Market news

New bond issues

Issue Amount, mln End of placement Maturity
Kazakhstan, MEUKAM-300, 02 25,000 07/25/2014 07/25/2039
Phoenix Pharmahandel, 3.625% 30jul2021 300 07/24/2014 07/30/2021
Twinkle Pizza, 8.625% 01aug2022 200 07/24/2014 08/01/2022
Twinkle Pizza, 6.625% 01aug2021 410 07/24/2014 08/01/2021
Greenko Dutch, 8% 01aug2019 550 07/24/2014 08/01/2019
Capsugel SA, 7% 15may2019 415 07/24/2014 05/15/2019
GCX, 2019 350 07/24/2014 08/01/2019
Central Nippon Expressway, 2.17% 05aug2019 500 07/24/2014 08/05/2019
NB of the Kyrgyzstan, GD052150727 124 07/24/2014 07/27/2015
Broadcom, 3.5% 1aug2024 350 07/24/2014 08/01/2024
All

Researсh and analytics

Yield curve

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1HSBC32 97310.73150218
2Citigroup32 78010.67132185
3JP Morgan28 3539.23103149
4Deutsche Bank25 5888.33107148
5Goldman Sachs14 9864.884668
6Bank of America Merrill Lynch14 6714.787086
7Barclays Capital14 0614.585469
8BNP Paribas11 8843.875678
9Credit Suisse11 4153.725167
10Standard Chartered Bank11 0263.5974100
EM
CIS
DM

Bond Calendar

Name Amount, m Date Type
Kovcheg, 2-K 5 UAH 07/26/2014 Maturity
Serbia, GB 5.75 26jul2014 EUR 11 EUR 07/26/2014 Maturity
VTB, 26.07.2014 (zero, ECP-41) 19 USD 07/26/2014 Maturity
Poland, 2026-2, JPY 28,000 JPY 07/26/2014 Amortization
Banco Santander, 11.3% perp. 679 GBP 07/27/2014 Put/call option
Banco Santander, 6.5% 27jul2019 (Fix-to-Float) 449 EUR 07/27/2014 Put/call option
Banco Santander, 10.5% perp. 125 EUR 07/27/2014 Put/call option
Crown European Holdings, 7.125% 15aug2018 500 EUR 07/27/2014 Put/call option
Aviant, 1-A 515 UAH 07/27/2014 Maturity
Aviant, 1-B 343 UAH 07/27/2014 Maturity