Skip to main content Skip to main navigation
Skip to access and inclusion page Skip to search input

 

 Class of Notes

 A1 A2  B  C  D  E  Seller Notes
ISIN AU3FN0034500 N/A AU3FN0034526 AU3FN0034534 AU3FN0034542 AU3FN0034559 AU3FN0034567
Bal. at Issue (par) (million) AUD741.0 AUD1,000.0 AUD108.0 AUD86.0 AUD60.0 AUD36.0 AUD119.0
Coupon + Margin (bp) 1M BBSW + 100bp Undisclosed Undisclosed Undisclosed  Undisclosed Undisclosed Undisclosed
Original Fitch rating AAA AAA AA+ A BBB BB+ Unrated
Original Moody's rating Aaa Aaa Aa1 Aa3 A3 Baa2 Unrated
Current Fitch rating No change No change AAA
AA
A
BBB+
Unrated
Current Moody's rating No change No change No change
No change
No change
No change
Unrated
Issue Date 2nd March 2017
Maturity Date the Payment Date in April 2027
Reuters Page Ref STGCRD53 and STGCRD54
Bloomberg Page Ref CRAT<MTGE><GO>
Investor reports

April 2017

May 2017

June 2017

July 2017

August 2017

September 2017

October 2017

November 2017

December 2017 (PDF 55KB)

January 2018 (PDF 55KB)

February 2018 (PDF 55KB)

March 2018 (PDF 55KB)

April 2018  (PDF 54KB)

May 2018 (PDF 55KB)

June 2018 (PDF 55KB)

July 2018 (PDF 51KB)

August 2018 (PDF 55KB)

September 2018 (PDF 34KB)

October 2018 (PDF 34KB)

November 2018 (PDF 27KB)

December 2018 (PDF 34KB)

January 2019 (PDF 31KB)

February 2019 (PDF 31KB)

March 2019 (PDF 31KB)

April 2019 (PDF 31KB)

May 2019 (PDF 38KB)

June 2019 (PDF 38KB)

July 2019 (PDF 38KB)

August 2019 (PDF 38KB)

September 2019 (PDF 31KB)

October 2019 (PDF 31KB)

November 2019 (PDF 31KB)

 

 

December 2019 (PDF 31KB)

January 2020 (PDF 31KB)

February 2020 (PDF 31KB)

March 2020 (PDF 31KB)

April 2020 (PDF 31KB)

May 2020 (PDF 31KB)

June 2020 (PDF 506KB)

July 2020 (PDF 504KB)

Collateral Report Crusade ABS Series 2017-1 Static Pool Data (PDF 524KB)  
Information Memorandum Crusade ABS Series 2017-1 (PDF 503KB) (PDF 503KB)