Market news

New bond issues

Issue Amount, mln End of placement Maturity
Poland, COI0119 500 01/31/2015 01/01/2019
Calik Enerji, FRN 27jan2017 150 01/30/2015 01/27/2017
United Kingdom, Bills 3aug2015 6m 1,500 01/30/2015 08/03/2015
Poznyaki-zhil-stroy, 5-W 12 01/30/2015 01/19/2016
EBRD, 17%, 2 2,000 01/30/2015
Freddie Mac, 0.5% 30jan2018 (step-up) 350 01/30/2015 01/30/2018
Freddie Mac, 0.7% 30jan2017 500 01/30/2015 01/30/2017
Freddie Mac, 1.25% 30jan2018 500 01/30/2015 01/30/2018
KDB, 2027 50 01/30/2015 02/06/2027
Citigroup Inc, 1.8% 05feb2018 2,000 01/29/2015 02/05/2018
All

Yield curve

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1HSBC4 90212.761626
2Citigroup4 74312.341019
3JP Morgan4 21910.98914
4Morgan Stanley3 3268.66712
5Standard Chartered Bank2 6696.95912
6Bank of America Merrill Lynch2 1495.5946
7Deutsche Bank1 7024.431016
8BBVA1 5003.9013
9Goldman Sachs1 3563.5358
10Barclays Capital1 3043.3979
EM
CIS
DM

Bond Calendar

Name Amount, m Date Type
Torgovyi Dom "Svetlogorsk Ferro-Concrete Plant", 02, USD 0 USD 01/31/2015 Put/call option
Spain, OBL 4.4 31jan2015 20,975 EUR 01/31/2015 Maturity
Amkodor Unikab , 02 8,000 BYR 01/31/2015 Maturity
USA, Note 2.25 31jan2015 5Y 42,684 USD 01/31/2015 Maturity
USA, Note 0.25 31jan2015 2Y 35,000 USD 01/31/2015 Maturity
Belarusbank, 153, USD 40 USD 01/31/2015 Maturity
Belarusbank, 154, USD 20 USD 01/31/2015 Maturity
Belarusbank, 155, EUR 14 EUR 01/31/2015 Maturity
Belarusbank, 156, EUR 6 EUR 01/31/2015 Maturity
Dexia Crediop, 4% 31jan15 235 EUR 01/31/2015 Maturity