Exhibit 99.01

 

-MONTHLY SERVICER’S CERTIFICATE

 

AMERICAN EXPRESS TRAVEL RELATED SERVICES COMPANY, INC.

 

 

AMERICAN EXPRESS CREDIT ACCOUNT MASTER TRUST

 

 

The undersigned, a duly authorized representative of American Express Travel Related Services Company, Inc., as Servicer (“TRS”), pursuant to the Fourth Amended and Restated Pooling and Servicing Agreement, dated as of April 1, 2018 (as amended, restated, supplemented and/or otherwise modified from time to time, the “Agreement”), among TRS, as Servicer, American Express Receivables Financing Corporation III LLC, as Transferor, and The Bank of New York Mellon, as Trustee, does hereby certify as follows:

 

1.Capitalized terms used in this Certificate have their respective meanings as set forth in the Agreement or the Series Supplements, as applicable.

 

2.TRS is, as of the date hereof, the Servicer under the Agreement.

 

3.The undersigned is a Servicing Officer.

 

4.This Certificate relates to the Distribution Date occurring on July 15, 2026 and covers activity from June 01, 2026 through June 30, 2026.

 

5.As of the date hereof, to the best knowledge of the undersigned, the Servicer has performed in all material respects all its obligations under the Agreement through the Monthly Period preceding such Distribution Date.

 

6.As of the date hereof, to the best knowledge of the undersigned, no Pay Out Event occurred on or prior to such Distribution Date.

 

IN WITNESS WHEREOF, the undersigned has duly executed and delivered this Certificate this 12th day of July 2026.

 

  AMERICAN EXPRESS TRAVEL RELATED SERVICES COMPANY, INC., as Servicer
   
  By: /s/ Hitesh Arora
  Name: Hitesh Arora
  Title: Director, Controllership

 

 

A. Trust Activity

 

   Trust Totals 
Record Date   June 30, 2026 
Number of days in Monthly Period   30 
Beginning Number of Accounts   12,324,626 
Beginning Principal Receivable Balance, including any Additions, Removals, or Adjustments of Principal Receivables during the Monthly Period   25,437,874,394.74 
a. Addition of Principal Receivables   0.00 
b. Removal of Principal Receivables   0.00 
c. Adjustments to Principal Receivables   0.00 
Special Funding Account Balance   0.00 
Beginning Total Principal Balance   25,437,874,394.74 
Finance Charge Collections (excluding Recoveries)   703,238,272.15 
Collections of Discount Option Receivables   0.00 
Recoveries   21,979,754.02 
Total Collections of Finance Charge Receivables   725,218,026.17 
Total Collections of Principal Receivables   13,302,127,061.70 
Monthly Payment Rate   52.2926%
Defaulted Amount   36,878,335.84 
Annualized Default Rate   1.7827%
Annualized Default Rate, Net of Recoveries   0.7202%
Trust Portfolio Yield   32.9226%
New Principal Receivables   13,070,153,226.10 
Ending Number of Accounts   12,318,635 
Ending Principal Receivables Balance   25,169,022,223.30 
Ending Required Minimum Principal Balance   14,429,740,730.00 
Ending Transferor Amount   11,683,283,223.30 
Ending Special Funding Account Balance   0.00 
Ending Total Principal Balance   25,169,022,223.30 
Ending Total Receivables   26,411,990,232.48 

 

During June 2026, American Express National Bank (“AENB”) sold certain Defaulted Receivables to a third party. Accordingly, Recoveries and the related metrics and totals that account for such Recoveries and are reported herein reflect the proceeds allocable to the Trust from the sale.

 

 

B. Series Allocations

 

           Principal   Series       Series       Series   Series 
       Adjusted   Funding   Required   Series   Allocable   Series   Allocable   Allocable 
   Invested   Invested   Account   Transferor   Allocation   Finance Charge   Allocable   Principal   Defaulted 
   Amount   Amount   Balance   Amount   Percentage   Collections    Recoveries   Collections   Amount 
Group 1                                    
2023-2  571,430,000.00   571,430,000.00   0.00   40,000,100.00   4.24%  30,729,597.89   931,346.13   563,649,827.93   1,562,642.39 
2023-3  971,433,000.00   971,433,000.00   0.00   68,000,310.00   7.20%  52,240,423.96   1,583,291.68   958,206,680.25   2,656,497.54 
2023-4  971,433,000.00   971,433,000.00   0.00   68,000,310.00   7.20%  52,240,423.96   1,583,291.68   958,206,680.25   2,656,497.54 
2024-1  1,142,859,000.00   1,142,859,000.00   0.00   80,000,130.00   8.47%  61,459,142.00   1,862,690.63   1,127,298,669.48   3,125,282.05 
2024-2  1,142,859,000.00   1,142,859,000.00   0.00   80,000,130.00   8.47%  61,459,142.00   1,862,690.63   1,127,298,669.48   3,125,282.05 
2024-3  1,371,433,000.00   1,371,433,000.00   0.00   96,000,310.00   10.17%  73,751,088.71   2,235,232.34   1,352,760,573.42   3,750,344.48 
2025-1  1,600,000,000.00   1,600,000,000.00   0.00   112,000,000.00   11.86%  86,042,658.98   2,607,762.65   1,578,215,572.67   4,375,387.76 
2025-2  1,714,287,000.00   1,714,287,000.00   0.00   120,000,090.00   12.71%  92,188,632.33   2,794,033.50   1,690,946,524.64   4,687,918.97 
2025-3  1,142,859,000.00   1,142,859,000.00   0.00   80,000,130.00   8.47%  61,459,142.00   1,862,690.63   1,127,298,669.48   3,125,282.05 
2025-4  1,714,287,000.00   1,714,287,000.00   0.00   120,000,090.00   12.71%  92,188,632.33   2,794,033.50   1,690,946,524.64   4,687,918.97 
2025-5  1,142,859,000.00   1,142,859,000.00   0.00   80,000,130.00   8.47%  61,459,142.00   1,862,690.63   1,127,298,669.48   3,125,282.05 
                                     
Total  13,485,739,000.00   13,485,739,000.00   0.00   944,001,730.00   100.00%  725,218,026.16   21,979,754.00   13,302,127,061.72   36,878,335.85 
                                     
Group 2                                    
2012-A  0.00   0.00   0.00   0.00   0.00%  0.00   0.00   0.00   0.00 
                                     
Total  0.00   0.00   0.00   0.00   0.00%  0.00   0.00   0.00   0.00 
                                     
Trust  13,485,739,000.00   13,485,739,000.00   0.00   944,001,730.00   100.00%  725,218,026.16   21,979,754.00   13,302,127,061.72   36,878,335.85 

 

 

C. Group Allocations

 

                               Reallocated         
       Investor                       Investor   Investment     
       Finance   Investor   Investor   Investor   Investor       Finance   Funding     
       Charge   Monthly   Default   Monthly   Additional       Charge   Account     
   Invested Amount   Collections   Interest   Amount   Fees    Amounts   Total   Collections   Proceeds   Available Excess 
Group 1                                        
2023-2  571,430,000.00   16,291,114.98   2,374,769.40   828,425.64   952,383.33   0.00   4,155,578.37   16,339,828.80   0.00   12,184,250.43 
2023-3  971,433,000.00   27,694,952.49   4,367,303.81   1,408,326.49   1,619,055.01   0.00   7,394,685.31   28,107,953.69   0.00   20,713,268.38 
2023-4  971,433,000.00   27,694,952.49   4,319,157.68   1,408,326.49   1,619,055.01   0.00   7,346,539.18   28,059,807.56   0.00   20,713,268.38 
2024-1  1,142,859,000.00   32,582,201.46   5,148,521.77   1,656,849.84   1,904,765.00   0.00   8,710,136.61   33,078,616.15   0.00   24,368,479.54 
2024-2  1,142,859,000.00   32,582,201.46   5,167,212.36   1,656,849.84   1,904,765.00   0.00   8,728,827.20   33,097,306.74   0.00   24,368,479.54 
2024-3  1,371,433,000.00   39,098,704.47   5,522,736.71   1,988,223.00   2,285,721.67   0.00   9,796,681.38   39,038,903.73   0.00   29,242,222.35 
2025-1  1,600,000,000.00   45,615,007.92   6,269,750.00   2,319,586.00   2,666,666.66   0.00   11,256,002.66   45,371,818.57   0.00   34,115,815.91 
2025-2  1,714,287,000.00   48,873,259.42   6,369,149.11   2,485,272.58   2,857,145.00   0.00   11,711,566.69   48,264,254.01   0.00   36,552,687.32 
2025-3  1,142,859,000.00   32,582,201.46   4,473,758.88   1,656,849.84   1,904,765.00   0.00   8,035,373.72   32,403,853.26   0.00   24,368,479.54 
2025-4  1,714,287,000.00   48,873,259.42   6,406,506.32   2,485,272.58   2,857,145.00   0.00   11,748,923.90   48,301,611.22   0.00   36,552,687.32 
2025-5  1,142,859,000.00   32,582,201.46   4,476,008.92   1,656,849.84   1,904,765.00   0.00   8,037,623.76   32,406,103.30   0.00   24,368,479.54 
                                         
Total  13,485,739,000.00   384,470,057.03   54,894,874.96   19,550,832.14   22,476,231.68   0.00   96,921,938.78   384,470,057.03   0.00   287,548,118.25 
                                         
Group 2                                        
2012-A  0.00   0.00   0.00   0.00   0.00   0.00   0.00   0.00   0.00   0.00 
                                         
Total  0.00   0.00   0.00   0.00   0.00   0.00   0.00   0.00   0.00   0.00 
                                         
Trust Total  13,485,739,000.00   384,470,057.03   54,894,874.96   19,550,832.14   22,476,231.68   0.00   96,921,938.78   384,470,057.03   0.00   287,548,118.25 

 

   Group Investor Finance       Group Reallocable Investor 
   Charge Collections   Group Expenses   Finance Charge Collections 
Group 1  384,470,057.03   96,921,938.78   287,548,118.25 
Group 2  0.00   0.00   0.00 

 

 

D. Trust Performance

 

Delinquencies: (a)                
       Percentage of Ending Total       Percentage of Total 
   Dollar Amount   Receivables   Number of Accounts   Number of Accounts 
31-60 Days Delinquent   54,886,614    0.21%   6,789    0.06%
61-90 Days Delinquent   40,588,325    0.15%   4,333    0.04%
91-120 Days Delinquent   31,524,798    0.12%   3,301    0.03%
120+ Days Delinquent   48,884,658    0.19%   5,018    0.04%
Total 30+ Days Delinquent   175,884,395    0.67%   19,441    0.16%

 

Loss Experience:                                

 

Ending Principal Receivables Balance   25,169,022,223.30                
Defaulted Amount   36,878,335.84                
Recoveries   21,979,754.02                
Net Default Amount   14,898,581.82                
Annualized Default Rate   1.78%               
Annualized Recovery Rate   1.06%               
Annualized Default Rate, Net of Recoveries   0.72%               
Number of Accounts Experiencing a Loss   6,250                
Number of Accounts Experiencing a Recovery   97,784                
Average Net Default Amount per Account Experiencing a Loss   2,383.77                

 

E. Repurchases and Replacements

 

Information required by Rule 15Ga-1(a) concerning the Trust:

 

No activity to report for reporting period.

 

Most recent Form ABS-15G:

 

Form ABS-15G filed on Feb 11, 2026 under CIK number 0001283434

 

F. Asset Review

 

Information required by Item 1121(d)(1) of Regulation AB concerning the Trust:

 

No activity to report for reporting period.

 

Information required by Item 1121(d)(2) of Regulation AB concerning the Trust:

 

There has been no change to the Asset Representation Reviewer during the reporting period.

 

 

G. Investor Communication

 

Information required by Item 1121(e) of Regulation AB concerning the Trust:

 

No activity to report for reporting period.

 

H. Credit Risk Retention (5)

 

    As of the last day of the     As of the last day of the                  
    Monthly Period     Prior Monthly Period                  
Required Seller's Interest Amount     590,000,000.00       590,050,000.00                  
Seller's Interest Amount     11,683,283,223.30       11,950,985,394.74                  
Seller's Interest Percentage     99.01 %     101.27 %                

 

(5) Only applies on or after the date compliance with respect to Regulation RR is required

 

 

Series 2012-A Certificates                
                 
A. Investor/Transferor Allocations  Series Allocations   Total Investor
Interest
   Transferors' Interest     
Beginning Invested Amount/Transferor Amount   0.00    0.00    0.00      
Beginning Adjusted Invested Amount   N/A    0.00    N/A      
Floating Allocation Percentage   N/A    0.0000%   100.0000%     
Principal Allocation Percentage   N/A    0.0000%   100.0000%     
Collections of Finance Charge Receivables   0.00    0.00    0.00      
Collections of Principal Receivables   0.00    0.00    0.00      
Defaulted Amount   0.00    0.00    0.00      
                     
Ending Invested Amount / Transferor Amount   0.00    0.00    0.00      

 

B. Monthly Period Funding Requirements  Class A   Class B   Collateral Interest   Total 
Principal Funding Account Balance   0.00    0.00    0.00    0.00 
Investment Proceeds for Monthly Period   0.00    0.00    0.00    0.00 
Required Reserve Account Amount   0.00    0.00    0.00    0.00 
Reserve Account Opening Balance   0.00    0.00    0.00    0.00 
Reserve Account Investment Proceeds retained per Section 4.12(b)   0.00    0.00    0.00    0.00 
Reserve Account Deposit   0.00    0.00    0.00    0.00 
Reserve Draw Amount   0.00    0.00    0.00    0.00 
Reserve Account Surplus (after giving effect to any principal distributions on the related Distribution Date)   0.00    0.00    0.00    0.00 
Reserve Account Closing Balance (after giving effect to any principal distributions and Reserve Account Withdrawals on the related Distribution Date)                    
    0.00    0.00    0.00    0.00 
Periodic Term SOFR Determination Date   June 11, 2026    June 11, 2026    June 11, 2026      
Increase Periodic Term SOFR Determination Date   N/A    N/A    N/A      
                     
Coupon (6/15/26 to 7/14/26)   N/A    N/A    N/A      
                     
Monthly Interest Due   0.00    0.00    0.00    0.00 
Outstanding Monthly Interest Due   0.00    0.00    0.00    0.00 
Additional Interest Due   0.00    0.00    0.00    0.00 
Total Interest Due   0.00    0.00    0.00    0.00 
                     
Investor Default Amount   0.00    0.00    0.00    0.00 
Investor Monthly Fees Due   0.00    0.00    0.00    0.00 
Investor Additional Amounts Due   0.00    0.00    0.00    0.00 
Additional Transaction Costs (not included in Monthly Interest)   0.00    0.00         0.00 
Total Due   0.00    0.00    0.00    0.00 
                     
Reallocated Investor Finance Charge Collections                  0.00 
Interest and Principal Funding Investment Proceeds                  0.00 
Interest on Reserve Account                  0.00 
Series Adjusted Portfolio Yield                  0.0000%
Base Rate                  0.0000%
Excess Spread Percentage                  0.0000%

 

C. Certificates - Balances and Distributions  Class A   Class B   Collateral Interest   Total 
Beginning Certificates Balance   0.00    0.00    0.00    0.00 
Invested Amount Increases   0.00    0.00    0.00    0.00 
Distributions of Interest   0.00    0.00    0.00    0.00 
Deposits to the Principal Funding Account   0.00    0.00    0.00    0.00 
Distributions of Principal   0.00    0.00    0.00    0.00 
Total Distributions   0.00    0.00    0.00    0.00 
Ending Certificates Balance   0.00    0.00    0.00    0.00 

 

 

D. Information regarding distributions on the Distribution Date in respect of the Class A Certificates per $1,000 certificate principal amount.        
           
  1. The total amount of the distribution:   $ 0.00  
             
  2. The amount of the distribution in respect of Class A Monthly Interest:   $ 0.00  
             
  3. The amount of the distribution in respect of Class A Outstanding Monthly Interest:   $ 0.00  
             
  4. The amount of the distribution in respect of Class A Additional Interest:   $ 0.00  
             
  5. The amount of the distribution in respect of principal of the Class A Certificates:   $ 0.00  
             
  6. The amount of the distribution in respect of Class A Additional Transaction Costs (not included in Class A Monthly Interest):   $ 0.00  
             
E. Class A Investor Charge-Offs and Reimbursement of Class A Investor Charge-Offs.        
           
  1. The total amount of Class A Investor Charge-Offs:   $ 0.00  
             
  2. The amount of Class A Investor Charge- Offs per $1,000 certificate principal amount:   $ 0.00  
             
  3. The total amount reimbursed in respect of Class A Investor Charge-Offs:   $ 0.00  
             
  4. The amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 certificate principal amount:   $ 0.00  
             
  5. The amount, if any, by which the outstanding principal balance of the Class A Certificates exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date:   $ 0.00  
             
F. Information regarding distributions in respect of the Class B Certificates per $1,000 certificate principal amount.        
           
  1. The total amount of the distribution in respect of Class B Certificates:   $ 0.00  
             
  2. The amount of the distribution in respect of Class B Monthly Interest:   $ 0.00  
             
  3. The amount of the distribution in respect of Class B Outstanding Monthly Interest:   $ 0.00  
             
  4. The amount of the distribution in respect of Class B Additional Interest:   $ 0.00  
             
  5. The amount of the distribution in respect of principal of the Class B Certificates:   $ 0.00  
             
  6. The amount of the distribution in respect of Class B Additional Transaction Costs (not included in Class B Monthly Interest):   $ 0.00  

 

 

G. Amount of reductions in Class B Invested Amount pursuant to clauses (d), (e), and (f) of the definition of Class B Invested Amount on such Distribution Date.        
           
  1. The amount of reductions in Class B Invested Amount pursuant to clauses (d), (e), and (f) of the definition of Class B Invested Amount:   $ 0.00  
             
  2. The amount of the reductions in the Class B Invested Amount per $1,000 certificate principal amount:   $ 0.00  
             
  3. The total amount reimbursed in respect of such reductions in the Class B Invested Amount:   $ 0.00  
             
  4. The amount reimbursed in respect of such reductions in the Class B Invested Amount, per $1,000 certificate principal amount:   $ 0.00  
             
  5. The amount, if any, by which the outstanding principal balance of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date:   $ 0.00  
             
H. Information regarding distributions on the Distribution Date to the Collateral Interest Holder.        
           
  1. The total amount distributed to the Collateral  Interest Holder:   $ 4,110.00  
             
  2. The amount of the distribution in respect of Collateral Minimum Monthly Interest (including in respect of Collateral Senior Minimum Monthly Interest):   $ 0.00  
             
  3. The amount of the distribution in respect of Collateral Senior Additional Interest (including in respect of Collateral Senior Minimum Monthly Interest:   $ 0.00  
             
  4. The amount distributed to the Collateral Interest Holder in respect of principal on the Collateral Invested Amount:   $ 0.00  
             
  5. The amount of the distribution to the Collateral Interest Holder in respect of remaining Excess Spread:   $ 4,110.00  
             
I. Amount of reductions in Collateral Invested Amount pursuant to clauses (d), (e), and (f) of the definition of Collateral Invested Amount.        
           
  1. The amount of reductions in the Collateral Invested Amount pursuant to clauses (d), (e), and (f) of the definition of Collateral Invested Amount:   $ 0.00  
             
  2. The total amount reimbursed in respect of such reductions in the Collateral Invested Amount:   $ 0.00  

 

 

J. Application of Reallocated Investor Finance Charge Collections        
           
  1. Class A Available Funds   $ 0.00  
             
    a. Class A Monthly Interest   $ 0.00  
    b. Class A Outstanding Monthly Interest   $ 0.00  
    c. Class A Additional Interest   $ 0.00  
    d. Class A Investor Default Amount (treated as Available Principal Collections)   $ 0.00  
    e. Excess Spread   $ 0.00  
             
  2. Class B Available Funds   $ 0.00  
             
    a. Class B Monthly Interest   $ 0.00  
    b. Class B Outstanding Monthly Interest   $ 0.00  
    c. Class B Additional Interest   $ 0.00  
    d. Excess Spread   $ 0.00  
             
  3. Collateral Available Funds   $ 0.00  
             
    a. Excess Spread   $ 0.00  
             
  4. Total Excess Spread   $ 0.00  
             
K.   Reallocated Principal Collections        
           
  1. Principal Allocation Percentage     0.0000 %
             
  2. Series 2012-A Allocable Principal Collections   $ 0.00  
             
  3. Principal Allocation Percentage of Series 2012-A Allocable Principal Collections   $ 0.00  
             
  4. Reallocated Principal Collections Required to fund the Required Amount   $ 0.00  
             
  5. Item 3 minus Item 4   $ 0.00  
             
  6. Shared Principal Collections from other Series allocated to Series 2012-A   $ 0.00  
             
  7. Other amounts treated as Available Principal Collections   $ 0.00  
             
  8. Available Principal Collections (total of items 5, 6 & 7)   $ 0.00  
             
L.  Application of Available Principal Collections during Revolving Period        
           
  1. Treated as Shared Principal Collections   $ 0.00  
             
M. Application of Principal Collections During Accumulation or Amortization Period        
             
  1. Principal Funding Account   $ 0.00  
             
  2. Excess of Collateral Invested Amount over Required Collateral Invested Amount   $ 0.00  
             
  3. Distribution of Principal   $ 0.00  
             
  4.  Treated as Shared Principal Collections   $ 0.00  

 

 

N. Application of Excess Spread, Excess Finance Charge Collections and Available Interest Reserve Account Amount Allocated to Series 2012-A        
           
  1. Excess Spread   $ 0.00  
  2. Excess Finance Charge Collections   $ 0.00  
  3. Available Interest Reserve Account Amount   $ 4,110.00  
  4. Applied to fund Class A Required Amount   $ 0.00  
  5. Class A Investor Charge-Offs treated as Available Principal Collections   $ 0.00  
  6. Applied to fund overdue Class B Interest   $ 0.00  
  7. Applied to fund Class B Required Amount   $ 0.00  
  8. Reduction of Class B Invested Amount treated as Available Principal Collections   $ 0.00  
  9. Applied to Collateral Senior Minimum Monthly Interest   $ 0.00  
  10. Applied to unpaid Monthly Servicing Fee   $ 0.00  
  11. Collateral Default Amount treated as Available Principal Collections   $ 0.00  
  12. Reduction of Collateral Invested Amount treated as Available Principal Collections   $ 0.00  
  13. Deposited to Reserve Account   $ 0.00  
  14. Applied to pay Class A Additional Transaction Costs (not included in Class A Monthly Interest)   $ 0.00  
  15. Applied to pay Class B Additional Transaction Costs (not included in Class B Monthly Interest)   $ 0.00  
  16. Applied to any remaining Collateral Minimum Monthly Interest   $ 0.00  
  17. (a) Prior to a Note Trust Transfer, remaining Excess Spread applied as Excess Finance Charge Collections   $ 4,110.00  
    (b) Prior to a Note Trust Transfer, remaining Excess Spread distributed to the holders of the Transferor Certificates   $ 4,110.00  
  18. Available Excess Overpayment Account Amount distributed to Collateral Interest Holder   $ 0.00  
             
O. Funding of Interest Reserve Account on Interest Reserve Account Funding Date (if applicable)        
           
  1. Interest Reserve Account Opening Balance   $ 4,110.00  
             
  2. Excess of Excess Finance Charge Collections over aggregate Finance Charge Shortfalls   $ 0.00  
             
  3. Deposited to Interest Reserve Account   $ 0.00  
             
  4. Remaining Excess Finance Charge Collections distributed to the holders of the Transferor Certificates   $ 0.00  
             
P. Funding of Excess Overpayment Account Amount        
           
  1. Excess Overpayment Account Opening Balance   $ 0.00  
             
  2. Amount deposited into Excess Overpayment Account in respect of Class A Certificates   $ 0.00  
             
  3. Amount deposited into Excess Overpayment Account in respect of Class B Certificates   $ 0.00  
             
  4. Remaining Excess Finance Charge Collections distributed to the holders of the Transferor Certificates   $ 0.00  
             
  5. Available Excess Overpayment Account Amount distributed to the Collateral Interest Holder   $ 0.00  

 

 

Q. Yield and Base Rate        
               
  1. Base Rate        
             
    a. Current Monthly Period     N/A  
    b. Prior Monthly Period     6.0588 %
    c. Second Prior Monthly Period     6.1461 %
               
  2. Three Month Average Base Rate     N/A  
             
  3. Series Adjusted Portfolio Yield        
             
    a. Current Monthly Period     N/A  
    b. Prior Monthly Period     31.3116 %
    c. Second Prior Monthly Period     32.8033 %
               
  4. Three Month average Series Adjusted Portfolio Yield     N/A  
             
  5. Is the 3 month average Series Adjusted Portfolio Yield more than the 3 month average base rate?     N/A  
               
R.   Reassignment Amount        
           
  1. Adjusted Invested Amount     0.00  
             
  2. Monthly Interest     0.00  
             
  3. Monthly Interest previously due but not paid     0.00  
             
  4. Additional Interest     0.00  
             
  5. Additional Interest previously due but not paid     0.00  
             
  6. Reassignment Amount     0.00  

 

 

Series 2023-2 Certificates

 

A. Investor/Transferor Allocations  Series Allocations   Total Investor
Interest
   Transferors' Interest     
Beginning Invested Amount/Transferor Amount   1,077,876,753.02    571,430,000.00    506,446,753.02      
Beginning Adjusted Invested Amount   N/A    571,430,000.00    N/A      
Floating Allocation Percentage   N/A    53.0144%   46.9856%     
Principal Allocation Percentage   N/A    53.0144%   46.9856%     
Collections of Finance Charge Receivables   30,729,597.89    16,291,114.98    14,438,482.91      
Collections of Principal Receivables   563,649,827.93    298,815,630.15    264,834,197.78      
Defaulted Amount   1,562,642.39    828,425.64    734,216.75      
                     
Ending Invested Amount / Transferor Amount   1,066,484,704.25    571,430,000.00    495,054,704.25      

 

B.  Monthly Period Funding Requirements  Class A   Class B   Collateral Interest   Total 
Principal Funding Account Balance   0.00    0.00    0.00    0.00 
Investment Proceeds for Monthly Period   0.00    0.00    0.00    0.00 
Required Reserve Account Amount   0.00    0.00    0.00    0.00 
Reserve Account Opening Balance   0.00    0.00    0.00    0.00 
Reserve Account Investment Proceeds retained per Section 4.12(b)   0.00    0.00    0.00    0.00 
Reserve Account Deposit   0.00    0.00    0.00    0.00 
Reserve Draw Amount   0.00    0.00    0.00    0.00 
Reserve Account Surplus (after giving effect to any principal distributions on the related Distribution Date)   0.00    0.00    0.00    0.00 
Reserve Account Closing Balance (after giving effect to any principal distributions and Reserve Account withdrawals on the related Distribution Date)   0.00    0.00    0.00    0.00 
                     
Term SOFR Determination Date   N/A    N/A    N/A      
Coupon June 15, 2026 to July 14, 2026   4.80000%   5.12000%   6.80000%     
Monthly Interest Due   2,000,000.00    91,430.40    283,339.00    2,374,769.40 
Outstanding Monthly Interest Due   0.00    0.00    0.00    0.00 
Additional Interest Due   0.00    0.00    0.00    0.00 
Total Interest Due   2,000,000.00    91,430.40    283,339.00    2,374,769.40 
Investor Default Amount   724,870.62    31,066.51    72,488.51    828,425.64 
Investor Monthly Fees Due   833,333.33    35,715.00    83,335.00    952,383.33 
Investor Additional Amounts Due   0.00    0.00    0.00    0.00 
Total Due   3,558,203.95    158,211.91    439,162.51    4,155,578.37 
                     
Reallocated Investor Finance Charge Collections                  16,339,828.80 
Interest and Principal Funding Investment Proceeds                  0.00 
Interest on Reserve Account                  0.00 
Series Adjusted Portfolio Yield                  33.0263%
Base Rate                  7.0840%
Excess Spread Percentage                  25.5869%

 

C. Certificates - Balances and Distributions  Class A   Class B   Collateral Interest   Total 
Beginning Certificates Balance   500,000,000.00    21,429,000.00    50,001,000.00    571,430,000.00 
Distributions of Interest   2,000,000.00    91,430.40    283,339.00    2,374,769.40 
Deposits to the Principal Funding Account   0.00    0.00    0.00    0.00 
Distributions of Principal   0.00    0.00    0.00    0.00 
Total Distributions   2,000,000.00    91,430.40    283,339.00    2,374,769.40 
Ending Certificates Balance   500,000,000.00    21,429,000.00    50,001,000.00    571,430,000.00 

 

 

D) Information regarding distributions on the Distribution Date in respect of the Class A Certificates per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution:  $4.00 
          
  (2) The amount of the distribution in respect of Class A Monthly Interest:  $4.00 
          
  (3) The amount of the distribution in respect of Class A Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class A Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class A Certificates:  $0.00 
          
E) Class A Investor Charge-Offs and Reimbursement of Class A Investor Charge-Offs.     
        
  (1) The total amount of Class A Investor Charge-Offs:  $0.00 
          
  (2) The amount of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of Class A Investor Charge-Offs:  $0.00 
          
  (4) The amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class A Certificates exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
F) Information regarding distributions in respect of the Class B Certificates, per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution in respect of Class B Certificates:  $4.27 
          
  (2) The amount of the distribution in respect of Class B Monthly Interest:  $4.27 
          
  (3) The amount of the distribution in respect of Class B Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class B Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class B Certificates:  $0.00 

 

 

G) Amount of reductions in Class B Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Class B Invested Amount on such Distribution Date.     
        
  (1) The amount of reductions in Class B Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Class B Invested Amount:  $0.00 
          
  (2) The amount of the reductions in the Class B Invested Amount per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of such reductions in the Class B Invested Amount:  $0.00 
          
  (4) The amount reimbursed in respect of such reductions in the Class B Invested Amount, per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
H) Information regarding distributions on the Distribution Date to the Collateral Interest Holder.     
        
  (1) The total amount distributed to the Collateral Interest Holder:  $12,467,589.43 
          
  (2) The amount of the distribution in respect of Collateral Minimum Monthly Interest (including in respect of Collateral Senior Minimum Monthly Interest):  $283,339.00 
          
  (3) The amount of the distribution in respect of Collateral Senior Additional Interest (including in respect of Collateral Additional Interest):  $0.00 
          
  (4) The amount distributed to the Collateral Interest Holder in respect of principal on the Collateral Invested Amount:  $0.00 
          
  (5) The amount of the distribution to the Collateral Interest Holder in respect of remaining Excess Spread:  $12,184,250.43 
          
I) Amount of reductions in Collateral Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Collateral Invested Amount.     
        
  (1) The amount of reductions in the Collateral Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Collateral Invested Amount:  $0.00 
          
  (2) The total amount reimbursed in respect of such reductions in the Collateral Invested Amount:  $0.00 

 

 

J. Application of Reallocated Investor Finance Charge Collections      
         
  1. Class A Available Funds   $ 14,297,314.46  
             
    a. Class A Monthly Interest   $ 2,000,000.00  
    b. Class A Outstanding Monthly Interest   $ 0.00  
    c. Class A Additional Interest   $ 0.00  
    d. Class A Investor Default Amount (treated as Available Principal Collections)   $ 724,870.62  
    e. Excess Spread   $ 11,572,443.84  
               
  2. Class B Available Funds   $ 612,754.30  
             
    a. Class B Monthly Interest   $ 91,430.40  
    b. Class B Outstanding Monthly Interest   $ 0.00  
    c. Class B Additional Interest   $ 0.00  
    d. Excess Spread   $ 521,323.90  
               
  3. Collateral Available Funds   $ 1,429,760.04  
             
    a. Excess Spread   $ 1,429,760.04  
               
  4. Total Excess Spread   $ 13,523,527.78  
             
K. Reallocated Principal Collections      
         
  1. Principal Allocation Percentage   53.0144 %
           
  2. Series 2023-2 Allocable Principal Collections   $ 563,649,827.93  
             
  3. Principal Allocation Percentage of Series 2023-2 Allocable Principal Collections   $ 298,815,630.15  
             
  4. Reallocated Principal Collections Required to fund the Required Amount   $ 0.00  
             
  5. Item 3 minus Item 4   $ 298,815,630.15  
             
  6. Shared Principal Collections from other Series allocated to Series 2023-2   $ 0.00  
             
  7. Other amounts treated as Available Principal Collections:   $ 828,425.64  
             
  8. Available Principal Collections (total of items 5, 6 and 7)   $ 299,644,055.79  
             
L. Application of Available Principal Collections during Revolving Period      
         
  1. Collateral Invested Amount   $ 50,001,000.00  
             
  2. Required Collateral Invested Amount   $ 50,001,000.00  
             
  3. Excess of Collateral Invested Amount over Required Collateral Invested Amount   $ 0.00  
             
  4. Treated as Shared Principal Collections   $ 299,644,055.79  

 

 

M. Application of Principal Collections During Accumulation or Amortization Period     
        
  1. Principal Funding Account  $0.00 
          
  2. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
          
  3. Distribution of Principal  $0.00 
          
  4. Treated as Shared Principal Collections  $0.00 
          
N. Application of Excess Spread and Excess Finance Charge Collections Allocated to Series 2023-2     
        
  1. Excess Spread  $13,523,527.78 
  2. Excess Finance Charge Collections  $0.00 
  3. Applied to fund Class A Required Amount  $0.00 
  4. Class A Investor Charge-Offs treated as Available Principal Collections  $0.00 
  5. Applied to fund overdue Class B Interest  $0.00 
  6. Applied to fund Class B Required Amount  $31,066.51 
  7. Reduction of Class B Invested Amount treated as Available Principal Collections  $0.00 
  8. Applied to Collateral Senior Minimum Monthly Interest  $131,193.10 
  9. Applied to unpaid Monthly Servicing Fee  $952,383.33 
  10. Collateral Default Amount treated as Available Principal Collections  $72,488.51 
  11. Reduction of Collateral Invested Amount treated as Available Principal Collections  $0.00 
  12. Deposited to Reserve Account  $0.00 
  13. Applied to any remaining Collateral Minimum Monthly Interest  $152,145.90 
  14A. (a) Prior to a Note Trust Transfer, remaining Excess Spread applied as Excess Finance Charge Collections  $0.00 
    (b) Prior to a Note Trust Transfer, remaining Excess Spread distributed to the holders of the Transferor Certificates  $12,184,250.43 
  14B. Following a Note Trust Transfer, remaining Excess Spread distributed to Collateral Interest Holder(s)   N/A 
          
O.  Yield and Base Rate     
        
  1. Base Rate     
    a. Current Monthly Period   7.0840%
    b. Prior Monthly Period   6.8555%
    c. Second Prior Monthly Period   7.0840%
            
  2. Three Month Average Base Rate   7.0079%
          
  3. Series Adjusted Portfolio Yield     
    a. Current Monthly Period   33.0263%
    b. Prior Monthly Period   31.4119%
    c. Second Prior Monthly Period   32.8920%
            
  4. Three Month average Series Adjusted Portfolio Yield   32.4434%
          
  5. Is the 3 month average Series Adjusted Portfolio Yield more than the 3 month average Base Rate?    Yes 

 

 

P. Reassignment Amount    
       
  Adjusted Invested Amount  $571,430,000.00 
  Monthly Interest  $2,374,769.40 
  Monthly Interest previously due but not paid  $0.00 
  Additional Interest  $0.00 
  Additional Interest previously due but not paid  $0.00 
  Reassignment Amount  $573,804,769.40 

 

 

Series 2023-3 Certificates

 

A. Investor/Transferor Allocations  Series Allocations   Total Investor
Interest
   Transferors' Interest     
Beginning Invested Amount/Transferor Amount   1,832,394,252.69    971,433,000.00    860,961,252.69      
Beginning Adjusted Invested Amount   N/A    971,433,000.00    N/A      
Floating Allocation Percentage   N/A    53.0144%   46.9856%     
Principal Allocation Percentage   N/A    53.0144%   46.9856%     
Collections of Finance Charge Receivables   52,240,423.96    27,694,952.49    24,545,471.47      
Collections of Principal Receivables   958,206,680.25    507,987,617.10    450,219,063.15      
Defaulted Amount   2,656,497.54    1,408,326.49    1,248,171.05      
                     
Ending Invested Amount / Transferor Amount   1,813,027,729.92    971,433,000.00    841,594,729.92      
                     
B. Monthly Period Funding Requirements  Class A   Class B   Collateral Interest   Total 
Principal Funding Account Balance   0.00    0.00    0.00    0.00 
Investment Proceeds for Monthly Period   0.00    0.00    0.00    0.00 
Required Reserve Account Amount   4,250,000.00    0.00    0.00    4,250,000.00 
Reserve Account Opening Balance   4,250,000.00    0.00    0.00    4,250,000.00 
Reserve Account Investment Proceeds retained per Section 4.12(b)   0.00    0.00    0.00    0.00 
Reserve Account Deposit   0.00    0.00    0.00    0.00 
Reserve Draw Amount   0.00    0.00    0.00    0.00 
Reserve Account Surplus (after giving effect to any principal distributions on the related Distribution Date)   0.00    0.00    0.00    0.00 
Reserve Account Closing Balance (after giving effect to any principal distributions and Reserve Account withdrawals on the related Distribution Date)   4,250,000.00    0.00    0.00    4,250,000.00 
                     
Term SOFR Determination Date   N/A    N/A    N/A      
Coupon June 15, 2026 to July 14, 2026   5.23000%   5.52000%   6.99000%     
Monthly Interest Due   3,704,583.33    167,578.00    495,142.48    4,367,303.81 
Outstanding Monthly Interest Due   0.00    0.00    0.00    0.00 
Additional Interest Due   0.00    0.00    0.00    0.00 
Total Interest Due   3,704,583.33    167,578.00    495,142.48    4,367,303.81 
Investor Default Amount   1,232,280.06    52,814.07    123,232.36    1,408,326.49 
Investor Monthly Fees Due   1,416,666.67    60,716.67    141,671.67    1,619,055.01 
Investor Additional Amounts Due   0.00    0.00    0.00    0.00 
Total Due   6,353,530.06    281,108.74    760,046.51    7,394,685.31 
                     
Reallocated Investor Finance Charge Collections                  28,107,953.69 
Interest and Principal Funding Investment Proceeds                  0.00 
Interest on Reserve Account                  0.00 
Series Adjusted Portfolio Yield                  33.4398%
Base Rate                  7.4976%
Excess Spread Percentage                  25.5869%
                     
C. Certificates - Balances and Distributions  Class A   Class B   Collateral Interest   Total 
Beginning Certificates Balance   850,000,000.00    36,430,000.00    85,003,000.00    971,433,000.00 
Distributions of Interest   3,704,583.33    167,578.00    495,142.48    4,367,303.81 
Deposits to the Principal Funding Account   0.00    0.00    0.00    0.00 
Distributions of Principal   0.00    0.00    0.00    0.00 
Total Distributions   3,704,583.33    167,578.00    495,142.48    4,367,303.81 
Ending Certificates Balance   850,000,000.00    36,430,000.00    85,003,000.00    971,433,000.00 

 

 

 

D) Information regarding distributions on the Distribution Date in respect of the Class A Certificates per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution:  $4.36 
          
  (2) The amount of the distribution in respect of Class A Monthly Interest:  $4.36 
          
  (3) The amount of the distribution in respect of Class A Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class A Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class A Certificates:  $0.00 
          
E) Class A Investor Charge-Offs and Reimbursement of Class A Investor Charge-Offs.     
        
  (1) The total amount of Class A Investor Charge-Offs:  $0.00 
          
  (2) The amount of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of Class A Investor Charge-Offs:  $0.00 
          
  (4) The amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class A Certificates exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
F) Information regarding distributions in respect of the Class B Certificates, per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution in respect of Class B Certificates:  $4.60 
          
  (2) The amount of the distribution in respect of Class B Monthly Interest:  $4.60 
          
  (3) The amount of the distribution in respect of Class B Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class B Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class B Certificates:  $0.00 

 

 

G) Amount of reductions in Class B Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Class B Invested Amount on such Distribution Date.     
        
  (1) The amount of reductions in Class B Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Class B Invested Amount:  $0.00 
          
  (2) The amount of the reductions in the Class B Invested Amount per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of such reductions in the Class B Invested Amount:  $0.00 
          
  (4) The amount reimbursed in respect of such reductions in the Class B Invested Amount, per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
H) Information regarding distributions on the Distribution Date to the Collateral Interest Holder.     
        
  (1) The total amount distributed to the Collateral Interest Holder:  $21,208,410.86 
          
  (2) The amount of the distribution in respect of Collateral Minimum Monthly Interest (including in respect of Collateral Senior Minimum Monthly Interest):  $495,142.48 
          
  (3) The amount of the distribution in respect of Collateral Senior Additional Interest (including in respect of Collateral Additional Interest):  $0.00 
          
  (4) The amount distributed to the Collateral Interest Holder in respect of principal on the Collateral Invested Amount:  $0.00 
          
  (5) The amount of the distribution to the Collateral Interest Holder in respect of remaining Excess Spread:  $20,713,268.38 
          
I) Amount of reductions in Collateral Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Collateral Invested Amount.     
        
  (1) The amount of reductions in the Collateral Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Collateral Invested Amount:  $0.00 
          
  (2) The total amount reimbursed in respect of such reductions in the Collateral Invested Amount:  $0.00 

 

 

J. Application of Reallocated Investor Finance Charge Collections      
         
  1. Class A Available Funds   $ 24,594,347.36  
             
    a. Class A Monthly Interest   $ 3,704,583.33  
    b. Class A Outstanding Monthly Interest   $ 0.00  
    c. Class A Additional Interest   $ 0.00  
    d. Class A Investor Default Amount (treated as Available Principal Collections)   $ 1,232,280.06  
    e. Excess Spread   $ 19,657,483.97  
               
  2. Class B Available Funds   $ 1,054,084.79  
             
    a. Class B Monthly Interest   $ 167,578.00  
    b. Class B Outstanding Monthly Interest   $ 0.00  
    c. Class B Additional Interest   $ 0.00  
    d. Excess Spread   $ 886,506.79  
               
  3. Collateral Available Funds   $ 2,459,521.54  
             
    a. Excess Spread   $ 2,459,521.54  
               
  4. Total Excess Spread   $ 23,003,512.30  
             
K. Reallocated Principal Collections      
         
  1. Principal Allocation Percentage   53.0144 %
           
  2. Series 2023-3 Allocable Principal Collections   $ 958,206,680.25  
             
  3. Principal Allocation Percentage of Series 2023-3 Allocable Principal Collections   $ 507,987,617.10  
             
  4. Reallocated Principal Collections Required to fund the Required Amount   $ 0.00  
             
  5. Item 3 minus Item 4   $ 507,987,617.10  
             
  6. Shared Principal Collections from other Series allocated to Series 2023-3   $ 0.00  
             
  7. Other amounts treated as Available Principal Collections:   $ 1,408,326.49  
             
  8. Available Principal Collections (total of items 5, 6 and 7)   $ 509,395,943.59  
             
L. Application of Available Principal Collections during Revolving Period      
         
  1. Collateral Invested Amount   $ 85,003,000.00  
             
  2. Required Collateral Invested Amount   $ 85,003,000.00  
             
  3. Excess of Collateral Invested Amount over Required Collateral Invested Amount   $ 0.00  
             
  4. Treated as Shared Principal Collections   $ 509,395,943.59  

 

 

M. Application of Principal Collections During Accumulation or Amortization Period     
        
  1. Principal Funding Account  $0.00 
          
  2. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
          
  3. Distribution of Principal  $0.00 
          
  4. Treated as Shared Principal Collections  $0.00 
          
N. Application of Excess Spread and Excess Finance Charge Collections Allocated to Series 2023-3     
        
  1. Excess Spread  $23,003,512.30 
  2. Excess Finance Charge Collections  $0.00 
  3. Applied to fund Class A Required Amount  $0.00 
  4. Class A Investor Charge-Offs treated as Available Principal Collections  $0.00 
  5. Applied to fund overdue Class B Interest  $0.00 
  6. Applied to fund Class B Required Amount  $52,814.07 
  7. Reduction of Class B Invested Amount treated as Available Principal Collections  $0.00 
  8. Applied to Collateral Senior Minimum Monthly Interest  $233,150.40 
  9. Applied to unpaid Monthly Servicing Fee  $1,619,055.01 
  10. Collateral Default Amount treated as Available Principal Collections  $123,232.36 
  11. Reduction of Collateral Invested Amount treated as Available Principal Collections  $0.00 
  12. Deposited to Reserve Account  $0.00 
  13. Applied to any remaining Collateral Minimum Monthly Interest  $261,992.08 
  14A. (a) Prior to a Note Trust Transfer, remaining Excess Spread applied as Excess Finance Charge Collections  $0.00 
    (b) Prior to a Note Trust Transfer, remaining Excess Spread distributed to the holders of the Transferor Certificates  $20,713,268.38 
  14B. Following a Note Trust Transfer, remaining Excess Spread distributed to Collateral Interest Holder(s)   N/A 
          
O.  Yield and Base Rate     
        
  1. Base Rate     
    a. Current Monthly Period   7.4976%
    b. Prior Monthly Period   7.2557%
    c. Second Prior Monthly Period   7.4976%
            
  2. Three Month Average Base Rate   7.4170%
          
  3. Series Adjusted Portfolio Yield     
    a. Current Monthly Period   33.4398%
    b. Prior Monthly Period   31.8121%
    c. Second Prior Monthly Period   33.3056%
            
  4. Three Month average Series Adjusted Portfolio Yield   32.8525%
          
  5. Is the 3 month average Series Adjusted Portfolio Yield more than the 3 month average Base Rate?    Yes 

 

 

P. Reassignment Amount    
       
  Adjusted Invested Amount  $971,433,000.00 
  Monthly Interest  $4,367,303.81 
  Monthly Interest previously due but not paid  $0.00 
  Additional Interest  $0.00 
  Additional Interest previously due but not paid  $0.00 
  Reassignment Amount  $975,800,303.81 

 

 

 

Series 2023-4 Certificates                                
                                 
A. Investor/Transferor Allocations     Series Allocations       Total Investor
Interest
      Transferors' Interest          
Beginning Invested Amount/Transferor Amount     1,832,394,252.69       971,433,000.00       860,961,252.69          
Beginning Adjusted Invested Amount     N/A       971,433,000.00       N/A          
Floating Allocation Percentage     N/A       53.0144 %     46.9856 %        
Principal Allocation Percentage     N/A       53.0144 %     46.9856 %        
Collections of Finance Charge Receivables     52,240,423.96       27,694,952.49       24,545,471.47          
Collections of Principal Receivables     958,206,680.25       507,987,617.10       450,219,063.15          
Defaulted Amount     2,656,497.54       1,408,326.49       1,248,171.05          
                                 
Ending Invested Amount / Transferor Amount     1,813,027,729.92       971,433,000.00       841,594,729.92          

 

B.  Monthly Period Funding Requirements     Class A       Class B       Collateral Interest       Total  
Principal Funding Account Balance     0.00       0.00       0.00       0.00  
Investment Proceeds for Monthly Period     0.00       0.00       0.00       0.00  
Required Reserve Account Amount     0.00       0.00       0.00       0.00  
Reserve Account Opening Balance     0.00       0.00       0.00       0.00  
Reserve Account Investment Proceeds retained per Section 4.12(b)     0.00       0.00       0.00       0.00  
Reserve Account Deposit     0.00       0.00       0.00       0.00  
Reserve Draw Amount     0.00       0.00       0.00       0.00  
Reserve Account Surplus (after giving effect to any principal distributions on the related Distribution Date)     0.00       0.00       0.00       0.00  
Reserve Account Closing Balance (after giving effect to any principal distributions and Reserve Account withdrawals on the related Distribution Date)     0.00       0.00       0.00       0.00  
                                 
Term SOFR Determination Date     N/A       N/A       N/A          
Coupon June 15, 2026 to July 14, 2026     5.15000 %     5.46000 %     7.13600 %        
Monthly Interest Due     3,647,916.67       165,756.50       505,484.51       4,319,157.68  
Outstanding Monthly Interest Due     0.00       0.00       0.00       0.00  
Additional Interest Due     0.00       0.00       0.00       0.00  
Total Interest Due     3,647,916.67       165,756.50       505,484.51       4,319,157.68  
Investor Default Amount     1,232,280.06       52,814.07       123,232.36       1,408,326.49  
Investor Monthly Fees Due     1,416,666.67       60,716.67       141,671.67       1,619,055.01  
Investor Additional Amounts Due     0.00       0.00       0.00       0.00  
Total Due     6,296,863.40       279,287.24       770,388.54       7,346,539.18  
                                 
Reallocated Investor Finance Charge Collections                             28,059,807.56  
Interest and Principal Funding Investment Proceeds                             0.00  
Interest on Reserve Account                             0.00  
Series Adjusted Portfolio Yield                             33.3795 %
Base Rate                             7.4373 %
Excess Spread Percentage                             25.5869 %

 

C. Certificates - Balances and Distributions   Class A     Class B     Collateral Interest     Total  
Beginning Certificates Balance     850,000,000.00       36,430,000.00       85,003,000.00       971,433,000.00  
Distributions of Interest     3,647,916.67       165,756.50       505,484.51       4,319,157.68  
Deposits to the Principal Funding Account     0.00       0.00       0.00       0.00  
Distributions of Principal     0.00       0.00       0.00       0.00  
Total Distributions     3,647,916.67       165,756.50       505,484.51       4,319,157.68  
Ending Certificates Balance     850,000,000.00       36,430,000.00       85,003,000.00       971,433,000.00  

 

 

 

D) Information regarding distributions on the Distribution Date in respect of the Class A Certificates per $1,000 original certificate principal amount.        
           
  (1) The total amount of the distribution:   $ 4.29  
             
  (2) The amount of the distribution in respect of Class A Monthly Interest:   $ 4.29  
             
  (3) The amount of the distribution in respect of Class A Outstanding Monthly Interest:   $ 0.00  
             
  (4) The amount of the distribution in respect of Class A Additional Interest:   $ 0.00  
             
  (5) The amount of the distribution in respect of principal of the Class A Certificates:   $ 0.00  
             
E) Class A Investor Charge-Offs and Reimbursement of Class A Investor Charge-Offs.        
           
  (1) The total amount of Class A Investor Charge-Offs:   $ 0.00  
             
(2) The amount of Class A Investor Charge- Offs per $1,000 original certificate principal amount:   $ 0.00  
             
  (3) The total amount reimbursed in respect of Class A Investor Charge-Offs:   $ 0.00  
             
  (4) The amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original certificate principal amount:   $ 0.00  
             
  (5) The amount, if any, by which the outstanding principal balance of the Class A Certificates exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date:   $ 0.00  
             
F) Information regarding distributions in respect of the Class B Certificates, per $1,000 original certificate principal amount.        
           
  (1) The total amount of the distribution in respect of Class B Certificates:   $ 4.55  
             
  (2) The amount of the distribution in respect of Class B Monthly Interest:   $ 4.55  
             
  (3) The amount of the distribution in respect of Class B Outstanding Monthly Interest:   $ 0.00  
             
  (4) The amount of the distribution in respect of Class B Additional Interest:   $ 0.00  
             
  (5) The amount of the distribution in respect of principal of the Class B Certificates:   $ 0.00  

 

 

(G) Amount of reductions in Class B Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Class B Invested Amount on such Distribution Date.    
        
  (1) The amount of reductions in Class B Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Class B Invested Amount:  $0.00 
          
  (2) The amount of the reductions in the Class B Invested Amount per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of such reductions in the Class B Invested Amount:  $0.00 
          
  (4) The amount reimbursed in respect of such reductions in the Class B Invested Amount, per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
H) Information regarding distributions on the Distribution Date to the Collateral Interest Holder.     
        
  (1) The total amount distributed to the Collateral  Interest Holder:  $21,218,752.89 
          
  (2) The amount of the distribution in respect of Collateral Minimum Monthly Interest (including in respect of Collateral Senior Minimum Monthly Interest):  $505,484.51 
          
  (3) The amount of the distribution in respect of Collateral Senior Additional Interest (including in respect of Collateral Additional Interest):  $0.00 
          
  (4) The amount distributed to the Collateral Interest Holder in respect of principal on the Collateral Invested Amount:  $0.00 
          
(5) The amount of the distribution to the Collateral Interest Holder in respect of remaining Excess Spread:  $20,713,268.38 
          
I) Amount of reductions in Collateral Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Collateral Invested Amount.     
        
(1) The amount of reductions in the Collateral Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Collateral Invested Amount:  $0.00 
          
(2) The total amount reimbursed in respect of such reductions in the Collateral Invested Amount:  $0.00 

 

 

J. Application of Reallocated Investor Finance Charge Collections     
        
  1. Class A Available Funds  $24,552,219.69 
          
    a. Class A Monthly Interest  $3,647,916.67 
    b. Class A Outstanding Monthly Interest  $0.00 
    c. Class A Additional Interest  $0.00 
    d. Class A Investor Default Amount (treated as Available Principal Collections)  $1,232,280.06 
    e. Excess Spread  $19,672,022.96 
          
  2. Class B Available Funds  $1,052,279.25 
          
    a. Class B Monthly Interest  $165,756.50 
    b. Class B Outstanding Monthly Interest  $0.00 
    c. Class B Additional Interest  $0.00 
    d. Excess Spread  $886,522.75 
          
  3. Collateral Available Funds  $2,455,308.62 
          
    a. Excess Spread  $2,455,308.62 
          
  4. Total Excess Spread  $23,013,854.33 
          
K.   Reallocated Principal Collections     
        
  1. Principal Allocation Percentage   53.0144% 
          
  2. Series 2023-4 Allocable Principal Collections  $958,206,680.25 
          
  3. Principal Allocation Percentage of Series 2023-4 Allocable Principal Collections  $507,987,617.10 
          
  4. Reallocated Principal Collections Required to fund the Required Amount  $0.00 
          
  5. Item 3 minus Item 4  $507,987,617.10 
          
  6. Shared Principal Collections from other Series allocated to Series 2023-4  $0.00
          
  7. Other amounts treated as Available Principal Collections:  $1,408,326.49 
          
  8. Available Principal Collections (total of items 5, 6 and 7)  $509,395,943.59 
          
L.  Application of Available Principal Collections during Revolving Period     
        
1. Collateral Invested Amount  $85,003,000.00 
          
2. Required Collateral Invested Amount  $85,003,000.00 
          
3. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
          
4. Treated as Shared Principal Collections $509,395,943.59

 

 

M. Application of Principal Collections During Accumulation or Amortization Period        
             
  1. Principal Funding Account   $ 0.00  
             
  2. Excess of Collateral Invested Amount over Required Collateral Invested Amount   $ 0.00  
             
  3. Distribution of Principal   $ 0.00  
             
  4.  Treated as Shared Principal Collections   $ 0.00  
             
N. Application of Excess Spread and Excess Finance Charge Collections Allocated to Series 2023-4    
        
  1. Excess Spread  $23,013,854.33 
  2. Excess Finance Charge Collections  $0.00 
  3. Applied to fund Class A Required Amount  $0.00 
  4. Class A Investor Charge-Offs treated as Available Principal Collections  $0.00 
  5. Applied to fund overdue Class B Interest  $0.00 
  6. Applied to fund Class B Required Amount  $52,814.07 
  7. Reduction of Class B Invested Amount treated as Available Principal Collections  $0.00 
  8. Applied to Collateral Senior Minimum Monthly Interest  $236,793.38 
  9. Applied to unpaid Monthly Servicing Fee  $1,619,055.01 
  10. Collateral Default Amount treated as Available Principal Collections  $123,232.36 
  11. Reduction of Collateral Invested Amount treated as Available Principal Collections  $0.00 
  12. Deposited to Reserve Account  $0.00 
  13. Applied to any remaining Collateral Minimum Monthly Interest  $268,691.13 
  14A. (a) Prior to a Note Trust Transfer, remaining Excess Spread applied as Excess Finance Charge Collections  $0.00 
    (b) Prior to a Note Trust Transfer, remaining Excess Spread distributed to the holders of the Transferor Certificates  $20,713,268.38 
          
  14B. Following a Note Trust Transfer, remaining Excess Spread distributed to Collateral Interest Holder(s)   N/A 
            
O. Yield and Base Rate    
            
  1. Base Rate     
          
    a. Current Monthly Period   7.4373%
    b. Prior Monthly Period   7.1974%
    c. Second Prior Monthly Period   7.4373%
            
  2. Three Month Average Base Rate   7.3573%
          
  3. Series Adjusted Portfolio Yield     
          
    a. Current Monthly Period   33.3795%
    b. Prior Monthly Period   31.7538%
    c. Second Prior Monthly Period   33.2453%
            
  4. Three Month average Series Adjusted Portfolio Yield   32.7929%
          
5. Is the 3 month average Series Adjusted Portfolio Yield more than the 3 month average Base Rate?   Yes 

 

 

P.   Reassignment Amount     
            
  Adjusted Invested Amount  $971,433,000.00 
  Monthly Interest  $4,319,157.68 
  Monthly Interest previously due but not paid  $0.00 
  Additional Interest  $0.00 
  Additional Interest previously due but not paid  $0.00 
  Reassignment Amount  $975,752,157.68 

 

 

Series 2024-1 Certificates

 

A. Investor/Transferor Allocations  Series Allocations   Total Investor
Interest
   Transferors' Interest     
Beginning Invested Amount/Transferor Amount   2,155,751,619.76    1,142,859,000.00    1,012,892,619.76      
Beginning Adjusted Invested Amount   N/A    1,142,859,000.00    N/A      
Floating Allocation Percentage   N/A    53.0144%   46.9856%     
Principal Allocation Percentage   N/A    53.0144%   46.9856%     
Collections of Finance Charge Receivables   61,459,142.00    32,582,201.46    28,876,940.54      
Collections of Principal Receivables   1,127,298,669.48    597,630,737.37    529,667,932.11      
Defaulted Amount   3,125,282.05    1,656,849.84    1,468,432.21      
                     
Ending Invested Amount / Transferor Amount   2,132,967,542.16    1,142,859,000.00    990,108,542.16      

 

B.  Monthly Period Funding Requirements  Class A   Class B   Collateral Interest   Total 
Principal Funding Account Balance   0.00    0.00    0.00    0.00 
Investment Proceeds for Monthly Period   0.00    0.00    0.00    0.00 
Required Reserve Account Amount   0.00    0.00    0.00    0.00 
Reserve Account Opening Balance   0.00    0.00    0.00    0.00 
Reserve Account Investment Proceeds retained per Section 4.12(b)   0.00    0.00    0.00    0.00 
Reserve Account Deposit   0.00    0.00    0.00    0.00 
Reserve Draw Amount   0.00    0.00    0.00    0.00 
Reserve Account Surplus (after giving effect to any principal distributions on the related Distribution Date)   0.00    0.00    0.00    0.00 
Reserve Account Closing Balance (after giving effect to any principal distributions and Reserve Account withdrawals on the related Distribution Date)   0.00    0.00    0.00    0.00 
                     
Term SOFR Determination Date   N/A    N/A    N/A      
Coupon June 15, 2026 to July 14, 2026   5.23000%   5.50000%   7.12500%     
Monthly Interest Due   4,358,333.33    196,432.50    593,755.94    5,148,521.77 
Outstanding Monthly Interest Due   0.00    0.00    0.00    0.00 
Additional Interest Due   0.00    0.00    0.00    0.00 
Total Interest Due   4,358,333.33    196,432.50    593,755.94    5,148,521.77 
Investor Default Amount   1,449,741.25    62,133.01    144,975.58    1,656,849.84 
Investor Monthly Fees Due   1,666,666.67    71,430.00    166,668.33    1,904,765.00 
Investor Additional Amounts Due   0.00    0.00    0.00    0.00 
Total Due   7,474,741.25    329,995.51    905,399.85    8,710,136.61 
                     
Reallocated Investor Finance Charge Collections                  33,078,616.15 
Interest and Principal Funding Investment Proceeds                  0.00 
Interest on Reserve Account                  0.00 
Series Adjusted Portfolio Yield                  33.4510%
Base Rate                  7.5088%
Excess Spread Percentage                  25.5869%

 

C. Certificates - Balances and Distributions   Class A     Class B     Collateral Interest     Total  
Beginning Certificates Balance     1,000,000,000.00       42,858,000.00       100,001,000.00       1,142,859,000.00  
Distributions of Interest     4,358,333.33       196,432.50       593,755.94       5,148,521.77  
Deposits to the Principal Funding Account     0.00       0.00       0.00       0.00  
Distributions of Principal     0.00       0.00       0.00       0.00  
Total Distributions     4,358,333.33       196,432.50       593,755.94       5,148,521.77  
Ending Certificates Balance     1,000,000,000.00       42,858,000.00       100,001,000.00       1,142,859,000.00  

 

 

D) Information regarding distributions on the Distribution Date in respect of the Class A Certificates per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution:  $4.36 
          
  (2) The amount of the distribution in respect of Class A Monthly Interest:  $4.36 
          
  (3) The amount of the distribution in respect of Class A Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class A Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class A Certificates:  $0.00 
          
E) Class A Investor Charge-Offs and Reimbursement of Class A Investor Charge-Offs.     
        
  (1) The total amount of Class A Investor Charge-Offs:  $0.00 
          
  (2) The amount of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of Class A Investor Charge-Offs:  $0.00 
          
  (4) The amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class A Certificates exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
F) Information regarding distributions in respect of the Class B Certificates, per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution in respect of Class B Certificates:  $4.58 
          
  (2) The amount of the distribution in respect of Class B Monthly Interest:  $4.58 
          
  (3) The amount of the distribution in respect of Class B Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class B Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class B Certificates:  $0.00 

 

 

G) Amount of reductions in Class B Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Class B Invested Amount on such Distribution Date.     
        
  (1) The amount of reductions in Class B Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Class B Invested Amount:  $0.00 
          
  (2) The amount of the reductions in the Class B Invested Amount per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of such reductions in the Class B Invested Amount:  $0.00 
          
  (4) The amount reimbursed in respect of such reductions in the Class B Invested Amount, per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
H) Information regarding distributions on the Distribution Date to the Collateral Interest Holder.     
        
  (1) The total amount distributed to the Collateral Interest Holder:  $24,962,235.48 
          
  (2) The amount of the distribution in respect of Collateral Minimum Monthly Interest (including in respect of Collateral Senior Minimum Monthly Interest):  $593,755.94 
          
  (3) The amount of the distribution in respect of Collateral Senior Additional Interest (including in respect of Collateral Additional Interest):  $0.00 
          
  (4) The amount distributed to the Collateral Interest Holder in respect of principal on the Collateral Invested Amount:  $0.00 
          
  (5) The amount of the distribution to the Collateral Interest Holder in respect of remaining Excess Spread:  $24,368,479.54 
          
I) Amount of reductions in Collateral Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Collateral Invested Amount.     
        
  (1) The amount of reductions in the Collateral Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Collateral Invested Amount:  $0.00 
          
  (2) The total amount reimbursed in respect of such reductions in the Collateral Invested Amount:  $0.00 

 

 

J. Application of Reallocated Investor Finance Charge Collections      
         
  1. Class A Available Funds   $ 28,943,742.10  
             
    a. Class A Monthly Interest   $ 4,358,333.33  
    b. Class A Outstanding Monthly Interest   $ 0.00  
    c. Class A Additional Interest   $ 0.00  
    d. Class A Investor Default Amount (treated as Available Principal Collections)   $ 1,449,741.25  
    e. Excess Spread   $ 23,135,667.52  
               
  2. Class B Available Funds   $ 1,240,470.90  
             
    a. Class B Monthly Interest   $ 196,432.50  
    b. Class B Outstanding Monthly Interest   $ 0.00  
    c. Class B Additional Interest   $ 0.00  
    d. Excess Spread   $ 1,044,038.40  
               
  3. Collateral Available Funds   $ 2,894,403.15  
             
    a. Excess Spread   $ 2,894,403.15  
               
  4. Total Excess Spread   $ 27,074,109.07  
             
K. Reallocated Principal Collections      
         
  1. Principal Allocation Percentage   53.0144 %
           
  2. Series 2024-1 Allocable Principal Collections   $ 1,127,298,669.48  
             
  3. Principal Allocation Percentage of Series 2024-1 Allocable Principal Collections   $ 597,630,737.37  
             
  4. Reallocated Principal Collections Required to fund the Required Amount   $ 0.00  
             
  5. Item 3 minus Item 4   $ 597,630,737.37  
             
  6. Shared Principal Collections from other Series allocated to Series 2024-1   $ 0.00  
             
  7. Other amounts treated as Available Principal Collections:   $ 1,656,849.84  
             
  8. Available Principal Collections (total of items 5, 6 and 7)   $ 599,287,587.21  
             
L. Application of Available Principal Collections during Revolving Period      
         
  1. Collateral Invested Amount   $ 100,001,000.00  
             
  2. Required Collateral Invested Amount   $ 100,001,000.00  
             
  3. Excess of Collateral Invested Amount over Required Collateral Invested Amount   $ 0.00  
             
  4. Treated as Shared Principal Collections   $ 599,287,587.21  

 

 

M. Application of Principal Collections During Accumulation or Amortization Period     
        
  1. Principal Funding Account  $0.00 
          
  2. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
          
  3. Distribution of Principal  $0.00 
          
  4. Treated as Shared Principal Collections  $0.00 
          
N. Application of Excess Spread and Excess Finance Charge Collections Allocated to Series 2024-1     
        
  1. Excess Spread  $27,074,109.07 
  2. Excess Finance Charge Collections  $0.00 
  3. Applied to fund Class A Required Amount  $0.00 
  4. Class A Investor Charge-Offs treated as Available Principal Collections  $0.00 
  5. Applied to fund overdue Class B Interest  $0.00 
  6. Applied to fund Class B Required Amount  $62,133.01 
  7. Reduction of Class B Invested Amount treated as Available Principal Collections  $0.00 
  8. Applied to Collateral Senior Minimum Monthly Interest  $284,762.62 
  9. Applied to unpaid Monthly Servicing Fee  $1,904,765.00 
  10. Collateral Default Amount treated as Available Principal Collections  $144,975.58 
  11. Reduction of Collateral Invested Amount treated as Available Principal Collections  $0.00 
  12. Deposited to Reserve Account  $0.00 
  13. Applied to any remaining Collateral Minimum Monthly Interest  $308,993.32 
  14A. (a) Prior to a Note Trust Transfer, remaining Excess Spread applied as Excess Finance Charge Collections  $0.00 
    (b) Prior to a Note Trust Transfer, remaining Excess Spread distributed to the holders of the Transferor Certificates  $24,368,479.54 
  14B. Following a Note Trust Transfer, remaining Excess Spread distributed to Collateral Interest Holder(s)   N/A 
          
O.  Yield and Base Rate     
        
  1. Base Rate     
          
    a. Current Monthly Period   7.5088%
    b. Prior Monthly Period   7.2666%
    c. Second Prior Monthly Period   7.5088%
            
  2. Three Month Average Base Rate   7.4281%
          
  3. Series Adjusted Portfolio Yield     
          
    a. Current Monthly Period   33.4510%
    b. Prior Monthly Period   31.8230%
    c. Second Prior Monthly Period   33.3168%
            
  4. Three Month average Series Adjusted Portfolio Yield   32.8636%
          
  5. Is the 3 month average Series Adjusted Portfolio Yield more than the 3 month average Base Rate?    Yes 

 

 

P. Reassignment Amount    
       
  Adjusted Invested Amount  $1,142,859,000.00 
  Monthly Interest  $5,148,521.77 
  Monthly Interest previously due but not paid  $0.00 
  Additional Interest  $0.00 
  Additional Interest previously due but not paid  $0.00 
  Reassignment Amount  $1,148,007,521.77 

 

 

 

 

Series 2024-2 Certificates

 

A. Investor/Transferor Allocations  Series Allocations   Total Investor
Interest
   Transferors' Interest     
Beginning Invested Amount/Transferor Amount   2,155,751,619.76    1,142,859,000.00    1,012,892,619.76      
Beginning Adjusted Invested Amount   N/A    1,142,859,000.00    N/A      
Floating Allocation Percentage   N/A    53.0144%   46.9856%     
Principal Allocation Percentage   N/A    53.0144%   46.9856%     
Collections of Finance Charge Receivables   61,459,142.00    32,582,201.46    28,876,940.54      
Collections of Principal Receivables   1,127,298,669.48    597,630,737.37    529,667,932.11      
Defaulted Amount   3,125,282.05    1,656,849.84    1,468,432.21      
                     
Ending Invested Amount / Transferor Amount   2,132,967,542.16    1,142,859,000.00    990,108,542.16      
                     
B. Monthly Period Funding Requirements  Class A   Class B   Collateral Interest   Total 
Principal Funding Account Balance   0.00    0.00    0.00    0.00 
Investment Proceeds for Monthly Period   0.00    0.00    0.00    0.00 
Required Reserve Account Amount   0.00    0.00    0.00    0.00 
Reserve Account Opening Balance   0.00    0.00    0.00    0.00 
Reserve Account Investment Proceeds retained per Section 4.12(b)   0.00    0.00    0.00    0.00 
Reserve Account Deposit   0.00    0.00    0.00    0.00 
Reserve Draw Amount   0.00    0.00    0.00    0.00 
Reserve Account Surplus (after giving effect to any principal distributions on the related Distribution Date)   0.00    0.00    0.00    0.00 
Reserve Account Closing Balance (after giving effect to any principal distributions and Reserve Account withdrawals on the related Distribution Date)   0.00    0.00    0.00    0.00 
                     
Term SOFR Determination Date   N/A    N/A    N/A      
Coupon June 15, 2026 to July 14, 2026   5.24000%   5.51000%   7.24500%     
Monthly Interest Due   4,366,666.67    196,789.65    603,756.04    5,167,212.36 
Outstanding Monthly Interest Due   0.00    0.00    0.00    0.00 
Additional Interest Due   0.00    0.00    0.00    0.00 
Total Interest Due   4,366,666.67    196,789.65    603,756.04    5,167,212.36 
Investor Default Amount   1,449,741.25    62,133.01    144,975.58    1,656,849.84 
Investor Monthly Fees Due   1,666,666.67    71,430.00    166,668.33    1,904,765.00 
Investor Additional Amounts Due   0.00    0.00    0.00    0.00 
Total Due   7,483,074.59    330,352.66    915,399.95    8,728,827.20 
                     
Reallocated Investor Finance Charge Collections                  33,097,306.74 
Interest and Principal Funding Investment Proceeds                  0.00 
Interest on Reserve Account                  0.00 
Series Adjusted Portfolio Yield                  33.4709%
Base Rate                  7.5287%
Excess Spread Percentage                  25.5869%
                     
C. Certificates - Balances and Distributions  Class A   Class B   Collateral Interest   Total 
Beginning Certificates Balance   1,000,000,000.00    42,858,000.00    100,001,000.00    1,142,859,000.00 
Distributions of Interest   4,366,666.67    196,789.65    603,756.04    5,167,212.36 
Deposits to the Principal Funding Account   0.00    0.00    0.00    0.00 
Distributions of Principal   0.00    0.00    0.00    0.00 
Total Distributions   4,366,666.67    196,789.65    603,756.04    5,167,212.36 
Ending Certificates Balance   1,000,000,000.00    42,858,000.00    100,001,000.00    1,142,859,000.00 

 

 

D) Information regarding distributions on the Distribution Date in respect of the Class A Certificates per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution:  $4.37 
          
  (2) The amount of the distribution in respect of Class A Monthly Interest:  $4.37 
          
  (3) The amount of the distribution in respect of Class A Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class A Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class A Certificates:  $0.00 
          
E) Class A Investor Charge-Offs and Reimbursement of Class A Investor Charge-Offs.     
        
  (1) The total amount of Class A Investor Charge-Offs:  $0.00 
          
  (2) The amount of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of Class A Investor Charge-Offs:  $0.00 
          
  (4) The amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class A Certificates exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
F) Information regarding distributions in respect of the Class B Certificates, per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution in respect of Class B Certificates:  $4.59 
          
  (2) The amount of the distribution in respect of Class B Monthly Interest:  $4.59 
          
  (3) The amount of the distribution in respect of Class B Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class B Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class B Certificates:  $0.00 

 

 

G) Amount of reductions in Class B Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Class B Invested Amount on such Distribution Date.     
        
  (1) The amount of reductions in Class B Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Class B Invested Amount:  $0.00 
          
  (2) The amount of the reductions in the Class B Invested Amount per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of such reductions in the Class B Invested Amount:  $0.00 
          
  (4) The amount reimbursed in respect of such reductions in the Class B Invested Amount, per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
H) Information regarding distributions on the Distribution Date to the Collateral Interest Holder.     
        
  (1) The total amount distributed to the Collateral Interest Holder:  $24,972,235.58 
          
  (2) The amount of the distribution in respect of Collateral Minimum Monthly Interest (including in respect of Collateral Senior Minimum Monthly Interest):  $603,756.04 
          
  (3) The amount of the distribution in respect of Collateral Senior Additional Interest (including in respect of Collateral Additional Interest):  $0.00 
          
  (4) The amount distributed to the Collateral Interest Holder in respect of principal on the Collateral Invested Amount:  $0.00 
          
  (5) The amount of the distribution to the Collateral Interest Holder in respect of remaining Excess Spread:  $24,368,479.54 
          
I) Amount of reductions in Collateral Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Collateral Invested Amount.     
        
  (1) The amount of reductions in the Collateral Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Collateral Invested Amount:  $0.00 
          
  (2) The total amount reimbursed in respect of such reductions in the Collateral Invested Amount:  $0.00 

 

 

J. Application of Reallocated Investor Finance Charge Collections     
            
  1. Class A Available Funds  $28,960,096.34 
          
    a. Class A Monthly Interest  $4,366,666.67 
    b. Class A Outstanding Monthly Interest  $0.00 
    c. Class A Additional Interest  $0.00 
    d. Class A Investor Default Amount (treated as Available Principal Collections)  $1,449,741.25 
    e. Excess Spread  $23,143,688.42 
            
  2. Class B Available Funds  $1,241,171.81 
          
    a. Class B Monthly Interest  $196,789.65 
    b. Class B Outstanding Monthly Interest  $0.00 
    c. Class B Additional Interest  $0.00 
    d. Excess Spread  $1,044,382.16 
            
  3. Collateral Available Funds  $2,896,038.59 
          
    a. Excess Spread  $2,896,038.59 
            
  4. Total Excess Spread  $27,084,109.17 
          
K. Reallocated Principal Collections     
        
  1. Principal Allocation Percentage   53.0144%
          
  2. Series 2024-2 Allocable Principal Collections  $1,127,298,669.48 
          
  3. Principal Allocation Percentage of Series 2024-2 Allocable Principal Collections  $597,630,737.37 
          
  4. Reallocated Principal Collections Required to fund the Required Amount  $0.00 
          
  5. Item 3 minus Item 4  $597,630,737.37 
          
  6. Shared Principal Collections from other Series allocated to Series 2024-2  $0.00 
          
  7. Other amounts treated as Available Principal Collections:  $1,656,849.84 
          
  8. Available Principal Collections (total of items 5, 6 and 7)  $599,287,587.21 
          
L. Application of Available Principal Collections during Revolving Period     
        
  1. Collateral Invested Amount  $100,001,000.00 
          
  2. Required Collateral Invested Amount  $100,001,000.00 
          
  3. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
          
  4. Treated as Shared Principal Collections  $599,287,587.21 

 

 

M. Application of Principal Collections During Accumulation or Amortization Period     
        
  1. Principal Funding Account  $0.00 
          
  2. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
          
  3. Distribution of Principal  $0.00 
          
  4. Treated as Shared Principal Collections  $0.00 
          
N. Application of Excess Spread and Excess Finance Charge Collections Allocated to Series 2024-2     
          
  1. Excess Spread  $27,084,109.17 
  2. Excess Finance Charge Collections  $0.00 
  3. Applied to fund Class A Required Amount  $0.00 
  4. Class A Investor Charge-Offs treated as Available Principal Collections  $0.00 
  5. Applied to fund overdue Class B Interest  $0.00 
  6. Applied to fund Class B Required Amount  $62,133.01 
  7. Reduction of Class B Invested Amount treated as Available Principal Collections  $0.00 
  8. Applied to Collateral Senior Minimum Monthly Interest  $290,476.92 
  9. Applied to unpaid Monthly Servicing Fee  $1,904,765.00 
  10. Collateral Default Amount treated as Available Principal Collections  $144,975.58 
  11. Reduction of Collateral Invested Amount treated as Available Principal Collections  $0.00 
  12. Deposited to Reserve Account  $0.00 
  13. Applied to any remaining Collateral Minimum Monthly Interest  $313,279.12 
  14A.  (a) Prior to a Note Trust Transfer, remaining Excess Spread applied as Excess Finance Charge Collections  $0.00 
    (b) Prior to a Note Trust Transfer, remaining Excess Spread distributed to the holders of the Transferor Certificates  $24,368,479.54 
  14B.  Following a Note Trust Transfer, remaining Excess Spread distributed to Collateral Interest Holder(s)   N/A 
          
O. Yield and Base Rate     
          
  1. Base Rate     
    a. Current Monthly Period   7.5287%
    b. Prior Monthly Period   7.2858%
    c. Second Prior Monthly Period   7.5287%
          
  2. Three Month Average Base Rate   7.4477%
          
  3. Series Adjusted Portfolio Yield     
    a. Current Monthly Period   

33.4709

%
    b. Prior Monthly Period   31.8422%
    c. Second Prior Monthly Period   33.3367%
            
  4. Three Month average Series Adjusted Portfolio Yield   32.8833%
          
  5. Is the 3 month average Series Adjusted Portfolio Yield more than the 3 month average Base Rate?   Yes 

 

 

P. Reassignment Amount    
       
  Adjusted Invested Amount  $1,142,859,000.00 
  Monthly Interest  $5,167,212.36 
  Monthly Interest previously due but not paid  $0.00 
  Additional Interest  $0.00 
  Additional Interest previously due but not paid  $0.00 
  Reassignment Amount  $1,148,026,212.36 

 

 

Series 2024-3 Certificates

 

A. Investor/Transferor Allocations  Series Allocations   Total Investor
Interest
   Transferors' Interest     
Beginning Invested Amount/Transferor Amount   2,586,906,093.53    1,371,433,000.00    1,215,473,093.53      
Beginning Adjusted Invested Amount   N/A    1,371,433,000.00    N/A      
Floating Allocation Percentage   N/A    53.0144%   46.9856%     
Principal Allocation Percentage   N/A    53.0144%   46.9856%     
Collections of Finance Charge Receivables   73,751,088.71    39,098,704.47    34,652,384.24      
Collections of Principal Receivables   1,352,760,573.42    717,158,035.28    635,602,538.14      
Defaulted Amount   3,750,344.48    1,988,223.00    1,762,121.48      
Ending Invested Amount / Transferor Amount   2,559,565,156.55    1,371,433,000.00    1,188,132,156.55      
                     
B.  Monthly Period Funding Requirements   Class A    Class B    Collateral Interest    Total 
Principal Funding Account Balance   0.00    0.00    0.00    0.00 
Investment Proceeds for Monthly Period   0.00    0.00    0.00    0.00 
Required Reserve Account Amount   0.00    0.00    0.00    0.00 
Reserve Account Opening Balance   0.00    0.00    0.00    0.00 
Reserve Account Investment Proceeds retained per Section 4.12(b)   0.00    0.00    0.00    0.00 
Reserve Account Deposit   0.00    0.00    0.00    0.00 
Reserve Draw Amount   0.00    0.00    0.00    0.00 
Reserve Account Surplus (after giving effect to any principal distributions on the related Distribution Date)   0.00    0.00    0.00    0.00 
Reserve Account Closing Balance (after giving effect to any principal distributions and Reserve Account withdrawals on the related Distribution Date)   0.00    0.00    0.00    0.00 
Term SOFR Determination Date   N/A    N/A    N/A      
Coupon June 15, 2026 to July 14, 2026   4.65000%   5.08000%   6.55000%     
Monthly Interest Due   4,650,000.00    217,720.33    655,016.38    5,522,736.71 
Outstanding Monthly Interest Due   0.00    0.00    0.00    0.00 
Additional Interest Due   0.00    0.00    0.00    0.00 
Total Interest Due   4,650,000.00    217,720.33    655,016.38    5,522,736.71 
Investor Default Amount   1,739,689.51    74,560.19    173,973.30    1,988,223.00 
Investor Monthly Fees Due   2,000,000.00    85,716.67    200,005.00    2,285,721.67 
Investor Additional Amounts Due   0.00    0.00    0.00    0.00 
Total Due   8,389,689.51    377,997.19    1,028,994.68    9,796,681.38 
Reallocated Investor Finance Charge Collections                  39,038,903.73 
Interest and Principal Funding Investment Proceeds                  0.00 
Interest on Reserve Account                  0.00 
Series Adjusted Portfolio Yield                  32.8695%
Base Rate                  6.9273%
Excess Spread Percentage                  25.5869%
                     
C. Certificates - Balances and Distributions   Class A    Class B    Collateral Interest    Total 
Beginning Certificates Balance   1,200,000,000.00    51,430,000.00    120,003,000.00    1,371,433,000.00 
Distributions of Interest   4,650,000.00    217,720.33    655,016.38    5,522,736.71 
Deposits to the Principal Funding Account   0.00    0.00    0.00    0.00 
Distributions of Principal   0.00    0.00    0.00    0.00 
Total Distributions   4,650,000.00    217,720.33    655,016.38    5,522,736.71 
Ending Certificates Balance   1,200,000,000.00    51,430,000.00    120,003,000.00    1,371,433,000.00 

 

 

D) Information regarding distributions on the Distribution Date in respect of the Class A Certificates per $1,000 original certificate principal amount. 
    
  (1) The total amount of the distribution:  $3.88 
         
  (2) The amount of the distribution in respect of Class A Monthly Interest:  $3.88 
         
  (3) The amount of the distribution in respect of Class A Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class A Additional Interest:  $0.00 
         
  (5) The amount of the distribution in respect of principal of the Class A Certificates:  $0.00 

 

E) Class A Investor Charge-Offs and Reimbursement of Class A Investor Charge-Offs.    
         
  (1) The total amount of Class A Investor Charge-Offs:  $0.00 
          
  (2) The amount of Class A Investor Charge- Offs per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of Class A Investor Charge-Offs:  $0.00 
          
  (4) The amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class A Certificates exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 

 

F) Information regarding distributions in respect of the Class B Certificates, per $1,000 original certificate principal amount.    
         
  (1) The total amount of the distribution in respect of Class B Certificates:  $4.23 
          
  (2) The amount of the distribution in respect of Class B Monthly Interest:  $4.23 
          
  (3) The amount of the distribution in respect of Class B Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class B Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class B Certificates:  $0.00 

 

 

G) Amount of reductions in Class B Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Class B Invested Amount on such Distribution Date.     
          
  (1)  The amount of reductions in Class B Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Class B Invested Amount:  $0.00 
          
  (2) The amount of the reductions in the Class B Invested Amount per $1,000 original certificate principal amount:  $0.00 
          
  (3)  The total amount reimbursed in respect of such reductions in the Class B Invested Amount:  $0.00 
          
  (4) The amount reimbursed in respect of such reductions in the Class B Invested Amount, per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 

 

H) Information regarding distributions on the Distribution Date to the Collateral Interest Holder.    
         
  (1) The total amount distributed to the Collateral Interest Holder:  $29,897,238.73 
          
  (2) The amount of the distribution in respect of Collateral Minimum Monthly Interest (including in respect of Collateral Senior Minimum Monthly Interest):  $655,016.38 
          
  (3) The amount of the distribution in respect of Collateral Senior Additional Interest (including in respect of Collateral Additional Interest):  $0.00 
          
  (4) The amount distributed to the Collateral Interest Holder in respect of principal on the Collateral Invested Amount:  $0.00 
          
  (5) The amount of the distribution to the Collateral Interest Holder in respect of remaining Excess Spread:  $29,242,222.35 
          
I) Amount of reductions in Collateral Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Collateral Invested Amount.     
          
  (1) The amount of reductions in the Collateral Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Collateral Invested Amount:  $0.00 
          
  (2) The total amount reimbursed in respect of such reductions in the Collateral Invested Amount:  $0.00 

 

 

J. Application of Reallocated Investor Finance Charge Collections     
            
  1. Class A Available Funds  $34,158,930.46 
          
    a. Class A Monthly Interest  $4,650,000.00 
    b. Class A Outstanding Monthly Interest  $0.00 
    c. Class A Additional Interest  $0.00 
    d. Class A Investor Default Amount (treated as Available Principal Collections)  $1,739,689.51 
    e. Excess Spread  $27,769,240.95 
            
  2. Class B Available Funds  $1,463,994.83 
            
    a. Class B Monthly Interest  $217,720.33 
    b. Class B Outstanding Monthly Interest  $0.00 
    c. Class B Additional Interest  $0.00 
    d. Excess Spread  $1,246,274.50 
            
  3. Collateral Available Funds  $3,415,978.44 
            
    a. Excess Spread  $3,415,978.44 
            
  4. Total Excess Spread  $32,431,493.89 
  
K. Reallocated Principal Collections    
         
  1. Principal Allocation Percentage   53.0144%
          
  2. Series 2024-3 Allocable Principal Collections  $1,352,760,573.42 
          
  3. Principal Allocation Percentage of Series 2024-3 Allocable Principal Collections  $717,158,035.28 
          
  4. Reallocated Principal Collections Required to fund the Required Amount  $0.00 
          
  5. Item 3 minus Item 4  $717,158,035.28 
          
  6. Shared Principal Collections from other Series allocated to Series 2024-3  $0.00 
          
  7. Other amounts treated as Available Principal Collections:  $1,988,223.00 
          
  8. Available Principal Collections (total of items 5, 6 and 7)  $719,146,258.28 
  
L. Application of Available Principal Collections during Revolving Period    
         
  1. Collateral Invested Amount  $120,003,000.00 
          
  2. Required Collateral Invested Amount  $120,003,000.00 
          
  3. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
          
  4. Treated as Shared Principal Collections  $719,146,258.28 

 

 

M. Application of Principal Collections During Accumulation or Amortization Period    
         
  1. Principal Funding Account  $0.00 
          
  2. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
          
  3. Distribution of Principal  $0.00 
          
  4. Treated as Shared Principal Collections  $0.00 
            
N. Application of Excess Spread and Excess Finance Charge Collections Allocated to Series 2024-3    
         
  1. Excess Spread  $32,431,493.89 
  2. Excess Finance Charge Collections  $0.00 
  3. Applied to fund Class A Required Amount  $0.00 
  4. Class A Investor Charge-Offs treated as Available Principal Collections  $0.00 
  5. Applied to fund overdue Class B Interest  $0.00 
  6. Applied to fund Class B Required Amount  $74,560.19 
  7. Reduction of Class B Invested Amount treated as Available Principal Collections  $0.00 
  8. Applied to Collateral Senior Minimum Monthly Interest  $304,006.97 
  9. Applied to unpaid Monthly Servicing Fee  $2,285,721.67 
  10. Collateral Default Amount treated as Available Principal Collections  $173,973.30 
  11. Reduction of Collateral Invested Amount treated as Available Principal Collections  $0.00 
  12. Deposited to Reserve Account  $0.00 
  13. Applied to any remaining Collateral Minimum Monthly Interest  $351,009.41 
  14A. (a) Prior to a Note Trust Transfer, remaining Excess Spread applied as Excess Finance Charge Collections  $0.00 
    (b) Prior to a Note Trust Transfer, remaining Excess Spread distributed to the holders of the Transferor Certificates  $29,242,222.35 
  14B. Following a Note Trust Transfer, remaining Excess Spread distributed to Collateral Interest Holder(s)   N/A 
  
O. Yield and Base Rate    
       
  1. Base Rate    
    a. Current Monthly Period   6.9273%
    b. Prior Monthly Period   6.7038%
    c. Second Prior Monthly Period   6.9273%
            
  2. Three Month Average Base Rate   6.8528%
          
  3. Series Adjusted Portfolio Yield     
    a. Current Monthly Period   32.8695%
    b. Prior Monthly Period   31.2602%
    c. Second Prior Monthly Period   32.7353%
            
  4. Three Month average Series Adjusted Portfolio Yield   32.2883%
          
  5. Is the 3 month average Series Adjusted Portfolio Yield more than the 3 month average Base Rate?   Yes 

 

 

P. Reassignment Amount    
       
  Adjusted Invested Amount  $1,371,433,000.00 
  Monthly Interest  $5,522,736.71 
  Monthly Interest previously due but not paid  $0.00 
  Additional Interest  $0.00 
  Additional Interest previously due but not paid  $0.00 
  Reassignment Amount  $1,376,955,736.71 

 

 

 

 

Series 2025-1 Certificates

 

A. Investor/Transferor Allocations  Series Allocations   Total Investor
Interest
   Transferors' Interest     
Beginning Invested Amount/Transferor Amount   3,018,047,363.34    1,600,000,000.00    1,418,047,363.34      
Beginning Adjusted Invested Amount   N/A    1,600,000,000.00    N/A      
Floating Allocation Percentage   N/A    53.0144%   46.9856%     
Principal Allocation Percentage   N/A    53.0144%   46.9856%     
Collections of Finance Charge Receivables   86,042,658.98    45,615,007.92    40,427,651.06      
Collections of Principal Receivables   1,578,215,572.67    836,681,672.71    741,533,899.96      
Defaulted Amount   4,375,387.76    2,319,586.00    2,055,801.76      
                     
Ending Invested Amount / Transferor Amount   2,986,149,706.54    1,600,000,000.00    1,386,149,706.54      
                     
B.  Monthly Period Funding Requirements   Class A    Class B    Collateral Interest    Total 
Principal Funding Account Balance   0.00    0.00    0.00    0.00 
Investment Proceeds for Monthly Period   0.00    0.00    0.00    0.00 
Required Reserve Account Amount   0.00    0.00    0.00    0.00 
Reserve Account Opening Balance   0.00    0.00    0.00    0.00 
Reserve Account Investment Proceeds retained per Section 4.12(b)   0.00    0.00    0.00    0.00 
Reserve Account Deposit   0.00    0.00    0.00    0.00 
Reserve Draw Amount   0.00    0.00    0.00    0.00 
Reserve Account Surplus (after giving effect to any principal distributions on the related Distribution Date)   0.00    0.00    0.00    0.00 
Reserve Account Closing Balance (after giving effect to any principal distributions and Reserve Account withdrawals on the related Distribution Date)   0.00    0.00    0.00    0.00 
                     
Term SOFR Determination Date   N/A    N/A    N/A      
Coupon June 15, 2026 to July 14, 2026   4.56000%   4.96000%   6.01500%     
Monthly Interest Due   5,320,000.00    248,000.00    701,750.00    6,269,750.00 
Outstanding Monthly Interest Due   0.00    0.00    0.00    0.00 
Additional Interest Due   0.00    0.00    0.00    0.00 
Total Interest Due   5,320,000.00    248,000.00    701,750.00    6,269,750.00 
Investor Default Amount   2,029,637.75    86,984.48    202,963.77    2,319,586.00 
Investor Monthly Fees Due   2,333,333.33    100,000.00    233,333.33    2,666,666.66 
Investor Additional Amounts Due   0.00    0.00    0.00    0.00 
Total Due   9,682,971.08    434,984.48    1,138,047.10    11,256,002.66 
                     
Reallocated Investor Finance Charge Collections                  45,371,818.57 
Interest and Principal Funding Investment Proceeds                  0.00 
Interest on Reserve Account                  0.00 
Series Adjusted Portfolio Yield                  32.7376%
Base Rate                  6.7954%
Excess Spread Percentage                  25.5869%
                     
C. Certificates - Balances and Distributions   Class A    Class B    Collateral Interest    Total 
Beginning Certificates Balance   1,400,000,000.00    60,000,000.00    140,000,000.00    1,600,000,000.00 
Distributions of Interest   5,320,000.00    248,000.00    701,750.00    6,269,750.00 
Deposits to the Principal Funding Account   0.00    0.00    0.00    0.00 
Distributions of Principal   0.00    0.00    0.00    0.00 
Total Distributions   5,320,000.00    248,000.00    701,750.00    6,269,750.00 
Ending Certificates Balance   1,400,000,000.00    60,000,000.00    140,000,000.00    1,600,000,000.00 

 

 

D) Information regarding distributions on the Distribution Date in respect of the Class A Certificates per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution:  $3.80 
          
  (2) The amount of the distribution in respect of Class A Monthly Interest:  $3.80 
          
  (3) The amount of the distribution in respect of Class A Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class A Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class A Certificates:  $0.00 
          
E) Class A Investor Charge-Offs and Reimbursement of Class A Investor Charge-Offs.     
        
  (1) The total amount of Class A Investor Charge-Offs:  $0.00 
          
  (2) The amount of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of Class A Investor Charge-Offs:  $0.00 
          
  (4) The amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class A Certificates exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
F) Information regarding distributions in respect of the Class B Certificates, per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution in respect of Class B Certificates:  $4.13 
          
  (2) The amount of the distribution in respect of Class B Monthly Interest:  $4.13 
          
  (3) The amount of the distribution in respect of Class B Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class B Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class B Certificates:  $0.00 

 

 

G) Amount of reductions in Class B Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Class B Invested Amount on such Distribution Date.        
           
  (1) The amount of reductions in Class B Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Class B Invested Amount:   $ 0.00  
           
  (2) The amount of the reductions in the Class B Invested Amount per $1,000 original certificate principal amount:    $ 0.00  
           
  (3) The total amount reimbursed in respect of such reductions in the Class B Invested Amount:    $ 0.00  
           
  (4) The amount reimbursed in respect of such reductions in the Class B Invested Amount, per $1,000 original certificate principal amount:   $ 0.00  
           
  (5) The amount, if any, by which the outstanding principal balance of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date:   $ 0.00   
           
H) Information regarding distributions on the Distribution Date to the Collateral Interest Holder.        
           
  (1) The total amount distributed to the Collateral Interest Holder:   $ 34,817,565.91  
           
  (2) The amount of the distribution in respect of Collateral Minimum Monthly Interest (including in respect of Collateral Senior Minimum Monthly Interest):   $ 701,750.00  
           
  (3) The amount of the distribution in respect of Collateral Senior Additional Interest (including in respect of Collateral Additional Interest):   $ 0.00  
           
  (4) The amount distributed to the Collateral Interest Holder in respect of principal on the Collateral Invested Amount:    $ 0.00  
           
  (5) The amount of the distribution to the Collateral Interest Holder in respect of remaining Excess Spread:    $ 34,115,815.91  
           
I) Amount of reductions in Collateral Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Collateral Invested Amount.        
           
  (1) The amount of reductions in the Collateral Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Collateral Invested Amount:    $ 0.00   
           
  (2) The total amount reimbursed in respect of such reductions in the Collateral Invested Amount:    $ 0.00  

 

 

J. Application of Reallocated Investor Finance Charge Collections        
             
  1. Class A Available Funds   $ 39,700,341.25  
             
    a. Class A Monthly Interest   $ 5,320,000.00  
    b. Class A Outstanding Monthly Interest   $ 0.00  
    c. Class A Additional Interest   $ 0.00  
    d. Class A Investor Default Amount (treated as Available Principal Collections)   $ 2,029,637.75  
    e. Excess Spread   $ 32,350,703.50  
               
  2. Class B Available Funds   $ 1,701,443.20  
             
    a. Class B Monthly Interest   $ 248,000.00  
    b. Class B Outstanding Monthly Interest   $ 0.00  
    c. Class B Additional Interest   $ 0.00  
    d. Excess Spread   $ 1,453,443.20  
               
  3. Collateral Available Funds   $ 3,970,034.12  
             
    a. Excess Spread   $ 3,970,034.12  
               
  4. Total Excess Spread   $ 37,774,180.82  
             
K. Reallocated Principal Collections        
           
  1. Principal Allocation Percentage     53.0144 %
             
  2. Series 2025-1 Allocable Principal Collections   $ 1,578,215,572.67  
             
  3. Principal Allocation Percentage of Series 2025-1 Allocable Principal Collections   $ 836,681,672.71  
             
  4. Reallocated Principal Collections Required to fund the Required Amount   $ 0.00  
             
  5. Item 3 minus Item 4   $ 836,681,672.71  
             
  6. Shared Principal Collections from other Series allocated to Series 2025-1   $ 0.00  
             
  7. Other amounts treated as Available Principal Collections:   $ 2,319,586.00  
             
  8. Available Principal Collections (total of items 5, 6 and 7)        
        $ 839,001,258.71  
L. Application of Available Principal Collections during Revolving Period        
           
  1. Collateral Invested Amount   $ 140,000,000.00  
             
  2. Required Collateral Invested Amount   $ 140,000,000.00  
             
  3. Excess of Collateral Invested Amount over Required Collateral Invested Amount   $ 0.00  
             
  4. Treated as Shared Principal Collections   $ 839,001,258.71  

 

 

M. Application of Principal Collections During Accumulation or Amortization Period
   
 1. Principal Funding Account  $0.00 
         
 2. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
         
 3. Distribution of Principal  $0.00 
         
 4. Treated as Shared Principal Collections  $0.00 
         
N.Application of Excess Spread and Excess Finance Charge Collections Allocated to Series 2025-1     
       
 1. Excess Spread  $37,774,180.82 
 2. Excess Finance Charge Collections  $0.00 
 3. Applied to fund Class A Required Amount  $0.00 
 4. Class A Investor Charge-Offs treated as Available Principal Collections  $0.00 
 5. Applied to fund overdue Class B Interest  $0.00 
 6. Applied to fund Class B Required Amount  $86,984.48 
 7. Reduction of Class B Invested Amount treated as Available Principal Collections  $0.00 
 8. Applied to Collateral Senior Minimum Monthly Interest  $356,666.67 
 9. Applied to unpaid Monthly Servicing Fee  $2,666,666.66 
 10. Collateral Default Amount treated as Available Principal Collections  $202,963.77 
 11. Reduction of Collateral Invested Amount treated as Available Principal Collections  $0.00 
 12. Deposited to Reserve Account  $0.00 
 13. Applied to any remaining Collateral Minimum Monthly Interest  $345,083.33 
 14A. (a) Prior to a Note Trust Transfer, remaining Excess Spread applied as Excess Finance Charge Collections  $0.00 
   (b) Prior to a Note Trust Transfer, remaining Excess Spread distributed to the holders of the Transferor Certificates  $34,115,815.91 
 14B. Following a Note Trust Transfer, remaining Excess Spread distributed to Collateral Interest Holder(s)   N/A 
         
O.Yield and Base Rate     
       
 1. Base Rate     
   a. Current Monthly Period   6.7954%
   b. Prior Monthly Period   6.5762%
   c. Second Prior Monthly Period   6.7954%
           
 2. Three Month Average Base Rate   6.7223%
         
 3. Series Adjusted Portfolio Yield     
   a. Current Monthly Period   32.7376%
   b. Prior Monthly Period   31.1326%
   c. Second Prior Monthly Period   32.6034%
           
 4. Three Month average Series Adjusted Portfolio Yield   32.1579%
         
 5. Is the 3 month average Series Adjusted Portfolio Yield more than the 3 month average Base Rate?   Yes 

 

 

P. Reassignment Amount    
  Adjusted Invested Amount  $1,600,000,000.00 
  Monthly Interest  $6,269,750.00 
  Monthly Interest previously due but not paid  $0.00 
  Additional Interest  $0.00 
  Additional Interest previously due but not paid  $0.00 
  Reassignment Amount  $1,606,269,750.00 

 

 

Series 2025-2 Certificates

 

A. Investor/Transferor Allocations  Series Allocations   Total Investor 
Interest
   Transferors' Interest     
Beginning Invested Amount/Transferor Amount   3,233,624,600.22    1,714,287,000.00    1,519,337,600.22      
Beginning Adjusted Invested Amount   N/A    1,714,287,000.00    N/A      
Floating Allocation Percentage   N/A    53.0144%   46.9856%     
Principal Allocation Percentage   N/A    53.0144%   46.9856%     
Collections of Finance Charge Receivables   92,188,632.33    48,873,259.42    43,315,372.91      
Collections of Principal Receivables   1,690,946,524.64    896,445,321.66    794,501,202.98      
Defaulted Amount   4,687,918.97    2,485,272.58    2,202,646.39      
                     
Ending Invested Amount / Transferor Amount   3,199,448,513.73    1,714,287,000.00    1,485,161,513.73      
                     
B.  Monthly Period Funding Requirements   Class A    Class B    Collateral Interest    Total 
Principal Funding Account Balance   0.00    0.00    0.00    0.00 
Investment Proceeds for Monthly Period   0.00    0.00    0.00    0.00 
Required Reserve Account Amount   0.00    0.00    0.00    0.00 
Reserve Account Opening Balance   0.00    0.00    0.00    0.00 
Reserve Account Investment Proceeds retained per Section 4.12(b)   0.00    0.00    0.00    0.00 
Reserve Account Deposit   0.00    0.00    0.00    0.00 
Reserve Draw Amount   0.00    0.00    0.00    0.00 
Reserve Account Surplus (after giving effect to any principal distributions on the related Distribution Date)   0.00    0.00    0.00    0.00 
Reserve Account Closing Balance (after giving effect to any principal distributions and Reserve Account withdrawals on the related Distribution Date)   0.00    0.00    0.00    0.00 
                     
Term SOFR Determination Date   N/A    N/A    N/A      
Coupon June 15, 2026 to July 14, 2026   4.28000%   4.59000%   6.18600%     
Monthly Interest Due   5,350,000.00    245,893.95    773,255.16    6,369,149.11 
Outstanding Monthly Interest Due   0.00    0.00    0.00    0.00 
Additional Interest Due   0.00    0.00    0.00    0.00 
Total Interest Due   5,350,000.00    245,893.95    773,255.16    6,369,149.11 
Investor Default Amount   2,174,611.88    93,198.07    217,462.63    2,485,272.58 
Investor Monthly Fees Due   2,500,000.00    107,143.33    250,001.67    2,857,145.00 
Investor Additional Amounts Due   0.00    0.00    0.00    0.00 
Total Due   10,024,611.88    446,235.35    1,240,719.46    11,711,566.69 
                     
Reallocated Investor Finance Charge Collections                  48,264,254.01 
Interest and Principal Funding Investment Proceeds                  0.00 
Interest on Reserve Account                  0.00 
Series Adjusted Portfolio Yield                  32.4903%
Base Rate                  6.5481%
Excess Spread Percentage                  25.5869%
                     
C. Certificates - Balances and Distributions   Class A    Class B    Collateral Interest    Total 
Beginning Certificates Balance   1,500,000,000.00    64,286,000.00    150,001,000.00    1,714,287,000.00 
Distributions of Interest   5,350,000.00    245,893.95    773,255.16    6,369,149.11 
Deposits to the Principal Funding Account   0.00    0.00    0.00    0.00 
Distributions of Principal   0.00    0.00    0.00    0.00 
Total Distributions   5,350,000.00    245,893.95    773,255.16    6,369,149.11 
Ending Certificates Balance   1,500,000,000.00    64,286,000.00    150,001,000.00    1,714,287,000.00 

 

 

D) Information regarding distributions on the Distribution Date in respect of the Class A Certificates per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution:  $3.57 
          
  (2) The amount of the distribution in respect of Class A Monthly Interest:  $3.57 
          
  (3) The amount of the distribution in respect of Class A Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class A Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class A Certificates:  $0.00 
          
E) Class A Investor Charge-Offs and Reimbursement of Class A Investor Charge-Offs.     
        
  (1) The total amount of Class A Investor Charge-Offs:  $0.00 
          
  (2) The amount of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of Class A Investor Charge-Offs:  $0.00 
          
  (4) The amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class A Certificates exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
F) Information regarding distributions in respect of the Class B Certificates, per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution in respect of Class B Certificates:  $3.83 
          
  (2) The amount of the distribution in respect of Class B Monthly Interest:  $3.83 
          
  (3) The amount of the distribution in respect of Class B Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class B Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class B Certificates:  $0.00 

 

 

G) Amount of reductions in Class B Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Class B Invested Amount on such Distribution Date.     
        
  (1) The amount of reductions in Class B Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Class B Invested Amount:  $0.00 
          
  (2) The amount of the reductions in the Class B Invested Amount per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of such reductions in the Class B Invested Amount:  $0.00 
          
  (4) The amount reimbursed in respect of such reductions in the Class B Invested Amount, per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
H) Information regarding distributions on the Distribution Date to the Collateral Interest Holder.     
        
  (1) The total amount distributed to the Collateral Interest Holder:  $37,325,942.48 
          
  (2) The amount of the distribution in respect of Collateral Minimum Monthly Interest (including in respect of Collateral Senior Minimum Monthly Interest):  $773,255.16 
          
  (3) The amount of the distribution in respect of Collateral Senior Additional Interest (including in respect of Collateral Additional Interest):  $0.00 
          
  (4) The amount distributed to the Collateral Interest Holder in respect of principal on the Collateral Invested Amount:  $0.00 
          
  (5) The amount of the distribution to the Collateral Interest Holder in respect of remaining Excess Spread:  $36,552,687.32 
          
I) Amount of reductions in Collateral Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Collateral Invested Amount.     
        
  (1) The amount of reductions in the Collateral Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Collateral Invested Amount:  $0.00 
          
  (2) The total amount reimbursed in respect of such reductions in the Collateral Invested Amount:  $0.00 

 

 

J. Application of Reallocated Investor Finance Charge Collections    
          
1.  Class A Available Funds  $42,231,190.59 
           
     a. Class A Monthly Interest  $5,350,000.00 
     b. Class A Outstanding Monthly Interest  $0.00 
     c. Class A Additional Interest  $0.00 
     d. Class A Investor Default Amount (treated as Available Principal Collections)  $2,174,611.88 
     e. Excess Spread  $34,706,578.71 
           
  2.  Class B Available Funds  $1,809,916.21 
           
     a. Class B Monthly Interest  $245,893.95 
     b. Class B Outstanding Monthly Interest  $0.00 
     c. Class B Additional Interest  $0.00 
     d. Excess Spread  $1,564,022.26 
           
  3.  Collateral Available Funds  $4,223,147.21 
           
     a. Excess Spread  $4,223,147.21 
           
  4.  Total Excess Spread  $40,493,748.18 
           
K.  Reallocated Principal Collections     
      
  1.  Principal Allocation Percentage   53.0144%
           
  2.  Series 2025-2 Allocable Principal Collections  $1,690,946,524.64 
           
  3.  Principal Allocation Percentage of Series 2025-2 Allocable Principal Collections  $896,445,321.66 
           
  4.  Reallocated Principal Collections     
           
     Required to fund the Required Amount  $0.00 
           
  5.  Item 3 minus Item 4  $896,445,321.66 
           
  6.  Shared Principal Collections from other Series allocated to Series 2025-2  $0.00 
           
  7.  Other amounts treated as Available Principal Collections:  $2,485,272.58 
           
  8.  Available Principal Collections (total of items 5, 6 and 7)  $898,930,594.24 
           
L. Application of Available Principal Collections during Revolving Period     
      
  1.  Collateral Invested Amount  $150,001,000.00 
           
  2.  Required Collateral Invested Amount  $150,001,000.00 
           
  3.  Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
           
  4.  Treated as Shared Principal Collections  $898,930,594.24 

 

 

M. Application of Principal Collections During Accumulation or Amortization Period        
           
  1. Principal Funding Account   $ 0.00  
             
  2. Excess of Collateral Invested Amount over Required Collateral Invested Amount   $ 0.00  
             
  3. Distribution of Principal   $ 0.00  
             
  4. Treated as Shared Principal Collections   $ 0.00  
             
N. Application of Excess Spread and Excess Finance Charge Collections Allocated to Series 2025-2        
           
  1. Excess Spread   $ 40,493,748.18  
  2. Excess Finance Charge Collections   $ 0.00  
  3. Applied to fund Class A Required Amount   $ 0.00  
  4. Class A Investor Charge-Offs treated as Available Principal Collections   $ 0.00  
  5. Applied to fund overdue Class B Interest   $ 0.00  
  6. Applied to fund Class B Required Amount   $ 93,198.07  
  7. Reduction of Class B Invested Amount treated as Available Principal Collections   $ 0.00  
  8. Applied to Collateral Senior Minimum Monthly Interest   $ 362,860.17  
  9. Applied to unpaid Monthly Servicing Fee   $ 2,857,145.00  
  10. Collateral Default Amount treated as Available Principal Collections   $ 217,462.63  
  11. Reduction of Collateral Invested Amount treated as Available Principal Collections   $ 0.00  
  12. Deposited to Reserve Account   $ 0.00  
  13. Applied to any remaining Collateral Minimum Monthly Interest   $ 410,394.99  
  14A. (a) Prior to a Note Trust Transfer, remaining Excess Spread applied as Excess Finance Charge Collections   $ 0.00  
    (b) Prior to a Note Trust Transfer, remaining Excess Spread distributed to the holders of the Transferor Certificates   $ 36,552,687.32  
  14B. Following a Note Trust Transfer, remaining Excess Spread distributed to Collateral Interest Holder(s)     N/A  
             
O. Yield and Base Rate        
           
  1. Base Rate        
    a. Current Monthly Period     6.5481 %
    b. Prior Monthly Period     6.3369 %
    c. Second Prior Monthly Period     6.5481 %
               
  2. Three Month Average Base Rate     6.4777 %
             
  3. Series Adjusted Portfolio Yield        
    a. Current Monthly Period     32.4903 %
    b. Prior Monthly Period     30.8933 %
    c. Second Prior Monthly Period     32.3561 %
               
  4. Three Month average Series Adjusted Portfolio Yield     31.9132 %
             
  5. Is the 3 month average Series Adjusted Portfolio Yield more than the 3 month average Base Rate?     Yes  

 

 

P. Reassignment Amount    
       
  Adjusted Invested Amount  $1,714,287,000.00 
  Monthly Interest  $6,369,149.11 
  Monthly Interest previously due but not paid  $0.00 
  Additional Interest  $0.00 
  Additional Interest previously due but not paid  $0.00 
  Reassignment Amount  $1,720,656,149.11 

 

 

 

Series 2025-3 Certificates

 

A. Investor/Transferor Allocations  Series Allocations   Total Investor
Interest
   Transferors' Interest     
Beginning Invested Amount/Transferor Amount   2,155,751,619.76    1,142,859,000.00    1,012,892,619.76      
Beginning Adjusted Invested Amount   N/A    1,142,859,000.00    N/A      
Floating Allocation Percentage   N/A    53.0144%   46.9856%     
Principal Allocation Percentage   N/A    53.0144%   46.9856%     
Collections of Finance Charge Receivables   61,459,142.00    32,582,201.46    28,876,940.54      
Collections of Principal Receivables   1,127,298,669.48    597,630,737.37    529,667,932.11      
Defaulted Amount   3,125,282.05    1,656,849.84    1,468,432.21      
                     
Ending Invested Amount / Transferor Amount   2,132,967,542.16    1,142,859,000.00    990,108,542.16      

 

B.  Monthly Period Funding Requirements  Class A   Class B   Collateral Interest   Total 
Principal Funding Account Balance   0.00    0.00    0.00    0.00 
Investment Proceeds for Monthly Period   0.00    0.00    0.00    0.00 
Required Reserve Account Amount   0.00    0.00    0.00    0.00 
Reserve Account Opening Balance   0.00    0.00    0.00    0.00 
Reserve Account Investment Proceeds retained per Section 4.12(b)   0.00    0.00    0.00    0.00 
Reserve Account Deposit   0.00    0.00    0.00    0.00 
Reserve Draw Amount   0.00    0.00    0.00    0.00 
Reserve Account Surplus (after giving effect to any principal distributions on the related Distribution Date)   0.00    0.00    0.00    0.00 
Reserve Account Closing Balance (after giving effect to any principal distributions and Reserve Account withdrawals on the related Distribution Date)   0.00    0.00    0.00    0.00 
                     
Term SOFR Determination Date   N/A    N/A    N/A      
Coupon June 15, 2026 to July 14, 2026   4.51000%   4.83000%   6.51500%     
Monthly Interest Due   3,758,333.33    172,503.45    542,922.10    4,473,758.88 
Outstanding Monthly Interest Due   0.00    0.00    0.00    0.00 
Additional Interest Due   0.00    0.00    0.00    0.00 
Total Interest Due   3,758,333.33    172,503.45    542,922.10    4,473,758.88 
Investor Default Amount   1,449,741.25    62,133.01    144,975.58    1,656,849.84 
Investor Monthly Fees Due   1,666,666.67    71,430.00    166,668.33    1,904,765.00 
Investor Additional Amounts Due   0.00    0.00    0.00    0.00 
Total Due   6,874,741.25    306,066.46    854,566.01    8,035,373.72 
                     
Reallocated Investor Finance Charge Collections                  32,403,853.26 
Interest and Principal Funding Investment Proceeds                  0.00 
Interest on Reserve Account                  0.00 
Series Adjusted Portfolio Yield                  32.7327%
Base Rate                  6.7905%
Excess Spread Percentage                  25.5869%

 

C. Certificates - Balances and Distributions  Class A   Class B   Collateral Interest   Total 
Beginning Certificates Balance   1,000,000,000.00    42,858,000.00    100,001,000.00    1,142,859,000.00 
Distributions of Interest   3,758,333.33    172,503.45    542,922.10    4,473,758.88 
Deposits to the Principal Funding Account   0.00    0.00    0.00    0.00 
Distributions of Principal   0.00    0.00    0.00    0.00 
Total Distributions   3,758,333.33    172,503.45    542,922.10    4,473,758.88 
Ending Certificates Balance   1,000,000,000.00    42,858,000.00    100,001,000.00    1,142,859,000.00 

 

 

D) Information regarding distributions on the Distribution Date in respect of the Class A Certificates per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution:  $3.76 
          
  (2) The amount of the distribution in respect of Class A Monthly Interest:  $3.76 
          
  (3) The amount of the distribution in respect of Class A Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class A Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class A Certificates:  $0.00 
          
E) Class A Investor Charge-Offs and Reimbursement of Class A Investor Charge-Offs.     
        
  (1) The total amount of Class A Investor Charge-Offs:  $0.00 
          
  (2) The amount of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of Class A Investor Charge-Offs:  $0.00 
          
  (4) The amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class A Certificates exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
F) Information regarding distributions in respect of the Class B Certificates, per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution in respect of Class B Certificates:  $4.03 
          
  (2) The amount of the distribution in respect of Class B Monthly Interest:  $4.03 
          
  (3) The amount of the distribution in respect of Class B Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class B Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class B Certificates:  $0.00 

 

 

G) Amount of reductions in Class B Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Class B Invested Amount on such Distribution Date.     
        
  (1) The amount of reductions in Class B Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Class B Invested Amount:  $0.00 
          
  (2) The amount of the reductions in the Class B Invested Amount per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of such reductions in the Class B Invested Amount:  $0.00 
          
  (4) The amount reimbursed in respect of such reductions in the Class B Invested Amount, per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
H) Information regarding distributions on the Distribution Date to the Collateral Interest Holder.     
        
  (1) The total amount distributed to the Collateral Interest Holder:  $24,911,401.65 
          
  (2) The amount of the distribution in respect of Collateral Minimum Monthly Interest (including in respect of Collateral Senior Minimum Monthly Interest):  $542,922.10 
          
  (3) The amount of the distribution in respect of Collateral Senior Additional Interest (including in respect of Collateral Additional Interest):  $0.00 
          
  (4) The amount distributed to the Collateral Interest Holder in respect of principal on the Collateral Invested Amount:  $0.00 
          
  (5) The amount of the distribution to the Collateral Interest Holder in respect of remaining Excess Spread:  $24,368,479.55 
          
I) Amount of reductions in Collateral Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Collateral Invested Amount.     
        
  (1) The amount of reductions in the Collateral Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Collateral Invested Amount:  $0.00 
          
  (2) The total amount reimbursed in respect of such reductions in the Collateral Invested Amount:  $0.00 

 

 

J. Application of Reallocated Investor Finance Charge Collections      
         
  1. Class A Available Funds   $ 28,353,325.53  
             
    a. Class A Monthly Interest   $ 3,758,333.33  
    b. Class A Outstanding Monthly Interest   $ 0.00  
    c. Class A Additional Interest   $ 0.00  
    d. Class A Investor Default Amount (treated as Available Principal Collections)   $ 1,449,741.25  
    e. Excess Spread   $ 23,145,250.95  
               
  2. Class B Available Funds   $ 1,215,166.83  
             
    a. Class B Monthly Interest   $ 172,503.45  
    b. Class B Outstanding Monthly Interest   $ 0.00  
    c. Class B Additional Interest   $ 0.00  
    d. Excess Spread   $ 1,042,663.38  
               
  3. Collateral Available Funds   $ 2,835,360.91  
             
    a. Excess Spread   $ 2,835,360.91  
               
  4. Total Excess Spread   $ 27,023,275.24  
             
K. Reallocated Principal Collections      
         
  1. Principal Allocation Percentage   53.0144 %
           
  2. Series 2025-3 Allocable Principal Collections   $ 1,127,298,669.48  
             
  3. Principal Allocation Percentage of Series 2025-3 Allocable Principal Collections   $ 597,630,737.37  
             
  4. Reallocated Principal Collections Required to fund the Required Amount   $ 0.00  
             
  5. Item 3 minus Item 4   $ 597,630,737.37  
             
  6. Shared Principal Collections from other Series allocated to Series 2025-3   $ 0.00  
             
  7. Other amounts treated as Available Principal Collections:   $ 1,656,849.84  
             
  8. Available Principal Collections (total of items 5, 6 and 7)   $ 599,287,587.21  
             
L. Application of Available Principal Collections during Revolving Period      
         
  1. Collateral Invested Amount   $ 100,001,000.00  
             
  2. Required Collateral Invested Amount   $ 100,001,000.00  
             
  3. Excess of Collateral Invested Amount over Required Collateral Invested Amount   $ 0.00  
             
  4. Treated as Shared Principal Collections   $ 599,287,587.21  

 

 

M. Application of Principal Collections During Accumulation or Amortization Period     
        
  1. Principal Funding Account  $0.00 
          
  2. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
          
  3. Distribution of Principal  $0.00 
          
  4. Treated as Shared Principal Collections  $0.00 
          
N. Application of Excess Spread and Excess Finance Charge Collections Allocated to Series 2025-3     
        
  1. Excess Spread  $27,023,275.24 
  2. Excess Finance Charge Collections  $0.00 
  3. Applied to fund Class A Required Amount  $0.00 
  4. Class A Investor Charge-Offs treated as Available Principal Collections  $0.00 
  5. Applied to fund overdue Class B Interest  $0.00 
  6. Applied to fund Class B Required Amount  $62,133.01 
  7. Reduction of Class B Invested Amount treated as Available Principal Collections  $0.00 
  8. Applied to Collateral Senior Minimum Monthly Interest  $255,714.93 
  9. Applied to unpaid Monthly Servicing Fee  $1,904,765.00 
  10. Collateral Default Amount treated as Available Principal Collections  $144,975.58 
  11. Reduction of Collateral Invested Amount treated as Available Principal Collections  $0.00 
  12. Deposited to Reserve Account  $0.00 
  13. Applied to any remaining Collateral Minimum Monthly Interest  $287,207.17 
  14A. (a) Prior to a Note Trust Transfer, remaining Excess Spread applied as Excess Finance Charge Collections  $0.00 
    (b) Prior to a Note Trust Transfer, remaining Excess Spread distributed to the holders of the Transferor Certificates  $24,368,479.55 
  14B. Following a Note Trust Transfer, remaining Excess Spread distributed to Collateral Interest Holder(s)   N/A 
          
O.  Yield and Base Rate     
        
  1. Base Rate     
    a. Current Monthly Period   6.7905%
    b. Prior Monthly Period   6.5714%
    c. Second Prior Monthly Period   6.7905%
            
  2. Three Month Average Base Rate   6.7174%
          
  3. Series Adjusted Portfolio Yield     
    a. Current Monthly Period   32.7327%
    b. Prior Monthly Period   31.1278%
    c. Second Prior Monthly Period   32.5985%
            
  4. Three Month average Series Adjusted Portfolio Yield   32.1530%
          
  5. Is the 3 month average Series Adjusted Portfolio Yield more than the 3 month average Base Rate?    Yes 

 

 

P. Reassignment Amount    
       
  Adjusted Invested Amount  $1,142,859,000.00 
  Monthly Interest  $4,473,758.88 
  Monthly Interest previously due but not paid  $0.00 
  Additional Interest  $0.00 
  Additional Interest previously due but not paid  $0.00 
  Reassignment Amount  $1,147,332,758.88 

 

 

Series 2025-4 Certificates

 

A. Investor/Transferor Allocations  Series Allocations   Total Investor
Interest
   Transferors' Interest     
Beginning Invested Amount/Transferor Amount   3,233,624,600.22    1,714,287,000.00    1,519,337,600.22      
Beginning Adjusted Invested Amount   N/A    1,714,287,000.00    N/A      
Floating Allocation Percentage   N/A    53.0144%   46.9856%     
Principal Allocation Percentage   N/A    53.0144%   46.9856%     
Collections of Finance Charge Receivables   92,188,632.33    48,873,259.42    43,315,372.91      
Collections of Principal Receivables   1,690,946,524.64    896,445,321.66    794,501,202.98      
Defaulted Amount   4,687,918.97    2,485,272.58    2,202,646.39      
                     
Ending Invested Amount / Transferor Amount   3,199,448,513.73    1,714,287,000.00    1,485,161,513.73      
                     
B. Monthly Period Funding Requirements  Class A   Class B   Collateral Interest   Total 
Principal Funding Account Balance   0.00    0.00    0.00    0.00 
Investment Proceeds for Monthly Period   0.00    0.00    0.00    0.00 
Required Reserve Account Amount   0.00    0.00    0.00    0.00 
Reserve Account Opening Balance   0.00    0.00    0.00    0.00 
Reserve Account Investment Proceeds retained per Section 4.12(b)   0.00    0.00    0.00    0.00 
Reserve Account Deposit   0.00    0.00    0.00    0.00 
Reserve Draw Amount   0.00    0.00    0.00    0.00 
Reserve Account Surplus (after giving effect to any principal distributions on the related Distribution Date)   0.00    0.00    0.00    0.00 
Reserve Account Closing Balance (after giving effect to any principal distributions and Reserve Account withdrawals on the related Distribution Date)   0.00    0.00    0.00    0.00 
                     
Term SOFR Determination Date   N/A    N/A    N/A      
Coupon June 15, 2026 to July 14, 2026   4.30000%   4.69000%   6.24200%     
Monthly Interest Due   5,375,000.00    251,251.12    780,255.20    6,406,506.32 
Outstanding Monthly Interest Due   0.00    0.00    0.00    0.00 
Additional Interest Due   0.00    0.00    0.00    0.00 
Total Interest Due   5,375,000.00    251,251.12    780,255.20    6,406,506.32 
Investor Default Amount   2,174,611.88    93,198.07    217,462.63    2,485,272.58 
Investor Monthly Fees Due   2,500,000.00    107,143.33    250,001.67    2,857,145.00 
Investor Additional Amounts Due   0.00    0.00    0.00    0.00 
Total Due   10,049,611.88    451,592.52    1,247,719.50    11,748,923.90 
                     
Reallocated Investor Finance Charge Collections                  48,301,611.22 
Interest and Principal Funding Investment Proceeds                  0.00 
Interest on Reserve Account                  0.00 
Series Adjusted Portfolio Yield                  32.5168%
Base Rate                  6.5746%
Excess Spread Percentage                  25.5869%
                     
C. Certificates - Balances and Distributions  Class A   Class B   Collateral Interest   Total 
Beginning Certificates Balance   1,500,000,000.00    64,286,000.00    150,001,000.00    1,714,287,000.00 
Distributions of Interest   5,375,000.00    251,251.12    780,255.20    6,406,506.32 
Deposits to the Principal Funding Account   0.00    0.00    0.00    0.00 
Distributions of Principal   0.00    0.00    0.00    0.00 
Total Distributions   5,375,000.00    251,251.12    780,255.20    6,406,506.32 
Ending Certificates Balance   1,500,000,000.00    64,286,000.00    150,001,000.00    1,714,287,000.00 

 

 

D) Information regarding distributions on the Distribution Date in respect of the Class A Certificates per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution:  $3.58 
          
  (2) The amount of the distribution in respect of Class A Monthly Interest:  $3.58 
          
  (3) The amount of the distribution in respect of Class A Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class A Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class A Certificates:  $0.00 
          
E) Class A Investor Charge-Offs and Reimbursement of Class A Investor Charge-Offs.     
        
  (1) The total amount of Class A Investor Charge-Offs:  $0.00 
          
  (2) The amount of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of Class A Investor Charge-Offs:  $0.00 
          
  (4) The amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class A Certificates exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
F) Information regarding distributions in respect of the Class B Certificates, per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution in respect of Class B Certificates:  $3.91 
          
  (2) The amount of the distribution in respect of Class B Monthly Interest:  $3.91 
          
  (3) The amount of the distribution in respect of Class B Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class B Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class B Certificates:  $0.00 

 

 

G) Amount of reductions in Class B Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Class B Invested Amount on such Distribution Date.     
        
  (1) The amount of reductions in Class B Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Class B Invested Amount:  $0.00 
          
  (2) The amount of the reductions in the Class B Invested Amount per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of such reductions in the Class B Invested Amount:  $0.00 
          
  (4) The amount reimbursed in respect of such reductions in the Class B Invested Amount, per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
H) Information regarding distributions on the Distribution Date to the Collateral Interest Holder.     
        
  (1) The total amount distributed to the Collateral Interest Holder:  $37,332,942.52 
          
  (2) The amount of the distribution in respect of Collateral Minimum Monthly Interest (including in respect of Collateral Senior Minimum Monthly Interest):  $780,255.20 
          
  (3) The amount of the distribution in respect of Collateral Senior Additional Interest (including in respect of Collateral Additional Interest):  $0.00 
          
  (4) The amount distributed to the Collateral Interest Holder in respect of principal on the Collateral Invested Amount:  $0.00 
          
  (5) The amount of the distribution to the Collateral Interest Holder in respect of remaining Excess Spread:  $36,552,687.32 
          
I) Amount of reductions in Collateral Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Collateral Invested Amount.     
        
  (1) The amount of reductions in the Collateral Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Collateral Invested Amount:  $0.00 
          
  (2) The total amount reimbursed in respect of such reductions in the Collateral Invested Amount:  $0.00 

 

 

J. Application of Reallocated Investor Finance Charge Collections      
         
  1. Class A Available Funds   $ 42,263,878.12  
             
    a. Class A Monthly Interest   $ 5,375,000.00  
    b. Class A Outstanding Monthly Interest   $ 0.00  
    c. Class A Additional Interest   $ 0.00  
    d. Class A Investor Default Amount (treated as Available Principal Collections)   $ 2,174,611.88  
    e. Excess Spread   $ 34,714,266.24  
               
  2. Class B Available Funds   $ 1,811,317.11  
             
    a. Class B Monthly Interest   $ 251,251.12  
    b. Class B Outstanding Monthly Interest   $ 0.00  
    c. Class B Additional Interest   $ 0.00  
    d. Excess Spread   $ 1,560,065.99  
               
  3. Collateral Available Funds   $ 4,226,415.99  
             
    a. Excess Spread   $ 4,226,415.99  
               
  4. Total Excess Spread   $ 40,500,748.22  
             
K. Reallocated Principal Collections      
         
  1. Principal Allocation Percentage   53.0144 %
           
  2. Series 2025-4 Allocable Principal Collections   $ 1,690,946,524.64  
             
  3. Principal Allocation Percentage of Series 2025-4 Allocable Principal Collections   $ 896,445,321.66  
             
  4. Reallocated Principal Collections Required to fund the Required Amount   $ 0.00  
             
  5. Item 3 minus Item 4   $ 896,445,321.66  
             
  6. Shared Principal Collections from other Series allocated to Series 2025-4   $ 0.00  
             
  7. Other amounts treated as Available Principal Collections:   $ 2,485,272.58  
             
  8. Available Principal Collections (total of items 5, 6 and 7)   $ 898,930,594.24  
             
L. Application of Available Principal Collections during Revolving Period      
         
  1. Collateral Invested Amount   $ 150,001,000.00  
             
  2. Required Collateral Invested Amount   $ 150,001,000.00  
             
  3. Excess of Collateral Invested Amount over Required Collateral Invested Amount   $ 0.00  
             
  4. Treated as Shared Principal Collections   $ 898,930,594.24  

 

 

M. Application of Principal Collections During Accumulation or Amortization Period     
        
  1. Principal Funding Account  $0.00 
          
  2. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
          
  3. Distribution of Principal  $0.00 
          
  4. Treated as Shared Principal Collections  $0.00 
          
N. Application of Excess Spread and Excess Finance Charge Collections Allocated to Series 2025-4     
        
  1. Excess Spread  $40,500,748.22 
  2. Excess Finance Charge Collections  $0.00 
  3. Applied to fund Class A Required Amount  $0.00 
  4. Class A Investor Charge-Offs treated as Available Principal Collections  $0.00 
  5. Applied to fund overdue Class B Interest  $0.00 
  6. Applied to fund Class B Required Amount  $93,198.07 
  7. Reduction of Class B Invested Amount treated as Available Principal Collections  $0.00 
  8. Applied to Collateral Senior Minimum Monthly Interest  $362,860.17 
  9. Applied to unpaid Monthly Servicing Fee  $2,857,145.00 
  10. Collateral Default Amount treated as Available Principal Collections  $217,462.63 
  11. Reduction of Collateral Invested Amount treated as Available Principal Collections  $0.00 
  12. Deposited to Reserve Account  $0.00 
  13. Applied to any remaining Collateral Minimum Monthly Interest  $417,395.03 
  14A. (a) Prior to a Note Trust Transfer, remaining Excess Spread applied as Excess Finance Charge Collections  $0.00 
    (b) Prior to a Note Trust Transfer, remaining Excess Spread distributed to the holders of the Transferor Certificates  $36,552,687.32 
  14B. Following a Note Trust Transfer, remaining Excess Spread distributed to Collateral Interest Holder(s)   N/A 
          
O.  Yield and Base Rate     
        
  1. Base Rate     
    a. Current Monthly Period   6.5746%
    b. Prior Monthly Period   6.3625%
    c. Second Prior Monthly Period   6.5746%
            
  2. Three Month Average Base Rate   6.5039%
          
  3. Series Adjusted Portfolio Yield     
    a. Current Monthly Period   32.5168%
    b. Prior Monthly Period   30.9189%
    c. Second Prior Monthly Period   32.3826%
            
  4. Three Month average Series Adjusted Portfolio Yield   31.9395%
          
  5. Is the 3 month average Series Adjusted Portfolio Yield more than the 3 month average Base Rate?    Yes 

 

 

P. Reassignment Amount    
       
  Adjusted Invested Amount  $1,714,287,000.00 
  Monthly Interest  $6,406,506.32 
  Monthly Interest previously due but not paid  $0.00 
  Additional Interest  $0.00 
  Additional Interest previously due but not paid  $0.00 
  Reassignment Amount  $1,720,693,506.32 

 

 

Series 2025-5 Certificates

 

A. Investor/Transferor Allocations  Series Allocations   Total Investor
Interest
   Transferors' Interest     
Beginning Invested Amount/Transferor Amount   2,155,751,619.76    1,142,859,000.00    1,012,892,619.76         
Beginning Adjusted Invested Amount   N/A    1,142,859,000.00    N/A         
Floating Allocation Percentage   N/A    53.0144%   46.9856%        
Principal Allocation Percentage   N/A    53.0144%   46.9856%        
Collections of Finance Charge Receivables   61,459,142.00    32,582,201.46    28,876,940.54         
Collections of Principal Receivables   1,127,298,669.48    597,630,737.37    529,667,932.11         
Defaulted Amount   3,125,282.05    1,656,849.84    1,468,432.21         
                        
Ending Invested Amount / Transferor Amount   2,132,967,542.16    1,142,859,000.00    990,108,542.16         

 

B.  Monthly Period Funding Requirements  Class A   Class B   Collateral Interest   Total 
Principal Funding Account Balance   0.00    0.00    0.00    0.00 
Investment Proceeds for Monthly Period   0.00    0.00    0.00    0.00 
Required Reserve Account Amount   0.00    0.00    0.00    0.00 
Reserve Account Opening Balance   0.00    0.00    0.00    0.00 
Reserve Account Investment Proceeds retained                    
per Section 4.12(b)   0.00    0.00    0.00    0.00 
Reserve Account Deposit   0.00    0.00    0.00    0.00 
Reserve Draw Amount   0.00    0.00    0.00    0.00 
Reserve Account Surplus (after giving effect to any principal distributions on the related Distribution Date)   0.00    0.00    0.00    0.00 
Reserve Account Closing Balance (after giving effect to any principal distributions and Reserve Account withdrawals on the related Distribution Date)   0.00    0.00    0.00    0.00 
                     
Term SOFR Determination Date   N/A    N/A    N/A      
Coupon June 15, 2026 to July 14, 2026   4.51000%   4.90000%   6.51200%     
Monthly Interest Due   3,758,333.33    175,003.50    542,672.09    4,476,008.92 
Outstanding Monthly Interest Due   0.00    0.00    0.00    0.00 
Additional Interest Due   0.00    0.00    0.00    0.00 
Total Interest Due   3,758,333.33    175,003.50    542,672.09    4,476,008.92 
Investor Default Amount   1,449,741.25    62,133.01    144,975.58    1,656,849.84 
Investor Monthly Fees Due   1,666,666.67    71,430.00    166,668.33    1,904,765.00 
Investor Additional Amounts Due   0.00    0.00    0.00    0.00 
Total Due   6,874,741.25    308,566.51    854,316.00    8,037,623.76 
                     
Reallocated Investor Finance Charge Collections                  32,406,103.30 
Interest and Principal Funding Investment Proceeds                  0.00 
Interest on Reserve Account                  0.00 
Series Adjusted Portfolio Yield                  32.7351%
Base Rate                  6.7929%
Excess Spread Percentage                  25.5869%

 

C. Certificates - Balances and Distributions  Class A   Class B   Collateral Interest   Total 
Beginning Certificates Balance   1,000,000,000.00    42,858,000.00    100,001,000.00    1,142,859,000.00 
Distributions of Interest   3,758,333.33    175,003.50    542,672.09    4,476,008.92 
Deposits to the Principal Funding Account   0.00    0.00    0.00    0.00 
Distributions of Principal   0.00    0.00    0.00    0.00 
Total Distributions   3,758,333.33    175,003.50    542,672.09    4,476,008.92 
Ending Certificates Balance   1,000,000,000.00    42,858,000.00    100,001,000.00    1,142,859,000.00 

 

 

D) Information regarding distributions on the Distribution Date in respect of the Class A Certificates per $1,000 original certificate principal amount.    
       
  (1) The total amount of the distribution:  $3.76 
          
  (2) The amount of the distribution in respect of Class A Monthly Interest:  $3.76 
          
  (3) The amount of the distribution in respect of Class A Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class A Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class A Certificates:  $0.00 
         
E) Class A Investor Charge-Offs and Reimbursement of Class A Investor Charge-Offs.     
        
  (1) The total amount of Class A Investor Charge-Offs:  $0.00 
          
  (2) The amount of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of Class A Investor Charge-Offs:  $0.00 
          
  (4) The amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class A Certificates exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 
          
F) Information regarding distributions in respect of the Class B Certificates, per $1,000 original certificate principal amount.     
        
  (1) The total amount of the distribution in respect of Class B Certificates:  $4.08 
          
  (2) The amount of the distribution in respect of Class B Monthly Interest:  $4.08 
          
  (3) The amount of the distribution in respect of Class B Outstanding Monthly Interest:  $0.00 
          
  (4) The amount of the distribution in respect of Class B Additional Interest:  $0.00 
          
  (5) The amount of the distribution in respect of principal of the Class B Certificates:  $0.00 

 

 

G) Amount of reductions in Class B Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Class B Invested Amount on such Distribution Date.     
          
  (1) The amount of reductions in Class B Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Class B Invested Amount:  $0.00 
          
(2) The amount of the reductions in the Class B Invested Amount per $1,000 original certificate principal amount:  $0.00 
          
  (3) The total amount reimbursed in respect of such reductions in the Class B Invested Amount:  $0.00 
          
  (4) The amount reimbursed in respect of such reductions in the Class B Invested Amount, per $1,000 original certificate principal amount:  $0.00 
          
  (5) The amount, if any, by which the outstanding principal balance of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date:  $0.00 

 

H) Information regarding distributions on the Distribution Date to the Collateral Interest Holder.     
          
(1) The total amount distributed to the Collateral Interest Holder:  $24,911,151.63 
          
  (2) The amount of the distribution in respect of Collateral Minimum Monthly Interest (including in respect of Collateral Senior Minimum Monthly Interest):  $542,672.09 
          
  (3) The amount of the distribution in respect of Collateral Senior Additional Interest (including in respect of Collateral Additional Interest):  $0.00 
          
  (4) The amount distributed to the Collateral Interest Holder in respect of principal on the Collateral Invested Amount:  $0.00 
          
  (5) The amount of the distribution to the Collateral Interest Holder in respect of remaining Excess Spread:  $24,368,479.54 

 

I) Amount of reductions in Collateral Invested Amount pursuant to clauses (c), (d), and (e) of the definition of Collateral Invested Amount.     
        
  (1) The amount of reductions in the Collateral Invested Amount pursuant to clauses (c), (d) and (e) of the definition of Collateral Invested Amount:  $0.00 
          
  (2) The total amount reimbursed in respect of such reductions in the Collateral Invested Amount:  $0.00 

 

 

J. Application of Reallocated Investor Finance Charge Collections     
        
  1. Class A Available Funds  $28,355,294.31 
          
    a. Class A Monthly Interest  $3,758,333.33 
    b. Class A Outstanding Monthly Interest  $0.00 
    c. Class A Additional Interest  $0.00 
    d. Class A Investor Default Amount (treated as Available Principal Collections)  $1,449,741.25 
    e. Excess Spread  $23,147,219.73 
          
  2. Class B Available Funds  $1,215,251.20 
          
    a. Class B Monthly Interest  $175,003.50 
    b. Class B Outstanding Monthly Interest  $0.00 
    c. Class B Additional Interest  $0.00 
    d. Excess Spread  $1,040,247.70 
          
  3. Collateral Available Funds  $2,835,557.79 
          
    a. Excess Spread  $2,835,557.79 
          
  4. Total Excess Spread  $27,023,025.22 
          
K.   Reallocated Principal Collections     
        
  1. Principal Allocation Percentage   53.0144%
          
  2. Series 2025-5 Allocable Principal Collections  $1,127,298,669.48 
          
  3. Principal Allocation Percentage of Series 2025-5 Allocable Principal Collections  $597,630,737.37 
          
  4. Reallocated Principal Collections Required to fund the Required Amount  $0.00 
          
  5. Item 3 minus Item 4  $597,630,737.37 
          
  6. Shared Principal Collections from other Series allocated to Series 2025-5  $0.00
          
  7. Other amounts treated as Available Principal Collections:  $1,656,849.84 
          
  8. Available Principal Collections (total of items 5, 6 and 7)  $599,287,587.21 
          
L.  Application of Available Principal Collections during Revolving Period     
        
1. Collateral Invested Amount  $100,001,000.00 
          
  2. Required Collateral Invested Amount  $100,001,000.00 
          
  3. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
          
  4. Treated as Shared Principal Collections  $599,287,587.21 

 

 

M. Application of Principal Collections During Accumulation or Amortization Period     
          
  1. Principal Funding Account  $0.00 
          
  2. Excess of Collateral Invested Amount over Required Collateral Invested Amount  $0.00 
          
  3. Distribution of Principal  $0.00 
          
  4. Treated as Shared Principal Collections  $0.00 

 

N. Application of Excess Spread and Excess Finance Charge Collections Allocated to Series 2025-5     
          
1. Excess Spread  $27,023,025.22 
  2. Excess Finance Charge Collections  $0.00 
  3. Applied to fund Class A Required Amount  $0.00 
  4. Class A Investor Charge-Offs treated as Available Principal Collections  $0.00 
  5. Applied to fund overdue Class B Interest  $0.00 
  6. Applied to fund Class B Required Amount  $62,133.01 
  7. Reduction of Class B Invested Amount treated as Available Principal Collections  $0.00 
  8. Applied to Collateral Senior Minimum Monthly Interest  $251,905.39 
  9. Applied to unpaid Monthly Servicing Fee  $1,904,765.00 
  10. Collateral Default Amount treated as Available Principal Collections  $144,975.58 
  11. Reduction of Collateral Invested Amount treated as Available Principal Collections  $0.00 
  12. Deposited to Reserve Account  $0.00 
  13. Applied to any remaining Collateral Minimum Monthly Interest  $290,766.70 
  14A. (a) Prior to a Note Trust Transfer, remaining Excess Spread applied as Excess Finance Charge Collections  $0.00 
    (b) Prior to a Note Trust Transfer, remaining Excess Spread distributed to the holders of the Transferor Certificates  $24,368,479.54 
  14B. Following a Note Trust Transfer, remaining Excess Spread distributed to Collateral Interest Holder(s)   N/A 
          
O. Yield and Base Rate     
            
  1. Base Rate     
  a. Current Monthly Period   6.7929%
    b. Prior Monthly Period   6.5737%
    c. Second Prior Monthly Period   6.7929%
            
  2. Three Month Average Base Rate   6.7198%
          
  3. Series Adjusted Portfolio Yield     
    a. Current Monthly Period   32.7351%
    b. Prior Monthly Period   31.1301%
    c. Second Prior Monthly Period   32.6009%
            
  4. Three Month average Series Adjusted Portfolio Yield   32.1554%
          
  5. Is the 3 month average Series Adjusted Portfolio Yield more than the 3 month average Base Rate?   Yes 

 

 

P. Reassignment Amount    
       
  Adjusted Invested Amount  $1,142,859,000.00 
Monthly Interest  $4,476,008.92 
  Monthly Interest previously due but not paid  $0.00 
  Additional Interest  $0.00 
  Additional Interest previously due but not paid  $0.00 
  Reassignment Amount  $1,147,335,008.92