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
August 01, 2021  to  August 31, 2021

Commission File Number of issuing entity: 333-235304-01

Central Index Key Number of issuing entity: 0001803020

Daimler Trucks Retail Trust 2020-1
(Exact name of issuing entity as specified in its charter)

Commission File Number of depositor: 333-235304

Central Index Key Number of depositor: 0001463814

Daimler Retail Receivables LLC
(Exact name of depositor as specified in its charter)

Central Index Key Number of sponsor: 0001540252

Mercedes-Benz Financial Services USA LLC
(Exact name of sponsor as specified in its charter)

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

38-7245386
(I.R.S. Employer Identification No.)

35555 W. Twelve Mile Rd., Suite 100
Farmington Hills, Michigan
(Address of principal executive offices of issuing entity)

48331
(Zip Code)

(248) 9916700
(Telephone number, including area code)

N.A.
(Former name, former address, if changed since last report)

Registered/reporting pursuant to (check one)
Name of exchange
Title of ClassSection 12(b)Section 12(g)Section 15(d)(If Section 12(b))
Class A-2 Asset Backed Notes                    
Class A-3 Asset Backed Notes                    
Class A-4 Asset Backed Notes                    

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 and 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 September 15, 2021 a distribution was made to holders of notes of the issuing entity.  The distribution report for this distribution is attached to this Form 10-D as Exhibit 99.1.

     No assets held by issuing entity were the subject of a demand to repurchase or replace for breach of the representations and warranties during the period from August 01, 2021 to August 31, 2021.

     Reference is made to the Form ABS – 15G filed by Mercedes-Benz Financial Services USA LLC with the Securities and Exchange Commission on February 01, 2021, and to the information reported for the period indicated in the report regarding any repurchase requests across all trusts for which Mercedes-Benz Financial Services USA LLC is a securitizer (as that term is defined in Section 15G(a) of the Securities Exchange Act of 1934).  The CIK number of Mercedes-Benz Financial Services USA LLC is 0001540252.

PART II - OTHER INFORMATION

Item 10.  Exhibits.

Exhibit
No.Description of Exhibit
99.1Distribution report of the issuing entity

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.

Daimler Trucks Retail Trust 2020-1
(Issuing Entity)

By:  Mercedes-Benz Financial Services USA LLC
(Servicer)

Date: September 22, 2021By: /s/  Christopher Trainor
Christopher Trainor
Vice President

EXHIBIT INDEX

Exhibit
No.Description of Exhibit
99.1Distribution report of the issuing entity


J:\SEC\MBART\dtrt20201


Investor Report
DAIMLER TRUCKS RETAIL TRUST 2020-1
Collection Period Ended
Page 1 of 6
Amounts in USD
31-Aug-2021
Dates
Interest Period of the Class A-1 Notes (from... to)
Collection Period (from... to)
18
15-Sep-2021
Distribution Date
31-Aug-2021
1-Aug-2021
30/360 Days
Actual/360 Days
Collection Period No.
Determination Date
Interest Period of the Class A-2, A-3 and A-4 Notes (from... to)
13-Sep-2021
Record Date
14-Sep-2021
30
30
15-Sep-2021
16-Aug-2021
15-Sep-2021
15-Aug-2021
Summary
Balance
Beginning
Ending
Principal
Payment
Principal per $1000
Face Amount
Initial
Note
Factor
Balance
Balance
0.00
0.00
0.00
Class A-1 Notes
0.000000
200,000,000.00
0.000000
0.00
0.00
0.00
Class A-2 Notes
0.000000
384,000,000.00
0.000000
320,781,610.48
29,709,831.33
291,071,779.15
Class A-3 Notes
88.422117
336,000,000.00
0.866285
85,405,000.00
0.00
85,405,000.00
Class A-4 Notes
0.000000
85,405,000.00
1.000000
406,186,610.48
376,476,779.15
29,709,831.33
Total Note Balance
1,005,405,000.00
Overcollateralization
94,600,482.04
94,600,482.04
Pool Balance
500,787,092.52
471,077,261.19
1,100,005,605.11
94,600,605.11
Initial Overcollateralization Amount
Target Overcollateralization Amount
Current Overcollateralization Amount
Amount
Percentage
94,600,482.04
8.60%
8.60%
94,600,605.11
8.60%
94,600,482.04
Interest Payment
Interest per $1000
Interest & Principal
Payment
Interest & Principal Payment
per $1000 Face Amount
Interest Rate
Face Amount
Class A-1 Notes
0.000000%
0.000000
0.00
0.000000
0.00
Class A-2 Notes
1.140000%
0.000000
0.00
0.000000
0.00
Class A-3 Notes
1.220000%
0.970619
30,035,959.30
89.392736
326,127.97
Class A-4 Notes
1.370000%
1.141667
97,504.04
1.141667
97,504.04
30,133,463.34
Total
423,632.01

Investor Report
DAIMLER TRUCKS RETAIL TRUST 2020-1
Collection Period Ended
Page 2 of 6
Amounts in USD
31-Aug-2021
Net Liquidation Proceeds
Investment Earnings
Reserve Fund Draw Amount
Available Funds
Interest Collections
Purchase Amounts
Principal Collections
0.00
Advances made by the Servicer
Available Collections
31,831,336.60
Recoveries
0.00
28,877,867.07
31,831,336.60
237,170.97
235,673.40
2,480,361.57
263.59
0.00
(3) Interest Distributable Amount
(4) Priority Principal Distributable Amount
423,632.01
0.00
(5) To Reserve Fund to reach the Reserve Fund Required Amount
(6) Regular Principal Distributable Amount
(7) Additional Servicing Fee and Transition Costs
0.00
29,709,831.33
0.00
(8) Total Trustee Fees and Asset Representation Reviewer fees not
previously paid under (2)
0.00
(9) Excess Collections to Certificateholders
1,280,550.68
Total Distribution
31,831,336.60
(1) Total Servicing Fee
(2) Total Trustee Fees and amounts owed to Asset Representation
Reviewer (max. $250,000 p.a.)
Nonrecoverable Advances to the Servicer
417,322.58
0.00
0.00
Distributions
Available Funds
Distribution Detail
Paid
Shortfall
Due
0.00
417,322.58
417,322.58
Total Servicing Fee
Total Trustee Fee
0.00
0.00
0.00
423,632.01
423,632.01
0.00
Monthly Interest Distributable Amount
thereof on Class A-1 Notes
0.00
0.00
0.00
thereof on Class A-2 Notes
0.00
0.00
0.00
thereof on Class A-3 Notes
326,127.97
0.00
326,127.97
thereof on Class A-4 Notes
97,504.04
0.00
97,504.04
Interest Carryover Shortfall Amount
0.00
0.00
0.00
thereof on Class A-1 Notes
0.00
0.00
0.00
thereof on Class A-2 Notes
0.00
0.00
0.00
thereof on Class A-3 Notes
0.00
0.00
0.00
thereof on Class A-4 Notes
0.00
0.00
0.00
423,632.01
423,632.01
0.00
Interest Distributable Amount
Priority Principal Distributable Amount
0.00
0.00
0.00
Regular Principal Distributable Amount
29,709,831.33
0.00
29,709,831.33
Aggregate Principal Distributable Amount
29,709,831.33
29,709,831.33
0.00

Investor Report
DAIMLER TRUCKS RETAIL TRUST 2020-1
Collection Period Ended
Page 3 of 6
Amounts in USD
31-Aug-2021
Reserve Fund and Investment Earnings
Investment Earnings
Net Investment Earnings on the Reserve Fund
Reserve Fund
Reserve Fund Amount - Beginning Balance
Reserve Fund Deficiency
Reserve Fund Amount - Ending Balance
2,750,014.01
0.00
2,750,014.01
Reserve Fund Required Amount
plus top up Reserve Fund up to the Required Amount
plus Net Investment Earnings for the Collection Period
minus Net Investment Earnings
minus Reserve Fund Draw Amount
0.00
Investment Earnings for the Collection Period
Net Investment Earnings on the Collection Account
240.23
23.36
23.36
23.36
263.59
2,750,014.01
0.00
Notice to Investors

Investor Report
DAIMLER TRUCKS RETAIL TRUST 2020-1
Collection Period Ended
Page 4 of 6
Amounts in USD
31-Aug-2021
Pool Statistics
Principal Gross Losses
Pool Data
1,100,005,605.11
5.69%
30.43
30.46
Cutoff Date Pool Balance
Amount
Number of Receivables
Pool Balance beginning of Collection Period
500,787,092.52
Principal Collections
Principal Collections attributable to Full Pay-offs
Principal Purchase Amounts
Pool Balance end of Collection Period
Weighted Average APR
10,703,564.61
0.00
831,964.26
471,077,261.19
5,059
Weighted Average Number of Remaining Payments
Weighted Average Seasoning (months)
As of Cutoff Date
Current
18,174,302.46
5.51%
42.36
Pool Factor
42.82%
14.06
5,214
7,952

Investor Report
DAIMLER TRUCKS RETAIL TRUST 2020-1
Collection Period Ended
Page 5 of 6
Amounts in USD
31-Aug-2021
Delinquency Profile
(1) A receivable is not considered delinquent if the amount past due is less than 10% of the payment due under such receivable
Total
471,077,261.19
5,059
100.00%
91-120 Days Delinquent
2
0.01%
65,173.06
61-90 Days Delinquent
5
0.04%
178,995.83
31-60 Days Delinquent
25
0.17%
805,317.47
Current
99.78%
470,027,774.83
5,027
Delinquency Profile
(1)
Amount
Number of Receivables
Percentage
Delinquency Trigger
60+ Delinquency Receivables to EOP Pool Balance
Delinquency Trigger occurred
0.05%
No
9.700%
Loss Statistics
Cumulative Principal Net Loss / (Gain) as % of Cutoff Date Pool Balance
Principal Net Loss / (Gain)
Principal Recoveries
Principal Net Liquidation Proceeds
Principal Gross Losses
831,964.26
Losses
(1)
Amount
(1) Losses include accounts that have been charged off with a balance remaining of less than $100.
365,569.91
0.479%
230,122.39
236,271.96
Number of Receivables
Number of Receivables
Amount
4
166
13,860,720.67
5,329,482.63
3,263,389.31
5,267,848.73
Average Net Credit Loss/(Gain)
0.479%
Current
Cumulative
31,734.03
Four Month Average
Third Prior Collection Period
Second Prior Collection Period
Prior Collection Period
Current Collection Period
Principal Net Loss / (Gain) as % of Average Pool Balance (annualized):
0.903%
1.653%
(0.403%)
(0.030%)
0.531%
Historical Lifetime CPR, Loss and Delinquencies

Investor Report
DAIMLER TRUCKS RETAIL TRUST 2020-1
Collection Period Ended
Page 6 of 6
Amounts in USD
31-Aug-2021
Total Pool
Delinquncies
91+
31-60
61-90
Pd.
Net
Cumulative Loss
Gross
Lifetime
CPR
1
0.87%
0.04%
0.09%
11.94%
0.10%
- %
2
0.42%
0.07%
0.17%
8.96%
0.53%
0.10%
3
0.45%
0.10%
0.24%
6.82%
0.17%
0.10%
4
0.12%
0.18%
0.36%
8.14%
0.16%
0.06%
5
0.21%
0.22%
0.46%
9.86%
0.07%
0.11%
6
0.24%
0.25%
0.53%
9.58%
0.09%
0.05%
7
0.22%
0.25%
0.55%
10.31%
0.14%
0.05%
8
0.25%
0.26%
0.61%
10.53%
0.02%
0.14%
9
0.48%
0.35%
0.74%
10.33%
0.05%
0.02%
10
0.46%
0.36%
0.80%
11.60%
0.08%
0.03%
11
0.23%
0.37%
0.88%
11.88%
0.21%
0.01%
12
0.29%
0.38%
0.90%
11.58%
0.03%
0.02%
13
0.32%
0.41%
0.98%
12.62%
0.04%
0.01%
14
0.24%
0.40%
1.01%
12.69%
0.05%
0.01%
15
0.27%
0.40%
1.04%
12.52%
0.02%
0.04%
16
0.15%
0.38%
1.08%
13.16%
0.17%
0.01%
17
0.14%
0.45%
1.18%
13.78%
0.05%
- %
18
0.17%
0.48%
1.26%
14.32%
0.04%
0.01%


dtrt20201.pdf
Attachment: DAIMLER TRUST RETAIL TRUST 2020-1 INVESTOR REPORT SEP 2021