-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, JNJ8lsJgkoi1Hf4iI7TLo+idRuMMkq5v46QdnWq2xZbXIRpY1hdRvXtDBMzz6Aey ov47PJAaTFFQnB8ZFCq3Sg== 0000950124-06-003272.txt : 20060616 0000950124-06-003272.hdr.sgml : 20060616 20060616144028 ACCESSION NUMBER: 0000950124-06-003272 CONFORMED SUBMISSION TYPE: 10-D PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20060531 FILED AS OF DATE: 20060616 DATE AS OF CHANGE: 20060616 FILER: COMPANY DATA: COMPANY CONFORMED NAME: DaimlerChrysler Auto Trust 2006-A CENTRAL INDEX KEY: 0001354708 STANDARD INDUSTRIAL CLASSIFICATION: ASSET-BACKED SECURITIES [6189] FILING VALUES: FORM TYPE: 10-D SEC ACT: 1934 Act SEC FILE NUMBER: 333-127963-01 FILM NUMBER: 06909916 BUSINESS ADDRESS: STREET 1: 27777 INKSTER ROAD CITY: FARMINGTON HILLS STATE: MI ZIP: 48334 BUSINESS PHONE: (248) 427-6300 MAIL ADDRESS: STREET 1: 27777 INKSTER ROAD CITY: FARMINGTON HILLS STATE: MI ZIP: 48334 10-D 1 k06089e10vd.txt ASSET-BACKED ISSUER DISTRIBUTION REPORT UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 10-D ASSET-BACKED ISSUER DISTRIBUTION REPORT PURSUANT TO SECTION 13 OR 15(D) OF THE SECURITIES EXCHANGE ACT OF 1934 For the Monthly Distribution Period from May 1, 2006 to May 31, 2006. Commission File Number of Issuing Entity: 333-127963-01 DAIMLERCHRYSLER AUTO TRUST 2006-A - -------------------------------------------------------------------------------- (Exact name of issuing entity as specified in its charter) Commission File Number of Depositor: 333-127963 DAIMLERCHRYSLER FINANCIAL SERVICES AMERICAS LLC - -------------------------------------------------------------------------------- (Exact name of depositor as specified in its charter) DAIMLERCHRYSLER FINANCIAL SERVICES AMERICAS LLC - -------------------------------------------------------------------------------- (Exact name of sponsor as specified in its charter) State of Delaware 20-6437245 - -------------------------------------------------------------------------------- (State or other jurisdiction of (IRS Employer incorporation or organization Identification No.) of the issuing entity) c/o Deutsch Bank Trust Company Delaware, as owner trustee 1011 Centre Road, Suite 200, Wilmington, Delaware 19805 --------------------------------------------------------- (Address of principal executive offices of the issuing entity)(ZIP Code) (302) 552-6279 ------------------------------------- Telephone number, including area code Title of Class Registration/reporting pursuant to(check one) Name of Exchange Section Section Section (if Section 12(b)) 12(b) 12(g) 15(d) Class A-2 Notes [__] [__] [X] ___________ Class A-3 Notes [__] [__] [X] ___________ Class A-4 Notes [__] [__] [X] ___________ Class B Notes [__] [__] [X] ___________ Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports) and (2) has been subject to such filing requirements for the past 90 days. Yes X No --- --- -2- Part I - Distribution Information Item 1. Distribution and Pool Performance Information. In connection with the offering of DaimlerChrysler Auto Trust 2006-A, Asset Backed Notes, Class A-2, Class A-3, Class A-4, and Class B Certificates attached as Exhibit 99 is the distribution report prepared by DaimlerChrysler Financial Services Americas LLC and distributed to the trustee and securityholders pursuant to the transaction documents for the distribution period covered by the report. Item 3. Sales of Securities and Use of Proceeds. The Certificate, which represents the equity interest in the Trust, was issued in a private placement under Section 4(2) of the Securities Act of 1933 to DaimlerChrysler Retail Receivables LLC, an affiliate of the Depositor, and was paid for by a borrowing under a subordinated note and, consequently, there were no additional proceeds from the sale of the Certificate. Part II -- Other Information Item 9. Exhibits. (a) List the documents filed as a part of the report: none. (b) Filed, as exhibit 99 to this report, is the monthly distribution report for DaimlerChrysler Auto Trust 2006-A for the distribution period covered by this report. -3- SIGNATURES Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized. DaimlerChrysler Auto Trust 2006-A (Issuing Entity) By: DAIMLERCHRYSLER FINANCIAL SERVICES AMERICAS LLC, as Servicer Date: June 16, 2006 By: /s/ Mark L. Davis ----------------- Name: Mark L. Davis Title: Assistant Controller -4- EXHIBIT INDEX
Exhibit No. Description of Exhibit - ------- ---------------------- 99 The monthly distribution report of DaimlerChrysler Auto Trust 2006-A to the holders of Asset Backed Notes for the distribution period covered by this report.
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EX-99 2 k06089exv99.txt MONTHLY DISTRIBUTION REPORT OF AUTO TRUST 2006-A ASSET-BACKED NOTES EXHIBIT 99 DaimlerChrysler Auto Trust 2006-A monthly distribution report to holders of Asset Backed Notes for the distribution period covered by this report. - -------------------------------------------------------------------------------- DAIMLERCHRYSLER FINANCIAL SERVICES AMERICAS LLC DISTRIBUTION DATE: 08-JUN-06 DAIMLERCHRYSLER AUTO TRUST 2006-A MONTHLY SERVICER'S CERTIFICATE(KM) PAGE 1 OF 2 Payment Determination Statement Number 3 Distribution Date 8-Jun-06 Record Date 7-Jun-06
DATES COVERED FROM AND INCLUDING TO AND INCLUDING ------------- ------------------ ---------------- Collections Period 1-May-06 31-May-06 Accrual Period 8-May-06 7-Jun-06 30/360 Days 30 Actual/360 Days 31
NUMBER OF COLLATERAL POOL BALANCE DATA ACCOUNTS $ AMOUNT ---------------------------- -------- -------- Pool Balance - Beginning of Period 92,958 $1,498,067,609.24 Collections of Installment Principal 33,742,386.65 Collections Attributable to Full Payoffs 25,096,178.60 Principal Amount of Repurchases 0.00 Principal Amount of Gross Losses 630,608.59 ----------------- Pool Balance - End of Period(EOP) 90,408 $1,438,598,435.40 =================
POOL STATISTICS END OF PERIOD --------------- ------------- Initial Pool Balance (Pool Balance at the Purchase Date) $1,631,098,710.56 Pool Factor (Pool Balance as a % of Initial Pool Balance) 88.20% Ending Overcollateralization(O/C) Amount $130,291,014.37 Coverage Ratio (Ending Pool Balance as a % of Ending Notes) 109.959% Cumulative Net Losses $396,992.00 Net Loss Ratio (3 mos weighted avg.) 0.102% Cumulative Recovery Ratio 53.440%
Delinquency Information:(1) $ AMOUNT % OF EOP POOL BAL. # OF ACCOUNTS -------- ------------------ ------------- 31-60 Days Delinquent 10,549,401.33 0.733% 657 61-90 Days Delinquent 1,220,570.01 0.085% 69 91-120 Days Delinquent 117,507.78 0.008% 6 121 Days or More Delinquent 0.00 0.000% 0 Reposessions 1,638,029.78 0.114% 85 (1) A receivable is not considered past due if the amount past due is less than 10% of the scheduled monthly payment. 60+ Days Delinquency Amount 2,976,107.57 60+ Days Delinquency Ratio (3 mo. Weighted Avg.) 0.10764%
CURRENT MONTH PRIOR MONTH ------------- ----------- Weighted Average A.P.R. 6.826% 6.833% Weighted Average Remaining Term (months) 48.36 48.22 Weighted Average Seasoning (months) 15.55 14.60
CASH SOURCES O/C RELEASE (Prospectus pg S31-S32) ------------ ----------- Collections of Installment Principal $33,742,386.65 Pool Balance $1,438,598,435.40 Collections Attributable to Full Payoffs 25,096,178.60 Yield Supplement O/C Amount (85,425,486.46) ------------------ Principal Amount of Repurchases 0.00 Adjusted Pool Balance $1,353,172,948.94 Recoveries on Loss Accounts 346,491.56 Collections of Interest 8,869,085.11 Total Securities $1,308,307,421.03 ------------------ Investment Earnings 178,125.67 Reserve Account 3,767,500.00 Adjusted O/C Amount $44,865,527.91 --------------- TOTAL SOURCES $71,999,767.59 =============== Target Overcollateralization Amount $67,658,647.45 CASH USES --------- Servicer Fee $1,248,389.67 A Note Interest 5,536,844.14 O/C Release Period? No Priority Principal Distribution Amount 0.00 O/C Release $0.00 B Note Interest 193,606.67 Reserve Fund 3,767,500.00 Regular Principal Distribution Amount 61,253,427.11 Distribution to Certificateholders 0.00 --------------- TOTAL CASH USES $71,999,767.59 =============== ADMINISTRATIVE PAYMENT Total Principal and Interest Sources $71,999,767.59 Investment Earnings in Trust Account (178,125.67) Daily Collections Remitted (68,277,151.04) Cash Reserve in Trust Account (3,767,500.00) Servicer Fee (withheld) (1,248,389.67) O/C Release to Seller 0.00 --------------- PAYMENT DUE TO/(FROM) TRUST ACCOUNT ($1,471,398.79) ===============
Beginning Ending Principal Principal per Interest Interest NOTES Balance Balance ----- ------------------ --------------------------------------------------------- Payment $1000 Face Payment $1000 Face Class A-1 307,000,000.00 @ 4.7914% 169,560,848.14 108,307,421.03 61,253,427.11 199.5225639 699,595.81 2.2788137 Class A-2 485,000,000.00 @ 5.06% 485,000,000.00 485,000,000.00 0.00 0.0000000 2,045,083.33 4.2166667 Class A-3 510,000,000.00 @ 5.00% 510,000,000.00 510,000,000.00 0.00 0.0000000 2,125,000.00 4.1666667 Class A-4 159,800,000.00 @ 5.01% 159,800,000.00 159,800,000.00 0.00 0.0000000 667,165.00 4.1750000 Class B 45,200,000.00 @ 5.14% 45,200,000.00 45,200,000.00 0.00 0.0000000 193,606.67 4.2833334 ------------------ --------------------------------- ------------- Total Notes $1,369,560,848.14 $1,308,307,421.03 $61,253,427.11 $5,730,450.81 ================== ================================= ============= * Class A-1 Interest is computed on an Actual/360 Basis. Days in current period 31 --
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