John Deere Owner Trust 2025

EXHIBIT 99.2

Statement to Certificateholders

$193,000,000 Class A-1 4.43300% Asset Backed Notes due March 16, 2026

$100,000,000 Class A-2A 4.23% Asset Backed Notes due March 15, 2028

$171,000,000 Class A-2B Floating Rate Asset Backed Notes due March 15, 2028

$231,000,000 Class A-3 4.23% Asset Backed Notes due September 17, 2029

$59,747,000 Class A-4 4.42% Asset Backed Notes due February 17, 2032

$19,352,434 Overcollateralization

One-Month SOFR as of the SOFR Determination Date:

4.34270%

Class A-2B interest rate:

4.63270%

Payment Date:

15-Sep-25

(1)

Amount of principal being paid or distributed:

(a)

Class A-1 Notes:

$17,313,741.54

per $1,000 original principal amount:

$89.71

(b)

Class A-2A Notes:

$0.00

per $1,000 original principal amount:

$0.00

(c)

Class A-2B Notes:

$0.00

per $1,000 original principal amount:

$0.00

(d)

Class A-3 Notes:

$0.00

per $1,000 original principal amount:

$0.00

(e)

Class A-4 Notes:

$0.00

per $1,000 original principal amount:

$0.00

(f)

Total:

$17,313,741.54

(2)

(a)

Amount of interest being paid or distributed:

(i)

Class A-1 Notes:

$207,394.64

per $1,000 original principal amount:

$1.07

(ii)

Class A-2A Notes:

$352,500.00

per $1,000 original principal amount:

$3.53

(iii)

Class A-2B Notes:

$682,165.08

per $1,000 original principal amount:

$3.99

(iv)

Class A-3 Notes:

$814,275.00

per $1,000 original principal amount:

$3.53

(v)

Class A-4 Notes:

$220,068.12

per $1,000 original principal amount:

$3.68

(vi)

Total:

$2,276,402.84

(3)

(a)

Pool Balance (excluding accrued interest) at end of related Collection Period:

$646,415,001.71

(b)

Note Value at end of related Collection Period:

$618,115,805.58

(c)

Amount of Overcollateralization (Note Value less the aggregate principal amount of Notes) at end of related Collection Period:

$19,352,434.00

(4)

After giving effect to distributions on this Payment Date:

(a)

(i)

Outstanding Principal Amount of Class A-1 Notes:

$37,016,371.11

(ii)

A-1 Note Pool Factor:

0.1917947

(b)

(i)

Outstanding Principal Amount of Class A-2A Notes:

$100,000,000.00

(ii)

A-2A Note Pool Factor:

1.0000000

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(c)

(i)

Outstanding Principal Amount of Class A-2B Notes:

$171,000,000.00

(ii)

A-2B Note Pool Factor:

1.0000000

(d)

(i)

Outstanding Principal Amount of Class A-3 Notes:

$231,000,000.00

(ii)

A-3 Note Pool Factor:

1.0000000

(e)

(i)

Outstanding Principal Amount of Class A-4 Notes:

$59,747,000.00

(ii)

A-4 Note Pool Factor:

1.0000000

(5)

(a)

Amount of Servicing Fee:

$554,749.43

(i)

per $1,000 original principal amount:

$0.68

(b)

Amount of Servicing Fee earned:

$554,749.43

(c)

Amount of Servicing Fee paid:

$554,749.43

(d)

Amount of Servicing Fee Shortfall:

$0.00

(6)

Amount of Administration Fee:

$100.00

(7)

Amount paid to Indenture Trustee:

$0.00

(8)

Amount paid to Owner Trustee:

$0.00

(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

(10)

Amount paid to Certificateholder:

$1,641,481.04

(11)

(i)

Amount in Reserve Account:

$7,740,994.34

(ii)

Specified Reserve Account Balance:

$7,740,994.34

(12)

(i)

Payoff Amount of Receivables 60 days or more past due:

$7,284,840.43

(ii)

Payoff Amount of Receivables 60 days or more past due as a % of the Pool Balance:

1.13%

(13)

(i)

Aggregate amount of net losses for the collection period:

$3,832.90

(ii)

Cumulative amount of net losses:

$260,808.37

(iii)

Cumulative net loss as a percent of Initial Pool Balance (Cumulative Net Loss Ratio):

0.03%

(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%

(b)

Number of Purchased Receivables in the related Collection Period:

(i)

Aggregate Principal Balance of Purchased Receivables:

$200,986.52

(ii)

% of Pool Balance:

0.03%

(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%

(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%

(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%

(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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