Nuove_emissioni, collocamenti Nuove Emissioni

New bond issue: AIH sells USD 115m in 2020 bonds with 11% coupon
November 08, 2013 - Cbonds

AIH (Peru) on November 5, 2013 placed USD 115m in bonds with a 11% coupon, maturing in 2020. The bond was priced at 100%. Bank of America Merrill Lynch, Goldman Sachs arranged the deal.
Share:

inShare
Issuer, issue number AIH, 2020
Type of debt instrument International bonds
Issue status outstanding
Type of placement Public
Par, currency of issue USD 10,000
Amount 115,000,000
ISIN USP0323NAC67
End of placement 11/05/2013
Issue price 100
Coupon 11%
Coupon frequency 2 time(s) per year
Start of coupon calculation 11/13/2013
Maturity date 11/13/2020
Issue Managers Bank of America Merrill Lynch, Goldman Sachs
 
New bond issue: Cobre del Mayo sells USD 225m in 2018 bonds with 10,75% coupon
November 08, 2013 - Cbonds

Cobre del Mayo (Mexico) on November 7, 2013 placed USD 225m in bonds with a 10,75% coupon, maturing in 2018. The bond was priced at 99,058% to yield 11%. BCP Securities, Jefferies, Nomura International arranged the deal.
Share:

inShare
Issuer, issue number Cobre del Mayo, 2018
Type of debt instrument International bonds
Issue status outstanding
Type of placement Public
Par, currency of issue USD 5,000
Amount 225,000,000
ISIN USP28628AA61
End of placement 11/07/2013
Issue price 99.058
Yield at Pricing 11
Coupon 10,75%
Coupon frequency 2 time(s) per year
Start of coupon calculation 11/15/2013
Maturity date 11/15/2018
Issue Managers BCP Securities, Jefferies, Nomura International
 
New bond issue: San Miguel Industrias sells USD 200m in 2020 bonds with 7.75% coupon
November 01, 2013 - Cbonds

San Miguel Industrias (Peru) on October 30, 2013 placed USD 200m in bonds with a 7.75% coupon, maturing in 2020. The bond was priced at 100%. Bank of America Merrill Lynch, Citigroup arranged the deal.
Share:

inShare
Issuer, issue number San Miguel Industrias, 2020
Type of debt instrument International bonds
Issue status outstanding
Type of placement Public
Par, currency of issue USD 10,000
Amount 200,000,000
ISIN USP84523AA03
End of placement 10/30/2013
Issue price 100
Yield at Pricing 7.75
Coupon 7.75%
Coupon frequency 2 time(s) per year
Start of coupon calculation 11/06/2013
Maturity date 11/06/2020
Issue Managers Bank of America Merrill Lynch, Citigroup
 
New bond issue: Cobre del Mayo sells USD 225m in 2018 bonds with 10,75% coupon
November 08, 2013 - Cbonds

Cobre del Mayo (Mexico) on November 7, 2013 placed USD 225m in bonds with a 10,75% coupon, maturing in 2018. The bond was priced at 99,058% to yield 11%. BCP Securities, Jefferies, Nomura International arranged the deal.
Share:

inShare
Issuer, issue number Cobre del Mayo, 2018
Type of debt instrument International bonds
Issue status outstanding
Type of placement Public
Par, currency of issue USD 5,000
Amount 225,000,000
ISIN USP28628AA61
End of placement 11/07/2013
Issue price 99.058
Yield at Pricing 11
Coupon 10,75%
Coupon frequency 2 time(s) per year
Start of coupon calculation 11/15/2013
Maturity date 11/15/2018
Issue Managers BCP Securities, Jefferies, Nomura International

purtroppo taglio minimo 50k
si può acquistare a 97.20, YTM 11.53%, non e molto liquida
 

Allegati

  • COBRE DEL MAYO.jpg
    COBRE DEL MAYO.jpg
    88,5 KB · Visite: 589
Ultima modifica:
avete sentito che in Cina è allo studio una legge per abolire il limite di un figlio a famiglia??

se cio' avvenisse, non sarebbe un bell'overboost per la ripresa economica mondiale??
compriamo bond di puericultura???
 
[
Citazione:
Originalmente inviato da gionmorg
New bond issue: Cobre del Mayo sells USD 225m in 2018 bonds with 10,75% coupon
November 08, 2013 - Cbonds

Cobre del Mayo (Mexico) on November 7, 2013 placed USD 225m in bonds with a 10,75% coupon, maturing in 2018. The bond was priced at 99,058% to yield 11%. BCP Securities, Jefferies, Nomura International arranged the deal.
Share:

inShare
Issuer, issue number Cobre del Mayo, 2018
Type of debt instrument International bonds
Issue status outstanding
Type of placement Public
Par, currency of issue USD 5,000
Amount 225,000,000
ISIN USP28628AA61
End of placement 11/07/2013
Issue price 99.058
Yield at Pricing 11
Coupon 10,75%
Coupon frequency 2 time(s) per year
Start of coupon calculation 11/15/2013
Maturity date 11/15/2018
Issue Managers BCP Securities, Jefferies, Nomura International


purtroppo taglio minimo 50k
si può acquistare a 97.20, YTM 11.53%, non e molto liquida

Ciao, se puoi esseremi di aiuto, ho sempre il solito enigma da risolvere, ovvero si può acquistare ???', ma dove e con chi??? ringraziando ti saluto.
 

Users who are viewing this thread

Back
Alto