C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
TRNTS III(R) (EUR 395m) Clearlake Capital Group LP (fka WhiteStar Asset Management) EMEA May 31, 2024
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE Z NJX 424.100 - - FFF NNN - - Xqwqzecw 3iWq - - 146 3xIw+146 - 964.00000 A HTT 82.700 - - D X - - Vpfsraae 3iIn - - 255 3fYi+255 - 706.00000 Z VKL 55.400 - - JJJ- NNN- - - Myoblcea 3tZb - - 350 3hGo+350 - 127.00000 Y QSM 78.600 - - K- L- - - Zkyozwug 3pUa - - 910 3xBf+825 - 60.00000 Lri ISJ 99.480 - - QJ AU - - - - - - - - - Retained B-2 MFK 9.800 - - GG NN - - Wific - - - - 5.750% 5.750% 787.00000 D-1 SLI 34.200 - - RR SS - - Redecuwf 3wOq - - 200 3xEi+200 - 770.00000 L ZSD 55.200 - - VV- OO- - - Alqdswsl 3iYt - - 620 3jDa+612 - 92.60000
Tranche Comments
Z: First Pay: 2024-10-20; Redemption: 2025-12-14; Registration: 144K/Fsy O;
D-1: First Pay: 2024-10-20; Redemption: 2025-12-14; Registration: 144E/Bvz Y;
B-2: First Pay: 2024-10-20; Redemption: 2025-12-14; Registration: 144D/Qnh C;
A: First Pay: 2024-10-20; Redemption: 2025-12-14; Registration: 144B/Teg O;
Z: First Pay: 2024-10-20; Redemption: 2025-12-14; Registration: 144V/Dhz H;
L: First Pay: 2024-10-20; Redemption: 2025-12-14; Registration: 144N/Cpn X;
Y: First Pay: 2024-10-20; Redemption: 2025-12-14; Registration: 144L/Ait U;
Lri: First Pay: 2024-10-20; Redemption: 2025-12-14; Registration: 144D/Avl V;
Deal Comments
Afcfo. Lke Dojj Vfoskky 1.5. Xnf kfoj ioc yvcswfk ok DG$425x
Reinvestment Period (YRS)
5
Reinvestment Period End Date
May 20, 2014
WAL Test Period End Date
Apr 29, 2026
Missing something? Tell us.