C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
FILG 2025-1 (EUR 374m) Fidelity International Ltd (FIL) EMEA Jul 16, 2025
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE M QZA 62.000 8.30 - MMM- SSS- 16.00% - Yjyzyxzz 3jFt - - 315 3qQl+315 - 427.00000 D-X MTP 690.000 2.30 - HHH SSS 99.00% - Ytlfptvr 3wTx - - 131 3tIx+131 - 928.00000 C-1 JQN 65.000 9.00 - HH PP 97.68% - Kxxmffpq 3jDx - - 185 3wHm+185 - 107.00000 M MVU 21.000 91.90 - P- I- 3.50% - Shuwaodd 3wZz - - 860 3oAg+831 - 81.53000 W JGL 711.000 5.60 - III SSS 12.00% - Esqatffx 3rXe - - 131 3zEp+131 - 375.00000 Lmqlvw IOZ 46.200 - - YG SS - - - - - - - - - Retained I-2 VOC 63.000 6.00 - TT YY 64.39% - Kztgr - - - - 5.00% 5.000% 133.00000 Q SKN 19.000 8.10 - MM- FF- 5.40% - Owfplymk 3pQv - - 580 3nNz+580 - 285.00000 G WWE 29.000 7.60 - H B 48.00% - Gycwtcxc 3aGu - - 240 3mOo+240 - 463.00000
Tranche Comments
W: Redemption: 2027-03-03; Registration: 144E/Mnh D;
D-X: Redemption: 2027-03-03; Registration: 144G/Ptu L;
C-1: Redemption: 2027-03-03; Registration: 144P/Emb J;
I-2: Redemption: 2027-03-03; Registration: 144I/Ipf C;
G: Redemption: 2027-03-03; Registration: 144P/Qaa D;
M: Redemption: 2027-03-03; Registration: 144D/Nst Q;
Q: Redemption: 2027-03-03; Registration: 144X/Nzs D;
M: Redemption: 2027-03-03; Registration: 144I/Gbu O;
Lmqlvw: Redemption: 2027-03-03; Registration: 144Q/Dmw M;
Deal Comments
Byb Cnaa Bgtmyle 1.60
Risk Retention
AF - Aiwgvivicr
Reinvestment Period (YRS)
2.39
Reinvestment Period End Date
Feb 10, 2010
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