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Singapore: emissioni obbligazionarie

Singapore has one of the most developed bond markets in Asia. Based on MAS’ corporate debt market review, the market capitalisation was about SGD357 billion in 2011, of which about two-thirds were in SGD and the rest mostly in US dollars.
The SGD bond market is made up of Singapore Government Securities (SGS), quasi-government bonds, corporate bonds, and structured securities. The SGD bond market is fully accessible to all issuers and investors globally. There are no capital controls, hedging restrictions, or withholding taxes. As a result, the market’s profile is international in nature, with foreign entities accounting for more than a quarter of bond issuance. regulations were fine-tuned in 2009 to qualify high-grade securities issued by foreign entities as regulatory liquid assets. Since then, there has been an increase in issuances by well known AAA-rated foreign issuers such as the African Development Bank, kfW Bankengruppe, International Finance corp (IFc), and International Bank for reconstruction & Development (IBrD).
SGS is a major component of the SGD bond market. over the years, SGS has grown steadily from SGD43.2 billion outstanding in 2000 to SGD138.5 billion in 2011.

Emissioni di obbligazioni in corso

Valuta Emissioni di obbligazioni in corso Volume complessivo
sovrano
SGD 39 183 000 000 000
corporate
SGD 394 110 548 414 850
USD 256 65 995 866 645
EUR 55 11 991 616 000
AUD 31 4 298 590 060
HKD 24 17 118 000 000
JPY 17 124 700 000 000
GBP 11 3 606 000 000
KRW 7 233 500 000 000
CNY 7 6 125 000 000
TRY 4 1 055 500 000
IDR 3 4 554 094 000 000
THB 2 7 220 000 000
RUB 2 800 000 000
MYR 2 1 000 000 000
PHP 2 1 855 350 000
INR 2 2 219 400 000
SEK 1 71 500 000

Rating sovrano

AgenziaRatingScala di ratingData
Dagong Global *** International scale rating (foreign curr.) ***
Dagong Global *** International scale rating (local curr.) ***
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.) ***
Japan Credit Rating Agency *** Foreign Currency Long-term Issuer Rating ***
Japan Credit Rating Agency *** Local Currency Long-term Issuer Rating ***
Registrazione necessaria. Effettuare l’accesso o compilare il modulo di registrazione.

Ultime emissioni obbligazionarie

Emissione ISIN Cedola volume termine del collocamento data di scadenza
Singapore, TB 25avg2020 6m - Obbligazioni domestiche SGXZ88952916 0% 3 700 000 000  SGD 20/02/2020 25/08/2020
VENA ENERGY HOLDINGS, 3.133% 26feb2025, USD - Obbligazioni internazionali XS2122900330 3.133% 325 000 000  USD 19/02/2020 26/02/2025
First Sponsor Group, 3.29% 20feb2025, SGD - Obbligazioni domestiche SGXF31207016 3.29% 100 000 000  SGD 13/02/2020 20/02/2025
DBS Bank, 1.22% 18feb2050, EUR - Obbligazioni internazionali XS2103363979 1.22% 25 000 000  EUR 12/02/2020 18/02/2050
Singapore, TB 11avg2020 6m - Obbligazioni domestiche SGXZ13547757 0% 3 400 000 000  SGD 06/02/2020 11/08/2020
GLL IHT Pte, 3.4% 10aug2025, SGD - Obbligazioni domestiche SGXF92618176 3.4% 200 000 000  SGD 03/02/2020 10/08/2025
Shangri-La Hotel, 3.5% 29jan2030, SGD - Obbligazioni domestiche SGXF14391662 3.5% 250 000 000  SGD 29/01/2020 29/01/2030
Suntec Real Estate Investment Trust, 2.95% 5feb2027, SGD - Obbligazioni domestiche SGXF61152512 2.95% 200 000 000  SGD 29/01/2020 05/02/2027
Nomura International Funding, FRN 25jan2025, USD - Obbligazioni internazionali XS2105092089 1 000 000  USD 28/01/2020 25/01/2025
Thomson Medical Group, 4.05% 28jan2025, SGD - Obbligazioni domestiche SGXF89249654 4.05% 175 000 000  SGD 28/01/2020 28/01/2025

Свалка

Indici giornalieri

Tipo: 20/08/2013 19/08/2013 16/08/2013 15/08/2013 14/08/2013 13/08/2013 12/08/2013
ELMI Singapore 194.86 194.85 195.81 195.04 195.79 196.10 197.04
mostra altri indici

Domestic bonds outstanding volume

Indici mensili

Tipo: Jan 2020 Dec 2019 Nov 2019 Oct 2019 Sep 2019 Aug 2019
Asia bond issues outstanding amount
[24659] Amount of outstanding issues of Singapore corporate bonds 80.3006 80.1025 78.1947 78.2129 76.7235 76.4750
mostra altri indici

GDP

Indici annuali

Tipo: 2018 2017 2016 2015 2014
Government debt-to-GDP (Asia, excl. Japan)
[15379] Government Debt to GDP(Singapore) 112.20 110.60 112.00 104.70 99.30

Credit Default Swaps (CDS)

Indici giornalieri

Tipo: 21/02/2020 20/02/2020 19/02/2020 18/02/2020 17/02/2020 14/02/2020 13/02/2020
CDS Singapore
[13575] CDS 6M Singapore 2.4800 2.4500 2.4500 2.4700 2.3600 2.3700 2.4000
[13637] CDS 1Y Singapore 2.9500 2.9300 2.9200 2.9400 2.8100 2.8100 2.8500
[13699] CDS 2Y Singapore 6.4400 6.4200 6.4400 6.4600 6.3100 6.3100 6.3200
[13761] CDS 3Y Singapore 10.0400 10.1000 10.0700 10.1200 9.8900 9.8800 9.9100
[13823] CDS 4Y Singapore 13.4100 13.5300 13.4400 13.4700 13.3800 13.3800 13.3000
[13885] CDS 5Y Singapore 17.4000 17.5100 17.4100 17.4200 17.4200 17.4200 17.2300
[13947] CDS 7Y Singapore 23.5000 23.6400 23.6800 23.8000 23.5700 23.5800 23.4100
[14009] CDS 10Y Singapore 28.7800 29.1000 29.2500 29.3000 28.9700 28.9800 28.8100
[14071] CDS 15Y Singapore 32.4900 33.0100 33.1900 33.2000 32.7400 32.7400 32.5900
[14133] CDS 20Y Singapore 34.8100 35.4400 35.6400 35.6300 35.0700 35.0700 34.9300
[14195] CDS 30Y Singapore 37.6500 38.4100 38.6100 38.6000 37.9300 37.9300 37.7800
mostra altri indici

Historical yields

Indici giornalieri

Tipo: 21/02/2020 20/02/2020 19/02/2020 18/02/2020 17/02/2020 14/02/2020 13/02/2020
10Y Government Bond Yields, Asia (excl. Japan)
[24291] Singapore 10Y YTM 1.621 1.655 1.650 1.646 1.656 1.667 1.686
mostra altri indici

International bonds outstanding volume

Indici mensili

Tipo: Jan 2020 Dec 2019 Nov 2019 Oct 2019 Sep 2019 Aug 2019 Jul 2019
Asia international bonds outstanding volume
[21667] Singapore international bonds, USD bln 77.512 77.888 76.942 76.364 80.096 79.653 78.123
[21705] Singapore corporate international bonds, USD bln 77.512 77.888 76.942 76.364 80.096 79.653 78.123
[21743] Singapore sovereign international bonds, USD bln 0.000 0.000 0.000 0.000 0.000 0.000 0.000
mostra altri indici

Inflation

Indici mensili

Tipo: Dec 2019 Nov 2019 Oct 2019 Sep 2019 Aug 2019 Jul 2019 Jun 2019
Inflation (Asia, excl. Japan)
[15743] Inflation Rate (Singapore) 0.80 0.60 0.40 0.50 0.50 0.40 0.60
mostra altri indici

Default probability (based on CDS)

Indici giornalieri

Tipo: 21/02/2020 20/02/2020 19/02/2020 18/02/2020 17/02/2020 14/02/2020 13/02/2020
Default Probability Singapore (Interactive Data)
[20365] 6M Default Probability Singapore 0.0100 0.0100 0.0100 0.0100 0.0100 0.0100 0.0100
[20427] 1Y Default Probability Singapore 0.0400 0.0400 0.0400 0.0400 0.0400 0.0400 0.0400
[20489] 2Y Default Probability Singapore 0.2000 0.2000 0.2000 0.2000 0.2000 0.2000 0.2000
[20551] 3Y Default Probability Singapore 0.4800 0.4800 0.4800 0.4900 0.4800 0.4800 0.4800
[20613] 4Y Default Probability Singapore 0.8700 0.8800 0.8700 0.8800 0.8700 0.8700 0.8700
[20675] 5Y Default Probability Singapore 1.4300 1.4400 1.4300 1.4300 1.4300 1.4400 1.4200
[20737] 7Y Default Probability Singapore 2.7200 2.7400 2.7500 2.7600 2.7400 2.7400 2.7200
[20799] 10Y Default Probability Singapore 4.7700 4.8300 4.8600 4.8600 4.8100 4.8200 4.8000
[20861] 15Y Default Probability Singapore 8.0100 8.1500 8.2000 8.2000 8.0900 8.1000 8.0700
[20923] 20Y Default Probability Singapore 11.3200 11.5400 11.6100 11.6100 11.4400 11.4400 11.4100
[20985] 30Y Default Probability Singapore 17.9000 18.2800 18.3800 18.3700 18.0900 18.0900 18.0400
mostra altri indici

Interest Rate Swaps (IRS)

Indici giornalieri

Tipo: 14/02/2020 13/02/2020 12/02/2020 11/02/2020 10/02/2020 07/02/2020 06/02/2020
IRS SGD
[19061] 6M SGD Swap Rate 1.561 1.551 1.535 1.551 1.587 1.577 1.624
[20221] 1M SGD Swap Rate 1.526 1.508 1.408 1.417 1.558 1.551 1.636
[20223] 3M SGD Swap Rate 1.560 1.523 1.497 1.525 1.614 1.625 1.686
[20267] O/N SGD Swap Rate 1.622 1.152 0.936 0.825 1.103 0.898 0.994
mostra altri indici

New domestic bonds volume

Indici mensili

Tipo: Jan 2020 Dec 2019 Nov 2019 Oct 2019 Sep 2019 Aug 2019
Asia new bond issues amount
[24657] Amount of new issues of Singapore corporate bonds 1.1652 0.1100 0.9895 0.8115 1.1032 0.7924
mostra altri indici

New international bonds volume

Indici annuali

Tipo: 2019 2018 2017 2016 2015 2014
Asia new international bonds volume
[19475] Annual new issues of Singapore sovereign international bonds, USD bln 0.000 0.000 0.000 0.000 0.000 0.000
[19513] Annual new issues of Singapore corporate international bonds, USD bln 13.918 21.329 22.911 14.609 15.131 13.628
[19551] Annual new issues of Singapore corporate international bonds, (financial sector) USD bln 8.935 17.406 14.206 10.906 9.529 9.544
[19589] Annual new issues of Singapore corporate international bonds, (non-financial sector) USD bln 4.983 3.923 8.705 3.704 5.602 4.083

Risk Management Institute

Indici giornalieri

Tipo: 21/02/2020 20/02/2020 19/02/2020 18/02/2020 17/02/2020 14/02/2020 13/02/2020
RMI CVI - Asia
[4919] Singapore CVI value weighted  5.14         7.53 7.51
[4921] Singapore CVI tail  147.07 147.91 151.08 145.20 144.18 160.28 164.31
[4923] Singapore CVI equally weighted  40.59 39.34 40.72 39.33 39.02 42.06 40.63
mostra altri indici

New domestic bonds number

Indici mensili

Tipo: Jan 2020 Dec 2019 Nov 2019 Oct 2019 Sep 2019 Aug 2019
Asia new bond issues number
[24655] Number of new issues of Singapore corporate bonds 8 2 4 5 5 2
mostra altri indici

Quotazioni

obbligazione importo dell' emissione data di scadenza prezzi denaro prezzi lettera
data prezzo denaro rendimento data prezzo lettera rendimento
Astrea V, 4.5% 20jun2029, USD (ABS)   USD 20/06/2029 21/02/2020 ***.** *.* 21/02/2020 ***.** *.**
Astrea V, 5.75% 20jun2029, USD (ABS)   USD 20/06/2029 21/02/2020 ***.** *.** 21/02/2020 ***.** *.**
BOC Aviation, 2.375% 15sep2021, USD   USD 15/09/2021 21/02/2020 **.*** *.** 21/02/2020 ***.*** *.**
BOC Aviation, 2.625% 17jan2025, USD   USD 17/01/2025 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
BOC Aviation, 2.75% 18sep2022, USD   USD 18/09/2022 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
BOC Aviation, 3% 11sep2029, USD   USD 11/09/2029 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
BOC Aviation, 3% 23may2022, USD   USD 23/05/2022 21/02/2020 ***.** *.** 21/02/2020 ***.** *.**
BOC Aviation, 3% 30mar2020, USD   USD 30/03/2020 21/02/2020 ***.** *.** 21/02/2020 ***.** *.**
BOC Aviation, 3.15% 11jul2029, AUD   AUD 11/07/2029 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.*
BOC Aviation, 3.5% 10oct2024, USD   USD 10/10/2024 21/02/2020 ***.*** *.** 21/02/2020 ***.** *.*
BOC Aviation, 3.5% 18sep2027, USD   USD 18/09/2027 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
BOC Aviation, 3.5% 31jan2023, USD   USD 31/01/2023 21/02/2020 ***.** *.* 21/02/2020 ***.** *.**
BOC Aviation, 3.875% 27apr2026, USD   USD 27/04/2026 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
BOC Aviation, 3.93% 11may2025, SGD   SGD 11/05/2025 21/02/2020 ***.**** *.** 21/02/2020 ***.*** *.**
BOC Aviation, 4% 25jan2024, USD   USD 25/01/2024 21/02/2020 ***.*** *.** 21/02/2020 ***.** *.**
BOC Aviation, 4.3% 6feb2023, USD   USD 06/02/2023 21/02/2020 ***.**** *.** 21/02/2020 ***.**** *.**
BOC Aviation, 4.375% 2may2023, USD   USD 02/05/2023 21/02/2020 ***.** *.** 21/02/2020 ***.** *.**
BOC Aviation, 4.5% 17oct2020, CNY   CNY 17/10/2020 21/02/2020 ***.** *.** 21/02/2020 ***.** *.**
BOC Aviation, 5.375% 3mar2021, AUD   AUD 03/03/2021 21/02/2020 ***.** *.** 21/02/2020 ***.** *.**
BOC Aviation, FRN 2may2021, USD   USD 02/05/2021 21/02/2020 ***.** * 21/02/2020 ***.** *
Bright Food Singapore Holdings, 1.125% 18jul2020, EUR   EUR 18/07/2020 21/02/2020 ***.*** *.** 21/02/2020 ***.** *.**
Capitaland, 1.85% 19jun2020, SGD (Conv.)   SGD 19/06/2020 21/02/2020 **.*** *.** 21/02/2020 ***.*** *.**
Capitaland, 1.95% 17oct2023, SGD (Conv.)   SGD 17/10/2023 21/02/2020 ***.** *.** 21/02/2020 ***.**** *.**
Capitaland, 2.8% 8jun2025, SGD (Conv.)   SGD 08/06/2025 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
Capitaland, 2.95% 20jun2022, SGD (Conv.)   SGD 20/06/2022 21/02/2020 ***.**** *.** 21/02/2020 ***.**** *.**
Capitaland, 3.15% 18dec2020, SGD   SGD 18/12/2020 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
Capitaland, 4.076% 20sep2022, USD   USD 20/09/2022 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.*
CapitaLand Mall Trust, 2.77% 5feb2027, HKD   HKD 05/02/2027 21/02/2020 ***.**** *.* 21/02/2020 ***.**** *.**
CapitaLand Mall Trust, 3.25% 12may2025, HKD   HKD 12/05/2025 21/02/2020 ***.** *.** 21/02/2020 ***.**** *.**
CapitaLand Mall Trust, 3.609% 4apr2029, USD   USD 04/04/2029 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
China Construction Bank (Singapore), 2.08% 26oct2020, SGD   SGD 26/10/2020 21/02/2020 **.*** *.** 21/02/2020 ***.*** *.**
China Construction Bank (Singapore), 2.643% 21sep2020, SGD   SGD 21/09/2020 21/02/2020 ***.*** *.* 21/02/2020 ***.*** *.**
Clifford Capital, 1.733% 10sep2024, USD   USD 10/09/2024 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
DBS Bank, 0.375% 21nov2024, EUR   EUR 21/11/2024 21/02/2020 ***.*** -*.** 21/02/2020 ***.*** -*.**
DBS Bank, 0.375% 23jan2024, EUR   EUR 23/01/2024 21/02/2020 ***.** -*.** 21/02/2020 ***.** -*.**
DBS Bank, 3.3% 27nov2021, USD   USD 27/11/2021 21/02/2020 ***.** *.** 21/02/2020 ***.* *.**
DBS Bank, FRN 4sep2020, AUD   AUD 04/09/2020 21/02/2020 ***.**** * 21/02/2020 ***.**** *
DBS Group Holdings Ltd, 1.5% 11apr2028, EUR   EUR 11/04/2028 21/02/2020 ***.*** * 21/02/2020 ***.** *
DBS Group Holdings Ltd, 2.85% 16apr2022, USD   USD 16/04/2022 21/02/2020 ***.*** *.** 21/02/2020 ***.**** *.**
DBS Group Holdings Ltd, 3.6% perp., USD   USD 21/02/2020 ***.** * 21/02/2020 ***.** *
DBS Group Holdings Ltd, 4.52% 11dec2028, USD   USD 11/12/2028 21/02/2020 ***.* * 21/02/2020 ***.** *
DBS Group Holdings Ltd, FRN 16mar2028, AUD   AUD 16/03/2028 21/02/2020 ***.** * 21/02/2020 ***.** *
DBS Group Holdings Ltd, FRN 25jul2022, USD   USD 25/07/2022 21/02/2020 ***.** * 21/02/2020 ***.** *
Fullerton Healthcare, 7% perp., USD   USD 21/02/2020 **.** * 21/02/2020 **.*** *
GEAR (Golden energy and resources), 9% 14feb2023, USD   USD 14/02/2023 21/02/2020 **.*** **.** 21/02/2020 **.** **.**
Geo Coal International, 8% 4oct2022, USD   USD 04/10/2022 21/02/2020 **.* **.** 21/02/2020 **.*** **.**
Golden Legacy, 6.875% 27mar2024, USD   USD 27/03/2024 21/02/2020 *** *.** 21/02/2020 ***.*** *.**
Jubilant Pharma, 4.875% 6oct2021, USD   USD 06/10/2021 21/02/2020 ***.*** *.** 21/02/2020 ***.** *.**
Jubilant Pharma, 6% 5mar2024, USD   USD 05/03/2024 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
Keppel Land, FRN 6apr2020, USD   USD 06/04/2020 21/02/2020 **.**** *.** 21/02/2020 ***.**** *.**
LLPL Capital, 6.875% 4feb2039, USD   USD 04/02/2039 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
Marble II Pte., 5.3% 20jun2022, USD   USD 20/06/2022 21/02/2020 ***.** *.** 21/02/2020 ***.*** *.**
Mulhacen, FRN 1aug2023, EUR   EUR 01/08/2023 21/02/2020 **.*** * 21/02/2020 ** *
Nomura International Funding, 0% 20sep2047, USD (10957D)   USD 20/09/2047 21/02/2020 ***.**** *.** 21/02/2020 ***.**** *.**
OCBC, 0.25% 21mar2022, EUR   EUR 21/03/2022 21/02/2020 ***.** -*.** 21/02/2020 ***.** -*.**
OCBC, 0.25% 5oct2022, EUR   EUR 05/10/2022 21/02/2020 ***.** -*.** 21/02/2020 ***.** -*.*
OCBC, 0.375% 1mar2023, EUR   EUR 01/03/2023 21/02/2020 ***.** -*.** 21/02/2020 ***.** -*.**
OCBC, 0.625% 18apr2025, EUR   EUR 18/04/2025 21/02/2020 ***.** -*.** 21/02/2020 ***.** -*.**
OCBC, 4.25% 19jun2024, USD   USD 19/06/2024 21/02/2020 ***.*** *.** 21/02/2020 ***.** *.**
OCBC Bank (Sydney Branch), FRN 17mar2020, AUD   AUD 17/03/2020 21/02/2020 ***.**** * 21/02/2020 ***.**** *
Olam International, 3.65% 1sep2022, USD   USD 01/09/2022 21/02/2020 **.*** *.** 21/02/2020 **.*** *.*
Olam International, 4.375% 9jan2023, USD   USD 09/01/2023 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
Olam International, 4.5% 12apr2021, USD   USD 12/04/2021 21/02/2020 ***.** *.** 21/02/2020 ***.*** *.**
Olam International, 5.35% perp., USD   USD 21/02/2020 ***.** * 21/02/2020 ***.** *
Olam International, 7.50% 12aug2020, USD   USD 12/08/2020 21/02/2020 ***.** *.** 21/02/2020 ***.*** *.**
OUE, 1.5% 13apr2023, SGD (Conv.)   SGD 13/04/2023 21/02/2020 **.*** *.** 21/02/2020 **.*** *.**
Oxley Holdings, 6.375% 21apr2021, USD   USD 21/04/2021 21/02/2020 **.*** *.** 21/02/2020 **.*** *.**
Parkway Pantai, 4.25% perp., USD   USD 21/02/2020 ***.*** * 21/02/2020 ***.** *
PSA International, 2.125% 5sep2029, USD   USD 05/09/2029 21/02/2020 **.** *.** 21/02/2020 ***.*** *.**
PSA International, 2.5% 12apr2026, USD   USD 12/04/2026 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
PSA International, 3.875% 11feb2021, USD   USD 11/02/2021 21/02/2020 ***.** *.** 21/02/2020 ***.** *.**
Puma Energy Holdings, 4.5% 14may2024, EUR   EUR 14/05/2024 21/02/2020 **.**** * 21/02/2020 **.**** *
Puma Energy Holdings, 5% 24jan2026, USD   USD 24/01/2026 21/02/2020 **.** *.** 21/02/2020 **.** *.**
Puma Energy Holdings, 5.125% 6oct2024, USD   USD 06/10/2024 21/02/2020 **.** *.** 21/02/2020 **.** *.**
SingTel, 2.375% 28aug2029, USD   USD 28/08/2029 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
SingTel, 2.375% 3oct2026, USD   USD 03/10/2026 21/02/2020 ***.*** *.** 21/02/2020 ***.**** *.**
SingTel, 3.25% 30jun2025, USD   USD 30/06/2025 21/02/2020 ***.**** * 21/02/2020 ***.*** *.**
SingTel, 3.50% 15sep2020, EUR   EUR 15/09/2020 21/02/2020 ***.* *.** 21/02/2020 ***.** -*.**
SingTel, 3.875% 28aug2028, USD   USD 28/08/2028 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
SingTel, 4.5% 8sep2021, USD   USD 08/09/2021 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
SingTel, 7.375% 1dec2031, USD   USD 01/12/2031 21/02/2020 ***.*** *.** 21/02/2020 ***.** *.**
Sinochem International Development, 3.125% 25jul2022, USD   USD 25/07/2022 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
SP Powerassets, 2.7% 14sep2022, USD   USD 14/09/2022 21/02/2020 ***.** *.** 21/02/2020 ***.**** *.**
SP Powerassets, 3% 26sep2027, USD   USD 26/09/2027 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
SP Powerassets, 3.25% 24nov2025, USD   USD 24/11/2025 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
Suntec Real Estate Investment Trust, 1.75% 30nov2024, SGD (Conv.)   SGD 30/11/2024 21/02/2020 **.*** *.** 21/02/2020 **.*** *.**
Suntec Real Estate Investment Trust, 1.75% 5sep2021, SGD (Conv.)   SGD 05/09/2021 21/02/2020 **.*** *.** 21/02/2020 **.*** *.**
TBG GLOBAL PTE LTD, 5.25% 10feb2022, USD   USD 10/02/2022 21/02/2020 ***.** *.** 21/02/2020 ***.** *.**
Temasek Holdings, 0.5% 1mar2022, EUR   EUR 01/03/2022 21/02/2020 ***.*** -*.** 21/02/2020 ***.** -*.**
Temasek Holdings, 0.5% 20nov2031, EUR   EUR 20/11/2031 21/02/2020 ***.** *.** 21/02/2020 ***.** *.**
Temasek Holdings, 1.25% 20nov2049, EUR   EUR 20/11/2049 21/02/2020 ***.** *.** 21/02/2020 ***.** *.**
Temasek Holdings, 1.5% 1mar2028, EUR   EUR 01/03/2028 21/02/2020 ***.*** -*.** 21/02/2020 ***.** -*.**
Temasek Holdings, 2.375% 23jan2023, USD   USD 23/01/2023 21/02/2020 ***.*** *.** 21/02/2020 ***.**** *.**
Temasek Holdings, 3.375% 23jul2042, USD   USD 23/07/2042 21/02/2020 ***.*** *.* 21/02/2020 ***.** *.**
Temasek Holdings, 3.625% 1aug2028, USD   USD 01/08/2028 21/02/2020 ***.** *.** 21/02/2020 ***.*** *.**
Temasek Holdings, 4.625% 26jul2022, GBP   GBP 26/07/2022 21/02/2020 ***.** *.** 21/02/2020 ***.** *.**
Temasek Holdings, 5.125% 26jul2040, GBP   GBP 26/07/2040 21/02/2020 ***.** *.** 21/02/2020 ***.** *.**
Temasek Holdings, 5.375% 23nov2039, USD   USD 23/11/2039 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
TML Holdings Pte LTD, 5.75% 7may2021, USD   USD 07/05/2021 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
Trafigura Group, 6.875% perp., USD   USD 21/02/2020 **.*** * 21/02/2020 **.** *
Trafigura Group, 7.5% perp., EUR   EUR 21/02/2020 **.** * 21/02/2020 ***.** *
United Overseas Bank, 0.125% 2mar2022, EUR   EUR 02/03/2022 21/02/2020 ***.*** -*.** 21/02/2020 ***.*** -*.**
United Overseas Bank, 0.25% 11sep2023, EUR (ABS)   EUR 11/09/2023 21/02/2020 ***.** -*.** 21/02/2020 ***.** -*.**
United Overseas Bank, 0.25% 9mar2021, EUR   EUR 09/03/2021 21/02/2020 ***.*** -*.* 21/02/2020 ***.*** -*.**
United Overseas Bank, 0.5% 16jan2025, EUR   EUR 16/01/2025 21/02/2020 ***.*** -*.** 21/02/2020 ***.** -*.**
United Overseas Bank, 2.125% 2mar2020, USD   USD 02/03/2020 21/02/2020 *** *.** 21/02/2020 ***.** *.*
United Overseas Bank, 2.5% 18mar2020, USD   USD 18/03/2020 21/02/2020 **.** *.** 21/02/2020 ***.*** -*.*
United Overseas Bank, 2.88% 8mar2027, USD   USD 08/03/2027 21/02/2020 ***.*** * 21/02/2020 ***.*** *
United Overseas Bank, 3.2% 23apr2021, USD   USD 23/04/2021 21/02/2020 ***.*** *.** 21/02/2020 ***.** *.**
United Overseas Bank, 3.5% 16sep2026, USD   USD 16/09/2026 21/02/2020 ***.*** * 21/02/2020 ***.*** *
United Overseas Bank, 3.75% 15apr2029, USD   USD 15/04/2029 21/02/2020 ***.*** * 21/02/2020 ***.*** *
United Overseas Bank, 3.875% perp., USD   USD 21/02/2020 ***.*** * 21/02/2020 ***.** *
United Overseas Bank, FRN 23apr2021, USD   USD 23/04/2021 21/02/2020 ***.*** * 21/02/2020 ***.*** *
United Overseas Bank, FRN 28feb2023, GBP   GBP 28/02/2023 21/02/2020 **.*** * 21/02/2020 **.*** *
Wing Tai Holdings, 4.25% 29nov2022, SGD   SGD 29/11/2022 21/02/2020 ***.*** *.** 21/02/2020 ***.*** *.**
*
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minimizzaespandi
CBONDS È UNA PIATTAFORMA DI DATI OBBLIGAZIONARI GLOBALE
  • Cbonds è una piattaforma di ricerca e analisi del mercato obbligazionario internazionale
  • La copertura è di oltre 170 paesi e 250.000 emissioni.
  • I dati si possono ricevere attraverso il sito web, l’excel add-in, API e la Mobile App di Cbonds
  • Strumenti analitici: Ricerca obbligazionaria multi-parametro, Watch list, Curve di rendimento e molte altre
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