Fifth Third Auto Trust 2023-1

03/26/2026 | Press release | Distributed by Public on 03/26/2026 13:14

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

FIFTH THIRD AUTO TRUST 2023-1
Statement to Security holders
Determination Date: March 12, 2026

DATES
Collection Period Beginning Date 2/1/2026
Collection Period Ending Date 2/28/2026
Collection Period 31
Payment Date 3/16/2026
SOFR Determination Date N/A
SOFR Rate N/A
I. DEAL SUMMARY Ratio Beginning Period Balance Principal Distribution Amount Ending Period Balance
Class A-1 Notes 0.0 % $0.00 $0.00 $0.00
Class A-2-A Notes 0.0 % $0.00 $0.00 $0.00
Class A-2-B Notes 0.0 % $0.00 $0.00 $0.00
Class A-3 Notes 45.5 % $290,025,345.31 $25,926,339.50 $264,099,005.81
Class A-4 Notes 100.0 % $102,960,000.00 $0.00 $102,960,000.00
Total Securities 23.2 % $392,985,345.31 $25,926,339.50 $367,059,005.81
Overcollateralization $69,719,907.84 $69,719,907.84
Reserve Account Balance $4,101,171.05 $4,101,171.05
Net Pool Balance 26.4 % $488,040,361.83 $27,600,000.36 $460,440,361.47
Yield Supplement Overcollateralization Amount $25,335,108.68 $23,661,447.82
Adjusted Pool Balance 26.6 % $462,705,253.15 $25,926,339.50 $436,778,913.65
Coupon Rate Beginning Period Balance Interest Distribution Amount
Class A-1 Notes 5.618% $0.00 $0.00
Class A-2-A Notes 5.800% $0.00 $0.00
Class A-2-B Notes 0.530% $0.00 $0.00
Class A-3 Notes 5.530% $290,025,345.31 $1,336,533.47
Class A-4 Notes 5.520% $102,960,000.00 $473,616.00
$392,985,345.31 $1,810,149.47
II. AVAILABLE FUNDS
Interest Collections $2,357,808.26
Repurchased Interest Collections $0.00
Principal Collections $27,033,614.48
Repurchased Principal Collections $0.00
Liquidation Proceeds $344,143.99
Liquidation Expenses* $22,854.58
Total Collections $29,712,712.15
Reserve Account Draw Amount $0.00
Total Available Funds $29,712,712.15
Investment Earnings (Collections Acct. remitted to servicer) $101,526.93
Investment Earnings (Reserve Acct. remitted to servicer) $13,453.38
Additional fees to be remitted to servicer $114,980.31
*Liquidation Expenses incurred and associated with the liquidation process do not always occur in the same period of the actual collateral liquidation (i.e. servicer repossession costs can be incurred in periods prior to the eventual sale of a repossessed vehicle).


FIFTH THIRD AUTO TRUST 2023-1
Statement to Securityholders
Determination Date: March 12, 2026
III. DISTRIBUTIONS Amount Due Amount Paid Shortfall
Servicing Fees $406,700.30 $406,700.30 $0.00
Class A-1 Notes $0.00 $0.00 $0.00
Class A-2-A Notes $0.00 $0.00 $0.00
Class A-2-B Notes $0.00 $0.00 $0.00
Class A-3 Notes $1,336,533.47 $1,336,533.47 $0.00
Class A-4 Notes $473,616.00 $473,616.00 $0.00
First Allocation of Principal $0.00 $0.00 $0.00
Reserve Account Deposit $0.00 $0.00 $0.00
Regular Principal Distribution Amount $25,926,339.50 $25,926,339.50 $0.00
Accrued and Unpaid Fees to Owner/Indenture Trustee $0.00 $0.00 $0.00
Remaining Funds to Residual Certificateholder $1,569,522.88 $1,569,522.88 $0.00
$29,712,712.15 $29,712,712.15 $0.00
First Allocation of Principal $0.00
Regular Principal Distribution Amount $25,926,339.50
Total Principal $25,926,339.50
IV. POOL INFORMATION
Net Pool Balance $460,440,361.47
Adjusted Pool Balance $436,778,913.65
Number of Receivables Outstanding 39,186
Weighted Average Contract Rate 6.05 %
Weighted Average Remaining Term (mos) 29.19
V. OVERCOLLATERALIZATION INFORMATION
Specified Reserve Account Balance $4,101,171.05
Target Credit Enhancement Overcollateralization Amount $69,719,907.84
Beginning Period Overcollateralization Amount $69,719,907.84
Ending Period Overcollateralization Amount $69,719,907.84
Overcollateralization Shortfall $0.00
Overcollateralization as % of Adjusted Pool Balance 15.96 %
VI. RESERVE ACCOUNT RECONCILIATION
Specified Reserve Account Balance $4,101,171.05
Beginning Reserve Account Balance $4,101,171.05
Ending Reserve Account Balance $4,101,171.05


FIFTH THIRD AUTO TRUST 2023-1
Statement to Securityholders
Determination Date: March 12, 2026
VII. LOSS & DELINQUENCY INFORMATION
Amount # of Receivables
Defaulted Receivables $244,813.47 20
Realized Losses for Collection Period $381,841.01 39
CHG Off Recoveries for Collection Period $159,599.12 110
Net Loss for Collection Period $222,241.89
Net Loss as % of Ending Pool Balance 0.048 %
Net Loss % for 1 Period Prior 0.061 %
Net Loss % for 2 Periods Prior 0.040 %
Net Loss % for 3 Periods Prior 0.047 %
Four-Month Average Net Loss % 0.049 %
Cumulative Losses (net of recoveries) for All Collection Periods $8,902,941.58
Cumulative Losses (net of recoveries) as a % of Initial Pool Balance 0.511 %
# of Receivables Amount
Receivables 30 - 59 Days Delinquent 296 $4,811,553.15
As % of Ending Pool Balance 1.045 %
Receivables 60 - 89 Days Delinquent 73 $1,150,441.90
As % of Ending Pool Balance 0.250 %
Receivables 90 - 119 Days Delinquent 53 $895,976.12
As % of Ending Pool Balance 0.195 %
Receivables 120 - 150 Days Delinquent 11 $123,715.68
As % of Ending Pool Balance 0.027 %
Receivables 150+ Days Delinquent 9 $205,422.54
As % of Ending Pool Balance 0.045 %
Total Delinquencies 442 $7,187,109.39
As % of Ending Pool Balance 1.561 %
Total Repossessions 23 $279,719.43
Total Repossessions Life-to-Date 626 $11,935,475.92
Total 30+ Day Delinquencies 442 $7,187,109.39
As % of Ending Pool Balance 1.561 %
Total 30+ Day Delinquencies % 1 Period Prior 1.592 %
Total 30+ Day Delinquencies % 2 Periods Prior 1.662 %
Total 30+ Day Delinquencies % 3 Periods Prior 1.456 %
Four-Month Average Total 30+ Day Delinquency % 1.568 %
60-Day Delinquency Percentage 0.516 %
Delinquency Trigger Percentage 5.280 %
Delinquency Trigger occurred in current Collection Period? NO

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