Page 4 of 8 Pages
Aircraft Lease Portfolio Securitization
96-1 Pass Through Trust
Statement To Certificateholders
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DISTRIBUTIONS IN DOLLARS
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PRIOR CURRENT
ORIGINAL PRINCIPAL REALIZED ACCRETED PRINCIPAL
CLASS FACE VALUE BALANCE INTEREST PRINCIPAL PREMIUM TOTAL LOSSES INTEREST BALANCE
A 25,000,000.00 7,856,598.69 17,919.59 100,441.10 0.00 118,360.69 0.00 0.00 7,756,157.59
A 60,000,000.00 18,855,836.68 43,007.02 241,058.63 0.00 284,065.65 0.00 0.00 18,614,778.05
A 160,673,000.00 50,493,730.91 115,167.79 645,526.88 0.00 760,694.67 0.00 0.00 49,848,204.03
B 56,868,750.00 40,063,750.00 109,451.94 0.00 0.00 109,451.94 0.00 0.00 40,063,750.00
B 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
C 50,044,500.00 39,559,903.71 120,382.98 0.00 0.00 120,382.98 0.00 0.00 39,559,903.71
D 40,945,500.00 34,022,700.00 0.00 0.00 0.00 0.00 0.00 0.00 34,022,700.00
E-1 82,918,250.00 82,918,250.00 0.00 0.00 0.00 0.00 0.00 0.00 82,918,250.00
E-2 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
TOTALS 476,450,000.00273,770,769.99 405,929.32 987,026.61 0.00 1,392,955.93 0.00 0.00 272,783,743.38
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FACTOR INFORMATION PER $1000 OF ORIGINAL FACE PASS-THRU RATES
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PRIOR CURRENT
PRINCIPAL PRINCIPAL
CLASS CUSIP BALANCE INTEREST PRINCIPAL PREMIUM TOTAL BALANCE * CURRENT NEXT
A 02109PAA8 314.263948 0.716784 4.017644 0.000000 4.734428 310.246304 3.432500% 3.682500%
A U02029AA1 314.263945 0.716784 4.017644 0.000000 4.734428 310.246301 3.432500% 3.682500%
A 02109PAE0 314.263945 0.716784 4.017644 0.000000 4.734428 310.246302 3.432500% 3.682500%
B 0219PAF7 704.494999 1.924641 0.000000 0.000000 1.924641 704.494999 4.012500% 4.262500%
B U02029AB9 0.000000 0.000000 0.000000 0.000000 0.000000 0.000000 4.012500% 4.262500%
C 02109PAG5 790.494534 2.405519 0.000000 0.000000 2.405519 790.494534 4.412500% 4.662500%
D 02109PAH3 830.926475 0.000000 0.000000 0.000000 0.000000 830.926475 13.750000% 13.750000%
E-1 AL9601108 1,000.000000 0.000000 0.000000 0.000000 0.000000 1,000.00000010.000000% 10.000000%
E-2 AL9601109 0.000000 0.000000 0.000000 0.000000 0.000000 0.000000 10.000000% 10.000000%
SELLER: N/A ADMINISTRATOR: Michele Voon
SERVICER: Babcock & Brown Limited Deutsche Bank
LEAD UNDERWRITER: Lehman Brothers 4 Albany Street
RECORD DATE: February 28, 2005 New York, NY 10006
DISTRIBUTION DATE: March 15, 2005 FACTOR INFORMATION (800) 735-7777
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© COPYRIGHT 2005 Deutsche Bank
Page 5 of 8 Pages
Aircraft Lease Portfolio Securitization
96-1 Pass Through Trust
Statement To Certificateholders
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ISSUE / COLLATERAL DETAIL REPORT
Distribution Date: 15-Mar-05
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1. COLLATERAL SUMMARY:
1.1. DUE PERIOD 01-Feb-2005 to 28-Feb-2005
1.2. ADDITIONAL REPORTED ITEMS
Initial Appraised Value of all Aircraft 320,510,000.00
Aircraft Book Value 236,221,737.50
Rentals, Interest and Other Payments in Arrears 413,636.00
Is there an existing Event of Default? YES *
Number of Registration Defaults 0.00
Has an Enforcement Notice been Issued? NO
WFC Aircraft Sale Date n/a
WFC Aircraft Payment Default Date n/a
2. SUMMARY OF AVAILABLE FUNDS
2.1. COLLECTIONS
Interim deposits, withdrawals and transfers
Rents, Interest, Deferred Debt
& Other Lessee Payments 1,670,082.00
Swap Receipts 0.00
Collections applied to excess
aircraft Maintenance Expenses 0.00
Interim withdrawal of Defaulted Rent
from the Lease Maintenance
Reserve Account or the Lease 0.00
Security Deposit Account
Transfer of Maintenance Reserve Receipts
to Lessee Funded Account 0.00
Transfer of Security Deposit Receipts
to Lessee Funded Account 0.00
Proceeds from sale or other disposition
of any Aircraft, Engine or other asset 0.00
Remaining Aircraft Purchase Account
funds after Aircraft Sale Date 0.00
Sub Total: 1,670,082.00
Payment Date deposits and transfers
Investment Earnings:
Collections Sub Account 44,537.94
Expense Account 24.22
Aircraft Purchase Account 0.00
Class D Note Interest Reserve Account 0.00
Contingency Reserve Account 2,523.60
Maintenance Reserve Account 0.00
Security Deposit Account 0.00
Total Investment earnings for all accounts 47,085.76
Investment Earnings retained within
Maintenance Reserve Account 0.00
Investment Earnings retained within
Security Deposit Reserve Account 0.00
0.00
Sub Total: 1,717,167.76
* The company had insufficient funds to pay all of the interest due to the holders
of the Class D Notes. The arrears owed to Class D Noteholders for the Due Period
are $10,034,782.97 See Item 1.2 "Interest Amounts-Unpaid Balance D Note" below for
total overdue interest owed to holders of Class D Notes.
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© COPYRIGHT 2005 Deutsche Bank
Page 6 of 8 Pages
Aircraft Lease Portfolio Securitization
96-1 Pass Through Trust
Statement To Certificateholders
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ISSUE / COLLATERAL DETAIL REPORT
Distribution Date: 15-Feb-05
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2. SUMMARY OF AVAILABLE FUNDS (cont.)
2.1. COLLECTIONS (cont.)
After Enforcement Notice or Disposition of Last
Aircraft Lessee Funded Account Transfers 0.00
After Enforcement Notice, Aircraft Purchase Acct. funds 0.00
Remaining amounts in the Aircraft
Purchase Account transferred due to
WFC Aircraft Delivery Termination Date or
WFC Aircraft Payment Default Date 0.00
Sub Total: 1,717,167.76
Other Miscellaneous amounts
For any aircraft which has undergone a
total loss or for which the lease
has been sold, conveyed or transferred:
Available Maintenance Reserves Amount 0.00
Available Security Deposit Amount 0.00
Miscellaneous Other Proceeds 0.00
Available Collections transferred to the Transaction Account: 1,717,167.76
Reserve Account transfers
Maintenance Reserve Amount withdrawals
from the Collection Sub-Account 0.00
Liquidity Reserve Amount withdrawals from
the Collection Sub-Account 0.00
Amounts withdrawn from the Class D
Interest Reserve Sub-Account 0.00
Amounts withdrawn from the Contingency
Reserve Sub-Account 0.00
Total Amounts transferred to the Transaction Account: 1,717,167.76
2.2. PAYMENTS FROM TRANSACTION ACCOUNT
* Required Expense Amount plus Additional
Company Expenses, Fees and Taxes 248,359.18
Amounts transferred to the Collection
Account for Maintenance Reserve Amount 0.00
Swap Payments due to Swap Provider 0.00
Amounts transferred to the Collection Account
for Liquidity Reserve Amount 75,852.65
Amounts transferred to the Class D
Note Interest Reserve Account 0.00
Aggregate Swap Breakage Costs 0.00
Current plus prior unpaid Annual Dividends 0.00
Deposit to the Lessee Funded Account for funds
previously transferred from the Lessee
Funded Account according to Clause 7.07(a)(iv)
of the Deed of Charge. 0.00
324,211.83
Payments to Noteholders 1,392,955.93
Total payments from the Transaction Account: 1,717,167.76
* Monthly withdrawal from Collection Account
for Carotene Account 8,846.56
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© COPYRIGHT 2005 Deutsche Bank
Page 7 of 8 Pages
Aircraft Lease Portfolio Securitization
96-1 Pass Through Trust
Statement To Certificateholders
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CERTIFICATE PAYMENTS DETAIL REPORT
Distribution Date:15-Mar-05
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1. PAYMENT CALCULATIONS SUMMARY:
1.1. INDICES
Current LIBOR Index Rate 2.5625%
Next LIBOR Index Rate 2.8125%
1.2. INTEREST AMOUNTS
CLASS ACCRUED and UNPAID INTEREST AMOUNTS
Note Other (1) Total
A Note 176,094.40 1,236,724.83 1,412,819.23
B Note 109,451.94 558,862.75 668,314.69
C Note 120,382.98 540,328.50 660,711.48
D Note 10,034,782.97 1,993,117.51 12,027,900.48
E Note 58,924,593.69 0.00 58,924,593.69
69,365,305.98 4,329,033.59 73,694,339.57
CLASS UNPAID BALANCE
Note Other (1) Total
A Note 0.00 1,236,724.83 1,236,724.83
B Note 0.00 558,862.75 558,862.75
C Note 0.00 540,328.50 540,328.50
D Note 10,034,782.97 1,993,117.51 12,027,900.48
E Note 58,924,593.69 0.00 58,924,593.69
68,959,376.66 4,329,033.59 73,288,410.25
Notes: (1) 'Other' includes Step-Up, Default and Additional Interest.
1.3. PRINCIPAL AMOUNTS
CLASS Target Target Additional Target Amount
Balance Amount Principal Shortfall
A Note (0.00) 77,206,166.28 0.00 76,219,139.67
B Note 40,063,750.00 0.00 0.00 0.00
C Note 35,256,100.00 4,303,803.71 0.00 4,303,803.71
D Note 28,845,900.00 5,176,800.00 0.00 5,176,800.00
86,686,769.99 0.00 85,699,743.38
1.4. OTHER AMOUNTS
a) Class D Note Unpaid Makewhole Premium Amount 0.00
b) Class E Contingent Interest Amount 0.00
c) Unpaid Annual Dividends Balance 0.00
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© COPYRIGHT 2005 Deutsche Bank
Page 8 of 8 Pages
Aircraft Lease Portfolio Securitization
96-1 Pass Through Trust
Statement To Certificateholders
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ADDITIONAL ITEMS REPORT
Distribution Date: 15-Mar-05
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1. ACCOUNT ACTIVITY SUMMARY:
Note: Amounts reflect activity which has occurred during the relevant Due Period, as well as transfers resulting
from the current Payment Date.
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Name Prior Balance Deposits Withdrawals Adjustments Balance
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COLLECTION ACCOUNT
Collections Sub-Account 22,115,147.35 1,793,020.41 1,717,167.76 0.00 22,191,000.00
Expense Sub-Account 28,296.25 239,536.84 267,833.09 0.00 0.00
Aircraft Purchase Sub-Account 0.00 0.00 0.00 0.00 0.00
Class D Note Interest
Reserve Sub-Account 0.00 0.00 0.00 0.00 0.00
Contingency Reserve Sub-Account 1,400,000.00 2,523.60 2,523.60 0.00 1,400,000.00
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TOTALS: 23,543,443.60 2,035,080.85 1,987,524.45 0.00 23,591,000.00
LESSEE FUNDED ACCOUNT
Segregated Maintenance Reserve Sub-Account 0.00 0.00 0.00 0.00 0.00
Segregated Security Deposit Sub-Account 0.00 0.00 0.00 0.00 0.00
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TOTALS: 0.00 0.00 0.00 0.00 0.00
Liquidity Reserve Amount 22,191,000.00
Amounts held in respect of the Liquidity Reserve Amount within the Collection Account 22,191,000.00
Surplus/(Shortfall) 0.00
2. MISCELLANEOUS:
2.1. AIRCRAFT DETAILS
Aircraft Aircraft Avg. Appraised Date Aircraft Event Event Sale/Insurance
Lessee Serial Number Value (1) Appraised Book Value Date Description(2) Proceeds
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N/A 127 0.00 n/a 0.00 8/2/1999 S 5,525,217.00
N/A 283 0.00 n/a 0.00 12/20/2002 S 20,757,041.00
N/A 11287 0.00 n/a 0.00 7/2/1999 S 12,646,518.00
N/A 22381 0.00 n/a 0.00 7/24/1997 S 35,000,000.00
Batavia Air 23869 13,860,000.00 30-Jun-2004 17,208,124.44 -
Travel Service 23870 14,540,000.00 30-Jun-2004 17,713,169.44 -
Transaero Airlines 24519 14,990,000.00 30-Jun-2004 18,368,209.44 -
China Southern 24898 13,340,000.00 30-Jun-2004 16,104,357.50 -
N/A 24914 0.00 n/a 0.00 10/1/2002 S 11,577,067.00
Air Canada 24952 37,680,000.00 30-Jun-2004 50,169,845.00 -
Air Canada 25000 37,170,000.00 30-Jun-2004 50,221,627.50 -
Air 2000
(First Choice Airways) 25054 23,630,000.00 30-Jun-2004 32,467,627.50 -
Meridiana 49785 10,510,000.00 30-Jun-2004 16,929,280.00 -
Allegiant Air 49786 10,900,000.00 30-Jun-2004 17,039,496.67 -
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176,620,000.00 236,221,737.50 85,505,843.00
Notes: (1) Appraised Values have been provided by: Avitas Inc., Aircraft Information Services Inc.
and BK Associates Inc.
(2) Event Description Key: S = sold, L = loss and PDE = Premium Disposition Event.
2.2. AMENDMENTS TO THE LIST OF NON-ACCEPTABLE COUNTRIES
None
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© COPYRIGHT 2005 Deutsche Bank