NISSAN AUTO RECEIVABLES CORP /DE
8-K, 2000-04-25
ASSET-BACKED SECURITIES
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UNITED STATES
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):
April 17, 2000

Nissan Auto Receivables Corporation
on behalf of Nissan Auto Receivables 1999-A Owner Trust

(Exact name of registrant as specified in its charter)

 

 

Delaware

333-82763

33-0479655

(State or other Jurisdiction of incorporation)

(Commission Registration Number)

(I.R.S. Employer Identification Number)

 

990 WEST 190TH STREET
TORRANCE, CALIFORNIA 90502
___________________________________

(Address of principal executive office)

 

Registrant's telephone number, including area code:
(310) 719-8013

 

Exhibit Index 

 


 

Item 5.

Other Events.

On April 17, 2000, the principal and interest collected during the preceding calendar month, net of certain adjustments as provided for in the Sale and Servicing Agreement, dated as of August 1, 1999 (the "Agreement"), among Nissan Auto Receivables 1999-A Owner Trust, as Issuer, Nissan Auto Receivables Corporation, as Seller, and Nissan Motor Acceptance Corporation, as Servicer, were distributed to the holders of notes ("Noteholders") issued by Nissan Auto Receivables 1999-A Owner Trust. In accordance with the Agreement, the Servicer's Certificate, as defined in the Agreement, was furnished to the Indenture Trustee (as defined in the Agreement) for the benefit of the Noteholders. A copy of the Servicer's Certificate is being filed as Exhibit 99.1 to this Current Report on Form 8-K.

 

Item 7(c).

Exhibits.

 

The exhibit number corresponds with Item 601(a) of Regulation S-K.

 

 

 

 

Exhibit No.

Description

 

99.1

Servicer's Certificate for the month of 
March 2000

 


 

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on behalf of the undersigned thereunto duly authorized.

 

NISSAN AUTO RECEIVABLES CORPORATION

By:

 /s/                                                             

 

Name:
Title:

Benjamin V. Harwood
Treasurer

April 24, 2000

 


 

 

EXHIBIT INDEX

 

Exhibit No.

Description

Sequentially
Numbered Page

99.1

Servicer's Certificate for the month of March 2000

5

 

 


 

Exhibit 99.1
Nissan Auto Receivables 1999-A Owner Trust
Servicer's Certificate

Collection Period # Beginning Date

Mar-01-2000

Collection Period # End Date

Mar-31-2000

Distribution Date

Apr-17-2000

I. Available Amount in the Collection Account

A. Collections

1. Payments from Obligors Applied to Collection Period

a. Principal Payments

26,244,655.59

b. Interest Payments

3,413,289.35

c. Total (a+b)

29,657,944.94

2. Repurchase Amount From Repurchased Receivable

a. Principal Payments

0.00

b. Interest Payments

0.00

c. Total (a+b)

0.00

3. Recovery of Defaulted Receivable

a. Recovery Amount

384,200.78

b. Principal Portion of Recovery Allocable to Principal

384,200.78

c. Interest Portion of Recovery Allocable to Interest

0.00

d. Principal Balance of Defaulted Receivable

616,621.60

e. Net Principal loss

232,420.82

4. Advance by Servicer

0.00

5. Investment Earnings on Yield Supplement Account

63,474.16

6. Release from the Yield Supplement Account

882,281.03

7. Total (sum 1 through 6)

30,987,900.91

B. Total Collections (Total Available Amount)

1. Available Interest Collections

4,359,044.54

2. Available Principal Collections

26,628,856.37

II. Receivable Pool Balance

A. Original Principal Pool Balance

732,143,742.24

B. Principal Pool Balance as of the Beginning of the Collection Period

551,134,053.35

C. Principal Pool Balance as of the End of the Collection Period

524,272,776.16

III. Note Principal Balances For the Collection Period

A. Class A-1 Notes

1. Beginning Class A-1 Balance

14,840,311.11

2. Ending Class A-1 Balance

0.00

Class A-2 Notes

1. Beginning Class A-2 Balance

260,000,000.00

2. Ending Class A-2 Balance

247,979,033.92

Class A-3 Notes

1. Beginning Class A-3 Balance

206,740,000.00

2. Ending Class A-3 Balance

206,740,000.00

Certificates

1. Beginning Certificate Balance

69,553,742.24

2. Ending Certificate Balance

69,553,742.24

IV. Reserve Account Balance For the Collection Period

A. Initial and Required Reserve Account Amount

5,491,078.07

B. Beginning Reserve Account Balance

5,491,078.07

C. Ending Reserve Account Balance

5,491,078.07

V. Reconciliation of Yield Supplement Account

(A) Beginning Yield Supplement Account Balance

13,423,060.97

(B) Release to Collection Account

882,281.03

(C) Ending Yield Supplement Account Balance

12,540,779.94

VI. Summary of Cash Disbursements

A. Available Collections

30,987,900.91

B. Withdrawals from Reserve Account

0.00

C. Total Available Collections

30,987,900.91

D. Reimbursement of Advance

72,879.16

E. Payment of Base Servicing Fee

459,278.38

F. Interest paid to Class A-1

76,438.73

G. Interest paid to Class A-2

1,326,000.00

H. Interest paid to Class A-3

1,114,673.17

I. Principal paid to Class A-1

14,840,311.11

J. Principal paid to Class A-2

12,020,966.08

K. Principal paid to Class A-3

0.00

L. Principal paid to Certificates

0.00

M. Remaining Available Collections

1,077,354.28

N. Deposit from Remaining Available Collections to fund Reserve Account

0.00

O. Remaining Available Collections Released to Seller

1,077,354.28

VII. Scheduled Monthly Interest Distribution

A. Available Collections

30,987,900.91

B. Reimbursement of Advance

1. Prior Advance Outstanding

72,879.16

2. Current Period (Advances)/Advances Reimbursed

0.00

3. Advances Reimbursed Due This Collection Period

72,879.16

4. Payment of Advances Reimbursed from Collections

72,879.16

5. Payment of Advances Reimbursed from Reserve Account

0.00

6. Total Advance Outstanding for the Period

0.00

C. Total Reimbursement of Advance paid

72,879.16

D. Remaining Available Collections

30,915,021.75

E. Base Servicing Fee

1. Current Servicing Fee Accrued

459,278.38

2. Unpaid Servicing Fees From Prior Collection Periods

0.00

3. Total Servicing Fee Due

459,278.38

4. Payment of Servicing Fee from Collections

459,278.38

5. Payment of Servicing Fee from Reserve Account

0.00

6. This period unpaid Servicing Fee

0.00

F. Total Servicing Fee paid

459,278.38

G. Remaining Available Collections

30,455,743.37

H. Aggregate Class A Interest Distribution Amount

1. Class A Monthly Interest

2,517,111.90

2. Class A Interest Carryover Shortfall

0.00

3. Class A Interest on Interest Carryover Shortfall

0.00

4. Class A Interest Distributable Amount

2,517,111.90

5. Payment of Class A Interest Distributable Amount from Collections

2,517,111.90

6. Payment of Class A Interest Distributable Amount from Reserve Account

0.00

7. This period Class A Interest Carryover Shortfall

0.00

Total Interest paid to Class A Notes

2,517,111.90

Class A-1 Interest Distribution Amount

1. Class A-1 Coupon Rate

5.619%

2. Class A-1 Monthly Interest

76,438.73

3. Class A-1 Interest Carryover Shortfall

0.00

4. Class A-1 Interest on Interest Carryover Shortfall

0.00

5. Class A-1 Interest Distributable Amount

76,438.73

6. Payment of Class A-1 Interest Distributable Amount from Collections

76,438.73

7. Payment of Class A-1 Interest Distributable Amount from Reserve Account

0.00

8. This period Class A-1 Interest Carryover Shortfall

0.00

Total Interest paid to Class A-1 Notes

76,438.73

Class A-2 Interest Distribution Amount

1. Class A-2 Coupon Rate

6.120%

2. Class A-2 Monthly Interest

1,326,000.00

3. Class A-2 Interest Carryover Shortfall

0.00

4. Class A-2 Interest on Interest Carryover Shortfall

0.00

5. Class A-2 Interest Distributable Amount

1,326,000.00

6. Payment of Class A-2 Interest Distributable Amount from Collections

1,326,000.00

7. Payment of Class A-2 Interest Distributable Amount from Reserve Account

0.00

8. This period Class A-2 Interest Carryover Shortfall

0.00

Total Interest paid to Class A-2 Notes

1,326,000.00

Class A-3 Interest Distribution Amount

1. Class A-3 Coupon Rate

6.470%

2. Class A-3 Monthly Interest

1,114,673.17

3. Class A-3 Interest Carryover Shortfall

0.00

4. Class A-3 Interest on Interest Carryover Shortfall

0.00

5. Class A-3 Interest Distributable Amount

1,114,673.17

6. Payment of Class A-3 Interest Distributable Amount from Collections

1,114,673.17

7. Payment of Class A-3 Interest Distributable Amount from Reserve Account

0.00

8. This period Class A-3 Interest Carryover Shortfall

0.00

Total Interest paid to Class A-3 Notes

1,114,673.17

I. Total Interest paid to Class A Notes

2,517,111.90

J. Total Remaining Available Collections

27,938,631.47

VIII. Scheduled Monthly Principal Distributions

A. Total Remaining Available Collections

27,938,631.47

B. Principal Distribution Amount

26,861,277.19

C. Aggregate Class A Principal Distribution Amount

1. Beginning Class A Principal Balance

481,580,311.11

2. Class A Monthly Principal

26,861,277.19

3. Class A Principal Carryover Shortfall

0.00

4. Total Class A Principal Distribution Amount

26,861,277.19

5. Payment of Class A Principal Distribution Amount from Available Collections

26,861,277.19

6. Payment of Class A Principal Distribution Amount from Reserve Account

0.00

7. Class A Principal Carryover Shortfall for the Period

0.00

8. Ending Class A Principal Balance

454,719,033.92

Total Principal paid to Class A Notes

26,861,277.19

Class A-1 Principal Distribution Amount

1. Beginning Class A-1 Principal Balance

14,840,311.11

2. Class A-1 Monthly Principal

14,840,311.11

3. Class A-1 Principal Carryover Shortfall

0.00

4. Total Class A-1 Principal Distribution Amount

14,840,311.11

5. Payment of Class A-1 Principal Distribution Amount from Available Collections

14,840,311.11

6. Payment of Class A-1 Principal Distribution Amount from Reserve Account

0.00

7. Class A-1 Principal Carryover Shortfall for the Period

0.00

8. Ending Class A-1 Principal Balance

0.00

Total Principal paid to Class A-1 Notes

14,840,311.11

Class A-2 Principal Distribution Amount

1. Beginning Class A-2 Principal Balance

260,000,000.00

2. Class A-2 Monthly Principal

12,020,966.08

3. Class A-2 Principal Carryover Shortfall

0.00

4. Total Class A-2 Principal Distribution Amount

12,020,966.08

5. Payment of Class A-2 Principal Distribution Amount from Available Collections

12,020,966.08

6. Payment of Class A-2 Principal Distribution Amount from Reserve Account

0.00

7. Class A-2 Principal Carryover Shortfall for the Period

0.00

8. Ending Class A-2 Principal Balance

247,979,033.92

Total Principal paid to Class A-2 Notes

12,020,966.08

Class A-3 Principal Distribution Amount

1. Beginning Class A-3 Principal Balance

206,740,000.00

2. Class A-3 Monthly Principal

0.00

3. Class A-3 Principal Carryover Shortfall

0.00

4. Total Class A-3 Principal Distribution Amount

0.00

5. Payment of Class A-3 Principal Distribution Amount from Available Collections

0.00

6. Payment of Class A-3 Principal Distribution Amount from Reserve Account

0.00

7. Class A-3 Principal Carryover Shortfall for the Period

0.00

8. Ending Class A-3 Principal Balance

206,740,000.00

Total Principal paid to Class A-3 Notes

0.00

D. Total Principal paid to Class A Notes

26,861,277.19

E. Certificate Principal Distribution Amount

1. Beginning Certificate Principal Balance

69,553,742.24

2. Certificate Monthly Principal

0.00

3. Certificate Carryover Principal Shortfall

0.00

4. Total Certificate Principal Distribution Amount

0.00

5. Payment of Certificate Principal Distribution Amount from Available Collections

0.00

6. Payment of Certificate Principal Distribution Amount from Reserve Account

0.00

7. Certificate Principal Carryover Shortfall for the Period

0.00

8. Ending Certificate Principal Balance

69,553,742.24

Total Principal paid to Certificates

0.00

F. Total Principal paid to Class A Notes and Certificates

26,861,277.19

G. Remaining Available Collections

1,077,354.28

IX. Required Reserve Account Amount for Next Distribution Date

A. Reserve Account Required Amount

1. Floor Amount (Initial Deposit Amount)

5,491,078.07

B. Reserve Account Triggers

1. Average Three Period Delinquency Percentage

0.10%

2. Delinquency Percentage Trigger

2.00%

3. Average Three Period Charge Off Rate

0.74%

4. Charge Off Rate Trigger

3.50%

5. Required Reserve Account Percentage Specified

10.00%

6. Reserve Account Trigger Amount (if 1. > 2. or 3. > 4. then 10% of Beginning Pool Balance, else 0)

0.00

C. Required Reserve Account Amount for Next Period (Max: A or B)

5,491,078.07

D. Remaining Available Collections

1,077,354.28

E. Reserve Account Activity

1. Beginning Reserve Account Balance

5,491,078.07

2. Withdrawal from Reserve Account to pay Servicer Advance

0.00

3. Withdrawal from Reserve Account to pay Servicing Fee

0.00

4. Withdrawal from Reserve Account to pay Class A Interest

0.00

5. Withdrawal from Reserve Account to pay Class A Principal

0.00

6. Withdrawal from Reserve Account to pay Certificate Principal

0.00

7. Deposit from Remaining Available Collections to fund Reserve Account

0.00

8. Withdrawal of funds in Reserve Account in Excess of Required Reserve Account Balance

0.00

9. Ending Reserve Account Balance

5,491,078.07

X. Delinquency and Default Information

A. Automobiles Delinquency Information

Delinquency

31-60 days

3,401,398.13

61-90 days

243,570.69

91-120 days

106,515.01

Total

3,751,483.83

Delinquency

31-60 days

345

61-90 days

23

91-120 days

11

Total

379

B. Delinquency Percentage

1. Outstanding Units for Delinquency >=60 days

34

2. Portfolio Principal Ending Units for Collection Period

56,030

3. Delinquency Percentage (1/2)

0.06%

XI. Portfolio Average Delinquency Ratio

A. Delinquency Ratio for 2 Collection Periods Prior

0.13%

B. Delinquency Ratio for Prior Collection Period

0.12%

C. Delinquency Ratio for Current Collection Period

0.06%

D. Average Delinquency Ratio ((sum A through C)/3)

0.10%

XII. Portfolio Information

A. Weighted Average Coupon

7.23%

B. Weighted Average Remaining Maturity

37.29

C. Remaining Number of Contracts

56,030

XIII. Portfolio Average Net Loss Ratio

1. Principal Recoveries of Defaulted Receivable

384,200.78

2. Principal on Defaulted Receivable

616,621.60

3. Average Pool Beginning Balance for Collection Period

551,134,053.35

4. Net Loss Ratio ((2- 1)/3) * 12

0.51%

A. Net Loss Ratio for 2 Collection Periods Prior

1.15%

B. Net Loss Ratio for Prior Collection Period

0.55%

C. Net Loss Ratio for Current Collection Period

0.51%

D. Average Net Loss Ratio ((sum A through C)/3)

0.74%

 

  


On April 17, 2000, interest earned and principal paid of the underlying assets for the month of February 2000 were paid to you by the paying agent on behalf of Norwest Bank, in its capacity as Trustee for the above referenced issue. The following information is being provided pursuant to Section 5.06 of the Sale and Servicing Agreement, dated as of August 1, 1999. This payment per $1,000 of original issuance of your holdings is allocated as follows:

1) Class A-1 Principal

14,840,311.11

Principal Factor

1.0000000

Class A-2 Principal

12,020,966.08

Principal Factor

0.0462345

Class A-3 Principal

0.00

Principal Factor

0.0000000

2) Class A-1 Interest

76,438.73

Interest Factor

0.0051507

Total per each individual Class A-1 Note

14,916.75

Class A-2 Interest

1,326,000.00

Interest Factor

0.0051000

Total per each individual Class A-2 Note

13,346.97

Class A-3 Interest

1,114,673.17

Interest Factor

0.0053917

Total per each individual Class A-3 Note

1,114.67

3) Certificate Principal

0.00

Principal Factor

0.0000000

4) Fees and Compensation paid to Servicer

(a) Total

459,278.38

(b) Per individual Class A and Class B Certificate

459.28

5) The amount deposited into the Reserve Account

0.00

6) Aggregate Unreimbursed Advances

This Month

0.00

Previous Month

0.00

Change From Previous Month

0.00

7)

(a) Pool Balance after this payment

524,272,776.16

(b) Pool Factor after this payment

0.62

8)

(a) Available Reserve Account Amount

5,491,078.07

(b) Percent of Pool Balance

0.996%

9) Required Reserve Account Amount

5,491,078.07



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