C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
OCPE 2022-6(R) (EUR 371m) ONEX Corp EMEA Dec 14, 2023
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE F Ohva IEF 65.200 1.20 - MMM XXX 87.00% - Fjwaqxfo 3hLd - - 170 3qMl+170 - 162.00000 N-2-W OZQ 3.000 5.00 - OO UU 40.00% - Ycpru AVF - - - 6.80% 6.800% 439.00000 Z OFQ 45.000 9.70 - G- S- 7.39% - Ofrfwzux 3sEx - - 1125 3mUk+938 - 70.00000 L-F YDB 14.000 8.50 - DD- EE- 23.20% - Vuvmrhwm 3lBx - - 825 3oTr+766 - 93.20000 E-C BZQ 10.300 6.20 - X F 54.15% - Tlwcjemy 3xQs - - 350 3oAh+350 - 978.00000 H-L XLK 64.600 9.00 - EEE- AAA- 68.20% - Heuktuql 3jLn - - 480 3hIl+480 - 357.00000 Aij HXX 98.000 - - XT EL - - - - - - - - - Retained R VJE 6.000 - - WL YF - - - - - - - - - Retained J-E MUW 693.500 4.70 - MMM XXX 47.00% - Mhjsaefs 3qAc - - 170 3dIl+170 - 457.00000 I-1-M IHF 70.000 6.00 - HH EE 74.00% - Uskmqbnq 3vPh - - 270 3kCh+270 - 352.00000
Tranche Comments
J-E: First Pay: 2024-07-20; Redemption: 2025-07-10; Registration: 144E/Frr S;
F Ohva: First Pay: 2024-07-20; Redemption: 2025-07-10; Registration: 144B/Izy B;
I-1-M: First Pay: 2024-07-20; Redemption: 2025-07-10; Registration: 144A/Ghj R;
N-2-W: First Pay: 2024-07-20; Redemption: 2025-07-10; Registration: 144X/Yxf X;
E-C: First Pay: 2024-07-20; Redemption: 2025-07-10; Registration: 144L/Hqm W;
H-L: First Pay: 2024-07-20; Redemption: 2025-07-10; Registration: 144H/Esq V;
L-F: First Pay: 2024-07-20; Redemption: 2025-07-10; Registration: 144E/Nee E;
Z: First Pay: 2024-07-20; Redemption: 2025-07-10; Registration: 144L/Xbr Y;
R: First Pay: 2024-07-20; Redemption: 2025-07-10; Registration: 144V/Oqb E;
Aij: First Pay: 2024-07-20; Redemption: 2025-07-10; Registration: 144L/Jqg I;
Deal Comments
Ifvfp. Smv Dbyy Afxumke 1.5
Reinvestment Period (YRS)
1.6
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