GC FTPYME UNNIM 1, F.T.A.

Factsheet

Name: GC FTPYME UNNIM 1, FONDO DE TITULIZACIÓN DE ACTIVOS
VAT Registration No: V-65701674
Issue amount: € 275,000,000
Set-up date: 23 December 2011
Disbursement date: 29 December 2011
Payment dates: 17 March, 17 June, 17 September and 17 December
Liquidation date: 17 December 2053
Legal framework: Ministerial Order PRE/627/2011 of 22th, march, the Royal Decree 926/1998 and Law 19/1992

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Bond Characteristics

SeriesInitial amountCurrent ratingInterest rateISIN Code
SERIE AG (*) € 110,000,000 AA-(sf) (S&P)
A(high)(sf) (DBRS)
Euribor 3M + 0.50% ES0341101006
SERIE AS € 27,500,000 AA-(sf) (S&P)
A(high)(sf) (DBRS)
Euribor 3M +0.75% ES0341101014
SERIE B € 137,500,000 CCC(sf) (DBRS) Euribor 3M + 2.75% ES0341101022

(*) Series AG is endorsed by the Spanish Kingdom

Unitary face value: € 100,000
Amortization: According to amortization of the Loans (“pass through”)
Subordination: The B Series is subordinated respect to series AS and AG
The AS Series is subordinated respect to series AG

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Brochure

- COMPLIANCE OF THE RETENTION COMMITMENT RD 216/2008:

CCR – RD 216/2008

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Rating Agencies

- REPORTS:

SP

DBRS

- RATING ACTIONS:

Rating Actions Notes

Class AG
(ISIN ES0341101006)
Downgraded from ‘AAA(sf)’ to ‘AA+(sf)’ S&P May 2012
Class AS
(ISIN ES0341101014)
Downgraded from ‘AAA(sf)’ to ‘AA+(sf)’ S&P May 2012
Class AG
(ISIN ES0341101006)
Dowgraded from ‘AA+(sf)’ to AA-(sf) (S&P) October 2012
Class AS
(ISIN ES0341101014)
Dowgraded from ‘AA+(sf)’ to AA-(sf) (S&P) October 2012
Class AG
(ISIN ES0341101006)
Downgraded from ‘AAA(sf)’ to ‘A(high)(sf)’ (DBRS) December 2012
Class AS
(ISIN ES0341101014)
Downgraded from ‘AAA(sf)’ to ‘A(high)(sf)’ (DBRS) December 2012

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  • Counterparty

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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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