.00000000

0.00000000

0.00000000

1.62428752

1,000.00000000

XJRR

066043BT6

1,000.00000000

0.00000000

1.62428774

0.00000000

0.00000000

0.00000000

0.00000000

1.62428774

1,000.00000000

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Page 3 of 29

Certificate Interest Reconciliation Detail

Additional

Accrued

Net Aggregate

Distributable

Interest

Interest

Accrual

Prior Interest

Certificate

Prepayment

Certificate

Shortfalls /

Payback of Prior

Distribution

Interest

Cumulative

Class

Accrual Period

Days

Shortfalls

Interest

Interest Shortfall

Interest

(Paybacks)

Realized Losses

Amount

Distribution

Interest Shortfalls

A-1

08/01/25 - 08/30/25

30

0.00

7,805.14

0.00

7,805.14

0.00

0.00

0.00

7,805.14

0.00

A-3

08/01/25 - 08/30/25

30

0.00

3,564,331.25

0.00

3,564,331.25

0.00

0.00

0.00

3,564,331.25

0.00

X-A

08/01/25 - 08/30/25

30

0.00

559,558.07

0.00

559,558.07

0.00

0.00

0.00

559,558.07

0.00

X-B

08/01/25 - 08/30/25

30

0.00

39,433.76

0.00

39,433.76

0.00

0.00

0.00

39,433.76

0.00

X-D

08/01/25 - 08/30/25

30

0.00

28,866.95

0.00

28,866.95

0.00

0.00

0.00

28,866.95

0.00

A-S

08/01/25 - 08/30/25

30

0.00

654,425.86

0.00

654,425.86

0.00

0.00

0.00

654,425.86

0.00

B

08/01/25 - 08/30/25

30

0.00

273,117.57

0.00

273,117.57

0.00

0.00

0.00

273,117.57

0.00

C

08/01/25 - 08/30/25

30

0.00

228,824.83

0.00

228,824.83

0.00

0.00

0.00

228,824.83

0.00

D

08/01/25 - 08/30/25

30

0.00

36,093.33

0.00

36,093.33

0.00

0.00

0.00

36,093.33

0.00

XERR

08/01/25 - 08/30/25

30

0.00

28,377.93

0.00

28,377.93

0.00

0.00

0.00

28,377.93

0.00

XFRR

08/01/25 - 08/30/25

30

0.00

27,979.98

0.00

27,979.98

0.00

0.00

0.00

27,979.98

0.00

XGRR

08/01/25 - 08/30/25

30

0.00

17,987.36

0.00

17,987.36

0.00

0.00

0.00

17,987.36

0.00

XJRR

08/01/25 - 08/30/25

30

0.00

63,952.81

0.00

63,952.81

0.00

0.00

0.00

63,952.81

0.00

E-RR

08/01/25 - 08/30/25

30

0.00

76,435.63

0.00

76,435.63

0.00

0.00

0.00

76,435.63

0.00

F-RR

08/01/25 - 08/30/25

30

0.00

75,363.75

0.00

75,363.75

0.00

0.00

0.00

75,363.75

0.00

G-RR

08/01/25 - 08/30/25

30

0.00

48,448.75

0.00

48,448.75

0.00

0.00

0.00

48,448.75

0.00

J-RR

08/01/25 - 08/30/25

30

10,291.38

172,256.14

0.00

172,256.14

0.00

0.00

0.00

172,256.15

10,336.40

Totals

10,291.38

5,903,259.11

0.00

5,903,259.11

0.00

0.00

0.00

5,903,259.12

10,336.40

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Page 4 of 29

Exchangeable Certificate Detail

Pass-Through

Maximum Initial

Prepayment

Class

CUSIP

Rate

Balance

Beginning Balance Principal Distribution Interest Distribution

Penalties

Losses

Total Distribution

Ending Balance

Exchangeable Certificate Details

A-3 (EC)

N/A

6.225000%

687,100,000.00

687,100,000.00

0.00

3,564,331.25

0.00

0.00

3,564,331.25

687,100,000.00

A-3-1

066043AC4

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

A-3-2

066043AD2

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

A-3-X1

066043AE0

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

A-3-X2

066043AF7

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

A-S (EC)

N/A

6.790000%

115,657,000.00

115,657,000.00

0.00

654,425.86

0.00

0.00

654,425.86

115,657,000.00

A-S-1

066043AH3

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

A-S-2

066043AJ9

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

A-S-X1

066043AK6

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

A-S-X2

066043AL4

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

B (EC)

N/A

7.199145%

45,525,000.00

45,525,000.00

0.00

273,117.57

0.00

0.00

273,117.57

45,525,000.00

B-1

066043AN0

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

B-2

066043AP5

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

B-X1

066043AQ3

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

B-X2

066043AR1

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

C (Ec)

N/A

7.199145%

38,142,000.00

38,142,000.00

0.00

228,824.83

0.00

0.00

228,824.83

38,142,000.00

C-1

066043AT7

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

C-2

066043AU4

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

C-X1

066043AV2

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

C-X2

066043AW0

N/A

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

Exchangeable Certificates Total

886,424,000.00

886,424,000.00

0.00

4,720,699.51

0.00

0.00

4,720,699.51

886,424,000.00

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Page 5 of 29

Exchangeable Certificate Factor Detail

Cumulative

Interest Shortfalls

Interest

Class

CUSIP

Beginning Balance

Principal Distribution

Interest Distribution

/ (Paybacks)

Shortfalls

Prepayment Penalties

Losses

Total Distribution

Ending Balance

Regular Certificates

A-3-1

066043AC4

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

A-3-2

066043AD2

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

A-S-1

066043AH3

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

A-S-2

066043AJ9

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

B-1

066043AN0

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

B-2

066043AP5

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

C-1

066043AT7

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

C-2

066043AU4

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

Notional Certificates

A-3-X1

066043AE0

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

A-3-X2

066043AF7

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

A-S-X1

066043AK6

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

A-S-X2

066043AL4

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

B-X1

066043AQ3

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

B-X2

066043AR1

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

C-X1

066043AV2

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

C-X2

066043AW0

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

0.00000000

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Page 6 of 29

Additional Information

Total Available Distribution Amount (1)

5,922,796.80

(1) The Available Distribution Amount includes any Prepayment Premiums.

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Page 7 of 29

Bond / Collateral Reconciliation - Cash Flows

Total Funds Collected

Total Funds Distributed

Interest

Fees

Interest Paid or Advanced

5,919,175.18

Master Servicing Fee

6,095.52

Interest Reductions due to Nonrecoverability Determination

0.00

Certificate Administrator Fee

8,117.40

Interest Adjustments

0.00

Trustee Fee

0.00

Deferred Interest

0.00

CREFC® Intellectual Property Royalty License Fee

423.66

ARD Interest

0.00

Operating Advisor Fee

1,067.63

Net Prepayment Interest Excess / (Shortfall)

0.00

Asset Representations Reviewer Fee

211.83

Extension Interest

0.00

Interest Reserve Withdrawal

0.00

Total Interest Collected

5,919,175.18

Total Fees

15,916.05

Principal

Expenses/Reimbursements

Scheduled Principal

19,537.68

Reimbursement for Interest on Advances

0.00

Unscheduled Principal Collections

ASER Amount

0.00

Principal Prepayments

0.00

Special Servicing Fees (Monthly)

0.00

Collection of Principal after Maturity Date

0.00

Special Servicing Fees (Liquidation)

0.00

Recoveries From Liquidations and Insurance Proceeds

0.00

Special Servicing Fees (Work Out)

0.00

Excess of Prior Principal Amounts Paid

0.00

Legal Fees

0.00

Curtailments

0.00

Rating Agency Expenses

0.00

Principal Adjustments

0.00

Taxes Imposed on Trust Fund

0.00

Non-Recoverable Advances

0.00

Workout Delayed Reimbursement Amounts

0.00

Other Expenses

0.00

Total Principal Collected

19,537.68

Total Expenses/Reimbursements

0.00

Interest Reserve Deposit

0.00

Other

Payments to Certificateholders and Others

Prepayment Penalties / Yield Maintenance

0.00

Interest Distribution

5,903,259.12

Gain on Sale / Excess Liquidation Proceeds

0.00

Principal Distribution

19,537.68

Borrower Option Extension Fees

0.00

Prepayment Penalties / Yield Maintenance

0.00

Borrower Option Extension Fees

0.00

Total Other Collected

0.00

Total Payments to Certificateholders and Others

5,922,796.80

Total Funds Collected

5,938,712.86

Total Funds Distributed

5,938,712.85

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Page 8 of 29

Bond / Collateral Reconciliation - Balances

Collateral Reconciliation

Certificate Reconciliation

Total

Total

Beginning Scheduled Collateral Balance

983,993,339.03

983,993,339.03

Beginning Certificate Balance

983,993,338.24

(-) Scheduled Principal Collections

19,537.68

19,537.68

(-) Principal Distributions

19,537.68

(-) Unscheduled Principal Collections

0.00

0.00

(-) Realized Losses

0.00

(-) Principal Adjustments (Cash)

0.00

0.00

Realized Loss and Realized Loss Adjustments on Collateral

0.00

(-) Principal Adjustments (Non-Cash)

0.00

0.00

Current Period NRA¹

0.00

(-) Realized Losses from Collateral

0.00

0.00

Current Period WODRA¹

0.00

(-) Other Adjustments²

0.00

0.00

Principal Used to Pay Interest

0.00

Non-Cash Principal Adjustments

0.00

Ending Scheduled Collateral Balance

983,973,801.35

983,973,801.35

Certificate Other Adjustments**

0.00

Beginning Actual Collateral Balance

983,993,339.03

983,993,339.03

Ending Certificate Balance

983,973,800.56

Ending Actual Collateral Balance

983,973,801.35

983,973,801.35

NRA/WODRA Reconciliation

Under / Over Collateralization Reconciliation

Non-Recoverable Advances (NRA) from

Workout Delayed Reimbursement of Advances

Principal

(WODRA) from Principal

Beginning UC / (OC)

(0.79)

Beginning Cumulative Advances

0.00

0.00

UC / (OC) Change

0.00

Current Period Advances

0.00

0.00

Ending UC / (OC)

(0.79)

Ending Cumulative Advances

0.00

0.00

Net WAC Rate

7.20%

UC / (OC) Interest

0.00

(1)

Current Period NRA and WODRA displayed will represent the portion applied as Realized Losses to the bonds.

(2)

Other Adjustments value will represent miscellaneous items that may impact the Scheduled Balance of the collateral.

**

A negative value for Certificate Other Adjustments represents the payback of prior Principal Shortfalls, if any.

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Page 9 of 29

Current Mortgage Loan and Property Stratification

Scheduled Balance

Debt Service Coverage Ratio¹

Scheduled

# Of

Scheduled

% Of

Weighted Avg

Debt Service Coverage

# Of

Scheduled

% Of

Weighted Avg

WAM²

WAC

WAM²

WAC

Balance

Loans

Balance

Agg. Bal.

DSCR¹

Ratio

Loans

Balance

Agg. Bal.

DSCR¹

$9,999,999 or less

24

137,663,000.00

13.99%

42

6.8812

1.785576

1.49 or less

24

431,508,500.00

43.85%

42

6.8831

1.209987

$10,000,000 to $19,999,999

13

173,842,500.00

17.67%

42

7.0443

1.548403

1.50 to 1.99

16

279,150,000.00

28.37%

41

7.2356

1.731955

$20,000,000 to $29,999,999

6

155,168,301.35

15.77%

41

7.1426

2.411325

2.00 to 2.49

12

175,750,000.00

17.86%

41

6.8808

2.085314

$30,000,000 to $39,999,999

10

342,600,000.00

34.82%

42

7.0450

1.392649

2.50 or more

4

97,565,301.35

9.92%

42

6.9133

3.856640

$40,000,000 to $49,999,999

1

49,900,000.00

5.07%

43

6.8170

3.424300

Totals

56

983,973,801.35

100.00%

42

6.9857

1.776839

$50,000,000 or greater

2

124,800,000.00

12.68%

43

6.7291

1.692485

Totals

56

983,973,801.35

100.00%

42

6.9857

1.776839

(1)

Debt Service Coverage Ratios are updated periodically as new NOI figures become available from borrowers on an asset level. In all cases the most current DSCR provided by the Servicer is used. To the extent that no DSCR is provided by the Servicer, information from the offering document is

used. The debt service coverage ratio information was provided to the Certificate Administrator by the Master Servicer and the Certificate Administrator has not independently confirmed the accuracy of such information.

(2)

Anticipated Remaining Term and WAM are each calculated based upon the term from the current month to the earlier of the Anticipated Repayment Date, if applicable, and the Maturity Date.

(3)

Data in this table was calculated by allocating pro-rata the current loan information to the properties based upon the Cut Off Date Balance of each property as disclosed in the offering document. The Scheduled Balance Totals reflect the aggregate balances of all pooled loans as reported in the

CREFC Loan Periodic Update File. To the extent that the Scheduled Balance Total figure for the "State" and "Property" stratification tables is not equal to the sum of the scheduled balance figures for each state or property, the difference is explained by loans that have been modified into a split

loan structure. The "State" and "Property" stratification tables do not include the balance of the subordinate note (sometimes called the B-piece or a "hope note") of a loan that has been modified into a split-loan structure. Rather, the scheduled balance for each state or property only reflects the

balance of the senior note (sometimes called the A-piece) of a loan that has been modified into a split-loan structure.

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Page 10 of 29

Current Mortgage Loan and Property Stratification

State³

Property Type³

# Of

Scheduled

% Of

Weighted Avg

State

WAM²

WAC

# Of

Scheduled

% Of

Weighted Avg

Properties

Balance

Agg. Bal.

DSCR¹

Property Type

WAM²

WAC

Properties

Balance

Agg. Bal.

DSCR¹

California

12

236,615,000.00

24.05%

42

6.9535

1.542531

Industrial

2

20,315,000.00

2.06%

43

6.8108

1.419379

Colorado

1

11,000,000.00

1.12%

42

7.0690

1.105900

Lodging

4

134,000,000.00

13.62%

42

7.2971

2.406926

Connecticut

2

16,860,000.00

1.71%

42

7.3015

1.383069

Mixed Use

4

101,615,301.35

10.33%

42

6.9478

2.645028

Florida

2

26,750,000.00

2.72%

42

6.9537

1.006718

Mobile Home Park

3

18,815,000.00

1.91%

44

6.3025

1.252647

Georgia

3

13,108,000.00

1.33%

42

7.2032

1.253694

Multi-Family

8

135,672,500.00

13.79%

42

6.4349

1.078797

Idaho

1

24,053,000.00

2.44%

43

6.4260

1.383500

Office

3

59,360,000.00

6.03%

42

7.2784

1.293659

Illinois

1

31,000,000.00

3.15%

42

6.2000

0.573700

Retail

28

487,513,000.00

49.55%

42

7.0648

1.708087

Iowa

1

10,000,000.00

1.02%

41

7.0200

1.889000

Self Storage

4

26,683,000.00

2.71%

42

6.8862

1.828412

Louisiana

1

34,000,000.00

3.46%

42

7.1950

1.280600

Totals

56

983,973,801.35

100.00%

42

6.9857

1.776839

Maryland

2

74,100,000.00

7.53%

42

7.6382

1.742989

Michigan

2

11,450,000.00

1.16%

43

6.6672

1.787251

Mississippi

1

35,000,000.00

3.56%

43

6.7950

1.568100

New Jersey

1

17,000,000.00

1.73%

43

6.8000

1.480000

New York

6

123,770,301.35

12.58%

42

7.0982

3.167444

Ohio

11

189,000,000.00

19.21%

41

6.8682

2.012357

South Carolina

3

17,517,500.00

1.78%

42

6.3837

1.422711

Texas

1

16,600,000.00

1.69%

41

6.9500

1.770000

Various

3

82,640,000.00

8.40%

44

7.1080

1.524283

Virginia

1

2,460,000.00

0.25%

39

6.6006

1.774900

Washington

1

11,050,000.00

1.12%

43

7.4500

0.395200

Totals

56

983,973,801.35

100.00%

42

6.9857

1.776839

Note: Please refer to footnotes on the next page of the report.

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Page 11 of 29

Current Mortgage Loan and Property Stratification

Note Rate

Seasoning

# Of

Scheduled

% Of

Weighted Avg

# Of

Scheduled

% Of

Weighted Avg

Note Rate

WAM²

WAC

Seasoning

WAM²

WAC

Loans

Balance

Agg. Bal.

DSCR¹

Loans

Balance

Agg. Bal.

DSCR¹

6.4999% or less

9

190,560,500.00

19.37%

42

6.2724

1.398267

12 months or less

0

0.00

0.00%

0

0.0000

0.000000

6.5000% to 6.9999%

20

284,298,000.00

28.89%

42

6.7712

2.028302

13 months or greater

56

983,973,801.35

100.00%

42

6.9857

1.776839

7.0000% to 7.4999%

18

358,205,301.35

36.40%

42

7.1963

1.750267

Totals

56

983,973,801.35

100.00%

42

6.9857

1.776839

7.5000% or greater

9

150,910,000.00

15.34%

41

7.7907

1.844221

Totals

56

983,973,801.35

100.00%

42

6.9857

1.776839

(1)

Debt Service Coverage Ratios are updated periodically as new NOI figures become available from borrowers on an asset level. In all cases the most current DSCR provided by the Servicer is used. To the extent that no DSCR is provided by the Servicer, information from the offering document

is used. The debt service coverage ratio information was provided to the Certificate Administrator by the Master Servicer and the Certificate Administrator has not independently confirmed the accuracy of such information.

(2)

Anticipated Remaining Term and WAM are each calculated based upon the term from the current month to the earlier of the Anticipated Repayment Date, if applicable, and the Maturity Date.

(3)

Data in this table was calculated by allocating pro-rata the current loan information to the properties based upon the Cut Off Date Balance of each property as disclosed in the offering document. The Scheduled Balance Totals reflect the aggregate balances of all pooled loans as reported in the

CREFC Loan Periodic Update File. To the extent that the Scheduled Balance Total figure for the "State" and "Property" stratification tables is not equal to the sum of the scheduled balance figures for each state or property, the difference is explained by loans that have been modified into a split

loan structure. The "State" and "Property" stratification tables do not include the balance of the subordinate note (sometimes called the B-piece or a "hope note") of a loan that has been modified into a split-loan structure. Rather, the scheduled balance for each state or property only reflects the

balance of the senior note (sometimes called the A-piece) of a loan that has been modified into a split-loan structure.

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Page 12 of 29

Current Mortgage Loan and Property Stratification

Anticipated Remaining Term (ARD and Balloon Loans)

Remaining Amortization Term (ARD and Balloon Loans)

Anticipated

# Of

Scheduled

% Of

Weighted Avg

Remaining

# Of

Scheduled

% Of

Weighted Avg

WAM²

WAC

WAM²

WAC

Remaining Term

Loans

Balance

Agg. Bal.

DSCR¹

Amortization Term

Loans

Balance

Agg. Bal.

DSCR¹

58 months or less

56

983,973,801.35

100.00%

42

6.9857

1.776839

Interest Only

55

954,358,500.00

96.99%

42

6.9769

1.677173

58 to 60 months

0

0.00

0.00%

0

0.0000

0.000000

359 or less

1

29,615,301.35

3.01%

42

7.2700

4.988600

Totals

56

983,973,801.35

100.00%

42

6.9857

1.776839

360

0

0.00

0.00%

0

0.0000

0.000000

Totals

56

983,973,801.35

100.00%

42

6.9857

1.776839

(1)

Debt Service Coverage Ratios are updated periodically as new NOI figures become available from borrowers on an asset level. In all cases the most current DSCR provided by the Servicer is used. To the extent that no DSCR is provided by the Servicer, information from the offering document

is used. The debt service coverage ratio information was provided to the Certificate Administrator by the Master Servicer and the Certificate Administrator has not independently confirmed the accuracy of such information.

(2)

Anticipated Remaining Term and WAM are each calculated based upon the term from the current month to the earlier of the Anticipated Repayment Date, if applicable, and the Maturity Date.

(3)

Data in this table was calculated by allocating pro-rata the current loan information to the properties based upon the Cut Off Date Balance of each property as disclosed in the offering document. The Scheduled Balance Totals reflect the aggregate balances of all pooled loans as reported in the

CREFC Loan Periodic Update File. To the extent that the Scheduled Balance Total figure for the "State" and "Property" stratification tables is not equal to the sum of the scheduled balance figures for each state or property, the difference is explained by loans that have been modified into a split

loan structure. The "State" and "Property" stratification tables do not include the balance of the subordinate note (sometimes called the B-piece or a "hope note") of a loan that has been modified into a split-loan structure. Rather, the scheduled balance for each state or property only reflects the

balance of the senior note (sometimes called the A-piece) of a loan that has been modified into a split-loan structure.

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Page 13 of 29

Current Mortgage Loan and Property Stratification

Age of Most Recent NOI

Remaining Stated Term (Fully Amortizing Loans)

Age of Most

# Of

Scheduled

% Of

Weighted Avg

Age of Most

# Of

Scheduled

% Of

Weighted Avg

WAM²

WAC

WAM²

WAC

Recent NOI

Loans

Balance

Agg. Bal.

DSCR¹

Recent NOI

Loans

Balance

Agg. Bal.

DSCR¹

Underwriter's Information

15

188,165,000.00

19.12%

41

7.0229

1.907380

No outstanding loans in this group

12 months or less

41

795,808,801.35

80.88%

42

6.9769

1.745974

13 months to 24 months

0

0.00

0.00%

0

0.0000

0.000000

25 months or greater

0

0.00

0.00%

0

0.0000

0.000000

Totals

56

983,973,801.35

100.00%

42

6.9857

1.776839

(1)

Debt Service Coverage Ratios are updated periodically as new NOI figures become available from borrowers on an asset level. In all cases the most current DSCR provided by the Servicer is used. To the extent that no DSCR is provided by the Servicer, information from the offering document

is used. The debt service coverage ratio information was provided to the Certificate Administrator by the Master Servicer and the Certificate Administrator has not independently confirmed the accuracy of such information.

(2)

Anticipated Remaining Term and WAM are each calculated based upon the term from the current month to the earlier of the Anticipated Repayment Date, if applicable, and the Maturity Date.

(3)

Data in this table was calculated by allocating pro-rata the current loan information to the properties based upon the Cut Off Date Balance of each property as disclosed in the offering document. The Scheduled Balance Totals reflect the aggregate balances of all pooled loans as reported in the

CREFC Loan Periodic Update File. To the extent that the Scheduled Balance Total figure for the "State" and "Property" stratification tables is not equal to the sum of the scheduled balance figures for each state or property, the difference is explained by loans that have been modified into a split

loan structure. The "State" and "Property" stratification tables do not include the balance of the subordinate note (sometimes called the B-piece or a "hope note") of a loan that has been modified into a split-loan structure. Rather, the scheduled balance for each state or property only reflects the

balance of the senior note (sometimes called the A-piece) of a loan that has been modified into a split-loan structure.

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Page 14 of 29

Mortgage Loan Detail (Part 1)

Prop

Interest

Original

Adjusted

Beginning

Ending

Paid

Type

Accrual

Gross

Scheduled

Scheduled

Principal Anticipated Maturity

Maturity

Scheduled

Scheduled

Through

Pros ID

Loan ID

(1)

City

State

Type

Rate

Interest

Principal

Adjustments Repay Date

Date

Date

Balance

Balance

Date

1

310966364

RT

Cincinnati

OH

Actual/360

6.271%

297,001.53

0.00

0.00

N/A

03/01/29

--

55,000,000.00

55,000,000.00

09/01/25

1A

310966618

RT

Cincinnati

OH

Actual/360

6.271%

81,000.42

0.00

0.00

N/A

03/01/29

--

15,000,000.00

15,000,000.00

09/01/25

2

231009509

RT

Various

Var

Actual/360

7.090%

426,148.39

0.00

0.00

N/A

05/01/29

--

69,800,000.00

69,800,000.00

09/01/25

3

328140003

MU

Milpitas

CA

Actual/360

6.844%

176,803.33

0.00

0.00

N/A

02/11/29

--

30,000,000.00

30,000,000.00

09/11/25

3A

328140103

RT

Cincinnati

OH

Actual/360

6.844%

165,016.44

0.00

0.00

N/A

02/11/29

--

28,000,000.00

28,000,000.00

09/11/25

3B

328140203

RT

Cincinnati

OH

Actual/360

6.844%

29,467.22

0.00

0.00

N/A

02/11/29

--

5,000,000.00

5,000,000.00

09/11/25

4

328140004

RT

West Des Moines

IA

Actual/360

7.020%

60,450.00

0.00

0.00

N/A

02/01/29

--

10,000,000.00

10,000,000.00

09/01/25

4A

328140104

RT

Cincinnati

OH

Actual/360

7.020%

172,282.50

0.00

0.00

N/A

02/01/29

--

28,500,000.00

28,500,000.00

09/01/25

4B

328140204

RT

Cincinnati

OH

Actual/360

7.020%

72,540.00

0.00

0.00

N/A

02/01/29

--

12,000,000.00

12,000,000.00

09/01/25

4C

328140304

RT

Cincinnati

OH

Actual/360

7.020%

45,337.50

0.00

0.00

N/A

02/01/29

--

7,500,000.00

7,500,000.00

09/01/25

4D

328140404

RT

Cincinnati

OH

Actual/360

7.020%

18,135.00

0.00

0.00

N/A

02/01/29

--

3,000,000.00

3,000,000.00

09/01/25

5

328140005

RT

Riverside

CA

Actual/360

7.919%

204,574.17

0.00

0.00

N/A

01/01/29

--

30,000,000.00

30,000,000.00

09/01/25

5A

328140105

RT

Cincinnati

OH

Actual/360

7.919%

136,382.78

0.00

0.00

N/A

01/01/29

--

20,000,000.00

20,000,000.00

09/01/25

5B

328140205

RT

Cincinnati

OH

Actual/360

7.919%

68,191.39

0.00

0.00

N/A

01/01/29

--

10,000,000.00

10,000,000.00

09/01/25

6

328140006

LO

New York

NY

Actual/360

6.817%

292,922.70

0.00

0.00

N/A

04/01/29

--

49,900,000.00

49,900,000.00

09/01/25

7

328140007

LO

Bethesda

MD

Actual/360

7.472%

256,082.04

0.00

0.00

N/A

02/01/29

--

39,800,000.00

39,800,000.00

09/01/25

8

310966165

MF

Turlock

CA

Actual/360

6.579%

218,112.12

0.00

0.00

N/A

04/11/29

--

38,500,000.00

38,500,000.00

09/11/25

9

310966047

MF

Los Angeles

CA

Actual/360

6.300%

198,012.50

0.00

0.00

N/A

02/11/29

--

36,500,000.00

36,500,000.00

09/11/25

10

300802434

MU

Jackson

MS

Actual/360

6.795%

204,793.75

0.00

0.00

N/A

04/01/29

--

35,000,000.00

35,000,000.00

09/01/25

11

328140011

LO

Oxon Hill

MD

Actual/360

7.831%

231,297.29

0.00

0.00

N/A

04/01/29

--

34,300,000.00

34,300,000.00

09/01/25

12

328140012

RT

Metairie

LA

Actual/360

7.195%

210,653.61

0.00

0.00

N/A

03/01/29

--

34,000,000.00

34,000,000.00

09/01/25

13

310965874

OF

Los Angeles

CA

Actual/360

7.368%

212,546.33

0.00

0.00

N/A

04/11/29

--

33,500,000.00

33,500,000.00

09/11/25

14

231011094

MF

Chicago

IL

Actual/360

6.200%

165,505.56

0.00

0.00

N/A

03/01/29

--

31,000,000.00

31,000,000.00

07/01/25

15

310966082

RT

Staten Island

NY

Actual/360

7.534%

162,190.28

0.00

0.00

N/A

02/01/29

--

25,000,000.00

25,000,000.00

09/01/25

15A

310966581

RT

Cincinnati

OH

Actual/360

7.534%

32,438.06

0.00

0.00

N/A

02/01/29

--

5,000,000.00

5,000,000.00

09/01/25

16

328140016

MU

New York

NY

Actual/360

7.270%

185,522.32

19,537.68

0.00

N/A

03/06/29

--

29,634,839.03

29,615,301.35

09/06/25

17

310966349

RT

Twin Falls

ID

Actual/360

6.426%

133,097.28

0.00

0.00

N/A

04/11/29

--

24,053,000.00

24,053,000.00

09/11/25

18

310966634

OF

Los Angeles

CA

Actual/360

7.024%

111,896.22

0.00

0.00

N/A

02/11/29

--

18,500,000.00

18,500,000.00

09/11/25

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Page 15 of 29

Mortgage Loan Detail (Part 1)

Prop

Interest

Original

Adjusted

Beginning

Ending

Paid

Type

Accrual

Gross

Scheduled

Scheduled

Principal Anticipated Maturity

Maturity

Scheduled

Scheduled

Through

Pros ID

Loan ID

(1)

City

State

Type

Rate

Interest

Principal

Adjustments Repay Date

Date

Date

Balance

Balance

Date

19

231011328

RT

Delray Beach

FL

Actual/360

7.194%

114,604.42

0.00

0.00

N/A

02/01/29

--

18,500,000.00

18,500,000.00

09/01/25

20

241011646

IN

North Brunswick

NJ

Actual/360

6.800%

99,544.44

0.00

0.00

N/A

04/01/29

--

17,000,000.00

17,000,000.00

09/01/25

21

231010833

RT

San Antonio

TX

Actual/360

6.950%

99,346.39

0.00

0.00

N/A

02/01/29

--

16,600,000.00

16,600,000.00

09/01/25

22

310963371

RT

Sherman Oaks

CA

Actual/360

7.869%

94,865.17

0.00

0.00

N/A

02/11/29

--

14,000,000.00

14,000,000.00

09/11/25

23

231011583

RT

Tacoma

WA

Actual/360

7.450%

70,888.82

0.00

0.00

N/A

04/01/29

--

11,050,000.00

11,050,000.00

09/01/25

24

310965713

SS

Denver

CO

Actual/360

7.069%

66,959.14

0.00

0.00

N/A

03/11/29

--

11,000,000.00

11,000,000.00

09/11/25

25

231011364

MF

Greenwood

SC

Actual/360

5.985%

52,529.60

0.00

0.00

N/A

03/01/29

--

10,192,500.00

10,192,500.00

09/01/25

26

231011623

LO

Various

Var

Actual/360

7.165%

61,698.61

0.00

0.00

N/A

04/01/29

--

10,000,000.00

10,000,000.00

09/01/25

27

231011561

RT

Pleasanton

CA

Actual/360

6.675%

56,042.19

0.00

0.00

N/A

03/01/29

--

9,750,000.00

9,750,000.00

09/01/25

28

231010293

RT

Rocky Hill

CT

Actual/360

7.140%

58,409.17

0.00

0.00

N/A

03/01/29

--

9,500,000.00

9,500,000.00

09/01/25

29

231011467

RT

Brooklyn

NY

Actual/360

7.365%

57,712.96

0.00

0.00

N/A

03/01/29

--

9,100,000.00

9,100,000.00

09/01/25

30

328140030

RT

Northville

MI

Actual/360

6.720%

50,344.00

0.00

0.00

N/A

04/01/29

--

8,700,000.00

8,700,000.00

09/01/25

31

300802425

SS

La Crescenta

CA

Actual/360

6.500%

46,456.94

0.00

0.00

N/A

02/01/29

--

8,300,000.00

8,300,000.00

09/01/25

32

231011544

MH

Various

FL

Actual/360

6.415%

45,573.23

0.00

0.00

N/A

04/01/29

--

8,250,000.00

8,250,000.00

09/01/25

33

231010478

OF

Rocky Hill

CT

Actual/360

7.510%

47,596.71

0.00

0.00

N/A

04/01/29

--

7,360,000.00

7,360,000.00

09/01/25

34

300802433

MU

Pasadena

CA

Actual/360

6.793%

40,946.69

0.00

0.00

N/A

04/01/29

--

7,000,000.00

7,000,000.00

09/01/25

35

231010472

MF

Bronx

NY

Actual/360

6.760%

35,101.30

0.00

0.00

N/A

03/01/29

--

6,030,000.00

6,030,000.00

09/01/25

36

241011728

MH

Monrovia

CA

Actual/360

6.210%

29,758.84

0.00

0.00

N/A

05/01/29

--

5,565,000.00

5,565,000.00

09/01/25

37

410964981

MF

Dalton

GA

Actual/360

7.714%

34,873.71

0.00

0.00

N/A

04/11/29

--

5,250,000.00

5,250,000.00

09/11/25

38

241011726

MH

Various

CA

Actual/360

6.220%

26,780.56

0.00

0.00

N/A

05/01/29

--

5,000,000.00

5,000,000.00

09/01/25

39

300802424

SS

Milledgeville

GA

Actual/360

6.859%

26,832.60

0.00

0.00

N/A

02/01/29

--

4,543,000.00

4,543,000.00

09/01/25

40

231009599

MF

Bronx

NY

Actual/360

6.530%

23,195.10

0.00

0.00

N/A

12/01/28

--

4,125,000.00

4,125,000.00

09/01/25

41

410966546

MF

Lugoff

SC

Actual/360

6.969%

24,454.41

0.00

0.00

N/A

04/11/29

--

4,075,000.00

4,075,000.00

09/11/25

42

300802426

IN

Atlanta

GA

Actual/360

6.866%

19,599.57

0.00

0.00

N/A

03/01/29

--

3,315,000.00

3,315,000.00

09/01/25

43

231011300

RT

Taylors

SC

Actual/360

6.900%

19,310.42

0.00

0.00

N/A

03/05/29

--

3,250,000.00

3,250,000.00

09/05/25

44

231011617

SS

Various

Var

Actual/360

7.350%

17,974.83

0.00

0.00

N/A

05/01/29

--

2,840,000.00

2,840,000.00

09/01/25

45

231010840

RT

Northville

MI

Actual/360

6.500%

15,392.36

0.00

0.00

N/A

04/05/29

--

2,750,000.00

2,750,000.00

09/05/25

46

328140046

RT

McLean

VA

Actual/360

6.601%

13,982.27

0.00

0.00

N/A

12/06/28

--

2,460,000.00

2,460,000.00

09/06/25

Totals

5,919,175.18

19,537.68

0.00

983,993,339.03

983,973,801.35

1 Property Type Codes

HC - Health Care

MU - Mixed Use

WH - Warehouse

MF - Multi-Family

SS - Self Storage

LO - Lodging

RT - Retail

SF - Single Family Rental

98 - Other

IN - Industrial

OF - Office

MH - Mobile Home Park

SE - Securities

CH - Cooperative Housing

ZZ - Missing Information/Undefined

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Page 16 of 29

Mortgage Loan Detail (Part 2)

Most Recent Most Recent Appraisal

Cumulative

Current

Most Recent

Most Recent

NOI Start

NOI End

Reduction

Appraisal

Cumulative

Current P&I

Cumulative P&I

Servicer

NRA/WODRA

Pros ID

Fiscal NOI

NOI

Date

Date

Date

Reduction Amount

ASER

Advances

Advances

Advances

from Principal

Defease Status

1

36,009,944.28

17,738,971.90

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

1A

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

2

7,422,877.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

3

15,147,447.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

3A

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

3B

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

4

24,628,929.00

12,029,968.00

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

4A

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

4B

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

4C

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

4D

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

5

24,226,309.00

11,698,350.00

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

5A

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

5B

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

6

12,681,310.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

7

5,269,663.31

5,853,756.00

07/01/24

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

8

3,378,453.70

1,838,476.67

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

9

3,384,671.14

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

10

4,177,716.00

1,975,631.00

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

11

4,976,397.00

2,857,926.00

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

12

4,273,346.00

864,556.85

01/01/25

03/31/25

--

0.00

0.00

0.00

0.00

0.00

0.00

13

4,583,187.97

1,738,840.57

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

14

1,146,999.00

0.00

--

--

--

0.00

0.00

165,096.07

330,810.90

0.00

0.00

15

28,970,254.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

15A

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

16

25,005,122.44

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

17

0.00

1,153,477.30

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

18

8,055,910.99

3,938,091.80

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

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Page 17 of 29

Mortgage Loan Detail (Part 2)

Most Recent Most Recent Appraisal

Cumulative

Current

Most Recent

Most Recent

NOI Start

NOI End

Reduction

Appraisal

Cumulative

Current P&I

Cumulative P&I

Servicer

NRA/WODRA

Pros ID

Fiscal NOI

NOI

Date

Date

Date

Reduction Amount

ASER

Advances

Advances

Advances

from Principal

Defease Status

19

1,392,009.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

20

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

21

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

22

1,621,239.71

832,038.11

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

23

0.00

442,173.00

10/01/23

09/30/24

--

0.00

0.00

0.00

0.00

0.00

0.00

24

896,306.62

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

25

831,201.04

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

26

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

27

1,908,374.00

1,140,663.00

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

28

991,809.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

29

958,754.88

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

30

857,825.36

537,140.00

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

31

1,772,588.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

32

642,642.19

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

33

892,479.51

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

34

1,002,913.00

557,539.00

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

35

0.00

299,425.00

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

36

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

37

591,778.75

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

38

0.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

39

392,970.26

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

40

0.00

244,568.00

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

41

421,923.22

234,045.00

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

42

276,290.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

43

390,995.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

44

345,759.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

45

401,376.00

0.00

--

--

--

0.00

0.00

0.00

0.00

0.00

0.00

46

0.00

43,128,597.49

01/01/25

06/30/25

--

0.00

0.00

0.00

0.00

0.00

0.00

Totals

229,927,772.37

109,104,234.69

0.00

0.00

165,096.07

330,810.90

0.00

0.00

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Page 18 of 29

Principal Prepayment Detail

Unscheduled Principal

Prepayment Penalties

Pros ID

Loan Number

Amount

Prepayment / Liquidation Code

Prepayment Premium Amount

Yield Maintenance Amount

No principal prepayments this period

Note: Principal Prepayment Amount listed here may include Principal Adjustment Amounts on the loan in addition to the Unscheduled Principal Amount.

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Page 19 of 29

Historical Detail

Delinquencies¹

Prepayments

Rate and Maturities

30-59 Days

60-89 Days

90 Days or More

Foreclosure

REO

Modifications

Curtailments

Payoff

Next Weighted Avg.

Distribution

#

Balance

#

Balance

#

Balance

#

Balance

#

Balance

#

Balance

#

Amount

#

Amount

Coupon

Remit

WAM¹

Date

09/17/25

1

31,000,000.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

6.985693%

6.966909%

42

08/15/25

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

6.985699%

6.966915%

43

07/17/25

1

31,000,000.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

6.985704%

6.966920%

44

06/17/25

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

6.985711%

6.966928%

45

05/16/25

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

6.985717%

6.966933%

46

04/17/25

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

6.985724%

6.966941%

47

03/17/25

0

0.00

1

31,000,000.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

6.985730%

6.966946%

48

02/18/25

1

31,000,000.00

0

0.00

1

11,050,000.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

6.985740%

6.966957%

49

01/17/25

1

31,000,000.00

1

11,050,000.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

6.985746%

6.966962%

50

12/17/24

2

42,050,000.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

6.985751%

6.966968%

51

11/18/24

1

31,000,000.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

6.985758%

6.966975%

52

10/18/24

1

31,000,000.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

0

0.00

6.985763%

6.966980%

53

(1) Foreclosure and REO Totals are included in the delinquencies aging categories.

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Page 20 of 29

Delinquency Loan Detail

Paid

Mortgage

Outstanding

Servicing

Resolution

Through

Months

Loan

Current P&I

Outstanding P&I

Servicer

Actual Principal

Transfer

Strategy

Bankruptcy

Foreclosure

Pros ID

Loan ID

Date

Delinquent

Status¹

Advances

Advances

Advances

Balance

Date

Code²

Date

Date

REO Date

14

231011094

07/01/25

1

1

165,096.07

330,810.90

0.00

31,000,000.00

Totals

165,096.07

330,810.90

0.00

31,000,000.00

1 Mortgage Loan Status

2 Resolution Strategy Code

A - Payment Not Received But Still in Grace Period 0 - Current

4 - Performing Matured Balloon

1 - Modification

6 - DPO

10 - Deed in Lieu of Foreclosures

B - Late Payment But Less Than 30 days

1 - 30-59 Days Delinquent

5 - Non Performing Matured Balloon

2 - Foreclosure

7 - REO

11- Full Payoff

Delinquent

3 - Bankruptcy

8 - Resolved

12 - Reps and Warranties

2 - 60-89 Days Delinquent

6 - 121+ Days Delinquent

4 - Extension

9 - Pending Return to Master Servicer

13 -

TBD

3 - 90-120 Days Delinquent

5 - Note Sale

98 - Other

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Page 21 of 29

Collateral Stratification and Historical Detail

Maturity Dates and Loan Status¹

Total

Performing

Non-Performing

REO/Foreclosure

Past Maturity

0

0

0

0

0 - 6 Months

0

0

0

0

7 - 12 Months

0

0

0

0

13 - 24 Months

0

0

0

0

25 - 36 Months

0

0

0

0

37 - 48 Months

983,973,801

952,973,801

31,000,000

0

49 - 60 Months

0

0

0

0

> 60 Months

0

0

0

0

Historical Delinquency Information

Total

Current

30-59 Days

60-89 Days

90+ Days

REO/Foreclosure

Sep-25

983,973,801

952,973,801

31,000,000

0

0

0

Aug-25

983,993,339

983,993,339

0

0

0

0

Jul-25

984,012,755

953,012,755

31,000,000

0

0

0

Jun-25

984,038,007

984,038,007

0

0

0

0

May-25

984,057,145

984,057,145

0

0

0

0

Apr-25

984,082,129

984,082,129

0

0

0

0

Mar-25

984,100,993

953,100,993

0

31,000,000

0

0

Feb-25

984,137,668

942,087,668

31,000,000

0

11,050,000

0

Jan-25

984,156,187

942,106,187

31,000,000

11,050,000

0

0

Dec-24

984,174,590

942,124,590

42,050,000

0

0

0

Nov-24

984,198,867

953,198,867

31,000,000

0

0

0

Oct-24

984,217,004

953,217,004

31,000,000

0

0

0

(1) Maturity dates used in this chart are based on the dates provided by the Master Servicer in the Loan Periodic File.

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Page 22 of 29

Specially Serviced Loan Detail - Part 1

Ending Scheduled

Net Operating

Remaining

Pros ID

Loan ID

Balance

Actual Balance

Appraisal Value

Appraisal Date

Income

DSCR

DSCR Date

Maturity Date

Amort Term

No specially serviced loans this period

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Page 23 of 29

Specially Serviced Loan Detail - Part 2

Servicing

Property

Transfer

Resolution

Pros ID

Loan ID

Type¹

State

Date

Strategy Code²

Special Servicing Comments

No specially serviced loans this period

1 Property Type Codes

2 Resolution Strategy Code

HC - Health Care

MU - Mixed Use

WH - Warehouse

1 - Modification

6 - DPO

10 - Deed in Lieu of Foreclosures

MF - Multi-Family

SS - Self Storage

LO - Lodging

2 - Foreclosure

7 - REO

11- Full Payoff

RT - Retail

SF - Single Family Rental

98 - Other

3 - Bankruptcy

8 - Resolved

12 - Reps and Warranties

IN - Industrial

OF - Office

MH - Mobile Home Park

4 - Extension

9 - Pending Return to Master Servicer

13 - TBD

SE - Securities

CH - Cooperative Housing

ZZ - Missing Information/Undefined

5 - Note Sale

98 - Other

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Page 24 of 29

Modified Loan Detail

Pre-Modification

Post-Modification

Modification

Modification

Modification

Modification Booking

Closing

Effective

Balance

Rate

Balance

Rate

Pros ID

Loan Number

Code¹

Date

Date

Date

No modified loans this period

1 Modification Codes

1 - Maturity Date Extension

5 - Temporary Rate Reduction

8 - Other

2 - Amortization Change

6 - Capitalization on Interest

9 - Combination

3 - Principal Write-Off

7 - Capitalization on Taxes

10 - Forbearance

Note: Please refer to Servicer Reports for modification comments.

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Page 25 of 29

Historical Liquidated Loan Detail

Loan

Gross Sales

Current

Loss to Loan

Percent of

Beginning

Most Recent

Proceeds or

Fees,

Net Proceeds

Net Proceeds

Period

Cumulative

with

Original

Loan

Scheduled

Appraised

Other

Advances,

Received on

Available for

Realized Loss

Adjustment to

Adjustment to

Cumulative

Loan

Pros ID¹ Number Dist.Date

Balance

Value or BPO

Proceeds

and Expenses

Liquidation

Distribution

to Loan

Loan

Loan

Adjustment

Balance

No liquidated loans this period

Note: Fees, Advances and Expenses also include outstanding P & I advances and unpaid fees (servicing, trustee, etc.).

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Page 26 of 29

Historical Bond / Collateral Loss Reconciliation Detail

Certificate

Reimb of Prior

Interest Paid

Realized Losses

Loss Covered by

Total Loss

from Collateral

from Collateral

Aggregate

Credit

Loss Applied to

Loss Applied to

Non-Cash

Realized Losses

Applied to

Loan

Distribution

Principal

Interest

Realized Loss to

Support/Deal

Certificate

Certificate

Principal

from

Certificate

Pros ID Number

Date

Collections

Collections

Loan

Structure

Interest Payment

Balance

Adjustment

NRA/WODRA

Balance

No realized losses this period

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Page 27 of 29

Interest Shortfall Detail - Collateral Level

Special Servicing Fees

Modified

Deferred

Non-

Reimbursement of

Other

Interest

Interest

Interest

Recoverable

Interest on

Advances from

Shortfalls /

Reduction /

Pros ID

Adjustments

Collected

Monthly

Liquidation

Work Out

ASER

PPIS / (PPIE)

Interest

Advances

Interest

(Refunds)

(Excess)

No interest shortfalls this period

Note: Interest Adjustments listed for each loan do not include amounts that were used to adjust the Weighted Average Net Rate of the mortgage loans.

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Page 28 of 29

Supplemental Notes

None

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Page 29 of 29

BANK5 Trust 2024-5YR published this content on September 30, 2025, and is solely responsible for the information contained herein. Distributed via SEC EDGAR on September 30, 2025 at 15:39 UTC. If you believe the information included in the content is inaccurate or outdated and requires editing or removal, please contact us at [email protected]