Exhibit 99.4 10/98 MONTHLY STATEMENT TO CERTIFICATEHOLDERS SERIES 1995-C CC MASTER CREDIT CARD TRUST II (Formerly Chevy Chase Master Credit Card Trust II) RECEIVABLES Beginning of the Month Principal Receivables: $ 2,560,653,543.40 Beginning of the Month Finance Charge Receivables: $ 109,535,727.38 Beginning of the Month Discounted Receivables: $ 0.00 Beginning of the Month Total Receivables: $ 2,670,189,270.78 Removed Principal Receivables: $ 0.00 Removed Finance Charge Receivables: $ 0.00 Removed Total Receivables: $ 0.00 Additional Principal Receivables: $ 133,568,171.87 Additional Finance Charge Receivables: $ 922,650.24 Additional Total Receivables: $ 134,490,822.11 Discounted Receivables Generated this Period: $ 0.00 End of the Month Principal Receivables: $ 2,606,297,821.32 End of the Month Finance Charge Receivables: $ 108,344,082.86 End of the Month Discounted Receivables: $ 0.00 End of the Month Total Receivables: $ 2,714,641,904.18 Special Funding Account Balance $ 0.00 Aggregate Invested Amount (all Master Trust Series) $ 2,375,000,000.00 End of the Month Transferor Amount $ 231,297,821.32 End of the Month Transferor Percentage 8.87% DELINQUENCIES AND LOSSES End of the Month Delinquencies: RECEIVABLES 30-59 Days Delinquent $ 56,689,490.22 60-89 Days Delinquent $ 41,838,760.68 90+ Days Delinquent $ 74,697,798.09 Total 30+ Days Delinquent $ 173,226,048.99 Delinquent Percentage 6.38% 10/98 Defaulted Accounts During the Month $ 10,544,300.69 Annualized Default Percentage 4.94% Principal Collections 338,980,911.74 Principal Payment Rate 13.24% Total Payment Rate 14.43% INVESTED AMOUNTS Class A Initial Invested Amount $ 322,000,000.00 Class B Initial Invested Amount $ 28,000,000.00 INITIAL INVESTED AMOUNT $ 350,000,000.00 Class A Invested Amount $ 368,000,000.00 Class B Invested Amount $ 32,000,000.00 INVESTED AMOUNT $ 400,000,000.00 FLOATING ALLOCATION PERCENTAGE 15.58% PRINCIPAL ALLOCATION PERCENTAGE 15.58% MONTHLY SERVICING FEE $ 666,666.66 INVESTOR DEFAULT AMOUNT $ 1,642,802.05 CLASS A AVAILABLE FUNDS-- CLASS A FLOATING PERCENTAGE 92.00% Class A Finance Charge Collections $ 7,103,415.36 Other Amounts $ 0.00 TOTAL CLASS A AVAILABLE FUNDS $ 7,103,415.36 Class A Monthly Interest $ 1,854,258.77 Class A Servicing Fee $ 613,333.33 Class A Investor Default Amount $ 1,511,377.89 TOTAL CLASS A EXCESS SPREAD $ 3,124,445.37 10/98 REQUIRED AMOUNT $ 0.00 CLASS B AVAILABLE FUNDS CLASS B FLOATING PERCENTAGE 8.00% Class B Finance Charge Collections $ 617,688.30 Other Amounts $ 0.00 TOTAL CLASS B AVAILABLE FUNDS $ 617,688.30 Class B Monthly Interest $ 164,795.45 Class B Servicing Fee $ 53,333.33 TOTAL CLASS B EXCESS SPREAD $ 399,559.52 EXCESS SPREAD -- TOTAL EXCESS SPREAD $ 3,524,004.89 Excess Spread Applied to Required Amount $ 0.00 Excess Spread Applied to Class A Investor $ 0.00 Charge Offs Excess Spread Applied to Class B $ 131,424.16 Interest, Servicing Fee and Default Amount Excess Spread Applied to Reductions of $ 0.00 Class B Invested Amount Excess Spread Applied to Monthly Cash $ 27,022.22 Collateral Fee Excess Spread Applied to Cash Collateral $ 0.00 Account Excess Spread Applied to other amounts owed $ 0.00 Cash Collateral Depositor TOTAL EXCESS FINANCE CHARGE COLLECTIONS ELIGIBLE FOR GROUP I $ 3,365,558.51 10/98 EXCESS FINANCE CHARGES COLLECTIONS -- GROUP I -- TOTAL EXCESS FINANCE CHARGE COLLECTIONS FOR ALL SERIES IN GROUP I $ 19,305,664.73 SERIES 1995-C EXCESS FINANCE CHARGE COLLECTIONS -- EXCESS FINANCE CHARGE COLLECTIONS ALLOCATED TO $ 0.00 SERIES 1995-C Excess Finance Charge Collections Applied to $ 0.00 Required Amount Excess Finance Charge Collections Applied to $ 0.00 Class A Investor Charge Offs Excess Finance Charge Collections Applied to $ 0.00 Class B Interest, Servicing Fee and Default Amounts Excess Finance Charge Collections Applied to $ 0.00 Reductions of Class B Invested Amount Excess Finance Charge Collections Applied to $ 0.00 Monthly Cash Collateral Fee Excess Finance Charge Collections Applied to $ 0.00 Cash Collateral Account Excess Finance Charge Collections Applied to $ 0.00 other amounts owed Cash Collateral Depositor YIELD AND BASE RATE -- Base Rate (Current Month) 7.68% Base Rate (Prior Month) 7.86% Base Rate (Two Months Ago) 7.91% THREE MONTH AVERAGE BASE RATE 7.82% Portfolio Yield (Current Month) 18.23% Portfolio Yield (Prior Month) 12.33% Portfolio Yield (Two Months Ago) 12.75% THREE MONTH AVERAGE PORTFOLIO YIELD 14.44% 10/98 PRINCIPAL COLLECTIONS -- CLASS A PRINCIPAL PERCENTAGE 92.00% Class A Principal Collections $ 48,544,252.85 CLASS B PRINCIPAL PERCENTAGE 8.00% Class B Principal Collections $ 4,221,239.37 TOTAL PRINCIPAL COLLECTIONS $ 52,765,492.22 REALLOCATED PRINCIPAL COLLECTIONS $ $ 0.00 SHARED PRINCIPAL COLLECTIONS ALLOCABLE FROM OTHER $ 0.00 SERIES CLASS A SCHEDULED AMORTIZATION -- Controlled Amortization Amount $ 0.00 Deficit Controlled Amortization Amount $ 0.00 CONTROLLED DEPOSIT AMOUNT $ 0.00 CLASS B SCHEDULED AMORTIZATION -- Controlled Accumulation Amount $ 0.00 Deficit Controlled Accumulation Amount $ 0.00 CONTROLLED DEPOSIT AMOUNT $ 0.00 EXCESS PRINCIPAL COLLECTIONS ELIGIBLE FOR PRINCIPAL $ 52,765,492.22 SHARING INVESTOR CHARGE OFFS -- CLASS A INVESTOR CHARGE OFFS $ 0.00 CLASS B INVESTOR CHARGE OFFS $ 0.00 10/98 PREVIOUS CLASS A CHARGE OFFS REIMBURSED $ 0.00 PREVIOUS CLASS B CHARGE OFFS REIMBURSED $ 0.00 CASH COLLATERAL ACCOUNT -- Required Cash Collateral Amount $ 52,000,000.00 Available Cash Collateral Amount $ 52,000,000.00 TOTAL DRAW AMOUNT $ 0.00 CASH COLLATERAL ACCOUNT SURPLUS $ 0.00 First USA Bank, NA as Servicer By: /s/ Tacie H. Klein ------------------------- Tracie H. Klein Vice President