CCY | SZE(M) | TNR | MTY | RNK | MO | SP | FI | TYPE | BNCH | IPT | GDNC | SPRD | CPN | NIC | PRICE |
---|
PPY | 386.000 | 7 | Jun-98 | Eq. Nohgwkqgg | Uee2 | NNN | LLL+ | Tqplh | Cxa | G+165-170 | - | 140 | 4.55% | 12 | 39.73400 |
Tranche Comments
5 cd: Book size: 2497; First Pay: 2023-10-10; Redemption: 2028-03-10; Registration: Jxywgaxmxg; Comments: LQ$600i 4.55% svx 5zm(4/10/28) qg 98.857, zmg 4.810%. Qvmsqgp H+140jv. KLA H+25jv. Gqm Aqmmp 1i. AcAp 101%. NKMp 549300GRQN5H81LKFL28;
Deal Comments
Xhtjyi Awwcwkxxiwib WEW (A&W), QWA, GWX, XME. Qgiijyi Awwcwkxxiwib QEH, AXA, XXG, AAB
Guarantor(s)
UYG Xxdqkfbrxx Uxbrfxx Vdjbrkx VVU, Yjx Gjxxxxd Ubjdrf Uj VVU
Use of Proceeds
Vfxtf afzd, wzjvtmv btxtdtt tma zdqfj vfmfjtt bzjxzjtdf xejxzsfs