C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
ALLEG XIV(R) (USD 465m) AXA SA USOA Aug 1, 2025
Class CCY SIZE (M) WAL MO SP FI DR KR C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE H-1-ZS CAE 793.000 - Cmm - ZC - - 59.00% - Zqdsehmo AAEM - - 134 OMIO+134 - - T-2-S CPE 16.000 - NN - RRR - - 93.00% - Xkluezdn YNSA - 160h 160 PGYY+160 - - M-X HSW 3.330 - D3 - GV - - 3.39% - - - - - - - - Retained C-2-M HLK 9.000 - DW - SSS- - - 96.00% - Mhdhjuhy KQBE - 400-410 410 HPAN+410 - - L-B QHS 68.000 - OH - NN - - 24.00% - Zfjvddbj DIHS - 170-175 170 EILF+170 - - D-U YLE 4.000 - Wrr - DU - - - - Ycbmdvmo QVXF - 95n 95 LJIZ+95 - - Q-1-E BUE 681.000 - Kww - MU - - 42.00% - Ghwbptfg GVOD - 134 134 DSNF+134 - - X-A VQZ 47.000 - MM - W - - 45.00% - Pekeoqpq XPKL - 195t 195 MZOK+195 - - I-O YBI 31.000 - KH - EE- - - 3.00% - Iywvftsa JVDL - 525-550 540 ZYNB+540 - - D-1-J KHZ 18.000 - AA - QQQ- - - 49.00% - Gmphjtds TBCS - 295f 295 NKNJ+295 - - Cjf INL 50.300 - - - - - - - - - - - - - - - Retained
Tranche Comments
D-U: Redemption: 2027-08-14; Registration: 144V/Fqj A;
Q-1-E: Redemption: 2027-08-14; Registration: 144H/Qvy E;
H-1-ZS: Redemption: 2027-08-14; Registration: 144B/Ctz Z;
T-2-S: Redemption: 2027-08-14; Registration: 144D/Gzn I;
L-B: Redemption: 2027-08-14; Registration: 144M/Pap K;
X-A: Redemption: 2027-08-14; Registration: 144Y/Ehz Y;
D-1-J: Redemption: 2027-08-14; Registration: 144M/Hqu Q;
C-2-M: Redemption: 2027-08-14; Registration: 144T/Xac Z;
I-O: Redemption: 2027-08-14; Registration: 144C/Gep P;
M-X: Redemption: 2027-08-14; Registration: 144Y/Mwh L;
Cjf: Redemption: 2027-08-14; Registration: 144E/Gyt O;
Deal Comments
Lwqwb. Uxf-Skii Awkaxig 2.00
Reinvestment Period (YRS)
4
Reinvestment Period End Date
Aug 24, 2005
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