Market news

Yield curve

New bond issues

Issue Amount, mln End of placement Maturity
Moldova, 21-BT240915 9 09/01/2015 09/24/2015
Moldova, 91-BT031215 10 09/01/2015 12/03/2015
Moldova, 182-BT030316 3 09/01/2015 03/03/2016
Moldova, 364-BT010916 30 09/01/2015 09/01/2016
Pohjola Bank, 3.001% 4sep2025, HKD 1,270 08/31/2015 09/04/2025
IBRD, 5.47% 6oct2020, INR 393 08/31/2015 10/06/2020
IBRD, 5.4% 28sep2018, INR 275 08/31/2015 09/28/2018
Hungary, IBTB 2.75% 31aug2016 12m 37,235 08/31/2015 08/31/2016
Hungary, IBTB 2.5% 03mar2016 6m 2,153 08/31/2015 03/02/2016
Federal Home Loan Banks, FRN 8sep2016, USD 500 08/31/2015 09/08/2016
All

Researсh and analytics

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1Citigroup29 59710.74110164
2HSBC26 0509.46123181
3JP Morgan23 3488.4783123
4Deutsche Bank20 8777.5886128
5Bank of America Merrill Lynch16 1065.856595
6Morgan Stanley12 2444.444468
7Standard Chartered Bank12 0884.397397
8Barclays9 2543.364460
9BNP Paribas8 3023.015058
10Goldman Sachs7 6562.782951
EM
CIS
DM

Bond Calendar

Name Amount, m Date Type
NRG Energy, 8.25% 01sep2020 1,100 USD 09/01/2015 Put/call option
Sunshine Oilsands, 10% 01aug2017 200 USD 09/01/2015 Put/call option
T-Mobile US, 5.25% 01sep2018 493 USD 09/01/2015 Put/call option
Lithuania, 830291 3 EUR 09/01/2015 Put/call option
Lithuania, 821423 6 EUR 09/01/2015 Put/call option
Hannover Re Group, 5% perp. (Fix-to-Float) 500 EUR 09/01/2015 Put/call option
Ball, 7.125% 1sep2016 375 USD 09/01/2015 Put/call option
Ball, 7.375% 1sep2019 325 USD 09/01/2015 Put/call option
FK Alyans, 1-A 482 UAH 09/01/2015 Put/call option
Goldman Sachs, FRN perp. 500 USD 09/01/2015 Put/call option