RRE 7 Loan Management (Refinance): 19 April 2025
A securitisation of mainly Senior Secured Obligations (at least 90%) with the remainder of the portfolio made up of Senior Unsecured, Mezzanine, Second-Lien Loans and High-Yield Bonds. It will be actively managed by Redding Ridge Asset Management (UK) LLP.
The transaction features a 5-year re-investment period until April 2030, and a 2-year non-call period.