C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
BABSE 2023-2(R) (EUR 374m) Barings EMEA Jul 11, 2025
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE I CYY 281.000 - - UUU LLL - - Gyujoaep 3jKc - - 138 3fGi+138 - 569.00000 F GCN 94.000 - - YY- EE- - - Gqkflmnh 3kIc - - 625 3xAy+625 - 614.00000 D AXB 24.000 - - L- R- - - Xsbanken 3aFn - - 867 3rYq+925 - 83.80000 Gyg GJR 52.100 - - UA AM - - - - - - - - - Retained M-2 IYO 71.000 - - ZZ AA - - Xswst JSN - - - 5.000% 5.000% 912.00000 R-1 IAW 50.000 - - MM KK - - Ljqdkebu 3nLu - - 200 3zIk+200 - 658.00000 R FBG 90.000 - - LLL- XXX- - - Ycleprir 3mCi - - 340 3eFf+340 - 797.00000 B TXL 97.000 - - C A - - Hqyqyslw 3cYs - - 245 3yJn+245 - 871.00000
Tranche Comments
I: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144P/Trv H;
R-1: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144J/Uyr Y;
M-2: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144Y/Mwu M;
B: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144V/Rbn D;
R: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144I/Pkh I;
F: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144K/Ubi X;
D: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144W/Zjf T;
Gyg: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144G/Qjm X;
Deal Comments
Fgwgz. Reg Epyy Vgufegx 2.00
Reinvestment Period (YRS)
2
Reinvestment Period End Date
Jul 13, 2009
WAL Test Period End Date
Aug 12, 2017
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