EXHIBIT 10.1
Schedule 2 to Indenture
SEMIANNUAL SERVICER'S CERTIFICATE
CENTERPOINT ENERGY TRANSITION BOND COMPANY, LLC
(FORMERLY RELIANT ENERGY TRANSITION BOND COMPANY LLC)
$748,897,000 TRANSITION BONDS, SERIES 2001-1
Pursuant to Section 6 of Annex 1 to the Transition Property Sevicing Agreement
(the "Agreement"), dated as of October 24, 2001, between
CenterPoint Energy Houston Electric, LLC
(formerly Reliant Energy, Incorporated), as Servicer,
and CenterPoint Energy Transition Bond Company, LLC
(formerly Reliant Energy Transition Bond Company LLC), as Issuer,
the Servicer does hereby certify as follows:
Capitalized terms used in this Semiannual Servicer's Certificate
have their respective meanings as set forth in the Agreement.
References herein to certain sections and subsections are references
to the respective sections and subsections of the Agreement.
Collection Periods: September 16, 2002 through March 14, 2003
Payment Date: March 17, 2003
Today's Date: March 14, 2003
1. COLLECTIONS ALLOCABLE AND AGGREGATE AMOUNTS AVAILABLE FOR CURRENT PAYMENT DATE:
i. Remittances for the September 16 through 30, 2002 Collection Period 3,771,970.69
ii. Remittances for the October 1 through 31, 2002 Collection Period 8,798,708.48
iii. Remittances for the November 1 through 30, 2002 Collection Period 6,119,305.37
iv. Remittances for the December 1 through 31, 2002 Collection Period 5,389,873.89
v. Remittances for the January 1 through 31, 2003 Collection Period 4,901,829.21
vi. Remittances for the February 1 through 28, 2003 Collection Period 4,693,430.72
vii. Remittances for the March 1 through 14, 2003 Collection Period 2,179,045.61
[9/13/02
through
viii. Net Earnings on Collection Account 124,901.60 2/28/03]
--------------
ix. General Subaccount Balance (sum of i through viii above) 35,979,065.57
x. Reserve Subaccount Balance as of Prior Payment Date 0.00
xi. Overcollateralization Subaccount Balance as of Prior Payment Date 0.00
xii. Capital Subaccount Balance as of Prior Payment Date 2,307,265.86
--------------
xiii. Collection Account Balance (sum of viii through xii above) 38,286,331.43
==============
2. OUTSTANDING AMOUNTS AS OF PRIOR PAYMENT DATE:
i. Class A-1 Principal Balance 101,894,302.00
ii. Class A-2 Principal Balance 118,000,000.00
iii. Class A-3 Principal Balance 130,000,000.00
iv. Class A-4 Principal Balance 385,897,000.00
--------------
v. Aggregate Principal Balance of all Series 2001-1 Transition Bonds 735,791,302.00
==============
3. REQUIRED FUNDING/PAYMENTS AS OF CURRENT PAYMENT DATE:
Projected
Principal Semiannual
Series 2001-1 Principal Balance Principal Due
----------------------- ------- -------------
i. Class A-1 95,528,678.00 6,365,624.00
ii. Class A-2 118,000,000.00 0.00
iii. Class A-3 130,000,000.00 0.00
iv. Class A-4 385,897,000.00 0.00
-------------- ------------
v. For all Series 2001-1 Transition Bonds 729,425,678.00 6,365,624.00
============== ============
Transition Days in
Bond Interest
Interest Rate Period (1) Interest Due
------------- ---------- ------------
vi. Required Class A-1 Interest 3.840% 180 1,956,370.60
vii. Required Class A-2 Interest 4.760% 180 2,808,400.00
viii. Required Class A-3 Interest 5.160% 180 3,354,000.00
ix. Required Class A-4 Interest 5.630% 180 10,863,000.55
(1) On 30/360 Day basis.
Funding
Required Level Required
-------------- --------
x. Overcollateralization Subaccount 468,060.63 468,060.63
xi. Capital Subaccount 3,744,485.00 1,437,219.14
4. ALLOCATION OF REMITTANCES AS OF CURRENT PAYMENT DATE PURSUANT
TO SECTION 8.02 (D) OF INDENTURE:
i. Trustee Fees and Expenses 2,500.00
ii. Servicing Fee 187,224.25(1)
iii. Administration Fee and Independent Managers Fees 53,500.00(2)
iv. Operating Expenses 25,543.50(3)
v. Semiannual Interest (including any past-due Semiannual
Interest for prior periods)
Per $1,000
of Original
Series 2001-1 Aggregate Principal Amount
------------- --------- ----------------
1. Class A-1 Interest Payment 1,956,370.60 17.01
2. Class A-2 Interest Payment 2,808,400.00 23.80
3. Class A-3 Interest Payment 3,354,000.00 25.80
4. Class A-4 Interest Payment 10,863,000.55 28.15
vi. Principal Due and Payable as a result of Event of Default
or on Final Maturity Date
Per $1,000
of Original
Series 2001-1 Aggregate Principal Amount
------------- --------- ----------------
1. Class A-1 Principal Payment 0.00 0.00
2. Class A-2 Principal Payment 0.00 0.00
3. Class A-3 Principal Payment 0.00 0.00
4. Class A-4 Principal Payment 0.00 0.00
vii. Semiannual Principal
Per $1,000
of Original
Series 2001-1 Aggregate Principal Amount
------------- --------- ----------------
1. Class A-1 Principal Payment 6,365,624.00 55.35
2. Class A-2 Principal Payment 0.00 0.00
3. Class A-3 Principal Payment 0.00 0.00
4. Class A-4 Principal Payment 0.00 0.00
viii. Amounts Payable to Credit Enhancement Providers (if applicable) N/A
ix. Operating Expenses not Paid under Clause (iv) above 0.00
x. Funding of Capital Subaccount (to required level) 1,437,219.14
xi. Funding of Overcollateralization Subaccount (to required level) 468,060.63
xii. Net Earnings in Capital Subaccount Released to Issuer 14,557.53
xiii. Deposits to Reserve Subaccount 8,443,065.37
xiv. Released to Issuer upon Series Retirement: Collection Account 0.00
(1) Servicing fee: $748,897,000 x .05% x 180/360 = $187,224.25
(2) Administration fee: $50,000 x 180/180 = $50,000.00; independent
managers fees: $3,500.00
(3) Reimbursement to Servicer for fees/expenses paid to rating
agencies ($15,000.00), outside legal counsel ($6,420.50)
and printer ($4,123.00)
5. SUBACCOUNT WITHDRAWALS AS OF CURRENT PAYMENT DATE
(IF APPLICABLE, PURSUANT TO SECTION 8.02(E) OF INDENTURE):
i. Reserve Subaccount (available for 4.i. through 4.xii.) 0.00
ii. Overcollateralization Subaccount (available for 4.i. through 4.ix.) 0.00
iii. Capital Subaccount (available for 4.i. through 4.ix.) 0.00
----
iv. Total Withdrawals 0.00
====
6. OUTSTANDING AMOUNT AND COLLECTION ACCOUNT BALANCE AS OF CURRENT PAYMENT DATE
(AFTER GIVING EFFECT TO PAYMENTS TO BE MADE ON SUCH PAYMENT DATE):
Series 2001-1
-------------
i. Class A-1 Principal Balance 95,528,678.00
ii. Class A-2 Principal Balance 118,000,000.00
iii. Class A-3 Principal Balance 130,000,000.00
iv. Class A-4 Principal Balance 385,897,000.00
--------------
v. Aggregate Principal Balance for all Series 2001-1 Transition Bonds 729,425,678.00
==============
vi. Reserve Subaccount Balance 8,443,065.37
vii. Overcollateralization Subaccount Balance 468,060.63
viii. Capital Subaccount Balance 3,744,485.00
------------
ix. Aggregate Collection Account Balance 12,655,611.00
=============
7. SHORTFALLS IN INTEREST AND PRINCIPAL PAYMENTS AS OF CURRENT PAYMENT DATE
(AFTER GIVING EFFECT TO PAYMENTS TO BE MADE ON SUCH PAYMENT DATE):
i. Semiannual Interest
Series 2001-1
--------------
1. Class A-1 Bond Interest Payment 0.00
2. Class A-2 Bond Interest Payment 0.00
3. Class A-3 Bond Interest Payment 0.00
4. Class A-4 Bond Interest Payment 0.00
ii. Semiannual Principal
Series 2001-1
-------------
1. Class A-1 Principal Payment 0.00
2. Class A-2 Principal Payment 0.00
3. Class A-3 Principal Payment 0.00
4. Class A-4 Principal Payment 0.00
8. SHORTFALLS IN REQUIRED SUBACCOUNT LEVELS AS OF CURRENT PAYMENT DATE
(AFTER GIVING EFFECT TO PAYMENTS TO BE MADE ON SUCH PAYMENT DATE):
i. Overcollateralization Subaccount 0.00
ii. Capital Subaccount 0.00
IN WITNESS HEREOF, the undersigned has duly executed and delivered this
Semiannual Servicer's Certificate this 14th day of March, 2003.
CENTERPOINT ENERGY HOUSTON ELECTRIC, LLC (formerly RELIANT ENERGY,
INCORPORATED), as Servicer
by: /s/ Xxxx Xxxxxxxx
--------------------------------------------------------------
Xxxx Xxxxxxxx
Vice President and Treasurer