Series 2005-2G Medallion Trust

Summary of Notes at Issue

Issue Date: 4th May 2005
Maturity Date: 22nd August 2036
Issuance Volume: AUD 1,818,301,802
Distribution Date: 22nd day of August, November, May and February
Business Day Convention: Following Business Day (Sydney, London, NY)
Security Type: Class A
Amount: USD 1,400,000,000
Coupon Details: LIBOR3M + 4bps
Rating (S&P/Moody's): AAA/Aaa
CUSIP: 58403A AF5
ISIN: US58403AAF57
Security Type: Class B
Amount: AUD 16,500,000
Coupon Details: BBSW3M + 27bps
Rating (S&P): AA
CUSIP: BCC0JC1M4
ISIN: AU300MEDE013

 

Prospectus

28 April 2005
 

Offering Circular

-

Information Memorandum

29 April 2005         Redemption Letter
 

Servicer Certificates

Oct 2014 Jul 2014 Apr 2014 Jan 2014
Oct 2013 Jul 2013 Apr 2013 Jan 2013
Oct 2012 Jul 2012 Apr 2012 Jan 2012
Oct 2011 Jul 2011 Apr 2011 Jan 2011
Oct 2010 Jul 2010 Apr 2010 Jan 2010
Oct 2009 Jul 2009 Apr 2009 Jan 2009
Oct 2008 Jul 2008 Apr 2008 Jan 2008
Oct 2007 Jul 2007 Apr 2007 Jan 2007
Oct 2006 Jul 2006 Apr 2006 Jan 2006
Oct 2005 Jul 2005    

 

Investor Reports

Oct 2014 Jul 2014 Apr 2014 Jan 2014
Oct 2013 Jul 2013 Apr 2013 Jan 2013
Oct 2012 Jul 2012 Apr 2012 Jan 2012
Oct 2011 Jul 2011 Apr 2011 Jan 2011
Oct 2010 Jul 2010 Apr 2010 Jan 2010
Oct 2009 Jul 2009 Apr 2009 Jan 2009
Oct 2008 Jul 2008 Apr 2008 Jan 2008
Oct 2007 Jul 2007 Apr 2007 Jan 2007
Oct 2006 Jul 2006 Apr 2006 Jan 2006
Oct 2005 Jul 2005    

 

CPR Analysis

Oct 2014
 

Delinquency Analysis

Oct 2014


Static Pool Data

Original Pool Statistics

Glossary of terms