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Banks could rush to issue as fast as possible, taking advantage of remarkably tight spreads
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Growing pipeline and fiercer competition had threatened to shake the darling bonds of May
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Uncertainty in Middle East peace negotiations may reignite alarm, but investors remain willing as long as issuers pay to play
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Tweaks to trading book rules will be next stage of competition
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  • Indonesia's Bank Mandiri has sold its first sustainability bond, raising $300m after an order book that was more than 10 times subscribed at its peak.
  • Banco Davivienda is preparing what would be the first additional tier one (AT1) bond issue from Colombia’s banking sector, with the country’s second largest lender having begun investor calls on Monday ahead of a proposed perpetual non-call 10 year Basel-III compliant AT1.
  • Covered bond spreads look set to tighten further over the next few months, traders told GlobalCapital on Monday. But even so, medium term macro-economic uncertainty is curtailing risk appetite as spread potential is limited and a market-wide sell-off may follow in the medium term.
  • BPCE and Rabobank are in the market for Aussie dollar senior paper, with bankers expecting a busy April as a slew of financial issuers refinance maturing bonds.
  • DekaBank’s sub-benchmark Pfandbrief issued on Monday was more than three times subscribed and was priced through fair value, boding well for a follow-on Pfandbrief from DZ Hyp for launch on Tuesday.
  • Slovakian lender Tatra Banka is hoping to launch its debut green bond in euros this week, with deal arrangers urging rare issuers to take advantage of quieter markets in the run-up to results season.
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