1
Household Finance Corporation
Household Revolving Home Equity Loan
Revolving Home Equity Loan Asset Backed
Certificates - Series 1995-1
P & S Agreement Date: May 1, 1995
Original Settlement Date: May 25, 1995
Series Number of Class A-1 Certificates:
000000XX0
Series Number of Class A-2 Certificates:
000000XX0
Original Sale Balance: $474,825,000
Servicer Certificate (Page 1 of 3)
Distribution Date: 03/20/2000
Investor Certificateholder Floating Allocation 88.12%
Percentage
Investor Certificateholder Fixed Allocation 97.90%
Percentage
Aggregate Amount of Collections 2,949,219.73
Aggregate Amount of Interest Collections 866,251.49
Aggregate Amount of Principal Collections 2,082,968.24
Class A Interest Collections 763,342.32
Class A Principal Collections 1,944,943.93
Seller Interest Collections 102,909.17
Seller Principal Collections 138,024.31
Weighted Average Loan Rate 14.05%
Net Loan Rate 13.05%
Weighted Average Maximum Loan Rate 19.64%
Class A-1 Certificate Rate 6.10%
Maximum Investor Certificate Rate 13.05%
Class A-1 Certificate Interest Distributed 278,260.25
Class A-1 Investor Certificate Interest 0.00
Shortfall before Policy Draw
Unpaid Class A-1 Certificate Interest Shortfall 0.00
Received
Unpaid Class A-1 Certificate Interest Shortfall 0.00
Remaining
Unpaid Class A-1 Carryover Interest Amount 0.00
Class A-2 Certificate Rate 6.03%
Maximum Investor Certificate Rate 13.05%
Class A-2 Certificate Interest Distributed 12,095.09
Class A-2 Investor Certificate Interest 0.00
Shortfall before Policy Draw
Unpaid Class A-2 Certificate Interest Shortfall 0.00
Received
Unpaid Class A-2 Certificate Interest Shortfall 0.00
Remaining
Unpaid Class A-2 Carryover Interest Amount 0.00
Maximum Principal Dist. Amount (MPDA) 2,039,319.64
Alternative Principal Dist. Xxxxxx (APDA) 1,944,943.93
Rapid Amortization Period? (Y=1, N=0) 0.00
Scheduled Principal Distribution Amount (SPDA) 1,944,943.93
2
Principal allocable to Class A-1 1,863,020.95
Principal allocable to Class A-2 81,922.98
SPDA deposited to Funding Account 0.00
Accelerated Principal Distribution Amount 0.00
APDA allocable to Class A-1 0.00
APDA allocable to Class A-2 0.00
Reimbursement to Credit Enhancer 0.00
Reduction in Certificate Principal Balance
due to Current Class A-1 Liquidation Loss 83,710.77
Amount
Reduction in Certificate Principal Balance
due to Current Class A-2 Liquidation Loss 3,681.03
Amount
Cumulative Investor Liquidation Loss Amount 87,391.80
Total Principal allocable to A-1 1,946,731.72
Total Principal allocable to A-2 85,604.01
Beginning Class A-1 Certificate Principal 60,821,912.52
Balance
Beginning Class A-2 Certificate Principal 2,674,425.43
Balance
Ending Class A-1 Certificate Principal Balance 58,875,180.80
Ending Class A-2 Certificate Principal Balance 2,588,821.42
Class A-1 Factor 0.1294458
Class A-2 Factor 0.1294411
Pool Factor (PF) 0.1501729
Servicer Certificate (Page 2 of 3)
Distribution Date: 03/20/2000
Retransfer Deposit Amount 0.00
Servicing Fees Distributed 54,932.44
Beg. Accrued and Unpaid Inv. Servicing Fees 0.00
Accrued and Unpaid Inv. Servicing Fees Recv'd 0.00
End. Accrued and Unpaid Inv. Servicing Fees 0.00
Aggregate Investor Liquidation Loss Amount 87,391.80
Investor Loss Reduction Amount 0.00
Beginning Pool Balance 74,805,713.31
Ending Pool Balance 72,761,386.08
Beginning Invested Amount 65,918,924.95
Ending Invested Amount 63,886,589.22
Beginning Seller Principal Balance 8,886,788.36
Ending Seller Principal Balance 8,874,796.86
Additional Balances 138,024.31
Beginning Funding Account Balance 0.00
Ending Funding Account Balance 0.00
Ending Funding Account Balance % (before any 0.00%
purchase of Subsequent Loans)
Principal Balance of Subsequent Loans 0.00
Beginning Reserve Account Balance 1,211,294.00
Ending Reserve Account Balance 1,211,294.00
Beginning Seller Interest 11.8798%
Ending Seller's Interest 12.1971%
Delinquency & REO Status
30 - 59 days (Del Stat 1)
No. of Accounts 185
Trust Balance 5,858,560.50
60 - 89 days (Del Stat 2)
No. of Accounts 51
Trust Balance 1,356,064.18
90+ days (Del Stat 3+)
No. of Accounts 126
Trust Balance 3,345,825.15
270+ days (Del Stat 9+)
No. of Accounts 117
Trust Balance 3,777,819.73
REO
No. of Accounts 20
Trust Balance 543,076.47
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Rapid Amortization Event ? No
Failure to make payment within 5 Business No
Days of Required Date ?
Failure to perform covenant relating to No
Trust's Security Interest ?
Failure to perform other covenants as No
described in the Agreement ?
Breach of Representation or Warranty ? No
Bankruptcy, Insolvency or Receivership No
relating to Seller ?
Subject to Investment Company Act of 1940 No
Regulation ?
Servicing Termination ? No
Servicer Certificate (Page 3 of 3)
Distribution Date: 03/20/2000
Event of Default ? No
Failure by Servicer to make payment within 5 No
Bus. Days of Required Date ?
Failure by Servicer to perform covenant No
relating to Trust's Security Interest ?
Failure by Servicer to perform other No
covenants as described in the Agreement?
Bankruptcy, Insolvency or Receivership No
relating to Master Servicer ?
Trigger Event ? No
Policy Fee Distributed to Credit Enhancer (Paid N/A
directly from HFC)
Premium Distributed to Credit Enhancer 0.00
Amount Distributed to Seller 240,933.48
Master Servicer Credit Facility Amount 0.00
Guaranteed Principal Distribution Amount 0.00
Credit Enhancement Draw Amount 0.00
Application of Available Funds
Aggregate Amount of Collections 2,949,219.73
Deposit for principal not used to purchase
subsequent loans
Servicing Fee 54,932.44
Prinicpal and Interest to Class A-1 2,224,991.97
Prinicpal and Interest to Class A-2 97,699.10
Seller's portion of Principal and Interest 240,933.48
Funds deposited into Funding Account (Net) 0.00
Funds deposited into Spread Account 0.00
Excess funds released to Seller 330,662.74
Total 2,949,219.73
OFFICERS'S CERTIFICATE
All computations reflected in this Servicer
Certificate were
made in conformity with the Pooling and
Servicing Agreement.
The attached Servicing Certificate is true and
correct in all
material respects.
A Servicing Officer
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Statement to Certificateholders (Page 1 of 2)
Distribution Date: 03/20/2000
INVESTOR CERTIFICATES DISTRIBUTION SUMMARY (PER
$1000)
Class A Certificateholder Floating Allocation 88.1202%
Percentage
Class A Certificateholder Fixed Allocation 97.9045%
Percentage
Beginning Class A-1 Certificate Balance 60,821,912.52
Beginning Class A-2 Certificate Balance 2,674,425.43
Class A-1 Certificate Rate 6.10000%
Class A-2 Certificate Rate 6.03000%
Class A-1 Certificate Interest Distributed 0.611796
Class A-2 Certificate Interest Distributed 0.604755
Class A-1 Certificate Interest Shortfall 0.000000
Distributed
Class A-2 Certificate Interest Shortfall 0.000000
Distributed
Remaining Unpaid Class A-1 Certificate Interest 0.000000
Shortfall
Remaining Unpaid Class A-2 Certificate Interest 0.000000
Shortfall
Rapid Amortization Event ? No
Class A-1 Certificate Principal Distributed 4.280177
Class A-2 Certificate Principal Distributed 4.280201
Maximum Principal Distribution Amount 4.294887
Scheduled Principal Distribution Amount 4.096128
(SPDA)
Accelerated Principal Distribution Amount 0.000000
Aggregate Investor Liquidation Loss Amount 0.184051
Distributed
Total Amount Distributed to Certificateholders 4.891678
Principal Collections deposited into Funding 0.00
Account
Ending Funding Account Balance 0.00
Ending Class A-1 Certificate Balance 58,875,180.80
Ending Class A-2 Certificate Balance 2,588,821.42
Class A-1 Factor 0.1294458
Class A-2 Factor 0.1294411
Pool Factor (PF) 0.1501729
Unreimbursed Liquidation Loss Amount 0.00
Accrued Interest on Unreimbursed Liquidation 0.00
Loss Amount
Accrued & Unpaid Interest on Unreimbursed 0.00
Liquidation Loss Amount
Class A Servicing Fee 54,932.44
Beginning Invested Amount 65,918,924.95
Ending Invested Amount 63,886,589.22
Beginning Pool Balance 74,805,713.31
Ending Pool Balance 72,761,386.08
Credit Enhancement Draw Amount 0.00
Statement to Certificateholders (Page 2 of 2)
Distribution Date: 03/20/2000
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DELINQUENCY & REO STATUS
30 - 59 days (Del Stat 1)
No. of Accounts 185
Trust Balance 5,858,560.50
60 - 89 days (Del Stat 2)
No. of Accounts 51
Trust Balance 1,356,064.18
90+ days (Del Stat 3+)
No. of Accounts 126
Trust Balance 3,345,825.15
REO
No. of Accounts 20
Trust Balance 543,076.47
Aggregate Liquidation Loss Amount for 99,173.43
Liquidated Loans
Class A-1 Certificate Rate for Next To be updated
Distribution Date
Class A-2 Certificate Rate for Next To be updated
Distribution Date
Amount of any Draws on the Policy 0.00
Subsequent Mortgage Loans
No. of Accounts 0.00
Trust Balance 0.00