CATERPILLAR FINANCIAL FUNDING CORP
8-K, 2000-03-13
ASSET-BACKED SECURITIES
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Jan00

STATEMENT TO CERTIFICATEHOLDERS     EXHIBIT 99.1
       
ORIGINAL DEAL PARAMETERS      
Certificate Balance     $16,388,534.00
YSA Regular Interest Principal Balance     $2,339,486.00
Reserve Regular Interest Principal Balance     $7,570,982.00
Component A-1 Notional Amount     $164,000,000.00
Component A-2 Notional Amount     $218,000,000.00
Component A-3 Notional Amount     $183,114,000.00
Component B Notional Amount     $24,176,000.00
       
INPUTS FROM PREVIOUS PERIOD SUBORDINATED INTEREST SERVICER REPORT      
Certificate Balance     $16,388,534.00
Fixed-Rate Certificates Interest Shortfall     $445,899.78
YSA Regular Interest Principal Balance     $794,894.94
YSA Regular Interest Interest Shortfall     $22,998.31
Reserve Regular Interest Principal Balance     $7,570,982.00
Reserve Regular Interest Interest Shortfall     $217,118.25
Component A-1 Notional Amount     $0.00
Component A-2 Notional Amount     $52,777,593.21
Component A-3 Notional Amount     $183,114,000.00
Component B Notional Amount     $24,176,000.00
Interest-Only Certificates Interest Shortfall     $2,932,986.68
Certificate Yield Supplement Account Balance     $0.00
       
CALCULATION OF DISTRIBUTABLE AMOUNTS      
Wtd. Avg. Net APR (by Adjusted Contract Balance)     6.45%
       
Fixed-Rate Certificate Rate     6.45%
Fixed-Rate Certificateholders' Monthly Interest Distributable Amount     $88,088.37
Fixed-Rate Certificateholders' Interest Carryover Shortfall     $448,296.50
Fixed-Rate Certificateholders' Interest Distributable Amount     $536,384.87
       
Yield Supplement Account Reinvestment Income     $7,620.64
YSA Regular Interest Rate     11.50%
YSA Regular Interestholders' Monthly Interest Distributable Amount     $7,620.64
YSA Regular Interestholders' Interest Carryover Shortfall     $23,218.79
YSA Regular Interestholders' Interest Distributable Amount     $30,839.43
       
Reserve Account Reinvestment Income     $47,192.96
Reserve Account Regular Interest Rate     7.48%
Reserve Account Regular Interestholders' Monthly Interest Distributable Amount     $47,192.96
Reserve Account Regular Interestholders' Interest Carryover Shortfall     $218,471.63
Reserve Account Regular Interestholders' Interest Distributable Amount     $265,664.59
       
Component A-1 Rate     0.8125%
Component A-2 Rate     0.7000%
Component A-3 Rate     0.6000%
Component B Rate     0.6000%
Interest-Only Certificateholders' Monthly Interest Distributable Amount     $134,431.93
Interest-Only Certificateholders' Interest Carryover Shortfall     $2,934,688.13
Interest-Only Certificateholders' Interest Distributable Amount     $3,069,120.06
       
Deposit to Certificate Distribution Account from Collection Account plus      
Certificate Yield Supplement Deposit Amount plus      
Reinvestment Income on Certificate Yield Supplement Account     $0.00
Deposit to Certificate Distribution Account from Principal Distribution Account     $0.00
Deposit to Certificate Distribution Account from Yield Supplement Account     $55,824.56
Deposit to Certificate Distribution Account from Reserve Account     $0.00
Total Deposit to Certificate Distribution Account     $55,824.56
       
DISTRIBUTIONS FROM CERTIFICATE DISTRIBUTION ACCOUNT      
1. Sub. Holders' Interest Distributable Amount for Fixed-Rate Certificates     $0.00
2. Principal to Fixed Rate Certificateholders     $0.00
3. Sub. Holders' Interest Distributable Amount for YSA Regular Interest     $0.00
4. (x) Deposit to Certificate Yield Supplement Account     $0.00
4. (y) Principal to YSA Regular Interestholders     $55,824.56
5. Sub. Holders' Interest Distributable Amount for Reserve Regular Interest     $0.00
6. Principal to Reserve Regular Interestholders     $0.00
7. Sub. Holders' Interest Distributable Amount for Interest-Only Certificates     $0.00
8. Deposit to the Collection Account     $0.00
9. Any remaining amounts to the Residual Certificateholder     $0.00
       
RECONCILIATION OF CERTIFICATE YIELD SUPPLEMENT ACCOUNT      
Beginning Certificate Yield Supplement Account Balance     $0.00
Certificate Yield Supplement Account Requirement     $0.00
Deposit to Certificate Yield Supplement Account from Certificate Distribution Account     $0.00
Specified Certificate Yield Supplement Account Balance     $0.00
Certificate Yield Supplement Deposit Amount     $0.00
Certificate Yield Supplement Account Reinvestment Income     $0.00
Certificate Yield Supplement Account Release paid to YSA Regular Interest as Prin     $0.00
Ending Certificate Yield Supplement Account     $0.00
       
SUMMARY OF DISTRIBUTIONS      
Fixed-Rate Certificates Interest Paid     $0.00
Fixed-Rate Certificates Interest Shortfall     $536,384.87
Fixed-Rate Certificates Principal Paid     $0.00
Ending Fixed-Rate Certificates Principal Balance     $16,388,534.00
       
YSA Regular Interest Interest Paid     $0.00
YSA Regular Interest Interest Shortfall     $30,839.43
YSA Regular Interest Principal Paid     $55,824.56
Ending YSA Regular Interest Principal Balance     $739,070.38
       
Reserve Regular Interest Interest Paid     $0.00
Reserve Regular Interest Interest Shortfall     $265,664.59
Reserve Regular Interest Principal Paid     $0.00
Ending Reserve Regular Interest Principal Balance     $7,570,982.00
       
Interest-Only Certificates Interest Paid     $0.00
Interest-Only Certificates Interest Shortfall     $3,069,120.06
Ending Interest-Only Certificates Notional Balance     $245,937,868.09
       
Distributions to Residual Interest     $0.00
       
STATEMENT TO NOTEHOLDERS     EXHIBIT 99.2
       
(i) Amount of principal being paid on Notes      
       
(a) Class A-1 Notes (CUSIP No. 149114AV2)     $0.00
per $1,000 original principal balance     $0.0000
       
(b) Class A-2 Notes (CUSIP No. 149114AW0)     $14,129,725.12
per $1,000 original principal balance     $64.8153
       
(c) Class A-3 Notes (CUSIP No. 149114AX8)     $0.00
per $1,000 original principal balance     $0.0000
       
(d) Class B Notes (CUSIP No. 149114AY6)     $0.00
per $1,000 original principal balance     $0.0000
       
(f) Total     $14,129,725.12
       
(ii) Amount of interest being paid on Notes      
       
(a) Class A-1 Notes (CUSIP No. 149114AV2)     $0.00
per $1,000 original principal balance     $0.0000
       
(b) Class A-2 Notes (CUSIP No. 149114AW0)     $252,892.63
per $1,000 original principal balance     $1.1601
       
(c) Class A-3 Notes (CUSIP No. 149114AX8)     $892,680.75
per $1,000 original principal balance     $4.8750
       
(d) Class B Notes (CUSIP No. 149114AY6)     $117,858.00
per $1,000 original principal balance     $4.8750
       
(f) Total     $1,263,431.38
       
(iii) Pool Balance at end of related collection period     $262,326,402.09
       
(iv) After giving effect to distributions on this Distribution Date      
       
(a) (1) outstanding principal amount of Class A-1 Notes     $0.00
(2) Class A-1 Note Pool Factor     0.0000000
       
(b) (1) outstanding principal amount of Class A-2 Notes     $38,647,868.09
(2) Class A-2 Note Pool Factor     0.1772838
       
(c) (1) outstanding principal amount of Class A-3 Notes     $183,114,000.00
(2) Class A-3 Note Pool Factor     1.0000000
       
(d) (1) outstanding principal amount of Class B Notes     $24,176,000.00
(2) Class B Note Pool Factor     1.0000000
       
(v) Amount of Servicing Fee paid     $194,002.04
       
(vi) Aggregate Amount of Realized Losses for Collection Period     $237,211.54
       
(vii) Aggregate Purchase Amounts for Collection Period     $0.00
       
(viii) Balance of the Reserve Account at end of related Collection Period     $7,570,982.00
       
(ix) Specified Reserve Account Balance at end of related Collection Period     $7,570,982.00
       
(x) Balance of the Yield Supplement Account at end of related Collection Period     $739,070.38
       
(xi) Specified Yield Supplement Account Balance at end of related Collection Period     $739,070.38
       
       
SERVICING REPORT     EXHIBIT 99.3
       
Distribution Date     February 25, 2000
Transaction Month     19
       
Collection Period Month Begin     January 1, 2000
Collection Period Month End     January 31, 2000
Previous Payment Date (or Closing Date)     January 25, 2000
Actual Days in Accrual Period     31
       
ORIGINAL DEAL PARAMETERS      
Original Pool Balance     $605,678,534.22
Number of Contracts     8,218
Wtd. Avg. APR     7.53%
Wtd. Avg. Remaining Term     41
Annual Servicing Fee Rate     1.00%
Reserve Account Initial Deposit     $7,570,982.00
Yield Supplement Account Deposit     $2,339,486.00
Class A-1 Note Original Principal Balance     $164,000,000.00
Class A-1 Note Rate     5.6375%
Class A-1 Note Final Scheduled Distribution Date     July 26, 1999
Class A-1 CUSIP Number     149114AV2
Class A-2 Note Original Principal Balance     $218,000,000.00
Class A-2 Note Rate     5.75%
Class A-2 Note Final Scheduled Distribution Date     September 25, 2001
Class A-2 CUSIP Number     149114AW0
Class A-3 Note Original Principal Balance     $183,114,000.00
Class A-3 Note Rate     5.85%
Class A-3 Note Final Scheduled Distribution Date     April 25, 2003
Class A-3 CUSIP Number     149114AX8
Class B Note Original Principal Balance     $24,176,000.00
Class B Note Rate     5.85%
Class B Note Final Scheduled Distribution Date     July 26, 2004
Class B CUSIP Number     149114AY6
Certificate Balance     $16,388,534.00
Required Rate     6.85%
       
INPUTS FROM PREVIOUS PERIOD SERVICER REPORT      
Pool Balance     $276,456,127.21
Number of Contracts     6,350
Wtd. Avg. APR     7.45%
Wtd. Avg. Remaining Term     26
Reserve Account Balance     $7,570,982.00
Yield Supplement Account Balance     $794,894.94
Class A-1 Note Outstanding Principal Balance     $0.00
Class A-1 Note Interest Shortfall     $0.00
Class A-2 Note Outstanding Principal Balance     $52,777,593.21
Class A-2 Note Interest Shortfall     $0.00
Class A-3 Note Outstanding Principal Balance     $183,114,000.00
Class A-3 Note Interest Shortfall     $0.00
Class B Note Outstanding Principal Balance     $24,176,000.00
Class B Note Interest Shortfall     $0.00
Servicing Fee Shortfall     $223,454.33
       
CURRENT COLLECTION PERIOD ACTIVITY      
Total Interest Collections     $1,639,831.36
Yield Supplement Deposit Amount     $0.00
Total Principal Collections     $13,506,235.99
Residual Collections     $62,128.50
Warranty Repurchases Contracts     $0.00
Administrative Repurchases     $0.00
Liquidation Proceeds     $324,149.09
Reserve Account Reinvestment Income     $47,192.96
Yield Supplement Account Reinvestment Income     $7,620.64
Previous Period Deposit from Certificate Distribution Account     $0.00
Total Available Amount     $15,587,158.54
       
Beginning Pool Balance     $276,456,127.21
Ending Pool Balance     $262,326,402.09
Number of Contracts at Beginning of Period     6,350
Number of Contracts at End of Period     6,195
Wtd. Avg. APR     7.45%
Wtd. Avg. Remaining Term     25
Aggregate Scheduled Amounts 31-60 days past due     $3,857,768.46
Aggregate Scheduled Amounts 61 days or more past due     $3,458,739.97
Net Losses on Liquidated Receivables this Period     $237,211.54
Repossessed Equipment not Sold or Reassigned (Beginning)     $1,237,880.71
Repossessed Equipment not Sold or Reassigned (End)     $978,740.29
Specified Yield Supplement Account Balance     $739,070.38
       
CALCULATION OF DISTRIBUTABLE AMOUNTS      
Servicing Fee Due     $453,834.44
Is CFSC or Affiliate Servicer?     Yes
       
Class A-1 Noteholders' Monthly Interest Distributable Amount     $0.00
Class A-1 Noteholders' Interest Carryover Shortfall     $0.00
Class A-1 Noteholders' Interest Distributable Amount     $0.00
       
Class A-2 Noteholders' Monthly Interest Distributable Amount     $252,892.63
Class A-2 Noteholders' Interest Carryover Shortfall     $0.00
Class A-2 Noteholders' Interest Distributable Amount     $252,892.63
       
Class A-3 Noteholders' Monthly Interest Distributable Amount     $892,680.75
Class A-3 Noteholders' Interest Carryover Shortfall     $0.00
Class A-3 Noteholders' Interest Distributable Amount     $892,680.75
       
Class A Noteholders' Monthly Interest Distributable Amount     $1,145,573.38
Class A Noteholders' Interest Carryover Shortfall     $0.00
Class A Noteholders' Interest Distributable Amount     $1,145,573.38
       
First Priority Principal Distribution Amount     $0.00
       
Class B Noteholders' Monthly Interest Distributable Amount     $117,858.00
Class B Noteholders' Interest Carryover Shortfall     $0.00
Class B Noteholders' Interest Distributable Amount     $117,858.00
       
Second Priority Principal Distribution Amount     $0.00
       
Regular Principal Distribution Amount     $14,129,725.12
       
Total Required Payment     $1,263,431.38
       
Draw from Reserve Account     $0.00
Draw from Yield Supplement Account     $0.00
       
Total Distribution Amount     $15,587,158.54
       
DISTRIBUTIONS FROM COLLECTION ACCOUNT      
1. Servicing Fee (if CFSC or Affiliate is NOT servicer)     $0.00
2. Class A Noteholders' Interest Distributable Amount to Class A Noteholders     $1,145,573.38
3. First Priority Principal Distribution Amount to Principal Distribution Account     $0.00
4. Class B Noteholders' Interest Distributable Amount to Class B Noteholders     $117,858.00
5. Second Priority Principal Distribution Amount to Principal Distribution Account     $0.00
6. Deposit to Yield Supplement Account     $0.00
7. Deposit to Reserve Account     $0.00
8. Regular Principal Distribution Amount to Principal Distribution Account     $14,129,725.12
9. Servicing Fee (if CFSC or Affiliate IS servicer)     $194,002.04
10. Deposit to Certificate Distribution Account     $0.00
       
DISTRIBUTIONS FROM PRINCIPAL DISTRIBUTION ACCOUNT      
1. Principal to Class A-1 Noteholders     $0.00
2. Principal to Class A-2 Noteholders     $14,129,725.12
3. Principal to Class A-3 Noteholders     $0.00
4. Principal to Class B Noteholders     $0.00
5. Deposit to Certificate Distribution Account     $0.00
       
RECONCILIATION OF RESERVE ACCOUNT      
Beginning Reserve Account Balance     $7,570,982.00
Draw from Reserve Account to cover shortfalls     $0.00
Interim Specified Reserve Account Balance     $7,570,982.00
Deposit to Reserve Account Needed     $0.00
Deposit to Reserve Account from Collection Account     $0.00
Specified Reserve Account Balance     $7,570,982.00
Reserve Account Release deposited into Certificate Distribution Account     $0.00
Ending Reserve Account Balance     $7,570,982.00
       
RECONCILIATION OF YIELD SUPPLEMENT ACCOUNT      
Beginning YSA Balance     $794,894.94
Beginning Adjusted Pool Balance     $276,456,127.21
Yield Supplement Deposit Amount     $0.00
Draw from Yield Supplement Account to cover shortfalls     $0.00
Specified Yield Supplement Account Balance     $739,070.38
Deposit to Yield Supplement Account Needed     $0.00
Deposit to Yield Supplement Account from Collection Account     $0.00
Yield Supplement Account Release deposited into Certificate Distribution Account     $55,824.56
Ending Yield Supplement Account Balance     $739,070.38
       
SUMMARY OF DISTRIBUTIONS      
Servicing Fee Paid to Servicer     $194,002.04
Servicing Fee Shortfall     $259,832.40
       
Class A-1 Interest Paid     $0.00
Class A-1 Interest Shortfall     $0.00
Class A-1 Principal Paid     $0.00
Ending Class A-1 Principal Balance     $0.00
       
Class A-2 Interest Paid     $252,892.63
Class A-2 Interest Shortfall     $0.00
Class A-2 Principal Paid     $14,129,725.12
Ending Class A-2 Principal Balance     $38,647,868.09
       
Class A-3 Interest Paid     $892,680.75
Class A-3 Interest Shortfall     $0.00
Class A-3 Principal Paid     $0.00
Ending Class A-3 Principal Balance     $183,114,000.00
       
Class B Interest Paid     $117,858.00
Class B Interest Shortfall     $0.00
Class B Principal Paid     $0.00
Ending Class B Principal Balance     $24,176,000.00
       
Deposit to Certificate Distribution Account     $55,824.56
       

Last Updated on 3/9/00
By cfs


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