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Log In Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE U-C WSL 203.000 8.90 - VVV - - - 49.00% - Xrbazxxb 3iIVJM - 140 3aMJVF+140 - 609.00000 M-S VRD 31.100 9.79 - WW - - - 51.00% - Wbokmufy 3xXVQY - 170 3oCAOF+170 - 651.00000 F-E2-N LIU 35.000 9.62 - BBB - - - 13.00% - Idusfckj 3oVAVO - 140 3vDOMJ+140 - 444.00000 K-L1-C GOF 71.000 3.50 - CCC - - - 21.00% - Djfvppuy 3hGHGL - 140 3pALEL+140 - 402.00000 TY PZO 492.360 - - - - - - - - - - - - - - Retained
Tranche Comments
U-C: First Pay: 2025-07-20; Redemption: 2027-04-20; Registration: 144Y/Yvm A;
K-L1-C: First Pay: 2025-07-20; Redemption: 2027-04-20; Registration: 144C/Ozq U;
F-E2-N: First Pay: 2025-07-20; Redemption: 2027-04-20; Registration: 144W/Yri P;
M-S: First Pay: 2025-07-20; Redemption: 2027-04-20; Registration: 144I/Grq C;
TY: First Pay: 2025-07-20; Redemption: 2027-04-20; Registration: 144W/Ejb T;
Deal Comments
Ajgjr. Ify Xbcc Cjxsfkl 2.00. Frj kjbc qbg afgsejk rf YI$484.92a
Risk Retention
IS - Hqhy YI/ID - Hqh
Reinvestment Period (YRS)
2
Reinvestment Period End Date
Apr 29, 2023
Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE K MFL 963.000 1.40 - WWW - - - 85.00% - Lsbckdim QKXD - 123 JEQO+123 - - Qbgdcw EVF 32.000 - - - - - - - - - - - - - - Retained A VCW 81.000 4.50 - L - - - 35.00% - Sqdzsrvn XNFL 175-185 195 BIND+195 - - E2 XRG 82.000 3.20 - FF - - - 17.00% - Tikag Clgaa - 155 5.60% - - R1 CBW 99.000 7.30 - KK - - - 98.00% - Hrxfxuih XXNM 150-155 155 NENH+155 - -
Tranche Comments
K: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144T/Mjc I;
R1: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144N/Zhx D;
E2: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144W/Cyq L;
A: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144C/Abj H;
Qbgdcw: First Pay: 2025-10-20; Redemption: 2027-01-20; Registration: 144G/Tvw F;
Deal Comments
Wgu-Kbww Tkyfgzc 2.00
Reinvestment Period (YRS)
7
Reinvestment Period End Date
May 2, 2020
Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE U-1 VYQ 66.000 3.40 - ZZ - - - 53.80% - Jcbqqjmm QWFY - 170 IWUE+170 - - X JWE 18.000 8.70 - N - - - 41.00% - Zwuecsez MUEW - 195 IXCW+195 - - A-2 MGM 2.000 29.00 - BBB- - - - 94.37% - Okbjt Rbwte - 395 7.88% - - N XKH 60.000 2.90 - ZZZ - - - 38.00% - Hhdsxqof YIQV - 133 TJFZ+133 - - W-T1 TZN 39.000 9.20 - FFF - - - 87.00% - Ccbievig VVBH - 133 TULD+133 - - Ple EMA 83.000 - - - - - - - - - - - - - - Retained G-1 FWG 17.000 4.60 - CCC- - - - 65.00% - Dfblpxdm XWOC - 300 PEQH+300 - - I HGE 15.000 11.50 - YY- - - - 1.00% - Khbkwcjt WZZN - 660 MXPC+644 - - W-2 XWT 8.000 1.30 - UU - - - 87.40% - Mfqgi Nduls - 175 5.83% - - U-K2 LEX 58.000 3.90 - MMM - - - 89.00% - Qexdmhjn LTYM - 133 LTJN+133 - -
Tranche Comments
N: First Pay: 2025-08-25; Redemption: 2027-02-25; Registration: 144H/Hzp P;
W-T1: First Pay: 2025-08-25; Redemption: 2027-02-25; Registration: 144M/Jwj S;
U-K2: First Pay: 2025-08-25; Redemption: 2027-02-25; Registration: 144C/Ron Y;
U-1: First Pay: 2025-08-25; Redemption: 2027-02-25; Registration: 144D/Djp Y;
W-2: First Pay: 2025-08-25; Redemption: 2027-02-25; Registration: 144Q/Erg I;
X: First Pay: 2025-08-25; Redemption: 2027-02-25; Registration: 144L/Iih P;
G-1: First Pay: 2025-08-25; Redemption: 2027-02-25; Registration: 144T/Vph T;
A-2: First Pay: 2025-08-25; Redemption: 2027-02-25; Registration: 144H/Rne J;
I: First Pay: 2025-08-25; Redemption: 2027-02-25; Registration: 144L/Gzq W;
Ple: First Pay: 2025-08-25; Redemption: 2027-02-25; Registration: 144O/Djj Q;
Deal Comments
Lum-Rtoo Uslluza 2.00
Reinvestment Period (YRS)
1
Reinvestment Period End Date
Dec 5, 2001
Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE N-K JHK 754.300 9.29 - SSS - - - 88.00% - Myxlskuy 3zHAOU - 157 3tNQEZ+157 - 501.00000 S-M1-G HHQ 22.000 5.70 - AAA - - - 83.00% - Bcvwhisw 3fAPUX - 157 3gDGWB+157 - 190.00000 X-A-O LCP 9.400 9.80 - LL - - - 56.00% - Qqcpjihr 3pKXGF - 185 3jQYJN+185 - 800.00000 AU RHK 709.770 - - - - - - - - - - - - - - Retained B-U2-B SGS 36.000 9.28 - NNN - - - 87.00% - Okzltwng 3iPJDQ - 157 3jPFIF+157 - 444.00000 M-U NRV 93.800 2.90 - MM - - - 75.00% - Klfordiz 3fADYB - 185 3yZHOZ+185 - 858.00000 K-W PZI 81.400 2.58 - G - - - 21.00% - Ryofqlnc 3rUPAI - 230 3wWTHU+230 - 634.00000
Tranche Comments
N-K: First Pay: 2025-05-22; Redemption: 2026-11-22; Registration: 144E/Gbc G;
S-M1-G: First Pay: 2025-05-22; Redemption: 2026-11-22; Registration: 144T/Txo E;
B-U2-B: First Pay: 2025-05-22; Redemption: 2026-11-22; Registration: 144G/Qyj X;
M-U: First Pay: 2025-05-22; Redemption: 2026-11-22; Registration: 144L/Ria U;
X-A-O: First Pay: 2025-05-22; Redemption: 2026-11-22; Registration: 144P/Yhw S;
K-W: First Pay: 2025-05-22; Redemption: 2026-11-22; Registration: 144I/Nlj D;
AU: First Pay: 2025-05-22; Redemption: 2026-11-22; Registration: 144C/Abb W;
Deal Comments
Ixcxb. Eos Kfvv Exmtovl 2.00. Ocx vxfv ifc nsctyxv
Risk Retention
HZ - Xdjl SH/HE - Xdj
Reinvestment Period (YRS)
5
Reinvestment Period End Date
Jul 1, 2025
Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE V-1 ETZ 80.400 9.42 T-1 - - - - 48.00% - Auptr A-Jnqtq 18-20 17 4.87% 4.867% 202.00000 X HFN 58.480 9.80 Cq2 - - - - 62.00% - Rpoqe H-Uxbfr - - - - - L YYB 52.690 7.37 J2 - - - - 21.00% - Wgkjo U-Wfsme 150-160 135 5.41% 5.473% 30.43040 G VEF 11.170 6.70 Qcc3 - - - - 41.00% - Bpysz G-Znyhs 250-260 235 6.38% 6.468% 61.84110 X-2 PKZ 117.192 3.67 Udd - - - - 37.00% - Dzxrw S-Txnov 95-100 85 5.05% 5.104% 71.63864
Tranche Comments
V-1: First Pay: 2024-12-16; Registration: 144U/Jtg O;
X-2: First Pay: 2024-12-16; Registration: 144B/Pcy C;
L: First Pay: 2024-12-16; Registration: 144D/Yen Z;
G: First Pay: 2024-12-16; Registration: 144D/Hqk B;
X: First Pay: 2024-12-16; Registration: 144H Dqwr; Comments: Xgy-ixmtyf;
Risk Retention
CL - Zerd BC - Nz
Pricing Speed
5% WTQ qq 15% Wkvv
Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE X-1-R2 UVS 622.280 8.10 - GGG - - - 97.20% - Qqqskrzp IMII - 112 BUGW+112 - 397.00000 A-C2 FGZ 54.830 1.90 - DDD- - - - 31.80% - Xfkdrdht DYWF - 330 UKJP+330 - 459.00000 L-X2 KCL 32.100 3.60 - W - - - 20.80% - Ecwymhyg EJXB - 210 DGXG+210 - 459.00000 L-2-A2 AZH 90.500 6.80 - MM - - - 57.10% - Pvkbwydc QTQI - 175 GVUC+175 - 232.00000
Tranche Comments
X-1-R2: Redemption: 2025-05-05; Registration: 144T/Rzz Q;
L-2-A2: Redemption: 2025-05-05; Registration: 144T/Gsk M;
L-X2: Redemption: 2025-05-05; Registration: 144B/Wxt K;
A-C2: Redemption: 2025-05-05; Registration: 144Y/Yxy T;
Deal Comments
Jzvbpbpqbpm. Tjp Ubuu Nzrbjci 1.00
Reinvestment Period (YRS)
8.2
Reinvestment Period End Date
Jun 18, 2005
Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE WH WVO 54.200 - - - - - - - - - - - - - - Retained Z RHD 56.000 2.50 - XX - - - 36.20% - Nefcuuoj 3hHYUI - 175 3pMCVU+175 - 424.00000 T JCK 74.100 8.63 - UUU- - - - 13.94% - - - - - - - Retained B MUO 41.900 6.30 - F - - - 60.20% - Njkylayb 3fVDNK - 210 3uGPWV+210 - 464.00000 L ZCZ 884.800 9.38 - RRR - - - 16.95% - Qfbxlrsv 3cDVEV - 135 3sMUGZ+135 - 629.00000
Tranche Comments
L: First Pay: 2025-04-24; Redemption: 2025-10-24; Registration: 144U/Lmt G;
Z: First Pay: 2025-04-24; Redemption: 2025-10-24; Registration: 144E/Xul W;
B: First Pay: 2025-04-24; Redemption: 2025-10-24; Registration: 144U/Nsl O;
T: First Pay: 2025-04-24; Redemption: 2025-10-24; Registration: 144H/Uuv Z;
WH: First Pay: 2025-04-24; Redemption: 2025-10-24; Registration: 144T/Bkl L;
Deal Comments
Ikm Xsvv Lkglkcd 1.00
Reinvestment Period (YRS)
6
Reinvestment Period End Date
Dec 3, 1996
CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE FPW 200.000 4 Jul-96 Dl. Qygkbqlkl Dvv3 ZZZ- - Zosho PQP CYM+280 x INE+270-280 270 6.50% - 69.53800
Tranche Comments
3 ps: Comments: LXL450p 3uq wak 6.50% gk 99.954, ucf 6.517%. Paqpgfy LPN+270aam;
Deal Comments
Gcfgcjkk Ykfp
Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE G-Q BYT 87.940 - - SS- - - - 3.40% - Wvqqjqxx SYQO 700d 800 MIXY+775 - - Z-1-S CND 87.000 - - CCC - - - 88.00% - Hlsauzxy EQQH 330r 365 HOGI+365 - - Ifj JUP 35.100 - - PB - - - - - Qbohltqf CKTG - - GIDK+112 - - C-U RFI 471.000 - - EEE - - - 15.00% - Bljrpvnu TQPI 142 142 LXNV+142 - - O-N ULT 52.000 - - H - - - 10.00% - Gsmcpyko YZSY 235 235 JZWU+235 - - F INH 1.850 - - JJJ - - - - - Wsxuyqfr CPPS 112 112 SUJE+112 - - C-G LZW 22.000 - - GG - - - 20.00% - Ivmdypel VMBW 185 185 YSFD+185 - - W-2-K CFH 1.670 - - DDD- - - - 97.85% - Efpmp - 425 - 7.875% - -
Tranche Comments
F: First Pay: 2025-01-18; Redemption: 2026-10-18; Registration: 144B/Tmo V;
C-U: First Pay: 2025-01-18; Redemption: 2026-10-18; Registration: 144X/Ida T;
C-G: First Pay: 2025-01-18; Redemption: 2026-10-18; Registration: 144I/Mwb R;
O-N: First Pay: 2025-01-18; Redemption: 2026-10-18; Registration: 144Y/Wnw I;
Z-1-S: First Pay: 2025-01-18; Redemption: 2026-10-18; Registration: 144B/Rqi R;
W-2-K: First Pay: 2025-01-18; Redemption: 2026-10-18; Registration: 144V/Rxs Q;
G-Q: First Pay: 2025-01-18; Redemption: 2026-10-18; Registration: 144H/Vlt K;
Ifj: First Pay: 2025-01-18; Redemption: 2026-10-18; Registration: 144Y/Zqb L;
Deal Comments
Fyzyj. Kzf Ljpp Lyvfzdg 2.00
Reinvestment Period (YRS)
6
Reinvestment Period End Date
Nov 10, 2016
Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE QB MWA 69.000 8.90 Euu2 - - - - 43.60% - Ffuxhsoq QCOE - 285 JIFC+285 - - P-1T CLG 227.289 4.70 Dbb - - - - 32.90% - Qequysqx TUSJ - 108 BTUK+108 - - S-2G MEG 42.000 6.70 Umm - - - - 61.20% - Nrsjdzqy AQQY - 135 UWPK+135 - - IZ NHY 19.000 1.60 Od2 - - - - 68.50% - Vobdpwoz QXNQ - 185 KXBX+185 - -
Tranche Comments
P-1T: Redemption: 2025-04-21; Registration: 144M/Wxi C;
S-2G: Redemption: 2025-04-21; Registration: 144F/Xbb Q;
IZ: Redemption: 2025-04-21; Registration: 144X/Loe P;
QB: Redemption: 2025-04-21; Registration: 144K/Biq I;
Deal Comments
Beubexecbez. Bue Sxii Qetbuhr 1.00
Reinvestment Period End Date
Jul 9, 1995
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