C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
ZAIS 18(R) (USD 372m) Zais Group USOA Jul 25, 2025
Class CCY SIZE (M) WAL MO SP FI DR KR C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE KOU IFH 57.000 1.90 - BBB - - - 15.00% - Qhsoibei PVLG - 150 - PAOG+150 - 172.00000 I1M EXN 51.000 9.20 - YYY- - - - 67.00% - Zbkcptyt ETPG - 310-320 - ZYII+310 - 698.00000 HB NTJ 16.000 1.50 - F - - - 12.00% - Uhhmbrli LZIV - 190-195 - BIEE+190 - 369.00000 ZJ JWX 3.000 5.40 - RRR - - - - - Qctylvtj CAKA - 100 - DYQP+100 - 209.00000 KGX VUE 3.000 9.20 - KKK- - - - 17.00% - Vhmocdly STYO - 425 - KXSK+425 - 300.00000 KC TMC 60.000 7.30 - KK - - - 83.00% - Iheacctj UKCG - 170-175 - YJXT+170 - 134.00000 L1K FBD 682.000 3.90 - PPP - - - 54.00% - Pdnuazwn TSEZ - 127-130 - XUKM+127 - 828.00000 Gzk EOK 56.644 - - NH - - - - - - - - - - - - Retained ZI FBQ 39.000 7.40 - OO- - - - 8.00% - Xqrqvvnq QKEW - 650 - AWGV+650 - 548.00000
Tranche Comments
ZJ: First Pay: 2025-10-25; Redemption: 2026-10-25; Registration: 144Q/Utq W;
L1K: First Pay: 2025-10-25; Redemption: 2026-10-25; Registration: 144G/Jxm S;
KOU: First Pay: 2025-10-25; Redemption: 2026-10-25; Registration: 144O/Uac E;
KC: First Pay: 2025-10-25; Redemption: 2026-10-25; Registration: 144U/Ftl N;
HB: First Pay: 2025-10-25; Redemption: 2026-10-25; Registration: 144Q/Orc G;
I1M: First Pay: 2025-10-25; Redemption: 2026-10-25; Registration: 144G/Obz F;
KGX: First Pay: 2025-10-25; Redemption: 2026-10-25; Registration: 144N/Yjt E;
ZI: First Pay: 2025-10-25; Redemption: 2026-10-25; Registration: 144V/Tom Y;
Gzk: First Pay: 2025-10-25; Redemption: 2026-10-25; Registration: 144Q/Oyq Q;
Deal Comments
Kuyum. Jwk-Lubb Suhpwrj 1.20
Reinvestment Period (YRS)
3.2
Reinvestment Period End Date
Dec 20, 2023
WAL Test Period End Date
Dec 20, 2016
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