Loan: ES-1807105321

Loan amount, €

1 288.00

Interest rate, %

17.00

Term, days

900

Loan status

Finished prematurely

Date of issue

01.02.2023

Final payment date

20.07.2025

Loan lender

Creditstar Spain

Loan with a Buyback Guarantee

This loan has a Buyback Guarantee. The loan originator will buy back the loans from investors that are more than 60 days overdue from their scheduled due date.

Available for Investment

0.00
Due date Principal Interest Total Status
03.03.2023 0.00 36.49 36.49
The borrower has extended the schedule by 30 days on 27.04.2023
02.04.2023 0.00 18.24 18.24
The borrower has extended the schedule by 30 days on 29.05.2023
02.05.2023 47.94 0.00 47.94
01.06.2023 0.00 35.13 35.13
The borrower has extended the schedule by 30 days on 27.07.2023
01.07.2023 0.00 17.56 17.56
The borrower has extended the schedule by 30 days on 28.08.2023
31.07.2023 0.00 17.56 17.56
The borrower has extended the schedule by 30 days on 26.09.2023
30.08.2023 0.00 17.56 17.56
The borrower has extended the schedule by 30 days on 24.10.2023
29.09.2023 48.41 0.00 48.41
29.10.2023 48.89 16.88 65.77
28.11.2023 49.37 16.19 65.56
28.12.2023 49.86 15.49 65.35
27.01.2024 50.35 14.78 65.13
26.02.2024 50.84 14.07 64.91
27.03.2024 51.35 13.35 64.70
26.04.2024 51.85 12.62 64.47
26.05.2024 52.36 11.89 64.25
25.06.2024 52.88 11.15 64.03
25.07.2024 53.40 10.40 63.80
24.08.2024 53.93 9.64 63.57
23.09.2024 54.46 8.88 63.34
23.10.2024 55.00 8.10 63.10
22.11.2024 55.54 7.33 62.87
22.12.2024 56.09 6.54 62.63
21.01.2025 56.64 5.74 62.38
20.02.2025 57.20 4.94 62.14
22.03.2025 57.76 4.13 61.89
21.04.2025 58.33 3.31 61.64
21.05.2025 58.91 2.49 61.40
20.06.2025 59.49 1.65 61.14
20.07.2025 57.15 0.81 57.96
1 288.00 342.96 1 630.96
InvestmentAmountPurchase date
1150.00 €01.02.2023
2200.00 €01.02.2023
310.00 €01.02.2023
411.94 €01.02.2023
510.00 €01.02.2023
611.00 €01.02.2023
7100.00 €02.02.2023
880.41 €02.02.2023
943.32 €03.02.2023
1010.00 €10.02.2023
11596.93 €10.02.2023
 1 223.60 €