Notizie sugli Eurobond degli emergenti

Nuove emissioni di Eurobond emergenti

Emissione Importo, milioni Termine del collocamento Scadenza
Teva Pharmaceutical Industries, 1% 28jul2025, CHF 350 CHF 21/07/2016 28/07/2025
Teva Pharmaceutical Industries, 0.5% 28jul2022, CHF 350 CHF 21/07/2016 28/07/2022
Teva Pharmaceutical Industries, 0.125% 27jul2018, CHF 300 CHF 21/07/2016 27/07/2018
Brazil, 5.625% 21feb2047, USD 1.500 USD 21/07/2016 21/02/2047
Greenland Hong Kong Holdings, 3.875% 28jul2019, USD 450 USD 21/07/2016 28/07/2019
Arab Petroleum Investments Corporation (APICORP), 3.5% 16aug2019, SAR 250 SAR 21/07/2016 16/08/2019
China Railway Group, 3.25% 28jul2026, USD 500 USD 21/07/2016 28/07/2026
Chongqing Wansheng Eco Tech District Investment Group Co. Ltd., 4.3% 28jul2018, USD 70 USD 21/07/2016 28/07/2018
Teva Pharmaceutical Industries, 1.125% 15oct2024, EUR 1.500 EUR 20/07/2016 15/10/2024
Teva Pharmaceutical Industries, 1.625% 15oct2028, EUR 750 EUR 20/07/2016 15/10/2028

Curva di rendimento

Bookrunner League Tables

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1JP Morgan26 6149,4978114
2HSBC24 5568,76108167
3Citigroup24 0408,5887132
4Bank of America Merrill Lynch20 5077,315990
5Deutsche Bank13 8414,944467
6Barclays8 9653,203650
7BNP Paribas8 4633,023650
8Goldman Sachs7 4322,652447
9Banco Santander7 3972,641324
10Standard Chartered Bank7 3692,634564
EM
CIS

Nuove obbligazioni dei paesi sviluppati

Emissione Importo, milioni Termine del collocamento Scadenza
WMG Acquisition, 5% 1aug2023, USD 300 USD 21/07/2016 01/08/2023
Discover Bank of Greenwood Delaware, 3.45% 27jul2026, USD 1.000 USD 21/07/2016 27/07/2026
Revlon Escrow Corp., 6.25% 1aug2024, USD 450 USD 21/07/2016 01/08/2024
Federal Home Loan Banks, 0.690% 25jul2017, USD 100 USD 21/07/2016 25/07/2017
Erste Abwicklungsanstalt, FRN 29jan2018, USD 500 USD 21/07/2016 29/01/2018
ANZ Bank New Zealand, FRN 28jul2021, USD 250 USD 21/07/2016 28/07/2021
ANZ Bank New Zealand, 2.125% 28jul2021, USD 750 USD 21/07/2016 28/07/2021
IBRD, 0% 29jul2046, USD (10957D) 30 USD 21/07/2016 29/07/2046
Standard Chartered Bank, 0% 3aug2046, USD (10957D) 50 USD 21/07/2016 03/08/2046
ANZ, 0% 4aug2046, USD (10957D) 58 USD 21/07/2016 04/08/2046
DM
USA

Rendimento delle obbligazioni governative a 10 anni