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Restructuring

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  • Africa
  • Asia (excl. Japan)
  • CIS
  • Developed Markets (excl. Europe)
  • Choosed: 8 from 8

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  • Argentina
  • Azerbaijan
  • Bahamas
  • Belize
  • Choosed: 27 from 27

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Found: 273

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Debt restructuring agent
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PLN
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08/31/2013: The issuer will continue paying interest to its creditors, as well as any commissions and fees attached to the existing debt. In return for the break, Polimex will pay a 75bp fee on its total liabilities to banks. 10/18/2013: The issuer will pay the lower coupon. The redemption date was shifted to 12/31/2019.
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PLN
**/**/****
08/31/2013: The issuer will continue paying interest to its creditors, as well as any commissions and fees attached to the existing debt. In return for the break, Polimex will pay a 75bp fee on its total liabilities to banks. 10/18/2013: The issuer will pay the lower coupon. The redemption date was shifted to 12/31/2019.
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PLN
**/**/****
08/31/2013: The issuer will continue paying interest to its creditors, as well as any commissions and fees attached to the existing debt. In return for the break, Polimex will pay a 75bp fee on its total liabilities to banks. 10/18/2013: The issuer will pay the lower coupon. The redemption date was shifted to 12/31/2019.
XS**********
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USD
**/**/****
Bonds have been exchanged into new issues of Minestry of Finance of Azerbaijan and new issue of International bank of Azerbaijan: <br><br> Regs XS1678623064 / 144a XS1678623221;<br> Regs XS1678611218 / 144a XS1678615805;<br> Regs XS1678623734 / 144a XS1678625515;<br> Regs XS1678621282 / 144a XS1678621365;<br> Regs XS1678621522 / 144a XS1678621878;<br> Regs XS1678463784 / 144a XS1678466027.<br>
XS**********
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USD
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Bonds have been exchanged into new issues of Minestry of Finance of Azerbaijan and new issue of International bank of Azerbaijan: <br><br> Regs XS1678623064 / 144a XS1678623221;<br> Regs XS1678611218 / 144a XS1678615805;<br> Regs XS1678623734 / 144a XS1678625515;<br> Regs XS1678621282 / 144a XS1678621365;<br> Regs XS1678621522 / 144a XS1678621878;<br> Regs XS1678463784 / 144a XS1678466027.<br>
XS**********
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EUR
**/**/****
01.07.2012 Final maturity extended to 01.07.2018<br><br> 02.08.2017 Noteholders have recieved combination of cash and new notes:<br> <br> XS1634003831<br> XS1634002437<br>
USU*****AA**
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USD
**/**/****
Received new notes (91828VAA8)
TRSBMKS*****
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TRY
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TRSBMKS*****
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TRY
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TRSBMKS*****
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TRY
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RU***A*JU*L*
*B**-**-*****-A
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RUB
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US*****XAF**
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USD
**/**/****
Holders received $280.7316 per $1000 principal amount
RU***A*JVXX*
*B*********B***P
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RUB
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RU***A*JUT**
*B*********B
* *** *** ***.**
RUB
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RU***A*JWM**
*B*********B***P
* *** *** ***.**
RUB
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RU***A*JVM**
*B*********B
* *** *** ***.**
RUB
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RU***A*JVRL*
*B*********B***P
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RUB
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USP*****AG**
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USD
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The bond duration was decreased to February 20,2034 from February 20, 2038. The interest rate reduced to 4.9375% from 6.767%.
US*****DAF**
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USD
**/**/****
Holders received 6.05993811 per $1000 under CUSIP 12550E306
US*****BAC**
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USD
**/**/****
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150 000
issues: local and international bonds
170
countries
+7 812 336 97 21
pro@cbonds.info
150 000
issues: local and international bonds
170
countries
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+7 812 336 97 21
pro@cbonds.info
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