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CMBS dealSpecial servicing active

BMARK 2025-V14

As of 6/30/2026Source: SEC EDGAR, CIK 2056663
Latest answer
BMARK 2025-V14 is a CMBS reference page with collateral metrics, transaction parties, filings, fund exposure, and machine-readable facts tied back to source disclosure.
Coverage: 93%Freshness: 9 days
Context brief

Quick Answer

What is BMARK 2025-V14? A US commercial mortgage-backed security issued March 2025 ($939.3M; 35 loans; 61 properties).

Identifiers: Shelf BMARK; Series bmark2025-v14; CIK 2056663.

Unique value: Dealcharts provides computed pool metrics, time-series performance analysis, and cross-deal comparisons not available in raw SEC EDGAR filings.

Sources: SEC EDGAR CIK 2056663.

What it means for you: This is the reported figure - the same for everyone, and it takes no one's side. For what it means from a specific position, email cairn+page@cmdrvl.com and name the CUSIP you hold (or a seat you're sizing up). Cairn tailors the read to your position, with the receipts.

Part of:2025 VintageBMARK ShelfGreystone Servicing Company (Special Servicer)
Machine-readable data: https://dealcharts.org/llm/facts/bmark2025-v14.json · API docs
Have a question this page didn't answer? Ask Cairn →
On this page:Entities7Metrics34Charts15Macro Context1Fund Holdings20Documents5Analysis & Commentary1

Who's Involved#

Rating AgenciesMoodys, Fitch, KBRA
Special ServicerGreystone Servicing Company
Certificate AdministratorComputershare Trust Company, N.A.
Master ServicerMidland Loan Services
TrusteeComputershare Trust Company, N.A.
DepositorDeutsche Mortgage & Asset Receiving Corporation
Operating AdvisorPark Bridge Lender Services

Deal Metrics

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

Deal Overview

Aggregate Original Loan Amount
Current Trust Amount
Number of Loans
Number of Properties
Average Loan Size

Portfolio Characteristics

Weighted Average Interest Rate
Weighted Average Term
WA DSCR (NCF) at Issuance
WA DSCR (NCF) Current
Original Valuation
Current Valuation

Key Dates

Origination Date
Latest Valuation
Latest Transfer
Latest Return
Latest Modification

Special Servicing Status

Loans in Special Servicing
Special Servicing Balance
Loans Returned to Master
Balance Returned
Avg Time in Special Servicing
Avg Time to Return

Valuation Changes

Updated Valuations
Total Updated Value
Value Change Amount
Value Change Percentage

Modifications

Number of Modifications
Modified Balance

Deal Charts

Charts showing deal performance over time.

Geographic Distribution - BMARK 2025-V14 - All States
2026-06-30

Fund Exposure#

Source: NPORT-P & related disclosures • 2026-06-24
Fund NameFiling DateFIGILEITranchesTotal ValueReporting Period
Bond Fund of America2026-05-28Search FIGILookup LEIA-4, A-M$53,134,8312026-12-31
LORD ABBETT BOND DEBENTURE FUND INC2025-08-28Search FIGILookup LEIA-4$50,021,0802025-12-31
American Balanced Fund2026-02-26Search FIGILookup LEIA-4, A-M$29,771,6442025-12-31
Fidelity Investment Grade Bond Central Fund2025-08-22Search FIGILookup LEIA-4$27,504,6292025-09-30
Income Fund of America2026-03-30Search FIGILookup LEIA-M, A-4$17,567,0602026-07-31
PGIM Absolute Return Bond Fund2025-06-26Search FIGILookup LEIA-4$13,842,2082025-10-31
PGIM Core Bond Fund2025-06-26Search FIGILookup LEIA-4$8,899,3042025-07-31
American Funds Inflation Linked Bond Fund2025-10-27Search FIGILookup LEIA-4$5,503,2442025-11-30
Franklin Total Return Fund2026-06-24Search FIGILookup LEIX-A$2,307,5572026-10-31
Fidelity Total Bond ETF2025-07-24Search FIGILookup LEIA-4$2,271,9542025-08-31
Franklin Core Plus Bond Fund2026-06-24Search FIGILookup LEIX-A$2,106,8382026-04-30
DoubleLine Commercial Real Estate ETF2026-02-20Search FIGILookup LEIA-1$1,795,9382026-09-30
T. Rowe Price Spectrum Income Fund2026-02-26Search FIGILookup LEIA-4$1,094,1492025-12-31
Intermediate Bond Fund of America2026-04-27Search FIGILookup LEIA-M$584,4302026-08-31
iShares Core Universal USD Bond ETF2026-06-26Search FIGILookup LEIA-4$515,8642026-10-31
Columbia Short Duration Bond ETF2026-06-25Search FIGILookup LEIA-3$355,5232026-10-31
Short-Term Bond Fund of America2026-04-27Search FIGILookup LEIA-M$292,2152026-08-31
Thrivent Core Plus Bond ETF2026-02-26Search FIGILookup LEIA-M$234,9732026-09-30
1290 VT DoubleLine Opportunistic Bond Portfolio2026-06-25Search FIGILookup LEIA-M$210,2852026-12-31
Franklin Strategic Income VIP Fund2026-05-27Search FIGILookup LEIX-A$190,9102026-12-31
Fund NameTranchesIds
Bond Fund of America
$53,134,831
2026-12-31
A-4, A-MSearch FIGI
Lookup LEI
LORD ABBETT BOND DEBENTURE FUND INC
$50,021,080
2025-12-31
A-4Search FIGI
Lookup LEI
American Balanced Fund
$29,771,644
2025-12-31
A-4, A-MSearch FIGI
Lookup LEI
Fidelity Investment Grade Bond Central Fund
$27,504,629
2025-09-30
A-4Search FIGI
Lookup LEI
Income Fund of America
$17,567,060
2026-07-31
A-M, A-4Search FIGI
Lookup LEI
PGIM Absolute Return Bond Fund
$13,842,208
2025-10-31
A-4Search FIGI
Lookup LEI
PGIM Core Bond Fund
$8,899,304
2025-07-31
A-4Search FIGI
Lookup LEI
American Funds Inflation Linked Bond Fund
$5,503,244
2025-11-30
A-4Search FIGI
Lookup LEI
Franklin Total Return Fund
$2,307,557
2026-10-31
X-ASearch FIGI
Lookup LEI
Fidelity Total Bond ETF
$2,271,954
2025-08-31
A-4Search FIGI
Lookup LEI
Franklin Core Plus Bond Fund
$2,106,838
2026-04-30
X-ASearch FIGI
Lookup LEI
DoubleLine Commercial Real Estate ETF
$1,795,938
2026-09-30
A-1Search FIGI
Lookup LEI
T. Rowe Price Spectrum Income Fund
$1,094,149
2025-12-31
A-4Search FIGI
Lookup LEI
Intermediate Bond Fund of America
$584,430
2026-08-31
A-MSearch FIGI
Lookup LEI
iShares Core Universal USD Bond ETF
$515,864
2026-10-31
A-4Search FIGI
Lookup LEI
Columbia Short Duration Bond ETF
$355,523
2026-10-31
A-3Search FIGI
Lookup LEI
Short-Term Bond Fund of America
$292,215
2026-08-31
A-MSearch FIGI
Lookup LEI
Thrivent Core Plus Bond ETF
$234,973
2026-09-30
A-MSearch FIGI
Lookup LEI
1290 VT DoubleLine Opportunistic Bond Portfolio
$210,285
2026-12-31
A-MSearch FIGI
Lookup LEI
Franklin Strategic Income VIP Fund
$190,910
2026-12-31
X-ASearch FIGI
Lookup LEI
20 of 20 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 & lineage Open deal-level fund-holder pageFund not listed or misattributed? Contact us at support@cmdrvl.com to ensure accurate exposure mapping.

Provenance & Documents

Issuance → amendments → reports. Tap to view on SEC.
2026-06-30
Latest
Monthly Remittance Report
Document filing with updated information.
View on SEC →
2025-03-25
Final Prospectus
Document filing with updated information.
View on SEC →
2025-03-17
Annex A
Document filing with updated information.
View on SEC →
2025-03-17
Final Termsheet
Document filing with updated information.
View on SEC →
2025-03-17
Preliminary Prospectus
Document filing with updated information.
View on SEC →

Context & Commentary#

This deal is tagged for AI-industry / data-center exposure (Data Center). See the full list of AI-exposed CMBS deals →

Entity Statements

💬 Servicer Commentary

2026-06-30
Portfolio (2 Multifamily properties)
Marc Kulick
Prospectus ID: 12
6/11/2026 - Transferred for payment default; however, all rents are being deposited into the lockbox and debt service is paid to 3/6/2026. Borrower principals have contributed additional capital, with the intention to commit additional amounts, toward correcting deferred maintenance/code violations. Borrower is complying with request for updated financial reporting and additional information. An updated appraisal has been received. An updated PCR has been received. Noteholder will continue to dual track. A forbearance proposal is being evaluated. As of 3/2026: Lakeside occupancy is 55.29%. Shoreline occupancy is 50.97%. Lakeside 12/31/2025 TTM NCF is $688,729; Shoreline TTM NCF is $1,590,037.
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External Analysis

No external analysis linked yet. Contact us to publish and link your research.
All items include provenance (author, timestamp, source).Have a source-backed clarification? Contact us.
Monitoring
This deal's collateral and ratings data changes over time. Who is watching it for you?
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Datasets & API#

GET https://dealcharts.org/llm/facts/bmark2025-v14.json
{
  "deal_id": "bmark2025-v14",
  "issuer": "",
  "shelf": "BMARK",
  "issue_date": "",
  "linked_entities": [
  {
    "role": "Rating Agencies",
    "name": "Moodys, Fitch, KBRA"
  },
  {
    "role": "Special Servicer",
    "name": "Greystone Servicing Company"
  },
  {
    "role": "Certificate Administrator",
    "name": "Computershare Trust Company, N.A."
  },
  {
    "role": "Master Servicer",
    "name": "Midland Loan Services"
  },
  {
    "role": "Trustee",
    "name": "Computershare Trust Company, N.A."
  },
  {
    "role": "Depositor",
    "name": "Deutsche Mortgage & Asset Receiving Corporation"
  },
  {
    "role": "Operating Advisor",
    "name": "Park Bridge Lender Services"
  }
]
}


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Marketplace dataset

CMBS Fund Holdings Dataset

Snowflake Marketplace

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

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CREFC IRP standardized datasets

Snowflake Marketplace

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