EXHIBIT 20
Monthly Servicing Report
Capital Auto Receivables Asset Trust 2005-1
November 2005
Distribution Date: 12/15/05
Original Inputs | ||||||
Total Pool Balance | $ | 3,313,888,879.69 | ||||
Class A-1 Notes Balance | $ | 550,000,000.00 | ||||
Class A-1 Notes Rate | One Month LIBOR + 0.01 | % | ||||
Class A-2a Notes Balance | $ | 450,000,000.00 | ||||
Class A-2a Notes Rate | One Month LIBOR + 0.04 | % | ||||
Class A-2b Notes Balance | $ | 250,000,000.00 | ||||
Class A-2b Notes Rate | 3.730 | % | ||||
Class A-3 Notes Balance | $ | 600,000,000.00 | ||||
Class A-3 Notes Rate | One Month LIBOR + 0.06 | % | ||||
Class A-4 Notes Balance | $ | 760,000,000.00 | ||||
Class A-4 Notes Rate | 4.050 | % | ||||
Class A-5 Notes Balance | $ | 229,825,000.00 | ||||
Class A-5 Notes Rate | One Month LIBOR + 0.10 | % | ||||
Class B Notes Balance | $ | 122,803,000.00 | ||||
Class B Notes Rate | One Month LIBOR + 0.375 | % | ||||
Class C Notes Balance | $ | 46,051,000.00 | ||||
Class C Notes Rate | 4.730 | % | ||||
Class D Notes Balance | $ | 30,701,000.00 | ||||
Class D Notes Rate | 6.500 | % | ||||
Overcollateralization | $ | 30,701,224.17 | ||||
Reserve Account Deposit | $ | 15,350,406.12 | ||||
Discount Rate | 7.50 | % | ||||
Part I. Collections | ||||||
Receipts During the Period | $ | 101,627,061.27 | ||||
Principal on Repurchased Contracts | 2,936,601.11 | |||||
Liquidation Proceeds (Recoveries) | 1,728,930.73 | |||||
Schedule and Simple Interest Payments Advanced | 440,135.35 | |||||
Schedule Principal Advanced | 1,183,496.42 | |||||
Total Collections Available For the Period | $ | 107,916,224.88 | ||||
Beginning Pool Aggregate Principal Balance | $ | 2,620,732,835.38 | ||||
Ending Pool Aggregate Principal Balance | $ | 2,520,283,656.76 | ||||
Scheduled Principal Collection | $ | 84,756,242.61 | ||||
Beginning Aggregate Discounted Principal Balance | $ | 2,443,232,363.90 | ||||
Ending Aggregate Discounted Principal Balance | $ | 2,352,572,535.66 | ||||
Part II. Distributions to Noteholders and Certificateholders | ||||||
Total Collections | $ | 107,916,224.88 | ||||
Plus: Reserve Account Draw | — | |||||
Plus: Net Amount Due From Swap Counterparty | 315,601.65 | |||||
Less: Total Servicing Fee | 4,367,888.06 | |||||
Less: Net Amount Due to Swap Counterparty | — | |||||
Less: Monthly Interest Due to Noteholders | 8,351,541.04 | |||||
Less: Principal Due to Noteholders | 90,659,828.24 | |||||
Less: Reserve Account Deposit | — | |||||
Less: Accumulation Account Deposit | — | |||||
Equals Reserve Fund Excess to be released to CARI | $ | 4,852,569.19 | ||||
Page 1
Monthly Servicing Report
Capital Auto Receivables Asset Trust 2005-1
November 2005
Distribution Date: 12/15/05
Per $1000 of | ||||||||
Original Principal | ||||||||
Class A-1 Notes Distributable Amount | ||||||||
Monthly Interest | $ | 0.00 | — | |||||
Monthly Principal | — | — | ||||||
Distributable Amount | $ | — | ||||||
Class A-2a Notes Distributable Amount | ||||||||
Monthly Interest | $ | 1,388,736.83 | 3.086082 | |||||
Monthly Principal | 58,281,318.15 | 129.514040 | ||||||
Distributable Amount | $ | 59,670,054.98 | ||||||
Class A-2b Notes Distributable Amount | ||||||||
Monthly Interest | $ | 691,771.95 | 2.767088 | |||||
Monthly Principal | 32,378,510.09 | 129.514040 | ||||||
Distributable Amount | $ | 33,070,282.04 | ||||||
Class A-3 Notes Distributable Amount | ||||||||
Monthly Interest | $ | 2,090,000.00 | 3.483333 | |||||
Monthly Principal | — | — | ||||||
Distributable Amount | $ | 2,090,000.00 | ||||||
Class A-4 Notes Distributable Amount | ||||||||
Monthly Interest | $ | 2,565,000.00 | 3.375000 | |||||
Monthly Principal | — | — | ||||||
Distributable Amount | $ | 2,565,000.00 | ||||||
Class A-5 Notes Distributable Amount | ||||||||
Monthly Interest | $ | 808,217.92 | 1.063445 | |||||
Monthly Principal | — | — | ||||||
Distributable Amount | $ | 808,217.92 | ||||||
Class B Notes Distributable Amount | ||||||||
Monthly Interest | $ | 459,999.57 | 3.745833 | |||||
Monthly Principal | — | — | ||||||
Distributable Amount | $ | 459,999.57 | ||||||
Class C Notes Distributable Amount | ||||||||
Monthly Interest | $ | 181,517.69 | 3.941667 | |||||
Monthly Principal | — | — | ||||||
Distributable Amount | $ | 181,517.69 | ||||||
Class D Notes Distributable Amount | ||||||||
Monthly Interest | $ | 166,297.08 | 5.416667 | |||||
Monthly Principal | — | — | ||||||
Distributable Amount | $ | 166,297.08 | ||||||
Total Servicing Fee | $ | 4,367,888.06 | 1.318055 | |||||
LIBOR Rate effective for current distribution Period | 4.12 | % |
Page 2
Monthly Servicing Report
Capital Auto Receivables Asset Trust 2005-1
November 2005
Distribution Date: 12/15/05
Part III. Payment Ahead and Advances | ||||||||
Payment Ahead Servicing Account | ||||||||
Beginning Payment Ahead Balance | $ | 5,866,855.56 | ||||||
Less: Payments Applied | 1,538,385.70 | |||||||
Current Period Payments Ahead Received | 1,099,562.13 | |||||||
Ending Payment Ahead Balance | $ | 5,428,031.99 | ||||||
Advance Account | ||||||||
Beginning Outstanding Unreimbursed Scheduled Principal and Interest Advances | $ | 2,931,591.13 | ||||||
Beginning Outstanding Unreimbursed Simple Interest Advances | 1,718,824.93 | |||||||
Scheduled Principal and Interest Advances | 1,393,573.80 | |||||||
Simple Interest Advances | 230,057.97 | |||||||
Reimbursement of Previous Scheduled Principal and Interest Advances | 937,014.49 | |||||||
Reimbursement of Previous Simple Interest Advances | — | |||||||
Ending Outstanding Unreimbursed Scheduled Principal and Interest Advances | $ | 3,388,150.44 | ||||||
Ending Outstanding Unreimbursed Simple Interest Advances | $ | 1,948,882.90 | ||||||
Part IV. Balances & Principal Factors | ||||||||
Beginning of Period | End of Period | |||||||
Total Pool Balance | $ | 2,620,732,835.38 | $ | 2,520,283,656.76 | ||||
Total Pool Factor | 0.7908330 | 0.7605215 | ||||||
Class A-1 Notes Balance | $ | — | $ | — | ||||
Class A-1 Notes Principal Factor | — | — | ||||||
Class A-2a Notes Balance | $ | 400,597,161.26 | $ | 342,315,843.11 | ||||
Class A-2a Notes Principal Factor | 0.8902159 | 0.7607019 | ||||||
Class A-2b Notes Balance | $ | 222,553,978.48 | $ | 190,175,468.39 | ||||
Class A-2b Notes Principal Factor | 0.8902159 | 0.7607019 | ||||||
Class A-3 Notes Balance | $ | 600,000,000.00 | $ | 600,000,000.00 | ||||
Class A-3 Notes Principal Factor | 1.0000000 | 1.0000000 | ||||||
Class A-4 Notes Balance | $ | 760,000,000.00 | $ | 760,000,000.00 | ||||
Class A-4 Notes Principal Factor | 1.0000000 | 1.0000000 | ||||||
Class A-5 Notes Balance | $ | 229,825,000.00 | $ | 229,825,000.00 | ||||
Class A-5 Notes Principal Factor | 1.0000000 | 1.0000000 | ||||||
Class B Notes Balance | $ | 122,803,000.00 | $ | 122,803,000.00 | ||||
Class B Notes Principal Factor | 1.0000000 | 1.0000000 | ||||||
Class C Notes Balance | $ | 46,051,000.00 | $ | 46,051,000.00 | ||||
Class C Notes Principal Factor | 1.0000000 | 1.0000000 | ||||||
Class D Notes Balance | $ | 30,701,000.00 | $ | 30,701,000.00 | ||||
Class D Notes Principal Factor | 1.0000000 | 1.0000000 |
Pool Statistics | Inception | Beg of Period | End of Period | |||||||||
Number of Accounts | 189,292 | 169,160 | 165,693 | |||||||||
Weighted Average Coupon | 4.24 | % | 4.04 | % | 4.02 | % | ||||||
Weighted Average Remaining Term | 47.87 | 42.75 | 41.96 | |||||||||
Weighted Average Age | 12.75 | 17.87 | 18.66 | |||||||||
Page 3
Monthly Servicing Report
Capital Auto Receivables Asset Trust 2005-1
November 2005
Distribution Date: 12/15/05
Part V. Reserve Account
Per $1000 of | ||||||||||||
Original Principal | ||||||||||||
Beginning Reserve Account Balance | $ | 15,350,406.12 | ||||||||||
Draw for Servicing Fee | — | — | ||||||||||
Draw for Class A-1a Notes Distributable Amount | — | — | ||||||||||
Draw for Class A-1b Notes Distributable Amount | — | — | ||||||||||
Draw for Class A-2 Notes Distributable Amount | — | — | ||||||||||
Draw for Class A-3 Notes Distributable Amount | — | — | ||||||||||
Draw for Class A-4 Notes Distributable Amount | — | — | ||||||||||
Draw for Class B Notes Distributable Amount | — | — | ||||||||||
Draw for Class C Notes Distributable Amount | — | — | ||||||||||
Draw for Class D Notes Distributable Amount | — | — | ||||||||||
Additions to Reserve Account (for Accumulation Account) | — | — | ||||||||||
Additions to Reserve Account | — | — | ||||||||||
Releases from Reserve Account | — | — | ||||||||||
Ending Reserve Account Balance | $ | 15,350,406.12 | ||||||||||
Early Amortization Trigger: | ||||||||||||
Reserve Account Balance is less than the Specified Reserve Account Balance for Two Consecutive Months | ||||||||||||
Preceding Collection Period | ||||||||||||
Specified Reserve Account Balance | $ | 15,350,406.12 | ||||||||||
Reserve Account Balance | $ | 15,350,406.12 | ||||||||||
Current Collection Period | ||||||||||||
Specified Reserve Account Balance | $ | 15,350,406.12 | ||||||||||
Reserve Account Balance | $ | 15,350,406.12 | ||||||||||
Part VI. Carryover Shortfall | ||||||||||||
Per $1000 of | ||||||||||||
Original Principal | ||||||||||||
Noteholders’ Interest Carryover Shortfall | $ | — | — | |||||||||
Noteholders’ Principal Carryover Shortfall | $ | — | — | |||||||||
Part VII. Charge Off and Delinquency Rates | ||||||||||||
Charge Off Rate | Average Receivables | Net Charge-Offs | Loss Rate | |||||||||
November 2005 | $ | 2,570,508,246.07 | $ | 1,291,500.48 | 0.6029 | % | ||||||
October 2005 | $ | 2,674,017,966.22 | $ | 955,441.68 | 0.4288 | % | ||||||
September 2005 | $ | 2,782,587,827.89 | $ | 815,133.27 | 0.3515 | % | ||||||
Three Month Average Loss Rate | 0.4611 | % | ||||||||||
Delinquency Rate* | Total Accounts | Accounts Over 60 | % Delinquent | |||||||||
November 2005 | 165,693 | 698 | 0.4213 | % | ||||||||
October 2005 | 169,160 | 789 | 0.4664 | % | ||||||||
September 2005 | 173,080 | 724 | 0.4183 | % | ||||||||
Three Month Average Delinquency Rate | 0.4353 | % |
* Includes delinquencies on Hurricane accounts held in special handling. The delinquency detail on the Hurricane accounts only is as follows:
Hurricane Accounts | ||||||||||||
October Accounts Over 60 | 88 | |||||||||||
Delinquency Stratification | Total Accounts | Total $ | ||||||||||
31-60 days | 4,642 | $ | 72,126,684.59 | |||||||||
61-90 days | 609 | $ | 9,796,693.89 | |||||||||
>90 days | �� | 89 | $ | 1,641,953.40 |
Page 4
Monthly Servicing Report
Capital Auto Receivables Asset Trust 2005-1
November 2005
Distribution Date: 12/15/05
Part VIII. Prepayment Rate
Month | Prepayment Rate | |||
1 | 0.728% | |||
2 | 1.980% | |||
3 | 1.570% | |||
4 | 1.811% | |||
5 | 1.410% | |||
6 | 1.330% | |||
7 | 1.206% |
Page 5