Exhibit 99.1
SERVICER’S CERTIFICATE
AMERICAN HONDA FINANCE CORPORATION
MONTHLY SERVICER REPORT -- Honda Auto Receivables 2025-2 Owner Trust |
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Collection Period: May 1, 2026 through May 31, 2026 |
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Deal Age |
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13 |
Determination Date: 06/10/2026 |
Actual/360 Days |
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31 |
Record Date: 06/14/2026 |
30/360 Days |
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30 |
Payment Date: 06/15/2026 |
ORIGINAL DEAL PARAMETERS
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Dollar Amount |
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Number of Receivables |
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Total Portfolio Balance |
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$ |
2,483,139,372.23 |
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105,325 |
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Accrual Basis |
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Dollar Amount |
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% of Pool |
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Index Rate |
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Margin |
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Interest Rate |
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Final Scheduled |
Class A-1 Notes |
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Actual/360 |
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$614,000,000.00 |
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24.73% |
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4.44900% |
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May 15, 2026 |
Class A-2a Notes |
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30/360 |
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$470,400,000.00 |
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18.94% |
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4.30000% |
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January 18, 2028 |
Class A-2b Notes |
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Actual/360 |
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$394,800,000.00 |
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15.90% |
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3.64285% |
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0.480% |
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4.12285% |
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January 18, 2028 |
Class A-3 Notes |
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30/360 |
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$789,600,000.00 |
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31.80% |
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4.15000% |
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October 15, 2029 |
Class A-4 Notes |
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30/360 |
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$152,260,000.00 |
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6.13% |
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4.28000% |
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August 15, 2031 |
Certificates |
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30/360 |
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$62,079,372.23 |
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2.50% |
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0.00000% |
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Total Securities Balance |
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$2,483,139,372.23 |
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Total Note Balance |
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$2,421,060,000.00 |
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Reserve Account Initial Deposit |
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$6,207,848.43 |
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Yield Supplement Account Deposit |
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$134,746,183.28 |
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COLLECTIONS
Interest Collections |
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Simple Interest Collections |
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$ |
6,005,232.67 |
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Interest Related to Repurchased Receivables |
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$ |
0.00 |
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Interest Advance for simple Interest - Net * |
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$ |
0.00 |
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Total Interest Collections |
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$ |
6,005,232.67 |
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* Advances are reimbursed (including outstanding advances of $0.00): |
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(i) from subsequent payments, liquidation proceeds and servicer repurchase payments in respect of the related obligor, and |
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(ii) to the extent amounts in clause (i) are insufficient, generally from interest (with respect to interest advances). |
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Principal Collections |
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Principal Collections |
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$ |
45,261,783.22 |
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Prepayments in Full |
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$ |
20,893,383.20 |
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Liquidation Proceeds |
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$ |
519,464.09 |
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Principal Related to Repurchased Receivables |
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$ |
0.00 |
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Recoveries from Prior Month Charge Offs |
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$ |
190,130.27 |
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Total Principal Collections |
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$ |
66,864,760.78 |
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Total Interest and Principal Collections |
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$ |
72,869,993.45 |
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Yield Supplement Deposit |
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$ |
4,182,433.77 |
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Collection Account Investment Earnings |
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$ |
0.00 |
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Total Available Amount |
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$ |
77,052,427.22 |
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