12/08/2025 | Press release | Distributed by Public on 12/08/2025 08:52
|
Page 1 of 9
|
Trust 2014-1 Monthly Servicing Report: Collection Period 10/01/2025 - 10/31/2025, Distribution Date 11/25/2025 |
| I. |
Deal Parameters
|
| A |
Student Loan Portfolio Characteristics
|
05/29/2014
|
09/30/2025
|
10/31/2025
|
|||||||||
|
Principal Balance
|
$
|
717,979,937.57
|
$
|
164,866,224.34
|
$
|
163,313,403.19
|
|||||||
|
Interest to be Capitalized Balance
|
11,067,273.43
|
1,617,488.42
|
1,580,610.21
|
||||||||||
|
Pool Balance
|
$
|
729,047,211.00
|
$
|
166,483,712.76
|
$
|
164,894,013.40
|
|||||||
|
Specified Reserve Account Balance
|
4,867,795.00
|
- N/A -
|
- N/A -
|
||||||||||
|
Adjusted Pool (1)
|
$
|
733,915,006.00
|
$
|
166,483,712.76
|
$
|
164,894,013.40
|
|||||||
|
Weighted Average Coupon (WAC)
|
6.16%
|
|
6.62%
|
|
6.63%
|
|
|||||||
|
Number of Loans
|
121,418
|
18,921
|
18,703
|
||||||||||
|
Aggregate Outstanding Principal Balance - Tbill
|
$
|
3,712,377.12
|
$
|
3,484,566.68
|
|||||||||
|
Aggregate Outstanding Principal Balance - SOFR
|
$
|
162,771,335.64
|
$
|
161,409,446.72
|
|||||||||
|
Pool Factor
|
0.222306854
|
0.220184117
|
|||||||||||
|
Since Issued Constant Prepayment Rate
|
(4.46)%
|
|
(4.46)%
|
|
|||||||||
| (1) |
The Specified Reserve Account balance is included in the Adjusted Pool until the Pool Balance is less than or equal to 40% of the original pool.
|
|
B |
Debt Securities |
Cusip/Isin
|
10/27/2025
|
11/25/2025 | ||||||
|
A3
|
63938EAC8
|
$
|
83,983,712.76
|
$
|
82,394,013.40
|
|||||
|
A4
|
63938EAD6
|
$
|
60,000,000.00
|
$
|
60,000,000.00
|
|||||
|
|
B
|
63938EAE4
|
$
|
20,000,000.00
|
$
|
20,000,000.00
|
|
C |
Account Balances |
10/27/2025 | 11/25/2025 | ||||||
|
Reserve Account Balance
|
$
|
748,891.00
|
$
|
748,891.00
|
|||||
|
Capitalized Interest Account Balance
|
-
|
-
|
|||||||
|
Floor Income Rebate Account
|
$
|
81,339.20
|
$
|
131,430.29
|
|||||
|
Supplemental Loan Purchase Account
|
-
|
-
|
|||||||
|
D |
Asset / Liability |
10/27/2025 | 11/25/2025 | ||||||
|
Adjusted Pool Balance + Supplemental Loan Purchase
|
$
|
166,483,712.76
|
$
|
164,894,013.40
|
|||||
|
Total Notes
|
$
|
163,983,712.76
|
$
|
162,394,013.40
|
|||||
|
Difference
|
$
|
2,500,000.00
|
$
|
2,500,000.00
|
|||||
|
Parity Ratio
|
1.01525
|
1.01539
|
|
Page 2 of 9
|
Trust 2014-1 Monthly Servicing Report: Collection Period 10/01/2025 - 10/31/2025, Distribution Date 11/25/2025 |
| II. | Trust Activity 10/01/2025 through 10/31/2025 |
| A |
Student Loan Principal Receipts
|
||||
|
Borrower Principal
|
419,239.09
|
||||
|
Guarantor Principal
|
1,298,983.25
|
||||
|
Consolidation Activity Principal
|
343,139.17
|
||||
|
Seller Principal Reimbursement
|
-
|
||||
|
Servicer Principal Reimbursement
|
-
|
||||
|
Rejected Claim Repurchased Principal
|
-
|
||||
|
Other Principal Deposits
|
-
|
||||
|
Total Principal Receipts
|
$
|
2,061,361.51
|
|||
|
B
|
Student Loan Interest Receipts
|
||||
|
Borrower Interest
|
233,848.33
|
||||
|
Guarantor Interest
|
80,782.04
|
||||
|
Consolidation Activity Interest
|
15,231.50
|
||||
|
Special Allowance Payments
|
0.00
|
||||
|
Interest Subsidy Payments
|
0.00
|
||||
|
Seller Interest Reimbursement
|
(362.69)
|
||||
|
Servicer Interest Reimbursement
|
2,546.56
|
||||
|
Rejected Claim Repurchased Interest
|
0.00
|
||||
|
Other Interest Deposits
|
8,768.75
|
||||
|
Total Interest Receipts
|
$
|
340,814.49
|
|||
|
C
|
Reserves in Excess of Requirement
|
-
|
|||
| D |
Investment Income
|
$
|
10,001.39
|
||
|
E
|
Funds Borrowed from Next Collection Period
|
-
|
|||
|
F
|
Funds Repaid from Prior Collection Period
|
-
|
|||
|
G
|
Loan Sale or Purchase Proceeds
|
-
|
|||
|
H
|
Initial Deposits to Collection Account
|
-
|
|||
|
I
|
Excess Transferred from Other Accounts
|
|
-
|
||
|
J
|
Other Deposits
|
-
|
|||
|
K
|
Funds Released from Capitalized Interest Account
|
-
|
|||
|
L
|
Less: Funds Previously Remitted:
|
||||
|
Servicing Fees to Servicer
|
-
|
||||
|
Consolidation Loan Rebate Fees to Dept. of Education
|
$
|
(45,496.16)
|
|
||
|
Floor Income Rebate Fees to Dept. of Education
|
|
-
|
|
||
|
Funds Allocated to the Floor Income Rebate Account
|
$
|
(50,091.09)
|
|
||
|
M
|
AVAILABLE FUNDS
|
$
|
2,316,590.14
|
||
|
N
|
Non-Cash Principal Activity During Collection Period
|
$
|
(508,540.36)
|
|
|
|
O
|
Non-Reimbursable Losses During Collection Period
|
$
|
32,564.15
|
||
|
P
|
Aggregate Purchased Amounts by the Depositor, Servicer or Seller
|
-
|
|||
|
Q
|
Aggregate Loan Substitutions
|
-
|
|||
|
Page 3 of 9
|
Trust 2014-1 Monthly Servicing Report: Collection Period 10/01/2025 - 10/31/2025, Distribution Date 11/25/2025 |
| III. |
2014-1 Portfolio Characteristics
|
|
10/31/2025
|
09/30/2025
|
||||||||||||||||||||||||||||||||
|
Wtd Avg
Coupon
|
# Loans
|
Principal
|
% of
Principal
|
Wtd Avg
Coupon
|
# Loans
|
Principal
|
% of
Principal
|
||||||||||||||||||||||||||
|
INTERIM:
|
IN SCHOOL
|
6.53%
|
|
12
|
$
|
37,942.73
|
0.023%
|
|
6.53%
|
|
12
|
$
|
37,942.73
|
0.023%
|
|
||||||||||||||||||
|
|
DEFERMENT
|
6.60%
|
|
1,146
|
$
|
8,565,884.95
|
5.245%
|
|
6.51%
|
|
1,172
|
$
|
9,014,475.80
|
5.468%
|
|
||||||||||||||||||
|
REPAYMENT:
|
CURRENT
|
6.57%
|
|
12,589
|
$
|
104,610,645.60
|
64.055%
|
|
6.59%
|
|
12,728
|
$
|
101,688,084.46
|
61.679%
|
|
||||||||||||||||||
|
|
31-60 DAYS DELINQUENT
|
6.68%
|
|
717
|
$
|
5,808,066.02
|
3.556%
|
|
6.68%
|
|
700
|
$
|
8,035,607.62
|
4.874%
|
|
||||||||||||||||||
|
|
61-90 DAYS DELINQUENT
|
6.57%
|
|
428
|
$
|
4,637,190.33
|
2.839%
|
|
6.85%
|
|
395
|
$
|
5,500,418.73
|
3.336%
|
|
||||||||||||||||||
|
|
91-120 DAYS DELINQUENT
|
6.54%
|
|
234
|
$
|
3,348,041.04
|
2.050%
|
|
7.00%
|
|
254
|
$
|
2,940,154.79
|
1.783%
|
|
||||||||||||||||||
|
|
> 120 DAYS DELINQUENT
|
6.71%
|
|
1,177
|
$
|
11,622,107.30
|
7.116%
|
|
6.68%
|
|
1,144
|
$
|
10,724,228.16
|
6.505%
|
|
||||||||||||||||||
|
|
FORBEARANCE |
6.86%
|
|
2,203
|
$
|
23,412,652.66
|
14.336%
|
|
6.67%
|
|
2,302
|
$
|
24,962,791.12
|
15.141%
|
|
||||||||||||||||||
|
|
CLAIMS IN PROCESS
|
6.79%
|
|
196 |
$
|
1,268,985.58
|
0.777%
|
|
6.66%
|
|
213 |
$
|
1,960,633.95
|
1.189%
|
|
||||||||||||||||||
|
|
AGED CLAIMS REJECTED
|
6.66%
|
|
1
|
$
|
1,886.98
|
0.001%
|
|
6.66%
|
|
1
|
$
|
1,886.98
|
0.001%
|
|
||||||||||||||||||
|
TOTAL
|
18,703
|
$
|
163,313,403.19
|
100.00%
|
|
18,921
|
$
|
164,866,224.34
|
100.00%
|
|
|||||||||||||||||||||||
|
*
|
Percentages may not total 100% due to rounding
|
|
Page 4 of 9
|
Trust 2014-1 Monthly Servicing Report: Collection Period 10/01/2025 - 10/31/2025, Distribution Date 11/25/2025 |
| IV. | 2014-1 Portfolio Characteristics (cont'd) |
|
10/31/2025
|
09/30/2025
|
|||||||
|
Pool Balance
|
$
|
164,894,013.40
|
$
|
166,483,712.76
|
||||
|
Outstanding Borrower Accrued Interest
|
$
|
7,960,896.03
|
$
|
7,946,808.48
|
||||
|
Borrower Accrued Interest to be Capitalized
|
$
|
1,580,610.21
|
$
|
1,617,488.42
|
||||
|
Borrower Accrued Interest >30 Days Delinquent
|
$
|
925,688.86
|
$
|
1,018,803.26
|
||||
|
Total # Loans
|
18,703
|
18,921
|
||||||
|
Total # Borrowers
|
5,832
|
5,896
|
||||||
|
Weighted Average Coupon
|
6.63%
|
|
6.62%
|
|
||||
|
Weighted Average Remaining Term
|
201.27
|
201.35
|
||||||
|
Non-Reimbursable Losses
|
$
|
32,564.15
|
$
|
10,994.21
|
||||
|
Cumulative Non-Reimbursable Losses
|
$
|
2,746,061.76
|
$
|
2,713,497.61
|
||||
|
Since Issued Constant Prepayment Rate (CPR)
|
-4.46%
|
|
-4.46%
|
|
||||
|
Loan Substitutions
|
-
|
-
|
||||||
|
Cumulative Loan Substitutions
|
-
|
-
|
||||||
|
Rejected Claim Repurchases
|
-
|
-
|
||||||
|
Cumulative Rejected Claim Repurchases
|
$
|
351,568.09
|
$
|
351,568.09
|
||||
|
Unpaid Primary Servicing Fees
|
-
|
-
|
||||||
|
Unpaid Administration Fees
|
-
|
-
|
||||||
|
Unpaid Carryover Servicing Fees
|
-
|
-
|
||||||
|
Note Principal Shortfall
|
-
|
-
|
||||||
|
Note Interest Shortfall
|
-
|
-
|
||||||
|
Unpaid Interest Carryover
|
-
|
-
|
||||||
|
Non-Cash Principal Activity - Capitalized Interest
|
$
|
541,063.60
|
$
|
660,277.88
|
||||
|
Borrower Interest Accrued
|
$
|
883,777.82
|
$
|
859,953.53
|
||||
|
Interest Subsidy Payments Accrued
|
$
|
27,187.31
|
$
|
27,088.96
|
||||
|
Special Allowance Payments Accrued
|
$
|
86,147.33
|
$
|
94,461.34
|
||||
|
Page 5 of 9
|
Trust 2014-1 Monthly Servicing Report: Collection Period 10/01/2025 - 10/31/2025, Distribution Date 11/25/2025 |
| V. | 2014-1 Portfolio Statistics by School and Program |
| A |
LOAN TYPE
|
Weighted
Average Coupon
|
# LOANS
|
$ AMOUNT
|
%*
|
|
||||||||||
|
- GSL (1) - Subsidized
|
6.70%
|
|
8,750
|
39,146,137.06
|
23.970%
|
|
||||||||||
|
- GSL - Unsubsidized
|
6.77%
|
|
7,396
|
59,783,050.40
|
36.606%
|
|
||||||||||
|
- PLUS (2) Loans
|
8.48%
|
|
441
|
14,302,080.79
|
8.757%
|
|
||||||||||
|
- SLS (3) Loans
|
0.00%
|
|
0
|
-
|
0.000%
|
|
||||||||||
|
- Consolidation Loans
|
5.86%
|
|
2,116
|
50,082,134.94
|
30.666%
|
|
||||||||||
|
Total
|
6.63%
|
|
18,703
|
$
|
163,313,403.19
|
100.000%
|
|
|||||||||
|
B
|
SCHOOL TYPE
|
Weighted
Average Coupon
|
# LOANS
|
$ AMOUNT
|
%*
|
|
||||||||||
|
- Four Year
|
6.98%
|
|
14,147
|
102,874,564.23
|
62.992%
|
|
||||||||||
|
- Two Year
|
6.76%
|
|
2,063
|
8,824,223.77
|
5.403%
|
|
||||||||||
|
- Technical
|
6.71%
|
|
344
|
1,412,860.67
|
0.865%
|
|
||||||||||
|
- Other
|
5.86%
|
|
2,149
|
50,201,754.52
|
30.740%
|
|
||||||||||
|
Total
|
6.63%
|
|
18,703
|
$
|
163,313,403.19
|
100.000%
|
|
|||||||||
|
*
|
Percentages may not total 100% due to rounding.
|
|
(1)
|
Guaranteed Stafford Loan
|
|
(2)
|
Parent Loans for Undergraduate Students
|
|
(3)
|
Supplemental Loans to Students. The Unsubsidized Stafford Loan program replaced the SLS program on July 1, 1994.
|
|
Page 6 of 9
|
Trust 2014-1 Monthly Servicing Report: Collection Period 10/01/2025 - 10/31/2025, Distribution Date 11/25/2025 |
| VI. | 2014-1 Waterfall for Distributions |
| Paid |
Remaining
Funds Balance
|
||||||||
|
Total Available Funds
|
$
|
2,316,590.14
|
|||||||
| A |
Trustee Fees
|
-
|
$
|
2,316,590.14
|
|||||
| B |
Primary Servicing Fee
|
$
|
28,998.12
|
$
|
2,287,592.02
|
||||
| C |
Administration Fee
|
$
|
6,667.00
|
$
|
2,280,925.02
|
||||
| D |
Class A Noteholders' Interest Distribution Amount
|
$
|
569,180.24
|
$
|
1,711,744.78
|
||||
|
E
|
Class B Noteholders' Interest Distribution Amount
|
$
|
93,400.46
|
$
|
1,618,344.32
|
||||
|
F
|
Reserve Account Reinstatement
|
-
|
$
|
1,618,344.32
|
|||||
|
G
|
Class A Noteholders' Principal Distribution Amount
|
$
|
1,589,699.36
|
$
|
28,644.96
|
||||
|
H
|
Class B Noteholders' Principal Distribution Amount
|
-
|
$
|
28,644.96
|
|||||
|
I
|
Unpaid Expenses of The Trustees
|
-
|
$
|
28,644.96
|
|||||
|
J
|
Carryover Servicing Fee
|
-
|
$
|
28,644.96
|
|||||
|
K
|
Remaining Amounts to the Noteholders after the first auction date
|
-
|
$
|
28,644.96
|
|||||
|
L
|
Excess Distribution Certificateholder
|
$
|
28,644.96
|
-
|
|||||
|
Waterfall Triggers
|
||||||
| A |
Student Loan Principal Outstanding
|
$
|
163,313,403.19
|
|||
|
B
|
Interest to be Capitalized
|
$
|
1,580,610.21
|
|||
| C |
Capitalized Interest Account Balance
|
-
|
||||
| D |
Reserve Account Balance (after any reinstatement)
|
$
|
748,891.00
|
|||
|
E
|
Less: Specified Reserve Account Balance
|
$
|
(748,891.00)
|
|
||
|
F
|
Total
|
$
|
164,894,013.40
|
|||
|
G
|
Class A Notes Outstanding (after application of available funds)
|
$
|
142,394,013.40
|
|||
|
H
|
Insolvency Event or Event of Default Under Indenture
|
N |
|
|||
|
I
|
Available Funds Applied to Class A Noteholders' Distribution Amount Before Any Amounts are Applied to the Class B Noteholders' Distribution Amount (G>F or H=Y)
|
N
|
|
|||
|
Page 7 of 9
|
Trust 2014-1 Monthly Servicing Report: Collection Period 10/01/2025 - 10/31/2025, Distribution Date 11/25/2025 |
| VII. | 2014-1 Distributions |
|
A3
|
A4
|
B |
|
|||||||||
|
Cusip/Isin
|
63938EAC8
|
63938EAD6
|
63938EAE4
|
|||||||||
|
Beginning Balance
|
$
|
83,983,712.76
|
$
|
60,000,000.00
|
$
|
20,000,000.00
|
||||||
|
Index
|
SOFR
|
SOFR
|
SOFR
|
|||||||||
|
Spread/Fixed Rate
|
0.51%
|
|
0.75%
|
|
1.50%
|
|
||||||
|
Record Date (Days Prior to Distribution)
|
1 NEW YORK BUSINESS DAY
|
1 NEW YORK BUSINESS DAY
|
1 NEW YORK BUSINESS DAY
|
|||||||||
|
Accrual Period Begin
|
10/27/2025
|
10/27/2025
|
10/27/2025
|
|||||||||
|
Accrual Period End
|
11/25/2025
|
11/25/2025
|
11/25/2025
|
|||||||||
|
Daycount Fraction
|
0.08055556
|
0.08055556
|
0.08055556
|
|||||||||
|
Interest Rate*
|
4.80727%
|
|
5.04727%
|
|
5.79727%
|
|
||||||
|
Accrued Interest Factor
|
0.003872523
|
0.004065856
|
0.004670023
|
|||||||||
|
Current Interest Due
|
$
|
325,228.86
|
$
|
243,951.38
|
$
|
93,400.46
|
||||||
|
Interest Shortfall from Prior Period Plus Accrued Interest
|
-
|
-
|
-
|
|||||||||
|
Total Interest Due
|
$
|
325,228.86
|
$
|
243,951.38
|
$
|
93,400.46
|
||||||
|
Interest Paid
|
$
|
325,228.86
|
$
|
243,951.38
|
$
|
93,400.46
|
||||||
|
Interest Shortfall
|
-
|
-
|
-
|
|||||||||
|
Principal Paid
|
$
|
1,589,699.36
|
-
|
-
|
||||||||
|
Ending Principal Balance
|
$
|
82,394,013.40
|
$
|
60,000,000.00
|
$
|
20,000,000.00
|
||||||
|
Paydown Factor
|
0.004541998
|
0.000000000
|
0.000000000
|
|||||||||
|
Ending Balance Factor
|
0.235411467
|
1.000000000
|
1.000000000
|
|||||||||
|
*
|
Pay rates for Current Distribution. For the interest rates applicable to the next distribution date, please see https://images.navient.com/investors/data/abrate.txt.
|
|
Page 8 of 9
|
Trust 2014-1 Monthly Servicing Report: Collection Period 10/01/2025 - 10/31/2025, Distribution Date 11/25/2025 |
| VIII. | 2014-1 Reconciliations |
|
A
|
Principal Distribution Reconciliation
|
||||
|
|
Notes Outstanding Principal Balance
|
$
|
163,983,712.76
|
||
|
|
Adjusted Pool Balance
|
$
|
164,894,013.40
|
||
|
|
Overcollateralization Amount
|
$
|
2,500,000.00
|
||
|
|
Principal Distribution Amount
|
$
|
1,589,699.36
|
||
|
|
Principal Distribution Amount Paid
|
$
|
1,589,699.36
|
||
|
B
|
Reserve Account Reconciliation
|
||||
|
|
Beginning Period Balance
|
$
|
748,891.00
|
||
|
|
Reserve Funds Utilized
|
0.00
|
|||
|
|
Reserve Funds Reinstated
|
0.00
|
|||
|
|
Balance Available
|
$
|
748,891.00
|
||
|
|
Required Reserve Acct Balance
|
$
|
748,891.00
|
||
|
|
Release to Collection Account
|
-
|
|||
|
|
Ending Reserve Account Balance
|
$
|
748,891.00
|
||
|
C
|
Floor Income Rebate Account
|
||||
|
|
Beginning Period Balance
|
$
|
81,339.20
|
||
|
|
Deposits for the Period
|
$
|
50,091.09
|
||
|
|
Release to Collection Account
|
|
-
|
|
|
|
|
Ending Balance
|
$
|
131,430.29
|
||
|
D
|
Supplemental Purchase Account
|
||||
|
|
Beginning Period Balance
|
-
|
|||
|
|
Supplemental Loan Purchases
|
-
|
|||
|
|
Transfers to Collection Account
|
-
|
|||
|
|
Ending Balance
|
-
|
|||
|
Page 9 of 9
|
Trust 2014-1 Monthly Servicing Report: Collection Period 10/01/2025 - 10/31/2025, Distribution Date 11/25/2025 |