CNH CAPITAL CANADA RECEIVABLES TRUST SERIES Portfolio Report for Collection Period Ending August 31, 2016

Similar documents
CNH CAPITAL CANADA RECEIVABLES TRUST SERIES Portfolio Report for Collection Period Ending March 31, 2018

CNH CAPITAL CANADA RECEIVABLES TRUST SERIES Portfolio Report for Collection Period Ending July 31, 2017

CNH CAPITAL CANADA RECEIVABLES TRUST SERIES Portfolio Report for Collection Period Ending December 31, 2015

CNH CAPITAL CANADA RECEIVABLES TRUST SERIES Portfolio Report for Collection Period Ending March 31, 2018

CNH CAPITAL CANADA RECEIVABLES TRUST SERIES Portfolio Report for Collection Period Ending June 30, 2018

CNH CAPITAL CANADA RECEIVABLES TRUST SERIES Portfolio Report for Collection Period Ending June 30, 2017

CNH CAPITAL CANADA RECEIVABLES TRUST SERIES Portfolio Report for Collection Period Ending May 31, 2015

10/31/2015 Balances Reported by Trustee

A 9/30/2015 Balances Reported by Trustee

CNH Capital Canada Wholesale Trust Monthly Period Begin Date 8/1/2018 Monthly Servicer Report Monthly Period End Date 8/31/2018

Canadian Pacer Auto Receivable Trust Monthly Investor Report

Securitized Term Auto Receivables Trust Monthly Investor Report

Canadian Pacer Auto Receivable Trust Monthly Investor Report

Securitized Term Auto Receivables Trust Monthly Investor Report

Canadian Pacer Auto Receivable Trust Monthly Investor Report

Sallie Mae Student Loan Trust Quarterly Servicing Report Report Date: 12/31/96 Reporting Period: 10/01/96-12/31/96

SLM Private Education Loan Trust 2009-CT (Group I) Monthly Servicing Report

Canadian Pacer Auto Receivable Trust Monthly Investor Report

CHASE ISSUANCE TRUST. Asset Pool One Monthly Servicer's Certificate

THE TORONTO-DOMINION BANK EVERGREEN CREDIT CARD TRUST

iv Specified Reserve Account Balance $ 2,323, E is Capitalized Interest Account Balance $ 13,700, $ 13,700, $

MONTHLY SERVICER'S CERTIFICATE THE TORONTO-DOMINION BANK EVERGREEN CREDIT CARD TRUST

Statement to Securityholder. Capital Auto Receivables Asset Trust

National Collegiate Student Loan Trust

iv Specified Reserve Account Balance $ 5,121, E is Capitalized Interest Account Balance $ 2,000, $ - $ 2,000,000.00

National Collegiate Student Loan Trust

Statement to Securityholder. Capital Auto Receivables Asset Trust

National Collegiate Student Loan Trust

SLC Student Loan Trust

SLC Student Loan Trust

National Collegiate Student Loan Trust

Total 59,042 58,300 $ 163,056, $ 160,632, $ 3,094, $ 3,080, % % 5.63% 5.64%

vi Capitalized Interest Account Balance $ - $ - vii Total Adjusted Pool $ 535,066, $ 527,953,042.23

Mercedes-Benz Auto Lease Trust 2017-A Investor Report Page 1 of 7. Actual/360 Days 31. Balance 381,831, % 411,202,

SLC Student Loan Trust

Total 46,844 46,126 $ 123,897, $ 121,630, $ 2,569, $ 2,512, % % 5.62% 5.62%

SLM Student Loan Trust Quarterly Servicing Report. Collection Period 07/01/ /30/2005 Distribution Date 10/25/2005

Series G Medallion Trust Servicers Certificate

National Collegiate Student Loan Trust

Capitalized Interest Account 10/15/2018 Activity 11/15/2018 E i Capitalized Interest Account Balance $ - $ - $ -

Reserve Account 9/17/2018 Activity 10/15/2018 D i Required Reserve Acc Deposit (%) 0.25% 0.25%

iv Specified Reserve Account Balance $ 2,435, E is Capitalized Interest Account Balance $ 13,700, $ - $ 13,700,000.00

8/31/ /30/ Portfolio Principal Balance. $ 580,618, $ (13,529,708.04) $ 567,088, Accrued Interest

Statement to Securityholder. Capital Auto Receivables Asset Trust

SLC Student Loan Trust

SLC Student Loan Trust

PROSPECTUS SUPPLEMENT TO PROSPECTUS DATED SEPTEMBER 4, 2014

National Collegiate Student Loan Trust

SLC Student Loan Trust

USA Group Secondary Market Services, Inc.

Statement to Securityholder Capital Auto Receivables Asset Trust

Statement to Securityholder. Capital Auto Receivables Asset Trust

Statement to Securityholder. Capital Auto Receivables Asset Trust

Deutsche Bank Securities J.P. Morgan RBC Capital Markets

Medallion Trust Series Servicers Certificate

SLC Student Loan Trust

Statement to Securityholder. Capital Auto Receivables Asset Trust

SLM Student Loan Trust

Statement to Securityholder. Capital Auto Receivables Asset Trust

Statement to Securityholder. Capital Auto Receivables Asset Trust

Series G Medallion Trust Servicers Certificate

SLM Student Loan Trust Quarterly Servicing Report Report Date: 9/30/2004 Reporting Period: 7/01/04-9/30/04

CNH CAPITAL CANADA WHOLESALE TRUST. Financial Statements as at and for the Periods Ended December 31, 2005 and 2004 and Auditors Report

Navient Student Loan Trust

v Specified Reserve Account Balance $ 525, vi Capitalized Interest Account Balance $ - vii Total Adjusted Pool $ 96,630,062.

v Specified Reserve Account Balance $ 525, vi Capitalized Interest Account Balance $ - vii Total Adjusted Pool $ 95,247,800.

SLM Student Loan Trust Quarterly Servicing Report Report Date: 3/31/2004 Reporting Period: 01/01/04-03/31/04

$479,000,000 CarMax Auto Owner Trust

USA Group Secondary Market Services SMS Student Loan Trust 2000-A QUARTERLY SERVICING REPORT

Medallion Trust Series Servicers Certificate

Medallion Trust Series Servicers Certificate

Navient Private Education Loan Trust

Series G Medallion Trust Servicers Certificate

Subject to Completion, dated May 14, 2014

BofA Merrill Lynch Credit Agricole Securities RBS

Series G Medallion Trust Servicers Certificate

BofA Merrill Lynch Credit Suisse RBS

Prospectus Supplement to Base Prospectus dated August 5, 2014 $158,000,000 Navient Student Loan Trust Issuing Entity

$609,547,000 CarMax Auto Owner Trust

Montana Higher Education Student Assistance Corporation

Montana Higher Education Student Assistance Corporation

$500,000,000 CarMax Auto Owner Trust

Deutsche Bank Securities

SLM Student Loan Trust

Montana Higher Education Student Assistance Corporation

Medallion Trust Series Servicers Certificate

Navient Student Loan Trust

SLM Private Education Student Loan Trust 2012-C

Navient Student Loan Trust

SERIES G MEDALLION TRUST MONTHLY & QUARTERLY SERVICERS CERTIFICATE. Monthly & Quarterly Summary Distribution Details Quarterly

SLM Student Loan Trust

SLM Student Loan Trust

Navient Student Loan Trust

SLM Private Education Student Loan Trust 2012-B

SLM Private Education Student Loan Trust 2012-B

Series G Medallion Trust Servicers Certificate

Statement to Securityholder. Ally Auto Receivables Trust 2014-SN2

Statement to Securityholder. Ally Auto Receivables Trust 2014-SN2

Statement to Securityholder. Ally Auto Receivables Trust 2015-SN1

$1,967,896,000. Mercedes-Benz Auto Lease Trust 2017-A. Issuer (CIK: )

Transcription:

CNH CAPITAL CANADA RECEIVABLES TRUST SERIES 20161 Portfolio Report for Collection Period Ending August 31, 2016 DATE INFORMATION Period Start Date August 1, 2016 Period End Date August 31, 2016 Current Monthly Payment Date September 15, 2016 MONTHLY COLLECTIONS AMOUNT Monthly Collection Amounts (excluding Receivables Repurchased by the Servicer) 21,242,667.95 Receivables Repurchased by the Servicer Investment Earnings on Spread Account 2,614.40 Investment Earnings on Collection Account 1,205.65 Investment Earnings on Class A Account Investment Earnings on Class B Account Investment Earnings on Backup Servicing Account Total Collections Amount TOTAL DISTRIBUTION AMOUNT Total Collections Amount Amounts Transferred from Spread Account Total Distribution Amount PRINCIPAL DISTRIBUTION AMOUNT Aggregate Initial Contract Value 526,476,536.99 Contract Value at the Beginning of the Current Collection Period 497,876,043.61 Contract Value at the End of the Current Collection Period 478,811,869.64 Decline in Contract Value Outstanding Amount of the Series 20161 Notes 497,876,043.61 Contract Value at the End of the Current Collection Period 478,811,869.64 Principal Distribution Amount Principal Distribution Amount

CLASS A INTEREST DISTRIBUTABLE AMOUNT Beginning Balance Remaining Balance Interest Dist Amount Class A1 Note annual coupon of 1.959% 486,829,043.61 467,764,869.64 Class A2 Note annual coupon of 0.000% Class A Interest Distributable Amount CLASS A PRINCIPAL DISTRIBUTABLE AMOUNT Class A1 Note Principal Distributable Amount Class A2 Note Principal Distributable Amount Aggregate Class A Principal Distributable Amount CLASS B INTEREST DISTRIBUTABLE AMOUNT Beginning Balance Remaining Balance Interest Dist Amount Class B Note annual coupon of 3.0870% 11,047,000.00 11,047,000.00 Class B Interest Distributable Amount CLASS B PRINCIPAL DISTRIBUTABLE AMOUNT Principal Distribution Amount Class B Principal Distributable Amount MISCELLANEOUS FEES Servicing Fees (should be 0) Trust Expenses Administration Fees Total Miscellaneous Fees

SPECIFIED SPREAD ACCOUNT Cutoff Date Pool Balance 526,476,536.99 Calculated Specified Spread Account Balance 2.15% 11,319,245.55 Previous Specified Spread Account Balance 11,319,245.55 Investment Earnings on Spread Account 2,614.40 Investment Earnings on Spread Account to Collection Account 2,614.40 Required Subordinate Loan Interest 45,664.63 Subordinated Loan Interest 45,664.63 Accrued Unpaid Subordinate Loan Interest Required Beneficiairy Amount Principal Payment on Subordinated Loan Residual Purchase Price 1,297,429.16 Amount Withdrawn from Spread Account and Paid to the Seller 1,343,093.79 Amount Withdrawn from Spread Account paid to Beneficiaries Amount Withdrawn from Spread Account deposited to Collection Account Amount Withdrawn from Collection Account deposited to Spread Account 1,343,193.79 Ending Specified Spread Account Balance 11,319,245.55 COLLECTION ACCOUNT Beginning Balance DEPOSITS: Investment Earnings on Collection Account 1,205.65 Investment Earnings on Class A Payment Account Investment Earnings on Class B Payment Account Investment Earnings on Spread Account 2,614.40 Investment Earnings on Backup Servicing Account Monthly Collections Amount (including Repurchased Receivables by Seller) 21,242,667.95 Amount Withdrawn from Spread Account deposited to Collection Account WITHDRAWLS: Amount Paid to successor Servicer for Servicing Fee Amount Paid to Administrator Amount Paid to Trust Expenses Class A Interest Distributable Amount Class A Principal Distributable Amount Class B Interest Distributable Amount Class B Principal Distributable Amount Amount Withdrawn from Collection Account deposited to Spread Account 1,343,193.79 Ending Collection Account Balance

CLASS A PAYMENT ACCOUNT Investment Earnings on Class A Payment Account Investment Earnings on Class A Payment Account to Collection Account Class A Interest Distributable Amount Class A Principal Distributable Amount 19,874,164.13 Interest Paid to Class A Noteholders Principal Paid to Class A Noteholders 19,874,164.13 Ending Class A Payment Account Balance CLASS B PAYMENT ACCOUNT Investment Earnings on Class B Payment Account Investment Earnings on Class B Payment Account to Collection Account Class B Principal Distributable Amount Class B Interest Distributable Amount Interest Paid to Class B Noteholders Principal Paid to Class B Noteholders Ending Class B Payment Account Balance

Delivered to: Bank of New York Mellon Trust Company of Canada CNH Capital Canada Receivables Trust Series 20161 Certificate of Withdrawls, Deposits and Payments to Indenture Trustee For the Period Ending August 31, 2016 Amount withdrawn from Spread Account and Deposited to Collection Account Amount withdrawn from Collection Account and Paid to a successor Servicer, if any, on account of the Servicer Fee Amount withdrawn from Collection Account and paid to Administrator on account of the Administor Fee Amount withdrawn from Collection Account and Paid to Trustee on account of the Trustee Fee Amount withdrawn from Collection Account for: Class A Interest Distributable Amount Class A Principal Distributable Amount Class B Interest Distributable Amount Class B Principal Distributable Amount Amount withdrawn from Collection Account and Deposited to Spread Account 1,343,193.79 Amount withdrawn from Spread Account and Paid to Seller: on account of Subordinated Loan Interest 45,664.63 on account of Principal on Subordinated Loan on account of the Residual Purchase Price 1,297,429.16 1,343,093.79 Amount withdrawn from Spread Account and Paid to Beneficiaries

Range: Class_A1_Note CNH Capital Canada Receivables Trust Series 20161 Statement to the Class A1 Noteholder For the Period Ending August 31, 2016 Original Note Balance: 515,000,000.00 Beginning Principal Balance of Class A Note 486,829,043.61 Principal Distributable Amount to Class A Noteholder 370.18 per 10,000 Ending Principal Balance of Class A1 Note 467,764,869.64 Interest Distributable Amount for Class A1 Noteholder Interest Distributions to Class A1 Noteholder 15.73 per 10,000 Class A Note Interest Carryover Shortfall Total Distributions to Class A1 Noteholder: 19,874,164.13 Pool Balance as at last day of previous Collection Period: 478,811,869.64 Principal Distribution Amount for the Current Period: Class A and B Note Details on Ending Balance: Pool Factor Ending Balance Per 10,000 Class_A1_Note_Amount: 1.959% 0.9082813 467,764,869.64 9,082.81 Class A2 Notes: 0.000% 0.0000000 Class B Notes: 3.087% 1.0000000 11,047,000.00 10,000.00 Expenses: Servicing Fees paid to a successor Servicer Administration Fees paid to Administrator Trust Expenses Amounts withdrawn from Spread Account and distributed to Beneficiaries Account Balances: Ending Balance of the Spread Account 11,319,245.55 Current Period aggregate Losses: Current Period Repurchase Amounts of Receivables: Range: Class_A1_Note

Range: Class_B_Note CNH Capital Canada Receivables Trust Series 20161 Statement to the Class B Noteholder For the Period Ending August 31, 2016 Original Note Balance: 11,047,000.00 Beginning Principal Balance of Class B Note 11,047,000.00 Principal Distributable Amount for Class B Noteholder Principal Distributions to Class B Noteholder.00 per 10,000 Ending Principal Balance of Class B Note 11,047,000.00 Interest Distributable Amount for Class B Noteholder Interest Distributions to Class B Noteholder 26.22 per 10,000 Class B Note Interest Carryover Shortfall Total Distributions to Class B Noteholder: Pool Balance as at last day of previous Collection Period: 478,811,869.64 Principal Distribution Amount for the Current Period: Class A and B Note Details on Ending Balance: Pool Factor Ending Balance Per 10,000 Class A1 Notes: 1.959% 0.9082813 467,764,869.64 9,082.81 Class A2 Notes: 0.000% 0.0000000 Class B Notes: 3.087% 1.0000000 11,047,000.00 10,000.00 Expenses: Servicing Fees paid to Successor Servicer Administration Fees paid to Administrator Trust Expenses Amounts withdrawn from Spread Account and distributed to Beneficiaries Account Balances: Ending Balance of the Spread Account 11,319,245.55 Current Period aggregate Realized Losses: Current Period Repurchase Amounts of Receivables: