Market news

New bond issues

Issue Amount, mln End of placement Maturity
Burat-Agro, 3-D 75 11/25/2014 12/22/2015
Burat-Agro, 3-E 65 11/25/2014 12/20/2016
KEXIM, 2017, CNY 300 11/24/2014 11/28/2017
KEXIM, 2019, CNY 700 11/24/2014 11/28/2019
Armenia, Bills 23feb2015 3m 500 11/24/2014 02/23/2015
Banco de Credito e Inversiones, 2017, JPY 4,900 11/21/2014 12/04/2017
Banco de Credito e Inversiones, 2019, JPY 10,100 11/21/2014 12/04/2019
Banco de Credito e Inversiones, 2017-2, JPY (FRN) 1,500 11/21/2014 12/04/2017
HC International, 2019, HKD 780 11/21/2014 11/27/2019
AES Gener, 2029 800 11/21/2014 05/25/2029
All

Yield curve

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1HSBC52 31310.82220353
2Citigroup48 53610.04188282
3JP Morgan41 9848.68153228
4Deutsche Bank36 4017.53148212
5Bank of America Merrill Lynch25 8595.35115149
6Goldman Sachs21 5684.4665100
7Standard Chartered Bank20 0594.15123178
8Barclays Capital18 9673.927699
9BNP Paribas18 7563.8882127
10Morgan Stanley17 5433.6382122
EM
CIS
DM

Bond Calendar

Name Amount, m Date Type
Lithuania, 830192 4 LTL 11/25/2014 Put/call option
Asian Development Bank (ADB), 2014-2 1,000 USD 11/25/2014 Maturity
KRUK, KRU1114, I2 38 PLN 11/25/2014 Maturity
Piecobiogaz, PBG1114, C 3 PLN 11/25/2014 Maturity
RBS, FRN 25nov2014 35 EUR 11/25/2014 Maturity
i3D, I3D1114, M12 0 PLN 11/25/2014 Maturity
Commonwealth Bank, 2.7% 25nov2014 1,250 USD 11/25/2014 Maturity
CDPQ, 3% 25nov2014 2,000 USD 11/25/2014 Maturity
Azerbaijan, AZ0102008437 2 AZN 11/25/2014 Maturity
Federal Home Loan Banks, FRN 25nov2014 500 USD 11/25/2014 Maturity