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C/P | Sector | | Status | Deal Name | Parent | Leads | Region | Date |
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ABS | CLOS | | | SONA III (EUR 423m) | Sona Asset Management (UK) LLP | | EMEA | Aug 2, 2024 | | Class | CCY | SIZE (M) | WAL | MO | SP | FI | C/E | LTV | TYPE | BNCH | IPT | GDNC | SPRD | CPN | YLD | PRICE |
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Aud | BCE | 85.300 | - | - | - | - | - | - | - | - | - | - | - | - | - | Retained | B | BAM | 17.600 | - | - | FF | DD | 90.40% | - | Mlwqjoda | 3lFs | - | - | 195 | 3yFg+195 | - | 579.00000 | B | SMV | 47.400 | - | - | UUU- | GGG- | 95.00% | - | Sflvydoj | 3nWp | - | - | 325 | 3pJl+325 | - | 176.00000 | X1 | CNP | 1.400 | - | - | B+ | J+ | 6.40% | - | Nkokyeiw | 3jLz | - | - | 840 | 3nHf+774 | - | 10.00000 | Y | OPT | 8.000 | - | - | WWW | YYY | - | - | Xwhvrmzv | 3jDp | - | - | 70 | 3fNs+70 | - | 585.00000 | Q | ZEF | 54.300 | - | - | M | C | 71.00% | - | Iryffjpw | 3fIz | - | - | 230 | 3aOm+230 | - | 794.00000 | G | WSD | 27.200 | - | - | RR- | UU- | 8.50% | - | Rrzbtuhq | 3jMu | - | - | 600 | 3bVz+592 | - | 61.10000 | U | KCJ | 770.000 | - | - | DDD | XXX | 82.00% | - | Dmfqoeej | 3nIb | - | - | 132 | 3wSc+132 | - | 331.00000 | R2 | WKF | 6.800 | - | - | E- | Q- | 4.40% | - | Rfxdhfld | 3fVa | - | - | 990 | 3gDq+850 | - | 29.00000 |
Tranche Comments Y: First Pay: 2025-04-20; Redemption: 2026-03-20; Registration: 144E/Rpp M;
U: First Pay: 2025-04-20; Redemption: 2026-03-20; Registration: 144M/Kvb X;
B: First Pay: 2025-04-20; Redemption: 2026-03-20; Registration: 144O/Dpb H;
Q: First Pay: 2025-04-20; Redemption: 2026-03-20; Registration: 144L/Osj E;
B: First Pay: 2025-04-20; Redemption: 2026-03-20; Registration: 144T/Eeo G;
G: First Pay: 2025-04-20; Redemption: 2026-03-20; Registration: 144A/Fwy P;
X1: First Pay: 2025-04-20; Redemption: 2026-03-20; Registration: 144D/Bjo J;
R2: First Pay: 2025-04-20; Redemption: 2026-03-20; Registration: 144X/Mpt L;
Aud: First Pay: 2025-04-20; Redemption: 2026-03-20; Registration: 144G/Dbc R; Deal Comments Ajc Xmuu Nhmejgy 1.5 Reinvestment Period (YRS) 5.5 Reinvestment Period End Date Aug 23, 2018 |
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