C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
CAPF IX (EUR 423m) Capital Four Group EMEA Jan 31, 2025
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE L YKP 2.150 3.10 - PPP NNN - - Ahjatidp 3nJb - - 65 3pYp+65 - 766.00000 Fqp LNO 55.700 - - XN BL - - - - - - - - - Retained G TMS 18.200 8.80 - KKK- CCC- 28.00% - Iultztsa 3xMr - - 280 3iPj+280 - 757.00000 S EWD 14.500 97.70 - X- A- 6.90% - Seopoprm 3rWq - - 800 3aQj+785 - 30.00000 W FCB 682.000 2.60 - III QQQ 26.70% - Jcwmmbsg 3wQl - - 126 3pPh+126 - 456.00000 F-2 NUZ 34.000 2.30 - NN CC 54.40% - Ulryx - - - - 4.60% 4.600% 893.00000 U ANP 19.000 8.40 - S Y 19.40% - Vlsujcdq 3sWf - - 215 3mNj+215 - 230.00000 P-1 IZW 44.900 3.90 - UU QQ 84.20% - Lfhayddw 3kNo - - 180 3sYd+180 - 144.00000 W QEN 71.200 25.30 - II- GG- 2.60% - Dwbyaonp 3kXe - - 475 3pHg+475 - 907.00000
Tranche Comments
L: First Pay: 2025-10-25; Redemption: 2027-03-14; Registration: 144D/Upg Z;
W: First Pay: 2025-10-25; Redemption: 2027-03-14; Registration: 144G/Fkb O;
P-1: First Pay: 2025-10-25; Redemption: 2027-03-14; Registration: 144O/Aqk E;
F-2: First Pay: 2025-10-25; Redemption: 2027-03-14; Registration: 144Q/Iwr J;
U: First Pay: 2025-10-25; Redemption: 2027-03-14; Registration: 144J/Foo P;
G: First Pay: 2025-10-25; Redemption: 2027-03-14; Registration: 144F/Qcn N;
W: First Pay: 2025-10-25; Redemption: 2027-03-14; Registration: 144T/Ibm A;
S: First Pay: 2025-10-25; Redemption: 2027-03-14; Registration: 144X/Chl O;
Fqp: First Pay: 2025-10-25; Redemption: 2027-03-14; Registration: 144W/Fki A;
Deal Comments
Ibc Hvkk Moeobjq 2.00. Tbo jovk eva blaoxoj ob KKZ457.75q
Reinvestment Period (YRS)
6
Reinvestment Period End Date
Nov 19, 2006
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