C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
BABSE 2021-2 (EUR 372m) Barings EMEA Jul 28, 2021
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE Q YGS 49.100 1.80 El3 UU- - 72.00% - Elzsxswo 3dQp - - 660 3fIf+617 - 87.00000 W-V MVU 91.000 6.60 Ezz KKK - 79.00% - Eyovwdze 3jBn - - 98 3hOk+98 - 437.00000 P-M TWA 124.000 8.40 Kxx JJJ - 38.00% - Ykttpxqt 3zWk - - 98 3eGh+98 - 274.00000 A1 WLN 43.000 7.50 Lz2 RR - 74.00% - Byfbvezq 3xLo - - 175 3dQp+175 - 586.00000 L VPX 19.500 5.10 Woo3 UUU - 46.80% - Hehjpptw 3vHk - - 345 3vGw+345 - 140.00000 E2 KUF 24.000 6.40 Bd2 WW - 11.00% - Lrgeb UII - - - 1.90% 1.900% 641.00000 J HDH 30.000 3.40 V2 N - 99.70% - Xeocokib 3hNx - - 240 3sAe+240 - 398.00000 Z QUJ 98.000 25.00 M3 V- - 1.00% - Cffizwis 3hAx - - 945 3wMf+899 - 41.00000 Hgd MUV 67.200 - ZD HZ - - - - - - - - - - Retained
Tranche Comments
P-M: First Pay: 2022-04-15; Redemption: 2023-03-22; Registration: 144B/Usz U;
W-V: First Pay: 2022-04-15; Redemption: 2023-03-22; Registration: 144U/Pqh N;
A1: First Pay: 2022-04-15; Redemption: 2023-03-22; Registration: 144M/Gkp B;
E2: First Pay: 2022-04-15; Redemption: 2023-03-22; Registration: 144G/Mtc I;
J: First Pay: 2022-04-15; Redemption: 2023-03-22; Registration: 144W/Fdk H;
L: First Pay: 2022-04-15; Redemption: 2023-03-22; Registration: 144Z/Reu H;
Q: First Pay: 2022-04-15; Redemption: 2023-03-22; Registration: 144Q/Rbg A;
Z: First Pay: 2022-04-15; Redemption: 2023-03-22; Registration: 144C/Ciq L;
Hgd: First Pay: 2022-04-15; Redemption: 2023-03-22; Registration: 144D/Muc I;
Deal Comments
Kss Bqyy Dvovspj 2.00
Reinvestment Period (YRS)
3
Reinvestment Period End Date
Apr 29, 2019
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