Notizie sul mercato

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Curva del rendimento

Bond Maps
27/06/2017

Nuove emissioni obbligazionarie

Tutte le emissioni
Emissione Importo, milioni Termine del collocamento Scadenza
Kazakhstan National Bank, 0% 3jul2017, KZT 195.250 26/06/2017 03/07/2017
Kazakhstan National Bank, 0% 30jun2017, KZT 367.646 23/06/2017 30/06/2017
Astana, 9.2% 23jun2019, KZT 15.000 23/06/2017 23/06/2019
Kazakhstan National Bank, 0% 29jun2017, KZT 224.132 22/06/2017 29/06/2017
Kazakhstan National Bank, 0% 19jul2017, KZT 60.000 21/06/2017 19/07/2017
Kazakhstan National Bank, 0% 28jun2017, KZT 165.726 21/06/2017 28/06/2017
Kazakhstan National Bank, 0% 27jun2017, KZT 169.500 20/06/2017 27/06/2017
Mangistau DENC, 15% 14jun2018, KZT (10) 1.500 20/06/2017 14/06/2018
Kazakhstan National Bank, 0% 26jun2017, KZT 247.500 19/06/2017 26/06/2017
Kazakhstan National Bank, 0% 15sep2017, KZT 61.336 16/06/2017 15/09/2017
Emissione Importo, milioni Termine del collocamento Scadenza
Kazakhstan National Bank, 0% 3jul2017, KZT 195.250 26/06/2017 03/07/2017
Kazakhstan National Bank, 0% 30jun2017, KZT 367.646 23/06/2017 30/06/2017
Astana, 9.2% 23jun2019, KZT 15.000 23/06/2017 23/06/2019
Kazakhstan National Bank, 0% 29jun2017, KZT 224.132 22/06/2017 29/06/2017
Kazakhstan National Bank, 0% 19jul2017, KZT 60.000 21/06/2017 19/07/2017
Kazakhstan National Bank, 0% 28jun2017, KZT 165.726 21/06/2017 28/06/2017
Kazakhstan National Bank, 0% 27jun2017, KZT 169.500 20/06/2017 27/06/2017
Mangistau DENC, 15% 14jun2018, KZT (10) 1.500 20/06/2017 14/06/2018
Kazakhstan National Bank, 0% 26jun2017, KZT 247.500 19/06/2017 26/06/2017
Kazakhstan National Bank, 0% 15sep2017, KZT 61.336 16/06/2017 15/09/2017

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Ricerca e analitica

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Calendario obbligazionario

Calendario
Nome Importo, millioni Data Tipo
Kazakhstan National Bank, 0% 28jun2017, KZT 106.078 KZT 28/06/2017 Scadenza
Kazakhstan National Bank, 0% 28jun2017, KZT 165.726 KZT 28/06/2017 Scadenza
Kazakhstan National Bank, 0% 29jun2017, KZT 224.131 KZT 29/06/2017 Scadenza
Development Bank of Kazakhstan, 14% 30jun2017, KZT (07) 85.000 KZT 30/06/2017 Scadenza
Kazakhstan National Bank, 0% 30jun2017, KZT 84.230 KZT 30/06/2017 Scadenza
Kazakhstan National Bank, 0% 30jun2017, KZT 367.645 KZT 30/06/2017 Scadenza
BTA bank, 14.750% 1jul2018, KZT 32.604 KZT 01/07/2017 Sinking fund provision
BTA bank, 10.750% 1jul2018, USD 2.082 USD 01/07/2017 Sinking fund provision
BTA bank, 3.14% 1jul2021, EUR 437 EUR 01/07/2017 Sinking fund provision
BTA bank, 3.7% 1jul2021, USD 384 USD 01/07/2017 Sinking fund provision
Nome Importo, millioni Data Tipo
Kazakhstan National Bank, 0% 28jun2017, KZT 106.078 KZT 28/06/2017 Scadenza
Kazakhstan National Bank, 0% 28jun2017, KZT 165.726 KZT 28/06/2017 Scadenza
Kazakhstan National Bank, 0% 29jun2017, KZT 224.131 KZT 29/06/2017 Scadenza
Development Bank of Kazakhstan, 14% 30jun2017, KZT (07) 85.000 KZT 30/06/2017 Scadenza
Kazakhstan National Bank, 0% 30jun2017, KZT 84.230 KZT 30/06/2017 Scadenza
Kazakhstan National Bank, 0% 30jun2017, KZT 367.645 KZT 30/06/2017 Scadenza
BTA bank, 14.750% 1jul2018, KZT 32.604 KZT 01/07/2017 Sinking fund provision
BTA bank, 10.750% 1jul2018, USD 2.082 USD 01/07/2017 Sinking fund provision
BTA bank, 3.14% 1jul2021, EUR 437 EUR 01/07/2017 Sinking fund provision
BTA bank, 3.7% 1jul2021, USD 384 USD 01/07/2017 Sinking fund provision

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

Bond screening

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Issuer ratingi
Moody’s
min 1
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Fitch
NR
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To:AAA
Effective yield (by Indicative Price), % i
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