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Form 10-D CITIGROUP COMMERCIAL For: Jul 16

July 30, 2021 11:38 AM EDT

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM 10-D

ASSET-BACKED ISSUER

DISTRIBUTION REPORT PURSUANT TO SECTION 13 OR 15(d) OF

THE SECURITIES EXCHANGE ACT OF 1934

For the monthly distribution period from:

June 18, 2021 to July 16, 2021

Commission File Number of issuing entity: 333-207132-08

Central Index Key Number of issuing entity: 0001687605

Citigroup Commercial Mortgage Trust 2016-C3

(Exact name of issuing entity as specified in its charter)

Commission File Number of depositor: 333-207132

Central Index Key Number of depositor: 0001258361

Citigroup Commercial Mortgage Securities Inc.

(Exact name of depositor as specified in its charter)

Citigroup Global Markets Realty Corp.

(Central Index Key Number: 0001541001)

Barclays Bank PLC

(Central Index Key Number: 0000312070)

Cantor Commercial Real Estate Lending, L.P.

(Central Index Key Number: 0001558761)

LMF Commercial, LLC (f/k/a Rialto Mortgage Finance, LLC)

(Central Index Key Number: 0001592182)

(Exact names of sponsors as specified in their respective charters)

Richard Simpson (212) 816-5343

(Name and telephone number, including area code, of the person to contact in connection with this filing)

New York

(State or other jurisdiction of incorporation or organization of the issuing entity)

81-4498593

81-4486584

81-6938061

(I.R.S. Employer Identification No.)

 

c/o Citibank, N.A.

388 Greenwich Street, 14th Floor

New York, New York

  10013
(Address of principal executive offices of the issuing entity)   (Zip Code)

(212) 816-5693

(Telephone number, including area code)

 

Title of class

  

Registered/reporting pursuant to

(check one)

  

Name of exchange

(If Section 12(b))

    

Section 12(b)

  

Section 12(g)

  

Section 15(d)

  

A-1

            Not Applicable

A-2

            Not Applicable

A-3

            Not Applicable

A-4

            Not Applicable

A-AB

            Not Applicable

X-A

            Not Applicable

X-B

            Not Applicable

A-S

            Not Applicable

B

            Not Applicable

C

            Not Applicable

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.    Yes  ☒    No  ☐


PART I – DISTRIBUTION INFORMATION

Item 1. Distribution and Pool Performance Information.

On July 16, 2021, a distribution was made to holders of the certificates issued by Citigroup Commercial Mortgage Trust 2016-C3.

The distribution report is attached as Exhibit 99.1 to this Form 10-D.

No assets securitized by Citigroup Commercial Mortgage Securities Inc. (the “Depositor”) and held by Citigroup Commercial Mortgage Trust 2016-C3 were the subject of a demand to repurchase or replace for breach of the representations and warranties contained in the underlying transaction documents during the monthly distribution period covered by this distribution report on Form 10-D.

The Depositor most recently filed a Form ABS-15G under Rule 15Ga-1 under the Securities Exchange Act of 1934 (“Rule 15Ga-1”) on February 9, 2021. The CIK number of the Depositor is 0001258361.

Citigroup Global Markets Realty Corp. (“CGMRC”), one of the sponsors, most recently filed a Form ABS-15G under Rule 15Ga-1 on February 9, 2021. The CIK number of CGMRC is 0001541001.

Barclays Bank PLC (“Barclays”), one of the sponsors, most recently filed a Form ABS-15G under Rule 15Ga-1 on May 14, 2021. The CIK number of Barclays is 0000312070.

Cantor Commercial Real Estate Lending, L.P. (“CCRE”), one of the sponsors, most recently filed a Form ABS-15G under Rule 15Ga-1 on February 16, 2021. The CIK number of CCRE is 0001558761.

LMF Commercial, LLC (f/k/a Rialto Mortgage Finance, LLC) (“LMF”), one of the sponsors, most recently filed a Form ABS-15G under Rule 15Ga-1 on February 9, 2021. The CIK number of LMF is 0001592182.

Item 1A. Asset-Level Information.

Not applicable

Item 1B. Asset Representations Reviewer and Investor Communication.

Not applicable

PART II – OTHER INFORMATION

Item 2. Legal Proceedings.

Disclosure from Deutsche Bank Trust Company Americas, as trustee (the “Trustee”):

Deutsche Bank Trust Company Americas (“DBTCA”) and Deutsche Bank National Trust Company (“DBNTC”) have been sued by investors in civil litigation concerning their role as trustees of certain residential mortgage-backed securities (“RMBS”) trusts.

On June 18, 2014, a group of investors, including funds managed by Blackrock Advisors, LLC, PIMCO-Advisors, L.P., and others, filed an action against DBNTC and DBTCA in New York State Supreme Court alleging that DBNTC and DBTCA failed to perform purported duties, as trustees for 544 private-label RMBS trusts, to enforce breaches of representations and warranties as to mortgage loans held by the trusts and to enforce breaches by servicers of their mortgage loan servicing obligations for the trusts. During the course of the litigation, plaintiffs dismissed the case from New York State Supreme Court and refiled two separate cases, one in the U.S. District Court for the Southern District of New York (the “BlackRock SDNY Case”) and the other in the Superior Court of California, Orange County (the “BlackRock California Case”). Pursuant to a settlement among the parties, the BlackRock SDNY Case was dismissed on December 6, 2018 and the BlackRock California Case was dismissed on January 11, 2019.

On September 27, 2017, DBTCA was added as a defendant to a case brought by certain special purpose entities including Phoenix Light SF Limited in the U.S. District Court for the Southern District of New York, in which the plaintiffs previously alleged incorrectly that DBNTC served as trustee for all 43 of the trusts at issue. On September 27, 2017, plaintiffs filed a third amended complaint that names DBTCA as a defendant in addition to DBNTC. DBTCA serves as trustee for one of the 43 trusts at issue. DBNTC serves as trustee for the other 42 trusts at issue. Plaintiffs’ third amended complaint brings claims for violation of the U.S. Trust Indenture Act of 1939 (“TIA”); breach of contract; breach of fiduciary duty; negligence and gross negligence; violation of the New York Streit Act (“Streit Act”); and breach of the covenant of good faith. However, in the third amended complaint, plaintiffs acknowledge that, before DBTCA was added to the case, the court dismissed plaintiffs’ TIA claims, negligence and gross negligence claims, Streit Act claims, claims for breach of the covenant of good faith, and certain theories of plaintiffs’ breach of contract claims, and plaintiffs only include these claims to preserve any rights on appeal. Plaintiffs allege damages of “hundreds of millions of dollars.” On November 13, 2017, DBNTC and DBTCA filed an answer to the third amended complaint. On December 7, 2018, DBNTC and DBTCA filed a motion for summary judgment. Also on December 7, 2018, plaintiffs, jointly with Commerzbank AG (see description of Commerzbank case below), filed a motion for partial summary judgment. As of March 8, 2019, both motions for summary judgment were fully briefed. As of June 21, 2021, they were still awaiting decision by the court. Discovery is ongoing.

On November 30, 2017, DBTCA was added as a defendant to a case brought by Commerzbank AG (“Commerzbank”) in the U.S. District Court for the Southern District of New York, in which Commerzbank previously alleged incorrectly that DBNTC served as trustee for all 50 of the trusts at issue. On November 30, 2017, Commerzbank filed a second amended complaint that names DBTCA as a defendant in addition to DBNTC. DBTCA serves as trustee for 1 of the 50 trusts at issue. DBNTC serves as trustee for the other 49 trusts at issue. Commerzbank’s second amended complaint brings claims for violation of the TIA; breach of contract; breach of fiduciary duty; negligence; violation of the Streit Act; and breach of the covenant of good faith. However, in the second amended complaint, Commerzbank acknowledges that, before DBTCA was added to the case, the court dismissed Commerzbank’s TIA claims for the trusts governed by pooling and servicing agreements, as well as its Streit Act claims and claims for breach of the covenant of good faith, and Commerzbank only includes these claims to preserve any rights on appeal. The second amended complaint alleges that DBNTC and DBTCA caused Commerzbank to suffer “hundreds of millions of dollars in losses,” but the complaint does not include a demand for money damages in a sum certain. On January 29, 2018, DBNTC and DBTCA filed an answer to the second amended complaint. On December 7, 2018, DBNTC and DBTCA filed a motion for summary judgment. Also on December 7, 2018, Commerzbank, jointly with the Phoenix Light plaintiffs, filed a motion for partial summary judgment. As of March 8, 2019, both motions for summary judgment were fully briefed. As of June 21, 2021, they were still awaiting decision by the court. Discovery is ongoing.

On December 30, 2015, IKB International, S.A. in Liquidation and IKB Deutsche Industriebank A.G. (collectively, “IKB”), as an investor in 37 RMBS trusts, filed a summons with notice in the Supreme Court of the State of New York, New York County, against DBNTC and DBTCA as trustees of the trusts. On May 27, 2016, IKB served its complaint asserting claims for breach of contract, breach of fiduciary duty, breach of duty to avoid conflicts of interest, violation of the Streit Act, violation of the TIA, violation of Regulation AB, and violation of Section 9 of the Uniform Commercial Code. IKB alleges that DBNTC and DBTCA are liable for over U.S. $268 million in damages. On October 5, 2016, DBNTC and DBTCA, together with several other trustees defending lawsuits by IKB, filed a joint motion to dismiss. On January 6, 2017, IKB filed a notice of discontinuance, voluntarily dismissing with prejudice all claims as to three trusts. On June 20, 2017, the parties filed a stipulation, voluntarily dismissing with prejudice all claims as to four additional trusts. On January 27, 2021, the court granted in part and denied in part DBNTC and DBTCA’s motion to dismiss. The court granted the motion to dismiss with respect to IKB’s claims for violations of the Streit Act, Regulation AB, and Section 9 of the Uniform Commercial Code, as well as certain aspects of IKB’s claims for breach of contract, breach of fiduciary duty, and violation of the TIA. The court denied the remainder of the motion to dismiss. IKB’s remaining claims for breach of contract, breach of fiduciary duty, breach of duty to avoid conflicts of interest, and violation of the TIA will proceed. On May 10, 2021, DBNTC and DBTCA filed a notice of appeal with the New York Supreme Court Appellate Division, First Department, regarding certain aspects of the court’s order on the motion to dismiss. On May 20, 2021, IKB filed a notice of cross appeal with respect to other aspects of that order. On June 2, 2021, IKB filed a motion for re-argument regarding certain aspects of that order. As of July 12, 2021, that motion was fully briefed and was awaiting decision by the court. On May 13, 2021, DBNTC and DBTCA filed an answer to the complaint. Discovery is ongoing.

It is DBTCA’s belief that it has no pending legal proceedings (including, based on DBTCA’s present evaluation, the litigation disclosed in the foregoing paragraphs) that would materially affect its ability to perform its duties as Trustee under the Pooling and Servicing Agreement for this transaction.

Item 3. Sales of Securities and Use of Proceeds.

None

Item 4. Defaults Upon Senior Securities.

None


Item 5. Submission of Matters to a Vote of Security Holders.

None

Item 6. Significant Obligors of Pool Assets.

With respect to the pool assets for Citigroup Commercial Mortgage Trust 2016-C3, there are no significant obligors within the meaning of Item 1101(k) of Regulation AB.

Item 7. Change in Sponsor Interest in Securities.

None

Item 8. Significant Enhancement Provider Information.

None

Item 9. Other Information.

Midland Loan Services, a Division of PNC Bank, National Association, in its capacity as Master Servicer for Citigroup Commercial Mortgage Trust 2016-C3, affirms the following amounts in the respective accounts:

 

Collection Account Balance

     

Prior Distribution Date:

  

06/17/2021

  

$27,905.00

Current Distribution Date:

  

07/16/2021

  

$27,905.00

Loan Combination Custodial Account Balance

     

Prior Distribution Date:

  

06/17/2021

  

$0.00

Current Distribution Date:

  

07/16/2021

  

$0.00

*REO Account Balance

     

Prior Distribution Date:

  

06/17/2021

  

$0.00

Current Distribution Date:

  

07/16/2021

  

$0.00

*As provided by the Special Servicer

     

Citibank, N.A., in its capacity as Certificate Administrator for Citigroup Commercial Mortgage Trust 2016-C3, affirms the following amounts in the respective accounts:

 

Distribution Account Balance

     

Prior Distribution Date:

  

06/17/2021

  

$0.71

Current Distribution Date:

  

07/16/2021

  

$0.72

Interest Reserve Account Balance

     

Prior Distribution Date:

  

06/17/2021

  

$0.00

Current Distribution Date:

  

07/16/2021

  

$0.00

Excess Interest Distribution Account Balance

     

Prior Distribution Date:

  

06/17/2021

  

$0.00

Current Distribution Date:

  

07/16/2021

  

$0.00

Excess Liquidation Proceeds Reserve Account Balance

     

Prior Distribution Date:

  

06/17/2021

  

$0.00

Current Distribution Date:

  

07/16/2021

  

$0.00

     

 

Item 10. Exhibits.

(a) The following is a list of documents filed as part of this Form 10-D:

(99.1): Monthly report distributed to holders of the certificates issued by Citigroup Commercial Mortgage Trust 2016-C3, relating to the July 16, 2021 distribution.

(b) The exhibits required to be filed by the Registrant pursuant to this Form 10-D are listed above and in the Exhibit Index that immediately precedes the signature page hereof.


EXHIBIT INDEX

 

Exhibit Number    Description
Exhibit 99.1    Monthly report distributed to holders of the certificates issued by Citigroup Commercial Mortgage Trust 2016-C3, relating to the July 16, 2021 distribution.


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 thereunto duly authorized.

 

Citigroup Commercial Mortgage Securities Inc.
(Depositor)

/s/ Richard Simpson

Richard Simpson, President

Date: July 30, 2021


Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3

 

CONTACT INFORMATION  
Depositor Citigroup Commercial Mortgage Securities Inc.
Master Servicer Midland Loan Services, a Division of PNC Bank N.A.
Asset Representations TriMont Real Estate Advisors, Inc.
Reviewer / Operating  
Advisor  
Trustee Deutsche Bank Trust Company Americas
Certificate Administrator Citibank, N.A.
Special Servicer Rialto Capital Advisors, LLC

 

CONTENTS  
Distribution Summary 2
Distribution Summary (Factors) 3
Interest Distribution Detail 4
Principal Distribution Detail 5
Reconciliation Detail 6
Other Information 7
Stratification Detail 8
Mortgage Loan Detail 11
NOI Detail 13
Delinquency Loan Detail 15
Appraisal Reduction Detail 17
Loan Modification Detail 19
Specially Serviced Loan Detail 22
Unscheduled Principal Detail 25
Liquidated Loan Detail 27
CREFC Legends 29

 

Deal Contact: Danny Lee Citibank, N.A.
  [email protected] Agency and Trust
  Tel: (212) 816-4936 388 Greenwich Street, 14th Floor
    New York, NY 10013

 

Reports Available at sf.citidirect.com Page 1 of 29 © Copyright 2021 Citigroup

 


 

Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
    Distribution Summary
DISTRIBUTION IN DOLLARS  

 

        Prior   Pass-   Accrual                                   Current
    Original   Principal   Through   Day Count   Accrual   Interest   Principal   PPP and YM     Total   Deferred   Realized     Principal
Class   Balance   Balance   Rate   Fraction   Dates   Distributed   Distributed   Distributed     Distributed   Interest   Loss     Balance
(1 ) (2 ) (3 ) (4 ) (5 ) (6 ) (7 ) (8 ) (9 ) (10)= (7 +8+9) (11 ) (12 ) (13)= (3-8+11-12)
 
A-1   31,197,000.00   1,373,130.86   1.456000 % 30/360   06/01 - 06/30   1,666.07   1,373,130.86   0.00     1,374,796.93   0.00   0.00     0.00
A-2   75,370,000.00   75,370,000.00   2.505000 % 30/360   06/01 - 06/30   157,334.88   10,581,708.76   0.00     10,739,043.64   0.00   0.00     64,788,291.24
A-3   180,000,000.00   180,000,000.00   2.896000 % 30/360   06/01 - 06/30   434,400.00   0.00   0.00     434,400.00   0.00   0.00     180,000,000.00
A-4   209,266,000.00   209,266,000.00   3.154000 % 30/360   06/01 - 06/30   550,020.80   0.00   0.00     550,020.80   0.00   0.00     209,266,000.00
A-AB   33,711,000.00   33,711,000.00   2.984000 % 30/360   06/01 - 06/30   83,828.02   0.00   0.00     83,828.02   0.00   0.00     33,711,000.00
A-S   63,356,000.00   63,356,000.00   3.366000 % 30/360   06/01 - 06/30   177,713.58   0.00   0.00     177,713.58   0.00   0.00     63,356,000.00
B   40,662,000.00   40,662,000.00   3.669000 % 30/360   06/01 - 06/30   124,324.07   0.00   0.00     124,324.07   0.00   0.00     40,662,000.00
C   30,259,000.00   30,259,000.00   4.121229 % 30/360   06/01 - 06/30   103,920.21   0.00   0.00     103,920.21   0.00   0.00     30,259,000.00
D   39,716,000.00   39,716,000.00   3.000000 % 30/360   06/01 - 06/30   99,290.00   0.00   0.00     99,290.00   0.00   0.00     39,716,000.00
E   17,021,000.00   17,021,000.00   2.815000 % 30/360   06/01 - 06/30   39,928.43   0.00   0.00     39,928.43   0.00   0.00     17,021,000.00
F   7,565,000.00   7,565,000.00   2.815000 % 30/360   06/01 - 06/30   17,746.23   0.00   0.00     17,746.23   0.00   0.00     7,565,000.00
G   28,369,189.00   28,369,189.00   2.815000 % 30/360   06/01 - 06/30   59,557.98   0.00   0.00     59,557.98   0.00   0.00     28,369,189.00
R   0.00   0.00   0.000000 % -   -   0.00   0.00   0.00     0.00   0.00   0.00     0.00
S   0.00   0.00   0.000000 % -   -   0.00   0.00   0.00     0.00   0.00   0.00     0.00
Totals   756,492,189.00   726,668,319.86               1,849,730.27   11,954,839.62   0.00     13,804,569.89   0.00   0.00     714,713,480.24
Notional Classes                                                    
X-A   592,900,000.00   563,076,130.86   1.127040 % 30/360   06/01 - 06/30   528,841.22   0.00   0.00     528,841.22   0.00   0.00     551,121,291.24
X-B   40,662,000.00   40,662,000.00   0.452229 % 30/360   06/01 - 06/30   15,323.77   0.00   0.00     15,323.77   0.00   0.00     40,662,000.00
X-D   39,716,000.00   39,716,000.00   1.121229 % 30/360   06/01 - 06/30   37,108.93   0.00   0.00     37,108.93   0.00   0.00     39,716,000.00
X-E   17,021,000.00   17,021,000.00   1.306229 % 30/360   06/01 - 06/30   18,527.76   0.00   0.00     18,527.76   0.00   0.00     17,021,000.00
X-F   7,565,000.00   7,565,000.00   1.306229 % 30/360   06/01 - 06/30   8,234.68   0.00   0.00     8,234.68   0.00   0.00     7,565,000.00
X-G   28,369,189.00   28,369,189.00   1.306229 % 30/360   06/01 - 06/30   30,880.54   0.00   0.00     30,880.54   0.00   0.00     28,369,189.00
Totals   726,233,189.00   696,409,319.86               638,916.90   0.00   0.00     638,916.90   0.00   0.00     684,454,480.24

 

Reports Available at sf.citidirect.com Page 2 of 29 © Copyright 2021 Citigroup

 


 

Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
    Distribution Summary (Factors)
PER $1,000 OF ORIGINAL BALANCE  

 

          Prior                           Current
      Record   Principal   Interest   Principal   PPP and YM   Total   Deferred       Principal
Class CUSIP   Date   Balance   Distributed   Distributed   Distributed   Distributed   Interest   Realized Loss   Balance
        (3)/ (2) x 1000 (7)/ (2) x 1000 (8)/ (2) x 1000 (9)/ (2) x 1000 (10)/ (2) x 1000 (11)/ (2) x 1000 (12)/ (2) x 1000 (14)/ (2) x 1000
 
A-1 17325 GAA4 6/30/2021   44.014837   0.053405   44.014837   0.000000   44.068241   0.000000   0.000000   0.000000
A-2 17325 GAB2 6/30/2021   1,000.000000   2.087500   140.396826   0.000000   142.484326   0.000000   0.000000   859.603174
A-3 17325 GAC0 6/30/2021   1,000.000000   2.413333   0.000000   0.000000   2.413333   0.000000   0.000000   1,000.000000
A-4 17325 GAD8 6/30/2021   1,000.000000   2.628333   0.000000   0.000000   2.628333   0.000000   0.000000   1,000.000000
A-AB 17325 GAE6 6/30/2021   1,000.000000   2.486667   0.000000   0.000000   2.486667   0.000000   0.000000   1,000.000000
A-S 17325 GAF3 6/30/2021   1,000.000000   2.805000   0.000000   0.000000   2.805000   0.000000   0.000000   1,000.000000
B 17325 GAG1 6/30/2021   1,000.000000   3.057500   0.000000   0.000000   3.057500   0.000000   0.000000   1,000.000000
C 17325 GAH9 6/30/2021   1,000.000000   3.434357   0.000000   0.000000   3.434357   0.000000   0.000000   1,000.000000
D 17325 GAL0 6/30/2021   1,000.000000   2.500000   0.000000   0.000000   2.500000   0.000000   0.000000   1,000.000000
  U1852 GAA6                                  
E 17325 GAN6 6/30/2021   1,000.000000   2.345833   0.000000   0.000000   2.345833   0.000000   0.000000   1,000.000000
  U1852 GAB4                                  
F 17325 GAQ9 6/30/2021   1,000.000000   2.345833   0.000000   0.000000   2.345833   0.000000   0.000000   1,000.000000
  U1852 GAC2                                  
G 17325 GAS5 6/30/2021   1,000.000000   2.099390   0.000000   0.000000   2.099390   0.000000   0.000000   1,000.000000
  U1852 GAD0                                  
R 17325 GBE5 6/30/2021   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000
S 17325 GBD7 6/30/2021   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000
X-A 17325 GAJ5 6/30/2021   949.698315   0.891957   0.000000   0.000000   0.891957   0.000000   0.000000   929.534983
X-B 17325 GAK2 6/30/2021   1,000.000000   0.376857   0.000000   0.000000   0.376857   0.000000   0.000000   1,000.000000
X-D 17325 GAU0 6/30/2021   1,000.000000   0.934357   0.000000   0.000000   0.934357   0.000000   0.000000   1,000.000000
  U1852 GAE8                                  
X-E 17325 GAW6 6/30/2021   1,000.000000   1.088524   0.000000   0.000000   1.088524   0.000000   0.000000   1,000.000000
  U1852 GAF5                                  
X-F 17325 GAY2 6/30/2021   1,000.000000   1.088523   0.000000   0.000000   1.088523   0.000000   0.000000   1,000.000000
  U1852 GAG3                                  
X-G 17325 GBA3 6/30/2021   1,000.000000   1.088524   0.000000   0.000000   1.088524   0.000000   0.000000   1,000.000000
  U1852 GAH1                                  

 

Reports Available at sf.citidirect.com Page 3 of 29 © Copyright 2021 Citigroup

 


 

Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Interest Distribution Detail
DISTRIBUTION IN DOLLARS    

 

    Prior   Pass-   Accrual Optimal   Prior   Interest on   Non-Recov.                 Current
    Principal   Through   Day Accrued   Unpaid   Prior Unpaid   Interest     Interest Deferred   Interest     Unpaid
Class   Balance   Rate   Count Interest   Interest   Interest   Shortfall     Due Interest   Distributed     Interest
(1 ) (2 ) (3 ) Fraction (6 ) (7 ) (8 ) (9 ) (10)= (6)+(7)+(8)-(9) (11 ) (12 ) (13)= (10)-(11)-(12)
A-1   1,373,130.86   1.456000 % 30/360 1,666.07   0.00   0.00   0.00     1,666.07 0.00   1,666.07     0.00
A-2   75,370,000.00   2.505000 % 30/360 157,334.88   0.00   0.00   0.00     157,334.88 0.00   157,334.88     0.00
A-3   180,000,000.00   2.896000 % 30/360 434,400.00   0.00   0.00   0.00     434,400.00 0.00   434,400.00     0.00
A-4   209,266,000.00   3.154000 % 30/360 550,020.80   0.00   0.00   0.00     550,020.80 0.00   550,020.80     0.00
A-AB   33,711,000.00   2.984000 % 30/360 83,828.02   0.00   0.00   0.00     83,828.02 0.00   83,828.02     0.00
A-S   63,356,000.00   3.366000 % 30/360 177,713.58   0.00   0.00   0.00     177,713.58 0.00   177,713.58     0.00
B   40,662,000.00   3.669000 % 30/360 124,324.07   0.00   0.00   0.00     124,324.07 0.00   124,324.07     0.00
C   30,259,000.00   4.121229 % 30/360 103,920.21   0.00   0.00   0.00     103,920.21 0.00   103,920.21     0.00
D   39,716,000.00   3.000000 % 30/360 99,290.00   0.00   0.00   0.00     99,290.00 0.00   99,290.00     0.00
E   17,021,000.00   2.815000 % 30/360 39,928.43   0.00   0.00   0.00     39,928.43 0.00   39,928.43     0.00
F   7,565,000.00   2.815000 % 30/360 17,746.23   0.00   0.00   0.00     17,746.23 0.00   17,746.23     0.00
G   28,369,189.00   2.815000 % 30/360 66,549.39   80,100.42   187.90   0.00     146,837.71 0.00   59,557.98     87,279.73
R   0.00   0.000000 % - 0.00   0.00   0.00   0.00     0.00 0.00   0.00     0.00
S   0.00   0.000000 % - 0.00   0.00   0.00   0.00     0.00 0.00   0.00     0.00
Totals   726,668,319.86         1,856,721.68   80,100.42   187.90   0.00     1,937,010.00 0.00   1,849,730.27     87,279.73
Notional Classes                                            
X-A   563,076,130.86   1.127040 % 30/360 528,841.22   0.00   0.00   0.00     528,841.22 0.00   528,841.22     0.00
X-B   40,662,000.00   0.452229 % 30/360 15,323.77   0.00   0.00   0.00     15,323.77 0.00   15,323.77     0.00
X-D   39,716,000.00   1.121229 % 30/360 37,108.93   0.00   0.00   0.00     37,108.93 0.00   37,108.93     0.00
X-E   17,021,000.00   1.306229 % 30/360 18,527.76   0.00   0.00   0.00     18,527.76 0.00   18,527.76     0.00
X-F   7,565,000.00   1.306229 % 30/360 8,234.68   0.00   0.00   0.00     8,234.68 0.00   8,234.68     0.00
X-G   28,369,189.00   1.306229 % 30/360 30,880.54   0.00   0.00   0.00     30,880.54 0.00   30,880.54     0.00
Totals   696,409,319.86         638,916.90   0.00   0.00   0.00     638,916.90 0.00   638,916.90     0.00

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
    Principal Distribution Detail
DISTRIBUTION IN DOLLARS  

 

        Prior   Scheduled   Unscheduled       Current   Current     Current Cumulative Original   Current   Original   Current  
    Original   Principal   Principal   Principal   Balance   Realized   Principal     Principal Realized   Class   Class   Credit   Credit  
Class   Balance   Balance   Distribution   Distribution   Change   Loss   Recoveries     Balance Loss   (%)   (%)   Support Support  
(1 ) (2 ) (3 ) (4 ) (5 ) (6 ) (7 ) (8 ) (9)= (3)-(4)-(5)+(6)-(7)+(8) (10 ) (11 ) (12 ) (13 ) (14 )
 
A-1   31,197,000.00   1,373,130.86   693,999.12   679,131.74   0.00   0.00   0.00     0.00 0.00   4.12 % 0.00 % 30.00 % N/A  
A-2   75,370,000.00   75,370,000.00   0.00   10,581,708.76   0.00   0.00   0.00     64,788,291.24 0.00   9.96 % 9.06 % 30.00 % 31.75 %
A-3   180,000,000.00   180,000,000.00   0.00   0.00   0.00   0.00   0.00     180,000,000.00 0.00   23.79 % 25.18 % 30.00 % 31.75 %
A-4   209,266,000.00   209,266,000.00   0.00   0.00   0.00   0.00   0.00     209,266,000.00 0.00   27.66 % 29.28 % 30.00 % 31.75 %
A-AB   33,711,000.00   33,711,000.00   0.00   0.00   0.00   0.00   0.00     33,711,000.00 0.00   4.46 % 4.72 % 30.00 % 31.75 %
A-S   63,356,000.00   63,356,000.00   0.00   0.00   0.00   0.00   0.00     63,356,000.00 0.00   8.38 % 8.86 % 21.63 % 22.89 %
B   40,662,000.00   40,662,000.00   0.00   0.00   0.00   0.00   0.00     40,662,000.00 0.00   5.38 % 5.69 % 16.25 % 17.20 %
C   30,259,000.00   30,259,000.00   0.00   0.00   0.00   0.00   0.00     30,259,000.00 0.00   4.00 % 4.23 % 12.25 % 12.97 %
D   39,716,000.00   39,716,000.00   0.00   0.00   0.00   0.00   0.00     39,716,000.00 0.00   5.25 % 5.56 % 7.00 % 7.41 %
E   17,021,000.00   17,021,000.00   0.00   0.00   0.00   0.00   0.00     17,021,000.00 0.00   2.25 % 2.38 % 4.75 % 5.03 %
F   7,565,000.00   7,565,000.00   0.00   0.00   0.00   0.00   0.00     7,565,000.00 0.00   1.00 % 1.06 % 3.75 % 3.97 %
G   28,369,189.00   28,369,189.00   0.00   0.00   0.00   0.00   0.00     28,369,189.00 0.00   3.75 % 3.97 % 0.00 % 0.00 %
Totals   756,492,189.00   726,668,319.86   693,999.12   11,260,840.50   0.00   0.00   0.00     714,713,480.24 0.00   100.00 % 100.00 %        

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
    Reconciliation Detail

 

SOURCE OF FUNDS
 
Interest Funds Available    
Scheduled Interest 2,507,471.76  
Prepayment Interest Shortfall 0.00  
Interest Adjustments 0.00  
ASER Amount 0.00  
Realized Loss in Excess of Principal Balance 0.00  
Total Interest Funds Available:   2,507,471.76
Principal Funds Available    
Scheduled Principal 693,999.12  
Unscheduled Principal 11,260,840.50  
Curtailments 0.00  
Principal Prepayments 0.00  
Net Liquidation Proceeds 0.00  
Repurchased Principal 0.00  
Substitution Principal 0.00  
Other Principal 0.00  
Total Principal Funds Available:   11,954,839.62
Other Funds Available    
Yield Maintenance Charges 0.00  
Withdrawal of Withheld Amounts from the Interest Reserve Account 0.00  
Deposit of Withheld Amounts to the Interest Reserve Account 0.00  
Total Other Funds Available:   0.00
Total Funds Available   14,462,311.38

 

ALLOCATION OF FUNDS
 
Scheduled Fees      
Servicing Fee 5,414.25    
Trustee/Certificate Administrator Fee 4,481.10    
Operating Advisor Fee 1,423.03    
Asset Representations Reviewer Ongoing Fee 211.95    
CREFC® Intellectual Property Royalty License Fee 302.78    
Total Scheduled Fees:     11,833.11
Additional Fees, Expenses, etc.      
Additional Servicing Fee 0.00    
Special Servicing Fee 7,000.00    
Work-out Fee 0.00    
Liquidation Fee 0.00    
Trust Fund Expenses 0.00    
Trust Advisor Expenses 0.00    
Reimbursement of Interest on Advances to the Servicer (8.52 )  
Borrower Reimbursable Trust Fund Expenses 0.00    
Other Expenses 0.00    
Total Additional Fees, Expenses, etc.:     6,991.48
Distributions      
Interest Distribution 2,488,647.17    
Principal Distribution 11,954,839.62    
Yield Maintenance Charge Distribution 0.00    
Total Distributions:     14,443,486.79
Total Funds Allocated     14,462,311.38

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
    Other Information

 

Interest Reserve Account Information    
Beginning Interest Reserve Account Balance 0.00  
Deposit of Withheld Amounts to the Interest Reserve Account 0.00  
Withdrawal of Withheld Amounts from the Interest Reserve Account 0.00  
Ending Interest Reserve Account Balance 0.00  
 
Excess Liquidation Proceeds Reserve Account Information    
Beginning Excess Liquidation Proceeds Reserve Account Balance 0.00  
Deposit to the Excess Liquidation Proceeds Reserve Account 0.00  
Withdrawal from the Excess Liquidation Proceeds Reserve Account 0.00  
Ending Excess Liquidation Proceeds Reserve Account Balance 0.00  
 
Collateral Information    
% of Cut-Off Principal Balance Outstanding 94.477311 %
 
Controlling Class Information    
Controlling Class is Class G.    
The Controlling Class Representative is Rialto CMBS X, LLC.    
 
There Are No Disclosable Special Servicer Fees.    

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Stratification Detail

 

Ending Scheduled Balance
 
Ending Sched # of Ending Sched % of Agg     Wtd Avg
Balance Loans Balance Balance WAC WAM DSCR
 
0 or Less 1 0.00 0.00 0.0000 0 0.000000
1 to 5,000,000 8 29,436,125.50 4.12 4.5336 63 2.125270
5,000,001 to 10,000,000 15 101,958,439.56 14.27 4.5239 59 1.706347
10,000,001 to 15,000,000 7 87,158,509.01 12.19 4.5713 63 1.271163
15,000,001 to 20,000,000 2 32,892,731.55 4.60 4.5534 63 1.749056
20,000,001 to 25,000,000 3 69,594,905.71 9.74 4.5564 63 1.194181
25,000,001 to 30,000,000 5 139,375,949.95 19.50 4.1054 57 2.594052
30,000,001 to 35,000,000 1 35,000,000.00 4.90 2.9882 64 4.070000
35,000,001 to 40,000,000 0 0.00 0.00 0.0000 0 0.000000
40,000,001 to 45,000,000 1 40,046,819.25 5.60 4.2400 63 2.190000
45,000,001 to 50,000,000 0 0.00 0.00 0.0000 0 0.000000
50,000,001 to 55,000,000 0 0.00 0.00 0.0000 0 0.000000
55,000,001 to 60,000,000 2 114,250,000.00 15.99 3.7226 63 2.088206
60,000,001 to 65,000,000 1 65,000,000.00 9.09 3.2920 62 2.560000
Totals 46 714,713,480.53 100.00 4.1218 61 2.077262
 
 
 
 
(When current DSCR is not available, the most currently provided DSCR will be used.)      

 

State
 
    # of Ending Sched % of Agg     Wtd Avg
State   Loans Balance Balance WAC WAM DSCR
 
Alabama   1 2,800,000.00 0.39 4.9500 62 1.810000
Arizona   1 9,047,150.08 1.27 4.0900 63 1.040000
California   12 78,119,964.26 10.93 4.3370 63 2.175297
Connecticut   2 69,091,232.27 9.67 4.3549 63 1.370133
Florida   2 13,372,093.47 1.87 4.5780 64 1.390121
Indiana   1 8,709,497.45 1.22 4.4100 62 1.700000
Kansas   1 6,751,341.16 0.94 5.3100 3 0.310000
Michigan   3 76,184,312.90 10.66 3.4915 62 2.420705
North Carolina   1 5,959,741.05 0.83 4.3000 63 2.790000
New Jersey   4 111,252,676.66 15.57 3.8160 63 2.119128
Ohio   1 5,027,057.45 0.70 4.5890 64 1.930000
South Carolina   2 26,839,398.76 3.76 4.9200 63 1.050000
Tennessee   1 6,033,036.39 0.84 4.6200 63 1.520000
Texas   2 11,792,448.12 1.65 4.8644 63 1.814944
Virginia   2 65,000,000.00 9.09 3.3114 64 3.562308
Washington   1 30,000,000.00 4.20 3.3830 88 3.390000
Various   9 188,733,530.51 26.41 4.4856 54 1.756824
  Totals 46 714,713,480.53 100.00 4.1218 61 2.077262

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Stratification Detail

 

Seasoning
 
  # of Ending Sched % of Agg     Wtd Avg
Seasoning Loans Balance Balance WAC WAM DSCR
 
12 Months or Less 0 0.00 0.00 0.0000 0 0.000000
13 to 24 Months 0 0.00 0.00 0.0000 0 0.000000
25 to 36 Months 0 0.00 0.00 0.0000 0 0.000000
37 to 48 Months 0 0.00 0.00 0.0000 0 0.000000
49 Months or Greater 46 714,713,480.53 100.00 4.1218 61 2.077262
Totals 46 714,713,480.53 100.00 4.1218 61 2.077262

 

Property Type
 
Property   # of Ending Sched % of Agg     Wtd Avg
Type   Loans Balance Balance WAC WAM DSCR
 
Multifamily   6 103,594,263.11 14.49 4.3802 63 1.573759
Retail   10 168,646,358.66 23.60 3.8091 62 2.515457
Office   12 256,345,883.83 35.87 3.8496 66 2.629824
Mixed Use   2 10,771,479.37 1.51 4.3804 63 2.222677
Lodging   11 144,788,379.86 20.26 4.7933 49 0.768761
Self Storage   5 30,567,115.70 4.28 3.9808 64 2.878869
 
  Totals 46 714,713,480.53 100.00 4.1218 61 2.077262

 

Debt Service Coverage Ratio
 
Debt Service # of Ending Sched % of Agg     Wtd Avg
Coverage Ratio Loans Balance Balance WAC WAM DSCR
 
1.250 or Less 9 118,562,251.29 16.59 4.8201 46 0.589363
1.251 to 1.500 7 83,770,967.70 11.72 4.4380 63 1.354931
1.501 to 1.750 8 103,143,841.51 14.43 4.5534 63 1.565675
1.751 to 2.000 4 45,944,066.36 6.43 4.6149 62 1.860688
2.001 to 2.250 6 83,073,719.58 11.62 4.2578 63 2.152415
2.251 to 2.500 0 0.00 0.00 0.0000 0 0.000000
2.501 to 2.750 2 73,347,115.70 10.26 3.3874 62 2.573656
2.751 to 3.000 6 109,004,741.05 15.25 3.4672 64 2.902719
3.001 to 3.250 1 5,425,000.00 0.76 3.8480 63 3.020000
3.251 to 3.500 1 30,000,000.00 4.20 3.3830 88 3.390000
3.501 to 3.750 0 0.00 0.00 0.0000 0 0.000000
3.751 to 4.000 1 27,441,777.34 3.84 4.1500 63 4.000000
4.001 or Greater 1 35,000,000.00 4.90 2.9882 64 4.070000
Totals 46 714,713,480.53 100.00 4.1218 61 2.077262
 
 
(When current DSCR is not available, the most currently provided DSCR will be used.)      

 

Loan Rate
 
Loan   # of Ending Sched % of Agg     Wtd Avg
Rate (%)   Loans Balance Balance WAC WAM DSCR
 
4.00 or Less   9 245,620,000.00 34.37 3.3259 66 3.002094
4.01 to 4.25   5 92,232,862.37 12.90 4.1758 63 2.715848
4.26 to 4.50   9 163,525,520.09 22.88 4.3635 63 1.592848
4.51 to 4.75   5 74,085,498.72 10.37 4.6975 41 1.314399
4.76 to 5.00   13 121,795,363.58 17.04 4.8513 63 1.065243
5.01 to 5.25   2 9,031,796.20 1.26 5.1764 55 0.517688
5.26 to 5.50   3 8,422,439.57 1.18 5.2995 15 0.536188
5.51 to 5.75   0 0.00 0.00 0.0000 0 0.000000
5.76 to 6.00   0 0.00 0.00 0.0000 0 0.000000
6.01 to 6.25   0 0.00 0.00 0.0000 0 0.000000
6.26 to 6.50   0 0.00 0.00 0.0000 0 0.000000
6.51 to 6.75   0 0.00 0.00 0.0000 0 0.000000
6.76 to 7.00   0 0.00 0.00 0.0000 0 0.000000
7.01 or Greater   0 0.00 0.00 0.0000 0 0.000000
  Totals 46 714,713,480.53 100.00 4.1218 61 2.077262

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Stratification Detail

 

Anticipated Remaining Term
 
Anticipated # of Ending Sched % of Agg     Wtd Avg
Remaining Term Loans Balance Balance WAC WAM DSCR
 
60 Months or Less 6 67,717,309.97 9.47 4.8550 32 1.000481
61 to 90 Months 40 646,996,170.56 90.53 4.0450 64 2.189963
91 Months or Greater 0 0.00 0.00 0.0000 0 0.000000
Totals 46 714,713,480.53 100.00 4.1218 61 2.077262
 
 
(When current DSCR is not available, the most currently provided DSCR will be used.)      

 

Remaining Amortization Term
 
Remaining # of Ending Sched % of Agg     Wtd Avg
Amortization Term Loans Balance Balance WAC WAM DSCR
 
240 Months or Less 11 310,970,000.00 43.51 3.5273 66 2.687577
241 to 270 Months 4 37,955,317.59 5.31 4.9756 52 1.044864
271 to 300 Months 3 34,756,126.94 4.86 4.8608 59 1.466776
301 Months or Greater 28 331,032,036.00 46.32 4.5047 58 1.686404
Totals 46 714,713,480.53 100.00 4.1218 61 2.077262

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Mortgage Loan Detail

 

    Prop               Neg Beginning Ending Paid Appraisal Appraisal Payment Workout   Mod  
Loan   Type     Interest Principal Gross   Maturity Am Scheduled Scheduled Through Reduction Reduction Status Strategy   Type  
Number OMCR (1) City State Payment Payment Coupon   Date Flag Balance Balance Date Date Amount (2 ) (3 ) (4 )
 
030311777 001 RT Ann Arbor MI 178,316.67 0.00 3.29200 % 9/1/26 N 65,000,000.00 65,000,000.00   N/A 0.00 0   0   0  
030311790 002 MF Stamford CT 208,316.67 0.00 4.31000 % 10/6/26 N 58,000,000.00 58,000,000.00   N/A 0.00 0   0   0  
030311778 003 OF Jersey City NJ 146,109.38 0.00 3.11700 % 10/11/26 N 56,250,000.00 56,250,000.00   N/A 0.00 0   0   0  
030311796 005 OF Various XX 141,727.16 64,641.79 4.24000 % 10/6/26 N 40,111,461.04 40,046,819.25   N/A 0.00 0   0   0  
030311779 006 RT Woodbridge VA 87,156.21 0.00 2.98821 % 11/1/26 N 35,000,000.00 35,000,000.00   N/A 0.00 0   0   0  
030311780 007 OF Seattle WA 84,575.00 0.00 3.38300 % 11/6/28 N 30,000,000.00 30,000,000.00   N/A 0.00 0   0   0  
030311802 011 LO Various XX 103,485.16 44,320.51 4.73000 % 10/6/21 N 26,254,162.38 26,209,841.87   N/A 0.00 0   8   0  
030311803 013 LO Various XX 84,135.98 35,082.95 4.80300 % 10/6/26 N 21,020,857.28 20,985,774.33   N/A 0.00 0   0   8  
030311804 014 LO Various XX 70,227.52 29,283.42 4.80300 % 10/6/26 N 17,545,914.54 17,516,631.12   N/A 0.00 0   0   8  
030311805 015 MF Rialto CA 54,800.61 27,786.72 4.26910 % 11/6/26 N 15,403,887.15 15,376,100.43   N/A 0.00 0   0   0  
030311806 016 OF Various XX 44,708.33 0.00 3.70000 % 10/6/26 N 14,500,000.00 14,500,000.00   N/A 0.00 0   0   0  
030311807 017 MF Riverside CA 44,167.66 22,395.26 4.26910 % 11/6/26 N 12,415,073.43 12,392,678.17   N/A 0.00 0   0   0  
030311808 018 LO Various XX 45,003.40 18,765.47 4.80300 % 10/6/26 N 11,243,822.32 11,225,056.85   N/A 0.00 0   0   8  
030311785 019 OF Hayward CA 49,923.06 11,260,840.50 5.32000 % 9/6/21 N 11,260,840.50 0.00   N/A 0.00 0   0   0  
030311809 020 LO San Diego CA 45,904.20 18,148.20 4.95000 % 10/6/26 N 11,128,291.16 11,110,142.96   N/A 0.00 0   0   0  
030311810 021 RT Norwalk CT 42,484.74 15,888.61 4.59000 % 10/6/26 N 11,107,120.88 11,091,232.27   N/A 0.00 0   0   0  
030311811 022 RT Coral Gables FL 35,990.70 16,961.99 4.46000 % 11/6/26 N 9,683,595.28 9,666,633.29   N/A 0.00 0   0   0  
030311774 023 LO Temp AZ 30,893.26 16,885.97 4.09000 % 10/6/26 N 9,064,036.05 9,047,150.08   N/A 0.00 0   0   8  
030311812 024 LO Merrillville IN 32,064.60 15,563.82 4.41000 % 9/6/26 N 8,725,061.27 8,709,497.45   N/A 0.00 0   0   0  
030311813 025 SS Torrance CA 28,781.02 15,409.16 4.13000 % 11/6/26 N 8,362,524.86 8,347,115.70   N/A 0.00 0   0   0  
030311814 026 LO Overland Park KS 29,942.24 15,267.22 5.31000 % 10/6/21 N 6,766,608.38 6,751,341.16   11/12/20 0.00 3   98   0  
030311815 027 SS Stockton CA 24,990.00 0.00 4.08000 % 11/6/26 N 7,350,000.00 7,350,000.00   N/A 0.00 0   0   0  
030311781 028 LO Saddlebrook NJ 27,463.69 10,734.24 5.14600 % 12/6/25 N 6,404,279.52 6,393,545.28   N/A 0.00 3   2   0  
030311775 029 RT South Lyon MI 25,426.68 10,691.86 4.78000 % 10/6/26 N 6,383,266.44 6,372,574.58   N/A 0.00 0   0   0  
030311816 030 MF Sherman TX 24,889.28 10,202.23 4.85000 % 10/6/26 N 6,158,173.54 6,147,971.31   N/A 0.00 0   0   0  
030311789 031 MU Southern Pines NC 21,394.34 10,772.30 4.30000 % 10/6/26 N 5,970,513.35 5,959,741.05   N/A 0.00 0   0   0  
030311817 032 MF Memphis TN 23,260.29 8,597.81 4.62000 % 10/6/26 N 6,041,634.20 6,033,036.39   N/A 0.00 0   0   0  

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Mortgage Loan Detail

 

      Prop               Neg Beginning Ending Paid Appraisal Appraisal Payment Workout   Mod  
Loan     Type     Interest Principal Gross   Maturity Am Scheduled Scheduled Through Reduction Reduction Status Strategy   Type  
Number OMCR   (1) City State Payment Payment Coupon   Date Flag Balance Balance Date Date Amount (2 ) (3 ) (4 )
 
030311818 033   MF Dallas TX 22,989.91 8,780.80 4.88000 % 9/6/26 N 5,653,257.61 5,644,476.81   N/A 0.00 0   0   0  
030311819 034   OF Mayfield Heights OH 19,257.37 8,645.93 4.58900 % 11/6/26 N 5,035,703.38 5,027,057.45   N/A 0.00 0   0   0  
030311820 035   SS Pomona CA 17,396.17 0.00 3.84800 % 10/6/26 N 5,425,000.00 5,425,000.00   N/A 0.00 0   0   0  
030311821 036   RT Various XX 20,235.83 7,475.41 4.77000 % 11/6/26 N 5,090,774.42 5,083,299.01   N/A 0.00 0   0   0  
030311822 037   MU Detroit MI 17,995.25 8,417.00 4.48000 % 11/6/26 N 4,820,155.32 4,811,738.32   N/A 0.00 B   0   0  
030311786 038   RT Oakdale CA 17,500.62 10,576.23 4.80000 % 9/6/26 N 4,375,153.90 4,364,577.67   N/A 0.00 0   0   0  
030311823 039   SS Rosemead CA 15,247.70 0.00 3.84800 % 10/6/26 N 4,755,000.00 4,755,000.00   N/A 0.00 0   0   0  
030311824 040   SS Diamond Bar CA 15,039.27 0.00 3.84800 % 10/6/26 N 4,690,000.00 4,690,000.00   N/A 0.00 0   0   0  
030311825 041   RT Lake Worth FL 15,112.17 6,082.87 4.88600 % 11/6/26 N 3,711,543.05 3,705,460.18   N/A 0.00 0   0   0  
030311787 042   RT San Marcos CA 11,560.62 4,177.19 5.25000 % 7/6/26 N 2,642,428.11 2,638,250.92   N/A 0.00 0   0   0  
030311776 043   OF Birmingham AL 11,550.00 0.00 4.95000 % 9/6/26 N 2,800,000.00 2,800,000.00   N/A 0.00 0   0   0  
030311788 044   OF Temecula CA 7,332.26 2,615.21 5.25700 % 9/6/26 N 1,673,713.62 1,671,098.41   N/A 0.00 0   0   0  
030311795 4 A1 OF Newark NJ 90,261.70 35,667.99 4.45000 % 10/6/26 N 24,340,233.68 24,304,565.69   N/A 0.00 0   0   0  
030311791 4 A2 OF Newark NJ 90,261.70 35,667.99 4.45000 % 10/6/26 N 24,340,233.68 24,304,565.69   N/A 0.00 0   0   0  
030311797 8 A1 OF Ashburn VA 92,212.50 0.00 3.68850 % 10/6/26 N 30,000,000.00 30,000,000.00   N/A 0.00 0   0   0  
030311659 9 A2 OF Various XX 95,078.33 50,752.67 4.15000 % 10/6/26 N 27,492,530.01 27,441,777.34   N/A 0.00 0   0   0  
030311801 0 A4 LO Hilton Head Island SC 55,151.31 31,839.47 4.92000 % 10/6/26 N 13,451,538.85 13,419,699.38   N/A 0.00 0   0   0  
030311782 2 A2 RT Various XX 101,999.89 44,061.36 4.75000 % 7/6/26 N 25,768,392.10 25,724,330.74   N/A 0.00 0   0   0  
030311800 A2 B LO Hilton Head Island SC 55,151.31 31,839.47 4.92000 % 10/6/26 N 13,451,538.85 13,419,699.38   N/A 0.00 0   0   0  
Totals Count: 46   2,507,471.76 11,954,839.62         726,668,320.15 714,713,480.53     0.00            

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    NOI Detail

 

    Property     Ending Preceding Most Most Recent Most Recent
Loan   Type     Scheduled Fiscal Recent Financial As of Financial As
Number OMCR (1) City State Balance Year NOI NOI Start Date of End Date
030311777 001 RT Ann Arbor MI 65,000,000.00 14,048,363.80 15,059,826.33 Not Available Not Available
030311790 002 MF Stamford CT 58,000,000.00 4,024,959.75 856,822.86 01/01/2021 03/31/2021
030311778 003 OF Jersey City NJ 56,250,000.00 27,128,534.48 6,345,310.30 01/01/2021 03/31/2021
030311796 005 OF Various XX 40,046,819.25 0.00 1,477,109.05 Not Available Not Available
030311779 006 RT Woodbridge VA 35,000,000.00 36,932,274.66 37,523,108.33 Not Available Not Available
030311780 007 OF Seattle WA 30,000,000.00 11,818,754.25 11,818,754.25 Not Available Not Available
030311802 011 LO Various XX 26,209,841.87 1,444,069.16 303,318.59 01/01/2021 03/31/2021
030311803 013 LO Various XX 20,985,774.33 1,945,388.29 185,016.95 01/01/2021 03/31/2021
030311804 014 LO Various XX 17,516,631.12 1,833,141.83 505,195.35 01/01/2021 03/31/2021
030311805 015 MF Rialto CA 15,376,100.43 1,975,572.50 2,041,293.36 Not Available Not Available
030311806 016 OF Various XX 14,500,000.00 1,428,613.53 1,428,613.53 Not Available Not Available
030311807 017 MF Riverside CA 12,392,678.17 1,566,940.56 1,606,608.63 Not Available Not Available
030311808 018 LO Various XX 11,225,056.85 -161,457.96 76,209.37 Not Available Not Available
030311809 020 LO San Diego CA 11,110,142.96 467,492.88 856,967.30 Not Available Not Available
030311810 021 RT Norwalk CT 11,091,232.27 1,141,345.16 1,151,254.64 Not Available Not Available
030311811 022 RT Coral Gables FL 9,666,633.29 941,602.82 941,602.82 Not Available Not Available
030311774 023 LO Temp AZ 9,047,150.08 536,728.39 748,877.29 Not Available Not Available
030311812 024 LO Merrillville IN 8,709,497.45 979,837.03 268,508.87 01/01/2021 03/31/2021
030311813 025 SS Torrance CA 8,347,115.70 1,430,630.52 1,430,630.52 Not Available Not Available
030311814 026 LO Overland Park KS 6,751,341.16 816,405.16 263,589.92 Not Available Not Available
030311815 027 SS Stockton CA 7,350,000.00 894,822.25 894,822.25 Not Available Not Available
030311781 028 LO Saddlebrook NJ 6,393,545.28 -45,210.20 -45,210.20 Not Available Not Available
030311775 029 RT South Lyon MI 6,372,574.58 783,963.72 813,784.69 Not Available Not Available
030311816 030 MF Sherman TX 6,147,971.31 957,019.66 957,019.66 Not Available Not Available
030311789 031 MU Southern Pines NC 5,959,741.05 1,096,162.51 1,096,162.51 Not Available Not Available
030311817 032 MF Memphis TN 6,033,036.39 622,647.97 622,647.97 Not Available Not Available
030311818 033 MF Dallas TX 5,644,476.81 580,196.15 580,196.15 Not Available Not Available

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
    NOI Detail

 

        Property     Ending Preceding Most Most Recent Most Recent
Loan       Type     Scheduled Fiscal Recent Financial As of Financial As
Number OMCR     (1) City State Balance Year NOI NOI Start Date of End Date
030311819 034     OF Mayfield Heights OH 5,027,057.45 445,340.74 189,605.97 01/01/2021 03/31/2021
030311820 035     SS Pomona CA 5,425,000.00 648,599.01 648,599.01 Not Available Not Available
030311821 036     RT Various XX 5,083,299.01 0.00 495,093.95 Not Available Not Available
030311822 037     MU Detroit MI 4,811,738.32 499,450.42 499,450.42 Not Available Not Available
030311786 038     RT Oakdale CA 4,364,577.67 824,489.01 824,489.01 Not Available Not Available
030311823 039     SS Rosemead CA 4,755,000.00 553,030.55 553,030.55 Not Available Not Available
030311824 040     SS Diamond Bar CA 4,690,000.00 552,648.75 552,648.75 Not Available Not Available
030311825 041     RT Lake Worth FL 3,705,460.18 352,782.56 350,070.92 Not Available Not Available
030311787 042     RT San Marcos CA 2,638,250.92 253,936.96 104,051.67 01/01/2021 03/31/2021
030311776 043     OF Birmingham AL 2,800,000.00 264,303.00 264,303.00 Not Available Not Available
030311788 044     OF Temecula CA 1,671,098.41 176,075.86 45,481.84 01/01/2021 03/31/2021
030311795 4 A1   OF Newark NJ 24,304,565.69 11,968,307.96 3,198,577.68 01/01/2021 03/31/2021
030311791 4 A2   OF Newark NJ 24,304,565.69 11,968,307.96 3,198,577.68 01/01/2021 03/31/2021
030311797 8 A1   OF Ashburn VA 30,000,000.00 14,960,114.65 14,960,114.65 Not Available Not Available
030311659 9 A2   OF Various XX 27,441,777.34 0.00 2,010,204.37 Not Available Not Available
030311801 0 A4   LO Hilton Head Island SC 13,419,699.38 7,519,024.40 8,300,238.34 01/01/2021 03/31/2021
030311782 2 A2   RT Various XX 25,724,330.74 0.00 8,010,748.05 Not Available Not Available
030311800 A2 B   LO Hilton Head Island SC 13,419,699.38 7,519,024.40 8,300,238.34 01/01/2021 03/31/2021
Totals Count:   45       714,713,480.53 173,694,235.10 142,313,565.49    

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Delinquency Loan Detail

 

      Actual Paid Current P&I Total P&I Cumulative Other Expense Payment   Workout   Most Recent      
Loan   # of Months Principal Through Advances Advances Accrued Unpaid Advances Status   Strategy   Special Serv Foreclosure Bankruptcy REO
Number OMCR Delinq Balance Date (Net of ASER) Outstanding Interest Advances Outstanding (2 ) (3 ) Transfer Date Date Date Date
030311814 026 3+ 6,953,128.66   45,209.46 632,526.46 15,394.97 7,650.00 3   98   7/10/20      
030311781 028 3+ 6,456,370.03   38,197.93 228,379.37 2,755.30 0.00 3   2   11/16/20      
030311822 037 <1 4,820,155.32   26,412.25 26,392.17 0.00 0.00 B   0          
Totals Count: 3 18,229,654.01   109,819.64 887,298.00 18,150.27 7,650.00                

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Historical Delinquency Information

 

Distribution Less Than 1 Month       1 Month       2 Months       3 Months       4+ Months       Bankruptcy       Foreclosure       REO      
Date End Sched Bal   #   End Sched Bal   #   End Sched Bal   #   End Sched Bal   #   End Sched Bal   #   End Sched Bal   #   End Sched Bal   #   End Sched Bal   #  
 
07/16/2021 4,811,738.32   1   0.00   0   0.00   0   0.00   0   6,751,341.16   1   0.00   0   6,393,545.28   1   0.00   0  
  0.673 % 2.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.945 % 2.2 % 0.000 % 0.0 % 0.895 % 2.2 % 0.000 % 0.0 %
06/17/2021 0.00   0   0.00   0   0.00   0   0.00   0   6,766,608.38   1   0.00   0   6,404,279.52   1   0.00   0  
  0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.931 % 2.2 % 0.000 % 0.0 % 0.881 % 2.2 % 0.000 % 0.0 %
05/17/2021 15,472,906.99   2   0.00   0   0.00   0   0.00   0   6,780,812.57   1   0.00   0   6,414,054.99   1   0.00   0  
  2.127 % 4.3 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.932 % 2.2 % 0.000 % 0.0 % 0.882 % 2.2 % 0.000 % 0.0 %
04/16/2021 0.00   0   0.00   0   0.00   0   0.00   0   6,795,949.95   1   0.00   0   6,424,701.66   1   0.00   0  
  0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.933 % 2.2 % 0.000 % 0.0 % 0.882 % 2.2 % 0.000 % 0.0 %
03/17/2021 0.00   0   0.00   0   0.00   0   0.00   0   6,810,020.59   1   0.00   0   6,434,387.03   1   0.00   0  
  0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.935 % 2.2 % 0.000 % 0.0 % 0.883 % 2.2 % 0.000 % 0.0 %
02/18/2021 0.00   0   0.00   0   0.00   0   0.00   0   6,827,034.40   1   0.00   0   6,446,782.07   1   0.00   0  
  0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.936 % 2.2 % 0.000 % 0.0 % 0.884 % 2.2 % 0.000 % 0.0 %
01/15/2021 83,463,984.44   3   0.00   0   0.00   0   0.00   0   6,840,963.55   1   0.00   0   6,456,370.03   1   0.00   0  
  11.431 % 6.5 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.937 % 2.2 % 0.000 % 0.0 % 0.884 % 2.2 % 0.000 % 0.0 %
12/17/2020 0.00   0   0.00   0   0.00   0   0.00   0   6,854,829.30   1   0.00   0   6,465,915.69   1   0.00   0  
  0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.938 % 2.2 % 0.000 % 0.0 % 0.885 % 2.2 % 0.000 % 0.0 %
11/18/2020 33,029,097.14   2   0.00   0   0.00   0   0.00   0   6,869,640.60   1   0.00   0   0.00   0   0.00   0  
  4.515 % 4.3 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.939 % 2.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
10/19/2020 0.00   0   0.00   0   0.00   0   6,883,375.82   1   0.00   0   0.00   0   0.00   0   0.00   0  
  0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.940 % 2.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
09/17/2020 30,398,767.75   2   0.00   0   0.00   0   6,898,061.36   1   0.00   0   0.00   0   0.00   0   0.00   0  
  4.148 % 4.3 % 0.000 % 0.0 % 0.000 % 0.0 % 0.941 % 2.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %
08/17/2020 32,774,433.51   2   0.00   0   6,911,667.22   1   0.00   0   0.00   0   0.00   0   0.00   0   0.00   0  
  4.469 % 4.3 % 0.000 % 0.0 % 0.942 % 2.2 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 % 0.000 % 0.0 %

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Appraisal Reduction Detail

 

      Appraisal Appraisal Most Recent Cumulative
Loan Number OMCR Property Name Reduction Amount Reduction Date ASER Amount ASER Amount
030311814 026 Homewood Suites Overland Park 0.00 11/12/2020 0.00 0.00
Totals 1   0.00   0.00 0.00

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Historical Appraisal Reduction Detail

 

Distribution Loan     Appraisal Appraisal Most Recent Cumulative
Date Number OMCR Property Name Reduction Amount Reduction Date ASER Amount ASER Amount
10/19/2020 030311814 026 Homewood Suites Overland Park 0.00 09/01/2020 0.00 0.00
11/18/2020 030311814 026 Homewood Suites Overland Park 0.00 11/12/2020 0.00 0.00
12/17/2020 030311814 026 Homewood Suites Overland Park 0.00 11/12/2020 0.00 0.00
01/15/2021 030311814 026 Homewood Suites Overland Park 0.00 11/12/2020 0.00 0.00
02/18/2021 030311814 026 Homewood Suites Overland Park 0.00 11/12/2020 0.00 0.00
03/17/2021 030311814 026 Homewood Suites Overland Park 0.00 11/12/2020 0.00 0.00
04/16/2021 030311814 026 Homewood Suites Overland Park 0.00 11/12/2020 0.00 0.00
05/17/2021 030311814 026 Homewood Suites Overland Park 0.00 11/12/2020 0.00 0.00
06/17/2021 030311814 026 Homewood Suites Overland Park 0.00 11/12/2020 0.00 0.00
07/16/2021 030311814 026 Homewood Suites Overland Park 0.00 11/12/2020 0.00 0.00

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
    Loan Modification Detail

 

      Modification Modification Modification
Loan Number OMCR Property Name Date Type (4) Description
030311803 013 Various 6/12/20 8 Other
030311804 014 Various 6/5/20 8 Other
030311808 018 Various 6/5/20 8 Other
030311774 023 Hampton Inn & Suites Tempe ASU 10/21/20 8 Other
 
Totals 4        

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Historical Loan Modification Detail

 

Distribution Loan     Modification Modification Modification
Date Number OMCR Property Name Date Type (4) Description
07/17/2020 030311803 013 Various 6/12/20 8 Other
08/17/2020 030311803 013 Various 6/12/20 8 Other
09/17/2020 030311803 013 Various 6/12/20 8 Other
10/19/2020 030311803 013 Various 6/12/20 8 Other
11/18/2020 030311803 013 Various 6/12/20 8 Other
12/17/2020 030311803 013 Various 6/12/20 8 Other
01/15/2021 030311803 013 Various 6/12/20 8 Other
02/18/2021 030311803 013 Various 6/12/20 8 Other
03/17/2021 030311803 013 Various 6/12/20 8 Other
04/16/2021 030311803 013 Various 6/12/20 8 Other
05/17/2021 030311803 013 Various 6/12/20 8 Other
06/17/2021 030311803 013 Various 6/12/20 8 Other
07/16/2021 030311803 013 Various 6/12/20 8 Other
06/17/2020 030311804 014 Various 6/5/20 8 Other
07/17/2020 030311804 014 Various 6/5/20 8 Other
08/17/2020 030311804 014 Various 6/5/20 8 Other
09/17/2020 030311804 014 Various 6/5/20 8 Other
10/19/2020 030311804 014 Various 6/5/20 8 Other
11/18/2020 030311804 014 Various 6/5/20 8 Other
12/17/2020 030311804 014 Various 6/5/20 8 Other
01/15/2021 030311804 014 Various 6/5/20 8 Other
02/18/2021 030311804 014 Various 6/5/20 8 Other
03/17/2021 030311804 014 Various 6/5/20 8 Other
04/16/2021 030311804 014 Various 6/5/20 8 Other
05/17/2021 030311804 014 Various 6/5/20 8 Other
06/17/2021 030311804 014 Various 6/5/20 8 Other
07/16/2021 030311804 014 Various 6/5/20 8 Other

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Historical Loan Modification Detail

 

Distribution Loan     Modification Modification Modification
Date Number OMCR Property Name Date Type (4) Description
06/17/2020 030311808 018 Various 6/5/20 8 Other
07/17/2020 030311808 018 Various 6/5/20 8 Other
08/17/2020 030311808 018 Various 6/5/20 8 Other
09/17/2020 030311808 018 Various 6/5/20 8 Other
10/19/2020 030311808 018 Various 6/5/20 8 Other
11/18/2020 030311808 018 Various 6/5/20 8 Other
12/17/2020 030311808 018 Various 6/5/20 8 Other
01/15/2021 030311808 018 Various 6/5/20 8 Other
02/18/2021 030311808 018 Various 6/5/20 8 Other
03/17/2021 030311808 018 Various 6/5/20 8 Other
04/16/2021 030311808 018 Various 6/5/20 8 Other
05/17/2021 030311808 018 Various 6/5/20 8 Other
06/17/2021 030311808 018 Various 6/5/20 8 Other
07/16/2021 030311808 018 Various 6/5/20 8 Other
11/18/2020 030311774 023 Hampton Inn & Suites Tempe ASU 10/21/20 8 Other
12/17/2020 030311774 023 Hampton Inn & Suites Tempe ASU 10/21/20 8 Other
01/15/2021 030311774 023 Hampton Inn & Suites Tempe ASU 10/21/20 8 Other
02/18/2021 030311774 023 Hampton Inn & Suites Tempe ASU 10/21/20 8 Other
03/17/2021 030311774 023 Hampton Inn & Suites Tempe ASU 10/21/20 8 Other
04/16/2021 030311774 023 Hampton Inn & Suites Tempe ASU 10/21/20 8 Other
05/17/2021 030311774 023 Hampton Inn & Suites Tempe ASU 10/21/20 8 Other
06/17/2021 030311774 023 Hampton Inn & Suites Tempe ASU 10/21/20 8 Other
07/16/2021 030311774 023 Hampton Inn & Suites Tempe ASU 10/21/20 8 Other

 

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Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
    Specially Serviced Loan Detail

 

    Workout   Most Recent Most Recent        
Loan   Strategy   Inspection Specially Serviced Most Recent Most Recent Other REO  
Number OMCR (3 ) Date Transfer Date Valuation Date Value Property Value Comment from Special Servicer
030311802 011 8     6/30/20   0.00 0.00 See the loan supplemental file for comments.
030311814 026 98     7/10/20 9/1/20 9,500,000.00 0.00 See the loan supplemental file for comments.
030311781 028 2     11/16/20 9/4/15 43,000,000.00 0.00 See the loan supplemental file for comments.
Totals 3           52,500,000.00 0.00  

 

Reports Available at sf.citidirect.com Page 22 of 29 © Copyright 2021 Citigroup

 


 

Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
 
    Historical Specially Serviced Loan Detail

 

      Special Workout   Special     Property           Net        
Distribution Loan   Serviced Strategy   Serviced Scheduled Actual Type     Interest   Note Operating     Maturity  
Date Number OMCR Trans Date (3 ) Loan to MS Balance Balance (1 ) State Rate   Date Income (NOI) DSCR   Date WART
7/16/21 030311781 028 11/16/20 2     6,393,545.28 6,456,370.03 19   NJ 5.146 %   -45,210.20 -0.03 % 12/6/25 53
6/17/21 030311781 028 11/16/20 2     6,404,279.52 6,456,370.03 19   NJ 5.146 %   -45,210.20 -0.03 % 12/6/25 54
5/17/21 030311781 028 11/16/20 2     6,414,054.99 6,456,370.03 19   NJ 5.146 %   -45,210.20 -0.03 % 12/6/25 55
4/16/21 030311781 028 11/16/20 2     6,424,701.66 6,485,798.47 19   NJ 5.146 %   -45,210.20 -0.03 % 12/6/25 56
3/17/21 030311781 028 11/16/20 2     6,434,387.03 6,485,798.47 19   NJ 5.146 %   -45,210.20 -0.03 % 12/6/25 57
2/18/21 030311781 028 11/16/20 2     6,446,782.07 6,485,798.47 19   NJ 5.146 %   -45,210.20 -0.03 % 12/6/25 58
1/15/21 030311781 028 11/16/20 2     6,456,370.03 6,485,798.47 19   NJ 5.146 %   -45,210.20 -0.03 % 12/6/25 59
12/17/20 030311781 028 11/16/20 2     6,465,915.69 6,485,798.47 19   NJ 5.146 %   2,611,438.00 1.45 % 12/6/25 60
7/16/21 030311802 011 6/30/20 8   10/16/20 26,209,841.87 26,209,841.87 19   XX 4.730 %   303,318.59 0.68 % 10/6/21 3
6/17/21 030311802 011 6/30/20 8   10/16/20 26,254,162.38 26,254,162.38 19   XX 4.730 %   303,318.59 0.68 % 10/6/21 4
5/17/21 030311802 011 6/30/20 8   10/16/20 26,294,867.59 26,294,867.59 19   XX 4.730 %   1,444,069.16 0.81 % 10/6/21 5
4/16/21 030311802 011 6/30/20 8   10/16/20 26,338,854.28 26,338,854.28 19   XX 4.730 %   1,444,069.16 0.81 % 10/6/21 6
3/17/21 030311802 011 6/30/20 8   10/16/20 26,379,215.94 26,379,215.94 19   XX 4.730 %   1,444,069.16 0.81 % 10/6/21 7
2/18/21 030311802 011 6/30/20 8   10/16/20 26,429,789.35 26,429,789.35 19   XX 4.730 %   1,573,725.88 0.89 % 10/6/21 8
1/15/21 030311802 011 6/30/20 8   10/16/20 26,469,782.13 26,469,782.13 19   XX 4.730 %   1,573,725.88 0.89 % 10/6/21 9
12/17/20 030311802 011 6/30/20 8   10/16/20 26,509,612.67 26,509,612.67 19   XX 4.730 %   1,573,725.88 0.89 % 10/6/21 10
11/18/20 030311802 011 6/30/20 8   10/16/20 26,552,756.23 26,592,250.19 19   XX 4.730 %   1,713,487.44 0.97 % 10/6/21 11
10/19/20 030311802 011 6/30/20 98     26,592,250.19 26,592,250.19 19   XX 4.730 %   1,713,487.44 0.97 % 10/6/21 12
9/17/20 030311802 011 6/30/20 98     26,635,069.30 26,674,229.35 19   XX 4.730 %   1,713,487.44 0.97 % 10/6/21 13
8/17/20 030311802 011 6/30/20 98     26,674,229.35 26,674,229.35 19   XX 4.730 %   1,713,487.44 0.97 % 10/6/21 14
7/17/20 030311802 011 6/30/20 98     26,713,230.55 26,755,574.66 19   XX 4.730 %   1,713,487.44 0.97 % 10/6/21 15
7/16/21 030311814 026 7/10/20 98     6,751,341.16 6,953,128.66 19   KS 5.310 %   263,589.92 0.49 % 10/6/21 3
6/17/21 030311814 026 7/10/20 98     6,766,608.38 6,953,128.66 19   KS 5.310 %   263,589.92 0.49 % 10/6/21 4
5/17/21 030311814 026 7/10/20 98     6,780,812.57 6,953,128.66 19   KS 5.310 %   263,589.92 0.49 % 10/6/21 5
4/16/21 030311814 026 7/10/20 98     6,795,949.95 6,953,128.66 19   KS 5.310 %   263,589.92 0.49 % 10/6/21 6
3/17/21 030311814 026 7/10/20 98     6,810,020.59 6,953,128.66 19   KS 5.310 %   263,589.92 0.49 % 10/6/21 7

 

Reports Available at sf.citidirect.com Page 23 of 29 © Copyright 2021 Citigroup

 


 

Distribution Date: 07/16/2021   Citigroup Commercial Mortgage Trust 2016-C3          
Determination Date: 07/12/2021                      
          Commercial Mortgage Pass-Through Certificates          
            Series 2016-C3            
2/18/21 030311814 026 7/10/20 98 6,827,034.40 6,953,128.66 19 KS 5.310 % 263,589.92 0.49 % 10/6/21

 

                              8
1/15/21 030311814 026 7/10/20 98 6,840,963.55 6,953,128.66 19 KS 5.310 % 263,589.92 0.49 % 10/6/21 9
12/17/20 030311814 026 7/10/20 98 6,854,829.30 6,953,128.66 19 KS 5.310 % 263,589.92 0.49 % 10/6/21 10
11/18/20 030311814 026 7/10/20 98 6,869,640.60 6,953,128.66 19 KS 5.310 % 263,589.92 0.49 % 10/6/21 11
10/19/20 030311814 026 7/10/20 98 6,883,375.82 6,953,128.66 19 KS 5.310 % 263,589.92 0.49 % 10/6/21 12
9/17/20 030311814 026 7/10/20 98 6,898,061.36 6,953,128.66 19 KS 5.310 % 263,589.92 0.49 % 10/6/21 13
8/17/20 030311814 026 7/10/20 98 6,911,667.22 6,953,128.66 19 KS 5.310 % 263,589.92 0.49 % 10/6/21 14
7/17/20 030311814 026 7/10/20 98 6,925,211.15 6,967,506.90 19 KS 5.310 % 263,589.92 0.49 % 10/6/21 15

 

Reports Available at sf.citidirect.com Page 24 of 29 © Copyright 2021 Citigroup

 


 

Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3
Determination Date: 07/12/2021  
    Commercial Mortgage Pass-Through Certificates
    Series 2016-C3
    Unscheduled Principal Detail

 

    Liquidation / Liquid / Prepay Unscheduled Unscheduled Other Prepayment Interest Prepayment Yield Maintenance
Loan Number OMCR Prepayment Date Type (5) Principal Collections Principal Adjustments Interest Adjustments Excess / (Shortfall) Penalties Penalties
030311785 019 7/6/21 2 11,260,840.50 0.00   0.00 0.00 0.00
Totals 1     11,260,840.50 0.00   0.00 0.00 0.00

 

Reports Available at sf.citidirect.com Page 25 of 29 © Copyright 2021 Citigroup

 


 

Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3      
Determination Date: 07/12/2021              
        Commercial Mortgage Pass-Through Certificates      
            Series 2016-C3        
          Historical Unscheduled Principal Detail      
 
Distribution Loan   Liquidation / Liquid / Prepay Unscheduled Unscheduled Other Prepayment Interest Prepayment Yield Maintenance
Date Number OMCR Prepayment Date Type (5) Principal Collections Principal Adjustments Interest Adjustments Excess / (Shortfall) Penalties Penalties
7/16/21 030311785 019 7/6/21 2 11,260,840.50 0.00   0.00 0.00 0.00
 
 
 
 
Reports Available at sf.citidirect.com     Page 26 of 29     © Copyright 2021 Citigroup

 


 

Distribution Date: 07/16/2021   Citigroup Commercial Mortgage Trust 2016-C3        
Determination Date: 07/12/2021                      
      Commercial Mortgage Pass-Through Certificates        
          Series 2016-C3            
Liquidated Loan Detail
 
Loan Final Recovery Most Recent Most Recent Actual Gross Proceeds Liquidation Net Liquidation Net Proceeds Realized Repurchased by
Number OMCR Determ Date Appraisal Date Appraisal Value Balance Proceeds as % of Act Bal Expenses Proceeds as a % of Act Bal   Losses Seller (Y/N)
There is no liquidated loan activity for the current distribution period.

Totals                        
 
 
 
 
Reports Available at sf.citidirect.com       Page 27 of 29     © Copyright 2021 Citigroup

 


 

Distribution Date: 07/16/2021   Citigroup Commercial Mortgage Trust 2016-C3        
Determination Date: 07/12/2021                    
Commercial Mortgage Pass-Through Certificates
Series 2016-C3
Historical Liquidated Loan Detail
 
Distribution Loan   Final Recovery Most Recent Most Recent Actual Gross Gross Proceeds Liquidation Net Liquidation Net Proceeds Realized Repurchased by
Date Number OMCR Determ Date Appraisal Date Appraisal Value Balance Proceeds as % of Act Bal Expenses Proceeds as a % of Act Bal Loss Seller (Y/N)
There is no historical liquidated loan activity.
 
 
 
 
Reports Available at sf.citidirect.com       Page 28 of 29       © Copyright 2021 Citigroup

 


 

Distribution Date: 07/16/2021 Citigroup Commercial Mortgage Trust 2016-C3      
Determination Date: 07/12/2021            
        Commercial Mortgage Pass-Through Certificates      
 
            Series 2016-C3      
 
 
            CREFC® Legends      
 
(1) Property Type   (3) Workout Strategy (5) Liquidation / Prepayment Type
 
MF = Multifamily   1 . Modification 1 . Partial Liquidation (Curtailment)
RT = Retail   2 . Foreclosure 2 . Payoff Prior To Maturity
HC = HealthCare   3 . Bankruptcy 3 . Disposition / Liquidation
IN = Industrial   4 . Extension 4 . Repurchase / Substitution
WH = Warehouse   5 . Note Sale 5 . Full Payoff At Maturity
MH = Mobile Home Park   6 . DPO 6 . DPO
OF = Office   7 . REO 7 . Liquidation prior to 7/1/2006
MU = Mixed Use   8 . Resolved 8 . Payoff With Penalty
LO = Lodging   9 . Pending Return to Master Servicer 9 . Payoff With Yield Maintenance
SS = Self Storage   10. Deed In Lieu of Foreclosure 10. Curtailment With Penalty
OT = Other   11. Full Payoff 11. Curtailment With Yield Maintenance
SE = Securities   12. Reps and Warranties      
CH = Cooperative Housing 13. Other or TBD      
N/A = Not Available   98. Not Provided By Servicer      
 
 
(2) Payment Status (4) Modification Type      
 
A.   In Grace Period   1 . Maturity Date Extension      
B.   Late, but less than 30 Days 2 . Amortization Change      
0 . Current   3 . Principal Write-Off      
1 . 30-59 Days Delinquent 4 . Blank (formerly Combination)      
2 . 60-89 Days Delinquent 5 . Temporary Rate Reduction      
3 . 90-120 Days Delinquent 6 . Capitalization of Interest      
4 . Performing Matured Balloon 7 . Capitalization of Taxes      
5 . Non Performing Matured Balloon 8 . Other      
6. 121+ Days Delinquent 9 . Combination      
 
 
 
 
Reports Available at sf.citidirect.com     Page 29 of 29     © Copyright 2021 Citigroup

 



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