CARMAX AUTO RECEIVABLES LLC
8-K, 2000-03-15
ASSET-BACKED SECURITIES
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                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549


                                    FORM 8-K


                     Pursuant to Section 13 or 15(d) of the
                         Securities Exchange Act of 1934


                         Date of Report: March 15, 2000
                                 --------------


                           CARMAX AUTO RECEIVABLES LLC


             (Exact name of registrant as specified in its charter)


  United States                   333-79087                      54-1942944
  -------------                   ---------                      ----------
 (State or other                 (Commission                    (IRS Employer
  jurisdiction                    File No.)                  Identification No.)
of incorporation)

4900 Cox Road, Suite 200, Glen Allen, Virginia                      23060
- ----------------------------------------------                      -----
  (Address of principal executive offices)                        (Zip Code)

        Registrant's telephone number, including area code: 804-935-4512


Item 5               Other Events.
                     -------------

                     The registrant distributed the Certificateholders Statement
                     for  the  month  of  February  1999  to the  Series  1999-1
                     Certificateholders on March 15, 2000.













                                      - 1 -



<PAGE>



Item 7(c).           Exhibits.
                     ---------

                     The  following  is filed as an exhibit to this report under
                     Exhibit 28:

   99.1              Series 1999-1 Certificateholders Statement for the month of
                     February 1999.






                                                      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.


                              CARMAX AUTO RECEIVABLES LLC



                              By:       CARMAX AUTO SUPERSTORES, INC.,
                                        as Transferor and Servicer
                              By:
                                        Michael T. Chalifoux
                                        President and Assistant Secretary





Date:      March 15, 2000











                                       -2-


<PAGE>















                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549












                                    EXHIBITS
                                       TO
                                    FORM 8-K


                           CARMAX AUTO RECEIVABLES LLC




<PAGE>







                                INDEX TO EXHIBITS



 Exhibit
 Number                       Exhibit


   99.1              Series 1999-1 Certificateholders Statement for the month of
                     February 1999.



                         MONTHLY SERVICER'S CERTIFICATE

                          CARMAX AUTO SUPERSTORES, INC.

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

                             CARMAX AUTO OWNER TRUST
                                  SERIES 1999-1

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


Collection Period                                               2/1/00-2/29/00
Determination Date                                                    3/9/2000
Payment Date                                                         3/15/2000


<TABLE>
<S> <C>
Pool Balance

    1 .   Pool Balance on the close of the last day of the preceding
          Collection Period                                                                                $ 559,472,111.92

    2 .   Collections allocable to Principal                                                               $  19,979,080.66

    3 .   Principal Returns                                                                                $     272,747.50

    4 .   Purchase Amount allocable to Principal                                                           $           0.00

    5 .   Defaulted Contracts                                                                              $     426,012.24

                                                                                                           ----------------
                                                                                                           ----------------
    6 .   Pool Balance on the close of the last day of the Collection Period                               $ 538,794,271.52
          (Ln 1 - Ln2 - Ln3 - Ln4 - Ln5)

    7 .   Initial Pool Balance                                                                             $ 643,957,759.72

    8 .   Pool Factor                                                                                             0.8366919

                                                                                   Beginning                     End
    9 .   Portfolio Balances                                                       of Period                  of Period
                                                                         --------------------------------------------------
                                                                         --------------------------------------------------

          a.  Class A-1 Note Balance                                            $  70,764,352.20           $  50,086,511.80
          b.  Class A-2 Note Balance                                            $ 208,650,000.00           $ 208,650,000.00
          c.  Class A-3 Note Balance                                            $ 178,900,000.00           $ 178,900,000.00
          d.  Class A-4 Note Balance                                            $  88,278,000.00           $  88,278,000.00
          e.  Certificate Balance                                               $  12,879,759.72           $  12,879,759.72
                                                                                ----------------           ----------------
                                                                                ----------------           ----------------
          f.  Total Portfolio Balance (sum a - e)                               $ 559,472,111.92           $ 538,794,271.52

   10 .   Pool Factors

          a.  Class A-1 Note Pool Factor                                               0.4558090                  0.3226184
          b.  Class A-2 Note Pool Factor                                               1.0000000                  1.0000000
          c.  Class A-3 Note Pool Factor                                               1.0000000                  1.0000000
          d.  Class A-4 Note Pool Factor                                               1.0000000                  1.0000000
          e.  Certificate Pool Factor                                                  1.0000000                  1.0000000
                                                                                ----------------           ----------------
                                                                                ----------------           ----------------
          f.  Aggregate Pool Factor                                                    0.8688025                  0.8366919

   11 .   Weighted Average Coupon                                                                          %          10.57%

   12 .   Weighted Average Original Term                                                              months          58.68

   13 .   Weighted Average Remaining Term                                                             months          42.74

Collections

   14 .   Finance Charge:

          a.  Collections allocable to Finance Charge                                                      $   4,960,751.73
          b.  Liquidation Proceeds allocable to Finance Charge                                             $          13.95
          c.  Purchase Amount allocable to Finance Charge                                                  $           0.00
                                                                                                           ----------------
                                                                                                           ----------------
          d.  Available Finance Charge Collections (sum a - c)                                             $   4,960,765.68

   15 .   Principal:
          a.  Collections allocable to Principal                                                              19,979,080.66
          b.  Liquidation Proceeds allocable to Principal                                                  $      41,480.84
          c.  Purchase Amount allocable to Principal                                                       $           0.00
                                                                                                           ----------------
                                                                                                           ----------------
          d.  Available Principal Collections (sum a - c)                                                  $  20,020,561.50

   16 .   Total Finance Charge and Principal Collections (14d + 15d)                                       $  24,981,327.18

   17 .   Interest Income from Collection Account                                                          $     111,152.28

                                                                                                           ----------------
                                                                                                           ----------------
   18 .   Available Funds (Ln16 + Ln17)                                                                    $  25,092,479.46

Required Payment Amount

   19 .   Total Servicing Fee
          a.  Monthly Servicing Fee                                                                        $     466,226.76
          b.  Amount Unpaid from Prior Months                                                              $           0.00
          c.  Amount Paid                                                                                  $     466,226.76
                                                                                                           ----------------
                                                                                                           ----------------
          d.  Shortfall Amount (a + b - c)                                                                 $           0.00

   20 .   Noteholder Interest Amounts
          a.  Class A-1 Monthly Interest                                                                   $     353,571.14
          b.  Class A-1 Monthly Interest Carryover Shortfall                                               $           0.00
          c.  Interest Due on Class A-1 Monthly Interest Carryover Shortfall                               $           0.00
                                                                                                           ----------------
                                                                                                           ----------------
          d.  Total Class A-1 Note Interest (sum a - c)                                                    $     353,571.14

          e.  Class A-2 Monthly Interest                                                                   $   1,087,472.21
          f.  Class A-2 Monthly Interest Carryover Shortfall                                               $           0.00
          g.  Interest Due on Class A-2 Monthly Interest Carryover Shortfall                               $           0.00
                                                                                                           ----------------
                                                                                                           ----------------
          h.  Total Class A-2 Note Interest (sum a - c)                                                    $   1,087,472.21

          i.  Class A-3 Monthly Interest                                                                   $   1,007,803.33
          j.  Class A-3 Monthly Interest Carryover Shortfall                                               $           0.00
          k.  Interest Due on Class A-3 Monthly Interest Carryover Shortfall                               $           0.00
                                                                                                           ----------------
                                                                                                           ----------------
          l.  Total Class A-3 Note Interest (sum a - c)                                                    $   1,007,803.33

          m.  Class A-4 Monthly Interest                                                                   $     506,127.20
          n.  Class A-4 Monthly Interest Carryover Shortfall                                               $           0.00
          o.  Interest Due on Class A-4 Monthly Interest Carryover Shortfall                               $           0.00
                                                                                                           ----------------
                                                                                                           ----------------
          p.  Total Class A-4 Note Interest (sum a - c)                                                    $     506,127.20

          q.  Total Monthly Note Interest                                                                  $   2,954,973.88
          r.  Total Monthly Note Interest Carryover Shortfall                                              $           0.00
          s.  Total Interest Due on Monthly Note Interest Carryover Shortfall                              $           0.00
                                                                                                           ----------------
                                                                                                           ----------------
          t.  Total Note Interest (sum q - s)                                                              $   2,954,973.88

   21 .   Noteholder Principal Amounts
          a.  Class A-1 Monthly Note Principal                                                             $  20,677,840.40
          b.  Class A-2 Monthly Note Principal                                                             $           0.00
          c.  Class A-3 Monthly Note Principal                                                             $           0.00
          d.  Class A-4 Monthly Note Principal                                                             $           0.00
                                                                                                           ----------------
                                                                                                           ----------------
          e.  Total Monthly Note Principal                                                                 $  20,677,840.40

   22 .   Certificateholder Interest Amounts
          a.  Monthly Certificate Interest                                                                 $      76,419.91
          b.  Monthly Certificate Interest Carryover Shortfall                                             $           0.00
          c.  Interest Due on Monthly Certificate Interest Carryover Shortfall                             $           0.00
                                                                                                           ----------------
                                                                                                           ----------------
          d.  Total (sum a - c)                                                                            $      76,419.91

          e.  Total Certificate Interest                                                                   $      76,419.91

   23 .   Monthly Certificate Principal                                                                    $           0.00

   24 .   Required Payment Amount                                                                          $  24,175,460.95

Insurance Payment Amount

   25 .   Insurance Premium(s) Due
          a.  Current Amount Due                                                                           $      72,109.74
          b.  Overdue Premiums                                                                             $           0.00
          c.  Amount Paid                                                                                  $      72,109.74
                                                                                                           ----------------
                                                                                                           ----------------
          d.  Shortfall Amount (a + b - c)                                                                 $           0.00

   26 .   Unreimbursed Insurance Payments
          a.  Current Amount Due                                                                           $           0.00
          b.  Interest                                                                                     $           0.00
          c.  Amount Paid                                                                                  $           0.00
                                                                                                           ----------------
                                                                                                           ----------------
          d.  Shortfall Amount (a + b - c)                                                                 $           0.00

   27 .   Insurance Payment Amount                                                                         $      72,109.74

Available Funds

   28 .   Available Funds                                                                                  $  25,092,479.46

   29 .   Reserve Account Draw Amount                                                                      $           0.00

   30 .   Policy Claim Amount                                                                              $           0.00

Collection Account Activity

   31 .   Deposits
          a.  Total Daily Deposits of Finance Charge Collections                                           $   4,960,765.68
          b.  Total Daily Deposits of Principal Collections                                                $  20,020,561.50
          c.  Withdrawal from Reserve Account                                                              $           0.00
          d.  Policy Claim Amount                                                                                      0.00
          e.  Interest Income                                                                              $     111,152.28
                                                                                                           ----------------
                                                                                                           ----------------
          f.  Total Deposits to Collection Account (sum a - e)                                             $  25,092,479.46

   32 .   Withdrawals
          a.  Servicing Fee                                                                                $     466,226.76
          b.  Deposit to Note Payment Account for Monthly Note Interest/Principal                          $  23,632,814.28
          c.  Deposit to Certificate Payment Account for Monthly Certificate Interest/Principal            $      76,419.91
          d.  Payments to Insurer for Insurance Premium                                                    $      72,109.74
          e.  Remibursement of Insurance Payments                                                          $           0.00
          f.  Deposit to Reserve Account                                                                   $           0.00
          g.  Payment to Seller of any remaining funds                                                     $     844,908.77
                                                                                                           ----------------
                                                                                                           ----------------
          h.  Total Withdrawals from Collection Account(sum a - g)                                         $  25,092,479.46

Note Payment Account Activity

   33 .   Deposits
          a.  Class A-1 Interest Distribution                                                              $     353,571.14
          b.  Class A-2 Interest Distribution                                                              $   1,087,472.21
          c.  Class A-3 Interest Distribution                                                              $   1,007,803.33
          d.  Class A-4 Interest Distribution                                                              $     506,127.20

          e.  Class A-1 Principal Distribution                                                             $  20,677,840.40
          f.  Class A-2 Principal Distribution                                                             $           0.00
          g.  Class A-3 Principal Distribution                                                             $           0.00
          h.  Class A-4 Principal Distribution                                                             $           0.00

          i.  Total Deposits to Note Payment Account (sum a - h)                                           $  23,632,814.28

   34 .   Withdrawals
          a.  Class A-1 Distribution                                                                       $  21,031,411.54
          b.  Class A-2 Distribution                                                                       $   1,087,472.21
          c.  Class A-3 Distribution                                                                       $   1,007,803.33
          d.  Class A-4 Distribution                                                                       $     506,127.20
                                                                                                           ----------------
                                                                                                           ----------------
          e.  Total Withdrawals from Note Payment Account (sum a - d)                                      $  23,632,814.28

Certificate Payment Account Activity

   35 .   Deposits
          a.  Certificate Interest Distribution                                                            $      76,419.91
          b.  Certificate Principal Distribution                                                           $           0.00
                                                                                                           ----------------
                                                                                                           ----------------
          c.  Total Deposits to Certificate Payment Account (sum a - b)                                    $      76,419.91

   36 .   Withdrawals
          a.  Certificate Distribution                                                                     $      76,419.91
                                                                                                           ----------------
                                                                                                           ----------------
          b.  Total Withdrawals from Certifiate Payment Account                                            $      76,419.91

Required Reserve Account Amount

      If no Required Reserve Account Increase Event has occurred, the Required Reserve Account
      Amount is equal to the lesser of: (Ln37 or Ln38)

   37 .   Greater of: (a or b)
          a.  Percentage applicable times Pool Balance as of the last day
              of the prior Collection Period   (percentage applicable     =        3.75%         )         $  20,980,204.20
          b.  $6,439,577.60                                                                                $   6,439,577.60

   38 .   Sum of Note Balance and Certificate Balance as of current Payment Date
          (after giving effect to all principal payments on current Payment Date)                          $ 538,794,271.52

      If a Required Reserve Account Increase Event has occurred, the Required Reserve Account
      Amount is equal to the Required Reserve Account Increase Amount:

   39 .   Greater of: (a or b)
          a.  Percentage applicable times Pool Balance as of the last day
              of the prior Collection Period   (percentage applicable     =        7.50%         )         $  41,960,408.39
          b.  $12,879,155.19                                                                               $  12,879,155.19

   40 .   Required Reserve Account Amount                                                                  $  20,980,204.20

Reserve Account Reconciliation

   41 .   Beginning Balance (as of Preceding Payment Date)                                                 $  21,754,633.64

   42 .   Investment Earnings                                                                              $     101,332.09

   43 .   Reserve Account Draw Amount                                                                      $           0.00

                                                                                                            ----------------
                                                                                                            ----------------
   44 .   Reserve Account Amount (Ln 41 + Ln42 - Ln43)                                                     $  21,855,965.73

   45 .   Deposit from Excess Available Funds                                                              $           0.00

   46 .   Payment to Seller if Reserve Account Balance exceeds Required Reserve Amount                     $     875,761.53

                                                                                                           ----------------
                                                                                                           ----------------
   47 .   Ending Balance (Ln44 + Ln45 - Ln46)                                                              $  20,980,204.20

   48 .   Reserve Account Deficiency (Ln40 - Ln47)                                                         $           0.00

Instructions to the Trustee

   49 .   Amount to be deposited from the Reserve Account into the Collection Account                      $           0.00

   50 .   Amount to be paid to Servicer from the Collection Account                                        $     466,226.76

   51 .   Amount to be deposited from the Collection Account into the Note Payment Account                 $  23,632,814.28

   52 .   Amount to be deposited from the Collection Account into the Certificate Payment Account          $      76,419.91

   53 .   Amount to be paid to Insurance Provider from the Collection Account                              $      72,109.74

   54 .   Amount to be deposited from the Collection Account into the Reserve Account                      $           0.00

   55 .   Amount to be paid to Seller from the Reserve Account if Reserve Account Balance
          Exceeds Required Reserve Amount                                                                  $     875,761.53

   56 .   Amount to be paid to Seller from the Collection Account for any remaining Available Funds        $     844,908.77

   57 .   Amount to be paid to Class A-1 Noteholders from the Note Payment Account                         $  21,031,411.54

   58 .   Amount to be paid to Class A-2 Noteholders from the Note Payment Account                         $   1,087,472.21

   59 .   Amount to be paid to Class A-3 Noteholders from the Note Payment Account                         $   1,007,803.33

   60 .   Amount to be paid to Class A-4 Noteholders from the Note Payment Account                         $     506,127.20

   61 .   Amount to be paid to Certificateholders from the Certificate Payment Account                     $      76,419.91

Net Loss and Delinquency Activity

   62 .   Cummulative Net Losses                                                                           $   1,107,146.53

   63 .   Cumulative Net Loss Percentage
          a.  For the current Collection Period                                                            %         0.1719%
          b.  Has a Required Reserve Account Increase Event occurred?                                           NO
          c.  Has a Cumulative Net Loss Trigger Event occurred?                                                 NO

   64 .   Delinquency Analysis                                                   Number of                  Principal
                                                                                   Loans                     Balance
                                                                         --------------------------------------------------
                                                                         --------------------------------------------------

          a.  31 to 60 days past due                                                538                    $   4,746,127.00
          b.  61 to 90 days past due                                                 94                    $     780,938.00
          c.  91 or more days past due                                               61                    $     540,751.00
                                                                         --------------------------------------------------
                                                                         --------------------------------------------------
          d.  Total (sum a - c)                                                     693                        6,067,816.00


   65 .   Delinquency Ratio including Repossessions
          a.  For the current Collection Period                                                            %        1.0846%
          b.  For the preceding Collection Period                                                          %        1.1892%
          c.  For the second preceding Collection Period                                                   %        1.2242%
          d.  Average Delinquency Ratio (average a - c)                                                    %        1.1660%
          e.  Has a Required Reserve Account Increase Event occurred (greater than 4.25%)?                         NO
          f.  Has a Trigger Event occurred (greater than 5.25%)?                                                   NO
</TABLE>

IN WITNESS WHEREOF,  the undersigned has duly executed this certificate this 9th
day of March, 2000.

CARMAX AUTO SUPERSTORES, INC.
==========================================================================

As Servicer

By:           s/Philip J. Dunn
              ------------------------------------------------------------

Name:         Philip J. Dunn
              ------------------------------------------------------------

Title:        Treasurer and Assistant Secretary
              ------------------------------------------------------------



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