Dealer Auto Receivables Owner Trust 2000-1 January 2001 Monthly Distribution Report
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Summary
This report details the monthly distribution of funds for the Dealer Auto Receivables Owner Trust 2000-1 as of January 16, 2001. It outlines the allocation of collected funds to various parties, including Premier Auto Finance, Inc., the Bank of New York (as Indenture Trustee), and Chase (as Owner Trustee), as well as payments to note and certificate holders. The report specifies amounts distributed for servicing fees, interest, and principal, and references the governing Sale and Servicing Agreement. The document is signed by trust officers and serves as an official record of the monthly financial distributions.
EX-10.1 2 a2035656zex-10_1.txt MONTHLY REPORT 1/16/01 JANUARY 16, 2001 DART 2000-1 DISTRIBUTION SUMMARY COLLECTION ACCOUNT
RESERVE ACCOUNT
/S/ - -------------------------------------------------- Randall S. Royer VP - Assistant Treasurer /S/ - -------------------------------------------------- Gil Van Over EVP - Chief Operating Officer DEALER AUTO RECEIVABLES OWNER TRUST 2000-1
MONTHLY REPORT FOR THE JANUARY 16, 2001 DISTRIBUTION DATE
S THE POOL FACTOR
T DELINQUENT CONTRACTS
U DEFAULTED CONTRACTS