Market news

Yield curve

New bond issues

Issue Amount, mln End of placement Maturity
ZM Henryk Kania, KAN0318, E 25 07/06/2015 03/30/2018
France, BTF 7oct2015 3m 3,991 07/06/2015 10/07/2015
ZM Henryk Kania, KAN1117, D 45 07/06/2015 11/26/2017
Semper idem Underberg, 5.375% 2020, EUR 30 07/06/2015 07/06/2020
Ghelamco Invest, GHI0619, PPB 50 07/06/2015 06/16/2019
Ghelamco Invest, GHC0619, PPC 30 07/06/2015 06/16/2019
BayernLB, FRN 2023, EUR 100 07/03/2015 07/03/2023
United Kingdom, Bills 5oct2015 3m 1,500 07/03/2015 10/05/2015
United Kingdom, Bills 4jan2016 6m 2,000 07/03/2015 01/04/2016
Kyrgyzstan, GBA02170706 290 07/03/2015 07/06/2017
All

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1Citigroup24 08410.3893141
2HSBC24 00710.34101155
3JP Morgan19 1428.2569105
4Deutsche Bank17 3267.4772109
5Bank of America Merrill Lynch13 3275.745480
6Morgan Stanley12 0995.214166
7Standard Chartered Bank9 8824.265772
8Barclays7 7793.353451
9BNP Paribas7 7283.334655
10Goldman Sachs6 8232.942746
EM
CIS
DM

Bond Calendar

Name Amount, m Date Type
Alfa-Bank Ukraine, 2-K 300 UAH 07/06/2015 Put/call option
Arkada Fund, 5-AD 100 UAH 07/06/2015 Put/call option
Atlanta Capital, 1-A 120 UAH 07/06/2015 Put/call option
Halyk Bank, 09 3,000 KZT 07/06/2015 Maturity
Milmex, MLX0715, KOM13A 3 PLN 07/06/2015 Maturity
Barclays, 5.5% 6jul2015 15 GBP 07/06/2015 Maturity
Barclays, FRN 6jul2015 50 EUR 07/06/2015 Maturity
Barclays, 0% 06jul2015 30 GBP 07/06/2015 Maturity
Glaxosmithkline, 3.875% 6jul2015 1,600 EUR 07/06/2015 Maturity
Caisse d`Amortissement de la Dette Sociale, 1.625% 6jul2015 3,000 USD 07/06/2015 Maturity