Notizie sul mercato

Tutte le notizie

Curva di rendimento

Bond Maps

Nuove aste di obbligazioni governative

Tutte le aste
Emissione Importo, milioni Rendimento, % Data dell' asta Scadenza
Moldova, 0% 07dec2017, MDL ** MDL *,** 06/12/2018 07/12/2017
NB of Belarus, 0% 10may2017, BYN (31, 7D) *** BYN *,**** 03/07/2017 10/05/2017
Romania, GB 1.25 26feb2021 *** EUR *,** 27/06/2017 26/02/2021
Croatia, TB 28jun2018 12m *** HRK *,** 27/06/2017 28/06/2018
Moldova, 0% 28sep2017, MDL ** MDL *,** 27/06/2017 28/09/2017
Moldova, 0% 28dec2017, MDL ** MDL *,** 27/06/2017 28/12/2017
Moldova, 0% 28jun2018, MDL ** MDL *,** 27/06/2017 28/06/2018
Switzerland, Bills 28sep2017 3m *** CHF -*,*** 27/06/2017 28/09/2017
Macedonia, GB 3.8 29jun2032 *** MKD *,* 27/06/2017 29/06/2032
Hungary, IBTB 2 27jun2018 12m **.*** HUF * 26/06/2017 27/06/2018

Rendimento delle obbligazioni governative a 10 anni

Nuove emissioni obbligazionarie

Tutte le emissioni
Emissione Importo, milioni Termine del collocamento Scadenza
USA, 30jun2024 7Y 28.000 28/06/2017 30/06/2024
GETIN NOBLE BANK, FRN 28jun2024, PLN (PP6-VIII) 40 28/06/2017 28/06/2024
Swire Pacific, 3% 4jul2024, USD 300 27/06/2017 04/07/2024
Bex Intercorporation, FRN 29jun2020, USD 8 27/06/2017 29/06/2020
Shandong Ruyi Technology Group, 6.95% 5jul2022, USD 200 27/06/2017 05/07/2022
Macedonia, GB 3.8 29jun2032 900 27/06/2017 29/06/2032
USA, 30jun2022 5Y 34.000 27/06/2017 30/06/2022
Switzerland, Bills 28sep2017 3m 473 27/06/2017 28/09/2017
Moldova, 0% 28jun2018, MDL 61 27/06/2017 28/06/2018
Moldova, 0% 28dec2017, MDL 52 27/06/2017 28/12/2017
Emissione Importo, milioni Termine del collocamento Scadenza
USA, 30jun2024 7Y 28.000 28/06/2017 30/06/2024
GETIN NOBLE BANK, FRN 28jun2024, PLN (PP6-VIII) 40 28/06/2017 28/06/2024
Swire Pacific, 3% 4jul2024, USD 300 27/06/2017 04/07/2024
Bex Intercorporation, FRN 29jun2020, USD 8 27/06/2017 29/06/2020
Shandong Ruyi Technology Group, 6.95% 5jul2022, USD 200 27/06/2017 05/07/2022
Macedonia, GB 3.8 29jun2032 900 27/06/2017 29/06/2032
USA, 30jun2022 5Y 34.000 27/06/2017 30/06/2022
Switzerland, Bills 28sep2017 3m 473 27/06/2017 28/09/2017
Moldova, 0% 28jun2018, MDL 61 27/06/2017 28/06/2018
Moldova, 0% 28dec2017, MDL 52 27/06/2017 28/12/2017

Bookrunner League Tables

Generator
#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1Citigroup37 9409,15134194
2HSBC36 1978,73143224
3JP Morgan32 5087,84127180
4Deutsche Bank20 7895,0168113
5Standard Chartered Bank18 9834,58101154
6Bank of America Merrill Lynch14 5013,506992
7BNP Paribas13 6093,285478
8Morgan Stanley11 1292,684971
9Goldman Sachs10 5902,554271
10Barclays9 9382,404161
#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1Citigroup37 9409,15134194
2HSBC36 1978,73143224
3JP Morgan32 5087,84127180
4Deutsche Bank20 7895,0168113
5Standard Chartered Bank18 9834,58101154
6Bank of America Merrill Lynch14 5013,506992
7BNP Paribas13 6093,285478
8Morgan Stanley11 1292,684971
9Goldman Sachs10 5902,554271
10Barclays9 9382,404161

Calendario obbligazionario

Calendario
Nome Importo, millioni Data Tipo
Belgium, OLO 3.5 28jun2017 63 13.234 EUR 28/06/2017 Scadenza
Ukraine, 156863 UAH 28jun2017 2.000 UAH 28/06/2017 Scadenza
Costa Rica, 9.89 28jun2017 200.000 CRC 28/06/2017 Scadenza
Serbia, TB 28jun2017 12m 75 EUR 28/06/2017 Scadenza
Germany, Bubill 28jun2017 12m 1.500 EUR 28/06/2017 Scadenza
Hungary, IBTB 2.25 28jun2017 12m 52.724 HUF 28/06/2017 Scadenza
Kuwait, 1.25 28jun2017 100 KWD 28/06/2017 Scadenza
Hungary, TSBP 2.25 28jun2017 2.685 HUF 28/06/2017 Scadenza
Hungary, IBTB 2 28jun2017 6m 18.681 HUF 28/06/2017 Scadenza
Hungary, TB 28jun2017 3m 11.999 HUF 28/06/2017 Scadenza
Nome Importo, millioni Data Tipo
Belgium, OLO 3.5 28jun2017 63 13.234 EUR 28/06/2017 Scadenza
Ukraine, 156863 UAH 28jun2017 2.000 UAH 28/06/2017 Scadenza
Costa Rica, 9.89 28jun2017 200.000 CRC 28/06/2017 Scadenza
Serbia, TB 28jun2017 12m 75 EUR 28/06/2017 Scadenza
Germany, Bubill 28jun2017 12m 1.500 EUR 28/06/2017 Scadenza
Hungary, IBTB 2.25 28jun2017 12m 52.724 HUF 28/06/2017 Scadenza
Kuwait, 1.25 28jun2017 100 KWD 28/06/2017 Scadenza
Hungary, TSBP 2.25 28jun2017 2.685 HUF 28/06/2017 Scadenza
Hungary, IBTB 2 28jun2017 6m 18.681 HUF 28/06/2017 Scadenza
Hungary, TB 28jun2017 3m 11.999 HUF 28/06/2017 Scadenza

Bond screening

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