DEUTSCHE FLOORPLAN RECEIVABLES L P
8-K, EX-3, 2000-08-30
ASSET-BACKED SECURITIES
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Deutsche Floorplan Receivables, L.P.
Distribution Financial Services Floorplan Master Trust
Distribution Date Statement
Report Date                   7/31/00
Collection Period             7/1/00   7/31/00
Determination Date            8/11/00
Distribution Date             8/15/00
<TABLE>
<CAPTION>
                                                                      Series           Series          Series        Series
                                                      Total           2000-2           2000-2          2000-2        2000-2
                                Date                  Trust            Total          Class A         Class B       Class C
<S>                                <C>           <C>            <C>                <C>             <C>           <C>
Pool Balance
1 Beginning of Month
  Receivables                           6/30/00  4,301,146,738
2 Plus: Account Additions               7/1/00               -
3 Beginning of month
  Principal Receivables                 7/1/00   4,301,146,738
4 Discount Factor                                     0.50%
5 Beginning of month Pool
  Balance                               7/1/00   4,279,641,005
6 Beginning of month Dealer
  Overconcentrations                    7/1/00               -
7 Beginning of month
  Unconcentrated Pool
  Balance                               7/1/00   4,279,641,005

8 End of month Principal
  Receivables                           7/31/00  4,111,150,911
9 Discount Factor                                     0.50%
10End of month Pool Balance             7/31/00  4,090,595,156
11End of month Dealer
  Overconcentrations                    7/31/00              -
12End of month
  Unconcentrated Pool
  Balance                               7/31/00  4,090,595,156
13Overconcentrated Percentage           7/31/00       0.00%
14Unconcentrated Percentage             7/31/00      100.00%

Certificates
15Beginning of
  month/closing date
  Invested Amount                       7/1/00                      500,000,000      477,500,000    15,000,000     7,500,000
16Allocation Percentage                 7/1/00                         8.70%            8.30%          0.26%         0.13%
17End of month Invested
  Amount                                7/31/00                     500,000,000      477,500,000    15,000,000     7,500,000
18Principal Payments                    8/11/00                               -                -             -             -
19Outstanding Principal
  Balance                               8/15/00                     500,000,000      477,500,000    15,000,000     7,500,000
20Pool Factor                           8/15/00                                          1.00000       1.00000       1.00000

Excess Funding Account
21End of month balance                  7/31/00              -
22Determination Date deposit            8/11/00              -
23Distribution Date
  disbursement                          8/15/00              -
24Excess Funding Account
  balance                               8/15/00              -

Reserve Fund
25End of month Reserve Fund
  Amount                                7/31/00                      17,500,000
26Reserve Fund Deposits                 8/11/00                               -
27Reserve Fund withdrawals              8/15/00                               -
28Ending Reserve Fund Amount            8/15/00                      17,500,000

Collections
29Principal Allocation
  Percentage                            7/31/00                       11.68%           11.16%          0.35%         0.18%
30Floating Allocation
  Percentage                            7/31/00                       11.68%           11.16%          0.35%         0.18%
31Series Allocation
  Percentage                            7/31/00                        8.70%
32Principal Collections        7/1/00   7/31/00  1,454,517,541
33Nonprincipal Collections     7/1/00   7/31/00     37,064,132
34Total Collections            7/1/00   7/31/00  1,491,581,673

Defaults
35Defaulted Amount             7/1/00   7/31/00      1,551,621
36Investor Default Amount      7/1/00   7/31/00                         181,279          173,122         5,438         2,719
                                        8/15/00
Interest                                8/15/00
37Prior Month's
  Interest/Program Amount                                                     -                -             -             -
38Monthly Interest                      8/15/00                       2,777,697        2,644,969        86,351        46,377
39Interest Shortfall                    8/15/00                               -                -             -             -
40Additional Interest                   8/15/00                               -                -             -             -
41Carryover Amount                      8/15/00                               -                -             -             -
42Total                                 8/15/00                       2,777,697        2,644,969        86,351        46,377

Servicing Fee
43Certificate Balance for
  Servicing Fee                         7/1/00
  Determination                                                     500,000,000      477,500,000    15,000,000     7,500,000
44Servicing Fee Rate                                                   2.00%            2.00%          2.00%         2.00%
45Servicing Fee                7/1/00   7/31/00                         833,333          795,833        25,000        12,500
46Servicing Fee Waived                  8/15/00                               -                -             -             -
47Remaining Servicing Fee               8/15/00                         833,333          795,833        25,000        12,500

Excess Servicing
48Nonprincipal Collections     7/1/00   7/31/00     37,064,132
49Servicer Advance Less
  Reimbursement of Servicer Ad 7/1/00   7/31/00      2,033,618
50Floating Allocation
  Percentage                                                          11.68%           11.16%          0.35%         0.18%
51Investor Nonprincipal Collec 7/1/00   7/31/00                       4,330,285        4,135,422       129,909        64,954
52Investor portion of
  Servicer Advance Less
  Reimbursement                7/1/00   7/31/00                         237,592          226,900         7,128         3,564
53Plus:  Investment
  Proceeds                     7/1/00   7/31/00                         112,289
54Less:
55Monthly Interest                      8/11/00                       2,777,697        2,644,969        86,351        46,377
56Prior Monthly Interest                8/11/00                               -                -             -             -
57Additional Interest                   8/11/00                               -                -             -             -
58Reserve Fund Deposit
  Amount                                8/11/00                               -                -             -             -
59Default Amount               7/1/00   7/31/00                         181,279          173,122         5,438         2,719
60Charge-Offs                  7/1/00   7/31/00                               -                -             -             -
61Monthly Servicing Fee                 8/11/00                         833,333          795,833        25,000        12,500
62Carry-over Amount                     8/11/00                               -                -             -             -
63Carry-over Amount                     8/11/00
  Additional Interest                   8/11/00                               -                -             -             -
64Additional Amounts                    8/11/00                               -                -             -             -
65Yield Supplement Deposit
  Amount                                8/11/00                               -
66Balance:  Excess
  Servicing                    7/1/00   7/31/00                         887,857

Collection Account
67Beginning Balance                     7/31/00                               -
68Deposits                              8/11/00                       3,127,577
69Disbursements                         8/15/00                       3,127,577
70Ending Balance                        8/15/00                               -

Interest Funding Account
71Beginning Balance                     7/31/00                               -                -             -             -
72Deposits                              8/11/00                       2,777,697        2,644,969        86,351        46,377
73Disbursements                         8/15/00                       2,777,697        2,644,969        86,351        46,377
74Ending Balance                        8/15/00                               -                -             -             -

Principal Funding Account
75Beginning Balance                     7/31/00                               -                -             -             -
76Controlled Deposit Amount             8/11/00                               -                -             -             -
77Disbursements                         8/15/00                               -                -             -             -
78Ending Balance                        8/15/00                               -                -             -             -

Yield Supplement Account
79Required Amount                       7/31/00                       2,500,000
80Beginning balance                     7/31/00                       2,500,000
81Deposit                               8/11/00                               -
82Withdrawal                            8/15/00                               -
83Ending balance                        8/15/00                       2,500,000

Interest Rate Next Period
84One-month LIBOR              8/15/00  9/15/00      6.6188%
85Net Receivables Rate                  7/31/00      8.2300%
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