Skip to main content
MEDALLION TRUST SERIES 2017-2 logo

MEDALLION TRUST SERIES 2017-2 — Investor Relations & Filings

Ticker · MZ2 ASX Financial and insurance activities
Filings indexed 137 across all filing types
Latest filing 2018-05-23 Interest Rate Update/No…
Country AU Australia
Listing ASX MZ2

About MEDALLION TRUST SERIES 2017-2

https://www.commbank.com.au

MEDALLION TRUST SERIES 2017-2 is a special purpose vehicle established under the Medallion Trust securitization program. Managed by the Commonwealth Bank of Australia, the trust's primary activity involves the issuance of residential mortgage-backed securities (RMBS). These securities are collateralized by a pool of prime residential mortgage loans. The trust is structured to provide investors with exposure to mortgage-backed assets through various classes of notes, which offer different levels of credit enhancement and payment priority. Its core function is to facilitate the refinancing of mortgage assets, providing liquidity to the originator while offering fixed-income investment opportunities to institutional markets. The series is governed by specific trust deeds and management agreements that outline the distribution of interest and principal payments to noteholders based on the performance of the underlying loan portfolio.

Recent filings

Filing Released Lang Actions
Class A1 Monthly Interest Payment 1 page 99.5KB
Interest Rate Update/Notice Classification · 100% confidence The document is a notice from Securitisation Advisory Services Pty Ltd regarding the monthly interest payment details for a specific note (Medallion Trust Series 2017-2 Class A1 Note). It provides the interest payment date, record date, interest period, day count fraction, and interest rate. This is an update related to interest payments on a debt instrument, which fits the category of an Interest Rate Update/Notice. The document is short and focused solely on interest payment information, not a full financial report or other filing type.
2018-05-23 English
Class A2 Monthly Interest Payment 1 page 99.8KB
Interest Rate Update/Notice Classification · 95% confidence The document is a notice regarding a monthly interest payment for a securitisation trust note, specifying interest payment date, record date, interest period, and interest rate. It is an update on interest payments related to a debt instrument, not a full financial report or audit. The content fits the category of an Interest Rate Update/Notice, as it provides details on interest payment and rate for a financial instrument.
2018-05-23 English
Class A1 Monthly Interest Payment 1 page 96.5KB
Interest Rate Update/Notice Classification · 100% confidence The document is a notice from Securitisation Advisory Services Pty Ltd regarding a monthly interest payment for a specific note (Medallion Trust Series 2017-2 Class A1 Note). It provides details such as interest payment date, record date, interest period, day count fraction, and rate of interest. This is an update related to interest payments on a debt instrument, which fits the category of an Interest Rate Update/Notice. The document is short and focused solely on interest payment details, not a full financial report or other filing types.
2018-04-23 English
Class A2 Monthly Interest Payment 1 page 96.9KB
Interest Rate Update/Notice Classification · 95% confidence The document is a notice from Securitisation Advisory Services Pty Ltd regarding a monthly interest payment for a specific note (Medallion Trust Series 2017-2 Class A2 Note). It provides details such as interest payment date, record date, interest period, day count fraction, and interest rate. This is an update related to interest payments on debt instruments, which fits the category of Interest Rate Update/Notice filings. The document is short and focused solely on interest payment details, not a full financial report or other types of filings.
2018-04-23 English
Class A1 Monthly Interest Payment 1 page 99.6KB
Interest Rate Update/Notice Classification · 95% confidence The document is a short announcement from Securitisation Advisory Services Pty Ltd regarding a monthly interest payment for a securitisation note. It provides details such as the interest payment date, record date, interest period, and interest rate. The content is focused on an interest payment update rather than a full financial report or detailed financial data. It does not contain comprehensive financial statements or management discussion. Given the nature of the content, it fits best under the category of Interest Rate Update/Notice (IRAT), which covers updates on interest rate changes affecting the company's debt or financial instruments.
2018-03-25 English
Class A2 Monthly Interest Payment 1 page 99.9KB
Interest Rate Update/Notice Classification · 95% confidence The document is a notice regarding a monthly interest payment for a securitisation trust note, specifying interest payment date, record date, interest period, and interest rate. It is an update related to interest payments on a debt instrument, not a full financial report or audit. The content fits the category of an Interest Rate Update/Notice, as it informs investors about the interest payment details for a specific note. The document length is short and focused solely on interest payment information, confirming it is not an annual or interim report, nor a regulatory filing or announcement of a report.
2018-03-25 English

Report missing filing

Can't find a specific document? Let us know and we'll add it within 24 hours.

We will notify you once the filing is added.
Report sent
Thank you. We will check the data and update it shortly.