Restructuring

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  • Africa
  • CIS
  • Developed Markets (excl. Europe)
  • Eastern Europe
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  • Argentina
  • Bahamas
  • Belize
  • Brazil
  • Choosed: 20 from 20

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Found: 246

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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
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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
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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.
RU***A*JU*L*
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RUB
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US*****XAF**
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USD
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Holders received $280.7316 per $1000 principal amount
RU***A*JVXX*
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RUB
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RU***A*JUT**
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RUB
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RU***A*JWM**
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RUB
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RU***A*JVM**
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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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US*****DAF**
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USD
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Holders received 6.05993811 per $1000 under CUSIP 12550E306
RU***A*JVCQ*
*B**-**-*****-A
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RUB
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USG****DAB**
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USD
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USG****DAA**
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USD
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XS**********
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USD
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As a result of restructuring Issuer will pay 10.25% Toggle PIK until 11.04.2018
USG***APAB**
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USD
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Restructured into new note US29357JAA43
USC*****AF**
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USD
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Holders received 525.07 shares per $100 000 principal amount of notes
USC*****AC**
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USD
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Holders received 517.99 shares per $100 000 principal amount of notes
USC*****AB**
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USD
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Paid with Stock<br> 516.64 per security
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150 000
issues: local and international bonds
170
countries
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