FORM 10-D |
c/o U.S. Bank Trust National Association 300 Delaware Avenue, 9th Floor, Wilmington, Delaware (Address of principal executive offices) | 19801 (zip code) |
Title of Class | Section 12(b) | Section 12(g) | Section 15(d) | Name of Exchange (If Section 12(b)) |
Class A-1 Notes | X | |||
Class A-2a Notes | X | |||
Class A-2b Notes | X | |||
Class A-3 Notes | X | |||
Class A-4 Notes | X | |||
Class B Notes | X | |||
Class C Notes | X | |||
(a) Documents filed as part of this report: | |
Exhibit 99 | |
(b) Exhibits required by this Form and Item 601 of Regulation S-K: | |
None | |
Ford Credit Auto Owner Trust 2016-A | |
(Issuing entity) | |
By: Ford Motor Credit Company LLC (Servicer) | |
/s/ Ryan M. Hershberger | |
Ryan M. Hershberger | |
Assistant Treasurer | |
Collection Period | June 2019 | |
Payment Date | 7/15/2019 | |
Transaction Month | 42 | |
Dollar Amount | # of Receivables | Weighted Avg Remaining Term at Cutoff | ||||||
Initial Pool Balance | $ | 1,144,164,174.83 | 45,966 | 57.9 months | ||||
Dollar Amount | Note Interest Rate | Final Scheduled Payment Date | ||||||
Original Securities | ||||||||
Class A-1 Notes | $ | 228,900,000.00 | 0.68 | % | February 15, 2017 | |||
Class A-2a Notes | $ | 200,000,000.00 | 1.12 | % | December 15, 2018 | |||
Class A-2b Notes | $ | 163,100,000.00 | 2.79425 | % | * | December 15, 2018 | ||
Class A-3 Notes | $ | 305,200,000.00 | 1.39 | % | July 15, 2020 | |||
Class A-4 Notes | $ | 102,780,000.00 | 1.60 | % | June 15, 2021 | |||
Class B Notes | $ | 31,580,000.00 | 1.94 | % | July 15, 2021 | |||
Class C Notes | $ | 21,050,000.00 | 2.19 | % | July 15, 2022 | |||
Total | $ | 1,052,610,000.00 | ||||||
* One-month LIBOR + 0.40% | ||||||||
Interest: | |||
Interest Collections | $ | 343,363.39 | |
Principal: | |||
Principal Collections | $ | 7,736,812.80 | |
Prepayments in Full | $ | 2,946,785.65 | |
Liquidation Proceeds | $ | 56,030.08 | |
Recoveries | $ | 53,038.47 | |
Sub Total | $ | 10,792,667.00 | |
Collections | $ | 11,136,030.39 | |
Purchase Amounts: | |||
Purchase Amounts Related to Principal | $ | 77,865.39 | |
Purchase Amounts Related to Interest | $ | 270.08 | |
Sub Total | $ | 78,135.47 | |
Clean-up Call | $ | 0.00 | |
Reserve Account Draw Amount | $ | 0.00 | |
Available Funds - Total | $ | 11,214,165.86 | |
Collection Period | June 2019 | |
Payment Date | 7/15/2019 | |
Transaction Month | 42 | |
Calculated Amount | Amount Paid | Shortfall | Carryover Shortfall | Remaining Available Funds | |||||||||||||||
Trustee and Other Fees/Expenses | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 11,214,165.86 | |||||||||
Servicing Fee | $ | 141,055.48 | $ | 141,055.48 | $ | 0.00 | $ | 0.00 | $ | 11,073,110.38 | |||||||||
Interest - Class A-1 Notes | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 11,073,110.38 | |||||||||
Interest - Class A-2a Notes | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 11,073,110.38 | |||||||||
Interest - Class A-2b Notes | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 11,073,110.38 | |||||||||
Interest - Class A-3 Notes | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 11,073,110.38 | |||||||||
Interest - Class A-4 Notes | $ | 111,800.30 | $ | 111,800.30 | $ | 0.00 | $ | 0.00 | $ | 10,961,310.08 | |||||||||
First Priority Principal Payment | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 10,961,310.08 | |||||||||
Interest - Class B Notes | $ | 51,054.33 | $ | 51,054.33 | $ | 0.00 | $ | 0.00 | $ | 10,910,255.75 | |||||||||
Second Priority Principal Payment | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 10,910,255.75 | |||||||||
Interest - Class C Notes | $ | 38,416.25 | $ | 38,416.25 | $ | 0.00 | $ | 0.00 | $ | 10,871,839.50 | |||||||||
Reserve Account Deposit | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 10,871,839.50 | |||||||||
Regular Principal Payment | $ | 10,057,114.44 | $ | 10,057,114.44 | $ | 0.00 | $ | 0.00 | $ | 814,725.06 | |||||||||
Additional Trustee and Other Fees/Expenses | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 814,725.06 | |||||||||
Residual Released to Depositor | $ | 0.00 | $ | 814,725.06 | $ | 0.00 | $ | 0.00 | $ | 0.00 | |||||||||
Total | $ | 11,214,165.86 | |||||||||||||||||
Principal Payment: | |||||||||||||||||||
First Priority Principal Payment | $ | 0.00 | |||||||||||||||||
Second Priority Principal Payment | $ | 0.00 | |||||||||||||||||
Regular Principal Payment | $ | 10,057,114.44 | |||||||||||||||||
Total | $ | 10,057,114.44 | |||||||||||||||||
Noteholder Principal Payments | Noteholder Interest Payments | Total Payments | |||||||||||||||||||||
Original | Actual | Per $1,000 of Original Balance | Actual | Per $1,000 of Original Balance | Actual | Per $1,000 of Original Balance | |||||||||||||||||
Class A-1 Notes | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | |||||||||||
Class A-2a Notes | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | |||||||||||
Class A-2b Notes | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | |||||||||||
Class A-3 Notes | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | $ | 0.00 | |||||||||||
Class A-4 Notes | $ | 10,057,114.44 | $ | 97.85 | $ | 111,800.30 | $ | 1.09 | $ | 10,168,914.74 | $ | 98.94 | |||||||||||
Class B Notes | $ | 0.00 | $ | 0.00 | $ | 51,054.33 | $ | 1.62 | $ | 51,054.33 | $ | 1.62 | |||||||||||
Class C Notes | $ | 0.00 | $ | 0.00 | $ | 38,416.25 | $ | 1.83 | $ | 38,416.25 | $ | 1.83 | |||||||||||
Total | $ | 10,057,114.44 | $ | 9.55 | $ | 201,270.88 | $ | 0.19 | $ | 10,258,385.32 | $ | 9.74 | |||||||||||
Collection Period | June 2019 | |
Payment Date | 7/15/2019 | |
Transaction Month | 42 | |
Beginning of Period Balance | Note Factor | End of Period Balance | Note Factor | ||||||||
Class A-1 Notes | $ | 0.00 | 0.0000000 | $ | 0.00 | 0.0000000 | |||||
Class A-2a Notes | $ | 0.00 | 0.0000000 | $ | 0.00 | 0.0000000 | |||||
Class A-2b Notes | $ | 0.00 | 0.0000000 | $ | 0.00 | 0.0000000 | |||||
Class A-3 Notes | $ | 0.00 | 0.0000000 | $ | 0.00 | 0.0000000 | |||||
Class A-4 Notes | $ | 83,850,225.27 | 0.8158224 | $ | 73,793,110.83 | 0.7179715 | |||||
Class B Notes | $ | 31,580,000.00 | 1.0000000 | $ | 31,580,000.00 | 1.0000000 | |||||
Class C Notes | $ | 21,050,000.00 | 1.0000000 | $ | 21,050,000.00 | 1.0000000 | |||||
Total | $ | 136,480,225.27 | 0.1296589 | $ | 126,423,110.83 | 0.1201044 | |||||
Pool Information | |||||||
Weighted Average APR | 2.608 | % | 2.606 | % | |||
Weighted Average Remaining Term | 24.01 | 23.25 | |||||
Number of Receivables Outstanding | 17,517 | 16,905 | |||||
Pool Balance | $ | 169,266,575.54 | $ | 158,275,898.66 | |||
Adjusted Pool Balance (Pool Balance - YSOC Amount) | $ | 157,532,416.20 | $ | 147,475,301.76 | |||
Pool Factor | 0.1479391 | 0.1383332 | |||||
Specified Reserve Balance | $ | 5,720,820.87 | |
Targeted Credit Enhancement Amount | $ | 5,720,820.87 | |
Yield Supplement Overcollateralization Amount | $ | 10,800,596.90 | |
Targeted Overcollateralization Amount | $ | 31,852,787.83 | |
Actual Overcollateralization Amount (EOP Pool Balance - EOP Note Balance) | $ | 31,852,787.83 | |
Beginning Reserve Account Balance | $ | 5,720,820.87 | |
Reserve Account Deposits Made | $ | 0.00 | |
Reserve Account Draw Amount | $ | 0.00 | |
Ending Reserve Account Balance | $ | 5,720,820.87 | |
Change in Reserve Account Balance | $ | 0.00 | |
Specified Reserve Balance | $ | 5,720,820.87 | |
Collection Period | June 2019 | |
Payment Date | 7/15/2019 | |
Transaction Month | 42 | |
# of Receivables | Amount | |||||||
Current Collection Period Loss: | ||||||||
Realized Loss (Charge-Offs) | 61 | $ | 173,182.96 | |||||
(Recoveries) | 112 | $ | 53,038.47 | |||||
Net Loss for Current Collection Period | $ | 120,144.49 | ||||||
Ratio of Net Loss for Current Collection Period to Beginning of Period Pool Balance (annualized) | 0.8518 | % | ||||||
Prior and Current Collection Periods Average Loss: | ||||||||
Ratio of Net Loss to the Average Pool Balance (annualized) | ||||||||
Third Prior Collection Period | 0.6678 | % | ||||||
Second Prior Collection Period | 0.6545 | % | ||||||
Prior Collection Period | 0.1371 | % | ||||||
Current Collection Period | 0.8803 | % | ||||||
Four Month Average (Current and Prior Three Collection Periods) | 0.5849 | % | ||||||
Cumulative Loss: | ||||||||
Cumulative Realized Loss (Charge-Offs) | 2973 | $ | 11,160,775.21 | |||||
(Cumulative Recoveries) | $ | 2,156,392.71 | ||||||
Cumulative Net Loss for All Collection Periods | $ | 9,004,382.50 | ||||||
Ratio of Cumulative Net Loss for all Collection Periods to Initial Pool Balance | 0.7870 | % | ||||||
Average Realized Loss for Receivables that have experienced a Realized Loss | $ | 3,754.04 | ||||||
Average Net Loss for Receivables that have experienced a Realized Loss | $ | 3,028.72 | ||||||
% of EOP Pool Balance | # of Receivables | Amount | ||||||
Delinquent Receivables: | ||||||||
31-60 Days Delinquent | 2.04 | % | 246 | $ | 3,228,187.34 | |||
61-90 Days Delinquent | 0.26 | % | 28 | $ | 410,186.67 | |||
91-120 Days Delinquent | 0.02 | % | 2 | $ | 36,713.54 | |||
Over 120 Days Delinquent | 0.30 | % | 31 | $ | 481,567.28 | |||
Total Delinquent Receivables | 2.63 | % | 307 | $ | 4,156,654.83 | |||
Repossession Inventory: | ||||||||
Repossessed in the Current Collection Period | 11 | $ | 127,738.39 | |||||
Total Repossessed Inventory | 15 | $ | 208,305.90 | |||||
Number of 61+ Delinquent Receivables to EOP Number of Outstanding Receivables: | ||||||||
Second Prior Collection Period | 0.3139 | % | ||||||
Prior Collection Period | 0.3597 | % | ||||||
Current Collection Period | 0.3608 | % | ||||||
Three Month Average | 0.3448 | % | ||||||
Delinquency Trigger (61+ Delinquent Receivables) | ||||||||
Transaction Month | Trigger | |||||||
1-12 | 1.00 | % | ||||||
13-24 | 1.75 | % | ||||||
25-36 | 3.25 | % | ||||||
37+ | 5.00 | % | ||||||
61+ Delinquent Receivables Balance to EOP Pool Balance | 0.5866 | % | ||||||
Delinquency Trigger Occurred | No | |||||||
Collection Period | June 2019 | |
Payment Date | 7/15/2019 | |
Transaction Month | 42 | |
No Activity to report |
Most Recent Form ABS-15G for repurchase demand activity |
Filed by: Ford Motor Credit Company LLC |
CIK#: 0000038009 |
Date: February 6, 2019 |