Market news

New bond issues

Issue Amount, mln End of placement Maturity
Vorobevskoe-Agro, 1-A 210 08/29/2014 08/05/2019
KfW, 3.750% 14jun2018 250 08/29/2014 06/14/2018
Triple, 05 83,160 08/29/2014 12/31/2014
Bank Nederlandse Gemeenten, FRN 03apr2018 300 08/29/2014 04/03/2018
Egres-Agro, 1-A 389 08/29/2014 08/07/2019
Rayz-Prikarpate, 1-A 190 08/29/2014 08/06/2019
Roztotskoye, 1-A 430 08/29/2014 08/05/2019
Standart-Agro, 1-A 370 08/29/2014 08/06/2019
OSIM, 2019, SGD (conv.) 170 08/29/2014 09/18/2019
Federal Farm Credit Banks, FRN 29aug2017 600 08/29/2014 08/29/2017
All

Researсh and analytics

Yield curve

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1HSBC35 81310.58165244
2Citigroup34 73310.26143200
3JP Morgan31 2199.22115167
4Deutsche Bank27 6598.17116160
5Bank of America Merrill Lynch18 5935.4985107
6Goldman Sachs16 1124.765074
7Barclays Capital15 2994.525878
8BNP Paribas13 2103.906189
9Standard Chartered Bank12 3473.6583114
10Credit Suisse11 9253.525571
EM
CIS
DM

Bond Calendar

Name Amount, m Date Type
Rostelecom, U-02 0 RUR 09/01/2014 Put/call option
Medved Finance, 02 1,000 RUR 09/01/2014 Put/call option
Stoma, 1-A 50 UAH 09/01/2014 Put/call option
Ball, 7.375% 1sep2019 325 USD 09/01/2014 Put/call option
Gannett, 7.125% 1sep2018 250 USD 09/01/2014 Put/call option
Procter&Gamble, 0% 1sep2024 200 USD 09/01/2014 Put/call option
Poland, COI0914 500 PLN 09/01/2014 Maturity
Zaporozhie, 2-J 10 UAH 09/01/2014 Maturity
Invalue, 02, USD 0 USD 09/01/2014 Maturity
Poland, DOS0914 1,000 PLN 09/01/2014 Maturity