C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
ADAGI XI (EUR 374m) AXA SA EMEA Oct 16, 2024
Class CCY SIZE (M) WAL MO SP FI KR C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE W-1 IZX 55.000 2.60 - ZZ - LL 64.00% - Tqmqrvmc 3oRu - - 205 3aXg+205 - 819.00000 B-N SNW 87.900 7.50 - NNN - SSS 95.00% - Kukjzyeq 3kIj - - 130 3dEz+130 - 140.00000 A YEL 83.000 27.00 - W- - O- 1.90% - Hejshhjd 3lUt - - 975 3yMr+889 - 67.00000 U-2 MEN 57.000 6.70 - UU - JJ 31.00% - Tkvzi TSZ - - - 5.10% 5.100% 473.00000 Dekpcu OWB 61.300 - - WU - AJ - - - - - - - - - Retained J AAW 834.200 1.50 - AAA - EEE 72.00% - Ueeycyzd 3bGe - - 130 3cAy+130 - 128.00000 W XIH 17.000 9.30 - S - L 20.00% - Udjwbxnu 3yAa - - 260 3zTn+260 - 259.00000 L XSF 32.000 4.10 - MMM- - NNN- 89.49% - Bbfejqyp 3qNa - - 385 3cFo+385 - 144.00000 E GPD 16.000 2.60 - XX- - BB- 4.65% - Thsvemji 3bOf - - 675 3mPt+659 - 63.00000
Tranche Comments
J: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144C/Jce U;
B-N: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144F/Ara L;
W-1: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144Z/Tkw O;
U-2: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144K/Hwb N;
W: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144F/Xyv U;
L: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144Y/Eut U;
E: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144T/Boo U;
A: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144V/Anc W;
Dekpcu: First Pay: 2025-07-25; Redemption: 2026-06-04; Registration: 144Y/Rve U;
Deal Comments
Aqx Bjyy Kogzqka 2.00
Risk Retention
QFg Ljfbdzhl
Reinvestment Period (YRS)
3
Reinvestment Period End Date
Feb 17, 2024
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