VOLKSWAGEN CREDIT AUTO RECEIVABLES CORP
8-K, 1996-07-16
ASSET-BACKED SECURITIES
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<PAGE>
 


                      SECURITIES AND EXCHANGE COMMISSION

                            450 Fifth Street, N.W.
                            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: June 15, 1996


                Volkswagen Credit Auto Receivables Corporation
                ----------------------------------------------
              (Exact Name of Registrant as Specified in Charter)


                                   EXHIBITS

      Delaware                     33-80055                    38-2748796
      --------                     --------                    ---------- 
     (State of                 (Commission File              (IRS Employer 
   Incorporation)                   Number)                Identification No.)


                3800 Hamlin Road, Auburn Hills, Michigan 48326
                ----------------------------------------------
              (Address of Principal Executive Offices)(Zip Code)

      Registrant's telephone number, including area code: (810) 340-5000

                                      N/A
     --------------------------------------------------------------------
         (Former Name or Former Address, if Changed Since Last Report)

<PAGE>
 
Item 5. Other Events
                
                The Monthly Servicing Report relating to the Volkswagen Credit 
Auto Master Trust, Series 1996-1 for the Collection Period ended May 31, 1996, 
provided to Citibank, N.A., as trustee is attached hereto as Exhibit 20 and is 
incorporated herein by reference.


Item 7. Financial Statements, Pro Forma Financial Information and Exhibits 


        Designation             Description             Method of Filing
        -----------             -----------             ----------------

        Exhibit 20      Report for the month ended     Filed with this report.
                        May 31, 1996 provided to
                        Chemical Bank, as trustee
                        under the Volkswagen 
                        Credit Auto Master Trust,
                        Series 1996-1


                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 thereunto duly authorized.


                                      Volkswagen Credit Auto Master Trust



                                      By: Volkswagen Credit Auto 
                                            Receivables Corporation
        

                                      By: /s/ Allen L. Strang
                                          -------------------------------

<PAGE>
 

                  VOLKSWAGEN CREDIT AUTO MASTER TRUST 1996-1
- ------------------------------------------------------------------------------
 
                  Distribution Date Statement: June 17, 1996
 
 
 
a.  Aggregate Amount of Collections                              $238,328,839.15
    Aggregate Amount of Interest Collections                       $3,641,440.08
    Aggregate Amount of Principal Collections                    $234,687,399.07
                                                        
b.  Series Allocation Percentage                                         100.00%
    Floating Allocation Percentage                                        72.16%
    Fixed Allocation Percentage                                              N/A
                                                        
c.  Total Amount Distributed on Series 1996-1                      $1,805,004.06
                                                        
d.  Amount of Such Distribution Allocable to Principal on 1996-1            0.00
                                                        
e.  Amount of Such Distribution Allocable to Interest on 1996-1    $1,805,004.06
                                                        
f.  Investor Default Amount                                                $0.00
                                                        
g.  Draw Amount                                                            $0.00
                                                        
h.  Investor Charge Offs                                                   $0.00
    Amounts of Reimbursements                                              $0.00
                                                        
i.  Monthly Servicing Fee                                                  1.00%
                                                        
j.  Expected Controlled Distribution Amount                                $0.00
                                                        
k.  Invested Amount                                              $375,000,000.00
                                                        
l.  Pool Factor                                                          100.00%
                                                        
m.  Available Subordinated Amount                                 $68,257,946.75
                                                         
n.  Reserve Fund Balance                                           $1,875,000.00
                                                        
o.  Principal Funding Account Balance                                      $0.00
    Yield Supplement Account Balance                               $1,875,000.00
                                                         
                                                                  
<PAGE>
 
<TABLE>
<CAPTION>
VW CREDIT, INC. -- SERVICER                                                                                            PAGE 1
12-JUN-96
                                        VOLKSWAGEN CREDIT AUTO MASTER TRUST, SERIES 1996-1
 
                                           MONTHLY SERVICER REPORT INPUT AND SUMMARY PAGE
                                           ----------------------------------------------
 
                                                         
TRANSACTION SUMMARY                From          To    Days           PORTFOLIO CHARGE OFF RATE AT COLLECTION PERIOD END           
- -------------------                ----          --    ----           --------------------------------------------------
<S>                          <C>               <C>      <C>   <C>                                                   <C>
Current Collection Period            5/15/96   6/14/96  31   Net losses as a % of Avg. Receivables Balance                     0.00%
                                                             (annualized)
                                                           
Series Allocation                     100.00%                PORTFOLIO AND DEALERSHIP STATISTICS
 Percentage                                                  -----------------------------------
                                                            
Initial Principal Balance    $375,000,000.00                 Used Vehicle Receivables' Balance                      $ 26,860,986.87
Outstanding Principal        $375,000,000.00                 Used Vehicle Percentage                                          5.380%
 Balance                                                   
Initial Principal Balance    $519,675,115.59                 Used Vehicle Percentage During Last Collection                   5.210%
 of Receivables for                                          Period
 Determination Date                                        
Amount Invested in           $375,000,000.00                 Early Amortization Event?                                    NO
 Receivables on Series                                      
 Issuance Date                                             
Initial Invested Amount      $375,000,000.00                 Largest Dealer or Dealer Affiliation Balance           $ 19,097,732.69
Invested Amount at the       $375,000,000.00                 Largest Dealer Percentage                                        3.675%
 Beginning of Period                                        
Invested Amount              $375,000,000.00               
Required Subordinated        $ 68,257,946.75                 Aggregate Principal Amount of Receivables of           $ 17,808,508.74
 Amount                                                      Dealers over 2%
Excess Funded Amount         $          0.00                 Aggregate % Principal Amount of Receivables of                   3.427%
                                                             Dealers over 2%
                                                            
Available Subordinated                   N/A                 SUMMARY OF COLLECTIONS
 Amount (previous period)                                    ----------------------
Inremental Subordinated                                    
 Amount (previous period)                N/A               
                                                             Aggregate Amount of Collections                      $238,328,839.15
RESERVE FUND AND YIELD SUPPLEMENT ACCOUNT                    Aggregate Amount of Interest Collections             $  3,641,440.08
- ---------------------------                                 
                                                             Investment Proceeds                                  $     16,679.16
Yield Supplement Account     $  1,875,000.00                 Aggregate Amount of Principal Collections            $234,687,399.07
 Initial Deposit                                                                                                 
Yield Supplement Account     $  1,875,000.00                 Asset Receivables Rate                                         7.366%
 Beginning Balance                                                                                                
Yield Supplement Account     $  1,875,000.00                 Use Asset Receivables Rate?                                NO
 Required Amount                                                                                                  
                                                             Carryover Amount (this Distribution Date)                        N/A
Reserve Fund Initial         $  1,875,000.00                 Total Carryover Amount                                           N/A
 Deposit                                                                                                         
Reserve Fund Required        $  1,875,000.00                                                                      
 Amount                                                                                                           
Reserve Fund Beginning       $  1,875,000.00                 PAYMENT RATE INFORMATION                            
 Balance                                                     ------------------------
                                                                                                                 
Outstanding Carryover        $          0.00                 Monthly Payment Rate                                           46.06%
 Amount - Beginning Balance                                                                                      
Yield Supplement Account     $          0.00                 Previous Collection Period Monthly Payment Rate                39.35%
 Draw Amount                                                                                                    
Outstanding Carryover        $          0.00                 Monthly Payment Rate 3 months ago                              35.19%
 Amount - Ending Balance                                                                                        
Yield Supplement Account     $  1,875,000.00                 3-month Average Payment Rate                                   40.20%
 Balance - Ending Balance                                                                                       
Yield Supplement Account     $          0.00                 12-month Minimum Payment Rate                                  35.19%
 Required Deposit Amount                                                                                        
                                                             Early Amortization Event?                                  NO
Reserve Fund Draw Amount     $          0.00                                                                    
Reserve Fund Ending Balance  $  1,875,000.00                 ACCUMULATION PERIOD/EARLY AMORTIZATION PERIOD       
                                                             ---------------------------------------------
Reserve Fund Required        $          0.00                                                                    
 Deposit Amount                                                                                                 
                                                             Extend Revolving Period?                                  YES
1-month LIBOR Rate                 5.4296900%                Last Day of Revolving Period                              N/A
 (annualized)                                                                                                   
Certificate Coupon                 5.5896900%                Invested Amount as of Last Day of Revolving Period        N/A
 (annualized)                                                                                                   
Prime Rate (annualized)            8.2500000%                Accumulation Period Length (months)                       N/A
Servicing Fee Rate                     1.000%                First Accumulation Date                             TO BE DETERMINED
 (annualized)                                                                                                   
Excess Spread                      2.0403100%                Expected Final Payment Date                               N/A
                                                             Required Participation Percentage                               4.00%
TRUST PRINCIPAL RECEIVABLES                                  Principal Funding Account Balance                    $          0.00
- ---------------------------                                                                                     
                                                             Principal Payment Amount                             $          0.00
Pool Balance at the          $519,675,115.59                 Controlled Deposit Amount                            $          0.00
 Beginning of Period                                                                                            
Pool Balance at the Ending   $499,272,478.52                                                                    
 of Period                                                                                                      
Average Aggregate            $509,473,797.06                 TOTAL AMOUNT DISTRIBUTED ON SERIES 1996-1           
 Principal Balance                                           -----------------------------------------
</TABLE> 
<PAGE>
 
<TABLE> 
<CAPTION> 
<S>                          <C>                            <C>                                                    <C> 
Aggregate Principal          $234,687,399.07                CERTIFICATEHOLDERS
 Collections                                                ------------------
New Principal Receivables    $214,284,764.00                i.    Monthly Interest Distribution                    $  1,805,004.06
Receivables Added for        $          0.00                ii.   Monthly Servicing Fee Distribution               $    312,500.00
 Additional Accounts
Investor Default Amount      $          0.00                iii.  Reserve Fund Deposit Amount Distribution         $          0.00
Net Losses                   $          0.00                iv.  Investor Default Amount Distribution              $          0.00
Monthly Interest Accrued,    $          0.00                v.  Outstanding Carryover Amount Distribution          $          0.00
 but not Paid
Ineligible Receivables       $          0.00                vi. Yield Supplement Account Deposit Amount            $          0.00
                                                            Distribution                                           ---------------
Ineligible Receivables in    $          0.00                Excess Servicing                                       $    510,176.17
 Prior Collection Period
Defaulted Receivables in Ineligible and                                                                            $          0.00
 Overconc. Accounts
                                                            Excess Servicing (Previous Period)                     $    591,613.71
MISCELLANEOUS DATA
- ------------------
                                                            DEFICIENCY AMOUNT
                                                            -----------------
Recoveries on Receivables    $          0.00
 Written Off
Spread Over Prime for                   0.38%               Deficiency Amount                                      $           0.0
 Portfolio
Weighted Average Interest               8.63%               Draw Amount                                            $           0.0
 Rate
</TABLE>
<PAGE>
 
<TABLE>
<CAPTION>
                                                                               
VW CREDIT, INCVW CREDIT,  INC. -- SERVICER                                                                                  PAGE 2
12-JUN-96
                                        VOLKSWAGEN CREDIT AUTO MASTER TRUST, SERIES 1996-1
 
                                                              SUMMARY
                                                              -------
  
 
                             COLLECTIONS                  ACCRUAL        DISTRIBUTION
                             -----------              --------------   ----------------
<S>                           <C> 
From:                          15-May-96
To:                            14-Jun-96
Days:                                 30
 
LIBOR RATE                     5.4296900%
(1 month)
 
SERIES #                               1   Active
VCI RATING:                      N/A
 
<CAPTION>  
                                        TRUST AND SERIES ALLOCATIONS - BEGINNING OF PERIOD
                                        --------------------------------------------------
<S>     <C>            <C>          <C>              <C>                 <C>          <C>           <C>              <C> 

                         SERIES                                          EXCESS         REQUIRED         REQUIRED       OUTSTANDING
SERIES  SERIES         ALLOCATION      INVESTED       SUBORDINATED       FUNDED       PARTICIPATION   PARTICIPATION     CERTIFICATE
NUMBER   NAME          PERCENTAGE       AMOUNT           AMOUNT          AMOUNT         PERCENTAGE         AMOUNT         BALANCE
- ------   ----          ----------       ------           ------          ------         ----------         ------         -------
        Trust                       $375,000,000.00  $68,257,946.75      $0.00             N/A      $15,000,000.00
1       Series 1996-1  100.00%      $375,000,000.00  $68,257,946.75      $0.00            4.00%     $15,000,000.00   $375,000,000.00
</TABLE>
<PAGE>
 
VW CREDIT, INC. -- SERVICER
12-JUN-96
<TABLE>
<CAPTION> 
                                    VOLKSWAGEN CREDIT AUTO MASTER TRUST, SERIES 1996-1
 
                                                  SERVICING CERTIFICATE
                                                  ---------------------
 
INITIAL AMOUNTS                                                                EXCESS SPREAD CALCULATION
- ---------------                                                                --------------------------
<S>                                       <C>                                  <C>                                   <C>
Initial Invested Amount                    $375,000,000.00                     Weighted Average Rate Charged to      8.63%
                                                                               Dealers
Invested Amount                            $375,000,000.00                     LIBOR                                 5.43%
Controlled Accumulation Amount             $          0.00                     Certificate Rate (LIBOR+16 b.p.)      5.59%
Required Subordinated Amount               $ 68,257,946.75                     Servicing Fee Rate                    1.00%
Annualized Servicing Fee Rate                         1.00%                    Investor Net Losses                   0.00%
                                                                                                                     ----
First Controlled Accumulation Date        TO BE DETERMINED                     Excess Spread                         2.04%
Accumulation Period Length (months)             N/A
Expected Final Payment Date                     N/A
Initial Settlement Date                          28-Mar-96
Required Participation Percentage                     4.00%
Subordinated Percentage                              14.29%

<CAPTION> 
SERIES 1996-1 MONTHLY REPORTING
- -------------------------------
                                                                                                              
                                                                                       REQUIRED            EXCESS
                                           SERIES 1996-1        INVESTED             SUBORDINATED         FUNDING
PRINCIPAL RECEIVABLES                          TOTAL             AMOUNT                 AMOUNT             AMOUNT
- ---------------------                          -----             ------                 ------             ------
<S>                                        <C>               <C>                     <C>                 <C>  
Series Allocation Percentage                        100.00%
Beginning Balance                          $375,000,000.00   $375,000,000.00             $68,257,946.75        0.00$
  Floating Allocation Percentage                     72.16%            72.16%
  Fixed Allocation Percentage                   N/A
 
Principal Collections                      $234,687,399.07   $234,687,399.07             N.A.               N.A.
New Principal Receivables                  $214,284,764.00   $214,284,764.00             N.A.               N.A.
Principal Default Amounts                  $          0.00   $          0.00             N.A.               N.A.
Receivables Added for Additional           $          0.00   $          0.00             N.A.               N.A.
 Accounts
Controlled Deposit Amount                  $          0.00               N/A             N.A.               N.A.
Principal Allocation Percentage
"Pool Factor"                                 100.00000000%
 
Ending Balance                             $375,000,000.00   $375,000,000.00             $68,858,107.41        0.00$
  Floating Allocation Percentage                     75.11%            75.11%
 
 
NON-PRINCIPAL RECEIVABLES
- -------------------------
 
Interest Collections                       $  2,627,680.24
Recoveries on Receivables Written Off      $          0.00
Investment Income                          $     16,679.16
 
</TABLE>
<PAGE>
 
VW CREDIT, INC. -- SERVICER                                         PAGE 4
12-JUN-96
  
              VOLKSWAGEN CREDIT AUTO MASTER TRUST, SERIES 1996-1
 
                             SERVICING CERTIFICATE
                             ---------------------

 
SUBORDINATED AMOUNT & RESERVE FUND           CURRENT      PREVIOUS
- ----------------------------------           -------      --------
 
Available Subordination Amount                       N/A       N/A
 (Previous)
  Required Subordination Draw Amount      $         0.00       N/A
  Reserve Fund Funds to Inv. Default      $         0.00       N/A
   Amount
  Excess Servicing (Previous Period)      $   591,613.71       N/A
                                          --------------
(a) Available Subordinated Amount?                   N/A       N/A
 
(b) Available Subordinated Amount?                   N/A       N/A
 
Available Subordinated Amount             $68,257,946.75       N/A
 
Incremental Subordinated Amount           $15,286,678.84       N/A
  Overconcentration Amount                $17,808,508.74       N/A
 
Beginning Reserve Fund Balance            $ 1,875,000.00       N/A
Reserve Fund Required Balance             $ 1,875,000.00       N/A
Reserve Fund Draw                         $         0.00       N/A
Reserve Fund Required Deposit             $         0.00       N/A
Reserve Fund Deposit Amount               $         0.00       N/A
Reserve Fund Release                      $         0.00       N/A
Ending Reserve Fund Balance               $ 1,875,000.00       N/A
 
REQUIRED INTEREST DISTRIBUTIONS
- -------------------------------
 
Available Interest Collections            $ 3,641,440.08       N/A
  Certificateholder Interest Collections  $ 2,627,680.24       N/A
  Subordinate Interest Collections        $   478,293.49       N/A
Investment Income                         $    16,679.16       N/A
Reserve Fund Balance                      $ 1,875,000.00       N/A
                                          --------------
Total Interest  Available                 $ 4,997,652.88       N/A
 
Interest Shortfall                        $         0.00       N/A
Additional Interest                       $         0.00       N/A
Carry-over Amount                         $         0.00       N/A
Carry-over Shortfall                      $         0.00       N/A
Additional Carry-over Shortfall           $         0.00       N/A
 
Monthly Servicing Fee                     $   424,561.50       N/A
Investor Monthly Servicing Fee            $   312,500.00       N/A


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