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Research On Demand - Details
Lease Receivables spread analysis - 2nd qtr 2004 (ENG/ITA)
Talete Creative Finance
The report produced by Securitisation.it concerns lease receivables transactions presented in the Deals page of the site. The analysis of the spreads of the senior and mezzanine tranches covers the period: 1st qtr 2000 - 2nd qtr 2004. The first two graphs (Spreads Senior/Mezzanine Tranches AAA/A - 3m Euribor) show the spreads ordered by the date of issue. The second two graphs (Senior/Mezzanine Tranches AAA/A - SPREAD vs EXPECTED MATURITY- 3m Euribor) show the spreads ordered by expected maturity # UPDATE 2nd QTR 2004 #
Il report prodotto da Securitisation.it è relativo alle operazioni sui lease receivable presenti nella pagina Deals del sito. L'analisi degli spread delle tranche senior e mezzanine comprende il periodo: 1mo trim. 2000 - 2ndo trim. 2004. I primi due grafici (Spread Senior/Mezzanine Tranches AAA/A - 3m Euribor) mostrano gli spread ordinanti in base alla data di collocamento delle tranche. I secondi due grafici (Senior/Mezzanine Tranches AAA/A - SPREAD vs EXPECTED MATURITY- 3m Euribor) mostrano gli spread ordinati in base alla expected maturity. # Aggiornamento 2ndo trim. 2004 #
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