DEUTSCHE FLOORPLAN RECEIVABLES L P
8-K, 1998-07-21
ASSET-BACKED SECURITIES
Previous: MERRILL MERCHANTS BANCSHARES INC, SB-2/A, 1998-07-21
Next: NATIONAL WIRELESS HOLDINGS INC, SC 13G, 1998-07-21



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

July 15, 1998
(Date of earliest event reported)

DEUTSCHE FLOORPLAN RECEIVABLES, L.P.
(Exact name of registrant as specified in its amended charter)

Delaware				                  33-70814		   88-0310100 
(State or other jurisdiction	(Commission		(IRS Employer
of incorporation)	            File Number  identification No.)

655 Maryville Centre Drive
St. Louis, Missouri				                   63141-5832
(Address of principal executive offices)		(Zip Code)

Registrant's telephone number, including area code:	(314) 523-3000

Item 5.	Other Events.

On November 15, 1996 Deutsche Floorplan Receivables Master Trust made the
distributions to Certificateholders contemplated by the Pooling and Servicing
Agreement dated as of December 1, 1993 as amended and restated as of
March 1, 1994 as further amended as of January 24, 1996 and as amended and
restated as of October 1, 1996 (the "Agreement"), among Deutsche Floorplan
Receivables, L.P. as Seller, Deutsche Financial Services Corporation as
Servicer and The Chase Manhattan Bank as Trustee, as supplemented by 
Series 1994-1 and Series 1996-1 in accordance with the Agreement.

Copies of the monthly Certificateholders' Statements for such distributions
are being filed as Exhibits 1 and 2 to this Current Report on Form 8-K.

Item 7.(c).	Exhibits.

Exhibit	 Description

Ex-1		   Series 1991-1 and 1996-1 Compliance/Statistical
		       Reporting for period ending 06/30/98.
Ex-2		   Distribution Date Statement for Collection Period
		       ending 06/30/98.

SIGNATURES

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.

DEUTSCHE FLOORPLAN RECEIVABLES, L.P.
(Registrant)

By:  		Deutsche Floorplan Receivables, Inc.
     		General Partner
Date:		July 20, 1998
By:		  /s/ Richard H. Schumacher
Name:		Richard H. Schumacher
Title:	President and Treasurer


DFS FLOORPLAN RECEIVABLES L.P.

SERIES 1994-1 & 1996-1

COMPLIANCE/STATISTICAL REPORTING

PERIOD ENDING     06/30/98

<TABLE>

1. CALCULATION OF POOL BALANCE

<S>                                  <C>
TOTAL "OFFICE" RECEIVABLES           4,244,480,446.63

LESS INELIGIBLE ACCOUNTS

BANKRUPT/CHARGED OFF A/C'S                       0.00
NEW ACCOUNT ADDITIONS FP              (461,685,457.96)
NEW ACCOUNT ADDITIONS A/R              (43,148,200.22)

TOTAL "TRUST" RECEIVABLES            3,739,646,788.45

LESS INELIGIBLE RECEIVABLES

         SAU/NSF 0-30 IN EXCESS
         OF .75% OF TRUST REC.                   0.00

TOTAL POOL RECEIVABLES               3,739,646,788.45

TOTAL TRUST RECEIVABLES-DELINQUENCY
         NSF 0-30                          302,334.31
         SAU 0-30                       17,714,799.76
                  TOTAL                 18,017,134.07

         .75% OF TRUST REC.             28,047,350.91

         AMOUNT IN EXCESS                        0.00

         NSF 30+                           134,936.14

         SAU 30+                         6,771,070.18

2. CONCEN. COMPLIANCE
                  POOL BALANCE       3,724,688,201.30

<CAPTION>

                                      CONCENTRATION         ACTUAL          EXCESS 
                                          LIMITS            AMOUNT          AMOUNT
<S>                             <C>   <C>               <C>               <C>          
A/R RECEIVABLES                  20%   744,937,640.26    286,622,666.53           0.00

ASSET BASED RECEIVABLES          15%   558,703,230.20    403,216,954.46           0.00

DLR. CONCEN. 1996-1 TOP 15        3%   111,740,646.04     89,338,934.47           0.00

DLR. CONCEN. 1996-1 OTHERS        2%    74,493,764.03     24,346,869.13           0.00

MFG. CONCEN.                     15%   558,703,230.20    192,847,276.47           0.00

PRODUCT LINE CONCEN.

         CE                      25%   931,172,050.33     14,492,731.08           0.00

         MIS                     40% 1,489,875,280.52    680,259,207.37           0.00

         MTR                     25%   931,172,050.33    230,876,260.33           0.00

         MAR                     25%   931,172,050.33    419,233,617.41           0.00

         MH                      25%   931,172,050.33    474,870,479.54           0.00

         RV                      25%   931,172,050.33    415,201,324.37           0.00

         MUS                     25%   931,172,050.33    115,519,946.95           0.00

         IND/AG                  25%   931,172,050.33    409,551,745.36           0.00

         A/R                     25%   931,172,050.33    689,839,620.99           0.00

         SNO                     25%   931,172,050.33    140,500,751.76           0.00

         OTHER                   25%   931,172,050.33    149,301,103.29           0.00


UNSECURED RECEIVABLES OVER CONCEN.
(without duplication)

UNSECURED CONCEN.                                        122,936,865.58
LESS: UNSECRURED DEALER CONCEN.                          (30,440,460.40)
NET UNSECURED DEALER CONCEN       3%   111,740,646.04     92,496,405.18           0.00

UNSECURED DEALER CONCEN.       0.50%    18,623,441.01     30,440,460.40  11,817,019.39
                                    TOTAL OVER CONCENTRATION             11,817,019.39

DELAYED FUNDING RECEIVABLES                              281,955,171.02

<CAPTION>
                                                                            THREE  
CHARGE OFFS TO RECEIVABLES   APRIL         MAY               JUN           MO. AVE.
(ANNUALIZED)
<S>                         <C>           <C>               <C>            <C>
                               0.09%             0.17%             0.07%          0.11%
                                                   
PAYMENT RATE                  37.33%            35.20%            40.17%         37.57%

NET RECEIVABLE RATE
         INTEREST              7.93%
         DISCOUNT              1.93%
                  TOTAL        9.86%

         LESS SERVICING       -2.00%

         REMAINING             7.86%
</TABLE>


DISTRIBUTION DATE STATEMENT

REPORT DATE   06/30/98

COLLECTION PERIOD      6/1/98 - 6/30/98

DISTRIBUTION DATE      07/15/98

<TABLE>
<CAPTION>
                                              TOTAL TRUST     SERIES 1994-1  SERIES 1996-1(A) SERIES 1996-1(B)SERIES 1996-1(C)

<S>                                       <C>               <C>              <C>              <C>             <C>           
INVESTED AMOUNT                            2,058,203,000.00 1,000,000,000.00 1,000,000,000.00   31,747,000.00   26,456,000.00
ALLOCATION PERCENTAGE                                                  48.59%           48.59%           1.54%           1.28%
EXCESS FUNDING ACCOUNT BALANCE                         0.00             0.00             0.00            0.00            0.00
OUTSTANDING PRIN. BALANCE OF CERTIFICATES  2,058,203,000.00 1,000,000,000.00 1,000,000,000.00   31,747,000.00   26,456,000.00

SUBORDINATION                                                         9.8901%            0.00%           0.00%           0.00%
SUBORDINATED AMOUNT                               N/A          98,901,098.90             0.00            0.00            0.00
INCREMENTAL SUBORDINATED AMOUNT               11,817,019.39     3,457,452.41
REQUIRED SUBORDINATED AMOUNT                      N/A         102,358,551.31             0.00            0.00            0.00
REQUIRED SUBORDINATED DRAW AMOUNT                 N/A                   0.00             0.00            0.00            0.00
AVAILABLE SUBORDINATED AMOUNT                106,684,626.83   102,358,551.31     4,088,133.86      129,785.99      108,155.67

BEGINNING OF MO. PRIN. RECEIVABLES         3,770,952,014.37
DISCOUNT RATE                                          0.40%
BEGINNING OF MO. POOL BALANCE              3,755,868,206.31

POOL FACTOR                                          100.00%          100.00%          100.00%         100.00%         100.00%
PRIN. ALLOCATION PERCENTAGE                           54.80%           26.63%           26.63%           0.85%           0.70%
FLOATING ALLOCATION PERCENTAGE                        54.80%           26.63%           26.63%           0.85%           0.70%
SELLER'S PERCENTAGE                                   45.20%           73.37%           73.37%          99.15%          99.30%
EXCESS SELLER'S PERCENTAGE                            45.20%           70.65%           73.37%          99.15%          99.30%

PRIN. COLLECTIONS                          1,514,778,624.30
NON-PRIN. COLLECTIONS                         29,965,038.00
              TOTAL COLLECTIONS            1,544,743,662.30

COLLECTION ACCOUNT BALANCE 6/1/98              5,082,659.90            (0.00)    4,784,375.00      157,048.44      141,236.46
DEPOSITS      06/12/98
              INVESTOR NON-PRIN. COLLECTION   10,294,963.84     5,042,881.94     4,943,854.17      162,283.39      145,944.34

              OTHER-INVESTMENT EARNINGS          127,363.94       $11,076.39       116,287.55            0.00            0.00
DISBURSEMENTS 06/15/98 

              INTEREST AMOUNT                 (5,042,881.94)  ($5,042,881.94)            0.00            0.00            0.00
              SERVICING FEE                            0.00             0.00             0.00            0.00            0.00
              EXCESS AMOUNT                     (127,363.94)      (11,076.39)     (116,287.55)           0.00            0.00
COLLECTION ACCOUNT BALANCE 6/30/98            10,334,741.80            (0.00)    9,728,229.17      319,331.83      287,180.80

INVESTOR INTEREST TO BE FUNDED  07/14/98       9,962,868.23     4,880,208.33     4,784,375.00      157,048.44      141,236.46

DISBURSEMENTS          07/15/98

              INTEREST AMOUNT                (20,297,610.03)   (4,880,208.33)  (14,512,604.17)    (476,380.27)    (428,417.26)
              SERVICING FEE                            0.00             0.00             0.00            0.00            0.00
              EXCESS AMOUNT                            0.00             0.00             0.00            0.00            0.00
              TOTAL DISTRIBUTIONS            (20,297,610.03)   (4,880,208.33)  (14,512,604.17)    (476,380.27)    (428,417.26)

CONTROLLED DISBURSEMENT AMOUNT                                           N/A
RESERVE FUND BALANCE                          23,664,060.00     2,500,000.00    20,000,000.00      634,940.00      529,120.00
PRINCIPAL FUNDING ACCOUNT                              0.00             0.00                0               0               0
INTEREST FUNDING ACCOUNT                               0.00             0.00                0               0               0

SERVICING FEE                                  3,430,338.33     1,666,666.67     1,666,666.67       52,911.67       44,093.33

DEFAULTED RECEIVABLES                            226,718.08
INVESTOR DEFAULT AMOUNT                          124,240.74
DRAW AMOUNT - PREC. COLLECTION PERIOD                  0.00
INVESTOR CHARGE OFFS                                   0.00
AMOUNT OF REIMBURSEMENT                                0.00

END OF MO. PRIN. RECEIVABLES               3,739,646,788.45  
DISCOUNT RATE                                          0.40%
END OF MO. POOL BALANCE                    3,724,688,201.30

INVESTORS COUPON RATE                                                5.85625%         5.74125%        5.93625%        6.40625%

</TABLE>


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