EX-99.2 3 d424930dex992.htm EX-99.2 EX-99.2

Exhibit 99.2

CARD SERIES SCHEDULE TO

MONTHLY NOTEHOLDERS’ STATEMENT

Date: 07/12/2017

CAPITAL ONE MULTI-ASSET EXECUTION TRUST, ASSET POOL 1

Monthly Period Ending: June 30, 2017

Reference is made to the Amended and Restated Series 2002-CC Supplement, dated as of October 9, 2002, as amended and restated as of March 17, 2016 (as amended and restated, the “Series 2002-CC Supplement”), among Capital One Funding, LLC, a Virginia limited liability company (“Funding”), as Transferor, Capital One Bank (USA), National Association, a national banking association (the “Bank”), as Servicer, and The Bank of New York Mellon, as Trustee, and the Indenture dated as of October 9, 2002, as amended and restated as of January 13, 2006 and March 17, 2016 (as amended and restated, the “Indenture”), between Capital One Multi-asset Execution Trust, as Issuer, and The Bank of New York Mellon, as Indenture Trustee.

The following computations are prepared with respect to the Transfer Date of July 14, 2017 and with respect to the performance of the Trust during the related Monthly Period from June 1, 2017 through June 30, 2017. The Current Distribution Date is July 17, 2017.

Interest Period for all tranches generally includes the previous Distribution Date (or in the case of the initial Interest Payment Date, the Issuance Date) through the day preceding the current Distribution Date.

Interest on floating rate tranches is calculated on the basis of 360-day year and the actual number of days in the related interest Period. Interest on fixed rate tranches is calculated on the basis of a 360-day year and twelve 30-day months.

Material terms, parties and related abbreviations used herein may be found in the following documents as filed with the Securities and Exchange Commission (“SEC”).

 

Amended and Restated Pooling and Servicing Agreement dated as of September 30, 1993, as amended and restated as of August 1, 2002, January 13, 2006, July 1, 2007 and March 17, 2016.    Included in Exhibit 4.2 to Funding’s Form 8-K filed with the SEC on March 17, 2016.
First Amendment to Amended and Restated Pooling and Servicing Agreement dated as of January 27, 2017.    Included in Exhibit 4.1 to Funding’s Form 8-K filed with the SEC on January 27, 2017.
Amended and Restated Series 2002-CC Supplement to the Amended and Restated Pooling and Servicing Agreement dated as of October 9, 2002, as amended and restated as of March 17, 2016, relating to the COMT Collateral Certificate.    Included in Exhibit 4.3 to Funding’s Form 8-K filed with the SEC on March 17, 2016.
Transfer and Administration Agreement dated as of October 9, 2002.    Included in Exhibit 4.2 to Funding’s Form 8-K filed with the SEC on November 12, 2002.
First Amendment to Transfer and Administration Agreement dated as of March 1, 2008.    Included in Exhibit 4.10 to Funding’s Form 8-K filed with the SEC on March 4, 2008.
Capital One Multi-asset Execution Trust Amended and Restated Trust Agreement dated as of October 9, 2002.    Included in Exhibit 4.3 to Funding’s Form 8-K filed with the SEC on November 12, 2002.

 

1


Indenture dated as of October 9, 2002, as amended and restated as of January 13, 2006 and March 17, 2016.    Included in Exhibit 4.4 to Funding’s Form 8-K filed with the SEC on March 17, 2016.
COMT Asset Pool 1 Supplement dated as of October 9, 2002.    Included in Exhibit 4.5 to Funding’s Form 8-K filed with the SEC on November 12, 2002.
First Amendment to COMT Asset Pool 1 Supplement dated as of March 1, 2008.    Included in Exhibit 4.8 to Funding’s Form 8-K filed with the SEC on March 4, 2008.
Card Series Indenture Supplement dated as of October 9, 2002, as amended and restated as of March 17, 2016.    Included in Exhibit 4.5 to Funding’s Form 8-K filed with the SEC on March 17, 2016.

 

2


A. Interest to be paid on the corresponding Distribution Date:

 

     CUSIP Number      Interest Payment
Date
     Total Amount of
Interest to be paid
     Per $1000 of
Outstanding Dollar
Principal Amount
 

CLASS A (2007-5)

     14041NDT5        17-Jul-17        639,408.00        1.0656800000  

CLASS A (2007-7)

     14041NDX6        17-Jul-17        4,791,666.67        4.7916666700  

CLASS A (2014-3)

     14041NER8        17-Jul-17        615,556.00        1.3679022222  

CLASS A (2014-4)

     14041NES6        17-Jul-17        742,568.44        1.3501244364  

CLASS A (2014-5)

     14041NET4        17-Jul-17        1,603,333.33        1.2333333308  

CLASS A (2015-1)

     14041NEU1        17-Jul-17        1,447,916.67        1.1583333360  

CLASS A (2015-2)

     14041NEV9        17-Jul-17        1,126,666.67        1.7333333385  

CLASS A (2015-3)

     14041NEW7        17-Jul-17        588,914.00        1.3856800000  

CLASS A (2015-4)

     14041NEX5        17-Jul-17        630,208.33        2.2916666545  

CLASS A (2015-5)

     14041NEY3        17-Jul-17        933,333.33        1.3333333286  

CLASS A (2015-6)

     14041NEZ0        17-Jul-17        1,155,161.33        1.3590133294  

CLASS A (2015-7)

     14041NFA4        17-Jul-17        513,541.67        1.2083333412  

CLASS A (2015-8)

     14041NFB2        17-Jul-17        854,166.67        1.7083333400  

CLASS A (2016-1)

     14041NFC0        17-Jul-17        1,859,161.78        1.4301244462  

CLASS A (2016-2)

     14041NFD8        17-Jul-17        993,827.78        1.5901244480  

CLASS A (2016-3)

     14041NFE6        17-Jul-17        1,507,500.00        1.1166666667  

CLASS A (2016-4)

     14041NFF3        17-Jul-17        1,219,166.67        1.1083333364  

CLASS A (2016-5)

     14041NFG1        17-Jul-17        864,583.33        1.3833333280  

CLASS A (2016-6)

     14041NFH9        17-Jul-17        1,213,333.33        1.5166666625  

CLASS A (2016-7)

     14041NFJ5        17-Jul-17        704,642.44        1.4834577684  

CLASS A (2017-1)

     14041NFK2        17-Jul-17        2,666,666.67        1.6666666688  

CLASS A (2017-2)

     14041NFL0        17-Jul-17        836,741.33        1.3945688833  

CLASS A (2017-3)

     14041NFM8        17-Jul-17        1,620,000.00        2.0250000000  
        

 

 

    

Total Class A

           29,128,064.44     

CLASS B (2004-3)

     14041NBL4        17-Jul-17        251,852.00        1.6790133333  

CLASS B (2005-3)

     14041NCG4        17-Jul-17        431,855.67        4.3185567000  

CLASS B (2009-C)

        17-Jul-17        3,114,569.73        1.6790133315  
        

 

 

    

Total Class B

           3,798,277.40     

CLASS C (2009-A)

        17-Jul-17        4,245,345.29        2.0167911116  
        

 

 

    

Total Class C

           4,245,345.29     

Total

           37,171,687.13     

 

3


B. Principal to be paid on the Distribution Date:

 

     CUSIP Number      Principal Payment
Date
     Total Amount of
Principal to be
paid
     Per $1000 of
Outstanding Dollar
Principal Amount
 

NOTHING TO REPORT

           

 

4


C. Outstanding Dollar Principal Amount and Nominal Liquidation Amount for the related Monthly Period:

(as of the end of the related Monthly Period)

 

     Initial Dollar
Principal Amount
     Outstanding Dollar
Principal Amount
     Adjusted
Outstanding Dollar
Principal Amount
     Nominal
Liquidation
Amount
 

CLASS A (2007-5)

     600,000,000.00        600,000,000.00        600,000,000.00        600,000,000.00  

CLASS A (2007-7)

     1,000,000,000.00        1,000,000,000.00        1,000,000,000.00        1,000,000,000.00  

CLASS A (2014-3)

     450,000,000.00        450,000,000.00        450,000,000.00        450,000,000.00  

CLASS A (2014-4)

     550,000,000.00        550,000,000.00        550,000,000.00        550,000,000.00  

CLASS A (2014-5)

     1,300,000,000.00        1,300,000,000.00        1,300,000,000.00        1,300,000,000.00  

CLASS A (2015-1)

     1,250,000,000.00        1,250,000,000.00        1,250,000,000.00        1,250,000,000.00  

CLASS A (2015-2)

     650,000,000.00        650,000,000.00        650,000,000.00        650,000,000.00  

CLASS A (2015-3)

     425,000,000.00        425,000,000.00        425,000,000.00        425,000,000.00  

CLASS A (2015-4)

     275,000,000.00        275,000,000.00        275,000,000.00        275,000,000.00  

CLASS A (2015-5)

     700,000,000.00        700,000,000.00        700,000,000.00        700,000,000.00  

CLASS A (2015-6)

     850,000,000.00        850,000,000.00        850,000,000.00        850,000,000.00  

CLASS A (2015-7)

     425,000,000.00        425,000,000.00        425,000,000.00        425,000,000.00  

CLASS A (2015-8)

     500,000,000.00        500,000,000.00        500,000,000.00        500,000,000.00  

CLASS A (2016-1)

     1,300,000,000.00        1,300,000,000.00        1,300,000,000.00        1,300,000,000.00  

CLASS A (2016-2)

     625,000,000.00        625,000,000.00        625,000,000.00        625,000,000.00  

CLASS A (2016-3)

     1,350,000,000.00        1,350,000,000.00        1,350,000,000.00        1,350,000,000.00  

CLASS A (2016-4)

     1,100,000,000.00        1,100,000,000.00        1,100,000,000.00        1,100,000,000.00  

CLASS A (2016-5)

     625,000,000.00        625,000,000.00        625,000,000.00        625,000,000.00  

CLASS A (2016-6)

     800,000,000.00        800,000,000.00        800,000,000.00        800,000,000.00  

CLASS A (2016-7)

     475,000,000.00        475,000,000.00        475,000,000.00        475,000,000.00  

CLASS A (2017-1)

     1,600,000,000.00        1,600,000,000.00        1,600,000,000.00        1,600,000,000.00  

CLASS A (2017-2)

     600,000,000.00        600,000,000.00        600,000,000.00        600,000,000.00  

CLASS A (2017-3)

     800,000,000.00        800,000,000.00        800,000,000.00        800,000,000.00  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Class A

     18,250,000,000.00        18,250,000,000.00        18,250,000,000.00        18,250,000,000.00  

CLASS B (2004-3)

     150,000,000.00        150,000,000.00        150,000,000.00        150,000,000.00  

CLASS B (2005-3)

     100,000,000.00        100,000,000.00        100,000,000.00        100,000,000.00  

CLASS B (2009-C)

     1,855,000,000.00        1,855,000,000.00        1,855,000,000.00        1,855,000,000.00  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Class B

     2,105,000,000.00        2,105,000,000.00        2,105,000,000.00        2,105,000,000.00  

CLASS C (2009-A)

     2,105,000,000.00        2,105,000,000.00        2,105,000,000.00        2,105,000,000.00  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Class C

     2,105,000,000.00        2,105,000,000.00        2,105,000,000.00        2,105,000,000.00  

CLASS D (2002-1)

        694,643,884.84        694,643,884.84        694,643,884.84  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total

     22,460,000,000.00        23,154,643,884.84        23,154,643,884.84        23,154,643,884.84  

 

5


D. Nominal Liquidation Amount for Tranches of Notes Outstanding:

(including all tranches issued as of the end of the Monthly Period, after taking into account all allocations expected to occur on the Distribution Date)

 

    End of Month
Nominal
Liquidation
Amount
    Increase due to
accretions of
Principal for
Discount Notes
    Withdrawal from
Principal Funding
sub-Account
    Reimbursements of
Nominal Liquidation
Amount from Available
Funds
    Reductions due
to reallocation of
Card Series
Principal Amounts
    Reduction due to
Investor
Charge-offs
    Reductions due to
deposits into the
Principal Funding
sub-Account
    Nominal
Liquidation
Amount as of the
Distribution Date*
 

CLASS A (2007-5)

    600,000,000.00       —         —         —         —         —         —         600,000,000.00  

CLASS A (2007-7)

    1,000,000,000.00       —         —         —         —         —         —         1,000,000,000.00  

CLASS A (2014-3)

    450,000,000.00       —         —         —         —         —         —         450,000,000.00  

CLASS A (2014-4)

    550,000,000.00       —         —         —         —         —         —         550,000,000.00  

CLASS A (2014-5)

    1,300,000,000.00       —         —         —         —         —         —         1,300,000,000.00  

CLASS A (2015-1)

    1,250,000,000.00       —         —         —         —         —         —         1,250,000,000.00  

CLASS A (2015-2)

    650,000,000.00       —         —         —         —         —         —         650,000,000.00  

CLASS A (2015-3)

    425,000,000.00       —         —         —         —         —         —         425,000,000.00  

CLASS A (2015-4)

    275,000,000.00       —         —         —         —         —         —         275,000,000.00  

CLASS A (2015-5)

    700,000,000.00       —         —         —         —         —         —         700,000,000.00  

CLASS A (2015-6)

    850,000,000.00       —         —         —         —         —         —         850,000,000.00  

CLASS A (2015-7)

    425,000,000.00       —         —         —         —         —         —         425,000,000.00  

CLASS A (2015-8)

    500,000,000.00       —         —         —         —         —         —         500,000,000.00  

CLASS A (2016-1)

    1,300,000,000.00       —         —         —         —         —         —         1,300,000,000.00  

CLASS A (2016-2)

    625,000,000.00       —         —         —         —         —         —         625,000,000.00  

CLASS A (2016-3)

    1,350,000,000.00       —         —         —         —         —         —         1,350,000,000.00  

CLASS A (2016-4)

    1,100,000,000.00       —         —         —         —         —         —         1,100,000,000.00  

CLASS A (2016-5)

    625,000,000.00       —         —         —         —         —         —         625,000,000.00  

CLASS A (2016-6)

    800,000,000.00       —         —         —         —         —         —         800,000,000.00  

CLASS A (2016-7)

    475,000,000.00       —         —         —         —         —         —         475,000,000.00  

CLASS A (2017-1)

    1,600,000,000.00       —         —         —         —         —         —         1,600,000,000.00  

CLASS A (2017-2)

    600,000,000.00       —         —         —         —         —         —         600,000,000.00  

CLASS A (2017-3)

    800,000,000.00       —         —         —         —         —         —         800,000,000.00  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Class A

    18,250,000,000.00       —         —         —         —         —         —         18,250,000,000.00  

CLASS B (2004-3)

    150,000,000.00       —         —         —         —         —         —         150,000,000.00  

CLASS B (2005-3)

    100,000,000.00       —         —         —         —         —         —         100,000,000.00  

CLASS B (2009-C)

    1,855,000,000.00       —         —         —         —         —         —         1,855,000,000.00  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Class B

    2,105,000,000.00       —         —         —         —         —         —         2,105,000,000.00  

CLASS C (2009-A)

    2,105,000,000.00       —         —         —         —         —         —         2,105,000,000.00  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Class C

    2,105,000,000.00       —         —         —         —         —         —         2,105,000,000.00  

Class D (2002-1)

    694,643,884.84       —         —         —         —         —         —         694,643,884.84  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

    23,154,643,884.84       —         —         —         —         —         —         23,154,643,884.84  

 

* This report does not capture any new issuances or increases of notes occurring after the end of the Monthly Period. Additionally, the Class D balance reflects any reductions to maturities that will occur on the distribution date.

 

6


E. Targeted Deposits to Principal Funding sub-Accounts:

 

    Beginning
Principal Funding
sub-Account
Balance
    Targeted Deposit
to Principal
Funding
sub-Account
    Previous shortfalls
of targeted
deposits to the
Principal Funding
Sub-Account
    Actual Deposit to
Principal Funding
sub-Account
    Amounts withdrawn
from the Principal
Funding sub-Account
for payment to
noteholders
    Ending
Principal Funding
sub-Account
Balance
    Principal Funding
sub-Account
Earnings
 

NOTHING TO REPORT

             

 

7


F. Targeted Deposits to Interest Funding sub-Accounts:    

 

    Applicable
Interest Rates
    Beginning Interest
Funding
sub-Account
Balance (1)
    Targeted Deposit
to Interest
Funding
sub-Account
    Previous Shortfalls of
targeted deposits to
the Interest Funding
sub-Account
    Actual Deposit to
Interest Funding
sub-Account (2)
    Amounts withdrawn
from the Interest
Funding sub-account
for payment to
Noteholder’s (3)
    Ending
Interest Funding
sub-Account
Balance (1)
    Interest Funding
sub-Account
Earnings
 

CLASS A (2007-5)

    1.199     —         639,408.00       —         639,408.00       (639,408.00     —         0.00  

CLASS A (2007-7)

    5.750     —         4,791,666.67       —         4,791,666.67       (4,791,666.67     —         0.00  

CLASS A (2014-3)

    1.539     —         615,556.00       —         615,556.00       (615,556.00     —         0.00  

CLASS A (2014-4)

    1.519     —         742,568.44       —         742,568.44       (742,568.44     —         0.00  

CLASS A (2014-5)

    1.480     —         1,603,333.33       —         1,603,333.33       (1,603,333.33     —         0.00  

CLASS A (2015-1)

    1.390     —         1,447,916.67       —         1,447,916.67       (1,447,916.67     —         0.00  

CLASS A (2015-2)

    2.080     —         1,126,666.67       —         1,126,666.67       (1,126,666.67     —         0.00  

CLASS A (2015-3)

    1.559     —         588,914.00       —         588,914.00       (588,914.00     —         0.00  

CLASS A (2015-4)

    2.750     —         630,208.33       —         630,208.33       (630,208.33     —         0.00  

CLASS A (2015-5)

    1.600     —         933,333.33       —         933,333.33       (933,333.33     —         0.00  

CLASS A (2015-6)

    1.529     —         1,155,161.33       —         1,155,161.33       (1,155,161.33     —         0.00  

CLASS A (2015-7)

    1.450     —         513,541.67       —         513,541.67       (513,541.67     —         0.00  

CLASS A (2015-8)

    2.050     —         854,166.67       —         854,166.67       (854,166.67     —         0.00  

CLASS A (2016-1)

    1.609     —         1,859,161.78       —         1,859,161.78       (1,859,161.78     —         0.00  

CLASS A (2016-2)

    1.789     —         993,827.78       —         993,827.78       (993,827.78     —         0.00  

CLASS A (2016-3)

    1.340     —         1,507,500.00       —         1,507,500.00       (1,507,500.00     —         0.00  

CLASS A (2016-4)

    1.330     —         1,219,166.67       —         1,219,166.67       (1,219,166.67     —         0.00  

CLASS A (2016-5)

    1.660     —         864,583.33       —         864,583.33       (864,583.33     —         0.00  

CLASS A (2016-6)

    1.820     —         1,213,333.33       —         1,213,333.33       (1,213,333.33     —         0.00  

CLASS A (2016-7)

    1.669     —         704,642.44       —         704,642.44       (704,642.44     —         0.00  

CLASS A (2017-1)

    2.000     —         2,666,666.67       —         2,666,666.67       (2,666,666.67     —         0.00  

CLASS A (2017-2)

    1.569     —         836,741.33       —         836,741.33       (836,741.33     —         0.00  

CLASS A (2017-3)

    2.430     —         1,620,000.00       —         1,620,000.00       (1,620,000.00     —         0.00  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Class A

      —         29,128,064.44       —         29,128,064.44       (29,128,064.44     —         0.00  

CLASS B (2004-3)

    1.889     —         251,852.00       —         251,852.00       (251,852.00     —         0.00  

CLASS B (2005-3)

    1.708     279,994.34       151,861.33       —         151,861.33       (431,855.67     —         148.50  

CLASS B (2009-C)

    —         —         3,114,569.73       —         3,114,569.73       (3,114,569.73     —         0.00  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Class B

      279,994.34       3,518,283.06       —         3,518,283.06       (3,798,277.40     —         148.50  

CLASS C (2009-A)

    —         —         4,245,345.29       —         4,245,345.29       (4,245,345.29     —         0.00  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Class C

      —         4,245,345.29       —         4,245,345.29       (4,245,345.29     —         0.00  

Total

      279,994.34       36,891,692.79       —         36,891,692.79       (37,171,687.13     —         148.50  

 

8


G. Class C Reserve sub-Accounts:

 

     Beginning Class C
Reserve
sub-Account
Balance
   Targeted Deposit
to Class C
Reserve
sub-Account
   Actual Deposit to
Class C Reserve
sub-Account
   Withdrawals from
Class C Reserve
sub-Account
Balance
   Ending Class C
Reserve
sub-Account
Balance
   Class C Reserve
sub-Account
Earnings
NOTHING TO REPORT                  

H. Targeted Deposits to Class D Reserve sub-Accounts:

(Beginning Class D Reserve sub-Account Balance includes Class D Reserve sub-Account Earnings and deposits related to any new issuances)

 

     Beginning Class D
Reserve
sub-Account
Balance
   Targeted Deposit
to Class D
Reserve
sub-Account
   Actual Deposit to
Class D Reserve
sub-Account
   Withdawals from
Class D Reserve
sub-Account
Balance
   Ending Class D
Reserve
sub-Account
Balance
   Class D Reserve
sub-Account
Earnings
NOTHING TO REPORT                  

I. Targeted Deposits to Accumulation Reserve sub-Accounts:

 

    Beginning
Accumulation
Reserve
sub-Account
Balance
    Targeted Deposit
to Accumulation
Reserve
sub-Account
    Actual Deposit to
Accumulation
Reserve
sub-Account
    Withdrawals from
Accumulation
Reserve Account
for Interest
    Withdrawals from
Accumulation
Reserve Account
for Payments to
Issuer
    Ending
Accumulation
Reserve
Balance
sub-Account
    Accumulation
Reserve
sub-Account
Earnings
 

NOTHING TO REPORT

             

 

9


J. Class A Usage of Class B, C and D Subordination Amounts:

 

     Class A Usage of
Class B
Subordination
Amount for this
Monthly Period
     Class A Usage of
Class C
Subordination
Amount for this
Monthly Period
     Class A Usage of
Class D
Subordination
Amount for this
Monthly Period
     Cumulative Class
A Usage of Class
B Subordination
Amount
     Cumulative Class
A Usage of Class
C Subordination
Amount
     Cumulative Class
A Usage of Class
D Subordination
Amount
 

NOTHING TO REPORT

                 

K. Class B Usage of Class C and D Subordination Amounts:

 

     Class B Usage of
Class C
Subordination
Amount for this
Monthly Period
     Class B Usage of
Class D
Subordination
Amount for this
Monthly Period
     Cumulative Class
B Usage of Class
C Subordination
Amount
     Cumulative Class
B Usage of Class
D Subordination
Amount
 

NOTHING TO REPORT

           

L. Class C Usage of Class D Subordination Amounts:

 

     Class C Usage of
Class D
Subordination
Amount for this
Monthly Period
     Cumulative Class C
Usage of Class D
Subordination
Amount
 

NOTHING TO REPORT

     

 

10


M. Required and Available Subordination Amount to Class A, B and C Notes:

(as of Determination Date, after taking into account all maturities expected to occur on the Distribution Date)

 

     Required
Subordination
Amount from
Class B Notes
     Available
Subordination
Amount from
Class B Notes
     Required
Subordination
Amount from
Class C Notes
     Available
Subordination
Amount from
Class C Notes
     Required
Subordination
Amount from
Class D Notes
     Available
Subordination
Amount from
Class D Notes
 

CLASS A (2007-5)

     68,355,000.00        68,355,000.00        68,355,000.00        68,355,000.00        22,785,000.00        22,785,000.00  

CLASS A (2007-7)

     113,925,000.00        113,925,000.00        113,925,000.00        113,925,000.00        37,975,000.00        37,975,000.00  

CLASS A (2014-3)

     51,266,250.00        51,266,250.00        51,266,250.00        51,266,250.00        17,088,750.00        17,088,750.00  

CLASS A (2014-4)

     62,658,750.00        62,658,750.00        62,658,750.00        62,658,750.00        20,886,250.00        20,886,250.00  

CLASS A (2014-5)

     148,102,500.00        148,102,500.00        148,102,500.00        148,102,500.00        49,367,500.00        49,367,500.00  

CLASS A (2015-1)

     142,406,250.00        142,406,250.00        142,406,250.00        142,406,250.00        47,468,750.00        47,468,750.00  

CLASS A (2015-2)

     74,051,250.00        74,051,250.00        74,051,250.00        74,051,250.00        24,683,750.00        24,683,750.00  

CLASS A (2015-3)

     48,418,125.00        48,418,125.00        48,418,125.00        48,418,125.00        16,139,375.00        16,139,375.00  

CLASS A (2015-4)

     31,329,375.00        31,329,375.00        31,329,375.00        31,329,375.00        10,443,125.00        10,443,125.00  

CLASS A (2015-5)

     79,747,500.00        79,747,500.00        79,747,500.00        79,747,500.00        26,582,500.00        26,582,500.00  

CLASS A (2015-6)

     96,836,250.00        96,836,250.00        96,836,250.00        96,836,250.00        32,278,750.00        32,278,750.00  

CLASS A (2015-7)

     48,418,125.00        48,418,125.00        48,418,125.00        48,418,125.00        16,139,375.00        16,139,375.00  

CLASS A (2015-8)

     56,962,500.00        56,962,500.00        56,962,500.00        56,962,500.00        18,987,500.00        18,987,500.00  

CLASS A (2016-1)

     148,102,500.00        148,102,500.00        148,102,500.00        148,102,500.00        49,367,500.00        49,367,500.00  

CLASS A (2016-2)

     71,203,125.00        71,203,125.00        71,203,125.00        71,203,125.00        23,734,375.00        23,734,375.00  

CLASS A (2016-3)

     153,798,750.00        153,798,750.00        153,798,750.00        153,798,750.00        51,266,250.00        51,266,250.00  

CLASS A (2016-4)

     125,317,500.00        125,317,500.00        125,317,500.00        125,317,500.00        41,772,500.00        41,772,500.00  

CLASS A (2016-5)

     71,203,125.00        71,203,125.00        71,203,125.00        71,203,125.00        23,734,375.00        23,734,375.00  

CLASS A (2016-6)

     91,140,000.00        91,140,000.00        91,140,000.00        91,140,000.00        30,380,000.00        30,380,000.00  

CLASS A (2016-7)

     54,114,375.00        54,114,375.00        54,114,375.00        54,114,375.00        18,038,125.00        18,038,125.00  

CLASS A (2017-1)

     182,280,000.00        182,280,000.00        182,280,000.00        182,280,000.00        60,760,000.00        60,760,000.00  

CLASS A (2017-2)

     68,355,000.00        68,355,000.00        68,355,000.00        68,355,000.00        22,785,000.00        22,785,000.00  

CLASS A (2017-3)

     91,140,000.00        91,140,000.00        91,140,000.00        91,140,000.00        30,380,000.00        30,380,000.00  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Total Class A

     2,079,131,250.00        2,079,131,250.00        2,079,131,250.00        2,079,131,250.00        693,043,750.00        693,043,750.00  

CLASS B (2004-3)

           148,345,149.03        148,345,149.03        49,448,383.01        49,448,383.01  

CLASS B (2005-3)

           98,896,766.02        98,896,766.02        32,965,588.67        32,965,588.67  

CLASS B (2009-C)

           1,834,535,009.62        1,834,535,009.62        611,511,669.87        611,511,669.87  
        

 

 

    

 

 

    

 

 

    

 

 

 

Total Class B

           2,081,776,924.67        2,081,776,924.67        693,925,641.55        693,925,641.55  

CLASS C (2009-A)

                 694,643,884.84        694,643,884.84  
              

 

 

    

 

 

 

Total Class C

                 694,643,884.84        694,643,884.84  

 

11


N. Early Redemption Event

 

Current Month Excess Spread Amount

   $ 288,749,973.55  
  

 

 

 

Prior Month Excess Spread Amount

   $ 297,255,120.15  
  

 

 

 

Two Months Prior Excess Spread Amount

   $ 260,508,293.28  
  

 

 

 

Three Months Average Excess Spread Amount

   $ 282,171,128.99  
  

 

 

 

Is the average of the Excess Spread Amount for preceding three months greater than $0?

     YES  
  

 

 

 

O. Repurchase Demand Activity (Rule 15Ga-1)

Nothing to Report

Most Recent Form ABS - 15G

Filed by: Capital One Funding, LLC

CIK#: 0001162387

Date: February 10, 2017

 

12


IN WITNESS WHEREOF, the undersigned has duly executed and delivered this Certificate this 12th day of July, 2017.

 

Capital One Bank (USA), National Association
as Administrator
By:  

/s/ Shaun Ross

Name:   Shaun Ross
Title:   Authorized Officer
Date:   07/12/2017

Signature page to CARD SERIES SCHEDULE TO MONTHLY NOTEHOLDERS’ STATEMENT

 

13