C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
GLM 5 (EUR 345m) GoldenTree Asset Management LP EMEA Feb 26, 2021
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE E GUW 659.000 - Qrr CCC - 98.00% - Njoxqemo 3dHf - - 82 3tPj+82 - 490.00000 D ODU 98.000 - Lff3 ZZZ - 43.50% - Iwjrpmls 3tLf - - 330 3gBl+330 - 164.00000 N YQF 81.000 - Hg2 TT - 32.00% - Wpevwsve 3dJf - - 130 3kTu+130 - 543.00000 Q BIL 25.700 - Mu3 WW- - 2.60% - - - - - - - - Retained R BED 8.000 - Zdd YYY - - - Lfjprbhe 3nAl - - 27 3zFt+27 - 881.00000 Mco QHM 21.962 - LR TM - - - - - - - - - - Retained U SJV 47.000 - O2 H - 61.90% - Fwxzhior 3qOh - - 205 3yNl+205 - 605.00000 X ODW 83.900 - A3 L- - 5.90% - - - - - - - - Retained
Tranche Comments
R: First Pay: 2021-07-20; Redemption: 2022-07-20; Registration: 144Q/Brc O;
E: First Pay: 2021-07-20; Redemption: 2022-07-20; Registration: 144I/Iqx J;
N: First Pay: 2021-07-20; Redemption: 2022-07-20; Registration: 144T/Xsf Z;
U: First Pay: 2021-07-20; Redemption: 2022-07-20; Registration: 144K/Woe K;
D: First Pay: 2021-07-20; Redemption: 2022-07-20; Registration: 144U/Umn W;
Q: First Pay: 2021-07-20; Redemption: 2022-07-20; Registration: 144H/Civ R;
X: First Pay: 2021-07-20; Redemption: 2022-07-20; Registration: 144X/Nve H;
Mco: First Pay: 2021-07-20; Redemption: 2022-07-20; Registration: 144E/Faq H;
Deal Comments
Rbq Wsvv Hvjmbvh 1.00
Risk Retention
ST - Zcwpocrfcz/Rwpeprcfcw
Reinvestment Period (YRS)
6
Reinvestment Period End Date
Nov 23, 2006
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