Exhibit 99.3

CHASE ISSUANCE TRUST

CHASEseries Monthly Noteholders’ Statement

Monthly Period: May 2025

The undersigned, a duly authorized representative of JPMorgan Chase Bank, National Association (the “Bank”), as Servicer pursuant to the Fifth Amended and Restated Transfer and Servicing Agreement, dated as of December 16, 2024 (as amended, supplemented or otherwise modified, the “Transfer and Servicing Agreement”), by and among the Chase Card Funding LLC, as Transferor, the Bank, as Servicer and Administrator, Chase Issuance Trust, as Issuing Entity, and Computershare Trust Company, National Association, as Indenture Trustee and as Collateral Agent, does hereby certify as follows:

 

A.

Information regarding the Current Distribution to Noteholders

 

1.

The total amount of the distribution to Noteholders on the Payment Date June 16, 2025 per $1,000 Initial Outstanding Dollar Principal Amount

 

  Tranche    Amount  
  Class A (2022-01)      3.30833  
  Class A (2023-01)      4.30000  
  Class A (2023-02)      4.23333  
  Class A (2024-01)      3.83333  
  Class A (2024-02)      3.85833  
  Class B (2022-01)      1,003.58333  
  Class B (2025-01)      3.13694  
  Class C (2022-01)      1,003.95000  
  Class C (2025-01)      3.32222  

 

2.

The amount of the distribution set forth in item 1 in respect of interest on the Notes per $1,000 Initial Outstanding Dollar Principal Amount

 

  Tranche    Amount        Interest Rate  
 

Class A (2022-01)

     3.30833        3.97000
 

Class A (2023-01)

     4.30000        5.16000
 

Class A (2023-02)

     4.23333        5.08000
 

Class A (2024-01)

     3.83333        4.60000
 

Class A (2024-02)

     3.85833        4.63000
 

Class B (2022-01)

     3.58333        4.30000
 

Class B (2025-01)

     3.13694        4.91000
 

Class C (2022-01)

     3.95000        4.74000
 

Class C (2025-01)

     3.32222        5.20000

 

3.

The amount of the distribution set forth in item 1 in respect of principal on the Notes per $1,000 Initial Outstanding Dollar Principal Amount

 

  Tranche    Amount  
  Class A (2022-01)      0.00000  
  Class A (2023-01)      0.00000  
  Class A (2023-02)      0.00000  
  Class A (2024-01)      0.00000  
  Class A (2024-02)      0.00000  
  Class B (2022-01)      1,000.00000  
  Class B (2025-01)      0.00000  
  Class C (2022-01)      1,000.00000  
  Class C (2025-01)      0.00000  


B.

Information regarding the Tranches of Notes of the CHASEseries

 

1.

Outstanding Dollar Principal Amount and Nominal Liquidation Amount of Tranches of Notes of the CHASEseries for the related Monthly Period

 

Tranche   

Initial Outstanding

Dollar Principal

Amount

    

 Outstanding Dollar 

Principal Amount

    

  Adjusted Outstanding  

Dollar Principal

Amount

    

 Nominal Liquidation 

Amount

 

Class A (2022-01)

     1,000,000,000.00        1,000,000,000.00        1,000,000,000.00        1,000,000,000.00  

Class A (2023-01)

     1,150,000,000.00        1,150,000,000.00        1,150,000,000.00        1,150,000,000.00  

Class A (2023-02)

     850,000,000.00        850,000,000.00        850,000,000.00        850,000,000.00  

Class A (2024-01)

     1,250,000,000.00        1,250,000,000.00        1,250,000,000.00        1,250,000,000.00  

Class A (2024-02)

     1,100,000,000.00        1,100,000,000.00        1,100,000,000.00        1,100,000,000.00  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Class A

     5,350,000,000.00        5,350,000,000.00        5,350,000,000.00        5,350,000,000.00  

Class B (2022-01)

     750,000,000.00        750,000,000.00        750,000,000.00        750,000,000.00  

Class B (2025-01)

     750,000,000.00        750,000,000.00        750,000,000.00        750,000,000.00  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Class B

     1,500,000,000.00        1,500,000,000.00        1,500,000,000.00        1,500,000,000.00  

Class C (2022-01)

     750,000,000.00        750,000,000.00        750,000,000.00        750,000,000.00  

Class C (2025-01)

     750,000,000.00        750,000,000.00        750,000,000.00        750,000,000.00  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Class C

     1,500,000,000.00        1,500,000,000.00        1,500,000,000.00        1,500,000,000.00  

Total

     8,350,000,000.00        8,350,000,000.00        8,350,000,000.00        8,350,000,000.00  

 

2.

Nominal Liquidation Amount of Notes of the CHASEseries

 

  Tranche

 

  

Beginning

Nominal

Liquidation

Amount

 

    

Increases from

amounts

withdrawn

from the

Principal
Funding
Subaccounts in

respect of

Prefunding

Excess

Amounts

 

    

Reimbursements

of prior
Nominal
Liquidation
Amount Deficits
from Available
Finance Charge
Collections

 

    

Reductions
due to
reallocations
of Available
Principal
Collections
and Investor
Charge-Offs

 

    

Reductions due

to amounts

deposited to

the Principal

Funding

Subaccounts

 

   

Ending Nominal

Liquidation Amount

 

 

Class A (2022-01)

     1,000,000,000.00        0.00        0.00        0.00        0.00       1,000,000,000.00  

Class A (2023-01)

     1,150,000,000.00        0.00        0.00        0.00        0.00       1,150,000,000.00  

Class A (2023-02)

     850,000,000.00        0.00        0.00        0.00        0.00       850,000,000.00  

Class A (2024-01)

     1,250,000,000.00        0.00        0.00        0.00        0.00       1,250,000,000.00  

Class A (2024-02)

     1,100,000,000.00        0.00        0.00        0.00        0.00       1,100,000,000.00  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

Total Class A

     5,350,000,000.00        0.00        0.00        0.00        0.00       5,350,000,000.00  

Class B (2022-01)

     750,000,000.00        0.00        0.00        0.00        (750,000,000.00     0.00  

Class B (2025-01)

     750,000,000.00        0.00        0.00        0.00        0.00       750,000,000.00  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

Total Class B

     1,500,000,000.00        0.00        0.00        0.00        (750,000,000.00     750,000,000.00  

Class C (2022-01)

     750,000,000.00        0.00        0.00        0.00        (750,000,000.00     0.00  

Class C (2025-01)

     750,000,000.00        0.00        0.00        0.00        0.00       750,000,000.00  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

Total Class C

     1,500,000,000.00        0.00        0.00        0.00        (750,000,000.00     750,000,000.00  

Total

     8,350,000,000.00        0.00        0.00        0.00        (1,500,000,000.00     6,850,000,000.00  

 

3.

CHASEseries Interest Funding Account Sub-Accounts

 

Tranche    Beginning
Interest
Funding
Subaccount
Balance
    

Targeted deposit
to the Interest
Funding
Subaccount with
respect to the
current period

     Previous
shortfalls
of targeted
deposits to
the Interest
Funding
Subaccount
     Actual deposit to
the Interest
Funding
Subaccount
     Amount
withdrawn from
the Interest
Funding
Subaccount for
payment to
Noteholders
    Other
Withdrawals
     Ending Interest
Funding
Subaccount
Balance
 

Class A (2022-01)

     0.00        3,308,333.33        0.00        3,308,333.33        (3,308,333.33     0.00        0.00  

Class A (2023-01)

     0.00        4,945,000.00        0.00        4,945,000.00        (4,945,000.00     0.00        0.00  

Class A (2023-02)

     0.00        3,598,333.33        0.00        3,598,333.33        (3,598,333.33     0.00        0.00  

Class A (2024-01)

     0.00        4,791,666.67        0.00        4,791,666.67        (4,791,666.67     0.00        0.00  

Class A (2024-02)

     0.00        4,244,166.67        0.00        4,244,166.67        (4,244,166.67     0.00        0.00  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 

Total Class A

     0.00        20,887,500.00        0.00        20,887,500.00        (20,887,500.00     0.00        0.00  

Class B (2022-01)

     0.00        2,687,500.00        0.00        2,687,500.00        (2,687,500.00     0.00        0.00  

Class B (2025-01)

     0.00        2,352,708.33        0.00        2,352,708.33        (2,352,708.33     0.00        0.00  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 

Total Class B

     0.00        5,040,208.33        0.00        5,040,208.33        (5,040,208.33     0.00        0.00  

Class C (2022-01)

     0.00        2,962,500.00        0.00        2,962,500.00        (2,962,500.00     0.00        0.00  

Class C (2025-01)

     0.00        2,491,666.67        0.00        2,491,666.67        (2,491,666.67     0.00        0.00  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 

Total Class C

     0.00        5,454,166.67        0.00        5,454,166.67        (5,454,166.67     0.00        0.00  

Total

     0.00        31,381,875.00        0.00        31,381,875.00        (31,381,875.00     0.00        0.00  


4.

CHASEseries Principal Funding Account Sub-Accounts

 

Tranche    Beginning
Principal
Funding
Subaccount
Balance
   

Targeted deposit to

the Principal Funding
Subaccount with
respect to the current
period

    Previous
shortfalls of
targeted
deposits to
the Principal
Funding
Subaccount
    Actual deposit to the
Principal Funding
Subaccount
    Amount withdrawn
from the Principal
Funding Subaccount
for payment to
Noteholders
    Other
Withdrawals
    Ending
Principal
Funding
Subaccount
Balance
 

Class A (2022-01)

     0.00       0.00       0.00       0.00       0.00       0.00       0.00  

Class A (2023-01)

     0.00       0.00       0.00       0.00       0.00       0.00       0.00  

Class A (2023-02)

     0.00       0.00       0.00       0.00       0.00       0.00       0.00  

Class A (2024-01)

     0.00       0.00       0.00       0.00       0.00       0.00       0.00  

Class A (2024-02)

     0.00       0.00       0.00       0.00       0.00       0.00       0.00  
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Class A

     0.00       0.00       0.00       0.00       0.00       0.00       0.00  

Class B (2022-01)

     0.00       750,000,000.00       0.00       750,000,000.00       (750,000,000.00     0.00       0.00  

Class B (2025-01)

     0.00       0.00       0.00       0.00       0.00       0.00       0.00  
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Class B

     0.00       750,000,000.00       0.00       750,000,000.00       (750,000,000.00     0.00       0.00  

Class C (2022-01)

     0.00       750,000,000.00       0.00       750,000,000.00       (750,000,000.00     0.00       0.00  

Class C (2025-01)

     0.00       0.00       0.00       0.00       0.00       0.00       0.00  
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Class C

     0.00       750,000,000.00       0.00       750,000,000.00       (750,000,000.00     0.00       0.00  

Total

     0.00       1,500,000,000.00       0.00       1,500,000,000.00       (1,500,000,000.00     0.00       0.00  

 

5.

CHASEseries Class C Reserve Sub-Accounts

 

Tranche

 

  

Beginning Class C
Reserve
Subaccount
Balance

 

    

Class C
Reserve
Subaccount
earnings for
the current
period

 

    

Targeted deposit to

the Class C
Reserve
Subaccount

 

    

Actual deposit to
the Class C
Reserve
Subaccount,
including Excess
Amounts

 

    

Amount
withdrawn
in respect of

payment of
interest or
principal to
Noteholders

 

    

Withdrawal of
Excess Amounts

pursuant to
subsection 3.25(c)
of the Indenture
Supplement

 

   

Ending Class C
Reserve
Subaccount
Balance

 

 

Class C (2022-01)

     62,625,000.00        112,929.25        0.00        0.00        0.00        (62,737,929.25     0.00  

Class C (2025-01)

     62,625,000.00        19,295.02        40,105,704.98        40,105,704.98        0.00        0.00       102,750,000.00  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

Total Class C

     125,250,000.00        132,224.27        40,105,704.98        40,105,704.98        0.00        (62,737,929.25     102,750,000.00  

Total

     125,250,000.00        132,224.27        40,105,704.98        40,105,704.98        0.00        (62,737,929.25     102,750,000.00  

 

6.

Class A Required Subordinated Amount of Class B and Class C Notes and Class A Usage of Class B and Class C Required Subordinated Amounts

 

Tranche   

Required
Subordinated
Amount of Class B
Notes as of the close
of business on the
related Note Transfer
Date

     Required
Subordinated
Amount of Class C
Notes as of the close
of business on the
related Note Transfer
Date
     Class A
Usage of
Class B
Required
Subordinated
Amount for
the current
period
     Class A
Usage of
Class C
Required
Subordinated
Amount for
the current
period
     Cumulative
Class A
Usage of
Class B
Required
Subordinated
Amount
     Cumulative
Class A
Usage of
Class C
Required
Subordinated
Amount
 

Class A (2022-01)

     81,395,300.00        81,395,300.00        0.00        0.00        0.00        0.00  

Class A (2023-01)

     93,604,595.00        93,604,595.00        0.00        0.00        0.00        0.00  

Class A (2023-02)

     69,186,005.00        69,186,005.00        0.00        0.00        0.00        0.00  

Class A (2024-01)

     101,744,125.00        101,744,125.00        0.00        0.00        0.00        0.00  

Class A (2024-02)

     89,534,830.00        89,534,830.00        0.00        0.00        0.00        0.00  
  

 

 

    

 

 

 

Total

     435,464,855.00        435,464,855.00        0.00        0.00        0.00        0.00  


7.

Class B Required Subordinated Amount of Class C Notes and Class B Usage of Class C Required Subordinated Amounts

 

Tranche   

Required
Subordinated Amount
of Class C Notes as of
the close of
business on the related
Note Transfer Date

     Class B Usage of
Class C Required
Subordinated Amount
for the current period
     Cumulative Class B
Usage of Class C
Required
Subordinated Amount
 

Class B (2022-01)

     0.00        0.00        0.00  

Class B (2025-01)

     459,139,537.92        0.00        0.00  
  

 

 

    

 

 

    

 

 

 

Total

     459,139,537.92        0.00        0.00  

 

C.

Information regarding the performance of the CHASEseries

 

     May
Monthly Period
     April
Monthly Period
     March
Monthly Period
 

Yield - Finance Charge, Fees & Interchange

     23.91%             24.37%             25.64%       

Plus: Yield - Collections of Discount Receivables

     0.00%             0.00%             0.00%       

Less: Net Credit Losses

     1.84%             1.67%             1.85%       

(a) Portfolio Yield

     22.07%        22.70%        23.79%  

Less:

        

Coupon

     4.72%             4.65%             4.65%       

Plus: Servicing Fee

     1.50%             1.50%             1.50%       

(b) Base Rate

     6.22%        6.15%        6.15%  

(a) - (b) = Excess Spread Percentage

     15.85%        16.55%        17.64%  

Three Month Average Excess Spread Percentage

     16.68%        17.12%        16.54%  

Excess Spread Amount paid to Transferor

   $ 114,930,681.29        $ 92,578,560.58        $ 103,504,641.80    

Principal Payment Rate

     50.43%        49.14%        51.13%  

 

JPMorgan Chase Bank, National Association, as Servicer  

By:  /s/ Patricia M. Garvey

 

 
    Patricia M. Garvey  
        Executive Director  
    June 12, 2025