Market news

Yield curve

New bond issues

Issue Amount, mln End of placement Maturity
CITIC Bank, 2035 280 03/31/2015 04/14/2035
RZD, 33 15,000 03/31/2015 02/28/2040
Soft Toy World, BO-02 1,000 03/31/2015 03/26/2018
RZD, 34 15,000 03/31/2015 02/28/2040
Poland, TOZ0318 500 03/31/2015 03/01/2018
Poland, COI0319 500 03/31/2015 03/01/2019
Poland, DOS0317 1,000 03/31/2015 03/01/2017
Poland, EDO0325 500 03/31/2015 03/01/2025
PCCW, 2025 500 03/30/2015 04/02/2025
Credit Suisse AG (London) Branch, 0% 17apr2045 280 03/30/2015 04/17/2045
All

Researсh and analytics

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1HSBC11 68910.835376
2Citigroup11 66610.814365
3Deutsche Bank9 5688.864159
4JP Morgan9 0528.383651
5Bank of America Merrill Lynch6 7566.262437
6Morgan Stanley6 6126.122132
7Standard Chartered Bank4 1243.822126
8Barclays Capital3 8923.611522
9BNP Paribas2 6332.441517
10Societe Generale2 4922.31811
EM
CIS
DM

Bond Calendar

Name Amount, m Date Type
AgroGeneration, 2018, EUR 9 EUR 04/01/2015 Put/call option
SPS, 2-B 50 UAH 04/01/2015 Put/call option
Comstock, 7.75% 1apr2019 300 USD 04/01/2015 Put/call option
Nykredit, 9% perp. (Fix-to-Float) 900 EUR 04/01/2015 Put/call option
Plains Exploration & Production, 7.625% 1apr2020 300 USD 04/01/2015 Put/call option
Aperam, 7.75% 01apr2018 250 USD 04/01/2015 Put/call option
FK Alyans, 1-A 482 UAH 04/01/2015 Put/call option
Viridian Group, 11.125% 01apr2017 313 EUR 04/01/2015 Put/call option
Entergy Mississippi, 6.25% 1apr2034 100 USD 04/01/2015 Put/call option
CONSOL Energy, 8.25% 1apr2020 1,250 USD 04/01/2015 Put/call option