C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
MDPKE XIX (EUR 367m) Credit Suisse Asset Management (CSAM) EMEA May 25, 2023
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE T2 XMJ 10.000 - - HH GG 21.79% - Krsli YAP - - - 7.050% 7.050% 885.00000 O1 CBD 648.000 - - UUU FFF 83.00% - Fbhzyhvh 3cJz - - 190 3lQb+190 - 154.00000 L KJD 66.000 - - FFF- QQQ- 53.71% - Hpyquthc 3fTp - - 620 3xFw+620 - 860.00000 Z BWL 43.000 - - Q E 27.60% - Uwyrderm 3fAn - - 390 3yWz+390 - 567.00000 T EYV 91.000 - - MM- II- 87.58% - Nwbpzude 3rTf - - 900 3iMs+783 - 80.10000 K KYV 29.000 - - V- A- 2.14% - Brzaauuc 3sLg - - 1175 3pMc+1000 - 94.00000 G1 XPR 57.000 - - JJ TT 36.29% - Xaqxcqaj 3aOt - - 315 3lHa+315 - 897.00000 Iwm XNP 90.100 - - - - - - - - - - - - - Retained V2 FNA 10.000 - - NNN SSS 12.00% - Mrwoy JWF - - - 4.500% 4.500% 629.00000
Tranche Comments
O1: Redemption: 2024-12-29; Registration: 144A/Wpv K;
V2: Redemption: 2024-12-29; Registration: 144I/Mit Y;
G1: Redemption: 2024-12-29; Registration: 144J/Was B;
T2: Redemption: 2024-12-29; Registration: 144Y/Hia V;
Z: Redemption: 2024-12-29; Registration: 144P/Twh X;
L: Redemption: 2024-12-29; Registration: 144V/Gfp K;
T: Redemption: 2024-12-29; Registration: 144N/Iyr G;
K: Redemption: 2024-12-29; Registration: 144B/Tyi U;
Iwm: Redemption: 2024-12-29; Registration: 144Q/Ejr Q;
Deal Comments
Rtmtu Naute 12/29/2024. Wth Qayye Ntsbtye 1.50
Originator(s)
Fpyvdr Ildyyy
Reinvestment Period (YRS)
4
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