Bayport Securitisation (RF) Ltd Investor Report February 2013

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1 Bayport Securitisation (RF) Ltd Investor Report February 2013

2 Financial statistics for the period ended February 2013 Feb 13 Jan 13 Dec 12 Nov 12 Oct 12 Sep 12 Aug 12 Jul 12 Jun 12 May 12 Apr 12 Mar 12 Performance ratios * Total income as a of ave gross loans and advances Direct and indirect expenses to ave gross loans and advances Direct and indirect expenses to total income Return on assets Gearing ratio times Interest margin Asset and credit quality ratios Gross loans and advances R ' Non-Performing Loans ("NPLs") R ' Carrying value of written off book R ' Impairment provision R ' Net loans and advances R ' Non-performing loans ratio Provision coverage Funding and cash reserves Interest bearing liabilities R ' Average cost of borrowings Cash and cash equivalents R ' * 12 months rolling average Bayport Securitisation(RF) LTD Monthly Investor Report February 2013 Page 1

3 Origination change MOM Feb 13 Jan 13 Dec 12 Nov 12 Oct 12 Sep 12 Aug 12 Jul 12 Jun 12 May 12 Apr 12 Mar 12 Disbursements R '000 (31.7) Number of new loans (42.7) Number of loans on book Average loan value at acquisition Rand Average term at aquisition Months Statistics Loans and advances by geographic location Province Cellular Payroll Debit order Total Eastern Cape Free State Gauteng Kwazulu-Natal Limpopo Mpumalanga Northern Cape Northwest Western Cape Bayport Securitisation (RF) LTD Monthly Investor Report February 2013 Page 2

4 Asset quality change MOM Feb 13 Jan 13 Dec 12 Nov 12 Oct 12 Sep 12 Aug 12 Jul 12 Jun 12 May 12 Apr 12 Mar 12 Gross loans and advances Performing loans Non-performing loans (1.4) Impairment provision Opening balance Bad debt written-off 28.9 (38 438) (29 830) (35 090) (26 425) (24 621) (23 536) (23 923) (23 080) (21 773) (21 598) (9 614) (26 404) Provision raised (5.1) Closing balance Bayport Securitisation (RF) Ltd Monthly Investor Report February 2013 Page 3

5 Asset quality (continued) NPL Vintage Analysis Jan-11 Feb-11 Mar-11 Apr-11 May-11 Jun-11 Jul-11 Aug-11 Sep-11 Oct-11 Nov-11 Dec-11 Jan-12 Feb-12 Mar-12 Apr-12 May-12 Jun-12 Jul-12 Aug MOB Sep-12 Oct-12 WA NPL Tolerated NPL Bayport Securitisation (RF) LTD Monthly Investor Report February 2013 Page 4

6 Asset quality (continued) Contractual delinquency (CD) loans and advances distribution * Feb 13 Jan 13 Dec 12 Nov 12 Oct Sep 12 Aug 12 Jul 12 Jun 12 May 12 Apr 12 Mar 12 Monthly loans and advances movement Opening balance Disbursements Interest and other similiar income Non-interest revenue Collections ( ) ( ) ( ) ( ) ( ) ( ) ( ) ( ) ( ) ( ) ( ) ( ) Bad debt write-offs and write-backs (36 806) (27 970) (30 590) (21 699) (20 537) (16 198) (19 613) (18 905) (16 803) (16 790) (5 789) Closing balance * Arrears instalments Bayport Securitisation (RF) LTD Monthly Investor Report February 2013 Page 5

7 Liquidity and funding Funding change MOM Feb 13 Jan 13 Dec 12 Nov 12 Oct 12 Sep 12 Aug 12 Jul 12 Jun 12 May 12 Apr 12 Mar 12 Class A Notes (senior) Senior warehouse funding Class B Notes (Mezzanine) Other subordinated funding Total interest bearing liabilities Average cost of borrowings (3.8) Cash and cash equivalents Average cash reserves (3 months) Bayport Securitisation (RF) LTD Monthly Investor Report February 2013 Page 6

8 Liquidity and funding (continued) Listed notes in issue Instrument Coupon rate Class Nominal amount at issue Month end principal balance Issue date Maturity date BAYA A /03/ /03/31 BAYA02 3-month JIBAR plus A /03/ /06/30 BAYA A /08/ /09/30 BAYA A /09/ /09/30 BAYA06 3-month JIBAR plus A /09/ /09/30 BAYA A /10/ /12/31 BAYA A /11/ /12/31 BAYA09 3-month JIBAR plus A /12/ /12/31 BAYA10 3-month JIBAR plus A /12/ /12/31 BAYA11 3-month JIBAR plus A /01/ /03/31 BAYA A /01/ /03/31 BAYA A /03/ /03/31 BAYA A /06/ /09/30 BAYA A /06/ /06/30 BAYA A /10/ /09/30 BAYA17 3-month JIBAR plus A /10/ /09/30 BAYA18 3-month JIBAR plus A /11/ /09/30 BAYA19 3-month JIBAR plus A /11/ /12/31 BAYA20 3-month JIBAR plus A /11/ /09/30 BAYA21 3-month JIBAR plus A /04/ /03/30 BAYA22 3-month JIBAR plus A /04/ /09/30 BAYA A /07/ /06/30 BAYA A /07/ /06/30 BAYA25 3-month JIBAR plus A /08/ /06/30 BAYA A /09/ /10/02 BAYA27 3-month JIBAR plus A /10/ /09/30 BAYA28 3-month JIBAR plus A /10/ /09/30 BAYA29 3-month JIBAR plus A /10/ /12/31 BAYA A /12/ /12/31 BAYA31 3-month JIBAR plus A /12/ /12/31 BAYA A /02/ /04/03 Subtotal Class A notes BAYB B /03/ /03/31 BAYB B /11/ /12/31 BAYB B /04/ /03/31 BAYB05 3-month JIBAR plus B /08/ /06/30 BAYB06 3-month JIBAR plus B /12/ /12/31 BAYB07 3-month JIBAR plus B /02/ /02/31 Subtotal Class B notes Total Bayport Securitisation (RF) LTD Monthly Investor Report February 2013 Page 7

9 Covenant compliance Financial covenants Current requirement Feb 13 Jan 13 Dec 12 Nov 12 Oct 12 Sep 12 Aug 12 Jul 12 Jun 12 May 12 Apr 12 Mar 12 Senior Debt Cash Flow Cover Ratio 1.50 times Senior Debt Interest Cover Ratio 3.50 times Senior Debt to Net Qualifying Asset Value Bad and Doubtful Debt Ratio Equity invested in the Company by the Originator > Cellular Contracts as a of the Portfolio Cash reserves Current requirement Feb 13 Jan 13 Dec 12 Nov 12 Oct 12 Sep 12 Aug 12 Jul 12 Jun 12 May 12 Apr 12 Mar 12 Arrears reserve Weighted NPLs as a percentage of the portfolio Reserve required () Asset performance reserve Collections Ratio Reserve required () Expected collections (6 month average) Actual receipts (6 month average) Capital Redemption reserve Bayport Securitisation (RF) LTD Monthly Investor Report February 2013 Page 8

10 Glossary of terms CD MOB MoM YTD Non-performing loans Non-performing loans ratio Provision coverage Contractual delinquency = accumulated arrears / contractual instalments originally due Month on book Month on Month Year to date The balance outstanding of loans and advances with a contractual delinquency greater than three months excluding loans and advances with a contractual delinquency greater than three months where three consecutive receipts have been received in the three-month period preceding the measurement date Non-performing loans / Gross loans and advances Impairment provision / Gross loans and advances Bayport Securitisation (RF) LTD Monthly Investor Report February 2013 Page 9

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