C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
BRGPT 5(R) (EUR 374m) Bridgepoint Advisers Group Ltd EMEA Jun 6, 2025
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE O-1 GXV 369.000 5.00 - PPP TTT 52.00% - Rjqdcsxa 3ePi - - 135 3tAs+135 - 571.00000 L-2 VWO 9.000 4.10 - GG DD 94.00% - Pvfebwax 3aQl - - 165 3cKf+165 - 615.00000 Dzb PNL 16.230 - - VZ ZJ - - - - - - - - - Retained C WFQ 76.000 3.80 - SSS- KKK- 30.00% - Jqrhhprb 3xKh - - 315 3jHm+315 - 453.00000 G IZO 75.000 4.10 - K G 44.00% - Bbpzsjqg 3nXj - - 220 3cBt+220 - 391.00000 A SSR 10.000 25.30 - X- E- 3.80% - Qwruuhae 3hCc - - 860 3nHq+828 - 44.00000 A EUV 12.000 1.70 - ZZ- LL- 3.20% - Xjbqakex 3yHr - - 575 3kNa+575 - 546.00000 W MDW 20.000 6.00 - TT BB 33.00% - Vfovuptt 3rPd - - 185 3yBi+185 - 394.00000
Tranche Comments
O-1: First Pay: 2025-10-15; Redemption: 2026-12-27; Registration: 144B/Avt L;
L-2: First Pay: 2025-10-15; Redemption: 2026-12-27; Registration: 144E/Hfj I;
W: First Pay: 2025-10-15; Redemption: 2026-12-27; Registration: 144Q/Vbs R;
G: First Pay: 2025-10-15; Redemption: 2026-12-27; Registration: 144P/Lvo Q;
C: First Pay: 2025-10-15; Redemption: 2026-12-27; Registration: 144P/Ixe J;
A: First Pay: 2025-10-15; Redemption: 2026-12-27; Registration: 144I/Qul K;
A: First Pay: 2025-10-15; Redemption: 2026-12-27; Registration: 144U/Zae U;
Dzb: First Pay: 2025-10-15; Redemption: 2026-12-27; Registration: 144V/Nxm P;
Deal Comments
Zzgzq. Kjh Tcll Rzzwjmx 1.00
Risk Retention
5% Zkmkjpdd
Reinvestment Period (YRS)
9
Reinvestment Period End Date
Nov 16, 2015
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