Series 2003-1G Medallion Trust

Summary of Notes at Issue

 Issue Date: 21st March 2003
 Maturity Date: 21st December 2033
 Issuance Volume: AUD 1,712,763,713.08
 Distribution Date: 21st day of December, March, June, September
 Business Day Convention: Following Business Day (Sydney, London, NY)
 Security Type: Class A
 Amount: USD 1,000,000,000
 Coupon Details: LIBOR3M + 19bps 
 Rating (S&P/Moody's): AAA/Aaa
 CUSIP: 58403AAA6
 ISIN: US58403AAA60
 Security Type:

Class B

 Amount: AUD 25,000,000 
 Coupon Details: BBSW3M + 61bps 
 Rating (S&P): AA
 CUSIP: BCC0A6WI1
 ISIN: N/A

 

Prospectus

14 March 2003

 

Offering Circular

-

Information Memorandum

19 March 2003

Redemption Letter

Servicer Certificates

    May 2011 Feb 2011
Nov 2010 Aug 2010 May 2010 Feb 2010
Nov 2009 Aug 2009 May 2009 Feb 2009
Nov 2008 Aug 2008 May 2008 Feb 2008
Nov 2007 Aug 2007 May 2007 Feb 2007
Nov 2006 Aug 2006 May 2006 Feb 2006
Nov 2005 Aug 2005 May 2005 Feb 2005
Nov 2004 Aug 2004 May 2004 Feb 2004
Nov 2003 Aug 2003 May 2003  

 

Investor Reports

    May 2011 Feb 2011
Nov 2010 Aug 2010 May 2010 Feb 2010
Nov 2009 Aug 2009 May 2009 Feb 2009
Nov 2008 Aug 2008 May 2008 Feb 2008
Nov 2007 Aug 2007 May 2007 Feb 2007
Nov 2006 Aug 2006 May 2006 Feb 2006
Nov 2005 Aug 2005 May 2005 Feb 2005
Nov 2004 Aug 2004 May 2004 Feb 2004
Nov 2003 Aug 2003 May 2003  

 

CPR Analysis

May 11


Delinquency Analysis

May 11


Static Pool Data

Original Pool Statistics

Glossary of terms