C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
DRYD 66(R) (EUR 468m) Prudential Financial Inc EMEA Jul 10, 2025
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE Z LBS 20.600 97.70 - A- J- 8.60% - Usrywysz 3nFs - - 950 3mPv+866 - 79.00000 A-1 QEC 918.000 5.00 - QQQ DDD 76.00% - Uvldoyio 3qIk - - 137 3aIk+137 - 178.00000 J-1 OQQ 35.100 1.00 - JJ VV 81.00% - Geezaiuc 3sRm - - 210 3pXe+210 - 327.00000 Z-2 WTU 49.000 2.00 - YY BB 90.00% - Owhbc - - - - 5.10% 5.100% 664.00000 J NXO 32.400 5.10 - RR- DD- 8.70% - Hqrdfomi 3vLb - - 625 3rVd+625 - 447.00000 Qhs OQB 20.000 - - GH KM - - - - - - - - - Retained Q-2 QWS 43.000 9.70 - BBB NNN 83.00% - Wzmwuwqj 3hYn - - 180 3kMm+180 - 557.00000 B EHU 14.600 2.30 - H R 91.80% - Chpmumdh 3gLq - - 250 3eKp+250 - 193.00000 S FXV 84.300 1.80 - XXX- TTT- 15.90% - Lajdxcwa 3bPq - - 345 3fBg+345 - 831.00000 Uee Fgb VPQ 19.480 - - CB BW - - - - - - - - - Retained
Tranche Comments
A-1: First Pay: 2026-01-18; Redemption: 2027-01-30; Registration: 144T/Rqc J;
Q-2: First Pay: 2026-01-18; Redemption: 2027-01-30; Registration: 144Q/Yvc X;
J-1: First Pay: 2026-01-18; Redemption: 2027-01-30; Registration: 144N/Ova G;
Z-2: First Pay: 2026-01-18; Redemption: 2027-01-30; Registration: 144J/Iys H;
B: First Pay: 2026-01-18; Redemption: 2027-01-30; Registration: 144V/Ele K;
S: First Pay: 2026-01-18; Redemption: 2027-01-30; Registration: 144M/Kaf X;
J: First Pay: 2026-01-18; Redemption: 2027-01-30; Registration: 144B/Ait M;
Z: First Pay: 2026-01-18; Redemption: 2027-01-30; Registration: 144E/Bpi P;
Qhs: First Pay: 2026-01-18; Redemption: 2027-01-30; Registration: 144P/Abp Z;
Uee Fgb: First Pay: 2026-01-18; Redemption: 2027-01-30; Registration: 144W/Oct X;
Deal Comments
Azyzt. Xgy-Zjoo Dzfcgiq 1.50
Reinvestment Period (YRS)
2.5
Reinvestment Period End Date
Aug 31, 2006
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