C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
OFSBS XV (USD 276m) OFS Capital Management USOA Mar 13, 2025
Class CCY SIZE (M) WAL MO SP FI DR KR C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE RGY XXA 68.800 - - - - - - - - - - - - - - - Retained A-1 OFL 555.000 3.90 - JJJ - - - 89.00% - Ulbyhxsx CUZL - - 124 GQON+124 - 931.00000 K BZS 2.000 30.40 - OO- - - - 1.00% - Isflolfc JMOB - - 650 MCLL+650 - 304.00000 Y-Zq TOH 2.000 23.00 - SSS- - - - 89.00% - Jhwsrdyz QEMC - - 450 XZYZ+450 - 167.00000 C-D EMB 15.000 4.80 - DDD - - - 68.00% - Asxrpqci CZED - - 150 MGYO+150 - 848.00000 A QYU 75.000 6.20 - PP - - - 39.00% - Dsjszrsk VSJO - - 170 AXAW+170 - 816.00000 L-1 NVL 62.000 4.50 - O - - - 49.00% - Wlwodium WEES - - 210 QJLV+210 - 641.00000 U-La ZCT 6.000 75.00 - III- - - - 79.00% - Uyvkg - - - - 8.41% 8.406% 401.00000 M-2 KVG 3.000 6.80 - U - - - 53.00% - Cctlm - - - - 6.04% 6.038% 337.00000 E-1 NEB 12.000 5.30 - WWW - - - 53.00% - Tjjbainh MOAO - - 375 VZPC+375 - 118.00000
Tranche Comments
A-1: First Pay: 2025-10-20; Redemption: 2027-04-20; Registration: 144D/Ahj D;
C-D: First Pay: 2025-10-20; Redemption: 2027-04-20; Registration: 144E/Wqz X;
A: First Pay: 2025-10-20; Redemption: 2027-04-20; Registration: 144I/Gff B;
L-1: First Pay: 2025-10-20; Redemption: 2027-04-20; Registration: 144T/Eql V;
M-2: First Pay: 2025-10-20; Redemption: 2027-04-20; Registration: 144G/Rvz F;
E-1: First Pay: 2025-10-20; Redemption: 2027-04-20; Registration: 144C/Fbb P;
Y-Zq: First Pay: 2025-10-20; Redemption: 2027-04-20; Registration: 144V/Ufh T;
U-La: First Pay: 2025-10-20; Redemption: 2027-04-20; Registration: 144D/Hwh H;
K: First Pay: 2025-10-20; Redemption: 2027-04-20; Registration: 144Q/Bwb I;
RGY: First Pay: 2025-10-20; Redemption: 2027-04-20; Registration: 144Y/Aln M;
Deal Comments
Gpf-Ssbb Vyhzptl 2.00
Reinvestment Period (YRS)
3
Reinvestment Period End Date
Jul 17, 2004
WAL Test Period End Date
Aug 6, 2024
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