Dealer Auto Receivables Owner Trust 2000-1 October 2000 Monthly Distribution Report
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Summary
This report details the monthly distribution of funds for Dealer Auto Receivables Owner Trust 2000-1 as of October 16, 2000. It outlines payments made to Premier Auto Finance, Inc. for servicing fees, as well as interest and principal payments to note and certificate holders. The report also includes calculations of available principal and interest, reserve fund contributions, and the allocation of funds according to the Sale and Servicing Agreement. The key parties involved are Premier Auto Finance, Inc., Bank of New York, Chase, and the note and certificate holders.
EX-10.1 2 a2028200zex-10_1.txt MONTHLY REPORT DATED 10-16-00 OCTOBER 16, 2000 DART 2000-1 DISTRIBUTION SUMMARY
/s/ Randall S. Royer - ------------------------------- Randall S. Royer VP - Assistant Treasurer /s/ Gil Van Over - ------------------------------- Gil Van Over EVP - Chief Operating Officer DEALER AUTO RECEIVABLES OWNER TRUST 2000-1
MONTHLY REPORT FOR THE OCTOBER 16, 2000 DISTRIBUTION DATE
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S THE POOL FACTOR
T DELINQUENT CONTRACTS
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