TOYOTA AUTO FINANCE RECEIVABLES LLC Underwriting Agreements
30 Contracts & Agreements
- Underwriting Agreement, dated July 23, 2024, among TAFR LLC, TMCC, and MUFG Securities Americas Inc., BMO Capital Markets Corp., BofA Securities, Inc. and Lloyds Securities Inc.,... (Filed With SEC on July 25, 2024)
- Underwriting Agreement, dated April 23, 2024, among TAFR LLC, TMCC, and SMBC Nikko Securities America, Inc., Barclays Capital Inc., RBC Capital Markets, LLC and U.S. Bancorp... (Filed With SEC on April 25, 2024)
- Underwriting Agreement, dated January 23, 2024, among TAFR LLC, TMCC, and BofA Securities, Inc., BNP Paribas Securities Corp., Credit Agricole Securities (USA) Inc. and Lloyds... (Filed With SEC on January 25, 2024)
- Underwriting Agreement, dated November 7, 2023, among TAFR LLC, TMCC, and J.P. Morgan Securities LLC, MUFG Securities Americas Inc., SMBC Nikko Securities America, Inc. and U.S.... (Filed With SEC on November 9, 2023)
- Underwriting Agreement, dated August 8, 2023, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and BNP Paribas Securities Corp (Filed With SEC on August 10, 2023)
- Underwriting Agreement, dated May 16, 2023, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor (Filed With SEC on May 18, 2023)
- Underwriting Agreement, dated January 24, 2023, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and BofA Securities, Inc., BNP (Filed With SEC on January 26, 2023)
- Underwriting Agreement, dated November 1, 2022, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor (Filed With SEC on November 3, 2022)
- Underwriting Agreement, dated August 8, 2022, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor (Filed With SEC on August 10, 2022)
- Underwriting Agreement, dated April 7, 2022, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit (Filed With SEC on April 11, 2022)
- Underwriting Agreement, dated January 25, 2022, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and BNP Paribas Securities Corp.,... (Filed With SEC on January 27, 2022)
- Underwriting Agreement, dated November 9, 2021, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and RBC Capital Markets, LLC, BMO... (Filed With SEC on November 12, 2021)
- Underwriting Agreement, dated September 21, 2021, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and Barclays Capital Inc., BNP... (Filed With SEC on September 23, 2021)
- Underwriting Agreement, dated June 8, 2021, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and Citigroup Global Markets Inc., Credit... (Filed With SEC on June 10, 2021)
- Underwriting Agreement, dated February 2, 2021, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and MUFG Securities Americas Inc.,... (Filed With SEC on February 4, 2021)
- Underwriting Agreement, dated October 6, 2020, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and J.P. Morgan Securities LLC,... (Filed With SEC on October 8, 2020)
- Underwriting Agreement, dated April 20, 2020, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and BofA Securities, Inc., RBC Capital... (Filed With SEC on April 22, 2020)
- Underwriting Agreement, dated October 30, 2018, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and J.P. Morgan Securities LLC,... (Filed With SEC on November 1, 2018)
- Underwriting Agreement, dated August 14, 2018, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and Citigroup Global Markets Inc.,... (Filed With SEC on August 16, 2018)
- Underwriting Agreement, dated May 9, 2018, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and Merrill Lynch, Pierce, Fenner & Smith... (Filed With SEC on May 11, 2018)
- Underwriting Agreement, dated January 23, 2018, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and MUFG Securities Americas Inc.,... (Filed With SEC on January 25, 2018)
- Underwriting Agreement, dated November 7, 2017, among Toyota Auto Finance Receivables LLC (TAFR LLC), Toyota Motor Credit Corporation (TMCC), and J.P. Morgan Securities LLC,... (Filed With SEC on November 9, 2017)
- TOYOTA AUTO RECEIVABLES 2017-C OWNER TRUST $437,000,000 1.58% ASSET BACKED NOTES, CLASS A2a $228,000,000 ONE-MONTH LIBOR PLUS 0.08% ASSET BACKED NOTES, CLASS A2b $399,000,000... (Filed With SEC on July 27, 2017)
- TOYOTA AUTO RECEIVABLES 2017-B OWNER TRUST $311,600,000 1.46% ASSET BACKED NOTES, CLASS A2a $254,600,000 ONE-MONTH LIBOR PLUS 0.06% ASSET BACKED NOTES, CLASS A2b $495,900,000... (Filed With SEC on May 11, 2017)
- TOYOTA AUTO RECEIVABLES 2017-A OWNER TRUST $377,150,000 1.42% ASSET BACKED NOTES, CLASS A2a $76,000,000 ONE-MONTH LIBOR PLUS 0.07% ASSET BACKED NOTES, CLASS A2b $406,600,000 1.73%... (Filed With SEC on March 9, 2017)
- TOYOTA AUTO RECEIVABLES 2016-D OWNER TRUST $288,720,000 1.06% ASSET BACKED NOTES, CLASS A2a $100,080,000 ONE-MONTH LIBOR PLUS 0.13% ASSET BACKED NOTES, CLASS A2b $300,600,000... (Filed With SEC on October 6, 2016)
- TOYOTA AUTO RECEIVABLES 2016-C OWNER TRUST $234,900,000 1.00% ASSET BACKED NOTES, CLASS A2a $99,900,000 ONE-MONTH LIBOR PLUS 0.18% ASSET BACKED NOTES, CLASS A2b $356,400,000 1.14%... (Filed With SEC on August 3, 2016)
- TOYOTA AUTO RECEIVABLES 2016-B OWNER TRUST $324,900,000 1.02% ASSET BACKED NOTES, CLASS A2a $116,100,000 ONE-MONTH LIBOR PLUS 0.25% ASSET BACKED NOTES, CLASS A2b $441,000,000... (Filed With SEC on May 4, 2016)
- TOYOTA AUTO RECEIVABLES 2016-A OWNER TRUST $161,550,000 1.03% ASSET BACKED NOTES, CLASS A2a $161,550,000 ONE- MONTH LIBOR PLUS 0.32% ASSET BACKED NOTES, CLASS A2b $360,900,000... (Filed With SEC on February 25, 2016)
- TOYOTA AUTO RECEIVABLES 2015-C OWNER TRUST $351,000,000 0.92% ASSET BACKED NOTES, CLASS A-2a $161,100,000 LIBOR PLUS 0.33% ASSET BACKED NOTES, CLASS A-2b $431,100,000 1.34% ASSET... (Filed With SEC on August 19, 2015)