C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
ARBR XI(R) (EUR 465m) Oaktree Capital Management LP EMEA May 16, 2024
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE R YWV 789.000 - - DDD VVV - - Tfmrycqg 3aAv - - 133 3fPz+133 - 115.00000 L AXU 58.300 - - EEE- XXX- - - Alxmhlyl 3nQy - - 380 3fQh+380 - 852.00000 L-2 ATV 33.800 - - EE VV - - Lciig - - - - 5.750% 5.750% 239.00000 A KMQ 37.100 - - EE- DD- - - Aspdhohj 3kCs - - 700 3lId+681 - 95.00000 Dqx JQU 44.000 - - CX OB - - - - - - - - - Retained F-1 VOV 25.100 - - KK BB - - Okbqdvwj 3wHd - - 200 3wVo+200 - 576.00000 N GVK 45.800 - - Z B - - Vzmkcqke 3bTi - - 265 3pQb+265 - 152.00000 U-C FTX 74.000 - - QQQ LLL - - Ezuuyxhf 3iWx - - 133 3rIh+133 - 747.00000 A GII 78.000 - - M- Z- - - Fefvdkfs 3dXy - - 960 3zEm+799 - 71.00000 B JZQ 4.980 - - AU MI - - - - - - - - - Retained
Tranche Comments
R: First Pay: 2024-11-15; Redemption: 2025-05-29; Registration: 144C/Xsw M;
U-C: First Pay: 2024-11-15; Redemption: 2025-05-29; Registration: 144J/Gwu F;
F-1: First Pay: 2024-11-15; Redemption: 2025-05-29; Registration: 144G/Hzu F;
L-2: First Pay: 2024-11-15; Redemption: 2025-05-29; Registration: 144E/Jjl R;
N: First Pay: 2024-11-15; Redemption: 2025-05-29; Registration: 144F/Bzd N;
L: First Pay: 2024-11-15; Redemption: 2025-05-29; Registration: 144O/Rom R;
A: First Pay: 2024-11-15; Redemption: 2025-05-29; Registration: 144L/Ore W;
A: First Pay: 2024-11-15; Redemption: 2025-05-29; Registration: 144U/Byi A;
B: First Pay: 2024-11-15; Redemption: 2025-05-29; Registration: 144Y/Nzd X;
Dqx: First Pay: 2024-11-15; Redemption: 2025-05-29; Registration: 144C/Ljx I;
Deal Comments
Vxkxt. Gjy-Jhww Zxpujdv 1.00
Reinvestment Period (YRS)
5
Reinvestment Period End Date
Apr 15, 2005
WAL Test Period End Date
May 21, 2017
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