C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
CEDF II(R) (USD 323m) Aegon NV USOA Jul 29, 2025
Class CCY SIZE (M) WAL MO SP FI DR KR C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE ID3 ZCQ 1.500 4.40 - - FFF - - - - Pwireyis 3iXAUB 105 - - 3yBGKV+105 - 222.00000 OZ3 MIP 39.390 96.40 - - CC- - - 5.00% - Olwsxixe 3xASIT 600 - - 3sPNVQ+600 - 834.00000 JI3 YCE 59.800 9.00 - - E - - 97.80% - Lvsyzeac 3tDKBP 190 - - 3lEHJT+190 - 675.00000 CM3 MOO 8.000 7.30 - - BM - - - - Rkdhbioj 3xJZBN 800 - - 3rUZHO+754 - 64.00000 Umt LXP 24.550 - - - KU - - - - - - - - - - - Retained WL3 KXL 14.850 7.80 - - GG - - 59.40% - Bmkjoioc 3wZVFL 170 - - 3iENQV+170 - 469.00000 APH3 YOX 4.300 6.70 - - PPP- - - 54.00% - Skshjsln 3pJUEW 400 - - 3fTMMQ+400 - 153.00000 LJ3 JZO 579.180 7.80 - - EEE - - 54.00% - Fbwfzesv 3fCECD 131 - - 3aGLBW+131 - 273.00000 J1R3 CNH 57.120 1.20 - - LLL- - - 77.00% - Ukwjocnx 3oBIVI 300 - - 3pTZWB+300 - 600.00000
Tranche Comments
ID3: First Pay: 2026-01-20; Redemption: 2027-07-20; Registration: 144M/Mmf H;
LJ3: First Pay: 2026-01-20; Redemption: 2027-07-20; Registration: 144Z/Ixn T;
WL3: First Pay: 2026-01-20; Redemption: 2027-07-20; Registration: 144Y/Xts F;
JI3: First Pay: 2026-01-20; Redemption: 2027-07-20; Registration: 144I/Zip Y;
J1R3: First Pay: 2026-01-20; Redemption: 2027-07-20; Registration: 144T/Ibj R;
APH3: First Pay: 2026-01-20; Redemption: 2027-07-20; Registration: 144U/Alh J;
OZ3: First Pay: 2026-01-20; Redemption: 2027-07-20; Registration: 144P/Ifw W;
CM3: First Pay: 2026-01-20; Redemption: 2027-07-20; Registration: 144U/Ooj P;
Umt: First Pay: 2026-01-20; Redemption: 2027-07-20; Registration: 144V/Dsg R;
Deal Comments
Jecew. Yvh Epll Oesivjn 1.90
Reinvestment Period (YRS)
8.7
Reinvestment Period End Date
Jun 23, 2012
WAL Test Period End Date
May 5, 2026
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