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Dołącz do nas

Wiadomości rynku oblig. zagr. EM

Wszystkie wiadomości

Krzywa rentowności

Krzywe rentowności

Nowe emisje euroobligacji EM

Wszystkie emisje
Emisja Kwota, mln Zakończenie rozmieszczenia Wykup
Lotwa, 0.375% 7oct2026, EUR 550 EUR 02.04.2020 07.10.2026
Panama, 4.5% 1apr2056, USD 2.500 USD 26.03.2020 01.04.2056
State Bank of India (London Branch), FRN 31mar2022, USD 100 USD 26.03.2020 31.03.2022
Chenzhou Hi-Tech Investment Holding, 2.5% 30mar2023, EUR 120 EUR 26.03.2020 30.03.2023
Taizhou City Xin Bin Jiang Development, 7% 2apr2023, USD 219 USD 25.03.2020 02.04.2023
African Development Bank, 0.75% 3apr2023, USD 3.000 USD 25.03.2020 03.04.2023
BrokerCreditService Structured Products, FRN 30jun2025, RUB (Structured) 600 RUB 24.03.2020 30.06.2025
Xinhu Zhongbao, 11% 27mar2023, USD 200 USD 24.03.2020 27.03.2023
BrokerCreditService Structured Products, FRN 30jun2025, USD (Structured) 10 USD 23.03.2020 30.06.2025
China International Capital Corporation (CICC), FRN 24mar2021, USD 20 USD 20.03.2020 24.03.2021
Emisja Kwota, mln Zakończenie rozmieszczenia Wykup
Lotwa, 0.375% 7oct2026, EUR 550 EUR 02.04.2020 07.10.2026
Panama, 4.5% 1apr2056, USD 2.500 USD 26.03.2020 01.04.2056
State Bank of India (London Branch), FRN 31mar2022, USD 100 USD 26.03.2020 31.03.2022
Chenzhou Hi-Tech Investment Holding, 2.5% 30mar2023, EUR 120 EUR 26.03.2020 30.03.2023
Taizhou City Xin Bin Jiang Development, 7% 2apr2023, USD 219 USD 25.03.2020 02.04.2023
African Development Bank, 0.75% 3apr2023, USD 3.000 USD 25.03.2020 03.04.2023
BrokerCreditService Structured Products, FRN 30jun2025, RUB (Structured) 600 RUB 24.03.2020 30.06.2025
Xinhu Zhongbao, 11% 27mar2023, USD 200 USD 24.03.2020 27.03.2023
BrokerCreditService Structured Products, FRN 30jun2025, USD (Structured) 10 USD 23.03.2020 30.06.2025
China International Capital Corporation (CICC), FRN 24mar2021, USD 20 USD 20.03.2020 24.03.2021

Stopy procentowe

Wszystkie stopy procentowe

Bookrunner League Tables

Generator
#Bank inwestycyjnyWartość, mln. USDUdział rynkowy, % Liczba emitentówLiczba emisji
1Citigroup51 1968,31190299
2HSBC47 8177,76227378
3JP Morgan36 4955,92144231
4Standard Chartered Bank33 3495,41159286
5Deutsche Bank27 8784,5384142
6Goldman Sachs20 4713,3255108
7BNP Paribas20 0133,25105158
8Bank of America Merrill Lynch19 8153,2281136
9Morgan Stanley15 5382,5263104
10Bank of China15 0432,44130214
#Bank inwestycyjnyWartość, mln. USDUdział rynkowy, % Liczba emitentówLiczba emisji
1Citigroup51 1968,31190299
2HSBC47 8177,76227378
3JP Morgan36 4955,92144231
4Standard Chartered Bank33 3495,41159286
5Deutsche Bank27 8784,5384142
6Goldman Sachs20 4713,3255108
7BNP Paribas20 0133,25105158
8Bank of America Merrill Lynch19 8153,2281136
9Morgan Stanley15 5382,5263104
10Bank of China15 0432,44130214

Bond screening

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The duration filter allows you to search for issues by duration (to maturity or to put/call) calculated based on the indicative price. The indicative price is chosen based on the data from one of the trading floors with the following priority: Cbonds Valuation, Moscow Exchange, Other Quote Sources.
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