Market news

New bond issues

Issue Amount, mln End of placement Maturity
Bank of Nova Scotia, FRN 09oct2019 200 10/02/2014 10/09/2019
Landesbank Baden-Wuerttemberg, 0.875% 15dec2017 400 10/01/2014 12/15/2017
Tunisia, 2024, JPY 50,000 10/01/2014 10/10/2024
Georgia, CD 02apr2015 182d 20 10/01/2014 04/02/2015
Adidas, 1.25% 08oct2021 600 10/01/2014 10/08/2021
Exor, 2.5% 08oct2024 500 10/01/2014 10/08/2024
CBL, 4.60% 15oct2024 300 10/01/2014 10/15/2024
Prologis, 1.375% 7oct2020 600 10/01/2014 10/07/2020
Ukraine, 186894 UAH 04sep2024 1,310 10/01/2014 09/04/2024
Sabra Health Care, 5.5% 1feb2021 150 10/01/2014 02/01/2021
All

Researсh and analytics

Yield curve

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1HSBC40 64010.44190291
2Citigroup39 21610.07166231
3JP Morgan33 5478.62128186
4Deutsche Bank30 9697.96133181
5Bank of America Merrill Lynch21 1805.44101126
6Goldman Sachs16 3954.215377
7Barclays Capital16 3664.206485
8Standard Chartered Bank15 9884.11102146
9BNP Paribas15 6864.0372108
10Credit Suisse14 1843.646585
EM
CIS
DM

Bond Calendar

Name Amount, m Date Type
BFA Bank, 01 1,500 RUR 10/02/2014 Put/call option
Mediobanca, 5.7% 2oct14 45 EUR 10/02/2014 Maturity
ZBM-TBS, ZBM1014, 2014 2 PLN 10/02/2014 Maturity
Barclays, 0.86% 02oct2014 4 EUR 10/02/2014 Maturity
Barclays, 0% 2oct2014 10 GBP 10/02/2014 Maturity
Ulusal Faktoring, FRN 359D 02oct2014 50 TRY 10/02/2014 Maturity
Albania, TB 02oct2014 9m 2,507 ALL 10/02/2014 Maturity
Aktif Bank, 0% 734D 02oct2014 19 TRY 10/02/2014 Maturity
Croatia, TB 02oct2014 657 HRK 10/02/2014 Maturity
Croatia, TB 02oct2014 EUR 2 EUR 10/02/2014 Maturity