<Page> CNH EQUIPMENT TRUST 2000-B $107,000,000 Class A-1 6.66% Asset Backed Notes due October 12, 2001 $353,000,000 Class A-2 6.87% Asset Backed Notes due February 16, 2004 $244,000,000 Class A-3 6.88% Asset Backed Notes due March 15, 2005 $231,000,000 Class A-4 6.95% Asset Backed Notes due September 17, 2007 $42,500,000 Class B 7.14% Asset Backed Notes due September 17, 2007 $22,500,000 7.14% Asset Backed Certificates <Table> Prepared by: Karen Kudla (262) - 636 - 7381 300080 300081 300083 300181 ------------------------------------------------------------------- Cutoff Date ------------------------------------------------------------------- ------------------------------------------------------------------- Date Added 8/31/2000 8/31/2000 8/31/2000 8/31/2000 ------------------------------------------------------------------- ------------------------------------------------------------------- Pool POOL 1 POOL 2 POOL 3 POOL 4 ------------------------------------------------------------------- Scheduled Cashflows 1,195,020.92 1,603,302.96 222,951.06 456,252.67 992,874.90 1,969,627.91 244,560.27 983,741.04 1,265,758.55 2,477,777.38 306,577.06 885,061.12 1,165,952.05 3,335,782.54 490,458.61 529,227.62 1,220,245.96 2,794,372.71 462,504.03 82,099.03 1,041,379.68 2,256,124.16 381,630.41 74,182.23 999,180.38 2,233,953.71 314,553.90 63,323.16 962,972.57 2,967,395.10 296,532.68 103,520.01 885,175.93 4,619,690.84 312,026.79 1,178.75 943,586.18 7,093,371.65 282,085.93 44,168.21 2,659,746.01 4,856,460.53 331,019.57 1,178.75 3,855,410.10 2,201,899.84 300,786.67 23,289.97 1,692,051.81 2,224,349.97 272,594.12 78,245.55 963,389.56 1,946,827.34 262,722.40 163,575.87 1,132,849.60 2,194,792.65 307,091.90 12,682.54 1,052,276.75 3,122,881.95 475,384.95 0.00 1,078,101.14 2,626,566.93 484,920.93 0.00 940,332.01 1,995,316.69 383,466.98 0.00 900,494.42 2,056,734.38 263,902.40 0.00 862,323.79 2,769,945.35 235,043.08 0.00 788,049.47 4,401,739.77 292,699.21 0.00 819,585.99 6,746,879.08 234,736.34 0.00 2,482,539.02 4,353,205.44 283,073.00 0.00 3,613,887.41 1,672,849.61 247,678.93 0.00 1,415,916.01 1,592,032.08 215,428.31 0.00 752,098.71 1,360,816.09 197,563.87 0.00 891,955.71 1,607,645.93 237,358.81 0.00 786,977.13 2,196,597.14 264,004.00 0.00 857,486.22 1,920,533.70 353,678.55 0.00 682,093.55 1,458,268.21 254,693.53 0.00 606,031.78 1,533,783.74 162,107.27 0.00 638,104.81 1,984,054.62 127,000.54 0.00 559,321.36 2,938,309.09 191,965.14 0.00 579,022.70 4,423,423.45 116,385.01 0.00 1,785,041.76 2,643,765.17 169,935.32 0.00 2,434,031.77 832,328.33 136,814.56 0.00 914,681.81 736,619.90 102,287.16 0.00 387,539.76 601,859.39 93,631.10 0.00 460,530.36 780,933.48 126,033.60 0.00 404,059.38 1,676,686.11 152,643.93 0.00 492,150.97 1,320,673.65 241,668.78 0.00 343,269.72 618,344.05 79,703.83 0.00 301,896.48 790,512.53 81,571.59 0.00 350,973.23 917,430.10 31,731.32 0.00 231,158.12 1,635,141.79 55,862.35 0.00 235,591.53 2,635,242.48 70,484.07 0.00 1,060,725.89 1,454,983.70 50,393.88 0.00 1,507,530.10 165,100.54 2,182.44 0.00 553,421.85 120,983.01 512.00 0.00 87,076.56 16,388.49 512.00 0.00 79,521.14 111,147.84 38,362.07 0.00 107,132.89 98,001.97 15,433.15 0.00 31,651.60 94,070.52 0.00 0.00 869.78 1,403.16 0.00 0.00 869.78 55,993.59 0.00 0.00 869.78 86,182.40 0.00 0.00 869.78 50,897.70 0.00 0.00 869.78 93,591.75 0.00 0.00 183,092.19 0.00 27,509.63 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Total Amount of Scheduled Cashflow 53,237,618.19 113,075,594.19 11,286,459.03 3,501,726.52 Discount Rate 8.629% 8.629% 8.629% 8.629% Beginning Contract Value 55,888,207.29 103,308,336.27 10,193,434.19 4,355,815.50 Scheduled Contract Value Decline 3,219,361.85 3,020,856.51 475,138.86 1,363,800.90 Unscheduled Contract Value Decline 6,629,354.65 1,778,730.84 (233,447.40) (439,306.40) Additional Contract Value Added 0.00 0.00 0.00 0.00 Ending Contract Value 46,039,490.78 98,508,748.92 9,951,742.72 3,431,321.00 ==================================================================================================================================== Prepared by: Karen Kudla (262) - 636 - 7381 5300080 300090 5300084 300085 ------------------------------------------------------------ Cutoff Date 9/30/2001 ------------------------------------------------------------ ------------------------------------------------------------ Date Added 8/31/2000 9/30/2000 10/31/2000 11/30/2000 ------------------------------------------------------------ ------------------------------------------------------------ Pool POOL 5 POOL 6 POOL 7 POOL 8 ------------------------------------------------------------ Scheduled Cashflows 3,624,534.47 1,050,532.86 979,355.68 3,627,936.55 2,467,274.13 545,818.51 1,669,637.09 6,206,529.87 3,584,261.35 715,773.84 424,853.48 8,150,665.68 4,166,785.78 763,152.43 466,889.25 4,147,518.41 3,464,056.66 638,773.48 450,851.30 2,358,344.36 3,186,766.73 681,888.38 436,394.73 1,927,698.85 3,113,466.47 775,145.58 556,031.54 2,505,235.71 4,289,712.88 608,369.00 491,325.53 2,280,731.62 6,872,599.00 632,135.28 378,042.54 2,182,637.94 8,357,315.55 656,943.29 411,388.94 1,907,072.07 6,360,402.51 710,103.78 425,061.58 2,033,722.94 5,325,659.06 1,697,741.69 474,112.83 3,399,093.39 2,899,571.56 2,568,034.13 1,738,351.36 10,486,385.99 3,154,103.97 676,018.86 2,195,592.31 7,595,577.99 3,516,927.06 673,064.52 410,883.79 8,045,081.18 4,008,334.72 714,446.54 447,162.34 4,049,171.89 3,303,927.59 604,715.95 418,021.08 2,444,927.39 3,033,790.51 644,563.82 414,141.18 1,807,188.05 2,938,404.40 728,264.41 518,414.66 2,375,872.60 4,058,892.66 559,771.59 440,135.26 2,107,544.44 6,359,426.41 581,948.21 350,400.78 2,041,596.78 7,800,119.37 594,060.91 381,082.85 1,741,392.55 5,624,690.98 659,886.35 371,233.73 1,861,599.32 4,610,708.57 1,547,159.80 419,636.09 3,197,069.88 2,223,946.34 2,370,540.38 1,652,819.20 9,620,005.34 2,438,837.23 541,041.01 1,975,131.68 6,990,222.22 2,753,961.40 554,437.78 343,103.16 7,591,455.25 3,184,362.44 573,807.11 369,912.49 3,536,310.45 2,721,171.82 472,076.32 346,510.29 1,694,244.81 2,359,231.27 505,406.07 357,461.52 1,334,504.52 2,273,285.59 561,775.68 419,889.61 1,837,576.75 3,135,538.95 440,053.87 366,420.13 1,553,979.23 4,833,745.11 452,122.47 289,107.65 1,488,822.84 6,178,725.13 469,936.15 314,768.57 1,271,435.71 4,225,436.75 524,358.98 305,115.17 1,362,122.13 3,366,279.02 1,283,310.30 333,291.08 2,271,104.03 1,569,906.16 1,809,484.07 1,392,214.66 7,205,980.85 1,686,031.66 369,504.08 1,615,135.19 5,142,005.98 1,873,621.90 429,172.51 247,921.95 5,751,298.38 2,290,240.76 401,343.96 264,560.29 2,652,965.85 1,782,541.88 324,666.72 249,341.48 967,805.14 1,623,310.24 356,122.98 206,975.00 696,947.02 1,545,482.37 401,020.03 320,196.32 982,456.82 2,215,341.62 290,794.27 249,872.75 705,943.34 3,189,587.34 300,648.48 194,024.27 718,531.99 3,994,849.16 316,108.22 216,755.70 532,456.69 2,250,451.81 368,804.50 205,664.57 695,020.59 1,506,578.77 915,812.55 263,040.70 1,462,923.39 88,973.18 1,186,366.33 969,444.38 5,130,990.09 48,344.74 16,610.34 1,257,695.77 3,425,701.07 91,249.18 46,189.67 43,405.62 3,837,269.80 167,574.31 5,827.78 27,076.54 1,513,247.95 56,190.47 20,570.09 45,891.94 50,899.77 34,107.07 29,022.49 19,043.86 77,669.38 103,353.31 48,476.36 19,043.86 113,938.38 144,456.51 5,447.20 23,310.20 34,011.42 189,010.78 5,042.42 19,043.86 1,819.43 127,031.30 4,909.10 18,891.58 14,316.33 4,800.12 69,068.50 18,802.83 1,819.43 0.00 1,183.26 60,302.43 87,422.37 0.00 1,256.13 123,307.16 195,278.41 0.00 0.00 113,991.18 101,883.94 0.00 0.00 17,341.95 188,008.54 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Total Amount of Scheduled Cashflow 172,399,288.08 36,500,631.37 30,544,826.51 171,320,991.08 Discount Rate 8.629% 8.578% 8.423% 8.986% Beginning Contract Value 153,133,425.42 34,784,551.00 27,909,667.40 205,849,364.14 Scheduled Contract Value Decline 5,222,638.41 2,845,902.74 1,577,747.96 14,505,602.37 Unscheduled Contract Value Decline (1,037,191.67) 634,366.66 183,150.34 45,444,634.99 Additional Contract Value Added 0.00 0.00 0.00 0.00 Ending Contract Value 148,947,978.68 31,304,281.60 26,148,769.09 145,899,126.78 ==========================================================================================7=================================== Prepared by: Karen Kudla (262) - 636 - 7381 300086 300087 5300085 300088 ------------------------------------------------------------ Cutoff Date ------------------------------------------------------------ ------------------------------------------------------------ Date Added 11/30/2000 11/30/2000 11/30/2000 12/31/2000 ------------------------------------------------------------ ------------------------------------------------------------ Pool POOL 9 POOL 10 POOL 11 POOL 12 ------------------------------------------------------------ Scheduled Cashflows 357,452.90 273,697.02 168,809.27 208,862.37 399,134.08 617,759.45 1,286,223.13 276,408.33 1,005,190.76 651,565.44 1,851,018.79 1,698,200.20 3,316,487.10 216,595.70 345,583.43 4,673,286.93 2,534,846.49 191,795.32 314,306.04 509,998.93 1,631,842.11 137,443.59 310,198.38 351,710.60 1,895,564.21 62,633.07 292,367.45 357,119.03 1,520,258.96 89,634.04 367,897.08 299,704.49 441,597.67 26,663.94 354,981.49 339,297.16 90,493.47 22,898.65 306,550.57 385,760.02 75,558.25 26,549.01 312,607.90 324,800.82 75,851.07 47,625.76 312,585.34 368,935.79 101,410.24 0.00 332,384.78 464,486.51 22,842.85 60,635.00 1,484,848.67 348,011.64 247,740.60 0.00 1,869,992.29 1,695,648.00 215,650.71 13,719.07 346,346.91 4,782,811.74 110,410.44 0.00 310,223.76 497,052.28 87,697.81 0.00 304,753.81 334,865.97 25,439.28 0.00 285,899.37 339,596.65 74,152.82 0.00 345,985.52 282,746.47 0.00 0.00 340,555.78 322,014.61 0.00 0.00 289,154.79 332,131.95 0.00 0.00 295,024.57 289,338.93 0.00 0.00 287,683.89 326,660.06 0.00 0.00 326,891.15 424,536.02 0.00 0.00 1,410,987.28 318,745.91 21,995.31 0.00 1,768,420.06 1,657,900.51 16,251.36 0.00 273,503.73 4,721,931.61 0.00 0.00 250,634.39 425,139.25 0.00 0.00 244,549.09 250,318.56 0.00 0.00 226,248.53 243,293.86 0.00 0.00 263,199.09 198,667.64 0.00 0.00 271,353.93 218,889.11 0.00 0.00 224,100.50 230,484.83 0.00 0.00 234,551.52 201,047.70 0.00 0.00 222,296.09 190,077.79 0.00 0.00 223,783.31 326,416.15 0.00 0.00 1,145,566.54 233,121.39 0.00 0.00 1,285,856.65 1,308,476.48 0.00 0.00 194,938.08 3,932,059.77 0.00 0.00 181,268.05 269,870.03 0.00 0.00 178,222.44 128,539.96 0.00 0.00 156,316.98 137,468.64 0.00 0.00 176,368.01 93,632.28 0.00 0.00 178,437.62 126,981.04 0.00 0.00 156,833.89 114,419.70 0.00 0.00 154,524.53 108,625.71 0.00 0.00 152,869.85 98,292.63 0.00 0.00 148,468.30 219,827.74 0.00 0.00 862,791.31 127,210.97 0.00 0.00 966,615.97 1,136,543.81 0.00 0.00 40,310.15 3,259,435.25 0.00 0.00 25,925.90 100,419.46 0.00 0.00 17,345.11 20,434.74 0.00 0.00 9,576.69 0.00 0.00 0.00 9,576.69 0.00 0.00 0.00 20,254.67 0.00 0.00 0.00 9,185.84 0.00 0.00 0.00 9,185.84 0.00 0.00 0.00 9,185.84 0.00 0.00 0.00 9,185.84 0.00 0.00 0.00 21,754.03 0.00 0.00 0.00 31,957.61 17,531.02 0.00 0.00 0.00 148,389.52 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Total Amount of Scheduled Cashflow 14,267,868.49 2,439,215.06 24,809,024.11 40,798,178.56 Discount Rate 8.986% 8.986% 8.986% 8.923% Beginning Contract Value 14,419,313.65 2,941,035.77 21,768,995.71 45,455,725.23 Scheduled Contract Value Decline 721,028.55 764,440.25 209,428.49 483,258.10 Unscheduled Contract Value Decline (39,940.09) (209,860.46) 462,079.57 10,548,875.07 Additional Contract Value Added 0.00 0.00 0.00 0.00 Ending Contract Value 13,738,225.18 2,386,455.97 21,097,487.65 34,423,592.05 ============================================================================================================================= Prepared by: Karen Kudla (262) - 636 - 7381 5300088 --------------- Cutoff Date --------------- --------------- Date Added 12/31/2000 --------------- --------------- Pool POOL 13 --------------- Scheduled Cashflows 224,596.18 187,331.43 1,576,996.13 794,449.19 223,804.78 207,613.15 203,157.40 226,700.41 279,390.45 262,851.94 239,063.98 238,016.69 219,492.73 250,720.58 1,646,447.99 791,677.40 207,013.23 190,280.22 185,716.29 207,096.38 259,373.03 228,133.88 206,267.52 202,268.58 186,692.99 219,108.37 1,512,790.12 669,636.77 162,118.37 141,826.22 136,436.93 149,750.16 189,361.52 174,975.62 146,701.12 153,868.50 139,959.38 187,910.61 1,297,924.30 499,334.00 116,085.91 89,217.36 88,983.47 103,107.98 121,848.55 124,014.82 89,412.73 99,613.62 278,035.54 97,477.74 1,135,317.40 290,720.62 2,813.02 2,300.83 2,300.83 2,300.83 2,300.83 2,300.83 2,300.83 2,300.83 2,300.83 2,295.24 176,709.13 36,741.33 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Total Amount of Scheduled Cashflow 18,097,655.64 Discount Rate 8.923% Beginning Contract Value 15,695,524.42 Scheduled Contract Value Decline 253,442.96 Unscheduled Contract Value Decline 112,789.37 Additional Contract Value Added 0.00 Ending Contract Value 15,329,292.09 ================================================================================ </Table> <Page> ================================================================================ CNH EQUIPMENT TRUST 2000-B $107,000,000 Class A-1 6.66% Asset Backed Notes due October 12, 2001 $353,000,000 Class A-2 6.87% Asset Backed Notes due February 16, 2004 $244,000,000 Class A-3 6.88% Asset Backed Notes due March 15, 2005 $231,000,000 Class A-4 6.95% Asset Backed Notes due September 17, 2007 $42,500,000 Class B 7.14% Asset Backed Notes due September 17, 2007 $22,500,000 7.14% Asset Backed Certificates <Table> Scheduled Payment Date 9/21/2000 10/15/2001 Actual Payment Date 9/21/2000 10/15/2001 Collection Period Begin Date 9/1/2001 Collection Period End Date 9/30/2001 Days in accrual period (30/360) 30 Days in accrual period (act/360) 28 COLLATERAL SUMMARY Wtd. Average Discount Rate 8.751% Beginning Contract Value 695,703,395.97 Scheduled Contract Value Decline 34,662,647.97 Unscheduled Contract Value Decline 63,834,235.48 Additional Contract Value Purchased 0.00 Ending Contract Value 597,206,512.52 Beginning Pre-funding Account Balance 0.00 Ending Pre-funding Account Balance 0.00 Total Beginning Balance (Pool Balance + Pre-funding Account Balance) 695,703,395.97 Total Ending Balance (Pool Balance + Pre-funding Account Balance) 597,206,512.52 COLLATERAL PERFORMANCE Scheduled Amounts 30 - 59 days past due $2,611,242.81 0.44% Scheduled Amounts 60 days or more past due $1,236,335.60 0.21% Net Losses on Liquidated Receivables $309,300.49 0.05% Cumulative Net Losses $2,570,064.36 Number of Loans at Beginning of Period 33,946 Number of Loans at End of Period 32,155 Repossessed Equipment not Sold or Reassigned (Beginning) $2,436,244.06 Repossessed Equipment not Sold or Reassigned (End) $2,620,847.99 COLLECTIONS AND REINVESTMENT INCOME Receipts During the period $102,277,957.47 Warranty Repurchases Contracts deferred beyond Final Scheduled Maturity Date $0.00 Government obligors $0.00 Total Warranty Repurchases $0.00 Total Collections For The Period $102,277,957.47 Reinvestment Income (excluding Pre-funding Account) $249,829.73 Reinvestment Income on Pre-funding Account) $0.00 Total Collections + Reinvestment Income For The Period $102,527,787.20 ==================================================================================================================== </Table> <Page> ================================================================================ CNH EQUIPMENT TRUST 2000-B $107,000,000 Class A-1 6.66% Asset Backed Notes due October 12, 2001 $353,000,000 Class A-2 6.87% Asset Backed Notes due February 16, 2004 $244,000,000 Class A-3 6.88% Asset Backed Notes due March 15, 2005 $231,000,000 Class A-4 6.95% Asset Backed Notes due September 17, 2007 $42,500,000 Class B 7.14% Asset Backed Notes due September 17, 2007 $22,500,000 7.14% Asset Backed Certificates <Table> Actual Payment Date 10/15/2001 CACLULATION OF DISTRIBUTABLE AMOUNTS Current Servicing Fee Due 1.000% $579,752.83 Past Due Servicing Fee $559,823.70 Total Servicing Fee Due $1,139,576.53 Current Administration Fee Due $500.00 $166.67 Past Due Administration Fee $0.00 Total Administration Fee Due $166.67 Total Principal Balance of Notes and Certificates (Beginning of Period) $695,703,395.97 A-1 notes Beginning Principal balance $0.00 A-2 notes Beginning Principal balance $168,636,001.64 A-3 notes Beginning Principal balance $244,000,000.00 A-4 notes Beginning Principal balance $231,000,000.00 B notes Beginning Principal balance $29,567,394.33 Certificate Beginning Principal balance $22,500,000.00 A-1 notes Current Interest Due 6.660% act/360 $0.00 A-2 notes Current Interest Due 6.870% 30/360 $965,441.11 A-3 notes Current Interest Due 6.880% 30/360 $1,398,933.33 A-4 notes Current Interest Due 6.950% 30/360 $1,337,875.00 B notes Current Interest Due 7.140% 30/360 $175,926.00 Certificate Current Interest Due 7.140% 30/360 $133,875.00 A-1 notes Past Due Interest $0.00 A-2 notes Past Due Interest $0.00 A-3 notes Past Due Interest $0.00 A-4 notes Past Due Interest $0.00 B notes Past Due Interest $0.00 Certificate Past Due Interest $0.00 A-1 notes Interest Due on Past Due Interest $0.00 A-2 notes Interest Due on Past Due Interest $0.00 A-3 notes Interest Due on Past Due Interest $0.00 A-4 notes Interest Due on Past Due Interest $0.00 B notes Interest Due on Past Due Interest $0.00 Certificate Interest Due on Past Due Interest $0.00 A-1 notes Total Interest Due $0.00 A-2 notes Total Interest Due $965,441.11 A-3 notes Total Interest Due $1,398,933.33 A-4 notes Total Interest Due $1,337,875.00 B notes Total Interest Due $175,926.00 Certificate Total Interest Due $133,875.00 A-1 notes Principal Due $0.00 A-2 notes Principal Due $94,310,765.90 A-3 notes Principal Due $0.00 A-4 notes Principal Due $0.00 Class B notes Principal Due $4,186,117.55 Certificate Principal Due $0.00 Total notes Interest Due $3,878,175.44 Total notes Principal Due $98,496,883.45 Total notes Distributable Amount $102,375,058.89 ==================================================================================================================== </Table> <Page> ================================================================================ CNH Equipment Trust 2000-B $107,000,000 Class A-1 6.66% Asset Backed Notes due October 12, 2001 $353,000,000 Class A-2 6.87% Asset Backed Notes due February 16, 2004 $244,000,000 Class A-3 6.88% Asset Backed Notes due March 15, 2005 $231,000,000 Class A-4 6.95% Asset Backed Notes due September 17, 2007 $42,500,000 Class B 7.14% Asset Backed Notes due September 17, 2007 $22,500,000 7.14% Asset Backed Certificates <Table> Actual Payment Date 10/15/2001 CASH AVAILABLE FOR DISTRIBUTION Total Collections + Reinvestment Income For The Period $102,527,787.20 Beginning Negitive Carry Account $0.00 Deposits from Negitive Carry Account to Distribution Account $0.00 Beginning Spread Account Balance $20,000,000.28 Additional Deposit to Spread Account from Pre-funding $0.00 Deposits from Spread Account to Distribution Account $0.00 Beginning Principal Supplement Account $0.00 Deposits from Principal Supplement Account to Distribution Account $0.00 Total Cash Available $102,527,787.20 CASH ALLOCATION (CASHFLOW WATERFALL) AVAILABLE CASH Is CNH the servicier YES Servicing Fee Paid (If CNH is not the servicer) $0.00 Servicing Fee Shortfall $0.00 $102,527,787.20 Administration Fee Paid $166.67 Administration Fee Shortfall $0.00 $102,527,620.53 Class A-1 notes Interest Paid $0.00 Class A-2 notes Interest Paid $965,441.11 Class A-3 notes Interest Paid $1,398,933.33 Class A-4 notes Interest Paid $1,337,875.00 $98,825,371.09 Class A-1 notes Interest Shortfall $0.00 Class A-2 notes Interest Shortfall $0.00 Class A-3 notes Interest Shortfall $0.00 Class A-4 notes Interest Shortfall $0.00 Class B notes Interest Paid $175,926.00 Class B notes Interest Shortfall $0.00 $98,649,445.09 Class A-1 notes Principal Paid $0.00 Class A-2 notes Principal Paid $94,310,765.90 Class A-3 notes Principal Paid $0.00 Class A-4 notes Principal Paid $0.00 Class B notes Principal Paid $4,186,117.55 $152,561.64 Deposits to Spread Account $0.00 $152,561.64 Certificate Interest Paid $133,875.00 Certificate Interest Shortfall $0.00 $18,686.64 Certificate Principal Paid $0.00 $18,686.64 Total Principal Balance of Notes and Certificates (End of Period) $597,206,512.52 A-1 notes Ending Principal balance $0.00 A-2 notes Ending Principal balance $74,325,235.74 A-3 notes Ending Principal balance $244,000,000.00 A-4 notes Ending Principal balance $231,000,000.00 B notes Ending Principal balance $25,381,276.78 Certificate Ending Principal balance $22,500,000.00 Servicing Fee Paid (If CNH is the servicer) $18,686.64 Servicing Fee Shortfall $1,120,889.89 Release to Seller as Excess $0.00 $0.00 ==================================================================================================================== </Table> <Page> ================================================================================ CNH EQUIPMENT TRUST 2000-B $107,000,000 Class A-1 6.66% Asset Backed Notes due October 12, 2001 $353,000,000 Class A-2 6.87% Asset Backed Notes due February 16, 2004 $244,000,000 Class A-3 6.88% Asset Backed Notes due March 15, 2005 $231,000,000 Class A-4 6.95% Asset Backed Notes due September 17, 2007 $42,500,000 Class B 7.14% Asset Backed Notes due September 17, 2007 $22,500,000 7.14% Asset Backed Certificates <Table> Actual Payment Date 10/15/2001 SUMMARY AND FACTORS AMOUNT FACTOR PER/$1000 ------ ------ --------- Total Principal Balance of Notes and Certificates (Beginning of Period) $695,703,395.97 0.6957034 $695.70 A-1 notes Beginning Principal balance $0.00 0.0000000 $0.00 A-2 notes Beginning Principal balance $168,636,001.64 0.4777224 $477.72 A-3 notes Beginning Principal balance $244,000,000.00 1.0000000 $1,000.00 A-4 notes Beginning Principal balance $231,000,000.00 1.0000000 $1,000.00 B notes Beginning Principal balance $29,567,394.33 0.6957034 $695.70 Certificate Beginning Principal balance $22,500,000.00 1.0000000 $1,000.00 Total Principal Balance of Notes and Certificates (End of Period) $597,206,512.52 0.5972065 $597.21 A-1 notes Ending Principal balance $107,000,000.00 $0.00 0.0000000 $0.00 A-2 notes Ending Principal balance $353,000,000.00 $74,325,235.74 0.2105531 $210.55 A-3 notes Ending Principal balance $244,000,000.00 $244,000,000.00 1.0000000 $1,000.00 A-4 notes Ending Principal balance $231,000,000.00 $231,000,000.00 1.0000000 $1,000.00 B notes Ending Principal balance $42,500,000.00 $25,381,276.78 0.5972065 $597.21 Certificate Ending Principal balance $22,500,000.00 $22,500,000.00 1.0000000 $1,000.00 Class A-1 notes Interest Paid $0.00 0.0000000 $0.00 Class A-2 notes Interest Paid $965,441.11 0.0027350 $2.73 Class A-3 notes Interest Paid $1,398,933.33 0.0057333 $5.73 Class A-4 notes Interest Paid $1,337,875.00 0.0057917 $5.79 Class B notes Interest Paid $175,926.00 0.0041394 $4.14 Certificate Interest Paid $133,875.00 0.0059500 $5.95 Class A-1 notes Interest Shortfall $0.00 0.0000000 $0.00 Class A21 notes Interest Shortfall $0.00 0.0000000 $0.00 Class A-3 notes Interest Shortfall $0.00 0.0000000 $0.00 Class A-4 notes Interest Shortfall $0.00 0.0000000 $0.00 Class B notes Interest Shortfall $0.00 0.0000000 $0.00 Certificate Interest Shortfall $0.00 0.0000000 $0.00 Class A-1 notes Principal Paid $0.00 0.0000000 $0.00 Class A-2 notes Principal Paid $94,310,765.90 0.2671693 $267.17 Class A-3 notes Principal Paid $0.00 0.0000000 $0.00 Class A-4 notes Principal Paid $0.00 0.0000000 $0.00 Class B notes Principal Paid $4,186,117.55 0.0984969 $98.50 Certificate Principal Paid $0.00 0.0000000 $0.00 NEGITIVE CARRY ACCOUNT Negitive Carry 4.252% Negitive Carry Days Remaining 3/15/2001 0 Required Negitive Carry Account $0.00 Beginning Negitive Carry Account $0.00 Negitive Carry Account Withdrawls to Distribution Account $0.00 Negitive Carry Released to Seller $0.00 Ending Negitive Carry Account Balance $0.00 SPREAD ACCOUNT Required Spread Account Balance 2.00% $20,000,000.28 Beginning Spread Account Balance $20,000,000.28 Additional Deposit to Spread Account from Pre-funding $0.00 Spread Account Withdrawls to Distribution Account $0.00 Spread Account Deposits from Excess Cash $0.00 Spread Account Released to Seller $0.00 Ending Spread Account Balance $20,000,000.28 PRINCIPAL SUPPLEMENT ACCOUNT Required Principal Supplement Account Balance $0.00 Beginning Principal Supplement Account Balance $0.00 Additional Deposit to Principal Supplement Account from Pre-funding $0.00 Principal Supplement Account Withdrawls to Distribution Account $0.00 Principal Supplement Account Released to Seller $0.00 Ending Principal Supplement Account $0.00 PRE-FUNDING ACCOUNT Beginning Pre-funding Account Balance $0.00 New Contract Value Purchased $0.00 Deposits to Spread Account $0.00 Deposits to Principal Supplement Account $0.00 Ending Pre-funding Account Balance $0.00 Release to seller $0.00 Total Release to Seller $18,853.31 </Table> <Page> CNH EQUIPMENT TRUST 2001-A $135,750,000 Class A-1 4.035% Asset Backed Notes due May 15, 2002 $273,000,000 Class A-2 4.162% Asset Backed Notes due September 15, 2004 $212,000,000 Class A-3 4.580% Asset Backed Notes due November 15, 2005 $220,750,000 Class A-4 5.380% Asset Backed Notes due August 15, 2007 $38,250,000 Class B 5.730% Asset Backed Notes due May 15, 2008 $20,250,000 5.730% Asset Backed Certificates Prepared by: Kathy Aber (262) - 636 - 7706 <Table> -------------------------------------------------- Cutoff Date -------------------------------------------------- Date Added 4/30/2001 4/30/2001 4/30/2001 -------------------------------------------------- Pool POOL 1 POOL 2 POOL 3 -------------------------------------------------- Scheduled Cashflows 348,851.26 1,769,345.09 560,644.59 911,480.11 2,494,463.90 805,332.48 1,015,759.15 6,663,073.82 903,683.06 1,463,112.00 11,505,961.51 1,049,857.13 1,234,907.31 10,746,464.59 918,327.82 1,066,128.68 9,381,880.15 899,292.43 2,871,682.44 8,085,886.10 2,584,986.79 6,422,718.85 3,088,465.86 2,623,863.14 1,079,804.98 2,796,094.10 891,969.64 903,681.97 2,861,371.63 918,727.40 882,571.70 3,125,805.34 923,906.62 939,391.16 3,126,491.09 874,674.69 1,078,132.27 3,524,855.98 1,108,073.09 1,087,456.38 3,067,635.16 1,020,724.35 974,781.37 6,382,285.29 902,246.76 1,433,363.28 11,404,131.83 1,036,477.55 1,198,362.28 10,683,315.42 900,833.06 1,026,897.63 9,039,541.58 884,570.99 2,765,503.37 7,719,140.61 2,450,651.95 6,265,635.59 2,833,402.15 2,443,569.17 984,265.56 2,546,954.47 805,774.06 808,174.25 2,551,183.75 834,029.22 779,504.79 2,861,183.25 807,413.61 811,786.55 2,855,424.94 778,224.20 936,203.13 3,105,846.86 1,000,754.26 971,875.49 2,778,953.75 922,502.78 885,183.25 6,567,716.19 806,771.73 1,239,400.41 10,726,533.12 912,462.37 1,088,903.70 9,892,140.88 817,194.81 929,952.11 8,322,907.53 801,558.16 2,558,754.45 6,861,605.52 2,154,185.31 5,975,971.41 2,000,370.78 2,217,491.14 765,255.03 1,794,522.47 615,011.96 593,003.49 1,778,719.74 639,677.81 531,385.55 2,034,191.85 611,047.13 552,445.95 1,895,922.85 591,237.81 637,654.35 2,184,537.59 814,083.85 643,817.02 1,920,257.70 725,749.56 622,550.10 4,660,311.57 631,491.30 947,978.38 8,261,273.88 665,318.37 825,498.56 7,082,959.25 622,586.05 670,708.96 5,366,562.61 595,196.80 1,520,760.77 4,317,909.88 1,573,276.77 3,839,060.00 999,590.48 1,673,667.55 399,256.85 858,675.98 384,372.88 314,451.64 854,526.35 400,577.45 244,456.44 1,131,349.40 372,723.22 275,052.58 905,430.88 366,214.91 315,805.38 1,179,933.80 491,129.12 290,152.43 979,992.01 460,068.76 306,256.04 3,531,772.94 387,179.97 778,510.02 6,694,658.98 471,250.74 276,102.94 5,869,748.71 380,086.65 332,691.24 3,149,171.85 376,793.88 904,793.19 2,326,520.52 1,150,988.57 2,419,985.22 123,245.70 1,041,801.17 120,685.55 35,322.99 21,504.17 40,378.57 21,492.43 27,284.30 15,328.02 56,899.66 15,885.72 7,480.71 34,333.48 15,885.72 8,018.44 21,835.08 65,962.77 6,555.43 1,859.43 21,676.02 21,106.31 150,007.63 15,503.18 36,911.69 213,913.17 221,534.71 6,296.29 171,816.56 15,503.18 37,795.90 76,206.95 17,735.24 34,102.47 183,516.68 85,247.20 126,951.04 0.00 61,346.20 0.00 0.00 140.30 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Total Amount of Scheduled Cashflow 72,409,439.43 252,239,423.29 54,187,515.35 Discount Rate 8.351% 8.351% 8.351% Beginning Contract Value 68,263,678.78 260,482,499.96 47,399,477.72 Scheduled Contract Value Decline 761,688.38 3,667,742.62 831,547.77 Unscheduled Contract Value Decline 5,870,365.57 41,112,440.49 588,567.04 Additional Contract Value Added 0.00 0.00 0.00 Ending Contract Value 61,631,624.83 215,702,316.85 45,979,362.91 =================================================================================================================================== -------------------------------------------------- Cutoff Date -------------------------------------------------- Date Added 4/30/2001 5/31/2001 5/31/2001 -------------------------------------------------- Pool POOL 4 POOL 5 POOL 6 -------------------------------------------------- Scheduled Cashflows 1,681,108.63 236,330.27 419,744.61 2,104,943.95 891,942.71 1,067,265.98 3,733,677.99 1,270,647.47 1,513,853.07 5,174,289.98 1,589,505.70 1,429,398.56 5,410,405.18 1,035,488.57 1,238,638.71 5,097,476.70 967,955.55 1,228,986.41 4,262,654.52 1,027,003.50 1,182,116.23 2,417,616.67 4,379,834.41 3,512,132.45 2,519,275.96 5,762,122.38 3,842,518.09 2,608,830.53 938,500.11 1,205,509.03 2,668,529.15 833,902.86 1,212,267.00 2,706,655.15 934,706.35 1,228,055.42 2,874,739.33 852,584.44 1,230,637.74 2,746,433.59 1,014,600.69 1,432,276.94 3,674,439.27 1,197,996.07 1,524,582.92 5,038,994.27 1,559,281.00 1,426,893.39 5,323,907.19 996,508.62 1,252,847.27 4,894,097.54 928,060.01 1,213,494.82 3,872,050.64 986,396.20 1,167,934.48 2,181,831.76 4,321,435.67 3,446,943.09 2,298,222.95 5,645,806.53 3,725,528.66 2,348,728.84 879,438.54 1,133,879.52 2,390,629.48 771,510.34 1,138,723.21 2,366,994.27 874,096.52 1,144,684.01 2,597,033.11 792,020.47 1,169,048.49 2,450,426.89 911,448.04 1,334,296.59 3,227,206.05 1,127,287.88 1,422,606.49 4,503,760.14 1,391,756.75 1,456,060.55 4,688,502.63 930,744.05 1,181,588.33 4,199,463.28 841,319.38 1,134,658.39 3,221,722.69 931,913.91 1,093,671.76 1,651,954.75 4,198,352.88 3,213,652.04 1,747,372.47 5,441,380.42 3,382,958.48 1,773,812.69 708,706.61 840,898.42 1,775,474.33 572,845.80 837,072.43 1,774,748.78 576,885.86 844,810.62 1,972,010.27 607,731.84 878,647.73 1,898,457.86 604,790.28 1,019,364.22 2,706,083.27 853,758.33 1,092,743.47 3,358,956.80 1,323,134.82 1,009,977.01 3,460,460.08 694,697.77 881,538.12 3,007,893.18 617,615.71 870,842.76 2,220,332.86 731,101.19 850,333.79 979,241.72 2,935,455.39 2,400,681.20 1,041,715.76 3,491,802.22 2,403,741.15 1,081,286.97 380,566.44 575,077.16 1,062,598.89 321,610.66 587,897.18 1,088,917.13 340,336.17 583,875.80 1,198,472.22 323,945.10 625,020.73 1,322,237.25 337,415.37 691,376.32 1,683,792.09 524,546.11 774,572.23 1,923,383.45 603,807.39 698,076.16 2,099,616.75 416,286.04 596,556.87 1,677,049.29 351,818.28 605,761.94 1,044,564.66 386,889.84 560,568.37 47,860.97 1,927,583.31 1,711,764.05 46,362.39 2,486,580.90 1,567,072.60 65,261.78 80,643.73 48,984.70 45,624.17 5,792.59 78,333.52 441,939.42 8,083.85 52,363.38 89,960.73 30,845.33 84,130.80 137,086.64 10,002.89 55,091.71 122,804.61 1,503.23 98,764.92 187,638.43 19,354.90 93,610.67 224,676.18 1,503.23 87,083.02 167,299.00 1,503.23 77,201.49 78,312.66 1,503.23 42,827.11 0.00 10,795.06 91,234.12 0.00 45,108.16 138,430.18 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Total Amount of Scheduled Cashflow 150,489,908.83 78,798,429.15 78,763,778.68 Discount Rate 8.351% 7.404% 7.404% Beginning Contract Value 132,701,941.65 71,269,326.57 68,957,778.99 Scheduled Contract Value Decline 2,528,725.35 522,107.26 804,045.85 Unscheduled Contract Value Decline 1,323,000.10 3,003,407.80 572,891.14 Additional Contract Value Added 0.00 0.00 0.00 Ending Contract Value 128,850,216.20 67,743,811.51 67,580,842.00 =================================================================================================================================== ---------------------------------------------- Cutoff Date 9/30/2001 ---------------------------------------------- Date Added 6/30/2001 6/30/2001 7/30/2001 ---------------------------------------------- Pool POOL 7 POOL 8 POOL 9 ---------------------------------------------- Scheduled Cashflows 209,513.96 450,904.59 101,884.22 588,836.94 901,254.58 216,538.09 1,087,597.83 1,502,706.25 293,435.49 1,599,902.54 1,929,438.61 579,968.95 1,096,774.84 1,415,543.11 411,104.70 830,578.68 1,165,888.88 486,012.30 927,069.90 1,282,765.06 1,059,237.89 1,083,965.79 1,157,207.56 862,288.84 3,169,468.35 3,384,711.10 427,780.77 5,381,398.21 4,471,479.08 1,390,672.22 1,125,591.56 1,172,131.86 1,450,855.76 947,931.74 1,200,107.88 342,552.52 1,068,541.65 1,288,084.80 694,665.82 760,745.65 1,218,476.09 360,717.30 1,098,147.34 1,559,623.29 275,513.61 1,546,436.00 1,773,056.90 676,656.68 993,123.49 1,254,005.30 407,382.37 713,115.81 1,147,582.09 475,717.18 808,017.11 1,251,992.10 1,079,588.24 1,055,094.10 1,134,364.12 850,517.53 2,791,648.58 3,323,828.38 413,850.86 5,275,472.72 4,164,308.18 1,377,065.77 1,015,047.71 1,081,275.83 1,429,292.94 900,588.68 1,104,391.27 336,134.27 990,022.81 1,186,183.38 670,878.84 707,327.19 1,141,059.04 280,566.74 986,020.34 1,429,284.93 268,406.65 1,423,723.57 1,619,055.80 649,979.80 950,214.61 1,127,349.23 386,585.16 668,642.44 1,057,141.86 469,215.96 759,060.26 1,138,455.35 1,072,736.58 954,510.81 1,044,367.00 839,920.10 2,707,344.73 3,125,136.37 400,826.14 5,069,586.17 3,768,630.85 1,352,955.66 814,187.31 820,726.15 1,366,872.54 625,509.82 828,267.37 259,358.16 789,420.26 884,217.14 578,356.52 501,001.69 853,941.73 220,408.57 714,408.97 1,103,876.58 210,713.53 1,073,724.58 1,214,834.89 565,711.31 828,410.38 852,851.74 317,823.46 499,954.30 774,357.23 410,156.94 604,850.77 880,415.40 994,559.15 740,290.91 786,999.43 746,044.92 1,722,391.27 2,312,145.71 334,763.80 3,245,547.60 2,700,369.93 1,094,021.18 489,837.49 581,937.75 1,052,948.31 431,614.72 580,518.73 176,119.46 521,488.23 641,824.72 438,213.05 297,919.71 595,269.08 149,218.13 493,031.04 791,313.22 141,829.24 822,828.25 895,483.28 485,977.43 474,288.77 595,002.33 218,557.99 324,810.56 536,821.48 374,160.31 357,718.87 708,481.92 904,812.20 439,947.74 532,360.07 631,721.50 1,322,195.19 1,616,706.16 309,708.20 2,545,546.40 1,771,681.20 832,780.84 186,876.57 38,051.69 856,978.31 122,042.44 37,768.12 14,525.14 89,334.70 48,118.76 153,900.82 60,303.74 36,939.28 0.00 47,303.53 60,888.24 9,050.73 17,413.35 86,552.18 50,624.29 81,899.09 142,227.23 0.00 1,125.70 37,526.34 0.00 1,125.70 47,774.56 0.00 1,125.70 36,882.50 50,338.38 727.33 158,458.58 0.00 0.00 285,759.02 16,841.65 0.00 398.30 25,210.06 0.00 398.30 0.00 0.00 95.03 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Total Amount of Scheduled Cashflow 72,581,264.79 81,850,032.09 36,383,812.07 Discount Rate 7.266% 7.266% 7.844% Beginning Contract Value 65,218,246.93 71,517,784.67 30,730,445.00 Scheduled Contract Value Decline 489,679.74 830,858.38 195,626.39 Unscheduled Contract Value Decline 2,497,169.05 458,111.55 174,936.23 Additional Contract Value Added 0.00 0.00 0.00 Ending Contract Value 62,231,398.14 70,228,814.74 30,359,882.38 =============================================================================================================================== --------------- Cutoff Date --------------- Date Added 7/30/2001 --------------- Pool POOL 10 --------------- Scheduled Cashflows 103,410.29 128,790.21 233,084.60 327,870.82 255,821.53 263,952.23 494,290.34 261,229.47 191,883.04 806,559.94 514,175.48 167,529.24 176,549.11 178,280.74 235,177.08 331,841.74 245,654.18 257,868.35 493,349.75 254,190.61 184,797.04 770,715.05 497,900.71 156,319.51 165,339.38 163,249.49 212,011.83 318,691.93 219,412.09 242,363.50 471,723.11 241,572.19 169,889.20 687,196.41 454,727.68 123,474.48 134,334.16 127,538.07 146,037.41 245,140.94 168,945.39 178,392.17 397,688.57 218,269.40 135,766.15 560,796.44 323,386.32 95,974.06 102,967.19 95,907.96 121,722.05 182,119.49 122,848.88 143,614.82 334,106.79 167,322.26 102,926.32 520,339.21 177,800.00 15,347.86 13,753.52 13,753.52 13,753.52 27,082.30 13,312.84 6,279.71 6,279.71 6,279.71 6,279.71 80,889.97 3,580.07 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Total Amount of Scheduled Cashflow 16,011,428.84 Discount Rate 7.844% Beginning Contract Value 13,618,516.34 Scheduled Contract Value Decline 84,026.90 Unscheduled Contract Value Decline 65,550.01 Additional Contract Value Added 0.00 Ending Contract Value 13,468,939.43 ================================================================================================ </Table> <Page> CNH EQUIPMENT TRUST 2001-A $135,750,000 Class A-1 4.035% Asset Backed Notes due May 15, 2002 $273,000,000 Class A-2 4.162% Asset Backed Notes due September 15, 2004 $212,000,000 Class A-3 4.580% Asset Backed Notes due November 15, 2005 $220,750,000 Class A-4 5.380% Asset Backed Notes due August 15, 2007 $38,250,000 Class B 5.730% Asset Backed Notes due May 15, 2008 $20,250,000 5.730% Asset Backed Certificates <Table> Settlement Date Scheduled Payment Date 6/15/2001 10/15/2001 Actual Payment Date 6/15/2001 10/15/2001 Collection Period Begin Date 9/1/2001 Collection Period End Date 9/30/2001 Days in accrual period (30/360) 30 Days in accrual period (act/360) 28 1 month LIBOR Rate 3.4875% COLLATERAL SUMMARY Wtd. Average Discount Rate 7.966% Beginning Contract Value 830,159,696.58 Scheduled Contract Value Decline 10,716,048.63 Unscheduled Contract Value Decline 55,666,438.96 Additional Contract Value Purchased 0.00 Ending Contract Value 763,777,208.99 Beginning Pre-funding Account Balance 0.00 Ending Pre-funding Account Balance 0.00 Total Beginning Balance (Pool Balance + Pre-funding Account Balance) 830,159,696.58 Total Ending Balance (Pool Balance + Pre-funding Account Balance) 763,777,208.99 COLLATERAL PERFORMANCE Scheduled Amounts 30 - 59 days past due $886,163.47 0.12% Scheduled Amounts 60 days or more past due $90,850.41 0.01% Net Losses on Liquidated Receivables $170,653.99 0.02% Cumulative Net Losses $467,753.70 Number of Loans at Beginning of Period 35,298 Number of Loans at End of Period 34,280 Repossessed Equipment not Sold or Reassigned (Beginning) $505,111.59 Repossessed Equipment not Sold or Reassigned (End) $966,371.98 COLLECTIONS AND REINVESTMENT INCOME Receipts During the period $71,483,462.26 Warranty Repurchases Contracts deferred beyond Final Scheduled Maturity Date $0.00 Government obligors $0.00 Total Warranty Repurchases $0.00 Total Collections For The Period $71,483,462.26 Reinvestment Income (excluding Pre-funding Account) $171,033.27 Reinvestment Income on Pre-funding Account) $0.00 Net Swap Receipts 0.00 Net Swap Termination Payments due Trust from the Swap CounterParty $0.00 Total Collections + Reinvestment Income For The Period - Swap Receipt $71,654,495.53 Swap Termination Payments due to Swap CounterParty $0.00 Prior Swap Termination Payment Shortfall $0.00 ----- Total Swap Termination Payment due to Swap CounterParty $0.00 =================================================================================================================================== </Table> <Page> CNH EQUIPMENT TRUST 2001-A $135,750,000 Class A-1 4.035% Asset Backed Notes due May 15, 2002 $273,000,000 Class A-2 4.162% Asset Backed Notes due September 15, 2004 $212,000,000 Class A-3 4.580% Asset Backed Notes due November 15, 2005 $220,750,000 Class A-4 5.380% Asset Backed Notes due August 15, 2007 $38,250,000 Class B 5.730% Asset Backed Notes due May 15, 2008 $20,250,000 5.730% Asset Backed Certificates <Table> Actual Payment Date 10/15/2001 CACLULATION OF DISTRIBUTABLE AMOUNTS Current Servicing Fee Due 1.000% $691,799.75 Past Due Servicing Fee $0.00 Total Servicing Fee Due $691,799.75 Current Administration Fee Due $500.00 $166.67 Past Due Administration Fee $0.00 Total Administration Fee Due $166.67 Total Principal Balance of Notes and Certificates (Beginning of Period) $830,159,696.58 A-1 notes Beginning Principal balance $68,877,909.48 A-2 notes Beginning Principal balance $273,000,000.00 A-3 notes Beginning Principal balance $212,000,000.00 A-4 notes Beginning Principal balance $220,750,000.00 B notes Beginning Principal balance $35,281,787.10 Certificate Beginning Principal balance $20,250,000.00 A-1 notes Current Interest Due 4.035% act/360 $216,161.84 Class A-2 Current Interest Due 1 Month LIBOR Rate 3.48750% Spread for Note 0.11000% -------- Floating Rate Yield 3.59750% ACT/360 Class A-2 Current Interest Due $763,869.17 Class A-2 Swap float Rate receipt due $740,512.50 Class A-2 Swap fixed Rate payment due 4.162% 30/360 $946,855.00 Class A-2 Net Swap receipt 0.00 Class A-2 Past due Net Swap payment 0.00 Interest on Class A-2 Past due Net Swap payment 0.00 Class A-2 Net Swap payment 206,342.50 Class A-3 Current Interest Due 1 Month LIBOR Rate 3.48750% Spread for Note 0.17000% -------- Floating Rate Yield 3.65750% ACT/360 Class A-3 Current Interest Due $603,081.11 Class A-3 Swap float Rate receipt due $575,050.00 Class A-3 Swap fixed Rate payment due 4.580% 30/360 $809,133.33 Class A-3 Net Swap receipt 0.00 Class A-3 Past due Net Swap payment 0.00 Interest on Class A-3 Past due Net Swap payment 0.00 Class A-3 Net Swap payment 234,083.33 Net Swap Payments Due 440,425.83 A-4 notes Current Interest Due 5.380% 30/360 $989,695.83 B notes Current Interest Due 5.730% 30/360 $168,470.53 Certificate Current Interest Due 5.730% 30/360 $96,693.75 A-1 notes Past Due Interest $0.00 A-2 notes Past Due Interest $0.00 A-3 notes Past Due Interest $0.00 A-4 notes Past Due Interest $0.00 B notes Past Due Interest $0.00 Certificate Past Due Interest $0.00 A-1 notes Interest Due on Past Due Interest $0.00 A-2 notes Interest Due on Past Due Interest $0.00 A-3 notes Interest Due on Past Due Interest $0.00 A-4 notes Interest Due on Past Due Interest $0.00 B notes Interest Due on Past Due Interest $0.00 Certificate Interest Due on Past Due Interest $0.00 A-1 notes Total Interest Due $216,161.84 A-2 notes Total Interest Due $763,869.17 A-3 notes Total Interest Due $603,081.11 A-4 notes Total Interest Due $989,695.83 B notes Total Interest Due $168,470.53 Certificate Total Interest Due $96,693.75 A-1 notes Principal Due $63,561,231.87 A-2 notes Principal Due $0.00 A-3 notes Principal Due $0.00 A-4 notes Principal Due $0.00 Class B notes Principal Due $2,821,255.72 Certificate Principal Due $0.00 Total notes Interest Due $2,741,278.48 Total notes Principal Due $66,382,487.59 Net Swap/Termination Payment Due $440,425.83 Total notes Distributable Amount $69,564,191.90 =================================================================================================================================== </Table> <Page> CNH Equipment Trust 2001-A $135,750,000 Class A-1 4.035% Asset Backed Notes due May 15, 2002 $273,000,000 Class A-2 4.162% Asset Backed Notes due September 15, 2004 $212,000,000 Class A-3 4.580% Asset Backed Notes due November 15, 2005 $220,750,000 Class A-4 5.380% Asset Backed Notes due August 15, 2007 $38,250,000 Class B 5.730% Asset Backed Notes due May 15, 2008 $20,250,000 5.730% Asset Backed Certificates <Table> Actual Payment Date 10/15/2001 CASH AVAILABLE FOR DISTRIBUTION Total Collections + Reinvestment Income For The Period $71,654,495.53 Beginning Negitive Carry Account $0.00 Deposits from Negitive Carry Account to Distribution Account $0.00 Beginning Spread Account Balance $18,000,045.50 Additional Deposit to Spread Account from Pre-funding $0.00 Deposits from Spread Account to Distribution Account $0.00 Beginning Principal Supplement Account $0.00 Deposits from Principal Supplement Account to Distribution Account $0.00 Total Cash Available $71,654,495.53 CASH ALLOCATION (CASHFLOW WATERFALL) AVAILABLE CASH ---- Is CNH the servicier YES Servicing Fee Paid (If CNH is not the servicer) $0.00 Servicing Fee Shortfall $0.00 $71,654,495.53 Administration Fee Paid $166.67 Administration Fee Shortfall $0.00 $71,654,328.86 Net Swap Payment Paid $440,425.83 Net Swap Payment Shortfall $0.00 Remaining Cash Available to Pay Note Interest & Swap Termination Payment $71,213,903.03 Cash Available to Pay Note Interest $71,213,903.03 Cash Available to Pay Termination Payment $0.00 Class A-1 notes Interest Paid $216,161.84 Class A-2 notes Interest Paid $763,869.17 Class A-3 notes Interest Paid $603,081.11 Class A-4 notes Interest Paid $989,695.83 $68,641,095.08 Class A-1 notes Interest Shortfall $0.00 Class A-2 notes Interest Shortfall $0.00 Class A-3 notes Interest Shortfall $0.00 Class A-4 notes Interest Shortfall $0.00 Swap Termination Payment Paid $0.00 Swap Termination Payment Shortfall $0.00 $68,641,095.08 Class B notes Interest Paid $168,470.53 Class B notes Interest Shortfall $0.00 $68,472,624.55 Class A-1 notes Principal Paid $63,561,231.87 Class A-2 notes Principal Paid $0.00 Class A-3 notes Principal Paid $0.00 Class A-4 notes Principal Paid $0.00 Class B notes Principal Paid $2,821,255.72 $2,090,136.96 Deposits to Spread Account $0.00 $2,090,136.96 Certificate Interest Paid $96,693.75 Certificate Interest Shortfall $0.00 $1,993,443.21 Certificate Principal Paid $0.00 $1,993,443.21 Total Principal Balance of Notes and Certificates (End of Period) $763,777,208.99 A-1 notes Ending Principal balance $5,316,677.61 A-2 notes Ending Principal balance $273,000,000.00 A-3 notes Ending Principal balance $212,000,000.00 A-4 notes Ending Principal balance $220,750,000.00 B notes Ending Principal balance $32,460,531.38 Certificate Ending Principal balance $20,250,000.00 Servicing Fee Paid (If CNH is the servicer) $691,799.75 Servicing Fee Shortfall $0.00 Release to Seller as Excess $1,301,643.46 $1,301,643.46 =================================================================================================================================== </Table> <Page> CNH EQUIPMENT TRUST 2001-A $135,750,000 Class A-1 4.035% Asset Backed Notes due May 15, 2002 $273,000,000 Class A-2 4.162% Asset Backed Notes due September 15, 2004 $212,000,000 Class A-3 4.580% Asset Backed Notes due November 15, 2005 $220,750,000 Class A-4 5.380% Asset Backed Notes due August 15, 2007 $38,250,000 Class B 5.730% Asset Backed Notes due May 15, 2008 $20,250,000 5.730% Asset Backed Certificates <Table> Actual Payment Date 10/15/2001 SUMMARY AND FACTORS AMOUNT FACTOR PER/$1000 ------ ------ --------- Total Principal Balance of Notes and Certificates (Beginning of Period) $830,159,696.58 0.9223997 $922.40 A-1 notes Beginning Principal balance $68,877,909.48 0.5073879 $507.39 A-2 notes Beginning Principal balance $273,000,000.00 1.0000000 $1,000.00 A-3 notes Beginning Principal balance $212,000,000.00 1.0000000 $1,000.00 A-4 notes Beginning Principal balance $220,750,000.00 1.0000000 $1,000.00 B notes Beginning Principal balance $35,281,787.10 0.9223997 $922.40 Certificate Beginning Principal balance $20,250,000.00 1.0000000 $1,000.00 Total Principal Balance of Notes and Certificates (End of Period) $763,777,208.99 0.8486413 $848.64 A-1 notes Ending Principal balance 4.035% $135,750,000.00 $5,316,677.61 0.0391652 $39.17 A-2 notes Ending Principal balance 4.162% $273,000,000.00 $273,000,000.00 1.0000000 $1,000.00 A-3 notes Ending Principal balance 4.580% $212,000,000.00 $212,000,000.00 1.0000000 $1,000.00 A-4 notes Ending Principal balance 5.380% $220,750,000.00 $220,750,000.00 1.0000000 $1,000.00 B notes Ending Principal balance 5.730% $38,250,000.00 $32,460,531.38 0.8486413 $848.64 Certificate Ending Principal balance 5.730% $20,250,000.00 $20,250,000.00 1.0000000 $1,000.00 Class A-1 notes Interest Paid $216,161.84 0.0015924 $1.59 Class A-2 notes Interest Paid $763,869.17 0.0027981 $2.80 Class A-3 notes Interest Paid $603,081.11 0.0028447 $2.84 Class A-4 notes Interest Paid $989,695.83 0.0044833 $4.48 Class B notes Interest Paid $168,470.53 0.0044045 $4.40 Certificate Interest Paid $96,693.75 0.0047750 $4.78 Class A-1 notes Interest Shortfall $0.00 0.0000000 $0.00 Class A21 notes Interest Shortfall $0.00 0.0000000 $0.00 Class A-3 notes Interest Shortfall $0.00 0.0000000 $0.00 Class A-4 notes Interest Shortfall $0.00 0.0000000 $0.00 Class B notes Interest Shortfall $0.00 0.0000000 $0.00 Certificate Interest Shortfall $0.00 0.0000000 $0.00 Class A-1 notes Principal Paid $63,561,231.87 0.4682227 $468.22 Class A-2 notes Principal Paid $0.00 0.0000000 $0.00 Class A-3 notes Principal Paid $0.00 0.0000000 $0.00 Class A-4 notes Principal Paid $0.00 0.0000000 $0.00 Class B notes Principal Paid $2,821,255.72 0.0737583 $73.76 Certificate Principal Paid $0.00 0.0000000 $0.00 NEGITIVE CARRY ACCOUNT Negitive Carry 5/22/2001 2.152% Negitive Carry Days Remaining 11/15/2001 30 Required Negitive Carry Account $0.00 Beginning Negitive Carry Account $0.00 Negitive Carry Account Withdrawls to Distribution Account $0.00 Negitive Carry Released to Seller $0.00 Ending Negitive Carry Account Balance $0.00 SPREAD ACCOUNT Required Spread Account Balance 2.00% $18,000,045.50 Beginning Spread Account Balance $18,000,045.50 Additional Deposit to Spread Account from Pre-funding $0.00 Spread Account Withdrawls to Distribution Account $0.00 Spread Account Deposits from Excess Cash $0.00 Spread Account Released to Seller $0.00 Ending Spread Account Balance $18,000,045.50 PRINCIPAL SUPPLEMENT ACCOUNT Required Principal Supplement Account Balance $0.00 Beginning Principal Supplement Account Balance $0.00 Additional Deposit to Principal Supplement Account from Pre-funding $0.00 Principal Supplement Account Withdrawls to Distribution Account $0.00 Principal Supplement Account Released to Seller $0.00 Ending Principal Supplement Account $0.00 PRE-FUNDING ACCOUNT Beginning Pre-funding Account Balance $0.00 New Contract Value Purchased $0.00 Deposits to Spread Account $0.00 Deposits to Principal Supplement Account $0.00 Ending Pre-funding Account Balance $0.00 Release to seller $0.00 Total Release to Seller $1,993,609.88 </Table>