EX-99 2 it022409.txt ISSUANCE TRUST MONTHLY 10-D FEB'09 CITIBANK (SOUTH DAKOTA), NATIONAL ASSOCIATION ============================================================================== CITIBANK CREDIT CARD ISSUANCE TRUST / CITIBANK CREDIT CARD MASTER TRUST I For the Due Period Ending February 24, 2009 ============================================================================== This Report relates to the Due Period ending February 24, 2009 and the related Payment Dates for the Notes.
A. Information Regarding the Master Trust portfolio ------------------------------------------------- 1. Portfolio Yield for the Collateral Certificate ......... 8.19% Yield Component ................................... 17.52% Credit Loss Component ............................. 9.33% 2. New Purchase Rate ..................................... 15.73% 3. Total Payment Rate .................................... 17.65% 4. Principal Payment Rate ................................ 16.68% 5. Aggregate Amount of Principal Receivables in the Trust : Beginning of Due Period ............................ $ 76,831,635,947 Average ............................................ $ 75,747,866,391 Lump Sum Addition/(Removal) ........................ $ 0 End of Due Period .................................. $ 74,648,349,449
6. Delinquencies (Aggregate outstanding balances in the Accounts that were delinquent by the time periods listed below as of the close of business of the month preceding the Payment Dates, as a percentage of aggregate Receivables as of the last day of the Due Period) :
Current .......................................... $ 68,862,954,815 5-34 days delinquent ........................... $ 2,941,531,731 35-64 days delinquent ........................... $ 1,167,493,629 65-94 days delinquent ........................... $ 954,627,737 95-124 days delinquent ........................... $ 831,903,347 125-154 days delinquent ........................... $ 709,703,999 155-184 days delinquent ........................... $ 607,839,616 Current ........................................... 90.53% 5-34 days delinquent ........................... 3.87% 35-64 days delinquent ........................... 1.53% 65-94 days delinquent ........................... 1.25% 95-124 days delinquent ........................... 1.09% 125-154 days delinquent ........................... 0.93% 155-184 days delinquent ........................... 0.80%
Page 1 CITIBANK (SOUTH DAKOTA), NATIONAL ASSOCIATION ============================================================================== CITIBANK CREDIT CARD ISSUANCE TRUST / CITIBANK CREDIT CARD MASTER TRUST I For the Due Period Ending February 24, 2009 ==============================================================================
Current Due Current Due Period on an Period on a Actual Basis (1) Standard Basis (1) B. Information Regarding the Collateral Certificate ------------------------------------------------- (Percentage Basis) 1. Portfolio Yield 8.19% 8.19% 2. Weighted Average Interest Rate (2) 2.26% 2.26% 3. Weighted Average Investor Fee Rates Fixed Servicing Fee 0.37% 0.37% Others 0.03% 0.03% 4. Surplus Finance Charge Collections 5.53% 5.53% 5. Surplus Finance Charge Collections For Purposes of Funding Class C Reserve Account 5.18% 5.18% 6. Required Surplus Finance Charge Amount 0.00% 0.00% 7. Aggregate Surplus Finance Charge Amount 5.53% 5.53% minus Required Surplus Finance Charge Amount
C. Information Regarding the Collateral Certificate ------------------------------------------------- (Dollars Basis) 1. Total Investor Collections $11,707,940,731 $11,707,940,731 Principal Collections $10,840,982,913 $10,840,982,913 Finance Charge Collections $ 866,957,818 $ 866,957,818 2. Investor Default Amount $ 465,088,244 $ 465,088,244 3. Targeted Deposit to Interest Funding Account (3) $ 113,847,140 $ 113,847,140 4. Investor Monthly Fees Fixed Servicing Fees $ 20,042,360 $ 20,042,360 Others $ 1,721,986 $ 1,721,986 5. Surplus Finance Charge Collections $ 266,258,088 $ 266,258,088 6. Required Surplus Finance Charge Collections $ 0 $ 0 7. Aggregate Surplus Finance Charge Amount $ 266,258,088 $ 266,258,088 minus Required Surplus Finance Charge Amount
(1) Values for "Current Due Period on an Actual Basis" reflect, in the case of a first due period close of a tranche of Notes, activity from the close date until the first due period end, or, as in the case of Targeted Deposit to Interest Funding Account and certain fees, until the first Monthly Interest Date. Values for "Current Due Period on a Standard Basis" reflect activity for the entire current period, as if all Notes had already been outstanding prior to the first day of such period. All percents are based on actual cash revenue or expense for the period, converted to an annualized percent using day count appropriate for the item, either 30/360, actual/360, or actual/actual. Depending on the item, cash expenses may accrue from January 28, 2009 to February 24, 2009, 28 days, or February 2 , 2009 to March 1 , 2009, 28 days (standard basis). (2) Defined in the definition section of the Indenture (3) Referenced in sections 501 and 503 of the Indenture Page 2 CITIBANK (SOUTH DAKOTA), NATIONAL ASSOCIATION ============================================================================== CITIBANK CREDIT CARD ISSUANCE TRUST / CITIBANK CREDIT CARD MASTER TRUST I For the Due Period Ending February 24, 2009 ==============================================================================
D. Information Regarding Notes of Citiseries ---------------------------------------------------- (Aggregate Basis) 1a. Class A Outstanding Dollar Principal Amount ............ $57,330,249,918 For all Classes except Class 2001-A3 (Dakota) ............ $46,330,249,918 For Class 2001-A3 (Dakota) ............................... $11,000,000,000 1b. Class B Outstanding Dollar Principal Amount ............ $ 2,075,000,000 1c. Class C Outstanding Dollar Principal Amount ............ $ 4,597,000,000 2a. Targeted Deposit to Class A Interest Funding Account ..... $ 83,871,489 2b. Targeted Deposit to Class B Interest Funding Account ..... $ 5,294,740 2c. Targeted Deposit to Class C Interest Funding Account ..... $ 24,680,911 3a. Balance in the Class A Interest Funding Account ......... $ 263,639,660 3b Balance in the Class B Interest Funding Account ......... $ 19,971,463 3c Balance in the Class C Interest Funding Account ......... $ 35,107,682 4a. Targeted Deposit to Class A Principal Funding Account .... $ 0 4b. Targeted Deposit to Class B Principal Funding Account .... $ 1,000,000,000 4c. Targeted Deposit to Class C Principal Funding Account .... $ 0 5a. Balance in the Class A Principal Funding Account ........ $ 0 5b. Balance in the Class B Principal Funding Account ........ $ 0 5c. Balance in the Class C Principal Funding Account ........ $ 0 6. Targeted Deposit to Class C Reserve Account ............. $ 0 7. Balance in the Class C Reserve Account .................. $ 0
Data Applicable to all Classes Except 2001-A3 (Dakota) ------------------------------------------------------- 8a. Maximum enhancement amount available to Outstanding Class A Notes from Class B Notes ............ $ 2,771,897,155 8b. As a Percentage of Class A Outstanding Dollar Principal Amount ................................. 5.98291% 8c. Maximum enhancement amount available to Outstanding Class A Notes from Class C Notes ............ $ 3,695,861,329 8d. As a Percentage of Class A Outstanding Dollar Principal Amount ................................. 7.97721% 8e. Maximum enhancement amount available to Outstanding Class B Notes from Class C Notes ............ $ 4,099,999,898 8f. As a Percentage of Class B Outstanding Dollar Principal Amount ................................. 133.33333%
Data Applicable only to Class 2001-A3 (Dakota) (1) ------------------------------------------------------- 9a. Maximum enhancement amount available to Outstanding Class 2001-A3 Notes (Dakota) from Class C Notes ......... $ 764,705,700 9b. As a Percentage of Class 2001-A3 Notes (Dakota) Outstanding Dollar Principal Amount ..................... 6.95187% 9c. Maximum enhancement amount available to Outstanding Class 2001-A3 Notes (Dakota) from Class B Notes ......... $ 0 9d. As a Percentage of Class 2001-A3 Notes (Dakota) Outstanding Dollar Principal Amount ..................... 0.00000%
----------------------------------------------------------------------------- (1) All conditions precedent were satisfied for the issuance of new tranches of Dakota CP Notes during Due Period ending February 24, 2009, including the condition that the weighted average remaining life to Expected Principal Payment Date of all Dakota CP Notes be 60 days or less. Page 3 CITIBANK (SOUTH DAKOTA), NATIONAL ASSOCIATION ============================================================================== CITIBANK CREDIT CARD ISSUANCE TRUST / CITIBANK CREDIT CARD MASTER TRUST I For the Due Period Ending February 24, 2009 ==============================================================================
Data Applicable to all Classes ------------------------------- 10a. Reduction in the Class A Nominal Liquidation Amount resulting from an allocation of Investor Charge-Offs ................................ $ 0 10b. Reduction in the Class B Nominal Liquidation Amount resulting from an allocation of Investor Charge-Offs or a reallocation of Principal Collections to pay interest on Class A Notes ........... $ 0 10c. Reduction in the Class C Nominal Liquidation Amount resulting from an allocation of Investor Charge-Offs or a reallocation of Principal Collections to pay interest on Class A or Class B Notes . $ 0 11a. Reimbursement of Class A Nominal Liquidation Amount .... $ 0 11b. Reimbursement of Class B Nominal Liquidation Amount .... $ 0 11c. Reimbursement of Class C Nominal Liquidation Amount .... $ 0
E. Information Regarding Distributions to Noteholders of Citiseries ----------------------------------------------------------------- (Aggregate Basis) 1a. The total amount of the distribution to Class A Noteholders on the applicable Payment Dates ......................... $ 123,449,026 1b. The total amount of the distribution to Class B Noteholders on the applicable Payment Dates ......................... $1,011,976,518 1c. The total amount of the distribution to Class C Noteholders on the applicable Payment Dates ......................... $ 17,655,598 2a. The amount of the distribution set forth in item 1(a) above in respect of principal on the Class A Notes ........ $ 0 2b. The amount of the distribution set forth in item 1(b) above in respect of principal on the Class B Notes ........ $1,000,000,000 2c. The amount of the distribution set forth in item 1(c) above in respect of principal on the Class C Notes ........ $ 0 3a. The amount of the distribution set forth in item 1(a) above in respect of interest on the Class A Notes ........ $ 123,449,026 3b. The amount of the distribution set forth in item 1(b) above in respect of interest on the Class B Notes ........ $ 11,976,518 3c. The amount of the distribution set forth in item 1(c) above in respect of interest on the Class C Notes ........ $ 17,655,598 4a. The amount, if any, by which the Adjusted Outstanding Dollar Principal Amount of the Class A Notes exceeds the Class A Nominal Liquidation Amount as of the Record Date with respect to the applicable Payment Dates ...... $ 0 4b. The amount, if any, by which the Adjusted Outstanding Dollar Principal Amount of the Class B Notes exceeds the Class B Nominal Liquidation Amount as of the Record Date with respect to the applicable Payment Dates ...... $ 0 4c. The amount, if any, by which the Adjusted Outstanding Dollar Principal Amount of the Class C Notes exceeds the Class C Nominal Liquidation Amount as of the Record Date with respect to the applicable Payment Dates ...... $ 0
Page 4 CITIBANK (SOUTH DAKOTA), NATIONAL ASSOCIATION ============================================================================== CITIBANK CREDIT CARD ISSUANCE TRUST / CITIBANK CREDIT CARD MASTER TRUST I For the Due Period Ending February 24, 2009 ==============================================================================
F. Information Regarding Notes of Citiseries ------------------------------------------------------------------------------------------------------- (The information reported is for the Due Period ending February 24, 2009 and giving effect to all deposits, allocations, reallocations and payments to be made in the month after the end of this Due Period.) ------------------------------------------------------------------------------------------------------- (Individual Tranche Basis) 1a. Outstanding Dollar Principal Amount, Interest Payments and Deposits to Interest Funding Sub-Accounts Class/ Outstanding Monthly Targeted Actual Cumulative Interest Interest Tranche Dollar Accretion Deposit to Deposit to Shortfall Funding Payment Principal the the In Interest Sub-Account On Payment Amount Interest Interest Funding Balance(2) Date(3) Funding Funding Sub-Account Account(1) Account --------------- ---------------- ----------- ----------- ----------- ----------- ----------- ------------ Class 2001-A3 11,000,000,000 0 4,649,908 4,649,908 0 0 4,649,908 Class 2001-A4 1,108,750,000 0 1,366,885 1,366,885 0 2,782,588 0 Class 2001-A7 420,000,000 0 432,338 432,338 0 432,337 0 Class 2002-A10 1,000,000,000 0 553,194 553,194 0 0 553,194 Class 2002-A4 750,000,000 0 406,875 406,875 0 0 406,875 Class 2002-A8 1,000,000,000 0 495,833 495,833 0 0 495,833 Class 2002-C2 350,000,000 0 2,027,083 2,027,083 0 2,027,083 0 Class 2003-A10 500,000,000 0 255,072 255,072 0 5,937,500 0 Class 2003-A7 650,000,000 0 364,000 364,000 0 4,495,833 0 Class 2003-C4 300,000,000 0 1,250,000 1,250,000 0 3,750,000 0 Class 2004-A2 1,480,000,000 0 1,592,228 1,592,228 0 1,592,228 0 Class 2004-A3 1,000,000,000 0 956,184 956,184 0 1,946,518 0 Class 2004-A5 473,410,131 0 432,902 432,902 0 896,726 0 Class 2004-A6 394,508,442 0 375,296 375,296 0 777,399 0 Class 2004-A7 1,200,000,000 0 1,249,500 1,249,500 0 1,249,500 0 Class 2004-A8 750,000,000 0 348,279 348,279 0 9,187,500 0 Class 2004-B1 250,000,000 0 134,167 134,167 0 0 134,167 Class 2004-B2 250,000,000 0 149,236 149,236 0 0 149,236 Class 2004-C1 225,000,000 0 187,523 187,523 0 0 187,523 Class 2005-A1 338,581,344 0 336,689 336,689 0 336,689 0 Class 2005-A2 875,000,000 0 383,323 383,323 0 0 21,218,750 Class 2005-A3 1,375,000,000 0 580,174 580,174 0 0 580,174 Class 2005-A4 300,000,000 0 128,333 128,333 0 3,300,000 0 Class 2005-A5 200,000,000 0 89,133 89,133 0 2,275,000 0 Class 2005-A6 1,500,000,000 0 1,669,792 1,669,792 0 3,637,760 0 Class 2005-A7 750,000,000 0 281,750 281,750 0 14,843,750 0 Class 2005-A8 875,000,000 0 367,500 367,500 0 0 367,500 Class 2005-A9 500,000,000 0 233,372 233,372 0 8,500,000 0 Class 2005-C1 75,000,000 0 343,750 343,750 0 0 2,062,500 Class 2005-C2 175,000,000 0 128,285 128,285 0 0 128,285 Class 2005-C3 375,000,000 0 245,039 245,039 0 0 245,039 Class 2005-C6 175,000,000 0 103,852 103,852 0 0 103,852 Class 2006-A1 700,000,000 0 697,569 697,569 0 697,569 0 Class 2006-A3 750,000,000 0 3,312,500 3,312,500 0 0 19,875,000 Class 2006-A4 1,300,000,000 0 5,904,167 5,904,167 0 23,616,667 0 Class 2006-A5 750,000,000 0 3,312,500 3,312,500 0 13,250,000 0 Class 2006-A6 2,000,000,000 0 750,556 750,556 0 0 750,556 Class 2006-A7 1,000,000,000 0 4,463,858 4,463,858 0 0 5,197,743 Class 2006-A8 1,000,000,000 0 4,171,667 4,171,667 0 1,890,633 0 Class 2006-B1 0 0 260,167 260,167 0 0 260,167 Class 2006-B2 0 0 1,716,667 1,716,667 0 0 10,300,000 Class 2006-C1 500,000,000 0 338,333 338,333 0 0 338,333 Class 2006-C2 200,000,000 0 950,000 950,000 0 3,800,000 0 Class 2006-C3 250,000,000 0 145,347 145,347 0 0 145,347 Class 2006-C4 500,000,000 0 2,151,563 2,151,563 0 0 259,583 Class 2007-A1 2,000,000,000 0 8,068,333 8,068,333 0 0 7,659,167 Class 2007-A10 1,100,000,000 0 768,931 768,931 0 0 768,931 Class 2007-A11 1,200,000,000 0 932,167 932,167 0 0 932,167 Class 2007-A2 1,750,000,000 0 1,688,635 1,688,635 0 1,688,635 0 Class 2007-A3 665,000,000 0 376,481 376,481 0 10,224,375 0 Class 2007-A4 225,000,000 0 379,055 379,055 0 0 1,277,555 Class 2007-A5 750,000,000 0 3,437,500 3,437,500 0 10,312,500 0 Class 2007-A6 1,000,000,000 0 4,507,917 4,507,917 0 2,202,257 0 Class 2007-A7 3,250,000,000 0 2,072,778 2,072,778 0 0 2,072,778 Class 2007-A8 1,750,000,000 0 8,239,583 8,239,583 0 0 49,437,500 Class 2007-A9 500,000,000 0 366,042 366,042 0 0 366,042 Class 2007-B1 200,000,000 0 234,889 234,889 0 494,944 0 Class 2007-B2 200,000,000 0 833,333 833,333 0 4,166,667 0 Class 2007-B5 800,000,000 0 664,222 664,222 0 0 664,222 Class 2007-B6 200,000,000 0 833,333 833,333 0 3,333,333 0 Class 2008-A1 900,000,000 0 4,012,500 4,012,500 0 4,012,500 0 Class 2008-A2 1,850,000,000 0 2,335,504 2,335,504 0 0 2,335,504 Class 2008-A3 1,850,000,000 0 1,935,306 1,935,306 0 0 1,935,306 Class 2008-A4 500,000,000 0 429,074 429,074 0 0 429,074 Class 2008-A5 500,000,000 0 2,020,833 2,020,833 0 10,104,167 0 Class 2008-A6 1,150,000,000 0 1,493,722 1,493,722 0 0 1,493,722 Class 2008-A7 450,000,000 0 645,750 645,750 0 0 645,750 Class 2008-B1 175,000,000 0 468,727 468,727 0 0 468,727 Class 2008-C10 13,000,000 0 194,336 194,336 0 0 194,336 Class 2008-C11 565,000,000 0 10,853,728 10,853,728 0 0 10,853,728 Class 2008-C6 500,000,000 0 2,625,000 2,625,000 0 7,875,000 0 Class 2008-C7 58,000,000 0 226,689 226,689 0 0 226,689 Class 2008-C8 200,000,000 0 1,512,000 1,512,000 0 0 1,512,000 Class 2008-C9 136,000,000 0 1,398,382 1,398,382 0 0 1,398,382 Total 64,002,249,918 0 113,847,140 113,847,140 0 165,637,661 153,081,143
(1) Referenced in sections 501 and 503 of the Indenture (2) The Interest Funding Sub-Account Balance reflects the Trust Targeted Deposit to the Interest Funding Account and net settlement of any U.S. dollar-denominated swap. (3) For Notes denominated in US dollars this column represents the Note coupon payment to investors on the related Payment Date. For Notes not denominated in U.S. dollars this column represents the currency swap payment to the counterparty on the related Swap Payment Date. CITIBANK (SOUTH DAKOTA), NATIONAL ASSOCIATION ============================================================================== CITIBANK CREDIT CARD ISSUANCE TRUST / CITIBANK CREDIT CARD MASTER TRUST I For the Due Period Ending February 24, 2009 ==============================================================================
1b. Outstanding Dollar Principal Amount and Investor Interest Payments Class/ Outstanding Investor Investor Payment Monthly Investor's Investor's SWAP Expected Legal Tranche Dollar Interest Interest Date(1) Interest Current Interest Yes/ Principal Maturity Principal Rate PMT Accrual Period PMT On Pmt No Payment Date Amount Fixed/ Frequency Period Interest Date (2) Date Floating (3) Rate -------------- -------------- -------- ------------------ -------- -------- ---------- --------------- ---- ---------- ---------- Class 2001-A7 420,000,000 Floating Feb, May, Aug, Nov 15 17 - 16 1.37250 0.00 No 08/15/2011 08/15/2013 Class 2002-A10 1,000,000,000 Floating Monthly 17 17 - 17 0.71125 553,194.44 No 12/17/2012 12/17/2014 Class 2002-A4 750,000,000 Floating Monthly 7 9 - 9 0.69750 406,875.00 No 06/09/2014 06/07/2016 Class 2002-A8 1,000,000,000 Floating Monthly 7 9 - 9 0.63750 495,833.33 No 11/09/2009 11/07/2011 Class 2002-C2 350,000,000 Fixed Feb, Aug 15 17 - 16 6.95000 0.00 No 02/15/2012 02/18/2014 Class 2003-A10 500,000,000 Fixed Jun, Dec 10 10 - 10 4.75000 0.00 Yes 12/10/2013 12/10/2015 Class 2003-A7 650,000,000 Fixed Jan, Jul 7 9 - 9 4.15000 0.00 Yes 07/07/2015 07/07/2017 Class 2003-C4 300,000,000 Fixed Jun, Dec 10 10 - 10 5.00000 0.00 No 06/10/2013 06/10/2015 Class 2004-A3 1,000,000,000 Floating Jan, Apr, Jul, Oct 24 24 - 24 1.22938 0.00 No 07/24/2009 07/25/2011 Class 2004-A7 1,200,000,000 Floating Feb, May, Aug, Nov 24 24 - 24 1.33875 0.00 No 11/25/2011 11/25/2013 Class 2004-A8 750,000,000 Fixed Jun, Dec 10 10 - 10 4.90000 0.00 Yes 12/10/2014 12/12/2016 Class 2004-B1 250,000,000 Floating Monthly 20 20 - 20 0.69000 134,166.67 No 05/20/2009 05/20/2011 Class 2004-B2 250,000,000 Floating Monthly 7 9 - 9 0.76750 149,236.11 No 10/07/2011 10/07/2013 Class 2004-C1 225,000,000 Floating Monthly 15 17 - 16 1.11125 187,523.44 No 07/15/2011 07/15/2013 Class 2005-A2 875,000,000 Fixed Mar, Sep 10 10 - 10 4.85000 21,218,749.98 Yes 03/10/2015 03/10/2017 Class 2005-A3 1,375,000,000 Floating Monthly 24 24 - 24 0.54250 580,173.61 No 04/24/2012 04/24/2014 Class 2005-A4 300,000,000 Fixed Jun, Dec 20 20 - 20 4.40000 0.00 Yes 06/20/2012 06/20/2014 Class 2005-A5 200,000,000 Fixed Jun, Dec 20 20 - 20 4.55000 0.00 Yes 06/22/2015 06/20/2017 Class 2005-A6 1,500,000,000 Floating Jan, Apr, Jul, Oct 7 9 - 9 1.43125 0.00 No 10/07/2009 10/07/2011 Class 2005-A7 750,000,000 Fixed Apr, Oct 20 20 - 20 4.75000 0.00 Yes 10/20/2010 10/22/2012 Class 2005-A8 875,000,000 Floating Monthly 20 20 - 20 0.54000 367,500.00 No 10/22/2012 10/20/2014 Class 2005-A9 500,000,000 Fixed May, Nov 20 20 - 20 5.10000 0.00 Yes 11/20/2015 11/20/2017 Class 2005-C1 75,000,000 Fixed Mar, Sep 24 24 - 24 5.50000 2,062,500.00 No 03/24/2015 03/24/2017 Class 2005-C2 175,000,000 Floating Monthly 24 24 - 24 0.94250 128,284.72 No 03/24/2015 03/24/2017 Class 2005-C3 375,000,000 Floating Monthly 15 17 - 16 0.87125 245,039.06 No 07/16/2012 07/15/2014 Class 2005-C6 175,000,000 Floating Monthly 15 17 - 16 0.79125 103,851.56 No 11/15/2010 11/15/2012 Class 2006-A1 700,000,000 Floating Feb, May, Aug, Nov 7 9 - 9 1.28125 0.00 No 02/07/2013 02/09/2015 Class 2006-A3 750,000,000 Fixed Mar, Sep 15 17 - 16 5.30000 19,875,000.00 No 03/15/2016 03/15/2018 Class 2006-A4 1,300,000,000 Fixed May, Nov 10 10 - 10 5.45000 0.00 No 05/10/2011 05/10/2013 Class 2006-A5 750,000,000 Fixed May, Nov 20 20 - 20 5.30000 0.00 No 05/20/2009 05/20/2011 Class 2006-A6 2,000,000,000 Floating Monthly 24 24 - 24 0.48250 750,555.56 No 05/24/2010 05/24/2012 Class 2006-A7 1,000,000,000 Floating Mar, Jun, Sep, Dec 15 17 - 16 2.05625 5,197,743.05 Yes 12/15/2016 12/17/2018 Class 2006-A8 1,000,000,000 Floating Apr, Jul, Oct, Jan 15 17 - 16 1.13438 0.00 Yes 12/15/2016 12/17/2018 Class 2006-B1 0 Floating Monthly 7 9 - 9 0.55750 260,166.67 No 03/09/2009 03/07/2011 Class 2006-B2 0 Fixed Mar, Sep 7 9 - 9 5.15000 10,300,000.02 No 03/09/2009 03/07/2011 Class 2006-C1 500,000,000 Floating Monthly 20 20 - 20 0.87000 338,333.33 No 02/20/2013 02/20/2015 Class 2006-C2 200,000,000 Fixed May, Nov 15 17 - 16 5.70000 0.00 No 05/16/2011 05/15/2013 Class 2006-C3 250,000,000 Floating Monthly 7 9 - 9 0.74750 145,347.22 No 06/07/2011 06/07/2013 Class 2006-C4 500,000,000 Floating Monthly 7 9 - 9 0.66750 259,583.33 Yes 01/07/2010 01/09/2012 Class 2007-A1 2,000,000,000 Floating Mar, Jun, Sep, Dec 22 23 - 23 1.51500 7,659,166.67 Yes 03/22/2010 03/22/2012 Class 2007-A10 1,100,000,000 Floating all 10 10 - 10 0.89875 768,930.56 No 12/10/2012 12/10/2014 Class 2007-A11 1,200,000,000 Floating all 10 10 - 10 0.99875 932,166.67 No 01/12/2015 01/10/2017 Class 2007-A2 1,750,000,000 Floating Feb, May, Aug, Nov 21 23 - 23 1.24063 0.00 No 05/21/2010 05/21/2012 Class 2007-A3 665,000,000 Fixed Jun, Dec 15 17 - 16 6.15000 0.00 Yes 06/15/2037 06/15/2039 Class 2007-A4 225,000,000 Floating Sep, Dec, Mar, Jun 15 17 - 16 2.24625 1,277,554.69 No 06/15/2037 06/15/2039 Class 2007-A5 750,000,000 Fixed Jun, Dec 22 23 - 23 5.50000 0.00 No 06/22/2010 06/22/2012 Class 2007-A6 1,000,000,000 Floating Oct, Jan Apr, Jul 12 12 - 12 1.34375 0.00 Yes 07/12/2010 07/12/2012 Class 2007-A7 3,250,000,000 Floating all 20 20 - 20 0.82000 2,072,777.78 No 08/20/2012 08/20/2014 Class 2007-A8 1,750,000,000 Fixed Mar, Sep 20 20 - 20 5.65000 49,437,499.98 No 09/20/2017 09/20/2019 Class 2007-A9 500,000,000 Floating all 17 17 - 17 0.94125 366,041.67 No 10/17/2017 10/17/2019 Class 2007-B1 200,000,000 Floating Apr, Jul, Oct, Jan 2 2 - 2 1.51000 0.00 No 04/02/2010 04/02/2012 Class 2007-B2 200,000,000 Fixed Apr, Oct 2 2 - 2 5.00000 0.00 No 04/02/2010 04/02/2012 Class 2007-B5 800,000,000 Floating all 7 9 - 9 1.06750 664,222.22 No 11/07/2012 11/07/2014 Class 2007-B6 200,000,000 Fixed May, November 8 9 - 9 5.00000 0.00 No 11/08/2010 11/08/2012 Class 2008-A1 900,000,000 Fixed Feb, Aug 7 9 - 9 5.35000 0.00 No 02/07/2018 02/07/2020 Class 2008-A2 1,850,000,000 Floating all 23 23 - 23 1.62313 2,335,503.72 No 01/23/2018 01/23/2020 Class 2008-A3 1,850,000,000 Floating all 18 18 - 18 1.34500 1,935,305.56 No 05/18/2009 05/18/2011 Class 2008-A5 500,000,000 Fixed Apr, Oct 22 23 - 23 4.85000 0.00 No 04/22/2013 04/22/2015 Class 2008-A6 1,150,000,000 Floating all 20 20 - 20 1.67000 1,493,722.22 No 05/20/2015 05/22/2017 Class 2008-A7 450,000,000 Floating all 20 20 - 20 1.84500 645,750.00 No 05/21/2018 05/20/2020 Class 2008-C6 500,000,000 Fixed June, December 20 20 - 20 6.30000 0.00 No 06/20/2012 06/20/2014 Total 47,560,000,000 133,348,298.84 --------------------------------------------------------------------------------------------------------------------------------- (1) If the Payment Date is not a Business Day, then the Payment Date will be the succeeding Business Day. (2) The record date for payment of the notes is the last day of the month before the related payment date. (3) For a newly issued class of notes, interest begins to accrue on the issuance date of that class.
2a. Principal Payments and Deposits to Principal Funding Sub-Accounts for all Deals except 2001-A3 (Dakota) Class/Tranche Targeted Actual Cumulative Principal Principal Principal Principal Shortfall in Funding Payment On Monthly Monthly Principal Sub-Account Payment Date Deposit Deposit Funding Balance Sub-Account --------------- --------------- --------------- --------------- --------------- --------------- Class 2006-B1 600,000,000 600,000,000 0 0 600,000,000 Class 2006-B2 400,000,000 400,000,000 0 0 400,000,000 Total 1,000,000,000 1,000,000,000 0 0 1,000,000,000
2b. Principal Payments and Deposits to Principal Funding Sub-Accounts for 2001-A3 (Dakota) only Class/Tranche Targeted Actual Cumulative Principal Principal Principal Principal Shortfall in Funding Payment On Monthly Monthly Principal Sub-Account Payment Date Deposit Deposit Funding Balance Sub-Account --------------- --------------- --------------- --------------- --------------- --------------- Nothing to report for this period.
Page 5 CITIBANK (SOUTH DAKOTA), NATIONAL ASSOCIATION ============================================================================== CITIBANK CREDIT CARD ISSUANCE TRUST / CITIBANK CREDIT CARD MASTER TRUST I For the Due Period Ending February 24, 2009 ==============================================================================
3a. Funding the Class 'C' Reserve Sub-Accounts 1) 3 Month Average Surplus Finance Charge Collections for purposes of Funding the Class C Reserve Sub-Accounts 4.51% 2) Is the 3 Month Average Surplus Finance Charge Collections for purposes of Funding the Class C Reserve Sub-Accounts less than or equal to 4.50% No
3b. Deposits to and Withdrawals from Class C Reserve Sub-Accounts --------------------------------------------------------------------------------------------------------------- Class/Tranche Targeted Class C Actual Withdrawals Class C Cumulative Deposit to Reserve Deposit to from Class C Reserve Shortfall in Class C Sub-Account Class C Reserve Sub-Account Class C Reserve Ending Reserve Sub-Account Ending Reserve Sub-Account Balance as of Sub-Account Balance Sub-Account Prior Due Period --------------- ------------ ---------------- ------------- ------------ ------------ -------------- Class 2002-C2 0 48,255,313 0 48,255,313 0 0 Class 2003-C4 0 41,361,698 0 41,361,698 0 0 Class 2004-C1 0 31,021,273 0 31,021,273 0 0 Class 2005-C1 0 10,340,424 0 10,340,424 0 0 Class 2005-C2 0 24,127,657 0 24,127,657 0 0 Class 2005-C3 0 51,702,122 0 51,702,122 0 0 Class 2005-C6 0 24,127,657 0 24,127,657 0 0 Class 2006-C1 0 68,936,162 0 68,936,162 0 0 Class 2006-C2 0 27,574,465 0 27,574,465 0 0 Class 2006-C3 0 34,468,082 0 34,468,082 0 0 Class 2006-C4 0 68,936,162 0 68,936,162 0 0 Class 2008-C10 0 1,792,340 0 1,792,340 0 0 Class 2008-C11 0 79,891,823 0 79,891,823 0 0 Class 2008-C6 0 68,936,162 0 68,936,162 0 0 Class 2008-C7 0 7,996,595 0 7,996,595 0 0 Class 2008-C8 0 27,574,465 0 27,574,465 0 0 Class 2008-C9 0 18,750,636 0 18,750,636 0 0 Total 0 635,793,036 0 635,793,036 0 0
Page 6 CITIBANK (SOUTH DAKOTA), NATIONAL ASSOCIATION ============================================================================== CITIBANK CREDIT CARD ISSUANCE TRUST / CITIBANK CREDIT CARD MASTER TRUST I For the Due Period Ending February 24, 2009 ==============================================================================
3c. Actual Deposits by Source to Class C Reserve Sub-Accounts -------------------------------------------------------------------------------------------------- Class/Tranche Surplus Prior Period Total Required Total Finance Withdrawals Finance Funding resulting Actual Charge Treated as Finance Charge From New Deposits Collections Charge Collections Collections Issuance of Notes --------------- ----------- ------------------ ----------- ----------------- --------- Class 2002-C2 0 0 0 0 0 Class 2003-C4 0 0 0 0 0 Class 2004-C1 0 0 0 0 0 Class 2005-C1 0 0 0 0 0 Class 2005-C2 0 0 0 0 0 Class 2005-C3 0 0 0 0 0 Class 2005-C6 0 0 0 0 0 Class 2006-C1 0 0 0 0 0 Class 2006-C2 0 0 0 0 0 Class 2006-C3 0 0 0 0 0 Class 2006-C4 0 0 0 0 0 Class 2008-C10 0 0 0 0 0 Class 2008-C11 0 0 0 0 0 Class 2008-C6 0 0 0 0 0 Class 2008-C7 0 0 0 0 0 Class 2008-C8 0 0 0 0 0 Class 2008-C9 0 0 0 0 0 Total 0 0 0 0 0
Page 7 CITIBANK (SOUTH DAKOTA), NATIONAL ASSOCIATION ============================================================================== CITIBANK CREDIT CARD ISSUANCE TRUST / CITIBANK CREDIT CARD MASTER TRUST I For the Due Period Ending February 24, 2009 ==============================================================================
3d. Withdrawals from Class C Reserve Sub-Accounts -------------------------------------------------------------------------------------- Class/Tranche Release of Funds Release of funds in In excess of Class C Reserve Total Targeted Sub-Account Actual Amount Due to Maturity Utilization Withdrawals --------------- ---------------- ------------------- ----------- ------------ Class 2002-C2 48,255,313 0 0 48,255,313 Class 2003-C4 41,361,698 0 0 41,361,698 Class 2004-C1 31,021,273 0 0 31,021,273 Class 2005-C1 10,340,424 0 0 10,340,424 Class 2005-C2 24,127,657 0 0 24,127,657 Class 2005-C3 51,702,122 0 0 51,702,122 Class 2005-C6 24,127,657 0 0 24,127,657 Class 2006-C1 68,936,162 0 0 68,936,162 Class 2006-C2 27,574,465 0 0 27,574,465 Class 2006-C3 34,468,082 0 0 34,468,082 Class 2006-C4 68,936,162 0 0 68,936,162 Class 2008-C10 1,792,340 0 0 1,792,340 Class 2008-C11 79,891,823 0 0 79,891,823 Class 2008-C6 68,936,162 0 0 68,936,162 Class 2008-C7 7,996,595 0 0 7,996,595 Class 2008-C8 27,574,465 0 0 27,574,465 Class 2008-C9 18,750,636 0 0 18,750,636 Total 635,793,036 0 0 635,793,036
4. Maximum Enhancement Amount Available to Class A Notes; Class A Usage of Class B and Class C Subordinated Amounts Class/Tranche Maximum Maximum Class A Class A Cumulative Cumulative Enhancement Enhancement Usage of Usage of Class A Class A Amount Amount Class B Class C Usage of Usage of Available Available Subordinated Subordinated Class B Class C from Class from Class Amount for Amount for Subordinated Subordinated B Notes C Notes this Due this Due Amount Amount Period Period --------------- ------------- ------------- ------------- ------------- ------------- -------------- Class 2001-A3 0 764,705,700 Class 2001-A4 66,335,515 88,447,316 Class 2001-A7 25,128,222 33,504,282 Class 2002-A10 59,829,100 79,772,100 Class 2002-A4 44,871,825 59,829,075 Class 2002-A8 59,829,100 79,772,100 Class 2003-A10 29,914,550 39,886,050 Class 2003-A7 38,888,915 51,851,865 Class 2004-A2 88,547,068 118,062,708 Class 2004-A3 59,829,100 79,772,100 Class 2004-A5 28,323,702 37,764,920 Class 2004-A6 23,603,085 31,470,767 Class 2004-A7 71,794,920 95,726,520 Class 2004-A8 44,871,825 59,829,075 Class 2005-A1 20,257,017 27,009,345 Class 2005-A2 52,350,463 69,800,588 Class 2005-A3 82,265,013 109,686,638 Class 2005-A4 17,948,730 23,931,630 Class 2005-A5 11,965,820 15,954,420 Class 2005-A6 89,743,650 119,658,150 Class 2005-A7 44,871,825 59,829,075 Class 2005-A8 52,350,463 69,800,588 Class 2005-A9 29,914,550 39,886,050 Class 2006-A1 41,880,370 55,840,470 Class 2006-A3 44,871,825 59,829,075 Class 2006-A4 77,777,830 103,703,730 Class 2006-A5 44,871,825 59,829,075 Class 2006-A6 119,658,200 159,544,200 Class 2006-A7 59,829,100 79,772,100 Class 2006-A8 59,829,100 79,772,100 Class 2007-A1 119,658,200 159,544,200 Class 2007-A10 65,812,010 87,749,310 Class 2007-A11 71,794,920 95,726,520 Class 2007-A2 104,700,925 139,601,175 Class 2007-A3 39,786,352 53,048,447 Class 2007-A4 13,461,548 17,948,723 Class 2007-A5 44,871,825 59,829,075 Class 2007-A6 59,829,100 79,772,100 Class 2007-A7 194,444,575 259,259,325 Class 2007-A8 104,700,925 139,601,175 Class 2007-A9 29,914,550 39,886,050 Class 2008-A1 53,846,190 71,794,890 Class 2008-A2 110,683,835 147,578,385 Class 2008-A3 110,683,835 147,578,385 Class 2008-A4 29,914,550 39,886,050 Class 2008-A5 29,914,550 39,886,050 Class 2008-A6 68,803,465 91,737,915 Class 2008-A7 26,923,095 35,897,445 Total 2,771,897,155 4,460,567,029
Page 8 CITIBANK (SOUTH DAKOTA), NATIONAL ASSOCIATION ============================================================================== CITIBANK CREDIT CARD ISSUANCE TRUST / CITIBANK CREDIT CARD MASTER TRUST I For the Due Period Ending February 24, 2009 ==============================================================================
5. Maximum Enhancement Amount Available to Class B Notes; Class B Usage of Class C Subordinated Amounts Class/Tranche Maximum Enhancement Class B Usage of Cumulative Class B Amount Available from Class C Subordinated Usage of Class C Class C Notes Amount for this Due Subordinated Amount Period --------------- ------------------------ ------------------------ ------------------------ Class 2004-B1 333,333,325 Class 2004-B2 333,333,325 Class 2006-B1 799,999,980 Class 2006-B2 533,333,320 Class 2007-B1 266,666,660 Class 2007-B2 266,666,660 Class 2007-B5 1,066,666,640 Class 2007-B6 266,666,660 Class 2008-B1 233,333,328 Total 4,099,999,898
6. Reductions of and Reimbursements to Nominal Liquidation Amount Class/Tranche Reduction Reduction Cumulative Cumulative Reimbursements Resulting from Resulting from Reduction Reduction of prior an Allocation from a Resulting from Resulting from reductions of of Investor Reallocation an Allocation an Reallocation Nominal Charge-offs of Principal of Investor of Principal Liquidation for this Due Collections Charge-offs Collections to Amount for Period to pay (net of pay interest on this Due interest on Reimbursements) senior classes Period senior of Notes (net of classes of Reimbursements) Notes for this Due Period --------------- ---------------- ---------------- ---------------- ---------------- ---------------- Nothing to report for this period.
7. Excess Spread/Early Redemption Event Trigger 1) 3 Month Average Surplus Finance Charge Collections 4.83% 2) Is the 3 Month Average Surplus Finance Charge Collections greater than 0.00% Yes
Page 9 IN WITNESS WHEREOF, the undersigned has duly executed and delivered this Report this 16 day of March, 2009. CITIBANK (SOUTH DAKOTA), NATIONAL ASSOCIATION, As Managing Beneficiary of Citibank Credit Card Issuance Trust and As Servicer of Citibank Credit Card Master Trust I By: /s/ Andrew Lubliner ____________________________________ Name: Andrew Lubliner Title: Authorized Representative Page 10