AIRPLANES LTD
8-K, 1997-10-15
ASSET-BACKED SECURITIES
Previous: PRIDE AUTOMOTIVE GROUP INC, 10QSB, 1997-10-15
Next: VANSTAR CORP, 10-K/A, 1997-10-15




                      SECURITIES AND EXCHANGE COMMISSION

                            WASHINGTON, D.C. 20549


                                   FORM 8-K

                                CURRENT REPORT
             PURSUANT TO SECTION 13 OR 15(D) OF THE SECURITIES AND
                             EXCHANGE ACT OF 1934


                               October 15, 1997
                       (Date of Earliest Event Reported)


       AIRPLANES LIMITED                              AIRPLANES U.S. TRUST

(Exact Name of Registrants as Specified in Memorandum of Association or Trust
                                  Agreement)


       Jersey, Channel Islands                        Delaware
             (State or Other Jurisdiction of Incorporation or
                               Organization)

       33-99970-01                                    13-3521640
       (Commission File                               (IRS Employer
       Number)                                        Identification No.)


       Airplanes Limited                              Airplanes U.S. Trust
       22 Grenville Street                            1100 North Market Street
       St. Helier                                     Rodney Square North
       Jersey, JE4 8PX                                Wilmington, Delaware
       Channel Islands                                19890-0001
       (011 44 1534 609 000)                          (1-302-651-1000)

          (Addresses and Telephone Numbers, Including Area Codes, of
                   Registrants' Principal Executive Offices)


Item 5. Other Events


       Attached hereto as Exhibit A is a copy of a Report to
Certificateholders dated October 15, 1997, sent to each holder of a Pass
Through Certificate issued by Airplanes Pass Through Trust.


                                  SIGNATURES

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


                                                 AIRPLANES LIMITED


Date: October 15, 1997                          /s/ Roy M. Dantzic*
                                                ------------------------------
                                                Director and Officer


Date: October 15, 1997                          AIRPLANES U.S. TRUST
                                                ------------------------------
                                                /s/ Roy M . Dantzic*
                                                Controlling Trustee
                                                and Officer


                                                *By: /s/ Michael Walsh
                                                ------------------------------
                                                     Attorney-in-Fact


                                 EXHIBIT INDEX


Exhibit A - Report to Certificateholders
Exhibit B - Power of Attorney for Airplanes Limited
Exhibit C - Power of Attorney for Airplanes U.S. Trust


                AIRPLANES Group - Report to Certificateholders
                  All numbers in US$ unless otherwise stated
<TABLE>
<CAPTION>
              Payment Date: October 15, 1997.
              Calculation Date: October 8, 1997.
(i)     ACCOUNT ACTIVITY SUMMARY (Between Calculation Dates)
        ----------------------------------------------------

                                                 Prior Balance      Deposits        Withdrawals       Balance on
                                                                                                      Calculation
                                                                                                          Date
                                                    9-Sep-97                                            8-Oct-97
        ----------------------------------------------------------------------------------------------------------
<S>                                              <C>              <C>             <C>               <C>
              Lessee Funded Account                        0.00            0.00            (0.00)             0.00
              Expense Account (note ii)            5,443,514.33   16,944,108.75   (11,169,929.58)    11,217,693.50
              Collection Account (note iii)      238,291,158.89   50,060,526.28   (58,477,731.89)   229,873,953.28
        ----------------------------------------------------------------------------------------------------------
               -  Miscellaneous Reserve           40,000,000.00                                      40,000,000.00
               -  Maintenance Reserve             80,000,000.00                                      80,000,000.00
               -  Security Deposit                59,813,427.00                                      59,813,427.00
               -  Other Collections               58,477,731.89                                      50,060,526.28
        ----------------------------------------------------------------------------------------------------------
              Total                              243,734,673.22   67,004,635.03   (69,647,661.47)   241,091,646.78
        ==========================================================================================================


<CAPTION>
(ii)    ANALYSIS OF EXPENSE ACCOUNT ACTIVITY
        ------------------------------------
<S>                                              <C>
              Balance on preceding Calculation
              Date (Sept 9,1997)                   5,443,514.33

              Transfer from Collection Account
              (previous Payment Date)             16,900,150.00


              Interest Earned during period           43,958.75

              Payments during period between
              prior Calculation Date and the
              relevant Calculation Date:
               - Payments on previous Payment
                 Date                            (2,491,633.46)

               - Other payments                  (8,678,296.12)
                                                 --------------
              Balance on relevant Calculation
              Date (Oct 8, 1997)                  11,217,693.50
                                                 =+============

<CAPTION>
(iii)   ANALYSIS OF COLLECTION ACCOUNT ACTIVITY
        ---------------------------------------
 <S>                                            <C>
              Balance on preceding Calculation
              Date (Sept 9, 1997)                238,291,158.89
              Collections during period           50,060,526.28
              Transfer to Expense Account
              (previous Payment Date)           (16,900,150.00)
              Net transfer to Lessee Funded
              Accounts
              Aggregate Certificate Payments
              (previous Payment                 (40,994,541.63)
              Date)
              Swap payments (previous Payment
              Date)                                (583,040.26)
              Balance on relevant Calculation
              Date (Oct 8, 1997)                 229,873,953.28

</TABLE>
<TABLE>
<CAPTION>
(iii)   ANALYSIS OF COLLECTION ACCOUNT ACTIVITY (Cont'd)
        ------------------------------------------------------

                      ANALYSIS OF CURRENT PAYMENT DATE DISTRIBUTIONS
                      ----------------------------------------------
<S>           <C>     <C>
		      Priority of Payments
		(i)   Required Expense Amount                                    21,255,091.50
	       (ii)   a) Class A Interest                                        12,852,959.53
		      b) Swap Payments                                              571,774.97
	      (iii)   First Collection Account Top-up                           120,000,000.00
	       (iv)   Minimum Hedge Payment                                          86,400.00
		(v)   Class A Minimum Principal                                           0.00
	       (vi)   Class B Interest                                            1,986,991.11
	      (vii)   Class B Minimum Principal                                   1,151,838.78
	     (viii)   Class C Interest                                            2,546,875.00
	       (ix)   Class D Interest                                            3,625,000.00
		(x)   Second Collection Account Top-up                           61,835,666.00
	       (xi)   Class A Principal Adjustment Amount                                 0.00
	      (xii)   Class C Scheduled Principal                                         0.00
	     (xiii)   Class D Scheduled Principal                                         0.00
	      (xiv)   Modification                                                        0.00
		      Payments
	       (xv)   Soft Bullet Note Step-up Interest                                   0.00
	      (xvi)   Class E Minimum Interest                                      492,684.17
	     (xvii)   Supplemental Hedge Payment                                     86,400.00
	    (xviii)   Class B Supplemental Principal                                      0.00
	      (xix)   Class A Supplemental Principal                             14,599,965.72
	       (xx)   Class D Outstanding Principal                                       0.00
	      (xxi)   Class C Outstanding Principal                                       0.00
	     (xxii)   Class E Supplemental Interest                                       0.00
	    (xxiii)   Class B Outstanding Principal                                       0.00
	     (xxiv)   Class A Outstanding Principal                                       0.00
	      (xxv)   Class E Accrued Unpaid Interest                                     0.00
	     (xxvi)   Class E Outstanding Principal                                       0.00
	    (xxvii)   Charitable Trust                                                    0.00
									      ----------------
	    Total Payments with respect to Payment Date                         241,091,646.78
		      Less Collection Account Top-Ups ((iii) and (x)above)    (181,835,666.00)
									      ----------------
										 59,255,980.78
									      ================

</TABLE>
<TABLE>
<CAPTION>
(iv)   PAYMENT ON THE CERTIFICATES
       ---------------------------

       (a) FLOATING RATE CERTIFICATES                                 A-1              A-2              A-3              A-4
	   --------------------------
<S>                                                       <C>               <C>              <C>              <C>
	   Applicable LIBOR                                      5.65625%         5.65625%         5.65625%         5.65625%
	   Applicable Margin                                     0.25000%         0.32000%         0.47000%         0.62000%
	   Applicable Interest Rate                              5.90625%         5.97625%         6.12625%         6.27625%
	   Interest Amount Payable                           4,183,593.75     3,735,156.25     2,552,604.17     1,046,041.67
	   Step Up Interest Amount                                   0.00             0.00             0.00             0.00

	   Opening Principal Balance                       850,000,000.00   750,000,000.00   500,000,000.00   200,000,000.00
	   Minimum Principal Payment Amount                          0.00             0.00             0.00             0.00
	   Adjusted Principal Payment Amount                         0.00             0.00             0.00             0.00
	   Supplemental Principal Payment Amount                     0.00             0.00             0.00             0.00
	   Total Principal Distribution Amount                       0.00             0.00             0.00             0.00
	   Redemption Amount
	    - amount allocable to principal                          0.00             0.00             0.00             0.00
	    - premium allocable to premium                           0.00             0.00             0.00             0.00
							   --------------   --------------   --------------   --------------
	   Outstanding Principal Balance
	   (Oct 15, 1997)                                  850,000,000.00   750,000,000.00   500,000,000.00   200,000,000.00
							   ==============   ==============   ==============   ==============
<CAPTION>
<S>                                                        <C>              <C>
								      A-5          Class B

	   Applicable LIBOR                                      5.65625%         5.65625%
	   Applicable Margin                                     0.35000%         1.10000%
	   Applicable Interest Rate                              6.00625%         6.75625%
	   Interest Amount Payable                           1,335,563.69     1,986,991.11
	   Step Up Interest Amount                                   0.00             0.00

	   Opening Principal Balance                       266,834,784.64   352,916,090.06
	   Minimum Principal Payment Amount                          0.00     1,151,838.78
	   Adjusted Principal Payment Amount                                          0.00
	   Supplemental Principal Payment Amount            14,599,965.72             0.00
	   Total Principal Distribution Amount              14,599,965.72     1,151,838.78
	   Redemption Amount
	    - amount allocable to principal                          0.00             0.00
	    - premium allocable to premium                           0.00             0.00
							   --------------   --------------
	   Outstanding Principal Balance
	   (Oct 15, 1997)                                  252,234,818.92   351,764,251.28
							   ==============   ==============
 <CAPTION>
	(b) FIXED RATE CERTIFICATES                               Class C          Class D
	   -----------------------
 <S>                                                        <C>              <C>
	   Applicable Interest Rate                               8.1500%         10.8750%
	   Interest Amount Payable                           2,546,875.00     3,625,000.00

	   Opening Principal Balance                       375,000,000.00   400,000,000.00
	   Scheduled Principal Payment Amount                        0.00             0.00
	   Redemption Amount
	    - amount allocable to principal                          0.00             0.00
	    - amount allocable to premium                            0.00             0.00
	   Pool Factors and scheduled dollar
	   amount for each class                                     0.00             0.00
							   --------------   --------------
	   Outstanding Principal Balance (Oct 15, 1997)    375,000,000.00   400,000,000.00
							   ==============   ==============
       Table of rescheduled Pool Factors                                               n/a              n/a
	 in the event of a partial redemption
</TABLE>
<TABLE>

(v)   FLOATING RATE CERTIFICATE INFORMATION FOR NEXT INTEREST ACCRUAL PERIOD (Aggregate Amounts)
      ------------------------------------------------------------------------------------------
<CAPTION>
								      A-1              A-2              A-3              A-4
<S>                                                              <C>              <C>              <C>              <C>
	   Applicable LIBOR                                      5.62500%         5.62500%         5.62500%         5.62500%
	   Applicable Margin                                     0.25000%         0.32000%         0.47000%         0.62000%
	   Applicable Interest Rate                              5.87500%         5.94500%         6.09500%         6.24500%
<CAPTION>
								      A-5          Class B
<S>                                                              <C>              <C>
	   Applicable LIBOR                                      5.62500%         5.62500%
	   Applicable Margin                                     0.35000%         1.10000%
	   Applicable Interest Rate                              5.97500%         6.72500%
</TABLE>
<TABLE>
 (vi) CURRENT PERIOD PAYMENTS (Per $100,000 Initial Outstanding Principal Balance of Certificates)
      --------------------------------------------------------------------------------------------

 (a)  FLOATING RATE CERTIFICATES
      --------------------------
<CAPTION>
								     A-1               A-2               A-3            A-4
<S>                                                             <C>               <C>               <C>            <C>
	   Opening Principal Amount                             8,500.00          7,500.00          5,000.00       2,000.00
	   Total Principal Payments                                 0.00              0.00              0.00           0.00
								-----------------------------------------------------------
	   Closing Outstanding Principal Balance                8,500.00          7,500.00          5,000.00       2,000.00

	   Total Interest                                          41.84             37.35             25.53          10.46
	   Total Premium                                            0.00              0.00              0.00           0.00

<CAPTION>
								    A-5            Class B
<S>                                                            <C>                <C>
	   Opening Principal Amount                            2,668.35           3,529.16
	   Total Principal Payments                              146.00              11.52
							       ---------------------------
	   Closing Outstanding Principal Balance               2,522.35           3,517.64

	   Total Interest                                         13.36              19.87
	   Total Premium                                           0.00               0.00

<CAPTION>
      (b)  FIXED RATE CERTIFICATES
	   -----------------------
								Class C            Class D
<S>                                                            <C>                <C>
	   Opening Principal Amount                            3,750.00           4,000.00
	   Total Principal Payments                                0.00               0.00
	   Outstanding Principal Balance                       3,750.00           4,000.00

	   Total Interest                                         25.47              36.25
	   Total Premium                                           0.00               0.00


</TABLE>


								      Exhibit B


      Attached hereto is a true and correct copy of a Power of Attorney given
by each of the persons signatory thereto.




								   /s/Vivian Fu
								   ------------
								      Vivian Fu


			       POWER OF ATTORNEY


      Each of the undersigned, being a Director and officer of Airplanes
Limited, hereby individually appoints Patrick Blaney, John Tierney, Brian
McLoghlin, Declan Treacy, Richard Pierce, John Redmond, Michael Walsh and Rose
Hynes and each of them, acting as an officer of GPA Financial Services
(Ireland) Limited, as Administrative Agent of Airplanes Limited, his true and
lawful attorney-in-fact and agent (each an "Attorney-in-Fact"), with full
power of substitution and resubstitution, for him and in his name, place and
stead, in his capacity as a Director and an officer of Airplanes Limited, to
sign each Report on Form 8-K which will be filed at least monthly, provided
that where any such Report on Form 8-K is required to contain any information
in addition to or other than a copy of the relevant monthly report to
certificate holders, the contents of such Report on Form 8-K shall be notified
to any one Director of Airplanes Limited prior to the filing thereof, each
such Report on Form 8-K containing a monthly report to certificate holders to
be filed monthly on or about the 15th day of each month and each other Report
on Form 8-K to be filed within the time prescribed by the SEC upon the
occurrance of certain events listed in the SEC rules and regulations with the
Securities and Exchange Commission (the "SEC") and any amendments thereto, and
to file the same with any exhibits thereto and any other documents in
connection therewith with the SEC, granting unto said Attorney-in-Fact full
power and authority to do and perform each and every act and thing requisite
and necessary to be done in and about the premises as fully to all intents and
purposes as he might or could do in person, hereby ratifying and confirming
all that said Attorney-in-Fact, or his substitute, may lawfully do or cause to
be done by virtue hereof.

      IN WITNESS WHEREOF, each of the undersigned has caused this Power of
Attorney to be duly executed and delivered on the date indicated below.



Dated: 24 June 1996                            /s/ Roy M. Dantzic
					       ------------------------------
					       Roy M. Dantzic

				      Witness: /s/    A.Syvret
					       ------------------------------


Dated: 24 June 1996                            /s/ William A. Franke
					       ------------------------------
					       William A. Franke


				      Witness: /s/ A.Syvret
					       ------------------------------


Dated: 24 June 1996                            /s/ Hugh R. Jenkins
					       ------------------------------
					       Hugh R. Jenkins


				      Witness: /s/ A.Syvret
					       ------------------------------


Dated: 24 June 1996                            /s/ William M. McCann
					       ------------------------------
					       William M. McCann


				      Witness: /s/ A.Syvret
					       ------------------------------


Dated: 24 June 1996                            /s/ Edward J. Hansom
					       ------------------------------
					       Edward J. Hansom


				      Witness: /s/ A.Syvret
					       ------------------------------

								      Exhibit C


       Attached hereto is a true and correct copy of a Power of Attorney given
by each of the persons signatory thereto.




								  /s/ Vivian Fu
								  -------------
								      Vivian Fu


			       POWER OF ATTORNEY

      Each of the undersigned, being a Controlling Trustee and officer of
Airplanes U.S. Trust, hereby individually appoints Patrick Blaney, John
Tierney, Brian McLoghlin, Declan Treacy, Richard Pierce, John Redmond, Michael
Walsh and Rose Hynes and each of them, acting as an officer of GPA Financial
Services (Ireland) Limited, as Administrative Agent of Airplanes U.S. Trust,
his true and lawful attorney-
in-fact and agent (each an "Attorney-in-Fact"), with full power of
substitution and resubstitution, for him and in his name, place and stead, in
his capacity as a Controlling Trustee and an officer of Airplanes U.S. Trust
to sign each Report on Form 8-K which will be filed at least monthly, provided
that where any such Report on Form 8-K is required to contain any information
in addition to or other than a copy of the relevant monthly report to
certificate holders, the contents of such Report on Form 8-K shall be notified
to any one Controlling Trustee of Airplanes U.S. Trust prior to the filing
thereof, each such Report on Form 8-K containing a monthly report to
certificate holders to be filed monthly on or about the 15th day of each month
and each other Report on Form 8-K to be filed within the time prescribed by
the SEC upon the occurrance of certain events listed in the SEC rules and
regulations with the Securities and Exchange Commission (the "SEC") and any
amendments thereto, and to file the same with any exhibits thereto and any
other documents in connection therewith with the SEC, granting unto said
Attorney-in-Fact full power and authority to do and perform each and every act
and thing requisite and necessary to be done in and about the premises as
fully to all intents and purposes as he might or could do in person, hereby
ratifying and confirming all that said Attorney-in-Fact, or his substitute,
may lawfully do or cause to be done by virtue hereof.


Dated: 24 June 1996                            /s/ Roy. M. Dantzic
					       Roy M. Dantzic
					       -------------------------------
					       Controlling Trustee



					       /s/ William A. Franke
					       William A. Franke
					       -------------------------------
					       Controlling Trustee



					       /s/ Hugh R. Jenkins
					       Hugh R. Jenkins
					       -------------------------------
					       Controlling Trustee



					       /s/ William M. McCann
					       William M. McCann
					       -------------------------------
					       Controlling Trustee



					       /s/ Edward J. Hansom
					       Edward J. Hansom
					       -------------------------------
					       Controlling Trustee


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission