STACR® Pricing
Detailed STACR issuance information for each transaction, such as tranche pricing, issuance amounts, and original ratings, can be accessed below.
Pricing
- Closing Date
- First Payment Date
- Aggregation Period
- Call Term (Years)
- Expected Call Date
- Maturity Term (Years)
- Maturity Date
- Called/Paid Off
- Total Bond Issuance
- Bond Issuance
- Benchmark
- Spread
- Minimum Credit Enhancement
- Initial Credit Enhancement
- Rating
STACR 2024-DNA3
- Closing date 10/16/2024
- First Payment Date 11/25/2024
- Aggregation Period Oct 1 2023-Dec 31 2023
- Call Term (Years) 5
- Expected Call Date 10/25/2029
- Maturity Term (Years) 20
- Maturity Date 10/25/2044
- Called/Paid Off N/A
- Total Bond Issuance $642,500,000
-
Bond Issuance
- A-1: $233,500,000
- M-1: $280,500,000
- M-2: $128,500,000
- Benchmark SOFR
-
Spread
- A-1: 1.05%
- M-1: 1.00%
- M-2: 1.45%
- Minimum Credit Investment 4.00%
-
Initial Credit Investment
- A-H: 5.00%
- A-1: 4.00%
- M-1: 2.80%
- M-2: 2.25%
- STACR Rating
STACR 2024-HQA2
- Closing date 09/10/2024
- First Payment Date 09/25/2024
- Aggregation Period May 1 2023-July 31 2023
- Call Term (Years) 5
- Expected Call Date 08/25/2029
- Maturity Term (Years) 20
- Maturity Date 08/25/2044
- Called/Paid Off N/A
- Total Bond Issuance $853,000,000
-
Bond Issuance
- A-1: $316,000,000
- M-1: $316,000,000
- M-2: $221,000,000
- Benchmark SOFR
-
Spread
- A-1: 1.25%
- M-1: 1.20%
- M-2: 1.80%
- Minimum Credit Investment 4.00%
-
Initial Credit Investment
- A-H: 5.00%
- A-1: 4.00%
- M-1: 3.00%
- M-2: 2.30%
- STACR Rating
STACR 2024-DNA2
- Closing date 05/21/2024
- First Payment Date 06/25/2024
- Aggregation Period May 1 2023-July 31 2023
- Call Term (Years) 5
- Expected Call Date 05/25/2029
- Maturity Term (Years) 20
- Maturity Date 05/25/2044
- Called/Paid Off N/A
- Total Bond Issuance $1,005,000,000
-
Bond Issuance
- A-1: $457,000,000
- M-1: $457,000,000
- M-2: $91,000,000
- Benchmark SOFR
-
Spread
- A-1: 1.25%
- M-1: 1.20%
- M-2: 1.70%
- Minimum Credit Investment 4.00%
-
Initial Credit Investment
- A-H: 5.50%
- A-1: 4.00%
- M-1: 2.50%
- M-2: 2.20%
- STACR Rating
STACR 2024-HQA1
- Closing date 03/19/2024
- First Payment Date 04/25/2024
- Aggregation Period Jan 1 2023-March 31 2023
- Call Term (Years) 5
- Expected Call Date 03/25/2029
- Maturity Term (Years) 20
- Maturity Date 03/25/2044
- Called/Paid Off N/A
- Total Bond Issuance $712,000,000
-
Bond Issuance
- A-1: $241,000,000
- M-1: $241,000,000
- M-2: $230,000,000
- Benchmark SOFR
-
Spread
- A-1: 1.25%
- M-1: 1.25%
- M-2: 2.00%
- Minimum Credit Investment 4.40%
-
Initial Credit Investment
- A-H: 5.50%
- A-1: 4.40%
- M-1: 3.30%
- M-2: 2.25%
- STACR Rating
STACR 2024-DNA1
- Closing date 02/09/2024
- First Payment Date 03/25/2024
- Aggregation Period Jan 1 2023-Mar 31 2023
- Call Term (Years) 5
- Expected Call Date 02/25/2029
- Maturity Term (Years) 20
- Maturity Date 02/25/2044
- Called/Paid Off N/A
- Total Bond Issuance $572,000,000
-
Bond Issuance
- A-1: $217,000,000
- M-1: $234,000,000
- M-2: $121,000,000
- Benchmark SOFR
-
Spread
- A-1: 1.35%
- M-1: 1.35%
- M-2: 1.95%
- Minimum Credit Investment 4.25%
-
Initial Credit Investment
- A-H: 5.50%
- A-1: 4.25%
- M-1: 2.90%
- M-2: 2.20%
- STACR Rating
STACR 2023-HQA3
- Closing date 11/13/2023
- First Payment Date 12/25/2023
- Aggregation Period Jul 16 2022-Aug 31 2022
- Call Term (Years) 5
- Expected Call Date 11/25/2028
- Maturity Term (Years) 20
- Maturity Date 11/25/2043
- Called/Paid Off N/A
- Total Bond Issuance $636,000,000
-
Bond Issuance
- A-1: $212,000,000
- M-1: $212,000,000
- M-2: $212,000,000
- Benchmark SOFR
-
Spread
- A-1: 1.85%
- M-1: 1.85%
- M-2: 3.35%
- Minimum Credit Investment 4.25%
-
Initial Credit Investment
- A-H: 5.25%
- A-1: 4.25%
- M-1: 3.25%
- M-2: 2.25%
- STACR Rating
STACR 2023-HQA2
- Closing date 06/27/2023
- First Payment Date 07/25/2023
- Aggregation Period Nov 1 2022-Dec 31 2022
- Call Term (Years) 5
- Expected Call Date 06/25/2028
- Maturity Term (Years) 20
- Maturity Date 06/25/2043
- Called/Paid Off N/A
- Total Bond Issuance $512,000,000
-
Bond Issuance
- M-1A: $236,000,000
- M-1B: $211,000,000
- M-2: $65,000,000
- Benchmark SOFR
-
Spread
- M-1A: 2.00%
- M-1B: 3.35%
- M-2: 3.85%
- Minimum Credit Investment 5.75%
-
Initial Credit Investment
- A-H: 5.75%
- M-1A: 4.30%
- M-1B: 3.00%
- M-2: 2.60%
- STACR Rating
STACR 2023-HQA1
- Closing date 05/22/2023
- First Payment Date 06/25/2023
- Aggregation Period Jan 1 2022-Jan 31 2022
- Call Term (Years) 5
- Expected Call Date 05/25/2028
- Maturity Term (Years) 20
- Maturity Date 05/25/2043
- Called/Paid Off N/A
- Total Bond Issuance $317,000,000
-
Bond Issuance
- M-1A: $127,000,000
- M-1B: $127,000,000
- M-2: $63,000,000
- Benchmark SOFR
-
Spread
- M-1A: 2.00%
- M-1B: 3.50%
- M-2: 5.50%
- Minimum Credit Investment 4.00%
-
Initial Credit Investment
- A-H: 4.00%
- M-1A: 3.00%
- M-1B: 2.00%
- M-2: 1.50%
- STACR Rating
STACR 2023-DNA2
- Closing date 04/21/2023
- First Payment Date 05/25/2023
- Aggregation Period Aug 1 2022-Aug 31 2022
- Call Term (Years) 5
- Expected Call Date 04/25/2028
- Maturity Term (Years) 20
- Maturity Date 04/25/2043
- Called/Paid Off N/A
- Total Bond Issuance $762,000,000
-
Bond Issuance
- M-1A: $382,000,000
- M-1B: $127,000,000
- M-2: $169,000,000
- B-1: $84,000,000
- Benchmark SOFR
-
Spread
- M-1A: 2.10%
- M-1B: 3.25%
- M-2: 5.70%
- B-1: 7.60%
- Minimum Credit Investment 5.5%
-
Initial Credit Investment
- A-H: 5.50
- M-1A: 3.25%
- M-1B: 2.50%
- M-2: 1.50%
- B-1: 1.00%
- STACR Rating
STACR 2023-DNA1
- Closing date 03/10/2023
- First Payment Date 04/25/2023
- Aggregation Period July 1 2022-July 31 2022
- Call Term (Years) 5
- Expected Call Date 03/25/2028
- Maturity Term (Years) 20
- Maturity Date 03/25/2043
- Called/Paid Off N/A
- Total Bond Issuance $611,000,000
-
Bond Issuance
- M-1A: $282,000,000
- M-1B: $99,000,000
- M-2: $148,000,000
- B-1: $82,000,000
- Benchmark SOFR
-
Spread
- M-1A: 2.10%
- M-1B: 3.10%
- M-2: 5.50%
- B-1: 8.15%
- Minimum Credit Investment 5.25%
-
Initial Credit Investment
- A-H: 5.25%
- M-1A: 3.25%
- M-1B: 2.55%
- M-2: 1.50%
- B-1: 0.75%
- STACR Rating
STACR 2022-DNA7
- Closing date 09/30/2022
- First Payment Date 10/25/2022
- Aggregation Period Feb 1 2022 - Feb 28 2022
- Call Term (Years) 5
- Expected Call Date 09/25/2027
- Maturity Term (Years) 20
- Maturity Date 09/25/2042
- Called/Paid Off N/A
- Total Bond Issuance $517,000,000
-
Bond Issuance
- M-1A: $237,000,000
- M-1B: $180,000,000
- M-2: $100,000,000
- Benchmark SOFR
-
Spread
- M-1A: 2.50%
- M-1B: 5.00%
- M-2: 7.00%
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.75%
- M-1A: 3.50%
- M-1B: 2.55%
- M-2: 1.50%
- STACR Rating
STACR 2022-DNA6
- Closing date 09/16/2022
- First Payment Date 10/25/2022
- Aggregation Period Jan 1 2022 - Jan 31 2022
- Call Term (Years) 5
- Expected Call Date 09/25/2027
- Maturity Term (Years) 20
- Maturity Date 09/25/2042
- Called/Paid Off N/A
- Total Bond Issuance $1,165,000,000
-
Bond Issuance
- M-1A: $388,000,000
- M-1B: $473,000,000
- M-2: $304,000,000
- Benchmark SOFR
-
Spread
- M-1A: 2.15%
- M-1B: 3.70%
- M-2: 5.75%
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.75%
- M-1A: 3.60%
- M-1B: 2.20%
- M-2: 1.30%
- STACR Rating
STACR 2022-HQA3
- Closing date 08/12/2022
- First Payment Date 09/25/2022
- Aggregation Period Nov 1 2021 - Nov 30 2021
- Call Term (Years) 5
- Expected Call Date 08/25/2027
- Maturity Term (Years) 20
- Maturity Date 08/25/2042
- Called/Paid Off N/A
- Total Bond Issuance $540,000,000
-
Bond Issuance
- M-1A: $285,000,000
- M-1B: $146,000,000
- M-2: $109,000,000
- Benchmark SOFR
-
Spread
- M-1A: 2.30%
- M-1B: 3.55%
- M-2: 5.35%
- Minimum Credit Investment 4.95%
-
Initial Credit Investment
- A-H: 4.95%
- M-1A: 3.00%
- M-1B: 2.00%
- M-2: 1.25%
- STACR Rating
STACR 2022-HQA2
- Closing date 07/29/2022
- First Payment Date 08/25/2022
- Aggregation Period Oct 1 2021 - Oct 31 2021
- Call Term (Years) 5
- Expected Call Date 07/25/2027
- Maturity Term (Years) 20
- Maturity Date 07/25/2042
- Called/Paid Off N/A
- Total Bond Issuance $627,000,000
-
Bond Issuance
- M-1A: $300,000,000
- M-1B: $187,000,000
- M-2: $140,000,000
- Benchmark SOFR
-
Spread
- M-1A: 2.65%
- M-1B: 4.00%
- M-2: 6.00%
- Minimum Credit Investment 4.6%
-
Initial Credit Investment
- A-H: 4.60%
- M-1A: 3.00%
- M-1B: 2.00%
- M-2: 1.25%
- STACR Rating
STACR 2022-DNA5
- Closing date 06/17/2022
- First Payment Date 07/25/2022
- Aggregation Period Dec 1 2021 - Dec 31 2021
- Call Term (Years) 5
- Expected Call Date 06/25/2027
- Maturity Term (Years) 20
- Maturity Date 06/25/2042
- Called/Paid Off N/A
- Total Bond Issuance $1,422,000,000
-
Bond Issuance
- M-1A: $519,000,000
- M-1B: $488,000,000
- M-2: $251,000,000
- B-1: $82,000,000
- B-2: $82,000,000
- Benchmark SOFR
-
Spread
- M-1A: 2.95%
- M-1B: 4.50%
- M-2: 6.75%
- B-1: 7.50%
- B-2: 12.90%
- Minimum Credit Investment 5.25%
-
Initial Credit Investment
- A-H: 5.25%
- M-1A: 3.60%
- M-1B: 2.05%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2022-DNA4
- Closing date 05/13/2022
- First Payment Date 06/25/2022
- Aggregation Period Nov 1 2021 - Nov 31 2021
- Call Term (Years) 5
- Expected Call Date 05/25/2027
- Maturity Term (Years) 20
- Maturity Date 05/25/2042
- Called/Paid Off N/A
- Total Bond Issuance $1,519,000,000
-
Bond Issuance
- M-1A: $554,000,000
- M-1B: $537,000,000
- M-2: $252,000,000
- B-1: $88,000,000
- B-2: $88,000,000
- Benchmark SOFR
-
Spread
- M-1A: 2.20%
- M-1B: 3.35%
- M-2: 5.25%
- B-1: 6.25%
- B-2: 10.25%
- Minimum Credit Investment 5.25%
-
Initial Credit Investment
- A-H: 5.25%
- M-1A: 3.60%
- M-1B: 2.00%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2022-DNA3
- Closing date 04/18/2022
- First Payment Date 05/25/2022
- Aggregation Period Oct 1 2021 - Oct 31 2021
- Call Term (Years) 5
- Expected Call Date 04/25/2027
- Maturity Term (Years) 20
- Maturity Date 04/25/2042
- Called/Paid Off N/A
- Total Bond Issuance $1,842,000,000
-
Bond Issuance
- M-1A: $672,000,000
- M-1B: $651,000,000
- M-2: $305,000,000
- B-1: $107,000,000
- B-2: $107,000,000
- Benchmark SOFR
-
Spread
- M-1A: 2.00%
- M-1B: 2.90%
- M-2: 4.35%
- B-1: 5.65%
- B-2: 9.75%
- Minimum Credit Investment 5.25%
-
Initial Credit Investment
- A-H: 5.25%
- M-1A: 3.60%
- M-1B: 2.00%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2022-HQA1
- Closing date 03/18/2022
- First Payment Date 04/25/2022
- Aggregation Period Jul 1 2021 - Aug 31 2021
- Call Term (Years) 5
- Expected Call Date 03/25/2027
- Maturity Term (Years) 20
- Maturity Date 03/25/2042
- Called/Paid Off N/A
- Total Bond Issuance $1,816,000,000
-
Bond Issuance
- M-1A: $534,000,000
- M-1B: $491,000,000
- M-2: $455,000,000
- B-1: $168,000,000
- B-2: $168,000,000
- Benchmark SOFR
-
Spread
- M-1A: 2.10%
- M-1B: 3.50%
- M-2: 5.25%
- B-1: 7.00%
- B-2: 11.00%
- Minimum Credit Investment 5.00%
-
Initial Credit Investment
- A-H: 5.00%
- M-1A: 3.75%
- M-1B: 2.60%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2022-DNA2
- Closing date 02/11/2022
- First Payment Date 03/25/2022
- Aggregation Period Aug 1 2021 - Aug 31 2021
- Call Term (Years) 5
- Expected Call Date 02/25/2027
- Maturity Term (Years) 20
- Maturity Date 02/25/2042
- Called/Paid Off N/A
- Total Bond Issuance $1,919,000,000
-
Bond Issuance
- M-1A: $576,000,000
- M-1B: $597,000,000
- M-2: $320,000,000
- B-1: $213,000,000
- B-2: $213,000,000
- Benchmark SOFR
-
Spread
- M-1A: 1.30%
- M-1B: 2.40%
- M-2: 3.75%
- B-1: 4.75%
- B-2: 8.50%
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.75%
- M-1A: 3.40%
- M-1B: 2.00%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2022-DNA1
- Closing date 01/21/2022
- First Payment Date 02/25/2022
- Aggregation Period Jul 1 2021 - Jul 31 2021
- Call Term (Years) 5
- Expected Call Date 01/25/2027
- Maturity Term (Years) 20
- Maturity Date 01/25/2042
- Called/Paid Off N/A
- Total Bond Issuance $1,353,000,000
-
Bond Issuance
- M-1A: $478,000,000
- M-1B: $318,000,000
- M-2: $239,000,000
- B-1: $159,000,000
- B-2: $159,000,000
- Benchmark SOFR
-
Spread
- M-1A: 1.00%
- M-1B: 1.85%
- M-2: 2.50%
- B-1: 3.40%
- B-2: 7.10%
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.50%
- M-1A: 3.00%
- M-1B: 2.00%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2021-HQA4
- Closing date 12/10/2021
- First Payment Date 01/25/2022
- Aggregation Period Apr 1 2021 - Jun 30 2021
- Call Term (Years) 5
- Expected Call Date 12/25/2026
- Maturity Term (Years) 20
- Maturity Date 12/25/2041
- Called/Paid Off N/A
- Total Bond Issuance $963,000,000
-
Bond Issuance
- M-1: $445,000,000
- M-2: $222,000,000
- B-1: $148,000,000
- B-2: 148,000,000
- Benchmark SOFR
-
Spread
- M-1: 0.95%
- M-2: 2.35%
- B-1: 3.75%
- B-2: 7.00%
- Minimum Credit Investment 3.75%
-
Initial Credit Investment
- A-H: 3.50%
- M-1: 2.00%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2021-DNA7
- Closing date 11/12/2021
- First Payment Date 12/25/2021
- Aggregation Period Apr 1 2021 - Jun 30 2021
- Call Term (Years) 5
- Expected Call Date 11/25/2026
- Maturity Term (Years) 20
- Maturity Date 11/25/2041
- Called/Paid Off N/A
- Total Bond Issuance $1,276,000,000
-
Bond Issuance
- M-1: $319,000,000
- M-2: $287,000,000
- B-1: $351,000,000
- B-2: 319,000,000
- Benchmark SOFR
-
Spread
- M-1: 0.85%
- M-2: 1.80%
- B-1: 3.65%
- B-2: 7.80%
- Minimum Credit Investment 2.50%
-
Initial Credit Investment
- A-H: 2.25%
- M-1: 1.75%
- M-2: 1.30%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2021-DNA6
- Closing date 10/29/2021
- First Payment Date 11/25/2021
- Aggregation Period Jan 1 2021 - Mar 31 2021
- Call Term (Years) 5
- Expected Call Date 10/25/2026
- Maturity Term (Years) 20
- Maturity Date 10/25/2041
- Called/Paid Off N/A
- Total Bond Issuance $1,484,000,000
-
Bond Issuance
- M-1: $212,000,000
- M-2: $424,000,000
- B-1: $424,000,000
- B-2: $424,000,000
- Benchmark SOFR
-
Spread
- M-1: 0.80%
- M-2: 1.50%
- B-1: 3.40%
- B-2: 7.50%
- Minimum Credit Investment 2.25%
-
Initial Credit Investment
- A-H: 2.00%
- M-1: 1.75%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2021-HQA3
- Closing date 09/30/2021
- First Payment Date 10/25/2021
- Aggregation Period Jan 1 2021 - Mar 31 2021
- Call Term (Years) 5
- Expected Call Date 09/25/2026
- Maturity Term (Years) 20
- Maturity Date 09/25/2041
- Called/Paid Off N/A
- Total Bond Issuance $1,071,000,000
-
Bond Issuance
- M-1: $447,000,000
- M-2: $268,000,000
- B-1: $178,000,000
- B-2: $178,000,000
- Benchmark SOFR
-
Spread
- M-1: 0.85%
- M-2: 2.10%
- B-1: 3.35%
- B-2: 6.25%
- Minimum Credit Investment 3.50%
-
Initial Credit Investment
- A-H: 3.25%
- M-1: 2.00%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2021-DNA5
- Closing date 07/23/2021
- First Payment Date 08/25/2021
- Aggregation Period Nov 1 2020 - Dec 31 2020
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 12.5
- Maturity Date 01/25/2034
- Called/Paid Off N/A
- Total Bond Issuance $1,186,000,000
-
Bond Issuance
- M-1: $169,000,000
- M-2: $339,000,000
- B-1: $339,000,000
- B-2: $339,000,000
- Benchmark SOFR
-
Spread
- M-1: 0.65%
- M-2: 1.65%
- B-1: 3.05%
- B-2: 5.50%
- Minimum Credit Investment 2.00%
-
Initial Credit Investment
- A-H: 2.00%
- M-1: 1.75%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2021-HQA2
- Closing date 06/25/2021
- First Payment Date 07/25/2021
- Aggregation Period Oct 1 2020 - Dec 31 2020
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 12.5
- Maturity Date 12/25/2033
- Called/Paid Off N/A
- Total Bond Issuance $550,000,000
-
Bond Issuance
- M-1: $100,000,000
- M-2: $250,000,000
- B-1: $100,000,000
- B-2: $100,000,000
- Benchmark SOFR
-
Spread
- M-1: 0.70%
- M-2: 2.05%
- B-1: 3.15%
- B-2: 5.45%
- Minimum Credit Investment 3.25%
-
Initial Credit Investment
- A-H: 3.00%
- M-1: 2.50%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2021-DNA3
- Closing date 04/23/2021
- First Payment Date 05/25/2021
- Aggregation Period Oct 1 2020 - Oct 31 2020
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 12.5
- Maturity Date 10/25/2033
- Called/Paid Off N/A
- Total Bond Issuance $950,000,000
-
Bond Issuance
- M-1: $211,000,000
- M-2: $317,000,000
- B-1: $211,000,000
- B-2: $211,000,000
- Benchmark SOFR
-
Spread
- M-1: 0.75%
- M-2: 2.10%
- B-1: 3.50%
- B-2: 6.25%
- Minimum Credit Investment 2.75%
-
Initial Credit Investment
- A-H: 2.50%
- M-1: 2.00%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2021-DNA2
- Closing date 03/09/2021
- First Payment Date 03/25/2021
- Aggregation Period Aug 2020 - Sep 2020
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 12.5
- Maturity Date 08/25/2033
- Called/Paid Off N/A
- Total Bond Issuance $1,188,000,000
-
Bond Issuance
- M-1: $264,000,000
- M-2: $396,000,000
- B-1: $264,000,000
- B-2: $264,000,000
- Benchmark SOFR
-
Spread
- M-1: 0.80%
- M-2: 2.30%
- B-1: 3.40%
- B-2: 6.00%
- Minimum Credit Investment 2.75%
-
Initial Credit Investment
- A-H: 2.50%
- M-1: 2.00%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2021-HQA1
- Closing date 02/23/2021
- First Payment Date 03/25/2021
- Aggregation Period Jul 2020 - Sep 2020
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 12.5
- Maturity Date 08/25/2033
- Called/Paid Off N/A
- Total Bond Issuance $1,386,000,000
-
Bond Issuance
- M-1: $335,000,000
- M-2: $560,000,000
- B-1: $223,000,000
- B-2: $268,000,000
- Benchmark SOFR
-
Spread
- M-1: 0.70%
- M-2: 2.25%
- B-1: 3.00%
- B-2: 5.00%
- Minimum Credit Investment 3.50%
-
Initial Credit Investment
- A-H: 3.25%
- M-1: 2.50%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2021-DNA1
- Closing date 01/29/2021
- First Payment Date 02/25/2021
- Aggregation Period Jul 2020 - Aug 15 2020
- Call Term (Years) 10
- Expected Call Date 01/25/2031
- Maturity Term (Years) 30
- Maturity Date 01/25/2051
- Called/Paid Off N/A
- Total Bond Issuance $970,000,000
-
Bond Issuance
- M-1: $208,000,000
- M-2: $310,000,000
- B-1: $208,000,000
- B-2: $244,000,000
- Benchmark SOFR
-
Spread
- M-1: 0.65%
- M-2: 1.80%
- B-1: 2.65%
- B-2: 4.75%
- Minimum Credit Investment 2.75%
-
Initial Credit Investment
- A-H: 2.50%
- M-1: 2.00%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2020-DNA6
- Closing date 12/18/2020
- First Payment Date 01/25/2021
- Aggregation Period May 16, 2020 - June, 2020
- Call Term (Years) 10
- Expected Call Date 12/25/2030
- Maturity Term (Years) 30
- Maturity Date 12/25/2050
- Called/Paid Off N/A
- Total Bond Issuance $790,000,000
-
Bond Issuance
- M-1: $279,000,000
- M-2: $208,000,000
- B-1: $139,000,000
- B-2: $164,000,000
- Benchmark SOFR
-
Spread
- M-1: 0.90%
- M-2: 2.00%
- B-1: 3.00%
- B-2: 5.65%
- Minimum Credit Investment 3.25%
-
Initial Credit Investment
- A-H: 3.00%
- M-1: 2.00%
- M-2: 1.25%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2020-HQA5
- Closing date 11/20/2020
- First Payment Date 12/25/2020
- Aggregation Period Apr 2020 - June, 2020
- Call Term (Years) 10
- Expected Call Date 11/25/2030
- Maturity Term (Years) 30
- Maturity Date 11/25/2050
- Called/Paid Off N/A
- Total Bond Issuance $1,080,000,000
-
Bond Issuance
- M-1: $300,000,000
- M-2: $375,000,000
- B-1: $225,000,000
- B-2: $180,000,000
- Benchmark SOFR
-
Spread
- M-1: 1.10%
- M-2: 2.60%
- B-1: 4.00%
- B-2: 7.40%
- Minimum Credit Investment 4.00%
-
Initial Credit Investment
- A-H: 3.75%
- M-1: 2.75%
- M-2: 1.50%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2020-DNA5
- Closing date 10/20/2020
- First Payment Date 11/25/2020
- Aggregation Period Apr 2020 - May 15, 2020
- Call Term (Years) 10
- Expected Call Date 10/25/2030
- Maturity Term (Years) 30
- Maturity Date 10/25/2050
- Called/Paid Off N/A
- Total Bond Issuance $1,086,000,000
-
Bond Issuance
- M-1: $308,000,000
- M-2: $308,000,000
- B-1: $231,000,000
- B-2: $239,000,000
- Benchmark SOFR
-
Spread
- M-1: 1.30%
- M-2: 2.80%
- B-1: 4.80%
- B-2: 11.50%
- Minimum Credit Investment 3.75%
-
Initial Credit Investment
- A-H: 3.50%
- M-1: 2.50%
- M-2: 1.50%
- B-1: 0.75%
- B-2: 0.10%
- STACR Rating
STACR 2020-HQA4
- Closing date 09/29/2020
- First Payment Date 10/26/2020
- Aggregation Period Jan 2020 - Mar 2020
- Call Term (Years) 10
- Expected Call Date 09/25/2030
- Maturity Term (Years) 30
- Maturity Date 09/25/2050
- Called/Paid Off N/A
- Total Bond Issuance $680,000,000
-
Bond Issuance
- M-1: $177,000,000
- M-2: $220,000,000
- B-1: $177,000,000
- B-2: $106,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.30%
- M-2: 3.15%
- B-1: 5.25%
- B-2: 9.40%
- Minimum Credit Investment 4.25%
-
Initial Credit Investment
- A-H: 4.00%
- M-1: 3.00%
- M-2: 1.75%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2020-DNA4
- Closing date 08/25/2020
- First Payment Date 09/25/2020
- Aggregation Period Jan 2020 - Mar 2020
- Call Term (Years) 10
- Expected Call Date 08/25/2030
- Maturity Term (Years) 30
- Maturity Date 08/25/2050
- Called/Paid Off N/A
- Total Bond Issuance $1,088,000,000
-
Bond Issuance
- M-1: $295,000,000
- M-2: $368,000,000
- B-1: $300,000,000
- B-2: $125,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.50%
- M-2: 3.75%
- B-1: 6.00%
- B-2: 10.00%
- Minimum Credit Investment 4.50%
-
Initial Credit Investment
- A-H: 4.00%
- M-1: 3.00%
- M-2: 1.75%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2020-HQA3
- Closing date 07/28/2020
- First Payment Date 08/25/2020
- Aggregation Period Oct 2019 - Dec 2019
- Call Term (Years) 10
- Expected Call Date 07/25/2030
- Maturity Term (Years) 30
- Maturity Date 07/25/2050
- Called/Paid Off N/A
- Total Bond Issuance $835,000,000
-
Bond Issuance
- M-1: $160,000,000
- M-2: $350,000,000
- B-1: $225,000,000
- B-2: $100,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.55%
- M-2: 3.60%
- B-1: 5.75%
- B-2: 10.00%
- Minimum Credit Investment 4.50%
-
Initial Credit Investment
- A-H: 4.00%
- M-1: 3.30%
- M-2: 1.75%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2020-DNA3
- Closing date 07/08/2020
- First Payment Date 07/25/2020
- Aggregation Period Oct 2019 - Dec 2019
- Call Term (Years) 10
- Expected Call Date 06/25/2030
- Maturity Term (Years) 30
- Maturity Date 06/25/2050
- Called/Paid Off N/A
- Total Bond Issuance $1,106,000,000
-
Bond Issuance
- M-1: $336,000,000
- M-2: $420,000,000
- B-1: $250,000,000
- B-2: $100,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.50%
- M-2: 3.00%
- B-1: 5.10%
- B-2: 9.35%
- Minimum Credit Investment 4.50%
-
Initial Credit Investment
- A-H: 4.00%
- M-1: 3.00%
- M-2: 1.75%
- B-1: 0.75%
- B-2: 0.25%
- STACR Rating
STACR 2020-HQA2
- Closing date 03/18/2020
- First Payment Date 04/25/2020
- Aggregation Period Jul 2019 - Sep 2019
- Call Term (Years) 10
- Expected Call Date 03/25/2030
- Maturity Term (Years) 30
- Maturity Date 03/25/2050
- Called/Paid Off N/A
- Total Bond Issuance $1,006,000,000
-
Bond Issuance
- M-1: $252,000,000
- M-2: $478,000,000
- B-1: $126,000,000
- B-2: $150,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.10%
- M-2: 3.10%
- B-1: 4.10%
- B-2: 7.60%
- Minimum Credit Investment 4.25%
-
Initial Credit Investment
- A-H: 4.00%
- M-1: 3.00%
- M-2: 1.10%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2020-DNA2
- Closing date 02/19/2020
- First Payment Date 03/25/2020
- Aggregation Period Jul 2019 - Sep 2019
- Call Term (Years) 10
- Expected Call Date 02/25/2030
- Maturity Term (Years) 30
- Maturity Date 02/25/2050
- Called/Paid Off N/A
- Total Bond Issuance $1,169,000,000
-
Bond Issuance
- M-1: $390,000,000
- M-2: $437,000,000
- B-1: $156,000,000
- B-2: $186,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.75%
- M-2: 1.85%
- B-1: 2.50%
- B-2: 4.80%
- Minimum Credit Investment 4.00%
-
Initial Credit Investment
- A-H: 3.75%
- M-1: 2.50%
- M-2: 1.10%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2020-HQA1
- Closing date 02/04/2020
- First Payment Date 02/25/2020
- Aggregation Period Apr 2019 - June 2019
- Call Term (Years) 10
- Expected Call Date 01/25/2030
- Maturity Term (Years) 30
- Maturity Date 01/25/2050
- Called/Paid Off N/A
- Total Bond Issuance $738,000,000
-
Bond Issuance
- M-1: $218,000,000
- M-2: $330,000,000
- B-1: $87,000,000
- B-2: $103,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.75%
- M-2: 1.90%
- B-1: 2.35%
- B-2: 5.10%
- Minimum Credit Investment 4.50%
-
Initial Credit Investment
- A-H: 4.25%
- M-1: 3.00%
- M-2: 1.10%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2020-DNA1
- Closing date 01/28/2020
- First Payment Date 02/25/2020
- Aggregation Period Apr 2019 - June 2019
- Call Term (Years) 10
- Expected Call Date 01/25/2030
- Maturity Term (Years) 30
- Maturity Date 01/25/2050
- Called/Paid Off N/A
- Total Bond Issuance $794,000,000
-
Bond Issuance
- M-1: $212,000,000
- M-2: $350,000,000
- B-1: $106,000,000
- B-2: $126,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.70%
- M-2: 1.70%
- B-1: 2.30%
- B-2: 5.25%
- Minimum Credit Investment 4.00%
-
Initial Credit Investment
- A-H: 3.75%
- M-1: 2.75%
- M-2: 1.10%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2019-FTR4
- Closing date 12/17/2019
- First Payment Date 01/25/2020
- Aggregation Period Apr 2016 - Sep 2017
- Call Term (Years) 10
- Expected Call Date 12/25/2029
- Maturity Term (Years) 28
- Maturity Date 11/25/2047
- Called/Paid Off N/A
- Total Bond Issuance $111,220,000
-
Bond Issuance
- B-2: $111,220,000
- Benchmark 1M LIBOR
-
Spread
- B-2: 5.00%
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.785%
- B-2: 0.10%
- STACR Rating
STACR 2019-FTR3
- Closing date 12/17/2019
- First Payment Date 01/25/2020
- Aggregation Period Apr 2016 - Jul 2017
- Call Term (Years) 10
- Expected Call Date 12/25/2029
- Maturity Term (Years) 28
- Maturity Date 09/25/2047
- Called/Paid Off N/A
- Total Bond Issuance $151,590,000
-
Bond Issuance
- B-2: $151,590,000
- Benchmark 1M LIBOR
-
Spread
- B-2: 4.80%
- Minimum Credit Investment 4.50%
-
Initial Credit Investment
- A-H: 4.51%
- B-2: 0.10%
- STACR Rating
STACR 2019-HQA4
- Closing date 11/19/2019
- First Payment Date 12/25/2019
- Aggregation Period Jan 2019 - Mar 2019
- Call Term (Years) 10
- Expected Call Date 11/25/2029
- Maturity Term (Years) 30
- Maturity Date 11/25/2049
- Called/Paid Off N/A
- Total Bond Issuance $432,000,000
-
Bond Issuance
- M-1: $120,000,000
- M-2: $202,000,000
- B-1: $53,000,000
- B-2: $57,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.77%
- M-2: 2.05%
- B-1: 2.95%
- B-2: 6.60%
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.50%
- M-1: 3.25%
- M-2: 1.15%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2019-DNA4
- Closing date 10/22/2019
- First Payment Date 11/25/2019
- Aggregation Period Jan 2019 - Mar 2019
- Call Term (Years) 10
- Expected Call Date 10/25/2029
- Maturity Term (Years) 30
- Maturity Date 10/25/2049
- Called/Paid Off N/A
- Total Bond Issuance $589,000,000
-
Bond Issuance
- M-1: $148,000,000
- M-2: $280,000,000
- B-1: $74,000,000
- B-2: $87,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.70%
- M-2: 1.95%
- B-1: 2.70%
- B-2: 6.25%
- Minimum Credit Investment 4.25%
-
Initial Credit Investment
- A-H: 4.00%
- M-1: 3.0%
- M-2: 1.10%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2019-HQA3
- Closing date 09/24/2019
- First Payment Date 10/25/2019
- Aggregation Period Oct 2018 - Dec 2018
- Call Term (Years) 10
- Expected Call Date 09/25/2029
- Maturity Term (Years) 30
- Maturity Date 09/25/2049
- Called/Paid Off N/A
- Total Bond Issuance $626,000,000
-
Bond Issuance
- M-1: $140,000,000
- M-2: $280,000,000
- B-1: $126,000,000
- B-2: $80,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.75%
- M-2: 1.85%
- B-1: 3.00%
- B-2: 7.50%
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.50%
- M-1: 3.50%
- M-2: 1.50%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2019-FTR2
- Closing date 08/20/2019
- First Payment Date 09/25/2019
- Aggregation Period Jan 2014 - Sep 2018
- Call Term (Years) 10
- Expected Call Date 08/25/2029
- Maturity Term (Years) 29
- Maturity Date 11/25/2048
- Called/Paid Off N/A
- Total Bond Issuance $284,000,000
-
Bond Issuance
- M-1: $82,000,000
- M-2: $114,000,000
- B-1: $42,000,000
- B-2: $46,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.95%
- M-2: 2.15%
- B-1: 3.00%
- B-2: 7.40%
- Minimum Credit Investment 3.75%
-
Initial Credit Investment
- A-H: 3.50%
- M-1: 2.50%
- M-2: 1.10%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2019-DNA3
- Closing date 07/23/2019
- First Payment Date 08/26/2019
- Aggregation Period Oct 2018 - Dec 2018
- Call Term (Years) 10
- Expected Call Date 07/25/2029
- Maturity Term (Years) 30
- Maturity Date 07/25/2049
- Called/Paid Off N/A
- Total Bond Issuance $756,000,000
-
Bond Issuance
- M-1: $180,000,000
- M-2: $390,000,000
- B-1: $90,000,000
- B-2: $96,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.73%
- M-2: 2.05%
- B-1: 3.25%
- B-2: 8.15%
- Minimum Credit Investment 4.50%
-
Initial Credit Investment
- A-H: 4.25%
- M-1: 3.25%
- M-2: 1.10%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2019-HRP1
- Closing date 06/18/2019
- First Payment Date 07/25/2019
- Aggregation Period Jan 2009 - Dec 2018
- Call Term (Years) 10
- Expected Call Date 06/25/2029
- Maturity Term (Years) 30
- Maturity Date 02/25/2049
- Called/Paid Off N/A
- Total Bond Issuance $281,000,000
-
Bond Issuance
- M-1: $33,000,000
- M-2: $112,000,000
- M-3: $52,000,000
- B-1: $42,000,000
- B-2: $42,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.75%
- M-2: 1.40%
- M-3: 2.25%
- B-1: 4.05%
- B-2: 9.50%
- Minimum Credit Investment 7.50%
-
Initial Credit Investment
- A-H: 7.00%
- M-1: 6.20%
- M-2: 3.50%
- M-3: 2.25%
- B-1: 1.25%
- B-2: 0.25%
- STACR Rating
STACR 2019-FTR1
- Closing date 05/21/2019
- First Payment Date 06/25/2019
- Aggregation Period Nov 2016 - Nov 2017
- Call Term (Years) 10
- Expected Call Date 05/25/2029
- Maturity Term (Years) 29
- Maturity Date 01/25/2048
- Called/Paid Off N/A
- Total Bond Issuance $140,000,000
-
Bond Issuance
- B-2: $140,000,000
- Benchmark 1M LIBOR
-
Spread
- B-2: 8.35%
- Minimum Credit Investment 3.75%
-
Initial Credit Investment
- A-H: 3.75%
- B-2: 0.10%
- STACR Rating
STACR 2019-HQA2
- Closing date 05/07/2019
- First Payment Date 05/25/2019
- Aggregation Period Jul 2018 - Sep 2018
- Call Term (Years) 10
- Expected Call Date 04/25/2029
- Maturity Term (Years) 30
- Maturity Date 04/25/2049
- Called/Paid Off N/A
- Total Bond Issuance $615,000,000
-
Bond Issuance
- M-1: $140,000,000
- M-2: $280,000,000
- B-1: $125,000,000
- B-2: $70,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.70%
- M-2: 2.05%
- B-1: 4.10%
- B-2: 11.25%
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.50%
- M-1: 3.50%
- M-2: 1.50%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2019-DNA2
- Closing date 03/26/2019
- First Payment Date 04/25/2019
- Aggregation Period Jul 2018 -Sep 2018
- Call Term (Years) 10
- Expected Call Date 03/25/2029
- Maturity Term (Years) 30
- Maturity Date 03/25/2049
- Called/Paid Off N/A
- Total Bond Issuance $608,000,000
-
Bond Issuance
- M-1: $110,000,000
- M-2: $352,000,000
- B-1: $73,000,000
- B-2: $73,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.80%
- M-2: 2.45%
- B-1: 4.35%
- B-2: 10.50%
- Minimum Credit Investment 4.50%
-
Initial Credit Investment
- A-H: 4.25%
- M-1: 3.50%
- M-2: 1.10%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2019-HQA1
- Closing date 02/26/2019
- First Payment Date 03/25/2019
- Aggregation Period Apr 2018 - June 2018
- Call Term (Years) 10
- Expected Call Date 02/25/2029
- Maturity Term (Years) 30
- Maturity Date 02/25/2049
- Called/Paid Off N/A
- Total Bond Issuance $640,000,000
-
Bond Issuance
- M-1: $131,000,000
- M-2: $305,000,000
- B-1: $131,000,000
- B-2: $73,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.90%
- M-2: 2.35%
- B-1: 4.40%
- B-2: 12.25%
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.50%
- M-1: 3.60%
- M-2: 1.50%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2019-DNA1
- Closing date 01/30/2019
- First Payment Date 02/25/2019
- Aggregation Period Apr 2018 - June 2018
- Call Term (Years) 10
- Expected Call Date 01/25/2029
- Maturity Term (Years) 30
- Maturity Date 01/25/2049
- Called/Paid Off N/A
- Total Bond Issuance $714,000,000
-
Bond Issuance
- M-1: $215,000,000
- M-2: $327,000,000
- B-1: $86,000,000
- B-2: $86,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.90%
- M-2: 2.65%
- B-1: 4.65%
- B-2: 10.75%
- Minimum Credit Investment 4.50%
-
Initial Credit Investment
- A-H: 4.25%
- M-1: 3.00%
- M-2: 1.10%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2018-HRP2
- Closing date 11/20/2018
- First Payment Date 12/25/2018
- Aggregation Period Apr 2013 - Dec 2016
- Call Term (Years) 10
- Expected Call Date 11/25/2028
- Maturity Term (Years) 28
- Maturity Date 02/25/2047
- Called/Paid Off N/A
- Total Bond Issuance $1,300,000,000
-
Bond Issuance
- M-1: $170,000,000
- M-2: $226,000,000
- M-3: $452,000,000
- B-1: $226,000,000
- B-2: $226,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.85%
- M-2: 1.25%
- M-3: 2.40%
- B-1: 4.20%
- B-2: 10.50%
- Minimum Credit Investment 6.25%
-
Initial Credit Investment
- A-H: 6.00%
- M-1: 5.25%
- M-2: 4.25%
- M-3: 2.25%
- B-1: 1.25%
- B-2: 0.25%
- STACR Rating
STACR 2018-HQA2
- Closing date 10/24/2018
- First Payment Date 11/26/2018
- Aggregation Period Oct 2017 - Mar 2018
- Call Term (Years) 10
- Expected Call Date 10/25/2028
- Maturity Term (Years) 30
- Maturity Date 10/25/2048
- Called/Paid Off N/A
- Total Bond Issuance $1,000,000,000
-
Bond Issuance
- M-1: $256,000,000
- M-2: $476,000,000
- B-1: $128,000,000
- B-2: $140,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.75%
- M-2: 2.30%
- B-1: 4.25%
- B-2: 11.00%
- Minimum Credit Investment 4.25%
-
Initial Credit Investment
- A-H: 4.00%
- M-1 3.00%
- M-2 1.15%
- B-1 0.65%
- B-2 0.10%
- STACR Rating
STACR 2018-DNA3
- Closing date 09/21/2018
- First Payment Date 10/25/2018
- Aggregation Period Dec 2017 - Mar 2018
- Call Term (Years) 10
- Expected Call Date 09/25/2028
- Maturity Term (Years) 30
- Maturity Date 09/25/2048
- Called/Paid Off N/A
- Total Bond Issuance $820,000,000
-
Bond Issuance
- M-1: $210,000,000
- M-2: $400,000,000
- B-1: $105,000,000
- B-2: $105,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.75%
- M-2: 2.10%
- B-1: 3.90%
- B-2: 7.75%
- Minimum Credit Investment 4.25%
-
Initial Credit Investment
- A-H: 4.00%
- M-1: 3.00%
- M-2: 1.10%
- B-1: 0.60%
- B-2: 0.10%
- STACR Rating
STACR 2018-DNA2
- Closing date 06/20/2018
- First Payment Date 07/25/2018
- Aggregation Period Nov 2016 - Nov 2017
- Call Term (Years) 10
- Expected Call Date 06/25/2028
- Maturity Term (Years) 12.5
- Maturity Date 12/25/2030
- Called/Paid Off N/A
- Total Bond Issuance $1,050,000,000
-
Bond Issuance
- M-1: $350,000,000
- M-2: $525,000,000
- B-1: $175,000,000
- B-2: Retained
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.80%
- M-2: 2.15%
- B-1: 3.70%
- B-2: 10.50% (Indicative)
- Minimum Credit Investment 3.75%
-
Initial Credit Investment
- A-H: 3.50%
- M-1: 2.50%
- M-2: 1.00%
- B-1: 0.50%
- B-2: 0.00%
- STACR Rating
STACR 2018-HRP1
- Closing date 05/21/2018
- First Payment Date 06/25/2018
- Aggregation Period Jan 2012 - Mar 2013
- Call Term (Years) 10
- Expected Call Date 05/25/2028
- Maturity Term (Years) 25
- Maturity Date 05/25/2043
- Called/Paid Off N/A
- Total Bond Issuance $880,000,000
-
Bond Issuance
- M-1: Retained
- M-2: $362,000,000
- B-1: $259,000,000
- B-2: $259,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.80% (Indicative)
- M-2: 1.65%
- B-1: 3.75%
- B-2: 11.75%
- Minimum Credit Investment 4.50%
-
Initial Credit Investment
- A-H: 4.50%
- M-1: 4.25%
- M-2: 2.50%
- B-1: 1.25%
- B-2: 0.00%
- STACR Rating
STACR 2018-HQA1
- Closing date 03/28/2018
- First Payment Date 04/25/2018
- Aggregation Period Apr 2017 - Sep 2017
- Call Term (Years) 10
- Expected Call Date 03/25/2028
- Maturity Term (Years) 12.5
- Maturity Date 09/25/2030
- Called/Paid Off N/A
- Total Bond Issuance $985,000,000
-
Bond Issuance
- M-1: $225,000,000
- M-2: $620,000,000
- B-1: $140,000,000
- B-2: Retained
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.70%
- M-2: 2.30%
- B-1: 4.35%
- B-2: 11.00% (Indicative)
- Minimum Credit Investment 4.25%
-
Initial Credit Investment
- A-H: 4.00%
- M-1: 3.20%
- M-2: 1.00%
- B-1: 0.50%
- B-2: 0.00%
- STACR Rating
STACR 2018-DNA1
- Closing date 01/30/2018
- First Payment Date 02/25/2018
- Aggregation Period Apr 2017 - Jul 2017
- Call Term (Years) 10
- Expected Call Date 01/25/2028
- Maturity Term (Years) 12.5
- Maturity Date 07/25/2030
- Called/Paid Off N/A
- Total Bond Issuance $900,000,000
-
Bond Issuance
- M-1: $230,000,000
- M-2: $540,000,000
- B-1: $130,000,000
- B-2: Retained
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.45%
- M-2: 1.80%
- B-1: 3.15%
- B-2: 9.50% (Indicative)
- Minimum Credit Investment 4.50%
-
Initial Credit Investment
- A-H: 4.00%
- M-1: 3.10%
- M-2: 1.00%
- B-1: 0.50%
- B-2: 0.00%
- STACR Rating
STACR 2017-HRP1
- Closing date 12/13/2017
- First Payment Date 01/25/2018
- Aggregation Period Apr 2009 - Dec 2011
- Call Term (Years) 15
- Expected Call Date 12/25/2032
- Maturity Term (Years) 25
- Maturity Date 12/25/2042
- Called/Paid Off N/A
- Total Bond Issuance $200,000,000
-
Bond Issuance
- Par/Disc./IO
- M-1: Retained
- M-2: $80,000,000 / $20,000,000 / –
- B-1: $50,000,000 / $25,000,000 / $25,000,000
- B-2: – / $25,000,000 / –
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.80% (indicative)
- M-2: 2.45% / 1.25% / –
- B-1: 4.60% / 2.50% / 6.07 Mult
- B-2: – / 3.00% / –
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.50%
- M-1: 3.75%
- M-2: 1.50%
- B-1: 0.75%
- B-2: 0.00%
- STACR Rating
STACR 2017-HQA3
- Closing date 10/18/2017
- First Payment Date 11/25/2017
- Aggregation Period Dec 2016 - Mar 2017
- Call Term (Years) 10
- Expected Call Date 10/25/2027
- Maturity Term (Years) 12.5
- Maturity Date 04/25/2030
- Called/Paid Off N/A
- Total Bond Issuance $600,000,000
-
Bond Issuance
- M-1: $120,000,000
- M-2: $405,000,000
- B-1: $75,000,000
- B-2: Retained
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.55%
- M-2: 2.35%
- B-1: 4.45%
- B-2: 13.00% (Indicative)
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.50%
- M-1: 3.70%
- M-2: 1.00%
- B-1: 0.50%
- B-2: 0.00%
- STACR Rating
STACR 2017-DNA3
- Closing date 10/04/2017
- First Payment Date 10/25/2017
- Aggregation Period Nov 2016 - Mar 2017
- Call Term (Years) 10
- Expected Call Date 09/25/2027
- Maturity Term (Years) 12.5
- Maturity Date 03/25/2030
- Called/Paid Off N/A
- Total Bond Issuance $1,200,000,000
-
Bond Issuance
- M-1: $400,000,000
- M-2: $600,000,000
- B-1: $200,000,000
- B-2: Retained
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.75%
- M-2: 2.50%
- B-1: 4.45%
- B-2: 11.00% (Indicative)
- Minimum Credit Investment 4.00%
-
Initial Credit Investment
- A-H: 3.50%
- M-1: 2.50%
- M-2: 1.00%
- B-1: 0.50%
- B-2: 0.00%
- STACR Rating
STACR 2017-HQA2
- Closing date 06/20/2017
- First Payment Date 07/25/2017
- Aggregation Period Aug 2016 - Nov 2016
- Call Term (Years) 10
- Expected Call Date 06/25/2027
- Maturity Term (Years) 12.5
- Maturity Date 12/25/2029
- Called/Paid Off N/A
- Total Bond Issuance $787,500,000
-
Bond Issuance
- M-1: $225,000,000
- M-2: $450,000,000
- B-1: $112,500,000
- B-2: Retained
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.80%
- M-2: 2.65%
- B-1: 4.75%
- B-2: 12.00% (Indicative)
- Minimum Credit Investment 4.25%
-
Initial Credit Investment
- A-H: 4.00%
- M-1: 3.00%
- M-2: 1.00%
- B-1: 0.50%
- B-2: 0.00%
- STACR Rating
STACR 2017-DNA2
- Closing date 04/11/2017
- First Payment Date 05/25/2017
- Aggregation Period Jul 2016 - Oct 2016
- Call Term (Years) 10
- Expected Call Date 04/25/2027
- Maturity Term (Years) 12.5
- Maturity Date 10/25/2029
- Called/Paid Off N/A
- Total Bond Issuance $1,320,000,000
-
Bond Issuance
- M-1: $516,000,000
- M-2: $559,000,000
- B-1: $215,500,000
- B-2: $30,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.20%
- M-2: 3.45%
- B-1: 5.15%
- B-2: 11.25%
- Minimum Credit Investment 4.00%
-
Initial Credit Investment
- A-H: 3.50%
- M-1: 2.30%
- M-2: 1.00%
- B-1: 0.50%
- B-2: 0.00%
- STACR Rating
STACR 2017-HQA1
- Closing date 02/22/2017
- First Payment Date 03/25/2017
- Aggregation Period Apr 2016 - Jul 2016
- Call Term (Years) 10
- Expected Call Date 02/25/2027
- Maturity Term (Years) 12.5
- Maturity Date 08/25/2029
- Called/Paid Off N/A
- Total Bond Issuance $752,500,000
-
Bond Issuance
- M-1: $210,000,000
- M-2: $472,500,000
- B-1: $55,000,000
- B-2: $15,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.20%
- M-2: 3.55%
- B-1: 5.00%
- B-2: 12.75%
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.25%
- M-1: 3.25%
- M-2: 1.00%
- B-1: 0.50%
- B-2: 0.00%
- STACR Rating
STACR 2017-DNA1
- Closing date 02/07/2017
- First Payment Date 02/25/2017
- Aggregation Period Apr 2016 - Jun 2016
- Call Term (Years) 10
- Expected Call Date 01/25/2027
- Maturity Term (Years) 12.5
- Maturity Date 07/25/2029
- Called/Paid Off N/A
- Total Bond Issuance $802,000,000
-
Bond Issuance
- M-1: $290,000,000
- M-2: $375,500,000
- B-1: $120,000,000
- B-2: $17,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.20%
- M-2: 3.25%
- B-1: 4.95%
- B-2: 10.00%
- Minimum Credit Investment 4.25%
-
Initial Credit Investment
- A-H: 3.75%
- M-1: 2.55%
- M2: 1.00%
- B1: 0.50%
- B2: 0.00%
- STACR Rating
STACR 2016-HQA4
- Closing date 10/25/2016
- First Payment Date 11/25/2016
- Aggregation Period Jan 2016 - Mar 2016
- Call Term (Years) 10
- Expected Call Date 10/25/2026
- Maturity Term (Years) 12.5
- Maturity Date 04/25/2029
- Called/Paid Off N/A
- Total Bond Issuance $478,000,000
-
Bond Issuance
- M-1: $125,000,000
- M-2: $125,000,000
- M-3: $210,000,000
- B: $18,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.80%
- M-2: 1.30%
- M-3: 3.90%
- B: 8.75%
- Minimum Credit Investment 6.00%
-
Initial Credit Investment
- A-H: 5.50%
- M-1: 4.275%
- M-2: 3.05%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2016-DNA4
- Closing date 09/30/2016
- First Payment Date 10/25/2016
- Aggregation Period Jan 2016 - Mar 2016
- Call Term (Years) 10
- Expected Call Date 09/25/2026
- Maturity Term (Years) 12.5
- Maturity Date 03/25/2029
- Called/Paid Off N/A
- Total Bond Issuance $739,000,000
-
Bond Issuance
- M-1: $177,000,000
- M-2: $177,000,000
- M-3: $354,000,000
- B: $31,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.80%
- M-2: 1.30%
- M-3: 3.80%
- B: 8.60%
- Minimum Credit Investment 5.50%
-
Initial Credit Investment
- A-H: 5.00%
- M-1: 4.00%
- M-2: 3.00%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2016-HQA3
- Closing date 09/16/2016
- First Payment Date 10/25/2016
- Aggregation Period Oct 2015 - Dec 2015
- Call Term (Years) 10
- Expected Call Date 09/25/2026
- Maturity Term (Years) 12.5
- Maturity Date 03/25/2029
- Called/Paid Off N/A
- Total Bond Issuance $515,000,000
-
Bond Issuance
- M-1: $143,000,000
- M-2: $148,500,000
- M-3: $203,500,000
- B: $20,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.80%
- M-2: 1.35%
- M-3: 3.85%
- B: 9.00%
- Minimum Credit Investment 6.00%
-
Initial Credit Investment
- A-H: 5.50%
- M-1: 4.20%
- M-2: 2.85%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2016-DNA3
- Closing date 06/14/2016
- First Payment Date 07/25/2016
- Aggregation Period Oct 2015 - Dec 2015
- Call Term (Years) 10
- Expected Call Date 06/25/2026
- Maturity Term (Years) 12.5
- Maturity Date 12/25/2028
- Called/Paid Off N/A
- Total Bond Issuance $795,000,000
-
Bond Issuance
- M-1: $190,000,000
- M-2: $180,500,000
- M-3: $389,500,000
- B: $35,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.10%
- M-2: 2.00%
- M-3: 5.00%
- B: 11.25%
- Minimum Credit Investment 5.50%
-
Initial Credit Investment
- A-H: 5.00%
- M-1: 4.00%
- M-2: 3.05%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2016-HQA2
- Closing date 06/01/2016
- First Payment Date 06/25/2016
- Aggregation Period Jul 2015 - Sep 2015
- Call Term (Years) 10
- Expected Call Date 05/25/2026
- Maturity Term (Years) 12.5
- Maturity Date 11/25/2028
- Called/Paid Off N/A
- Total Bond Issuance $627,000,000
-
Bond Issuance
- M-1: $134,000,000
- M-2: $201,000,000
- M-3: $268,000,000
- B: $24,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.20%
- M-2: 2.25%
- M-3: 5.15%
- B: 11.50%
- Minimum Credit Investment 6.00%
-
Initial Credit Investment
- A-H: 5.50%
- M-1: 4.50%
- M-2: 3.00%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2016-DNA2
- Closing date 05/10/2016
- First Payment Date 05/25/2016
- Aggregation Period Jul 2015 - Sep 2015
- Call Term (Years) 10
- Expected Call Date 04/25/2026
- Maturity Term (Years) 12.5
- Maturity Date 10/25/2028
- Called/Paid Off N/A
- Total Bond Issuance $916,000,000
-
Bond Issuance
- M-1: $187,000,000
- M-2: $198,500,000
- M-3: $495,500,000
- B: $36,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.25%
- M-2: 2.20%
- M-3: 4.65%
- B: 10.50%
- Minimum Credit Investment 5.50%
-
Initial Credit Investment
- A-H: 5.00%
- M-1: 4.15%
- M-2: 3.25%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2016-HQA1
- Closing date 03/15/2016
- First Payment Date 04/25/2016
- Aggregation Period Apr 2015 - June 2015
- Call Term (Years) 10
- Expected Call Date 03/25/2026
- Maturity Term (Years) 12.5
- Maturity Date 09/25/2028
- Called/Paid Off N/A
- Total Bond Issuance $475,000,000
-
Bond Issuance
- M-1: $110,000,000
- M-2: $120,000,000
- M-3: $220,000,000
- B: $25,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.75%
- M-2: 2.75%
- M-3: 6.35%
- B: 12.75%
- Minimum Credit Investment 6.00%
-
Initial Credit Investment
- A-H: 5.50%
- M-1: 4.40%
- M-2: 3.20%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2016-DNA1
- Closing date 01/21/2016
- First Payment Date 02/25/2016
- Aggregation Period Apr 2015 - June 2015
- Call Term (Years) 10
- Expected Call Date 01/25/2026
- Maturity Term (Years) 12.5
- Maturity Date 07/25/2028
- Called/Paid Off N/A
- Total Bond Issuance $996,000,000
-
Bond Issuance
- M-1: $252,000,000
- M-2: $240,000,000
- M-3: $468,000,000
- B: $36,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.45%
- M-2: 2.90%
- M-3: 5.55%
- B: 10.00%
- Minimum Credit Investment 5.50%
-
Initial Credit Investment
- A-H: 5.00%
- M-1: 3.95%
- M-2: 2.95%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2015-HQA2
- Closing date 12/08/2015
- First Payment Date 12/25/2015
- Aggregation Period Dec 2014 - Mar 2015
- Call Term (Years) 10
- Expected Call Date 11/25/2025
- Maturity Term (Years) 12.5
- Maturity Date 05/25/2028
- Called/Paid Off N/A
- Total Bond Issuance $590,000,000
-
Bond Issuance
- M-1: $100,000,000
- M-2: $245,000,000
- M-3: $195,000,000
- B: $50,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.15%
- M-2: 2.80%
- M-3: 4.80%
- B: 10.50%
- Minimum Credit Investment 6.90%
-
Initial Credit Investment
- A-H: 6.40%
- M-1: 5.40%
- M-2: 2.95%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2015-DNA3
- Closing date 11/09/2015
- First Payment Date 11/25/2015
- Aggregation Period Dec 2014 - Mar 2015
- Call Term (Years) 10
- Expected Call Date 10/25/2025
- Maturity Term (Years) 12.5
- Maturity Date 04/25/2028
- Called/Paid Off N/A
- Total Bond Issuance $1,070,000,000
-
Bond Issuance
- M-1: $200,000,000
- M-2: $440,000,000
- M-3: $330,000,000
- B: $100,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.35%
- M-2: 2.85%
- M-3: 4.70%
- B: 9.35%
- Minimum Credit Investment 6.35%
-
Initial Credit Investment
- A-H: 5.85%
- M-1: 4.85%
- M-2: 2.65%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2015-HQA1
- Closing date 09/28/2015
- First Payment Date 10/25/2015
- Aggregation Period Aug 2014 - Nov 2014
- Call Term (Years) 10
- Expected Call Date 09/25/2025
- Maturity Term (Years) 12.5
- Maturity Date 03/25/2028
- Called/Paid Off N/A
- Total Bond Issuance $872,000,000
-
Bond Issuance
- M-1: $160,000,000
- M-2: $360,000,000
- M-3: $272,000,000
- B: $80,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.25%
- M-2: 2.65%
- M-3: 4.70%
- B: 8.80%
- Minimum Credit Investment 6.45%
-
Initial Credit Investment
- A-H: 5.95%
- M-1: 4.95%
- M-2: 2.70%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2015-DNA2
- Closing date 06/29/2015
- First Payment Date 07/25/2015
- Aggregation Period Aug 2014 - Nov 2014
- Call Term (Years) 10
- Expected Call Date 06/25/2025
- Maturity Term (Years) 12.5
- Maturity Date 12/25/2027
- Called/Paid Off N/A
- Total Bond Issuance $950,000,000
-
Bond Issuance
- M-1: $200,000,000
- M-2: $400,000,000
- M-3: $200,000,000
- B: $150,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.15%
- M-2: 2.60%
- M-3: 3.90%
- B: 7.55%
- Minimum Credit Investment 6.00%
-
Initial Credit Investment
- A-H: 5.50%
- M-1: 4.50%
- M-2: 2.50%
- M-3: 1.50%
- B: 0.00%
- STACR Rating
STACR 2015-HQ2
- Closing date 06/09/2015
- First Payment Date 06/25/2015
- Aggregation Period Jan 2013 - Sep 2013
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 10
- Maturity Date 05/25/2025
- Called/Paid Off N/A
- Total Bond Issuance $425,600,000
-
Bond Issuance
- M-1: $114,000,000
- M-2: $140,600,000
- M-3: $95,000,000
- B: $76,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.10%
- M-2: 1.95%
- M-3: 3.25%
- B: 7.95%
- Minimum Credit Investment 6.10%
-
Initial Credit Investment
- A-H: 5.60%
- M-1: 4.10%
- M-2: 2.25%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2015-DNA1
- Closing date 04/28/2015
- First Payment Date 05/25/2015
- Aggregation Period Oct 2012 - Dec 2012
- Call Term (Years) 10
- Expected Call Date 04/25/2025
- Maturity Term (Years) 12.5
- Maturity Date 10/25/2027
- Called/Paid Off N/A
- Total Bond Issuance $1,010,000,000
-
Bond Issuance
- M-1: $280,000,000
- M-2: $280,000,000
- M-3: $350,000,000
- B: $100,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.90%
- M-2: 1.85%
- M-3: 3.30%
- B: 9.20%
- Minimum Credit Investment 4.75%
-
Initial Credit Investment
- A-H: 4.25%
- M-1: 3.25%
- M-2: 2.25%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2015-HQ1
- Closing date 03/31/2015
- First Payment Date 04/25/2015
- Aggregation Period Apr 2014 - Jul 2014
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 10
- Maturity Date 03/25/2025
- Called/Paid Off Called
- Total Bond Issuance $860,000,000
-
Bond Issuance
- M-1: $266,000,000
- M-2: $266,000,000
- M-3: $228,000,000
- B: $100,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.05%
- M-2: 2.20%
- M-3: 3.80%
- B: 10.75%
- Minimum Credit Investment 7.00%
-
Initial Credit Investment
- A-H: 6.50%
- M-1: 4.75%
- M-2: 3.00%
- M-3: 1.50%
- B: 0.00%
- STACR Rating
STACR 2015-DN1
- Closing date 02/03/2015
- First Payment Date 02/25/2015
- Aggregation Period Apr 2014 - Jul 2014
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 10
- Maturity Date 01/25/2025
- Called/Paid Off N/A
- Total Bond Issuance $880,000,000
-
Bond Issuance
- M-1: $230,000,000
- M-2: $230,000,000
- M-3: $345,000,000
- B: $75,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.25%
- M-2: 2.40%
- M-3: 4.15%
- B: 11.50%
- Minimum Credit Investment 5.00%
-
Initial Credit Investment
- A-H: 4.50%
- M-1: 3.50%
- M-2: 2.50%
- M-3: 1.00%
- B: 0.00%
- STACR Rating
STACR 2014-HQ3
- Closing date 10/28/2014
- First Payment Date 11/25/2014
- Aggregation Period Jan 2014 - Mar 2014
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 10
- Maturity Date 10/25/2024
- Called/Paid Off Paid Off
- Total Bond Issuance $429,400,000
-
Bond Issuance
- M-1: $133,000,000
- M-2: $125,400,000
- M-3: $171,000,000
- B: –
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.65%
- M-2: 2.65%
- M-3: 4.75%
- B: –
- Minimum Credit Investment 7.00%
-
Initial Credit Investment
- A-H: 6.50%
- M-1: 4.75%
- M-2: 3.10%
- M-3: 0.85%
- B: –
- STACR Rating
STACR 2014-DN4
- Closing date 10/28/2014
- First Payment Date 11/25/2014
- Aggregation Period Jan 2014 - Mar 2014
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 10
- Maturity Date 10/25/2024
- Called/Paid Off N/A
- Total Bond Issuance $611,000,000
-
Bond Issuance
- M-1: $130,000,000
- M-2: $169,000,000
- M-3: $312,000,000
- B: –
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.40%
- M-2: 2.40%
- M-3: 4.55%
- B: –
- Minimum Credit Investment 5.70%
-
Initial Credit Investment
- A-H: 5.20%
- M-1: 4.20%
- M-2: 2.90%
- M-3: 0.50%
- B: –
- STACR Rating
STACR 2014-HQ2
- Closing date 09/15/2014
- First Payment Date 10/25/2014
- Aggregation Period Jan 2013 - Sep 2013
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 10
- Maturity Date 09/25/2024
- Called/Paid Off N/A
- Total Bond Issuance $770,000,000
-
Bond Issuance
- M-1: $280,000,000
- M-2: $259,000,000
- M-3: $231,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.45%
- M-2: 2.20%
- M-3: 3.75%
- Minimum Credit Investment 6.60%
-
Initial Credit Investment
- A-H: 6.10%
- M-1: 4.10%
- M-2: 2.25%
- M-3: 0.60%
- STACR Rating
STACR 2014-HQ1
- Closing date 08/11/2014
- First Payment Date 09/25/2014
- Aggregation Period Oct 2013 - Dec 2013
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 10
- Maturity Date 08/25/2024
- Called/Paid Off Called
- Total Bond Issuance $460,000,000
-
Bond Issuance
- M-1: $192,000,000
- M-2: $124,000,000
- M-3: $144,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.65%
- M-2: 2.50%
- M-3: 4.10%
- Minimum Credit Investment 7.00%
-
Initial Credit Investment
- A-H: 6.50%
- M-1: 4.10%
- M-2: 2.55%
- M-3: 0.75%
- STACR Rating
STACR 2014-DN3
- Closing date 08/11/2014
- First Payment Date 09/25/2014
- Aggregation Period Oct 2013 - Dec 2013
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 10
- Maturity Date 08/25/2024
- Called/Paid Off N/A
- Total Bond Issuance $672,000,000
-
Bond Issuance
- M-1: $160,000,000
- M-2: $192,000,000
- M-3: $320,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.35%
- M-2: 2.40%
- M-3: 4.00%
- Minimum Credit Investment 5.10%
-
Initial Credit Investment
- A-H: 4.60%
- M-1: 3.60%
- M-2: 2.40%
- M-3: 0.40%
- STACR Rating
STACR 2014-DN2
- Closing date 04/09/2014
- First Payment Date 05/25/2014
- Aggregation Period Jul 2013 - Sep 2013
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 10
- Maturity Date 04/25/2024
- Called/Paid Off N/A
- Total Bond Issuance $966,000,000
-
Bond Issuance
- M-1: $230,000,000
- M-2: $345,000,000
- M-3: $391,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 0.85%
- M-2: 1.65%
- M-3: 3.60%
- Minimum Credit Investment 5.00%
-
Initial Credit Investment
- A-H: 4.50%
- M-1: 3.50%
- M-2: 2.00%
- M-3: 0.30%
- STACR Rating
STACR 2014-DN1
- Closing date 02/12/2014
- First Payment Date 03/25/2014
- Aggregation Period Apr 2013 - June 2013
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 10
- Maturity Date 02/25/2024
- Called/Paid Off N/A
- Total Bond Issuance $1,008,000,000
-
Bond Issuance
- M-1: $240,000,000
- M-2: $360,000,000
- M-3: $408,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.00%
- M-2: 2.20%
- M-3: 4.50%
- Minimum Credit Investment 5.00%
-
Initial Credit Investment
- A-H: 4.50%
- M-1: 3.50%
- M-2: 2.00%
- M-3: 0.30%
- STACR Rating
STACR 2013-DN2
- Closing date 11/12/2013
- First Payment Date 12/25/2013
- Aggregation Period Jan 2013 - Mar 2013
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 10
- Maturity Date 11/25/2023
- Called/Paid Off N/A
- Total Bond Issuance $630,000,000
-
Bond Issuance
- M-1: $245,000,000
- M-2: $385,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 1.45%
- M-2: 4.25%
- Minimum Credit Investment 3.00%
-
Initial Credit Investment
- A-H: 3.00%
- M-1: 1.95%
- M-2: 0.30%
- STACR Rating
STACR 2013-DN1
- Closing date 07/26/2013
- First Payment Date 08/25/2013
- Aggregation Period Jul 2012 - Sep 2012
- Call Term (Years) N/A
- N/A
- Maturity Term (Years) 10
- Maturity Date 07/25/2023
- Called/Paid Off N/A
- Total Bond Issuance $500,000,000
-
Bond Issuance
- M-1: $250,000,000
- M-2: $250,000,000
- Benchmark 1M LIBOR
-
Spread
- M-1: 3.40%
- M-2: 7.15%
- Minimum Credit Investment 3.00%
-
Initial Credit Investment
- A-H: 3.00%
- M-1: 1.65%
- M-2: 0.30%
- STACR Rating