BMW Vehicle Lease Trust 2024-2
 
           
           
Collection Period Ending:
3/31/25
       
Previous Payment Date:
3/25/25
       
Current Payment Date:
4/25/25
Accrued Interest Days (30/360):
   
30
 
Accrued Interest Days (act/360):
   
31
 
             

Balances
 
                   
    
Initial
   
Beginning of Period
   
End of Period
 
Aggregate Securitization Value
 
$
1,468,860,401.91
   
$
1,304,593,690.45
   
$
1,269,521,201.07
 
Aggregate Discounted ALG Residual Value
 
$
756,051,186.48
   
$
759,163,731.25
   
$
752,251,400.62
 
Reserve Fund
 
$
3,672,151.00
   
$
3,672,151.00
   
$
3,672,151.00
 
                         
Notes
                       
Class A-1 Notes
 
$
195,200,000.00
     
-
     
-
 
Class A-2a Notes
 
$
231,200,000.00
   
$
228,305,990.26
   
$
210,769,745.57
 
Class A-2b Notes
 
$
231,200,000.00
   
$
228,305,990.26
   
$
210,769,745.57
 
Class A-3 Notes
 
$
462,400,000.00
   
$
462,400,000.00
   
$
462,400,000.00
 
Class A-4 Notes
 
$
130,000,000.00
   
$
130,000,000.00
   
$
130,000,000.00
 
    
$
1,250,000,000.00
   
$
1,049,011,980.52
   
$
1,013,939,491.14
 
                         
                         
Overcollateralization
 
$
218,860,401.91
           
$
255,581,709.93
 
                         
                         
                         
                         

Current Collection Period
 
       
Beginning Securitization Value
 
$
1,304,593,690.45
 
Principal Reduction Amount
   
35,072,489.38
 
Ending Securitization Value
 
$
1,269,521,201.07
 
         
First Priority Principal
       
Aggregate Outstanding Note Balance (Beginning of Period)
 
$
1,049,011,980.52
 
Aggregate Securitization Value (End of Period)
 
$
1,269,521,201.07
 
First Priority Principal Distribution Amount
   
-
 
         
Target Note Balance
 
$
1,013,939,491.14
 
Target Overcollateralization Amount
 
$
255,581,709.93
 
Target Overcollateralization Percentage
   
17.40
%
         
Determination of Available Funds
       
Collections
       
         
Monthly Payments (net of Daily Advance Reimbursements) *
 
$
29,251,498.08
 
Reallocation Payment
   
620,394.09
 
         
Sale Proceeds
   
1,471,768.82
 
Termination Proceeds
   
18,034,866.44
 
Recovery Proceeds
   
12,047.70
 
Total Collections
 
$
49,390,575.13
 
Advances
       
Monthly Payment Advance
 
$
1,769,074.17
 
Sales Proceeds Advance
   
-
 
Total Advances
 
$
1,769,074.17
 
Optional Purchase Price
   
0.00
 
Net Investment Earnings on SUBI Collection Account
   
-
 
Total Available Funds
 
$
51,159,649.30
 
         

Collection Account
 
       
Total Available Funds
 
$
51,159,649.30
 
Withdrawals from SUBI Collection Account
       
Payment Date Advance Reimbursement
   
1,996,640.95
 
Servicing Fees
   
1,087,161.41
 
Note Distribution Account (Interest Due)
   
3,818,710.52
 
Note Distribution Account (First Priority Principal Distribution Amount)
   
-
 
Reserve Fund Deposit
   
-
 
Note Distribution Account (Regular Principal Distribution Amount)
   
35,072,489.38
 
Amounts paid to Indenture Trustee, Owner Trustee and Asset
   
-
 
Representations Reviewer (subject to annual cap)
       
Amounts paid to Indenture Trustee, Owner Trustee and Asset
   
-
 
Representations Reviewer (not subject to annual cap)
       
Certificate Distribution Account (any remaining payments)
   
9,184,647.04
 
         
Total Distributions from SUBI Collection Account
 
$
51,159,649.30
 
         
         
         

Servicer Advance Amounts
 
       
Beginning Period Unreimbursed Servicer Advance
 
$
2,239,880.78
 
Current Period Monthly Payment Advance
   
1,769,074.17
 
Current Period Sales Proceeds Advance
   
-
 
Current Reimbursement of Previous Servicer Advance
   
1,996,640.95
 
Ending Period Unreimbursed Previous Servicer Advances
 
$
2,012,314.00
 
         
         

Note Distribution Account
 
       
       
Amount Deposited from the Collection Account
 
$
38,891,199.90
 
Amount Deposited from the Reserve Fund
   
-
 
Amount Paid to Noteholders
 
$
38,891,199.90
 
         

Payments to Indenture Trustee, Owner Trustee and Asset Representations Reviewer
 
       
Indenture Trustee
     
Amount due and payable to Indenture Trustee before giving effect to
   
-
 
payments on current Payment Date:
       
Amount due and payable to Indenture Trustee after giving effect to
   
-
 
payments on current Payment Date:
       
         
Owner Trustee
       
Amount due and payable to Owner Trustee before giving effect to
   
-
 
payments on current Payment Date:
       
Amount due and payable to Owner Trustee after giving effect to
   
-
 
payments on current Payment Date:
       
         
Asset Representations Reviewer Trustee
       
Amount due and payable to Asset Representations Reviewer before
   
-
 
giving effect to payments on current Payment Date:
       
Amount due and payable to Asset Representations Reviewer after
   
-
 
giving effect to payments on current Payment Date:
       
         
         

Distributions
   
         
Priority Principal
       
Aggregate Outstanding Note Principal
 
$
1,049,011,980.52
   
           

Monthly Principal Distributable Amount
 
First Priority Principal
   
Current Payment
   
Total Payment
   
Ending Balance
   
Per $1,000
   
Note Factor
 
Class A-1 Notes
   
-
     
-
     
-
     
-
     
-
     
-
 
                                                 
Class A-2a Notes
   
-
   
$
17,536,244.69
   
$
17,536,244.69
   
$
210,769,745.57
     
76
     
0.91
 
Class A-2b Notes
   
-
   
$
17,536,244.69
   
$
17,536,244.69
   
$
210,769,745.57
     
76
     
0.91
 
Class A-3 Notes
   
-
     
-
     
-
   
$
462,400,000.00
     
-
     
1.00
 
Class A-4 Notes
   
-
     
-
     
-
   
$
130,000,000.00
     
-
     
1.00
 
     
-
   
$
35,072,489.38
   
$
35,072,489.38
   
$
1,013,939,491.14
                 
                                                 
                                                 
                                                 

Interest Distributable Amount
 
Interest Rate
   
Current Payment
   
Per $1,000
 
Class A-1 Notes
   
4.68100
%
   
-
     
0.00
 
Class A-2a Notes
   
4.29000
%
 
$
816,193.92
     
3.53
 
Class A-2b Notes
   
4.75969
%
 
$
935,739.94
     
4.05
 
Class A-3 Notes
   
4.18000
%
 
$
1,610,693.33
     
3.48
 
Class A-4 Notes
   
4.21000
%
 
$
456,083.33
     
3.51
 
           
$
3,818,710.52
         
                         

Carryover Shortfalls
 
                   
   
Prior Period Carryover
   
Current Payment
   
Current Period Carryover
 
                   
Class A-1 Interest Carryover Shortfall
   
-
     
-
     
-
 
Class A-2a Interest Carryover Shortfall
   
-
     
-
     
-
 
Class A-2b Interest Carryover Shortfall
   
-
     
-
     
-
 
Class A-3 Interest Carryover Shortfall
   
-
     
-
     
-
 
Class A-4 Interest Carryover Shortfall
   
-
     
-
     
-
 
                         
                         
                         

Reserve Fund
 
       
Beginning Period Required Amount
 
$
3,672,151.00
 
Beginning Period Amount
   
3,672,151.00
 
Current Period Deposit
   
-
 
Net Investment Earnings
   
13,240.48
 
Reserve Fund Draw Amount
   
-
 
Release to Certificateholder
   
13,240.48
 
Ending Period Required Amount
   
3,672,151.00
 
Ending Period Amount
 
$
3,672,151.00
 
         
         
         

Pool Characteristics
 
   
Initial
   
End of Period
 
Number of Specified Leases
   
26,514
     
24,728
 
Weighted Average Remaining Term
   
28.00
     
21.20
 
Weighted Average Original Term
   
36.00
     
35.91
 
Weighted Average Seasoning
   
8.00
     
14.71
 
                 

             
   
Units
   
Securitization Value
 
Early Terminations
   
156
   
$
8,071,718.27
 
Scheduled Terminations
   
241
   
$
7,704,603.42
 
                 

Residual Value Losses for the Current Period
 
Beginning
   
Current Period
   
Cumulative
 
Sales and Termination Proceeds
 
$
54,406,769.47
   
$
17,427,091.80
   
$
71,833,861.27
 
ALG Residual Values
   
38,412,798.65
     
13,618,007.90
     
52,030,806.55
 
Residual Value Loss / (Gain)
         
$
(3,809,083.90
)
 
$
(19,803,054.72
)
                         
                         
                         

Cumulative Residual Value Loss / (Gain) as of the end of the prior period
 
$
(15,993,970.82
)
Cumulative Residual Value Loss / (Gain) as of the end of the 2nd preceding period
 
$
(13,253,244.29
)
Cumulative Residual Value Loss / (Gain) as of the end of the 3rd preceding period
 
$
(9,588,493.45
)
         

Delinquencies as of the end of the current period
 
Units
   
Securitization Value
   
Percentage
 
31-60 Days Delinquent
   
81
     
4,506,695.66
     
0.35
%
61-90 Days Delinquent
   
16
     
911,193.64
     
0.07
%
91-120 Days Delinquent
   
6
     
350,806.97
     
0.03
%
121 - 150 Days Delinquent
   
1
     
37,142.87
     
0.00
%
151 Days or More Delinquent
   
0
     
0.00
     
0.00
%
Total 30+ Days Past Due as of the end of the current period
   
104
   
$
5,805,839.14
     
0.46
%
Total 60+ Days Past Due as of the end of the current period
   
23
   
$
1,299,143.48
     
0.10
%
                         

Delinquencies as of the end of prior periods
     
Total 30+ Days Past Due as of the end of the prior period
   
0.36
%
Total 30+ Days Past Due as of the end of the 2nd preceding period
   
0.39
%
Total 30+ Days Past Due as of the end of the 3rd preceding period
   
0.31
%
         

Credit Losses as of the end of the current period
 
Units
   
Dollar Amount
 
Gross Credit Losses
   
1
     
8,413.95
 
Recoveries
   
1
     
1,106.48
 
                 
Net Credit Losses
           
7,307.47
 
Cumulative Net Credit Losses
   
6
   
$
23,866.93
 
                 
Ratio of Cumulative Net Credit Losses to Aggregate Securitization Value **
     
0.00
%
Charge Off Rate ***
           
0.00
%
                 
Average of Net Credit Losses ****
         
$
3,977.82
 
                 
                 
                 

Historical Loss Information
 
             
Credit Losses as of the end of the prior period
 
Units
   
Dollar Amount
 
Gross Credit Losses
   
1
     
24,815.75
 
Recoveries
   
2
     
16,406.60
 
Net Credit Losses
           
8,409.15
 
Cumulative Net Credit Losses
   
5
   
$
16,559.46
 
Ratio of Cumulative Net Credit Losses to Aggregate Securitization Value **
     
0.00
%
Charge Off Rate ***
     
0.00
%
Average of Net Credit Losses ****
     
3,311.89
 
                 
Credit Losses as of the end of the 2nd preceding period
 
Units
   
Dollar Amount
 
Gross Credit Losses
   
2
     
7,703.32
 
Recoveries
   
3
     
3,342.45
 
Net Credit Losses
           
4,360.87
 
Cumulative Net Credit Losses
   
4
   
$
8,150.31
 
Ratio of Cumulative Net Credit Losses to Aggregate Securitization Value **
     
0.00
%
Charge Off Rate ***
     
0.00
%
Average of Net Credit Losses ****
     
2,037.58
 
                 
                 
Credit Losses as of the end of the 3rd preceding period
 
Units
   
Dollar Amount
 
Gross Credit Losses
   
0
     
-
 
Recoveries
   
1
     
332.84
 
Net Credit Losses
           
(332.84
)
Cumulative Net Credit Losses
   
2
   
$
3,789.44
 
Ratio of Cumulative Net Credit Losses to Aggregate Securitization Value **
     
0.00
%
Charge Off Rate ***
     
0.00
%
Average of Net Credit Losses ****
     
1,894.72
 
                 
                 

 
* Includes Pull Ahead amounts
                                                                           
 
** Ratio of Cumulative Net Credit Losses to Aggregate Securitization Value is calculated by dividing the Cumulative Net Credit Losses by the Avg Aggregate Sec Value for the period.
 
 
Avg Aggregate Sec Value for a period is equal to the average of the Beginning Securitization Value and the Ending Securitization Value for such period.
     
 
*** Charge Off Rate is calculated by dividing Cumulative Net Credit Losses by Initial Aggregate Securitization Value as of the Cut-off date.
     
 
**** Average of Net Credit Losses is calculated by dividing Cumulative Net Credit Losses by the aggregate number of Leases that have experienced a net credit loss.