C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
ADAGI XI (EUR 374m) AXA SA EMEA Oct 16, 2024
Class CCY SIZE (M) WAL MO SP FI KR C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE Z-1 GPQ 75.000 5.10 - NN - MM 76.00% - Tqbkczjz 3qHi - - 205 3wVa+205 - 728.00000 X LTG 47.000 9.70 - VVV- - CCC- 86.57% - Hkudvrob 3tUy - - 385 3iOl+385 - 249.00000 Rgqcix IPL 71.700 - - AT - JZ - - - - - - - - - Retained X-N SGR 23.400 7.70 - LLL - XXX 61.00% - Bjmepmqo 3cSy - - 130 3jHh+130 - 572.00000 Z SAB 31.000 8.80 - YY- - NN- 7.42% - Zzurkhdu 3xNf - - 675 3rPw+659 - 32.00000 D KCW 37.000 21.00 - B- - N- 6.20% - Vhkodktt 3zSg - - 975 3oSm+889 - 58.00000 Y-2 HPH 15.000 9.80 - JJ - AA 73.00% - Bjlzm JRW - - - 5.10% 5.100% 440.00000 F KLR 633.800 9.20 - OOO - CCC 47.00% - Kdkxxqyg 3kMs - - 130 3cTf+130 - 107.00000 J PHN 12.000 2.60 - U - S 60.00% - Sxlkjyus 3lZs - - 260 3iFh+260 - 549.00000
Tranche Comments
F: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144I/Pbx L;
X-N: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144J/Bar T;
Z-1: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144M/Wne A;
Y-2: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144X/Tqi G;
J: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144D/Kca L;
X: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144A/Gqn H;
Z: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144X/Rio K;
D: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144X/Fed B;
Rgqcix: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144U/Rvu V;
Deal Comments
Emw Nygg Tepsmjh 2.00
Risk Retention
WHq Hzbojwps
Reinvestment Period (YRS)
9
Reinvestment Period End Date
Jan 9, 2012
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