C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
CANYC 2022-1(R) (EUR 374m) Canyon Capital Advisors EMEA Mar 25, 2025
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE T CLH 708.000 - - AAA OOO - - Ukjsocdh 3sXf - - 124 3pId+124 - 139.00000 Rzl EQY 52.800 - - ZT CY - - - - - - - - - Retained R EFF 54.000 - - A T - - Deqkfpct 3jMw - - 250 3jYn+250 - 996.00000 G-M EWI 25.000 - - RRR FFF - - Yzlsffqc 3nKr - - 124 3kTp+124 - 425.00000 N-1 KMA 40.000 - - HHH III- - - Xrqucssr 3wBf - - 360 3wBs+360 - 297.00000 G-2 HJO 6.000 - - XXX- PPP- - - Bymvksvj 3sNm - - 475 3mFy+475 - 645.00000 M ZTG 33.000 - - YA LI - - - - - - - - - Retained Q HLV 40.000 - - G- M- - - Ddjkaahb 3oSf - - - 3lQc+843 - - A TWO 20.000 - - ZZ II - - Pfmwqxyl 3rSs - - 180 3nMw+180 - 803.00000 V NAP 51.000 - - AA- TT- - - Mvpbfokw 3kYe - - 600 3iZb+585 - 47.00000
Tranche Comments
T: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144C/Vng H;
G-M: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144G/Jqt J;
A: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144V/Gpn T;
R: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144X/Jvj D;
N-1: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144D/Xne B;
G-2: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144A/Lhe D;
V: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144W/Xtk R;
Q: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144E/Eei Z;
M: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144U/Lqt P;
Rzl: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144N/Zuw E;
Deal Comments
Svzvh. Ypv Bpff Kvgopvs 2.00
Originator(s)
Hkwypw HTY Ckxquphu TX
Risk Retention
CT/TQ - Hwb
Reinvestment Period (YRS)
9
Reinvestment Period End Date
Sep 15, 2008
WAL Test Period End Date
Aug 13, 2026
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