| Delaware | 31-1772814 | ||||
| (State or other jurisdiction of incorporation or organization of the issuing entity) | (I.R.S. Employer Identification No.) | ||||
One Righter Parkway, Suite 100 Wilmington, Delaware | 19803 | ||||
| (Address of principal executive offices of issuing entity) | (Zip Code) | ||||
| Title of Class | Registered/reporting pursuant to (check one) | Name of exchange (If Section 12(b) | ||||||||||||
| Section 12(b) | Section 12(g) | Section 15(d) | ||||||||||||
| Series 2023-A, Class A, Class M, Class B | ☐ | ☐ | ☒ | |||||||||||
| Series 2024-A, Class A, Class M, Class B | ☐ | ☐ | ☒ | |||||||||||
| Series 2024-B, Class A | ☐ | ☐ | ☒ | |||||||||||
Exhibit No. | Document Description | ||||||||||
Monthly Noteholder’s Statement for World Financial Network Credit Card Master Note Trust, Series 2023-A, Series 2024-A, and Series 2024-B for the January 15, 2026 Payment Date. | |||||||||||
| WFN Credit Company, LLC, as depositor | |||||||||||||||||
Dated: January 15, 2026 | By: | /s/ Wai Chung | |||||||||||||||
| Name: | Wai Chung | ||||||||||||||||
| Title: | Treasurer | ||||||||||||||||
Exhibit No. | Document Description | ||||||||||
Monthly Noteholder’s Statement for World Financial Network Credit Card Master Note Trust, Series 2023-A, Series 2024-A, and Series 2024-B for the January 15, 2026 Payment Date. | |||||||||||
| Monthly Period: | Dec-25 | No. of Days in Period: | 31 | |||||||||||
| Determination Date: | 1/13/2026 | No. of Days in Month: | 31 | |||||||||||
| Distribution Date: | 1/15/2026 | Record Date: | 12/31/2025 | |||||||||||
| I. DEAL PARAMETERS | Series 2023-A | Series 2024-A | Series 2024-B | |||||||||||
| (a) Class A Initial Note Principal Balance | $350,000,000.00 | $500,000,000.00 | $500,000,000.00 | |||||||||||
| (b) Class M Initial Note Principal Balance | $31,165,000.00 | $44,521,000.00 | $0.00 | |||||||||||
| (c) Class B Initial Note Principal Balance | $17,980,000.00 | $25,685,000.00 | $0.00 | |||||||||||
| (d) Class C Initial Note Principal Balance | $0.00 | $0.00 | $0.00 | |||||||||||
| (e) Total Initial Note Principal Balance | $399,145,000.00 | $570,206,000.00 | $500,000,000.00 | |||||||||||
| (f) Initial Excess Collateral Amount | $80,309,000.00 | $114,727,000.00 | $184,932,000.00 | |||||||||||
| (g) Class A Initial Note Principal Balance % | 73.00 % | % | 73.00 % | % | 73.00 % | % | ||||||||
| (h) Class M Initial Note Principal Balance % | 6.50 % | % | 6.50 % | % | 0.00 % | % | ||||||||
| (i) Class B Initial Note Principal Balance % | 3.75 % | % | 3.75 % | % | 0.00 % | % | ||||||||
| (j) Class C Initial Note Principal Balance %, if applicable | 0.00 % | % | 0.00 % | % | 0.00 % | % | ||||||||
| (k) Excess Collateral Amount % | 16.75 % | % | 16.75 % | % | 27.00 % | % | ||||||||
| (l) Required Retained Transferor Percentage | 4.00 % | % | 4.00 % | % | 4.00 % | % | ||||||||
| (m) Additional Minimum Transferor % (2% Nov-Jan; 0% otherwise) | 2.00 % | % | 2.00 % | % | 2.00 % | % | ||||||||
| (n) Class A Note Interest Rate | 5.02 % | % | 5.47 % | % | 4.62 % | % | ||||||||
| (o) Class A Swap Rate, if applicable | ||||||||||||||
| (p) Class A Swap Rate plus Spread, if applicable | ||||||||||||||
| (q) Class A Margin, if applicable | ||||||||||||||
| (r) Class M Note Interest Rate | 5.27 % | % | 0.00 % | % | 0.00 % | % | ||||||||
| (s) Class M Swap Rate, if applicable | ||||||||||||||
| (t) Class M Swap Rate plus Spread, if applicable | ||||||||||||||
| (u) Class B Note Interest Rate | 0.00 % | % | 0.00 % | % | 0.00 % | % | ||||||||
| (v) Class B Swap Rate, if applicable | ||||||||||||||
| (w) Class B Swap Rate plus Spread, if applicable | ||||||||||||||
| (x) Class C Note Interest Rate, if applicable | 0.00 % | % | 0.00 % | % | 0.00 % | % | ||||||||
| (y) Class C Swap Rate, if applicable | ||||||||||||||
| (z) Class C Swap Rate plus Spread, if applicable | ||||||||||||||
| (aa) Servicing Fee Percentage | 2.00 % | % | 2.00 % | % | 2.00 % | % | ||||||||
| II. COLLATERAL AMOUNTS AND ALLOCATION PERCENTAGES | Series 2023-A | Series 2024-A | Series 2024-B | |||||||||||
| (a) Initial Collateral Amount | $479,454,000.00 | $684,933,000.00 | $684,932,000.00 | |||||||||||
| (b) Initial Excess Collateral Amount | $80,309,000.00 | $114,727,000.00 | $184,932,000.00 | |||||||||||
| (c) Principal Payments made to Noteholders | $0.00 | $0.00 | $0.00 | |||||||||||
| (d) Principal Accumulation Account Balances | $0.00 | $0.00 | $0.00 | |||||||||||
| (e) Unreimbursed Investor Charge-offs and Reallocated Principal Collections | $0.00 | $0.00 | $0.00 | |||||||||||
| (f) Collateral Amount - End of Current Monthly Period | $479,454,000.00 | $684,933,000.00 | $684,932,000.00 | |||||||||||
| (g) Excess Collateral Amount - End of Current Monthly Period | $80,309,000.00 | $114,727,000.00 | $184,932,000.00 | |||||||||||
| (h) Required Excess Collateral Amount | $80,309,000.00 | $114,727,000.00 | $184,932,000.00 | |||||||||||
| (i) Beginning Class A Note Principal Balance | $350,000,000.00 | $500,000,000.00 | $500,000,000.00 | |||||||||||
| (j) Beginning Class M Note Principal Balance | $31,165,000.00 | $44,521,000.00 | $0.00 | |||||||||||
| (k) Beginning Class B Note Principal Balance | $17,980,000.00 | $25,685,000.00 | $0.00 | |||||||||||
| (l) Beginning Class C Note Principal Balance, if applicable | $0.00 | $0.00 | $0.00 | |||||||||||
| (m) Total Beginning Note Principal Balance | $399,145,000.00 | $570,206,000.00 | $500,000,000.00 | |||||||||||
| (n) Ending Class A Note Principal Balance | $350,000,000.00 | $500,000,000.00 | $500,000,000.00 | |||||||||||
| (o) Ending Class M Note Principal Balance | $31,165,000.00 | $44,521,000.00 | $0.00 | |||||||||||
| (p) Ending Class B Note Principal Balance | $17,980,000.00 | $25,685,000.00 | $0.00 | |||||||||||
| (q) Ending Class C Note Principal Balance, if applicable | $0.00 | $0.00 | $0.00 | |||||||||||
| (r) Total Ending Note Principal Balance | $399,145,000.00 | $570,206,000.00 | $500,000,000.00 | |||||||||||
| (s) Allocation Percentage- Finance Charges Collections and Default Amounts | 9.00 % | % | 12.86 % | % | 12.86 % | % | ||||||||
| (t) Allocation Percentage- Principal Collections | 9.04 % | % | 12.91 % | % | 12.91 % | % | ||||||||
| III. RECEIVABLES IN THE TRUST | ||||||||
| (a) Beginning of the Month Principal Receivables | $5,211,724,973.82 | |||||||
| (b) Collection of Principal Receivables | $707,545,988.81 | |||||||
| (c) Defaulted Receivables (principal charge-offs): | $40,630,910.08 | |||||||
| (d) Dilution (Principal net of Debit Adjustments): | $81,165,369.32 | |||||||
| (e) Sales (principal receivables generated): | $1,045,031,313.44 | |||||||
| (f) Net (Removal)/Addition of Principal Receivables: | $0.00 | |||||||
| (g) End of Month Principal Receivables (a - b - c - d + e + f) | $5,427,414,019.05 | |||||||
| (h) Recoveries of previously Charged-off Receivables: | $7,470,261.01 | |||||||
| (i) Beginning of the Month Finance Charge Receivables | $584,799,832.76 | |||||||
| (j) End of the Month Finance Charge Receivables | $621,642,337.92 | |||||||
| IV.RECEIVABLES PERFORMANCE SUMMARY | ||||||||
| COLLECTIONS: | ||||||||
| (a) Collections of Principal Receivables | $707,545,988.81 | |||||||
| (b) Collections of Finance Charge Receivables | $143,204,850.48 | |||||||
| (c) Total Collections (a+b). | $850,750,839.29 | |||||||
| (d) Monthly Payment Rate (% of Beginning Principal Receivables) | 16.32 % | % | ||||||
DELINQUENCIES AND LOSSES: | PRINCIPAL | % OF PRINCIPAL | |||||||||||||||
| End of the month delinquencies: | RECEIVABLES | RECEIVABLES | ACCOUNTS | % OF | |||||||||||||
| (e) 1-30 days delinquent (CA1) | $187,506,044.72 | 3.45% | 219,571 | 0.59% | |||||||||||||
| (f) 31-60 days delinquent (CA2) | $80,536,646.99 | 1.48% | 82,017 | 0.22% | |||||||||||||
| (g) 61-90 days delinquent (CA3) | $61,590,043.37 | 1.13% | 55,201 | 0.15% | |||||||||||||
| (h) 91-120 days delinquent (CA4) | $54,387,501.48 | 1.00% | 46,172 | 0.12% | |||||||||||||
| (i) 121-150 days delinquent (CA5) | $44,789,569.08 | 0.83% | 38,774 | 0.10% | |||||||||||||
| (j) 151+ days delinquent (CA6) | $36,960,417.53 | 0.68% | 32,304 | 0.09% | |||||||||||||
| (k) Total delinquencies (e +f + g + h + i + j) | $465,770,223.17 | 8.58% | 474,039 | 1.28% | |||||||||||||
| (l) Total 60+ days delinquent | $197,727,531.46 | 3.64% | |||||||||||||||
| (m) Lowest Delinquency Trigger (all series) | 9.50% | ||||||||||||||||
| (n) Investor Requests for Communications | None | ||||||||||||||||
CHARGE-OFFS: | |||||||||||||||||
| (o) Number of Charged-Off Accounts | 34,895 | ||||||||||||||||
| (p) Gross Charge-Offs (principal charge-offs): | $40,630,910.08 | ||||||||||||||||
| (q) Number of Charged-Off Accounts with Recoveries | 27,404 | ||||||||||||||||
| (r) Recoveries (includes principal, finance charges and fees) | $7,470,261.01 | ||||||||||||||||
(s) Gross Principal Charge-Off Rate (% of Total Principal Receivables - End of Monthly Period) - annualized | |||||||||||||||||
| (i) Current | 8.98 % | % | |||||||||||||||
| (ii) Prior Monthly Period | 8.84 % | % | |||||||||||||||
| (iii) Two Months Prior Monthly Period | 8.95 % | % | |||||||||||||||
| (iv) Three Months Prior Monthly Period | 8.22 % | % | |||||||||||||||
| (v) Three -Month Average | 8.92 % | % | |||||||||||||||
| (vi) Four-Month Average | 8.75 % | % | |||||||||||||||
| (t) Net Principal Charge-Offs (Gross Charge-Offs - recoveries) | $33,160,649.07 | ||||||||||||||||
(u) Net Principal Charge-Off Rate (% of Total Principal Receivables - End of Monthly Period) - annualized | |||||||||||||||||
| (i) Current | 7.33 % | % | |||||||||||||||
| (ii) Prior Monthly Period | 6.99 % | % | |||||||||||||||
| (iii) Two Months Prior Monthly Period | 7.20 % | % | |||||||||||||||
| (iv) Three Months Prior Monthly Period | 6.42 % | % | |||||||||||||||
| (v) Three -Month Average | 7.17 % | % | |||||||||||||||
| (vi) Four-Month Average | 6.98 % | % | |||||||||||||||
| (v) Average Net Charge Off (net principal charge-offs/number of charged-off accounts) | $950.30 | ||||||||||||||||
| V. TRANSFEROR INTEREST AND SELLER'S INTEREST | ||||||||
| (a) Required Retained Transferor Percentage | 4.00 % | % | ||||||
| (b) Additional Minimum Transferor Percentage (2% Nov-Jan; 0% otherwise) | 2.00 % | % | ||||||
| (c) Beginning Transferor's Amount | $1,851,294,862.71 | |||||||
| (d) Ending Transferor's Amount (including Excess Funding/Principal Accounts) | $1,685,039,463.49 | |||||||
| (e) Minimum Transferor's Amount | $325,644,841.14 | |||||||
| (f) Excess Funding Account Balance at end of Monthly Period | $0.00 | |||||||
| (g) Collections and Principal Accounts Balance at end of Monthly Period | $0.00 | |||||||
| (h) Sum of Principal Receivables, Excess Funding, Collections and Principal Accounts | $5,427,414,019.05 | |||||||
| (i) Required Seller's Interest (as of the most recent RR measurement date) | $137,208,250.00 | |||||||
| (j) Seller's Interest (as of the most recent RR measurement date) | $2,595,063,019.05 | |||||||
| VI. TRUST ACCOUNT BALANCES AND EARNINGS | Series 2023-A | Series 2024-A | Series 2024-B | |||||||||||
| BEGINNING ACCOUNT BALANCES: | ||||||||||||||
| (a) Finance Charge Account | $8,787,419.07 | $9,889,905.81 | $9,535,728.03 | |||||||||||
| (b) Cash Collateral Account, if applicable | $0.00 | $0.00 | $0.00 | |||||||||||
| (c) Spread Account, if applicable | $0.00 | $0.00 | $0.00 | |||||||||||
| (d) Reserve Account | $0.00 | $0.00 | $0.00 | |||||||||||
| (e) Principal Account | $0.00 | $0.00 | $0.00 | |||||||||||
| (f) Principal Accumulation Account | $0.00 | $0.00 | $0.00 | |||||||||||
| ENDING ACCOUNT BALANCES: | ||||||||||||||
| (g) Finance Charge Account | $6,875,597.10 | $10,009,767.06 | $9,655,589.11 | |||||||||||
| (h) Cash Collateral Account, if applicable | $0.00 | $0.00 | $0.00 | |||||||||||
| (i) Spread Account, if applicable | $0.00 | $0.00 | $0.00 | |||||||||||
| (j) Reserve Account | $1,995,725.00 | $0.00 | $0.00 | |||||||||||
| (k) Principal Account | $0.00 | $0.00 | $0.00 | |||||||||||
| (l) Principal Accumulation Account | $0.00 | $0.00 | $0.00 | |||||||||||
| INTEREST AND EARNINGS: | ||||||||||||||
| (m) Interest and Earnings on Finance Charge Account | $23,609.32 | $30,916.23 | $30,178.55 | |||||||||||
| (n) Interest and Earnings on Cash Collateral Account, if applicable | $0.00 | $0.00 | $0.00 | |||||||||||
| (o) Interest and Earnings on Spread Account, if applicable | $0.00 | $0.00 | $0.00 | |||||||||||
| (p) Interest and Earnings on Reserve Account | $3,249.59 | $0.00 | $0.00 | |||||||||||
| (q) Interest and Earnings on Principal Accumulation Account | $0.00 | $0.00 | $0.00 | |||||||||||
| (r) Interest and Earnings on Principal Account | $0.00 | $0.00 | $0.00 | |||||||||||
| (s) Interest and Earnings on Collection Account (allocated) | $586.20 | $837.43 | $837.43 | |||||||||||
| VII. ALLOCATION and APPLICATION of COLLECTIONS | Series 2023-A | Series 2024-A | Series 2024-B | |||||||||||
| APPLICATIONS OF FINANCE CHARGE COLLECTIONS: | ||||||||||||||
| (a) Floating Allocation of Finance Charges | $12,975,723.77 | $18,529,259.89 | $18,528,495.19 | |||||||||||
| (b) Class A Monthly Interest | $1,464,166.67 | $2,279,166.67 | $1,925,000.00 | |||||||||||
| (c) Class A Swap Payment Due to (from) Swap Provider, if applicable | ||||||||||||||
| (d) Class M Monthly Interest | $136,866.29 | $0.00 | $0.00 | |||||||||||
| (e) Class M Swap Payment Due to (from) Swap Provider, if applicable | ||||||||||||||
| (f) Class B Monthly Interest | $0.00 | $0.00 | $0.00 | |||||||||||
| (g) Class B Swap Payment Due to (from) Swap Provider, if applicable | ||||||||||||||
| (h) Servicing Fee (Collateral Amount*2%/12) | $799,090.00 | $1,141,555.00 | $1,141,553.33 | |||||||||||
| (i) Class C Monthly Interest | $0.00 | $0.00 | $0.00 | |||||||||||
| (j) Class C Swap Payment Due to (from) Swap Provider, if applicable | ||||||||||||||
| (k) Investor Default Amounts | $3,598,878.13 | $5,141,244.83 | $5,141,237.32 | |||||||||||
| (l) Uncovered Dilution Amounts | $0.00 | $0.00 | $0.00 | |||||||||||
| (m) Unreimbursed Investor Chargeoffs & Reallocated Principal Collections | $0.00 | $0.00 | $0.00 | |||||||||||
| (n) Required to be Deposited into Cash Collateral Account, if applicable | $0.00 | $0.00 | $0.00 | |||||||||||
| (o) Required Reserve Account Amount, if applicable | $0.00 | $0.00 | $0.00 | |||||||||||
| (p) Required to be Deposited into the Spread Account, if applicable | $0.00 | $0.00 | $0.00 | |||||||||||
| (q) Required Payments and Deposits Relating to Interest Rate Swaps | $0.00 | $0.00 | $0.00 | |||||||||||
| (r) Other Payments Required to be made | $0.00 | $0.00 | $0.00 | |||||||||||
| (s) Excess Finance Charge Collections (a-b-c-d-e-f-g-h-i-j-k-l-m-n-o-p-q-r) | $6,976,722.68 | $9,967,293.39 | $10,320,704.54 | |||||||||||
| APPLICATION OF PRINCIPAL COLLECTIONS: | ||||||||||||||
| Series 2023-A | Series 2024-A | Series 2024-B | ||||||||||||
| (t) Investor Principal Collections | $63,965,187.22 | $91,378,667.35 | $91,378,533.94 | |||||||||||
| (u) Less Reallocated Principal Collections | $0.00 | $0.00 | $0.00 | |||||||||||
| (v) Plus Shared Principal Collections from other Principal Sharing Series | $0.00 | $0.00 | $0.00 | |||||||||||
| (w) Plus Aggregate amount of Finance Charge Collections applied to cover Defaults and Uncovered Dilution and to be treated as Available Principal Collections | $3,598,878.13 | $5,141,244.83 | $5,141,237.32 | |||||||||||
| (x) Available Principal Collections (t+u+v+w) | $67,564,065.35 | $96,519,912.18 | $96,519,771.26 | |||||||||||
| (y) Deposits to Principal Accumulation Account | $0.00 | $0.00 | $0.00 | |||||||||||
| (z) Monthly Principal applied for payments to the Class A Noteholders | $0.00 | $0.00 | $0.00 | |||||||||||
| (aa) Monthly Principal applied for payments to the Class M Noteholders | $0.00 | $0.00 | $0.00 | |||||||||||
| (ab) Monthly Principal applied for payments to the Class B Noteholders | $0.00 | $0.00 | $0.00 | |||||||||||
| (ac) Monthly Principal applied for payments to the Class C Noteholders | $0.00 | $0.00 | $0.00 | |||||||||||
| (ad) Shared Principal Collections applied to other Principal Sharing | $0.00 | $0.00 | $0.00 | |||||||||||
| VIII. INVESTOR CHARGE-OFFS | ||||||||||||||
| Series 2023-A | Series 2024-A | Series 2024-B | ||||||||||||
| (a) Investor Defaults and Uncovered Dilution | $3,598,878.13 | $5,141,244.83 | $5,141,237.32 | |||||||||||
| (b) Reimbursed from Available Funds | $3,598,878.13 | $5,141,244.83 | $5,141,237.32 | |||||||||||
(c) Reimbursed from Excess Funding Account | $0.00 | $0.00 | $0.00 | |||||||||||
| (d) Total reimbursed in respect of Investor Defaults and Dilution | $3,598,878.13 | $5,141,244.83 | $5,141,237.32 | |||||||||||
| (e) Investor Charge-off (a - d) | $0.00 | $0.00 | $0.00 | |||||||||||
| IX. YIELD and BASE RATE | ||||||||||||||
| Series 2023-A | Series 2024-A | Series 2024-B | ||||||||||||
| Base Rate | ||||||||||||||
| (Monthly interest, any net swap payments and monthly servicing fees divided by collateral amounts plus amounts on deposit in the principal accumulation account) | ||||||||||||||
| (a) Base Rate (current month) | 6.01 % | % | 5.99 % | % | 5.37 % | % | ||||||||
| (b) Base Rate (prior month) | 6.01 % | % | 5.99 % | % | 5.37 % | % | ||||||||
| (c) Base Rate (2 months prior) | 6.01 % | % | 5.99 % | % | 5.37 % | % | ||||||||
| (d) 3 Month Average Base Rate | 6.01 % | % | 5.99 % | % | 5.37 % | % | ||||||||
| Gross Portfolio Yield | ||||||||||||||
| (Finance charge collections allocable to each series divided by the collateral amount) | ||||||||||||||
| (e) Gross Portfolio Yield (current month) | 32.48 % | % | 32.46 % | % | 32.46 % | % | ||||||||
| (f) Gross Portfolio Yield (prior month) | 31.98 % | % | 31.98 % | % | 31.98 % | % | ||||||||
| (g) Gross Portfolio Yield (2 months prior) | 31.80 % | % | 31.80 % | % | 31.80 % | % | ||||||||
| (h) 3 Month Average Gross Portfolio Yield | 32.09 % | % | 32.08 % | % | 32.08 % | % | ||||||||
| Net Portfolio Yield | ||||||||||||||
| (Finance charge collections less defaults allocable to each series divided by the collateral amount) | ||||||||||||||
| (i) Net Portfolio Yield (current month) | 23.47 % | % | 23.46 % | % | 23.45 % | % | ||||||||
| (j) Net Portfolio Yield (prior month) | 22.95 % | % | 22.95 % | % | 22.95 % | % | ||||||||
| (k) Net Portfolio Yield (2 months prior) | 22.91 % | % | 22.91 % | % | 22.91 % | % | ||||||||
| (l) 3 Month Average Net Portfolio Yield | 23.11 % | % | 23.11 % | % | 23.10 % | % | ||||||||
| Excess Spread Percentage | ||||||||||||||
| (Net Portfolio Yield less Base Rate) | ||||||||||||||
| (m) Net Portfolio Adjusted Yield (current month) | 17.46 % | % | 17.46 % | % | 18.08 % | % | ||||||||
| (n) Net Portfolio Adjusted Yield (prior month) | 16.95 % | % | 16.96 % | % | 17.58 % | % | ||||||||
| (o) Net Portfolio Adjusted Yield (2 months prior) | 16.90 % | % | 16.92 % | % | 17.54 % | % | ||||||||
| (p) Net Portfolio Adjusted Yield (3 month average) | 17.10 % | % | 17.11 % | % | 17.73 % | % | ||||||||
| X. PRINCIPAL ACCUMULATION ACCOUNT | ||||||||||||||
| Series 2023-A | Series 2024-A | Series 2024-B | ||||||||||||
| (a) Cumulative Class A principal distributed to PAA (as of prior distribution date) | $0.00 | $0.00 | $0.00 | |||||||||||
| (b) Class A Principal deposited in the Principal Accumulation Account (PAA) | $0.00 | $0.00 | $0.00 | |||||||||||
| (c) Total Class A Principal deposited in the PAA (a + b) | $0.00 | $0.00 | $0.00 | |||||||||||
| (d) Cumulative Class M principal distributed to PAA (as of prior distribution date) | $0.00 | $0.00 | $0.00 | |||||||||||
| (e) Class M Principal deposited in the Principal Accumulation Account (PAA) | $0.00 | $0.00 | $0.00 | |||||||||||
| (f) Total Class M Principal deposited in the PAA (d +e) | $0.00 | $0.00 | $0.00 | |||||||||||
| (g) Cumulative Class B principal distributed to PAA (as of prior distribution date) | $0.00 | $0.00 | $0.00 | |||||||||||
| (h) Class B Principal deposited in the Principal Accumulation Account (PAA) | $0.00 | $0.00 | $0.00 | |||||||||||
| (i) Total Class B Principal deposited in the PAA (g + h) | $0.00 | $0.00 | $0.00 | |||||||||||
| (j) Cumulative Class C principal distributed to PAA (as of prior distribution date) | $0.00 | $0.00 | $0.00 | |||||||||||
| (k) Class C Principal deposited in the Principal Accumulation Account (PAA) | $0.00 | $0.00 | $0.00 | |||||||||||
| (l) Total Class C Principal deposited in the PAA (j + k) | $0.00 | $0.00 | $0.00 | |||||||||||
| (m) Ending PAA balance (c + f + i + l) | $0.00 | $0.00 | $0.00 | |||||||||||
| XI. PRINCIPAL REPAYMENT | ||||||||||||||
| Series 2023-A | Series 2024-A | Series 2024-B | ||||||||||||
| (a) Class A Principal Paid (as of prior distribution dates) | $0.00 | $0.00 | $0.00 | |||||||||||
| (b) Class A Principal Payments (to be paid on current distribution date) | $0.00 | $0.00 | $0.00 | |||||||||||
| (c) Total Class A Principal Paid (a + b) | $0.00 | $0.00 | $0.00 | |||||||||||
| (d) Class M Principal Paid (as of prior distribution dates) | $0.00 | $0.00 | $0.00 | |||||||||||
| (e) Class M Principal Payments (to be paid on current distribution date) | $0.00 | $0.00 | $0.00 | |||||||||||
| (f) Total Class M Principal Paid (d + e) | $0.00 | $0.00 | $0.00 | |||||||||||
| (g) Class B Principal Paid (as of prior distribution dates) | $0.00 | $0.00 | $0.00 | |||||||||||
| (h) Class B Principal Payments (to be made on current distribution date) | $0.00 | $0.00 | $0.00 | |||||||||||
| (i) Total Class B Principal Paid (g + h) | $0.00 | $0.00 | $0.00 | |||||||||||
| (j) Class C Principal Paid (as of prior distribution dates) | $0.00 | $0.00 | $0.00 | |||||||||||
| (k) Class C Principal Payments (to be made on current distribution date) | $0.00 | $0.00 | $0.00 | |||||||||||
| (l) Total Class C Principal Paid (j + k) | $0.00 | $0.00 | $0.00 | |||||||||||
| (m) Total Principal Paid (c + f + i + l) | $0.00 | $0.00 | $0.00 | |||||||||||
| XII. SUPPLEMENTAL INFORMATION | ||||||||
| Comenity Bank, as Servicer | ||||||||||||||
| By: | /s/ Wai Chung | |||||||||||||
| Name: | Wai Chung | |||||||||||||
| Title: | Treasurer | |||||||||||||