GAUDI 5, F.T.

Factsheet

Name: GAUDI 5, Fondo de Titulización 
Unique Identifier: 7CUNS533WID6K7DGFI87N202503
Issue amount: € 2,000,000,000.00
Set-up date: December 10, 2025
Effective date: December 17, 2025
Reference Portfolio Fixing Date October 31, 2025
Reference Dates: Last day of February, May, August and November
Legal Final Maturity Date: August 31, 2043 
Legal framework: Regulation (EU) 2017/2402

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Tranches Characteristics

Tranches Amount "Fee Rate" until
"Initial Termination Date"
"Fee Rate" since
"Initial Termination Date"
Senior 1.860.000.000
Mezzanine/ CLN 120.000.000 EURIBOR 3M + 7,15% EURIBOR 3M
Junior 20,000,000

 

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- COMPLIANCE OF THE RISK RETENTION COMMITMENT:

Seller notification


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Quarterly Public Financial Statements - CNMV

Link to the CNMV website

Annual report

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