YAMAHA MOTOR RECEIVABLES CORP
8-K, 1998-11-16
ASSET-BACKED SECURITIES
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<PAGE>

                                  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): NOVEMBER 15, 1998


                      YAMAHA MOTOR RECEIVABLES CORPORATION
             ------------------------------------------------------
             (EXACT NAME OF REGISTRANT AS SPECIFIED IN ITS CHARTER)
                  (ORIGINATOR OF THE YAMAHA MOTOR MASTER TRUST)


         DELAWARE               33-72806, 33-94784                   33-0592719
         --------               ------------------                    ---------
(STATE OR OTHER JURISDICTION    (COMMISSION FILE               (I.R.S. EMPLOYER
     OF INCORPORATION)              NUMBERS)                IDENTIFICATION NO.)


                               6555 KATELLA AVENUE
                                CYPRESS, CA 90630
                    (ADDRESS OF PRINCIPAL EXECUTIVE OFFICES)
                    ----------------------------------------

       REGISTRANT'S TELEPHONE NUMBER, INCLUDING AREA CODE: (714) 761-7500


                                   PAGE 1 OF 4
                         EXHIBIT INDEX APPEARS ON PAGE 4

<PAGE>

ITEM 5.  OTHER EVENTS

          Pursuant to that certain Master Pooling and Servicing Agreement, 
dated as of April 1, 1994, between Yamaha Motor Receivables Corporation, as 
transferor, Yamaha Motor Corporation, U.S.A. as servicer (in such capacity, 
the " Servicer"), and The Fuji Bank and Trust Company, as trustee, as 
amended, supplemented or otherwise modified and in effect from time to time, 
the Servicer prepared a Monthly Servicer's Certificate with respect to the 
NOVEMBER 15, 1998 Distribution Date for the Collection Period ending OCTOBER 
31, 1998. A copy of such Monthly Servicer's Certificate is attached hereto as 
Exhibit 5.1.



                                       2

<PAGE>

                                   SIGNATURES

          Pursuant to the requirements of the Securities Exchange Act of 
1934, as amended, the registrant has duly caused this report to be signed on 
its behalf by the undersigned hereunto duly authorized.

                      YAMAHA MOTOR RECEIVABLES CORPORATION
                      ------------------------------------
                                  (Registrant)


Dated:  November 15, 1998                           By:  RUSSELL JURA
        -----------------                                ------------
                                                    Name: Russell Jura
                                                    Title:   Assistant Secretary



                                       3

<PAGE>

                                INDEX TO EXHIBITS

<TABLE>
<CAPTION>
        EXHIBIT                                                    METHOD OF
        NUMBER                         EXHIBIT                       FILING
        ------                         -------                       ------
        <S>           <C>                                        <C>
          5.1         Monthly Servicer's Certificate with        Filed Herewith
                      respect to the NOVEMBER 15, 1998
                      Distribution Date for the Collection
                      Period ending OCTOBER 31, 1998.
</TABLE>



                                       4


<PAGE>

<TABLE>
<CAPTION>

"Regular" Distribution Date:                  Yamaha Motor Master Trust                              Collection Period Ending:
       15-Nov-98                6.25% Series 1994-1, 6.20% Series 1995-1 & Series 1998-1                     31-Oct-98

- - -----------------------------------------------------------------------------------------------------------------------------------
<S>                                                                                                                <C>
A.   INFORMATION REGARDING  THE  YAMAHA MOTOR MASTER  TRUST

1.   Aggregate Pool Balance as of the beginning of the
     preceding Collection Period ................................................................................. 417,886,866.12

2.   Aggregate amount of Collections during the preceding
     Collection Period ........................................................................................... 113,591,701.48

         a) Collections other than finance charges, cash Adjustment Payments
            and cash Transferor Deposit Amounts................................................................... 111,832,471.35

         b) Finance Charge collections............................................................................  1,759,230.13

         c) Cash Adjustment Payments..............................................................................      0.00

         d) Cash Transferor Deposit Amounts.......................................................................      0.00

3.   Aggregate amount of receivables written off (net of recoveries) during the
     preceding Collection Period..................................................................................  (19,399.38)

4.   Aggregate amount of non-cash Adjustment Payments during the preceding
     Collection Period............................................................................................  7,477,220.40

5.   Aggregate amount of non-cash Transferor Deposit Amounts during the preceding
     Collection Period............................................................................................      0.00

6.   Aggregate amount of additional Receivables during
     the Preceding Collection period.............................................................................. 100,160,407.17

7.   Aggregate Pool Balance as of the end of the preceding
     Collection Period............................................................................................ 398,756,980.92

8.   The aggregate Trust Principal Component as of the beginning of the
     preceding Collection Period was ............................................................................. 411,618,563.13

9.   The aggregate amount of Principal Collections during the
     preceding Collection Period was.............................................................................. 106,278,681.32

10.  The aggregate amount of Defaulted Receivables during the preceding
     Collection Period was........................................................................................  (19,059.89)

11.  The aggregate Trust Principal Component as of the end of the
     preceding Collection Period was *............................................................................ 391,778,733.75

12.  The aggregate amount of Yield Collections during the preceding
     Collection Period was........................................................................................  7,313,020.16

13.  The Discount Factor during the preceding Collection Period was ..............................................     1.75%

14.  The Monthly Payment Rate during the preceding Collection Period was .........................................     27.18%

15.  Defaulted Receivables ( [ charged-off receivables less recoveries ] x
     [1-Discount rate] ) during the preceding Collection Period, expressed as
     an annual percentage of the Trust Principal Component as of the
     beginning of the preceding Collection Period, were...........................................................     -0.06%

16.  "Finance Charge" collections during the preceding Collection Period,
     expressed as an annual percentage of the Pool Balance as of the
     beginning of the preceding Collection Period, were...........................................................     5.05%
</TABLE>

<PAGE>

B.   INFORMATION REGARDING THE SERIES INVESTED AMOUNTS & TRANSFEROR AMOUNT

<TABLE>
<CAPTION>>
                                                                       Series           Series          Series
                                                                       1994-1           1995-1          1998-1        Aggregate
                                                                       ------           ------          ------        ----------
<S>                                                               <C>              <C>              <C>            <C>
1.   Aggregate Invested Amount and Pool Factor as of the
     beginning of the preceding Collection Period

    a) Class A Invested Amount .................................   150,000,000.00   100,000,000.00   36,541,402.40  286,541,402.40
       Class A Percentage (% of Invested Amount)................       82.00%           82.00%          88.50%          82.78%

          Series 1998-1 Commercial Paper Principal Component....        ---              ---         36,541,402.40  36,541,402.40
          Series 1998-1 APA Bank Loan Balance...................        ---              ---             0.00            0.00

    b) Less Principal Funding Account or Capitalized Interest
          Account (1998-1 only).................................    47,679,601.86        0.00         500,000.00    48,179,601.86

    c) Equals Class A Adjusted Invested Amount..................   102,320,398.14   100,000,000.00   36,041,402.40  238,361,800.54

    d) Class B Invested Amount..................................    32,926,829.27   21,951,219.51    4,748,317.83   59,626,366.61
       Class B Percentage (% of Invested Amount)................       18.00%           18.00%          11.50%          17.22%

    e) Aggregate Invested Amount................................   182,926,829.27   121,951,219.51   41,289,720.23  346,167,769.01

    f) Class A Pool Factor......................................      1.0000000       1.0000000           ---

    g) Class B Pool Factor......................................      1.0000000       1.0000000           ---

2.  Aggregate Invested Amount and Pool Factor as of the end
    of the preceding Collection Period

    a) Class A Invested Amount .................................   150,000,000.00   100,000,000.00   75,500,000.00  325,500,000.00
       Class A Percentage (% of Invested Amount)................       100.00%         100.00%          100.00%        100.00%

           Series 1998-1 Commercial Paper Principal
             Component..........................................         ---             ---         75,500,000.00  75,500,000.00
           Series 1998-1 APA Bank Loan Balance..................         ---             ---             0.00            0.00
           Series 1998-1 balance of Undistributed Principal
             Collections........................................         ---             ---             0.00            0.00
                                                                                                     75,500,000.00  75,500,000.00

    b) Less Principal Funding Account or Capitalized
       Interest Account (1998-1 only)...........................   105,084,104.72        0.00         500,000.00    105,584,104.72

    c) Equals Class A Adjusted Invested Amount..................    44,915,895.28   100,000,000.00   75,000,000.00  219,915,895.28

    d) Class B Invested Amount..................................    32,926,829.27   21,951,219.51    9,810,734.46   64,688,783.24

    e) Invested Amount..........................................   182,926,829.27   121,951,219.51   85,310,734.46  390,188,783.24

    f) Class A Pool Factor......................................      1.0000000       1.0000000           ---

    g) Class B Pool Factor......................................      1.0000000       1.0000000           ---

<CAPTION>
                                                                                   % Trust Principal
                                                                      $ Amount        Component
                                                                      --------        ---------
<S>                                                                <C>             <C>               <C>
3.  Transferor Interest as of the beginning of the
    preceding Collection Period.................................   113,130,395.98       27.48%

    a) Special Funding Account as of the beginning of the
       preceding Collection Period..............................        0.00            0.00%

4. Available Subordinated Amount as of the beginning of
   the preceding Collection Period..............................        0.00            0.00%

5. Average Class A Invested Amount (98-A calendar month)........         --               --         57,905,794.63
   Average Class B Invested Amount (98-A calendar month)........         --               --         7,524,481.79
</TABLE>


<PAGE>

B. INFORMATION REGARDING THE SERIES INVESTED AMOUNTS &
      TRANSFEROR AMOUNT, Cont.

<TABLE>
<CAPTION>
                                                                                                                      % Trust
                                                                                                                      Principal
                                                                                                      Amount          Component
                                                                                                      ------          ---------
<S>                                                                                                <C>                <C>
5. Transferor Interest as of the end of the preceding
   Collection Period.............................................................................  106,674,055.23        27.23%

   a) Special Funding Account as of the end of the preceding
      Collection Period..........................................................................       0.00              0.00%


6. Available Subordinated Amount as of the end of the preceding
      Collection Period..........................................................................    4,466,077.79         1.14%


7. Minimum Transferor Percentage (net of Available Subordinated Amount) as of the
   end of the preceding Collection Period........................................................   47,013,448.05        12.00%


C. INFORMATION REGARDING THE ALLOCATION OF COLLECTIONS

1. Floating Allocation Percentage

Series 1994-1 Investor Percentage................................................................      32.86%
Series 1995-1 Investor Percentage................................................................      29.63%
Series 1998-1 Investor Percentage................................................................      15.90%
Transferor Percentage............................................................................      21.62%
                                                                                                       100.00%
2. Fixed Allocation Percentage

Series 1994-1 Investor Percentage................................................................      44.44%
Series 1995-1 Investor Percentage................................................................        NA
Series 1998-1 Investor Percentage................................................................        NA
Transferor Percentage............................................................................      15.90%

3. Allocation of Yield Collections

Yield Collections allocable to Series 1994-1.....................................................   2,402,869.52
Yield Collections allocable to Series 1995-1.....................................................   2,166,646.03
Yield Collections allocable to Series 1998-1.....................................................   1,162,466.84
                                                                                                    ------------
Aggregate Investor Yield Collections ............................................................   5,731,982.39
Yield Collections allocable to the Transferor....................................................   1,581,037.76
                                                                                                    ------------
Total allocable Yield Collections................................................................   7,313,020.16

4. Allocation of Special Funding Account Income
   (allocated and distributed to the Transferor during the Revolving Period)

Special Funding Account Income allocable to Series 1994-1........................................       0.00
Special Funding Account Income allocable to Series 1995-1........................................       0.00
Special Funding Account Income allocable to Series 1998-1........................................       0.00
                                                                                                        ----
Aggregate Investor Special Funding Account Income................................................       0.00
Special Funding Account Income allocable to the Transferor.......................................       0.00
                                                                                                        ----
Total allocable Special Funding Account Income...................................................       0.00
</TABLE>


<PAGE>

C. INFORMATION REGARDING THE ALLOCATION OF COLLECTIONS, Cont.

<TABLE>
<CAPTION>
                                                                                                              $ Amount
<S>                                                                                                          <C>
5. Allocation of Defaults

Defaults allocable to Series 1994-1 (Investor Default Amount)............................................    (6,262.59)
Defaults allocable to Series 1995-1 (Investor Default Amount)............................................    (5,646.92)
Defaults allocable to Series 1998-1 (Investor Default Amount)............................................    (3,029.73)
                                                                                                             ----------
Aggregate Investor Default Amount........................................................................    (14,939.24)
Defaults allocable to the Transferor.....................................................................     (4,120.65)
                                                                                                             ----------
 Total allocable Defaults................................................................................    (19,059.89)

6. Allocation of Principal Collections

Principal Collections allocable to Series 1994-1.........................................................   47,231,159.95
Principal Collections allocable to Series 1995-1.........................................................   31,487,439.97
Principal Collections allocable to Series 1998-1.........................................................   10,660,882.21
                                                                                                            -------------
Aggregate Investor Principal Collections.................................................................   89,379,482.13
Principal Collections allocable to the Transferor........................................................   16,899,199.20
                                                                                                            -------------
Total allocable Principal Collections....................................................................  106,278,681.32

7. Allocation of Collection Account Income (allocated and distributed to Series
   1994-1, Series 1995-1 and Series 1998-1 during an Early Amortization Period)

Collection Account Income allocable to Series 1994-1 ....................................................       0.00
Collection Account Income allocable to Series 1995-1 ....................................................       0.00
Collection Account Income allocable to Series 1998-1 ....................................................       0.00
                                                                                                                ----
Aggregate Investor Collection Account Income.............................................................       0.00
Collection Account Income allocable to the Transferor ...................................................      193.77
Total allocable Collection Account Income................................................................      193.77
</TABLE>


D. INFORMATION REGARDING YIELD COLLECTIONS & INVESTMENT INCOME (YIELD FUNDS)

<TABLE>
<CAPTION>
                                                                    Series 1994-1    Series 1995-1    Series 1998-1     Aggregate
                                                                    -------------    -------------    -------------     ---------
<S>                                                                <C>              <C>              <C>              <C>
1. Yield Collections (including "finance charges") allocable 
   to Series 1994-1, Series 1995-1 and Series 1998-1 during 
   the preceding Collection Period were.........................    2,402,869.52      2,166,646.03     1,162,466.84     5,731,982.39

2. Principal Funding Account investment income during the 
   preceding Collection Period was..............................     103,471.21           0.00              ---          103,471.21

3. Special Funding Account investment income allocable to 
   Series 1994-1, Series 1995-1 and Series 1998-1 during the 
   preceding Collection Period were.............................        0.00              0.00             0.00             0.00

4. Collection Account investment income allocable to 
   Series 1994-1, Series 1995-1 and Series 1998-1 during the 
   preceding Collection Period were.............................        0.00              0.00             0.00             0.00

5. Capitalized Interest Account Investment and Interest 
   income (allocable to Series 1998-1 only) during the 
   preceding Collection Period was..............................         ---              ---            2,061.86         2,061.86

6. Total Yield Funds allocable to Series 1994-1, 
   Series 1995-1 and Series 1998-1 during the preceding 
   Collection Period were.......................................    2,506,340.73      2,166,646.03     1,164,528.70     5,837,515.46

   a.   Total Yield Funds allocable to Series 1994-1, 
        Series 1995-1 and Series 1998-1 as an annual 
        percentage of the Invested Amount as of the
        beginning of the preceding Collection Period were.......       16.44%            21.32%           21.36%           18.92%
</TABLE>


<PAGE>

E. INFORMATION REGARDING THE DISTRIBUTION OF YIELD COLLECTIONS and  INVESTMENT 
   INCOME ALLOCABLE TO SERIES 1994-1, SERIES 1995-1 AND SERIES 1998-1

<TABLE>
<CAPTION>
                                                                    Series 1994-1    Series 1995-1    Series 1998-1     Aggregate
                                                                    -------------    -------------    -------------     ---------
<S>                                                                <C>              <C>              <C>              <C>
1. Total Yield Funds allocable to Series 1994-1, 
   Series 1995-1 and Series 1998-1..............................    2,506,340.73      2,166,646.03     1,164,528.70    5,837,515.46

2. Plus Draw on Capitalized Interest Account 
   (for Series 1998-1 only).....................................         ---              ---              0.00            0.00

3. Total Yield Funds allocable to Series 1994-1, 
   Series 1995-1 and Series 1998-1, including draw on 
   Capitalized Interest Account for Series 19981................    2,506,340.73      2,166,646.03     1,164,528.70    5,837,515.46

4. Less Class A Monthly Interest paid...........................     781,250.00        516,666.67       274,716.28     1,572,632.95

   Class A Certificate Rate.....................................       6.250%             6.200%          5.509%
     - CP Rate (applicable to Series 1998-1 only)...............         ---               ---            5.509%
     - Euro Dollar Rate (applicable to Series 1998-1 only)......         ---               ---            5.739%
     - Base Rate (applicable to Series 1998-1 only).............         ---               ---            8.500%

5. Less Class A Past Due Monthly Interest paid..................        0.00              0.00             0.00            0.00

6. Less Class B Monthly Interest paid...........................     176,981.71        117,987.80        37,183.74      332,153.25

7. Less Class B Past Due Monthly Interest paid..................        0.00              0.00             0.00            0.00

8. Less [program] Fees paid (applicable to 
   Series 1998-1 only)...........................................         ---              ---            11,377.43      11,377.43

9. Less Past Due Program Fees paid (Series 1998-1 only)..........         ---              ---              0.00            0.00

10. Less Monthly Servicing Fee paid..............................     304,878.05        203,252.03        68,816.20      576,946.28

11. Less Past Due Monthly Servicing Fee paid.....................        0.00              0.00             0.00            0.00

12. Less Reimbursement of previously unreimbursed 
    Class A Charge-Offs..........................................        0.00              0.00             0.00            0.00
    (distributed as Excess Principal during the Revolving Period)

13. Plus Reallocated Transferor Principal........................        0.00              0.00             0.00            0.00

14. Less Investor Default Amount.................................     (6,262.59)        (5,646.92)       (3,029.73)     (14,939.24)
    (Excess Principal during the Revolving Period)

15. Less Interest on previously unreimbursed 
    Class B Charge-Offs..........................................        0.00              0.00             0.00            0.00

16. Less Reimbursement of previously unreimbursed 
    Class B Charge-Offs..........................................        0.00              0.00             0.00            0.00
    (Excess Principal during the Revolving Period)

17. Equals Remaining Yield Funds allocable to Series 1994-1, 
    Series 1995-1 (including draw on Capitalized Interest 
    Account for Series 1998-1)...................................   1,249,493.56      1,334,386.45      775,464.78     3,359,344.79
</TABLE>

<PAGE>

F. INFORMATION REGARDING MONTHLY DISTRIBUTION SHORTFALLS 
   TO SERIES 1994-1, SERIES 1995-1 and SERIES 1998-1

<TABLE>
<CAPTION>
                                                                    Series 1994-1    Series 1995-1    Series 1998-1      Aggregate
                                                                    -------------    -------------    -------------      ---------
<S>                                                                <C>              <C>              <C>              <C>
1. Class A Monthly Interest shortfall during 
   the preceding Collection Period..............................       0.00              0.00             0.00              0.00

2. Class B Monthly Interest shortfall during 
   the preceding Collection Period..............................       0.00              0.00             0.00              0.00

3. Monthly Servicing Fee shortfall during 
   the preceding Collection Period..............................       0.00              0.00             0.00              0.00

4. Monthly Program Fees shortfall during 
   the preceding Collection Period..............................        ---               ---             0.00              0.00

5. Class A Investor Charge-Offs during the 
   preceding Collection Period..................................       0.00              0.00             0.00              0.00

6. Class B Investor Charge-Offs during the 
   preceding Collection Period..................................       0.00              0.00             0.00              0.00

7. Cumulative Unreimbursed Class A Investor Charge-Offs.........       0.00              0.00             0.00              0.00

8. Cumulative Unreimbursed Class B Investor Charge-Offs.........       0.00              0.00             0.00              0.00

9. Cumulative Reallocated Transferor Principal..................       0.00              0.00             0.00              0.00
</TABLE>

<PAGE>

G. INFORMATION REGARDING THE CALCULATION AND DISTRIBUTION OF PRINCIPAL

<TABLE>
<CAPTION>
                                                                   Series 1994-1    Series 1995-1    Series 1998-1     Aggregate
                                                                   -------------    -------------    -------------     ---------
<S>                                                                <C>              <C>              <C>              <C>
1. Available Principal Funds (funds on deposit in the 
     Collection Account for principal distribution)

  a) Remaining Yield Funds allocable to Series 1994-1, 
     Series 1995-1 and Series 1998-1............................    1,249,493.56         0.00             0.00          1,249,493.56
     (distributed to Transferor during Revolving Period)

  b) Principal Collections allocable to Series 1994-1, 
     Series 1995-1 and Series 1998-1............................   47,231,159.95     31,487,439.97    10,660,882.21    89,379,482.13

  c) Investor Defaults..........................................    (6,262.59)        (5,646.92)       (3,029.73)       (14,939.24)

  d) Reallocated Transferor Principal...........................        0.00             0.00             0.00              0.00

  e) Principal Collections allocable to the Transferor..........    8,930,111.94         0.00          7,969,087.26    16,899,199.20

  f) Balance of Special Funding Account (Undistributed 
     Principal Collections).....................................        0.00             0.00             0.00              0.00
     (retained in Collection Account during the 
      Revolving Period)

  g) Beginning balance of Undistributed 
     Principal Collections .....................................          --               --             0.00              0.00

  h) Excess Principal from Series 1994-1, Series 1995,1 
     and Series 1998-1                                             42,745,546.53         0.00         7,363,186.26     50,108,732.79
       1) From Series 1994-1....................................          --             0.00             0.00              0.00
       2)  From Series 1995-1...................................   24,118,606.79          --          7,363,186.26     31,481,793.05
       3)  From Series 1998-1...................................   18,626,939.74         0.00               --         18,626,939.74

  i) Total Available Principal Funds............................  100,150,049.39     31,481,793.05   25,990,126.00    157,621,968.43

2. Principal Paid to Class A....................................   57,404,502.86         0.00             0.00         57,404,502.86

3. Undistirbuted Principal Collections..........................           --             --              0.00              0.00

4. Class B Monthly Principal....................................         0.00            0.00             0.00              0.00

5. Excess Principal Collections.................................         0.00        31,481,793.05    18,626,939.74    50,108,732.79

7. Series 1998-1 Additional Invested Amount.....................          ---             ---         44,021,014.24    44,021,014.24

   a) Class A Additional Invested Amount........................         ---              ---         38,958,597.60    38,958,597.60

   b) Class B Additional Invested Amount........................         ---              ---          5,062,416.64     5,062,416.64
</TABLE>

<PAGE>

H. INFORMATION REGARDING THE PRINCIPAL FUNDING ACCOUNT

<TABLE>
<CAPTION>
                                                                    Series 1994-1    Series 1995-1    Series 1998-1     Aggregate
                                                                    -------------    -------------    -------------     ---------
<S>                                                                <C>              <C>              <C>              <C>
1. Principal Funding Account amount as of the 
   beginning of the preceding Collection Period.................    47,679,601.86         0.00              ---        47,679,601.86

2. Plus Class A principal deposits made 
   during the preceding Collection Period.......................    57,404,502.86         0.00              ---        57,404,502.86

3. Less principal withdrawals made during the 
   preceding Collection Period..................................        0.00              0.00              ---             0.00

4. Principal Funding Account amount as of the end of the
   preceding Collection Period..................................   105,084,104.72         0.00              ---       105,084,104.72

5. Principal Funding Account investment income during 
   the preceding Collection Period..............................     103,471.21           0.00              ---           103,471.21

6. Principal Funding Account investment rate during 
   the preceding Collection Period..............................        5.21%             0.00%             ---             5.21%
</TABLE>


I. INFORMATION REGARDING TRANSFEROR SUBORDINATION EVENT TRIGGERS

<TABLE>
<CAPTION>
                                                                    Series 1994-1    Series 1995-1    Series 1998-1     Aggregate
                                                                    -------------    -------------    -------------     ---------
<S>                                                                <C>              <C>              <C>              <C>
Transferor Subordination Event ? ...............................         YES              YES               YES

Required Transferor Subordination Amount........................      1,917,131.26     1,873,655.00     675,291.54    4,466,077.79

Required Transferor Subordination Amount (% Class A 
Adjusted Invested Amount).......................................          1.87%            1.87%             1.87%

Available Subordinated Amount as of the end of the preceding
Collection Period...............................................         912,157.27    2,030,811.73   1,523,108.80    4,466,077.79

</TABLE>

<TABLE>
<CAPTION>
                                                                       Trigger           Actual       Subord. Event ?
Transferor Subordination Event Triggers                                 Level            Level            (1=yes)
- - ---------------------------------------                             -------------    -------------    ---------------
<S>                                                                <C>              <C>              <C> 
1. Minimum November through April Monthly Payment 
   Rate (3-mo moving avg).......................................        10.00%           26.22%              0

2. Minimum May through October Monthly Payment 
   Rate (3-mo moving avg).......................................        13.00%           26.22%              0

3. Maximum All-Terrain Vehicles (as % of Pool Balance)..........        33.33%           34.45%              1

4. Maximum other than motorcycles, scooters, water vehicles,
   all-terain vehicles, outboard and snow mobiles 
   (as % of Pool Balance).......................................        10.00%           1.69%               0

5. Maximum Dealer "holdbacks" on non-sold products plus Sales
   Program Discounts............................................        5.00%            0.43%               0

6. Maximum Fiscal Year New Accounts as a % of Beginning Fiscal
   Year Total Accounts..........................................        8.00%            3.87%               0

7. Maximum Fiscal Quarter New Accounts as a % of Beginning 
   Fiscal Quarter Total Accounts................................        5.00%            0.57%               0

8. Maximum Defaulted Receivables minus Recoveries plus
   Repossessions (as an Annual % of Pool Balance) 
   (3-month moving average).....................................        7.50%            0.50%               0
</TABLE>


<PAGE>

J. INFORMATION REGARDING EARLY AMORTIZATION EVENT TRIGGERS

<TABLE>
<S>                                                                                                                 <C>
Series 1994-1 Early Amortization Event ? .........................................................................      NO
Series 1995-1 Early Amortization Event ? .........................................................................      NO
Series 1998-1 Early Amortization Event ? .........................................................................      NO
</TABLE>

<TABLE>
<CAPTION>
                                                                                         Series           Series          Series
Early Amortization Event Triggers                                      Trigger           1994-1           1995-1          1998-1
- - ---------------------------------                                   -------------    -------------    -------------     ---------
<S>                                                                <C>              <C>              <C>              <C>
1. a. Min Class B Invested Amt as a % of Class A 
      Inv Amt (Series 1994-1)...................................       17.00%           21.95%             NA                NA
   b. Min Class B Invested Amt as a % of Class A & B 
      Inv Amt (Series 1995-1)...................................       17.50%             NA             18.00%              NA
   c. Min Class B Invested Amt as a % of Class A & B 
      Inv Amt (Series 1998-1)...................................       11.00%             NA               NA              11.50%

2. Max consecutive months that Special Funding Account 
   may exceed $0................................................        12

3. Minimum Transferor Interest ( ** note ** below)..............       10.00%           25.70%           25.70%            25.70%

4. Minimum Transferor Interest (** note ** below] if 
   "finance charge" yield (expressed as an annual percentage 
   of the Pool Balance) is less than 6%.........................       12.00%           25.70%           25.70%            25.70%

5. Minimum November through April Monthly Payment 
   Rate (3-mo moving avg).......................................        8.00%           26.22%           26.22%            26.22%

6. Minimum May through October Monthly Payment 
   Rate (3-mo moving avg).......................................       11.00%           26.22%           26.22%            26.22%

7. Maximum Defaulted Receivables minus Recoveries plus 
   Repossessions (as an annual % of Pool Balance) 
   (3-mo moving avg)............................................       10.00%            0.50%           0.50%              0.50%

8. Class B Invested Amount is less than Initial Class B 
   Invested Amount for three consecutive periods................                       32,926,829      21,951,220            ---
</TABLE>








- - --------------------------------------------------------------------------------

    **  Note **: For purposes of determining whether the Transferor Interest is
        greater than the Minimum Transferor Interest, the Transferor Interest is
        reduced by the principal component (1 minus the Discount Factor) of
        10-day draft balances if the short term rating of DFS is not P-1 .

<TABLE>

<S>                                                                                                              <C>
    Is the short term rating of DFS P-1 ?.....................................................................                NO
    Balance of DFS drafts as of the end of the preceding Collection Period....................................      6,082,883.45

  Transferor Interest as of the end of the preceding Collection Period........................................    106,674,055.23
  Principal Component of DFS Draft balance as of the end of the preceeding Coll. Period.......................      5,976,432.99
  Adjusted Transferor Interest................................................................................    100,697,622.24
  Adjusted Transferor Interest (% TPC)........................................................................            25.70%
  Minimum Transferor Interest.................................................................................     47,013,448.05
</TABLE>


<PAGE>

K. INFORMATION REGARDING THE SERVICER CASH COLLATERAL ACCOUNT

<TABLE>
<S>                                                                                                         <C>
1. Servicer Cash Collateral Account balance as of the beginning of the
   preceding Collection Period.......................................................................        1,297,917.67

2. Servicer Cash Collateral Account balance as of the end of the
   preceding Collection Period.......................................................................        1,297,917.67

3. Withdrawals from the Servicer Cash Collateral Account during the
   preceding Collection Period.......................................................................          5,943.43

4. Investment Income and Deposits to the Servicer Cash Collateral Account during the
   preceding Collection Period.......................................................................          5,943.43
</TABLE>

L. INFORMATION REGARDING DISTRIBUTIONS TO SERIES 1994-1, 1995-1 AND 
   1998-1 CLASS A CERTIFICATES

<TABLE>
<CAPTION>
       Series           Amount         Explanation
       ------           ------         -----------
      <S>          <C>                <C>
       1994-1      $781,250.00        Class A Monthly Interest
       1994-1      $57,404,502.86     Class A Principal  *
       1995-1      $516,666.67        Class A Monthly Interest
       1995-1      $0.00              Class A Principal  **
       1998-1      $274,716.28        Class A Monthly Interest
       1998-1      ($38,958,597.60)   Class A Principal (Increase)/Reduction ***
</TABLE>

<TABLE>
<S>                                                                                      <C>
   * Amount of Series 1994-1 Class A Principal deposited to Principal Funding AC =        $57,404,502.86
  ** Amount of Series 1995-1 Class A Principal deposited to Principal Funding AC =             $0.00
 *** Amount of  Series 1998-1 Undistributed Principal deposited to Collection AC =             $0.00
</TABLE>

















                    NAME:         KEVIN FUJIMOTO
                            -------------------------------------------------

                    TITLE:           Treasurer
                            -------------------------------------------------


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