1 EXHIBIT 99 CHRYSLER FINANCIAL Distribution Date: 06-Nov-00 DaimlerChrysler Auto Trust 2000-A Monthly Servicer's Certificate (GT) Page 1 of 2 - ------------------------------------------------------------------------------------------------------------------------------------ Payment Determination Statement Number 8 Distribution Date 06-Nov-00 DATES COVERED FROM AND INCLUDING TO AND INCLUDING ------------- ------------------ ---------------- Collections Period 01-Oct-00 31-Oct-00 Accrual Period 06-Oct-00 05-Nov-00 30/360 Days 30 Actual/360 Days 31 NUMBER OF COLLATERAL POOL BALANCE DATA ACCOUNTS $ AMOUNT Pool Balance - Beginning of Period 119,311 1,658,696,344.05 Collections of Installment Principal 35,241,142.89 Collections Attributable to Full Payoffs 17,997,676.88 Principal Amount of Repurchases 29,748.33 Principal Amount of Gross Losses 2,662,364.87 --------------------------- Pool Balance - End of Period 116,805 1,602,765,411.08 =========================== POOL STATISTICS END OF PERIOD --------------------------- Initial Pool Balance (Pool Balance at the Purchase Date) 2,076,965,804.62 Pool Factor (Pool Balance as a Percent of Initial Pool Balance) 77.17% Ending O/C Amount 84,145,184.08 Coverage Ratio (Ending Pool Balance as a Percent of Ending Securities) 1.055408971 CUMULATIVE NET LOSSES 4,845,779.56 --------------------- Net Loss Ratio (3 mo. Weighted Avg.) 0.01 Cumulative Recovery Ratio 57.15617% 60+ Days Delinquency Amount 623833216.00% Delinquency Ratio (3 mo. Weighted Avg.) 0.00 Weighted Average APR 00-Jan-00 Weighted Average Remaining Term (months) 4906.000% Weighted Average Seasoning (months) 11.73 CHRYSLER FINANCIAL Distribution Date: 06-Nov-00 2 DAIMLERCHRYSLER AUTO TRUST 2000-A MONTHLY SERVICER'S CERTIFICATE (GT) PAGE 2 OF 2 - ------------------------------------------------------------------------------------------------------------------------------------ Cash Sources Collections of Installment Principal 35241142.89 Collections Attributable to Full Payoffs 17,997,676.88 Principal Amount of Repurchases 29,748.33 Recoveries on Loss Accounts 0 1,521,705.84 Collections of Interest 12,378,737.08 Investment Earnings 26,643.57 Reserve Account 4,956,957.50 Total Sources 72,152,612.09 --------------------------- =========================== Cash Uses Servicer Fee 1,382,246.95 Note Interest 8,718,277.43 Reserve Fund 4,956,957.50 O/C Release to Seller 4,100,571.22 Note Principal 52,994,558.99 Total Cash Uses 72,152,612.09 --------------------------- --------------------------- =========================== Administrative Payment TOTAL PRINCIPAL AND INTEREST SOURCES 72,152,612 ------------------------------------ Investment Earnings in Trust Account (26,643.57) Cash Reserve in Trust Account (4,956,957.50) Servicer Fee (withheld) (1,382,246.95) O/C Release to Seller (4,100,571.22) Payment Due to Trust Account 61,686,192.85 --------------------------- =========================== O/C Release ORIGINAL O/C AMOUNT 94182804.62 - ------------------- Cumulative O/C Release (beginning) 26781037.02 O/C Release (Prospectus pg S17) 4,100,571.22 Cumulative O/C Release (ending) 30,881,608.24 ----------------------- ======================= Beginning Ending Balance Balance Notes & Certificates -------------------------- ----------------------------- CLASS A-1 408,429,000.00 @ 6.07% 0 0 Class A-2 655,000,000.00 @ 6.76% 652,260,785.99 599,266,227.00 Class A-3 405,000,000.00 @ 7.09% 405,000,000.00 405,000,000.00 Class A-4 440,000,000.00 @ 7.23% 440,000,000.00 440,000,000.00 Certificates 74,354,000.00 74,354,000.00 Total Securities 1,571,614,785.99 1,518,620,227.00 -------------------------- --------------------------- ========================== =========================== Principal Principal per Payment $1000 Face Notes & Certificates --------------------------------------------------- CLASS A-1 408,429,000.00 @ 6.07% 0 0 Class A-2 655,000,000.00 @ 6.76% 52,994,558.99 80.9077236 Class A-3 405,000,000.00 @ 7.09% 0.00 0.0000000 Class A-4 440,000,000.00 @ 7.23% 0.00 0.0000000 Certificates 0.00 0.0000000 Total Securities 52,994,558.99 -------------------------- ========================== Interest Interest per Payment $1000 Face Notes & Certificates -------------------------------------------------- CLASS A-1 408,429,000.00 @ 6.07% 0 0 Class A-2 655,000,000.00 @ 6.76% 3,674,402.43 5.6097747 Class A-3 405,000,000.00 @ 7.09% 2,392,875.00 5.9083333 Class A-4 440,000,000.00 @ 7.23% 2,651,000.00 6.0250000 Certificates 0.00 Total Securities 8,718,277.43 ---------------------------- ============================ Original Notes & Certificates CLASS A-1 408,429,000.00 @ 6.07% 408429000 Class A-2 655,000,000.00 @ 6.76% 655,000,000.00 Class A-3 405,000,000.00 @ 7.09% 405,000,000.00 Class A-4 440,000,000.00 @ 7.23% 440,000,000.00 Certificates 74,354,000.00 Total Securities 1,982,783,000.00 --------------------------- =========================== * Class A-1 Interest is computed on an Actual/360 Basis. Days in current period