The information below provides detailed information on T-Mobile’s outstanding Public Securitization transactions.

TMUST 2024-1

Issuance Details

Date of Issuance - 02/14/2024

Deal Size - $561,340,000

Tranche Size(m) Interest Rate Final Maturity Date CUSIP
Class A $500,000,000 5.05% 09/20/2029 87267RAA3
Class B $30,670,000 Retained 09/20/2029 87267RAB1
Class C $30,670,000 Retained 09/20/2029 87267RAC9

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Program Documents


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Servicer Reports

Collection Periodservicer report Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
Servicer Report - - - - - - - - - - - -
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TMUST 2022-1

Issuance Details

Date of Issuance - 10/12/2022

Deal Size - $842,020,000

Tranche Size(m) Interest Rate Final Maturity Date CUSIP
Class A $750,000,000 4.91% 5/22/2028 87267WAA2
Class B $46,010,000 Retained 5/22/2028 87267WAB0
Class C $46,010,000 Retained 5/22/2028 87267WAC8

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Program Documents


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Servicer Reports

Collection Periodservicer report Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
Servicer Report - - - - - - - - View View View
Servicer Report View View View View View View View View View View View View
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