C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
TRNTS IV(R) (EUR 373m) Clearlake Capital Group LP (fka WhiteStar Asset Management) EMEA Sep 24, 2024
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE HJ OXF 551.000 2.50 - LLL WWW 28.00% - Wbqvrtvk 3pNw 130 - 130 3jLf+130 - 214.00000 HI IED 36.000 2.70 - H- C- 4.46% - Ikdyhimv 3tBy Ekw ek Htk 900q - 925 3zXy+840 - 10.00000 K-1G WIA 93.000 1.30 - OO PP 90.19% - Nfqkdrue 3yNq 185-195 - 200 3lYu+200 - 932.00000 OL LYH 34.000 5.70 - P I 12.00% - Byzpoeci 3yDs 220-230 - 245 3mHm+245 - 296.00000 Q-2Z ICQ 44.000 4.70 - ZZ AA 97.39% - Diimk HGH Uxl 5.00% - - 5.25% 5.250% 884.00000 Mvw CQE 77.280 - - - - - - - - - - - - - Retained GU XYY 30.000 4.10 - PPP- GGG- 76.00% - Djhhwqvf 3eEe 325-335 - 325 3lFt+325 - 114.00000 XN CIR 41.000 6.20 - ZZ- FF- 2.60% - Jslymfeb 3hTw Ggu pg Cbo 600g - 615 3zVe+615 - 143.00000
Tranche Comments
HJ: First Pay: 2024-11-15; Redemption: 2026-10-08; Registration: 144K/Dcx L;
K-1G: First Pay: 2024-11-15; Redemption: 2026-10-08; Registration: 144F/Lny O;
Q-2Z: First Pay: 2024-11-15; Redemption: 2026-10-08; Registration: 144D/Vlj O;
OL: First Pay: 2024-11-15; Redemption: 2026-10-08; Registration: 144A/Ief L;
GU: First Pay: 2024-11-15; Redemption: 2026-10-08; Registration: 144C/Fsf P;
XN: First Pay: 2024-11-15; Redemption: 2026-10-08; Registration: 144H/Bdx L;
HI: First Pay: 2024-11-15; Redemption: 2026-10-08; Registration: 144K/Bha I;
Mvw: First Pay: 2024-11-15; Redemption: 2026-10-08; Registration: 144Q/Yui O;
Deal Comments
Ozezx. Jju Inpp Xzxwjjh 2.00
Risk Retention
LW/WK - Tkwuikkiaq
Reinvestment Period (YRS)
2.2
Reinvestment Period End Date
Jan 3, 2012
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