0001539497-21-001479.txt : 20211001 0001539497-21-001479.hdr.sgml : 20211001 20210930173311 ACCESSION NUMBER: 0001539497-21-001479 CONFORMED SUBMISSION TYPE: FWP PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 20211001 DATE AS OF CHANGE: 20210930 SUBJECT COMPANY: COMPANY DATA: COMPANY CONFORMED NAME: Morgan Stanley Capital I Trust 2021-L7 CENTRAL INDEX KEY: 0001883246 STANDARD INDUSTRIAL CLASSIFICATION: ASSET-BACKED SECURITIES [6189] STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: FWP SEC ACT: 1934 Act SEC FILE NUMBER: 333-227446-17 FILM NUMBER: 211295988 BUSINESS ADDRESS: STREET 1: 1585 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10036 BUSINESS PHONE: 212-761-4000 MAIL ADDRESS: STREET 1: 1585 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10036 FILED BY: COMPANY DATA: COMPANY CONFORMED NAME: Morgan Stanley Capital I Inc. CENTRAL INDEX KEY: 0001547361 STANDARD INDUSTRIAL CLASSIFICATION: ASSET-BACKED SECURITIES [6189] IRS NUMBER: 133291626 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: FWP BUSINESS ADDRESS: STREET 1: 1585 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10036 BUSINESS PHONE: 212-761-4000 MAIL ADDRESS: STREET 1: 1585 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10036 FWP 1 n2718_x9-priced.htm FWP

    FREE WRITING PROSPECTUS
    FILED PURSUANT TO RULE 433
    REGISTRATION FILE NO.: 333-227446-17
     

 

NEW ISSUE CMBS: $769.052mm Morgan Stanley Capital I Trust 2021-L7

CO-LEAD MANAGERS & BOOKRUNNERS: Morgan Stanley, BMO Capital Markets, and KeyBanc Capital Markets
CO-MANAGERS: Mischler Financial Group

PUBLICLY OFFERED CERTIFICATES

    AVAILABLE     PRIN NOI        
CLASS Fitch/KBRA/S&P SIZE($MM) WAL(YRS) CE% WINDOW DY% LTV% Spread Yield Price
A-1 AAAsf/AAA(sf)/AAA(sf) $18.400 2.85 30.000% 1 - 58 14.9% 41.0% S+25 0.8709 99.99838
A-2 AAAsf/AAA(sf)/AAA(sf) $92.100 4.98 30.000% 58 - 60 14.9% 41.0% S+50 1.5663 102.99978
A-3 AAAsf/AAA(sf)/AAA(sf) $68.100 6.87 30.000% 82 - 84 14.9% 41.0% S+67 1.9750 99.99419
A-SB AAAsf/AAA(sf)/AAA(sf) $34.100 7.47 30.000% 60 - 117 14.9% 41.0% S+54 1.8996 102.99316
A-4* AAAsf/AAA(sf)/AAA(sf) $190.000 9.77 30.000% 101 - 118 14.9% 41.0% S+69 2.2084 100.99663
A-5* AAAsf/AAA(sf)/AAA(sf) $223.272 9.88 30.000% 118 - 119 14.9% 41.0% S+71 2.2348 102.99893
A-S AAAsf/AAA(sf)/AAA(sf) $52.537 9.92 24.125% 119 - 119 13.7% 44.5% S+90 2.4270 102.99711
B AA-sf/AA+(sf)/AA(sf) $43.595 9.94 19.250% 119 - 120 12.9% 47.3% S+110 2.6282 102.99923
C A-sf/A(sf)/A(sf) $46.948 10.01 14.000% 120 - 120 12.1% 50.4% S+145 2.9818 102.99824

 

 

POOL BALANCE: $921,191,360
NUMBER OF LOANS/PROPERTIES: 60/102
WA MORTGAGE INT. RATE: 3.4430%
WA CUT-OFF LTV: 58.6%
WA UW NCF DSCR: 2.55x
WA UW NOI DEBT YLD: 10.4%
WA ORIG TERM TO MATURITY: 111
WA ORIG AMORTIZING TERM: 381
TEN LARGEST LOANS: 46.6%
LOAN SELLERS: KEYBANK (29.8%), SMC (26.0%), BMO (20.3%), AREF (12.7%), MSMCH (11.2%)
TOP 5 STATES: NY (26.5%), TX (24.8%), AZ (8.9), FL (8.5%), NJ (7.8%)
TOP 5 PROPERTY TYPES: RT (29.8%), OF (27.3%), MF (15.8%), SS (11.1%), MU (6.8%)
   
RISK RETENTION Eligible vertical interest and eligible horizontal residual interest ("L-Shaped")
 
   
MASTER SERVICER: KeyBank National Association
SPECIAL SERVICER: KeyBank National Association
TRUSTEE: Wells Fargo Bank, National Association
CERT ADMIN: Wells Fargo Bank, National Association
TRUST ADVISOR: Pentalpha Surveillance LLC
INITIAL CONTROLLING CLASS REP: LD III Holdco II, L.P.
   
   
EXPECTED PRICING: Week of September 27  
EXPECTED SETTLEMENT: On or about October 13, 2021

 

 

*** The depositor has filed a registration statement (including a prospectus) with the SEC (File # 333-227446) for the offering to which this free writing prospectus relates. Before you invest, you should read the prospectus in the registration statement and other documents the depositor has filed with the SEC for more complete information about the depositor, the issuing entity and this offering. You may get these documents for free by visiting EDGAR on the SEC Web site at www.sec.gov. Alternatively, the depositor, any underwriter or any dealer participating in the offering will arrange to send you the prospectus if you request it by calling toll free 1-866-718-1649 or by email to prospectus@ms.com. *** **** IMPORTANT NOTICE REGARDING THE CONDITIONS FOR THIS OFFERING OF ASSET-BACKED SECURITIES THE ASSET-BACKED SECURITIES REFERRED TO IN THESE MATERIALS ARE BEING OFFERED WHEN, AS AND IF ISSUED. IN PARTICULAR, YOU ARE ADVISED THAT ASSET-BACKED SECURITIES, AND THE ASSET POOLS BACKING THEM, ARE SUBJECT TO MODIFICATION OR REVISION (INCLUDING, AMONG OTHER THINGS, THE POSSIBILITY THAT ONE OR MORE CLASSES OF SECURITIES MAY BE SPLIT, COMBINED OR ELIMINATED) AT ANY TIME PRIOR TO ISSUANCE OR AVAILABILITY OF A FINAL OFFERING DOCUMENT. AS A RESULT, YOU MAY COMMIT TO PURCHASE SECURITIES THAT HAVE CHARACTERISTICS THAT MAY CHANGE, AND YOU ARE ADVISED THAT ALL OR A PORTION OF THE SECURITIES MAY NOT BE ISSUED THAT HAVE THE CHARACTERISTICS DESCRIBED IN THESE MATERIALS. OUR OBLIGATION TO SELL SECURITIES TO YOU IS CONDITIONED ON THE SECURITIES AND THE UNDERLYING TRANSACTION HAVING THE CHARACTERISTICS DESCRIBED IN THESE MATERIALS. IF WE DETERMINE THAT CONDITION IS NOT SATISFIED IN ANY MATERIAL RESPECT, WE WILL NOTIFY YOU, AND NEITHER THE ISSUING ENTITY OR ANY UNDERWRITER WILL HAVE ANY OBLIGATION TO YOU TO DELIVER ALL OR ANY PORTION OF THE SECURITIES WHICH YOU HAVE COMMITTED TO PURCHASE, AND THERE WILL BE NO LIABILITY BETWEEN US AS A CONSEQUENCE OF THE NON-DELIVERY. ****  

 

THE ASSET-BACKED SECURITIES REFERRED TO IN THESE MATERIALS ARE BEING OFFERED WHEN, AS AND IF ISSUED.  IN PARTICULAR, YOU ARE ADVISED THAT ASSET-BACKED SECURITIES, AND THE ASSET POOLS BACKING THEM, ARE SUBJECT TO MODIFICATION OR REVISION (INCLUDING, AMONG OTHER THINGS, THE POSSIBILITY THAT ONE OR MORE CLASSES OF SECURITIES MAY BE SPLIT, COMBINED OR ELIMINATED) AT ANY TIME PRIOR TO ISSUANCE OR AVAILABILITY OF A FINAL OFFERING DOCUMENT.  AS A RESULT, YOU MAY COMMIT TO PURCHASE SECURITIES THAT HAVE CHARACTERISTICS THAT MAY CHANGE, AND YOU ARE ADVISED THAT ALL OR A PORTION OF THE SECURITIES MAY NOT BE ISSUED THAT HAVE THE CHARACTERISTICS DESCRIBED IN THESE MATERIALS.  OUR OBLIGATION TO SELL SECURITIES TO YOU IS CONDITIONED ON THE SECURITIES AND THE UNDERLYING TRANSACTION HAVING THE CHARACTERISTICS DESCRIBED IN THESE MATERIALS.  IF WE DETERMINE THAT CONDITION IS NOT SATISFIED IN ANY MATERIAL RESPECT, WE WILL NOTIFY YOU, AND NEITHER THE ISSUING ENTITY OR ANY UNDERWRITER WILL HAVE ANY OBLIGATION TO YOU TO DELIVER ALL OR ANY PORTION OF THE SECURITIES WHICH YOU HAVE COMMITTED TO PURCHASE, AND THERE WILL BE NO LIABILITY BETWEEN US AS A CONSEQUENCE OF THE NON-DELIVERY.  ****                                                                                                                            

 

**** IMPORTANT NOTICE RELATING TO AUTOMATICALLY GENERATED EMAIL DISCLAIMERS

 

ANY LEGENDS, DISCLAIMERS OR OTHER NOTICES THAT MAY APPEAR AT THE BOTTOM OF THIS E-MAIL OR AT THE BOTTOM OF THE E-MAIL COMMUNICATION TO WHICH THIS MATERIAL MAY HAVE BEEN ATTACHED ARE NOT APPLICABLE TO THESE MATERIALS AND SHOULD BE DISREGARDED.  SUCH LEGENDS, DISCLAIMERS OR OTHER NOTICES HAVE BEEN AUTOMATICALLY GENERATED AS A RESULT OF THESE MATERIALS HAVING BEEN SENT VIA BLOOMBERG OR ANOTHER EMAIL SYSTEM. ****

 


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