Market Data
Pricing
Solutions
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Market Overview
Parent Companies
Provident Financial Group
Oban Cards PLC
Oban Cards PLC
ABS
HYC
IGC
APAC
EMEA
LATM
USOA
Deals
ABS
CRDT
PRCD
OBAN 2021-1
Provident Financial Group
BRC
EMEA
Jan 28, 2021
Class
CCY
SZE(M)
WAL
MO
SP
FI
KR
C/E
LTV
TYPE
BNCH
GDNC
SPRD
CPN
YLD
PRICE
M
FDV
460.216
-
-
XN
LJ
KL
4.00%
-
Okcfurlg
XXEKU
-
-
FFLBG+0
-
Retained
V
TWH
210.349
-
-
KKK
AAA
DDD
52.30%
-
Rcsbyhmo
JVZZQ
-
-
KUFPS+155
-
Retained
Tranche Comments
V: First Pay: 2021-03-15; Redemption: 2026-01-15; Registration: Mcf H Maro; M: First Pay: 2021-03-15; Redemption: 2026-01-15; Registration: Vxj H Fiap;
Deal Comments
Zqj-Ihhh Bxqcqwi 5.00.
Originator(s)
Qmncwsu Fmna Brs
Commentary
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B&I
BWICS & Inventory
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