BMARK 2020-B16 – Deal Overview & Connected Data

Explore verified charts, linked entities, and recent activity for this CMBS deal. Data last updated September 26, 2025.
2025-09-26

Context Brief

  • What it is: A 2025-vintage CMBS transaction issued by BMARK 2020-B16, backed by 33 loans across 78 commercial properties, totaling $899,117,000 in collateral. Structured as a multi-borrower conduit deal.
  • What's notable: Strong entity coverage with 11 verified counterparties and comprehensive cross-referenced collateral from prior series.
  • Key identifiers: CIK 1797288 | Shelf | Series bmark2020-b16 | Issued 2025-Q1
  • Verify: Review source filings in Deal Documents, or confirm entity ownership via Verified Profiles.
📋 Quick Links
🏢 Entities
11
📈 Metrics
30
📊 Charts
15
💰 Fund Holdings
16
📄 Documents
5
💬 Analysis & Commentary
1
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Who's Involved#

Rating AgenciesMoodys, Fitch, KBRAOwn this profile? Verify your entity.
Controlling ClassELLINGTON MANAGEMENT GROUP, LLCOwn this profile? Verify your entity.
Special ServicerKeyBank National AssociationOwn this profile? Verify your entity.
Certificate AdministratorWells Fargo Bank, N.A.Own this profile? Verify your entity.
Special ServicerArgentic Services Company LPOwn this profile? Verify your entity.
Operating AdvisorPark Bridge Lender ServicesOwn this profile? Verify your entity.
Special ServicerKeyBank Real Estate CapitalOwn this profile? Verify your entity.
Certificate AdministratorComputershare Trust Company, N.A.Own this profile? Verify your entity.
Controlling ClassECMBSOwn this profile? Verify your entity.
Master ServicerMidland Loan ServicesOwn this profile? Verify your entity.

Deal Metrics

Key performance indicators and statistics tracking the deal's current status and history.

Deal Overview

Original Trust Amount
$899,117,000
Current Trust Amount
$871,340,107
Number of Loans
33
Number of Properties
78
Average Loan Size
$27,245,970

Portfolio Characteristics

Weighted Average Interest Rate
3.6%
Weighted Average Term
117 months
Original Valuation
$11,740,839,826
Current Valuation
$11,666,089,826

Key Dates

Origination Date
1/7/2020
Latest Valuation
5/21/2025
Latest Transfer
2/6/2024
Latest Return
10/31/2023
Latest Modification
2/18/2022

Special Servicing Status

Loans in Special Servicing
1
Special Servicing Balance
$33,500,000
Loans Returned to Master
2
Balance Returned
$50,193,263
Avg Time in Special Servicing
611 days
Avg Time to Return
627 days

Valuation Changes

Updated Valuations
1
Total Updated Value
$14,700,000
Value Change Amount
-$56,700,000
Value Change Percentage
-79.4%

Modifications

Number of Modifications
1
Modified Balance
$50,000,000

Deal Charts

Visual analytics and interactive charts showing the deal's performance over time. Track key metrics like balance, delinquency rates, and special servicing status through interactive visualizations.

Geographic Distribution - BMARK 2020-B16 - All States
2025-09-26

Fund Exposure#

Source: NPORT-P & related disclosures • 2025-06-26
Fund NameFiling DateFIGILEITranchesTotal ValueReporting Period
Global Bond Fund2025-06-27Search FIGILookup LEID$4,002,8432025-10-31
Strategic Advisers Core Income Fund2025-07-30Search FIGILookup LEIA-4$2,897,7062026-02-28
The Hartford World Bond Fund2025-06-26Search FIGILookup LEIA-M$1,701,6222025-10-31
iShares CMBS ETF2025-06-26Search FIGILookup LEIB, A-5$1,283,3342025-10-31
Neuberger Berman Strategic Income Fund2025-06-24Search FIGILookup LEIC$1,279,7902025-10-31
VANGUARD TOTAL BOND MARKET INDEX FUND2025-05-28Search FIGILookup LEIA-M$1,157,5912025-12-31
VANGUARD TOTAL BOND MARKET II INDEX FUND2025-05-28Search FIGILookup LEIA-M$925,1792025-12-31
State Street Aggregate Bond Index Portfolio2025-05-28Search FIGILookup LEIA-5$679,2262025-12-31
Six Circles Global Bond Fund2025-05-29Search FIGILookup LEIA-M$312,4892025-12-31
Mercer Opportunistic Fixed Income Fund2025-08-21Search FIGILookup LEIA-M$225,3862026-03-31
PD Aggregate Bond Index Portfolio2025-05-28Search FIGILookup LEIA-5$181,5062025-12-31
BNY Mellon Core Bond ETF2025-06-25Search FIGILookup LEIA-M$162,2502025-10-31
Destinations Low Duration Fixed Income Fund2025-07-22Search FIGILookup LEIX-A$115,2442026-02-28
iShares ESG Advanced Total USD Bond Market ETF2025-07-25Search FIGILookup LEIA-5$90,8832026-02-28
Opportunistic Fixed Income Trust2025-05-29Search FIGILookup LEIA-M$53,6342025-12-31
TOTAL BOND MARKET INDEX PORTFOLIO2025-05-28Search FIGILookup LEIA-M$22,3472025-12-31
Fund NameTranchesIds
Global Bond Fund
$4,002,843
2025-10-31
DSearch FIGI
Lookup LEI
Strategic Advisers Core Income Fund
$2,897,706
2026-02-28
A-4Search FIGI
Lookup LEI
The Hartford World Bond Fund
$1,701,622
2025-10-31
A-MSearch FIGI
Lookup LEI
iShares CMBS ETF
$1,283,334
2025-10-31
B, A-5Search FIGI
Lookup LEI
Neuberger Berman Strategic Income Fund
$1,279,790
2025-10-31
CSearch FIGI
Lookup LEI
VANGUARD TOTAL BOND MARKET INDEX FUND
$1,157,591
2025-12-31
A-MSearch FIGI
Lookup LEI
VANGUARD TOTAL BOND MARKET II INDEX FUND
$925,179
2025-12-31
A-MSearch FIGI
Lookup LEI
State Street Aggregate Bond Index Portfolio
$679,226
2025-12-31
A-5Search FIGI
Lookup LEI
Six Circles Global Bond Fund
$312,489
2025-12-31
A-MSearch FIGI
Lookup LEI
Mercer Opportunistic Fixed Income Fund
$225,386
2026-03-31
A-MSearch FIGI
Lookup LEI
PD Aggregate Bond Index Portfolio
$181,506
2025-12-31
A-5Search FIGI
Lookup LEI
BNY Mellon Core Bond ETF
$162,250
2025-10-31
A-MSearch FIGI
Lookup LEI
Destinations Low Duration Fixed Income Fund
$115,244
2026-02-28
X-ASearch FIGI
Lookup LEI
iShares ESG Advanced Total USD Bond Market ETF
$90,883
2026-02-28
A-5Search FIGI
Lookup LEI
Opportunistic Fixed Income Trust
$53,634
2025-12-31
A-MSearch FIGI
Lookup LEI
TOTAL BOND MARKET INDEX PORTFOLIO
$22,347
2025-12-31
A-MSearch FIGI
Lookup LEI
16 of 16 funds* Use toggle buttons to sort
* This table is not yet exhaustive. It is a new feature and contains only the funds we have found so far based on the tranche identifiers we know about. We are still working on it!
* The FIGI Search url provided for each fund will link you to the OpenFIGI search page to lookup FIGI identifiers.
* Reporting Period represents the reporting period end date from the NPORT-P filing.
* For full disclosures, please visit our disclosures page.
Filings are mapped to tranches/deals with normalized identifiers.Quality & lineageFund not listed or misattributed? Verify your fund to ensure accurate exposure mapping.

Provenance & Documents

Issuance → amendments → reports. Tap to view on SEC.
2025-09-26
Latest
Monthly Remittance Report
Document filing with updated information.
View on SEC →
2020-02-12
Final Prospectus
Document filing with updated information.
View on SEC →
2020-01-21
Annex A
Document filing with updated information.
View on SEC →
2020-01-21
Preliminary Prospectus
Document filing with updated information.
View on SEC →
2020-01-21
Final Termsheet
Document filing with updated information.
View on SEC →

Context & Commentary#

Entity Statements

💬 Servicer Commentary

2025-09-26
1019 Market Street
DWS Grundbesitz GmbH
Prospectus ID: 15
9/11/2025 - The loan transferred to Special Servicing on 02/06/24 due to Imminent Monetary Default. The asset is a fully vacant Class B office building in downtown San Francisco with a negative DSCR. Borrower has failed to pay February''s debt service and Notice of Default was delivered. Receivership was recently granted by the court, and receiver is now in place. Foreclosure anticipated in September.
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External Analysis

No external analysis linked yet. Become a Verified Contributor to publish and link your research.
All items include provenance (author, timestamp, source). See Create-Data for how verified notes become training-ready artifacts.Have a source-backed clarification? Add verified context.
Have a source-backed note on this deal? Add verified context and help the market ground analysis in citations.

Datasets & API#

Machine-readable spec (ODPS): /odps/cmbs-deals.yaml
GET https://api.dealcharts.org/deals/bmark2020-b16
{
  "deal_id": "bmark2020-b16",
  "issuer": "",
  "shelf": "",
  "issue_date": "",
  "linked_entities": [
  {
    "role": "Rating Agencies",
    "name": "Moodys, Fitch, KBRA"
  },
  {
    "role": "Controlling Class",
    "name": "ELLINGTON MANAGEMENT GROUP, LLC"
  },
  {
    "role": "Depositor",
    "name": "Deutsche Mortgage & Asset Receiving Corporation"
  },
  {
    "role": "Special Servicer",
    "name": "KeyBank National Association"
  },
  {
    "role": "Certificate Administrator",
    "name": "Wells Fargo Bank, N.A."
  },
  {
    "role": "Special Servicer",
    "name": "Argentic Services Company LP"
  },
  {
    "role": "Operating Advisor",
    "name": "Park Bridge Lender Services"
  },
  {
    "role": "Special Servicer",
    "name": "KeyBank Real Estate Capital"
  },
  {
    "role": "Certificate Administrator",
    "name": "Computershare Trust Company, N.A."
  },
  {
    "role": "Controlling Class",
    "name": "ECMBS"
  },
  {
    "role": "Master Servicer",
    "name": "Midland Loan Services"
  }
]
}


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Filing data from sec.gov NPORT-P to produce the Fund Holdings table.

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