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SC Germany Consumer 2018-1
Monthly Investor Report
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
Cover Sheet Monthly Investor Report Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Index Page
1. Portfolio Information 1
2. Reserve Accounts 2
3.1 Delinquency Data 3
3.2 Default Data 4
4. Concentration Limits 5
5. Outstanding Notes 6
6. Original Principal Balance 7
6.1 Original PB (Graph) 8
7. Current Principal Balance 9
7.1 Current PB (Graph) 10
8. Borrower Concentration 11
9. Geographical Distribution 12
9.1 Geographical (Graph) 13
10. Collateral 14
11. Insurances 15
12. Payment Methods 16
13. Effective Interest Rate 17
13.1 Effective Interest Rate (Graph) 18
14. Seasoning 19
14.1 Seasoning (Graph) 20
15. Remaining Term 21
15.1 Remaining Term (Graph) 22
16. Original Term 23
16.1 Original Term (Graph) 24
17. Loan Concentration 25
18. Priority of Payments + Transaction Costs 26
19. Retention 27
20. Counterparties 28
21. Issuer Information 29
22. Santander Consumer Bank 30
23. Glossary 31
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
1. Portfolio Information Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
current period previous period
Outstanding ReceivablesNo. of
Contracts
Aggregate Outstanding
Principal Amount
Aggregate Outstanding
Principal Amount
Beginning of Period 1.599.506.673,41€ 1.599.874.736,58€
Scheduled Principal Payments 31.884.607,58€
Prepayment Principal 50.102.070,73€
Total Principal Collections 81.986.678,31€ 78.647.968,70€
Total Interest Collections 7.664.352,29€ 7.692.603,21€
Defaults 781.178,31€ 366.109,38€
Replenishment Amount 81.985.599,40€ 78.646.014,91€
End of Period 190.738 1.598.724.416,19€ 1.599.506.673,41€
Purchase Shortfall Amount 0,31€ 3,88€
Total Assets (End of Period) 1.598.724.416,50€ 1.599.506.677,29€
Current Prepayment Rate (annualised) 31,7%
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
2. Reserve Accounts Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Note BalanceBeginning of Period 1.600.000.000,00€
End of Period 1.600.000.000,00€
Reserve AccountsLiquidity Reserve in % Trigger Event y/n
Beginning of Period 0,4% 6.520.000,00€
Cash Outflow -€
Cash Inflow -€
End of Period 0,4% 6.520.000,00€
Required Liquidity Reserve Fund 0,4% 6.520.000,00€
Commingling Reserve in %
Beginning of Period 0,00% -€ yes
Cash Outflow -€
Cash Inflow -€
End of Period 0,00% -€
Required Commingling Reserve Fund -€
Set-Off Reserve in %
Beginning of Period 0,00% -€ yes
Cash Outflow -€
Cash Inflow -€
End of Period 0,00% -€
Required Set-Off Reserve Fund -€
Current Set-Off Amount -€
Set-Off Amount (per Loan) -€
Set-Off Amount (in % of Outstanding Balance) 0,00%
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
3.1 Delinquency Data Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Note BalanceBeginning of Period 1.600.000.000,00€
End of Period 1.600.000.000,00€
Delinquency Data and Ratios3-MRA* /
current ratio Amount at risk Overdue amount
Number of
Loans
3-MRA* 1- 30 days past due 0,27%
1- 30 days past due period before previous period 3.406.442,11€ 72.853,58€ 328
1- 30 days past due previous period 4.497.188,13€ 95.226,88€ 425
1- 30 days past due current period 0,32% 5.199.039,92€ 107.867,68€ 450
3-MRA* 31- 60 days past due 0,13%
31- 60 days past due period before previous period 895.629,72€ 34.234,53€ 85
31- 60 days past due previous period 2.490.625,00€ 97.083,87€ 244
31- 60 days past due current period 0,18% 2.934.702,21€ 108.006,29€ 295
3-MRA* 61-90 days past due 0,04%
61- 90 days past due period before previous period 92.184,61€ 6.462,31€ 10
61- 90 days past due previous period 541.681,91€ 31.858,77€ 49
61- 90 days past due current period 0,09% 1.435.705,92€ 83.847,68€ 128
3-MRA* 91-120 days past due 0,01%
91- 120 days past due period before previous period 2.948,92€ 529,99€ 1
91- 120 days past due previous period 46.353,62€ 5.067,16€ 6
91- 120 days past due current period 0,03% 410.208,16€ 31.975,55€ 36
3-MRA* 121-150 days past due 0,00%
121- 150 days past due period before previous period 7.099,56€ 1.403,96€ 1
121- 150 days past due previous period 13.646,08€ 1.623,25€ 2
121- 150 days past due current period 0,00% 12.510,06€ 2.200,00€ 2
3-MRA* 151-180 days past due 0,00%
151- 180 days past due period before previous period -€ -€ 0
151- 180 days past due previous period -€ -€ 0
151- 180 days past due current period 0,00% 6.943,68€ 549,45€ 1
* 3-MRA stands for three months rolling average
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
3.2 Default Data Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Note BalanceBeginning of Period 1.600.000.000,00 €
End of Period 1.600.000.000,00 €
Default Data and Ratios Amount Number of Loans
Current Default
Current Period Gross Default 781.178,31 €
Current Period Recoveries 1.082,48 €-
Current Period Net Default 782.260,79 €
New Number of Defaulted Contracts 54
Cumulative Default
Cumulative Gross Default 1.272.225,76 €
Cumulative Recoveries 3.357,74 €-
Cumulative Net Default 1.275.583,50 €
Total Number of Defaulted Contracts 86
3-MRA* /
current ratio Ratio
3-MRA* Annualised Loss Ratio (Neue Rechtsakten) 0,32%
Annualised Loss Ratio period before previous period 0,09%
Annualised Loss Ratio previous period 0,28%
Annualised Loss Ratio current period 0,59% 0,59%
Principal Deficiency Ledgers
Class A PDL Sub-Ledger
Class A PDL Sub-Ledger period before previous period - €
Class A PDL Sub-Ledger previous period - €
Class A PDL Sub-Ledger current period - €
Junior PDL Sub-Ledger
Junior PDL Sub-Ledger period before previous period 125.260,13 €
Junior PDL Sub-Ledger previous period 493.322,71 €
Junior PDL Sub-Ledger current period 1.275.583,50 €
* 3-MRA stands for three months rolling average
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
4. Concentration Limits Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Portfolio Concentrations Minimum-Trigger Maximum-Trigger Current Value Trigger Breach
Average Yield (applicable for Total Portfolio) 5,80% - 6,02% no
Remaining Term (applicable for Total Portfolio) - 68,50 61,29 no
Early Amortisation Events Maximum-Trigger Current Value Trigger Breach
Cumulative Default Ratio
- prior to 31 December 2019 1,00% 0,08% no
Purchase Shortfall Event no
Period before previous period € 3,29
Previous period € 3,88
Current period € 0,31
Delinquency Ratio
- prior to 31 December 2019 1,50% 0,30% no
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
5. Outstanding Notes Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
1. Note Balance All notes Class A Class B Class C Class D Class E Class FGeneral Note Information
ISIN Code XS1920371074 XS1920371405 XS1920372049 XS1920372395 XS1920372551 XS1920372635
Currency EUR EUR EUR EUR EUR EUR
Initial Tranching in % 81,5% 4,3% 3,8% 1,3% 7,6% 1,6%
Legal Maturity Dez 2031 Dez 2031 Dez 2031 Dez 2031 Dez 2031 Dez 2031
Expected Maturity Aug 2022 Jan 2023 Mai 2023 Jun 2023 Jun 2023 Jun 2023
Original Rating (DBRS / S&P) AA(low) (sf) / AA- (sf) A (sf) / A (sf) BBB (sf) / BBB(sf) BB(high) (sf) / BB (sf) Not rated Not rated
Current Rating (DBRS / S&P)* AA(low) (sf) / AA- (sf) A (sf) / A (sf) BBB (sf) / BBB(sf) BB(high) (sf) / BB (sf) Not rated Not rated
Initial Notes Aggregate Principal Outstanding Balance 1.600.000.000,00 € 1.304.000.000,00 € 68.000.000,00 € 60.000.000,00 € 20.000.000,00 € 122.000.000,00 € 26.000.000,00 €
Initial Nominal per Note 100.000,00 € 100.000,00 € 100.000,00 € 100.000,00 € 100.000,00 € 100.000,00 €
Initial Number of Notes per Class 13.040 680 600 200 1.220 260
Current Note Information
Class Principal Outstanding Balance Beginning of Period 1.600.000.000,00 € 1.304.000.000,00 € 68.000.000,00 € 60.000.000,00 € 20.000.000,00 € 122.000.000,00 € 26.000.000,00 €
Replenishment 81.985.599,40 €
Amortisation 0,00 €
Redemption per Class 0,00 € 0,00 € 0,00 € 0,00 € 0,00 € 0,00 € 0,00 €
Redemption per Note 0,00 € 0,00 € 0,00 € 0,00 € 0,00 €
Class Principal Outstanding Balance End of Period 1.600.000.000,00 € 1.304.000.000,00 € 68.000.000,00 € 60.000.000,00 € 20.000.000,00 € 122.000.000,00 € 26.000.000,00 €
Current Tranching 81,5% 4,3% 3,8% 1,3% 7,6% 1,6%
Current Pool Factor 1,00 1,00 1,00 1,00 1,00 1,00
2. Payments to Investors per Note All notes Class A Class B Class C Class D Class E Class F Interest Rate Basis: 1 M-Euribor / Fixed / Floating 0,500% 1,200% 2,500% 3,250% 12,180% 38,500%
DayCount Convention 28 act/360 act/360 act/360 act/360 act/360 act/360
Interest Days
Principal Outstanding per Note Beginning of Period 100.000,00 € 100.000,00 € 100.000,00 € 100.000,00 € 100.000,00 € 100.000,00 €
> Principal Repayment per Note 0,00 € 0,00 € 0,00 € 0,00 € 0,00 €
Principal Outstanding per Note End of Period 100.000,00 € 100.000,00 € 100.000,00 € 100.000,00 € 100.000,00 € 100.000,00 €
> Interest accrued for the period 507.125,60 € 63.464,40 € 116.664,00 € 50.556,00 € 1.155.742,60 € 778.554,40 €
Interest Payment 507.125,60 € 63.464,40 € 116.664,00 € 50.556,00 € 1.155.742,60 € 778.554,40 €
Interest Payment per Note 38,89 € 93,33 € 194,44 € 252,78 € 947,33 € 2.994,44 €
3. Credit Enhancements Class A Class B Class C Class D Class E Class FInitial total CE (Subordination, Reserve) 18,5% 14,3% 10,5% 9,3% 1,6% 0,0%
Current CE 18,5% 14,3% 10,5% 9,3% 1,6% 0,0%
* Last rating action as of 21.12.2018
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
6. Original Principal Balance Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Original Principal
Balance (Ranges in
EUR)
Original Principal
Balance in EUR
Percentage of
Total Balance Number of Loans
Percentage of Total
Loans
0: 1999 22.687.997,31 1,09% 18.776 9,84%
2000: 3999 130.084.510,62 6,23% 46.668 24,47%
4000: 5999 153.652.947,78 7,35% 31.711 16,63%
6000: 7999 98.378.373,06 4,71% 14.438 7,57%
8000: 9999 89.475.471,92 4,28% 10.149 5,32%
10000: 11999 138.894.735,48 6,65% 13.033 6,83%
12000: 13999 97.051.490,27 4,64% 7.556 3,96%
14000: 15999 107.083.506,66 5,12% 7.152 3,75%
16000: 17999 85.210.143,04 4,08% 5.022 2,63%
18000: 19999 78.719.499,03 3,77% 4.153 2,18%
20000: 21999 83.658.714,68 4,00% 3.995 2,09%
22000: 23999 78.808.348,43 3,77% 3.430 1,80%
24000: 25999 76.933.109,66 3,68% 3.078 1,61%
26000: 27999 75.754.814,57 3,63% 2.807 1,47%
28000: 29999 74.801.190,29 3,58% 2.581 1,35%
30000: 31999 63.717.227,09 3,05% 2.059 1,08%
32000: 33999 56.092.910,37 2,68% 1.702 0,89%
34000: 35999 56.308.455,51 2,69% 1.610 0,84%
36000: 37999 50.561.864,88 2,42% 1.368 0,72%
38000: 39999 45.620.648,68 2,18% 1.171 0,61%
40000: 41999 43.400.153,21 2,08% 1.060 0,56%
42000: 43999 41.639.260,97 1,99% 969 0,51%
44000: 45999 40.669.781,71 1,95% 904 0,47%
46000: 47999 38.071.316,87 1,82% 810 0,42%
48000: 49999 35.603.449,69 1,70% 727 0,38%
50000: 51999 32.934.285,35 1,58% 647 0,34%
52000: 53999 30.187.773,13 1,44% 569 0,30%
54000: 55999 28.754.224,06 1,38% 523 0,27%
56000: 57999 23.909.587,90 1,14% 420 0,22%
58000: 59999 18.572.014,67 0,89% 315 0,17%
60000: 61999 14.564.665,95 0,70% 239 0,13%
62000: 63999 13.339.251,51 0,64% 212 0,11%
64000: 65999 11.695.648,41 0,56% 180 0,09%
66000: 67999 10.769.016,78 0,52% 161 0,08%
68000: 69999 7.311.345,30 0,35% 106 0,06%
70000: 71999 6.244.655,97 0,30% 88 0,05%
72000: 73999 4.670.577,48 0,22% 64 0,03%
74000: 75999 4.126.359,47 0,20% 55 0,03%
76000: 77999 3.080.438,59 0,15% 40 0,02%
78000: 79999 2.846.660,46 0,14% 36 0,02%
80000: 81999 2.672.044,36 0,13% 33 0,02%
82000: 83999 1.908.460,96 0,09% 23 0,01%
84000: 85999 2.126.892,87 0,10% 25 0,01%
86000: 87999 1.042.587,56 0,05% 12 0,01%
88000: 89999 976.075,95 0,05% 11 0,01%
90000: 91999 910.866,45 0,04% 10 0,01%
92000: 93999 373.448,11 0,02% 4 0,00%
94000: 95999 758.533,69 0,04% 8 0,00%
96000: 97999 967.630,41 0,05% 10 0,01%
98000: 99999 496.350,02 0,02% 5 0,00%100001: 1.458.145,24 0,07% 13 0,01%
Total 2.089.577.462,43 100,00% 190.738 100,00%
Statistics in EUR
Average Amount 10.955,22
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
6.1 Original PB (Graph) Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
0
20.000.000
40.000.000
60.000.000
80.000.000
100.000.000
120.000.000
140.000.000
160.000.000
180.000.000
Ori
gin
al P
rin
cip
al
Bala
nc
e
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
7. Current Principal Balance Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Current Principal
Balance (Ranges in
EUR)
Current Principal
Balance in EUR
Percentage of Total
Balance Number of Loans
Percentage of Total
Loans
0: 1999 55.056.430,67 3,44% 57.262 30,02%
2000: 3999 109.333.752,21 6,84% 37.800 19,82%
4000: 5999 99.244.692,54 6,21% 20.494 10,74%
6000: 7999 89.385.222,37 5,59% 12.825 6,72%
8000: 9999 99.346.498,24 6,21% 11.116 5,83%
10000:11999 84.467.557,40 5,28% 7.709 4,04%
12000:13999 86.596.191,70 5,42% 6.671 3,50%
14000:15999 75.849.640,75 4,74% 5.071 2,66%
16000:17999 73.770.481,71 4,61% 4.349 2,28%
18000:19999 73.302.822,03 4,59% 3.863 2,03%
20000:21999 70.394.021,59 4,40% 3.355 1,76%
22000:23999 68.145.869,57 4,26% 2.965 1,55%
24000:25999 62.919.737,67 3,94% 2.520 1,32%
26000:27999 57.417.217,33 3,59% 2.128 1,12%
28000:29999 53.847.376,26 3,37% 1.859 0,97%
30000:31999 48.284.682,71 3,02% 1.558 0,82%
32000:33999 42.871.448,77 2,68% 1.300 0,68%
34000:35999 41.765.816,85 2,61% 1.193 0,63%
36000:37999 39.154.952,66 2,45% 1.059 0,56%
38000:39999 35.808.137,20 2,24% 918 0,48%
40000:41999 34.914.694,37 2,18% 852 0,45%
42000:43999 29.165.296,50 1,82% 679 0,36%
44000:45999 28.682.234,35 1,79% 638 0,33%
46000:47999 25.286.598,35 1,58% 538 0,28%
48000:49999 20.705.838,73 1,30% 423 0,22%
50000:51999 17.217.446,87 1,08% 338 0,18%
52000:53999 13.599.858,78 0,85% 257 0,13%
54000:55999 11.770.870,16 0,74% 214 0,11%
56000:57999 9.562.687,18 0,60% 168 0,09%
58000:59999 9.007.053,19 0,56% 153 0,08%
60000:61999 6.164.641,19 0,39% 101 0,05%
62000:63999 4.594.238,64 0,29% 73 0,04%
64000:65999 3.504.591,71 0,22% 54 0,03%
66000:67999 3.616.891,81 0,23% 54 0,03%
68000:69999 2.069.237,90 0,13% 30 0,02%
70000:71999 2.410.175,61 0,15% 34 0,02%
72000:73999 1.898.453,60 0,12% 26 0,01%
74000:75999 1.050.021,65 0,07% 14 0,01%
76000:77999 1.459.979,16 0,09% 19 0,01%
78000:79999 946.959,83 0,06% 12 0,01%80001: 4.134.096,38 0,26% 46 0,02%
Total 1.598.724.416,19 100,00% 190.738 100,00%
Statistics in EUR
Average Amount 8.381,78
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
7.1 Current PB (Graph) Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
0
20.000.000
40.000.000
60.000.000
80.000.000
100.000.000
120.000.000
Cu
rre
nt
Pri
nc
ipa
l B
ala
nce
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
8. Borrower Concentration Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
No
Current Principal
Balance in EUR
Percentage of Total
Balance Number of Loans
1 127.395,31 0,0080% 1
2 123.699,95 0,0077% 1
3 121.062,78 0,0076% 1
4 108.695,74 0,0068% 1
5 103.015,26 0,0064% 1
6 98.179,82 0,0061% 2
7 94.977,93 0,0059% 1
8 94.644,79 0,0059% 2
9 92.638,10 0,0058% 1
10 92.630,83 0,0058% 1
11 91.846,91 0,0057% 1
12 91.384,62 0,0057% 1
13 91.245,95 0,0057% 1
14 90.431,14 0,0057% 1
15 90.116,98 0,0056% 1
16 89.982,91 0,0056% 1
17 89.961,03 0,0056% 1
18 89.110,12 0,0056% 1
19 88.911,91 0,0056% 1
20 88.778,47 0,0056% 1
21 88.737,01 0,0056% 2
22 87.939,05 0,0055% 1
23 87.487,78 0,0055% 1
24 87.472,13 0,0055% 1
25 87.380,39 0,0055% 1
2.397.726,91 0,1500% 28
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
9. Geographical Distribution Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
State
Current Principal
Balance in EUR
Percentage of Total
Balance Number of Loans
Percentage of Total
Loans
BADEN-WÜRTTEMBERG 192.121.856,15 12,02% 22.618 11,86%
BAYERN 187.947.467,66 11,76% 23.608 12,38%
BERLIN 74.176.777,88 4,64% 9.226 4,84%
BRANDENBURG 68.759.242,82 4,30% 8.188 4,29%
BREMEN 12.802.259,63 0,80% 1.578 0,83%
HAMBURG 27.628.937,62 1,73% 3.767 1,97%
HESSEN 108.598.950,52 6,79% 13.226 6,93%
MECKLENBURG-VORPOMMERN 56.712.182,30 3,55% 6.089 3,19%
NIEDERSACHSEN 157.649.438,75 9,86% 18.753 9,83%
NORDRHEIN-WESTFALEN 368.956.647,11 23,08% 42.293 22,17%
RHEINLAND-PFALZ 83.714.184,75 5,24% 9.536 5,00%
SAARLAND 23.991.354,35 1,50% 2.580 1,35%
SACHSEN 74.216.953,55 4,64% 9.454 4,96%
SACHSEN-ANHALT 63.969.326,31 4,00% 7.213 3,78%
SCHLESWIG-HOLSTEIN 47.160.068,08 2,95% 6.475 3,39%
THÜRINGEN 50.062.366,35 3,13% 6.104 3,20%
n/a 256.402,36 0,02% 30 0,02%
total 1.598.724.416,19 100,00% 190.738 100,00%
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
9.1 Geographical Distribution (Graph) Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
0
50.000.000
100.000.000
150.000.000
200.000.000
250.000.000
300.000.000
350.000.000
400.000.000
Cu
rren
t P
rin
cip
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Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
10. Collateral Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Collateral
Current Principal
Balance in EUR
Percentage of Total
Balance Number of Loans
Percentage of Total
Loans
secured 328.035.301,11 20,52% 13.697 7,18%unsecured 1.270.689.115,08 79,48% 177.041 92,82%
Total 1.598.724.416,19 100,00% 190.738 100,00%
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
11. Insurances Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Payment Protection
Insurance
Current Principal
Balance in EUR
Percentage of Total
Balance Number of Loans
Percentage of Total
Loans
No 334.217.272,23 20,91% 83.818 43,94%Yes 1.264.507.143,96 79,09% 106.920 56,06%
Total 1.598.724.416,19 100,00% 190.738 100,00%
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
12. Payment Methods Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Payment Method
Current Principal
Balance in EUR
Percentage of Total
Balance Number of Loans
Percentage of Total
Loans
Direct Debit 1.580.712.258,29 98,87% 189.108 99,15%Other 18.012.157,90 1,13% 1.630 0,85%
Total 1.598.724.416,19 100,00% 190.738 100,00%
Cycle of Payment
Current Principal
Balance in EUR
Percentage of Total
Balance Number of Loans
Percentage of Total
Loans
15th of month 445.602.818,46 27,87% 51.492 27,00%1st of month 1.153.121.597,73 72,13% 139.246 73,00%
Total 1.598.724.416,19 100,00% 190.738 100,00%
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
13. Effective Interest Rate Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Yield Range*
Current Principal
Balance in EUR
Percentage of Total
Balance Number of Loans
Percentage of Total
Loans 0: 0 1.105.719,28 0,07% 2.815 1,48%
1: 1 37.814.264,06 2,37% 32.816 17,20%
2: 2 135.813.595,70 8,50% 39.170 20,54%
3: 3 168.745.518,08 10,56% 23.295 12,21%
4: 4 205.699.085,41 12,87% 18.967 9,94%
5: 5 327.636.747,94 20,49% 25.906 13,58%
6: 6 203.622.181,07 12,74% 14.967 7,85%
7: 7 389.315.804,78 24,35% 22.748 11,93%
8: 8 87.137.615,08 5,45% 6.248 3,28%
9: 9 37.641.131,64 2,35% 3.303 1,73%
10:10 3.547.654,92 0,22% 412 0,22%
11:11 521.382,34 0,03% 70 0,04%12:12 123.715,89 0,01% 21 0,01%
Total 1.598.724.416,19 100,00% 190.738 100,00%
Statistics in %
WA Interest 6,02%
*runs from .00 to .99
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
13.1 Effective Interest Rate (Graph) Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
*runs from .00 to .99
0
50.000.000
100.000.000
150.000.000
200.000.000
250.000.000
300.000.000
350.000.000
400.000.000
450.000.000
0: 0 1: 1 2: 2 3: 3 4: 4 5: 5 6: 6 7: 7 8: 8 9: 9 10:10 11:11 12:12
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Yield Range*
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
14. Seasoning Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Seasoning in
Months
Current Principal
Balance in EUR
Percentage of Total
Balance Number of Loans
Percentage of Total
Loans 0: 2 608.310,82 0,04% 42 0,02%
3: 5 61.588.104,65 3,85% 5.354 2,81%
6: 8 266.957.929,32 16,70% 28.956 15,18%
9:11 348.079.447,37 21,77% 39.937 20,94%
12:14 272.485.969,45 17,04% 31.238 16,38%
15:17 169.006.036,60 10,57% 21.761 11,41%
18:20 158.957.729,94 9,94% 20.094 10,53%
21:23 99.501.579,52 6,22% 12.657 6,64%
24:26 77.721.911,54 4,86% 10.739 5,63%
27:29 49.697.017,77 3,11% 6.736 3,53%
30:32 41.785.631,88 2,61% 6.004 3,15%
33:35 24.891.924,73 1,56% 3.658 1,92%
36:38 12.030.480,26 0,75% 1.574 0,83%
39:41 5.704.218,39 0,36% 691 0,36%
42:44 3.843.267,41 0,24% 476 0,25%
45:47 1.319.677,65 0,08% 178 0,09%
48:50 1.165.849,68 0,07% 141 0,07%
51:53 676.932,89 0,04% 94 0,05%
54:56 910.133,27 0,06% 138 0,07%
57:59 866.309,01 0,05% 120 0,06%
60:62 287.466,81 0,02% 35 0,02%
63:65 86.410,22 0,01% 12 0,01%
66:68 117.366,49 0,01% 13 0,01%
69:71 19.257,91 0,00% 5 0,00%
72:74 86.805,07 0,01% 12 0,01%
75:77 34.434,13 0,00% 5 0,00%
78:80 47.351,62 0,00% 9 0,00%
81: 246.861,79 0,02% 59 0,03%
Total 1.598.724.416,19 100,00% 190.738 100,00%
Statistics
WA Seasoning 14,82
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
14.1 Seasoning (Graph) Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
0
50.000.000
100.000.000
150.000.000
200.000.000
250.000.000
300.000.000
350.000.000
400.000.000
0: 2 3: 5 6: 8 9:11 12:14 15:17 18:20 21:23 24:26 27:29 30:32 33:35 36:38 39:41 42:44 45:47 48:50 51:53 54:56 57:59 60:62 63:65 66:68 69:71 72:74 75:77 78:80 81:
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Seasoning in Months
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
15. Remaining Term Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Remaining Term in
Months
Current Principal
Balance in EUR
Percentage of Total
Balance Number of Loans
Percentage of Total
Loans 0: 6 6.628.993,18 0,41% 15.245 7,99%
7: 13 24.078.086,12 1,51% 18.785 9,85%
14: 20 47.123.777,61 2,95% 20.476 10,74%
21: 27 61.836.601,20 3,87% 17.831 9,35%
28: 34 82.327.123,95 5,15% 17.552 9,20%
35: 41 104.686.884,73 6,55% 15.766 8,27%
42: 48 134.420.396,66 8,41% 13.860 7,27%
49: 55 168.061.842,75 10,51% 15.183 7,96%
56: 62 113.892.012,74 7,12% 8.174 4,29%
63: 69 164.195.453,15 10,27% 10.899 5,71%
70: 76 184.915.988,78 11,57% 12.055 6,32%
77: 83 201.101.794,97 12,58% 10.889 5,71%
84: 90 251.879.551,08 15,76% 11.605 6,08%
91: 97 53.561.239,50 3,35% 2.417 1,27% 98:104 14.669,77 0,00% 1 0,00%
Total 1.598.724.416,19 100,00% 190.738 100,00%
Statistics
WA Remaining Term 61,29
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
15.1 Remaining Term (Graph) Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
0
50.000.000
100.000.000
150.000.000
200.000.000
250.000.000
300.000.000
0: 6 7: 13 14: 20 21: 27 28: 34 35: 41 42: 48 49: 55 56: 62 63: 69 70: 76 77: 83 84: 90 91: 97 98:104
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Remaining Term in Months
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
16. Original Term Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Original Term in
Months
Current Principal
Balance in EUR
Percentage of Total
Balance Number of Loans
Percentage of Total
Loans 0: 13 2.515.315,25 0,16% 5.344 2,80%
14: 20 7.123.136,32 0,45% 7.571 3,97%
21: 27 32.542.351,20 2,04% 20.832 10,92%
28: 34 8.517.117,86 0,53% 2.597 1,36%
35: 41 94.926.891,11 5,94% 37.255 19,53%
42: 48 21.792.727,49 1,36% 3.989 2,09%
49: 55 121.840.223,80 7,62% 22.909 12,01%
56: 62 223.034.117,47 13,95% 25.099 13,16%
63: 69 48.821.462,84 3,05% 3.233 1,69%
70: 76 161.365.826,27 10,09% 12.056 6,32%
77: 83 60.413.873,10 3,78% 2.761 1,45%
84: 90 268.416.001,68 16,79% 20.135 10,56%
91: 97 286.900.036,89 17,95% 14.579 7,64%
98:104 258.627.447,89 16,18% 12.266 6,43%
105:111 1.602.164,76 0,10% 89 0,05%
112:118 177.659,87 0,01% 14 0,01%
119: 108.062,39 0,01% 9 0,00%
Total 1.598.724.416,19 100,00% 190.738 100,00%
Statistics
WA Original Term 76,11
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
16.1 Original Term (Graph) Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
0
50.000.000
100.000.000
150.000.000
200.000.000
250.000.000
300.000.000
350.000.000
0: 13 14: 20 21: 27 28: 34 35: 41 42: 48 49: 55 56: 62 63: 69 70: 76 77: 83 84: 90 91: 97 98:104 105:111 112:118 119:
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Original Term in Months
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
17. Loan Concentration Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Loan Concentration
Current Principal
Balance in EUR
Percentage of Total
Balance Number of Loans
Percentage of Total
Loans Number of Debtors
Percentage of Total
Debtors
1: 1 1.564.127.782,88 97,84% 180.052 94,40% 180.052 97,30%
2: 2 31.426.778,06 1,97% 8.936 4,68% 4.468 2,41%
3: 3 2.372.695,95 0,15% 1.227 0,64% 409 0,22%
4: 4 501.515,04 0,03% 288 0,15% 72 0,04%
5: 5 177.103,68 0,01% 140 0,07% 28 0,02%
6: 6 76.687,60 0,00% 42 0,02% 7 0,00% 7: 41.852,98 0,00% 53 0,03% 7 0,00%
Total 1.598.724.416,19 100,00% 190.738 100,00% 185.043 100,00%
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
18. Priority of Payments + Transaction Costs Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Available Interest Amount Available Principal Amount
Interest Collections + 7.664.352,29 € + 81.986.678,31 €
Interest Recoveries + - € + 1.082,48 €-
Interest on Transaction and Purchase Shortfall Account + - € + 3,88 €
Principal Amount borrowed to cover interest shortfall + - € + - €
Available Interest Amount = 7.664.352,29 € + - €
+ - €
+ - €
= 81.985.599,71 €
Interest Priority of Payments Principal Priority of Payments
Available Interest Amount 7.664.352,29 € 81.985.599,71 €
Senior Expenses - - € - - €
Interest on Class A Notes - 507.125,60 € - 81.985.599,40 € Transfer to Available Prinicpal Amount for previous borrowed principal - - € - 0,31 €
Transfer to Available Prinicpal Amount to reduce Class A Notes PDL - - € - - €
Interest on Class B Notes - 63.464,40 € - - €
Transfer to Available Prinicpal Amount for previous borrowed principal
amounts to cover Interest on Class B Notes - - € - - €
Interest on Class C Notes - 116.664,00 € - - €
Transfer to Available Prinicpal Amount for previous borrowed principal
amounts to cover Interest on Class C Notes - - € - - €
Interest on Class D Notes - 50.556,00 € - - €
Transfer to Available Prinicpal Amount for previous borrowed principal
amounts to cover Interest on Class D Notes - - € - - €
Interest on Class E Notes - 1.155.742,60 € - - €
Interest on Class F Notes - 778.554,40 € - - €
Cash Outflow for Fees on Commingling/Set-Off/Liquidity Reserve - 50,71 € - - €
Remaining amount to Seller = 4.992.194,58 €
Transaction Costs All notes Class A Class B Class C Class D Class E Class F Senior Expenses - €
Interest accrued for the Period 2.672.107,00 €- 507.125,60 €- 63.464,40 €- 116.664,00 €- 50.556,00 €- 1.155.742,60 €- 778.554,40 €-
Cumulative Interest accrued 13.646.777,40 €- 2.589.874,40 €- 324.128,80 €- 595.830,00 €- 258.196,00 €- 5.902.555,20 €- 3.976.193,00 €-
Interest Payments 2.672.107,00 €- 507.125,60 €- 63.464,40 €- 116.664,00 €- 50.556,00 €- 1.155.742,60 €- 778.554,40 €-
Cumulative Interest Payments 13.646.777,40 €- 2.589.874,40 €- 324.128,80 €- 595.830,00 €- 258.196,00 €- 5.902.555,20 €- 3.976.193,00 €-
Unpaid Interest for the Period - €
Cumulative Unpaid Interest - €
Redemption Class D Notes
Redemption Class E Notes
Redemption Class F Notes
Clearing of rounding differences
Redemption Class A Notes
Transfer to Interest Amount to cover Interest on Class B
Redemption Class B Notes
Transfer to Interest Amount to cover Interest on Class C
Redemption Class C Notes
Transfer to Interest Amount to cover Interest on Class D
Purchase Shortfall Amount
Principal Collections
Principal Recoveries
Purchase Shortfall Amount
Deemed Collections
Class A Notes PDL Cure
Interest Amount for previously borrowed Principal
Amount
Rounding Differences from previous period
Available Principal Amount
Available Principal Amount
Transfer to Interest Amount to cover Interest on Class A
Replenishment
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
19. Retention Monthly Period Mai 2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Outstanding Balance of the Class A Notes as of the Offer Date: 1.304.000.000,00 €
1.304.000.000,00 €
1.304.000.000,00 €
1.304.000.000,00 €
Outstanding Balance of the Class B Notes as of the Offer Date: 68.000.000,00 €
68.000.000,00 €
Outstanding Balance of the Class B Notes as of the end of the Monthly Period: 68.000.000,00 €
68.000.000,00 €
Outstanding Balance of the Class C Notes as of the Offer Date: 60.000.000,00 €
3.000.000,00 €
Outstanding Balance of the Class C Notes as of the end of the Monthly Period: 60.000.000,00 €
3.000.000,00 €
Outstanding Balance of the Class D Notes as of the Offer Date: 20.000.000,00 €
1.000.000,00 €
Outstanding Balance of the Class D Notes as of the end of the Monthly Period: 20.000.000,00 €
1.000.000,00 €
Outstanding Balance of the Class E Notes as of the Offer Date: 122.000.000,00 €
6.100.000,00 €
Outstanding Balance of the Class E Notes as of the end of the Monthly Period: 122.000.000,00 €
6.100.000,00 €
Outstanding Balance of the Class F Notes as of the Offer Date: 26.000.000,00 €
26.000.000,00 €
Outstanding Balance of the Class F Notes as of the end of the Monthly Period: 26.000.000,00 €
26.000.000,00 €
Outstanding Balance of the retained Class F Notes as of the Offer Date:
Outstanding Balance of the retained Class F Notes of the end of the Monthly Period:
Outstanding Balance of the retained Class E Notes of the end of the Monthly Period:
Santander Consumer Bank AG confirms its compliance to have continuously retained a net economic interest in the SC Germany Consumer 2018-1 securitisation
transaction of at least 5% of the securitised Purchased Receivables pursuant to Art. 405 of the CRR (Regulation (EU) No 575/2013 of the European Parliament and
of the Council of 26 June 2013) by retaining no less than 5 % of the nominal value of each of the tranches sold or transferred to the investors.
Outstanding Balance of the Class A Notes as of the end of the Monthly Period:
Outstanding Balance of the retained Class B Notes as of the Offer Date:
Outstanding Balance of the retained Class A Notes as of the Offer Date:
Outstanding Balance of the retained Class A Notes of the end of the Monthly Period:
Outstanding Balance of the retained Class B Notes of the end of the Monthly Period:
Outstanding Balance of the retained Class C Notes as of the Offer Date:
Outstanding Balance of the retained Class C Notes of the end of the Monthly Period:
Outstanding Balance of the retained Class D Notes as of the Offer Date:
Outstanding Balance of the retained Class D Notes of the end of the Monthly Period:
Outstanding Balance of the retained Class E Notes as of the Offer Date:
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 09.05.2019
Monthly Investor Report 13.05.2019
5
20. Counterparties Mai 2019
from 15.04.2019 to 13.05.2019 = 28 days
from 01.04.2019 to 30.04.2019
Long
Term
Short
TermOutlook
Long
Term
Short
TermOutlook
Counterparty
status
Join Lead Managers: Banco Santander S.A. AH R-1M STABLE A A-1 STABLE performing
Santander Global Banking and Markets
2 Triton Square
Regent's Place
London NW1 3AN
United Kingdom
Paying Agent: HSBC Bank plc - - - AA- A-1+ STABLE performing
Level 28, 8 Canada Square
London E14 5HQ
United Kingdom
Transaction Account: HSBC Bank plc - - - AA- A-1+ STABLE performing
Level 28, 8 Canada Square
London E14 5HQ
United Kingdom
Transaction Security Trustee: TMF Trustee Limited - - - - - - performing
6 St Andrew Street
London EC4A 3AE
United Kingdom
Data Trustee: TMF Deutschland AG - - - - - - performing
Eschenheimer Anlage 1
60316 Frankfurt am Main
Germany
Rating Agencies: Standard & Poor's Ratings Services DBRS
Structured Finance Surveillance Team
20 Canada Square 1 Minster Court
E14 5LH London London EC3R 7AA
United Kingdom United Kingdom
Ratings as of 30.04.2019, data source: Bloomberg
DBRS S & P
Reporting Date
Payment Date
Period No
Monthly Period
Interest Period
Collection Period
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 Reporting Date 09.05.2019
Monthly Investor Report Payment Date 13.05.2019
Period No 5
21. Issuer Information Monthly Period 13.05.2019
Interest Period from 15.04.2019 to 13.05.2019 = 28 days
Collection Period from 01.04.2019 to 30.04.2019
Deal Name: SC Germany Consumer 2018-1
Issuer: SC Germany Consumer 2018-1 UG (haftungsbeschränkt)
The Managing Directors
Steinweg 3-5
60313 Frankfurt am Main
Germany
eMail [email protected]
fax +49 (0) 69 2992 5387
LEI: 5299002IKYMFTWDCV672
Seller of the Receivables: Santander Consumer Bank AG
Servicer Name: Santander Consumer Bank AG
Reporting Entity: Santander Consumer Bank AG
Capital Markets
Santander-Platz 1
41061 MönchengladbachGermany
eMail [email protected]
fax +49 (0) 2161 690 7077
SPV-Administrator: Wilmington Trust SP Services (Frankfurt) GmbH
Steinweg 3-5
60313 Frankfurt am Main
Germany
eMail [email protected]
fax +49 (0) 69 2992 5387
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 09.05.2019
Monthly Investor Report 13.05.2019
5
22. Santander Consumer Bank Mai 2019
from 15.04.2019 to 13.05.2019 = 28 days
from 01.04.2019 to 30.04.2019
Contact DetailsCapital Markets
Peter René Müller +49-2161-690-7337 [email protected]
Ralf Schüring +49-2161-690-5464 [email protected]
Bastian Menges +49-2161-690-7085 [email protected]
Stefan Zilligen +49-2161-690-6069 [email protected]
Robert Westermann +49-2161-690-7424 [email protected]
Tomasz Osipowicz +49-2161-690-7046 [email protected]
Team ABS [email protected]
Ratings Santander
Long
Term
Short
TermOutlook
Long
Term
Short
TermOutlook
AH R-1M STABLE A A-1 STABLE
- - - A- A-2 STABLE
- - - A- A-2 STABLE
Ratings as of 30.04.2019, data source: Bloomberg
Interest Period
Collection Period
Reporting Date
Payment Date
Period No
Monthly Period
Santander Consumer Bank AG
Santander Consumer Finance S.A.
DBRS
Banco Santander S.A.
S & P
Santander Consumer Bank AG
Santander-Platz 1
41061 Mönchengladbach
SC Germany Consumer 2018-1 09.05.2019
Monthly Investor Report 13.05.2019
5
23. Glossary Mai 2019
from 15.04.2019 to 13.05.2019 = 28 days
from 01.04.2019 to 30.04.2019
Aggregate Outstanding Principal Amount: Shall mean in respect of all Purchased Receivables at any time, the aggregate of the Outstanding Principal Amounts of all Purchased Receivables
which, as of such time, are not defaulted receivables.
Defaulted Contracts/Defaults: Shall mean as of any date, any purchased receivable which has been declared due and payable in full in accordance to the Credit and Collection Policy
which in principal is between 120 and 180 calendar days after the due date.
Delinquent Receivable: Shall mean as of any date, any purchased receivable which is more than 30 days overdue and not a defaulted contract.
Excess Spread: Excess Spread equals WA Portfolio Yield minus Fixed Swap Rate minus WA Notes Margin
Legal Maturity: Final Payment date on which each Class A Note will be redeemed in full.
Expected Maturity: Maturity date of the notes under the assumption of inter alia (a) a 30% constant prepayment rate, (b) an exercised Clean-Up Call at 10%,
Payment Protection Insurance: Insurance, composed of life insurance and/or accident insurance and/or temporary disability insurance and/or unemployment insurance, which covers
the risk that a Debtor in its capacity as insured person is unable to pay the Loan Instalments owed by such Debtor life insurance
Recoveries: Any amount received on defaulted contracts
Set-Off Reserves (X/Y): Protection against set-off risks due to (X) capitalized service fees (e.g. Payment Protection Insurance, Gap Insurance, Repair Cost Insurance) and (Y) deposits
Collection Period
Reporting Date
Payment Date
Period No
Monthly Period
Interest Period