Cyprus: bonds

Republic of Cyprus is a Eurasian island country in the Eastern Mediterranean
Area – 9 250 sq.km (162th).
Population – 0.8 mln. (155th)
The capital is Nicosia.
Official language – Greek, Turkish.
Local currency – Euro (EUR).
Government – Presidential republic.

Outstanding bond issues

Сurrency Outstanding bond issues Cumulative volume
sovereign
EUR 26 6 622 776 350
corporate
EUR 29 6 048 102 316
USD 24 3 125 144 750
RUR 6 7 801 250 000
NOK 5 2 271 290 940
CZK 1 1 395 000 000
GBP 1 125 000 000
ILS 1 970 227 000

Sovereign rating

Rating AgencyRatingRating scaleDate
RIA Rating *** Sovereign ratings ***
Organisation for Economic Co-operation and Development (OECD) *** Country Risk Classifications ***
Moody's Investors Service *** LT- foreign currency ***
Moody's Investors Service *** LT- local currency ***
S&P Global Ratings *** Foreign Currency LT ***
S&P Global Ratings *** Local Currency LT ***
Fitch Ratings *** LT Int. Scale (foreign curr.) ***
Fitch Ratings *** LT Int. Scale (local curr.) ***
Rating Agency RAEX (Expert RA) *** Foriegn curr. scale ***
Rating Agency RAEX (Expert RA) *** Local curr. scale ***
National Rating Agency *** Global scale ***
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Latest bond issues

issue ISIN coupon volume end of placement maturity date
BCS Cyprus, FRN 15feb2027, USD - International bonds XS1556820519 6M LIBOR USD + 0.5% 200 000 000  USD 02/15/2017 02/15/2027
Bank of Cyprus, 9.25% 19jan2027, EUR - International bonds XS1551761569 9.25% 250 000 000  EUR 01/12/2017 01/19/2027
BCS Cyprus, 1.5% 21feb2019, USD - International bonds XS1535061672 1.5% 10 000 000  USD 12/22/2016 02/21/2019
BCS Cyprus, 1.5% 15mar2021, USD - International bonds XS1523319082 10% 5 000 000  USD 11/23/2016 03/15/2021
BCS Cyprus, 6.5% 27jul2021, USD - International bonds XS1508154959 6.5% 10 000 000  USD 10/20/2016 07/27/2021
Belyrian Holdings, 3.35% 14oct2029, EUR - Domestic bonds CY0146850215 3.35% 630 450 000  EUR 10/14/2016 10/14/2029
Belyrian Holdings, 3.35% 14oct2029, EUR - Domestic bonds CY0146840216 3.35% 90 418 315  EUR 10/14/2016 10/14/2029
Prosafe SE, 0% 23aug2021, NOK (Conv.) - International bonds NO0010771025 0% 82 790 940  NOK 09/14/2016 08/23/2021
EM Financial Platform Fund I, 0% 16dec2025, EUR (3388D) - Domestic bonds CY0146931312 0% 365 000  EUR 09/06/2016 12/16/2025
Nearchi, 6.6% 28sep2020, EUR - Domestic bonds CY0147001313 6.6% 2 500 000  EUR 08/08/2016 09/28/2020

World Bond Market Indicators

Monthly indices

Type Feb 2017 Jan 2017 Dec 2016 Nov 2016 Oct 2016 Sep 2016 Aug 2016
EU Long-term interest rates
Cyprus, % 3.37 3.45 3.55 3.47 3.39 3.62 3.84
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World Bond market statistics

Monthly indices

Type Feb 2017 Jan 2017 Dec 2016 Nov 2016 Oct 2016 Sep 2016 Aug 2016
Domestic govt Bonds markets (Western Europe)
Cyprian govt Bonds outst., EUR bln (without Bills) 1.77 1.86 1.94 1.94 1.94 2.00 2.00
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Quarterly indices

Type IV 2016 III 2016 II 2016 I 2016 IV 2015 III 2015 II 2015
BIS volume of international-bond market of developed countries
Cyprian international bonds, USD bln 11.800 11.800 9.700 9.300 9.200 9.500 9.400
BIS net issues of international-bond market of developed countries
International-bond net issue of Cyprus, USD bln 0.500 2.000 0.600 -0.300 0.000 0.100 1.500

Developed Markets International Bonds

Monthly indices

Type Feb 2017 Jan 2017 Dec 2016 Nov 2016 Oct 2016 Sep 2016 Aug 2016
International bonds Developed Markets
Cyprus sovereign international bonds, USD bln 4.680 4.769 4.630 4.680 4.849 4.963 4.927
Cyprus corporate international bonds, USD bln 3.215 3.053 2.694 5.854 4.541 4.091 4.211
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Bonds prices

issue volume maturity date bid prices ask prices
date bid price yield date ask price yield
Cyprus, 3.875% 6may2022, EUR   EUR 05/06/2022 05/18/2016 ***.*** *.** 05/18/2016 ***.*** *.**
Cyprus, 4.25% 4nov2025, EUR   EUR 11/04/2025 05/18/2016 ***.** *.** 05/18/2016 ***.*** *.**
Cyprus, 4.625% 3feb2020, EUR   EUR 02/03/2020 05/18/2016 ***.** *.** 05/18/2016 ***.*** *.**
Cyprus, 4.75% 25jun2019, EUR   EUR 06/25/2019 05/18/2016 ***.** *.** 05/18/2016 ***.** *.**
Cyprus, 6.5% 2may2020, EUR   EUR 05/02/2020 05/18/2016 *** *.** 05/18/2016 *** *.**
Emma Delta Finance plc, 12% 15oct2017   EUR 10/15/2017 05/18/2016 **.* **.** 05/18/2016 **.* **.*
Emma Delta Finance plc, 8.5% 15oct2017   EUR 10/15/2017 05/18/2016 **.** **.** 05/18/2016 *** *.**
PrimeCity Investment, 4% 13nov2019, EUR (Conv., ABS)   EUR 11/13/2019 05/18/2016 ***.** -*.* 05/18/2016 ***.** -*.**
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