SIGNET STUDENT LOAN TRUSTS
8-K, 1997-02-28
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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: February 25, 1997




                                   SIGNET BANK
             (Exact name of registrant as specified in its charter)
               (Administrator of Signet Student Loan Trust 1996-A)







           Virginia                      33-94846-01            54-1088621
(State or other jurisdiction of          (Commission           (IRS Employer
        incorporation)                   File Number)        Identification No.)



7 North Eighth Street, Richmond, Virginia                               23219
   (Address of principal executive offices)                           (Zip Code)



              (Registrant's telephone number, including area code):
                                 (804) 771-7060



                     The exhibit index is located on page 4.
<PAGE>


Item 5              Other Events.

                    On February  25, 1997 the Signet  Student  Loan Trust 1996-A
                    made its regular,  monthly  distribution of funds to holders
                    of the Trust's Floating Rate Asset Backed Notes and Floating
                    Rate Asset Backed Certificates and distributed the Statement
                    to Noteholders and Certificateholders,  filed herewith as an
                    Exhibit  to this Form  8-K,  to the  Certificateholders  and
                    Noteholders of record.

Item 7 (c)          Exhibits.

                    The  following  are filed as exhibits  to this Report  under
                    Exhibit 1:

                    Signet  Student Loan Trust 1996-A  Statement to  Noteholders
                    and  Certificateholders  for the period from January 1, 1997
                    to January 31, 1997.


                                    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.


                                 SIGNET STUDENT LOAN TRUST 1996-A

                                 By:    SIGNET BANK



                                 By:     /s/ Suzanne Bachman
                                         ------------------------------
                                         Suzanne Bachman
                                         Senior Vice President


Date:  February 25, 1997


<PAGE>



                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549













                                    EXHIBITS

                                       TO

                                    FORM 8-K









                                   SIGNET BANK
             (Exact name of registrant as specified in its charter)
               (Administrator of Signet Student Loan Trust 1996-A)






<PAGE>





                                INDEX TO EXHIBITS






Exhibit
Number                  Exhibits


     1              Signet  Student Loan Trust 1996-A  Statement to  Noteholders
                    and  Certificateholders  for the  period  January 1, 1997 to
                    January 31, 1997.





Signet Student Loan Trust 1996-A
Statement to Noteholders and Certificateholders
Interest Payment Date:                2/25/97
Reporting Period:                     1/1/97-1/31/97
<TABLE>
<S> <C>
- -----------------------------------------------------------------------------------------------------------------------------------
I.       Deal Parameters

         --------------------------------------------------------------------------------------------
     A   Student Loan Portfolio Characteristics                       11/1/96             1/31/97
         --------------------------------------------------------------------------------------------
         i    Principal Balance                                     399,468,977.20     388,654,019.09
         ii   Interest to be Capitalized                              5,121,821.58       3,278,514.50
                                                               --------------------------------------
         iii  Pool Balance                                          404,590,798.78     391,932,533.59

     B   i    Weighted Average Coupon (WAC)                                 8.3280%            8.3567%
         ii   Weighted Average Remaining Term                               130.43             130.93
         iii  Number of Loans                                              103,208            101,125
         iv   Number of Borrowers                                           50,613             49,895
         --------------------------------------------------------------------------------------------



         ---------------------------------------------------------------------------------------------------------------------------
     C   Notes and Certificates                   Spread           Balance          % of Pool           Balance          % of Pool
                                                                   12/27/96                             2/25/97
         ---------------------------------------------------------------------------------------------------------------------------
         i    Class A-1 Notes   82668P AA3         0.09%     $252,000,000.00         58.819%      $  252,000,000.00         58.819%
         ii   Class A-2 Notes   82668P AB1         0.15%     $161,439,000.00         37.681%      $  161,439,000.00         37.681%
         iii  Certificates      82668P AC9         0.45%     $ 14,996,000.00          3.500%      $   14,996,000.00          3.500%
         ===========================================================================================================================
         iv   Total Notes and Certificates                   $428,435,000.00        100.000%      $  428,435,000.00        100.000%
         ===========================================================================================================================

     D   Reserve Account                                               12/27/96                               2/25/97
         ---------------                                               --------                               -------
         i    Reserve Account Initial Deposit ($)                 $   6,317,145.00
         ii   Specified Reserve Account Balance ($)               $   6,317,145.00                    $     6,082,617.61
         iii  Current Reserve Account Balance($)                  $   6,317,145.00                    $     6,317,145.00

     E   Pre-Funding Account                                            12/27/96                              2/25/97
         -------------------                                            --------                              -------
         i    Pre-Funding Account Initial Deposit ($)             $  16,552,201.22
         ii   Current Pre-Funding Account Balance ($)             $  16,552,201.22                    $    13,105,462.24

         ---------------------------------------------------------------------------------------------------------------------------


- ------------------------------------------------------------------------------------------------------------------------------------
<PAGE>
         ----------------------------- ---------------------------------------------------------------------
         II.           Transactions from:          1/1/97 through 1/31/97

              A   Student Loan Principal Activity
                  i    Regular Principal Collections                          $4,570,580.62
                  ii   Principal Collections from Guarantor                      $83,546.24
                  iii  Principal Reimbursements from Seller and/or Servicer           $0.00
                  iv   New Serial Loan Purchases (1)                                  $0.00
                  v    Liquidation Proceeds (principal)                               $0.00
                  vi   Recoveries                                                     $0.00
                  vii  Other System Adjustments                                       $0.00
                                                                        -------------------
                  viii Total Principal Collections                            $4,654,126.86


              B   Student Loan Non-Cash Principal Activity
                  i    Capitalized Interest                                     (397,720.15)
                  ii   Realized Losses                                                 0.00
                  iii  Other Adjustments                                         (36,329.78)
                                                                        -------------------
                  iv   Total Non-Cash Principal Activity                        (434,049.93)


                  -------------------------------------------------------------------------
              C   Total Student Loan Principal Activity                       $4,220,076.93
                  -------------------------------------------------------------------------


              D   Student Loan Interest Activity
                  i    Regular Interest Collections                           $1,781,846.39
                  ii   Interest Claims Received from Guarantors                   $2,283.46
                  iii  Interest Reimbursements from Seller and/or Servicer            $0.00
                  iv   Liquidation Proceeds (interest)                                $0.00
                  v    Other Systems Adjustments                                      $0.00
                  vi   Special Allowance Payments                                     $0.00
                  vii  Subsidy Payments                                               $0.00
                                                                        -------------------
                  viii Total Interest Collections                             $1,784,129.85


              E   Student Loan Non-Cash Interest Activity
                  i    Interest Accrual Adjustment                               ($3,202.67)
                  ii   Capitalized Interest                                     $397,720.15
                                                                        -------------------
                  iii  Total Non-Cash Interest Adjustments                      $394,517.48


                  -------------------------------------------------------------------------
              F   Total Student Loan Interest Activity                        $2,178,647.33
                  -------------------------------------------------------------------------

              (1)  No new Serial Loans were purchased during the current Monthly Collection Period.

         ---------------------------------------------------------------------------------------------------
<PAGE>
         -----------------------------------------------------------------------------------------------------
         III.     Collection Account Activity

              A   Principal Collections
                  i    Principal Payments Received--Cash                                         $4,654,126.86
                  ii   Cash Forwarded by Administrator on behalf of Seller and/or Servicer               $0.00
                  iii  Cash from the Pre-Funding Account for new Serial Loan Purchases                   $0.00
                                                                                         ---------------------
                  iv   Total Principal Collections                                               $4,654,126.86

              B   Interest Collections
                  i    Interest Payments Received--Cash                                          $1,784,129.85
                  ii   Cash Forwarded by Administrator on behalf of Seller and/or Servicer               $0.00
                  iv   Cash Forwarded by Eligible Lender for Special Allowance and
                          Subsidy Payments                                                               $0.00
                                                                                         ---------------------
                  v    Total Interest Collections                                                $1,784,129.85

              C   Capitalized Interest Amount                                                       397,720.15

              D   Investment Earnings                                                               170,076.81

              E   TOTAL FUNDS TRANSFERRED TO COLLECTION ACCOUNT                                  $7,006,053.67

              F   Servicing Fees Due for Current Monthly Collection Period                         $421,448.75

              G   Unpaid Servicing Fees due from Prior Monthly Collection Periods                        $0.00

              I   Administration Fees Due for Current Monthly Collection Period                     $13,486.36

              J   Unpaid Administration Fees Due from Prior Monthly Collection Periods                   $0.00

                  --------------------------------------------------------------------------------------------
              K   Total Fees Due for Period                                                        $434,935.11
                  --------------------------------------------------------------------------------------------


         -----------------------------------------------------------------------------------------------------
<PAGE>
- -----------------------------------------------------------------------------------------------------------------------------------
IV.      Portfolio Characteristics

                       -------------------------------------------------------------------------------------------------------------
                                   Weighted Average Coupon                   # of Loans                               %             
                                   -----------------------            --------------------               ---------------------------
                                   1/31/97        12/31/96            1/31/97     12/31/96               1/31/97            12/31/96
- ------------------------------------------------------------------------------------------------------------------------------------
STATUS:
In School                           8.0281%        8.0212%              3,648      3,542                  3.6074%            3.4812%
Grace                               8.0095%        8.0008%              1,184      1,039                  1.1708%            1.0212%
Repayment
   Current                          8.3822%        8.3706%             63,460     67,895                 62.7540%           66.7299%
   31-60 Days                       8.3152%        8.4024%              7,384      4,725                  7.3019%            4.6439%
   61-90 Days                       8.3984%        8.4432%              2,465      2,109                  2.4376%            2.0728%
   91-120 Days                      8.4791%        8.3916%              1,294      1,689                  1.2796%            1.6600%
   > 120 Days                       8.3624%        8.4179%              1,676      1,022                  1.6574%            1.0045%
                       -------------------------------------------------------------------------------------------------------------
   Total Repayment                  8.3777%        8.3755%             76,346     77,508                 75.4967%           76.1779%

Deferment                           8.3160%        8.3267%             12,017     11,774                 11.8833%           11.5720%
Forbearance                         8.3830%        8.3685%              7,927      7,883                  7.8388%            7.7477%
Claims (1)                          8.3491%        8.4526%                 70         68                  0.0692%            0.0668%
- ------------------------------------------------------------------------------------------------------------------------------------
                 Totals             8.3567%        8.3557%            101,125    101,746                100.0000%          100.0000%
- ------------------------------------------------------------------------------------------------------------------------------------

LOAN TYPE:
Consolidation                       8.6773%        8.6767%              5,739      5,752                  5.6752%            5.6533%
Subsidized Stafford                 8.1384%        8.1378%             69,472     69,912                 68.6991%           68.7123%
Unsub Stafford                      8.2080%        8.2100%             13,508     13,604                 13.3577%           13.3706%
SLS                                 8.7464%        8.7465%              5,940      5,980                  5.8739%            5.8774%
PLS                                 8.7484%        8.7485%              6,466      6,498                  6.3941%            6.3865%

- ------------------------------------------------------------------------------------------------------------------------------------
                 Totals             8.3567%        8.3557%            101,125    101,746                100.0000%          100.0000%
- ------------------------------------------------------------------------------------------------------------------------------------

SCHOOL TYPE:
2-year                              8.2686%        8.2641%              7,013      7,046                  6.9350%            6.9251%
4-year                              8.2403%        8.2407%             74,009     74,534                 73.1857%           73.2550%
Consolidation                       8.6773%        8.6767%              5,739      5,752                  5.6752%            5.6533%
Graduate                            8.2221%        8.2229%              1,392      1,392                  1.3765%            1.3681%
Proprietary/Vocational              8.3178%        8.3145%             10,142     10,179                 10.0292%           10.0043%
Not Identified                      8.2438%        8.2432%              2,830      2,843                  2.7985%            2.7942%
- ------------------------------------------------------------------------------------------------------------------------------------
                 Totals             8.3567%        8.3557%            101,125    101,746                100.0000%          100.0000%
- ------------------------------------------------------------------------------------------------------------------------------------
<PAGE>
                               
                                           Principal Amount                      %          
                                  -------------------------------       -------------------                    
                                     1/31/97          12/31/96           1/31/97   12/31/96 
- ------------------------------------------------------------------------------------------- 
STATUS:                                                                                     
In School                          12,172,904.75    11,795,938.72         3.1321%    3.0025%
Grace                               3,831,412.95     3,518,273.81         0.9858%    0.8955%
Repayment                                                                                   
   Current                        246,518,781.28   265,490,611.01        63.4289%   67.5765%
   31-60 Days                      27,518,956.82    18,135,474.87         7.0806%    4.6161%
   61-90 Days                       9,173,070.96     8,139,091.04         2.3602%    2.0717%
   91-120 Days                      4,971,904.42     6,247,606.76         1.2793%    1.5902%
   > 120 Days                       5,760,248.22     3,742,184.85         1.4821%    0.9525%
                       -------------------------------------------------------------------- 
   Total Repayment                294,207,945.66   302,058,310.55        75.6992%   76.8843%
                                                                                            
Deferment                          43,060,454.36    41,853,598.43        11.0794%   10.6532%
Forbearance                        35,381,309.67    33,647,974.51         9.1035%    8.5646%
Claims (1)                            264,975.66       303,342.02         0.0682%    0.0772%
- ------------------------------------------------------------------------------------------- 
                 Totals           388,654,019.09   392,874,096.02       100.0000%  100.0000%
- ------------------------------------------------------------------------------------------- 
                                                                                            
LOAN TYPE:                                                                                  
Consolidation                      99,185,689.71    99,629,919.50        25.5203%   25.3592%
Subsidized Stafford               196,642,826.92   199,281,006.85        50.5959%   50.7239%
Unsub Stafford                     46,572,756.97    47,170,413.85        11.9831%   12.0065%
SLS                                21,856,405.92    22,112,402.75         5.6236%    5.6284%
PLS                                24,396,339.57    24,680,353.07         6.2771%    6.2820%
                                                                                            
- ------------------------------------------------------------------------------------------- 
                 Totals           388,654,019.09   392,874,096.02       100.0000%  100.0000%
- ------------------------------------------------------------------------------------------- 
                                                                                            
SCHOOL TYPE:                                                                                
2-year                             18,031,041.13    18,255,382.21         4.6394%    4.6466%
4-year                            234,975,437.33   238,103,511.89        60.4588%   60.6056%
Consolidation                      99,185,689.71    99,629,919.50        25.5203%   25.3592%
Graduate                            6,842,640.99     6,886,299.72         1.7606%    1.7528%
Proprietary/Vocational             19,184,217.68    19,444,512.76         4.9361%    4.9493%
Not Identified                     10,434,992.25    10,554,469.94         2.6849%    2.6865%
- ------------------------------------------------------------------------------------------- 
                 Totals           388,654,019.09   392,874,096.02       100.0000%  100.0000%
- ------------------------------------------------------------------------------------------- 
(1) Claims Information

- -------------------------------------------------------------------------------------------------------------------------------
Claim Status           1/31/97        WAC         # of Loans          % of Loans       Principal Amount   % of Principal
- -------------------------------------------------------------------------------------------------------------------------------
Claims Pending (2)                  8.3491%           70                0.0692%      264,975.66               0.0682%
Aged Claims Rejected (3)            0.0000%            0                0.0000%            0.00               0.0000%
- -------------------------------------------------------------------------------------------------------------------------------
                       Totals       8.3491%           70                0.0692%      264,975.66               0.0682%
- -------------------------------------------------------------------------------------------------------------------------------
(2)  Claims filed and unpaid; includes claims rejected aged less than 6 months.
(3)  Claims rejected (subject to cure) aged 6 months or more;  also includes 
     claims deemed incurable pending repurchase.

- -------------------------------------------------------------------------------------------------------------------------------
<PAGE>
         ----------------------------------------------------------------------------------------------------------------------
         V.       Interest Calculation

              A   Borrower Interest Accrued During Collection Period                             $2,773,167.99
              B   Interest Subsidy Payments Accrued During Collection Period                       $285,029.21
              C   SAP Payments Accrued During Collection Period                                     $38,722.55
              D   Monthly Rebate Fees Accrued During Collection Period                             ($80,364.61)
              E   Investment Earnings                                                              $170,076.81
                                                                                         ---------------------
              F   Net Expected Interest Collections                                              $3,186,631.95


              G   Student Loan Rate
                  i    Days in Collection Period     1/1/97-1/31/97                                         31
                  ii   Net Expected Interest Collections                                         $3,186,631.95
                  iii  Servicing Fee                                                               $421,448.75
                  iv   Administration Fee                                                           $13,486.36
                  v    Total Pool Balance at Beginning of the Collection Period                 395,942,486.15
                  vi   Student Loan Rate                                                               8.07066%
                                                     Interest Dist.
                                                     --------------
                                                     Factor (per $1,000)Accrual Period
                                                     ---------------------------------
              H   Class A-1 LIBOR Based Interest Rate                                                  5.52750%
              I   Class A-1 Rate                        4.452708333     1/27/97-2/24/97                5.52750%
              J   Class A-2 LIBOR Based Interest Rate                                                  5.58750%
              K   Class A-2 Rate                        4.501041694     1/27/97-2/24/97                5.58750%
              L   Certificate LIBOR Based Interest Rate                                                5.88750%
              M   Certificate Rate                      4.742708055     1/27/97-2/24/97                5.88750%


         ----------------------------------------------------------------------------------------------------------------------
<PAGE>
         --------------------------------------------------------------------------------------------------------------------------
         VI.      Inputs From Previous Servicing Reports                    1/27/97


              A   Total Student Loan Pool Outstanding
                  i    Current Principal Balance                             392,874,096.02
                  ii   Interest to be Capitalized                              3,068,390.13
                                                                        -------------------
                  iii  Total Student Loan Pool Outstanding                   395,942,486.15

              B   Total Note and Certificate Factor                               1.0000000

              C   Total Note and Certificate Balance                        $428,435,000.00



                  ---------------------------------------------------------------------------------------------------------------
              D   Balance                          1/27/97                       Class A-1         Class A-2         Certificates
                  ---------------------------------------------------------------------------------------------------------------
                  i    Current Factor 1/27/97                                  1.0000000000       1.0000000000       1.0000000000
                  ii   Principal Shortfall                                             0.00               0.00               0.00
                  iii  Expected Balance                                      252,000,000.00     161,439,000.00      14,996,000.00
                                                                        ---------------------------------------------------------
                  iv   Balance                                               252,000,000.00     161,439,000.00      14,996,000.00
              E   Interest Shortfall                                                   0.00               0.00               0.00
              F   Interest Carryover                                                   0.00               0.00               0.00
                  ---------------------------------------------------------------------------------------------------------------


              G   Reserve Account Balance                                  $   6,317,145.00
              H   Pre-Funding Account Balance                              $  13,503,182.39
              I   Unpaid Servicing Fees from Prior Month(s)                            0.00
              J   Unpaid Administration fees from Prior Month(s)                       0.00


         --------------------------------------------------------------------------------------------------------------------------
<PAGE>
         ---------------------------------------------------------------------------------------------------------------------------
         VII. Waterfall for Distributions
                                                                                                                      Remaining
                                                                                                                    Funds Balance
                                                                                                                -------------------
              A   Monthly Available Funds remaining from Prior Monthly Collection Periods       $13,300,180.37     $13,300,180.37

              B   Monthly Available Funds for Current Monthly Period                             $7,006,053.67     $20,306,234.04

              C   Draws from Reserve Fund                                                                $0.00     $20,306,234.04

              D   Servicing Fees due for Current Monthly Period and unpaid from Prior Months       $421,448.75     $19,884,785.29

              E   Administration Fees due for Current Monthly Period and unpaid from
                  Prior Months                                                                      $13,486.36     $19,871,298.93

              F   Noteholders' Interest Distribution Amount
                  i                   Class A-1                                                  $1,122,082.50     $18,749,216.43
                  ii                  Class A-2                                                    $726,643.67     $18,022,572.76
                                                                                           -------------------
                  iii                 Total Noteholders' Interest Distribution                   $1,848,726.17

              G   Certificateholders' Interest Distribution Amount                                  $71,121.65     $17,951,451.11

              H   Monthly Available Funds Remaining                                             $17,951,451.11


         ---------------------------------------------------------------------------------------------------------------------------
<PAGE>
         ---------------------------------------------------------------------------------------------------------------------------
         VIII.Distributions

              --------------------------------------------------------------------------------------------------------------------
          A   Distribution Amounts                                              Class A-1           Class A-2         Certificates
              --------------------                                              ---------           ---------         ------------
              i        Monthly Interest Due                                   $1,122,082.50        $726,643.67         $71,121.65
              ii       Monthly Interest Paid                                  $1,122,082.50        $726,643.67         $71,121.65
                                                                        ---------------------------------------------------------
                       Interest Shortfall                                             $0.00              $0.00              $0.00

              iii      Interest LIBOR Carryover Due                                   $0.00              $0.00              $0.00
              iv       Interest LIBOR Carryover Paid                                  $0.00              $0.00              $0.00
                                                                        ---------------------------------------------------------
                       Interest LIBOR Carryover                                       $0.00              $0.00              $0.00

              v        Interest Carryover Shortfall Due                               $0.00              $0.00              $0.00
              vi       Interest Carryover Shortfall Paid                              $0.00              $0.00              $0.00
                                                                        ---------------------------------------------------------
                       Carryover Shortfall                                            $0.00              $0.00              $0.00
              -------------------------------------------------------------------------------------------------------------------
              vii      Total Distribution Amount                              $1,122,082.50        $726,643.67         $71,121.65
              -------------------------------------------------------------------------------------------------------------------

          B   Total Interest Distribution                                     $1,919,847.82
                                                                          -----------------
          C   Total Cash Distributions-Notes and Certificates                 $1,919,847.82

              -----------------------------------------------------------------------------
          D   Note & Certificate Balances                     2/25/97           1/27/97
              ---------------------------                     -------           -------
              i        A-1 Note Balance                  $  252,000,000.00  $252,000,000.00
                       A-1 Note Pool Factor                   1.0000000000     1.0000000000

              ii       A-2 Note Balance                     161,439,000.00   161,439,000.00
                       A-2 Note Pool Factor                   1.0000000000     1.0000000000

              iii      Certificate Balance                   14,996,000.00    14,996,000.00
                       Certificate Pool Factor                1.0000000000     1.0000000000

              -----------------------------------------------------------------------------

          G   Reserve Account Reconciliation
              i        Beginning of Period Balance                                               $6,317,145.00
              ii       Draws for payment of:
                          Servicing Fees                                                                 $0.00
                          Administration Fees                                                            $0.00
                          Noteholders' Interest Distribution Amount                                      $0.00
                          Certificateholders' Interest Distribution Amount                               $0.00
                          Noteholders' Principal Distribution Amount                                     $0.00
                          Certificateholders' Principal Distribution Amount                              $0.00
                                                                                            ------------------
              iii      Total Reserve Account Balance Available                                   $6,317,145.00
              iv       Specified Reserve Account Balance                                         $6,082,617.61
              v        Ending Reserve Account Balance                                            $6,317,145.00

          H   Pre-Funding Account Reconciliation
              i        Beginning of Period Balance                                          $    13,503,182.39
              ii       Draw for Accrued Interest                                                   $397,720.15
              iii      Draw for Serial Loan Purchases                                                    $0.00
                                                                                           -------------------
              iv       Current Pre-Funding Account Balance                                  $    13,105,462.24

         --------------------------------------------------------------------------------------------------------------------------
</TABLE>




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