FIFTH THIRD BANK AUTO TRUST 1996-A
8-K, 1998-08-19
ASSET-BACKED SECURITIES
Previous: PEAK INTERNATIONAL LTD, 424B3, 1998-08-19
Next: BOSTON PROPERTIES INC, S-3, 1998-08-19



<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 17, 1998

                              THE FIFTH THIRD BANK
             (Exact name of registrant as specified in its charter)

           Ohio                         333-856                31-0854433
(State or other jurisdiction          (Commission             (IRS Employer
     of incorporation)                 File Number)         Identification No.)

38 Fountain Square Plaza, Cincinnati, Ohio                           45263
  (Address of principal executive offices)                        (Zip code)

Registrant's telephone number, including area code: (513) 579-5300

                                 Not Applicable


             (Former name or address, if changed since last report.)
<PAGE>   2

Item 5.    Other Events

           None.

Item 7.    Financial Statements and Exhibits

           Exhibit 20 - Monthly Servicing Report

                               SIGNATURES

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.

                                                    The Fifth Third Bank
                                                    (Registrant)

Date:  August 17, 1998                              /s/ Roger W. Dean
                                                    -------------------------
                                                    Roger W. Dean, Controller



<PAGE>   1

FIFTH THIRD BANK AUTO RECEIVABLES TRUST 1996-A                      EXHIBIT 20
Monthly Statement to Certificateholders
Servicer:  The Fifth Third Bank
Trustee:  Harris Trust and Savings Bank
<TABLE>
<CAPTION>

                                                Collection Period:          1-Jul-98             31-Jul-98
                                                Distribution Date:         17-Aug-98

                                                                                                Per $1,000 of
                                                                                                  Original
Statement for Class A and Class B Certificateholders Pursuant                                 Class A/Class B
  to Section 4.7 of the Pooling and Servicing Agreement                                      Certificate Amount
<S>                                                                      <C>                 <C>             

(i)    Principal Distribution
           Class A Certificate Amount                                    $   6,985,998.64    $    17.91252689
           Class B Certificate Amount                                    $     329,183.18    $    17.91180651

(ii)   Interest Distribution
           Class A Certificate Amount                                    $     487,584.10    $     1.25019539
           Class B Certificate Amount                                    $      23,534.93    $     1.28060344

(iii)  Servicing Fee                                                     $      82,348.88    $     0.20164555

(iv)   Class A Certificate Balance (after principal distributions)       $  87,385,117.85
       Class A Pool Factor (after principal distributions)                      0.2240608
       Class B Certificate Balance (after principal distributions)       $   4,118,362.33
       Class B Pool Factor (after principal distributions)                      0.2240920

(v)    Total Pool Balance (end of Collection Period)                     $  91,503,480.18

                                                                         Current Period          Cumulative
                                                                         ----------------    ----------------

(vi)   Defaulted Receivable                                              $     212,051.31    $  12,281,135.84
       Liquidation Proceeds                                                    259,041.04        6,194,584.90
                                                                         ================    ================
       Aggregate Net Losses                                              $     (46,989.73)   $   6,086,550.94
                                                                         ================    ================
(vii)  Aggregate Principal Balance of Receivables
         Repurchased by Seller or Servicer:
           Principal Portion                                             $           --
           Interest Portion                                              $           --

(viii) Class A Interest Carryover Shortfall                              $           --
       Class B Interest Carryover Shortfall                              $           --
       Class A Principal Carryover Shortfall                             $           --
       Class B Principal Carryover Shortfall                             $           --

(ix) Reserve Account Balance (after giving effect to payments made
           on the Distribution Date)                                     $ 6,125,764.72

(x) Specified Reserve Account Balance (after giving effect to payments
           made on the Distribution Date)                                $ 6,125,764.72
</TABLE>


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