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Securitisation

Series 1998-1 Cats Trust

Summary of Notes

Issue Date: 18th September 1998
Maturity Date: 13th October 2029
Optional Redemption Date: 13th September 2004
  Notes redeemed in full.
Issuance Volume: AUD 493,000,000
Distribution Date: 13th day of each month
Business Day Convention: Following Business Day (Sydney)
Security Type: Class A-1;
Amount: AUD 248,000,000
Coupon Details: BBSW1M + 25bps 
Rating (S&P/Moody's): AAA/Aaa 
CUSIP: N/A
ISIN: N/A
Security Type: Class A-2
Amount: AUD 245,000,000
Coupon Details: BBSW1M + 29bps 
Rating (S&P/Fitch): AAA/AAA 
CUSIP: BC0249161
ISIN: AU000CST0023

 

Prospectus

N/A

Offering Circular

-

Information Memorandum

-

Servicer Certificates

        Aug 2004 Jul 2004
Dec 2003 Nov 2003 Oct 2003 Sep 2003 Aug 2003 Jul 2003
Dec 2002 Nov 2002 Oct 2002 Sep 2002 Aug 2002 Jul 2002

 

Jun 2004 May 2004 Apr 2004 Mar 2004 Feb 2004 Jan 2004
Jun 2003 May 2003 Apr 2003 Mar 2003 Feb 2003 Jan 2003
Jun 2002 May 2002 Apr 2002 Mar 2002 Feb 2002  

 

Investor Reports

          Jul 2004
Dec 2003 Nov 2003 Oct 2003 Sep 2003 Aug 2003 Jul 2003
Dec 2002 Nov 2002 Oct 2002 Sep 2002 Aug 2002 Jul 2002

 

CPR Analysis

Cats Series 1998-1 Prepayment Analysis

Delinquency Analysis

Cats Series 1998-1 Delinquency Analysis

 

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