CSX TRADE RECEIVABLES CORP
8-K, 1998-04-09
ASSET-BACKED SECURITIES
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PAGE 1


                       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 (Date of earliest event reported): March 25, 1998
                                                          --------------


               CSX Trade Receivables Corporation on behalf of the
                       CSXT Trade Receivables Master Trust
          (Issuer in respect of the CSXT Trade Receivables Master Trust
           5.05% Trade Receivables Participation Certificates, Series 1993-1)
           ------------------------------------------------------------------
             (Exact name of registrant as specified in its charter)


           Delaware                     33-67034                 59-3168541
           --------                     --------                 ----------
(State or other jurisdiction of       (Commission             (I.R.S. Employer
incorporation or organization)          File No.)            Identification No.)


                         Route 688
                        P.O. Box 87
                     Doswell, Virginia                                23047
                     -----------------                                -----
         (Address of principal executive offices)                  (Zip Code)

       Registrant's telephone number, including area code: (804) 876-3220

                                 Not Applicable
                                 --------------
         (Former name or former address, if changed since last report.)


Item 5.        Other Events.

               The Registrant is filing the exhibit listed in Item 7 below.

Item 7.        Financial Statements, Pro Forma Financial Information and 
               Exhibits.

               Exhibit 7.1   Monthly   Statement   for  the  5.05%   Trade
                             Receivables  Participation   Certificates,   Series
                             1993-1   with   respect  to  the  March  25,   1998
                             Distribution Date.


<PAGE>


PAGE 2


                                   Signatures

        Pursuant to the requirements of the Securities and Exchange Act of 1934,
the  registrant  has caused this report to be signed on behalf of the CSXT Trade
Receivables Master Trust by the undersigned, hereunto duly authorized.


                                          CSXT TRADE RECEIVABLES MASTER TRUST

                                    By:   CSX TRADE RECEIVABLES CORPORATION



                                          /s/ ROBERT M. PEEBLES
                                          ---------------------
                                          Robert M. Peebles
                                          Vice President-Accounting


Date:  April 9, 1998









<PAGE>


PAGE 3



                                  EXHIBIT LIST





Exhibit
- -------


7.1     Monthly  Statement  for  the  5.05%  Trade   Receivables   Participation
        Certificates,   Series  1993-1  with  respect  to  the  March  25,  1998
        Distribution Date


PAGE 1
                                                                          EX-7.1







                 CERTIFICATEHOLDERS' DISTRIBUTION DATE STATEMENT
                    FOR THE MARCH 25, 1998 DISTRIBUTION DATE


                       CSXT Trade Receivables Master Trust
               5.05% Trade Receivables Participation Certificates,
                                  Series 1993-1































PAGE 2
                       CSXT TRADE RECEIVABLES MASTER TRUST
                       -----------------------------------
                       Monthly Distribution Date Statement
                                  Series 1993-1
                       CSX Transportation, Inc. (Servicer)

ORIGINAL SERIES 1993-1 PARAMETERS
- ---------------------------------

Initial Pool Balance                                                 542,490,000
Initial Invested Amount                                              200,000,000
Required Net Series Pool Balance                                     239,993,384
Original Investor Allocation Percentage                                   44.24%
Certificate Rate                                                           5.05%
Servicing Fee  (Per Annum)                                                 0.25%
Original Required Available Subordinated Amount                       36,658,384
Purchaser Adjusted Invested Amount  (PAIA)                           130,000,000

================================================================================

MONTHLY ACTIVITY
- ----------------

Total Pool Collections                                               372,608,000
Total New Receivables Sold To Trust  (New Invoices)                  351,941,000
Dilutions                                                              6,219,000
Defaulted Receivables  (91 days +)                                    12,423,000
Total Pool Recoveries                                                          0
Investment Proceeds for Due Period                                             0
Interline Payables                                                   136,472,000
Overconcentration Amount                                                       0
Receivables Not Eligible                                                       0
Miscellaneous Payments  (Adjustment Payments +
     Transfer Deposit Amounts)                                                 0
Monitored Receivables                                                 51,169,000
Additions to Monitored Receivables                                     8,176,000
Collections of Monitored Receivables                                   5,000,000
Total Charged-Off Receivables                                              7,000
Purchaser Adjusted Invested Amount                                   125,000,000
Reassigned Receivables                                                         0

================================================================================

MONTHLY PAYMENT RATE, YIELD RESERVE AND FEE RESERVE CALCULATION
- ---------------------------------------------------------------

Series 1993-1 Certificate Rate                                             5.05%
Servicing Fee                                                              0.25%
Average Days Sales Outstanding                                              55.7
Monthly Payment Rate                                                      53.85%
Yield Reserve                                                          3,083,030
Fee Reserve                                                              154,745



PAGE 3

INPUTS FROM PREVIOUS SERVICER REPORT
- ------------------------------------

Ending Pool Balance                                                  691,911,000
Interline Payables                                                   144,606,000
Outstanding Balance                                                  547,305,000
Ending Net Receivables Pool Balance                                  487,070,000
Ending Series 1993-1 Invested Amount                                 200,000,000
Ending Series 1993-1 Available Subordinated Amount                    43,750,095
Ending Deferred Monthly Servicing Fee                                          0
Ending Interest Shortfall + Additional Interest                                0
Unallocated Collections                                                        0
Principal Funding Account Balance                                              0
Ending Purchaser Adjusted Invested Amount  (PAIA)                    125,000,000
Ending Series Adjusted Invested Amount                               243,750,095

Yield Reserve                                                          3,179,669
Fee Reserve                                                              159,596

Accumulation Period  (Y = 1; N = 2)                                            2
Early Amortization Period  (Y = 1; N = 2)                                      2

================================================================================

DELINQUENCY DATA  (As of 2/28/98)
- ---------------------------------
                                                   %              Dollar Amount
                                       -----------------------------------------
1-30 Days From Invoice                           90.88%             604,386,000
31-60 Days From Invoice                           5.76%              38,284,000
61-90 Days From Invoice                           1.49%               9,925,000
91-120 Days From Invoice                          0.78%               5,198,000
121-150 Days From Invoice                         0.44%               2,919,000
151-180 Days From Invoice                         0.31%               2,067,000
181-210 Days From Invoice                         0.13%                 842,000
211-240 Days From Invoice                         0.08%                 520,000
Greater Than 240 Days From Invoice                0.13%                 877,000
                                       -----------------------------------------
     Total                                      100.00%             665,018,000
                                       -----------------------------------------

================================================================================

CERTIFICATE REPORTING DATES
- ---------------------------

Determination Date                                                     17-Mar-98
Distribution Date                                                      25-Mar-98
Due Period                                                                Feb-98
Series 1993-1 Period Number                                                   53
Last Day of Preceding Due Period                                       28-Feb-98



PAGE 4

ALLOCATION PERCENTAGES
- ----------------------

Beginning Invested Amount                                            200,000,000
Series Adjusted Invested Amount  (SAIA)                              243,750,095
Purchaser Adjusted Invested Amount  (PAIA)                           125,000,000
Trust Adjusted Invested Amount  (TAIA)                               368,750,095

Series Allocation Percentage  (SAIA / TAIA)                               66.10%
Investor Allocation Percentage                                            76.74%
Investor Ownership Percentage                                             28.91%
Seller Ownership Percentage                                               71.09%

================================================================================

COLLECTIONS
- -----------

Total Pool Collections                                               372,608,000
Pool Recoveries                                                                0
Total Available Collections                                          372,608,000

Series Allocable Collections
     (SAP * Total Available Collections)                             246,300,236
Series Allocable Miscellaneous Payments                                        0
Available Investor Collections                                       189,023,081
Monthly Interest Due                                                     841,667
Monthly Interest Paid                                                    841,667
Remaining Available Collections                                      188,181,415
Beginning Interest Shortfall + Additional Interest Due                         0
Beginning Interest Shortfall + Additional Interest Paid                        0
Remaining Available Collections                                      188,181,415
Ending Unpaid Interest Shortfall                                               0

Certificateholders' Monthly Servicing Fee                                 59,190
Withdrawal                                                                59,190
Remaining Available Collections                                      188,122,225

Beginning Deferred Monthly Servicing Fee                                       0
Withdrawal                                                                     0
Remaining Available Collections  ("Monthly Principal")               188,122,225
Ending Deferred Monthly Servicing Fee                                          0

Charged-Off Amount                                                         7,000
Investor Allocable Charged-Off Amount                                      2,023
Withdrawal                                                                 2,023
Remaining Available Collections                                      188,120,201
Investor Charge-Off Shortfall                                                  0

Deficiency Amount                                                              0
Available Subordination Draw Amount                                            0
Remaining Investor Charge-Off Shortfall                                        0


PAGE 5

POOL BALANCE
- ------------

Beginning Pool Balance                                              691,911,000
Collections                                                        (372,608,000)
New Receivables                                                     351,941,000
Dilutions                                                            (6,219,000)
Charged-Off Receivables                                                  (7,000)
Ending Pool Balance                                                 665,018,000
Interline Payables                                                 (136,472,000)
Ending Outstanding Balance                                          528,546,000
Ending Net Receivables Pool Balance                                 464,954,000
Ending Net Series Pool Balance                                      307,342,515

================================================================================

REQUIRED NET SERIES POOL BALANCE
- --------------------------------

Subordination Percentage (Current Due Period)                             18.09%

Beginning Available Subordinated Amount                               43,750,095
Required Subordination Draw Amount                                             0
Invested Amount                                                      200,000,000
Ending Available Subordinated Amount                                  44,162,979
Yield Reserve                                                          3,083,030
Fee Reserve                                                              154,745
Initial Invested Amount - Invested Amount                                      0
Required Net Series Pool Balance                                     247,400,754

================================================================================

REQUIRED NET SERIES POOL BALANCE
- --------------------------------

Ending Invested Amount                                               200,000,000
Ending Series Adjusted Invested Amount  (SAIA)                       244,162,979

Ending Purchaser Adjusted Invested Amount  (PAIA)                    125,000,000
Ending Trust Adjusted Invested Amount  (TAIA)                        369,162,979

Ending Series Allocation Percentage  (SAIA / TAIA)                        66.14%
Ending Investor Allocation Percentage                                     80.45%
Ending Investor Ownership Percentage                                      30.07%
Ending Seller Ownership Percentage                                        69.93%

================================================================================

CURRENT DUE PERIOD DILUTION AND MONITORED RECEIVABLES PERCENTAGES
- -----------------------------------------------------------------

  A. Dilution Percentage                                                   0.94%
  B. Monitored Receivables (As a Percentage of Pool Balance)
         Additions to Monitored Receivables                                1.23%
         Collections of Monitored Receivables                              0.75%
                                                                           -----
         Net Additions/Reductions to Monitored Receivables                 0.48%


PAGE 6

INVESTOR CHARGE-OFF AND REIMBURSEMENT ACTIVITY
- ----------------------------------------------

Beginning Investor Charge-Offs                                                 0
Beginning Investor Charge-Offs per $1,000 Certificate                       0.00
Additional Investor Charge-Offs                                                0
Additional Investor Charge-Offs per $1,000 Certificate                      0.00

Reimbursements:
     Reinstatement of Investor Certificates                                    0
     Reinstatement of Investor Certificates per
         $1,000 Certificate                                                 0.00
Ending Investor Charge-Offs                                                    0
Ending Investor Charge-Offs per $1,000 Certificate                          0.00

================================================================================

AMORTIZATION EVENTS
- -------------------
(Yes = 1;  No = 2)                                                           Y/N
                                                                             ---

  1. Breach of material covenant or agreement pursuant to
     the Pooling and Servicing Agreement uncured for 30 days                   2
  2. Breach of representation or warranty not corrected for
     30 days                                                                   2
  3. Bankruptcy, insolvency or receivership of Seller or CSXT                  2
  4. Trust is deemed an "Investment Company"                                   2
  5. CSXT fails to convey Receivables to Seller and Servicer
     fails to make deposit to Retained Collection Account                      2
  6. Required Net Series Pool Balance exceeds Net Series Pool
     Balance                                                                   2
  7. Any Series 1993-1 Servicer Default                                        2
  8. Termination Notice delivered to Servicer                                  2
  9. Invested Amount of Series not paid in full on Expected
     Final Payment Date                                                        2
 10. Average Monthly Payment Rate for the three preceding Due
     Periods is less than 25%                                                  2

================================================================================

AGGREGATE INVESTOR ALLOCABLE CHARGED-OFF AMOUNT
- -----------------------------------------------

Investor Allocable Charged-Off Amount                                      2,023
Investor Recoveries                                                            0
Aggregate Investor Allocable Charged-Off Amount                            2,023
Aggregate Investor Allocable Charged-Off Amount as a
     Percentage of Ending Series Invested Amount                           0.00%
Loss Reserve                                                          26,000,000

PAGE 7

SUBORDINATION PERCENTAGE (CURRENT DUE PERIOD)
- ---------------------------------------------

Calculation of Subordination Percentage

  A. Subordination Percentage Floor                                       13.00%

  B. I.  Dilutions
         (a) Dilution Ratio -Greatest 2-month rolling average
         for prior 12 due periods                                          1.17%
         (b) Dilution Percentage- (5 * B.I.(a))                            5.83%

    II.  Delinquencies
         (a)  Delinquency Ratio - Greatest 3-month rolling
               average for prior 12 Due Periods                            0.07%
         (b)  Delinquency Percentage  (7.5 * B.II.(a))                     0.53%

   III.  Monitored Receivables
         (a)  Monitored Receivables Ratio - Greatest 3-month
         rolling average for prior 12 Due Periods                          1.57%
         (b)  Monitored Receivables Percentage
               (7.5 * B.III.(a))                                          11.74%

    IV.  Loss Percentage  (B.II. + B.III.)                                12.26%

     V.  Sum of Dilution and Loss Percentages (B.I. + B.IV.)              18.09%

  C. I.  Alternate Dilutions
         (a)  Dilution Ratio - Greatest 2-month rolling
               average for prior 12 Due Periods                            1.17%
         (b)  Alternate Dilution Percentage  (4 * C.I.(a))                 4.66%

    II.  Alternate Delinquencies
         (a)  Alternate Delinquency Percentage                             0.60%

   III.  Alternate Monitored Receivables
         (a)  Alternate Monitored Receivables Percentage                   9.97%

    IV.  Alternate Loss Percentage  (C.II. + C. III.)                     10.57%

     V.  Sum of Alternate Dilution and Alternate Loss
         Percentages                                                      15.23%

  D. Subordination Percentage  (Greatest of A.,
     B.V., or C.V.)                                                       18.09%

PAGE 8

POOL FACTOR
- -----------

Beginning Invested Amount                                            200,000,000
Ending Invested Amount                                               200,000,000
Pool Factor                                                            1.0000000

================================================================================

ALLOCATION OF COLLECTIONS TO PRINCIPAL
- --------------------------------------

Total Collections                                                    372,608,000

Available Investor Collections                                       188,120,201
Monthly Principal                                                              0
Available Principal Collections                                      188,120,201


   I.Revolving Period:
     Unallocated Collections                                                   0
     Amounts Paid to Seller  (Seller's Interest)                     188,120,201

  II.Accumulation Period / Early Amortization Period:
     Controlled Accumulation Amount                                            0
     Controlled Deposit Amount                                                 0
     Monthly Principal Deposited into Principal Funding
         Account                                                               0
     Excess Collections                                                        0
     Excess Collections Paid To Seller                                         0
     Beginning Principal Funding Account Balance                               0
     Deposits to Principal Funding Account                                     0
     Ending Principal Funding Account Balance                                  0

================================================================================

DISTRIBUTION TO CERTIFICATEHOLDERS
- ----------------------------------

Total Amount Distributed                                              841,666.67
Total Amount Allocable to Interest                                    841,666.67
Total Amount Allocable to Interest per
     $1,000 of Certificates                                                 4.21
Total Amount Allocable to Principal                                         0.00
Total Amount Allocable to Principal per
     $1,000 of Certificates                                                 0.00
Pool Factor                                                            1.0000000


PAGE 9

SERIES 1993-1 INVESTED AMOUNT
- -----------------------------

Beginning Invested Amount                                            200,000,000
Additional Investor Charge-Offs                                                0
Reimbursement of Investor Charge-Offs                                          0
Unallocated Collections                                                        0

Invested Amount Before Principal Amortization                        200,000,000


Principal on Deposit in Principal Funding Account                              0
Ending Invested Amount                                               200,000,000



Amount to be deposited with Trustee in respect of
Monthly Interest due on next Distribution Date                           841,667



================================================================================



I hereby  certify  that  this  Monthly  Servicer  Report  has been  prepared  in
accordance  with the Pooling and  Servicing  Agreement  dated as of December 18,
1992,  as  amended  and  supplemented,  and is  correct  to the  the  best of my
knowledge.


                                                     /s/ JAMES FEESER
                                                     ----------------
                                                     James Feeser
                                                     Assistant Controller













PAGE 10
                       CSXT TRADE RECEIVABLES MASTER TRUST
                       -----------------------------------

                 Certificateholders' Distribution Date Statement
                                  Series 1993-1
                       CSX Transportation, Inc. (Servicer)

        Pursuant to Section 5.02(a) of the Series 1993-1  Supplement dated as of
October 28, 1993, as to Pooling and Servicing Agreement dated as of December 18,
1992, as amended and supplemented (the '"Pooling and Servicing  Agreement"),  by
and between CSX Trade  Receivables  Corporation,  as Seller (the "Seller"),  CSX
Transportation,  Inc., as Servicer (the "Servicer" or "CSXT") and Chemical Bank,
Trustee (the "Trustee"),  the Servicer is required to prepare and report certain
information  each month regarding  distributions  to  Certificateholers  and the
performance of the CSXT Trade Receivables  Master Trust (the "Trust") during the
preceding Due Period. Certain of the information is presented on the basis of an
original  principal  amount of $1,000 per Investor  Certificate.  Certain  other
information is presented on an aggregate basis.  Capitalized  terms used but not
otherwise  defined  herein  have their  respective  meanings as set forth in the
Pooling and Servicing Agreement.


Distribution Date:  March 25, 1998

Due Period: February 1, 1998 thru February 28, 1998

POOL COLLECTIONS
- ----------------

     Aggregate amount of Collections                              372,608,000.00

     Pool Balance as of the last day of the
         preceding Due Period                                     665,018,000.00

ALLOCATION PERCENTAGES
- ----------------------

     Series 1993-1 Allocation Percentage                                  66.10%

     Investor Allocation Percentage                                       76.74%

     Investor Ownership Percentage                                        28.91%

DISTRIBUTION TO CERTIFICATEHOLDERS
- ----------------------------------

Total amount distributed to Certificateholders                        841,666.67

Total amount distributed to Certificateholders
     allocable to Interest                                            841,666.67
Total amount distributed allocable to Interest
     per $1,000 of Certificates                                             4.21

Total amount distributed to Certificateholders
     allocable to Principal                                                 0.00
Total amount distributed allocable to Principal
     per $1,000 of Certificates                                             0.00

Pool Factor                                                            1.0000000

PAGE 11


CERTIFICATE INVESTED AMOUNTS
- ----------------------------

Series 1993-1 Invested Amount
Amounts on deposit in the Principal Funding Account                         0.00

Outstanding balance of the Series 1993-1 Certificates
(after giving effect to all distributions to occur
on the Distribution Date).                                        200,000,000.00

INVESTOR ALLOCABLE CHARGED-OFF AMOUNT
- -------------------------------------

Investor Allocable Charged-Off Amount for the Due
   Period                                                               2,023.00


SUBORDINATION PERCENTAGE
- ------------------------

Subordination Percentage for the Current Due Period                       18.09%

Ending Available Subordinated Amount                               44,162,979.00

INVESTOR CHARGE-OFF AND REIMBURSEMENT ACTIVITY
- ----------------------------------------------

Beginning Investor Charge-Offs                                              0.00
Beginning Investor Charge-Offs per $1,000 Certificate                       0.00

Additional Investor Charge-Offs                                             0.00
Additional Investor Charge-Offs per $1,000 Certificate                      0.00

Reimbursements:
Reinstatement of Investor Certificates                                      0.00
Reinstatement of Investor Certificates per $1,000
     Certificate                                                            0.00

Ending Investor Charge-Offs                                                 0.00
Ending Investor Charge-Offs per $1,000 Certificate                          0.00


POOL BALANCES
- -------------

Pool Balance as of the last day of the preceding Due Period       665,018,000.00

Ending Net Receivables Pool Balance                               464,954,000.00

Ending Net Series Pool Balance                                    307,342,515.00


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