EX-20 2 a040305nalt20-1nt.htm SETTLEMENT STATEMENT FOR THE MONTH ENDED MARCH 31, 2005 Exhibit 20

Exhibit 20.1

Nissan Auto Lease Trust 2004-A

Settlement Statement

for Month Ended March 31, 2005

Collection Period Start

1-Mar-05

Distribution Date

15-Apr-05

Collection Period End

31-Mar-05

30/360 Days

30

Beg. of Interest Period

15-Mar-05

Actual/360 Days

31

End of Interest Period

15-Apr-05

SUMMARY

Coupon Rate

Initial Balance

Beginning Balance

Ending Balance

Pool Factor

Total Portfolio

1,680,098,819.60

1,495,757,334.68

1,459,719,700.92

0.8688297

Total Securities

1,680,098,819.60

1,495,757,334.68

1,459,719,700.92

0.8688297

Class A-1 Notes

2.105630%

265,000,000.00

80,658,515.08

44,620,881.32

0.1683807

Class A-2 Notes

2.550000%

260,000,000.00

260,000,000.00

260,000,000.00

1.0000000

Class A-3 Notes

2.900000%

357,000,000.00

357,000,000.00

357,000,000.00

1.0000000

Class A-4a Notes

2.880000%

488,000,000.00

488,000,000.00

488,000,000.00

1.0000000

Class A-4b Notes

3.180000%

100,000,000.00

100,000,000.00

100,000,000.00

1.0000000

Certificates

0.000000%

210,098,819.60

210,098,819.60

210,098,819.60

1.0000000

Principal Payment Due

Interest Payment

Principal per $1000 Face Amount

Interest per $1000 Face Amount

Class A-1 Notes

36,037,633.76

146,248.52

135.9910708

0.5518812

Class A-2 Notes

0.00

552,500.00

0.0000000

2.1250000

Class A-3 Notes

0.00

862,750.00

0.0000000

2.4166667

Class A-4a Notes

0.00

1,210,240.00

0.0000000

2.4800000

Class A-4b

0.00

265,000.00

0.0000000

2.6500000

Certificates

0.00

0.00

0.0000000

0.0000000

Total Securities

36,037,633.76

3,036,738.52

I. COLLECTIONS

Lease Payments: ( Lease SUBI)

Monthly Principal

21,841,160.32

Monthly Interest

6,207,214.84

Total Monthly Payments

28,048,375.16

Interest Rate Cap Payments

0.00

Advances:

Aggregate Monthly Payment Advances

976,357.74

Aggregate Sales Proceeds Advance

1,175,557.43

Total Advances

2,151,915.17

Vehicle Disposition Proceeds:

Reallocation Payments

3,773,965.36

Repurchase Payments

27,318.96

Net Auction Proceeds

0.00

Recoveries

0.00

Net Liquidation Proceeds

9,907,132.52

Excess Wear and Tear and Excess Mileage

18,379.99

Remaining Payoffs

0.00

Net Insurance Proceeds

1,088,857.03

Residual Value Surplus

13,039.90

Total Collections

45,028,984.09

II. COLLATERAL POOL BALANCE DATA

Number

Book Amount

Discount Rate

Securitization Value

Pool Balance - Beginning of Period

68,536

1,531,390,911.92

4.50000%

1,495,757,334.68

Total Depreciation Received

(20,344,357.36)

(20,747,748.99)

Principal Amount of Gross Losses

(164)

(4,022,290.66)

(4,084,328.53)

Repurchase / Reallocation

(2)

(29,530.73)

(27,318.96)

Early Terminations

(9)

(139,259.41)

(126,419.66)

Scheduled Terminations

(488)

(11,071,017.55)

(11,051,817.62)

Pool Balance - End of Period

67,873

1,495,784,456.21

4.50000%

1,459,719,700.92

III. DISTRIBUTIONS

Total Collections

45,028,984.09

Reserve Amounts Available for Distribution

0.00

Total Available for Distribution

45,028,984.09

1. Amounts due Indenture Trustee as Compensation or Indemnity

0.00

2. Reimbursement of Payment Advance

1,992,568.47

3. Reimbursement of Sales Proceeds Advance

1,610,181.24

4. Servicing Fee:

Servicing Fee Due

1,246,464.45

Servicing Fee Paid

1,246,464.45

Servicing Fee Shortfall

0.00

Total Trustee, Advances and Servicing Fee Paid

4,849,214.16

5. Interest:

Class A-1 Notes Monthly Interest

Class A-1 Notes Interest Carryover Shortfall

0.00

Class A-1 Notes Interest on Interest Carryover Shortfall

0.00

Class A-1 Notes Monthly Available Interest Distribution Amount

146,248.52

Class A-1 Notes Monthly Interest Paid

146,248.52

Chg in Class A-1 Notes Int. Carryover Shortfall

0.00

Class A-2 Notes Monthly Interest

Class A-2 Notes Interest Carryover Shortfall

0.00

Class A-2 Notes Interest on Interest Carryover Shortfall

0.00

Class A-2 Notes Monthly Available Interest Distribution Amount

552,500.00

Class A-2 Notes Monthly Interest Paid

552,500.00

Chg in Class A-2 Notes Int. Carryover Shortfall

0.00

Class A-3 Notes Monthly Interest

Class A-3 Notes Interest Carryover Shortfall

0.00

Class A-3 Notes Interest on Interest Carryover Shortfall

0.00

Class A-3 Notes Monthly Available Interest Distribution Amount

862,750.00

Class A-3 Notes Monthly Interest Paid

862,750.00

Chg in Class A-3a Notes Int. Carryover Shortfall

0.00

0.00

Class A-4 Monthly Interest

Class A-4a Notes Interest Carryover Shortfall

0.00

Class A-4a Notes Interest on Interest Carryover Shortfall

0.00

Class A-4a Notes Monthly Available Interest Distribution Amount

1,210,240.00

Class A-4a Notes Monthly Interest Paid

1,210,240.00

Chg in Class A-4a Notes Int. Carryover Shortfall

0.00

Class A-4b Notes Interest Carryover Shortfall

0.00

Class A-4b Notes Interest on Interest Carryover Shortfall

0.00

Class A-4b Notes Monthly Available Interest Distribution Amount

265,000.00

Class A-4b Notes Monthly Interest Paid

265,000.00

Chg in Class A-4b Notes Int. Carryover Shortfall

0.00

0.00

Certificate Monthly Interest

Certificate Interest Carryover Shortfall

0.00

Certificate Interest on Interest Carryover Shortfall

0.00

Certificate Monthly Available Interest Distribution Amount

0.00

Certificate Monthly Interest Paid

0.00

Chg in Certificate Int. Carryover Shortfall

0.00

0.00

Total Note and Certificate Monthly Interest

Total Note and Certificate Monthly Interest Due

3,036,738.52

Total Note and Certificate Monthly Interest Paid

3,036,738.52

Total Note and Certificate Interest Carryover Shortfall

0.00

Chg in Total Note and Certificate Int. Carryover Shortfall

0.00

Total Available for Principal Distribution

37,143,031.41

6. Total Monthly Principal Paid on the Notes

Total Monthly Principal Paid on the Class A Notes

36,037,633.76

Total Class A Noteholders' Principal Carryover Shortfall

0.00

Total Class A Noteholders' Principal Distributable Amount

36,037,633.76

Chg in Total Class A Noteholders' Principal Carryover Shortfall

0.00

0.00

0.00

7. Total Monthly Principal Paid on the Certificates

0.00

Total Certificateholders' Principal Carryover Shortfall

0.00

Total Certificateholders' Principal Distributable Amount

0.00

Chg in Total Certificateholders' Principal Carryover Shortfall

0.00

0.00

Remaining Available Collections

1,105,397.65

IV. RESERVE ACCOUNT

Initial Reserve Account Amount

25,201,482.29

Required Reserve Account Amount

50,402,964.59

Beginning Reserve Account Balance

39,492,072.63

Reinvestment Income for the Period

159,865.25

Reserve Fund Available for Distribution

39,651,937.88

Reserve Fund Draw Amount

0.00

Deposit of Remaining Available Collections

1,105,397.65

Gross Reserve Account Balance

40,757,335.53

Remaining Available Collections Released to Seller

0.00

Ending Reserve Account Balance

40,757,335.53

V. POOL STATISTICS

Weighted Average Remaining Maturity

25.85

Monthly Prepayment Speed

44.000%

Lifetime Prepayment Speed

-19.000%

$

units

Recoveries of Defaulted and Casualty Receivables

2,946,048.29

Securitization Value of Defaulted Receivables and Casualty Receivables

4,084,328.53

164

Aggregate Defaulted and Casualty Gain (Loss)

(1,138,280.24)

Pool Balance at Beginning of Collection Period

1,495,757,334.68

Net Loss Ratio

-0.0761%

Cumulative Net Losses for all Periods(1)

0.3626%

6,092,183.44

Delinquent Receivables:

Amount

Number

31-60 Days Delinquent

13,278,109.22

584

61-90 Days Delinquent

2,664,389.19

109

91-120+ Days Delinquent

666,960.56

28

Total Delinquent Receivables:

16,609,458.97

721

60+ Days Delinquencies as Percentage of Receivables

0.22%

Aggregate Sales Performance of Auctioned Vehicles

$

units

Sales Proceeds

2,007,542.68

109

Securitization Value

2,351,629.63

Aggregate Residual Gain (Loss)

(344,086.95)

Cumulative Sales Performance of Auctioned Vehicles

$

units

Cumulative Sales Proceeds

6,294,190.84

352

Cumulative Securitization Value

7,498,446.63

Cumulative Residual Gain (Loss) 2

(1,204,255.79)

VI. Reconciliation of Advances

.

Beginning Balance of Residual Advance

2,465,579.08

Reimbursement of Outstanding Advance

1,610,181.24

Additional Advances for current period

1,175,557.43

Ending Balance of Residual Advance

2,030,955.27

Beginning Balance of Payment Advance

3,785,992.42

Reimbursement of Outstanding Payment Advance

1,992,568.47

Additional Payment Advances for current period

976,357.74

Ending Balance of Payment Advance

2,769,781.69

Note:

1. The cumulative credit losses for all periods figure reflects a prior period adjustment as detailed in the schedule below:

Nov-04

Dec-04

Jan-05

Feb-05

Period Losses

818,879.66

748,620.42

827,349.22

993,587.48

Cum. Losses

2,384,346.08

3,132,966.50

3,960,315.72

4,953,903.20

2. The cumulative residual losses for all periods figure reflects a prior period adjustment as detailed in the schedule below:

Dec-04

Jan-05

Feb-05

Period Losses

125,294.53

232,897.17

270,451.76

Cum. Losses

356,819.91

589,717.08

860,168.84