CSAIL 2017-CX10 - Charts and Resources

Data discoverability for CMBS deal CSAIL 2017-CX10 updated as of 2025-04-29.

2025-04-29

Deal Overview

CSAIL 2017-CX10 Commercial Mortgage Trust's issuance is a U.S. CMBS transaction issued from the CSAIL shelf and backed by 31 commercial mortgage loans with an aggregate principal balance of 855.3 million at issuance, secured by the fee and leasehold interests in 76 properties across 22 U.S. states.
RoleParty
Rating AgenciesFitch, KBRA
Special ServicerCWCapital Asset Management
Operating AdvisorPark Bridge Lender Services
DepositorCredit Suisse Commercial Mortgage Securities Corp.
Master ServicerKeyBank National Association
Special ServicerLNR Partners

Deal Metrics

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

Deal Overview

Original Trust Amount
$856,170,000
Current Trust Amount
$717,442,796
Number of Loans
29
Number of Properties
76
Average Loan Size
$27,618,387

Portfolio Characteristics

Weighted Average Interest Rate
4.1%
Weighted Average Term
108 months
Original Valuation
$4,144,405,000
Current Valuation
$2,256,785,000

Key Dates

Origination Date
11/1/2017
Latest Valuation
3/19/2025
Latest Transfer
11/6/2024
Latest Return
11/9/2023
Latest Modification
N/A

Special Servicing Status

Loans in Special Servicing
3
Special Servicing Balance
$98,088,690
Loans Returned to Master
2
Balance Returned
$103,400,000
Avg Time in Special Servicing
388 days
Avg Time to Return
836 days

Valuation Changes

Updated Valuations
4
Total Updated Value
$404,400,000
Value Change Amount
-$465,600,000
Value Change Percentage
-146.6%

Modifications

Number of Modifications
0
Modified Balance
N/A

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.

Fund Holdings

Explore a list of funds that include CSAIL 2017-CX10 bonds in their portfolios, sourced directly from the most recent NPORT-P filings on EDGAR SEC.gov. The funds in this table should have a reporting period end date in the future which means the holdings are current as of the most recent filing.
Fund NameFiling DateFIGILEITranchesTotal ValueReporting Period
Fidelity SAI Total Bond Fund2025-04-25Search FIGILookup LEIA-SB$2,446,1802025-08-31
Intermediate Bond Fund of America2025-01-23Search FIGILookup LEIA-5$943,6022025-08-31
Fidelity SAI Low Duration Bond Fund2025-04-25Search FIGILookup LEIA-SB$842,7332025-08-31
Short-Term Bond Fund of America2025-01-23Search FIGILookup LEIA-5$832,4552025-08-31
SPDR DoubleLine Total Return Tactical ETF2024-11-26Search FIGILookup LEIX-A$794,7742025-06-30
Fidelity Total Bond ETF2025-04-25Search FIGILookup LEIA-SB$779,1692025-08-31
SPDR Portfolio Aggregate Bond ETF2024-11-25Search FIGILookup LEIA-5$482,2452025-06-30
Fidelity Total Bond K6 Fund2025-04-25Search FIGILookup LEIA-SB$369,0802025-08-31
BNY Mellon Balanced Opportunity Fund2025-04-24Search FIGILookup LEIA-4$232,6902025-11-30
Fidelity SAI Investment Grade Securitized Fund2025-04-25Search FIGILookup LEIA-SB$161,1652025-08-31
BlackRock Total Return Fund2025-02-26Search FIGILookup LEIX-B$89,9832025-09-30
Fidelity Low Duration Bond ETF2025-04-25Search FIGILookup LEIA-SB$43,8802025-08-31
Nuveen Securitized Credit Managed Accounts Portfolio2025-03-26Search FIGILookup LEIA-5$42,5852025-07-31
SPDR DoubleLine Short Duration Total Return Tactical ETF2024-11-26Search FIGILookup LEIX-A$12,1902025-06-30
Fund NameTranchesIds
Fidelity SAI Total Bond Fund
$2,446,180
2025-08-31
A-SBSearch FIGI
Lookup LEI
Intermediate Bond Fund of America
$943,602
2025-08-31
A-5Search FIGI
Lookup LEI
Fidelity SAI Low Duration Bond Fund
$842,733
2025-08-31
A-SBSearch FIGI
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Short-Term Bond Fund of America
$832,455
2025-08-31
A-5Search FIGI
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SPDR DoubleLine Total Return Tactical ETF
$794,774
2025-06-30
X-ASearch FIGI
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Fidelity Total Bond ETF
$779,169
2025-08-31
A-SBSearch FIGI
Lookup LEI
SPDR Portfolio Aggregate Bond ETF
$482,245
2025-06-30
A-5Search FIGI
Lookup LEI
Fidelity Total Bond K6 Fund
$369,080
2025-08-31
A-SBSearch FIGI
Lookup LEI
BNY Mellon Balanced Opportunity Fund
$232,690
2025-11-30
A-4Search FIGI
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Fidelity SAI Investment Grade Securitized Fund
$161,165
2025-08-31
A-SBSearch FIGI
Lookup LEI
BlackRock Total Return Fund
$89,983
2025-09-30
X-BSearch FIGI
Lookup LEI
Fidelity Low Duration Bond ETF
$43,880
2025-08-31
A-SBSearch FIGI
Lookup LEI
Nuveen Securitized Credit Managed Accounts Portfolio
$42,585
2025-07-31
A-5Search FIGI
Lookup LEI
SPDR DoubleLine Short Duration Total Return Tactical ETF
$12,190
2025-06-30
X-ASearch FIGI
Lookup LEI
* 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.

Deal Documents

Links to the deal documents for CSAIL 2017-CX10.

Get some data

Access the underlying datasets used to power these analytics.

CMBS Fund Holdings Dataset

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

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CREFC IRP standardized datasets

Get the standardized dataset following the CREFC IRP format, ideal for advanced reporting and analysis.

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Dive deeper

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