As of April 2, 2015, approximately $596.94 million of portfolio collateral has been purchased or committed for purchase by the issuer (see tables 1-3 and charts 4-5 for the actual portfolio that was purchased or committed for purchase on the effective date and charts 1-3 for a comparison of the actual portfolio that was purchased or committed for purchase on the effective date and the target portfolio that was presented by the issuer for our rating analysis as of March 31, 2015). The collateral pool presented to Standard&Poor's for its rating analysis consisted of obligors in the industries shown in table 1. The collateral pool presented to Standard&Poor's for its rating analysis consists of the industry