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WFCM 2024-5C2 - Charts and Resources

Data discoverability for CMBS deal WFCM 2024-5C2 updated as of 2025-03-26.

2025-03-26

Deal Overview

Wells Fargo Commercial Mortgage Trust 2024-5C2's issuance is a U.S. CMBS transaction issued from the WF shelf and backed by 34 commercial mortgage loans with an aggregate principal balance of 720 million at issuance, secured by the fee and leasehold interests in 147 properties across 30 U.S. states.
RoleParty
Rating AgenciesMoodys, Fitch, KBRA
Controlling ClassRREF V – D AIV RR H, LLC
Risk RetentionHorizontal
DepositorWells Fargo Commercial Mortgage Securities, Inc.
Certificate AdministratorComputershare Trust Company, N.A.
Master ServicerTrimont Real Estate Advisors
Special ServicerRialto Capital Advisors
Operating AdvisorPentalpha Surveillance
TrusteeComputershare Trust Company, N.A.

Deal Metrics

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

Deal Overview

Original Trust Amount
$719,795,000
Current Trust Amount
$719,785,805
Number of Loans
34
Number of Properties
147
Average Loan Size
$21,170,441

Portfolio Characteristics

Weighted Average Interest Rate
6.4%
Weighted Average Term
60 months
Original Valuation
$22,442,365,000
Current Valuation
$27,681,865,000

Key Dates

Origination Date
11/5/2024
Latest Valuation
10/16/2024
Latest Transfer
2/19/2025
Latest Return
N/A
Latest Modification
N/A

Special Servicing Status

Loans in Special Servicing
1
Special Servicing Balance
$10,000,000
Loans Returned to Master
0
Balance Returned
N/A
Avg Time in Special Servicing
63 days
Avg Time to Return
0 days

Valuation Changes

Updated Valuations
2
Total Updated Value
$6,108,800,000
Value Change Amount
$5,239,500,000
Value Change Percentage
603.9%

Modifications

Number of Modifications
0
Modified Balance
N/A

Deal Charts

Geographic Distribution - WFCM 2024-5C2 - All States
2025-03-26

Fund Holdings

Explore a list of funds that include WFCM 2024-5C2 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
Bridge Builder Core Bond Fund2025-02-26Search FIGILookup LEIA-3$20,497,2442025-06-30
Performance Trust Total Return Bond Fund2025-04-08Search FIGILookup LEIA-S$13,479,1402025-08-31
Intermediate Bond Fund of America2025-01-23Search FIGILookup LEIA-3, A-S$12,071,1342025-08-31
Short-Term Bond Fund of America2025-01-23Search FIGILookup LEIA-3, A-S$6,628,3752025-08-31
iShares Flexible Income Active ETF2025-03-27Search FIGILookup LEIA-3$5,942,2852025-07-31
BlackRock Total Return Fund2025-02-26Search FIGILookup LEIA-3$5,202,8692025-09-30
Bridge Builder Core Plus Bond Fund2025-02-26Search FIGILookup LEIA-3$1,926,6072025-06-30
iShares Short Duration Bond Active ETF2025-03-27Search FIGILookup LEIA-3$692,4052025-10-31
Federated Hermes MDT Balanced Fund2025-03-25Search FIGILookup LEIA-2$227,1822025-07-31
Morningstar Total Return Bond Fund2025-03-27Search FIGILookup LEIA-3$72,3412025-04-30
BlackRock Diversified Fixed Income Fund2025-03-27Search FIGILookup LEIA-3$41,3382025-10-31
iShares Total Return Active ETF2025-03-27Search FIGILookup LEIA-3$10,3342025-07-31
Fund NameTranchesIds
Bridge Builder Core Bond Fund
$20,497,244
2025-06-30
A-3Search FIGI
Lookup LEI
Performance Trust Total Return Bond Fund
$13,479,140
2025-08-31
A-SSearch FIGI
Lookup LEI
Intermediate Bond Fund of America
$12,071,134
2025-08-31
A-3, A-SSearch FIGI
Lookup LEI
Short-Term Bond Fund of America
$6,628,375
2025-08-31
A-3, A-SSearch FIGI
Lookup LEI
iShares Flexible Income Active ETF
$5,942,285
2025-07-31
A-3Search FIGI
Lookup LEI
BlackRock Total Return Fund
$5,202,869
2025-09-30
A-3Search FIGI
Lookup LEI
Bridge Builder Core Plus Bond Fund
$1,926,607
2025-06-30
A-3Search FIGI
Lookup LEI
iShares Short Duration Bond Active ETF
$692,405
2025-10-31
A-3Search FIGI
Lookup LEI
Federated Hermes MDT Balanced Fund
$227,182
2025-07-31
A-2Search FIGI
Lookup LEI
Morningstar Total Return Bond Fund
$72,341
2025-04-30
A-3Search FIGI
Lookup LEI
BlackRock Diversified Fixed Income Fund
$41,338
2025-10-31
A-3Search FIGI
Lookup LEI
iShares Total Return Active ETF
$10,334
2025-07-31
A-3Search 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 WFCM 2024-5C2.

Monthly Remittance Report

2025-03-26

Final Prospectus

2024-11-19

Pooling and Servicing Agreement (PSA)

2024-11-19

Pooling and Servicing Agreement (PSA)

2024-11-19

Preliminary Prospectus

2024-11-12

Term Sheet

2024-11-12

Annex A

2024-11-12

Recent Commentary

Special servicers provide regular updates on the status of troubled loans. Below are recent comments from special servicing reports filed with sec.gov EDGAR for WFCM 2024-5C2, giving insights into the current situation and actions being taken.

The Loan transferred to special servicing on 2/19/2025 due to the Borrower failing to make the January and February monthly payments. The Special Servicer has reached out to the Borrower for an explanation and intends to pursue all rights and remedies available under the loan documents if the default is not cured. Legal counsel has been asked to issue the default letter and prepare the foreclosure complaint and receivership motion.

2025-03-26
Euclid Apartments
MD Khaled Noor
* This list shows only a few of the most recent special servicing commentaries. We are continuously updating our coverage!
* The tagged date represents the date of the Edgar sec.gov filing.
* For full disclosures, please visit our disclosures page.

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CMBS Fund Holdings Dataset

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

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