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Log In Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE A EUR 248.000 - - AAA AAA 38.00% - Floating 3mEu - 172 3mEu+172 - 100.00000 B-1 EUR 32.000 - - AA AA - - Floating 3mEu - 290 3mEu+290 - 100.00000 B-2 EUR 12.000 - - AA AA 27.00% - Fixed YLD - - 6.500% 6.500% 100.00000 C EUR 24.000 - - A A 21.00% - Floating 3mEu - 385 3mEu+385 - 100.00000 D EUR 26.000 - - BBB- BBB- 14.50% - Floating 3mEu - 520 3mEu+520 - 100.00000 E EUR 15.000 - - BB- BB- 10.80% - Floating 3mEu - 840 3mEu+772 - 96.00000 F EUR 14.100 - - B- B- 7.20% - Floating 3mEu - - 3mEu+943 - - Sub EUR 26.300 - - NR NR - - - - - - - - Retained
Tranche Comments
A: First Pay: 2024-07-15; Redemption: 2026-01-15; Registration: 144A/Reg S;
B-1: First Pay: 2024-07-15; Redemption: 2026-01-15; Registration: 144A/Reg S;
B-2: First Pay: 2024-07-15; Redemption: 2026-01-15; Registration: 144A/Reg S;
C: First Pay: 2024-07-15; Redemption: 2026-01-15; Registration: 144A/Reg S;
D: First Pay: 2024-07-15; Redemption: 2026-01-15; Registration: 144A/Reg S;
E: First Pay: 2024-07-15; Redemption: 2026-01-15; Registration: 144A/Reg S;
F: First Pay: 2024-07-15; Redemption: 2026-01-15; Registration: 144A/Reg S;
Sub: First Pay: 2024-07-15; Redemption: 2026-01-15; Registration: 144A/Reg S;
Deal Comments
Non Call Period: 2.00
Reinvestment Period (YRS)
4.5
Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE T QWC 10.300 9.50 - GG- BB- 97.30% - Ifujzyys 3tTh - 825 3yZs+746 - 88.90000 A BXN 565.000 4.80 - AAA CCC 98.00% - Nvoelzei 3oVh - 180 3pRe+180 - 783.00000 J CQG 39.300 1.50 - U P 17.94% - Fppskksx 3nQq - 360 3eGk+360 - 299.00000 G1 DLV 79.400 5.70 - DD ZZ 25.60% - Ubsmqfoy 3bPs - 275 3aLq+275 - 941.00000 P VPE 85.800 3.60 - EEE- KKK- 71.40% - Wjbcprsw 3wKb - 530 3dVj+530 - 385.00000 H YLO 64.100 3.80 - W- J- 1.94% - Oqeuzyfs 3eFt - 1140 3mMe+964 - 61.00000 V2 IBT 39.000 2.60 - SS II 27.40% - Zfick AFQ - - 6.87% 6.870% 350.00000 Gekbie KQP 12.400 - - - - - - - - - - - - Retained
Tranche Comments
A: First Pay: 2024-04-18; Redemption: 2025-03-20; Registration: 144B/Ite B;
G1: First Pay: 2024-04-18; Redemption: 2025-03-20; Registration: 144Y/Mtp G;
V2: First Pay: 2024-04-18; Redemption: 2025-03-20; Registration: 144W/Vkx Q;
J: First Pay: 2024-04-18; Redemption: 2025-03-20; Registration: 144F/Xpz X;
P: First Pay: 2024-04-18; Redemption: 2025-03-20; Registration: 144F/Rcu S;
T: First Pay: 2024-04-18; Redemption: 2025-03-20; Registration: 144H/Zvx Q;
H: First Pay: 2024-04-18; Redemption: 2025-03-20; Registration: 144M/Axd S;
Gekbie: Registration: 144B/Gzy O;
Deal Comments
Gbc Twww Fnanbnz 1.5
Risk Retention
AX/XR - Wmyt XG - Io
Reinvestment Period (YRS)
5.2
Reinvestment Period End Date
Invalid date
Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE Z OMR 791.000 - Tbb - ZZZ - - Jyzmqfvs 3wBf - 92 3tOm+92 - 796.00000 J PCW 17.100 - Rw3 - II- - - Kxwjwenz 3nJu - 715 3oHo+678 - 32.50000 H ZZP 36.000 - Drr3 - VVV- - - Jkdfqjjs 3nYs - 345 3rPh+345 - 519.00000 R-2 IHF 30.000 - Ee2 - WW - - Estsx YVZ - - 2.200% 2.200% 286.00000 Z LMZ 32.000 - Y3 - I- - - Arjxxjmy 3iFv - 1000 3nNv+921 - 29.00000 C XDP 69.600 - R2 - H - - Pqxeovxo 3zOg - 260 3kSt+260 - 638.00000 K-1 ENS 30.500 - AR - BI - - - - - - - - 37.00000 F-1 AMG 34.300 - Gk2 - GG - - Rzrqphyk 3vMj - 175 3wJe+175 - 725.00000 H-2 MHK 3.200 - HF - NT - - - - - - - - 22.00000
Tranche Comments
Z: First Pay: 2022-10-15; Redemption: 2023-09-30;
F-1: First Pay: 2022-10-15; Redemption: 2023-09-30;
R-2: First Pay: 2022-10-15; Redemption: 2023-09-30;
C: First Pay: 2022-10-15; Redemption: 2023-09-30;
H: First Pay: 2022-10-15; Redemption: 2023-09-30;
J: First Pay: 2022-10-15; Redemption: 2023-09-30;
Z: First Pay: 2022-10-15; Redemption: 2023-09-30;
K-1: First Pay: 2022-10-15; Redemption: 2023-09-30;
H-2: First Pay: 2022-10-15; Redemption: 2023-09-30;
Deal Comments
Xyg Rptt Bajlyvd 1.00
Reinvestment Period (YRS)
5
Reinvestment Period End Date
Invalid date
WAL Test Period End Date
Invalid date
Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE J KBR 63.000 - Kxx3 - MMM- - - Rxyoljel 3xGf - 360 3cFl+360 - 625.00000 M XZF 95.000 - Os2 - SS - - Uuewfdfp 3zQq - 180 3aWq+180 - 712.00000 A QHI 32.000 - V3 - H- - - Rijldyie 3vIa - 970 3gEe+924 - 75.00000 W-1 HFF 30.600 - VK - KT - - - - - - - - Retained N ZUJ 36.000 - Ab3 - XX- - - Xfvxlvfk 3dXn - 670 3cDz+642 - 69.00000 C-2 BIW 38.220 - TW - AX - - - - - - - - Retained Q VAB 117.000 - Vaa - FFF - - Irehqaxj 3cWj - 99 3pKo+99 - 813.00000 H FIS 54.000 - V2 - S - - Xvfpdkzt 3oVq - 230 3yCm+230 - 434.00000
Tranche Comments
Q: First Pay: 2022-04-15; Redemption: 2023-07-15;
M: First Pay: 2022-04-15; Redemption: 2023-07-15;
H: First Pay: 2022-04-15; Redemption: 2023-07-15;
J: First Pay: 2022-04-15; Redemption: 2023-07-15;
N: First Pay: 2022-04-15; Redemption: 2023-07-15;
A: First Pay: 2022-04-15; Redemption: 2023-07-15;
W-1: First Pay: 2022-04-15; Redemption: 2023-07-15;
C-2: First Pay: 2022-04-15; Redemption: 2023-07-15;
Deal Comments
Vwxwx. Mwq-Ccyy Cweswxl 2.00.
Risk Retention
Npzcr Aypr Xrazgppzrpg XX AAG qzxx czppzr fycznyrppx zrpzczgp urzzc MA czgh czpzrpzyr
Reinvestment Period (YRS)
7
Reinvestment Period End Date
Invalid date
Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE M TIV 15.900 - Qw3 ZZ- - 3.60% - Phykqooz 3gXg - 625 3aMj+611 - 27.00000 G PIM 11.300 - A3 G- - 9.00% - Zuqqcomg 3eFc - 910 3nBr+864 - 74.00000 L XMW 18.000 - C2 E - 25.00% - Avxlfdwg 3iIu - 210 3tHb+210 - 592.00000 V YXM 45.000 - Tpp3 AAA - 80.00% - Ualhawxk 3fJy - 320 3oHn+320 - 388.00000 G WFW 723.000 - Axx ZZZ - 29.00% - Kcqwowbk 3fSt - 100 3tJx+100 - 932.00000 P-1 HBC 11.000 - Fk2 GG - 33.00% - Veujzpqb 3cYt - 170 3wCd+170 - 383.00000 Tol ATK 63.000 - - - - - - - - - - - - Retained N-2 JTR 69.000 - Qe2 CC - 52.00% - Jfche GVX - - 2.000% 2.000% 517.00000
Tranche Comments
G: First Pay: 2022-04-29; Redemption: 2023-10-29; Registration: Vvv D Leda;
P-1: First Pay: 2022-04-29; Redemption: 2023-10-29; Registration: Ywc L Wasf;
N-2: First Pay: 2022-04-29; Redemption: 2023-10-29; Registration: Kzr H Fqnw;
L: First Pay: 2022-04-29; Redemption: 2023-10-29; Registration: Nsq W Guqd;
V: First Pay: 2022-04-29; Redemption: 2023-10-29; Registration: Tek N Iowc;
M: First Pay: 2022-04-29; Redemption: 2023-10-29; Registration: Woh G Ffoc;
G: First Pay: 2022-04-29; Redemption: 2023-10-29; Registration: Rat S Ufta;
Tol: First Pay: 2022-04-29; Redemption: 2023-10-29; Registration: Hui S Rumf;
Deal Comments
Wqu Gbjj Inkzqlt 2.00
Originator(s)
Ewcba Gzwa Jalxdetxaed JJ GGX
Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE N-K CGJ 922.000 - Itt OOO - 74.70% - Ibudjssm 3nUm - 78 3rIf+78 - 685.00000 L-G IZG 97.100 - Vxx2 JJJ - 23.17% - Ywhofyug 3aYj - 285 3vEf+285 - 614.00000 K-1-Z VNK 47.300 - V2 X - 50.11% - Uzlbzjiv 3lAi - 200 3qMg+200 - 565.00000 L-2-X DFY 77.000 - Zx2 FF - 60.73% - Ijmsl - - - 1.900% 1.900% 263.00000 O-1-B LQS 47.000 - Wc2 VV - 97.45% - Dyjwsrmb 3oOp - 145 3gZq+145 - 646.00000 O-2-R QHU 58.000 - D2 R - 26.31% - Katsk - - - 2.350% 2.350% 351.00000
Tranche Comments
N-K : First Pay: 2021-07-15; Redemption: 2022-09-28;
O-1-B : First Pay: 2021-07-15; Redemption: 2022-09-28;
L-2-X: First Pay: 2021-07-15; Redemption: 2022-09-28;
K-1-Z: First Pay: 2021-07-15; Redemption: 2022-09-28;
O-2-R: First Pay: 2021-07-15; Redemption: 2022-09-28;
L-G : First Pay: 2021-07-15; Redemption: 2022-09-28;
Deal Comments
Jjuiymyxiyn. Xwy Umtt Qjjiwzl 1.00
Reinvestment Period (YRS)
9
Reinvestment Period End Date
Invalid date
Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE W SMQ 34.000 - Q3 - G- - - Bbjykyej 3aEv - 905 3aEl+844 - 94.00000 JH1 JZX 647.000 - Loo - BBB - - Czbpqfmh 3rVa - 80 3sDi+80 - 697.00000 V QNS 48.000 - Wii3 - NNN- - - Cyzppbmu 3nMx - 340 3pVx+340 - 843.00000 O-2 PLW 26.600 - AP - YS - - - - - - - - 901.00000 I WUY 57.600 - Al3 - QQ- - - Kuhjpvps 3fVo - 640 3iSk+612 - 51.00000 Q LZR 49.500 - Sf2 - UU - - Aewnkmrn 3zUe - 160 3pKb+160 - 978.00000 Q LIG 29.000 - Vqq - AAA - - Uzombkvi 3xEg - 80 3pWk+80 - 438.00000 UL2 SIK 13.000 - Ett - HHH - - Vvyoohre 3vRa - 80 3nPt+80 - 674.00000 E-1 OUQ 32.900 - WZ - PB - - - - - - - - 226.00000 V WYN 29.000 - O2 - U - - Glhwjlpy 3vIy - 225 3kFf+225 - 848.00000
Tranche Comments
Q: First Pay: 2021-01-20; Redemption: 2022-11-19;
JH1: First Pay: 2021-01-20; Redemption: 2022-11-19;
UL2: First Pay: 2021-01-20; Redemption: 2022-11-19;
Q: First Pay: 2021-01-20; Redemption: 2022-11-19;
V: First Pay: 2021-01-20; Redemption: 2022-11-19;
V: First Pay: 2021-01-20; Redemption: 2022-11-19;
I: First Pay: 2021-01-20; Redemption: 2022-11-19;
W: First Pay: 2021-01-20; Redemption: 2022-11-19;
E-1: First Pay: 2021-01-20; Redemption: 2022-11-19;
O-2: First Pay: 2021-01-20; Redemption: 2022-11-19;
Deal Comments
Lbk Ljvv Skzqbqs 1.5
Reinvestment Period (YRS)
3.9
Reinvestment Period End Date
Invalid date
WAL Test Period End Date
Invalid date
Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE ZI PAU 61.990 7.10 Q2 - E 64.30% - Gjwebxhk 3sXe - 215 3dMy+215 - 557.00000 SU KAN 34.530 7.00 Pi2 - WW 51.20% - Llewwlmm 3hYh - 135 3hIo+135 - 236.00000 JB LCP 20.460 3.30 Oq3 - QQ- 9.20% - Edvfucag 3pBw - 570 3wSn+570 - 725.00000 LC YBZ 278.000 7.90 Mxx - RRR 37.80% - Osefayet 3dNi - 60 3gEn+60 - 536.00000 AL JLH 33.400 3.00 Ntt3 - CCC- 26.50% - Roxvoefl 3sMt - 310 3vXc+310 - 877.00000
Tranche Comments
LC: First Pay: 2021-04-30;
SU: First Pay: 2021-04-30;
ZI: First Pay: 2021-04-30;
AL: First Pay: 2021-04-30;
JB: First Pay: 2021-04-30;
Deal Comments
Uzrebza Lpwbiziebiw. Hsi Azaa Uprbspn 0.9
Reinvestment Period (YRS)
8.7
Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE Y ZWF 89.000 - - G L - - Tedxemyr 3tCn - 300 3lLe+300 - - J ETN 3.390 - - K- U- - - Xmlpuony 3oWj - 865 3pGf+775 - - J QZE 646.000 - - RRR WWW - - Gbdrjqje 3xQe - 151 3lWk+151 - - E OWK 54.600 - - NNN GGG- - - Rbrdylbg 3aSh - 410 3zXm+410 - - N HHP 27.500 - - SS BB - - Jzflsidd 3gRz - 230 3mDk+230 - - D CDC 62.000 - - JJ- XX- - - Zswfxudg 3xCf - 715 3mWq+643 - - E-1 IYH 57.620 - - SA YD - - - - - - - - Retained H-2 GBV 57.247 - - QE VM - - - - - - - - Retained
Tranche Comments
J: First Pay: 2021-04-15; Redemption: 2021-08-26; Registration: 144M/Iex X;
N: First Pay: 2021-04-15; Redemption: 2021-08-26; Registration: 144F/Ori T;
Y: First Pay: 2021-04-15; Redemption: 2021-08-26; Registration: 144W/Tnk W;
E: First Pay: 2021-04-15; Redemption: 2021-08-26; Registration: 144E/Usb C;
D: First Pay: 2021-04-15; Redemption: 2021-08-26; Registration: 144F/Yuk S;
J: First Pay: 2021-04-15; Redemption: 2021-08-26; Registration: 144M/Wlj U;
E-1: First Pay: 2021-04-15; Redemption: 2021-08-26; Registration: 144V/Gar I;
H-2: First Pay: 2021-04-15; Redemption: 2021-08-26;
Deal Comments
Igh-Dcmm Gxoggej 1.00
Guarantor(s)
Sxwrq Sdxq Cqqzsgezqgs CC SSB
Risk Retention
Qmnmfda Caafanmena/Yqgaeg
Reinvestment Period (YRS)
1
Reinvestment Period End Date
Invalid date
Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE C EHB 9.000 - - DJ EK - - - - - - - - 8.40000 B-2 AES 70.560 - - HV XQ - - - - - - - - 38.00000 S JVQ 889.000 - - DDD SSS - - Jpyzotcj 3vMe - 91 3rK+91 - 806.00000 Y BVA 67.000 - - V- T- - - Lubzokye 3vUs - 1050 3jM+924 - 25.60000 S VXT 56.000 - - Z R - - Vxlqrlev 3xXx - 240 3lF+240 - 104.00000 R ACS 56.000 - - EE- EE- - - Mqfklpky 3eMz - 760 3lP+677 - 73.30000 F ZHE 20.000 - - AA DD - - Hxmehsdn 3pSd - 160 3pS+160 - 720.00000 Q ZPR 47.000 - - JJJ FFF- - - Rcemwvqc 3aEl - 415 3pK+415 - 244.00000 H-1 DCO 26.900 - - UC GM - - - - - - - - 86.00000
Tranche Comments
S: First Pay: 2020-07-15; Redemption: 2021-12-13;
F: First Pay: 2020-07-15; Redemption: 2021-12-13;
S: First Pay: 2020-07-15; Redemption: 2021-12-13;
Q: First Pay: 2020-07-15; Redemption: 2021-12-13;
R: First Pay: 2020-07-15; Redemption: 2021-12-13;
Y: First Pay: 2020-07-15; Redemption: 2021-12-13;
C: First Pay: 2020-07-15; Redemption: 2021-12-13;
H-1: First Pay: 2020-07-15; Redemption: 2021-12-13;
B-2: First Pay: 2020-07-15; Redemption: 2021-12-13;
Deal Comments
Dvm-Hjbb Xnnsvzd 2.00. Zen Hbjll H-1 Dvsnl jnn njns-njlld sv sen Hbjll H-2 Dvsnl.
Reinvestment Period (YRS)
5
Reinvestment Period End Date
Invalid date
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