NAVISTAR FINANCIAL RETAIL RECEIVABLES CORPORATION
8-K, 1995-05-26
Previous: SMITH BREEDEN TRUST, NSAR-B, 1995-05-26
Next: OPPENHEIMER STRATEGIC SHORT TERM INCOME FUND, NSAR-A, 1995-05-26








              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) May 15, 1995






       NAVISTAR FINANCIAL RETAIL RECEIVABLES CORPORATION on behalf of
          NAVISTAR FINANCIAL 1993-A OWNER TRUST, NAVISTAR FINANCIAL
          1994-A OWNER TRUST, NAVISTAR FINANCIAL 1994-B OWNER TRUST
                          AND 1994-C OWNER TRUST                      
            (Exact name of Registrant as specified in its charter)




                                 Delaware                    
               (State or other jurisdiction of incorporation)




       1-4146-1                                     51-0337491             
(Commission File Number)               (I.R.S. Employer Identification No.)




2850 West Golf Road Rolling Meadows, Illinois                      60008   
  (Address of principal executive offices)                       (Zip Code)





       Registrant's telephone number including area code 708-734-4275

<PAGE>
<PAGE>
                  INFORMATION TO BE INCLUDED IN THE REPORT


Item 5. Other Events.


        On May 15, 1995, Registrant made available the Monthly Servicer
        Certificates for the Period of April 1995 for the specified Owner
        Trusts, which are attached as Exhibit 20 hereto.


Item 7. Financial Statements and Exhibits.

        (c) Exhibits:

            See attached Exhibit Index.




                                  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 thereunto duly authorized.




             NAVISTAR FINANCIAL RETAIL RECEIVABLES CORPORATION on behalf of
                  NAVISTAR FINANCIAL 1993-A OWNER TRUST, NAVISTAR FINANCIAL
                  1994-A OWNER TRUST, NAVISTAR FINANCIAL 1994-B OWNER TRUST
                                                     AND 1994-C OWNER TRUST
                                              (Registrant)                 



                                                                           



Date  May 25, 1995           By:/s/ PHYLLIS E. COCHRAN              
                                    Phyllis E. Cochran
                                    Vice President & Controller


<PAGE>
<PAGE>
                                EXHIBIT INDEX


Exhibit No.       Description

Navistar Financial 1993-A Owner Trust

   20.1           Monthly Servicer Certificate, dated May 15, 1995


Navistar Financial 1994-A Owner Trust

   20.2           Monthly Servicer Certificate, dated May 15, 1995


Navistar Financial 1994-B Owner Trust

   20.3           Monthly Servicer Certificate, dated May 15, 1995


Navistar Financial 1994-C Owner Trust

   20.4           Monthly Servicer Certificate, dated May 22, 1995

<PAGE>
Exhibit 20.1
Page 1 of 3

Navistar Financial 1993-A Owner Trust
For the Month of April 1995
Distribution Date of May 15, 1995

<TABLE>
<S>                                   <C>
Original Pool Amount                  $335,002,547.77

Beginning Pool Balance                $133,656,652.98
Beginning Pool Factor                       0.3989720

Principal and Interest Collections:
  Principal Collected
    (Including Servicer Advance Repay)  $7,275,284.62
  Interest Collected                      $998,567.61

Additional Deposits:
  Repurchase Amounts                            $0.00
  Liquidation Proceeds/Recoveries          $84,665.15
Total Additional Deposits                  $84,665.15

Repos/Chargeoffs                          $179,609.57
Aggregate Number of Notes Charged Off              21

Total Available Funds                   $8,358,517.38

Ending Pool Balance                   $126,201,758.79
Ending Pool Factor                          0.3767188

Servicing Fee                             $111,380.54

Repayment of Servicer Advances                  $0.00

Reserve Account:
  Beginning Balance                    $10,065,909.62
  Target Percentage                             7.50%
  Target Balance                        $9,465,131.91
  Minimum Balance                       $6,700,050.96
  (Release)/Deposit                      $(600,777.71)
  Ending Balance                        $9,465,131.91
</TABLE>
<TABLE>
<CAPTION>
                                            Dollars         Notes
<S>                                     <C>                  <C>
Delinquencies:
  Installments:
     1-30 days                           1,071,150.76         901
    31-60 days                             168,847.08         153
    60+ days                                42,848.38          30

    Total                                1,282,846.22         910

  Balances:
    60+ days                               387,235.84          30

Memo Item - Reserve Account

  Prior Month                          $10,024,248.97
  Invest. Income                            41,660.65
    Beginning Balance                  $10,065,909.62
</TABLE>
<PAGE>
<PAGE>
Exhibit 20.1
Page 2 of 3

Navistar Financial 1993-A Owner Trust
For the Month of April 1995
<TABLE>
<CAPTION>
                                                              [--------------NOTES------------]
                                                                CLASS A-1   
                                               TOTAL          (MONEY MARKET)       CLASS A-2         CERTIFICATES 
<S>                                       <C>                <C>                <C>                 <C>
Original 
 Pool Amount Dist.:                       $335,002,547.77    $127,300,000.00    $195,976,000.00     $11,726,547.77
 Distribution Percentages                                            100.00%             95.50%              4.50%
 Turbo Percentages                                                   100.00%              0.00%              0.00%
 Coupon                                                               3.475%             4.475%             4.800%

Beginning Pool Balance                    $133,656,652.98
Ending Pool Balance                       $126,201,758.79

Collected Principal                         $7,275,284.62
Collected Interest                            $998,567.61
Charge-Offs                                   $179,609.57
Servicing                                     $111,380.54

  Total Collections Available 
    for Debt Service                        $8,162,471.69

Beginning Balance                         $122,406,315.24              $0.00    $114,518,097.93      $7,888,217.31

Interest Due                                  $458,609.94              $0.00        $427,057.07         $31,552.87
Interest Paid                                 $458,609.94              $0.00        $427,057.07         $31,552.87
Principal Due                               $7,454,894.19              $0.00      $7,119,423.95        $335,470.24
Principal Paid                              $7,454,894.19              $0.00      $7,119,423.95        $335,470.24
Turbo Principal                                     $0.00              $0.00              $0.00              $0.00

Ending Balance                            $114,951,421.05              $0.00    $107,398,673.98      $7,552,747.07
Note/Certificate Pool Factor 
 (Ending Balance/Original Pool Amount)                                  0.00       0.5480195227       0.6440725110

Total Distributions                         $7,913,504.13              $0.00      $7,546,481.02        $367,023.11

Interest Shortfall                                  $0.00              $0.00              $0.00              $0.00
Principal Shortfall                                 $0.00              $0.00              $0.00              $0.00
 Total Shortfall (required from Reserve)            $0.00              $0.00              $0.00              $0.00

Excess Servicing                              $248,967.56

Beginning Reserve Account Balance          $10,065,909.62
(Release)/Draw                               $(600,777.71)
Ending Reserve Account Balance              $9,465,131.91

Memo Item - Advances:
 Servicer Advances - Current Month            $350,574.23
 Total Outstanding Servicer Advances        $2,913,470.54
</TABLE>
<PAGE>
<PAGE>
Exhibit 20.1
Page 3 of 3

Navistar Financial 1993-A Owner Trust
For the Month of April 1995

Trigger Events: A) Loss Trigger
                B) Delinquency Trigger
<TABLE>
<CAPTION>
                                5                 4                 3                 2                 1       
                             Dec 1994          Jan 1995          Feb 1995          Mar 1995          Apr 1995   
<S>                      <C>               <C>               <C>               <C>               <C>
Beg. Pool Balance        $167,871,059.78   $159,033,206.08   $150,236,079.05   $141,826,345.98   $133,656,652.98

A) Loss Trigger:
Principal of Contracts 
  Charged off                 $39,029.43       $123,164.08        $99,484.41       $133,880.91       $179,609.57
Recoveries                   $103,431.89       $131,463.16         $1,084.30       $228,450.98        $84,665.15


Total Charged off 
  (Months 5,4,3)             $261,677.92
Total Recoveries 
  (Months 3,2,1)              314,200.43
Net Loss/(Recoveries)
  for 3 Mos.                 $(52,522.51)(a)

Total Balance 
  (Months 5,4,3)         $477,140,344.91(b)

Loss Ratio [(a/b)(12)]         (0.1321)%

Trigger: 
  Is Ratio> 1.5%                      No


B) Delinquency Trigger:
  Balance delinquency 
    60+ days                                                     $376,854.22       $598,389.48       $387,235.84
  As % of Beginning 
    Pool Balance                                                    0.25084%          0.42192%          0.28972%
  Three Month Average                                               0.23712%          0.29339%          0.32083%

Trigger:
  Is Average> 2.0%                    No
</TABLE>
  Navistar Financial Corporation



by:/s/R. W. CAIN                     
      R. W. CAIN
      Vice President and Treasurer

<PAGE>
Exhibit 20.2
Page 1 of 3

Navistar Financial 1994-A Owner Trust
For the Month of April 1995
Distribution Date of May 15, 1995

<TABLE>
<S>                                    <C>
Original Pool Amount                   $280,021,471.35

Beginning Pool Balance                 $183,607,976.18
Beginning Pool Factor                        0.6556925

Principal and Interest Collections:
  Principal Collected
    (Including Servicer Advance Repay)   $7,725,111.29
  Interest Collected                     $1,342,318.42

Additional Deposits:
  Repurchase Amounts                             $0.00
  Liquidation Proceeds/Recoveries           $62,308.63
Total Additional Deposits                   $62,308.63

Repos/Chargeoffs                           $256,743.69
Aggregate Number of Notes Charged Off               17

Total Available Funds                    $9,129,738.34

Ending Pool Balance                    $175,626,121.20
Ending Pool Factor                           0.6271881

Servicing Fee                              $153,006.65

Repayment of Servicer Advances                   $0.00

Reserve Account:
  Beginning Balance                     $11,984,117.23
  Target Percentage                              6.50%
  Target Balance                        $11,415,697.88
  Minimum Balance                        $5,600,429.43
  (Release)/Deposit                       $(568,419.35)
  Ending Balance                        $11,415,697.88
</TABLE>
<TABLE>
<CAPTION>
                                             Dollars        Notes
<S>                                       <C>                <C>
Delinquencies:
  Installments:
     1-30 days                            1,262,562.67        999
    31-60 days                              111,664.78        115
    60+ days                                 17,714.95         16

    Total                                 1,391,942.40        999

  Balances:
    60+ days                                306,306.66         16

Memo Item - Reserve Account

  Prior Month                           $11,934,518.45
  + Invest. Income                           49,598.78
  - Withdrawal                                    0.00
    Beginning Balance                   $11,984,117.23
</TABLE>
<PAGE>
<PAGE>
Exhibit 20.2
Page 2 of 3

Navistar Financial 1994-A Owner Trust
For the Month of April 1995
<TABLE>
<CAPTION>
                                                              [--------------NOTES------------]
                                                                CLASS A-1   
                                               TOTAL          (MONEY MARKET)       CLASS A-2         CERTIFICATES 
<S>                                       <C>                 <C>               <C>                  <C>
Original 
 Pool Amount Dist.:                       $280,021,471.35     $89,606,000.00    $180,614,000.00      $9,801,471.35
 Distribution Percentages                                            100.00%             95.50%              4.50%
 Turbo Percentages                                                   100.00%              0.00%              0.00%
 Coupon                                                               4.531%             5.930%             6.260%

Beginning Pool Balance                    $183,607,976.18
Ending Pool Balance                       $175,626,121.20

Collected Principal                         $7,725,111.29
Collected Interest                          $1,342,318.42
Charge-Offs                                   $256,743.69
Servicing                                     $153,006.65
Cash Transfer from Reserve Account                  $0.00
  Total Collections Available 
    for Debt Service                        $8,914,423.06

Beginning Balance                         $177,792,700.45              $0.00    $168,559,253.79      $9,233,446.66

Interest Due                                  $881,131.46              $0.00        $832,963.65         $48,167.81
Interest Paid                                 $881,131.46              $0.00        $832,963.65         $48,167.81
Principal Due                               $7,981,854.98              $0.00      $7,622,671.51        $359,183.47
Principal Paid                              $7,981,854.98              $0.00      $7,622,671.51        $359,183.47
Turbo Principal                                     $0.00              $0.00              $0.00              $0.00

Ending Balance                            $169,810,845.47              $0.00    $160,936,582.28      $8,874,263.19
Note/Certificate Pool Factor 
 (Ending Balance/Original Pool Amount)                                  0.00       0.8910526442       0.9054011248

Total Distributions                         $8,862,986.44              $0.00      $8,455,635.16        $407,351.28

Interest Shortfall                                  $0.00              $0.00              $0.00              $0.00
Principal Shortfall                                 $0.00              $0.00              $0.00              $0.00
 Total Shortfall (required from Reserve)            $0.00              $0.00              $0.00              $0.00

Excess Servicing                               $51,436.62

Beginning Reserve Account Balance          $11,984,117.23
(Release)/Draw                               $(568,419.35)
Ending Reserve Account Balance             $11,415,697.88

Memo Item - Advances:
 Servicer Advances - Current Month            $449,116.62
 Total Outstanding Servicer Advances        $2,557,850.87
</TABLE>
<PAGE>
<PAGE>
Exhibit 20.2
Page 3 of 3

Navistar Financial 1994-A Owner Trust
For the Month of April 1995

Trigger Events: A) Loss Trigger
                B) Delinquency Trigger
<TABLE>
<CAPTION>
                                5                 4                 3                 2                 1       
                             Dec 1994          Jan 1995          Feb 1995          Mar 1995         Apr 1995    
<S>                      <C>               <C>               <C>               <C>               <C>
Beg. Pool Balance        $216,695,290.23   $206,379,528.78   $198,921,224.81   $191,225,748.38   $183,607,976.18

A) Loss Trigger:
Principal of Contracts 
  Charged off                $132,632.92       $278,730.90       $355,748.09        $54,301.50       $256,743.69
Recoveries                   $188,694.22        $98,943.32        $81,007.02       $409,655.39        $62,308.63


Total Charged off 
  (Months 5,4,3)             $767,111.91
Total Recoveries 
  (Months 3,2,1)              552,971.04
Net Loss/(Recoveries)
  for 3 Mos.                 $214,140.87(a)

Total Balance 
  (Months 5,4,3)         $621,996,043.82(b)

Loss Ratio [(a/b)(12)]           0.4131%

Trigger: 
  Is Ratio> 1.5%                      No


B) Delinquency Trigger:
  Balance delinquency 
    60+ days                                                     $481,801.09     $1,117,386.14       $306,306.66
  As % of Beginning 
    Pool Balance                                                    0.24221%          0.58433%          0.16683%
  Three Month Average                                               0.27439%          0.38199%          0.33112%

Trigger:
  Is Average> 2.0%                    No
</TABLE>
  Navistar Financial Corporation



by:/s/R. W. CAIN                     
      R. W. CAIN
      Vice President and Treasurer

<PAGE>
Exhibit 20.3
Page 1 of 3

Navistar Financial 1994-B Owner Trust
For the Month of April 1995
Distribution Date of May 15, 1995

<TABLE>
<S>                                    <C>
Original Pool Amount                   $215,029,773.64

Beginning Pool Balance                 $165,999,038.63
Beginning Pool Factor                        0.7719816

Principal and Interest Collections:
  Principal Collected
    (Including Servicer Advance Repay)   $5,205,212.63
  Interest Collected                     $1,274,562.13

Additional Deposits:
  Repurchase Amounts                             $0.00
  Liquidation Proceeds/Recoveries          $339,848.82
Total Additional Deposits                  $339,848.82

Repos/Chargeoffs                           $671,427.43
Aggregate Number of Notes Charged Off               23

Total Available Funds                    $6,819,623.58

Ending Pool Balance                    $160,122,398.57
Ending Pool Factor                           0.7446522

Servicing Fee                              $138,332.53

Repayment of Servicer Advances                   $0.00

Reserve Account:
  Beginning Balance                     $10,415,317.88
  Target Percentage                              6.50%
  Target Balance                        $10,407,955.91
  Minimum Balance                        $4,300,595.47
  (Release)/Deposit                         $(7,361.97)
  Ending Balance                        $10,407,955.91
</TABLE>
<TABLE>
<CAPTION>
                                             Dollars        Notes
<S>                                       <C>                <C>
Delinquencies:
  Installments:
     1-30 days                            1,009,871.59        791
    31-60 days                              111,422.41        110
    60+ days                                 28,412.56         16

    Total                                 1,149,706.56        793

  Balances:
    60+ days                                401,032.51         16

Memo Item - Reserve Account

  Prior Month                           $10,789,937.51
  + Invest. Income                           44,840.06
  - Withdrawal                             (419,459.69)
    Beginning Balance                   $10,415,317.88
</TABLE>
<PAGE>
<PAGE>
Exhibit 20.3
Page 2 of 3

Navistar Financial 1994-B Owner Trust
For the Month of April 1995
<TABLE>
<CAPTION>
                                               TOTAL               NOTES          CERTIFICATES 
<S>                                       <C>                <C>                  <C>
Original
 Pool Amount Dist.:                       $215,029,773.64    $207,503,000.00      $7,526,773.64
 Distribution Percentage                                              96.50%              3.50%
 Coupon                                                               6.400%             6.625%

Beginning Pool Balance                    $165,999,038.63
Ending Pool Balance                       $160,122,398.57

Collected Principal                         $5,205,212.63
Collected Interest                          $1,274,562.13
Charge-Offs                                   $671,427.43
Servicing                                     $138,332.53
Cash Transfer from Reserve Account            $419,459.69

  Total Collections Available 
    for Debt Service                        $6,760,901.92

Beginning Balance                         $165,595,313.73    $159,798,746.19      $5,796,567.54

Interest Due                                  $884,261.86        $852,259.98         $32,001.88
Interest Paid                                 $884,261.86        $852,259.98         $32,001.88
Principal Due                               $5,876,640.06      $5,670,957.66        $205,682.40
Principal Paid                              $5,876,640.06      $5,670,957.66        $205,682.40

Ending Balance                            $159,718,673.68    $154,127,788.53      $5,590,885.15
Note/Certificate Pool Factor 
 (Ending Balance/Original Pool Amount)                          0.7427737841       0.7427996926

Total Distributions                         $6,760,901.92      $6,523,217.64        $237,684.28

Interest Shortfall                                  $0.00              $0.00              $0.00
Principal Shortfall                                 $0.00              $0.00              $0.00
 Total Shortfall (required from Reserve)            $0.00              $0.00              $0.00

Excess Servicing                                    $0.00

Beginning Reserve Account Balance          $10,415,317.88
(Release)/Draw                                 $(7,361.97)
Ending Reserve Account Balance             $10,407,955.91

Memo Item - Advances:
 Servicer Advances - Current Month            $307,127.61
 Total Outstanding Servicer Advances        $1,693,189.11
</TABLE>
<PAGE>
<PAGE>
Exhibit 20.3
Page 3 of 3

Navistar Financial 1994-B Owner Trust
For the Month of April 1995

Trigger Events: A) Loss Trigger
                B) Delinquency Trigger
<TABLE>
<CAPTION>
                                5                 4                 3                 2                 1       
                             Dec 1994          Jan 1995          Feb 1995          Mar 1995          Apr 1995   
<S>                      <C>               <C>               <C>               <C>               <C>
Beg. Pool Balance        $188,248,178.91   $181,848,004.17   $176,963,307.51   $171,407,615.31   $165,999,038.63

A) Loss Trigger:
Principal of Contracts 
  Charged off                 $32,460.45       $119,312.68       $421,343.14        $47,892.56       $671,427.43
Recoveries                   $115,127.07        $37,276.16        $36,794.47       $125,718.00       $339,848.82


Total Charged off 
  (Months 5,4,3)             $573,116.27
Total Recoveries 
  (Months 3,2,1)              502,361.29
Net Loss/(Recoveries)
  for 3 Mos.                  $70,754.98(a)

Total Balance 
  (Months 5,4,3)         $547,059,490.59(b)

Loss Ratio [(a/b)(12)]           0.1552%

Trigger: 
  Is Ratio> 1.5%                      No


B) Delinquency Trigger:
  Balance delinquency 
    60+ days                                                     $655,612.71       $697,344.14       $401,032.51
  As % of Beginning 
    Pool Balance                                                    0.37048%          0.40683%          0.24159%
  Three Month Average                                               0.28849%          0.34514%          0.33963%

Trigger:
  Is Average> 2.0%                    No
</TABLE>
  Navistar Financial Corporation



by:/s/R. W. CAIN                     
      R. W. CAIN
      Vice President and Treasurer

<PAGE>
Exhibit 20.4
Page 1 of 3

Navistar Financial 1994-C Owner Trust
For the Month of April 1995
Distribution Date of May 22, 1995

<TABLE>
<S>                                    <C>
Original Pool Amount                   $315,029,921.60

Beginning Pool Balance                 $275,352,505.86
Beginning Pool Factor                        0.8740519

Principal and Interest Collections:
  Principal Collected
    (Including Servicer Advance Repay)   $7,664,921.37
  Interest Collected                     $2,278,531.26

Additional Deposits:
  Repurchase Amounts                             $0.00
  Liquidation Proceeds/Recoveries           $94,980.59
Total Additional Deposits                   $94,980.59

Repos/Chargeoffs                           $221,953.40
Aggregate Number of Notes Charged Off               17

Total Available Funds                   $10,038,433.22

Ending Pool Balance                    $267,465,631.09
Ending Pool Factor                           0.8490166

Servicing Fee                              $229,460.42

Repayment of Servicer Advances                   $0.00

Reserve Account:
  Beginning Balance                     $16,600,449.05
  Target Percentage                              6.00%
  Target Balance                        $16,047,937.87
  Minimum Balance                        $6,615,628.35
  (Release)/Deposit                       $(552,511.18)
  Ending Balance                        $16,047,937.87
</TABLE>
<TABLE>
<CAPTION>
                                             Dollars        Notes
<S>                                       <C>               <C>
Delinquencies:
  Installments:
     1-30 days                            1,496,642.27      1,062
    31-60 days                              174,836.32        120
    60+ days                                 26,856.40         19

    Total                                 1,698,334.99      1,063

  Balances:
    60+ days                                682,615.73         19

Memo Item - Reserve Account

  Prior Month                           $16,521,150.35
  + Invest. Income                           79,298.70
  - Withdrawal                                    0.00
    Beginning Balance                   $16,600,449.05
</TABLE>
<PAGE>
<PAGE>
Exhibit 20.4
Page 2 of 3

Navistar Financial 1994-C Owner Trust
For the Month of April 1995
<TABLE>
<CAPTION>
                                                              [--------------NOTES------------]
                                                                CLASS A-1   
                                               TOTAL          (MONEY MARKET)       CLASS A-2         CERTIFICATES 
<S>                                       <C>                <C>                 <C>                <C>
Original 
 Pool Amount Dist.:                       $315,029,921.60    $207,000,000.00     $97,000,000.00     $11,029,921.60
 Distribution Percentages                                            100.00%              0.00%              0.00%
 Coupon                                                               7.650%             8.000%             8.300%

Beginning Pool Balance                    $275,352,505.86
Ending Pool Balance                       $267,465,631.09

Collected Principal                         $7,664,921.37
Collected Interest                          $2,278,531.26
Charge-Offs                                   $221,953.40
Servicing                                     $229,460.42
Cash Transfer from Reserve Acount                   $0.00

  Total Collections Available 
    for Debt Service                        $9,713,992.21

Beginning Balance                         $275,039,482.68    $167,009,561.08     $97,000,000.00     $11,029,921.60

Interest Due                                $1,787,642.91      $1,064,685.95        $646,666.67         $76,290.29
Interest Paid                               $1,787,642.91      $1,064,685.95        $646,666.67         $76,290.29
Principal Due                               $7,886,874.77      $7,886,874.77              $0.00              $0.00
Principal Paid                              $7,886,874.77      $7,886,874.77              $0.00              $0.00

Ending Balance                            $267,152,607.91    $159,122,686.31     $97,000,000.00     $11,029,921.60
Note/Certificate Pool Factor 
 (Ending Balance/Original Pool Amount)                          0.7687086295       1.0000000000       1.0000000000

Total Distributions                         $9,674,517.68      $8,951,560.72        $646,666.67         $76,290.29

Interest Shortfall                                  $0.00              $0.00              $0.00              $0.00
Principal Shortfall                                 $0.00              $0.00              $0.00              $0.00
 Total Shortfall (required from Reserve)            $0.00              $0.00              $0.00              $0.00

Excess Servicing                               $39,474.53

Beginning Reserve Account Balance          $16,600,449.05
(Release)/Draw                               $(552,511.18)
Ending Reserve Account Balance             $16,047,937.87

Memo Item - Advances:
 Servicer Advances - Current Month            $443,306.51
 Total Outstanding Servicer Advances        $2,651,207.96
</TABLE>
<PAGE>
<PAGE>
Exhibit 20.4
Page 3 of 3

Navistar Financial 1994-C Owner Trust
For the Month of April 1995

Trigger Events: A) Loss Trigger
                B) Delinquency Trigger
<TABLE>
<CAPTION>
                                5                 4                 3                 2                 1       
                             Dec 1994          Jan 1995          Feb 1995          Mar 1995          Apr 1995   
<S>                      <C>               <C>               <C>               <C>               <C>
Beg. Pool Balance        $315,029,921.60   $299,440,328.15   $292,007,535.40   $283,644,074.75   $275,352,505.86

A) Loss Trigger:
Principal of Contracts 
  Charged off                $158,086.15        $89,289.62       $246,317.21       $162,132.14       $221,953.40
Recoveries                         $0.00        $17,510.43        $89,233.40       $206,279.35        $94,980.59


Total Charged off 
  (Months 5,4,3)             $493,692.98
Total Recoveries 
  (Months 3,2,1)             $390,493.34
Net Loss/(Recoveries)
  for 3 Mos.                 $103,199.64(a)

Total Balance 
  (Months 5,4,3)         $906,477,785.15(b)

Loss Ratio [(a/b)(12)]           0.1366%

Trigger: 
  Is Ratio> 1.5%                      No


B) Delinquency Trigger:
  Balance delinquency 
    60+ days                                   $586,120.87       $810,341.73       $682,615.73
  As % of Beginning 
    Pool Balance                                  0.20072%          0.28569%          0.24791%
  Three Month Average                             0.14976%          0.22563%          0.24477%

Trigger:
  Is Average> 2.0%                    No
</TABLE>
  Navistar Financial Corporation



by:/s/R. W. CAIN                     
      R. W. CAIN
      Vice President and Treasurer<PAGE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission