DEUTSCHE RECREATIONAL ASSET FUNDING CORP
8-K, 1999-10-22
MISCELLANEOUS BUSINESS CREDIT INSTITUTION
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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

October 15, 1999
(Date of earliest event reported)

DEUTSCHE RECREATIONAL ASSET FUNDING CORPORATION
(Exact name of registrant as specified in its charter)

Nevada    			                   333-56303      91-1904587
(State or other jurisdiction	   (Commission		  (IRS Employer
of incorporation)	              File Number)   identification No.)

655 Maryville Centre Drive
St. Louis, Missouri					                  63141
(Address of principal executive offices)		(Zip Code)

Registrant's telephone number, including area code:	(314) 523-3000

Item 5.	Other Events.

Copies of the monthly payment date statements to noteholders, as required by
the Transfer and Servicing Agreement are being filed as Exhibits 1, 2 and 3
of this current report on Form 8-K.

Item 7.(c).	Exhibits.

Exhibit
Number      Document Description

EX-1        Distribution Financial Services RV Trust 1999-1
            October 15, 1999 Payment Date Statement to Noteholders
            Per Section 5.08 of the Transfer and Servicing Agreement
EX-2        Distribution Financial Services marine Trust 1999-2
            October 15, 1999 Payment Date Statement to Noteholders
            Per Section 5.08 of the Transfer and Servicing Agreement
EX-3        Distribution Financial Services RV Trust 1999-3
            October 15, 1999 Payment Date Statement to Noteholders
            Per Section 5.08 of the Transfer and Servicing Agreement

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.

DEUTSCHE RECREATIONAL ASSET FUNDING CORPORATION
(Registrant)

Date:   October 22, 1999

By:		   /s/ Richard C. Goldman
Name:		 Richard C. Goldman
Title:  Vice President



Distribution Financial Services RV Trust 1999-1
October 15, 1999 Payment Date Statement to Noteholders
Per Section 5.08 of the Transfer and Servicing Agreement
<TABLE>
<S>                                                            <C>
Beginning Pool Balance                                         $872,752,574.59
Beginning Pool Factor                                               0.87274960

Distribution Allocable to Principal on Notes
<CAPTION>
              Prior                                Current
      Class   Principal Pymt. $1000 orig.prin.bal. Principal Pymt. $1000 orig.prin.bal.
       <S>    <C>                 <C>         <C>                  <C>
       A-1    $4,546,760.37       40.3285381           $0.00        0.0000000
       A-2   $14,507,828.37       63.7625462  $17,467,705.64       76.7713374
       A-3            $0.00        0.0000000           $0.00        0.0000000
       A-4            $0.00        0.0000000           $0.00        0.0000000
       A-5            $0.00        0.0000000           $0.00        0.0000000
       A-6            $0.00        0.0000000           $0.00        0.0000000
         B            $0.00        0.0000000           $0.00        0.0000000
         C            $0.00        0.0000000           $0.00        0.0000000

Distribution Allocable to Interest on Notes
<CAPTION>
                 Prior                               Current
Class    Rate    Interest Pymt. $1000 orig.prin.bal. Interest Pymt. $1000 orig.prin.bal.
  <S>     <C>     <C>                  <C>           <C>                <C>
  A-1     4.97%      $18,831.17        0.1670274           $0.00        0.0000000
  A-2     5.38%   $1,020,088.35        4.4833333     $955,044.92        4.1974646
  A-3     5.70%     $940,490.50        4.7500000     $940,490.50        4.7500000
  A-4     5.84%     $937,524.40        4.8666667     $937,524.40        4.8666667
  A-5     5.97%     $794,616.95        4.9750000     $794,616.95        4.9750000
  A-6     6.02%     $322,902.77        5.0166667     $322,902.77        5.0166667
    B     6.36%     $132,500.00        5.3000000     $132,500.00        5.3000000
   C      7.23%     $120,500.00        6.0250000     $120,500.00        6.0250000

Note Balance After Giving Effect to Principal Distribution
<CAPTION>
      Class    Beginning Balance    Pool Factor  Ending Balance     Pool Factor
       <S>      <C>                    <C>       <C>                    <C>
       A-1                0.00         0.0000000           $0.00        0.0000000
       A-2      213,021,171.63         0.9362375 $195,553,465.99        0.8594661
       A-3      197,998,000.00         1.0000000 $197,998,000.00        1.0000000
       A-4      192,642,000.00         1.0000000 $192,642,000.00        1.0000000
       A-5      159,722,000.00         1.0000000 $159,722,000.00        1.0000000
       A-6       64,366,000.00         1.0000000  $64,366,000.00        1.0000000
         B       25,000,000.00         1.0000000  $25,000,000.00        1.0000000
         C       20,000,000.00         1.0000000  $20,000,000.00        1.0000000
<S>                                                                   <C>
Servicing Fee                                                         $363,646.91
Servicing Fee Per $1,000 of Orig.Note                                   0.3636469

Realized Losses                                                       $526,741.40

Reserve Account Balance                                            $17,119,258.21

Payments Received with Respect to Receivables During
Most Recently Ended Collection Period                              $22,799,100.49
      Interest Payments Received                                    $6,671,401.14
      Scheduled Principal Payments Received                         $4,230,714.68
      Principal Prepayments Received                               $11,896,984.67

Distribution to Residual Interestholders                                    $0.00

Noteholders' Interest Carryover Shortfall                                   $0.00
Noteholders' Interest Carryover Shortfall Per $1,000 Note               0.0000000

Aggregate Purchase Amounts for Receivables that were
purchased in related Collection Period                                      $0.00

Ending Pool Balance                                               $855,962,910.63
Ending Pool Factor                                                     0.85596000
</TABLE>


Distribution Financial Services Marine Trust 1999-2
October 15, 1999 Payment Date Statement to Noteholders
Per Section 5.08 of the Transfer and Servicing Agreement
<TABLE>
<S>                                                               <C>
Beginning Pool Balance                                            $509,865,935.90
Beginning Pool Factor                                                  1.00000000

Distribution Allocable to Principal on Notes
<CAPTION>
                  Prior                             Current
      Class    Principal Pymt. $1000 orig.prin.bal. Principal Pymt. $1000 orig.prin.bal.
       <S>         <C>          <C>                 <C>              <C>
       A-1         $0.00        0.0000000           $7,955,110.31    37.6844420
       A-2         $0.00        0.0000000                   $0.00     0.0000000
       A-3         $0.00        0.0000000                   $0.00     0.0000000
       A-4         $0.00        0.0000000                   $0.00     0.0000000
       A-5         $0.00        0.0000000                   $0.00     0.0000000
         B         $0.00        0.0000000                   $0.00     0.0000000
         C         $0.00        0.0000000                   $0.00     0.0000000

Distribution Allocable to Interest on Notes
<CAPTION>
                   Prior                               Current
Class     Rate     Interest Pymt. $1000 orig.prin.bal. Interest Pymt. $1000 orig.prin.bal.
  <S>     <C>          <C>           <C>               <C>             <C>
  A-1     5.50%        $0.00         0.0000000         $783,584.21     3.7119450
  A-2     5.98%        $0.00         0.0000000         $276,908.88     4.9833330
  A-3     6.20%        $0.00         0.0000000         $558,666.50     5.1666670
  A-4     6.48%        $0.00         0.0000000         $357,517.80     5.4000000
  A-5   6.6656%        $0.00         0.0000000         $299,946.45     5.5546670
    B     6.93%        $0.00         0.0000000         $190,575.00     5.7750000
    C     7.61%        $0.00         0.0000000         $139,516.67     6.3416670

Note Balance After Giving Effect to Principal Distribution
<CAPTION>
      Class    Beginning Bal.    Pool Factor  Ending Bal.        Pool Factor
      <S>      <C>               <C>          <C>              <C>
      A-1      170,963,826.87    1.0000000    $163,008,716.56  772.1945090
      A-2       55,567,000.00    1.0000000     $55,567,000.00    1.0000000
      A-3      108,129,000.00    1.0000000    $108,129,000.00    1.0000000
      A-4       66,207,000.00    1.0000000     $66,207,000.00    1.0000000
      A-5       53,999,000.00    1.0000000     $53,999,000.00    1.0000000
        B       33,000,000.00    1.0000000     $33,000,000.00    1.0000000
        C       22,000,000.00    1.0000000     $22,000,000.00    1.0000000
<S>                                                               <C>
Servicing Fee                                                         $212,444.14
Servicing Fee Per $1,000 of Orig.Note                                   0.3862621

Realized Losses                                                       $179,708.04

Reserve Account Balance                                            $19,901,628.25

Payments Received with Respect to Receivables
During Most Recently Ended Collection Period                       $11,454,774.18
      Interest Payments Received                                    $3,679,371.91
      Scheduled Principal Payments Received                         $1,874,050.42
      Principal Prepayments Received                                $5,901,351.85

Distribution to Residual Interestholders                                    $0.00

Noteholders' Interest Carryover Shortfall                                   $0.00
Noteholders' Interest Carryover Shortfall Per $1,000 Note               0.0000000

Aggregate Purchase Amounts for Receivables that were
purchased in related Collection Period                                      $0.00

Ending Pool Balance                                               $501,910,825.59
Ending Pool Factor                                                     0.91256496
</TABLE>


Distribution Financial Services RV Trust 1999-3
October 15, 1999 Payment Date Statement to Noteholders
Per Section 5.08 of the Transfer and Servicing Agreement
<TABLE>
<S>                                                               <C>
Beginning Pool Balance                                            $362,248,250.31
Beginning Pool Factor                                                  0.96720492

Distribution Allocable to Principal on Notes
<CAPTION>
           Prior                                Current
 Class     Principal Pymt. $1000 orig.prin.bal. Principal Pymt. $1000 orig.prin.bal.
  <S>             <C>            <C>            <C>                <C>
  A-1             $0.00          0.0000000      $5,068,572.43      169.8981810
  A-2             $0.00          0.0000000              $0.00        0.0000000
  A-3             $0.00          0.0000000              $0.00        0.0000000
  A-4             $0.00          0.0000000              $0.00        0.0000000
  A-5             $0.00          0.0000000              $0.00        0.0000000
  A-6             $0.00          0.0000000              $0.00        0.0000000
    B             $0.00          0.0000000              $0.00        0.0000000
    C             $0.00          0.0000000              $0.00        0.0000000

Distribution Allocable to Interest on Notes
<CAPTION>
                   Prior                               Current
Class    Rate      Interest Pymt. $1000 orig.prin.bal. Interest Pymt. $1000 orig.prin.bal.
<S>      <C>              <C>            <C>          <C>                <C>
A-1      5.32%            $0.00          0.0000000     $77,864.51        2.6100130
A-2      5.97%            $0.00          0.0000000    $499,161.65        4.9750000
A-3      6.43%            $0.00          0.0000000    $259,718.42        5.3583330
A-4      6.65%            $0.00          0.0000000    $479,952.67        5.5416670
A-5      6.76%            $0.00          0.0000000    $211,728.83        5.6333330
A-6      6.88%            $0.00          0.0000000    $314,456.13        5.7333333
  B      7.17%            $0.00          0.0000000     $55,943.93        5.9750000
  C      7.92%            $0.00          0.0000000     $49,440.60        6.6000000

Note Balance After Giving Effect to Principal Distribution
         <S>   <C>                    <C>          <C>               <C>
         Class Beginning Balance      Pool Factor  Ending Balance    Pool Factor
         A-1    17,550,226.86           1.0000000   $12,481,654.43      418.3841530
         A-2   100,334,000.00           1.0000000  $100,334,000.00        1.0000000
         A-3    48,470,000.00           1.0000000   $48,470,000.00        1.0000000
         A-4    86,608,000.00           1.0000000   $86,608,000.00        1.0000000
         A-5    37,585,000.00           1.0000000   $37,585,000.00        1.0000000
         A-6    54,847,000.00           1.0000000   $54,847,000.00        1.0000000
           B     9,363,000.00           1.0000000    $9,363,000.00        1.0000000
           C     7,491,000.00           1.0000000    $7,491,000.00        1.0000000
<S>                                                                   <C>
Servicing Fee                                                          $150,936.77
Servicing Fee Per $1,000 of Orig.Note                                    0.4030021

Realized Losses                                                         $98,804.77

Reserve Account Balance                                              $4,511,918.95

Payments Received with Respect to Receivables
During Most Recently Ended Collection Period                        $7,801,746.54
         Interest Payments Received                                 $2,831,978.88
         Scheduled Principal Payments Received                      $1,790,949.48
         Principal Prepayments Received                             $3,178,818.18

Distribution to Residual Interestholders                                    $0.00

Noteholders' Interest Carryover Shortfall                                   $0.00
Noteholders' Interest Carryover Shortfall Per $1,000 Note               0.0000000

Aggregate Purchase Amounts for Receivables that were
purchased in related Collection Period                                      $0.00

Ending Pool Balance                                               $357,179,677.89
Ending Pool Factor                                                     0.95367181
</TABLE>


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