05/04/2026 | Press release | Distributed by Public on 05/04/2026 13:17
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BMW Vehicle Owner Trust 2023-A
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|||||
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Accrued Interest Date: 03/25/2026
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Collection Period Ending:
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3/31/2026
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|||
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Current Payment Date: 04/27/2026
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Period:
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33
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|||
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Balances
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||||||||||||||||
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Initial
|
Beginning of Period
|
End of Period
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||||||||||||||
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Pool Balance
|
$
|
1,670,093,594.79
|
$
|
300,373,868.52
|
$
|
276,881,494.88
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||||||||||
|
Yield Supplement Overcollateralization Amount
|
$
|
131,629,368.54
|
$
|
10,152,553.83
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$
|
9,024,954.35
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||||||||||
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Adjusted Pool Balance
|
$
|
1,538,464,226.25
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$
|
290,221,314.69
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$
|
267,856,540.53
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||||||||||
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Reserve Account
|
$
|
3,846,160.57
|
$
|
3,846,160.57
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$
|
3,846,160.57
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||||||||||
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Overcollateralization
|
$
|
38,464,226.25
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$
|
38,461,605.66
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$
|
38,461,605.66
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||||||||||
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Notes
|
Ratio
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|||||||||||||||
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Class A-1 Notes
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$
|
350,000,000.00
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$
|
-
|
$
|
-
|
0.0
|
%
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||||||||
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Class A-2a Notes
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345,000,000.00
|
-
|
-
|
0.0
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%
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|||||||||||
|
Class A-2b Notes
|
180,000,000.00
|
-
|
-
|
0.0
|
%
|
|||||||||||
|
Class A-3 Notes
|
525,000,000.00
|
151,759,709.03
|
129,394,934.87
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56.4
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%
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|||||||||||
|
Class A-4 Notes
|
100,000,000.00
|
100,000,000.00
|
100,000,000.00
|
43.6
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%
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|||||||||||
|
$
|
1,500,000,000.00
|
$
|
251,759,709.03
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$
|
229,394,934.87
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100.0
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%
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|||||||||
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Reconciliation of Collection Account
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||||
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Available Funds:
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||||
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Available Interest:
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||||
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Interest Collected on Receivables
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$
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1,161,024.02
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||
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Servicer Advances
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60,878.76
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|||
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Servicer Advance Reimbursement
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64,601.85
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|||
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Administrative Purchase Payment
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0.00
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|||
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Warranty Purchase Payment
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3,431.00
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|||
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Recoveries
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5,901.52
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|||
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Investment Earnings from Reserve Account
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11,409.05
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|||
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Investment Earnings from Collection Account
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0.00
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|||
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Total Available Interest
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$
|
1,178,042.50
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||
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Available Principal:
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||||
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Principal Collection on Receivables
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||||
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Receipts of Scheduled Principal
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$
|
16,092,981.25
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||
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Receipts of Pre-Paid Principal
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6,999,378.94
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|||
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Liquidation Proceeds
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112,508.59
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|||
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Administrative Purchase Payment
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0.00
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|||
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Warranty Purchase Payment
|
222,162.64
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|||
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Total Available Principal
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$
|
23,427,031.42
|
||
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Advances from the Reserve Account
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$
|
0.00
|
||
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Release from the Reserve Fund Account
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$
|
0.00
|
||
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Total Available Funds
|
$
|
24,605,073.92
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||
|
Distributions:
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||||
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Servicing Fees
|
$
|
250,311.56
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||
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Non-recoverable Servicer Advance Reimbursement
|
7,945.35
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|||
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Noteholder's Accrued and Unpaid Interest
|
1,129,271.34
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|||
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First Priority Principal Distribution Amount to Noteholders
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0.00
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|||
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Reserve Account Deposit to achieve the Specified Reserve Account Balance
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0.00
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|||
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Regular Principal Distributable Amount to Noteholders
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22,364,774.16
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|||
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Amounts paid to Indenture Trustee, Owner Trustee and Asset Representations Reviewer (subject to annual cap)
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0.00
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|||
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Amounts paid to Indenture Trustee, Owner Trustee and Asset Representations Reviewer (not subject to annual cap)
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0.00
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|||
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Certificate Distribution Account (any remaining payments)
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852,771.51
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|||
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Total Distributions
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$
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24,605,073.92
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||
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Monthly Period Receivables Principal Balance Calculation
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||||
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Beginning Receivable Principal Balance
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$
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300,373,868.52
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||
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Monthly Principal Received
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||||
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Regular Principal Received
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$
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16,092,981.25
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||
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Prepaid Principal Received
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6,999,378.94
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|||
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Liquidation Proceeds
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112,508.59
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|||
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Principal Balance Allocable to Gross Charge-offs
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65,342.22
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|||
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Principal Portion of Repurchased Receivables
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222,162.64
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|||
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Total Monthly Principal Amounts
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$
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23,492,373.64
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||
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Ending Receivable Principal Balance
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$
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276,881,494.88
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||
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Payments to Indenture Trustee, Owner Trustee and Asset Representations Reviewer
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||||
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Indenture Trustee
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||||
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Amount due and payable to Indenture Trustee before giving effect to
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$
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-
|
||
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payments on current Payment Date:
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||||
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Amount due and payable to Indenture Trustee after giving effect to
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$
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-
|
||
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payments on current Payment Date:
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||||
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Owner Trustee
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||||
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Amount due and payable to Owner Trustee before giving effect to
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$
|
-
|
||
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payments on current Payment Date:
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||||
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Amount due and payable to Owner Trustee after giving effect to
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$
|
-
|
||
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payments on current Payment Date:
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||||
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Asset Representations Reviewer Trustee
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||||
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Amount due and payable to Asset Representations Reviewer before
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$
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-
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||
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giving effect to payments on current Payment Date:
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||||
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Amount due and payable to Asset Representations Reviewer after
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$
|
-
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||
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giving effect to payments on current Payment Date:
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||||
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Distributions
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||||||||||||||||||||
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Interest Distributable Amount
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Interest Rate
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Current Payment
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Per $1,000
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|||||||||||||||||
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Class A-1 Notes
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5.59300
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%
|
$
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0.00
|
0.00
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|||||||||||||||
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Class A-2a Notes
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5.72000
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%
|
$
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0.00
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0.00
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|||||||||||||||
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Class A-2b Notes
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4.78369
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%
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$
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0.00
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0.00
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|||||||||||||||
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Class A-3 Notes
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5.47000
|
%
|
$
|
691,771.34
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1.32
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|||||||||||||||
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Class A-4 Notes
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5.25000
|
%
|
$
|
437,500.00
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4.38
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|||||||||||||||
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$
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1,129,271.34
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|||||||||||||||||||
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Monthly Principal Distributable Amount
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Beginning Balance
|
Current Payment
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Ending Balance
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Per $1,000
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Note Factor
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|||||||||||||||
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Class A-1 Notes
|
$
|
-
|
$
|
-
|
$
|
-
|
0.00
|
0.00
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||||||||||||
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Class A-2a Notes
|
-
|
-
|
-
|
0.00
|
0.00
|
|||||||||||||||
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Class A-2b Notes
|
-
|
-
|
-
|
0.00
|
0.00
|
|||||||||||||||
|
Class A-3 Notes
|
151,759,709.03
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22,364,774.16
|
129,394,934.87
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42.60
|
0.25
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|||||||||||||||
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Class A-4 Notes
|
100,000,000.00
|
-
|
100,000,000.00
|
0.00
|
1.00
|
|||||||||||||||
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251,759,709.03
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22,364,774.16
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229,394,934.87
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||||||||||||||||||
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Carryover Shortfalls
|
||||||||||||
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Prior Period Carryover
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Current Payment
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Per $1,000
|
||||||||||
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Class A-1 Interest Carryover Shortfall
|
-
|
-
|
-
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|||||||||
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Class A-2a Interest Carryover Shortfall
|
-
|
-
|
-
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|||||||||
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Class A-2b Interest Carryover Shortfall
|
-
|
-
|
-
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|||||||||
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Class A-3 Interest Carryover Shortfall
|
-
|
-
|
-
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|||||||||
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Class A-4 Interest Carryover Shortfall
|
-
|
-
|
-
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|||||||||
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Yield Supplement Overcollateralization Amount
|
||||
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Previous Distribution Date Required Amount
|
$
|
10,152,553.83
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||
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Beginning Period Amount
|
10,152,553.83
|
|||
|
Current Distribution Date Required Amount
|
9,024,954.35
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|||
|
Current Period Release
|
1,127,599.48
|
|||
|
Ending Period Amount
|
$
|
9,024,954.35
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||
|
Reserve Account
|
||||
|
Beginning Period Required Amount
|
$
|
3,846,160.57
|
||
|
Beginning Period Amount
|
3,846,160.57
|
|||
|
Net Investment Earnings
|
11,409.05
|
|||
|
Current Period Deposit Amount Due
|
0.00
|
|||
|
Reserve Fund Draw Amount
|
0.00
|
|||
|
Ending Period Required Amount
|
3,846,160.57
|
|||
|
Release to Depositor
|
11,409.05
|
|||
|
Ending Period Amount
|
$
|
3,846,160.57
|
||
|
Overcollateralization
|
||||
|
Beginning Period Overcollateralization Amount
|
$
|
38,461,605.66
|
||
|
Target Overcollateralization Amount
|
$
|
38,461,605.66
|
||
|
Ending Period Over Collateralization Amount
|
$
|
38,461,605.66
|
||
|
Current Period Release
|
$
|
0.00
|
||
|
Receivables Data
|
||||||||||||
|
Beginning Period
|
Ending Period
|
|||||||||||
|
Number of Receivables
|
17,901
|
16,982
|
||||||||||
|
Weighted Average Remaining Term
|
24.94
|
24.20
|
||||||||||
|
Weighted Average Annual Percentage Rate
|
5.00
|
%
|
5.04
|
%
|
||||||||
|
Delinquencies as of the end of the Current Period
|
Units
|
Dollar Amount
|
% of Ending Rec Prin Bal
|
|||||||||
|
30-59 Days
|
169
|
$
|
4,211,546.92
|
1.52
|
%
|
|||||||
|
60-89 Days
|
44
|
1,228,172.97
|
0.44
|
%
|
||||||||
|
90-119 Days
|
11
|
264,262.96
|
0.10
|
%
|
||||||||
|
120+ Days
|
3
|
21,389.19
|
0.01
|
%
|
||||||||
|
Total 30+ Days Past Due as of the end of the current period
|
227
|
$
|
5,725,372.04
|
2.07
|
%
|
|||||||
|
Total 60+ Days Past Due as of the end of the current period
|
58
|
$
|
1,513,825.12
|
0.55
|
%
|
|||||||
|
Delinquencies as of the end of prior periods
|
||||||||||||
|
Total 30+ Days Past Due as of the end of the prior period
|
2.10
|
%
|
||||||||||
|
Total 30+ Days Past Due as of the end of the 2nd preceding period
|
2.16
|
%
|
||||||||||
|
Total 30+ Days Past Due as of the end of the 3rd preceding period
|
2.02
|
%
|
||||||||||
|
Repossessions
|
Units
|
Dollar Amount
|
||||||||||
|
Beginning Period Repossessed Receivables Balance
|
17
|
576,517.57
|
||||||||||
|
Ending Period Repossessed Receivables Balance
|
21
|
692,081.68
|
||||||||||
|
Principal Balance of 90+ Day Repossessed Vehicles
|
4
|
83,823.41
|
||||||||||
|
Write-offs as of the end of the Current Period
|
Units
|
Dollar Amount
|
||||||||||
|
Gross Principal Write-offs
|
5
|
65,342.22
|
||||||||||
|
Recoveries
|
7
|
5,901.52
|
||||||||||
|
Net Write-Offs
|
59,440.70
|
|||||||||||
|
Cumulative Net Write-offs
|
191
|
$
|
2,872,934.44
|
|||||||||
|
Ratio of Cumulative Net Write-offs to Avg Portfolio Balance *
|
1.00
|
%
|
||||||||||
|
Charge Off Rate **
|
0.17
|
%
|
||||||||||
|
Avg of Net Write-offs ***
|
$
|
15,041.54
|
||||||||||
|
Historical Loss Information
|
||||||||
|
Write-offs as of the end of the Prior Period
|
Units
|
Dollar Amount
|
||||||
|
Gross Principal Write-offs
|
6
|
91,335.43
|
||||||
|
Recoveries
|
10
|
3,818.64
|
||||||
|
Net Write-Offs
|
87,516.79
|
|||||||
|
Cumulative Net Write-offs
|
186
|
$
|
2,813,493.74
|
|||||
|
Ratio of Cumulative Net Write-offs to Avg Portfolio Balance *
|
0.90
|
%
|
||||||
|
Charge Off Rate **
|
0.17
|
%
|
||||||
|
Avg of Net Write-offs ***
|
$
|
15,126.31
|
||||||
|
Write-offs as of the end of the 2nd Preceding Period
|
Units
|
Dollar Amount
|
||||||
|
Gross Principal Write-offs
|
4
|
65,612.23
|
||||||
|
Recoveries
|
7
|
6,797.53
|
||||||
|
Net Write-Offs
|
58,814.70
|
|||||||
|
Cumulative Net Write-offs
|
180
|
$
|
2,725,976.95
|
|||||
|
Ratio of Cumulative Net Write-offs to Avg Portfolio Balance *
|
0.81
|
%
|
||||||
|
Charge Off Rate **
|
0.16
|
%
|
||||||
|
Avg of Net Write-offs ***
|
$
|
15,144.32
|
||||||
|
Write-offs as of the end of the 3rd Preceding Period
|
Units
|
Dollar Amount
|
||||||
|
Gross Principal Write-offs
|
7
|
74,653.51
|
||||||
|
Recoveries
|
7
|
4,725.80
|
||||||
|
Net Write-Offs
|
69,927.71
|
|||||||
|
Cumulative Net Write-offs
|
176
|
$
|
2,667,162.25
|
|||||
|
Ratio of Cumulative Net Write-offs to Avg Portfolio Balance *
|
0.74
|
%
|
||||||
|
Charge Off Rate **
|
0.16
|
%
|
||||||
|
Avg of Net Write-offs ***
|
$
|
15,154.33
|
||||||
|
*Ratio of Cumulative Net Write-offs to Avg Portfolio Balance is calculated by dividing the Cumulative Net Write-offs for the period
|
||||||||
|
by the Avg Portfolio Balance for the period.
|
||||||||
|
Avg Portfolio Balance for a period is equal to the average of the Beginning Receivable Principal Balance and the Ending Receivable
|
||||||||
|
Principal Balance for such period.
|
||||||||
|
**Charge Off Rate is calculated by dividing Cumulative Net Write-offs by initial Pool Balance as of the Cut-off Date.
|
||||||||
|
*** Average of Net Write-offs is calculated by dividing Cumulative Net Write-offs by the aggregate number of Receivables
|
||||||||
|
that have experienced a net write-off.
|
||||||||