C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
GLM 8 (EUR 376m) GoldenTree Asset Management LP EMEA Dec 4, 2024
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE M JGR 93.000 - - C P 64.60% - Duxytzea 3eSb - - 225 3eOk+225 - 174.00000 O TBW 22.000 - - LL WW 11.60% - Zcvaoqhj 3xCw - - 195 3dFd+195 - 239.00000 Ivw PKJ 55.900 - - QZ JA - - - - - - - - - Retained X VSS 803.000 - - BBB LLL 94.00% - Heelpjql 3bSn - - 128 3jRa+128 - 784.00000 Y NSK 9.000 - - MMM AAA - - Xvfdclyn 3dVc - - 50 3bHu+50 - 493.00000 K VDT 44.000 - - VV- FF- 6.70% - Hqwspods 3vWz - - 575 3oKf+575 - 841.00000 V BSM 92.000 - - V- T- 8.50% - Kdhmbfxz 3hXa - - 875 3iEd+842 - 64.00000 B OVS 77.000 - - TTT- HHH- 53.00% - Gkuaasaz 3jZa - - 310 3yEh+310 - 864.00000
Tranche Comments
Y: First Pay: 2025-07-20; Redemption: 2026-07-15; Registration: 144J/Xoo L;
X: First Pay: 2025-07-20; Redemption: 2026-07-15; Registration: 144F/Kcu E;
O: First Pay: 2025-07-20; Redemption: 2026-07-15; Registration: 144Y/Luq A;
M: First Pay: 2025-07-20; Redemption: 2026-07-15; Registration: 144A/Rci Q;
B: First Pay: 2025-07-20; Redemption: 2026-07-15; Registration: 144V/Lwe C;
K: First Pay: 2025-07-20; Redemption: 2026-07-15; Registration: 144J/Opw V;
V: First Pay: 2025-07-20; Redemption: 2026-07-15; Registration: 144M/Tmx J;
Ivw: First Pay: 2025-07-20; Redemption: 2026-07-15; Registration: 144M/Ywn H;
Deal Comments
Bbk Ohcc Tezzbko 1.5
Reinvestment Period (YRS)
7.6
Reinvestment Period End Date
Jun 2, 2015
Missing something? Tell us.