{"url_path":"/sec/cik-0001260125/8-k/2026-06-11/item-8-01","section_key":"item-8-01","section_title":"Item 8.01 Other Events.**","topic":"sec","document":{"doc_type":"8-K","doc_date":"2026-06-11","source_url":"https://www.sec.gov/Archives/edgar/data/1260125/0001104659-26-072842-index.html","accession_number":"0001104659-26-072842","cik":"0001260125","ticker":null,"issuer_name":"HYUNDAI ABS FUNDING LLC","edgar_url":"https://www.sec.gov/Archives/edgar/data/1260125/0001104659-26-072842-index.html","primary_entity_key":"0001260125","primary_entity_name":"HYUNDAI ABS FUNDING LLC"},"word_count":378,"has_tables":true,"body_markdown":"**ITEM 8.01. Other Events.**\n\nIn connection with the issuance\nand sale of the Notes described in the Final Prospectus dated June 9, 2026, the Registrant is filing the following documents, each\nof which will be dated as of the Closing Date.\n\n1. Receivables Purchase Agreement, between HABS\nand HCA, pursuant to which HCA transferred to HABS certain retail installment sale contracts relating to certain new and used automobiles,\nlight-duty trucks and minivans (the &ldquo;Receivables&rdquo;) and related property.\n\n2. Amended and Restated Trust Agreement, by and\namong HABS, U.S. Bank Trust National Association (the &ldquo;Owner Trustee&rdquo;) and HCA which amended and restated the Trust Agreement,\ndated as of January 23, 2026, pursuant to which Hyundai Auto Receivables Trust 2026-B (the &ldquo;Trust&rdquo;) was created.\n\n3. Sale and Servicing Agreement, by and among\nthe Trust, HABS, as depositor, HCA, as seller and servicer, and Citibank, N.A. (the &ldquo;Indenture Trustee&rdquo;), pursuant to which\nthe Receivables and related property were transferred to the Trust.\n\n4. Indenture, by and between the Trust and the\nIndenture Trustee, pursuant to which the Notes were issued.\n\n5. Owner Trust Administration Agreement, by and\namong the Trust, HCA, as administrator, and the Indenture Trustee, relating to the provision by HCA of certain services relating to the\nNotes.\n\n6. Asset Representations Review Agreement among\nthe Trust, HCA, as servicer, and Clayton Fixed Income Services LLC, as asset representations reviewer, relating to the review of certain\nrepresentations relating to the Receivables.\n\nThe Notes have been registered pursuant to the\nSecurities Act of 1933, as amended, under a Registration Statement on Form SF-3 (Commission File No. 333-284087).\n\nAttached as Exhibit 4.1 is the form of Indenture,\nas Exhibit 10.1 is the form of Receivables Purchase Agreement, as Exhibit 10.2 is the form of Sale and Servicing Agreement,\nas Exhibit 10.3 is the form of Owner Trust Administration Agreement, as Exhibit 10.4 is the form of Amended and Restated\nTrust Agreement, and as Exhibit 10.5 is the form of Asset Representations Review Agreement.\n\nIn connection with the offering of the Notes,\nthe chief executive officer of the registrant has made the certifications required by Paragraph I.B.1(a) of Form SF-3 attached\nas Exhibit 36.1. The certification is being filed on this Current Report to satisfy the requirements of Item 601(b)(36) of Regulation\nS-K."}