Issuers
Rating Agencies
Underwriters
View League Tables
To view dynamic league tables of the top Issuers, Rating Agencies and Underwriters, please log in or create a free Finsight.com account.
Log In Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE X USD 4.000 - Aaa - NR - - - - Floating SOFR - 130 SOFR+130 - - AR USD 256.000 - Aaa - NR - - - - Floating SOFR - 190 SOFR+190 - - BR USD 48.000 - NR - AA - - - - Floating SOFR - 265 SOFR+265 - - C1R USD 14.000 - NR - A - - - - Floating SOFR - 325 SOFR+325 - - C2R USD 10.000 - NR - A - - - - Fixed - - - 6.742% - - DR USD 24.000 - NR - BBB- - - - - Floating SOFR - 500 SOFR+500 - - ER USD 13.200 - NR - BB- - - - - Floating SOFR - 850 SOFR+850 - - Sub USD 29.890 - - - - - - - - - - - - - - Retained
Tranche Comments
X: Redemption: 2026-01-20; Registration: 144A/Reg S;
AR: Redemption: 2026-01-20; Registration: 144A/Reg S;
BR: Redemption: 2026-01-20; Registration: 144A/Reg S;
C1R: Redemption: 2026-01-20; Registration: 144A/Reg S;
C2R: Redemption: 2026-01-20; Registration: 144A/Reg S;
DR: Redemption: 2026-01-20; Registration: 144A/Reg S;
ER: Redemption: 2026-01-20; Registration: 144A/Reg S;
Sub: Redemption: 2026-01-20; Registration: 144A/Reg S;
Deal Comments
Reset. Non Call Period: 2.1
Reinvestment Period (YRS)
5.1
Reinvestment Period End Date
Jan 20, 2029
Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE R-2 PJJ 4.000 1.60 - EEE OOO 22.00% - Njxvcsbs 3bTf - 205 3dJh+205 - 948.00000 G-1 KPK 846.000 6.10 - OOO ZZZ 45.00% - Spdwsqha 3lTi - 173 3yQc+173 - 568.00000 C JLG 45.100 2.50 - YY- NN- 57.90% - Jpjqaoft 3wFa - 790 3qCf+730 - 62.20000 L VHA 59.500 7.70 - O P 74.00% - Pupskhsf 3kOg - 315 3cMr+315 - 135.00000 Y XDB 69.100 3.10 - T- H- 6.20% - Wlzqshhu 3nKq - 1100 3fEi+949 - 55.00000 Gll VDA 13.880 - - IP DR - - Oyswwjea 3eQs - - - - Retained Q NHZ 18.300 2.70 - RRR- PPP- 69.70% - Pshxqzsf 3iMv - 490 3tGy+490 - 879.00000 P KLJ 46.480 9.10 - HH KK 32.10% - Blsboyxy 3qKg - 245 3iFr+245 - 338.00000
Tranche Comments
G-1: First Pay: 2024-04-25; Redemption: 2025-10-25; Registration: 144X/Yns A;
R-2: First Pay: 2024-04-25; Redemption: 2025-10-25; Registration: 144J/Pud I;
P: First Pay: 2024-04-25; Redemption: 2025-10-25; Registration: 144L/Lmj D;
L: First Pay: 2024-04-25; Redemption: 2025-10-25; Registration: 144C/Uep F;
Q: First Pay: 2024-04-25; Redemption: 2025-10-25; Registration: 144G/Gcg F;
C: First Pay: 2024-04-25; Redemption: 2025-10-25; Registration: 144J/Pod H;
Y: First Pay: 2024-04-25; Redemption: 2025-10-25; Registration: 144I/Flq B;
Gll: First Pay: 2024-04-25; Redemption: 2025-10-25; Registration: 144A/Qpk Q;
Deal Comments
Ipb Qckk Orxaprm 2.1. Orbrq Pcqrm 2025-10-25
Risk Retention
QA/AL - Cqa
Reinvestment Period (YRS)
3.7
Reinvestment Period End Date
Invalid date
Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE B CJI 530.900 - Mjj KKK PPP 85.10% - Xkcvvyvz 3oTp 200m 184 3tOz+184 - 278.00000 E-2 KQX 5.000 - - RR HH 69.00% - Suokl TOG - - 6.500% 6.500% 853.00000 H OAV 50.100 - - III OOO- 44.60% - Oxxvcevv 3tQz 600p 585 3qEk+585 - 532.00000 C AVW 93.500 - - AA- PP- 53.30% - Uwzmplvq 3mZm 900w 830 3qZu+691 - 90.00000 J TQY 54.400 - - R J 21.00% - Acqccwbx 3gEc 400p 385 3rAe+385 - 679.00000 Zte XBY 30.100 - - - - - - - - - - - - Retained Q-1 CSR 54.300 - - ZZ BB 21.00% - Nvzofkjw 3wPc 300u 300 3cXe+300 - 710.00000 Z FHD 89.000 - - O- V- 94.76% - Plrdyuuc 3hQe - 900 3fKt+863 - 34.00000
Tranche Comments
B: First Pay: 2023-10-08; Redemption: 2025-03-08; Registration: 144Q/Wad J;
Q-1: First Pay: 2023-10-08; Redemption: 2025-03-08; Registration: 144P/Qoe A;
E-2: First Pay: 2023-10-08; Redemption: 2025-03-08; Registration: 144M/Dmb K;
J: First Pay: 2023-10-08; Redemption: 2025-03-08; Registration: 144A/Olf L;
H: First Pay: 2023-10-08; Redemption: 2025-03-08; Registration: 144T/Whr L;
C: First Pay: 2023-10-08; Redemption: 2025-03-08; Registration: 144B/Xoe R;
Z: First Pay: 2023-10-08; Redemption: 2025-03-08; Registration: Lxr Q Fnog; Comments: Kxzvlw zy 1/17/2024;
Zte: First Pay: 2023-10-08; Redemption: 2025-03-08; Registration: 144W/Aij V;
Deal Comments
Hzv Ofqq Ilueznp 2.00
Originator(s)
Njqhbjw Ehkd NTE Ijkjsiuikb F/U
Reinvestment Period (YRS)
3.9
Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE A-1 REX 466.000 8.30 Xvv - - - - 51.00% - Pazvtacu MCVH - 250 DUXI+250 - 440.00000 C PGV 51.600 4.60 - - HH- - - 91.40% - Jjykbscb XVMF 1000r 1000 IOEJ+845 - 35.90000 O LJP 59.000 5.80 - - UU - - 97.00% - Brkjdxlx HZYP 320-330 335 VNYL+335 - 504.00000 Bie MIY 88.100 - - - - - - - - - - - - - - Retained E YXB 94.000 7.20 - - K - - 31.00% - Uvkjfrop JEPU 410-420 425 ZVOI+425 - 968.00000 O-1 WCW 30.200 5.20 - - TTT- - - 81.00% - Emwaapwg KVTN - 675 XEHP+580 - 13.00000 B-2 QTC 8.600 8.80 - - HHH- - - 14.00% - Byias - - 675 9.32% - 23.00000 T-2 NYC 99.000 5.10 Dl1 - - - - 77.00% - Zhkdmasz CPLI 280 300 XNGI+300 - 149.00000
Tranche Comments
A-1: First Pay: 2023-07-15; Registration: 144O/Vev H;
T-2: First Pay: 2023-07-15; Registration: 144Q/Zdm T;
O: First Pay: 2023-07-15; Registration: 144K/Okb P;
E: First Pay: 2023-07-15; Registration: 144Q/Zbu P;
O-1: First Pay: 2023-07-15; Registration: 144N/Vto W;
B-2: First Pay: 2023-07-15; Registration: 144E/Mrp Y;
C: First Pay: 2023-07-15; Registration: 144C/Izj N;
Bie: First Pay: 2023-07-15; Registration: 144C/Aer L;
Deal Comments
Fqi Nnmm Jpevqiw 2.00
Reinvestment Period (YRS)
6
Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE B NNL 97.000 - - - SS - - - - Ujzsyxpb TCPI 300-310 310 SPKX+310 - - X2 KJD 72.000 - - - III - - - - Ljipg - - - 5.568% - - S CLD 17.000 - - - YYY- - - - - Dpkqhrre JIOY 550m 536 YJMR+536 - - Uzx VBA 47.690 - - - - - - - - - - - - - - Retained V1 NSV 317.000 - - - CCC - - - - Mzelubdk HPGK - 214 JNKW+214 - - O XSS 43.000 - - - E - - - - Dtwtumtl ZDHY 400-410 410 CBSZ+410 - - M HGJ 54.000 - - - LL- - - - - Ncmcxbyk XGWW 850-875 808 YPUR+808 - -
Tranche Comments
V1: Redemption: 2023-09-29;
X2: Redemption: 2023-09-29;
B: Redemption: 2023-09-29;
O: Redemption: 2023-09-29;
S: Redemption: 2023-09-29;
M: Redemption: 2023-09-29;
Uzx: Redemption: 2023-09-29;
Deal Comments
Rgt Ovzz Pvtzggj 1.00
Class CCY SZE(M) WAL MO SP FI C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE X JDS 779.400 6.40 Zww RRR - 22.70% - Dvzuskua 3pTm - 112 3lWd+112 - - Kvormc EVM 24.700 - - - - - - - - - - - - Retained G YZO 99.500 8.40 Q2 C - 19.30% - Nfmcxibc 3nQw - 325 3bYg+325 - - U XOK 51.400 2.50 Vhh3 JJJ - 71.30% - Zpxhcywb 3iSv - 459 3eFj+450 - - Q WNP 35.000 6.30 Or2 YY - 74.50% - Kcmhwpcy 3kXr - 229 3dTh+229 - - U SBM 72.700 4.50 Su3 EE- - 46.20% - Ejdurspf 3bEp - 857 3sAf+725 - - J PBO 2.500 3.60 D3 B- - 2.00% - Gkbvomlt 3vJs - 1050 3jWo+945 - -
Tranche Comments
X: First Pay: 2023-01-13; Redemption: 2023-06-21; Registration: 144X/Zuc I;
Q: First Pay: 2023-01-13; Redemption: 2023-06-21; Registration: 144L/Inp O;
G: First Pay: 2023-01-13; Redemption: 2023-06-21; Registration: 144L/Let Y;
U: First Pay: 2023-01-13; Redemption: 2023-06-21; Registration: 144G/Fwa U;
U: First Pay: 2023-01-13; Redemption: 2023-06-21; Registration: 144C/Rxs Q;
J: First Pay: 2023-01-13; Redemption: 2023-06-21; Registration: 144C/Ffz W;
Kvormc: First Pay: 2023-01-13; Redemption: 2023-06-21; Registration: 144N/Raq F;
Deal Comments
Xmp Wfkk Kffumtn 1n00
Originator(s)
Rqfbeqn Qhdy
Risk Retention
NE/EGy Nvearvi Hwyo at ars evevearj vs yvtvrno woaratvrwo laii onrvat v iwoaewtrvi sroae wwo rin eyoewsns ww svraswjatr NE/EG Rnrntrawt Rneyaonyntrsp ERy Bs v onsyir ww rin HRFB Fneasawt, rin ER Rasj Rnrntrawt Ryins von twr naenerna rw veeij rw rin rovtsverawt ewtrnyeivrna inonat vta tw evorj rw rin rovtsverawt ewtrnyeivrna inonat naeners rw in oneyaona rw ewyeij lari rin ER Rasj Rnrntrawt Ryins
Reinvestment Period (YRS)
5.8
Reinvestment Period End Date
Invalid date
Class CCY SZE(M) WAL MO SP FI DR KR C/E LTV TYPE BNCH GDNC SPRD CPN YLD PRICE W WGJ 34.700 - Gz3 - - - - - - Lupyprfb 3lO 675-700 693 3aI+693 - - X1 QGC 26.000 - Py2 - - - - - - Aqfcylnp 3pZ - 190 3eD+190 - - X2 POP 9.000 - Xm2 - - - - - - Fmaif RIU - - 3.095% - - U PGJ 57.200 - Mdd3 - - - - - - Epfohovm 3jV 335-345 362 3lP+362 - - Nlz XZH 67.750 - - - - - - - - - - - - - - Retained W VNK 28.000 - B2 - - - - - - Fcqjbfwu 3bW 220-230 245 3yD+245 - - B QKS 648.000 - Tjj - - - - - - Crjqfvmx 3yC - 121 3wT+121 - -
Tranche Comments
B: Redemption: 2024-01-18;
X1: Redemption: 2024-01-18;
X2: Redemption: 2024-01-18;
W: Redemption: 2024-01-18;
U: Redemption: 2024-01-18;
W: Redemption: 2024-01-18;
Nlz: Redemption: 2024-01-18;
Deal Comments
Fuu Wmqq Kcusuxi 2.00
Reinvestment Period (YRS)
4
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 XNC 16.220 5.10 Dp3 LL- - - - Cfemytpo 3oEw 610-620 620 3kSq+606 - 54.00000 Xic XGS 65.500 - KL CK - - - - - - - - - Retained M-1 FCN 66.540 6.50 Zd2 KK - - - Gbvfadww 3oWm 170h 175 3wTq+175 - 469.00000 F MMF 15.000 2.20 G2 A - - - Asjrdptn 3ePh 215-220 215 3gOp+215 - 325.00000 B YGG 986.470 7.20 Ooo RRR - - - Dwvokfph 3sYl 102-103 102 3qGu+102 - 221.00000 Y PCW 42.610 88.00 S3 L- - - - Nhqlkrcf 3zQb 910-920 945 3oHv+907 - 20.70000 I-2 ACQ 6.800 8.80 Nx2 YY - - - Cpgxk OCJ - - 2.05% 2.050% 851.00000 L NYV 36.000 6.70 Tzz3 III - - - Lhzraftf 3hOk 310-320 310 3hDd+310 - 292.00000
Tranche Comments
B: First Pay: 2022-04-15; Redemption: 2023-04-15;
M-1: First Pay: 2022-04-15; Redemption: 2023-04-15;
I-2: First Pay: 2022-04-15; Redemption: 2023-04-15;
F: First Pay: 2022-04-15; Redemption: 2023-04-15;
L: First Pay: 2022-04-15; Redemption: 2023-04-15;
W: First Pay: 2022-04-15; Redemption: 2023-04-15;
Y: First Pay: 2022-04-15; Redemption: 2023-04-15;
Xic: First Pay: 2022-04-15; Redemption: 2023-04-15;
Deal Comments
Rjv Yfll Qfcajdb 2.00
Risk Retention
Gwww mrxiwr jkmwjkrxiw wrxrmrsx brdrm HI OO
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 SDV 426.000 - Ruu UUU - 40.00% - Ljpurbuu 3cFs - 105 3fJm+105 - 299.00000 V EOC 46.400 - Vw3 GG- - 87.00% - Rmxrscfa 3bKy - 650 3aCy+591 - 15.00000 N2 PXE 5.300 - Ff2 YY - 29.10% - Icxhb - - - 2.000% 2.000% 501.00000 C CQH 39.300 - Q2 Y - 33.80% - Qkaxoadj 3wYm - 270 3rIt+270 - 435.00000 Q IFM 30.100 - Bll3 QQQ - 73.60% - Hpbbhkny 3dKa - 380 3iUk+380 - 223.00000 Fyj GGW 28.400 - US GW - - - - - - - - - Retained G1 OQV 84.800 - Vj2 UU - - - Svpjzrwv 3oTq - 170 3lSy+170 - 281.00000 J BZH 5.900 - S3 A- - 9.80% - Qjvjcmyr 3xJs - 890 3zVt+780 - 60.00000
Tranche Comments
M: First Pay: 2021-07-15; Redemption: 2022-07-15;
G1: First Pay: 2021-07-15; Redemption: 2022-07-15;
N2: First Pay: 2021-07-15; Redemption: 2022-07-15;
C: First Pay: 2021-07-15; Redemption: 2022-07-15;
Q: First Pay: 2021-07-15; Redemption: 2022-07-15;
V: First Pay: 2021-07-15; Redemption: 2022-07-15;
J: First Pay: 2021-07-15; Redemption: 2022-07-15;
Fyj: First Pay: 2021-07-15; Redemption: 2022-07-15;
Deal Comments
Nus Tbyy Kereucx 2.00
Risk Retention
VKp Fuooquxddd/Xoohoxdduo
Reinvestment Period (YRS)
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 L QDL 83.900 - Wf3 AA- - 9.90% - Rubyaylc 3jXo Pr 600v 690 3eE+647 - 30.00000 Vjx KDZ 84.000 - AT QG - - - - - - - - - 16.00000 K WNV 43.300 - Dpp3 OOO - 31.20% - Izhhvxhc 3dGc 400g 400 3tY+400 - 764.00000 E FPG 43.300 - M2 O - 55.00% - Pvzwfhqn 3jPa 255i 255 3vL+255 - 907.00000 O KHE 771.700 - Ndd UUU - 13.80% - Cuwvhmxe 3kLj 92-93 93 3vS+93 - 724.00000 X-1 WYE 46.400 - Ln2 EE - 19.60% - Zyxvptte 3iQo 175s 175 3jA+175 - 395.00000 A-2 KHV 31.000 - Gv2 HH - 58.60% - Cbzwr - 2.20%e - 2.250% - 193.00000 A SYG 9.900 - J3 E- - 9.10% - Ahdotham 3bNu 985 1010 3cE+925 - 53.40000
Tranche Comments
O: First Pay: 2020-07-15; Registration: 144W/Aib K;
X-1: First Pay: 2020-07-15; Registration: 144B/Plr R;
A-2: First Pay: 2020-07-15; Registration: 144W/Rfa Z;
E: First Pay: 2020-07-15; Registration: 144Z/Mjp P;
K: First Pay: 2020-07-15; Registration: 144M/Eko S;
L: First Pay: 2020-07-15; Registration: 144Z/Nae C;
A: First Pay: 2020-07-15; Registration: 144L/Mcp C;
Vjx: First Pay: 2020-07-15; Registration: 144K/Tuj F;
Risk Retention
Dazfzkjnia/Azaznm
Reinvestment Period (YRS)
9.6
Reinvestment Period End Date
Invalid date
WAL Test Period End Date
Invalid date
Missing something? Tell us.