KEY CONSUMER ACCEPTANCE CORP
8-K, 1999-08-25
ASSET-BACKED SECURITIES
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<PAGE>   1
                       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):  August 16, 1999
                                                   ---------------

                       KEY CONSUMER ACCEPTANCE CORPORATION
             (Exact Name of Registrant as Specified in its Charter)


          Delaware                       333-38211               52-1995940
- --------------------------------------------------------------------------------
(STATE OR OTHER JURISDICTION OF   (COMMISSION FILE NUMBER)   (I.R.S. EMPLOYER
INCORPORATION)                                               IDENTIFICATION NO.)


c/o Key Bank USA, National Association, as Servicer, 4910 Tiedeman Road,
- --------------------------------------------------------------------------------
Brooklyn, Ohio 44144, Attn: Yvonne M. Etling
- --------------------------------------------------------------------------------
                               (Address of Principal Executive Offices)

Registrant's Telephone Number, Including Area Code:  (216) 813-6501
                                                     ---------------------------


                             Exhibit Index on Page 4
                                Page 1 of 6 pages


<PAGE>   2



Item 5.       OTHER EVENTS

On August 16, 1999, Key Auto Finance Trust 1997-1 (the "Trust") made its regular
monthly distribution of funds to holders of the Trust's Asset Backed Notes and
Certificates and distributed the Noteholders and Certificateholders Statement,
filed herewith as an Exhibit to this Form 8-K, to Noteholders and
Certificateholders of record.

The Trust is hereby filing the Noteholders and Certificateholders Statement
reflecting the Trust's activities for the period ending July 31, 1999, including
a statistical summary of the delinquency and default characteristics of the
Trust's auto loan portfolio as of such date.

Item 7.       EXHIBITS

Exhibit 20 -  Noteholders and Certificateholders Statement







<PAGE>   3




                                    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.


Date:  August 24, 1999


                                      Key Consumer Acceptance Corporation



                                      By:  /S/ Craig Platt
                                           ---------------
                                           Craig Platt


<PAGE>   4




                                  EXHIBIT INDEX





EXHIBIT


                                                                           Page

20 - Noteholders and Certificateholders Statement for August 16, 1999.      5-6


<PAGE>   1
                          KEY AUTO FINANCE TRUST 1997-1
             MONTHLY STATEMENT TO NOTEHOLDERS AND CERTIFICATEHOLDERS
                          Servicer: Key Bank USA, N.A.
                    Indenture Trustee: Bankers Trust Company
                  Owner Trustee: Chase Manhattan Bank Delaware

<TABLE>
<CAPTION>

Collection Period:  July 1 to July 31, 1999
Distribution Date:  August 16, 1999


Statement for Class A and Class B Noteholders and Certificateholders                     Per $1,000 of Original
Pursuant to Section 5.6 of the Sale and Servicing Agreement                                  Class A/Class B
                                                                                            Certificate Amount
                                                                                      -----------------------------
<S>                                                                                <C>                    <C>
(i)  Principal Distribution
          Class A-1 Note  Amount                                                           0.00             0.0000000
          Class A-2 Note  Amount                                                   6,877,792.20           104.2089727
          Class A-3 Note  Amount                                                           0.00             0.0000000
          Class B  Note  Amount                                                            0.00             0.0000000
          Certificates  Amount                                                             0.00             0.0000000


(ii)  Interest Distribution
          Class A-1 Note  Amount                                                           0.00             0.0000000
          Class A-2 Note  Amount                                                     127,613.94             1.9335445
          Class A-3 Note  Amount                                                     236,472.63             5.1250000
          Class B  Note  Amount                                                      140,304.00             5.3333333
          Certificates  Amount                                                       112,535.50             6.4166667

(iii) Total Pool Balance of Notes and Certificates (end of Collection Period)    108,420,062.91


(iv)  Class A-1 Notes Balance (end of Collection Period)                                   0.00
      Class A-1 Pool Factor (end of Collection Period)                                                      0.0000000
      Class A-2 Notes Balance (end of Collection Period)                          18,434,062.91
      Class A-2 Pool Factor (end of Collection Period)                                                      0.2793040
      Class A-3 Notes Balance (end of Collection Period)                          46,141,000.00
      Class A-3 Pool Factor (end of Collection Period)                                                      1.0000000
      Class B Notes Balance (end of Collection Period)                            26,307,000.00
      Class B Pool Factor (end of Collection Period)                                                        1.0000000
      Certificates Balance (end of Collection Period)                             17,538,000.00
      Certificates Pool Factor (end of Collection Period)                                                   1.0000000

(v)   Basic Servicing Fee                                                             96,081.55             0.2107116


(vi)  Aggregate Net Losses                                                           380,686.09
      Aggregate Realized Losses                                                      557,055.84
      Cummulative Net Losses for all periods                                      21,006,575.07

(vii) Reserve Account Balance after Giving Effect to Payments                      6,839,790.00
      Made on Distribution Date
      Specified Reserve Account Balance after Giving Effect to Payments            6,839,790.00
      Made on Distribution Date
      Draws on Reserve Account                                                             0.00
      Deposits to Reserve Account                                                          0.00
</TABLE>

                                     Page 1


<PAGE>   2

                          KEY AUTO FINANCE TRUST 1997-1
             MONTHLY STATEMENT TO NOTEHOLDERS AND CERTIFICATEHOLDERS
                          Servicer: Key Bank USA, N.A.
                    Indenture Trustee: Bankers Trust Company
                  Owner Trustee: Chase Manhattan Bank Delaware

<TABLE>
<CAPTION>

Collection Period:  July 1 to July 31, 1999
Distribution Date:  August 16, 1999

Statement for Class A and Class B Noteholders and Certificateholders                     Per $1,000 of Original
Pursuant to Section 5.6 of the Sale and Servicing Agreement                                   Class A/Class B
                                                                                            Certificate Amount
                                                                                      -----------------------------
<S>                                                                              <C>                        <C>


(viii)  Class A-1 Notes Interest Carryover Shortfall                                       0.00             0.0000000
        Class A-2 Notes Interest Carryover Shortfall                                       0.00             0.0000000
        Class A-3 Notes Interest Carryover Shortfall                                       0.00             0.0000000
        Class B Notes Interest Carryover Shortfall                                         0.00             0.0000000
        Certificates Interest Carryover Shortfall                                          0.00             0.0000000
        Class A-1 Notes Principal Carryover Shortfall                                      0.00             0.0000000
        Class A-2 Notes Principal Carryover Shortfall                                      0.00             0.0000000
        Class A-3 Notes Principal Carryover Shortfall                                      0.00             0.0000000
        Class B Notes Principal Carryover Shortfall                                        0.00             0.0000000
        Certificates Principal Carryover Shortfall                                         0.00             0.0000000


(ix)    Additional Principal Distributable Amount                                          0.00


(x)     Aggregate Purchase Amount of Receivables Repurchased by the Seller                 0.00
        or purchased by Servicer

(xi)    Delinquent Contracts
                                                                                            Number                    Balance
                                                                                ----------------------------------------------------
           30-59 Days                                                                        535                   4,208,229.56
           60-89 Days                                                                        122                   1,042,275.69
           90 Days or More                                                                    99                     760,664.11
           Financed Vehicles repossessed but not yet Charged-off                              42                     290,076.42


ADDITIONAL INFORMATION REQUESTED BY BLOOMBERG:
- ----------------------------------------------

Weighted Average Coupon of Remaining Portfolio (WAC)                                  0.1281011
Weighted Average Remaining Term of Remaining Portfolio                               30.0380267

Net Loss Ratio as of Each Collection Period
     (i)   Second Preceding Collection Period                                         0.0015013
     (ii)  Preceding Collection Period                                                0.0025224
     (iii) Current Collection Period                                                  0.0033018
     (iv)  Three Month Average                                                        0.0024418

Ending Portfolio Balance                                                         108,420,062.91


</TABLE>


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