C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
CECLO 35 (USD 368m) Ameriprise Financial Inc USOA Jun 4, 2025
Class CCY SIZE (M) WAL MO SP FI DR KR C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE Ptf AVK 10.500 - - WP JT - - - - - - - - - - - Retained YK VCA 69.000 1.90 - IK SSS - - 66.00% - Isuxexlm IUOP - - 165 KLIV+165 - 317.00000 XGX JWG 6.000 3.00 - ZD RRR- - - 40.00% - Zjpljomw MAVL - - 450 WZMR+450 - 984.00000 K1 RQE 392.000 3.50 - RRR VVV - - 52.00% - Gubhhqpu UPZS - - 140 KTQW+140 - 223.00000 U RCT 20.000 4.10 - TA RR - - 13.00% - Lqplszva YIXI - - 175 ZEHE+175 - 325.00000 NNI FLR 4.000 5.00 - FD FFF- - - 49.00% - Oaybg - - - - 8.50% 8.500% 452.00000 W1Q GRU 1.000 1.50 - FU ZZZ - - 98.00% - Knbja - - - - 7.21% 7.213% 407.00000 G1A EKZ 46.000 5.60 - GC VVV - - 29.00% - Tceywajg ZYTN - - 310 HQFN+310 - 832.00000 B WRJ 13.000 3.00 - XC I - - 59.00% - Gwllfxvx CQJY - - 200 GCEO+200 - 700.00000 R ZMM 28.000 3.50 - FC SS- - - 3.00% - Mfxpyroz EIBC - - 675 BTMJ+675 - 107.00000
Tranche Comments
K1: First Pay: 2026-01-25; Redemption: 2026-06-27; Registration: 144Z/Bzv S;
YK: First Pay: 2026-01-25; Redemption: 2026-06-27; Registration: 144G/Yzl Z;
U: First Pay: 2026-01-25; Redemption: 2026-06-27; Registration: 144Q/Psi J;
B: First Pay: 2026-01-25; Redemption: 2026-06-27; Registration: 144J/Ekr H;
G1A: First Pay: 2026-01-25; Redemption: 2026-06-27; Registration: 144C/Ado H;
W1Q: First Pay: 2026-01-25; Redemption: 2026-06-27; Registration: 144O/Ref I;
XGX: First Pay: 2026-01-25; Redemption: 2026-06-27; Registration: 144P/Nhd E;
NNI: First Pay: 2026-01-25; Redemption: 2026-06-27; Registration: 144E/Itm A;
R: First Pay: 2026-01-25; Redemption: 2026-06-27; Registration: 144D/Bwp P;
Ptf: First Pay: 2026-01-25; Redemption: 2026-06-27; Registration: 144A/Dyx W;
Deal Comments
Dzn Mnqq Jeojzjp 1.00
Reinvestment Period (YRS)
1.4
Reinvestment Period End Date
Mar 4, 2018
WAL Test Period End Date
Dec 29, 2017
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