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Issue Amount, mln End of placement Maturity
OCP Euro CLO 2019-3, FRN 20apr2030, EUR (19-3X, Class A) 255 05/17/2019 04/20/2030
OCP Euro CLO 2019-3, FRN 20apr2030, EUR (19-3X, Class E) 24 05/17/2019 04/20/2030
OCP Euro CLO 2019-3, FRN 20apr2030, EUR (19-3X, Class B1) 40 05/17/2019 04/20/2030
OCP Euro CLO 2019-3, FRN 20apr2030, EUR (19-3X, Class C) 26 05/17/2019 04/20/2030
Nortal, 4.75% 28may2024, EUR 50 05/17/2019 05/28/2024
Japan, TB 19aug2019 3m 4,299,930 05/17/2019 08/19/2019
United Kingdom, Bills 18nov2019 6m 2,500 05/17/2019 11/18/2019
Turovskij molochnyj kombinat, 6.5% 9aug2023, USD (04) 6 05/17/2019 08/09/2023
National Australia Bank (NAB), FRN 17may2029, AUD 1,000 05/17/2019 05/17/2029
VTB, KS-3-198 75,000 05/17/2019 05/18/2019
Issue Amount, mln End of placement Maturity
OCP Euro CLO 2019-3, FRN 20apr2030, EUR (19-3X, Class A) 255 05/17/2019 04/20/2030
OCP Euro CLO 2019-3, FRN 20apr2030, EUR (19-3X, Class E) 24 05/17/2019 04/20/2030
OCP Euro CLO 2019-3, FRN 20apr2030, EUR (19-3X, Class B1) 40 05/17/2019 04/20/2030
OCP Euro CLO 2019-3, FRN 20apr2030, EUR (19-3X, Class C) 26 05/17/2019 04/20/2030
Nortal, 4.75% 28may2024, EUR 50 05/17/2019 05/28/2024
Japan, TB 19aug2019 3m 4,299,930 05/17/2019 08/19/2019
United Kingdom, Bills 18nov2019 6m 2,500 05/17/2019 11/18/2019
Turovskij molochnyj kombinat, 6.5% 9aug2023, USD (04) 6 05/17/2019 08/09/2023
National Australia Bank (NAB), FRN 17may2029, AUD 1,000 05/17/2019 05/17/2029
VTB, KS-3-198 75,000 05/17/2019 05/18/2019

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Bond Calendar

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Name Amount, m Date Type
IKB Deutsche Industriebank, 2.4% 19may2019, EUR 10 EUR 05/19/2019 Maturity
Raiffeisen Bank International AG, FRN 19may2019, EUR 200 EUR 05/19/2019 Maturity
Tata Steel, 11% 19may2019, INR 15,000 INR 05/19/2019 Maturity
Emirates NBD, 2.5% 19may2019, USD 100 USD 05/19/2019 Maturity
ICBCIL Finance Company Ltd., 2.375% 19may2019, USD 500 USD 05/19/2019 Maturity
Wika Realty, 12.25% 19may2019, IDR 150,000 IDR 05/19/2019 Maturity
ING Bank, FRN 19may2019, EUR 225 EUR 05/19/2019 Maturity
Exxaro Resources, FRN 19may2019, ZAR 520 ZAR 05/19/2019 Maturity
Rojana Industrial Park, 3.4% 19may2019, THB 374 THB 05/19/2019 Maturity
Vietnam, 5.5 19may2019 7,817,000 VND 05/19/2019 Maturity
Name Amount, m Date Type
IKB Deutsche Industriebank, 2.4% 19may2019, EUR 10 EUR 05/19/2019 Maturity
Raiffeisen Bank International AG, FRN 19may2019, EUR 200 EUR 05/19/2019 Maturity
Tata Steel, 11% 19may2019, INR 15,000 INR 05/19/2019 Maturity
Emirates NBD, 2.5% 19may2019, USD 100 USD 05/19/2019 Maturity
ICBCIL Finance Company Ltd., 2.375% 19may2019, USD 500 USD 05/19/2019 Maturity
Wika Realty, 12.25% 19may2019, IDR 150,000 IDR 05/19/2019 Maturity
ING Bank, FRN 19may2019, EUR 225 EUR 05/19/2019 Maturity
Exxaro Resources, FRN 19may2019, ZAR 520 ZAR 05/19/2019 Maturity
Rojana Industrial Park, 3.4% 19may2019, THB 374 THB 05/19/2019 Maturity
Vietnam, 5.5 19may2019 7,817,000 VND 05/19/2019 Maturity

Bookrunner League Tables

Generator
#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1Citigroup51 1968.31192299
2HSBC47 8177.76228378
3JP Morgan36 4955.92145231
4Standard Chartered Bank33 3495.41161286
5Deutsche Bank27 8784.5384142
6Goldman Sachs20 4713.3255108
7BNP Paribas20 0133.25105158
8Bank of America Merrill Lynch19 8153.2282136
9Morgan Stanley15 5382.5263104
10Bank of China15 0432.44131214
#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1Citigroup51 1968.31192299
2HSBC47 8177.76228378
3JP Morgan36 4955.92145231
4Standard Chartered Bank33 3495.41161286
5Deutsche Bank27 8784.5384142
6Goldman Sachs20 4713.3255108
7BNP Paribas20 0133.25105158
8Bank of America Merrill Lynch19 8153.2282136
9Morgan Stanley15 5382.5263104
10Bank of China15 0432.44131214

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Eff. yield (by Indicative Price), %
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