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efta-efta01361369DOJ Data Set 10CorrespondenceEFTA Document EFTA01361369
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DOJ Data Set 10
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Och-Ziff Loan Management
OZLNI XI, Ltd.
OCH-ZIFF
CAPITAL
MANAGEMENT
GROUP
Fund Overview
Initial Balance
Current
Ratings
Capital Structure
(S millions)
(Fitch/Moody's)
Coupon
Deal Summary
Class A-la
302,000,000
AAA/Aa a
L + 1.55%
Closing Date
March 12, 2015
Class A-1b
3.28%
15,000,000
AAA/Aaa
Non-Call
December 14, 2016
Class A-2a
33,000,000
NR/Aa2
L + 2.25%
Reinvestment Period
January 30, 2019
Class A-2b
30,000,000
NR/Aa2
4.17%
Class B
23,500,000
NR/A2
1+3.00%
Final Maturity
January 30, 2027
Class C-1
16,000,000
NR/Bea3
L +4.05%
Assets
Par Amount %
Class C-2
15,500,000
MVBaa3
L +3.75%
Floating rate assets
100.0
Class D
25,000,000
NR/Ba3
L+5.40%
Fixed rate assets
0.0
Class E
10,000,000
NR/82
1+6.15%
Structured finance
0.0
Subordinated Notes
40,500,000
NR/NR
Residual
Total
100.0
Total
510,500,000
Equity Distributions
Date
Distribution
Distribution
as a % of Par
Cumulative
Distribution
as a % of Par
Annualized
Distribution
Cash on Cash
7/30/2015
3,359,243
As of July 72, 2015 unless otherwise noted
8.3%
8.3%
21.6%
OCH-ZIFF CAPITAL MANAGEMENT GROUP
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
CONFIDENTIAL
DB-SDNY-0050529
SDNY_GM_00196713
37
EFTA01361369
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