{"url_path":"/sec/ktn/8-k/2026-07-15/item-9-01","section_key":"item-9-01","section_title":"Item 9.01 Financial Statements and Exhibits.**","topic":"sec","document":{"doc_type":"8-K","doc_date":"2026-07-15","source_url":"https://www.sec.gov/Archives/edgar/data/1283337/0001539497-26-001955-index.html","accession_number":"0001539497-26-001955","cik":"0001283337","ticker":"KTN","issuer_name":"STRUCTURED PRODUCTS CORP CRED ENHANCE CORTS TR FOR AON CAP A","edgar_url":"https://www.sec.gov/Archives/edgar/data/1283337/0001539497-26-001955-index.html","primary_entity_key":"0001283337","primary_entity_name":"STRUCTURED PRODUCTS CORP CRED ENHANCE CORTS TR FOR AON CAP A"},"word_count":370,"has_tables":true,"body_markdown":"**Item 9.01 Financial Statements and Exhibits.**\n\n(c)**Exhibits:**\n\n1.Trustee's Report with respect to the July 1, 2026 Distribution Date for the Credit Enhanced CorTS Trust\nfor Aon Capital A\n\n2\n\n**SIGNATURES**\n\nPursuant to the requirements of the Securities Exchange\nAct of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.\n\nBy:** /**s**/** Jeffrey Kania\n\n**________________________________**\n\nName: Jeffrey Kania\n\nTitle: President\n\nJuly 1, 2026\n\n3\n\nEXHIBIT INDEX\n\nExhibit\n\nPage\n\n1\n\nTrustee's Report with respect to the July 1, 2026\nDistribution Date for the Credit Enhanced CorTS Trust for Aon Capital A\n\n5\n\n4\n\nExhibit 1\n\nTo the Holders of:\n\n**Credit Enhanced CorTS Trust for Aon Capital A**\n\n**8.205% Corporate-Backed Trust Securities (CorTS) Certificates**\n\n**Class A** ***CUSIP: 22532R101**\n\nU.S. Bank Trust National Association, as Trustee for the Credit Enhanced\nCorTS Trust for Aon Capital A, hereby gives notice with respect to the Distribution occurring on July 1, 2026 (the \"Distribution\nDate\") as follows:\n\n1.The amount of the distribution payable to the Certificateholders on the Distribution Date allocable to principal and premium, if any,\nand interest, expressed as a dollar amount per $25 Certificates, is as set forth below:\n\nClass\nPrincipal\nInterest\nTotal Distribution\n\nA\n$ 0.000000\n$ 1.025625\n$ 1.025625\n\n2.The amount of aggregate interest due and not paid as of the Distribution Date is $0.000000.\n\n3.No fees have been paid to the Trustee or any other party from the proceeds of the Term Assets.\n\n4.$40,170,000 aggregate principal amount of Aon Capital A 8.205% Capital Securities due January 1, 2027 (the \"Term Assets\")\nare held for the above trust.\n\n5.At the close of business on the Distribution Date, 1,606,800 Certificates representing $40,170,000 aggregate Certificates Principal\nBalance were outstanding.\n\n6.The current rating of the Term Assets is not provided in this report. Ratings can be obtained from Standard & Poor's Ratings Services,\na division of The McGraw-Hill Companies, Inc., by calling 212-438-2400 and from Moody's Investors Service, Inc. by calling 212-553-0377.\n\nU.S. Bank Trust National Association, as Trustee\n\n*The Trustee shall not be held responsible for the selection or use of\nthe CUSIP number nor is any representation made as to its correctness. It is included for the convenience of the Holders.\n\n5"}