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EX-99.1 CHARTER - SATURNS 2005-2 INVESTOR REPORT JANUARY 2012 - MS STRUCTURED SATURNS SERIES 2005-2saturns20052invrep.pdf
8-K - SATURNS 2005-2 FORM 8-K JANUARY 2012 - MS STRUCTURED SATURNS SERIES 2005-2sat00502_201101.htm

Structured Asset Trust Unit Repackagings (Saturns)
Bank of America Debenture-Backed
Series 2005-2
CUSIP NO.
80409R109
CUSIP NO.
80409R109
Distribution Date
January 3, 2012
U.S. Bank National Association, as Trustee for the Trust, hereby gives notice with respect to the Distribution Date as follows:
The amount of the distribution payable to the Certificateholders on the Distribution Date allocable to principal and premium, if any, and interest, is as set forth below:
Units
Beginning
Principal
Principal Payment
Ending Principal/Unit
Amount
Fixed
Rate
Day Count
Fixed Interest
Amount Due
Aggregate Interest
Due and Unpaid
Total
Distribution
A Units
$25,000,000.00
$0.00
$25,000,000.00
6.87500%
30/360
$859,375.00
$0.00
$859,375.00
B Units
$3,365,000.00
$0.00
$3,365,000.00
$47.771
per Unit
$160,749.42
$0.00
$160,749.42
Underlying Security AON CORP 8.205% 1/01/27
June/December or NBD
037389AK9
$25,000,000.00
8.20500%
$1,025,625.00
Additional Information
$2,000.00
$3,500.58
CUSIP
Moody's
S & P
Moody's
Date
S & P
Date
03738Q204
Baa3 (Watch Neg) BBB- (Watch Neg)
Baa3
2-Feb-05
BBB-
21-Nov-08
03738QAA3
Baa3 (Watch Neg) BBB- (Watch Neg)
Baa3
2-Feb-05
BBB-
21-Nov-08
Underlying Security
Baa3 (Watch Neg) BBB- (Watch Neg)
Baa3
10-Jul-09
BBB-
20-Nov-08
*The Trustee shall not be held responsible for the selection or use of the CUSIP number nor is any representation made as to its correctness.
It is included for the convenience of the Holders.
Current Ratings
Cusip
Expense Account Deposit
Original Ratings
To the Holders of:
Payment Dates
Current Principal Balance
Annual Coupon Rate (Fixed)
Interest Payment Received
Trustee Fees