Specialist Debt Security Details

Talmage Structured Real Estate Funding 2006-4, Ltd. & LLC

Description US$13,750,000 Deferrable Interest Floating Rate Notes due 2047
Series Class F
Coupon Floating 
Coupon Frequency Monthly
Maturity Date 25 Feb 2047
Issue Date 25 Jan 2007
Currency USD
Listed Amount Outstanding 13,750,000
Minimum Denomination 250,000
1st Interest Payment Date 25 Feb 2007
Listing Type Primary Listing on CSX
ArrangerDeutsche Bank Securities