C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
DRYD 91(R) (EUR 468m) Prudential Financial Inc EMEA Dec 5, 2024
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE J JYF 74.220 72.90 - TT- UU- 4.40% - Frqamuyq 3qPe - - 665 3yXj+650 - 64.00000 G AZC 77.000 3.20 - KKK- AAA- 69.83% - Ivmlmful 3rOp - - 395 3nBo+395 - 351.00000 U QIX 412.000 2.70 - TTT QQQ 61.00% - Kfxyzryx 3pXu - - 132 3gRm+132 - 909.00000 Eli PBN 39.400 - - KE BQ - - - - - - - - - Retained T-2 LUO 26.000 8.50 - CC EE 97.30% - Imwyv BTU - - - 5.00% - 536.00000 C BQI 41.930 2.90 - E S 24.82% - Rkmpsvak 3gYs - - 275 3aNs+275 - 542.00000 N FWD 28.000 83.10 - N- J- 5.80% - Phfcscjr 3nTi - - 975 3sYo+892 - 36.00000 P-1 SNQ 39.400 4.30 - UU JJ 16.90% - Lrbyralg 3lXu - - 220 3hTz+220 - 362.00000
Tranche Comments
U: First Pay: 2025-04-18; Redemption: 2026-12-17; Registration: 144X/Aqd Z;
P-1: First Pay: 2025-04-18; Redemption: 2026-12-17; Registration: 144B/Uit A;
T-2: First Pay: 2025-04-18; Redemption: 2026-12-17; Registration: 144W/Emt J;
C: First Pay: 2025-04-18; Redemption: 2026-12-17; Registration: 144G/Upn Q;
G: First Pay: 2025-04-18; Redemption: 2026-12-17; Registration: 144J/Vrg V;
J: First Pay: 2025-04-18; Redemption: 2026-12-17; Registration: 144C/Pqm T;
N: First Pay: 2025-04-18; Redemption: 2026-12-17; Registration: 144I/Gyd W;
Eli: First Pay: 2025-04-18; Redemption: 2026-12-17; Registration: 144P/Zns M;
Deal Comments
Ahjhn. Lwc Tnhh Qhvmwpq 2.00
Reinvestment Period (YRS)
8.7
Reinvestment Period End Date
Mar 28, 2014
Missing something? Tell us.