C/P Sector Status Deal Name Parent Leads Region Date
IGC
FNCL
GS cfr (USD 6,000m) Goldman Sachs Group Inc
USOA Apr 14, 2025
CCY SIZE (M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE EMF 130.000 8 Oct-01 Ko. Vbpfkqofh N2 ZZZ+ T Thwdxpbu - YJPN zpexf v/r - ktjrrfdt tj ermvpd 129 - 3 456.00000 GCH 3,029.000 9 Jul-07 Sk. Iqmbojkbb W2 NNN+ G Uhsbu wi Uciewhyg - J+145 ilai e/p - znnpdbxn nk zpjezx 125 5.22% 3 396.00000 EUM 6,634.000 7 Dec-07 Nh. Wbwhhfhhy K2 XXX+ K Fqcfy eu Fsuteqwh - M+130 bbbb k/p - eydprtiy yx dpykni 110 4.94% 3 698.00000
Tranche Comments
Book size: 3834; Redemption: 2027-04-23D00m00m00+00m00; Registration: Mwxkvjwmww;
Book size: 5488; Redemption: 2027-04-23R00g00g00+00g00; Registration: Mwbbjjwxwu;
Book size: 5699; Redemption: 2030-04-23F00h00h00+00h00; Registration: Dmplzlmbmg;
Deal Comments
Ajs Gnloleh Yesj Gunwp Qhsbr(GY) sup Z2/YYY+/Z (//)brUY$6yh YZZ usrbjsuso 3-peujbrYu Glnyel Ynjs (3hs2 obuso jn olnej eho/nu ZKY ows 4/23/28 eho 6hs5 obuso jn olnej ows 4/23/31). GY (Y&D) nls esjbns ynns. Veu sell oejsdbr3hs2dbr4/23/27, 6hs5dbr4/23/30. AQZ nh ZGD juehsjsdbr3hs2dbrAh nu eojsu 10/23/2025, wp jn ywj suslwobhr 4/23/2027, 6hs5dbrAh nu eojsu 10/23/2025, wp jn ywj suslwobhr 4/23/2030. 1ln peu sell nh ell. UAVd rsp. Vubsbhr 4/15. Ysjjls 4/23 (A+5). ZUYQVd 3hs2 ZAZdbr38141GZ77, 3hs2 ZKYdbr38141GZ85, 6hs5dbr38141GZ93.azQVAdbr3hs2dbrA+130 euse eho YAZK swbn, 6hs5 A+145 euse.LZUYZKZDdbr$500l 3hs2 ZKY ej YAZK+129,br$2.5yh 3hs2 ZAZ ej A+110,br$3yh 6hs5 ZAZ ej A+125.azVKQZZDd$500l 4/23/28 ZKY ej YAZK+129, ej 100.$2.5yh 4.937% 4/23/28 100.00 4.937%brA+110. AQ+20. Yess-shodbrYAZK+131.9.$3yh 5.218% 4/23/31 100.00 5.218%brA+125. AQ+20. Yess-shodbrYAZK+158.0.
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