ONYX ACCEPTANCE GRANTOR TRUST 1998-1
8-K, 1998-08-31
ASSET-BACKED SECURITIES
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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(Date of earliest event reported): July 15, 1998

          Onyx Acceptance Grantor Trust 1998-1
- ------------------------------------------------------------------------------
        (Issuer with respect to Certificates)

         Onyx Acceptance Financial Corporation
 -------------------------------------------------------------
  (Exact Name of Registrant as Specified in Its Charter)

Commission File Number
333-46359                                (I.R.S. EmployerIdentification No.)
                                                 33-0639768

State or other jurisdiction of incorporation or organization
Delaware


Onyx Acceptance Financial Corporation
8001 Irvine Center Drive, 6th Floor
Irvine, Ca. 92618
714 450-5500







Item 5.  Other Events

         On behalf of the Onyx Acceptance Grantor Trust 1998-1,  (the"Trust"), a
trust created  pursuant to the Pooling and Servicing  Agreement dated as of June
1, 1998 with Onyx Acceptance Financial  Corporation as registrant and seller and
Onyx Acceptance  Corporation as servicer, and Bankers Trust Company of New York,
as trustee, the registrant has caused to be filed with the Commission,  the July
1998  monthly  Distribution  Date  Statement  with  respect to the  Trust.  This
Distribution  Date  Statement is filed  pursuant to and in accordance  with a no
action request filed on August 21, 1995 with the  Commission by Onyx  Acceptance
Financial  Corporation,  originator of the Onyx Acceptance  Grantor Trust 1998-1
and Onyx Acceptance Corporation as servicer and the affirmative response thereto
by the Securities and Exchange  Commission  dated September 22, 1995. The filing
of the monthly Distribution Date Statement will occur subsequent to each monthly
distribution to the Trust's  Certificateholders  until and unless exempted under
provisions of the Securities and Exchange Act.

Item 7.  Financial Statements and Exhibits

(a)      Financial Statements
         None

(c)      Exhibits
         Exhibit No.

         19.Monthly  Distribution Date Statement of the Onyx Acceptance  Grantor
Trust 1998-1 for the month of July 1998.



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                                   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.

Onyx Acceptance Financial Corporation

         REGAN E. KELLY
By:_____________________________________________________
         Regan E. Kelly    Executive Vice President
Date: August 5, 1998

         DON P. DUFFY
By:_____________________________________________________
         Don P. Duffy               Executive Vice President
Date: August 5, 1998

Exhibit 19
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Onyx Acceptance Grantor Trust 1998-1                 Distribution Date Statement
5.95% Auto Loan Pass-Through Certificates                              31-Jul-98

Collection Period Beginning on:                                           06/01/98
Collection Period Ending on:                                              06/30/98
Distribution Date:                                                        07/15/98

     1 Original Pool Balance                                                                                     $173,000,000.00
     2 Collection Period Beginning Pool Balance                                                                  $157,327,653.02
     3 Collection Period Beginning Pool Balance Factor                                                                      0.909408

       Computation of Collection Account Amounts Available for Distribution
     4 Total Collections from Obligors                                    01-Jun-to              30-Jun-98         $6,310,578.19
     5 Full Prepayments through first 5 business days of current month (Precompute only)                              189,939.90
     5aFull Prepayments through first 5 business days of current month (Simple interest  only)                        268,809.23
     6 Full Prepayments included in Prior Collection Period (Precompute only)                                          87,390.23
     6aFull Prepayments included in Prior Collection Period (Simple Interest only)                                    345,032.54
     7 Partial Prepayments deposited to PayAhead Acct                                                                       0.00
     8 Amounts Withdrawn from PayAhead Acct & Deposited to Collection Acct                                                813.22
     9 Yield Supplement Amount to be Deposited to Collection Account                                                        0.00
    10 Net Liquidation Proceeds on Defaulted Contracts                    01-Jun-to              30-Jun-98            147,119.79
    11 Net Liquidation Proceeds first 5 business days of current month                                                      0.00
    12 Net Liquidation Proceeds included in Prior Collection Period                                                         0.00
    13 Net Insurance Proceeds                                                                                               0.00
    14 Net Insurance Proceeds first 5 business days of current month                                                        0.00
    15 Net Insurance Proceeds included in Prior Collection Period                                                           0.00
    16 Aggregate Amount of Repurchased Contracts                                                                            0.00
    17 Reinvestment Earnings on Funds in Collection Acct (#011724)        01-Jun-to              30-Jun-98              4,460.30

    18 Collection Account Amounts Available  (4+5+5a-6-6a-7+8+9+10+11-12+13+14-15+16+17)                           $6,489,297.86

       Computation of Certificate Ending Pool Balance
    19 Collection Period Beginning Pool Balance                                                                  $157,327,653.02
    20 Scheduled Principal Decline (recomputed actuarial) Precompute contracts only                                   792,458.85
    20aPrincipal Collected: Payments only - Simple Interest contracts                                               1,496,549.14
    20bPrincipal Collected: Full Prepayments - S.I.  through month-end    01-Jun-to              30-Jun-98          1,123,481.55
    20cFull Prepayments through first 5 business days of current month: Simple Interest only                          268,809.23
    21 Full Prepayments: Precompute only through month end                01-Jun-to              30-Jun-98            585,369.23
    22 Full Prepayments through first 5 business days of current month: Precompute only                               189,939.90
    23 Defaulted Contracts  (Liquidated Proceeds received)                01-Jun-to              30-Jun-98            249,185.07
    23aDefaulted Contracts  (Liquidated Proceeds received) thru 1st 5 business days of current month                        0.00
    24 Defaulted Contracts  (4 or more periods.Liquidated Proceeds not received)                                            0.00
    24aDefaulted Contracts  (4 or more periods.Liquidated Proceeds not received) thru 1st 5 bus. days of current mo.        0.00
    25 Repurchased Contracts                                                                                                0.00

    26 Certificate Ending Pool Balance (19-20-20a-20b-21-22-23-23a-24-24a-25)                                    $152,621,860.05
       Certificate Ending Balance Pool Factor                                                                               0.882207

    27 Principal Distribution Amount  (19-26)                                                                      $4,705,792.97

       Distributions From Collection Account
    28 Principal Distribution Amount                                                                               $4,705,792.97
    29 Interest Distribution Amount  (5.95% / 12)                                                                     780,082.95
    30 Servicing Fee Payable to Servicer (1.0% / 12)                                                                  131,106.38
    31 Surety Fee Payable to Surety (0.18% / 360 * Days in Collection Period)                                          23,599.15
    31aReinsurance Fee Payable to Surety (2.50%/360 * Days in period * lesser of $3,460,000.00 or 41-43)                7,208.33
    32 Reinvestment Earnings Payable to Finco                                                                           4,460.30

    33 Total Distributions from Collection Account   (28+29+30+31+31a+32)                                          $5,652,250.08

    34 Total Excess Spread Available for Deposit to Spread Account   (18-33)                                         $837,047.78

       Spread Account Reconciliation
    35 Initial Deposit                                                                                                   $100.00
    36 Deposits to Spread Account Prior Collection Periods                                                         $2,874,974.87
    37 Deposit to Spread Account this Collection Period    (34)                                                      $837,047.78
    38 Reinvestment Earnings on Funds in Spread Acct                      01-Jun-to              30-Jun-98            $10,675.77
    39 Draws from Spread Account Prior Periods                                                                             $0.00

    40 Spread Account Balance     (35+36+37+38-39)                                                                 $3,722,798.42

    41 Required Spread Account Balance     (Max of 5% x (26) less (50b) or 2% x (1) )                              $4,171,093.00
    42 Draws from Spread Account this Collection Period   ((40 - 41) if positive, 0 otherwise)                             $0.00
    43 Spread Account Balance net of Draws this Collection Period    (40 - 42)                                     $3,722,798.42

       Delinquency Statistics
    44 Number of Accts Delinquent 30 - 59 Days                                                                            116
    45 Number of Accts Delinquent 60 - 89 Days                                                                             57
    45aNumber of Accts Deliquent 90 Days and Over                                                                          56
    46 Total Number of Delinquent Accounts 30 Days and Over                                                               229

    47 Aggregate Net Outstanding Balance of Delinquent Loans 30-59 days                                            $1,380,396
    48 Aggregate Net Outstanding Balance of Delinquent Loans 60 - 89 days                                            $747,544
    48aAggregate Net Outstanding Balance of Delinquent Loans 90 days and over                                        $671,942
    49 Total Aggregate Net Outstanding Balance of Delinquent Loans   (44 + 45)                                     $2,799,882

    50 Policy Claim Amount                                                                                                 $0.00
    50bReinsurance Amount    Lesser of 2% of Orig bal and difference between 5% of end month pool bal an           $3,460,000.00
       Repossession Statistics
    51 Number of Accounts in Repo Inventory @ Beginning of Collection Period                                               56
    52 Number of Accounts Repossessed During Collection Period                                                             29
    53 Number of Repo'd Accounts Sold or Reinstated During Collection Period                                               32
    54 Number of Accounts in Repo Inventory @ End of Collection Period                                                     53

    55 Aggregate Net Outstanding Balance of Accounts in Repo Inventory @ Beginning of Collection Period              $631,012.30
    56 Aggregate Net Outstanding Balance of Accounts Repossessed During Month                                         351,985.62
    57 Aggregate Net Outstanding Balance of Repo Accounts Sold or Reinstated During Month                             316,783.44
    58 Aggregate Net Outstanding Balance of Accounts in Repo Inventory @ End of Collection Period                    $666,214.48


       Yield Supplement Account  Balance
    59 Initial Deposit                                                                                                     $0.00
    60 Draws from Yield Supplement to Collection Account                                                                   $0.00

    61 Yield Supplement Account  Balance                                                                                   $0.00

       Accounts Outstanding
    62 Original Accounts Outstanding                                                                                   14,451
    63 Remaining Number of Accounts Outstanding @  End of Collection Period                                            13,435

       Net Yield
    64 Interest Collected on Contracts                                                                              1,881,109.87
    65 Interest Collected on Contracts - Prior Collection Period                                                    1,881,322.65
    66 Interest Collected on Contracts - Two Collection Periods Ago                                                 2,010,826.74
    67 Liquidated Contract Balances (less Liquidation proceeds)                                                       102,065.28
    68 Liquidated Contract Balances (less Liquidation proceeds) - Prior Collection Period                              13,977.24
    69 Liquidated Contract Balances (less Liquidation proceeds) - Two Collection Periods Ago                           22,961.39
    70 Interest Paid to Certificate Holders                                                                           780,082.95
    71 Interest Paid to Certificate Holders - Prior Collection Period                                                 802,695.23
    72 Interest Paid to Certificate Holders - Two Collection Periods Ago                                              824,883.68
    73 Servicing Fees Paid to Servicer                                                                               $131,106.38
    74 Servicing Fees Paid to Servicer -  Prior Collection Period                                                    $134,906.76
    75 Servicing Fees Paid to Servicer - Two Collection Periods Ago                                                  $138,635.91
    76 Certificate Ending Pool Balance                                                                           $152,621,860.05
    77 Certificate Ending Pool Balance - Prior Collection Period                                                 $157,327,653.02
    78 Certificate Ending Pool Balance - Two Collection Periods Ago                                              $161,888,112.74

    79 Net Yield                                                                                                            7.18%

              A.P.R. of Trust Contracts
    80 Dollar Weighted A.P.R. of Contracts @ Cutoff Date                                                                   14.91%
    81 Dollar Weighted A.P.R. of Remaining Contracts in Trust as of End of Collection Period                               14.97%


       Credit Losses
    82 Gross Credit Losses during Collection Period  (23+23a+24+24a)                                                 $249,185.07
    83 Recoveries during Collection Period  (10+11-12)                                                                147,119.79

    84 Net Credit Losses during Collection Period   (82-83)                                                          $102,065.28

    85 Cumulative Net Credit Losses                                                                                  $139,003.91
    86 Cumulative Net Credit Losses as a Percent of Original Certificate Balance (85 / 1)                                   0.08%

    87 Remaining Weighted Average Maturity (Months)                                                                        52.8








       I certify that the computations  reflected above for the collection period ended  30-Jun-98
       are accurate and have been prepared in accordance with the Pooling and Servicing Agreement
       dated March 1, 1998.


       By :   ______________________________________  Date:  _______________

       Name: Don Duffy
       Title:  Executive Vice President


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