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8-K - FORM 8-K - JPMorgan Chase Bank, National Associationd8k.htm
EX-99.1 - EXCESS SPREAD ANALYSIS - JPMorgan Chase Bank, National Associationdex991.htm

Exhibit 99.2

Chase Bank USA, N.A.

Monthly Certificateholder’s Statement

Chase Credit Card Master Trust

Series 2003-4

 

Section 5.2 - Supplement              

Distribution Date:

Period Type:

  

07/15/2011

Revolving

 

(i)

   Monthly Principal Distributed         0.00           0.00   

(ii)

   Monthly Interest Distributed           
   Class A Note Interest Requirement         216,727.88        
   Class B Note Interest Requirement         35,400.24        
   Net Class C Note Interest Requirement         77,297.58           329,425.70   

(iii)

   Collections of Principal Receivables              163,694,028.70   

(iv)

   Collections of Finance Charge Receivables              11,736,989.82   

(v)

   Aggregate Amount of Principal Receivables              1,284,270,215.22   
  

Investor Interest

             725,000,000.00   
  

Adjusted Interest

             725,000,000.00   
   Floating Investor Percentage              56.45
   Fixed Investor Percentage              56.45

(vi)

   Receivables Delinquent (As % of Total Receivables)           
  

Current to 29 days

             97.38
  

30 to 59 days

             0.69
  

60 to 89 days

             0.55
  

90 or more days

             1.38
                   
  

Total Receivables

             100.00

(vii)

   Investor Default Amount              3,483,978.17   

(viii)

   Investor Charge-Offs              0.00   

(ix)

   Reimbursed Investor Charge-Offs              0.00   

(x)

   Net Investor Servicing Fee              302,083.33   

(xi)

   Portfolio Yield (Net of Defaulted Receivables)              13.93

(xii)

   Reallocated Principal Collections              0.00   

(xiii)

   Accumulation Shortfall              0.00   

(xiv)

   Principal Funding Investment Proceeds              0.00   

(xv)

   Principal Funding Investment Shortfall              0.00   

(xvi)

   Available Investor Finance Charge Collections              11,132,823.15   

(xvii)

   Note Rate    Class A      0.42705     
      Class B      0.83705     
      Class C      1.43705     

(xviii)

   Spread Account              7,250,000.00   

 

By:  

/s/ Patricia M. Garvey

Name:   Patricia M. Garvey
Title:   Vice President