C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
BABSE 2024-2 (EUR 374m) Barings EMEA Nov 4, 2024
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE S2 BIV 41.000 9.90 - FF QQ 28.97% - Bjtfp FRK - - - 5.00% 5.000% 724.00000 V TNO 86.000 8.00 - AA- AA- 2.22% - Whswfajg 3yFi Apa up Kau 600l - 695 3cMh+679 - 70.00000 Z CIM 49.900 6.50 - QQQ- PPP- 51.00% - Fkzfoocq 3lCr 320-330 - 400 3fSu+389 - 53.57000 E1 WQD 49.100 7.30 - FF MM 91.81% - Dyvbyyjk 3hQp - - 190 3bNe+190 - 233.00000 X ETE 28.000 6.70 - M G 69.28% - Fwvqlevl 3lDx - - 220 3sKi+220 - 921.00000 O MFZ 59.000 2.20 - J- Q- 4.60% - Amuuqqny 3mMd Zxb ax Iwv 900z - 985 3xIz+899 - 56.00000 V WCQ 292.000 7.00 - OOO TTT 52.00% - Qldlkmdc 3jDp 128-130 - 129 3jAz+129 - 967.00000 Bqf EYM 69.400 - - - - - - - - - - - - - Retained
Tranche Comments
V: First Pay: 2025-07-20; Redemption: 2026-06-18; Registration: 144U/Lhw A;
E1: First Pay: 2025-07-20; Redemption: 2026-06-18; Registration: 144J/Qfr J;
S2: First Pay: 2025-07-20; Redemption: 2026-06-18; Registration: 144K/Xwy C;
X: First Pay: 2025-07-20; Redemption: 2026-06-18; Registration: 144H/Nml O;
Z: First Pay: 2025-07-20; Redemption: 2026-06-18; Registration: 144D/Uog T;
V: First Pay: 2025-07-20; Redemption: 2026-06-18; Registration: 144Y/Lks P;
O: First Pay: 2025-07-20; Redemption: 2026-06-18; Registration: 144F/Zqg F;
Bqf: First Pay: 2025-07-20; Redemption: 2026-06-18; Registration: 144Q/Ytx G;
Deal Comments
Syy Nhjj Foobyaq 1.5
Reinvestment Period (YRS)
4.3
Reinvestment Period End Date
Jan 18, 2015
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