FonCaixa Hipotecario 3, F.T.H.

Factsheet

Name: FONCAIXA HIPOTECARIO 3, FONDO DE TITULIZACIÓN HIPOTECARIA
VAT Registration No: V-62624523
Issue amount: € 1,500,000,000
Set-up date: 6 July 2001
Disbursement date: 13 July 2001
Payment dates: 25 January, 25 April, 25 July and 25 October
Liquidation date: 25 July 2031
Legal framework: Law 19/1992 of 7 July

Up

Bond Characteristics

SeriesInitial amountCurrent ratingInterest rateISIN Code
SERIES A € 1,432,500,000 A3(sf) (Moody's)
AA-sf (Fitch)
EURIBOR 3M + 0.15% ES0338177001
SERIES B € 67,500,000 A3(sf) (Moody's)
AA-sf (Fitch)
EURIBOR 3M + 0.40% ES0338177019

 

Unitary face value: € 100,000
Amortization: As mortgage participations are amortized (pass through).
Subordination: The Series B is subordinated to the Series A

Up

Brochure

Brochure

Up

Rating Agencies

- REPORTS:

Fitch

Moodys

- RATING ACTIONS:

Rating Actions Notes

Class B
(ISIN ES0338177019)
upgraded from ‘A’ to ‘AA-’ Fitch. September 2005
Class B
(ISIN ES0338177019)
upgraded from ‘AA-’ to ‘AA’ Fitch. December 2006
Class B
(ISIN ES0338177019)
upgraded from ‘AA’ to ‘AA+’ Fitch. September 2008
Class A
(ISIN ES0338177001)
Downgraded from ‘Aaa(sf)’ to ‘Aa2(sf)’ Moody’s February 2012
Class A
(ISIN ES0338177001)
Downgraded from ‘AAAsf’ to ‘AA-sf’ (Fitch) June 2012
Class B
(ISIN ES0338177019)
Downgraded from ‘AA+sf’ to ‘AA-sf’ (Fitch) June2012
Class A
(ISIN ES0338177001)
Downgraded from ‘Aa2(sf)’ to ‘A3(sf)’ Moody’s July 2012
Class B
(ISIN ES0338177019)
Downgraded from ‘A2(sf)’ to ‘A3(sf)’ Moody’s July 2012

Up

  • Significant Events

    Up
  • Data for current quarter

    Up
  • Information of the last Payment Date

    Up
  • Monthly reports

    Up
  • Quaterly reports

    Up
  • Annual report

    Up
  • Delinquencies and Bonds Report

    Up