Market news

New bond issues

Issue Amount, mln End of placement Maturity
KEXIM, 2029-4 50 10/31/2014 11/06/2029
Scania, FRN 07nov2016 2,500 10/30/2014 11/07/2016
KfW, 4.25% 06nov2019 100 10/30/2014 11/06/2019
USA, Note 2% 31oct2021 7Y 29,000 10/30/2014 10/31/2021
Arrow Global, FRN 01nov2021 225 10/30/2014 11/01/2021
KLA-Tencor, 3.375% 01nov2019 250 10/30/2014 11/01/2019
KLA-Tencor, 4.125% 01nov2021 500 10/30/2014 11/01/2021
KLA-Tencor, 5.65% 01nov2034 250 10/30/2014 11/01/2034
KLA-Tencor, 4.65% 01nov2024 1,250 10/30/2014 11/01/2024
KLA-Tencor, 2.375% 01nov2017 250 10/30/2014 11/01/2017
All

Researсh and analytics

Yield curve

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1HSBC45 34310.75201311
2Citigroup42 90710.17171250
3JP Morgan36 3138.61136199
4Deutsche Bank32 1827.63139190
5Bank of America Merrill Lynch23 0045.45107135
6Standard Chartered Bank18 5564.40115165
7BNP Paribas17 1614.0776115
8Goldman Sachs17 0054.035681
9Barclays Capital16 5213.926486
10Credit Suisse14 2963.396689
EM
CIS
DM

Bond Calendar

Name Amount, m Date Type
Rostelecom, U-04 1 RUR 11/01/2014 Put/call option
CCIC, 7.125% 1nov2019 500 USD 11/01/2014 Put/call option
DaVita HealthCare, 6.375% 01nov2018 775 USD 11/01/2014 Put/call option
DaVita HealthCare, 6.625% 01nov2020 775 USD 11/01/2014 Put/call option
Simon Property, 4.2% 1feb2015 400 USD 11/01/2014 Put/call option
Poland, EDO1114 100 PLN 11/01/2014 Maturity
Poland, COI1114 500 PLN 11/01/2014 Maturity
Poland, DOS1114 1,000 PLN 11/01/2014 Maturity
Mikro Kapital, 01.11.2014, EUR (CLN) 2 USD 11/01/2014 Maturity
L Brands, 5.25% 1nov2014 500 USD 11/01/2014 Maturity