CAPITAL ONE PRIME AUTO RECEIVABLES TRUST 2022-1
Statement to Securityholders
Determination Date: July 10, 2025
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Payment Date
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7/15/2025
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Collection Period Start
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6/1/2025
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Collection Period End
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6/30/2025
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Interest Period Start
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6/16/2025
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Interest Period End
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7/14/2025
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Cut-Off Date Net Pool Balance
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$
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2,025,808,403.15
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Cut-Off Date Adjusted Pool Balance
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$
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1,899,077,623.74
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I. DEAL SUMMARY
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Beginning Note
Balance
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Principal Payment
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Ending Note Balance
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Note Factor
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Final Scheduled Payment Date
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Class A-1 Notes
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$
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-
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$
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-
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$
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-
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-
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May-23
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Class A-2 Notes
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$
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-
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$
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-
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$
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-
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-
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Jun-25
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Class A-3 Notes
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$
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183,334,033.91
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$
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25,573,489.94
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$
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157,760,543.97
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0.237881
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Apr-27
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Class A-4 Notes
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$
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150,730,000.00
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$
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-
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$
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150,730,000.00
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1.000000
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Sep-27
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Class B Notes
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$
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18,990,000.00
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$
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-
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$
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18,990,000.00
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1.000000
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Oct-27
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Class C Notes
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$
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18,990,000.00
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$
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-
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$
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18,990,000.00
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1.000000
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Dec-27
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Class D Notes
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$
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18,980,000.00
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$
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-
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$
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18,980,000.00
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1.000000
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Sep-28
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Total Notes
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$
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391,024,033.91
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$
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25,573,489.94
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$
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365,450,543.97
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Beginning Balance
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Ending Balance
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Pool Factor
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Net Pool Balance
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$
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416,591,400.11
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$
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389,430,858.05
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0.192235
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YSOC Amount
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$
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20,819,672.14
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$
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19,232,620.02
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Adjusted Pool Balance
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$
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395,771,727.97
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$
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370,198,238.03
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Overcollateralization Amount (Adjusted Pool Balance - Note Balance)
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$
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4,747,694.06
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$
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4,747,694.06
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Reserve Account Balance
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$
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4,747,694.06
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$
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4,747,694.06
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Beginning Note
Balance
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Interest Rate
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Accrual Methodology
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Interest Payment
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Class A-1 Notes
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$
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-
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1.40500%
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ACT/360
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$
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-
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Class A-2 Notes
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$
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-
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2.71000%
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30/360
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$
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-
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Class A-3 Notes
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$
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183,334,033.91
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3.17000%
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30/360
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$
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484,307.41
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Class A-4 Notes
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$
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150,730,000.00
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3.32000%
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30/360
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$
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417,019.67
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Class B Notes
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$
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18,990,000.00
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3.59000%
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30/360
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$
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56,811.75
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Class C Notes
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$
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18,990,000.00
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3.93000%
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30/360
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$
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62,192.25
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Class D Notes
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$
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18,980,000.00
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4.43000%
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30/360
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$
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70,067.83
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Total Notes
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$
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391,024,033.91
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$
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1,090,398.91
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II. COLLATERAL POOL BALANCE
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Beginning of Period
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End of Period
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Net Pool Balance
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$
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416,591,400.11
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$
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389,430,858.05
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Adjusted Pool Balance (Net Pool Balance - YSOC Amount)
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$
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395,771,727.97
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$
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370,198,238.03
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Number of Receivables Outstanding
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45,137
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43,803
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Weighted Average Contract Rate
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3.62
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%
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3.62
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%
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Weighted Average Remaining Term (months)
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25.2
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24.3
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III. FUNDS AVAILABLE FOR DISTRIBUTION
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Available Funds:
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a. Collections
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Interest Collections
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$
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1,249,031.17
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Principal Collections
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$
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26,936,804.98
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Liquidation Proceeds
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$
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169,203.69
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b. Repurchase Price
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$
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-
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c. Optional Purchase Price
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$
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-
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d. Reserve Account Excess Amount
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$
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-
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Total Available Funds
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$
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28,355,039.84
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Reserve Account Draw Amount
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$
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-
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Total Funds Available for Distribution
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$
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28,355,039.84
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IV. DISTRIBUTION
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Calculated Amount
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Amount Paid
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Shortfall
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Carryover Shortfall
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Remaining Available Funds
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Servicing Fee
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$
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347,159.50
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$
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347,159.50
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$
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-
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$
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-
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$
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28,007,880.34
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Interest - Class A-1 Notes
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$
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-
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$
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-
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$
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-
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$
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-
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$
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28,007,880.34
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Interest - Class A-2 Notes
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$
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-
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$
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-
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$
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-
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$
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-
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$
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28,007,880.34
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Interest - Class A-3 Notes
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$
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484,307.41
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$
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484,307.41
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$
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-
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$
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-
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$
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27,523,572.93
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Interest - Class A-4 Notes
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$
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417,019.67
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$
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417,019.67
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$
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-
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$
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-
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$
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27,106,553.26
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First Allocation of Principal
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$
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-
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$
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-
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$
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-
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$
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-
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$
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27,106,553.26
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Interest - Class B Notes
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$
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56,811.75
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$
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56,811.75
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$
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-
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$
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-
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$
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27,049,741.51
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Second Allocation of Principal
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$
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-
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$
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-
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$
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-
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$
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-
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$
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27,049,741.51
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Interest - Class C Notes
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$
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62,192.25
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$
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62,192.25
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$
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-
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$
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-
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$
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26,987,549.26
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Third Allocation of Principal
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$
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1,845,795.88
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$
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1,845,795.88
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$
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-
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$
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-
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$
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25,141,753.38
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Interest - Class D Notes
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$
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70,067.83
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$
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70,067.83
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$
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-
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$
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-
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$
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25,071,685.55
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Fourth Allocation of Principal
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$
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18,980,000.00
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$
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18,980,000.00
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$
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-
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$
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-
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$
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6,091,685.55
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Reserve Account Deposit Amount
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$
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-
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$
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-
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$
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-
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$
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-
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$
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6,091,685.55
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Regular Principal Distribution Amount
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$
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4,747,694.06
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$
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4,747,694.06
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$
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-
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$
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-
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$
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1,343,991.49
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Owner Trustee, Indenture Trustee, and ARR Fees & Expenses
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$
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-
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$
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-
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$
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-
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$
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-
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$
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1,343,991.49
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Remaining Funds to Certificates
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$
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1,343,991.49
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$
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1,343,991.49
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$
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-
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$
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-
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$
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-
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Total
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$
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28,355,039.84
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$
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28,355,039.84
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$
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-
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$
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-
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V. OVERCOLLATERALIZATION INFORMATION
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Yield Supplement Overcollateralization Amount:
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Beginning Period YSOC Amount
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$
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20,819,672.14
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Increase/(Decrease)
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$
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(1,587,052.12)
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Ending YSOC Amount
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$
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19,232,620.02
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Overcollateralization:
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Beginning of Period
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End of Period
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Adjusted Pool Balance
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$
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395,771,727.97
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$
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370,198,238.03
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Note Balance
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$
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391,024,033.91
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$
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365,450,543.97
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Overcollateralization (Adjusted Pool Balance - Note Balance)
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$
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4,747,694.06
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$
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4,747,694.06
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Target Overcollateralization Amount
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$
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4,747,694.06
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$
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4,747,694.06
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Overcollateralization Shortfall
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$
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-
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$
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-
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VI. RESERVE ACCOUNT
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Specified Reserve Account Balance
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$
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4,747,694.06
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Beginning Reserve Account Balance
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$
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4,747,694.06
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Reserve Account Deposit Amount
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$
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-
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Reserve Account Draw Amount
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$
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-
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Reserve Account Excess Amount
|
$
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-
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Ending Reserve Account Balance
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$
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4,747,694.06
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VII. NET LOSS AND DELINQUENT RECEIVABLES
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Net Loss:
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% of EOP Net Pool Balance
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# of Receivables
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Amount
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Defaulted Receivables during Collection Period (Principal Balance)1
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0.06%
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26
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$
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223,737.08
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Liquidation Proceeds of Defaulted Receivables2
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0.04%
|
211
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$
|
169,203.69
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Monthly Net Losses (Liquidation Proceeds)
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$
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54,533.39
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Net Losses as % of Average Pool Balance (annualized)
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Third Preceding Collection Period
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0.20
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%
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Second Preceding Collection Period
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0.29
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%
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Preceding Collection Period
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(0.13)
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%
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Current Collection Period
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0.16
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%
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Four-Month Average Net Loss Ratio
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0.13
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%
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Cumulative Net Losses for All Periods
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$
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4,972,612.10
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Cumulative Net Loss Ratio
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0.25
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%
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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 $10.00 or less following the final payment.
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2 Liquidation Proceeds include all proceeds on a receivable after it has been charged-off.
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Delinquent Receivables:
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% of EOP Net Pool Balance
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# of Receivables
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Principal Balance
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30-59 Days Delinquent
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0.51%
|
167
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$
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1,977,394.17
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60-89 Days Delinquent
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0.14%
|
47
|
$
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563,292.67
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90-119 Days Delinquent
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0.06%
|
17
|
$
|
229,862.84
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120+ Days Delinquent
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0.00%
|
0
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$
|
-
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Total Delinquent Receivables
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0.71%
|
231
|
$
|
2,770,549.68
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|
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Repossession Inventory:
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# of Receivables
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Principal Balance
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Repossessed in the Current Collection Period
|
|
5
|
$
|
61,980.20
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|
Total Repossessed Inventory
|
|
12
|
$
|
198,025.73
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60+ Delinquency Percentage:
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# of Receivables
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Amount
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60+ Day Delinquent Receivables
|
|
64
|
$
|
793,155.51
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60+ Delinquencies as % of EOP Net Pool Balance
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|
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Third Preceding Collection Period
|
|
|
0.24
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%
|
Second Preceding Collection Period
|
|
|
0.23
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%
|
Preceding Collection Period
|
|
|
0.21
|
%
|
Current Collection Period
|
|
|
0.20
|
%
|
Delinquency Trigger
|
|
|
4.50
|
%
|
Current Delinquency Percentage Exceeds Delinquency Trigger? (Yes/No)
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|
No
|
VIII. TEMPORARY FORBEARANCE
The table below presents accounts which received a short-term payment extension in the month of June 2025.
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Month-End Balance
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# of Receivables
|
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($MM)
|
(%)
|
(#)
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(%)
|
Total Extensions
|
0.58
|
0.15%
|
47
|
0.11%
|