PEOPLE'S BANK CREDIT CARD MASTER TRUST SERIES 1993-1 MONTHLY SERVICER'S REPORT End of Month # of Months Series in Existence: 33 Monthly Period Ended February 29, 1996 Distribution Date March 15, 1996 Determination Date March 8, 1996 1.Trust Activity Series 1993-1 Beginning of Month - Aggregate Principal Receivables 1,529,698,160.68 Principal Collections on the Receivables 128,346,876.60 Finance Charge Receivables 21,808,298.50 Receivables in Defaulted Accounts 6,995,601.87 End of Month - Aggregate Principal Receivables 1,497,859,278.93 Investor Interest Series 1993-1 150,000,000.00 Investor Interest Series 1994-1 200,000,000.00 Investor Interest Series 1994-2 400,000,000.00 Investor Interest Series 1995-1 400,000,000.00 Seller Principal Receivables 347,859,278.93 Investor Percentage with respect to... Finance Charges 10.0142919% Charged-Off Accounts 10.0142919% Principal Receivables 13.3523892% Seller Percentage with respect to ... Finance Charges 23.2237623% Charged-Off Accounts 23.2237623% Principal Receivables 19.8856650% 2. Allocation of Funds in Collection Account Available Finance Charge Collections 2,376,100.40 Available Principal Collections 16,780,679.99 Investor Default Amount 762,198.50 Aggregate Collections Allocated to Certificateholders 19,156,780.40 Monthly Certificate Interest Payable to Certificateholders (See "Calculation of Certificate Interest" #3) 666,666.67 Monthly Principal Payable To Certificateholders (See "Calculation of Monthly Principal" #4) 16,666,666.67 Monthly Principal Reinvested In Receivables (See "Calculation of Monthly Principal" #4) 876,211.83 (Net Deposit)/Draws on Shared Principal Collections 0.00 Collections Available to Reimburse Investor Charge offs 656,436.62 Aggregate Investor Charge Offs 0.00 Reimbursed Investor Charge Offs 0.00 Reimbursed Investor Charge Offs per $1,000 Original Investment 0.00 Monthly Investor Servicing Fee (See "Calculation of Monthly Servicing Fee" #6) 277,777.78 Monthly Certificate Insurer Fee 13,020.83 Excess Servicing (Shortfall) (dollars) 656,436.62 Excess Servicing (Shortfall) (percentage of Investor Interest) 4.73% Required Shared Finance Charge Collections from other Series 0.00 Draw on Shared Finance Charge Collections from other Series 0.00 Withdrawal from Cash Collateral Account 0.00 Surety Bond Claim 0.00 Certificate Insurer Fee Shortfall 0.00 Servicing Fee Shortfall 0.00 Investor Charge Offs 0.00 Investor Charge Offs per $1,000 Original Investment 0.00 Investor Certificate Interest Shortfall (Deficiency Amount) 0.00 Payments To Certificate Insurer 0.00 Deposits In Cash Collateral Account 0.00 Required Shared Finance Charge Collections for other Series 0.00 Deposit of Shared Finance Charge Collections for other Series 0.00 Total Distribution to Investors 17,333,333.34 Total Distribution to Investors per $1,000 Invested 86.67 3. Calculation of Certificate Interest Certificate Rate 4.80% This Month Certificate Interest 666,666.67 Previous Month's Deficiency Amount 0.00 Total Certificate Interest Distributable to Certificateholders 666,666.67 Total Certificate Interest Distributable per $1,000 of Original Investment 3.33 4. Calculation of Monthly Principal Beginning Investor Interest 166,666,666.67 Available Principal Collections 16,780,679.99 Investor Default Amount 762,198.50 Total Investor Monthly Principal 17,542,878.49 Investor Monthly Principal Reinvested in Receivables 876,211.83 Controlled Amortization Amount 16,666,666.67 Maximum Monthly Principal to Certificateholders 16,666,666.67 Required Shared Principal Collections for other Series 0.00 Deposit of Shared Principal Collections for other Serie 0.00 Required Shared Principal Collections from other Series 0.00 Draw on Shared Principal Collections from other Series 0.00 Deficit Controlled Amortization Amount 0.00 Monthly Principal Payable to Certificateholders 16,666,666.67 Monthly Principal Payable per $1,000 of Original Investment 83.33 Ending Investor Interest 150,000,000.00 5. Calculation of Pool Factor Pool Factor (Ending Certificate Balance divided by Initial Principal Amount to 7 decimal places) 0.7500000 6. Calculation of Monthly Servicing Fee Series Servicing Fee Percentage 2.00% Beginning Investor Interest 166,666,666.67 Monthly Servicing Fee 277,777.78 7. Calculation of Remaining Surety Bond Amount Available Surety Bond Amount on Previous Payment Date 16,500,000.00 Stated Surety Bond Amount 15,000,000.00 Unreimbursed Claims on Surety Bond 0.00 Reimbursements of Claims on Surety Bond 0.00 Available Surety Bond Amount (Dollars) 15,000,000.00 Available Surety Bond Amount (Percentage) 9.00% 8. Cash Collateral Account Activity Beginning of Month Balance 6,416,666.67 Required Cash Collateral Account Amount 5,833,333.33 Cash Collateral Account Deposits 0.00 Reinvestment Income Received on Cash Collateral Account 26,491.03 Aggregate Cash Collateral Account Draws 0.00 Available Cash Collateral Amount (Dollars) 5,833,333.33 Available Cash Collateral Amount (Percentage) 3.50% Total Credit Enhancement Percentage 12.50% 9. Past Due Statistics (past due on a contractual basis) 1-30 days past due Dollars 91,831,494.93 Percent Dollars 6.13% Number of Accts 32,991 Percent Number of Accts 3.13% 31-60 days past due Dollars 22,358,774.81 Percent Dollars 1.49% Number of Accts 8,271 Percent Number of Accts 0.78% 61-90 days past due Dollars 14,034,643.63 Percent Dollars 0.94% Number of Accts 4,905 Percent Number of Accts 0.47% 91-120 days past due Dollars 10,543,705.15 Percent Dollars 0.70% Number of Accts 3,528 Percent Number of Accts 0.33% 121-150 days past due Dollars 8,200,578.32 Percent Dollars 0.55% Number of Accts 2,580 Percent Number of Accts 0.24% 151-180 days past due Dollars 7,278,019.05 Percent Dollars 0.49% Number of Accts 2,205 Percent Number of Accts 0.21% 181 + days past due Dollars 11,537,281.15 Percent Dollars 0.77% Number of Accts 3,441 Percent Number of Accts 0.33% 10. Base Rate Calculation Base Rate 6.90% Portfolio Yield (net of losses) 11.62% Excess of Portfolio Yield over Base Rate 4.72% 11. Number of Accounts in the Trust Number of Additional Accounts 0 Number of Removed Accounts 0 Number of Automatic Additonal Accounts 1,793 Ending Number of Accounts 1,054,515 PEOPLE'S BANK CREDIT CARD MASTER TRUST SERIES 1994-1 MONTHLY SERVICER'S REPORT End of Month # of Months Series in Existence: 25 Monthly Period Ended February 29, 1996 Distribution Date March 15, 1996 Determination Date March 8, 1996 1. Trust Activity Series 1994-1 Beginning of Month - Aggregate Principal Receivables 1,529,698,160.68 Principal Collections on the Receivables 128,346,876.60 Finance Charge Receivables 21,808,298.50 Receivables in Defaulted Accounts 6,995,601.87 End of Month - Aggregate Principal Receivables 1,497,859,278.93 Investor Interest Series 1993-1 150,000,000.00 Investor Interest Series 1994-1 200,000,000.00 Investor Interest Series 1994-2 400,000,000.00 Investor Interest Series 1995-1 400,000,000.00 Seller Principal Receivables 347,859,278.93 Investor Percentage with respect to... Finance Charges 13.3523892% Charged-Off Accounts 13.3523892% Principal Receivables 13.3523892% Seller Percentage with respect to ... Finance Charges 23.2237623% Charged-Off Accounts 23.2237623% Principal Receivables 19.8856650% 2. Allocation of Funds in Collection Account Available Finance Charge Collections 2,851,320.48 Available Principal Collections 16,780,679.99 Investor Default Amount 914,638.20 Aggregate Collections Allocated to Certificateholders 19,632,000.48 Monthly Certificate Interest Payable to Certificateholders (See "Calculation of Certificate Interest" #3) 850,000.00 Monthly Principal Payable To Certificateholders (See"Calculation of Monthly Principal" #4) 0.00 Monthly Principal Reinvested In Receivables (See "Calculation of Monthly Principal" #4) 17,695,318.19 (Net Deposit)/Draws on Shared Principal Collections 0.00 Collections Available to Reimburse Investor Charge offs 737,723.95 Aggregate Investor Charge Offs 0.00 Reimbursed Investor Charge Offs 0.00 Reimbursed Investor Charge Offs per $1,000 Original Investment 0.00 Monthly Investor Servicing Fee (See"Calculation of Monthly Servicing Fee" #6) 333,333.33 Monthly Certificate Insurer Fee 15,625.00 Excess Servicing (Shortfall) (dollars) 737,723.95 Excess Servicing (Shortfall) (percentage of Investor Interest 4.43% Required Shared Finance Charge Collections from other Series 0.00 Draw on Shared Finance Charge Collections from other Series 0.00 Withdrawal from Cash Collateral Account 0.00 Surety Bond Claim 0.00 Certificate Insurer Fee Shortfall 0.00 Servicing Fee Shortfall 0.00 Investor Charge Offs 0.00 Investor Charge Offs per $1,000 Original Investment 0.00 Investor Certificate Interest Shortfall (Deficiency Amounts) 0.00 Payments To Certificate Insurer 0.00 Deposits In Cash Collateral Account 0.00 Required Shared Finance Charge Collections for other Series 0.00 Deposit of Shared Finance Charge Collections for other Series 0.00 Total Distribution to Investors 850,000.00 Total Distribution to Investors per $1,000 Invested 4.25 3. Calculation of Certificate Interest Certificate Rate 5.10% This Month Certificate Interest 850,000.00 Previous Month's Deficiency Amount 0.00 Total Certificate Interest Distributable to Certificateholders 850,000.00 Total Certificate Interest Distributable per $1,000 of Original Investment 4.25 4. Calculation of Monthly Principal Beginning Investor Interest 200,000,000.00 Available Principal Collections 16,780,679.99 Investor Default Amount 914,638.20 Total Investor Monthly Principal 17,695,318.19 Investor Monthly Principal Reinvested in Receivables 17,695,318.19 Controlled Amortization Amount 0.00 Maximum Monthly Principal to Certificateholders 0.00 Required Shared Principal Collections for other Series 0.00 Deposit of Shared Principal Collections for other Series 0.00 Required Shared Principal Collections from other Series 0.00 Draw on Shared Principal Collections from other Series 0.00 Deficit Controlled Amortization Amount 0.00 Monthly Principal Payable to Certificateholders 0.00 Monthly Principal Payable per $1,000 of Original Investment 0.00 Ending Investor Interest 200,000,000.00 5. Calculation of Pool Factor Pool Factor (Ending Certificate Balance divided by Initial Principal Amount to 7 decimal places) 1.0000000 6. Calculation of Monthly Servicing Fee Series Servicing Fee Percentage 2.00% Beginning Investor Interest 200,000,000.00 Monthly Servicing Fee 333,333.33 7. Calculation of Remaining Surety Bond Amount Available Surety Bond Amount on Previous Payment Date 18,000,000.00 Stated Surety Bond Amount 18,000,000.00 Unreimbursed Claims on Surety Bond 0.00 Reimbursements of Claims on Surety Bond 0.00 Available Surety Bond Amount (Dollars) 18,000,000.00 Available Surety Bond Amount (Percentage) 9.00% 8. Cash Collateral Account Activity Beginning of Month Balance 7,000,000.00 Required Cash Collateral Account Amount 7,000,000.00 Cash Collateral Account Deposits 0.00 Reinvestment Income Received on Cash Collateral Account 28,899.31 Aggregate Cash Collateral Account Draws 0.00 Available Cash Collateral Amount (Dollars) 7,000,000.00 Available Cash Collateral Amount (Percentage) 3.50% Total Credit Enhancement Percentage 12.50% 9. Past Due Statistics (past due on a contractual basis) 1-30 days past due Dollars 91,831,494.93 Percent Dollars 6.13% Number of Accts 32,991 Percent Number of Accts 3.13% 31-60 days past due Dollars 22,358,774.81 Percent Dollars 1.49% Number of Accts 8,271 Percent Number of Accts 0.78% 61-90 days past due Dollars 14,034,643.63 Percent Dollars 0.94% Number of Accts 4,905 Percent Number of Accts 0.47% 91-120 days past due Dollars 10,543,705.15 Percent Dollars 0.70% Number of Accts 3,528 Percent Number of Accts 0.33% 121-150 days past due Dollars 8,200,578.32 Percent Dollars 0.55% Number of Accts 2,580 Percent Number of Accts 0.24% 151-180 days past due Dollars 7,278,019.05 Percent Dollars 0.49% Number of Accts 2,205 Percent Number of Accts 0.21% 181 + days past due Dollars 11,537,281.15 Percent Dollars 0.77% Number of Accts 3,441 Percent Number of Accts 0.33% 10. Base Rate Calculation Base Rate 7.20% Portfolio Yield (net of losses) 11.62% Excess of Portfolio Yield over Base Rate 4.42% 11. Number of Accounts in the Trust Number of Additional Accounts 0 Number of Removed Accounts 0 Number of Automatic Additonal Accounts 1,793 Ending Number of Accounts 1,054,515 PEOPLE'S BANK CREDIT CARD MASTER TRUST SERIES 1994-2 MONTHLY SERVICER'S REPORT End of Month # of Months Series in Existence: 17 Monthly Period Ended February 29, 1996 Distribution Date March 15, 1996 Determination Date March 8, 1996 Number of Days in Period 29 1. Trust Activity Series 1994-2 Beginning of Month - Aggregate Principal Receivables 1,529,698,160.68 Principal Collections on the Receivables 128,346,876.60 Finance Charge Receivables 21,808,298.50 Receivables in Defaulted Accounts 6,995,601.87 End of Month - Aggregate Principal Receivables 1,497,859,278.93 Investor Interest Series 1993-1 150,000,000.00 Investor Interest Series 1994-1 200,000,000.00 Investor Interest Series 1994-2 400,000,000.00 Investor Interest Series 1995-1 400,000,000.00 Seller Principal Receivables 347,859,278.93 Total Investor Percentage with respect to... Finance Charges 26.7047783% Charged-Off Accounts 26.7047783% Principal Receivables 26.7047783% Class A Percentage with respect to... Finance Charges 25.3695394% Charged-Off Accounts 25.3695394% Principal Receivables 25.3695394% Class B Percentage with respect to... Finance Charges 1.3352389% Charged-Off Accounts 1.3352389% Principal Receivables 1.3352389% Seller Percentage with respect to ... Finance Charges 23.2237623% Charged-Off Accounts 23.2237623% Principal Receivables 19.8856650% 2. Allocation of Funds in Collection Account Class A Available Finance Charge Collections 5,417,508.92 Class A Monthly Cap Interest Payable to Class A Certificateholders (See "Calculation of Certificate Interest" #3) 1,672,131.94 Unpaid Class A Monthly Cap Interest 0.00 Class A Monthly Servicing Fee (See"Calculation of Monthly Servicing Fee" #6) 633,333.33 Unpaid Class A Monthly Servicing Fee 0.00 Class A Investor Default Amount 1,737,812.58 Unreimbursed Class A Investor Charge-offs 0.00 Excess Spread from Class A Finance Charge Collections 1,374,231.06 Class A Required Amount 0.00 Class B Available Finance Charge Collections 285,132.05 Class B Monthly Cap Interest Payable to Class B Certificateholders (See "Calculation of Certificate Interest" #3) 92,034.72 Unpaid Class B Monthly Cap Interest 0.00 Class B Monthly Servicing Fee (See"Calculation of Monthly Servicing Fee" #6) 33,333.33 Unpaid Class B Monthly Servicing Fee 0.00 Class B Investor Default Amount 91,463.82 Unreimbursed Class B Investor Charge-offs 0.00 Excess Spread from Class B Finance Charge Collections 68,300.17 Class B Required Amount 0.00 Total Excess Spread 1,442,531.23 Excess Spread and Shared Finance Charges used to Satisfy Class A Required Amount 0.00 Excess Spread used to satisfy Unpaid Class A Monthly Cap Interest 0.00 Excess Spread used to satisfy Unpaid Class A Monthly Servicing Fee 0.00 Excess Spread used to satisfy Unreimbursed Class A Investor Charge-offs 0.00 Remaining Class A Required Amount 0.00 Excess Spread used to satisfy Class B Required Amount 0.00 Excess Spread used to satisfy Unpaid Class B Monthly Cap Interest 0.00 Excess Spread used to satisfy Unpaid Class B Monthly Servicing Fee 0.00 Excess Spread used to satisfy Unreimbursed Class B Investor Charge-offs 0.00 Remaining Class B Required Amount 0.00 Shared Finance Charges used to satisfy Remaining Class A Required Amount 0.00 Shared Finance Charges used to satisfy Unpaid Class A Monthly Cap Interest 0.00 Shared Finance Charges used to satisfy Unpaid Class A Monthly Servicing Fee 0.00 Shared Finance Charges used to satisfy Unreimbursed Class A Investment Charge-offs 0.00 Remaining Class A Required Amount 0.00 Cash Collateral Withdrawal used to satisfy Remaining Class A Required Amount 0.00 Cash Collateral Withdrawal used to satisfy Unpaid Class A Monthly Cap Interest 0.00 Cash Collateral Withdrawal used to satisfy Unpaid Class A Monthly Servicing Fee 0.00 Cash Collateral Withdrawal used to satisfy Unreimbursed Class A Investor Charge-offs 0.00 Remaining Class A Required Amount 0.00 Class B Reallocated Amount used to satisfy Remaining Class A Required Amount 0.00 Class B Reallocated Amount used to satisfy Unpaid Class A Monthly Cap Interest 0.00 Class B Reallocated Amount used to satisfy Unpaid Class A Monthly Servicing Fee 0.00 Class B Reallocated Amount used to satisfy Unreimbursed Class A Investor Charge-offs 0.00 Remaining Class A Required Amount 0.00 Class B Investor Interest used to satisfy Unreimbursed Class A Investor Charge-offs 0.00 Shared Finance Charges used to satisfy Remaining Class B Required Amount 0.00 Shared Finance Charges used to satisfy Unpaid Class B Monthly Cap Interest 0.00 Shared Finance Charges used to satisfy Unpaid Class B Monthly Servicing Fee 0.00 Shared Finance Charges used to satisfy Unreimbursed Class B Investor Charge-offs 0.00 Remaining Class B Required Amount 0.00 Cash Collateral Withdrawal used to satisfy Remaining Class B Required Amount 0.00 Cash Collateral Withdrawal used to satisfy Unpaid Class B Monthly Cap Interest 0.00 Cash Collateral Withdrawal used to satisfy Unpaid Class B Monthly Servicing Fee 0.00 Cash Collateral Withdrawal used to satisfy Unreimbursed Class B Investor Charge-offs 0.00 Remaining Class B Required Amount 0.00 Excess Spread used to satisfy interest on overdue Class A (See "Calculation of Certificate Interest" #3) 0.00 Excess Spread used to satisfy interest on overdue Class B (See "Calculation of Certificate Interest" #3) 0.00 Excess Spread used to satisfy reimbursements of Class B Interest 0.00 Excess Spread used to satisfy deposits into Required Cash Collateral Account 0.00 Excess Spread used to satisfy shortfalls of the Class A Interest Payments 0.00 Excess Spread used to satisfy shortfalls of the Class B Interest Payments 0.00 Excess Spread used to satisfy payments per Loan Agreement 1,442,531.23 Excess Spread used to satisfy Class A Excess Interest 0.00 Excess Spread used to satisfy Class B Excess Interest 0.00 Remaining Excess Servicing (Shortfall) (dollars) 1,427,064.57 Remaining Excess Servicing (Shortfall) (percentage of Investor Interest) 4.28% Class A Investor Certificate Interest Shortfall 0.00 Class A Charge-offs 0.00 Unreimbursed Class A Charge Offs 0.00 Unreimbursed Class A Charge Offs per $1,000 Original 0.00 Class A Monthly Servicing Fee Shortfall 0.00 Class B Investor Certificate Interest Shortfall 0.00 Class B Charge-offs 0.00 Unreimbursed Class B Charge Offs 0.00 Unreimbursed Class B Charge Offs per $1,000 Original 0.00 Class B Monthly Servicing Fee Shortfall 0.00 Available Principal Collections 33,561,359.98 Monthly Principal Payable To Class A Certificateholders (See "Calculation of Monthly Principal" #4) 0.00 Monthly Principal Payable To Class B Certificateholders (See "Calculation of Monthly Principal" #4) 0.00 Monthly Principal Reinvested In Receivables (See "Calculation of Monthly Principal" #4) 35,390,636.39 (Net Deposit)/Draws on Shared Principal Collections 0.00 Required Shared Finance Charge Collections from other Series 0.00 Draw on Shared Finance Charge Collections from other Series 0.00 Withdrawal from Cash Collateral Account 0.00 Required Shared Finance Charge Collections for other Series 0.00 Deposit of Shared Finance Charge Collections for other Series 0.00 Total Distribution to Class A Investors 1,672,131.94 Total Distribution to Class A Investors per $1,000 Invested 4.40 Total Distribution to Class B Investors 92,034.72 Total Distribution to Class B Investors per $1,000 Invested 4.60 3. Calculation of Certificate Interest Class A Certificate Rate 5.4625% Class A Interest Rate Cap Provider Deposit 0.00 Previous Month's Class A Deficiency Amount 0.00 Class A Interest at the Certificate Rate + 0.5% on Deficiency Amount 0.00 This Month Class A Certificate Interest 1,672,131.94 Expected Class A Principal 380,000,000.00 This Month Class A Cap Shortfall 0.00 Class A Excess Interest 0.00 Total Class A Interest Distributable to Class A Certificateholders 1,672,131.94 Total Class A Interest Distributable per $1,000 of Class A Original Investment 4.40 Class B Certificate Rate 5.7125% Class B Interest Rate Cap Provider Deposit 0.00 Previous Month's Class B Deficiency Amount 0.00 Class B Interest at the Certificate Rate + 0.5% on Deficiency Amount 0.00 This Month Class B Certificate Interest 92,034.72 Expected Class B Principal 20,000,000.00 This Month Class B Cap Shortfall 0.00 Class B Excess Interest 0.00 Total Class B Interest Distributable to Class B Certificateholders 92,034.72 Total Class B Interest Distributable per $1,000 of Class B Original Investment 4.60 Total Certificate Interest Distributable to Certificateholders 1,764,166.66 Total Certificate Interest Distributable per $1,000 of Original Investment 4.41 4. Calculation of Monthly Principal Beginning Investor Interest 400,000,000.00 Beginning Class A Interest 380,000,000.00 Class A Available Principal Collections 31,883,291.99 Class A Monthly Unreimbursed Charge-Offs 0.00 Total Class A Monthly Principal 33,621,104.57 Class A Monthly Principal Reinvested in Receivables 33,621,104.57 Class A Controlled Amortization Amount 0.00 Maximum Monthly Principal to Class A Certificateholders 0.00 Class A Deficit Controlled Amortization Amount 0.00 Monthly Principal Payable to Class A Certificateholders 0.00 Class A Monthly Principal Payable per $1,000 of Original Investment 0.00 Beginning Class B Interest 20,000,000.00 Class B Available Principal Collections 1,678,068.00 Class B Monthly Unreimbursed Charge-Offs 0.00 Total Class B Monthly Principal 1,769,531.82 Class B Reallocated Principal 0.00 Prior Month's Cumulative Class B Reallocated Principal 0.00 Class B Reduction of Interest 0.00 Prior Month's Cumulative Class B Reduction of Interest 0.00 Class B Monthly Principal Reinvested in Receivables 1,769,531.82 Class B Controlled Amortization Amount 0.00 Maximum Monthly Principal to Class B Certificateholders 0.00 Required Shared Principal Collections for other Series 0.00 Deposit of Shared Principal Collections for other Series 0.00 Required Shared Principal Collections from other Series 0.00 Draw on Shared Principal Collections from other Series 0.00 Class B Deficit Controlled Amortization Amount 0.00 Monthly Principal Payable to Class B Certificateholders 0.00 Class B Monthly Principal Payable per $1,000 of Original Investment 0.00 Ending Investor Interest 400,000,000.00 Ending Class A Interest 380,000,000.00 Ending Class B Interest 20,000,000.00 5. Calculation of Pool Factor Pool Factor (Ending Certificate Balance divided by Initial Principa 1.0000000 6. Calculation of Monthly Servicing Fee Series Servicing Fee Percentage 2.00% Beginning Class A Investor Interest 380,000,000.00 Beginning Class B Investor Interest 20,000,000.00 Beginning Investor Interest 400,000,000.00 Class A Monthly Servicing Fee 633,333.33 Class B Monthly Servicing Fee 33,333.33 Total Monthly Servicing Fee 666,666.67 7. Cash Collateral Account Activity Beginning of Month Balance 36,000,000.00 Required Cash Collateral Account Amount 36,000,000.00 Excess Spread used to satisy payments per loan agreement 1,442,531.23 Cash Collateral Account Deposits 0.00 Reinvestment Income Received on Cash Collateral Account 49,662.50 Aggregate Cash Collateral Account Draws 0.00 Available Cash Collateral Amount (Dollars) 36,000,000.00 Available Cash Collateral Amount (Percentage) 9.00% 8. Past Due Statistics (past due on a contractual basis) 1-30 days past due Dollars 91,831,494.93 Percent Dollars 6.13% Number of Accts 32,991 Percent Number of Acct 3.13% 31-60 days past due Dollars 22,358,774.81 Percent Dollars 1.49% Number of Accts 8,271 Percent Number of Accts 0.78% 61-90 days past due Dollars 14,034,643.63 Percent Dollars 0.94% Number of Accts 4,905 Percent Number of Accts 0.47% 91-120 days past due Dollars 10,543,705.15 Percent Dollars 0.70% Number of Accts 3,528 Percent Number of Accts 0.33% 121-150 days past due Dollars 8,200,578.32 Percent Dollars 0.55% Number of Accts 2,580 Percent Number of Accts 0.24% 151-180 days past due Dollars 7,278,019.05 Percent Dollars 0.49% Number of Accts 2,205 Percent Number of Accts 0.21% 181 + days past due Dollars 11,537,281.15 Percent Dollars 0.77% Number of Accts 3,441 Percent Number of Accts 0.33% 9. Base Rate Calculation Base Rate 7.48% Portfolio Yield (net of losses) 11.62% Excess of Portfolio Yield over Base Rate 4.15% 10. Number of Accounts in the Trust Number of Additional Accounts 0 Number of Removed Accounts 0 Number of Automatic Additonal Accounts 1,793 Ending Number of Accounts 1,054,515 PEOPLE'S BANK CREDIT CARD MASTER TRUST SERIES 1995-1 MONTHLY SERVICER'S REPORT End of Month # of Months Series in Existence: 12 Monthly Period Ended February 29, 1996 Distribution Date March 15, 1996 Determination Date March 8, 1996 Number of Days in Period 29 1. Trust Activity Series 1995-1 Beginning of Month - Aggregate Principal Receivables 1,529,698,160.68 Principal Collections on the Receivables 128,346,876.60 Finance Charge Receivables 21,808,298.50 Receivables in Defaulted Accounts 6,995,601.87 End of Month - Aggregate Principal Receivables 1,497,859,278.93 Investor Interest Series 1993-1 150,000,000.00 Investor Interest Series 1994-1 200,000,000.00 Investor Interest Series 1994-2 400,000,000.00 Investor Interest Series 1995-1 400,000,000.00 Seller Principal Receivables 347,859,278.93 Total Investor Percentage with respect to... Finance Charges 26.7047783% Charged-Off Accounts 26.7047783% Principal Receivables 26.7047783% Class A Percentage with respect to... Finance Charges 25.3695394% Charged-Off Accounts 25.3695394% Principal Receivables 25.3695394% Class B Percentage with respect to... Finance Charges 1.3352389% Charged-Off Accounts 1.3352389% Principal Receivables 1.3352389% Seller Percentage with respect to ... Finance Charges 23.2237623% Charged-Off Accounts 23.2237623% Principal Receivables 19.8856650% 2. Allocation of Funds in Collection Account Class A Available Finance Charge Collections 5,417,508.92 Class A Monthly Cap Interest Payable to Class A Certificateholders (See "Calculation of Certificate Interest" #3) 1,687,437.50 Unpaid Class A Monthly Cap Interest 0.00 Class A Monthly Servicing Fee (See"Calculation of Monthly Servicing Fee" #6) 633,333.33 Unpaid Class A Monthly Servicing Fee 0.00 Class A Investor Default Amount 1,737,812.58 Unreimbursed Class A Investor Charge-offs 0.00 Excess Spread from Class A Finance Charge Collections 1,358,925.50 Class A Required Amount 0.00 Class B Available Finance Charge Collections 285,132.05 Class B Monthly Cap Interest Payable to Class B Certificateholders (See "Calculation of Certificate Interest" #3) 91,229.17 Unpaid Class B Monthly Cap Interest 0.00 Class B Monthly Servicing Fee (See"Calculation of Monthly Servicing Fee" #6) 33,333.33 Unpaid Class B Monthly Servicing Fee 0.00 Class B Investor Default Amount 91,463.82 Unreimbursed Class B Investor Charge-offs 0.00 Excess Spread from Class B Finance Charge Collections 69,105.73 Class B Required Amount 0.00 Total Excess Spread 1,428,031.23 Excess Spread and Shared Finance Charges used to Satisfy Class A Required Amount 0.00 Excess Spread used to satisfy Unpaid Class A Monthly Cap Interest 0.00 Excess Spread used to satisfy Unpaid Class A Monthly Servicing Fee 0.00 Excess Spread used to satisfy Unreimbursed Class A Investor Charge-offs 0.00 Remaining Class A Required Amount 0.00 Excess Spread used to satisfy Class B Required Amount 0.00 Excess Spread used to satisfy Unpaid Class B Monthly Cap Interest 0.00 Excess Spread used to satisfy Unpaid Class B Monthly Servicing Fee 0.00 Excess Spread used to satisfy Unreimbursed Class B Investor Charge-offs 0.00 Remaining Class B Required Amount 0.00 Shared Finance Charges used to satisfy Remaining Class A Required Amount 0.00 Shared Finance Charges used to satisfy Unpaid Class A Monthly Cap Interest 0.00 Shared Finance Charges used to satisfy Unpaid Class A Monthly Servicing Fee 0.00 Shared Finance Charges used to satisfy Unreimbursed Class A Investor Charge-offs 0.00 Remaining Class A Required Amount 0.00 Cash Collateral Withdrawal used to satisfy Remaining Class A Required Amount 0.00 Cash Collateral Withdrawal used to satisfy Unpaid Class A Monthly Cap Interest 0.00 Cash Collateral Withdrawal used to satisfy Unpaid Class A Monthly Servicing Fee 0.00 Cash Collateral Withdrawal used to satisfy Unreimbursed Class A Investor Charge-offs 0.00 Remaining Class A Required Amount 0.00 Class B Reallocated Amount used to satisfy Remaining Class A Required Amount 0.00 Class B Reallocated Amount used to satisfy Unpaid Class A Monthly Cap Interest 0.00 Class B Reallocated Amount used to satisfy Unpaid Class A Monthly Servicing Fee 0.00 Class B Reallocated Amount used to satisfy Unreimbursed Class A Investor Charge-offs 0.00 Remaining Class A Required Amount 0.00 Class B Investor Interest used to satisfy Unreimbursed Class A Investor Charge-offs 0.00 Shared Finance Charges used to satisfy Remaining Class B Required Amount 0.00 Shared Finance Charges used to satisfy Unpaid Class B Monthly Cap Interest 0.00 Shared Finance Charges used to satisfy Unpaid Class B Monthly Servicing Fee 0.00 Shared Finance Charges used to satisfy Unreimbursed Class B Investor Charge-offs 0.00 Remaining Class B Required Amount 0.00 Cash Collateral Withdrawal used to satisfy Remaining Class B Required Amount 0.00 Cash Collateral Withdrawal used to satisfy Unpaid Class B Monthly Cap Interest 0.00 Cash Collateral Withdrawal used to satisfy Unpaid Class B Monthly Servicing Fee 0.00 Cash Collateral Withdrawal used to satisfy Unreimbursed Class B Investor Charge-offs 0.00 Remaining Class B Required Amount 0.00 Excess Spread used to satisfy interest on overdue Class A (See "Calculation of Certificate Interest" #3) 0.00 Excess Spread used to satisfy interest on overdue Class B (See "Calculation of Certificate Interest" #3) 0.00 Excess Spread used to satisfy reimbursements of Class B Interest 0.00 Excess Spread used to satisfy deposits into Required Cash Collateral Account 0.00 Excess Spread used to satisfy shortfalls of the Class A Interest Payments 0.00 Excess Spread used to satisfy shortfalls of the Class B Interest Payments 0.00 Excess Spread used to satisfy payments per Loan Agreement 1,428,031.23 Excess Spread used to satisfy Class A Excess Interest 0.00 Excess Spread used to satisfy Class B Excess Interest 0.00 Remaining Excess Servicing (dollars) 1,413,370.12 Remaining Excess Servicing (percentage of Investor Interest) 4.24% Class A Investor Certificate Interest Shortfall 0.00 Class A Charge-offs 0.00 Unreimbursed Class A Charge Offs 0.00 Unreimbursed Class A Charge Offs per $1,000 Original 0.00 Class A Monthly Servicing Fee Shortfall 0.00 Class B Investor Certificate Interest Shortfall 0.00 Class B Charge-offs 0.00 Unreimbursed Class B Charge Offs 0.00 Unreimbursed Class B Charge Offs per $1,000 Original 0.00 Class B Monthly Servicing Fee Shortfall 0.00 Available Principal Collections 33,561,359.98 Monthly Principal Payable To Class A Certificateholders (See "Calculation of Monthly Principal" #4) 0.00 Monthly Principal Payable To Class B Certificateholders (See "Calculation of Monthly Principal" #4) 0.00 Monthly Principal Reinvested In Receivables (See "Calculation of Monthly Principal" #4) 35,390,636.39 (Net Deposit)/Draws on Shared Principal Collections 0.00 Required Shared Finance Charge Collections from other Series 0.00 Draw on Shared Finance Charge Collections from other Series 0.00 Withdrawal from Cash Collateral Account 0.00 Required Shared Finance Charge Collections for other Series 0.00 Deposit of Shared Finance Charge Collections for other Series 0.00 Total Distribution to Class A Investors 1,687,437.50 Total Distribution to Class A Investors per $1,000 Invested 4.44 Total Distribution to Class B Investors 91,229.17 Total Distribution to Class B Investors per $1,000 Invested 4.56 3. Calculation of Certificate Interest Class A Certificate Rate 5.5125% Class A Interest Rate Cap Provider Deposit 0.00 Previous Month's Class A Deficiency Amount 0.00 Class A Interest at the Certificate Rate + 0.5% on Deficiency Amount 0.00 This Month Class A Certificate Interest 1,687,437.50 Expected Class A Principal 380,000,000.00 This Month Class A Cap Shortfall 0.00 Class A Excess Interest 0.00 Total Class A Interest Distributable to Class A Certificateholders 1,687,437.50 Total Class A Interest Distributable per $1,000 of Class A Original Investment 4.44 Class B Certificate Rate 5.6625% Class B Interest Rate Cap Provider Deposit 0.00 Previous Month's Class B Deficiency Amount 0.00 Class B Interest at the Certificate Rate + 0.5% on Deficiency Amount 0.00 This Month Class B Certificate Interest 91,229.17 Expected Class B Principal 20,000,000.00 This Month Class B Cap Shortfall 0.00 Class B Excess Interest 0.00 Total Class B Interest Distributable to Class B Certificateholders 91,229.17 Total Class B Interest Distributable per $1,000 of Class B Original Investment 4.56 Total Certificate Interest Distributable to Certificateholders 1,778,666.67 Total Certificate Interest Distributable per $1,000 of Original Investment 4.45 4. Calculation of Monthly Principal Beginning Investor Interest 400,000,000.00 Beginning Class A Interest 380,000,000.00 Class A Available Principal Collections 31,883,291.99 Class A Monthly Unreimbursed Charge-Offs 0.00 Total Class A Monthly Principal 33,621,104.57 Class A Monthly Principal Reinvested in Receivables 33,621,104.57 Class A Controlled Amortization Amount 0.00 Maximum Monthly Principal to Class A Certificateholders 0.00 Class A Deficit Controlled Amortization Amount 0.00 Monthly Principal Payable to Class A Certificateholders 0.00 Class A Monthly Principal Payable per $1,000 of Original Investment 0.00 Beginning Class B Interest 20,000,000.00 Class B Available Principal Collections 1,678,068.00 Class B Monthly Unreimbursed Charge-Offs 0.00 Total Class B Monthly Principal 1,769,531.82 Class B Reallocated Principal 0.00 Prior Month's Cumulative Class B Reallocated Principal 0.00 Class B Reduction of Interest 0.00 Prior Month's Cumulative Class B Reduction of Interest 0.00 Class B Monthly Principal Reinvested in Receivables 1,769,531.82 Class B Controlled Amortization Amount 0.00 Maximum Monthly Principal to Class B Certificateholders 0.00 Required Shared Principal Collections for other Series 0.00 Deposit of Shared Principal Collections for other Series 0.00 Required Shared Principal Collections from other Series 0.00 Draw on Shared Principal Collections from other Series 0.00 Class B Deficit Controlled Amortization Amount 0.00 Monthly Principal Payable to Class B Certificateholders 0.00 Class B Monthly Principal Payable per $1,000 of Original Investment 0.00 Ending Investor Interest 400,000,000.00 Ending Class A Interest 380,000,000.00 Ending Class B Interest 20,000,000.00 5. Calculation of Pool Factor Pool Factor (Ending Certificate Balance divided by Initial Principal Amount to 7 decimal places) 1.0000000 6.Calculation of Monthly Servicing Fee Series Servicing Fee Percentage 2.00% Beginning Class A Investor Interest 380,000,000.00 Beginning Class B Investor Interest 20,000,000.00 Beginning Investor Interest 400,000,000.00 Class A Monthly Servicing Fee 633,333.33 Class B Monthly Servicing Fee 33,333.33 Total Monthly Servicing Fee 666,666.67 7. Cash Collateral Account Activity Beginning of Month Balance 36,000,000.00 Required Cash Collateral Account Amount 36,000,000.00 Excess Spread used to satisfy payments per Loan Agreement 1,428,031.23 Cash Collateral Account Deposits 0.00 Reinvestment Income Received on Cash Collateral Account 33,027.78 Aggregate Cash Collateral Account Draws 0.00 Available Cash Collateral Amount (Dollars) 36,000,000.00 Available Cash Collateral Amount (Percentage) 9.00% 8. Past Due Statistics (past due on a contractual basis) 1-30 days past due Dollars 91,831,494.93 Percent Dollars 6.13% Number of Accts 32,991 Percent Number of Accts 3.13% 31-60 days past due Dollars 22,358,774.81 Percent Dollars 1.49% Number of Accts 8,271 Percent Number of Accts 0.78% 61-90 days past due Dollars 14,034,643.63 Percent Dollars 0.94% Number of Accts 4,905 Percent Number of Accts 0.47% 91-120 days past due Dollars 10,543,705.15 Percent Dollars 0.70% Number of Accts 3,528 Percent Number of Accts 0.33% 121-150 days past due Dollars 8,200,578.32 Percent Dollars 0.55% Number of Accts 2,580 Percent Number of Accts 0.24% 151-180 days past due Dollars 7,278,019.05 Percent Dollars 0.49% Number of Accts 2,205 Percent Number of Accts 0.21% 181 + days past due Dollars 11,537,281.15 Percent Dollars 0.77% Number of Accts 3,441 Percent Number of Accts 0.33% 9. Base Rate Calculation Base Rate 7.52% Portfolio Yield (net of losses) 11.62% Excess of Portfolio Yield over Base Rate 4.10% 10. Number of Accounts in the Trust Number of Additional Accounts 0 Number of Removed Accounts 0 Number of Automatic Additonal Accounts 1,793 Ending Number of Accounts 1,054,515