![]() We are not offering the notes in any jurisdiction where it is not permitted. ![]() Other than the dates stated on the respective cover pages. We make no claim with respect to the accuracy of the information in this prospectus supplement or the accompanying prospectus as of any dates We have not authorized anyone to give you different information. You should rely only on the information contained in or incorporated by reference into this prospectus supplement or theĪccompanying prospectus. Index of Terms beginning on page S-71 in this prospectus supplement and under the caption Index of Terms beginning on page 84 in the accompanying prospectus. You can find a listing of the pages where capitalized terms used in this prospectus supplement are defined under the caption You can also find references to key topics in the Table of Contents in this prospectus supplement and in the accompanying prospectus. Of which may not apply to a particular class of securities, including your class and (2) this prospectus supplement, which will supplement the accompanying prospectus by providing the specific terms that apply to your class of securities.Ĭross-references are included in this prospectus supplement and in the accompanying prospectus that direct you to moreĭetailed descriptions of a particular topic. Information about the securities is provided in two separate documents that progressively provide varying levels of detail: (1) the accompanying prospectus, which provides general information, some Prospectus Supplement and the Accompanying Prospectus Important Notice About Information Presented in This STATIC POOL INFORMATION REGARDING CERTAIN PREVIOUS SECURITIZATIONS GLOBAL CLEARANCE, SETTLEMENT AND TAX DOCUMENTATION PROCEDURES T HE T RANSFER AND S ERVICING A GREEMENTSĭ UTIES OF THE O WNER T RUSTEE AND THE I NDENTURE T RUSTEE SUBORDINATION RESERVE ACCOUNT YSOC AMOUNTĭESCRIPTION OF THE TRANSFER AND SERVICING AGREEMENTS P OST-A CCELERATION P RIORITY OF P AYMENTS PREPAYMENTS, DELINQUENCIES, REPOSSESSIONS AND NET CREDIT LOSSESĭ ELINQUENCY, R EPOSSESSION AND C REDIT L OSSĮ VENTS OF D EFAULT R IGHTS UPON E VENT OF D EFAULT THE OWNER TRUSTEE AND THE INDENTURE TRUSTEE ![]() The date of this prospectus supplement is July 24, 2013. Any representation to the contrary is a criminal offense. Neither the Securities and Exchange Commission nor any state securities commission hasĪpproved or disapproved of the securities or determined that this prospectus supplement or the accompanying prospectus is accurate or complete. Reserve account, with an initial deposit of at least $3,693,164.30 and subject to adjustment as described in this prospectus supplement.Ī yield supplement overcollateralization amount as described in this prospectus supplement.Ĭertificates with an original certificate balance of at least $59,095,721.68 are subordinated to the notes to the extent described in this prospectus The first payment will be made on August 15, 2013. Payment will be made on the following business day. The principal of and interest on the notes will be payable on the 15th day of each month, unless the 15th day is not a business day, in which case The notes will accrue interest from and including the closing date.Īll classes of offered notes will be fixed rate notes. ![]() One or more classes of notes may be retained by Nissan Auto Receivables Corporation II or conveyed to affiliates of Nissan Auto Represent fractional undivided interests in the issuing entity, will not bear interest, and are not being offered hereby. The issuing entity will also issue certificates that The issuing entity will issue the four classes of notes described in the table below. ![]()
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