EX-99.3 5 dex993.htm ONESERIES MONTHLY NOTEHOLDERS' STATEMENT Prepared by R.R. Donnelley Financial -- OneSeries Monthly Noteholders' Statement
 
Exhibit 99.3
 
BANK ONE ISSUANCE TRUST
ONEseries MONTHLY NOTEHOLDERS’ STATEMENT
 
MONTHLY PERIOD: AUGUST 2002
 
The undersigned, a duly authorized representative of First USA Bank, National Association (the “Bank”), as Servicer pursuant to the Transfer and Servicing Agreement, dated as of May 1, 2002 (the “Transfer and Servicing Agreement”), among the Bank, as Transferor, Servicer and Administrator, Bank One Issuance Trust, as Issuer, and Wells Fargo Bank Minnesota, National Association, as Indenture Trustee and Collateral Agent, does hereby certify as follows:
 
A.
  
Information Regarding the Current Distribution to Noteholders
1.
  
The total amount of the distribution to Noteholders on the Payment Date per $1,000 Initial Outstanding Dollar Principal Amount
    
Tranche

  
Amount

                             
    
A1
  
1.68000
                             
    
A2
  
3.46667
                             
    
B1
  
1.92000
                             
    
C1
  
2.43556
                             
2.
  
The amount of the distribution set forth in item 1 in respect of interest on the Notes, per $1,000 Initial Outstanding Dollar Principal Amount
    
Tranche

  
Amount

                             
    
A1
  
1.68000
                             
    
A2
  
3.46667
                             
    
B1
  
1.92000
                             
    
C1
  
2.43556
                             
3.
  
The amount of the distribution set forth in item 1 in respect of principal on the Notes, per $1,000 Initial Outstanding Dollar Principal Amount
    
Tranche

  
Amount

                             
    
A1
  
0.00000
                             
    
A2
  
0.00000
                             
    
B1
  
0.00000
                             
    
C1
  
0.00000
                             
B.
  
Information regarding the tranches of Notes of the ONEseries
1.
  
Outstanding Dollar Principal Amount and Nominal Liquidation Amount of Tranches of Notes of the ONEseries for the related Monthly Period
    
Tranche

  
Initial Outstanding Dollar Principal Amount

  
Outstanding Dollar Principal Amount

  
Adjusted Outstanding Dollar Principal Amount

  
Nominal Liquidation Amount

              
    
A1
  
1,000,000,000.00
  
1,000,000,000.00
  
1,000,000,000.00
  
1,000,000,000.00
              
    
A2
  
1,250,000,000.00
  
1,250,000,000.00
  
1,250,000,000.00
  
1,250,000,000.00
              
    
Total Class A
  
2,250,000,000.00
  
2,250,000,000.00
  
2,250,000,000.00
  
2,250,000,000.00
              
    
B1
  
250,000,000.00
  
250,000,000.00
  
250,000,000.00
  
250,000,000.00
              
    
Total Class B
  
250,000,000.00
  
250,000,000.00
  
250,000,000.00
  
250,000,000.00
              
    
C1
  
250,000,000.00
  
250,000,000.00
  
250,000,000.00
  
250,000,000.00
              
    
Total Class C
  
250,000,000.00
  
250,000,000.00
  
250,000,000.00
  
250,000,000.00
              
    
Total
  
2,750,000,000.00
  
2,750,000,000.00
  
2,750,000,000.00
  
2,750,000,000.00
              


 
2.    Nominal Liquidation Amount of Notes of the ONEseries
 
Tranche

 
Beginning
Nominal
Liquidation
Amount

    
Increases from accretion of
Principal for Discount Notes

  
Increases from amounts withdrawn from the Principal Funding Subaccounts in respect of Prefunding Excess Amounts

    
Reimbursements
of prior Nominal Liquidation Amount Deficits from Available Finance Charge Collections

  
Reductions
due to reallocations of Available Principal Collections and Investor Charge-Offs

  
Reductions
due to amounts
deposited
to the Principal Funding Subaccounts

  
Ending
Nominal Liquidation Amount

A1
 
1,000,000,000.00
    
0.00
  
0.00
    
0.00
  
0.00
  
0.00
  
1,000,000,000.00
A2
 
1,250,000,000.00
    
0.00
  
0.00
    
0.00
  
0.00
  
0.00
  
1,250,000,000.00
Total Class A
 
2,250,000,000.00
    
0.00
  
0.00
    
0.00
  
0.00
  
0.00
  
2,250,000,000.00
B1
 
250,000,000.00
    
0.00
  
0.00
    
0.00
  
0.00
  
0.00
  
250,000,000.00
Total Class B
 
250,000,000.00
    
0.00
  
0.00
    
0.00
  
0.00
  
0.00
  
250,000,000.00
C1
 
250,000,000.00
    
0.00
  
0.00
    
0.00
  
0.00
  
0.00
  
250,000,000.00
Total Class C
 
250,000,000.00
    
0.00
  
0.00
    
0.00
  
0.00
  
0.00
  
250,000,000.00
Total
 
2,750,000,000.00
    
0.00
  
0.00
    
0.00
  
0.00
  
0.00
  
2,750,000,000.00
 
3.    ONEseries Interest Funding Account Subaccounts
 
Tranche

    
Beginning Interest Funding Subaccount Balance

  
Targeted deposit to the Interest Funding Subaccount with respect to the
current period

  
Previous
shortfalls
of targeted deposits to the Interest Funding Subaccount

 
Actual deposit to the Interest Funding Subaccount

 
Amount withdrawn from the Interest Funding Subaccount for payment to Noteholders

    
Other Withdrawals

  
Ending Interest Funding
Subaccount Balance

A1
    
0.00
  
1,680,000.00
  
0.00
 
1,680,000.00
 
(1,680,000.00
)
  
0.00
  
0.00
A2
    
0.00
  
4,333,333.33
  
0.00
 
4,333,333.33
 
(4,333,333.33
)
  
0.00
  
0.00
Total Class A
    
0.00
  
6,013,333.33
  
0.00
 
6,013,333.33
 
(6,013,333.33
)
  
0.00
  
0.00
B1
    
0.00
  
480,000.00
  
0.00
 
480,000.00
 
(480,000.00
)
  
0.00
  
0.00
Total Class B
    
0.00
  
480,000.00
  
0.00
 
480,000.00
 
(480,000.00
)
  
0.00
  
0.00
C1
    
0.00
  
608,888.89
  
0.00
 
608,888.89
 
(608,888.89
)
  
0.00
  
0.00
Total Class C
    
0.00
  
608,888.89
  
0.00
 
608,888.89
 
(608,888.89
)
  
0.00
  
0.00
Total
    
0.00
  
7,102,222.22
  
0.00
 
7,102,222.22
 
(7,102,222.22
)
  
0.00
  
0.00
 
4.    ONEseries Principal Funding Account Subaccounts
 
Tranche

    
Beginning Principal Funding Subaccount Balance

    
Targeted deposit
to the Principal
Funding Subaccount with respect to the
current period

    
Previous
shortfalls
of targeted
deposits to the Principal
Funding Subaccount

    
Actual deposit to the Principal Funding
Subaccount

  
Amount withdrawn from the Principal Funding Subaccount
for payment
to
Noteholders

  
Other Withdrawals

  
Ending Principal Funding
Subaccount Balance

A1
    
0.00
    
0.00
    
0.00
    
0.00
  
0.00
  
0.00
  
0.00
A2
    
0.00
    
0.00
    
0.00
    
0.00
  
0.00
  
0.00
  
0.00
Total Class A
    
0.00
    
0.00
    
0.00
    
0.00
  
0.00
  
0.00
  
0.00
B1
    
0.00
    
0.00
    
0.00
    
0.00
  
0.00
  
0.00
  
0.00
Total Class B
    
0.00
    
0.00
    
0.00
    
0.00
  
0.00
  
0.00
  
0.00
C1
    
0.00
    
0.00
    
0.00
    
0.00
  
0.00
  
0.00
  
0.00
Total Class C
    
0.00
    
0.00
    
0.00
    
0.00
  
0.00
  
0.00
  
0.00
Total
    
0.00
    
0.00
    
0.00
    
0.00
  
0.00
  
0.00
  
0.00
 
5.    ONEseries Class C Reserve Subaccounts
 
Tranche

    
Beginning Class C Reserve Subaccount Balance

    
Class C Reserve Subaccount earnings for the current period

    
Targeted deposit to the Class C Reserve Subaccount

  
Actual deposit to the Class C Reserve Subaccount, including Excess Amounts

    
Amount withdrawn in respect of payment of interest or principal to Noteholders

  
Withdrawal of Excess Amounts pursuant to subsection 3.25(c)
of the Indenture Supplement

  
Ending Class C Reserve Subaccount Balance

C1
    
0.00
    
0.00
    
0.00
  
0.00
    
0.00
  
0.00
  
0.00
Total
    
0.00
    
0.00
    
0.00
  
0.00
    
0.00
  
0.00
  
0.00


 
6.
 
Class A Required Subordinated Amount of Class B and Class C Notes and Class A Usage of Class B and Class C Required Subordinated Amounts
 
Tranche

  
Required Subordinated Amount of Class B Notes as of the close of business on the related Note Transfer
Date

  
Required Subordinated Amount of Class
C Notes as of
the close of
business on the related Note Transfer Date

    
Class A Usage of Class B Required Subordinated Amount for the current period

    
Class A Usage of Class C Required Subordinated Amount for the current period

    
Cumulative
Class A
Usage of
Class B
Required Subordinated Amount

    
Cumulative Class A Usage of Class C Required Subordinated Amount

A1
  
84,795,300.00
  
84,795,300.00
    
0.00
    
0.00
    
0.00
    
0.00
A2
  
105,994,125.00
  
105,994,125.00
    
0.00
    
0.00
    
0.00
    
0.00
Total
  
190,789,425.00
  
190,789,425.00
    
0.00
    
0.00
    
0.00
    
0.00
 
 
7.
 
Class B Required Subordinated Amount of Class C Notes and Class B Usage of Class C Required Subordinated Amounts
 
   
Tranche

    
Required
Subordinated
Amount of Class C Notes as of the close of
business on the
related Note Transfer Date

    
Class B Usage of Class C
Required
Subordinated Amount for the
current period

    
Cumulative Class B Usage of Class C Required Subordinated Amount

   
B1
    
195,417,743.94
    
0.00
    
0.00
   
Total
    
195,417,743.94
    
0.00
    
0.00
 
 
C.  
 
Information regarding the performance of the ONEseries
 
      
August Monthly Period
    
July Monthly Period
    
June Monthly Period
Portfolio Yield
    
10.78%
    
10.28%
    
10.91%
Less: Base Rate
    
4.53%
    
4.56%
    
4.56%
      
    
    
Excess Spread
    
6.25%
    
5.72%
    
6.35%
Three Month Average Excess Spread
    
6.11%
      
Principal Payment Rate
    
13.87%
             
 
 
First USA Bank, National Association
as Servicer
By:
 
/S/    MICHAEL J. GRUBB

   
Michael J. Grubb
First Vice President