OMF
Published on 04/14/2026 at 05:16 am EDT
Collection Period
Beginning Date
03/01/2026
End Date
03/31/2026
Payment Date
04/14/2026
Transaction Month
46
Class A-1, B, C, D Interest Period (Days)
30
Class A-2 Interest Period (Days)
31
Class A-2 Interest Rate: Compounded SOFR (3.67223%) + (1.60%)
5.27223%
ORIGINAL DEAL PARAMETERS
Class A-1 Notes
Note Balance
370,520,000.00
% of Note Prin Bal
61.75%
Interest Rate
4.65%
Stated Maturity Date
March 14, 2029
Class A-2 Notes
70,000,000.00
11.67%
March 14, 2029
Class B Notes
74,840,000.00
12.47%
5.07%
June 14, 2029
Class C Notes
50,520,000.00
8.42%
5.31%
June 14, 2029
Class D Notes
34,120,000.00
5.69%
5.90%
December 16, 2030
Aggregate Note Principal Balance
600,000,000.00
100.00%
Overcollateralization Amount
31,582,355.42
Initial Loan Principal Balance:
631,582,355.42
NOTE BALANCE
Beginning of Period
End of Period
Note Balance
Note Factor
Note Balance
Note Factor
Change
Class A-1 Notes
17,158,810.97
0.04631
6,921,789.21
0.01868
10,237,021.76
Class A-2 Notes
3,241,705.63
0.04631
1,307,689.86
0.01868
1,934,015.77
Class B Notes
74,840,000.00
1.00000
74,840,000.00
1.00000
0.00
Class C Notes
50,520,000.00
1.00000
50,520,000.00
1.00000
0.00
Class D Notes
34,120,000.00
1.00000
34,120,000.00
1.00000
0.00
Aggregate Note Principal Balance
179,880,516.60
0.29980
167,709,479.07
0.27952
12,171,037.53
Collection Period
Beginning Date
03/01/2026
End Date
03/31/2026
Payment Date
04/14/2026
Transaction Month
46
Class A-1, B, C, D Interest Period (Days)
30
Class A-2 Interest Period (Days)
31
Class A-2 Interest Rate: Compounded SOFR (3.67223%) + (1.60%)
5.27223%
LOAN PRINCIPAL BALANCE
Beginning Adjusted Loan Principal Balance
197,033,164.18
Principal Collections (Scheduled Principal and Prepayments)
(9,356,725.92)
Charged-Off Loans
(1,515,812.71)
Other Customer Charges Net Increase / (Decrease)
120,257.73
Terminated Loans
(1,940,395.85)
Renewal Loan Replacements
0.00
Additional Loans (other than Renewal Loans)
0.00
Exchanged Loans
0.00
Replacement Loans
0.00
Excluded Loans
0.00
Optional Reassignment Loans
0.00
Repurchased Loans
(186,728.04)
Ending Adjusted Loan Principal Balance/Loan Action Date Loan Principal Balance
184,153,759.39
POOLINFORMATION Beginning of Period
End of Period
Weighted Avg. Coupon (WAC) 19.96%
19.88%
Weighted Avg. FICO* 625
625
Weighted Avg. Loan Remaining Term (WALRT) 31
31
Weighted Avg. Loan to Value 137.56%
137.40%
Adjusted Loan Principal Balance 197,033,164.18
184,153,759.39
Number of Loans 19,406
18,479
Additional Loan** Information for the Payment Date on 4/14/2026:
Weighted Avg. Coupon (WAC) Weighted Avg. FICO* Weighted Avg. Loan to Value Loan Principal Balance Number of Loans
N/A N/A N/A N/A N/A
*FICO scores determined at time of origination
**Contains Additional Loans including Renewal Loans and Replacement Loans
Collection Period
Beginning Date
03/01/2026
End Date
03/31/2026
Payment Date
04/14/2026
Transaction Month
46
Class A-1, B, C, D Interest Period (Days)
30
Class A-2 Interest Period (Days)
31
Class A-2 Interest Rate: Compounded SOFR (3.67223%) + (1.60%)
5.27223%
Principal:
Principal Collections
9,356,725.92
Other Customer Charges Net Increase / (Decrease)
(120,257.73)
Repurchased Contract Proceeds Related to Principal
186,728.04
Recoveries/Liquidation Proceeds
282,013.09
Total Principal Collections
9,705,209.32
Interest:
Interest Collections
2,974,645.68
Interest on Repurchase Principal
-
Total Interest Collections
2,974,645.68
Collections Used/Sent for Renewals
-
Collections Used for Proposed Loans
-
Collections Used for Servicing Fee
(328,388.61)
Total Collections Used
(328,388.61)
Collection Account Interest
34,046.55
Principal Distribution Account Interest
5,184.74
Reserve Account Interest
9,140.70
Reserve Draw Account
3,157,911.78
Principal Distribution Account Draw Amount
-
Total Collections
15,557,750.16
Collection Period
Beginning Date
03/01/2026
End Date
03/31/2026
Payment Date
04/14/2026
Transaction Month
46
Class A-1, B, C, D Interest Period (Days)
30
Class A-2 Interest Period (Days)
31
Class A-2 Interest Rate: Compounded SOFR (3.67223%) + (1.60%)
5.27223%
Calculated Amount Amount Paid Shortfall Carryover Shortfal Remaining Available Funds
Indenture/Owner Trustee/Depositor Loan/Issuer Loan Trustee
Indemnified Amounts Due/Servicing Transfer Costs
416.67
416.67
-
-
15,557,333.49
Servicing Fee 2.00%
-
-
-
-
15,557,333.49
Class A-1 Monthly Interest Amount (pari passu with Class A-2)
66,490.39
66,490.39
-
-
15,490,843.10
Class A-2 Monthly Interest Amount (pari passu with Class A-1)
14,717.27
14,717.27
-
-
15,476,125.83
First Priority Principal Payment
-
-
-
-
15,476,125.83
Class B Monthly Interest Amount
316,199.00
316,199.00
-
-
15,159,926.83
Second Priority Principal Payment
-
-
-
-
15,159,926.83
Class C Monthly Interest Amount
223,551.00
223,551.00
-
-
14,936,375.83
Third Priority Principal Payment
-
-
-
-
14,936,375.83
Class D Monthly Interest Amount
167,756.67
167,756.67
-
-
14,768,619.16
Fourth Priority Principal Payment
-
-
-
-
14,768,619.16
Required Reserve Account Amount
3,157,911.78
3,157,911.78
-
-
11,610,707.38
Advances made by the Servicer (aggregate unpaid balance)
-
-
-
-
11,610,707.38
Regular Principal Payment Amount
10,230,641.68
10,230,641.68
-
-
1,380,065.70
Additional Transaction Participant Fees
-
-
-
-
1,380,065.70
Additional Indeminified Amounts
-
-
-
-
1,380,065.70
Advances that remain unpaid after giving effect to distributions above
-
-
-
-
1,380,065.70
Residual released to the Depositor
1,380,065.70
1,380,065.70
-
-
-
Deposited into the Principal Distribution Account
-
-
-
-
-
Reserve Account Deposit to increase Reserve Account Required Amount
-
-
-
-
-
Purchase of Additional Loans to increase Required Overcollateralization Amount
-
-
-
-
-
Total 15,557,750.16
Collection Period
Beginning Date
03/01/2026
End Date
03/31/2026
Payment Date
04/14/2026
Transaction Month
46
Class A-1, B, C, D Interest Period (Days)
30
Class A-2 Interest Period (Days)
31
Class A-2 Interest Rate: Compounded SOFR (3.67223%) + (1.60%)
5.27223%
Beginning Period Reserve Account Amount
3,157,911.78
Reserve Draw Amount
(3,157,911.78)
Reserve Deposit Amount
3,157,911.78
Ending Period Reserve Account Amount
3,157,911.78
Change in Reserve Account Balance
-
Required Reserve Account Amount
3,157,911.78
PRINCIPAL DISTRIBUTION ACCOUNT
Beginning of Period Principal Distribution Account Amount
-
Principal Distribution Draw Amount
1,940,395.85
Principal Distribution Amount Prior to Payment Waterfall
1,940,395.85
Principal Distribution Deposit Amount
10,230,641.68
Distribution to Noteholders (except during Revolving Period) Class A-1 Noteholders (pari passu with Class A-2)
(10,237,021.76)
Class A-2 Noteholders (pari passu with Class A-1)
(1,934,015.77)
Class B Noteholders
-
Class C Noteholders
-
Class D Noteholders
-
Purchase of Loans on Payment Date
-
Ending Period Principal Distribution Account Amount
-
Change in Principal Distribution Account Amount
-
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Disclaimer
OneMain Holdings Inc. published this content on April 14, 2026, and is solely responsible for the information contained herein. Distributed via Public Technologies (PUBT), unedited and unaltered, on April 14, 2026 at 09:15 UTC.