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Tymon Park CLO Ltd (Refinance): 23 January 2018


The assets securing the Refinancing Notes will consist of a portfolio of primarily Senior Obligations, Mezzanine Obligations and High Yield Bonds, and will be managed by Blackstone / GSO Debt Funds Management Europe Limited.

On 17 December 2015 (the Original Closing Date) Tymon Park CLO issued Class A-1A Senior Secured Floating Rate Notes, Class A-1B Senior Secured Fixed Rate Notes, Class A-2A Senior Secured Floating Rate Notes, Class A-2B Senior Secured Fixed Rate Notes, Class B Senior Secured Deferrable Floating Rate Notes, Class C Senior Secured Deferrable Floating Rate Notes, Class D Senior Secured Deferrable Floating Rate Notes, Class E Senior Secured Deferrable Floating Rate Notes and Subordinated Notes.

On or about 22 January 2018 (the Refinancing Date) the Issuer will, subject to certain conditions, refinance the Original Class A-1A Notes, the Original Class A-1B Notes, the Original Class A-2A Notes, the Original Class A-2B Notes, the Original Class B Notes, the Original Class C Notes and the Original Class D Notes.