1 EXHIBIT 99 Chrysler Financial Distribution Date: 06-Dec-00 DaimlerChrysler Auto Trust 2000-C Monthly Servicer's Certificate (GV) Page 1 of 2 - ------------------------------------------------------------------------------------------------------------------------------------ Payment Determination Statement Number 3 Distribution Date 06-Dec-00 DATES COVERED FROM AND INCLUDING TO AND INCLUDING ------------- ------------------ ---------------- Collections Period 01-Nov-00 30-Nov-00 Accrual Period 06-Nov-00 05-Dec-00 30/360 Days 30 Actual/360 Days 30 NUMBER OF COLLATERAL POOL BALANCE DATA ACCOUNTS $ AMOUNT ---------------------------- -------- -------- Pool Balance - Beginning of Period 133,878 1,948,780,483.03 Collections of Installment Principal 37,903,093.88 Collections Attributable to Full Payoffs 16,521,652.70 Principal Amount of Repurchases 15,033.89 Principal Amount of Gross Losses 887,955.94 ---------------------------- Pool Balance - End of Period 131,904 1,893,452,746.62 ============================ POOL STATISTICS END OF PERIOD --------------- ---------------------------- Initial Pool Balance (Pool Balance at the Purchase Date) 2,077,004,724.28 Pool Factor (Pool Balance as a Percent of Initial Pool Balance) 91.16% Ending O/C Amount 105,681,431.18 Coverage Ratio (Ending Pool Balance as a Percent of Ending Securities) 1.06 (Balance as a Percent of Ending Securities) 105.91% Cumulative Net Losses 441,794.14 Net Loss Ratio (3 mo. Weighted Avg.) 0.08800% Cumulative Recovery Ratio 61.64% 60+ Days Delinquency Amount 4,547,330.47 Delinquency Ratio (3 mo. Weighted Avg.) 0.11790% Weighted Average APR 8.724% Weighted Average Remaining Term (months) 52.49 Weighted Average Seasoning (months) 7.84 2 CHRYSLER FINANCIAL DISTRIBUTION DATE: 06-DEC-00 DAIMLERCHRYSLER AUTO TRUST 2000-C MONTHLY SERVICER'S CERTIFICATE (GV) PAGE 2 OF 2 - ------------------------------------------------------------------------------------------------------------------------------------ CASH SOURCES ------------ Collections of Installment Principal 37,903,093.88 Collections Attributable to Full Payoffs 16,521,652.70 Principal Amount of Repurchases 15,033.89 O/C RELEASE ----------- Recoveries on Loss Accounts 547,303.40 Original O/C Amount 94,184,724.28 Collections of Interest 13,729,921.29 Investment Earnings 27,511.14 Cumulative O/C Release (beginning) 0.00 Reserve Account 4,957,050.00 O/C Release (Prospectus pg S16) 0.00 ------------------ -------------- TOTAL SOURCES 73,701,566.30 Cumulative O/C Release (ending) 0.00 ================== ============== CASH USES --------- Servicer Fee 1,623,983.74 Note Interest 10,053,892.75 Reserve Fund 4,957,050.00 O/C Release to Seller 0.00 Note Principal 57,066,639.81 ------------------ TOTAL CASH USES 73,701,566.30 ================== ADMINISTRATIVE PAYMENT ---------------------- Total Principal and Interest Sources 73,701,566.30 Investment Earnings in Trust Account (27,511.14) Cash Reserve in Trust Account (4,957,050.00) Servicer Fee (withheld) (1,623,983.74) O/C Release to Seller 0.00 ------------------ PAYMENT DUE TO TRUST ACCOUNT 67,093,021.42 ================== Beginning Ending Principal Principal per Interest Balance Balance Payment $1000 Face Payment ----------------- --------------------------------------------------------------------- NOTES & CERTIFICATES -------------------- Class A-1 413,422,000.00 @ 6.64% 275,439,955.25 218,373,315.44 57,066,639.81 138.0348405 1,524,101.09 Class A-2 625,000,000.00 @ 6.81% 625,000,000.00 625,000,000.00 0.00 0.0000000 3,546,875.00 Class A-3 475,000,000.00 @ 6.82% 475,000,000.00 475,000,000.00 0.00 0.0000000 2,699,583.33 Class A-4 400,000,000.00 @ 6.85% 400,000,000.00 400,000,000.00 0.00 0.0000000 2,283,333.33 Certificates 69,398,000.00 69,398,000.00 0.00 0.0000000 0.00 ------------------ ----------------------------------- --------------- Total Securities 1,844,837,955.25 1,787,771,315.44 57,066,639.81 10,053,892.75 ================== =================================== =============== Interest per $1000 Face Original -------------------- NOTES & CERTIFICATES -------------------- Class A-1 413,422,000.00 @ 6.64% 3.6865505 413,422,000.00 Class A-2 625,000,000.00 @ 6.81% 5.6750000 625,000,000.00 Class A-3 475,000,000.00 @ 6.82% 5.6833333 475,000,000.00 Class A-4 400,000,000.00 @ 6.85% 5.7083333 400,000,000.00 Certificates 69,398,000.00 ----------------- Total Securities 1,982,820,000.00 ================= * Class A-1 Interest is computed on an Actual/360 Basis. Days in current period 30