Exhibit 20.1

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                      DILLARD CREDIT CARD MASTER TRUST I
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                   Dillard Asset Funding Company, Transferor
                        Dillard National Bank, Servicer

                                 Series 2000-1


Monthly Series 2000-1 Certificateholders' Statement


         Capitalized terms used in this Certificate have their respective
meanings set forth in the Amended and Restated Pooling and Servicing
Agreement; provided, that the preceding Monthly Period shall mean the Monthly
Period immediately preceding the calendar month in which this Certificate is
delivered. This Certificate is delivered pursuant to subsection 3.4(b) of the
Amended and Restated Pooling and Servicing Agreement. References herein to
certain sections and subsections are references to the respective sections and
subsections of the Amended and Restated Pooling and Servicing Agreement.






For Month December 2002

                                                                              
5.2(a)(i)    on an aggregate basis:

                  Class A Monthly Principal                                                   0.00

                  Class B Monthly Principal                                                   0.00

             per $1,000 original principal amount per Certificate:

                  Class A Monthly Principal                                                   0.00

                  Class B Monthly Principal                                                   0.00

5.2(a)(ii)   on an aggregate basis:

                  Class A Monthly Interest                                              281,666.67

                  Class B Monthly Interest                                                    0.00


             per $1,000 original principal amount per Certificate:

                  Class A Monthly Interest                                                    1.41

                  Class B Monthly Interest                                                    0.00





5.2(a)(iii)  Collections of Principal Receivables allocated to Class A                        0.00

             Collections of Principal Receivables allocated to Class B                        0.00


5.2(a)(iv)   Collections of Finance Charge Receivables allocated to Class A           3,575,759.11

             Collections of Finance Charge Receivables allocated to Class B           1,068,083.89


5.2(a)(v)    Principal Receivables (beginning of month)                           1,298,386,054.65
                  Gross Credit Sales                                                424,173,786.09
                  Principal Payments                                               (198,312,118.98)
                  Returns                                                           (49,629,509.48)
                  Principal Defaults                                                (10,370,623.02)
                  Ineligible Principal Receivables                                            0.00
                  Actual Misc. Adjustments                                                    0.00

             Principal Receivables (end of month)                                 1,464,247,589.26

             Total Portfolio Recoveries
                  Gross Recoveries                                                    1,479,133.60
                  Recoveries Net of Expenses                                            960,405.01

             Total Portfolio Finance Charge Collections
                  Finance Charge Collections                                         22,253,173.81
                  Finance Charge Collections with Recoveries                         23,213,578.82

             Investor Interest                                                      259,740,260.00

             Adjusted Investor Interest                                             259,740,260.00

                  Class A Investor Interest                                         200,000,000.00

                  Class A Adjusted Investor Interest                                200,000,000.00

                  Class B Investor Interest                                          59,740,260.00

             Floating Investor Percentage                                                    20.00%

                  Class A Floating Allocation                                                77.00%

                  Class B Floating Allocation                                                23.00%

             Fixed Investor Percentage                                                         N/A

                  Class A Fixed Allocation                                                     N/A

                  Class B Fixed Allocation                                                     N/A


5.2(a)(vi)   Delinquent Accounts




                  30-59 Days Delinquent                                              50,625,775.00

                  60-89 Days Delinquent                                              19,035,215.00

                  90 + Days Delinquent                                               38,659,192.00


5.2(a)(vii)  Aggregate Investor Default Amount                                        2,074,628.20

                  Class A Investor Default Amount                                     1,597,463.71

                  Class B Investor Default Amount                                       477,164.49


5.2(a)(viii) on an aggregate basis:

                  Class A Investor Charge-Offs                                                0.00

                  Class B Investor Charge-Offs                                                0.00

             per $1,000 original principal amount per Certificate:

                  Class A Investor Charge-Offs                                                0.00

                  Class B Investor Charge-Offs                                                0.00


5.2(a)(ix)   on an aggregate basis:

                  Class A Investor Charge-Offs reimbursed                                     0.00

                  Class B Investor Charge-Offs reimbursed                                     0.00

             per $1,000 original principal amount per Certificate:

                  Class A Investor Charge-Offs reimbursed                                     0.00

                  Class B Investor Charge-Offs reimbursed                                     0.00


5.2(a)(x)    on an aggregate basis:

                  Class A Servicing Fee                                                 333,333.33

                  Class B Servicing Fee                                                       0.00


5.2(a)(xi)   Portfolio Yield                                                                 11.87%


5.2(a)(xii)  Reallocated Class B Principal Collections                                        0.00





5.2(a)(xiii) Class B Investor Interest                                               59,740,260.00


5.2(a)(xiv)  LIBOR for Interest Period                                                     1.42000%


5.2(a)(xv)   Principal Funding Account Balance                                                0.00


5.2(a)(xvi)  Accumulation Shortfall                                                           0.00


5.2(a)(xvii) Principal Funding Account Investment Proceeds                                    0.00

5.2(a)(xviii)Principal Funding Investment Shortfall                                           0.00


5.2(a)(xix)  on an aggregate basis:

                  Class A Available Funds                                             3,575,759.11


5.2(a)(xx)   Class A Certificate Rate                                                      1.69000%


             Other items

                  Number of Accounts (beginning of month)                                2,284,416
                  Number of Accounts (end of month)                                      2,521,122

                  Collateral Performance

                       Total Payment Rate                                                    17.06%

                       Portfolio Yield (Gross)                                               21.45%

                       Excess Spread (current month)*                                         9.03%
                       Excess Spread (previous month)                                         9.41%
                       Excess Spread (2 months previous)                                      9.91%
                       ----------------------------------------------------------------------------
                       Excess Spread (3 month rolling Average)                                9.45%

                       * Please note that Excess Spread is calculated on a
                       cash basis and may be higher than Spread to Base Rate
                       in any given month. Spread to Base Rate assumes coupon
                       and servicing fee are allocated based upon the entire
                       invested amount.

                       Defaults                                                               9.58%

                       30-59 Days Delinquent                                                  3.90%
                       60-89 Days Delinquent                                                  1.47%



                       90 + Days Delinquent                                                   2.98%
                       ----------------------------------------------------------------------------
                       Total Delinquent                                                       8.34%

                       Principal Payment Rate                                                15.27%

                       Pool Balance in $MM (end of month)                                    1,464

                       Seller Percent                                                        52.09%

                  Series Performance Trigger (as defined in Pooling and Servicing Agreement)

                       Net Portfolio Yield (current month, net of Charge-offs)               11.87%
                       Net Portfolio Yield (previous month)                                  12.26%
                       Net Portfolio Yield (2 months previous)                               13.10%
                       ----------------------------------------------------------------------------
                       Net Portfolio Yield (3 month rolling average)                         12.41%

                       Base Rate (current month)                                              3.69%
                       Base Rate (previous month)                                             3.71%
                       Base Rate (2 months previous)                                          4.14%
                       ----------------------------------------------------------------------------
                       Base Rate (3 month rolling average)                                    3.85%

                       Spread to Base Rate (current month)                                    8.18%
                       Spread to Base Rate (previous month)                                   8.55%
                       Spread to Base Rate (2 months previous)                                8.96%
                       ----------------------------------------------------------------------------
                       Spread to Base Rate (3 month rolling average)                          8.56%

                       Base Rate > Portfolio Yield (3 month rolling average)                    No




                                      Dillard National Bank
                                       as Servicer


                                      By:____________________________________
                                         Title:  Cashier





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                      DILLARD CREDIT CARD MASTER TRUST I
- ------------------------------------------------------------------------------

                   Dillard Asset Funding Company, Transferor
                        Dillard National Bank, Servicer

                                Series 2002-2


Monthly Series 2002-2 Certificateholders' Statement


          Capitalized terms used in this Certificate have their respective
meanings set forth in the Amended and Restated Pooling and Servicing
Agreement; provided, that the preceding Monthly Period shall mean the Monthly
Period immediately preceding the calendar month in which this Certificate is
delivered. This Certificate is delivered pursuant to subsection 3.4(b) of the
Amended and Restated Pooling and Servicing Agreement. References herein to
certain sections and subsections are references to the respective sections and
subsections of the Amended and Restated Pooling and Servicing Agreement.

For the Period December 2002




                                                      Class A              Class B             Class C                Total
                                                                                                       

           Section 5.2 - Supplement

(a)(i)     Monthly Principal Distributed                        --                  --                  --                     --

(a)(ii)    Monthly Interest Distributed per $1,000            3.17                  --                  --                   3.17
                  Deficiency Amounts                            --                  --                  --                     --
                  Additional Interest                           --                  --                  --                     --
                  Accrued and Unpaid Interest                   --                  --                  --                     --

(a)(iii)   Collections of Principal Receivables      37,630,966.28        3,156,109.14        7,769,010.08          48,556,085.50

(a)(iv)    Collections of Finance Charge
             Receivables                              3,575,760.50          299,899.03          738,224.98           4,613,884.51

(a)(v)     Aggregate Amount of Principal
             Receivables                            225,548,878.01       18,916,784.40       46,565,147.78         291,030,810.19
                        Investor Interest           200,000,000.00       16,774,000.00       41,290,516.00         258,064,516.00
                        Adjusted Interest           200,000,000.00       16,774,000.00       41,290,516.00         258,064,516.00
                  Floating Investor Percentage               15.40%               1.29%               3.18%                 19.88%
                  Fixed Investor Percentage                N/A                 N/A                 N/A                    N/A

(a)(vi)    Receivables Delinquent (As % of
             Total Receivables)
               Current           92.60%                                                                          1,355,927,407.26
               30 to 59 days      3.46%                                                                             50,625,775.00
               60 to 89 days      1.30%                                                                             19,035,215.00
               90 or more days    2.64%                                                                             38,659,192.00
               Total Receivables                                                                                 1,464,247,589.26

(a)(vii)   Investor Default Amount per $1,000                 7.99                0.67                1.65                  10.31

(a)(viii)  Investor Charge-Offs                            N/A                 N/A                 N/A                    N/A

(a)(ix)    Reimbursed Investor Charge-Offs                 N/A                 N/A                 N/A                    N/A

           Section 5.2 - Supplement (Continued)

                                                      Class A              Class B             Class C                Total


(a)(x)     Servicing Fee                                333,333.33           27,956.67           68,817.53             430,107.53

(a)(xi)    Portfolio Yield                                                                                                 11.87%




(a)(xii)   Reallocated Monthly Principal                        --                  --                  --                     --

(a)(xiii)  Closing Investor Interest                200,000,000.00       16,774,000.00       41,290,516.00         258,064,516.00

(a)(xiv)   Principal Funding Account Balance                                                                                   --

(a)(xv)    Accumulation Shortfall                                                                                              --

(a)(xvi)   Principal Funding Investment Proceeds                                                                               --

(a)(xvii)  Principal Investment Funding Shortfall                                                                              --

(a)(xviii) Available Funds                            3,575,760.50          299,899.03          738,224.98           4,613,884.51

(a)(xix)   Certificate Rate                                   3.80%               0.00%               0.00%


           Additional Information


           Principal Receivables - (Total
             Trust Pool)
           Beginning Balance - 12/01/2002                                                                        1,298,386,054.65
           Credit Purchases                                                                                        424,173,786.09
           Credit Returns                                                                                          (49,629,509.48)
           Collections                                                                                            (220,565,292.79)
           Finance Chgs & Late Fees                                                                                 24,509,429.95
           Charge-offs                                                                                             (12,626,879.16)
           Accounts Purchased / Sold                                                                                           --
                                                                                                              -------------------
           Ending Balance - 12/31/2002                                                                           1,464,247,589.26
                                                                                                              ===================

           Total Interest to be Distributed                                                                            633,333.33
                                                                                                              ===================



           Dillard National Bank, as Servicer

           By:      __________________
                    James P. Turk
                    Cashier