Notizie sul mercato

Nuove aste di obbligazioni governative

Emissione Importo, milioni Rendimento, % Data dell' asta Scadenza
Georgia, Bills 13oct2016 364d ** GEL **,*** 12/11/2016 13/10/2016
South Africa, 8.75 28feb2048 *** ZAR *,*** 23/08/2016 28/02/2048
South Africa, 6.25 31mar2036 *** ZAR *,*** 23/08/2016 31/03/2036
South Africa, 8.75 31jan2044 *** ZAR *,*** 23/08/2016 31/01/2044
Australia, TIB 1.25r 21feb2022 *** AUD *,**** 23/08/2016 21/02/2022
Japan, JGB 0.2 20jun2036 *.***.*** JPY *,*** 23/08/2016 20/06/2036
Hungary, IBTB 2.25 23aug2017 12m **.*** HUF *,** 22/08/2016 23/08/2017
Hungary, IBTB 2 22feb2017 **.*** HUF * 22/08/2016 22/02/2017
Egypt, Treasury Bond 15.9 21may2020 *.*** EGP **,*** 22/08/2016 21/05/2020
Egypt, Treasury Bond 17.2 9aug2023 *.*** EGP **,*** 22/08/2016 09/08/2023

Nuove emissioni obbligazionarie

Emissione Importo, milioni Termine del collocamento Scadenza
Rwanda, 20aug2021 15.000 24/08/2016 20/08/2021
USA, Note 31aug2021 5Y 34.000 24/08/2016 31/08/2021
Federal Farm Credit Banks, 1.320% 24aug2020, USD 250 24/08/2016 24/08/2020
Federal Farm Credit Banks, 0.850% 24aug2018, USD 150 24/08/2016 24/08/2018
Bosnia and Herzegovina, TB 23nov2016 3m 20 23/08/2016 23/11/2016
USA, Note 31aug2018 2Y 26.000 23/08/2016 31/08/2018
Federal Farm Credit Banks, 1.830% 23aug2023, USD 35 23/08/2016 23/08/2023
Federal Farm Credit Banks, FRN 23feb2018, USD 50 23/08/2016 23/02/2018
Federal Farm Credit Banks, FRN 23oct2017, USD 50 23/08/2016 23/10/2017
Federal Farm Credit Banks, FRN 23apr2018, USD 50 23/08/2016 23/04/2018

Calendario obbligazionario

Nome Importo, millioni Data Tipo
Lithuania, 821902 2 EUR 24/08/2016 Opzione di put/call
Poland, IZ0816 3.689 PLN 24/08/2016 Scadenza
Ukraine, 119945 UAH 24aug2016 1.750 UAH 24/08/2016 Scadenza
Belarus, VGDO 106, USD 40 USD 24/08/2016 Scadenza
Hungary, IBTB 2.75 24aug2016 12m 21.612 HUF 24/08/2016 Scadenza
Romania, TB 24aug2016 300 RON 24/08/2016 Scadenza
Hungary, TSBP 2.75 24aug2016 1.957 HUF 24/08/2016 Scadenza
Costa Rica, 0 24aug2016 150 USD 24/08/2016 Scadenza
Hungary, IBTB 2.25 24aug2016 6m 10.451 HUF 24/08/2016 Scadenza
Kuwait, 1 24aug2016 50 KWD 24/08/2016 Scadenza

Curva di rendimento

Rendimento delle obbligazioni governative a 10 anni

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1Citigroup29 9438,76103161
2JP Morgan29 6288,6688135
3HSBC28 8268,43125198
4Bank of America Merrill Lynch25 6237,4971118
5Deutsche Bank16 5194,835478
6Barclays11 9323,494270
7BNP Paribas11 2223,284065
8Credit Suisse10 9653,214167
9Standard Chartered Bank9 4602,775880
10Goldman Sachs8 5752,512751
EM
CIS
DM

Bond screening

Paese: Seleziona

  • Selected: 156 from 156
  • Seleziona tuttoCancella tutto






























































































































































    Valuta: Seleziona

  • Selected: 106 from 106
  • Seleziona tuttoCancella tutto










































































































    Issuer rating:
    Moody’s
    S&P
    Fitch
    min 1
    min 2
    NR
    From:C
    To:AAA

    Effective yield (by Indicative Price), %:

    Duration, years: