GC FTPYME PASTOR 1, F.T.A.

Factsheet

Name: GC FTPYME PASTOR 1, FONDO DE TITULIZACIÓN DE ACTIVOS
VAT Registration No: V-63315899
Issue amount: € 225,000,000
Set-up date: 28 October 2003
Disbursement date: 31 October 2003
Payment dates: 15 January, 15 April, 15 July and 15 October
Liquidation date: 15 April 2027
Legal framework: Ministerial Order of 28th December 2001, modified by Order ECO/1064/2003 of 29th April, and Royal Decree 926/1998 and Law 19/1992.

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Bond Characteristics

Series Initial amount Current rating Interest rate ISIN Code
SERIES AS € 130,700,000 AAA(sf) (S&P) Euribor 3M + 0.25% ES0316873019
SERIES AG (*) € 76,300,000 AAA(sf) (S&P) EURIBOR 3M ES0316873001
SERIES B € 6,800,000 A(sf) (S&P) EURIBOR 3M + 0.65% ES0316873027
SERIES C € 11,200,000 BBB(sf) (S&P) EURIBOR 3M + 1.65% ES0316873035

(*) Serie AG is endorsed by the Spanish Kingdom.

Unitary face value: € 100,000
Amortization: As loans are amortized (pass through).
Subordination: The Series B is subordinated to Series AG and AS .
The Series C is subordinated with respect to the remaining Series.

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Brochure



This document is an English-language version of a Spanish Prospectus. No document other than the Spanish Prospectus, which has been verified by the Comisión Nacional del Mercado de Valores, may be considered as having any legal effect whatsoever in respect to the Bonds.

 

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Rating Agencies

- REPORTS:

SP

- RATING ACTIONS:

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  • Significant Events

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  • Data for current quarter

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  • Information of the last Payment Date

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  • Monthly reports

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  • Quaterly reports

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  • Annual report

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  • Delinquencies and Bonds Report

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