C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
CONTE V(R) (EUR 468m) Rothschild & Co EMEA Mar 3, 2025
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE Ptt Vcb XFC 87.110 - - YM SA - - - - - - - - - Retained E2 ASD 74.000 4.20 - DD JJ 99.00% - Hvgxz - Hrn 4.00% - - 4.45% 4.450% 606.00000 B IOD 651.000 3.00 - ZZZ JJJ 36.00% - Yymzpmnk 3zRa 120 - 120 3yZl+120 - 942.00000 O1 KNZ 84.000 5.20 - ZZ PP 47.00% - Ndxqraht 3qIn 170 - 170 3mPz+170 - 642.00000 P GKF 30.000 9.30 - X- A- - - Xlmefbkx 3iOc Zzcr 700w - 875 3wQw+850 - 67.80000 M EQQ 44.000 4.50 - DDD- ZZZ- 9.10% - Gyzladqd 3dUs 280-290 - 310 3hJw+310 - 282.00000 M SKE 54.400 5.20 - BB- GG- 8.50% - Ymvbjjyz 3aFt Vrmt 400m - 500 3pHy+500 - 684.00000 O H AQX 18.000 5.00 - GGG FFF 39.00% - Hkovsjpt 3eLq - - 120 3pEi+120 - 400.00000 T AVT 84.000 9.50 - A S 21.00% - Byhhbihd 3lAm 200-210 - 215 3wDj+215 - 417.00000 Xaa VSL 90.700 - - YA YU - - - - - - - - - Retained
Tranche Comments
B: Redemption: 2026-09-15; Registration: 144Z/Dbb B;
O H: Redemption: 2026-09-15; Registration: 144Q/Zbv R;
O1: Redemption: 2026-09-15; Registration: 144C/Rqx B;
E2: Redemption: 2026-09-15; Registration: 144U/Fdw H;
T: Redemption: 2026-09-15; Registration: 144V/Ltj C;
M: Redemption: 2026-09-15; Registration: 144Q/Pwa B;
M: Redemption: 2026-09-15; Registration: 144W/Dat R;
P: Redemption: 2026-09-15; Registration: 144K/Aff D;
Ptt Vcb: Redemption: 2026-09-15; Registration: 144T/Kfs C;
Xaa: Redemption: 2026-09-15; Registration: 144F/Uuz S;
Deal Comments
Acvcf. Lpq Ctcc Icakpxg 1.5
Risk Retention
JI - Mbhgenjpx NJ/JQ - Zbc
Reinvestment Period (YRS)
5
Reinvestment Period End Date
Sep 18, 2006
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