Most recent/Bond comments/Ad
Most recent/Bond comments/Ad
Most recent
◆ Insurance companies anchor long dated green tranche with near-4% yield ◆ Curve extension debated ◆ Deal comes amid widening secondary spreads but lands with negligible premium
◆ 52bp reoffer equals Nordea’s multi-year record ◆ ‘Insane’ levels show FIG spread compression, rival banker said ◆ Buy-and-hold investors prioritised
Favourable market conditions have made raising debt like 'fishing with dynamite' for bank issuers. But concerns are mounting about volatility ahead
◆ Second ever bond for the issuer ◆ Deal marketed to both SSA and credit investors ◆ Offers potential for tightening on the back of southern European convergence trade
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◆ Alternative asset manager attracts its largest book since at least 2020 ◆ Part of this demand stems from higher spread to peers ◆ This was the result of IR work, says lead manager
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◆ Defensive short dated deal is first senior bank euro offering in more than a week ◆ Issuers balances size and price ◆ Pays single digit new issue premium
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More strategic deals lower down in the capital stack may be delayed for a 'market that's not tasting blood'
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Canadian banks cross the border and UOB makes rare return to the US before tariffs imposition
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Successful corporates and FIG bonds belie move to ‘higher volatility regime'
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◆ BlackRock first visit in a decade ◆ Value against US curve debated ◆ AMCO rare foray