Capital One Prime Auto Receivables Trust 2023-2

10/15/2025 | Press release | Distributed by Public on 10/15/2025 12:22

Asset-Backed Issuer Distribution Report (Form 10-D)



CAPITAL ONE PRIME AUTO RECEIVABLES TRUST 2023-2
Statement to Securityholders
Determination Date: October 9, 2025
Payment Date 10/15/2025
Collection Period Start 9/1/2025
Collection Period End 9/30/2025
Interest Period Start 9/15/2025
Interest Period End 10/14/2025
Cut-Off Date Net Pool Balance $ 1,228,970,492.55
Cut-Off Date Adjusted Pool Balance $ 1,128,083,316.56

I. DEAL SUMMARY
Beginning Note
Balance
Principal Payment Ending Note Balance Note Factor Final Scheduled Payment Date
Class A-1 Notes $ - $ - $ - - Oct-24
Class A-2a Notes $ - $ - $ - - Oct-26
Class A-2b Notes $ - $ - $ - - Oct-26
Class A-3 Notes $ 343,295,618.25 $ 23,823,747.70 $ 319,471,870.55 0.807236 Jun-28
Class A-4 Notes $ 63,220,000.00 $ - $ 63,220,000.00 1.000000 Nov-28
Class B Notes $ 11,270,000.00 $ - $ 11,270,000.00 1.000000 Dec-28
Class C Notes $ 11,270,000.00 $ - $ 11,270,000.00 1.000000 Feb-29
Class D Notes $ 11,270,000.00 $ - $ 11,270,000.00 1.000000 Dec-29
Total Notes $ 440,325,618.25 $ 23,823,747.70 $ 416,501,870.55
Beginning Balance Ending Balance Pool Factor
Net Pool Balance $ 479,670,622.94 $ 453,805,836.99 0.369257
YSOC Amount $ 36,524,796.40 $ 34,483,758.15
Adjusted Pool Balance $ 443,145,826.54 $ 419,322,078.84
Overcollateralization Amount (Adjusted Pool Balance - Note Balance) $ 2,820,208.29 $ 2,820,208.29
Reserve Account Balance $ 2,820,208.29 $ 2,820,208.29
Beginning Note
Balance
Interest Rate Accrual Methodology Interest Payment
Class A-1 Notes $ - 5.66300% ACT/360 $ -
Class A-2a Notes $ - 5.91000% 30/360 $ -
Class A-2b Notes $ - 4.96208% ACT/360 $ -
Class A-3 Notes $ 343,295,618.25 5.82000% 30/360 $ 1,664,983.75
Class A-4 Notes $ 63,220,000.00 5.74000% 30/360 $ 302,402.33
Class B Notes $ 11,270,000.00 4.78000% 30/360 $ 44,892.17
Class C Notes $ 11,270,000.00 4.78000% 30/360 $ 44,892.17
Class D Notes $ 11,270,000.00 4.78000% 30/360 $ 44,892.17
Total Notes $ 440,325,618.25 $ 2,102,062.59




II. COLLATERAL POOL BALANCE
Beginning of Period End of Period
Net Pool Balance $ 479,670,622.94 $ 453,805,836.99
Adjusted Pool Balance (Net Pool Balance - YSOC Amount) $ 443,145,826.54 $ 419,322,078.84
Number of Receivables Outstanding 33,364 32,512
Weighted Average Contract Rate 5.18 % 5.19 %
Weighted Average Remaining Term (months) 34.2 33.2

III. FUNDS AVAILABLE FOR DISTRIBUTION
Available Funds:
a. Collections
Interest Collections $ 2,125,980.17
Principal Collections $ 25,598,496.58
Liquidation Proceeds $ 144,090.86
b. Repurchase Price $ -
c. Optional Purchase Price $ -
d. Reserve Account Excess Amount $ -
Total Available Funds $ 27,868,567.61
Reserve Account Draw Amount $ -
Total Funds Available for Distribution $ 27,868,567.61

IV. DISTRIBUTION
Calculated Amount Amount Paid Shortfall Carryover Shortfall Remaining Available Funds
Servicing Fee $ 399,725.52 $ 399,725.52 $ - $ - $ 27,468,842.09
Interest - Class A-1 Notes $ - $ - $ - $ - $ 27,468,842.09
Interest - Class A-2a Notes $ - $ - $ - $ - $ 27,468,842.09
Interest - Class A-2b Notes $ - $ - $ - $ - $ 27,468,842.09
Interest - Class A-3 Notes $ 1,664,983.75 $ 1,664,983.75 $ - $ - $ 25,803,858.34
Interest - Class A-4 Notes $ 302,402.33 $ 302,402.33 $ - $ - $ 25,501,456.01
First Allocation of Principal $ - $ - $ - $ - $ 25,501,456.01
Interest - Class B Notes $ 44,892.17 $ 44,892.17 $ - $ - $ 25,456,563.84
Second Allocation of Principal $ - $ - $ - $ - $ 25,456,563.84
Interest - Class C Notes $ 44,892.17 $ 44,892.17 $ - $ - $ 25,411,671.67
Third Allocation of Principal $ 9,733,539.41 $ 9,733,539.41 $ - $ - $ 15,678,132.26
Interest - Class D Notes $ 44,892.17 $ 44,892.17 $ - $ - $ 15,633,240.09
Fourth Allocation of Principal $ 11,270,000.00 $ 11,270,000.00 $ - $ - $ 4,363,240.09
Reserve Account Deposit Amount $ - $ - $ - $ - $ 4,363,240.09
Regular Principal Distribution Amount $ 2,820,208.29 $ 2,820,208.29 $ - $ - $ 1,543,031.80
Owner Trustee, Indenture Trustee, and ARR Fees & Expenses $ - $ - $ - $ - $ 1,543,031.80
Remaining Funds to Certificates $ 1,543,031.80 $ 1,543,031.80 $ - $ - $ -
Total $ 27,868,567.61 $ 27,868,567.61 $ - $ -



V. OVERCOLLATERALIZATION INFORMATION
Yield Supplement Overcollateralization Amount:
Beginning Period YSOC Amount $ 36,524,796.40
Increase/(Decrease) $ (2,041,038.25)
Ending YSOC Amount $ 34,483,758.15
Overcollateralization: Beginning of Period End of Period
Adjusted Pool Balance $ 443,145,826.54 $ 419,322,078.84
Note Balance $ 440,325,618.25 $ 416,501,870.55
Overcollateralization (Adjusted Pool Balance - Note Balance) $ 2,820,208.29 $ 2,820,208.29
Target Overcollateralization Amount $ 2,820,208.29 $ 2,820,208.29
Overcollateralization Shortfall $ - $ -

VI. RESERVE ACCOUNT
Specified Reserve Account Balance $ 2,820,208.29
Beginning Reserve Account Balance $ 2,820,208.29
Reserve Account Deposit Amount $ -
Reserve Account Draw Amount $ -
Reserve Account Excess Amount $ -
Ending Reserve Account Balance $ 2,820,208.29



VII. NET LOSS AND DELINQUENT RECEIVABLES
Net Loss: % of EOP Net Pool Balance # of Receivables Amount
Defaulted Receivables during Collection Period (Principal Balance)1
0.06% 28 $ 266,289.37
Liquidation Proceeds of Defaulted Receivables2
0.03% 119 $ 144,090.86
Monthly Net Losses (Liquidation Proceeds) $ 122,198.51
Net Losses as % of Average Pool Balance (annualized)
Third Preceding Collection Period 0.26 %
Second Preceding Collection Period 0.06 %
Preceding Collection Period 0.54 %
Current Collection Period 0.31 %
Four-Month Average Net Loss Ratio 0.29 %
Cumulative Net Losses for All Periods $ 2,914,578.00
Cumulative Net Loss Ratio 0.24 %
1 The # of Receivables reported as Defaulted does not include any Receivables that have been paid off or have matured and were either paid in full or had a remaining balance of $10.00 or less following the final payment.
2 Liquidation Proceeds include all proceeds on a receivable after it has been charged-off.
Delinquent Receivables: % of EOP Net Pool Balance # of Receivables Principal Balance
30-59 Days Delinquent 0.24% 63 $ 1,110,135.15
60-89 Days Delinquent 0.11% 26 $ 477,933.45
90-119 Days Delinquent 0.03% 8 $ 142,623.06
120+ Days Delinquent 0.00% 0 $ -
Total Delinquent Receivables 0.38% 97 $ 1,730,691.66
Repossession Inventory: # of Receivables Principal Balance
Repossessed in the Current Collection Period 4 $ 67,435.51
Total Repossessed Inventory 9 $ 166,249.55
60+ Delinquency Percentage: # of Receivables Amount
60+ Day Delinquent Receivables 34 $ 620,556.51
60+ Delinquencies as % of EOP Net Pool Balance
Third Preceding Collection Period 0.13 %
Second Preceding Collection Period 0.16 %
Preceding Collection Period 0.13 %
Current Collection Period 0.14 %
Delinquency Trigger 4.50 %
Current Delinquency Percentage Exceeds Delinquency Trigger? (Yes/No) No

VIII. TEMPORARY FORBEARANCE
The table below presents accounts which received a short-term payment extension in the month of September 2025.
Month-End Balance # of Receivables
($MM) (%) (#) (%)
Total Extensions 0.31 0.07% 16 0.05%


Capital One Prime Auto Receivables Trust 2023-2 published this content on October 15, 2025, and is solely responsible for the information contained herein. Distributed via EDGAR on October 15, 2025 at 18:22 UTC. If you believe the information included in the content is inaccurate or outdated and requires editing or removal, please contact us at [email protected]