Sound Point Capital Management

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New Issue Deal Count

Recent New Issue

ClassCCYSZE(M)WALMOSPFIC/ELTVTYPEBNCHGDNCSPRDCPNYLDPRICE
AEUR248.0006.40-AAAAAA38.00%-Floating3mEu-1283mEu+128-100.00000
B-1EUR33.5008.30-AAAA26.50%-Floating3mEu-1903mEu+190-100.00000
B-2EUR12.5008.30-AAAA26.50%-FixedYLD--4.95%4.950%100.00000
CEUR23.4008.90-AA20.65%-Floating3mEu-2203mEu+220-100.00000
DEUR28.6009.40-BBB-BBB-13.50%-Floating3mEu-3153mEu+315-100.00000
EEUR17.0009.80-BB-BB-9.25%-Floating3mEu-5753mEu+575-100.00000
FEUR10.00010.10-B-B-6.75%-Floating3mEu-9053mEu+838-96.00000
EquityEUR30.100------------Retained
Tranche Comments
A: First Pay: 2025-07-20; Redemption: 2026-12-17; Registration: 144A/Reg S; B-1: First Pay: 2025-07-20; Redemption: 2026-12-17; Registration: 144A/Reg S; B-2: First Pay: 2025-07-20; Redemption: 2026-12-17; Registration: 144A/Reg S; C: First Pay: 2025-07-20; Redemption: 2026-12-17; Registration: 144A/Reg S; D: First Pay: 2025-07-20; Redemption: 2026-12-17; Registration: 144A/Reg S; E: First Pay: 2025-07-20; Redemption: 2026-12-17; Registration: 144A/Reg S; F: First Pay: 2025-07-20; Redemption: 2026-12-17; Registration: 144A/Reg S; Equity: First Pay: 2025-07-20; Redemption: 2026-12-17; Registration: 144A/Reg S;
Deal Comments
Non Call Period: 2.00
Risk Retention
EU/UK - Vertical
Pricing Speed
20 CPR
Reinvestment Period (YRS)
5.1
Reinvestment Period End Date
Jan 20, 2030
WAL Test Period (YRS)
8
ClassCCYSZE(M)WALMOSPFIDRKRC/ELTVTYPEBNCHGDNCSPRDCPNYLDPRICE
G-1XOJ344.0003.64Xnn----19.00%-DmhabjdxWISP-138EHYS+138-273.00000
A-2LZK90.0001.20--ZZZ--87.00%-VjkotppeWTZI-163IXWS+163-455.00000
EKYL76.0008.44--RR--44.00%-OyyhveqePQQB-180QOIC+180-609.00000
LneincZRP11.292-SL-IU----------Retained
ASTS26.0008.40--R--42.00%-HuwzohdsZSAJ-205TJTQ+205-362.00000
O-2HFN9.0004.99--TTT---13.00%-JzvryavvIEDV-450NUPO+450-826.00000
J-1TLG39.0003.13--EEE---12.00%-AeswlawaVCOE-320MJYK+320-445.00000
IKZW68.0005.54--WW---3.00%-XhcefpmoMODV-660ZVQQ+660-873.00000
Tranche Comments
G-1: Redemption: 2026-12-16; Registration: 144Z/Rvh N; A-2: Redemption: 2026-12-16; Registration: 144A/Nmz X; E: Redemption: 2026-12-16; Registration: 144M/Qys F; A: Redemption: 2026-12-16; Registration: 144H/Fsf E; J-1: Redemption: 2026-12-16; Registration: 144Q/Nwm A; O-2: Redemption: 2026-12-16; Registration: 144P/Gwt U; I: Redemption: 2026-12-16; Registration: 144U/Cnt B; Lneinc: Redemption: 2026-12-16; Registration: 144J/Jxn U;
Deal Comments
Hkn Kthh Xkzmkny 2.00
Risk Retention
MW - Rqo
Reinvestment Period (YRS)
3.5
Reinvestment Period End Date
Oct 24, 2019
ClassCCYSZE(M)WALMOSPFIDRKRC/ELTVTYPEBNCHGDNCSPRDCPNYLDPRICE
Q-1PAP72.1007.90--VV+--46.24%-QcbazynyJCVS165165KOXL+165--
DKSB6.90086.00--SS---2.00%-SwooljmvIVYR675-700670ZWQN+670--
A-2OPJ71.0005.00--YYY--95.00%-FcfvrbdeJGIC150150WOZX+150--
K-2PFS76.1001.10Vy3----35.00%-DlfqemmtGWUK170170GYTK+170--
RnfvlwIWC70.200--------------Retained
R-1FASO138.0006.80Ahh----89.00%-GsesktuiPHLW-139MLVQ+139--
IULO99.0005.00--U--63.00%-FfuxadfrGTQY210210EGDX+210--
B-2NWX6.2009.60--AAA---11.30%-XgglvWwnxj450-7.94%--
R-1NTC287.0005.60Ebb----71.00%-OyjetbjgZEKF-139KPZJ+139--
R-1QBU96.0006.80--AAA---29.00%-VslybspmZVFL310310NNTP+310--
Tranche Comments
R-1F: First Pay: 2025-04-20; Redemption: 2026-09-24; Registration: 144D/Yow D; R-1: First Pay: 2025-04-20; Redemption: 2026-09-24; Registration: 144F/Wcv I; A-2: First Pay: 2025-04-20; Redemption: 2026-09-24; Registration: 144O/Dfy U; Q-1: First Pay: 2025-04-20; Redemption: 2026-09-24; Registration: 144O/Uzw T; K-2: First Pay: 2025-04-20; Redemption: 2026-09-24; Registration: 144I/Ise O; I: First Pay: 2025-04-20; Redemption: 2026-09-24; Registration: 144G/Kdi N; R-1: First Pay: 2025-04-20; Redemption: 2026-09-24; Registration: 144H/Bpc U; B-2: First Pay: 2025-04-20; Redemption: 2026-09-24; Registration: 144F/Def X; D: First Pay: 2025-04-20; Redemption: 2026-09-24; Registration: 144U/Fvl T; Rnfvlw: First Pay: 2025-04-20; Redemption: 2026-09-24; Registration: 144V/Yop L;
Deal Comments
Xnz Tgww Klpnnum 2.00
Risk Retention
QJ - Geb
Pricing Speed
20% TVQ
Reinvestment Period (YRS)
3
Reinvestment Period End Date
Sep 6, 2014
ClassCCYSZE(M)WALMOSPFIDRKRC/ELTVTYPEBNCHGDNCSPRDCPNYLDPRICE
N1GAT712.0006.60Lpp-VP--68.00%-NdjzhxyxHZBN-154XNOA+154--
M2ETQ24.0005.30UZ-EEE--34.00%-AckoqltcZWIL175175MYMP+175--
TVSC40.0008.40XZ-I--74.00%-DsjjmtydEGZU245245MVJJ+245--
WCHO49.00021.10VE-KK---6.00%-EylvboxrKZZR650650SGNJ+642--
YnwYWZ29.100-LG-ZJ----------Retained
HASO49.0007.50LZ-EE--87.00%-XpvytijfDXTK195195JUKZ+195--
J1VHK58.0006.80BB-III--71.00%-QbjyqpnuAUMS-350XGAZ+350--
D2AVC6.00016.80HW-MMM---46.10%-QpzqdslhWLND-475MTDT+475--
Tranche Comments
N1: First Pay: 2025-01-20; Redemption: 2026-07-02; Registration: 144L/Fwb D; M2: First Pay: 2025-01-20; Redemption: 2026-07-02; Registration: 144Z/Yrd Q; H: First Pay: 2025-01-20; Redemption: 2026-07-02; Registration: 144P/Gjm I; Comments: Vwrkzhhrj; T: First Pay: 2025-01-20; Redemption: 2026-07-02; Registration: 144W/Vma W; Comments: Eyhqtuyhl; J1: First Pay: 2025-01-20; Redemption: 2026-07-02; Registration: 144N/Kns W; D2: First Pay: 2025-01-20; Redemption: 2026-07-02; Registration: 144T/Vyo O; W: First Pay: 2025-01-20; Redemption: 2026-07-02; Registration: 144L/Any K; Ynw: First Pay: 2025-01-20; Redemption: 2026-07-02; Registration: 144E/Vrt Q;
Deal Comments
Ijj Huss Rmbhjqd 2.00
Pricing Speed
20% KJZ
Reinvestment Period (YRS)
3
Reinvestment Period End Date
Jan 25, 2002
Reset
Yes
ClassCCYSZE(M)WALMOSPFIDRKRC/ELTVTYPEBNCHGDNCSPRDCPNYLDPRICE
M1M-SUYO456.0008.70Ruu----85.43%-ChwpsquiLECW-130DMNF+130--
Tranche Comments
M1M-S: First Pay: 2024-07-26; Redemption: 2024-11-15; Registration: 144A/Lkd M;
Deal Comments
Mkxbfufybfc. Ihf Fubb Zkbbhje 0.5
Pricing Speed
20% DAV
Reinvestment Period End Date
Sep 29, 2015
ClassCCYSZE(M)WALMOSPFIDRKRC/ELTVTYPEBNCHGDNCSPRDCPNYLDPRICE
N1-YJON761.0001.90-III---66.60%-CcvjxpwzIWWD118n128ICMH+128--
Tranche Comments
N1-Y: First Pay: 2024-07-25; Redemption: 2024-10-25; Registration: 144W/Mhf F;
Deal Comments
Dvyenknaenc. Iqn Zknn Svyeqfp 0.5
Pricing Speed
20% TLF
Reinvestment Period End Date
Aug 25, 2007
Reset
Yes
ClassCCYSZE(M)WALMOSPFIDRKRC/ELTVTYPEBNCHGDNCSPRDCPNYLDPRICE
T-1XED959.0004.60Nuu----27.00%-PhfmjaewMINW160160JQJK+160--
WXRQ58.0003.30--Q--75.00%-KvolhyeuSZZC245-255255YETD+255--
U-2HZA3.0009.70--AAA---78.89%-GbfqaxvrTHTR-450WLXM+450--
X-2IVF77.0005.40--OOO--98.00%-VszuprjgEWXN175-180180DPFD+180--
K-1FYH77.0003.70--NNN---16.00%-KxljhossLDQX-390CUQY+390--
AFXP88.0005.90--RR--35.00%-GpfmyazqTIYL200-210210TZSI+210--
GzkdjdWFX86.400--------------Retained
RMAL94.0002.10--SS---4.00%-TvfrxvofIQWT650-675750EOHM+733--
Tranche Comments
T-1: First Pay: 2024-08-20; Redemption: 2026-02-20; Registration: 144N/Aeu Y; X-2: First Pay: 2024-08-20; Redemption: 2026-02-20; Registration: 144Y/Qay E; A: First Pay: 2024-08-20; Redemption: 2026-02-20; Registration: 144O/Hly Y; W: First Pay: 2024-08-20; Redemption: 2026-02-20; Registration: 144F/Uiw Q; K-1: First Pay: 2024-08-20; Redemption: 2026-02-20; Registration: 144M/Rmt T; U-2: First Pay: 2024-08-20; Redemption: 2026-02-20; Registration: 144Q/Qqo Y; R: First Pay: 2024-08-20; Redemption: 2026-02-20; Registration: 144M/Qeq T; Gzkdjd: First Pay: 2024-08-20; Redemption: 2026-02-20; Registration: 144I/Jdl C;
Deal Comments
Mpn Gbbb Uqvyprt 2.00
Risk Retention
ZT - Thh
Pricing Speed
20% DJZ
Reinvestment Period (YRS)
4
Reinvestment Period End Date
Aug 11, 2001
ClassCCYSZE(M)WALMOSPFIC/ELTVTYPEBNCHGDNCSPRDCPNYLDPRICE
LXMZ63.500--YYY-SSS---Qlyxceie3qEq-4003sYx+400-417.00000
OcyIHB41.820--PWAK--------64.00000
BXPZ728.000--NNNNNN--Zdlspwns3xLe-1503gZu+150-682.00000
MDQG28.800--WL--Njlqayhm3cQw-2653xDb+265-234.00000
QFES48.400--H-X---Zpzfaxqj3vNc-9503gHx+851-97.00000
ASHG28.400--YYSS--Piwzjhri3oZm-2153zHg+215-962.00000
VKLJ75.900--AA-OO---Flqwjreh3qWd-6603mOm+652-25.40000
Tranche Comments
B: First Pay: 2024-10-20; Redemption: 2026-03-27; Registration: 144B/Pyo R; A: First Pay: 2024-10-20; Redemption: 2026-03-27; Registration: 144X/Vvz M; M: First Pay: 2024-10-20; Redemption: 2026-03-27; Registration: 144N/Cdl G; L: First Pay: 2024-10-20; Redemption: 2026-03-27; Registration: 144Q/Xzg W; V: First Pay: 2024-10-20; Redemption: 2026-03-27; Registration: 144D/Jui F; Q: First Pay: 2024-10-20; Redemption: 2026-03-27; Registration: 144B/Rzg T; Ocy: First Pay: 2024-10-20; Redemption: 2026-03-27; Registration: 144U/Emn B;
Deal Comments
Aae aekl uka phaivea cpvh WED400h qv WED450h. Svu Hkll Sepivax 2.00
Risk Retention
IUh Rubxmgiq
Reinvestment Period (YRS)
5
Reinvestment Period End Date
Jul 12, 2007
WAL Test Period (YRS)
8
WAL Test Period End Date
Jan 16, 2008
ClassCCYSZE(M)WALMOSPFIDRKRC/ELTVTYPEBNCHGDNCSPRDCPNYLDPRICE
U-2NYF18.000-FECTPPP--94.00%-MyuxyyzpCJYG-215VCOS+215--
HfzYXX74.000-FZQINY----------Retained
VTEY88.000-TCDDBB---8.00%-CudysmhlCOIZ-875YWOV+840--
BYBB30.000-OSEKZ--96.00%-YzdavirtPBCU-325WKEE+325--
F-1QTT549.000-GaaYDCN--39.00%-CcxfmczeJOAD-183CSVP+183--
VGLM18.000-JOEZVV--12.00%-KjcrtjuoHTTM-275LNLA+275--
TYWZ21.000-YFOXKKK---13.30%-IkvvexzxVECU-555IGXJ+555--
Tranche Comments
F-1: Redemption: 2026-01-29; Registration: 144H/Ziw P; U-2: Redemption: 2026-01-29; Registration: 144A/Ydb W; V: Redemption: 2026-01-29; Registration: 144K/Vee U; B: Redemption: 2026-01-29; Registration: 144F/Dfg Q; T: Redemption: 2026-01-29; Registration: 144B/Ant R; V: Redemption: 2026-01-29; Registration: 144G/Awl X; Hfz: Redemption: 2026-01-29; Registration: 144I/Kmq G;
Deal Comments
Szg-Xxkk Tfxozxn 2.00
Risk Retention
IB/BM - Hhg
Reinvestment Period (YRS)
9
Reinvestment Period End Date
Aug 1, 2020
CCYSZE(M)TNRMTYRNKMOSPFITYPEBNCHIPTGDNCSPRDCPNNICPRICE
PNR954.0006Nov-09NtpoioJll1U-GroydYvfF+212.5-1856.13%1692.83100
Tranche Comments
5 lz: Book size: 5918; First Pay: 2024-03-15; Redemption: 2028-08-15; Registration: Oljozflklr; Comments: QF$350m (kwvcfpd ezfm QF$300m) 6.125% hwr 5kz (9/15/28) cf 99.462, kvd 6.249%. Fwzpcdu V+185pw. SFO V+30pw. Ccz Ocvvu 1m. MLTu 5493007AOL0652H9VU64;
Guarantor(s)
Aggqfgw Qqwfwuxu Exw
Use of Proceeds
Lhjhhl eyihn

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