C/P Sector Status Deal Name Parent Leads Region Date
ABS
CLOS
CANYC 2022-1(R) (EUR 374m) Canyon Capital Advisors EMEA Mar 25, 2025
Class CCY SIZE (M) WAL MO SP FI C/E LTV TYPE BNCH IPT GDNC SPRD CPN YLD PRICE H DXM 45.000 - - ZZ- RR- - - Xjkwylhl 3bOu - - 600 3rSb+585 - 27.00000 S FSH 74.000 - - Z F - - Wkulaavz 3hUj - - 250 3fOh+250 - 435.00000 New XGF 59.400 - - BZ MI - - - - - - - - - Retained G-G YXW 52.000 - - YYY PPP - - Cjpsdqoc 3gJn - - 124 3kUn+124 - 416.00000 M-1 KQZ 59.000 - - XXX BBB- - - Bdyejore 3jAn - - 360 3gRh+360 - 588.00000 T ZHV 17.000 - - FW OU - - - - - - - - - Retained S COS 54.000 - - DD PP - - Rlwjxyzl 3mUg - - 180 3rJb+180 - 748.00000 Q-2 POK 7.000 - - WWW- ZZZ- - - Wvdmswba 3nMs - - 475 3zGg+475 - 373.00000 A BHH 374.000 - - UUU TTT - - Bcojkjac 3mFh - - 124 3dOh+124 - 628.00000 A YAY 21.000 - - H- F- - - Tzcpkbud 3wQx - - - 3fTg+843 - -
Tranche Comments
A: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144A/Zwp R;
G-G: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144I/Ydb K;
S: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144D/Xpg I;
S: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144Q/Rni I;
M-1: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144L/Lqj T;
Q-2: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144U/Yct S;
H: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144O/Abr H;
A: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144Y/Mck I;
T: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144D/Nkz L;
New: First Pay: 2025-07-15; Redemption: 2027-04-15; Registration: 144I/Zfv H;
Deal Comments
Wlhlt. Qvq Mcnn Zlolvor 2.00
Originator(s)
Ucqawq UTT Wajphwth TX
Risk Retention
RZ/ZA - Pbu
Reinvestment Period (YRS)
7
Reinvestment Period End Date
Dec 16, 2018
WAL Test Period End Date
Aug 19, 2019
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