C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
REGT XXV(R) (USD 368m) Napier Park Global Capital USOA Jun 27, 2025
Class CCY SIZE (M) WAL MO SP FI DR KR C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE P-1-T AGN 26.000 5.71 GT - ZZZ- - - 41.00% - Cuxdsouz 3cTCQF 270-280 - 295 3tNWHQ+295 - 720.00000 S-2-L TCG 9.000 1.83 IV - VVV - - 64.00% - Elfpddoc 3vYALA 155q - 160 3fGKIH+160 - 361.00000 O-J IZT 58.000 3.56 JO - J - - 31.00% - Mcpmlayo 3yMGUD 180-185 - 195 3fDEWV+195 - 666.00000 U-I NNW 70.000 6.14 NQ - LL - - 73.00% - Ueyqzcbj 3rLHXQ 165-170 - 170 3pKYWZ+170 - 812.00000 X-1-K HNA 131.000 5.32 Dxx - FE - - 31.00% - Gdrqucdk 3eEGCF 130-132 - 134 3kMAVU+134 - 520.00000 B-2-V TRV 5.000 83.44 UY - VVV- - - 80.36% - Qrmzysbx 3yQBBN 400-410 - 425 3xIUBX+425 - 823.00000 Jyt GKJ 55.500 - - - - - - - - - - - - - - - Retained B-Q MER 36.000 94.81 EX - AA- - - 5.00% - Pqcdpjlq 3jZHOH 525-550 - 575 3tGXQU+575 - 224.00000
Tranche Comments
X-1-K: First Pay: 2025-10-15; Redemption: 2027-07-11; Registration: 144I/Fan T;
S-2-L: First Pay: 2025-10-15; Redemption: 2027-07-11; Registration: 144G/Iyg O;
U-I: First Pay: 2025-10-15; Redemption: 2027-07-11; Registration: 144K/Usy C;
O-J: First Pay: 2025-10-15; Redemption: 2027-07-11; Registration: 144O/Efb W;
P-1-T: First Pay: 2025-10-15; Redemption: 2027-07-11; Registration: 144Y/Cmp Q;
B-2-V: First Pay: 2025-10-15; Redemption: 2027-07-11; Registration: 144W/Hxd J;
B-Q: First Pay: 2025-10-15; Redemption: 2027-07-11; Registration: 144G/Nka Q;
Jyt: First Pay: 2025-10-15; Redemption: 2027-07-11; Registration: 144Q/Blk I;
Deal Comments
Qpjpq. Bon-Amww Uppsocy 2.00
Reinvestment Period (YRS)
1
Reinvestment Period End Date
Dec 12, 2025
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