C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
GLM 6(R) (EUR 384m) GoldenTree Asset Management LP EMEA Jul 3, 2024
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE Y SIO 25.000 31.10 - M- M- 4.70% - - - - - - - - Retained T IIM 48.000 4.30 - XX- RR- 69.51% - Elyspdno 3xFj - - 635 3vVv+627 - 25.60000 E HZA 230.300 5.00 - WWW WWW 15.00% - Xxuekorf 3xVf - - 135 3cGx+135 - 375.00000 F Yuiz BSH 95.000 9.00 - PPP JJJ 57.00% - Wubfxvxy 3mRe - - 135 3hGr+135 - 977.00000 I QKF 18.600 4.00 - ZZ YY 65.28% - Vedcwcta 3rIr - - 190 3nOs+190 - 729.00000 N DXA 3.558 4.60 - BBB BBB - - Lzpaeilm 3rRm - - 99 3wNs+99 - 752.00000 Q NWO 32.500 1.70 - V N 59.79% - Gvcdytnd 3fKm - - 230 3nWo+230 - 192.00000 I QJS 41.500 6.60 - RRR OOO- 47.52% - Ukbqyyqf 3bTq - - 330 3fUh+330 - 771.00000
Tranche Comments
N: First Pay: 2024-10-20; Redemption: 2026-01-20; Registration: 144N/Dlh Y;
E: First Pay: 2024-10-20; Redemption: 2026-01-20; Registration: 144U/Wxm M;
F Yuiz: First Pay: 2024-10-20; Redemption: 2026-01-20; Registration: 144U/Oko K;
I: First Pay: 2024-10-20; Redemption: 2026-01-20; Registration: 144C/Qjn O;
Q: First Pay: 2024-10-20; Redemption: 2026-01-20; Registration: 144U/Xfr H;
I: First Pay: 2024-10-20; Redemption: 2026-01-20; Registration: 144E/Gnz W;
T: First Pay: 2024-10-20; Redemption: 2026-01-20; Registration: 144O/Dsg F;
Y: First Pay: 2024-10-20; Redemption: 2026-01-20; Registration: 144L/Fqe J;
Deal Comments
Fxwxz. Jxm Yvww Ixnbxdg 2.00
Risk Retention
IBg Gwdkowphau
Reinvestment Period (YRS)
7
Reinvestment Period End Date
Jul 31, 2025
Missing something? Tell us.