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Cayman Islands: obligacje

The Cayman Islands’ economy is primarily driven by the financial services industry, tourism and the legal and accounting industries. The financial services industry generated approximately 50% of the Cayman Islands’ GDP in 2006 and 2007 and provided approximately 36.1%, 37.6% and 39.8% of our revenues through annual fees relating to licenses and work permits in 2006, 2007 and 2008, respectively. For the three-month period ended September 30, 2009, the financial services industry provided US$26.0 million or 24.9% of our revenues. The first fiscal quarter results reflect the effect of seasonality since we derive the majority of revenues in the second quarter of the fiscal year and also the effects of the global financial crisis. As of March 31, 2009, the Cayman Islands was the world’s sixth largest banking center in terms of assets and the world’s fourth largest banking center in terms of liabilities, according to the Bank for International Settlements. As of August 31,2009, the Cayman Islands was also the world’s second largest offshore insurance center and a leader in the offshore mutual funds industry, according to the AMB Country Risk Report. The financial services industry also stimulates other areas of the Cayman Islands’ economy, particularly its legal and accounting industries. We are focused on further enhancing the integrity of the Cayman Islands’ financial sector through domestic regulation and international regulatory cooperation.
The Cayman Islands public sector debt consists of U.S. dollar-denominated debt and a small amount of Euro-denominated debt. The Legislative Assembly must appropriate any incurrence of liabilities. The 2009 Constitution, which came into effect on November 6, 2009, limits Government borrowing to 10% of Government revenue, as determined by a United Kingdom Secretary of State. The Legislative Assembly may provide for a higher percentage for urgent or extremely important matters.
Total debt increased from US$208.5 million as of June 30, 2006, to US$505.5 million as of June 30,2009, and US$570.3 million as of October 31, 2009. This change amounted to an increase of debt as a percentage of nominal GDP from 7.3% in fiscal year 2005/2006 to 16.5% in fiscal year 2008/2009 and 18.6% for the four-month period ended October 31, 2009, on an annualized basis. Government estimates that this borrowing balance will total approximately US$599.7 million as of June 30, 2010. Debt service ratio (ratio of interest expense to GDP) was 3.9%, 3.3% and 5.3% in fiscal year 2006/2007, 2007/2008 and 2008/2009,respectively.

Emisje w obrocie

Waluta Emisje w obrocie Cumulative volume
Państwowy
USD 4 11 312 000 000
Korporacyjny
USD 416 208 158 798 020
HKD 118 47 681 000 000
EUR 47 17 705 974 000
CNY 20 9 689 000 000
JPY 14 63 740 000 000
AUD 13 2 072 388 000
GBP 8 2 845 000 000
SAR 5 6 400 000 000
PEN 5 1 213 321 000
CHF 5 555 000 000
SEK 4 718 400 000
ZAR 1 40 000 000
RUB 1 4 500 000 000

Rating suwerenny

Agencja ratingowaRatingRating scaleDate
Dagong Global *** International scale rating (foreign curr.) ***
Dagong Global *** International scale rating (local curr.) ***
Moody's Investors Service *** LT- foreign currency ***
Moody's Investors Service *** LT- local currency ***
S&P Global Ratings *** Foreign Currency LT ***
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Ostatnie emisje

emisja ISIN kupon kwota zakończenie przydziału data zapadalności
REPACK BOND COLLATERAL, FRN 3apr2024, USD - Euroobligacje XS1972544594 1 550 000 000  USD 25.03.2019 03.04.2024
ASCENT FINANCE, 0.425% 28may2024, JPY - Euroobligacje XS1965491613 0.425% 1 000 000 000  JPY 13.03.2019 28.05.2024
Lani Finance, 1.92% 19oct2048, EUR - Euroobligacje XS1963742058 1.92% 10 000 000  EUR 12.03.2019 19.10.2048
GPMT LTD 2019 FL2, FRN 22feb2036, USD (19-FL2, Class A) - Euroobligacje US36259BAA52 1M LIBOR USD+1.3% 386 731 000  USD 28.02.2019 22.02.2036
Sunrise Cayman, 5.25% 11mar2024, USD - Euroobligacje XS1927705308 5.25% 500 000 000  USD 28.02.2019 11.03.2024
Earls Four, 2% 10apr2032, JPY - Euroobligacje XS0124107276 2% until 10.03.2026, then 6M LIBOR JPY +1.05% 740 000 000  JPY 24.01.2019 10.04.2032
Wuyi Mountains, 6.95% 6jun2020, USD - Euroobligacje XS1920041362 6.95% 80 000 000  USD 06.12.2018 06.06.2020
Jabal Omar Sukuk, 9.85% 15nov2023, USD - Euroobligacje XS1897163892 9.85% 135 000 000  USD 12.11.2018 15.11.2023
Tilal Sukuk Company, 6.5% 12nov2023, USD - Euroobligacje XS1900991305 6.5% 137 000 000  USD 09.11.2018 12.11.2023
Wuyi Mountains, 6% 25sep2019, USD - Euroobligacje XS1883909274 6% 100 000 000  USD 31.10.2018 25.09.2019

Rynek walutowy

Indeksy dzienne

Typ: 24.04.2019 23.04.2019 22.04.2019 19.04.2019 18.04.2019 17.04.2019 16.04.2019
FOREX rates
[12697] USD/KYD 0.8200 0.8200 0.8200 0.8200 0.8200 0.8200 0.8200
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BIS

Indeksy kwartalne

Typ: III 2018 II 2018 I 2018 IV 2017 III 2017 II 2017 I 2017
BIS international bonds outstanding volume
[10269] Caymanian international bonds, USD bln 1 665.900 1 612.900 1 565.400 1 504.500 1 449.500 1 415.900 1 363.400
BIS new international bonds volume
[10601] International-bond net issue of Cayman Islands, USD bln 55.300 62.600 54.600 53.500 30.400 47.100 1.800

International bonds outstanding volume

Indeksy miesięczne

Typ: Mar 2019 Feb 2019 Jan 2019 Dec 2018 Nov 2018 Oct 2018 Sep 2018
Latin America international bonds outstanding volume
[21423] Cayman Islands international bonds, USD bln 17.353 14.638 14.685 14.671 17.498 16.464 16.728
[21483] Cayman Islands corporate international bonds, USD bln 17.041 14.326 14.373 14.359 17.186 16.152 16.416
[21543] Cayman Islands sovereign international bonds, USD bln 0.312 0.312 0.312 0.312 0.312 0.312 0.312
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New international bonds volume

Indeksy miesięczne

Typ: Mar 2019 Feb 2019 Jan 2019 Dec 2018 Dec 2018 Nov 2018 Oct 2018
Latin America new international bonds volume
[18439] New issues of Cayman islands international bonds, USD bln 1.570 0.887 0.007 0.080 0.080 0.272 1.145
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Indeksy roczne

Typ: 2018 2017 2016 2015 2014
Latin America new international bonds volume
[19235] Annual new issues of Cayman Islands sovereign international bonds, USD bln 0.000 0.000 0.000 0.000 0.000
[19295] Annual new issues of Cayman Islands corporate international bonds, USD bln 3.966 1.690 0.668 0.405 0.523
[19355] Annual new issues of Cayman Islands corporate international bonds, (financial sector) USD bln 2.266 0.871 0.480 0.255 0.523
[19415] Annual new issues of Cayman Islands corporate international bonds, (non-financial sector) USD bln 1.701 0.819 0.188 0.150 0.000

New international bonds number

Indeksy miesięczne

Typ: Mar 2019 Feb 2019 Jan 2019 Dec 2018 Dec 2018 Nov 2018 Oct 2018
Latin America new international bonds number
[18497] Number of Cayman islands new international bond issues 3 2 1 1 1 2 7
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Notowania

papier wartościowy kwota data zapadalności ceny kupna (bid) ceny sprzedarzy (ask)
data cena kupna (bid) rentowność data cena sprzedarzy (ask) rentowność
Kajmany, 5.95% 24nov2019, USD   USD 24.11.2019 18.05.2016 *** *.** 18.05.2016 *** *.**
Apus Rated Limited, 1.55% 30jun2020, EUR   EUR 30.06.2020 18.05.2016 ***.** -*.* 18.05.2016 ***.** -*.*
Arkab Rated Limited, 1.55% 30jun2020, EUR   EUR 30.06.2020 18.05.2016 ***.** -*.* 18.05.2016 ***.** -*.**
Asterope Rated Ltd., 1.55% 30jun2020, EUR   EUR 30.06.2020 18.05.2016 ***.** -*.* 18.05.2016 ***.** -*.**
Banco Safra (Cayman Islands) Limited, 1.5% 11dec2019, CHF   CHF 11.12.2019 18.05.2016 **.** *.** 18.05.2016 *** *.**
Dyphda Rated Ltd., 1.55% 30jun2020, EUR   EUR 30.06.2020 18.05.2016 ***.** -*.* 18.05.2016 ***.** -*.**
Euterpe Rated Ltd., 1.55% 30jun2025, EUR   EUR 30.06.2025 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Evander Rated Ltd., 1.55% 30jun2030, EUR   EUR 30.06.2030 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Evander Rated Ltd., 1.55% 30jun2030, EUR   EUR 30.06.2030 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Gesher Rated Ltd., 1.55% 30jun2035, EUR   EUR 30.06.2035 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Gesher Rated Ltd., 1.55% 30jun2035, EUR   EUR 30.06.2035 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Kithalpa Rated Ltd., 1.55% 30jun2020, EUR   EUR 30.06.2020 18.05.2016 ***.** -*.* 18.05.2016 ***.** -*.**
Liber Rated Ltd., 1.55% 28jun2030, EUR   EUR 28.06.2030 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
NSA Bondco, 12% 31aug2020, USD   USD 31.08.2020 18.05.2016 ** **.** 18.05.2016 ** **.**
Overture Rated Ltd., 1.55% 30jun2040, EUR   EUR 30.06.2040 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Overture Rated Ltd., 1.55% 30jun2040, EUR   EUR 30.06.2040 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Polyhymnia Rated Ltd., 1.55% 30jun2025, EUR   EUR 30.06.2025 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Signum Momentum Ltd., 0% 30jun2050, EUR (15006D)   EUR 30.06.2050 18.05.2016 ***.** -*.** 18.05.2016 ***.** -*.**
Urania Rated Ltd., 1.55% 30jun2025, EUR   EUR 30.06.2025 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Urania Rated Ltd., FRN 30jun2025, EUR   EUR 30.06.2025 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
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