SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 8-K
CURRENT REPORT
Pursuant to Section 13 of the
Securities Exchange Act of 1934
Date of Report
(Date of earliest event reported): June 15, 1999
PRIME RECEIVABLES CORPORATION
(Originator of the Prime Credit Card Master Trust)
9111 Duke Boulevard
Mason, Ohio 45040-8999
(513) 573-2037
Delaware 31-1359594 0-21118
(State of Incorporation) (IRS I.D. No.) (Commission File Number)
Item 5. Other Events.
None
Item 7.
Financial Statements, Pro Forma Financial Information, and
Exhibits.
The following Exhibits are filed with this Report:
28.97 Settlement Statement of the Trust
for the period ended May 29, 1999
and the related distributions made
on June 15, 1999.
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.
PRIME RECEIVABLES CORPORATION
Date: June 22, 1999 By: /s/ David W. Dawson
David W. Dawson,
Treasurer
INDEX TO EXHIBITS
Exhibit Sequentially
Number Exhibit Numbered Page
28.97 Settlement Statement of the Trust
for the period ended May 29, 1999
and the related distributions made
on June 15, 1999.
Exhibit 28.97
Settlement Statement of the Trust for the Period
Ending May 29, 1999 and the Related
Distributions made on June 15, 1999.
Prime Credit Card Master Trust 14-Jun-99
10:55 AM
Settlement Statement
- ------------------
Distribution Date: 15-Jun-99
Monthly Period: May 1999
02-May-99
29-May-99
(i) Collections 379,607,641
Finance Charge 43,300,473
Principal 336,307,167
(ii) Investor Percentage - Principal Collections 29-May-99
Series 1992-2 29.58%
A 24.40%
B 2.20%
C 2.98%
Series 1992-3 0.00%
A 0.00%
B 0.00%
Series 1995-1 35.24%
A 29.60%
B 2.82%
C 2.82%
Series 1996-1 14.08%
A 11.82%
B 1.13%
C 1.13%
(iii) Investor Percentage - Finance Charge Collections, Receivables
Series 1992-2 29.58%
A 24.40%
B 2.20%
C 2.98%
Series 1992-3 0.00%
A 0.00%
B 0.00%
Series 1995-1 35.24%
A 29.60%
B 2.82%
C 2.82%
Series 1996-1 14.08%
A 11.82%
B 1.13%
C 1.13%
(iv) Distribution Amount per $1,000 15-Jun-99
Series 1992-2 6.243
A 6.208
B 6.625
C 0.000
Series 1992-3 0.000
A 0.000
B 0.000
Series 1995-1 5.636
A 5.625
B 5.750
C 0.000
Series 1996-1 5.594
A 5.583
B 5.708
C 0.000
Total $'s Distributed
Series 1992-2 3,062,062.50
Series 1992-3 0.00
Series 1995-1 3,370,250.00
Series 1996-1 1,335,900.00
(v) Allocation to Principal per $1,000 15-Jun-99
Series 1992-2 0.000
A 0.000
B 0.000
C 0.000
Series 1992-3 0.00
A 0.00
B 0.000
Series 1995-1 0.000
A 0.000
B 0.000
C 0.000
Series 1996-1 0.000
A 0.000
B 0.000
C 0.000
Total $'s Distributed 0.00
Series 1992-2 0.00
Series 1992-3 0.00
Series 1995-1 0.00
Series 1996-1 0.00
(vi) Allocation to Interest per $1,000 15-Jun-99
Series 1992-2 6.243
A 6.208
B 6.625
C 0.000
Series 1992-3 0.000
A 0.000
B 0.000
Series 1995-1 5.636
A 5.625
B 5.750
C 0.000
Series 1996-1 5.594
A 5.583
B 5.708
C 0.000
Total $'s Distributed
Series 1992-2 3,062,062.50
Series 1992-3 0.00
Series 1995-1 3,370,250.00
Series 1996-1 1,335,900.00
(vii) Investor Default Amount
Series 1992-2 3,323,601.88
A 2,741,743.07
B 246,756.88
C 335,101.93
Series 1992-3 0.00
A 0.00
B 0.00
Series 1995-1 3,960,295.55
A 3,326,648.26
B 316,823.64
C 316,823.64
Series 1996-1 1,581,681.12
A 1,328,222.20
B 126,729.46
C 126,729.46
(viii) Investor Charge Offs
Charge Offs Reimbursements
Series 1992-2 0.00 0.00
A 0.00 0.00
B 0.00 0.00
C 0.00 0.00
Series 1992-3 0.00 0.00
A 0.00 0.00
B 0.00 0.00
Series 1995-1 0.00 0.00
A 0.00 0.00
B 0.00 0.00
C 0.00 0.00
Series 1996-1 0.00 0.00
A 0.00 0.00
B 0.00 0.00
C 0.00 0.00
(ix) Servicing Fee
Series 1992-2 909,166.67
A 750,000.00
B 67,500.00
C 91,666.67
Series 1992-3 0.00
A 0.00
B 0.00
Series 1995-1 1,083,333.33
A 910,000.00
B 86,666.67
C 86,666.67
Series 1996-1 432,666.67
A 363,333.34
B 34,666.67
C 34,666.67
(x) Deficit Controlled Amortization Amount
Series 1992-2 0.00
A 0.00
B 0.00
C 0.00
Series 1992-3 0.00
A 0.00
B 0.00
Series 1995-1 0.00
A 0.00
B 0.00
C 0.00
Series 1996-1 0.00
A 0.00
B 0.00
C 0.00
(xi) Receivables in Trust 29-May-99 1,926,246,402
Principal Receivables in Trust 1,842,493,209
(xii) Invested Amount 29-May-99
Series 1992-2 545,500,000.00
A 450,000,000.00
B 40,500,000.00
C 55,000,000.00
Series 1992-3 0.00
A 0.00
B 0.00
Series 1995-1 650,000,000.00
A 546,000,000.00
B 52,000,000.00
C 52,000,000.00
Series 1996-1 259,600,000.00
A 218,000,000.00
B 20,800,000.00
C 20,800,000.00
(xiii) Enhancement NA
(xiv) Pool Factor
Series 1992-2 1.0000000
A 1.0000000
B 1.0000000
C 1.0000000
Series 1995-1 1.0000000
A 1.0000000
B 1.0000000
C 1.0000000
Series 1996-1 1.0000000
A 1.0000000
B 1.0000000
C 1.0000000
(xv) Yield Factor 10.857%
Finance Charge Receivables Factor 4.348%
(xvi) Payout Event
Series 1992-2 NO
Series 1992-3 NO
Series 1995-1 NO
Series 1996-1 NO
(xvii) Other
Delinquency
Current 85.5% $1,565,542,355
30 days 8.1% $149,062,872
60 days 2.0% $36,837,862
90 days 1.1% $20,911,233
120 days 0.9% $17,242,289
150 days 0.9% $16,913,342
180 days+ 1.3% $23,670,977
Total 100.000% $1,830,180,930
Balance in Principal Account 29-May-99 $0
Balance in Excess-Funding Account $0