Citigroup Commercial Mortgage Trust 2019-GC41

10/23/2025 | Press release | Distributed by Public on 10/23/2025 15:32

Asset-Backed Issuer Distribution Report (Form 10-D)


Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
STATEMENT TO NOTEHOLDERS
October 10, 2025
TRANSACTION PARTIES
Depositor: Citigroup Commercial Mortgage Securities Inc.
Master Servicer: Midland Loan Services, a Division of PNC Bank N.A.
Special Servicer: Rialto Capital Advisors, LLC
Trustee: Wilmington Trust, National Association
Asset Representations Reviewer /
Park Bridge Lender Services LLC
Operating Advisor:
Certificate Administrator: Citibank, N.A.
Danny Lee Citibank, Agency and Trust
(212) 816-4936 388 Greenwich Street Trading, 4th Floor
[email protected] New York, NY 10013
TABLE OF CONTENTS
1 . Distribution Summary 2
1.1 . Summary 2
1.2 . Factors 3
2 . Distribution Detail 4
2.1 . Interest Detail 4
2.2 . Interest Shortfall Detail 5
2.3 . Principal Detail 6
3 . Reconciliation Detail 7
4 . Other Information 8
5 . Stratification Detail 9
6 . Mortgage Loan Detail 14
7 . NOI Detail 16
8 . Delinquency Loan Detail 18
9 . Collateral Performance Delinquency and Loan Status Detail 19
10 . Appraisal Reduction Detail 20
11 . Historical Appraisal Reduction Detail 21
12 . Loan Modification Detail 23
13 . Historical Loan Modification Detail 24
14 . Specially Serviced Loan Detail 26
15 . Historical Specially Serviced Loan Detail 27
16 . Unscheduled Principal Detail 30
17 . Historical Unscheduled Principal Detail 31
18 . Liquidated Loan Detail 32
19 . Historical Liquidated Loan Detail 33
20 . CREFC Investor Reporting Package Legends 34
21 . Notes 35
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
DISTRIBUTION SUMMARY
October 10, 2025
Accretion
&
Non-Cash
Accrual Other Balance
Original Prior Pass-Through Day Interest (As Interest) Principal Total Realized Loss Increase/ Current
Class Balance Balance Rate Count Distributed Distributed Distributed Distributed /(Recovery) (Decrease) Balance
A-1 11,821,000.00 - 1.953000 % 30/360 - - - - - - -
A-2 128,061,000.00 59,638,560.49 2.689600 % 30/360 133,669.89 - - 133,669.89 - - 59,638,560.49
A-3 10,109,000.00 10,109,000.00 2.611500 % 30/360 21,999.71 - - 21,999.71 - - 10,109,000.00
A-4 210,000,000.00 210,000,000.00 2.620000 % 30/360 458,500.00 - - 458,500.00 - - 210,000,000.00
A-5 482,910,000.00 482,910,000.00 2.868700 % 30/360 1,154,436.60 - - 1,154,436.60 - - 482,910,000.00
A-AB 19,488,000.00 15,425,442.12 2.719800 % 30/360 34,961.76 - 331,068.76 366,030.52 - - 15,094,373.36
A-S 109,339,000.00 109,339,000.00 3.017800 % 30/360 274,969.36 - - 274,969.36 - - 109,339,000.00
B 69,299,000.00 69,299,000.00 3.199200 % 30/360 184,751.13 - - 184,751.13 - - 69,299,000.00
C 50,819,000.00 50,819,000.00 3.501500 % 30/360 148,285.61 - - 148,285.61 - - 50,819,000.00
D 32,340,000.00 32,340,000.00 3.000000 % 30/360 80,850.00 - - 80,850.00 - - 32,340,000.00
E 26,179,000.00 26,179,000.00 3.000000 % 30/360 65,447.50 - - 65,447.50 - - 26,179,000.00
F 26,180,000.00 26,180,000.00 3.000000 % 30/360 65,450.00 - - 65,450.00 - - 26,180,000.00
G-RR 12,320,000.00 12,320,000.00 3.841676 % 30/360 39,441.21 - - 39,441.21 - - 12,320,000.00
J-RR 43,119,964.00 43,119,964.00 3.841676 % 30/360 182,807.58 - - 182,807.58 - - 43,119,964.00
VRR Interest 44,650,000.00 41,594,554.60 0.000000 % 30/360 134,783.02 - 11,998.70 146,781.72 - - 41,582,555.90
S - - 0.000000 % 30/360 - - - - - - -
R - - 0.000000 % 30/360 - - - - - - -
Total 1,276,634,964 1,189,273,521 2,980,353.37 - 343,067.46 3,323,420.83 - - 1,188,930,454
Notional
X-A 971,728,000.00 887,422,002.61 1.031013 % 30/360 762,452.86 - - 762,452.86 - (331,068.76 ) 887,090,933.85
X-B 120,118,000.00 120,118,000.00 0.514581 % 30/360 51,508.67 - - 51,508.67 - - 120,118,000.00
X-D 58,519,000.00 58,519,000.00 0.841676 % 30/360 41,045.05 - - 41,045.05 - - 58,519,000.00
X-F 26,180,000.00 26,180,000.00 0.841676 % 30/360 18,362.58 - - 18,362.58 - - 26,180,000.00
Total 1,176,545,000 1,092,239,003 873,369.16 - - 873,369.16 - (331,068.76 ) 1,091,907,934
Grand Total 2,453,179,964 2,281,512,524 3,853,722.53 - 343,067.46 4,196,789.99 - (331,068.76 ) 2,280,838,388
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
DISTRIBUTION SUMMARY - FACTORS
October 10, 2025
Accretion
&
Non-Cash
Other Balance
Record Interest (As Interest) Principal Total Realized Loss Increase/ Current
Class CUSIP Date Distributed Distributed Distributed Distributed /(Recovery) (Decrease) Balance
A-1 17328 FAS4 09/30/2025 - - - - - - -
A-2 17328 FAT2 09/30/2025 1.04379858 - - 1.04379858 - - 465.70431661
A-3 17328 FAU9 09/30/2025 2.17624988 - - 2.17624988 - - 1,000.00000000
A-4 17328 FAV7 09/30/2025 2.18333333 - - 2.18333333 - - 1,000.00000000
A-5 17328 FAW5 09/30/2025 2.39058334 - - 2.39058334 - - 1,000.00000000
A-AB 17328 FAX3 09/30/2025 1.79401478 - 16.98833949 18.78235427 - - 774.54707307
X-A 17328 FBB0 09/30/2025 0.78463609 - - 0.78463609 - - 912.90045553
A-S 17328 FAY1 09/30/2025 2.51483332 - - 2.51483332 - - 1,000.00000000
B 17328 FAZ8 09/30/2025 2.66599994 - - 2.66599994 - - 1,000.00000000
C 17328 FBA2 09/30/2025 2.91791672 - - 2.91791672 - - 1,000.00000000
X-B 17328FAL9 U1746NAF0 09/30/2025 0.42881725 - - 0.42881725 - - 1,000.00000000
D 17328FAA3 U1746NAA1 09/30/2025 2.50000000 - - 2.50000000 - - 1,000.00000000
E 17328FAC9 U1746NAB9 09/30/2025 2.50000000 - - 2.50000000 - - 1,000.00000000
X-D 17328FAN5 U1746NAG8 09/30/2025 0.70139698 - - 0.70139698 - - 1,000.00000000
F 17328FAE5 U1746NAC7 09/30/2025 2.50000000 - - 2.50000000 - - 1,000.00000000
X-F 17328FAQ8 U1746NAH6 09/30/2025 0.70139725 - - 0.70139725 - - 1,000.00000000
G-RR 17328 FAH8 09/30/2025 3.20139692 - - 3.20139692 - - 1,000.00000000
J-RR 17328 FAK1 09/30/2025 4.23951142 - - 4.23951142 - - 1,000.00000000
VRR Interest 17328 FBH7 09/30/2025 3.01865666 - 0.26872788 3.28738455 - - 931.30024412
S 17328 FBD6 09/30/2025 - - - - - - -
R 17328 FBE4 09/30/2025 - - - - - - -
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
DISTRIBUTION INFORMATION - INTEREST DETAIL
October 10, 2025
Rate Interest Shortfall Paid
Cap
Accrual Net Accreted Non Carry Cap Carryover Carryover
Class Uncapped Capped Next Dates Accrued /Deferred Recovered Forward /Basis Risk Accrued Carry Forward /Basis Risk Total
A-1 1.95300 % 1.95300 % 1.95300 % 09/01-09/30 - - - - - - - - -
A-2 2.68960 % 2.68960 % 0.00000 % 09/01-09/30 133,669.89 - - - - 133,669.89 - - 133,669.89
A-3 2.61150 % 2.61150 % 2.61150 % 09/01-09/30 21,999.71 - - - - 21,999.71 - - 21,999.71
A-4 2.62000 % 2.62000 % 2.62000 % 09/01-09/30 458,500.00 - - - - 458,500.00 - - 458,500.00
A-5 2.86870 % 2.86870 % 2.86870 % 09/01-09/30 1,154,436.60 - - - - 1,154,436.60 - - 1,154,436.60
A-AB 2.71980 % 2.71980 % 2.71980 % 09/01-09/30 34,961.76 - - - - 34,961.76 - - 34,961.76
A-S 3.01780 % 3.01780 % 3.01780 % 09/01-09/30 274,969.36 - - - - 274,969.36 - - 274,969.36
B 3.19920 % 3.19920 % 3.19920 % 09/01-09/30 184,751.13 - - - - 184,751.13 - - 184,751.13
C 3.50150 % 3.50150 % 3.50150 % 09/01-09/30 148,285.61 - - - - 148,285.61 - - 148,285.61
D 3.00000 % 3.00000 % 3.00000 % 09/01-09/30 80,850.00 - - - - 80,850.00 - - 80,850.00
E 3.00000 % 3.00000 % 3.00000 % 09/01-09/30 65,447.50 - - - - 65,447.50 - - 65,447.50
F 3.00000 % 3.00000 % 3.00000 % 09/01-09/30 65,450.00 - - - - 65,450.00 - - 65,450.00
G-RR 3.84168 % 3.84168 % 3.84168 % 09/01-09/30 39,441.21 - - - - 39,441.21 - - 39,441.21
J-RR 3.84168 % 3.84168 % 3.84168 % 09/01-09/30 138,044.13 - - 542.78 - 138,044.13 44,763.45 - 182,807.58
VRR Interest 0.00000 % 0.00000 % 0.00000 % 09/01-09/30 134,783.02 - - - - 134,783.02 - - 134,783.02
S 0.00000 % 0.00000 % 0.00000 % 09/01-09/30 - - - - - - - - -
R 0.00000 % 0.00000 % 0.00000 % 09/01-09/30 - - - - - - - - -
Total 2,935,589.92 - - 542.78 - 2,935,589.92 44,763.45 - 2,980,353.37
Notional
X-A 1.03101 % 1.03101 % 1.03101 % 09/01-09/30 762,452.86 - - - - 762,452.86 - - 762,452.86
X-B 0.51458 % 0.51458 % 0.51458 % 09/01-09/30 51,508.67 - - - - 51,508.67 - - 51,508.67
X-D 0.84168 % 0.84168 % 0.84168 % 09/01-09/30 41,045.05 - - - - 41,045.05 - - 41,045.05
X-F 0.84168 % 0.84168 % 0.84168 % 09/01-09/30 18,362.58 - - - - 18,362.58 - - 18,362.58
Total 873,369.16 - - - - 873,369.16 - - 873,369.16
Grand Total 3,808,959.08 - - 542.78 - 3,808,959.08 44,763.45 - 3,853,722.53
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
DISTRIBUTION INFORMATION - INTEREST SHORTFALL DETAIL
October 10, 2025
Cap Carryover /
Non-Recov Shortfall Carry Forward Interest Basis Risk Shortfall
Other
Class PPIS SSRA Shortfall Prior Int. on Prior New Paid Outstanding Prior Int. on Prior New Paid Outstanding
A-1 - - - - - - - - - - - - -
A-2 - - - - - - - - - - - - -
A-3 - - - - - - - - - - - - -
A-4 - - - - - - - - - - - - -
A-5 - - - - - - - - - - - - -
A-AB - - - - - - - - - - - - -
A-S - - - - - - - - - - - - -
B - - - - - - - - - - - - -
C - - - - - - - - - - - - -
D - - - - - - - - - - - - -
E - - - - - - - - - - - - -
F - - - - - - - - - - - - -
G-RR - - - - - - - - - - - - -
J-RR - - - 169,545.85 542.78 - 44,763.45 125,325.18 - - - - -
VRR Interest - - - - - - - - - - - - -
S - - - - - - - - - - - - -
R - - - - - - - - - - - - -
Total - - - 169,545.85 542.78 - 44,763.45 125,325.18 - - - - -
Notional
X-A - - - - - - - - - - - - -
X-B - - - - - - - - - - - - -
X-D - - - - - - - - - - - - -
X-F - - - - - - - - - - - - -
Total - - - - - - - - - - - - -
Grand Total - - - 169,545.85 542.78 - 44,763.45 125,325.18 - - - - -
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
DISTRIBUTION INFORMATION - PRINCIPAL DETAIL
October 10, 2025
Accretion
&
Non-Cash
Balance Cumulative
Prior Principal Accreted Realized Loss Increase/ Current Realized Class % Class % Sub % Sub %
Class Balance Distributed Principal /(Recovery) (Decrease) Balance Loss Original Current Original Current
A-1 - - - - - - - 0.93 % 0.00 % 30.00 % 32.21 %
A-2 59,638,560.49 - - - - 59,638,560.49 - 10.03 % 5.02 % 30.00 % 32.21 %
A-3 10,109,000.00 - - - - 10,109,000.00 - 0.79 % 0.85 % 30.00 % 32.21 %
A-4 210,000,000.00 - - - - 210,000,000.00 - 16.45 % 17.66 % 30.00 % 32.21 %
A-5 482,910,000.00 - - - - 482,910,000.00 - 37.83 % 40.62 % 30.00 % 32.21 %
A-AB 15,425,442.12 331,068.76 - - - 15,094,373.36 - 1.53 % 1.27 % 30.00 % 32.21 %
A-S 109,339,000.00 - - - - 109,339,000.00 - 8.56 % 9.20 % 21.13 % 22.68 %
B 69,299,000.00 - - - - 69,299,000.00 - 5.43 % 5.83 % 15.50 % 16.64 %
C 50,819,000.00 - - - - 50,819,000.00 - 3.98 % 4.27 % 11.38 % 12.21 %
D 32,340,000.00 - - - - 32,340,000.00 - 2.53 % 2.72 % 8.75 % 9.40 %
E 26,179,000.00 - - - - 26,179,000.00 - 2.05 % 2.20 % 6.63 % 7.11 %
F 26,180,000.00 - - - - 26,180,000.00 - 2.05 % 2.20 % 4.50 % 4.83 %
G-RR 12,320,000.00 - - - - 12,320,000.00 - 0.97 % 1.04 % 3.50 % 3.76 %
J-RR 43,119,964.00 - - - - 43,119,964.00 - 3.38 % 3.63 % 0.00 % 0.00 %
VRR Interest 41,594,554.60 11,998.70 - - - 41,582,555.90 - 3.50 % 3.50 % 0.00 % 0.00 %
S - - - - - - - 0.00 % 0.00 % 0.00 % 0.00 %
R - - - - - - - 0.00 % 0.00 % 0.00 % 0.00 %
Total 1,189,273,521.21 343,067.46 - - - 1,188,930,453.75 - 100.01 % 100.00 %
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
RECONCILIATION DETAIL
October 10, 2025
SOURCE OF FUNDS ALLOCATION OF FUNDS
Interest Funds Available Scheduled Fees
Scheduled Interest 3,820,305.89 Servicing Fee 6,372.53
Prepayment Interest Shortfall - Trustee/Certificate Administrator Fee 4,757.09
Interest Adjustments - Operating Advisor Fee 1,145.77
ASER Amount 50,883.60 Asset Representations Reviewer Ongoing Fee 198.22
Realized Loss in Excess of Principal Balance - CREFC Intellectual Property Royalty License Fee 495.56
Total Interest Funds Available 3,871,189.49 Total Scheduled Fees 12,969.17
Principal Funds Available Additional Fees, Expenses, etc.
Scheduled Principal 343,067.46 Additional Servicing Fee -
Unscheduled Principal Collections - Special Servicing Fee 2,743.05
Net Liquidation Proceeds - Work-out Fee 1,320.36
Repurchased Principal - Liquidation Fee -
Substitution Principal - Trust Fund Expenses -
Other Principal - Trust Advisor Expenses -
Reimbursement of Interest on Advances to the Servicer 434.38
Total Principal Funds Available 343,067.46
Borrower Reimbursable Trust Fund Expenses -
Other Funds Available
Other Expenses -
Yield Maintenance Charges -
Withdrawal of Withheld Amounts from the Interest Reserve Total Additional Fees, Expenses, etc. 4,497.79
Account -
Distributions
Deposit of Withheld Amounts to the Interest Reserve Account -
Interest Distribution 3,853,722.53
Total Other Funds Available - Principal Distribution 343,067.46
Yield Maintenance Charge Distribution -
Total Distributions 4,196,789.99
Total Funds Available 4,214,256.95
Total Funds Allocated 4,214,256.95
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
OTHER INFORMATION
Interest Reserve Account Information
October 10, 2025
Beginning Interest Reserve Account Balance 0.00
Deposit of Withheld Amounts to the Interest Reserve Account 0.00
Withdrawal of Withheld Amounts from the Interest Reserve Account 0.00
Ending Interest Reserve Account Balance 0.00
Excess Liquidation Proceeds Reserve Account Information
Beginning Excess Liquidation Proceeds Reserve Account Balance 0.00
Deposit to the Excess Liquidation Proceeds Reserve Account 0.00
Withdrawal from the Excess Liquidation Proceeds Reserve Account 0.00
Ending Excess Liquidation Proceeds Reserve Account Balance 0.00
Collateral Information
% of Cut-Off Principal Balance Outstanding 93.130024 %
Controlling Class Information
Controlling Class is Class J-RR.
The Controlling Class Representative is RREF III-D AIV RR, LLC.
There Are No Disclosable Special Servicer Fees.
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
STRATIFICATION DETAIL
October 10, 2025
Anticipated Remaining Term
Anticipated Remaining Asset Ending Scheduled % of Wtd Avg
Term Range Count Balance Agg.Bal. WAC WAM DSCR
60 Months or Less 44 1,188,930,453.74 100.00 3.8546 42 2.294976
61 to 90 Months 0 0.00 0.00 0.0000 0 0.000000
91 Months or Greater 0 0.00 0.00 0.0000 0 0.000000
Total 44 1,188,930,453.74 100.00 3.8546 42 2.294976
Debt Service Coverage Ratio
Debt Service Coverage Asset Ending Scheduled % of Wtd Avg
Ratio Range Count Balance Agg.Bal. WAC WAM DSCR
1.250 or Less 5 61,518,544.20 5.17 4.2935 45 1.069287
1.251 to 1.500 7 209,151,179.48 17.59 4.2192 33 1.399829
1.501 to 1.750 4 81,691,672.40 6.87 3.7426 45 1.669457
1.751 to 2.000 3 91,731,413.27 7.72 3.8200 45 1.972997
2.001 to 2.250 7 176,845,226.58 14.87 3.4373 45 2.217979
2.251 to 2.500 2 32,300,000.00 2.72 4.5119 44 2.280000
2.501 to 2.750 7 215,878,974.49 18.16 4.0197 41 2.627431
2.751 to 3.000 3 133,400,000.00 11.22 3.5599 45 2.845502
3.001 to 3.250 1 50,000,000.00 4.21 3.7800 46 3.090000
3.251 to 3.500 3 29,563,443.32 2.49 4.0410 32 3.348860
3.501 to 3.750 2 106,850,000.00 8.99 3.5136 45 3.616846
3.751 to 4.000 0 0.00 0.00 0.0000 0 0.000000
4.001 or Greater 0 0.00 0.00 0.0000 0 0.000000
Total 44 1,188,930,453.74 100.00 3.8546 42 2.294976
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
STRATIFICATION DETAIL
October 10, 2025
Ending Schedule Balance
Ending Schedule Balance Asset Ending Scheduled % of Wtd Avg
Range Count Balance Agg.Bal. WAC WAM DSCR
1 to 5,000,000 1 5,000,000.00 0.42 4.1390 44 1.480000
10,000,001 to 15,000,000 7 85,189,856.59 7.17 4.2478 32 2.654308
15,000,001 to 20,000,000 7 123,140,711.27 10.36 4.2057 44 1.944943
20,000,001 to 25,000,000 3 67,511,190.76 5.68 4.1760 44 1.729495
25,000,001 to 30,000,000 2 60,000,000.00 5.05 3.1100 45 2.250000
30,000,001 to 35,000,000 0 0.00 0.00 0.0000 0 0.000000
35,000,001 to 40,000,000 1 40,000,000.00 3.36 3.1100 45 2.250000
40,000,001 to 45,000,000 4 170,327,293.83 14.33 3.8213 45 1.984568
45,000,001 to 50,000,000 2 96,850,000.00 8.15 3.7897 45 3.336706
5,000,001 to 10,000,000 9 67,241,401.29 5.66 4.3799 45 1.651458
50,000,001 to 55,000,000 3 160,850,000.00 13.53 4.0454 29 2.156090
55,000,001 to 60,000,000 2 120,000,000.00 10.09 3.5154 45 3.250000
60,000,001 to 65,000,000 2 122,820,000.00 10.33 3.6504 46 2.155559
65,000,001 to 70,000,000 1 70,000,000.00 5.89 3.6600 46 2.000000
70,000,001 to 75,000,000 0 0.00 0.00 0.0000 0 0.000000
75,000,001 to 80,000,000 0 0.00 0.00 0.0000 0 0.000000
80,000,001 to 85,000,000 0 0.00 0.00 0.0000 0 0.000000
85,000,000+ 0 0.00 0.00 0.0000 0 0.000000
Total 44 1,188,930,453.74 100.00 3.8546 42 2.294976
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
STRATIFICATION DETAIL
October 10, 2025
Loan Rate
Asset Ending Scheduled % of Wtd Avg
Loan Rate Range Count Balance Agg.Bal. WAC WAM DSCR
4.00 or Less 23 816,496,066.24 68.67 3.6138 45 2.503491
4.01 to 4.25 8 144,612,693.95 12.16 4.1491 44 2.217771
4.26 to 4.50 6 145,601,877.12 12.25 4.3427 25 1.424888
4.51 to 4.75 4 41,064,112.23 3.45 4.5671 45 1.638069
4.76 to 5.00 2 26,155,704.20 2.20 4.8625 44 1.883986
5.01 to 5.25 0 0.00 0.00 0.0000 0 0.000000
5.26 to 5.50 0 0.00 0.00 0.0000 0 0.000000
5.51 to 5.75 1 15,000,000.00 1.26 5.6817 0 2.650000
5.76 to 6.00 0 0.00 0.00 0.0000 0 0.000000
6.01 to 6.25 0 0.00 0.00 0.0000 0 0.000000
6.26 to 6.50 0 0.00 0.00 0.0000 0 0.000000
6.51 to 6.75 0 0.00 0.00 0.0000 0 0.000000
6.76 to 7.00 0 0.00 0.00 0.0000 0 0.000000
7.01 or Greater 0 0.00 0.00 0.0000 0 0.000000
Total 44 1,188,930,453.74 100.00 3.8546 42 2.294976
Property Type
Asset Ending Scheduled % of Wtd Avg
Property Type Range Count Balance Agg.Bal. WAC WAM DSCR
Industrial 4 159,350,000.00 13.40 3.7432 45 2.788459
Lodging 5 112,801,518.09 9.49 3.7876 42 2.696055
Mixed Use 6 218,595,226.58 18.39 4.0221 34 2.053707
Multifamily 4 111,752,604.03 9.40 4.2929 39 1.623005
Office 12 316,738,413.25 26.64 3.6036 45 2.475668
Other 3 68,512,293.83 5.76 4.2845 45 1.347214
Retail 8 180,180,397.96 15.15 3.7692 45 2.338167
Self Storage 2 21,000,000.00 1.77 4.1024 45 2.479524
Total 44 1,188,930,453.74 100.00 3.8546 42 2.294976
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
STRATIFICATION DETAIL
October 10, 2025
Remaining Amortization Term
Remaining Amortization Asset Ending Scheduled % of Wtd Avg
Term Range Count Balance Agg.Bal. WAC WAM DSCR
240 Months or Less 29 968,020,000.00 81.42 3.7464 42 2.448281
241 to 270 Months 0 0.00 0.00 0.0000 0 0.000000
271 to 300 Months 14 179,558,159.91 15.10 4.3173 43 1.706846
301 Months or Greater 1 41,352,293.83 3.48 4.3800 46 1.260000
Total 44 1,188,930,453.74 100.00 3.8546 42 2.294976
Seasoning
Asset Ending Scheduled % of Wtd Avg
Seasoning Range Count Balance Agg.Bal. WAC WAM DSCR
12 Months or Less 0 0.00 0.00 0.0000 0 0.000000
13 to 24 Months 0 0.00 0.00 0.0000 0 0.000000
25 to 36 Months 0 0.00 0.00 0.0000 0 0.000000
37 to 48 Months 0 0.00 0.00 0.0000 0 0.000000
49 Months or Greater 44 1,188,930,453.74 100.00 3.8546 42 2.294976
Total 44 1,188,930,453.74 100.00 3.8546 42 2.294976
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
STRATIFICATION DETAIL
October 10, 2025
State
Asset Ending Scheduled % of Wtd Avg
State Range Count Balance Agg.Bal. WAC WAM DSCR
Arizona 1 19,600,000.00 1.65 4.8500 44 2.280000
California 5 142,209,366.21 11.96 3.5958 45 2.691112
Colorado 1 17,000,000.00 1.43 4.2100 44 2.650000
Florida 5 46,292,362.63 3.89 4.1469 37 2.625505
Georgia 1 16,478,974.49 1.39 4.0300 45 2.710000
Idaho 1 46,850,000.00 3.94 3.8000 45 3.600000
Illinois 1 70,000,000.00 5.89 3.6600 46 2.000000
Kentucky 0 0.00 0.00 0.0000 0 0.000000
Missouri 0 0.00 0.00 0.0000 0 0.000000
Nevada 1 60,000,000.00 5.05 3.7408 45 2.870000
New Jersey 1 15,000,000.00 1.26 5.6817 0 2.650000
New York 7 232,750,000.00 19.58 3.5626 45 2.254625
Ohio 3 36,124,305.22 3.04 4.0630 44 1.743823
Oregon 1 24,601,190.76 2.07 4.4000 45 1.220000
Pennsylvania 1 41,352,293.83 3.48 4.3800 46 1.260000
Tennessee 1 5,322,057.26 0.45 4.2900 45 0.790000
Texas 3 34,743,203.31 2.92 4.4577 45 1.630592
Various 9 357,330,000.00 30.05 3.8288 38 2.234443
Wisconsin 2 23,276,700.03 1.96 3.9277 45 1.725043
Total 44 1,188,930,453.74 100.00 3.8546 42 2.294976
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
MORTGAGE LOAN DETAIL
October 10, 2025
Prop Paid Beginning Ending Payment Workout Mod
Type Through Gross Interest Principal Scheduled Scheduled Maturity Status Strategy Code
Loan ID OMCR (1) City State Date Coupon Payment Payment Balance Balance Date (2 ) (3 ) (4 )
30316647 10 IN Various XX 10/01/2025 3.63730 % 156,252.35 - 51,550,000.00 51,550,000.00 07/06/2029 0 0 0
30520959 12 IN Various XX 10/06/2025 3.78000 % 157,500.00 - 50,000,000.00 50,000,000.00 08/06/2029 0 0 0
30316649 13 OF Boise ID 10/06/2025 3.80000 % 148,358.33 - 46,850,000.00 46,850,000.00 07/06/2029 0 0 0
30503335 14 RT Brooklyn NY 10/06/2025 3.53000 % 132,375.00 - 45,000,000.00 45,000,000.00 07/06/2029 0 0 0
30503640 15 N/A Bethlehem PA 10/06/2025 4.38000 % 151,149.34 58,484.34 41,410,778.17 41,352,293.83 08/06/2029 0 0 0
30316650 16 IN Various XX 10/01/2025 3.63730 % 123,668.20 - 40,800,000.00 40,800,000.00 07/06/2029 0 0 0
30503305 18 MF Clackamas OR 10/06/2025 4.40000 % 90,350.47 39,847.37 24,641,038.13 24,601,190.76 07/06/2029 0 0 0
30316652 19 LO Austin TX 10/06/2025 4.53000 % 72,489.45 36,831.47 19,202,502.01 19,165,670.54 07/06/2029 0 0 0
30316633 2 MU Chicago IL 10/06/2025 3.66000 % 213,500.00 - 70,000,000.00 70,000,000.00 08/06/2029 0 0 0
30503459 20 MU New York NY 10/06/2025 3.95000 % 68,302.08 - 20,750,000.00 20,750,000.00 08/06/2029 0 0 0
30316653 21 RT Burbank CA 10/06/2025 3.85000 % 60,260.20 33,032.64 18,782,398.85 18,749,366.21 08/06/2029 0 8 0
30316654 22 OF Tucson AZ 10/06/2025 4.85000 % 79,216.67 - 19,600,000.00 19,600,000.00 06/06/2029 0 0 0
30503387 23 LO Brookfield WI 10/06/2025 3.91000 % 53,537.67 34,299.21 16,430,999.24 16,396,700.03 08/06/2029 0 0 0
30316655 24 RT Hinesville GA 10/06/2025 4.03000 % 55,431.64 26,725.21 16,505,699.70 16,478,974.49 07/06/2029 0 0 0
30316656 25 IN Boulder CO 10/06/2025 4.21000 % 59,641.67 - 17,000,000.00 17,000,000.00 06/06/2029 0 0 0
30316657 26 RT Cleveland OH 10/06/2025 3.92000 % 51,450.00 - 15,750,000.00 15,750,000.00 07/06/2029 0 0 0
30503341 27 MF Cliffside Park NJ 09/06/2025 5.68167 % 71,020.83 - 15,000,000.00 15,000,000.00 07/06/2024 5 98 0
30503414 28 MU New York NY 10/06/2025 3.99000 % 42,227.50 - 12,700,000.00 12,700,000.00 08/06/2029 0 0 0
30316658 29 LO Orlando FL 10/06/2025 4.38000 % 39,070.78 20,878.85 10,704,322.17 10,683,443.32 08/06/2026 0 0 0
30316637 3 OF Various XX 10/06/2025 3.37000 % 175,240.00 - 62,400,000.00 62,400,000.00 08/06/2029 0 0 0
30503457 30 RT St. Petersburg FL 10/06/2025 3.78000 % 37,800.00 - 12,000,000.00 12,000,000.00 08/06/2029 0 0 0
30316659 31 MF Grove City OH 10/06/2025 4.11000 % 40,241.10 17,812.34 11,749,225.61 11,731,413.27 06/06/2029 0 0 0
30316661 33 SS Deerfield Beach FL 10/06/2025 3.65000 % 33,458.33 - 11,000,000.00 11,000,000.00 07/06/2029 0 0 0
30316662 34 OF Dallas TX 10/06/2025 4.20000 % 34,123.35 17,223.45 9,749,529.64 9,732,306.19 08/06/2029 0 0 0
30316663 35 SS Various XX 10/06/2025 4.60000 % 38,333.33 - 10,000,000.00 10,000,000.00 07/06/2029 0 0 0
30316664 36 OF Beachwood OH 10/06/2025 4.26000 % 30,743.60 17,277.64 8,660,169.59 8,642,891.95 07/06/2029 0 0 0
30316665 37 OF San Francisco CA 10/06/2025 4.12000 % 28,187.67 - 8,210,000.00 8,210,000.00 08/06/2029 0 0 0
30316666 39 LO Orlando FL 10/06/2025 4.90000 % 26,817.82 11,925.23 6,567,629.43 6,555,704.20 07/06/2029 0 8 8
30503458 4 MF Various XX 10/06/2025 3.94000 % 198,379.00 - 60,420,000.00 60,420,000.00 08/06/2029 0 0 0
30316667 40 RT Oak Creek WI 10/06/2025 3.97000 % 22,761.33 - 6,880,000.00 6,880,000.00 07/06/2029 0 0 0
30316668 41 OF Fleming Island FL 10/06/2025 4.55000 % 22,990.21 10,137.72 6,063,352.83 6,053,215.11 08/06/2029 0 0 0
30316669 42 RT Clarksville TN 10/06/2025 4.29000 % 19,064.22 10,592.85 5,332,650.11 5,322,057.26 07/06/2029 0 0 0
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
MORTGAGE LOAN DETAIL
October 10, 2025
Prop Paid Beginning Ending Payment Workout Mod
Type Through Gross Interest Principal Scheduled Scheduled Maturity Status Strategy Code
Loan ID OMCR (1) City State Date Coupon Payment Payment Balance Balance Date (2 ) (3 ) (4 )
30316670 43 MU Spring TX 10/06/2025 4.65000 % 22,681.25 7,999.14 5,853,225.72 5,845,226.58 08/06/2029 0 0 0
30316642 5 LO Big Sur CA 10/06/2025 3.29000 % 164,500.00 - 60,000,000.00 60,000,000.00 08/06/2034 0 0 0
30316466 6 RT Las Vegas NV 10/01/2025 3.74080 % 187,040.00 - 60,000,000.00 60,000,000.00 07/01/2029 0 0 0
30316591 7 A2-2 N/A Various XX 10/06/2025 4.13900 % 17,245.83 - 5,000,000.00 5,000,000.00 06/06/2029 0 0 0
30316592 7 A2-3 N/A Various XX 10/06/2025 4.13900 % 76,433.53 - 22,160,000.00 22,160,000.00 06/06/2029 0 0 0
30316644 7 A2-C OF Sunnyvale CA 10/06/2025 3.76386 % 135,420.55 - 43,175,000.00 43,175,000.00 06/06/2034 0 0 0
30316645 7 A3-C OF Sunnyvale CA 10/06/2025 3.76386 % 37,873.84 - 12,075,000.00 12,075,000.00 06/06/2034 0 0 0
30503110 8 MU Various XX 09/05/2025 4.30000 % 197,083.33 - 55,000,000.00 55,000,000.00 06/06/2024 5 7 0
30316646 9 MU Flushing NY 10/06/2025 4.17500 % 188,918.75 - 54,300,000.00 54,300,000.00 07/06/2029 0 0 0
30316631 A1 -C6 OF New York NY 10/06/2025 3.11000 % 103,666.67 - 40,000,000.00 40,000,000.00 07/06/2029 0 0 0
30316632 A1 -C8 OF New York NY 10/06/2025 3.11000 % 77,750.00 - 30,000,000.00 30,000,000.00 07/06/2029 0 0 0
30316630 A2 -C2 OF New York NY 10/06/2025 3.11000 % 77,750.00 - 30,000,000.00 30,000,000.00 07/06/2029 0 0 0
Total Count = 44 3,820,305.89 343,067.46 1,189,273,521.20 1,188,930,453.74
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
NOI DETAIL
October 10, 2025
Property Ending Preceding Most Most Recent Most Recent
Type Scheduled Fiscal Recent Financial As of Financial Asof
Loan ID OMCR (1) City State Balance Year NOI NOI Start Date End Date
30316647 10 IN Various XX 51,550,000.00 8,108,440.01 8,180,105.22 01/01/2025 06/30/2025
30520959 12 IN Various XX 50,000,000.00 13,792,290.83 3,846,861.96 01/01/2025 03/31/2025
30316649 13 OF Boise ID 46,850,000.00 6,107,600.31 1,728,091.13 01/01/2025 03/31/2025
30503335 14 RT Brooklyn NY 45,000,000.00 5,737,214.50 5,585,031.44 01/01/2025 06/30/2025
30503640 15 N/A Bethlehem PA 41,352,293.83 10,116,567.61 10,288,549.57 01/01/2025 06/30/2025
30316650 16 IN Various XX 40,800,000.00 7,042,339.92 7,177,149.29 01/01/2025 06/30/2025
30503305 18 MF Clackamas OR 24,601,190.76 2,224,582.28 1,969,750.36 07/01/2024 06/30/2025
30316652 19 LO Austin TX 19,165,670.54 2,492,232.12 2,122,929.72 07/01/2024 06/30/2025
30316633 2 MU Chicago IL 70,000,000.00 14,310,820.24 3,896,900.15 01/01/2025 03/31/2025
30503459 20 MU New York NY 20,750,000.00 2,561,992.32 2,209,139.56 01/01/2025 06/30/2025
30316653 21 RT Burbank CA 18,749,366.21 2,105,345.94 1,738,789.98 01/01/2025 06/30/2025
30316654 22 OF Tucson AZ 19,600,000.00 2,277,510.36 2,277,510.36 Not Available Not Available
30503387 23 LO Brookfield WI 16,396,700.03 2,009,575.17 1,451,399.85 01/01/2025 06/30/2025
30316655 24 RT Hinesville GA 16,478,974.49 2,015,683.76 2,821,864.22 01/01/2025 06/30/2025
30316656 25 IN Boulder CO 17,000,000.00 1,731,596.70 2,048,484.94 01/01/2025 06/30/2025
30316657 26 RT Cleveland OH 15,750,000.00 1,501,546.66 1,337,136.25 01/01/2025 06/30/2025
30503341 27 MF Cliffside Park NJ 15,000,000.00 8,778,185.82 9,240,278.49 04/01/2024 03/31/2025
30503414 28 MU New York NY 12,700,000.00 1,302,079.27 1,243,451.00 01/01/2025 06/30/2025
30316658 29 LO Orlando FL 10,683,443.32 2,514,394.71 2,723,071.64 01/01/2025 06/30/2025
30316637 3 OF Various XX 62,400,000.00 6,041,738.00 5,799,957.20 01/01/2025 03/31/2025
30503457 30 RT St. Petersburg FL 12,000,000.00 1,629,862.37 1,586,546.00 01/01/2025 06/30/2025
30316659 31 MF Grove City OH 11,731,413.27 1,290,311.94 1,304,460.61 07/01/2024 06/30/2025
30316661 33 SS Deerfield Beach FL 11,000,000.00 1,173,458.21 1,217,163.54 01/01/2025 06/30/2025
30316662 34 OF Dallas TX 9,732,306.19 1,157,867.69 1,128,016.92 01/01/2025 06/30/2025
30316663 35 SS Various XX 10,000,000.00 1,083,399.59 915,432.42 01/01/2025 06/30/2025
30316664 36 OF Beachwood OH 8,642,891.95 760,250.51 687,621.16 01/01/2025 06/30/2025
30316665 37 OF San Francisco CA 8,210,000.00 688,680.63 589,439.86 01/01/2025 06/30/2025
30316666 39 LO Orlando FL 6,555,704.20 713,227.39 326,718.10 Not Available Not Available
30503458 4 MF Various XX 60,420,000.00 4,233,367.12 3,665,347.11 Not Available Not Available
30316667 40 RT Oak Creek WI 6,880,000.00 1,011,432.85 1,055,237.40 Not Available Not Available
30316668 41 OF Fleming Island FL 6,053,215.11 707,306.69 625,181.85 01/01/2025 06/30/2025
30316669 42 RT Clarksville TN 5,322,057.26 513,353.04 395,573.56 01/01/2025 06/30/2025
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
NOI DETAIL
October 10, 2025
Property Ending Preceding Most Most Recent Most Recent
Type Scheduled Fiscal Recent Financial As of Financial Asof
Loan ID OMCR (1) City State Balance Year NOI NOI Start Date End Date
30316670 43 MU Spring TX 5,845,226.58 603,409.15 603,409.15 Not Available Not Available
30316642 5 LO Big Sur CA 60,000,000.00 9,448,724.60 8,502,588.68 01/01/2025 06/30/2025
30316466 6 RT Las Vegas NV 60,000,000.00 100,371,430.08 84,725,708.16 01/01/2025 06/30/2025
30316591 7 A2-2 N/A Various XX 5,000,000.00 14,150,500.32 14,091,869.32 07/01/2024 06/30/2025
30316592 7 A2-3 N/A Various XX 22,160,000.00 14,150,500.32 14,091,869.32 07/01/2024 06/30/2025
30316644 7 A2-C OF Sunnyvale CA 43,175,000.00 43,482,598.00 43,351,945.33 Not Available Not Available
30316645 7 A3-C OF Sunnyvale CA 12,075,000.00 43,482,598.00 43,351,945.33 Not Available Not Available
30503110 8 MU Various XX 55,000,000.00 6,953,040.37 7,170,638.80 Not Available Not Available
30316646 9 MU Flushing NY 54,300,000.00 5,901,374.40 5,918,809.20 07/01/2024 06/30/2025
30316631 A1 -C6 OF New York NY 40,000,000.00 128,566,000.00 109,192,000.00 01/01/2025 06/30/2025
30316632 A1 -C8 OF New York NY 30,000,000.00 128,566,000.00 109,192,000.00 01/01/2025 06/30/2025
30316630 A2 -C2 OF New York NY 30,000,000.00 128,566,000.00 109,192,000.00 01/01/2025 06/30/2025
Total Count = 44 1,188,930,453.74 741,976,429.80 640,567,974.15
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
DELINQUENCY LOAN DETAIL
October 10, 2025
Actual Paid Current P&I Total P&I Cumulative Other Expense Payment Workout Most Recent
Principal Through Advances Advances Accrued Unpaid Advances Status Strategy Special Serv Foreclosure Bankruptcy REO
Loan ID OMCR Balance Date (Net of ASER) Outstanding Interest Advances Outstanding (2 ) (3 ) Transfer Date Date Date Date
30503341 27 15,000,000.00 09/06/2025 71,020.83 70,989.58 - - 5 98 09/05/2024
30503110 8 55,000,000.00 09/05/2025 247,966.93 196,968.75 - - 5 7 06/07/2024
Total Count = 2 70,000,000.00 318,987.76 267,958.33 - -
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
COLLATERAL PERFORMANCE - DELINQUENCY AND LOAN STATUS DETAIL
–
October 10, 2025
Delinquent
(Does not include loans in Bankruptcy, Foreclosure, or REO)
30 Day 60 Day 90 Day 120 + Day Bankruptcy Foreclosure REO
Distribution
Date Count Balance Count Balance Count Balance Count Balance Count Balance Count Balance Count Balance
0 0 0 0 0 0 0 0 0 0 0 0 1 55,000,000
10/10/2025
0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 2.3 % 4.6 %
0 0 0 0 0 0 0 0 0 0 1 55,000,000 0 0
09/12/2025
0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 2.3 % 4.6 % 0.0 % 0.0 %
0 0 0 0 0 0 0 0 0 0 1 55,000,000 0 0
08/12/2025
0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 2.3 % 4.6 % 0.0 % 0.0 %
0 0 0 0 0 0 0 0 0 0 1 55,000,000 0 0
07/11/2025
0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 2.3 % 4.6 % 0.0 % 0.0 %
0 0 0 0 0 0 0 0 0 0 1 55,000,000 0 0
06/12/2025
0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 2.3 % 4.6 % 0.0 % 0.0 %
0 0 0 0 0 0 0 0 0 0 1 55,000,000 0 0
05/12/2025
0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 2.3 % 4.6 % 0.0 % 0.0 %
0 0 0 0 0 0 0 0 0 0 1 55,000,000 0 0
04/11/2025
0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 2.3 % 4.6 % 0.0 % 0.0 %
0 0 0 0 0 0 0 0 0 0 1 55,000,000 0 0
03/12/2025
0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 2.3 % 4.6 % 0.0 % 0.0 %
0 0 0 0 0 0 0 0 0 0 1 55,000,000 0 0
02/12/2025
0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 2.3 % 4.6 % 0.0 % 0.0 %
0 0 0 0 0 0 0 0 0 0 1 55,000,000 0 0
01/13/2025
0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 2.3 % 4.6 % 0.0 % 0.0 %
0 0 0 0 0 0 0 0 0 0 1 55,000,000 0 0
12/12/2024
0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 2.3 % 4.6 % 0.0 % 0.0 %
0 0 0 0 0 0 0 0 0 0 1 55,000,000 0 0
11/13/2024
0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 0.0 % 2.3 % 4.6 % 0.0 % 0.0 %
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
APPRAISAL REDUCTION DETAIL
October 10, 2025
Beginning Ending Appraisal Appraisal Most Recent Cumulative
Loan ID OMCR Property Name Scheduled Balance Scheduled Balance Reduction Amount Reduction Date ASER Amount ASER Amount
30503110 8 Various 55,000,000.00 55,000,000.00 - 10/06/2025 (50,883.60 ) -
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
HISTORICAL APPRAISAL REDUCTION DETAIL
October 10, 2025
Distribution Beginning Ending Appraisal Appraisal Most Recent Cumulative
Date Loan ID OMCR Property Name Scheduled Balance Scheduled Balance Reduction Amount Reduction Date ASER Amount ASER Amount
10/10/2025 30503110 8 Various 55,000,000.00 55,000,000.00 - 10/06/2025 (50,883.60 ) -
9/12/2025 30503110 8 Various 55,000,000.00 55,000,000.00 13,750,000.00 04/11/2025 (149,367.98 ) 50,883.60
8/12/2025 30503110 8 Various 55,000,000.00 55,000,000.00 13,750,000.00 04/11/2025 50,883.60 200,251.58
7/11/2025 30503110 8 Various 55,000,000.00 55,000,000.00 13,750,000.00 04/11/2025 49,242.19 149,367.98
6/12/2025 30503110 8 Various 55,000,000.00 55,000,000.00 13,750,000.00 04/11/2025 50,883.60 100,125.79
5/12/2025 30503110 8 Various 55,000,000.00 55,000,000.00 13,750,000.00 04/11/2025 49,242.19 49,242.19
5/12/2023 30316666 39 Floridian Suites 6,881,052.82 6,870,407.40 - 03/06/2023 - -
3/10/2023 30316653 21 Burbank Collection 19,730,435.73 19,696,224.58 - 10/06/2020 - -
3/10/2023 30316666 39 Floridian Suites 6,903,155.22 6,890,720.86 - 07/06/2022 - -
12/12/2022 30316666 39 Floridian Suites 6,932,699.86 6,922,265.33 - 06/06/2022 - -
11/14/2022 30316666 39 Floridian Suites 6,942,150.89 6,932,699.86 - 06/06/2022 - -
10/13/2022 30316666 39 Floridian Suites 6,952,504.55 6,942,150.89 - 06/06/2022 - -
9/12/2022 30316666 39 Floridian Suites 6,961,872.37 6,952,504.55 - 07/06/2022 - -
8/12/2022 30316666 39 Floridian Suites 6,971,200.83 6,961,872.37 - 07/06/2022 - -
7/12/2022 30316666 39 Floridian Suites 6,981,436.35 6,971,200.83 - 07/06/2022 - -
5/12/2022 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
4/12/2022 30316666 39 Floridian Suites 7,010,003.62 7,000,838.89 - 12/06/2021 (2,156.20 ) -
3/11/2022 30316666 39 Floridian Suites 7,021,985.10 7,010,003.62 - 12/06/2021 - 2,156.20
2/11/2022 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
2/11/2022 30316666 39 Floridian Suites 7,031,060.98 7,021,985.10 - 12/06/2021 - 2,156.20
1/12/2022 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
1/12/2022 30316666 39 Floridian Suites 7,040,098.72 7,031,060.98 - 12/06/2021 - 2,156.20
12/10/2021 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
12/10/2021 30316666 39 Floridian Suites 7,050,054.05 7,040,098.72 - 12/06/2021 (6,294.73 ) 2,156.20
11/15/2021 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
11/15/2021 30316666 39 Floridian Suites 7,059,011.99 7,050,054.05 - 10/06/2021 - 8,450.93
10/13/2021 30316666 39 Floridian Suites 7,068,890.40 7,059,011.99 - 10/06/2021 - 8,450.93
9/13/2021 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
9/13/2021 30316666 39 Floridian Suites 7,077,769.20 7,068,890.40 255,639.10 02/08/2021 1,078.10 8,450.93
8/12/2021 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
8/12/2021 30316666 39 Floridian Suites 7,086,610.69 7,077,769.20 255,639.10 02/08/2021 1,078.10 7,372.83
7/12/2021 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
7/12/2021 30316666 39 Floridian Suites 7,096,376.87 7,086,610.69 255,639.10 02/08/2021 1,043.33 6,294.73
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
HISTORICAL APPRAISAL REDUCTION DETAIL
October 10, 2025
Distribution Beginning Ending Appraisal Appraisal Most Recent Cumulative
Date Loan ID OMCR Property Name Scheduled Balance Scheduled Balance Reduction Amount Reduction Date ASER Amount ASER Amount
6/11/2021 30316666 39 Floridian Suites 7,105,140.18 7,096,376.87 255,639.10 02/08/2021 1,078.10 5,251.40
5/12/2021 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
5/12/2021 30316666 39 Floridian Suites 7,114,831.00 7,105,140.18 255,639.10 02/08/2021 1,043.33 4,173.30
4/12/2021 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
4/12/2021 30316666 39 Floridian Suites 7,123,516.77 7,114,831.00 255,639.10 02/08/2021 1,078.10 3,129.97
3/12/2021 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
3/12/2021 30316666 39 Floridian Suites 7,135,067.29 7,123,516.77 255,639.10 02/08/2021 973.77 2,051.87
2/12/2021 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
2/12/2021 30316666 39 Floridian Suites 7,143,668.03 7,135,067.29 255,639.10 02/08/2021 1,078.10 1,078.10
1/12/2021 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
12/11/2020 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
11/13/2020 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
10/13/2020 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 10/06/2020 - -
9/14/2020 30316653 21 Burbank Collection 19,900,000.00 19,900,000.00 - 09/08/2020 - -
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
LOAN MODIFICATION DETAIL
October 10, 2025
Modification Modification
Loan ID OMCR Property Name Date Code (4)
30316666 39 Floridian Suites 04/06/2020 8
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
HISTORICAL LOAN MODIFICATION DETAIL
October 10, 2025
Distribution Modification Modification
Date Loan ID OMCR Property Name Date Code (4)
10/10/2025 30316666 39 Floridian Suites 04/06/2020 8
09/12/2025 30316666 39 Floridian Suites 04/06/2020 8
08/12/2025 30316666 39 Floridian Suites 04/06/2020 8
07/11/2025 30316666 39 Floridian Suites 04/06/2020 8
06/12/2025 30316666 39 Floridian Suites 04/06/2020 8
05/12/2025 30316666 39 Floridian Suites 04/06/2020 8
04/11/2025 30316666 39 Floridian Suites 04/06/2020 8
03/12/2025 30316666 39 Floridian Suites 04/06/2020 8
02/12/2025 30316666 39 Floridian Suites 04/06/2020 8
01/13/2025 30316666 39 Floridian Suites 04/06/2020 8
12/12/2024 30316666 39 Floridian Suites 04/06/2020 8
11/13/2024 30316666 39 Floridian Suites 04/06/2020 8
10/11/2024 30316666 39 Floridian Suites 04/06/2020 8
09/12/2024 30316666 39 Floridian Suites 04/06/2020 8
08/12/2024 30316666 39 Floridian Suites 04/06/2020 8
07/12/2024 30316666 39 Floridian Suites 04/06/2020 8
06/12/2024 30316666 39 Floridian Suites 04/06/2020 8
05/10/2024 30316666 39 Floridian Suites 04/06/2020 8
04/12/2024 30316666 39 Floridian Suites 04/06/2020 8
03/12/2024 30316666 39 Floridian Suites 04/06/2020 8
02/12/2024 30316666 39 Floridian Suites 04/06/2020 8
01/12/2024 30316666 39 Floridian Suites 04/06/2020 8
12/12/2023 30316666 39 Floridian Suites 04/06/2020 8
11/10/2023 30316666 39 Floridian Suites 04/06/2020 8
10/13/2023 30316666 39 Floridian Suites 04/06/2020 8
09/12/2023 30316666 39 Floridian Suites 04/06/2020 8
08/11/2023 30316666 39 Floridian Suites 04/06/2020 8
07/12/2023 30316666 39 Floridian Suites 04/06/2020 8
06/12/2023 30316666 39 Floridian Suites 04/06/2020 8
05/12/2023 30316666 39 Floridian Suites 04/06/2020 8
04/13/2023 30316666 39 Floridian Suites 04/06/2020 8
03/10/2023 30316666 39 Floridian Suites 04/06/2020 8
02/10/2023 30316666 39 Floridian Suites 04/06/2020 8
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
HISTORICAL LOAN MODIFICATION DETAIL
October 10, 2025
Distribution Modification Modification
Date Loan ID OMCR Property Name Date Code (4)
01/12/2023 30316666 39 Floridian Suites 04/06/2020 8
12/12/2022 30316666 39 Floridian Suites 04/06/2020 8
11/14/2022 30316666 39 Floridian Suites 04/06/2020 8
10/13/2022 30316666 39 Floridian Suites 04/06/2020 8
09/12/2022 30316666 39 Floridian Suites 04/06/2020 8
08/12/2022 30316666 39 Floridian Suites 04/06/2020 8
07/12/2022 30316666 39 Floridian Suites 04/06/2020 8
06/10/2022 30316666 39 Floridian Suites 04/06/2020 8
05/12/2022 30316666 39 Floridian Suites 04/06/2020 8
04/12/2022 30316666 39 Floridian Suites 04/06/2020 8
03/11/2022 30316666 39 Floridian Suites 04/06/2020 8
02/11/2022 30316666 39 Floridian Suites 04/06/2020 8
01/12/2022 30316666 39 Floridian Suites 04/06/2020 8
12/10/2021 30316666 39 Floridian Suites 04/06/2020 8
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
SPECIALLY SERVICED LOAN DETAIL
October 10, 2025
Special Servicing Ending Ending Most Most Recent Most Recent Most Recent
Workout Fee Amount Scheduled Actual Recent Valuation Special Servicer Master Servicer
Loan ID OMCR Strategy (3) Plus Adjustments Balance Balance Value Date Transfer Date Return Date
30503110 8 7 (381.95 ) 55,000,000.00 55,000,000.00 144,000,000.00 07/31/2024 06/07/2024
30503341 27 98 3,125.00 15,000,000.00 15,000,000.00 161,100,000.00 10/23/2024 09/05/2024
Total Count = 2 2,743.05 70,000,000.00 70,000,000.00 305,100,000.00
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
HISTORICAL SPECIALLY SERVICED LOANS
October 10, 2025
Special Servicing Ending Ending Most Most Recent Most Recent Most Recent
Distribution Workout Fee Amount Scheduled Actual Recent Valuation Special Servicer Master Servicer
Date Loan ID OMCR Strategy (3) Plus Adjustments Balance Balance Value Date Transfer Date Return Date
06/11/2021 30316653 21 8 (45,596.77 ) 19,900,000.00 19,900,000.00 26,000,000.00 09/01/2020 06/15/2020 05/24/2021
05/12/2021 30316653 21 98 5,000.00 19,900,000.00 19,900,000.00 26,000,000.00 09/01/2020 06/15/2020
04/12/2021 30316653 21 98 5,000.00 19,900,000.00 19,900,000.00 26,000,000.00 09/01/2020 06/15/2020
03/12/2021 30316653 21 98 5,000.00 19,900,000.00 19,900,000.00 26,000,000.00 09/01/2020 06/15/2020
02/12/2021 30316653 21 98 5,000.00 19,900,000.00 19,900,000.00 26,000,000.00 09/01/2020 06/15/2020
01/12/2021 30316653 21 98 5,000.00 19,900,000.00 19,900,000.00 26,000,000.00 09/01/2020 06/15/2020
12/11/2020 30316653 21 98 5,000.00 19,900,000.00 19,900,000.00 26,000,000.00 09/01/2020 06/15/2020
11/13/2020 30316653 21 98 5,000.00 19,900,000.00 19,900,000.00 26,000,000.00 09/01/2020 06/15/2020
10/13/2020 30316653 21 98 5,000.00 19,900,000.00 19,900,000.00 26,000,000.00 09/01/2020 06/15/2020
09/14/2020 30316653 21 98 5,000.00 19,900,000.00 19,900,000.00 27,000,000.00 07/01/2019 06/15/2020
08/12/2020 30316653 21 98 5,000.00 19,900,000.00 19,900,000.00 27,000,000.00 07/01/2019 06/15/2020
07/10/2020 30316653 21 98 3,500.00 19,900,000.00 19,900,000.00 27,000,000.00 07/01/2019 06/15/2020
04/13/2023 30316666 39 8 (90,000.00 ) 6,881,052.82 6,881,052.82 - 06/23/2020 03/29/2023
03/10/2023 30316666 39 1 5,000.00 6,890,720.86 6,903,155.22 - 06/23/2020
02/10/2023 30316666 39 1 5,000.00 6,903,155.22 6,912,730.39 10,000,000.00 05/01/2022 06/23/2020
01/12/2023 30316666 39 1 5,000.00 6,912,730.39 6,922,265.33 10,000,000.00 05/01/2022 06/23/2020
12/12/2022 30316666 39 1 5,000.00 6,922,265.33 6,922,265.33 10,000,000.00 05/01/2022 06/23/2020
11/14/2022 30316666 39 1 5,000.00 6,932,699.86 6,932,699.86 10,000,000.00 05/01/2022 06/23/2020
10/13/2022 30316666 39 1 5,000.00 6,942,150.89 6,952,504.55 10,000,000.00 05/01/2022 06/23/2020
09/12/2022 30316666 39 1 5,000.00 6,952,504.55 6,952,504.55 10,000,000.00 05/01/2022 06/23/2020
08/12/2022 30316666 39 1 5,000.00 6,961,872.37 6,971,200.83 10,000,000.00 05/01/2022 06/23/2020
07/12/2022 30316666 39 1 5,000.00 6,971,200.83 6,971,200.83 10,000,000.00 05/01/2022 06/23/2020
06/10/2022 30316666 39 1 5,000.00 6,981,436.35 6,990,682.60 10,000,000.00 05/01/2022 06/23/2020
05/12/2022 30316666 39 1 5,000.00 6,990,682.60 7,000,838.89 8,300,000.00 09/01/2021 06/23/2020
04/12/2022 30316666 39 1 5,000.00 7,000,838.89 7,010,003.62 8,300,000.00 09/01/2021 06/23/2020
03/11/2022 30316666 39 1 5,000.00 7,010,003.62 7,086,610.69 8,300,000.00 09/01/2021 06/23/2020
02/11/2022 30316666 39 1 5,000.00 7,021,985.10 7,086,610.69 8,300,000.00 09/01/2021 06/23/2020
01/12/2022 30316666 39 1 5,000.00 7,031,060.98 7,086,610.69 8,300,000.00 09/01/2021 06/23/2020
12/10/2021 30316666 39 1 5,000.00 7,040,098.72 7,086,610.69 8,300,000.00 09/01/2021 06/23/2020
11/15/2021 30316666 39 1 (67,166.67 ) 7,050,054.05 7,179,646.80 8,300,000.00 09/01/2021 06/23/2020
10/13/2021 30316666 39 1 5,000.00 7,059,011.99 7,179,646.80 8,300,000.00 09/01/2021 06/23/2020
09/13/2021 30316666 39 1 5,000.00 7,068,890.40 7,179,646.80 7,900,000.00 01/01/2021 06/23/2020
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
HISTORICAL SPECIALLY SERVICED LOANS
October 10, 2025
Special Servicing Ending Ending Most Most Recent Most Recent Most Recent
Distribution Workout Fee Amount Scheduled Actual Recent Valuation Special Servicer Master Servicer
Date Loan ID OMCR Strategy (3) Plus Adjustments Balance Balance Value Date Transfer Date Return Date
08/12/2021 30316666 39 1 5,000.00 7,077,769.20 7,179,646.80 7,900,000.00 01/01/2021 06/23/2020
07/12/2021 30316666 39 1 5,000.00 7,086,610.69 7,179,646.80 7,900,000.00 01/01/2021 06/23/2020
06/11/2021 30316666 39 1 5,000.00 7,096,376.87 7,179,646.80 7,900,000.00 01/01/2021 06/23/2020
05/12/2021 30316666 39 98 5,000.00 7,105,140.18 7,179,646.80 7,900,000.00 01/01/2021 06/23/2020
04/12/2021 30316666 39 98 5,000.00 7,114,831.00 7,179,646.80 7,900,000.00 01/01/2021 06/23/2020
03/12/2021 30316666 39 98 5,000.00 7,123,516.77 7,179,646.80 7,900,000.00 01/01/2021 06/23/2020
02/12/2021 30316666 39 98 5,000.00 7,135,067.29 7,179,646.80 7,900,000.00 01/01/2021 06/23/2020
01/12/2021 30316666 39 98 5,000.00 7,143,668.03 7,179,646.80 13,500,000.00 05/03/2019 06/23/2020
12/11/2020 30316666 39 98 5,000.00 7,152,232.63 7,179,646.80 13,500,000.00 05/03/2019 06/23/2020
11/13/2020 30316666 39 98 5,000.00 7,161,731.94 7,179,646.80 13,500,000.00 05/03/2019 06/23/2020
10/13/2020 30316666 39 98 5,000.00 7,170,220.64 7,196,438.31 13,500,000.00 05/03/2019 06/23/2020
09/14/2020 30316666 39 98 5,000.00 7,179,646.80 7,196,438.31 13,500,000.00 05/03/2019 06/23/2020
08/12/2020 30316666 39 98 5,000.00 7,188,060.23 7,196,438.31 13,500,000.00 05/03/2019 06/23/2020
07/10/2020 30316666 39 98 2,166.67 7,196,438.31 7,231,539.41 13,500,000.00 05/03/2019 06/23/2020
10/10/2025 30503110 8 7 (381.95 ) 55,000,000.00 55,000,000.00 144,000,000.00 07/31/2024 06/07/2024
09/12/2025 30503110 8 2 (35,138.89 ) 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
08/12/2025 30503110 8 2 - 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
07/11/2025 30503110 8 2 763.89 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
06/12/2025 30503110 8 2 - 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
05/12/2025 30503110 8 2 (12,222.23 ) 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
04/11/2025 30503110 8 2 (31,319.44 ) 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
03/12/2025 30503110 8 2 10,694.44 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
02/12/2025 30503110 8 2 (66,840.28 ) 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
01/13/2025 30503110 8 2 11,840.28 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
12/12/2024 30503110 8 2 11,458.33 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
11/13/2024 30503110 8 2 11,840.28 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
10/11/2024 30503110 8 2 11,458.33 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
09/12/2024 30503110 8 2 11,840.28 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
08/12/2024 30503110 8 2 11,840.28 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
07/12/2024 30503110 8 98 8,402.78 55,000,000.00 55,000,000.00 187,400,000.00 05/07/2019 06/07/2024
10/10/2025 30503341 27 98 3,125.00 15,000,000.00 15,000,000.00 161,100,000.00 10/23/2024 09/05/2024
09/12/2025 30503341 27 98 - 15,000,000.00 15,000,000.00 161,100,000.00 10/23/2024 09/05/2024
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
HISTORICAL SPECIALLY SERVICED LOANS
October 10, 2025
Special Servicing Ending Ending Most Most Recent Most Recent Most Recent
Distribution Workout Fee Amount Scheduled Actual Recent Valuation Special Servicer Master Servicer
Date Loan ID OMCR Strategy (3) Plus Adjustments Balance Balance Value Date Transfer Date Return Date
08/12/2025 30503341 27 98 (3,125.00 ) 15,000,000.00 15,000,000.00 161,100,000.00 10/23/2024 09/05/2024
07/11/2025 30503341 27 98 3,125.00 15,000,000.00 15,000,000.00 161,100,000.00 10/23/2024 09/05/2024
06/12/2025 30503341 27 98 - 15,000,000.00 15,000,000.00 161,100,000.00 10/23/2024 09/05/2024
05/12/2025 30503341 27 98 - 15,000,000.00 15,000,000.00 161,100,000.00 10/23/2024 09/05/2024
04/11/2025 30503341 27 98 - 15,000,000.00 15,000,000.00 161,100,000.00 10/23/2024 09/05/2024
03/12/2025 30503341 27 98 2,916.67 15,000,000.00 15,000,000.00 161,100,000.00 10/23/2024 09/05/2024
02/12/2025 30503341 27 98 3,229.17 15,000,000.00 15,000,000.00 161,100,000.00 10/23/2024 09/05/2024
01/13/2025 30503341 27 98 3,229.17 15,000,000.00 15,000,000.00 188,200,000.00 04/12/2019 09/05/2024
12/12/2024 30503341 27 98 3,125.00 15,000,000.00 15,000,000.00 188,200,000.00 04/12/2019 09/05/2024
11/13/2024 30503341 27 98 3,229.17 15,000,000.00 15,000,000.00 188,200,000.00 04/12/2019 09/05/2024
10/11/2024 30503341 27 98 3,500.00 15,000,000.00 15,000,000.00 188,200,000.00 04/12/2019 09/05/2024
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
UNSCHEDULED PRINCIPAL DETAIL
October 10, 2025
Liquidation / Liquid / Prepay Principal Principal Prepayment Interest Prepayment Yield Maintenance
Loan ID OMCR Prepayment Date Code (5) Collections Adjustments Excess / (Shortfall) Penalties (PPP) Penalties (YM)
No Loans with Unscheduled Principal Activity to Report.
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
HISTORICAL UNSCHEDULED PRINCIPAL DETAIL
October 10, 2025
Distribution Liquidation / Liquid / Prepay Principal Principal Prepayment Interest Prepayment Yield Maintenance
Date Loan ID OMCR Prepayment Date Code (5) Collections Adjustments Excess / (Shortfall) Penalties (PPP) Penalties (YM)
8/12/2024 30503386 11 A1 08/06/2024 5 41,500,000.00 - - - -
8/12/2024 30503415 11 A2 08/06/2024 5 10,000,000.00 - - - -
6/12/2024 30316660 32 06/06/2024 5 10,309,999.88 - - - -
8/12/2022 30503038 38 08/06/2022 9 8,200,000.00 - - - 1,204,616.04
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41
LIQUIDATED LOAN DETAIL
October 10, 2025
Loss with
Cumulative Cumulative
Beginning Most Liquidation Net Net Realized Date of
Scheduled Recent Sales Proceeds Liquidation Proceeds Loss to Current Current
Loan ID OMCR Balance Value Price Received Expense Available Trust Adj. to Loan Adj. to Loan Adj. to Loan Adj. to Trust
No Loans liquidated to Report.
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41 October 10, 2025
HISTORICAL LIQUIDATED LOAN
Beginning Most Liquidation Net Net Realized Date of Loss with
Distribution Scheduled Recent Sales Proceeds Liquidation Proceeds Loss to Current Current Cumulative Cumulative
Date Loan ID OMCR Balance Value Price Received Expense Available Trust Adj. to Loan Adj. to Loan Adj. to Loan Adj. to Trust
No Loans liquidated to Report.
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Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41 October 10, 2025
CREFC® INVESTOR REPORTING PACKAGE LEGENDS
1|CREFC Investor Reporting Package Legends
Property Type (1) Workout Strategy (3) Liquidation/Prepayment Code (5)
MF Multifamily 1 Modification 1 Partial Liquidation (Curtailment)
RT Retail 2 Foreclosure 2 Payoff Prior To Maturity
HC HealthCare 3 Bankruptcy 3 Disposition / Liquidation
IN Industrial 4 Extension 4 Repurchase / Substitution
MH Mobile Home Park 5 Note Sale 5 Full Payoff At Maturity
OF Office 6 DPO 6 DPO
MU Mixed Use 7 REO 7 Liquidation prior to 7/1/2006
LO Lodging 8 Resolved 8 Payoff With Penalty
SS Self Storage 9 Pending Return to Master Servicer 9 Payoff With Yield Maintenance
SE Securities 10 Deed In Lieu of Foreclosure 10 Curtailment With Penalty
CH Cooperative Housing 11 Full Payoff 11 Curtailment With Yield Maintenance
ZZ Missing Information 12 Reps and Warranties
SF SF 13 TBD
WH Warehouse 98 Other
OT Other
Modification Code (4)
Payment Status of Loan (2)
1 Maturity Date Extension
A In Grace Period 2 Amortization Change
B Late, but less than 30 Days 3 Principal Write-Off
0 Current 4 Blank (formerly Combination)
1 30-59 Days Delinquent 5 Temporary Rate Reduction
2 60-89 Days Delinquent 6 Capitalization of Interest
3 90-120 Days Delinquent 7 Capitalization of Taxes
4 Performing Matured Balloon 8 Other
5 Non Performing Matured Balloon 9 Combination
6 121+ Days Delinquent 10 Forbearance
Reports Available at sf.citidirect.com v. 21.09.28 Page 34 of 35 © Copyright 2025 Citigroup

Citigroup Commercial Mortgage Trust 2019-GC41
Commercial Mortgage Pass-Through Certificates, Series 2019-GC41 October 10, 2025
NOTES
No Notes available for this deal at this time.
Reports Available at sf.citidirect.com v. 21.09.28 Page 35 of 35 © Copyright 2025 Citigroup
Citigroup Commercial Mortgage Trust 2019-GC41 published this content on October 23, 2025, and is solely responsible for the information contained herein. Distributed via EDGAR on October 23, 2025 at 21:33 UTC. If you believe the information included in the content is inaccurate or outdated and requires editing or removal, please contact us at [email protected]