METRIS RECEIVABLES INC
8-K, 1997-06-19
ASSET-BACKED SECURITIES
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               SECURITIES AND EXCHANGE COMMISSION

                     Washington, D.C.  20549



                            FORM 8-K



                         CURRENT REPORT
             Pursuant to Section 13 or 15(d) of the
                 Securities Exchange Act of 1934

        Date of Report (Date of earliest event reported):

                          June 19, 1997

                       METRIS MASTER TRUST
                    METRIS RECEIVABLES, INC.
             (Originator of the Metris Master Trust)
     (Exact name of registrant as specified in its charter)


    Delaware                 033-99514                41-1810301
(State of Incorporation)     (Commission File Number) (IRS Employer 
                                                      Identification No.)



   4400 Baker Road, Suite F470, Minnetonka, Minnesota   55343
                    (Address of principal executive offices)


                         (612) 936-5077
      (Registrant's telephone number, including area code)
                                
                                
                    METRIS RECEIVABLES, INC.
                   Current Report on Form 8-K


Item 7.     Financial Statements and Exhibits

            Ex. 20a  Series 1996-1 May Certificateholder's Statement
           
            Ex. 20b  Series 1997-1 May Certificateholder's Statement

                            SIGNATURE


         Pursuant to the requirements of the Securities  Exchange
Act  of  1934, the Registrant has duly caused this report  to  be
signed on its behalf by the undersigned hereunto duly authorized.

                                     METRIS RECEIVABLES, INC.



                                     By  /s/Robert W. Oberrender
                                         President and Treasurer

Dated:  June 19, 1997



<TABLE>
Metris Receivables, Inc.                                        Metris Master Trust                             Monthly Report 
Certificateholder's Statement                                      Series 1996-1                                        May-97 
Section 5.2                                        Class A         Class B         Class C         Class D          Total   
<S>                                            <C>              <C>             <C>             <C>             <C>
(i)   Certificate Amount                       518,000,000.00   87,500,000.00   50,000,000.00   44,500,000.00   700,000,000.00
(ii)  Certificate Principal Distributed                  0.00            0.00            0.00                             0.00
(iii) Certificate Interest Distributed           2,784,250.00      495,833.33      272,864.58                     3,552,947.91
(iv) Principal Collections                      25,454,535.09    4,299,752.55    2,457,001.46    2,182,508.64    34,393,797.73
(v)  Finance Charge Collections                 10,508,160.58    1,775,027.13    1,014,301.21      900,987.50    14,198,476.42
     Recoveries                                     63,237.17       10,681.95        6,103.97        5,432.54        85,455.64
     Interest Earned on Accounts                         0.00            0.00            0.00            0.00             0.00
       Total Finance Charge Collections         10,571,397.75    1,785,709.00    1,020,405.19      906,420.04    14,283,932.06
	  Total Collections                            36,025,932.84    6,085,461.63    3,477,406.64    3,088,928.68    48,677,729.79
(vi) Aggregate Amount of Principal Receivables                                                                1,866,598,548.83
     Invested Amount (End of Month)            518,000,000.00   87,500,000.00   50,000,000.00   44,500,000.00   700,000,000.00
     Floating Allocation Percentage               27.7510127%      4.6876711%      2.6786692%      2.3840156%      37.5013685%
     Invested Amount (Beginning of Month)      518,000,000.00   87,500,000.00   50,000,000.00   44,500,000.00   700,000,000.00
     Average Daily Invested Amount                                                                              699,920,120.71
(vii)  Receivable Delinquencies (As a % of Total Receivables)                                                           
       Current                                                                                        87.74%  1,690,995,798.23
       30 Days to 59 Days (1 to 29 Days Contractually Delinquent)                                      6.27%    120,756,843.72
       60 Days to 89 Days (30 to 59 Days Contractually Delinquent)                                     1.93%     37,123,996.91
       90 Days and Over (60+ Days Contractually Delinquent)                                            4.06%     78,334,707.13
	  Total Receivables                                                                                 100.00%  1,927,211,345.99
(viii) Aggregate Investor Default Amount                                                                          5,915,847.94
       As a % of Average Daily Invested Amount  (Annualized based on 365 days/year)                                      9.95%
(ix)  Charge-Offs                                        0.00            0.00           0.00             0.00             0.00
      Servicing Fee                                                                                               1,189,041.10
(xi)  Pool Factor                                   1.0000000       1.0000000       1.0000000                               
(xii) Unreimbursed Reallocated Principal Collections                     0.00            0.00            0.00             0.00
(xiii) Excess Funding Account Balance                                                                                     0.00
       Prefunding Account Balance                                                                                         0.00
Average Net Portfolio Yield                                                                                           14.0770%
Minimum Base Rate                                                                                                      8.4881%
</TABLE>

<TABLE>
Metris Receivables, Inc.                                       Metris Master Trust                            Monthly Report
Certificateholder's Statement                                     Series 1997-1                                       May-97
Section 5.2                                      Class A          Class B        Class C         Class D          Total   
<S>                                          <C>              <C>             <C>             <C>             <C>
(i)   Certificate Amount                     616,250,000.00   106,250,000.00  72,250,000.00   55,250,000.00   850,000,000.00
(ii)  Certificate Principal Distributed                0.00             0.00           0.00                             0.00
(iii) Certificate Interest Distributed         4,939,243.75       881,343.75     564,177.17                     6,384,764.67
(iv) Principal Collections                    21,088,972.66     3,636,029.77   2,472,500.24    2,049,072.07    29,246,574.74
(v)  Finance Charge Collections                8,705,784.18     1,500,997.27   1,020,678.15      847,155.20    12,074,614.80
     Recoveries                                   75,231.48        12,970.94       8,820.24        6,744.89       103,767.56
     Principal Account Earnings                        0.00             0.00           0.00            0.00             0.00
     Accum. Period Reserve Acct. Earnings              0.00             0.00           0.00            0.00             0.00
     Pre-Funding Account Earnings                159,750.51        27,543.19      18,729.37            0.00       206,023.07
       Total Finance Charge Collections        8,940,766.17     1,541,511.41   1,048,227.76      853,900.09    12,384,405.43
	 Total Collections                           30,029,738.83     5,177,541.18   3,520,728.00    2,902,972.17    41,630,980.17
(vi) Aggregate Amount of Principal Receivables                                                              1,866,598,548.83
     Invested Amount (End of Month)          616,250,000.00   106,250,000.00  72,250,000.00   55,250,000.00   850,000,000.00
     Floating Allocation Percentage             33.0145976%       5.6921720%     3.8706770%      2.9599294%      45.5373760%
     Fixed/Floating Allocation Percentage               N/A              N/A            N/A             N/A       0.0000000%
     Invested Amount (Beginning of Month)              0.00             0.00           0.00            0.00             0.00
     Average Daily Invested Amount                                                                            788,324,780.28
(vii)  Receivable Delinquencies (As a % of Total Receivables)                                                           
       Current                                                                                       87.74% 1,690,995,798.23
       30 Days to 59 Days (1 to 29 Days Contractually Delinquent)                                     6.27%   120,756,843.72
       60 Days to 89 Days (30 to 59 Days Contractually Delinquent)                                    1.93%    37,123,996.91
       90 Days and Over (60+ Days Contractually Delinquent)                                           4.06%    78,334,707.13
	 Total Receivables                                                                                 100.00% 1,927,211,345.99
(viii) Aggregate Investor Default Amount                                                                        5,081,514.11
       As a % of Average Daily Invested Amount  (Annualized based on 365 days/year; 24 days in May)                    9.80%
(ix)  Charge-Offs                                     0.00             0.00           0.00                              0.00
      Servicing Fee                                                                                             1,009,972.60
(xi)  Pool Factor                                1.0000000        1.0000000      1.0000000                               
(xii) Unreimbursed Reallocated Principal Collections                   0.00           0.00            0.00              0.00
(xiii) Excess Funding Account Balance                                                                                   0.00
       Pre-Funding Account Balance                                                                                      0.00
(xiv) Class C Reserve Amount                                                                                             N/A
      Class C Reserve Account Balance                                                                                    N/A
      Class C Trigger Event Occurrence                                                                                  None
(xv) Number of New Accounts Added to the Trust                                                                    160,067.00
(xvi) Average Net Portfolio Yield (Based on 24 Days)                                                                14.0887%
(xvii) Minimum Base Rate                                                                                             8.8719%
(xviii) Principal Funding Account Balance                                                                               0.00
(xix) Accumulation Shortfall                                                                                             N/A
(xx)  Scheduled Commencement date of the Accumulation Period                                                      March 2001
      Accumulation Period Length                                                              
(xxi) Required Reserve Account Amount                                                                                    N/A
      Available Reserve Account Amount                                                                                   N/A
      Covered Amount                                                                                                     N/A
</TABLE>


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