Market news

Yield curve

New bond issues

Issue Amount, mln End of placement Maturity
Commercial Bank OBRAZOVANIE, 01 1,400 05/29/2015 05/31/2018
Two Capitals Highway, B 11,500 05/29/2015 05/09/2031
Cassa Depositi e Prestiti (CDP), 1.875% 29ju2022 750 05/29/2015 06/29/2022
Rostelecom, BO-01 5,000 05/29/2015 05/16/2025
KREDYT INKASO, KRI1018, X 69 05/29/2015 10/29/2018
United Kingdom, Bills 30nov2015 6m 2,000 05/29/2015 11/30/2015
Deutsche Bank, 0.625% 19dec2023 50 05/29/2015 12/19/2023
Pfandbriefbank schweizerischer Hypothekarinstitute, 0.75% 23aug2024 800 05/29/2015 08/23/2024
Pfandbriefbank schweizerischer Hypothekarinstitute, 0.875% 25jun2037 148 05/29/2015 06/25/2037
Pfandbriefbank schweizerischer Hypothekarinstitute, 1% 25jan2045 130 05/29/2015 01/25/2045
All

Researсh and analytics

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1HSBC19 68310.6484125
2Citigroup19 33110.4576114
3JP Morgan13 4297.265377
4Deutsche Bank13 1057.095585
5Bank of America Merrill Lynch10 8205.853963
6Morgan Stanley10 0245.423454
7Standard Chartered Bank7 9274.294559
8Barclays6 9263.753041
9Goldman Sachs5 5753.012134
10BNP Paribas5 4742.963036
EM
CIS
DM

Bond Calendar

Name Amount, m Date Type
Goldman Sachs, 3% 30may2022 (Step-up) 14 USD 05/30/2015 Put/call option
CompuCredit, 3.625% 30may2025 (conv.) 250 USD 05/30/2015 Put/call option
Bosnia and Herzegovina, GB 5.25 30may2015 3A 80 BAM 05/30/2015 Maturity
Mikro Kapital, 30.05.2015, EUR 1 EUR 05/30/2015 Maturity
Mikro Kapital, 30.05.2015-2, EUR 2 EUR 05/30/2015 Maturity
Mikro Kapital, 30.05.2015-3, EUR 1 EUR 05/30/2015 Maturity
Khamsin Rated Ltd., 2015, EUR 107 EUR 05/30/2015 Maturity
Levanter Rated Ltd., 2015, EUR 107 EUR 05/30/2015 Maturity
Libeccio Rated Ltd., 2015, EUR 107 EUR 05/30/2015 Maturity
BrickFielder Rated, 2015, EUR 107 EUR 05/30/2015 Maturity