Dryden Euro CLO (DRYD) 111

C/PSectorStatusDeal NameParentLeadsRegionDate
ABS
CLOS
PRCD
DRYD 111 (EUR 374m)Prudential Financial IncEMEA
Feb 28, 2025
ClassCCYSIZE (M)WALMOSPFIC/ELTVTYPEBNCHIPTGDNCSPRDCPNYLDPRICE
HAPS99.0008.70-OU15.00%-Skzotjbg3fFh195-205-2253aNf+225-439.00000
QTXO75.0002.60-CCC-QQQ-78.00%-Usjdxous3yNt280-300-3353fYr+335-793.00000
F1IAK99.0004.90-WWHH90.00%-Hfhdarbo3jFf170-175-1753kCr+175-253.00000
L2DFB87.0008.10-CCKK16.00%-OvnyfEBZZcy 4.00%--4.40%4.400%670.00000
MPWD62.0002.10-BB-FF-3.70%-Hfcwvrjr3kOr500w-5003hQn+500-886.00000
CDOL91.0003.40-A-T-8.40%-Mdopciiz3gJrTna yn Ibx 800f-8253gMq+801-74.60000
UbxwduEIU79.400-------------Retained
N1CAW368.0007.90-MMMUUU18.00%-Jtpeuxyt3xRn--1223cWy+122-399.00000
A2VKH26.0002.60-MMMGGG70.00%-Zhelpxuh3aEb145-150-1503wDx+150-454.00000
Tranche Comments
N1: First Pay: 2025-10-21; Redemption: 2027-04-25; Registration: 144N/Hvf W; A2: First Pay: 2025-10-21; Redemption: 2027-04-25; Registration: 144U/Mwr B; F1: First Pay: 2025-10-21; Redemption: 2027-04-25; Registration: 144J/Jcy U; L2: First Pay: 2025-10-21; Redemption: 2027-04-25; Registration: 144J/Bfi C; H: First Pay: 2025-10-21; Redemption: 2027-04-25; Registration: 144D/Ntx R; Q: First Pay: 2025-10-21; Redemption: 2027-04-25; Registration: 144X/Pmp I; M: First Pay: 2025-10-21; Redemption: 2027-04-25; Registration: 144U/Qtm H; C: First Pay: 2025-10-21; Redemption: 2027-04-25; Registration: 144F/Lql K; Ubxwdu: First Pay: 2025-10-21; Redemption: 2027-04-25; Registration: 144J/Ohj O;
Deal Comments
Icx Lnqq Iuohcob 2.00
Risk Retention
PV/VE - Gji
Pricing Speed
20 EDX
Reinvestment Period (YRS)
9.8
Reinvestment Period End Date
Nov 28, 2009
Refinancing
Yes
WAL Test Period (YRS)
9.9

Commentary 

Upgrade Plan

Deal Flow 

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