Series 2002-1G Medallion Trust

Summary of Notes

Issue Date: 9th February 2002
Maturity Date: 17th April 2033
Issuance Volume: AUD 2,512,408,805
Distribution Date: 17th day of April, July, October, January
Business Day Convention: Following Business Day (Sydney, London, NY)   
Security Type: Class A-1
Amount: USD 1,000,000,000
Coupon Details: LIBOR3M + 17bps 
Rating (S&P/Moody's/Fitch): AAA/Aaa/AAA  
CUSIP: 81747RAA6
ISIN: N/A
Security Type: Class A-2 Tranche 1
Amount: AUD 182,000,000 
Coupon Details: BBSW3M + 25bps 
Rating (S&P/Moody's/Fitch): AAA/Aaa/AAA 
CUSIP: BCC06C270
ISIN: AU000MED7012
Security Type: Class A-2 Tranche 2
Amount: AUD 325,000,000
Coupon Details: BBSW3M + 34bps 
Rating (S&P/Moody's/Fitch): AAA/Aaa/AAA 
CUSIP: BCC06C296
ISIN: AU000MED7020
Security Type: Class B
Amount: AUD 40,000,000
Coupon Details: BBSW3M + 49bps 
Rating (S&P/Moody's/Fitch): AA/Not Rated/AA 
CUSIP: BCC06C288
ISIN: N/A

 

Prospectus

14 February 2002

Offering Circular

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Information Memorandum

14 February 2002

Redemption letter

Servicer Certificates

      Mar 2009
Dec 2008 Sep 2008 Jun 2008 Mar 2008
Dec 2007 Sep 2007 Jun 2007 Mar 2007
Dec 2006 Sep 2006 Jun 2006 Mar 2006
Dec 2005 Sep 2005 Jun 2005 Mar 2005
Dec 2004 Sep 2004 Jun 2004 Mar 2004
Dec 2003 Sep 2003 Jun 2003 Mar 2003
Dec 2002 Sep 2002 Jun 2002 Mar 2002

 

Investor Reports

      Mar 2009
Dec 2008 Sep 2008 Jun 2008 Mar 2008
Dec 2007 Sep 2007 Jun 2007 Mar 2007
Dec 2006 Sep 2006 Jun 2006 Mar 2006
Dec 2005 Sep 2005 Jun 2005 Mar 2005
Dec 2004 Sep 2004 Jun 2004 Mar 2004
Dec 2003 Sep 2003 Jun 2003 Mar 2003
Dec 2002 Sep 2002 Jun 2002 Mar 2002

 

CPR Analysis

February 02


Delinquency Analysis

May 02


Static Pool Data

Original Pool Statistics

Glossary of terms