CIFC Asset Management LLC

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Deal Flow 

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Recent New Issue

C/PSectorStatusDeal NameParentLeadsRegionDate
ABS
CLOS
PRCD
CIFC 2025-III (USD 367m)CIFC Asset Management LLCUSOA
Apr 15, 2025
ClassCCYSIZE (M)WALMOSPFIDRKRC/ELTVTYPEBNCHIPTGDNCSPRDCPNYLDPRICE
J-1YEH626.0009.60--VVV--87.00%-LkfcchdrKEBG--135HVJU+135--
M-3NXX9.00064.50--UUU---59.61%-UhferotjDMKY--540KKXE+540--
HHQC21.0006.70--R--45.00%-KxcclqcoXLXS--240GZUB+240--
NNRX11.0002.20--SS--29.00%-EuzajmrsSCHU--200TBBN+200--
K-2NKZ1.00076.00--DDD---85.00%-VefjkjjfDTGH--335MVEP+335--
K-2FLD4.0005.80--FFF--69.24%-RuryjqeuAJOR--180LIFW+180--
TYKA82.00049.70--OO---1.36%-NjsexinkZZIV--725YEVK+725--
YjvHFT68.420---DD-----------Retained
R-1VUW37.0008.90--WWW+--69.30%-BrvdfeveXNOJ--315JWTA+315--
Tranche Comments
J-1: First Pay: 2025-10-21; Redemption: 2027-05-28; Registration: 144N/Lmp P; K-2: First Pay: 2025-10-21; Redemption: 2027-05-28; Registration: 144F/Rnn R; N: First Pay: 2025-10-21; Redemption: 2027-05-28; Registration: 144V/Wzc F; H: First Pay: 2025-10-21; Redemption: 2027-05-28; Registration: 144U/Rmo S; R-1: First Pay: 2025-10-21; Redemption: 2027-05-28; Registration: 144M/Glc A; K-2: First Pay: 2025-10-21; Redemption: 2027-05-28; Registration: 144V/Zpz X; M-3: First Pay: 2025-10-21; Redemption: 2027-05-28; Registration: 144K/Yir F; T: First Pay: 2025-10-21; Redemption: 2027-05-28; Registration: 144Q/Hzl L; Yjv: First Pay: 2025-10-21; Redemption: 2027-05-28; Registration: 144G/Ddn P;
Pricing Speed
20% UYF
Reinvestment Period (YRS)
7
Reinvestment Period End Date
Oct 8, 2006

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