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Madison Park Euro Funding XIII (Refinance): 18 April 2021


A cash flow collateralised loan obligation, which will be managed by Credit Suisse Asset Management Limited.

A refinancing of the original transaction, where the Class A to D Notes are being redeemed and re-issued at lower spreads. The refinanced CLO has a 2.5-year reinvestment period, and a non-call period ending 15 July 2022.