2025

VZMT 2025-3

Date of Issuance - 03/31/2025
Total Initial Note Balance - $1,000,000,000
VZM Transaction
NotesInitial note balanceInterest rateAnticipated
Redemption Date
Final
Maturity Date
Class A-1a$706,008,0004.51%03/22/202703/20/2030
Class A-1b$185,000,000Compounded SOFR + 0.55%03/22/202703/20/2030
Class B$68,120,0004.77%03/22/202703/20/2030
Class C$40,872,0004.90%03/22/202703/20/2030

VZMT 2025-1

Date of Issuance - 01/22/2025
Total Initial Note Balance - $600,000,000
VZM Transaction
NotesInitial note balanceInterest rateAnticipated
Redemption Date
Final
Maturity Date
Class A$534,600,0004.71%01/20/202801/21/2031
Class B$40,872,0004.94%01/20/202801/21/2031
Class C$24,528,0005.09%01/20/202801/21/2031
2025

VZMT Servicer Reports 2025

VZMT Servicer Report
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2020

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