ADVANTA BUSINESS SERVICES CORP
8-K, 2000-05-15
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


                                  May 10, 2000

                         ADVANTA BUSINESS SERVICES CORP.
             ------------------------------------------------------
             (Exact name of registrant as specified in its charter)

<TABLE>
<S>                                           <C>                    <C>
                 Delaware                         333-38575                    23-2333786
- ---------------------------------------        ----------------       -------------------------------
             (State or Other                   (Commission File       (I.R.S. Employer Identification
      Jurisdiction of Incorporation)               Number)                            No.)


          1020 Laurel Oak Road
          Voorhees, New Jersey                                                     08043
- ---------------------------------------                                ------------------------------
(Address of Principal Executive Offices)                                           (Zip Code)
</TABLE>


        Registrant's telephone number, including area code (609) 782-7300
                                                           --------------
                                    No Change
        -----------------------------------------------------------------
          (Former name or former address, if changed since last report)


                      ADVANTA LEASING RECEIVABLES CORP. IV
             ------------------------------------------------------
            (Exact name of registrant as specified in its charter)

<TABLE>
<S>                                                <C>                   <C>
                  Nevada                             333-38575-01                   88-0387072
 --------------------------------------------       ---------------      -------------------------------
(State or Other Jurisdiction of Incorporation)     (Commission File      (I.R.S. Employer Identification
                                                        Number)                        No.)


            1325 Airmotive Way
               Reno, Nevada                                                          89502
- ---------------------------------------------                                      ----------
   (Address of Principal Executive Offices)                                        (Zip Code)

</TABLE>


        Registrant's telephone number, including area code (702) 322-2221
                                                           --------------

                                    No Change
          -------------------------------------------------------------
          (Former name or former address, if changed since last report)


                      ADVANTA LEASING RECEIVABLES CORP. V
             ------------------------------------------------------
            (Exact name of registrant as specified in its charter)

<TABLE>
<S>                                                <C>                   <C>
                  Nevada                             333-38975-02                   88-0387073
 --------------------------------------------       ---------------      -------------------------------
(State or Other Jurisdiction of Incorporation)     (Commission File      (I.R.S. Employer Identification
                                                        Number)                        No.)


            1325 Airmotive Way
               Reno, Nevada                                                          89502
- ---------------------------------------------                                      ----------
   (Address of Principal Executive Offices)                                        (Zip Code)

</TABLE>


        Registrant's telephone number, including area code (702) 322-2221
                                                           --------------

                                    No Change
          -------------------------------------------------------------
          (Former name or former address, if changed since last report)

<PAGE>   2
Item 7.  Financial Statements and Exhibits


         The following exhibit is furnished herewith:

         21       Monthly Servicer's Certificate issued on May 10, 2000 relating
                  to the Equipment Receivables Asset-Backed Notes, Series
                  1998-1, prepared by the Servicer and sent to the Trustee
                  pursuant to Section 3.06(a) of the Series 1998-1 Supplement
                  dated as of April 14, 1998 covering the period of April 1,
                  2000 through April 30, 2000.


                                                                               3
<PAGE>   3
                                   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 thereunto duly authorized.


                                              ADVANTA BUSINESS SERVICES CORP.,
                                              As Registrant

                                              By       /s/  JOHN PARIS
                                                     -------------------
                                              Name:    John Paris
                                              Title:   Senior Vice President


Dated:   May 10, 2000


                                                                               4
<PAGE>   4
         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.


                                           ADVANTA LEASING RECEIVABLES CORP. IV,
                                           As Registrant

                                           By       /s/  JOHN PARIS
                                                  -------------------
                                           Name:    John Paris
                                           Title:   Director


Dated:  May 10, 2000


                                                                               5
<PAGE>   5
         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.


                                          ADVANTA LEASING RECEIVABLES CORP. V,
                                          As Registrant

                                          By       /s/  JOHN PARIS
                                                 -------------------
                                          Name:    John Paris
                                          Title:   Director


Dated:   May 10, 2000


                                                                               6
<PAGE>   6
                                  Exhibit Index


<TABLE>
<CAPTION>
Exhibit No.                                                                              Page
- -----------                                                                              ----
<S>              <C>                                                                     <C>
       21.1      Monthly Servicer's Certificate dated May 10, 2000 prepared by the        8
                  Servicer and sent to the Trustee pursuant to Section 3.06(a)
                  of the Series 1998-1 Supplement covering the period of April
                  1, 2000 through April 30, 2000.
</TABLE>


                                                                               7

<PAGE>   1
ASSET-BACKED FINANCING FACILITY
ADVANTA BUSINESS SERVICES CORP., AS SERVICER
MONTHLY SERVICER CERTIFICATE

COLLECTION PERIOD:                               April 1, 2000 - April 30, 2000
                                                 ------------------------------

SETTLEMENT DATE:                                            15-May-00
                                                 ------------------------------

<TABLE>
<S>                                                                                           <C>               <C>
A.    SERIES INFORMATION
      ------------------

      Advanta Leasing Receivables Corp. IV and
      ADVANTA LEASING RECEIVABLES CORP. V
      EQUIPMENT RECEIVABLES ASSET-BACKED NOTES,
      SERIES 1998-1

I.    SERIES INFORMATION  INCLUDING PLEDGED PROPERTY CONVEYED

      (a.)      Beginning Aggregate Contract Principal Balance  ("ACPB") ..................                     $  169,230,556.73
                                                                                                                -----------------
      (b.)      Contract Principal Balance of all Collections allocable to Contracts ......   $  9,667,193.79
                                                                                              ---------------
      (c.)      Contract Principal Balance of Charged-Off Contracts .......................   $    914,488.80
                                                                                              ---------------
      (d.)      Total decline in Principal Balance ........................................                     $   10,581,682.59
                                                                                                                -----------------


      (e.)      Ending Aggregate Contract Principal Balance of all Contracts as of this
                Settlement Date ...........................................................                     $  158,648,874.14
                                                                                                                -----------------

                BALANCES ON THIS SETTLEMENT DATE AFTER PAYMENT ON THE RELATED PAYMENT DATE
                --------------------------------------------------------------------------
      (f.)      Class A Principal Balance as of this Settlement Date ......................                     $  140,118,572.05
                                                                                                                -----------------
                (Class A Note Factor) ....................  0.4230633
                                                            ---------------------
      (g1.)     Class A-1 Principal Balance. (Note Factor)  0.0000000                                       --
                                                            ---------------------            -----------------
      (g2.)     Class A-2 Principal Balance. (Note Factor) 0.3732556                        $   70,918,572.05
                                                            ---------------------            -----------------
      (g3.)     Class A-3 Principal Balance. (Note Factor) 1.0000000                        $   23,300,000.00
                                                            ---------------------            -----------------
      (g4.)     Class A-4 Principal Balance. (Note Factor) 1.0000000                        $   45,900,000.00
                                                            ---------------------            -----------------
      (h.)      Class B Principal Balance as of this Settlement Date ......................                     $    8,011,973.18
                                                                                                                -----------------
                (Class B Note Factor) ....................  0.4230633
                                                            ---------------------
      (i.)      Class C Principal Balance as of this Settlement Date ......................                     $      993,318.27
                                                                                                                -----------------
                (Class C Note Factor) ....................  0.1007218
                                                            ---------------------
      (l.)      Class D Principal Balance as of this Settlement Date ......................                     $    9,525,010.64
                                                                                                                -----------------
                (Class D Note Factor) ....................  0.6349878
                                                            ---------------------

II.   COMPLIANCE RATIOS
      -----------------
      (a.)      Aggregate Contract Balance Remaining ("CBR") of all Contracts as of the
               related Calculation Date ....................................................                    $  172,668,967.79
                                                                                                                -----------------
      (b1.)     % of CBR 31 days or more delinquent as of the related Calculation Date .....                                 8.23%
                                                                                                                -----------------
      (b2.)     Preceeding Month %:                       Mar-00 ...........................                                 8.08%
                                                          ---------------------                                 -----------------
      (b3.)     2nd Preceeding Month %:                   Feb-00 ...........................                                8.90%
                                                          ---------------------                                 -----------------
      (b4.)     Three month rolling average % of CBR 31 days or more delinquent ............                                 8.40%
                                                                                                                -----------------


      (c.)      Does the three month rolling average % of CBR which are 31 days or more
                delinquent exceed 10.5%? . Y or N. .........................................                                   NO
                                                                                                                -----------------


                (Amortization Period Only)
      (d)       Cumulative Net Loss Percentage as of the related Collection Period .........                                 2.30%
                                                                                                                -----------------
                Does the Cumulative Net Loss Percentage exceed
      (d1.)     4.0 % from the Beginning Period to and including 12th Collection Period?
                Y or N .....................................................................                                  N/A
                                                                                                                -----------------
      (d2.)     5.5 % from 13th Collection Period to and including 24th Collection
                Period? Y or N .............................................................                                   NO
                                                                                                                -----------------
      (d3.)     7.0 % from 25th Collection Period and thereafter? Y or N ...................                                  N/A
                                                                                                                -----------------
                (If Yes to e1 or e2 or e3, then a Residual Event occurs)

      (e1.)     Residual Realization for the related Collection Period  Greater Than 100%
                (YES/NO)                                                                                                      YES
                                                                                                                -----------------
      (e2.)     Preceeding Month:                        Mar-00  Greater Than 100% (YES/NO)                                   YES
                                                         ----------------------------------                     -----------------
      (e3.)     2nd Preceeding Month:                    Feb-00  Greater Than 100% (YES/NO)                                   YES
                                                         ----------------------------------                     -----------------
      (e4.)     Three month rolling average Residual Realization Ratio  Greater Than 100%
                (YES/NO) ...................................................................                                  YES
                                                                                                                -----------------
                (If less than 100%, then a Residual Event Occurs)


III.  FLOW OF FUNDS
      -------------
                The amount of available funds on deposit in the Series 1998-1 Facility
                Account ....................................................................                    $ 12,101,863.86
                                                                                                                ---------------


            (1) On the Payment Date which is also the Amortization Date and each
                Payment Date thereafter
                ----------------------------------------------------------------

      (a.)      To the Servicer, Unrecoverable Servicer Advances ...........................
                                                                                                                ---------------
      (b.)      To the Servicer, if ABS is not the Servicer, Servicing Fee and
                Ancillary Servicing Income, if any .........................................
                                                                                                                ---------------

                To Series 1998-1 Noteholders:
                -----------------------------
      (c.)      To Class A, the total Class A Note Interest and Class A Overdue Interest
                for the related period. ....................................................                    $    733,157.72
                                                                                                                ---------------
                                   Interest on Class A-1 Notes .............................  $            --
                                                                                              ---------------
</TABLE>


                                  Page 1 of 3
<PAGE>   2
<TABLE>
<S>                                                                                           <C>               <C>
                                   Interest on Class A-2 Notes .............................  $    389,281.89
                                                                                              ---------------
                                   Interest on Class A-3 Notes .............................  $    115,140.83
                                                                                              ---------------
                                   Interest on Class A-4 Notes .............................  $    228,735.00
                                                                                              ---------------
      (d.)      Interest on Class B Notes for the related period ...........................                    $     43,444.01
                                                                                                                ---------------
      (e.)      Interest on Class C Notes for the related period ...........................                    $      9,166.46
                                                                                                                ---------------

      (f.)      To Series 1998-1 Noteholders:
                -----------------------------
                To Class A, the total Principal Payment and Class A Overdue Principal,
                if any .....................................................................                       9,345,734.49
                                                                                                               ----------------
                                   Principal Payment to Class A-1 Noteholders ..............              N/A
                                                                                              ---------------
                                   Principal Payment to Class A-2 Noteholders ..............  $  9,345,734.49
                                                                                              ---------------
                                   Principal Payment to Class A-3 Noteholders ..............              N/A
                                                                                              ---------------
                                   Principal Payment to Class A-4 Noteholders ..............              N/A
                                                                                              ---------------
                To Class B for Principal Payment and Overdue Principal, if any .............                         534,388.65
                                                                                                               ----------------
                To Class C for Principal Payment and Overdue Principal, if any .............                         701,559.46
                                                                                                               ----------------

      (g)       Overdue Principal (included in the Principal Payments per above, if any):
                -------------------------------------------------------------------------
                To Class A, total for Overdue Principal ....................................              N/A
                                                                                              ---------------
                                   Overdue Principal to Class A-1      N/A
                                                                       ---------------------
                                   Overdue Principal to Class A-2      N/A
                                                                       ---------------------
                                   Overdue Principal to Class A-3      N/A
                                                                       ---------------------
                                   Overdue Principal to Class A-4      N/A
                                                                       ---------------------
                To Class B for Overdue Principal ...........................................               N/A
                                                                                              ----------------
                To Class C for Overdue Principal ...........................................               N/A
                                                                                              ----------------

      (h1.)     Until the Reserve Account Funding Date:
                ---------------------------------------
                To the Reserve Account, the amount equal to the Servicing Fee
                otherwise payable to ABS ...................................................                                N/A
                                                                                                               ----------------

      (h2.)     After the Reserve Account Funding Date:
                ---------------------------------------
                To the Servicer, ABS, the Servicing Fee plus Ancillary Servicing
                Income, if any .............................................................                         141,025.46
                                                                                                               ----------------

      (i.)      To the Reserve Account, the amount needed to increase the amount on
                deposit in the Reserve Account to the Required Reserve Amount for such
                Payment Date ...............................................................                                N/A
                                                                                                               ----------------

      (j.)      Upon the occurrence of a Residual Event                       the lesser of:
                ----------------------------------------------------------------------------
      (j1.)     (A) the Available Funds remaining on deposit in the Facility Account and ...               N/A
                                                                                              ----------------
      (j2.)     (B) the aggregate amount of Residual Receipts included in Available Funds ..               N/A
                                                                                              ----------------
      (j3.)     To be deposited to the Residual Account ....................................                                N/A
                                                                                                               ----------------

      (k.)      To Class D Noteholders for Principal Payment ...............................                                 --
                                                                                                               ----------------
      (l.)      To Class D Noteholders for Overdue Principal, if any .......................                                N/A
                                                                                                               ----------------

            (3) To ABS, the Servicing Fee previously due, but deposited to the Reserve
                Account ....................................................................                   $             --
                                                                                                               ----------------

            (4) To the Series Obligors, as holders of the Residual Interest, any Available
                Funds remaining on deposit in the Facility Account .........................                   $     593,387.62
                                                                                                               ----------------

IV.   SERVICER ADVANCES
      -----------------
      (a.)      Aggregate amount of Servicer Advances at the beginning of the related
                Collection Period ..........................................................                       3,143,738.84
                                                                                                               ----------------
      (b.)      Servicer Advances reimbursed during the related Collection Period ..........                          90,162.88
                                                                                                               ----------------
      (c.)      Amount of unreimbursed Servicer Advances to be reimbursed on the
                Settlement Date ............................................................                                 --
                                                                                                               ----------------
      (d.)      Servicer Advances made during the related Collection Period ................                         158,305.69
                                                                                                               ----------------
      (e.)      Aggregate amount of Servicer Advances at the end of the Collection
                Period .....................................................................                   $   3,211,881.65
                                                                                                               ----------------


V.    RESERVE ACCOUNT
      ---------------
      (a.)      Amount on deposit at the beginning of the related Collection Period ........                   $   5,190,430.25
                                                                                                               ----------------
      (b.)      Amounts used to cover shortfalls, if any,  for the related Collection Period                   $             --
                                                                                                               ----------------
      (c.)      Amounts transferred from the Facility Account, if applicable ...............                   $             --
                                                                                                               ----------------
      (d.)      Interest earned on Reserve Balance .........................................                   $      25,455.96
                                                                                                               ----------------
      (e.)      Reserve Account Ending Balance before calculating Required Reserve Amount ..                   $   5,215,886.21
                                                                                                               ----------------

                                                                                                               ----------------
      (f.)      Required Reserve Amount needed as of the related Collection Period .........                   $   4,846,525.56
                                                                                                               ----------------

      (g1.)     If (f) is greater than (e), then amount of shortfall .......................                               0.00
                                                                                                               ----------------
      (g2.)     If (e) is greater than (f), then excess amount to be transferred to the
                Series Obligors ............................................................                         369,360.64
                                                                                                               ----------------

      (h.)      Amounts on deposit as of this Settlement Date (e minus g2) .................                   $   4,846,525.56
                                                                                                               ----------------



VI.   RESIDUAL ACCOUNT
      ----------------
      (a.)      Amount on deposit at the beginning of the related Collection Period ........                               0.00
                                                                                                               ----------------
      (b.)      Amounts transferred from the Facility Account ..............................                               0.00
                                                                                                               ----------------
      (c.)      Amounts used to cover shortfalls for the related Collection Period .........                               0.00
                                                                                                               ----------------
      (d.)      Amount on deposit as of this Settlement Date ...............................                               0.00
                                                                                                               ----------------

VII.  ADDITIONAL PROPERTY FUNDING ACCOUNT
      -----------------------------------
      (a.)      Amount on deposit at the beginning of the related Collection Period ........                               0.00
                                                                                                               ----------------
      (b.)      Amounts transferred from the Facility Account ..............................                               0.00
                                                                                                               ----------------
</TABLE>


                                  Page 2 of 3
<PAGE>   3
<TABLE>
<S>                                                                                           <C>               <C>
      (c.)      Amounts transferred to the Series Obligors .................................                               0.00
                                                                                                               ----------------
      (d.)      Amount on deposit as of this Settlement Date ...............................                               0.00
                                                                                                               ----------------


VIII. ADVANCE PAYMENTS
      ----------------
      (a.)      Beginning aggregate Advance Payments .......................................                   $   2,311,764.07
                                                                                                               ----------------
      (b.)      Amount of Advance Payments collected during the related Collection Period ..                   $   1,258,412.26
                                                                                                               ----------------
      (c.)      Investment earnings for the related Collection Period ......................                   $      15,007.62
                                                                                                               ----------------
      (d.)      Amount of Advance Payments withdrawn for deposit into Facility Account .....                   $   1,754,080.99
                                                                                                               ----------------
      (e.)      Ending aggregate Advance Payments ..........................................                   $   1,831,102.96
                                                                                                               ----------------
</TABLE>


      ADVANTA BUSINESS SERVICES  CORP., AS SERVICER

      BY:       /s/ John Paris
                ----------------------------
      TITLE:    SR VP
                ----------------------------
      DATE:     5/10/00
                ----------------------------


                                  Page 3 of 3


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