C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
JUBL 2025-XXVII(R) (EUR 373m) Alcentra EMEA Jul 3, 2025
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE Qggjzo DCI 8.100 - - YH VX - - - - - - - - - Retained J DPP 84.400 4.10 - C V 57.40% - Svwppeqs 3fId - - 240 3bCu+240 - 740.00000 O FOH 18.000 1.40 - WWW- PPP- 70.00% - Dbhfqutn 3jTq - - 345 3pJy+345 - 174.00000 W-O ZKT 389.100 2.50 - XXX KKK 45.00% - Pkvsevke 3pWv - - 135 3hUf+135 - 249.00000 K MBH 42.700 4.70 - J- I- 4.40% - Qhqvzwve 3kCs - - 920 3sJt+869 - 89.00000 X LIG 85.500 9.80 - QQ DD 55.12% - Mkqldsqb 3wOz - - 190 3gNq+190 - 389.00000 L CUJ 13.000 7.20 - FF- WW- 1.30% - Lfrrwtwq 3dMy - - 610 3nCj+610 - 537.00000 T-D HTH 450.400 3.40 - DDD LLL 89.00% - Crzydxwx 3qHr - - 135 3hXj+135 - 240.00000
Tranche Comments
T-D: First Pay: 2025-10-21; Redemption: 2027-01-21; Registration: 144T/Eho I;
W-O: First Pay: 2025-10-21; Redemption: 2027-01-21; Registration: 144R/Mwd R;
X: First Pay: 2025-10-21; Redemption: 2027-01-21; Registration: 144P/Ywe K;
J: First Pay: 2025-10-21; Redemption: 2027-01-21; Registration: 144V/Fiq L;
O: First Pay: 2025-10-21; Redemption: 2027-01-21; Registration: 144V/Ejv N;
L: First Pay: 2025-10-21; Redemption: 2027-01-21; Registration: 144D/Vkp V;
K: First Pay: 2025-10-21; Redemption: 2027-01-21; Registration: 144J/Jtw C;
Qggjzo: First Pay: 2025-10-21; Redemption: 2027-01-21; Registration: 144P/Jzm I;
Deal Comments
Vhfhz. Nuw-Bcww Qhomutk 1.50
Risk Retention
LK - Ffmsffvtgj
Reinvestment Period (YRS)
2.3
Reinvestment Period End Date
Nov 23, 2007
Missing something? Tell us.