Market news

New bond issues

Issue Amount, mln End of placement Maturity
Goldman Sachs, 2.55% 23oct2019 2,500 10/23/2014 10/23/2019
Goldman Sachs, FRN 23oct2019 500 10/23/2014 10/23/2019
Rusfinance Bank, BO-11 5,000 10/23/2014 10/23/2019
KEXIM, 2026-4 50 10/23/2014 10/30/2026
Minera y Metalurgica del Boleo, 2019, CHF 100 10/23/2014 11/12/2019
NB of the Kyrgyzstan, GD026150427 61 10/23/2014 04/27/2015
RGS Nedvizhimost, BO-03 3,000 10/23/2014 10/19/2017
Ukraine, 187207 UAH 02oct2024 1,000 10/22/2014 10/02/2024
Omnicom Group, 3.65% 1nov2024 750 10/22/2014 11/01/2024
LeasePlan, FRN 28apr2017 750 10/22/2014 04/28/2017
All

Researсh and analytics

Yield curve

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1HSBC43 69210.62196304
2Citigroup41 74510.15169240
3JP Morgan35 5558.64132193
4Deutsche Bank32 0227.79138188
5Bank of America Merrill Lynch22 7415.53104131
6Standard Chartered Bank17 9384.36110158
7BNP Paribas17 0214.1475113
8Barclays Capital16 5214.026486
9Goldman Sachs16 5054.015579
10Credit Suisse14 1083.436587
EM
CIS
DM

Bond Calendar

Name Amount, m Date Type
Financial Solutions Center FC, 2-B 50 UAH 10/24/2014 Put/call option
Sviaz-Bank, 04 5,000 RUR 10/24/2014 Put/call option
Leasing Technologies Invest, 01 1,750 RUR 10/24/2014 Maturity
Bank Gospodarstwa Krajowego, IPS1014 6,893 PLN 10/24/2014 Maturity
Azerbaijan, 10801232S 2 AZN 10/24/2014 Maturity
Coventry Building Society, 2.875% 24oct2014 650 EUR 10/24/2014 Maturity
Ziraat Bank, 0% 353D 24oct2014 84 TRY 10/24/2014 Maturity
Sberbank, 24.10.2014 (zero, ECP-84) 15 USD 10/24/2014 Maturity
Bank Ochrony Srodowiska, BOS1014, KT.1.31 33 PLN 10/24/2014 Maturity
Nurolbank, 0% 179D 24oct2014 30 TRY 10/24/2014 Maturity