John Deere Owner Trust 2024-C | EXHIBIT 99.2 | |||
Statement to Certificateholders | | |||
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$392,300,000 Class A-1 5.01500% Asset Backed Notes due September 15, 2025 | | |||
$245,000,000 Class A-2A 4.36% Asset Backed Notes due August 16, 2027 | | |||
$293,000,000 Class A-2B Floating Rate Asset Backed Notes due August 16, 2027 | | |||
$538,000,000 Class A-3 4.06% Asset Backed Notes due June 15, 2029 | | |||
$95,330,000 Class A-4 4.15% Asset Backed Notes due August 15, 2031 | | |||
$40,098,968 Overcollateralization | | |||
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One-Month SOFR as of the SOFR Determination Date: | 4.33962% | |||
Class A-2B interest rate: | 4.76962% | |||
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Payment Date: | 15-Aug-25 | |||
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(1) | Amount of principal being paid or distributed: | | ||
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| (a) | Class A-1 Notes: | $0.00 | |
| | per $1,000 original principal amount: | $0.00 | |
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| (b) | Class A-2A Notes: | $21,098,259.78 | |
| | per $1,000 original principal amount: | $86.12 | |
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| (c) | Class A-2B Notes: | $25,231,796.39 | |
| | per $1,000 original principal amount: | $86.12 | |
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| (d) | Class A-3 Notes: | $0.00 | |
| | per $1,000 original principal amount: | $0.00 | |
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| (e) | Class A-4 Notes: | $0.00 | |
| | per $1,000 original principal amount: | $0.00 | |
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| (f) | Total: | $46,330,056.17 | |
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(2) | (a) | Amount of interest being paid or distributed: | | |
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| | (i) | Class A-1 Notes: | $0.00 |
| | | per $1,000 original principal amount: | $0.00 |
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| | (ii) | Class A-2A Notes: | $638,112.22 |
| | | per $1,000 original principal amount: | $2.60 |
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| | (iii) | Class A-2B Notes: | $862,653.38 |
| | | per $1,000 original principal amount: | $2.94 |
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| | (iv) | Class A-3 Notes: | $1,820,233.33 |
| | | per $1,000 original principal amount: | $3.38 |
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| | (v) | Class A-4 Notes: | $329,682.92 |
| | | per $1,000 original principal amount: | $3.46 |
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| | (vi) | Total: | $3,650,681.85 |
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(3) | (a) | Pool Balance (excluding accrued interest) at end of related Collection Period: | $1,047,374,916.06 | |
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| (b) | Note Value at end of related Collection Period: | $1,012,761,942.85 | |
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| (c) | Amount of Overcollateralization (Note Value less the aggregate principal amount of Notes) at end of related Collection Period: | $40,098,968.00 | |
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(4) | After giving effect to distributions on this Payment Date: | | ||
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| (a) | (i) | Outstanding Principal Amount of Class A-1 Notes: | $0.00 |
| | (ii) | A-1 Note Pool Factor: | 0.0000000 |
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| (b) | (i) | Outstanding Principal Amount of Class A-2A Notes: | $154,528,956.76 |
| | (ii) | A-2A Note Pool Factor: | 0.6307304 |
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| (c) | (i) | Outstanding Principal Amount of Class A-2B Notes: | $184,804,017.68 |
| | (ii) | A-2B Note Pool Factor: | 0.6307304 |
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| (d) | (i) | Outstanding Principal Amount of Class A-3 Notes: | $538,000,000.00 |
| | (ii) | A-3 Note Pool Factor: | 1.0000000 |
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| (e) | (i) | Outstanding Principal Amount of Class A-4 Notes: | $95,330,000.00 |
| | (ii) | A-4 Note Pool Factor: | 1.0000000 |
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(5) | (a) | Amount of Servicing Fee: | $912,425.39 | |
| | (i) | per $1,000 original principal amount: | $0.54 |
| (b) | Amount of Servicing Fee earned: | $912,425.39 | |
| (c) | Amount of Servicing Fee paid: | $912,425.39 | |
| (d) | Amount of Servicing Fee Shortfall: | $0.00 | |
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(6) | Amount of Administration Fee: | $100.00 | ||
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(7) | Amount paid to Indenture Trustee: | $0.00 | ||
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(8) | Amount paid to Owner Trustee: | $0.00 | ||
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(9) | Amount paid to Asset Representations Reviewer: | | ||
| (a) | Section 5.04 (iii) - Asset Representations Review Fees | $0.00 | |
| (b) | Section 5.04 (ix) - Asset Representations Review Fees | $0.00 | |
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(10) | Amount paid to Certificateholder: | $2,565,997.98 | ||
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(11) | (i) | Amount in Reserve Account: | $16,037,289.68 | |
| (ii) | Specified Reserve Account Balance: | $16,037,289.68 | |
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(12) | (i) | Payoff Amount of Receivables 60 days or more past due: | $25,751,286.14 | |
| (ii) | Payoff Amount of Receivables 60 days or more past due as a % of the Pool Balance: | 2.46% | |
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(13) | (i) | Aggregate amount of net losses for the collection period: | $486,055.33 | |
| (ii) | Cumulative amount of net losses: | $4,518,822.70 | |
| (iii) | Cumulative net loss as a percent of Initial Pool Balance (Cumulative Net Loss Ratio): | 0.27% | |
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(14) | (a) | Number of Receivables that were the subject of a repurchase demand in the related Collection Period: | | |
| | (i) | Aggregate Principal Balance of Receivables: | $0.00 |
| | (ii) | % of Pool Balance: | 0.00% |
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| (b) | Number of Purchased Receivables in the related Collection Period: | | |
| | (i) | Aggregate Principal Balance of Purchased Receivables: | $474,750.20 |
| | (ii) | % of Pool Balance: | 0.04% |
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| (c) | Number of Receivables pending repurchase (within cure period) in the related Collection Period: | | |
| | (i) | Aggregate Principal Balance of Receivables: | $0.00 |
| | (ii) | % of Pool Balance: | 0.00% |
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| (d) | Number of repurchase demands in dispute in the related Collection Period: | | |
| | (i) | Aggregate Principal Balance of Receivables: | $0.00 |
| | (ii) | % of Pool Balance: | 0.00% |
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| (e) | Number of repurchase demands withdrawn in the related Collection Period: | | |
| | (i) | Aggregate Principal Balance of related Receivables: | $0.00 |
| | (ii) | % of Pool Balance: | 0.00% |
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| (f) | Number of repurchase demands rejected in the related Collection Period: | | |
| | (i) | Aggregate Principal Balance of related Receivables: | $0.00 |
| | (ii) | % of Pool Balance: | 0.00% |
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