12/31/2015 | CAIGLM | Scotiabank: Holders may roll five-year rate reset preferred shares to floaters
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12/31/2015 | CVLM | Videocon pays cash, issues new notes for $194.4 million convertibles
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12/31/2015 | EMLM | Hydis Technologies redeems all KRW 81.12 billion bonds due 2017
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12/31/2015 | HYIGLM | American Airlines guarantees US Airways notes, certificates post merger
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12/31/2015 | EMLM | China’s Golden Wheel buys back RMB 33.8 million 11¼% notes due 2016
|
12/31/2015 | HYLM | Clear Leisure gets OK to extend €9.9 million 0% bonds by two years
|
12/31/2015 | LMPF | Colony Bankcorp redeems $5.15 million more perpetual TARP preferreds
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12/31/2015 | HYLM | Chesapeake to issue $13.4 million more notes in exchange for 10 series
|
12/30/2015 | HYLM | Aguila 3 calls all Swiss franc-, dollar-denominated 7 7/8% secured notes due 2018
|
12/30/2015 | CAIGLM | Barrick accepts tenders from three series under oversubscribed offer
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12/30/2015 | LMPF | Community First redeems series B, some series A perpetual preferreds
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12/30/2015 | DDHYLM | Norske Skog noteholders counter exchange offer with deleveraging plan
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12/30/2015 | CLLM | Atlas Reinsurance amends $55 million class A, $500,000 class B notes
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12/30/2015 | CVLM | Echo Global to buy back up to $50 million of 2.5% convertibles, stock
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12/30/2015 | CLLM | Castle Hill to redeem five sets of floating-rate notes due 2019
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12/30/2015 | EMLM | Malaysia’s Hong Leong Bank redeems RM 500 million 4¾% notes due 2020
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12/30/2015 | EMLM | Singapore’s Dyna-Mac gets waivers, amendments to 4¼% notes due 2017
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12/30/2015 | CVHYLM | FBD gets shareholder OK to amend 11.66% notes, add conversion terms
|
12/30/2015 | CVGNLM | SunEdison gives asset stake, shares in return for 3.75% exchangeables
|
12/30/2015 | HYLM | Atlas Resource holders give consents to amend 7¾% notes due 2021
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12/29/2015 | IGLM | AES begins tender offer for $250 million of notes from four series
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12/29/2015 | IGLMPF | Bank of America to redeem $2 billion in trust preferred securities
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12/29/2015 | EMLM | Banco Mercantil do Brasil wraps oversubscribed tender for 9 5/8% notes
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12/29/2015 | LMMU | Water Replenishment of Southern California defeases some 2011 COPs
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12/29/2015 | LMMU | East Baton Rouge Sewerage, La., calls $156.23 million 2006A-B bonds
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12/29/2015 | LMPF | AXIS Capital to redeem all outstanding 7.5% series B preferred shares
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12/29/2015 | EMLM | Kazakhstan’s Eastcomtrans buys back $14.6 million of eurobonds
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12/29/2015 | IGLM | Gamco Investors gets tenders for $75.78 million 5.875% notes due 2021
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12/29/2015 | HYLM | Atlas Resource amends consent bid for 7¾% notes due 2021
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12/28/2015 | EMLM | Vietnam’s Debt and Asset Trading buys back $191.8 million of 1% notes
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12/24/2015 | LMPF | Kayne Anderson Energy calls $10 million of series A preferred shares
|
12/24/2015 | EMLM | Powerlong calls $250 million 11¼% notes due 2018 at 105.625
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12/24/2015 | EMLM | Cognor unit buys back €6.96 million 7½% notes at 53.8 clearing price
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12/24/2015 | DDEMLM | Metinvest seeks moratorium on holder rights under three notes
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12/23/2015 | HYLM | Atlas Resource further extends consent solicitation for 7¾% notes
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12/23/2015 | HYLM | Talen Ironwood calls $41.52 million 8.857% bonds for full redemption
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12/23/2015 | LMSPSW | Barclays begins consent solicitation for select iPath commodities ETNs
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12/23/2015 | EMLM | Sea Trucks bondholders widely approve amendments to 9% callable bonds
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12/23/2015 | LMMU | North Carolina Eastern Municipal calls $15.13 million of 2008B bonds
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12/23/2015 | LMMU | New York Metropolitan Transportation defeases some 2006B, 2011A bonds
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12/23/2015 | LMMU | Las Vegas to defease $184.86 million of 2009A, 2009B city hall COPs
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12/23/2015 | CLLM | Partholon CDO I receives holder requests to redeem notes on Jan. 15
|
12/23/2015 | CAIGLM | Talisman Energy extends tender for five notes, ups cap to $2 billion
|
12/23/2015 | HYLM | XPO Logistics unit gets tenders for $159.2 million 7¼% notes due 2018
|
12/23/2015 | HYLM | Synovus tenders for $100 million 5.125% subordinated notes due 2017
|
12/22/2015 | CVLM | Atlantic Power to make normal-course issuer bid for convertibles
|
12/22/2015 | EMLM | Philippines’ Metropolitan Bank & Trust calls 9% perpetual securities
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12/22/2015 | EMLM | China’s Redco Properties gets consents needed to amend 13¾% notes
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12/22/2015 | CADDHYLM | Iona Energy bonds accelerated; holders to receive $50 million payment
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12/22/2015 | IGLM | Horace Mann Educators to redeem all $125 million 6.85% notes due 2016
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12/22/2015 | IGLMPF | Tortoise Energy Infrastructure calls mandatory redeemable preferreds
|
12/22/2015 | IGLM | Citigroup accepts $6.3 billion of tenders for several series of notes
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12/22/2015 | LMMU | Miami-Dade County, Fla., calls $38.51 million solid waste system bonds
|
12/22/2015 | HYLM | Fred. Olsen Energy repurchases NOK 156 million of bond loan
|
12/22/2015 | LMMU | South Carolina defeases $5.71 million G.O. economic development bonds
|
12/22/2015 | IGLM | Lloyds to issue $1.68 billion of 4.582% notes, 5.3% notes in exchange
|
12/22/2015 | HYIGLM | GFI Group renews bid to shift SEC filings for 8 3/8% notes, raises fee
|
12/22/2015 | EMLM | TML holders tender S$316 million of 4¼% notes due 2018 by early date
|
12/22/2015 | EMLM | Indonesia’s Indika accepts tenders for $128.57 million 7% notes at 60
|
12/22/2015 | HYLM | 3W Power, AEG Power plan tender offer for senior bonds
|
12/22/2015 | DDHYLM | Norske Skog plans new exchange offer for two notes; holders weigh in
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12/22/2015 | HYLM | Atlas Resource extends consent bid for 7¾% notes due 2021
|
12/22/2015 | HYLM | Fiat Chrysler unit redeems $3.08 billion 8¼% secured notes due 2021
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12/21/2015 | CVLM | China Precious Metal seeks consents to amend 7.25% convertibles
|
12/21/2015 | DDHYLM | Denbury begins exchange offers for three series of subordinated notes
|
12/21/2015 | CAIGLM | Scotiabank to redeem all outstanding 6.65% debentures due 2021
|
12/21/2015 | LMMUPF | Eaton Vance muni funds launch tender offers for auction preferreds
|
12/21/2015 | EMLM | India’s Rolta buys back $5.65 million 8 7/8% notes due 2019
|
12/21/2015 | CVLM | Lennar exchanges $43.3 million 2.75% convertibles for cash, stock
|
12/21/2015 | LMMU | Illinois Muni Electric calls $117.21 million 2006 power supply bonds
|
12/21/2015 | LMMU | New Jersey Economic calls $96.46 million of Gloucester Marine bonds
|
12/21/2015 | LMMU | Cleveland calls $21.14 million series 1999 Continental Airlines bonds
|
12/21/2015 | LMMU | New York City Industrial defeases $238.48 million Terminal One bonds
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12/21/2015 | LMMU | Massachusetts Health to redeem $19.29 million of series O-1 variable-rate bonds
|
12/21/2015 | EMLM | Latvia’s Acme subsidiary to run tender offer for bonds until Jan. 31
|
12/21/2015 | CVDDLM | Linc Energy looks to scrap put option, coupon under 7% convertibles
|
12/21/2015 | CAIGLM | Brookfield Renewable extends exchange offer for preference shares
|
12/21/2015 | HYLM | L-3 Communications to accept tenders for $300 million of 3.95% notes
|
12/21/2015 | HYLM | Chesapeake to issue $2.35 billion new notes in exchange for 10 series
|
12/21/2015 | CVLM | Olam accepts $269.5 million tendered 6% convertibles, extends offer
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12/21/2015 | HYLM | Kraton extends consent bid, payment for 6¾% notes, trims consent fee
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12/21/2015 | HYLM | Gala Coral unit calls £223 million 8 7/8% notes due 2018 at 104.438
|
12/21/2015 | CVDDLM | Bong asks holders to allow forced conversion under debt restructuring
|
12/18/2015 | HYLM | Sorenson begins tender offer for 13% notes, consent bid for 9% notes
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12/18/2015 | IGLM | Analog Devices redeems all $375 million of 3% notes at 100.79
|
12/18/2015 | LMMU | Geisinger Health System, Pa., redeems $65 million of 2009C bonds
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12/18/2015 | HYLM | Norwegian Energy tenders for up to NOK 235 million bonds due 2018
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12/18/2015 | HYLM | MPLX issues $4.04 billion notes in exchange offers for MarkWest notes
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12/18/2015 | LMMU | Jacksonville, Fla., calls $127.36 million 2008A transportation bonds
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12/18/2015 | LMMU | Miami-Dade County, Fla., to redeem $12.9 million solid waste bonds
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12/18/2015 | CVDDLM | 49 North exchanges 9% convertibles for common shares, preferreds, new convertibles
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12/18/2015 | DDHYLM | Halcon exchanges $112.8 million new notes for $289.6 million old notes
|
12/18/2015 | EMLM | Mexico’s Javer extends, cuts offer price in tender for $136 million 9 7/8% notes
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12/18/2015 | HYLM | L-3 Communications prices tender offer for $300 million of notes
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12/18/2015 | LMMU | University of Michigan to redeem 2002, 2012F general revenue bonds
|
12/18/2015 | EULM | Delhaize asks holders to waive put options under 3.125%, 4.25% bonds
|
12/18/2015 | IGLM | UBS gives final tally in tender offer for eight series of dollar notes
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12/18/2015 | LMMU | Miami Beach, Fla. calls $25.47 million 2005A convention village bonds
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12/18/2015 | LMMU | Illinois Finance defeases $57.56 million series 2008 KishHealth bonds
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12/18/2015 | EULM | British Telecommunications gets holder OK to amend six note series
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12/18/2015 | CAIGLM | Capital Power swaps notes due 2019, 2020 for new notes with same terms
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12/18/2015 | LMMU | California’s $127.05 million Republic Services bonds subject to tender
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12/18/2015 | IGLMPF | General Electric begins exchange offer for three series of preferreds
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12/18/2015 | CVLM | Qihoo: Going private triggers put option for three convertible series
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12/18/2015 | DDEMLM | Agroton seeks one-year reprieve from paying interest on notes due 2019
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12/18/2015 | HYLM | CGG issues $252 million term loans in exchange offer for three notes
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12/18/2015 | DDEMLM | Mexico’s Cobre del Mayo offers PIK, junior notes in exchange for 10¾% notes due 2018
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12/18/2015 | LMPF | First Potomac Realty calls 34% of 7.75% perpetual preferred shares
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12/17/2015 | EMLM | Malaysia’s AMBB Capital calls $200 million 6.77% preference shares
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12/17/2015 | HYLM | Atlas Resource gets consents to amend 9¼% notes, extends deadline for 7¾% notes
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12/17/2015 | IGLM | Gamco extends tender offer for $100 million 5.875% notes to Dec. 28
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12/17/2015 | LMMU | Memorial Group gets consents to amendments from 2013 bondholders
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12/17/2015 | IGLM | Genworth Financial plans to redeem all 8.625% senior notes due 2016
|
12/17/2015 | CVLM | Expedia’s HomeAway convertibles putable due to fundamental change
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12/17/2015 | LMMU | Miami-Dade Schools, Fla., defeases some series 2008B, 2009A COPs
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12/17/2015 | HYLM | Scotts Miracle-Gro redeems 6 5/8% notes in full at 103.313% of par
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12/17/2015 | HYLM | Quick Restaurants calls €90 million of floating-rate notes due 2019
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12/17/2015 | CVDDLM | TTS Group OK’d to extend 8% convertibles; coupon will increase to 12%
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12/17/2015 | LMMU | Suffolk County Economic, N.Y., defeases some 5% Catholic Health bonds
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12/17/2015 | EMLM | Israel’s Elbit repurchases NIS 55.99 million series H notes at 89.24
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12/17/2015 | DDEMLM | Chile’s Gildemeister begins exchange offer for 8¼% notes, 6¾% notes
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12/17/2015 | EMLM | China’s Country Garden secures consents to amend five note series
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12/17/2015 | CVLM | Pacific Basin buys back $11.85 million additional 1.75% convertibles
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12/17/2015 | CVLM | DATA Group calls 75% of 6% convertibles for stock, sets pricing terms
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12/16/2015 | HYLM | Teekay LNG, Teekay Offshore to devote cash flow to debt reduction
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12/16/2015 | EMLM | Singapore’s Otto Marine gets holder OK to amend 7% notes at meeting
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12/16/2015 | IGLM | UBS prices tender for some notes, wraps offers for 17 note series
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12/16/2015 | LMMU | Dasny defeases some 2007, 2008A and 2009A state university dorm bonds
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12/16/2015 | DDHYLM | Dolphin Group nixes notes consent solicitations following bankruptcy
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12/16/2015 | LMPF | Kayne Anderson MLP to redeem $30 million of series E preferred shares
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12/16/2015 | LMMU | Detroit calls all 2005-A senior-lien water supply system revenue bonds
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12/16/2015 | EULM | British Telecommunications seeks to amend several note series
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12/16/2015 | EMLM | Singapore’s Cordlife buys back S$47 million of 4.9% notes due 2017
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12/16/2015 | CVLM | Subsea 7 buys back $9.6 million of 1% convertibles due 2017 at 93.5
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12/16/2015 | LMMU | New York State Urban Development calls 2005A, B Empire State bonds
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12/16/2015 | HYLM | Navient purchases $351.88 million of 6% notes in Dutch auction tender
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12/16/2015 | HYLM | Overseas gets needed consents; offer oversubscribed for 8 1/8% notes
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12/16/2015 | LMMU | Metropolitan St. Louis Sewer defeases $60 million of wastewater bonds
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12/16/2015 | HYLM | Chesapeake holders tender $2.8 billion notes; exchange cap doubled
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12/16/2015 | CVDDLMPF | Goodrich Petroleum holders tender 50% of three preferreds in exchange
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12/15/2015 | EMIGLM | Kansas City Southern exchanges $2.03 billion of six series of notes
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12/15/2015 | EMLM | China’s Yanzhou accepts tenders for $115.6 million Yancoal 5.73% notes
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12/15/2015 | LMMU | Indiana Bond Bank calls $44.66 million of school severance bonds
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12/15/2015 | CAIGLM | Barrick prices tender offer for $1.15 billion of seven series of notes
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12/15/2015 | CAIGLM | Equitable Group redeems all C$20 million of 6.092% series 9 notes
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12/15/2015 | DDEMLM | Singapore’s Deep Drilling 1 gets consents to amend 12% callable bonds
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12/15/2015 | IGLMPF | XL Group unit redeems all floating rate subordinated notes due 2036
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12/15/2015 | DDHYLM | Hanger gets consents relating to 7 1/8% notes; coupon rises to 9 1/8%
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12/15/2015 | LMMU | Massachusetts School Building defeases $773.17 million of 2007A bonds
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12/15/2015 | LMMU | New Jersey Health defeases 2007 AtlantiCare Regional Medical bonds
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12/15/2015 | LMMU | Miami Beach defeases some City Center/Historic Convention bonds
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12/15/2015 | IGLM | UBS prices tender offer for several series of dollar-denominated notes
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12/15/2015 | IGLM | Associated Banc-Corp to redeem its $430 million 5.125% notes due 2016
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12/15/2015 | CVLM | Paladin Energy buys back $6 million more 6% convertibles at 91.75
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12/15/2015 | LMPF | Brookfield Office to buy back 10% of 12 preferreds under one-year bid
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12/15/2015 | EMLM | Hungary repurchases £4.01 million of 5% notes due March 30, 2016
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12/15/2015 | IGLMPF | General Electric plans exchange offer for three perpetual preferreds
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12/15/2015 | HYLM | Goodyear Dunlop to redeem 6¾% notes due 2019 at 103.375 on Jan. 14
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12/15/2015 | HYLM | Cerved calls 6 3/8% notes at 103.188, 8% notes due 2021 at 106
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12/15/2015 | HYLM | Kraton gets needed consents to amend $350 million 6¾% notes due 2019
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12/14/2015 | EMLM | Banco Mercantil do Brasil tender offer for 9 5/8% notes oversubscribed
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12/14/2015 | EMLM | China Real Estate Asset Mortgages to redeem class A floaters Dec. 17
|
12/14/2015 | CVDDLM | Anderson Energy lacks cash, seeks OK to repay convertibles in shares
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12/14/2015 | CVLM | EnerNOC repurchases $33.2 million of 2.25% convertibles at discount
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12/14/2015 | HYLM | Emeco Holdings purchases $52.3 million of its bonds due 2019
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12/14/2015 | CADDHYLM | Iona Energy seeks bondholder OK of asset disposals, transactions
|
12/14/2015 | EMLM | Latvia’s Acme gets approval for external credit institution financing
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12/14/2015 | CVDDLM | International Mining gets OK to amend 8% convertibles, extend to 2020
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12/14/2015 | LMMU | New Jersey Health Care calls 2013A, 2013B University Hospital notes
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12/14/2015 | DDHYLM | Norske Skog extends exchange offers for 11¾%, 7% notes by one month
|
12/14/2015 | EMHYLM | Evraz lifts purchase price to $550 million in tender for three notes
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12/11/2015 | LMMU | Texas Public Finance to redeem $402.4 million of unemployment bonds
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12/11/2015 | CVLM | Post to exchange common stock, cash for 3.75% convertible preferreds
|
12/11/2015 | LMMUPF | Eaton Vance funds buy back auction preferreds, issue new preferreds
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12/11/2015 | IGLM | General American Railcar calls $17.41 million of 1999-1 pass-throughs
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12/11/2015 | LMPF | Black Stone Minerals buys back 38% of preferreds for $45.2 million
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12/11/2015 | IGLM | Dentsply accepts tenders for $153.88 million of 4.125% notes due 2021
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12/11/2015 | IGLM | Italian regions price tenders for $1.24 billion, €2.53 billion notes
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12/11/2015 | CAIGLM | Bell Canada to redeem all C$700 million of 3.65%, 4.64% debentures
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12/11/2015 | CVDDLM | Lion Diversified seeks consents to cure default under 6% exchangeables
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12/11/2015 | EMLM | China Automation calls $42 million more 7¾% notes due 2016 at 101.9375
|
12/11/2015 | DDLM | Bong to refinance convertibles as part of debt restructuring plan
|
12/11/2015 | HYLM | Cambium calls $140 million 9¾% notes due 2017 using new loan proceeds
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12/11/2015 | DDHYLM | California Resources to issue $2.25 billion of notes in exchange offer
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12/11/2015 | IGLM | LyondellBasell gets consents to amend 5% notes, 6% notes, 5¾% notes
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12/10/2015 | EMLM | China’s Redco Properties begins consent solicitation for 13¾% notes
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12/10/2015 | HYLM | Atlas Resources Partners solicits consents for 7¾% notes, 9¼% notes
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12/10/2015 | LMMU | Metro Atlanta Rapid Transit defeases $106.83 million sales tax bonds
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12/10/2015 | HYLM | TiZir receives waiver of 9% bonds’ interest coverage ratio covenant
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12/10/2015 | CVLM | Rocky Mountain Liquor to begin issuer bid for 7.75% convertibles
|
12/10/2015 | LMPV | Klepierre repays all €840 million of Corio’s U.S. placement notes
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12/10/2015 | EULM | Klepierre repays all €840 million of Corio’s U.S. placement notes
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12/10/2015 | HYLM | Unitymedia calls 10% of three series of senior secured notes due 2023
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12/10/2015 | CVLM | Subsea 7 buys back $15 million more of 1% convertible bonds due 2017
|
12/10/2015 | HYLM | West Atlantic to redeem SEK 500 million 8% bonds due 2018
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12/10/2015 | LMMU | Public Finance, Ore., calls $10 million of 2014B-3 Rose Villa bonds
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12/10/2015 | IGLM | Italian regions receive tenders for $1.24 billion, €2.53 billion notes
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12/10/2015 | EMLM | Israel’s Elbit buys back NIS 54.99 million of series H notes at 89.26
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12/10/2015 | CAIGLM | CHIP Mortgage to redeem C$100 million of medium-term notes on Jan. 5
|
12/10/2015 | EMLM | Kaspi Bank buys back $43.59 million of 9 7/8% notes via Dutch auction
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12/10/2015 | EMLM | Banco do Brasil gets tenders for $39.8 million more 9¼% notes
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12/9/2015 | CVLM | China Overseas begins tender offer for $750 million 0% exchangeables
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12/9/2015 | LMPF | Tortoise Energy Capital to redeem $50 million of series C preferreds
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12/9/2015 | DDHYLM | Hanger again extends, amends consent solicitation for 7 1/8% notes
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12/9/2015 | EMLM | Sea Trucks reschedules meeting of 9% bondholders for Dec. 23
|
12/9/2015 | EMLM | Sea Trucks cancels Dec. 14 bondholders meeting, plans to reschedule
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12/9/2015 | CAIGLM | Talisman Energy gets early tenders for $1.52 billion notes, lifts cap; pricing set
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12/9/2015 | LMMU | California Educational defeases $83.1 million Claremont McKenna bonds
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12/9/2015 | LMMU | Pasadena, Calif., defeases $55.34 million series 2008 refunding COPs
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12/9/2015 | HYLM | West Atlantic plans to redeem SEK 500 million 8% bonds in near future
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12/9/2015 | LMMU | Michigan Finance to redeem $90.5 million 2012B unemployment bonds
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12/9/2015 | LMMU | Iowa Finance to redeem $46.81 million 2009B health facilities bonds
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12/9/2015 | EULM | Leverator asks to amend, extend €240 million 8.162% bonds due 2016
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12/9/2015 | CVLM | Singapore’s Olam tenders for $500 million 6% convertibles due 2016
|
12/9/2015 | CVLM | Pacific Basin Shipping buys back $37.05 million 1.75% convertibles
|
12/9/2015 | EMLM | China’s Golden Wheel buys back RMB 65 million 10.8% notes due 2017
|
12/9/2015 | HYLM | Germany’s Unitymedia calls 10% of 5½% senior secured notes due 2022
|
12/9/2015 | CAIGLM | Talisman Energy gets early tenders for $1.52 billion notes, lifts cap
|
12/9/2015 | DDEMLM | Ukrzaliznytsia seeks to amend, extend $500 million 9½% notes due 2018
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12/9/2015 | CVDDLMPF | Goodrich Petroleum extends exchange offers for three preferred series
|
12/8/2015 | IGLM | Citigroup prices tender offers, increases caps for six series of notes
|
12/8/2015 | HYLMPV | Tetra wraps oversubscribed tender for $25 million 5.09%, 5.67% notes
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12/8/2015 | EMLM | Latvia accepts $551.93 million 2¾% notes, $98.51 million 5¼% notes
|
12/8/2015 | IGLM | Citigroup tallies early tenders, ups caps under maximum tender offers
|
12/8/2015 | IGLM | Lloyds to issue $1.65 billion of 4.582% notes, 5.3% notes in exchange offer so far; pricing set
|
12/8/2015 | CLLM | St. Paul’s CLO IV to hold Jan. 7 meetings for seven classes of notes
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12/8/2015 | CVLM | Lake Shore Gold plans normal course issuer bid for 6.25% convertibles
|
12/8/2015 | EMLM | Latvia to accept tenders for $650.44 million of 2¾% notes, 5¼% notes
|
12/8/2015 | HYLM | Enterprise Inns pulls consent bids for five bond series, citing cost
|
12/8/2015 | IGLM | Lloyds tallies early tenders in exchange offer for 6.5%, 6% notes
|
12/7/2015 | BKDDHYLM | Foresight begins talks with bondholders in effort to resolve lawsuit
|
12/7/2015 | DDHYLM | Hanger amends, extends consent solicitation for 7 1/8% notes due 2018
|
12/7/2015 | HYLM | L-3 Communications tenders for $300 million of three series of notes
|
12/7/2015 | LMPF | First Potomac’s restated credit agreement allows preferreds redemption
|
12/7/2015 | HYLM | Goodyear to redeem €250 million of 6¾% notes with new notes’ proceeds
|
12/7/2015 | HYLM | EV Energy Partners repurchases $74 million senior notes at a discount
|
12/7/2015 | LMMU | California Statewide Authority defeases some Methodist Hospital bonds
|
12/7/2015 | EMLM | Biosensors offers to buy, seeks to amend S$300 million 4 7/8% notes
|
12/7/2015 | HYLM | Belk amends agreements, will redeem three note series upon Bear merger
|
12/7/2015 | CVHYLM | FBD asks to slash coupon on 11.66% 10-year notes, add conversion terms
|
12/7/2015 | EMLM | Singapore’s Dyna-Mac seeks waivers, amendments to 4¼% notes due 2017
|
12/7/2015 | LMMU | Glendale, Ariz., calls $61.15 million of 2006 water and sewer bonds
|
12/7/2015 | CVLM | Faurecia calls Oceanes due 2018, could trigger mass notes conversion
|
12/7/2015 | EMLM | ICBC tenders for $137.9 million step-up perpetuals, seeks call consent
|
12/7/2015 | HYLM | CGG gives early results of offer to swap out some notes with loans
|
12/7/2015 | EMLM | KazMunayGas wraps oversubscribed tender for $3.4 billion of six notes
|
12/7/2015 | HYLM | Solera’s Audatex reopens withdrawal rights for tendered notes in offer
|
12/4/2015 | EULM | Scottish Investment Trust buys back £21.19 million of notes due 2030
|
12/4/2015 | DDHYLM | Cecon gets votes to extend tranche B2 bonds again, this time to Jan. 1
|
12/4/2015 | DDHYLM | Western Bulk bondholders vote in favor of easing bond covenants
|
12/4/2015 | DDHYLM | Dolphin asks bondholders to vote on interest deferral, covenant waiver
|
12/4/2015 | DDHYLM | Halcon Resources receives early tenders for $287.5 million of notes
|
12/4/2015 | LMMU | Virginia College Building defeases $136.06 million of 2009A bonds
|
12/4/2015 | LMMU | North Carolina Eastern Muni Power calls $101.15 million 2005A bonds
|
12/4/2015 | LMMU | North Texas Tollway calls $215 million of 2008E1 first tier bonds
|
12/4/2015 | LMMU | Northwest ISD, Texas, defeases and calls $93.06 million of 2006 bonds
|
12/4/2015 | EULM | BPCE to redeem €350 million subordinated fixed-to-floaters on Feb. 1
|
12/4/2015 | LM | FTE Networks gets tenders for remaining 3% of secured promissory notes
|
12/4/2015 | CLLM | CIFC Funding 2006-I B calls four classes of notes, some preferreds
|
12/4/2015 | EUIGLM | UBS begins multiple tender offers for CHF 16 billion of 17 bond series
|
12/4/2015 | EMLM | Singapore’s Dyna-Mac fails to secure waivers, amendments to 4¼% notes
|
12/4/2015 | EMLM | Evraz begins tendering for up to $500 million of three note series
|
12/4/2015 | EMLM | Sunac China calls all $400 million 12½% notes due 2017 at 106.25
|
12/4/2015 | HYLM | MPLX gets consents to amend MarkWest notes; payment deadline extended
|
12/3/2015 | CVDDLM | TTS Group can’t pay 8% bonds at maturity, eyes extension, rate change
|
12/3/2015 | LMMUPF | Eaton Vance muni funds announce tender results for auction preferreds
|
12/3/2015 | LMMU | Indianapolis Local Public Improvement calls $197.39 million of bonds
|
12/3/2015 | ABLM | Banco BPI accepts tenders for €162.84 million Sagres mortgage floaters
|
12/3/2015 | EMLM | Kazakhstan’s Becker & K calls meeting to amend bond coupon, maturity
|
12/3/2015 | HYLM | SuperValu issues make-whole call for $277.98 million 8% notes of 2016
|
12/3/2015 | IGLM | Analog Devices to redeem $375 million 3% notes due 2016 via new issue
|
12/3/2015 | EULM | Iren gets tenders for €99.38 million of three note series; pricing set
|
12/2/2015 | HYLM | Chesapeake Energy begins exchange offer for 10 series of notes
|
12/2/2015 | EMLM | Singapore’s Miclyn Express to redeem outstanding 8½% notes due 2016
|
12/2/2015 | EMLM | China’s Future Land calls all $200 million of 10¼% notes due 2018
|
12/2/2015 | LMPF | Oxford Lane board OKs repurchase program for 7.5%, 8.125% preferreds
|
12/2/2015 | HYLM | Pexip 2014/2019 bondholders vote in favor of amendment and waiver
|
12/2/2015 | EULM | Societe Fonciere Lyonnaise buys back 2016, 2017 bonds for €243.5 million under tender offer
|
12/2/2015 | HYLM | Navient begins Dutch auction tender for $350 million of 6% notes
|
12/2/2015 | CALM | 5Banc Split announces partial redemption of preferreds
|
12/2/2015 | LMMU | Detroit gets needed 51% consents to amend sewage disposal system bonds
|
12/2/2015 | LMMU | Chicago to redeem $13.27 million of 1993B general obligation bonds
|
12/2/2015 | ABLM | Langton Securities soliciting consents for four series of floaters
|
12/2/2015 | CLLM | Versailles CLO gets enough holder requests to redeem notes on Jan. 12
|
12/2/2015 | EULM | Macquarie Bank to buy back €145.6 million 6% bonds at 118.822 in offer
|
12/2/2015 | EULM | British Land gets tenders for £109.6 million 6.75% bonds; pricing set
|
12/2/2015 | HYLM | Almirall holders tender less than 1% of notes in asset sale offer
|
12/2/2015 | HYLM | Overseas tenders for some 8 1/8% notes, any and all of three others
|
12/2/2015 | DDHYLM | California Resources announces early tenders in upsized exchange offer
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12/1/2015 | CAIGLM | Barrick begins tender offer for $1.15 billion of seven series of notes
|
12/1/2015 | EMLM | China’s Country Garden solicits consents for five series of notes
|
12/1/2015 | DDEMLM | Singapore’s Deep Drilling 1 seeks to extend maturity of 12% bonds
|
12/1/2015 | IGLMPF | General Electric to issue new preferreds for three GE Capital series
|
12/1/2015 | LMMU | South Carolina Public Service calls all 2006A 5% bonds due 2018
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12/1/2015 | LMMU | Indiana Municipal Power calls $146.21 million of 2006 5% supply bonds
|
12/1/2015 | LMMU | Missouri Joint Electric calls $209.57 million 2006 Plum Point bonds
|
12/1/2015 | HYLM | M/I Homes to redeem all $230 million of 8 5/8% senior notes due 2018
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12/1/2015 | LMMU | Nebraska Public Power to redeem $86.13 million of 2005C, 2006A bonds
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12/1/2015 | LMMU | Sacramento County Sanitation calls $32.02 million of 1993 bonds
|
12/1/2015 | LMMU | Massachusetts to redeem $250 million of G.O. refunding bonds due 2016
|
12/1/2015 | CVLM | Videocon sets new meeting Dec. 14 for holders of 6.75% convertibles
|
12/1/2015 | CVLM | Abengoa holders give consents for 4.5% convertibles at second meeting
|
12/1/2015 | EULM | Citigroup wraps tender offers for four series of sterling, euro notes
|
12/1/2015 | EMLM | Mubadala GE Capital gets early tenders for 88.95% of 3% notes due 2019
|
12/1/2015 | DDHYLMPF | National Bank of Greece updates exchange offer for notes, preferreds
|
12/1/2015 | CLLM | St. Paul’s CLO III extraordinary resolution implemented on Nov. 30
|
12/1/2015 | EULM | Autostrade gets tenders for €326 million Atlantia notes; pricing set
|
12/1/2015 | EULM | Baggot Securities to redeem €1.3 billion 10.24% noncumulative notes
|
12/1/2015 | LMMU | Port of Tacoma, Wash., redeems all $10 million of series 2005 bonds
|
12/1/2015 | EMLM | China’s Yanzhou prices capped tender for 5.73% notes by Dutch auction
|
12/1/2015 | IGLM | Exelon holders tender for exchange $1.88 billion of three note series
|
12/1/2015 | HYLM | Kraton tenders, seeks consents for $350 million 6¾% notes due 2019
|
12/1/2015 | EMLM | Argentina’s Banco Hipotecario gets tenders for 58.04% of 9¾% notes
|
12/1/2015 | IGLM | LyondellBasell seeks consents to amend 5% notes, 6% notes, 5¾% notes
|
11/30/2015 | EMLM | TML tenders, solicits consents for S$350 million 4.25% notes due 2018
|
11/30/2015 | EMLM | Latvia tenders for $525 million of $1.75 billion 2020, 2021 notes
|
11/30/2015 | HYLM | Realogy Group redeems $196 million 9% notes in full at 105.49% of par
|
11/30/2015 | LMSP | Barclays extends consent solicitation for iPath Bloomberg Energy ETNs
|
11/30/2015 | EMLM | Singapore’s Otto Marine seeks consents to amend 7% notes’ covenants
|
11/30/2015 | EMLM | Sea Trucks seeks to amend covenants, repayment terms under 9% bonds
|
11/30/2015 | IGLM | Entergy Louisiana calls $32 million 6% first mortgage bonds due 2040
|
11/30/2015 | LMMU | Missouri Joint Electric calls $422.77 million of Iatan, Plum bonds
|
11/30/2015 | LMMU | California Public Works calls $146.25 million of 2005J prison bonds
|
11/30/2015 | HYLM | TiZir seeks waiver of 9% bonds’ interest coverage ratio covenant
|
11/30/2015 | HYLM | Etraveli calls floaters, preempting change-of-control put option
|
11/30/2015 | EMLM | Banco Mercantil do Brasil to buy back up to $30 million 9 5/8% notes
|
11/30/2015 | EULM | Totta & Acores calls €300 million perpetual step-up preference shares
|
11/30/2015 | EMLM | Singapore’s Tat Hong solicits consents for S$100 million of 4½% notes
|
11/30/2015 | EMLM | China High Speed gets tenders for RMB 322 million 8.3% bonds due 2017
|
11/30/2015 | IGLM | Italian regions tender for eight euro, dollar note series until Dec. 9
|
11/30/2015 | EMLM | Cognor unit begins Dutch auction tender offer for 7½% notes due 2020
|
11/30/2015 | HYLM | OTE buys back €240.1 million 4 5/8%, €50 million 7 7/8% bonds in offer
|
11/30/2015 | CAIGLM | Bank of Montreal calls C$450 million series E trust capital securities
|
11/30/2015 | IGLM | Citi gets tenders for $442,000 more 6.95% notes, $1.23 million 5.375% notes in offer
|
11/30/2015 | EMLM | Latvia’s Acme seeks approval for external credit institution financing
|
11/30/2015 | CLLM | Kintyre CLO I to fully redeem six classes of notes on Dec. 21
|
11/30/2015 | EULM | Iren tenders for up to €100 million of 3% notes, 4.37% notes, 3% notes
|
11/30/2015 | EMLM | Kuwait’s Burgan gets tenders for $362.93 million 7 7/8% notes due 2020
|
11/30/2015 | HYLM | Hapag-Lloyd calls $125 million of 9¾% bonds due 2017 at 102.4375
|
11/30/2015 | BKDDHYLM | Hanger holder calls default on 7 1/8% notes, triggers event under loan terms; consent bid sweetened
|
11/30/2015 | EMLM | Mexico’s Javer tenders for up to $136 million 9 7/8% notes due 2021
|
11/27/2015 | DDHYLM | California Resources upsizes exchange offer to $2.81 billion
|
11/27/2015 | EMLM | Argentina’s Banco Hipotecario again extends tender for 9¾% notes
|
11/27/2015 | HYLM | Autodis to redeem €30 million of 6½% senior secured notes due 2019
|
11/27/2015 | CVLM | Pinetree Capital calls C$3 million further 10% convertibles due 2016
|
11/27/2015 | CVLM | Hochdorf to exercise provisional call for 3% convertibles due 2016
|
11/27/2015 | LMPF | Kayne Anderson MLP redeems $60 million of series E preferred shares
|
11/25/2015 | DDLMPV | Gran Colombia Gold revises terms of gold, silver notes restructuring
|
11/25/2015 | HYLM | Electromagnetic Geoservices accepts NOK 80 million bonds for purchase
|
11/25/2015 | IGLM | RBS announces pricing, final results for dollar, non-U.S. tender offers
|
11/25/2015 | LMMU | King County, Wash., calls $60.45 million of series 2006 sewer bonds
|
11/25/2015 | LMMU | California Statewide Development defeases $165.85 million 2008B bonds
|
11/25/2015 | EULM | Mondelez accepts tenders for £247.12 million of 7.25% notes due 2018
|
11/25/2015 | LMMU | Birmingham Waterworks, Ala., calls $19.76 million 2006A revenue bonds
|
11/25/2015 | HYLM | Fortescue unit prices oversubscribed tender offer by Dutch auction
|
11/25/2015 | LMMU | Metropolitan Water, Calif., has new tender period for some 2011 bonds
|
11/25/2015 | CVLM | Videocon holds exchange offer for 6.75% convertibles until Nov. 27
|
11/25/2015 | LMMU | Washington calls $141.59 million series 2006D various purpose G.O.s
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11/25/2015 | LMMU | Mobile, Ala., Water and Sewer to redeem all series 2006 revenue bonds
|
11/25/2015 | EMLM | China’s Bank of East Asia gets tenders for 35.13% of notes, preferreds
|
11/25/2015 | LMMU | Newberry Schools, S.C., calls $70.46 million series 2005 nice bonds
|
11/25/2015 | CVLM | Misarte exercises share redemption option for Artemis exchangeables
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11/25/2015 | EMLM | China Aoyuan Property redeems $112.5 million of 13 7/8% notes
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11/25/2015 | IGLM | Prologis wraps tenders for $246 million of five notes in capped offer
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11/25/2015 | CVLM | Paladin Energy buys back $11 million more 6% convertibles due 2017
|
11/25/2015 | DDHYLM | EXCO Resources gets OK to alter debt amount, type issued for 7½% notes
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11/25/2015 | EMLM | Argentina’s Banco Hipotecario extends tender for 9¾% notes due 2016
|
11/25/2015 | EMLM | Banco do Brasil wraps oversubscribed offers, extends payment for third
|
11/24/2015 | CAIGLM | Dundee proposes to issue 6% preference shares for 5% preferreds
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11/24/2015 | CAIGPF | Dundee proposes to issue 6% preference shares for 5% preferreds
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11/24/2015 | IGLMPF | Macquarie to redeem $400 million preferred membership interests Dec. 2
|
11/24/2015 | LMPF | Safe Bulkers announces $20 million preferred share repurchase program
|
11/24/2015 | HYLM | Jack-Up InvestCo 3 to redeem 11% senior bonds due 2018 at 110.07882
|
11/24/2015 | CVLM | PDL BioPharma buys back $53.6 million of 4% convertibles due 2018
|
11/24/2015 | LMMU | NYC Cultural Resources plans mandatory tender for some museum bonds
|
11/24/2015 | IGLM | Royal Bank of Scotland sets pricing for 5.625%, 6.125% tender offers
|
11/24/2015 | LMMU | Missouri Joint Electric calls $36.66 million of 4.6% Plum Point bonds
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11/24/2015 | EULM | Macquarie Bank tenders for €200 million of 6% bonds due 2020
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11/24/2015 | CAIGLM | Talisman Energy tenders for up to $750 million of five note series
|
11/24/2015 | CALMPF | Dundee proposes to issue 6% preference shares for 5% preferreds
|
11/24/2015 | IGLM | Lloyds details exchange offer of 2020, 2025 notes for 2033, 2045 notes
|
11/24/2015 | CLLM | St. Paul’s CLO III resolution approved by remaining noteholder groups
|
11/24/2015 | EMLM | KrisEnergy gets OK for covenant relief under 6¼%, 5¾% notes
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11/24/2015 | LMMU | West Virginia School Building defeases its 2008 excess lottery bonds
|
11/24/2015 | ABLM | Banco BPI launches cash tender offers for Sagres’ Douro mortgage notes
|
11/24/2015 | EMLM | Kiev offers Ukraine 7¾% bonds in exchange for 8% notes, 9 3/8% notes
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11/24/2015 | HYLM | Whiting Petroleum to redeem $798 million 8 1/8% senior notes due 2019
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11/24/2015 | HYLM | Cable Wireless gets OK to waive change of control for 6 7/8% notes
|
11/24/2015 | EULM | British Land tenders for £169.63 million 6.75% first mortgage bonds
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11/23/2015 | EMIGLM | Kansas City Southern gets consents needed to amend six series of notes
|
11/23/2015 | EMLM | Brazil’s BNDES gets tenders for $639.39 million of 4%, 5½%, 5¾% notes
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11/23/2015 | DDHYLM | Linn settles exchange of $2 billion notes for new second-lien notes
|
11/23/2015 | DDLM | Alpha Bank gives settlement dates; resolutions not passed at meetings
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11/23/2015 | EMLM | Chile’s Pampa Calichera further extends tender offer for 7¾% notes
|
11/23/2015 | LMMU | New Jersey Turnpike calls three series of variable-rate revenue bonds
|
11/23/2015 | LMPF | LMP Corporate Loan Fund calls series A and B auction-rate preferreds
|
11/23/2015 | IGLMPF | Lloyds Banking begins exchange offer for notes due 2020, 2023
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11/23/2015 | HYLM | Moy Park gets no valid tenders for 6¼% notes; all £300 million remain
|
11/23/2015 | LMMU | Cherry Creek School, Colo., calls $51.45 million 2005B G.O. bonds
|
11/23/2015 | LMMU | Tennessee defeases $74.6 million 2010 series A G.O. bonds
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11/23/2015 | DDHYLM | Piraeus Bank begins option exercise period for exchange offer receipts
|
11/23/2015 | EULM | Autostrade tenders for €500 million of Atlantia’s three note series
|
11/23/2015 | EULM | Tryg Forsikring to redeem €150 million subordinated notes on Dec. 19
|
11/23/2015 | IGPF | XL Group unit redeems all floating-rate subordinated notes due 2035
|
11/23/2015 | EULM | SKF begins tender offer for up to €500 million of 3.875%, 1.875% notes
|
11/23/2015 | EULM | Bank of Ireland to redeem its €1.3 billion 10.25% preference stock
|
11/23/2015 | IGLMPF | Citizens Financial to repurchase $750 million subordinated notes
|
11/23/2015 | CVLM | Premium Brands calls C$57.2 million 5.7% notes; holders may convert
|
11/23/2015 | HYLM | M/I Homes to call $230 million of 8 5/8% notes due 2018 via new issue
|
11/23/2015 | HYLM | Hellenic Telecommunications tenders for some 4 5/8%, 7 7/8% bonds
|
11/23/2015 | HYLM | Solera’s Audatex extends tender for two notes, gets needed consents
|
11/20/2015 | LMPF | Two Pimco funds conclude tender offers for auction-rate preferreds
|
11/20/2015 | HYLMPV | Tetra Technologies extends tender offer for 5.09% notes, 5.67% notes
|
11/20/2015 | LMPF | Kayne Anderson to redeem $60 million in series E preferreds
|
11/20/2015 | DDHYLM | Cecon Shipping seeks to extend tranche B2 bond maturity by two months
|
11/20/2015 | EMLM | Panama’s Newland buys back $36 million 9½% notes in tender offer
|
11/20/2015 | HYLM | Endo plans to redeem $400 million 7% senior notes due 2020 on Dec. 21
|
11/20/2015 | LMPF | BNCCorp to redeem remaining $1.01 million series B preferreds
|
11/20/2015 | LMMU | Chattanooga Health, Tenn., revises 2005A, 2005B CDFI Phase I bond call
|
11/20/2015 | EMLM | Czech Republic’s CEZ buys back $411 million 4¼% notes in offer, no euro notes in capped tender
|
11/20/2015 | HYLM | Fiat Chrysler subsidiary to redeem all $3.08 billion 8¼% secured notes
|
11/20/2015 | DDHYLM | Western Bulk asks to ease bond covenants, needs $15 million of equity
|
11/20/2015 | CVLM | Amarin buys back $16.2 million 3.5% exchangeables at discount, issues $31.3 million notes
|
11/20/2015 | HYLM | Electromagnetic Geoservices offers to buy NOK 80 million bonds at 80
|
11/20/2015 | EMLM | KazMunayGas accepts early tenders for $2.46 billion of two note series
|
11/19/2015 | DDHYLM | Halcon offers 39% of par in exchange offer for three series of notes
|
11/19/2015 | LMMU | Indiana Finance’s 2010A, B Republic Services bonds subject to tender
|
11/19/2015 | LMMU | Metropolitan Water, Calif., plans mandatory tender for some 2011 bonds
|
11/19/2015 | HYLM | MPLX begins exchange offers for four series of MarkWest notes
|
11/19/2015 | IGLM | Simon Property plans to redeem all 6.125%, 7.375% notes due 2018
|
11/19/2015 | HYLM | Hanger solicits consents for 7 1/8% notes, offers to increase coupon
|
11/19/2015 | HYLM | SPX Flow buys back $28,000 of 6 7/8% notes in change-of-control offer
|
11/19/2015 | LMMU | California Health Facilities calls $436.64 million Cedar Sinai bonds
|
11/19/2015 | LMMU | Spring Branch ISD, Texas, defeases some series 2007 and 2008 bonds
|
11/19/2015 | HYLM | JW Aluminum to redeem $101,521 of 11½% senior secured notes due 2017
|
11/19/2015 | IGLM | Citigroup tenders for 7.875% notes, capped amount of numerous series
|
11/19/2015 | EMLM | Czech Republic’s CEZ prices tender offer for 4¼% dollar notes due 2022
|
11/19/2015 | CVLM | International Mining to hold meeting over 8% convertible amendments
|
11/19/2015 | EMLM | Kazakhstan’s Eurasian Development Bank accepts tenders for $367.86 million of two series of notes
|
11/19/2015 | CVLM | Hologic repurchases $300 million 2% convertibles for $543.7 million
|
11/19/2015 | HYLM | Media General unit LIN offers to exchange $400 million 5 7/8% notes
|
11/19/2015 | HYLM | CGG offers term loans due 2019 in exchange for 7¾%, 6½%, 6 7/8% notes
|
11/19/2015 | EMLM | Newland International extends tender offer for $36 million 9½% notes
|
11/18/2015 | IGLM | Sigma-Aldrich calls 3.375% notes due 2020 for Dec. 18 redemption
|
11/18/2015 | IGLM | Gamco tenders for any and all $100 million of 5.875% notes due 2021
|
11/18/2015 | CVLM | IBI Group plans to redeem all $20 million 5.75% convertibles due 2017
|
11/18/2015 | LMMU | Wisconsin HEFA calls $46.71 million of 2005 ThedaCare revenue bonds
|
11/18/2015 | CVLM | Stanley Black & Decker calls 4.75% series B perpetual convertibles
|
11/18/2015 | LMMU | Los Angeles County Metro Transportation defeases $86.18 million bonds
|
11/18/2015 | IGLM | Maiden Holdings plans to repay 8.25% notes via new preferred offering
|
11/18/2015 | LMMU | Hillsborough County, Fla., defeases Tampa International Airport bonds
|
11/18/2015 | EULM | Swedish Match repurchases €4 million of 3.875% notes due 2017
|
11/18/2015 | IGLM | Horace Mann to repurchase $125 million of 6.85% notes via new offering
|
11/18/2015 | EMLM | China’s Bank of East Asia sets coupon floor at 5½% for planned issue
|
11/18/2015 | HYLM | Sally to redeem $750 million 6 7/8% senior notes due 2019 in December
|
11/18/2015 | CVLM | Nokia offers to issue shares in exchange for Alcatel-Lucent Oceanes
|
11/17/2015 | EULM | Citigroup begins tender offers for four series of sterling, euro notes
|
11/17/2015 | CVLM | India’s Videocon to issue $97.2 million convertible bonds in exchange
|
11/17/2015 | CVLM | DDR sets final conversion price for 1.75% convertibles due 2040
|
11/17/2015 | HYLM | West Atlantic gets consents to call 8% bonds prior to May 9, 2016
|
11/17/2015 | CLLM | Versailles CLO M.E. I seeks approval to redeem nine classes of notes
|
11/17/2015 | HYLM | Huntington Ingalls gets early tenders for 78% of 7 1/8% notes due 2021
|
11/17/2015 | LMPF | Community West redeems remaining $5.57 million of 9% preferred stock
|
11/17/2015 | EMLM | UAE’s Millennium Offshore wraps tender offer for 9½% notes due 2018
|
11/17/2015 | HYLM | SoftBank unit issues call for 9½% notes due 2016, 7¼% notes due 2018
|
11/17/2015 | IGLM | HSBC to redeem $400 million of capital undated floaters at year-end
|
11/17/2015 | EUIGLM | RBS tenders for 5.625%, 6.125% dollar notes, five other series in concurrent non-U.S. offers
|
11/17/2015 | DDHYLM | Norske Skog offers to swap out 11¾%, 7% notes amid liquidity concerns
|
11/17/2015 | HYLM | Enterprise Inns starts consent solicitations for five series of bonds
|
11/17/2015 | HYLM | Cable & Wireless seeks to waive change of control for 6 7/8% notes
|
11/17/2015 | EULM | Mondelez begins tender offer for £350 million 7.25% notes due 2018
|
11/17/2015 | IGLMPF | Zions buys $175.7 million series I preferreds in oversubscribed offer
|
11/16/2015 | CVLM | Chesapeake Energy holders exercise put on $393.76 million of 2¾% notes
|
11/16/2015 | HYLM | Match exchanges 89.1% of 4¾% notes; IAC drops tender for 4 7/8% notes
|
11/16/2015 | EMLM | Kuwait’s Burgan tenders for 7 7/8% notes due 2020, looks to call rest
|
11/16/2015 | GNLM | TerniEnergia holders OK disinvestment under €25 million notes due 2019
|
11/16/2015 | CADDHYLM | Iona Energy bondholders approve extension of longstop date to Jan. 15
|
11/16/2015 | CAIGLM | RBC Capital Trust calls C$1.2 billion series 2015 trust securities
|
11/16/2015 | EMLM | China’s Yanzhou tenders for $250 million 5.73% notes by Dutch auction
|
11/16/2015 | EMLM | Hungary repurchases £4.81 million 5% notes due March 30, 2016
|
11/16/2015 | EULM | Wellington Pub purchases additional £14.1 million of class A bonds
|
11/16/2015 | EMLM | Brazil’s BNDES begins tender for 4% notes, 5½% notes and 5¾% notes
|
11/16/2015 | IGLM | Exelon extends total payment in exchange offer for three note series
|
11/16/2015 | EMLM | Mubadala GE Capital tenders for 3% notes due 2019, looks to call rest
|
11/13/2015 | IGLM | Dentsply prices tender offer for up to $150 million of 4.125% notes
|
11/13/2015 | HYLM | Hercules Technology calls $40 million of 7% notes due September 2019
|
11/13/2015 | LMMU | New Jersey EDA calls $205.1 million of 2005K school facilities bonds
|
11/13/2015 | DDHYLM | Linn to trade $2 billion notes for $1 billion new second-lien notes
|
11/13/2015 | HYLM | Jack-Up InvestCo 3 to redeem 11% senior notes due 2018 on Nov. 27
|
11/13/2015 | IGLM | Thermo Fisher to redeem 3.5% notes due 2016 with proceeds of new notes
|
11/13/2015 | IGLM | JPMorgan to redeem $44.64 million of seven series of notes on Dec. 15
|
11/13/2015 | CVLM | United States Steel buys back $197.66 million of 2.75% convertibles
|
11/13/2015 | HYLM | Level 3 announces plan to redeem all 8 5/8% senior notes on Dec. 13
|
11/13/2015 | IGLMPF | First Banks to redeem 8.15% cumulative trust preferred securities
|
11/13/2015 | LMMU | Washington County Industrial, Ala., calls $55 million Bay Gas bonds
|
11/13/2015 | LMMU | New Jersey Transportation calls $293.2 million of series 2005B bonds
|
11/13/2015 | DDLM | Eurobank Ergasias wraps tender offer for 20 series of securities
|
11/13/2015 | IGLM | Dow Chemical calls to redeem $328.34 million of InterNotes on Dec. 15
|
11/13/2015 | DDEULM | Alpha Bank holders tender for exchange €1.01 billion of numerous notes
|
11/13/2015 | EMLM | Russia’s Mobile TeleSystems holders put back RUB 12.89 billion bonds
|
11/13/2015 | CVLM | Abengoa fills conditions in bid to amend 6.25% convertibles due 2019
|
11/12/2015 | CVLM | DATA Group to redeem 75% of 6% convertible debentures for stock
|
11/12/2015 | EMLM | Indonesia’s Indosat redeems 7 3/8% notes due 2020 at 103.6875
|
11/12/2015 | HYLM | Sabre to redeem $235 million of 6.35% notes due 2016
|
11/12/2015 | EMLM | China High Speed begins tender offer to buy back 8.3% bonds due 2017
|
11/12/2015 | LMMU | Detroit solicits consents to amend sewage disposal system bonds
|
11/12/2015 | CVLM | Nokia’s exchange offer for Alcatel-Lucent approved by French authority
|
11/12/2015 | HYLM | Stronghold to redeem up to SEK 140 million of 6¾% bonds due 2016
|
11/12/2015 | IGLM | Citi prices tender for 6.95%, 5.375% notes, gets $1.15 billion so far
|
11/12/2015 | HYIGLM | Darden Restaurants calls all outstanding 3.35% senior notes due 2022
|
11/12/2015 | CVLM | Partners REIT to redeem remaining series 1 8% convertibles on Dec. 15
|
11/12/2015 | LMMU | Bexar County, Texas, to redeem $75.21 million of 2015 revenue bonds
|
11/12/2015 | LM | FTE Networks receives initial tenders for 97% of promissory notes
|
11/12/2015 | EMHYLM | Czech Republic’s CEZ tenders for 4¼% dollar notes, some 4½% euro notes
|
11/12/2015 | CLLM | St. Paul’s CLO II to hold meetings for five classes of notes on Dec. 4
|
11/12/2015 | CLLM | St. Paul’s CLO III to hold meetings for four classes of notes Nov. 23
|
11/12/2015 | LMMU | South Carolina Public Service calls $100 million series 2013D bonds
|
11/12/2015 | LMMU | New York City Transitional Finance revises bonds’ redemption schedule
|
11/12/2015 | EMLM | Indonesia’s KrisEnergy seeks covenant headroom amid sagging oil prices
|
11/12/2015 | CVLM | 49 North gets OK at meeting to restructure 9% convertibles due 2016
|
11/12/2015 | EMLM | Singapore’s Dyna-Mac seeks waivers, amendments to 4¼% notes due 2017
|
11/12/2015 | HYLMPF | Ally Financial gets Fed approval to call series G perpetual preferreds
|
11/12/2015 | DDEMLM | Ukraine offers 7¾% notes due 2019-2027 in exchange for 14 bond series
|
11/12/2015 | HYLM | California Resources to issue new 8% notes due 2022 in exchange offer
|
11/12/2015 | HYLM | PolyOne gets early tenders for $295.3 million 7 3/8% notes due 2020
|
11/11/2015 | LMPF | Red Lion Hotels calls $29.9 million 9.5% trust preferred securities
|
11/11/2015 | DDHYLMPF | National Bank of Greece releases conditional results of exchange offer
|
11/11/2015 | EULM | SNAM holders tender €2.16 billion of notes; BNP accepts €1 billion
|
11/11/2015 | IGLM | Citigroup accepts early tenders for $1.15 billion of 2018, 2020 notes
|
11/10/2015 | LMPF | Mid Penn Bancorp calls 7% series B preferreds for Dec. 9 redemption
|
11/10/2015 | LMMU | Landmark Academy asks 2010 bondholders to waive hiring consultant
|
11/10/2015 | HYLM | Pharmaq exercises call on senior secured floating-rate bonds due 2019
|
11/10/2015 | HYLM | NN repurchases $50 million of 10¼% notes due 2020 with loan proceeds
|
11/10/2015 | LMMU | Colorado Springs, Colo.’s 2000A utilities bonds have mandatory tender
|
11/10/2015 | EMLM | Banco do Brasil offers to purchase $600 million of three note series
|
11/10/2015 | HYLM | NCL to redeem all $300 million of 5% bonds due 2018 on Dec. 10
|
11/10/2015 | IGLM | Prologis lifts tender offer cap to $300 million, announces pricing
|
11/10/2015 | CVLM | Superior Plus to redeem all 7.5% convertibles due 2016 on Dec. 14
|
11/10/2015 | LMMU | Chicago to redeem $16.35 million of 5.5% G.O. bonds, series 1995A-2
|
11/10/2015 | LMMU | Chicago Park District calls $74.13 million of 2006A, 2006D G.O. bonds
|
11/10/2015 | LMMU | Colorado Health calls $115.7 million Covenant Retirement revenue bonds
|
11/10/2015 | HYLM | Fortescue unit tenders for $750 of two note series via Dutch auction
|
11/10/2015 | DDHYLM | Affinion Group holders exchange 95% of PIK notes, 93.7% of 13½% notes
|
11/10/2015 | DDHYLM | EXCO Resources asks to alter debt amount, type allowed under 7½% notes
|
11/10/2015 | EMLM | Argentina’s Banco Hipotecario tenders for $211.07 million 9¾% notes
|
11/10/2015 | EMLM | Russia’s TMK buys back $91.18 million 7¾% notes under Dutch auction
|
11/10/2015 | EMHYLM | UAE’s Millennium Offshore extends tender for 9½% notes until Nov. 17
|
11/10/2015 | IGLM | Prologis holders tender $246 million of five note series by early date
|
11/9/2015 | CADDHYLM | Iona asks bondholders to OK extension of long stop date to Jan. 15
|
11/9/2015 | LMMU | Arizona Health Facilities defeases some 2007A Banner Health bonds
|
11/9/2015 | LMMU | Texas Municipal Gas to redeem $57.57 million of 2008D bonds due 2017
|
11/9/2015 | LMMU | New York City Transitional Finance defeases bonds from nine series
|
11/9/2015 | IGLMPF | Hudson Pacific to redeem outstanding 8.375% series B preferred stock
|
11/9/2015 | IGLM | Kansas City Southern begins exchange offer, consent solicitation for six classes of notes
|
11/9/2015 | CAIGLM | Brookfield Renewable offering to exchange class A preference shares
|
11/9/2015 | EULM | Barclays gets holder votes to convert covered bonds into soft bullets
|
11/9/2015 | HYLM | Talen Energy repurchases $300 million of 5.7% securities due 2035
|
11/9/2015 | LMPF | First National redeems $14.6 million of preferreds from two series
|
11/9/2015 | CVLM | Videocon to hold exchange offer for 6.75% convertibles; meeting set
|
11/9/2015 | EMLM | Singapore’s Miclyn holders tender S$196 million 8½% notes to date, give some consents
|
11/9/2015 | HYLM | HCA to redeem $1 billion 6½% notes due 2016 via new issue due 2026
|
11/9/2015 | EMLM | Evraz accepts tenders for $166.18 million Raspadskaya notes in offer
|
11/9/2015 | HYLM | Energy XXI retires $890 million of bonds, to cut leverage further
|
11/6/2015 | CVDDLMPF | Goodrich begins exchange offers for three series of preferreds
|
11/6/2015 | CVLM | Warimpex redeems PLN 23.5 million of convertibles, extends some bonds
|
11/6/2015 | HYLM | McClatchy repurchases 9% notes due 2022, 5¾% notes due 2017 at discount
|
11/6/2015 | DDHYLM | Piraeus Bank accepts all preferreds and 2016, 2017 notes for exchange
|
11/6/2015 | DDHYLM | Cecon gets vote to extend tranche B2 bonds by four more weeks
|
11/6/2015 | LMMU | Hawaii defeases, announces redemption dates of several G.O. bonds
|
11/6/2015 | HYLM | Solera’s Audatex begins tender offer, change-of-control offer for 6% notes, 6 1/8% notes
|
11/6/2015 | EMLM | Rio Oil holders approve amendment to 6¼% notes, 16¼% notes, 6¾% notes
|
11/6/2015 | LMMU | California Public Works calls $14.18 million of prison bonds due 2019
|
11/6/2015 | LMMU | Delaware County Industrial, Pa., calls 2005 Aqua Pennsylvania bonds
|
11/6/2015 | LMMU | Mississippi calls $61.78 million of series 2005D taxable G.O. bonds
|
11/6/2015 | LMMU | Los Angeles County Public Works calls some 2005A refunding bonds
|
11/6/2015 | LMMU | Chicago Park District calls some series 2006A, 2006B, 2006D G.O bonds
|
11/6/2015 | LMMU | Charleston County, S.C., defeases some series 2007, 2009A G.O. bonds
|
11/6/2015 | LMMU | Grant County, Wash., defeases some 2006A Wanapum Hydroelectric bonds
|
11/6/2015 | LMMU | Hillsborough County Aviation calls some Tampa International bonds
|
11/6/2015 | LMMU | NYC Transitional Finance calls 2006 A-1, A-2 future tax bonds in full
|
11/6/2015 | CLLM | Duane Street to redeem five classes of notes on Nov. 20
|
11/6/2015 | DDEULM | Alpha Bank amends exchange offers, deadline for numerous note series
|
11/6/2015 | EMLM | Soho China calls $600 million 5¾% senior notes due 2017 at 102.875
|
11/6/2015 | HYLMPV | Tetra Technologies tenders for $25 million of 5.09% notes, 5.67% notes
|
11/6/2015 | CADDHYLM | Sterling Resources gets waivers, amendments under 9% bonds due 2019
|
11/6/2015 | LMPF | Black Stone Minerals begins tender offer for series A preferred units
|
11/5/2015 | HYLM | First Data to redeem all 8¾% notes due 2022, some 8¼% notes due 2021
|
11/5/2015 | HYLM | Goodyear Tire & Rubber to redeem all $1 billion of 8¼% notes due 2020
|
11/5/2015 | EMLM | China Real Estate Asset Mortgages seeks to amend floaters due 2021
|
11/5/2015 | LMMU | Tacoma School District No. 10, Wash., calls $104.04 million of bonds
|
11/5/2015 | DDEMLM | Agroton buys back $10.35 million of notes due 2019 at 30 in offer
|
11/5/2015 | HYLM | First Data to redeem all 8¾% notes due 2022, some 8¼% notes due 2021
|
11/5/2015 | EMLM | Israel’s Elbit buys back NIS 22.12 million of series H notes at 90.4
|
11/5/2015 | EMLM | China’s Agile Property gets consents to amend 8 3/8% notes, 6½% notes
|
11/5/2015 | EMLM | Kazakhstan’s Kazakhtelecom buys back none of 9.456% bonds due 2019
|
11/5/2015 | IGLM | Westar Energy to redeem $300 million 8.625% bonds via issue due 2045
|
11/5/2015 | DDHYLM | Piraeus updates holder vote on exchange offers; meeting set for Friday
|
11/5/2015 | DDHYLM | Linn Energy buys back $599 million notes, evaluates capital structure
|
11/5/2015 | HYLM | Windstream buys back $290 million of bonds, plans more debt cuts
|
11/5/2015 | HYLM | Norwegian Cruise to redeem 5% notes due 2018 with new issue proceeds
|
11/5/2015 | EMLM | KazMunayGas begins tender for up to $3.4 billion of six note series
|
11/5/2015 | EMLM | Kazakhstan’s Intergas gets early tenders for $375 million 6 3/8% notes
|
11/4/2015 | HYLM | Hercules Technology calls $40 million 7% notes, plans more redemptions
|
11/4/2015 | HYLM | SandRidge buys back $925 million of notes in third quarter at discount
|
11/4/2015 | CVLM | Aston Hill to amend convertibles, redeem C$6 million of them Nov. 16
|
11/4/2015 | HYLM | Visant calls all $736.67 million of outstanding 10% notes due 2017
|
11/4/2015 | HYLM | Archrock to redeem outstanding 7¼% senior notes due 2018 on Dec. 4
|
11/4/2015 | HYLM | SpartanNash to redeem all $50 million of 6 5/8% senior notes due 2016
|
11/4/2015 | LMMU | Chicago O’Hare International Airport calls all 2005A third-lien bonds
|
11/4/2015 | HYLM | Summit Materials to redeem rest of 10½% notes with new note proceeds
|
11/4/2015 | LMMU | Nevada defeases $191.43 million 2008C capital, cultural affairs LTGOs
|
11/4/2015 | LMMU | Snohomish County PUD No. 1, Wash., calls 2005 electric system bonds
|
11/4/2015 | CLLM | St. Paul’s CLO IV holders to vote on amendments to notes’ trust deed
|
11/4/2015 | LMMU | Hamilton County, Ohio, calls 2005B Metropolitan Sewer District bonds
|
11/4/2015 | EULM | Hammerson to redeem outstanding £271.9 million of 5¼% bonds due 2016
|
11/4/2015 | EULM | Roche wraps, prices tender for €433.31 million of 6.5% notes due 2021
|
11/4/2015 | IGLM | Citi holders tender $1.66 billion 4.45% notes, $1.6 billion 8.5% notes
|
11/4/2015 | HYLM | Central Garden plans to call 8¼% senior subordinated notes due 2018
|
11/4/2015 | HYLM | American Energy – Permian gets consents to amend 8% notes due 2020
|
11/4/2015 | HYLM | Sabre to redeem $235 million of 8.35% notes due 2016 via new issue
|
11/3/2015 | EMLM | China’s Haitong bondholder meetings lack quorum to approve buyback
|
11/3/2015 | EMLM | China Galaxy Securities calls all RMB 2.6 billion bonds due 2017
|
11/3/2015 | LMMU | Long Island Power Authority calls $149 million electric system bonds
|
11/3/2015 | HYLM | PetroQuest Energy looks into refinancing 10% senior notes due 2017
|
11/3/2015 | HYLM | Tegna to redeem $180 million of 7 1/8% senior notes due Sept. 1, 2018
|
11/3/2015 | LMMU | California Department of Veterans Affairs calls $36.36 million bonds
|
11/3/2015 | HYLM | Pharmaq plans to redeem bonds due 2019 ‘as soon as possible’
|
11/3/2015 | IGLM | Citigroup prices cash tender offers for 4.45%, 8.5% senior notes
|
11/3/2015 | LMMU | California defeases $930.05 million of general obligation bonds
|
11/3/2015 | LMMU | Maine Municipal Bond 2005A bonds due 2016 through 2021 to be redeemed
|
11/3/2015 | LMMU | Arizona Public Service to redeem 2009 series A, C bonds via new notes
|
11/3/2015 | HYLM | Hydra Dutch issues call for €34.9 million of 8% secured notes due 2019
|
11/3/2015 | EMLM | Greenko holders give OK to waive put option under 8% notes due 2019
|
11/3/2015 | DDHYLM | Findus gets consents for amendments, waivers to 8¼%/9% PIK notes
|
11/3/2015 | CVLM | FirstFarms offers to extend 6% convertible notes due 2016 by one year
|
11/3/2015 | EMLM | Peru’s Alicorp gets tenders for $237.72 million 3 7/8% notes due 2023
|
11/3/2015 | HYLM | American Energy – Permian again extends consent bid, adds amendment
|
11/3/2015 | EMLM | Banco ABC Brasil holders tender $230,000 more 7 7/8% notes due 2020
|
11/2/2015 | CAHYLM | Savanna Energy expects to reduce debt in Q4 via real estate sales
|
11/2/2015 | DDHYLM | Affinion Group meets minimum tender thresholds for exchange offers
|
11/2/2015 | DDHYLM | EXCO Resources, holders of 7½%, 8½% notes agree to more repurchases
|
11/2/2015 | LMMU | Oregon calls $25.14 million of two series of veterans’ welfare bonds
|
11/2/2015 | LMMU | Tobacco Settlement, N.J., calls $21.57 million of 2007-1A bonds
|
11/2/2015 | HYLM | West Atlantic seeks holder consents to make 8% bonds redeemable early
|
11/2/2015 | LMMU | Glendale, Ariz., calls some 2005, 2005B John C. Lincoln hospital bonds
|
11/2/2015 | LMMU | California Educational calls $84.95 million of Pepperdine bonds
|
11/2/2015 | LMMU | Sacramento City Financing calls $124.1 million of master lease bonds
|
11/2/2015 | HYLM | Correction: Solor Bioenergi bondholders grant waiver of anticipated default
|
11/2/2015 | LMMU | Illinois Finance calls $145.13 million of Northwestern bonds due 2042
|
11/2/2015 | LMMU | Sacramento City Financing calls $63.76 million of 2005A, 2005B bonds
|
11/2/2015 | CLLM | St. Paul’s CLO III measure OK’d by three of seven sets of noteholders
|
11/2/2015 | CLLM | St. Paul’s CLO II resolution passed at one of six noteholder meetings
|
11/2/2015 | LMMU | Mississippi calls $83.7 million series 2005 general obligation bonds
|
11/2/2015 | IGLM | Exelon offers to issue new notes in exchange for three note series
|
11/2/2015 | DDHYLMPF | National Bank of Greece tenders for several note, preferred series
|
11/2/2015 | EMLM | Lebanon exchanges $318.34 million of existing notes for new bonds
|
11/2/2015 | HYLM | Almirall starts asset sale offer for €325 million of 4 5/8% notes
|
11/2/2015 | HYLM | American Energy – Permian again extends consent bid by one more day
|
11/2/2015 | HYLM | Huntington Ingalls tenders, seeks consents for 7 1/8% notes due 2021
|
11/2/2015 | HYLM | Goodyear to redeem $1 billion 8¼% senior notes due 2020 via new issue
|
10/30/2015 | DDEMLM | Russian Standard sets restructuring completion date for 13%, 11½% notes
|
10/30/2015 | DDEM | Ukraine expects to settle restructuring of 13 eurobond series Nov. 12
|
10/30/2015 | LMMU | Wyandotte County and Kansas City, Kan., calls $41.23 million of bonds
|
10/30/2015 | IGLMPF | Kite Realty calls all $102.5 million of 8.25% series A preferreds
|
10/30/2015 | CVLM | Abengoa announces second meeting over consents for 4.5% convertibles
|
10/30/2015 | HYLM | Global Investments calls $100 million of 11% senior unsecured bonds
|
10/30/2015 | HYLM | Solor Bioenergi bondholders grant waiver of anticipated default
|
10/30/2015 | IGLM | Ares Finance to redeem all $325 million of 5.25% senior notes due 2025
|
10/30/2015 | LMMU | Coast Community College, Calif., defeases $110.14 million of bonds
|
10/30/2015 | HYLM | AMC Entertainment calls all outstanding 9¾% notes due 2020 at 104.875
|
10/30/2015 | LMSP | Barclays extends consent solicitation for iPath Bloomberg Energy ETNs
|
10/30/2015 | LMMU | Wayne County Airport, Mich., calls all 2005 Detroit Metropolitan bonds
|
10/30/2015 | CLLM | Portola CLO calls six sets of notes for redemption on Nov. 15
|
10/30/2015 | HYLM | Calpine to redeem 10% of its outstanding first-lien notes due 2023
|
10/30/2015 | EMLM | Kazakhstan Mortgage buys back KZT 5.36 billion of 6% bonds due 2018
|
10/30/2015 | CVLM | TPK Holding holders put all 0% euro convertible bonds due 2017 at par
|
10/30/2015 | CVLM | Polarcus buys back $2.1 million convertibles at 37% of par
|
10/30/2015 | HYLM | IAC takes in tenders for 88% of 4 7/8% notes, 87% of 4¾% notes
|
10/30/2015 | HYLM | ENCE Energia to redeem €250 million 7¼% senior secured notes due 2020
|
10/30/2015 | EMHYLM | Ciech calls all €245 million 9½% senior secured notes due 2019
|
10/30/2015 | HYLM | Conn’s receives needed consents to amend terms of 7¼% notes
|
10/30/2015 | HYLM | First Data to call all 10 5/8%, 11 ¾%, 12 5/8% notes with deal funds
|
10/30/2015 | HYLM | American Energy – Permian extends consent bid by one further day
|
10/29/2015 | EMLM | Kazakhstan’s Kazakhtelecom buys back KZT 3.22 billion of 9.456% bonds
|
10/29/2015 | EMLM | Israel’s Elbit brings buybacks of series H notes to NIS 9.03 million
|
10/29/2015 | IGLM | Dentsply begins tender offer for up to $150 million of 4.125% notes
|
10/29/2015 | IGLMPF | HSBC Finance to redeem $1 billion capital securities on Nov. 30
|
10/29/2015 | EMLM | Singapore’s Miclyn begins tender offer, consent bids for 8½% notes
|
10/29/2015 | HYLM | Level 3 to redeem all $900 million 8 5/8% notes due 2020 via new issue
|
10/29/2015 | HYLM | Obrascon accepts €45.72 million of tendered notes from two series
|
10/29/2015 | CVLM | Aston Hill convertible holders OK maturity extension, coupon increase
|
10/29/2015 | DDLM | Eurobank Ergasias plans tender offer for 20 series of securities
|
10/29/2015 | LMMU | Chattanooga Health, Tenn., calls all 2005A, 2005B CDFI Phase I bonds
|
10/29/2015 | LMMU | Palm Beach County Schools, Fla., defeases $67.91 million 2011A COPs
|
10/29/2015 | LMMU | Port of Tacoma, Wash., calls all series 2005 AMT revenue bonds
|
10/29/2015 | LMMU | Atlanta, Fulton County Recreation, Ga., calls all 2005A, B park bonds
|
10/29/2015 | HYLM | First Data to redeem $650 million of 12 5/8% notes via new offering
|
10/29/2015 | CVLM | Nokia draft details exchange offer for Alcatel-Lucent’s convertibles
|
10/29/2015 | DDEMLM | Alon Blue holders OK postponing payment on series C notes by 20 days
|
10/29/2015 | HYLM | MedImpact wraps tenders for 99.74% of 10½% notes; plans make-whole call
|
10/29/2015 | CVDDLM | REXlot collects votes to extend payment date for 4.5%, 6% convertibles
|
10/29/2015 | ABLM | Paragon Mortgages to redeem four series of mortgage-backed floaters
|
10/29/2015 | CVLM | Lennar may redeem 2.75% convertibles with proceeds from new notes
|
10/29/2015 | CVLM | Abengoa gains consents for 5.125%, 6.25% convertibles, to hold second meeting for 4.5% convertibles
|
10/29/2015 | IGLM | Hewlett-Packard receives tenders for $55.66 million more notes
|
10/29/2015 | HYLM | American Energy – Permian extends consent bid for 8% notes by one day
|
10/29/2015 | HYLM | Level 3 to redeem $500 million of 8 5/8% notes due 2020 via new issue
|
10/29/2015 | EMLM | Russia’s TMK tenders for $200 million of 7¾% notes by Dutch auction
|
10/28/2015 | EMLM | Singapore’s Pacific Radiance seeks consents from 4.3% noteholders
|
10/28/2015 | IGLM | Coca-Cola repays $1.15 billion 5.35% notes, $891 million 4.875% notes
|
10/28/2015 | HYLM | Martin Midstream Partners buys back $16.1 million 7¼% notes due 2021
|
10/28/2015 | IGLM | Citigroup begins cash tender offers for up to $1.95 billion notes
|
10/28/2015 | EMLM | Agroton tenders for $15 million notes due 2019 with coupon step-down
|
10/28/2015 | HYLM | Realogy redeems 7 5/8% notes due 2020 with loan proceeds
|
10/28/2015 | DDEULM | Alpha Bank offering to exchange several securities through Nov. 16
|
10/28/2015 | HYLM | HealthSouth to redeem $50 million of 7¾% notes due 2022 at 103.875
|
10/28/2015 | DDLM | Alpha Group seeks holders’ approval to swap €600 million preferreds
|
10/28/2015 | EMLM | Ukraine’s Avangardco gets court OK to extend notes to 2018, allow PIK
|
10/28/2015 | EMLM | Israel’s Elbit repurchasing only series H notes under buyback for now
|
10/28/2015 | EULM | Stagecoach to redeem £400 million 5.75% guaranteed bonds at 105.332
|
10/28/2015 | EMLM | Marfrig gets tenders for $406.54 million of four note series in offers
|
10/28/2015 | EMLM | Russia’s Promsvyazbank buys back $333.37 million 10½% notes due 2021
|
10/28/2015 | HYLM | Huntsman redeems $195 million of subordinated notes due 2021 in Q3
|
10/28/2015 | EULM | National Asset Management redeems €1 billion of its senior notes
|
10/28/2015 | IGLM | Citi tenders for $5.2 billion 4.45% notes due 2017, 8.5% notes due 2019
|
10/28/2015 | HYLM | Seventy Seven buys back $10 million 6½% senior notes due 2022 in Q3
|
10/28/2015 | DDHYLM | Affinion extends exchange offers, lowers minimum tender thresholds
|
10/28/2015 | EMLM | Russia’s VTB Bank wraps Dutch auction tender, any-and-all offers
|
10/27/2015 | EMLM | Cyprus accepts tenders for €433.65 million of 4¾%, 4 5/8%, 6½% notes
|
10/27/2015 | EULM | BFCM accepts tenders for €168.53 million of undated fixed-to-floaters
|
10/27/2015 | EMLM | Oversea-Chinese Banking calls S$395.83 million 4.2% preference shares
|
10/27/2015 | IGLM | Regency Centers to redeem $100 million of 5.875% notes due 2017
|
10/27/2015 | HYLM | Tank & Rast receives tenders for €700,000 of 6¾% second-lien notes
|
10/27/2015 | LMMU | Maine Municipal Bond Bank defeases some transportation revenue bonds
|
10/27/2015 | LMMU | Michigan State Hospital calls some Trinity Health bonds due 2034
|
10/27/2015 | IGLM | Prologis to spend $200 million in tender offer for five note series
|
10/27/2015 | EMLM | Taiwan’s CTBC Bank to redeem 2005-5 perpetual subordinated notes
|
10/27/2015 | EULM | Roche begins tender for up to €250 million of 6.5% notes due 2021
|
10/27/2015 | IGLMPF | XL Group unit to call floating-rate subordinated notes due 2035, 2036
|
10/27/2015 | EMHYLM | UAE’s Millennium extends tender for 9½% notes; funding still needed
|
10/27/2015 | BKDDHYLM | Arch Coal ends private exchange offers; discussing balance sheet
|
10/27/2015 | EMLM | Lebanon sets minimum yields for new notes due 2024, 2028 in exchange
|
10/27/2015 | HYLM | PolyOne to repay 7 3/8% notes due 2020 using new term loan B
|
10/27/2015 | HYLM | AK Steel buys back $12.5 million senior notes in open market for Q3
|
10/26/2015 | HYLM | Oasis receives requested consents to amend 7¼%, 6½%, 6 7/8% notes
|
10/26/2015 | CVLM | Funcom bondholders vote in favor of amending 10% senior convertibles
|
10/26/2015 | HYLM | American Energy – Permian aims to clarify buyback terms for 8% notes
|
10/26/2015 | LMMU | Illinois Finance defeases $63.04 million of Advocate Health bonds
|
10/26/2015 | EMLM | China’s Yuzhou redeems $250 million 11¾% notes due 2017 at 105.875
|
10/26/2015 | HYLM | Homer City Generation extends solicitation for 8.137%, 8.734% notes
|
10/26/2015 | LMPF | Kimco Realty to redeem 6.9% class H redeemable preferreds on Nov. 25
|
10/26/2015 | ABLM | Gresham Street CDO Funding 2003-1 to redeem class D notes, preferreds
|
10/26/2015 | EMLM | China Galaxy to redeem RMB 1.5 billion three-year subordinated bonds
|
10/26/2015 | EMLM | Cyprus plans one-day tender and switch offers for three note series
|
10/23/2015 | EMLM | Chile’s Pampa Calichera further extends tender offer for 7¾% notes
|
10/23/2015 | LMMU | Posey County, Ind.’s Midwest Fertilizer bonds have mandatory tender
|
10/23/2015 | HYLM | Omnova Solutions to redeem $50 million of 7 7/8% notes at 101.969
|
10/23/2015 | HYLM | Selecta gets consents to amend €350 million, CHF 245 million 6½% notes
|
10/23/2015 | DDHYLM | Cecon Shipping seeks to extend maturity of tranche B2 bonds by a month
|
10/23/2015 | LMMU | Loma Linda, Calif., calls all 2005A university medical center bonds
|
10/23/2015 | CLLM | Leveraged Finance Europe to redeem six classes of notes on Nov. 17
|
10/23/2015 | HYLM | Hastings calls £150 million floaters due 2019, £159.9 million 8% notes
|
10/23/2015 | CAIGLM | Canadian Western Bank to redeem C$300 million 4.389% notes due 2020
|
10/23/2015 | EMLM | Kazakhstan Mortgage buys back KZT 5.36 billion of 6% bonds due 2018
|
10/23/2015 | DDHYLM | Findus calls 9 1/8% euro notes at 104.563, 9½% sterling notes at 104.75; redemption Nov. 3
|
10/23/2015 | EMLM | Lebanon offers notes due 2024, 2028 in exchange for 8½% notes due 2016
|
10/23/2015 | HYLM | Conn’s looks to alter restricted payment terms for 7¼% notes, tighten make-whole call period
|
10/23/2015 | CVLM | Electra Private Equity to force conversion on 5% subordinated notes
|
10/23/2015 | EMLM | Peru’s Azucarera extends tender for 6 3/8% notes, gives results so far
|
10/22/2015 | LMMUPF | Eaton Vance muni funds launch tender offers for auction preferreds
|
10/22/2015 | DDHYLM | Sterling Resources seeks waivers, amendments under 9% bonds due 2019
|
10/22/2015 | LMMU | Columbus, Ohio, to redeem all series 2005-D various purpose G.O. bonds
|
10/22/2015 | CVLM | Emerald Oil to privately exchange $3 million convertibles for stock
|
10/22/2015 | IGLM | Pitney Bowes to redeem all of its outstanding 5.25% notes due 2022
|
10/22/2015 | EMLM | General Shopping holders tender $85.84 million 10% perpetuals in offer
|
10/22/2015 | EMLM | Israel’s Elbit repurchases NIS 8.52 million series H senior notes
|
10/22/2015 | EMLM | Kazakhstan’s Intergas tenders for $270 million of 6 3/8% notes
|
10/22/2015 | LMMU | Massachusetts HEFA to redeem 2005C Lahey Clinic revenue bonds in full
|
10/22/2015 | LMMU | Sacramento County Sanitation to redeem $58.05 million of 2005 bonds
|
10/22/2015 | HYLM | Barminco buys back another $24.7 million 9% notes in off-market deal
|
10/22/2015 | LMMU | Franklin County Convention, Ohio, defeases $56.6 million of bonds
|
10/22/2015 | LMMU | School District No. 5 of Lexington, Richland, S.C., calls G.O. bonds
|
10/22/2015 | LMMU | Wayne County, Mich., calls all 2005 Detroit Metropolitan airport bonds
|
10/22/2015 | DDHYLM | Findus gets consents to amend 8¼%/9% PIK notes for planned asset sale
|
10/22/2015 | CVLM | Partners REIT calls 75% of 8% convertible subordinated notes due 2016
|
10/21/2015 | EMLM | China’s Agile Property seeks consents for 8 7/8% notes, 6½% notes
|
10/21/2015 | DDLMMU | Puerto Rico’s Government Development Bank nixes exchange offer plans
|
10/21/2015 | EMHYLM | Scripps Networks’ TVN unit calls all 7 7/8%, some 7 3/8% notes
|
10/21/2015 | HYLM | Oasis amends, extends consent solicitations for 7¼%, 6½%, 6 7/8% notes
|
10/21/2015 | LMMU | Utah Transit calls $155.55 million of sales tax bonds, series 2005B
|
10/21/2015 | CVLM | Host Hotels calls remaining $391.3 million 2.5% exchangeables due 2029
|
10/21/2015 | LMMU | San Francisco Unified School District defeases $90.2 million of bonds
|
10/21/2015 | LMMU | Suffolk County, N.Y., calls all 2003A Keyspan – Port Jefferson bonds
|
10/21/2015 | CLLM | ColumbusNova CLO announces planned redemption of six series of notes
|
10/21/2015 | LMMU | Chicago O’Hare International Airport calls third-lien revenue bonds
|
10/21/2015 | CVLM | CVS Health wraps tender offer for Omnicare’s 4.75% notes, 5% notes
|
10/21/2015 | LMMU | San Diego to redeem all series 2006 Burnham Institute certificates
|
10/21/2015 | DDEMLM | Rio Oil asks for waiver, amendment to 6¼% notes, 16¼% notes, 6¾% notes
|
10/21/2015 | HYLM | Gategroup calls €250 million of 6¾% senior notes due 2019 at 105.063
|
10/21/2015 | EMLM | Partner Communications may buy back NIS 250 million notes for one year
|
10/20/2015 | IGLM | Equity One calls $105.23 million of 6% senior notes due 2016 in full
|
10/20/2015 | LMMU | Nassau County, N.Y., calls $53.28 million of Keyspan-Glenwood bonds
|
10/20/2015 | LMMU | North Carolina Facilities calls $88.55 million Duke University bonds
|
10/20/2015 | HYLM | United Refining gets tenders, consents for 91.83% of 10½% notes so far
|
10/20/2015 | LMPF | Black Stone aims to launch tender offer for series A preferred units
|
10/20/2015 | EMLM | Greenko seeks waiver of acquisition from holders of 8% notes due 2019
|
10/20/2015 | CVLM | JetBlue to redeem outstanding 5.5% convertibles due 2038 on Nov. 24
|
10/20/2015 | LMMU | Southern Minnesota Power defeases some 2009A supply system bonds
|
10/20/2015 | IGLM | GE Capital to issue $36 billion notes in exchange offer for 123 series
|
10/20/2015 | ABLM | Deco 17-Pan Europe 7 to redeem all 10 classes of floaters due 2020
|
10/20/2015 | EULM | Swedish Match repurchases €9.4 million of 3.875% notes due 2017
|
10/20/2015 | EULM | Svenska Handelsbanken fully redeems €500 million of fixed-to-floaters
|
10/20/2015 | EULM | Stagecoach to redeem all £400 million 5.75% guaranteed bonds due 2016
|
10/20/2015 | HYLM | EXCO to buy back $577 million notes at 51, issue 12½% loan in return
|
10/20/2015 | HYLM | Tegna to redeem up to $180 million 7 1/8% senior notes due 2018 in Q4
|
10/20/2015 | HYLM | Gala Electric to redeem £100 million of 11½% senior notes due 2019
|
10/20/2015 | LMPF | BNCCorp to redeem $20.09 million 9% cumulative perpetual preferreds
|
10/20/2015 | EMLM | Banco ABC Brasil gives early tender count, extends early premium pay
|
10/20/2015 | EMLM | Uruguay to buy back $462.96 million of 4½% bonds in one-day tender
|
10/19/2015 | DDHYLM | Findus seeks PIK noteholder consents to divestiture-related amendments
|
10/19/2015 | HYLM | SRA International to redeem all 11% senior notes due Oct. 1, 2019
|
10/19/2015 | LMMU | BJC and Memorial extend consent solicitation deadline for 2013 bonds
|
10/19/2015 | CVLM | Tricon Capital calls 6.375% convertible debentures due Aug. 31, 2017
|
10/19/2015 | LMMU | Minneapolis-St. Paul calls $50 million of series 2012G notes due 2016
|
10/19/2015 | IGLMPF | Zions begins $180 million tender offer for series I, J, G preferreds
|
10/19/2015 | CVLM | Pembina Pipeline holders convert most debentures ahead of redemption
|
10/19/2015 | LMMU | California Pollution’s Republic Services bonds have mandatory tender
|
10/19/2015 | LMMU | California Health calls $13.6 million 2005 Cedars-Sinai Medical bonds
|
10/19/2015 | EMLM | Peru’s Alicorp tenders for $300 million 3 7/8% senior notes due 2023
|
10/19/2015 | EMLM | Uruguay begins one-day tender for capped amount of four note series
|
10/19/2015 | LMMU | Chicago defeases $961.01 million of series 2005A O’Hare Airport bonds
|
10/19/2015 | CVLM | Horizon Oil buys back $21.2 million of 5.5% convertibles due 2016
|
10/19/2015 | LMMU | California Educational defeases $50.97 million of Santa Clara bonds
|
10/19/2015 | EMLM | Russia’s VTB Bank begins tender offer for number of note series
|
10/19/2015 | EMLM | Soho China collects tenders for $146.73 million 7 1/8% notes in offer
|
10/19/2015 | LMMU | Houston calls $181.84 million of 2005 combined utility system bonds
|
10/19/2015 | DDEMLM | Ukraine’s Avangardco gets votes to extend 10% notes to 2018, allow PIK
|
10/19/2015 | EMLM | China-based CSI’s Estate Sky unit buys back some 6½% notes due 2018
|
10/19/2015 | HYLM | Oasis extends bid to amend notes to incur debt above borrowing base
|
10/19/2015 | HYLM | SandRidge ups notes buyback amount to $275 million under loan terms
|
10/16/2015 | IGLM | JPMorgan to redeem $438.43 million in 29 notes on Nov. 15, one on Dec. 15
|
10/16/2015 | CVLMPF | Campus Crest 4.75% convertibles, 8% preferreds to be repaid, redeemed
|
10/16/2015 | HYLM | IAC announces tender for 4 7/8% notes, exchange offer for 4¾% notes
|
10/16/2015 | IGLM | Dow Chemical calls 77 series of InterNotes totaling $395.25 million
|
10/16/2015 | CVLM | Orbite Technologies redeems all C$25 million of 8% 2012 convertibles
|
10/16/2015 | LMMU | New York MTA to redeem $1.52 billion of 2005A, 2005B and 2005F bonds
|
10/16/2015 | LMPF | Two Pimco funds announce tender offers for auction-rate preferreds
|
10/16/2015 | EUIGLM | Sumitomo Mitsui redeems perpetual fixed to floaters issued in 2005
|
10/16/2015 | EMLM | Croatia’s Hrvatska Elektroprivreda gets tenders for 83% of 6% notes
|
10/16/2015 | LMMU | Louisiana Public Facilities calls $53.05 million Tiger Athletic bonds
|
10/16/2015 | LMMU | Austin, Texas, defeases series 2007 COPs, bonds, calls series 2005 bonds
|
10/16/2015 | LMMU | Special Care of Birmingham, Ala., calls all 2005A Baptist Health bonds
|
10/16/2015 | EMLM | Singapore’s Stats ChipPAC tallies tenders in change-of-control offer
|
10/16/2015 | EULM | Verbund to buy back €146.54 million of 4.75% notes at 115.79 in offer
|
10/16/2015 | LMMU | California calls $224.46 million of 2005A Sutter Health revenue bonds
|
10/16/2015 | LMMU | Minneapolis calls $72.75 million 2005D Fairview Health revenue bonds
|
10/16/2015 | LMMU | Austin, Texas, defeases 2007 certificates, public improvement bonds
|
10/16/2015 | EULM | Barclays aims to amend four series of covered bonds into soft bullets
|
10/16/2015 | EULM | BFCM tenders for €403.9 million deeply subordinated fixed-to-floaters
|
10/16/2015 | DDHYLM | Logan’s issues 0%, 4% notes in exchange for $211.1 million 10¾% notes
|
10/16/2015 | CVLM | Difference issuer bid draws C$18.82 million of 8% convertibles
|
10/16/2015 | HYLM | Pfleiderer gets no contest in bid to amend 7 7/8% senior notes
|
10/15/2015 | DDHYLM | immigon to spend €53 million to buy back bonds, calls certificates
|
10/15/2015 | LMMU | Massachusetts Bay defeases $196.42 million of three series of bonds
|
10/15/2015 | IGLM | Hewlett-Packard prices tender offer; waterfall offer oversubscribed
|
10/15/2015 | CVLM | Callaway Golf calls all remaining 3.75% convertible notes due 2019
|
10/15/2015 | HYLM | Commercial Vehicle to redeem $15 million of 7 7/8% notes due 2019
|
10/15/2015 | LMPF | United Security Bancshares retires $3 million junior subordinated debt
|
10/15/2015 | LMMU | Washington Health’s $80 million MultiCare bonds have mandatory tender
|
10/15/2015 | LMMU | Will County Forest, Ill., calls $62.6 million of 2005A G.O. bonds
|
10/15/2015 | LMMU | San Joaquin Delta defeases some series 2008B general obligation bonds
|
10/15/2015 | LMMU | Connecticut defeases $157.78 million of 2007A transportation bonds
|
10/15/2015 | HYLM | Fortescue Metals repurchases $384 million of notes due 2019, 2022
|
10/15/2015 | IGLM | Hewlett-Packard gives tender update; waterfall offer oversubscribed, pricing set
|
10/15/2015 | EMLM | Israel’s Elbit repurchases NIS 6.02 million series H senior notes
|
10/15/2015 | DDHYLM | Piraeus offers to exchange three series, skips dividend on preferreds
|
10/15/2015 | LMMU | San Bernardino Community College defeases $58.39 million of 5% bonds
|
10/15/2015 | EMLM | Taiwan-based CTBC’s Taiwan Life subsidiary to redeem some preferreds
|
10/15/2015 | DDHYLM | Affinion falls short so far in exchange offers for two note series
|
10/15/2015 | EMLM | Philippines’ EastWest to redeem PHP 1.5 billion subordinated debt
|
10/15/2015 | IGLM | Hewlett-Packard gives tender update; waterfall offer oversubscribed
|
10/15/2015 | EMLM | China Galaxy to redeem all RMB 1.5 billion eighth tranche bonds
|
10/15/2015 | DDEMLM | Ukraine holders OK exchange for 13 note series; one meeting adjourned
|
10/15/2015 | HYLM | MedImpact gets early tenders for 99.74% of 10½% senior secured notes
|
10/14/2015 | HYLM | First Data to redeem 11¼% notes, 12 5/8% notes with IPO proceeds
|
10/14/2015 | CAIGLM | Barrick Gold prices tender offer for seven note series, increases cap
|
10/14/2015 | LMMU | St. Leonard asks bondholders to waive delivery of financial statements
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10/14/2015 | IGLM | Host Hotels to redeem all $500 million series V notes Nov. 2, Nov. 13
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10/14/2015 | EULM | Swiss Life to redeem €350 million of fixed/floating perpetual notes
|
10/14/2015 | LMMU | Broward County, Fla., to redeem $52.92 million 2004L airport bonds
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10/14/2015 | LMMU | Massachusetts HEFA might redeem UMass Memorial Health revenue bonds
|
10/14/2015 | LMMU | Missouri Joint Municipal Electric eyes refunding some Iatan 2 bonds
|
10/14/2015 | LMMU | Sacramento Financing defeases $139.18 million of solid waste bonds
|
10/14/2015 | LMMU | Main Street Natural Gas’ 2010A-2 revenue bonds have mandatory tender
|
10/14/2015 | IGLM | American Water Capital calls all $30 million of 6% notes due 2040
|
10/14/2015 | LMMU | Sacramento Financing defeases $70.74 million of 2006A community bonds
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10/14/2015 | LMMU | Texas Transportation defeases 2006A, 2007 G.O. mobility fund bonds
|
10/14/2015 | IGLMPF | Wisconsin Public Service calls 7.125% bonds, five preferred series
|
10/14/2015 | HYLM | Homer City Generation extends consent bid for 8.137%, 8.734% notes
|
10/14/2015 | EMLM | Croatia’s Hrvatska Elektroprivreda extends tender offer for 6% notes
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10/14/2015 | CAIGLM | Barrick lifts tender offer cap for seven note series to $850 million
|
10/14/2015 | IGLM | Excel Trust purchases $249.23 million of 4.625% notes in tender offer
|
10/14/2015 | DDHYLM | Affinion extends consent time in exchange offers for two note series
|
10/14/2015 | EMLM | Marfrig extends early tender pay for 6 7/8%, 8 3/8%, 9½%, 11¼% notes
|
10/13/2015 | HYLM | SunGard’s notes to be redeemed by Fidelity following acquisition
|
10/13/2015 | CVLM | Funcom seeks to extend 10% convertibles maturity, cut conversion price
|
10/13/2015 | EMLM | Brazil’s Banrisul buys back $251.82 million 7 3/8% notes via tender
|
10/13/2015 | CADDHYLM | Iona Energy gets bondholder approval to reallocate $24 million cash
|
10/13/2015 | EULM | Brussels Airport seeks consents from holders of three series of bonds
|
10/13/2015 | LMMU | New York State Power Authority calls $74.59 million of 2006A bonds
|
10/13/2015 | LMMU | Greater New Haven Water calls $74.45 million 2005A wastewater bonds
|
10/13/2015 | LMMU | San Francisco calls $131.94 million of building COPs, series 2007A
|
10/13/2015 | EMLM | Singapore’s Wing Tai calls 4% notes due 2018 for Nov. 12 redemption
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10/13/2015 | EMLM | Singapore’s Stats ChipPAC wraps tender offer for 5 3/8%, 4½% notes
|
10/13/2015 | CVLM | FX Energy convertible preferreds to be redeemed in Orlen acquisition
|
10/12/2015 | EMLM | Elbit Imaging to repurchase up to NIS 50 million notes in new program
|
10/12/2015 | HYLM | Selecta solicits consents for 6½% euro, Swiss franc notes due 2020
|
10/12/2015 | EMLM | South Africa’s FirstRand buys back $158.18 million of 4 3/8% notes
|
10/12/2015 | EMHYLM | Millennium receives tenders for 98% of 9½% notes by early deadline
|
10/12/2015 | EMLM | China’s ENN Energy takes in tenders for $335.17 million of 3¼% notes
|
10/12/2015 | EMLM | Soho China extends tender for $400 million 7 1/8% notes by one week
|
10/9/2015 | LMMU | Long Island Power wraps tender offer for electric system revenue bonds
|
10/9/2015 | EMLM | Evraz Group repurchases $4 million of 8¼% notes due November 2015
|
10/9/2015 | EMLM | Chile’s Pampa Calichera sweetens, extends tender offer for 7¾% notes
|
10/9/2015 | LMMU | University of Massachusetts Building Authority calls some bonds at par
|
10/9/2015 | EULM | EIB to repurchase Kr 2.78 billion of 2% bonds after one-day tender
|
10/9/2015 | LMMU | University of Missouri calls $108.69 million 2006A bonds at par
|
10/9/2015 | LMMU | Pasadena USD, Los Angeles County to redeem G.O. bonds Nov. 1 at 102
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10/9/2015 | EMLM | Lippo Malls gets early consents for four note series; quorum expected
|
10/9/2015 | EULM | Sweden’s Gothenburg repurchases SEK 157 million of floaters due 2016
|
10/9/2015 | DDEMLM | Russian Standard, holders rework restructuring for 13%, 11½% notes
|
10/9/2015 | EULM | QED Finance calls £115 million of 6.5% secured bonds due 2020
|
10/8/2015 | IGLM | BioMed to repurchase or redeem notes in connection with acquisition
|
10/8/2015 | CAIGLM | Sun Life Financial to redeem fixed-to-floating debentures due 2035
|
10/8/2015 | LMMU | Jefferson Parish Hospital, La., defeases some West Jefferson bonds
|
10/8/2015 | CLLM | St. Paul’s CLO II holders to vote on amendments to notes’ trust deed
|
10/8/2015 | LMMU | University of Colorado calls $138.91 million of 2005B Fitzsimons COPs
|
10/8/2015 | CLLM | St. Paul’s CLO III asks holders to vote on amending notes’ trust deed
|
10/8/2015 | HYLM | SunCoke Energy calls $60.4 million of 7 5/8% senior notes due 2019
|
10/8/2015 | EULM | Finnair bondholders tender €81.7 million of hybrid bonds in offer
|
10/8/2015 | LMMU | California Pollution Control calls solid waste disposal revenue bonds
|
10/8/2015 | EMLM | Akbank announces repurchase of portion of 7½% lira-denominated bonds
|
10/8/2015 | LMMU | California Public Works calls $117.86 million of university bonds
|
10/8/2015 | EMLM | Peru’s Azucarera amends tender for 6 3/8% notes, extends consent date
|
10/8/2015 | IGLM | Host Hotels to use new offering proceeds to redeem 6% notes due 2020
|
10/8/2015 | EULM | Enterprise Holdings buys back €9.2 million of its 7% bonds due 2017
|
10/8/2015 | EULM | Old Mutual to redeem €500 million of fixed-to-floating notes Nov. 4
|
10/8/2015 | EULM | Vinci to redeem €500 million fixed-to-floating rate bonds in full
|
10/8/2015 | CVLM | Nokia calls 5% convertibles due 2017 at par; notes are convertible
|
10/8/2015 | CVLM | Icahn subsidiary obtains tenders for 68% of Vivus’ 4.5% convertibles
|
10/8/2015 | HYLM | Com Hem calls Norcell’s €186.59 million 10¾% notes due 2019 at 105.375
|
10/8/2015 | CVLM | Goodrich Petroleum to retire $17.1 million 5% convertibles in exchange
|
10/8/2015 | CVDDHYLM | SandRidge buys back $100 million notes for cash, exchanges $300 million notes into convertibles
|
10/7/2015 | HYLM | Targa Resources to pay down facility borrowings, might redeem notes
|
10/7/2015 | HYLM | Atlantica Tender bondholders approve amending 8% second-lien bonds
|
10/7/2015 | LMMU | Connecticut to redeem all $150 million 2005D general obligation bonds
|
10/7/2015 | HYLM | Obrascon tenders for €303 million of notes by modified Dutch auction
|
10/7/2015 | IGLM | Roche holders tender $275,000 more 7% notes, $5.44 million 6% notes
|
10/7/2015 | EULM | Swedish Match repurchases €18.5 million of 3.875% notes due 2017
|
10/7/2015 | EULM | Society of Lloyds to redeem £300 million 6.875% notes on Nov. 17
|
10/7/2015 | CVDDLM | REXlot revises bid to amend convertibles’ put terms; holder weighs in
|
10/7/2015 | EULM | Verbund begins tender for up to €300 million of 4.75% notes due 2019
|
10/7/2015 | EMLM | Croatia’s Hrvatska Elektroprivreda tenders for $500 million 6% notes
|
10/6/2015 | CVLM | DDR announces put option for 1.75% convertible senior notes due 2040
|
10/6/2015 | EULM | Gothaer scraps tender offer for €250 million fixed-to-floating bonds
|
10/6/2015 | HYLM | Atlantic Offshore secures votes for waiver of covenant, amendment
|
10/6/2015 | EMLM | Brazil’s Banco BMG ups cap, accepts all tendered 8 7/8%, 9.95% notes
|
10/6/2015 | LMMU | Missouri HEFA to redeem $32.86 million Ascension Health revenue bonds
|
10/6/2015 | EMLM | Brazil’s Banco Votorantim accepts no more tenders of 7 3/8% notes
|
10/6/2015 | HYLM | United Refining tenders, seeks consents for $237.25 million 10½% notes
|
10/6/2015 | EULM | Instituto de Credito buys back €558.42 million notes via Dutch auction
|
10/6/2015 | IGLM | Senior Housing to redeem $250 million of 4.3% senior notes due 2016
|
10/6/2015 | HYLM | Nektar Therapeutics redeems in full $125 million 12% notes due 2017
|
10/6/2015 | CVLM | Quantum repays $81 million convertibles due 2015 via revolver drawdown
|
10/6/2015 | CVLM | CVS Health gets consents to amend Omnicare’s 4.75% notes, 5% notes
|
10/6/2015 | HYLM | Oasis seeks to amend three notes to incur debt above borrowing base
|
10/6/2015 | HYLM | Realogy to repay $789 million 7 5/8% notes, 9% notes by year-end
|
10/5/2015 | BKCAHYLM | First Quantum Minerals sets goal to reduce net debt by $1 billion
|
10/5/2015 | IGLM | GE Capital prices private exchange offers for 123 series of notes
|
10/5/2015 | LMMU | Houston calls, defeases three series of first-lien refunding bonds
|
10/5/2015 | EMLM | Banco ABC Brasil begins tender offer for $100 million of 7 7/8% notes
|
10/5/2015 | CVLM | Le Noble Age buys back 33.97% of Ornanes due 2016 at €22.25 each
|
10/5/2015 | LMMU | Eaton Vance says municipal income funds tender for auction preferreds
|
10/5/2015 | IGLM | GE Capital holders tender for exchange $53.9 billion of 123 note series
|
10/5/2015 | CLLM | Octagon Investment to redeem four classes of notes, preferred shares
|
10/5/2015 | CVLM | Epsilon Energy plans normal course issuer bid for 7.75% convertibles
|
10/5/2015 | LMMU | Minneapolis defeases $58.75 million of 2010 National Marrow Donor bonds
|
10/5/2015 | CADDHYLM | Iona Energy asks holder OK to reallocate $24 million cash; meeting set
|
10/5/2015 | HYLM | Schaeffler Holding revokes bond redemption, to refinance later
|
10/5/2015 | HYLM | EWOS calls to redeem €225 million 6¾% notes, NOK 1.81 billion floaters
|
10/5/2015 | CVLM | Subsea 7 buys back $10 million more of 1% convertible bonds due 2017
|
10/5/2015 | HYLM | Lowell Group calls 5 7/8% notes due 2019, 10¾% notes due 2019
|
10/5/2015 | EMLM | Promsvyazbank tenders for 10.2% notes, up to $50 million of 10½% notes
|
10/2/2015 | LMMU | BJC and Memorial extend consent solicitation deadline for 2013 bonds
|
10/2/2015 | IGLM | Pfizer wraps exchange for four series of Hospira notes after buyout
|
10/2/2015 | IGLM | Applied Materials calls $400 million of 2.65% senior notes due 2016
|
10/2/2015 | LMPF | Porter Bancorp issues shares in exchange for $4.3 million of debt
|
10/2/2015 | LMMU | Long Island Power increases payment, extends offer for 2006A bonds
|
10/2/2015 | HYLM | Verisure plans to redeem €971.5 million of senior notes due 2018
|
10/2/2015 | HYLM | Solor Bioenergi asks bondholders to approve waiver of expected default
|
10/2/2015 | LMMU | California State University calls $474.44 million 2005C revenue bonds
|
10/2/2015 | LMMU | Fairfax, Va.’s 2005A Inova Health revenue bonds have mandatory tender
|
10/2/2015 | CVLM | National Healthcare to redeem all series A convertible preferred stock
|
10/2/2015 | LMMU | Tarrant County, Texas, defeases some series 2005, 2006, 2007 bonds
|
10/2/2015 | LMMU | San Francisco calls $134.29 million of building COPs, series 2007A
|
10/2/2015 | IGLMPF | Lloyds redeems all 5.92% non-cumulative fixed-to-floating preferreds
|
10/2/2015 | CVLM | Ryland holders may convert 1.625%, 0.25% notes into CalAtlantic stock
|
10/2/2015 | CVLM | Hologic holders now may convert 2% notes due 2037 through Dec. 31
|
10/1/2015 | LMSPSW | Barclays launches consent solicitation for iPath Bloomberg Energy ETNs
|
10/1/2015 | CAIGLM | Royal Bank of Canada calls C$1.5 billion of 3.18% debentures due 2020
|
10/1/2015 | LMPF | Community West to redeem remaining $5.57 million of 9% preferreds
|
10/1/2015 | CAIGLM | Bell Canada calls C$1 billion 3.6% series M-21 debentures due 2015
|
10/1/2015 | HYLM | Fabege will redeem all SEK 1.17 billion of fixed-, floating-rate notes
|
10/1/2015 | EMLM | Stats ChipPAC to settle early tendered 5 3/8%, 4½% notes on Oct. 6
|
10/1/2015 | CVLM | Icahn subsidiary affirms cash tender offer for Vivus 4.5% convertibles
|
10/1/2015 | CVLM | LabCorp says 0% notes due 2021 remain convertible until year-end
|
10/1/2015 | CVLM | CBIZ holders convert all $48.4 million 4.875% convertibles due 2015
|
10/1/2015 | CVLM | ReneSola buys back $36 million of convertible notes due 2018 in Q3
|
9/30/2015 | DDHYLM | Vantage Drilling to explore restructuring with large debt holders
|
9/30/2015 | HYLM | Start Up 271 bondholders approve extension of maturity date to 2020
|
9/30/2015 | LMMU | San Francisco Bay Area Rapid Transit calls $231.97 million of bonds
|
9/30/2015 | DDEMLM | Turkey’s Yuksel Insaat gets OK to allow restructuring of 9½% notes
|
9/30/2015 | CVLM | Boralex redeems remaining 6.75% convertible debentures after tender
|
9/30/2015 | CVLM | Energy Fuels to repurchase C$2.2 million convertibles over next year
|
9/30/2015 | EULM | National Asset Management redeems €1.75 billion of its senior notes
|
9/30/2015 | IGLM | Hewlett-Packard launches tender offers for up to $8.85 billion notes
|
9/30/2015 | DDHYLM | Affinion offers to exchange 13¾%/14½% notes, 13½% notes for stock
|
9/30/2015 | CVLM | TPK Holding’s 0% euro convertible bonds due 2017 putable at par
|
9/30/2015 | CADDHYLM | Iona Energy approved to extend long-stop date for restructuring
|
9/30/2015 | CVLM | Subsea 7 buys back $15.4 million of 1% convertible bonds due 2017
|
9/30/2015 | HYLM | MedImpact begins tender offer for 10½% senior secured notes due 2018
|
9/30/2015 | IGLMPF | Oil Casualty Insurance gets consents to amend 8% subordinated notes
|
9/30/2015 | DDEMLM | General Shopping extends tender offer for $50 million 10% perpetuals
|
9/29/2015 | DDLMPV | Gran Colombia to exchange gold, silver notes via plan of arrangement
|
9/29/2015 | CVGNHYLM | NBT’s 8½% bondholders approve NOK 205 million new convertibles
|
9/29/2015 | CVLM | Energy Fuels plans normal course issuer bid for convertibles due 2017
|
9/29/2015 | CVLM | Nokia plans exchange offer for Alcatel Lucent’s convertible bonds
|
9/29/2015 | HYLM | Iron Mountain to redeem notes due 2018, 2019 and 2021 on Oct. 13
|
9/29/2015 | CAIGLM | Barrick begins tender offer for up to $750 million of seven notes
|
9/29/2015 | EULM | Instituto de Credito begins Dutch auction tender for €1 billion notes
|
9/29/2015 | EULM | Quintain’s 6.5% bonds due 2020 putable after change of control
|
9/29/2015 | EULM | Proximus buys back €249.5 million 4.375% notes, €95.2 million 3.875% notes in offers
|
9/29/2015 | EULM | Bank of Cyprus cancels €350 million of series 2 floaters due June 2017
|
9/29/2015 | EULM | RL Finance calls £246 million 6 1/8% step-up subordinated perpetuals
|
9/29/2015 | LMMU | Illinois Finance defeases $196.07 million of OSF Health Care bonds
|
9/29/2015 | LMMU | Ohio defeases $54.58 million of infrastructure improvement G.O. bonds
|
9/29/2015 | LMMU | Hamilton, Ohio, defeases $99.14 million of electric system bonds
|
9/29/2015 | EMLM | Israel’s ZIM Integrated Shipping to redeem $11.77 million of notes
|
9/29/2015 | CVLM | Abengoa seeks to amend guarantee for 4.5%, 5.125%, 6.25% convertibles
|
9/29/2015 | HYLM | Soho House to leave 9 1/8% senior secured notes due 2018 outstanding
|
9/29/2015 | EMLM | Marfrig starts tender offers for 6 7/8%, 8 3/8%, 9½%, 11¼% notes
|
9/29/2015 | IGLM | Excel Trust further extends tender offer for 4.625% notes due 2024
|
9/28/2015 | IGLMPF | Ares Capital to redeem all $200 million of 7.75% senior notes due 2040
|
9/28/2015 | CVLM | Difference Capital ups purchase price for 8% convertible debentures
|
9/28/2015 | LMMU | Massachusetts HEFA calls all series 2005E Emerson Hospital bonds
|
9/28/2015 | IGLM | Omega Healthcare calls all outstanding 6.75% senior notes due 2022
|
9/28/2015 | EMLM | Stats ChipPAC tallies early tenders, gets consents for two note series
|
9/28/2015 | LMPF | Berkshire Income Realty intends to redeem all 9% series A preferreds
|
9/28/2015 | EULM | Finnair plans cash tender offer for €120 million of hybrid bonds
|
9/28/2015 | EULM | Barclays Bank calls all £135.29 of 6.875% undated subordinated notes
|
9/28/2015 | EULM | Pirelli holders vote to amend €500 million of 5.125% notes due 2016
|
9/28/2015 | EMLM | China’s Haitong seeks bondholder approval of A, H share repurchase
|
9/28/2015 | EMHYLM | Millennium Offshore tenders for 9½% notes, contingent on funding
|
9/25/2015 | IGLM | Joy Global to redeem in full $250 million 6% senior notes due 2016
|
9/25/2015 | IGLM | Florida Power & Light accepts early tenders for $400 million bonds; pricing set
|
9/25/2015 | LMMU | Elizabeth River to redeem $37.5 million of bonds at project’s finish
|
9/25/2015 | DDHYLM | Metro Exploration bondholders easily approve interest payment waiver
|
9/25/2015 | LMMU | San Diego Facilities defeases $148.82 million of sewer revenue bonds
|
9/25/2015 | CVLM | Pinetree Capital calls C$5 million more 10% convertibles due 2016
|
9/25/2015 | LMMU | Lahey Health System may refund some bonds issued by Massachusetts HEFA
|
9/25/2015 | LMMU | North Texas Tollway defeases $744.66 million of refunding bonds
|
9/25/2015 | LMMU | Yonkers, N.Y., defeases outstanding series 2005A, 2005B 5% G.O. bonds
|
9/25/2015 | LMPV | Kayne Anderson calls $125 million of series HH floating-rate notes
|
9/25/2015 | EMIGLM | AngloGold holders tender $779.27 million 8.5% notes due 2020 in offer
|
9/25/2015 | IGLM | Florida Power accepts early tenders for $400 million bonds; cap reached
|
9/25/2015 | DDHYLM | Goodrich Petroleum offers notes, warrants in exchange for 8 7/8% notes
|
9/25/2015 | DDEMLM | Metinvest holders form ad hoc group to stand in for three note series
|
9/25/2015 | CVLM | Russel Metals calls $174.35 million of 7.75% convertibles due 2016
|
9/25/2015 | EMLM | Azucarera tenders, seeks consents for $165 million 6 3/8% notes
|
9/24/2015 | EMLM | Soho China begins tender offer for $400 million 7 1/8% notes due 2022
|
9/24/2015 | LMMU | Judson ISD, Texas, defeases 2008 unlimited tax school building bonds
|
9/24/2015 | LMMU | San Diego Facilities defeases $169.65 million of sewer revenue bonds
|
9/24/2015 | LMMU | Los Angeles County Public Works defeases some 2005, 2006 lease bonds
|
9/24/2015 | LMMU | San Diego Water defeases $53.38 million bonds, $133.45 million COPs
|
9/24/2015 | LMMU | Wayne County, Mich., calls $25 million of 2005 airport revenue bonds
|
9/24/2015 | LMMU | California’s $744.15 million of gas supply bonds have mandatory tender
|
9/24/2015 | LMMU | Sacramento’s $300 million of 2015 Golden 1 bonds have mandatory tender
|
9/24/2015 | EULM | Commonwealth Bank of Australia OK’d to convert bonds to soft bullets
|
9/24/2015 | DDEMLM | RA Holding approves of partial redemption of class A preferred shares
|
9/24/2015 | HYLM | Iron Mountain plans to redeem 6¾% euro notes, 7¾% notes, 8 3/8% notes
|
9/24/2015 | HYLM | Soho House calls £145 million 9 1/8% senior secured notes at 106.844
|
9/24/2015 | HYLM | Abengoa expects to prepay €375 million of 2016 bonds by year-end
|
9/24/2015 | CVLM | Aston Hill aims to amend, extend 6% convertibles; redemption planned
|
9/24/2015 | CAIGLM | Laurentian Bank of Canada calls C$250 million 3.7% series 2010-1 notes
|
9/24/2015 | DDHYLM | Arch Coal again extends offer to exchange notes, concurrent offer
|
9/23/2015 | EMLM | China’s ENN Energy begins tender offer for $400 million 3¼% notes
|
9/23/2015 | LMMU | BJC and Memorial extend consent solicitation deadline for 2013 bonds
|
9/23/2015 | HYLM | Atlantica Tender Drilling seeks to amend 8% second-lien bonds due 2019
|
9/23/2015 | HYLM | Global Rig seeks waiver, amendments in 9% callable bonds due 2019
|
9/23/2015 | EULM | UniCredito Italiano Capital Trust IV calls £49.7 million preferreds
|
9/23/2015 | EULM | UniCredito Italiano Capital Trust III calls outstanding preferreds
|
9/23/2015 | LMMU | Texas Transportation defeases $837.64 million state highway fund bonds
|
9/23/2015 | LMMU | Louisiana Local Government calls $63.79 million Woman’s Hospital bonds
|
9/23/2015 | IGLM | Roche gives early tender update in offer for $1 billion of three notes
|
9/23/2015 | HYIGLM | GFI Group extends bid to shift SEC filings to BGC, lifts consent fee
|
9/23/2015 | CADDHYLM | Iona Energy looks to extend restructuring long-stop date by two months
|
9/23/2015 | CAIGLM | Fairfax begins one-year issuer bid for eight series of preferreds
|
9/23/2015 | DDEMLM | Russian Standard seeks creditor meeting to OK restructuring two notes
|
9/22/2015 | EMLM | Fiji ends tender offer, accepts $243.15 million 9% notes for purchase
|
9/22/2015 | HYLM | Atlantic Offshore seeks waiver of covenant, amendment from bondholders
|
9/22/2015 | EULM | Holding d’Infrastructures tenders for up to €250 million 5.75% notes
|
9/22/2015 | LMMU | Yeshiva redeems some bonds with proceeds of medical school transfer
|
9/22/2015 | CVLM | Vivus board remains neutral toward Icahn 4.5% convertible tender offer
|
9/22/2015 | IGLM | CVS Health begins exchange offer for Omnicare’s 4.75% notes, 5% notes
|
9/22/2015 | DDEMLM | Ukraine seeks OK under 14 note series for exchange offers; meeting set for Oct. 14 in London
|
9/22/2015 | GNHYLM | LM Group gets consents for 8% notes to allow additional secured debt
|
9/22/2015 | EMLM | Brazil’s Banco Votorantim accepts tenders for $283.13 million notes
|
9/22/2015 | LMMU | New Jersey Educational defeases some 2008D College of New Jersey bonds
|
9/22/2015 | IGLM | Oil Casualty Insurance seeks consents to amend 8% subordinated notes
|
9/22/2015 | EULM | Pirelli fails to garner needed support to amend 1.75% notes due 2019
|
9/22/2015 | LMMU | Colorado Health defeases $79.48 million of Adventist/Sunbelt bonds
|
9/22/2015 | LMMU | Mississippi Business calls $25 million of 5.875% System Energy bonds
|
9/22/2015 | CVLM | Le Noble Age buys back 57.42% of Ornanes due 2016 at €22.25 each
|
9/22/2015 | EMLM | Marco Polo Marine receives consents to ease covenants on 5¾% notes
|
9/22/2015 | CVDDLM | REXlot seeks to amend convertibles’ put provision after stock halted
|
9/22/2015 | CLLM | Iron Hill CLO redeems all $16.34 million of class C notes due 2025
|
9/22/2015 | EMLM | Brazil’s Banco BMG announces early tenders for 8 7/8%, 9.95% notes
|
9/22/2015 | HYLM | Kratos offer oversubscribed, to accept 28.32% of tendered 7% notes
|
9/21/2015 | CVLM | Le Noble Age may buy back Ornanes due 2016 in reverse bookbuilding
|
9/21/2015 | EMLM | Lippo Malls solicits consents to amend four series of notes
|
9/21/2015 | IGLM | GE Capital subsidiary begins exchange offers for 123 series of notes
|
9/21/2015 | EMHYLM | TVN prepays €43 million of notes due 2020, pays €1.3 million premium
|
9/21/2015 | CVLM | China Power International calls all 2.75% convertible bonds due 2017
|
9/21/2015 | HYLM | Par Pharmaceutical plans to redeem 7 3/8% notes due 2020 on Sept. 30
|
9/21/2015 | LMMU | MTA, N.Y., defeases several series 2005A, 2005B and 2005F bonds
|
9/21/2015 | LMMU | California calls $65.9 million 2006 University of the Pacific bonds
|
9/21/2015 | EMLM | Russia’s Bank of Khanty-Mansiysk 9.15% noteholders OK amendments
|
9/21/2015 | LMMU | Memphis, Tenn., calls all series 2006A general improvement bonds
|
9/21/2015 | CLLM | CIFC Funding 2006-I calls four classes of notes for redemption
|
9/21/2015 | EMLM | Brazil’s Oi looks at extending debt maturities via asset sale
|
9/21/2015 | DDHYLMPV | ZaZa Energy holders put back all $50.1 million of 8% notes due 2017
|
9/21/2015 | EMLM | Old Mutual to redeem ZAR 3 billion notes on Oct. 27
|
9/21/2015 | EULM | Landsbankinn plans to redeem ISK 47 billion of bonds by year’s end
|
9/21/2015 | EULM | Proximus tenders for 4.375% notes, up to capped amount of 3.875% notes
|
9/21/2015 | EULM | Gothaer extends tender offer for €250 million fixed-to-floating bonds
|
9/21/2015 | EULM | Kedrion begins tender offer for €100 million of 4.625% notes due 2019
|
9/21/2015 | CAEMHYLM | Uranium One accepts tenders for $29.59 million of 6¼% notes in offer
|
9/21/2015 | HYLM | Schaeffler Holding to redeem all bonds, plans loan, future bond issue
|
9/21/2015 | HYLM | Acadia Healthcare gets tenders for 90.6% of 12 7/8% notes, calls rest
|
9/21/2015 | IGLM | Applied Materials plans to redeem $400 million 2.65% notes due 2016
|
9/21/2015 | LMMU | Kansas Department of Transportation defeases $200 million of bonds
|
9/21/2015 | HYLM | Bravida calls €225 million floaters, SEK 1.3 billion floaters due 2019
|
9/18/2015 | EMLM | Russia’s Mechel holders approve plans to restructure two bond series
|
9/18/2015 | LMMU | California Educational calls all $50 million 2003C USC revenue bonds
|
9/18/2015 | CLLM | Oaktree Enhanced Income Funding Series III calls three sets of notes
|
9/18/2015 | LMMU | Michigan calls 2005A, 2005B environmental program G.O. bonds in full
|
9/18/2015 | CLLM | Oaktree Enhanced Income Funding Series I calls class A, income notes
|
9/18/2015 | CLLM | Oaktree Enhanced Income Funding Series II calls class A, income notes
|
9/18/2015 | LMMU | Minnesota Higher Education calls all series 2012B student loan bonds
|
9/18/2015 | LMMU | Michigan State Building pre-refunds some facilities program bonds
|
9/18/2015 | HYLM | RKI announces redemption of all $400 million of 8½% notes due 2021
|
9/18/2015 | LMMU | Northwest ISD, Texas, redeems, defeases some unlimited tax bonds
|
9/18/2015 | CVLM | Vantage Drilling holders put $1.84 million 7.875% senior convertible notes due 2042
|
9/18/2015 | HYLM | Norway’s Aker purchases NOK 202 million of senior bonds due May 2020
|
9/18/2015 | IGLM | Pfizer gives early tender update in exchange offers for Hospira notes
|
9/17/2015 | CVDDLM | 49 North seeks to exchange 9% convertibles amid oil and gas downturn
|
9/17/2015 | HYLM | Dycom Investments to redeem all $277.5 million 7 1/8% notes due 2021
|
9/17/2015 | LMMU | New Jersey Economic defeases some school facilities construction bonds
|
9/17/2015 | DDHYLM | Sea Production gets approval to extend bond maturity to March 2016
|
9/17/2015 | LMMU | Allen County, Ohio, calls $125 million of Catholic Healthcare bonds
|
9/17/2015 | LMMU | Dasny defeases $56.1 million of City University bonds, series 2005A
|
9/17/2015 | LMMU | Indiana Bond Bank defeases $119.57 million of school severance bonds
|
9/17/2015 | HYLM | Hastings Insurance calls £106.6 million of 8% senior notes due 2020
|
9/17/2015 | LMMU | Dasny defeases some series 2012D general purpose income tax bonds
|
9/17/2015 | LMMU | New York Environmental defeases income tax bonds from three series
|
9/17/2015 | LMMU | Texas Municipal Power redeems $14.12 million of 1993 Garland bonds
|
9/17/2015 | CVLMPF | Condor Hospitality Trust drops exchange offer for 8%, 10% preferreds
|
9/17/2015 | HYLM | Tank & Rast starts change-of-control offer for 6¾% second-lien notes
|
9/17/2015 | DDEMLM | Yuksel Insaat solicits consents to allow restructuring of 9½% notes
|
9/17/2015 | GNHYLM | MEIF: Acquisition will not trigger change of control under 6¾% notes
|
9/17/2015 | EMLM | Arab National Bank calls $450 million of lower tier 2 floaters at par
|
9/17/2015 | HYLM | Mobylife buys SEK 68 million bonds at 68.8 in reverse Dutch auction
|
9/16/2015 | HYLM | Start Up 271 seeks bondholder approval of maturity date extension
|
9/16/2015 | LMMU | California Muni Finance calls $127.05 million Republic Services bonds
|
9/16/2015 | HYLM | Sitel calls all 11% senior notes due 2017, 11½% senior notes due 2018
|
9/16/2015 | ABLM | Harley-Davidson Motorcycle Trust 2011-1 redeems $50.03 million bonds
|
9/16/2015 | LMMU | Minnesota to redeem $55.8 million of series 2005 G.O. state bonds
|
9/16/2015 | HYIGLM | Omega Healthcare plans to redeem all outstanding 6¾% notes due 2022
|
9/16/2015 | LMMU | Birmingham to redeem $159.74 million of 2009 Children’s Hospital bonds
|
9/16/2015 | LMMU | Mississippi Development defeases some Marshall County highway bonds
|
9/16/2015 | LMMU | New Jersey EDA partially defeases eight series of construction bonds
|
9/16/2015 | LMMU | Dasny defeases $79.03 million of series 2004 Yeshiva University bonds
|
9/16/2015 | LMMU | Illinois Finance to redeem all 2015A Palos Community Hospital bonds
|
9/16/2015 | LMMU | Massachusetts HEFA defeases $100.68 million of CareGroup bonds
|
9/16/2015 | LMMU | Vista, Calif., series 2007 certificates of participation defeased
|
9/16/2015 | EUHYLM | Lafarge accepts initial tenders for €2.25 billion of 11 note series
|
9/16/2015 | IGLM | Barclays, Goldman price tender offer for Dow Chemical notes, lift cap to $906 million
|
9/16/2015 | DDEMLM | General Shopping tenders for up to $50 million of 10% perpetual notes
|
9/15/2015 | CVLM | Extra Space agrees to repurchase $164.6 million 2.375% exchangeables
|
9/15/2015 | CAIGLM | Toronto-Dominion Bank intends to redeem all 4.97%, 3.367% debentures
|
9/15/2015 | LMMU | Klickitat County Public Utility, Wash., defeases electric system bonds
|
9/15/2015 | LMMU | Port of Houston, Texas, calls $86.55 million 2005 ULT refunding bonds
|
9/15/2015 | LMMU | Central Puget Sound transit, Wash., defeases $398 million of bonds
|
9/15/2015 | LMMU | Illinois Finance defeases some University of Chicago 5% bonds
|
9/15/2015 | EULM | Germany’s RWE may make change-of-control offer for seven note series
|
9/15/2015 | LMMU | Minnesota Municipal Power calls $94.3 million electric revenue bonds
|
9/15/2015 | HYLM | Selvaag Bolig seeks OK of 4¾% bondholders to pay interim dividends
|
9/15/2015 | EMLM | China’s Sound Global calls 11 7/8% senior notes due 2017 at 105.9375
|
9/15/2015 | HYLM | Com Hem to call Norcell’s euro notes in November, new bonds possible
|
9/15/2015 | HYLM | Pfleiderer receives consents to amend 7 7/8% senior notes due 2019
|
9/14/2015 | EMLM | Brazil’s Banrisul offers to buy back $275 million of 7 3/8% notes
|
9/14/2015 | CVGNHYLM | NBT asks 8½% bondholders to approve NOK 205 million new convertibles
|
9/14/2015 | HYLM | Golden Energy Offshore gets bondholders to waive financial covenant
|
9/14/2015 | IGLM | Tyco calls all $242 million of 7% notes, $462 million of 6.875% notes
|
9/14/2015 | IGLM | Albemarle says Rockwood 4.625% notes due 2020 to be redeemed Oct. 15
|
9/14/2015 | LMMU | Lower Colorado River calls $88.9 million 1999A refunding revenue bonds
|
9/14/2015 | LMMU | New Jersey Economic calls $242.5 million 2011E school facilities bonds
|
9/14/2015 | LMMU | Portland, Ore., defeases $62.96 million of sewer bonds, series 2006B
|
9/14/2015 | CLLM | Gresham Capital CLO III to redeem all notes due 2027 on Oct. 14
|
9/14/2015 | LMMU | Long Island Power tenders for $2 billion electric system revenue bonds
|
9/14/2015 | LMMU | Foothill-De Anza CCD, Calif., defeases $53.85 million of G.O. bonds
|
9/14/2015 | CAIGLM | Nova Scotia Power to redeem series D preferred shares on Oct. 15
|
9/14/2015 | LMMU | Graton Economic, Calif., calls all outstanding 9.625% notes due 2019
|
9/14/2015 | LMMU | Hillsborough County, Fla., defeases some series 2006 assessment bonds
|
9/14/2015 | LMMU | Minneapolis defeases $32.25 million of 2008B Fairview Health bonds
|
9/14/2015 | EMLM | Latvia's ABLV to repurchase $20 million of bonds due Sept. 15, 2020
|
9/14/2015 | EULM | Citi prices, wraps tender offers for sterling notes, two euro notes
|
9/14/2015 | EMLM | Gemdale units begin tender, seek consents for three note series
|
9/14/2015 | EULM | Banco Santander buys €500 million of Iberdrola 4.25% notes in offer
|
9/14/2015 | HYIGLM | GFI Group seeks consents to shift SEC filings for 8 3/8% notes to BGC
|
9/14/2015 | HYLM | Acadia Healthcare begins cash tender offer for 12 7/8% notes due 2018
|
9/11/2015 | DDHYLM | Metro Exploration seeks bondholder OK of interest payment waiver
|
9/11/2015 | IGLM | Tyco International to redeem 8.5% notes due 2019 at price of 122.075
|
9/11/2015 | EULM | Fastnet Securities 2 calls four outstanding classes of notes due 2043
|
9/11/2015 | EULM | BNP Paribas wraps tender offer for Accor’s 2.875% bonds, 2.5% bonds
|
9/11/2015 | IGLM | Florida Power tenders for up $400 million of 10 first mortgage bonds
|
9/10/2015 | IGLMPF | Qwest to redeem all 7.2% debentures, some 6.875% debentures
|
9/10/2015 | DDHYLM | Sea Production seeks approval to extend bond maturity to March 2016
|
9/10/2015 | CAIGLM | CIBC plans to redeem all C$1.5 billion 3.15% debentures due 2020
|
9/10/2015 | EMLM | Chile’s Pampa Calichera offers to buy back up to $70 million 7¾% notes
|
9/10/2015 | LMMU | Portland, Ore., defeases $136.43 million of sewer bonds, series 2006A
|
9/10/2015 | LMMU | Gainesville, Fla., to redeem $196.55 million of 2005A utilities bonds
|
9/10/2015 | LMMU | Tallahassee, Fla., calls $107.25 million of series 2005 energy bonds
|
9/10/2015 | LMMU | Louisiana Public Facilities defeases $90.19 million of court bonds
|
9/10/2015 | LMMU | Massachusetts Development calls some Boston University 5% bonds
|
9/10/2015 | EMLM | Deutsche Bank prices, wraps tender for Eesti Energia 4¼%, 4½% notes
|
9/10/2015 | EULM | Sweden’s Gothenburg repurchases SEK 250 million of floaters due 2017
|
9/10/2015 | HYLM | HD Supply calls all $675 million 11% senior secured notes due 2020
|
9/10/2015 | CVLM | Stillwater Mining buys back $38.8 million of 1.75% convertible notes
|
9/10/2015 | EMLM | China Galaxy to redeem all RMB 4 billion sixth tranche bonds
|
9/10/2015 | CVLM | Beni Stabili exercises clean up call on 3.375% convertible bonds
|
9/10/2015 | CAEMHYLM | Uranium One begins Dutch auction tender for $70 million of 6¼% notes
|
9/10/2015 | EMLM | Deutsche Bank wraps tender for Eesti Energia 4¼% notes, 4½% notes
|
9/9/2015 | HYLM | Targa Resources Partners to pay down revolver, may take out some notes
|
9/9/2015 | IGLM | Hershey wraps tender offer for 7.2%, 8.8% notes, accepts no more notes
|
9/9/2015 | ABLM | Navient calls $636 million of bonds from four SLM Student Loan Trusts
|
9/9/2015 | HYLM | Avintiv calls $304 million of 7¾% notes, $210 million of 6 7/8% notes
|
9/9/2015 | LMMU | California calls, defeases $1.54 billion of general obligation bonds
|
9/9/2015 | LMMU | Fort Worth, Texas, to redeem $190.23 million from six bond series
|
9/9/2015 | EULM | Nokian holders tender €62.3 million of 3.25% senior notes in offer
|
9/9/2015 | IGLM | Roche begins tender offer for up to $1 billion of three note series
|
9/9/2015 | LMMU | Bayview Research Center, Md., redeems all series 2004 certificates
|
9/9/2015 | HYLM | Conn’s may buy back up to $75 million of 7¼% senior notes due 2022
|
9/9/2015 | CVLM | SGL Carbon starts tender offer for 3.5% convertible notes due 2016
|
9/9/2015 | CVLM | Icahn Enterprises tenders for Vivus’ 4.5% convertible notes due 2020
|
9/8/2015 | CVLM | Joe’s Jeans to repay some convertibles, exchange others after merger
|
9/8/2015 | HYLM | PetroQuest may redeem 10% senior notes due 2017 midway through 2016
|
9/8/2015 | EMLM | Brazil’s Banco Votorantim begins tender for 7 3/8% subordinated notes
|
9/8/2015 | DDHYLM | Cecon gets vote to extend tranche B2 bonds, this time by eight weeks
|
9/8/2015 | EMLM | Brazil’s Banco BMG begins cash tender offers for 8 7/8%, 9.95% notes
|
9/8/2015 | LMPF | PS Business calls $75 million 6.875% series R cumulative preferreds
|
9/8/2015 | LMMU | Los Angeles County Sanitation calls $164.65 million of 2005B bonds
|
9/8/2015 | EULM | Gunvor accepts tenders for $259.77 million 5.875% notes, calls rest
|
9/8/2015 | HYLM | Ridgebury to redeem $10 million 7 5/8% notes with excess reserves
|
9/8/2015 | CLLM | Apidos CLO XV amends nine note series, inks supplemental indentures
|
9/8/2015 | EULM | Scottish Widows to redeem £560 million of 5.125% perpetual notes
|
9/8/2015 | LMMU | Portland, Ore., calls $221.91 million of sewer system refunding bonds
|
9/8/2015 | EULM | Banco Santander tenders for up to €500 million of Iberdrola notes
|
9/8/2015 | EUHYLM | Lafarge tenders for €1.75 billion principal amount of 11 note series
|
9/8/2015 | CVLM | AU Optronics begins cash tender offer for convertible bonds due 2015
|
9/8/2015 | EMLM | Cathay United Bank calls all $500 million 5½% subordinated notes
|
9/8/2015 | CVLM | Subsea 7 buys back $10 million of 1% convertible bonds due 2017
|
9/8/2015 | HYLM | Terex receives consents for 6%, 6½% notes to avoid change of control
|
9/8/2015 | HYLM | Aleris to buy $65.07 million 7 5/8%, $59.93 million 7 7/8% notes
|
9/8/2015 | CVLM | Paladin Energy buys back $20 million of 6% convertibles due 2017
|
9/4/2015 | LMMU | Maryland Health to redeem all $62.99 million 2006A Loyola College bonds
|
9/4/2015 | LMMU | University of Vermont calls $63.85 million of series 2005 G.O. bonds
|
9/4/2015 | LMPF | Public Storage calls all $125 million of 6.5% series P preferreds
|
9/4/2015 | LMMU | MTA, N.Y., calls all $231.12 million of 1998A dedicated tax fund bonds
|
9/4/2015 | LMMU | Louisville/Jefferson County Government, Ky., calls some Alliant bonds
|
9/4/2015 | LMMU | California Educational calls all $51.41 million 2005 USC revenue bonds
|
9/4/2015 | IGLM | Pfizer begins exchange offers, consent solicitations for Hospira notes
|
9/4/2015 | CAHYLM | Postmedia gets tenders for C$6.53 million of 8¼% senior secured notes
|
9/4/2015 | EMLM | Singapore’s Stats ChipPAC tenders for two note series, also begins change-of-control offer
|
9/4/2015 | EMHYLM | R.E.A. unit issues £300,000 more notes under exchange for 9½% notes
|
9/3/2015 | IGLM | Excel Trust extends tender offer for 4.625% notes due 2024 to Sept. 29
|
9/3/2015 | LMMU | Hillsborough County School, Fla., calls $50.16 million sales tax bonds
|
9/3/2015 | HYLM | Owens-Brockway to redeem all outstanding 7 3/8% senior notes due 2016
|
9/3/2015 | LMMU | Orlando Utilities, Fla., to redeem $120 million 2005B revenue bonds
|
9/3/2015 | LMMU | Volusia, Fla., calls 2005 Embry Riddle educational facilities bonds
|
9/3/2015 | LMMU | Riverside County Finance, Calif., calls $58.34 million of 2005 bonds
|
9/3/2015 | LMMU | Los Angeles Water and Power calls 2012C power system revenue bonds
|
9/3/2015 | LMMU | North Carolina Medical calls $62.73 million of Pennybyrn bonds
|
9/3/2015 | LMMU | South Carolina Transportation to redeem $74.6 million of bonds
|
9/3/2015 | LMMU | Miami-Dade County, Fla., calls $446.04 million of aviation bonds
|
9/3/2015 | IGLM | Ventas calls all $400 million 3.125% senior notes due November 2015
|
9/3/2015 | CVLM | Omnicare to redeem all $62.29 million 3.5% convertible notes due 2044
|
9/3/2015 | LMMU | Peace River/Manasota Water of Florida calls $114.03 million of bonds
|
9/3/2015 | LMMU | Greater Arizona Development partially calls series 2005B bonds
|
9/3/2015 | LMMU | Dallas to redeem series 2006 waterworks, sewer system bonds on Oct. 1
|
9/3/2015 | EULM | BNP tenders for Accor’s 2.875% bonds due 2017 and 2.5% bonds due 2019
|
9/3/2015 | EULM | Gothaer tenders for €250 million fixed-to-floaters due 2026 at 104.5
|
9/3/2015 | CVLM | Ciena: Holders convert all $50 million 8% convertibles due 2019
|
9/2/2015 | EMLM | Maestro Peru redeems $70 million of 6¾% notes due 2019 at 106.75
|
9/2/2015 | HYLM | Mobylife to conduct partial buyback of senior secured bonds
|
9/2/2015 | HYLM | Alere to redeem all $400 million 8 5/8% senior subordinated notes
|
9/2/2015 | EULM | Citigroup begins tender offers for sterling notes, two euro notes
|
9/2/2015 | HYLM | American Shipping gets bondholder approval needed for loan refinancing
|
9/2/2015 | EMLM | Russia’s Mechel plans to restructure two bond series; meeting to come
|
9/2/2015 | CVLM | Golden Agri-Resources buys back more 2.5% convertible bonds due 2017
|
9/2/2015 | IGLM | Glencore calls $350 million of notes for redemption at par on Oct. 6
|
9/2/2015 | CVLM | Goodrich Petroleum to issue $27.5 million 5% convertibles in exchange
|
9/2/2015 | IGLM | Barclays, Goldman to pay $750 million in tender for Dow Chemical notes
|
9/2/2015 | EMHYLM | R.E.A. unit to issue £26.22 million new notes in offer for 9½% notes
|
9/1/2015 | DDEMLM | Mexico’s Oro Negro gets needed votes to amend secured bonds due 2015
|
9/1/2015 | HYLM | FTI Consulting calls remaining $207.1 million 6¾% notes after tender
|
9/1/2015 | EULM | Commonwealth Bank of Australia aims to convert bonds into soft bullets
|
9/1/2015 | GNHYLM | LM Group seeks consents for 8% notes to allow additional secured debt
|
9/1/2015 | EMLM | Deutsche Bank starts tender for Eesti Energia 4¼% notes, 4½% notes
|
8/31/2015 | HYLM | Golden Energy Offshore asks bondholders to waive financial covenant
|
8/31/2015 | CVLM | Boralex to redeem C$150 million of 6.75% convertibles on Sept. 30
|
8/31/2015 | LMMU | Portland, Ore., to redeem four series of sewer system revenue bonds
|
8/31/2015 | LMMU | Metropolitan Washington Airports to redeem $103.97 million of bonds
|
8/31/2015 | CAHYLM | Kruger to redeem all C$175 million of outstanding 8% notes due 2018
|
8/31/2015 | LMMU | JEA, Fla., defeases $73.37 million water and sewer system revenue bonds
|
8/31/2015 | LMMU | Lancaster County School, Neb., defeases $118.97 million 2006 bonds
|
8/31/2015 | LMMU | Hillsborough County School Board, Fla., to redeem $77.53 million COPs
|
8/31/2015 | CVLMPF | Condor holders tender no preferreds for exchange so far; offer extended
|
8/31/2015 | LMPF | Colony Bankcorp redeems $4.83 million of perpetual TARP preferreds
|
8/31/2015 | HYLM | Sears Holdings gets tenders for $600,000 more 6 5/8% notes in offer
|
8/31/2015 | DDHYLM | Arch Coal extends exchange offer, concurrent offer for three series
|
8/28/2015 | LMMU | Utah Water Finance calls $700,000 of series B-2 variable-rate bonds
|
8/28/2015 | HYLM | FTI Consulting accepts, settles all $192.9 million tendered 6¾% notes
|
8/28/2015 | DDHYLM | Sterling Resources to pay postponed installment on 9% bonds at 107.5
|
8/28/2015 | DDEMLM | Mexico’s Oro Negro changes request after talking with bondholder group
|
8/28/2015 | LMMU | Southern New Hampshire Health OK’s $20 million 2007A bond repurchase
|
8/28/2015 | IGLMPF | Associated Banc to repurchase $10 million of 6.125% preferred stock
|
8/28/2015 | LMMU | Orange County, Fla., to redeem series 2005 tourist development bonds
|
8/28/2015 | LMMU | Minnesota to redeem $131.34 million of 5% G.O. state bonds on Oct. 1
|
8/28/2015 | IGLM | Apache intends to redeem all 5.625% notes due 2017 on Sept. 15
|
8/28/2015 | LMMU | New York Convention Center defeases $647.5 million hotel fee bonds
|
8/28/2015 | LMMU | UCF Athletics Association, Fla., calls $55.92 million series 2005A COPs
|
8/28/2015 | CLLM | Fraser Sullivan CLO I to redeem eight tranches of notes on Sept. 15
|
8/28/2015 | IGLMPF | American Financial Group to redeem all outstanding 7% notes due 2050
|
8/28/2015 | EMLM | Philippines’ EastWest Bank gets approval to call 7½% notes due 2021
|
8/28/2015 | EMLM | China’s Fufeng calls $70 million of 7 5/8% senior notes due 2016
|
8/28/2015 | CVLM | Golden Agri-Resources buys back more 2.5% convertible bonds due 2017
|
8/28/2015 | DDHYLM | Cliffs gets tenders for $1.15 million more 3.95% notes, all accepted
|
8/27/2015 | DDHYLM | Halcon Resources to issue $1.02 billion new notes in exchange for $1.57 billion of notes
|
8/27/2015 | EMLM | Singapore’s Goliath 12% bondholders OK dropping insurance requirement
|
8/27/2015 | CLLM | Dryden XIV Euro CLO 2006 to redeem eight classes of notes due 2020
|
8/27/2015 | CVLMPP | Comstock Mining receives consents to convert preferreds into stock
|
8/27/2015 | CVEMLM | UAE’s Dana Gas buys back $12.8 million more 9% sukuk, $2.2 million 7% exchangeables in August
|
8/27/2015 | HYLM | Terex solicits consents to avoid change of control for 6%, 6½% notes
|
8/27/2015 | EMHYLM | R.E.A. Holdings gets holder OK to offer 8¾% notes, exchange 9½% notes
|
8/27/2015 | CVLM | Pembina Pipeline calls for series C and series E 5.75% convertibles
|
8/26/2015 | CVLM | Novion RE issues clean-up call for remaining 5.75% convertibles
|
8/26/2015 | HYLM | American Shipping seeks bondholder approval of loan refinancing
|
8/26/2015 | DDHYLM | SAExploration to cancel $10 million 10% notes under equity exchange
|
8/26/2015 | CVLM | Avago converts all 1.75% Emulex five-year notes, 2% notes due 2021
|
8/26/2015 | CVLM | CNO Financial to redeem all outstanding 3.5% convertibles due 2035
|
8/26/2015 | LMMU | Columbia, S.C., 2009 waterworks bonds’ interest now at weekly rate
|
8/26/2015 | CAIGLM | National Bank of Canada to redeem 4.7% notes, series 20 preferreds
|
8/26/2015 | LMMU | Alaska Industrial calls $69.96 million Snettisham power revenue bonds
|
8/26/2015 | LMMU | Yosemite Community College defeases $110 million of series 2008C G.O.s
|
8/26/2015 | LMMU | University of Colorado Hospital calls $200.18 million revenue bonds
|
8/26/2015 | LMMU | Gulf Breeze, Fla., calls $90.06 million capital funding revenue bonds
|
8/26/2015 | HYLM | Acelity to redeem some 12½% senior notes due 2019 with IPO proceeds
|
8/25/2015 | IGLM | Hershey gets early tenders exceeding offer cap for 7.2%, 8.8% notes
|
8/25/2015 | LMMUPF | AllianceBernstein muni funds accept all tendered auction preferreds
|
8/25/2015 | DDEMLM | Mexico’s Oro Negro postpones bondholders meeting to Aug. 31
|
8/25/2015 | EULM | Depfa Bank calls €500 million of subordinated floaters due 2015
|
8/25/2015 | CVLM | Golden Agri-Resources buys back some 2.5% convertible bonds due 2017
|
8/25/2015 | HYLM | McClatchy buys back $10.02 million 5¾% notes, $15 million 9% notes
|
8/24/2015 | DDHYLM | Cecon Shipping seeks further extension of tranche B2 bond maturity
|
8/24/2015 | EMLM | Singapore’s Swiber buys back more 9¾% senior perpetual securities
|
8/24/2015 | DDEMLM | Mexico’s Oro Negro’s consent bid gets pushback from bondholder group
|
8/24/2015 | HYLM | VWR calls all $750 million 7¼% senior notes due 2017 at 102.719
|
8/24/2015 | LMMU | Tennessee to redeem all $90 million of 2007A G.O. bonds
|
8/24/2015 | DDEMLM | Ukraine’s PrivatBank once more seeks to extend 9 3/8% notes’ maturity
|
8/24/2015 | EULM | National Grid Electricity calls ¥10 billion fixed-rate notes due 2035
|
8/24/2015 | IGLM | Citigroup buys back $569 million of seven series of notes in offers
|
8/24/2015 | EMIGLM | AngloGold begins tender for up to $810 million of 8.5% notes due 2020
|
8/24/2015 | HYLM | Portucel plans to redeem €200 million of 5 3/8% secured notes due 2020
|
8/24/2015 | HYLM | Kratos tenders for up to $175 million 7% notes due 2019 via asset sale
|
8/24/2015 | DDHYLM | RAAM Global pulls exchange offer for 12½% notes; no reason given
|
8/21/2015 | LMMU | Lafayette, La., defeases series 2007 communications system bonds
|
8/21/2015 | LMMU | Charlotte, N.C., calls $180 million water, sewer system revenue BANs
|
8/21/2015 | CVLM | First Capital to renew issuer bid for six series of convertibles
|
8/21/2015 | LMMU | New York Environmental calls some clean water bonds, defeases others
|
8/21/2015 | LMMU | New Jersey Economic defeases $63.36 million of 2006 Seabrook bonds
|
8/21/2015 | HYLM | Quality Distribution subsidiaries to redeem all 9 7/8% notes due 2018
|
8/21/2015 | LMMU | Anaheim Public Financing corrects 2007A electric system bond defeasance
|
8/21/2015 | LMMU | New York City calls all $332.84 million 2006F general obligation bonds
|
8/21/2015 | DDEMLM | Ukraine’s PrivatBank pulls consent bid to amend 9 3/8% notes due 2015
|
8/20/2015 | IGLM | Excel receives consents to amend 4.625% senior notes due 2024
|
8/20/2015 | CVLM | REXLot convertibles putable after stock suspended for 30 days
|
8/20/2015 | DDHYLM | Metro Exploration bondholder group seeks approval to engage advisers
|
8/20/2015 | EMLM | Goliath asks holders to drop insurance requirement under 12% bonds
|
8/20/2015 | LMMU | Louisiana Public Facilities defeases $117.24 million of Ochsner bonds
|
8/20/2015 | LMMU | Hillsborough County, Fla., school board defeases $73.88 million bonds
|
8/20/2015 | LMMU | Hillsborough County, Fla., school board defeases $109.7 million COPs
|
8/20/2015 | CVLM | Innergex redeems $41.59 million 5.75% convertible debentures due 2017
|
8/20/2015 | LMMU | Moon Area School District, Pa., defeases 2005 general obligation bonds
|
8/20/2015 | LMMU | Hillsborough County, Fla., school board defeases $66.2 million COPs
|
8/20/2015 | LMMU | Dormitory Authority of New York defeases 2007, 2009 Mt. Sinai bonds
|
8/20/2015 | LMMU | Minnesota defeases $434.53 million of general obligation state bonds
|
8/20/2015 | CVLM | Regal Lifestyle gets OK to call 6% convertibles at 129.5 after buyout
|
8/20/2015 | EULM | SBAB Bank to repurchase SEK 775 million notes from three series
|
8/20/2015 | ABLM | Turbo Finance 3 to redeem four classes of notes due 2019 on Sept. 21
|
8/20/2015 | EMLM | Philippines’ San Miguel to redeem in full subseries 2-A preferreds
|
8/20/2015 | EMLM | China’s Metallurgical calls RMB 10 billion 3.95% notes due 2020
|
8/20/2015 | EULM | BPCE to redeem €52.36 million deeply subordinated notes on Sept. 30
|
8/20/2015 | BKDDHYLM | American Seafoods closes deleveraging, refinancing via Bregal Partners
|
8/20/2015 | CVLM | Sun Communities buys back 4.07 million of 6.5% convertible preferreds
|
8/19/2015 | EULM | Skandiabanken seeks bondholder approval of redemption in kind
|
8/19/2015 | EMLM | Mexico’s Latina Offshore gets OK to stop 100 bps step-up on 10% bonds
|
8/19/2015 | HYLM | Sitel calls all $300 million of 11½% senior notes due April 1, 2018
|
8/19/2015 | LMMU | San Luis Obispo Finance, Calif., defeases some 2007A Nacimiento bonds
|
8/19/2015 | CVLM | Difference Capital offering to buy back C$12 million 8% convertibles
|
8/19/2015 | LMMU | Dallas defeases 2006, 2007, 2008, 2010 waterworks, sewer system bonds
|
8/18/2015 | HYLM | Service Corp. calls all $197.38 million of 6¾% senior notes due 2016
|
8/18/2015 | CVLM | WebMD buys back $143.2 million of 2.25% convertible notes at 101
|
8/18/2015 | LMMU | Missouri HEFA redeems $12.84 million of 2010B SSM Health revenue bonds
|
8/18/2015 | HYLM | Diversified Gas gets bondholder votes at meeting to split 8½% bonds
|
8/18/2015 | LMMU | Oklahoma City Public Property calls $41.89 million of hotel tax bonds
|
8/18/2015 | LMMU | Partners HealthCare, Mass., to make $15 million of bids on F-2 bonds
|
8/18/2015 | EMLM | Singapore’s Ezra to redeem in full 8¾% subordinated perpetual notes
|
8/17/2015 | EMLM | China’s Fantasia gets consents needed to amend four series of notes
|
8/17/2015 | DDHYLM | American Apparel pays consent fee to amend details of notes due 2020
|
8/17/2015 | IGLMPF | Southern California Edison to redeem series A preferreds via new issue
|
8/17/2015 | LMMU | New Jersey Transit to redeem $214.28 million of 2005A COPs in full
|
8/17/2015 | LMMU | New Jersey Economic calls $24.58 million of Continental Airlines bonds
|
8/17/2015 | LMMU | Indiana Finance’s 2010A, B Republic Services bonds subject to tender
|
8/17/2015 | LMMU | Indiana Bond Bank defeases 2009D Clark Memorial special program bonds
|
8/17/2015 | IGLMPF | Winthrop Realty pays $72.64 million to redeem all 7.75% notes due 2022
|
8/17/2015 | CLLM | Harbourmaster CLO 11 postpones redemption of notes by three months
|
8/17/2015 | EULM | Stadshypotek buys back SEK 500 million of variable notes due Sept. 3
|
8/17/2015 | DDHYLM | American Seafoods extends exchange offer for ASG’s 15% notes due 2017
|
8/17/2015 | LMMU | New York City calls general obligation bonds from 2005 and 2006
|
8/17/2015 | DDHYLM | Arch Coal extends exchange offer, concurrent offer for three series
|
8/17/2015 | HYLM | Sears Holdings gets early tenders for $935.6 million of 6 5/8% notes
|
8/14/2015 | LMMU | Fairfax, Va., calls $154.54 million of 2015C general obligation bonds
|
8/14/2015 | IGLM | DirecTV to redeem all 3.125%, 3.5% senior notes due 2016 on Sept. 14
|
8/14/2015 | LMMU | Phoenix Industrial calls $62.63 million of Capitol Mall office bonds
|
8/14/2015 | CVLM | Callaway Golf to issue stock, cash in exchange for 3.75% convertibles
|
8/14/2015 | DDEMLM | Ukraine’s PrivatBank extends consent solicitation for 9 3/8% notes
|
8/14/2015 | LMMU | New Jersey Health calls some 2005 Greystone Park lease revenue bonds
|
8/14/2015 | HYLM | Party City to redeem second half of 8 7/8% notes due 2020 on Sept. 4
|
8/14/2015 | HYLM | FTI Consulting tenders for $400 million of 6¾% senior notes due 2020
|
8/14/2015 | DDHYLM | Cliffs gets tenders for $123.69 million 3.95% notes, ups purchase cap
|
8/14/2015 | CVDDHYLM | SandRidge buys back $250 million of notes, swaps out $275 million of notes for new convertibles
|
8/14/2015 | EMLM | Magnesita gets tenders, consents for 77.25% of 7 7/8% notes in offer
|
8/13/2015 | EMLM | Singapore’s Ezion to redeem 7.8% subordinated perpetual securities
|
8/13/2015 | DDHYLM | RAAM Global again extends exchange offer for 12½% notes due 2015
|
8/13/2015 | DDEMLM | Mexico’s Oro Negro seeks further amendments to senior secured bonds
|
8/13/2015 | HYLM | Care UK accepts tenders for £95 million notes in oversubscribed offer
|
8/13/2015 | IGLM | Energy Transfer redeems 5.75%, 8.375% notes due 2020, 6.5% due 2021
|
8/13/2015 | EULM | Pirelli seeks consents for 5 1/8% notes due 2016, 1¾% notes due 2019
|
8/13/2015 | IGLM | Airgas to redeem all $250 million of 3.25% notes due October 2015
|
8/13/2015 | LMMU | Colorado Springs calls $117.93 million of 2002C, 2005A utility bonds
|
8/13/2015 | LMMU | White Settlement ISD, Texas, calls $100.78 million of 2006 bonds
|
8/13/2015 | LMMU | Clark County Water, Nev., defeases 2008 LTGO water reclamation bonds
|
8/13/2015 | LMMU | San Antonio defeases series 2007 electric and gas systems bonds
|
8/13/2015 | LMMU | Bakersfield, Calif., defeases series 2007A wastewater revenue bonds
|
8/13/2015 | LMMU | Kansas City Power to buy back $71.94 million of 4.65% bonds due 2035
|
8/13/2015 | EULM | SSE to redeem €500 million and £750 million of capital securities
|
8/13/2015 | CVLM | MannKind to issue 5.75% subordinated convertibles due 2015 in exchange
|
8/13/2015 | HYLM | First Data wraps tenders for 7 3/8% and 8 7/8% notes; call dates set
|
8/13/2015 | EMLM | Russia’s Gaz Capital gets holder OK to amend 5.338% notes at meeting
|
8/13/2015 | CVLM | Severstal says holders put $390 million of Holdgrove 1% convertibles
|
8/12/2015 | HYLM | Health Net gets consents needed to amend 6 3/8% senior notes due 2017
|
8/12/2015 | LMMU | Cincinnati defeases $135.08 million of water system refunding bonds
|
8/12/2015 | LMMU | Roseville, Calif., defeases 2005 Westpark Community special tax bonds
|
8/12/2015 | LMMU | Honolulu defeases series 2003A1, 2003B1 and 2008A wastewater bonds
|
8/12/2015 | CLLM | Mayport CLO to redeem notes Aug. 24 at option of income noteholders
|
8/12/2015 | EULM | Gunvor updates latest tender offer for 5.875% notes due 2018
|
8/12/2015 | EULM | Bank of Scotland gets OK to restructure series 22 bonds to soft bullet
|
8/12/2015 | CVLM | Scorpio Tankers buys back $1.5 million convertibles due 2019 at 108.81
|
8/12/2015 | HYLM | Johnston Press buys back £5 million of 8 5/8% secured notes 2019 at 98
|
8/11/2015 | HYLM | GrafTech to prepay $200 million of senior subordinated notes due 2015
|
8/11/2015 | IGLM | Tyco International calls all $364.29 million 8.5% notes due 2019
|
8/11/2015 | EMLM | Sagicor Finance to redeem all outstanding 7½% senior notes due 2016
|
8/11/2015 | HYLM | Mohegan Tribal calls $175 million of 11% senior subordinated notes
|
8/11/2015 | LMMU | Connecticut Health redeems $50 million University of Hartford bonds
|
8/11/2015 | HYLM | Pfleiderer soliciting consents to amend 7 7/8% senior notes due 2019
|
8/11/2015 | HYLM | Hyva Global calls all $375 million 8 5/8% notes due 2016 at 102.15625
|
8/11/2015 | CVLM | Meritor bought $25 million of its 7.875% convertible notes in July
|
8/11/2015 | AGLM | World Bank buys back £12.15 million 5.75% notes due 2032
|
8/11/2015 | IGLM | Hershey to spend $100 million in tender for 7.2%, 8.8% debentures
|
8/11/2015 | CAHYLM | Stackpole’s bonds to be retired as part of acquisition by Johnson
|
8/10/2015 | LMMU | Boston Water and Sewer defeases 2009A, 2010A revenue, refunding bonds
|
8/10/2015 | LMMU | Pittsburgh Water and Sewer calls $39.6 million of 2005 revenue bonds
|
8/10/2015 | IGLM | Walgreens Boots Alliance redeems $1.7 billion of bonds with cash
|
8/10/2015 | IGLM | Citigroup announces early response, sets pricing in tender for notes
|
8/10/2015 | LMMU | Maine Health, Higher Education defeases some series 2006B bonds
|
8/10/2015 | ABLM | Navient exercises call on SLM Student Loan Trusts 2002-6, 2003-8, 9
|
8/10/2015 | CLLM | Carlyle approved to reduce spread on Euro CLO 2013-1 class A notes
|
8/10/2015 | IGLM | Citigroup announces early response in tender offers for seven notes
|
8/10/2015 | HYLM | Service Corp. to redeem 6¾% notes due 2016 via sale of new notes
|
8/10/2015 | EMLM | Malaysia’s Hong Leong Bank redeems RM 700 million 4.85% notes due 2020
|
8/10/2015 | IGLM | American Water to repay notes with proceeds from new bond offering
|
8/10/2015 | CAIGLM | Brookfield Asset to start issuer bid for up to 10% preference shares
|
8/7/2015 | LMMU | North Carolina Eastern Municipal defeases numerous revenue bonds
|
8/7/2015 | HYLM | Euramax International fully redeems outstanding senior notes due 2016
|
8/7/2015 | HYLM | Wells Enterprises calls $23.5 million of 6¾% senior secured notes
|
8/7/2015 | DDHYLM | RAAM Global again extends exchange offer for 12½% notes due 2015
|
8/6/2015 | CVLMPV | Pengrowth Energy looks to reduce debt via C$600 million asset sales
|
8/6/2015 | IGLM | Excel opens tender offer, solicits consent for 4.625% notes due 2024
|
8/6/2015 | CAHYLM | Iona Energy gets bondholder approval to refinance 9½% bonds due 2018
|
8/6/2015 | CVLMPF | Excel Trust redeems 7% convertible preferreds, 8.125% preferreds after BRE merger
|
8/6/2015 | LMPF | ServisFirst redeems all $40 million series A perpetual preferreds
|
8/6/2015 | HYLMPF | Hercules Technology to redeem more 7% notes due 2019 throughout 2015
|
8/6/2015 | LMMU | North Carolina Eastern Municipal Power defeases series 1993B bonds
|
8/6/2015 | LMMU | Massachusetts HEFA might redeem CareGroup, Milton, Jordan revenue bonds
|
8/6/2015 | HYLM | First Data tenders for 7 3/8% notes, 8 7/8% notes, calls both series
|
8/6/2015 | EULM | National Grid Electricity calls ¥10 billion fixed-rate notes due 2035
|
8/6/2015 | EULM | Aviva calls all £200 million of 9.5% bonds, €500 million of 5.7% notes
|
8/6/2015 | CVLM | Pacific Basin Shipping buys back $27.35 million 1.75% convertibles
|
8/6/2015 | HYLM | Mohegan plans to redeem $85 million 11% notes via add-on notes issue
|
8/6/2015 | CVLM | Cominar REIT calls C$99.8 million series E 5.75% convertibles due 2016
|
8/5/2015 | EMLM | Noble Group buys back all $235 million of 6 5/8% senior notes due 2020
|
8/5/2015 | LMMU | California defeases $929.74 million of 2009A economic recovery bonds
|
8/5/2015 | EMLM | Mexico’s Latina Offshore seeks to block 100 bps step-up on 10% bonds
|
8/5/2015 | DDHYLM | Cecon gets bondholder approval to extend tranche B2 bonds to Aug. 31
|
8/5/2015 | LMMU | James City County EDA, Va., defeases $52.67 million of facility bonds
|
8/5/2015 | LMPF | Blue Valley redeems $21.75 million fixed-rate cumulative preferreds
|
8/5/2015 | HYLM | First Data to redeem 7 3/8% notes due 2019 with new offering proceeds
|
8/5/2015 | CVLM | Prakash receives tenders of $35.7 million convertibles in exchange
|
8/5/2015 | IGLM | Iceland wraps tenders for $400 million notes in oversubscribed offer
|
8/5/2015 | EMLM | UAE’s Dana Gas buys back $12.1 million of 9% sukuk in July, August
|
8/5/2015 | DDHYLM | Arch Coal extends exchange offers for three series, concurrent offer
|
8/4/2015 | DDHYLM | Norshore Atlantic gets holder OK to restructure 12% bonds due 2018
|
8/4/2015 | LMMU | California defeases $67.42 million University of the Pacific bonds
|
8/4/2015 | LMMU | Partners HealthCare, Mass., to make $15 million of bids on F-2 bonds
|
8/4/2015 | LMMU | Texas Municipal Gas to redeem $66.08 million of supply bonds due 2017
|
8/4/2015 | EULM | Urenco accepts €137.6 million 4% notes due 2017 in tender offer
|
8/4/2015 | HYLM | Avanza’s AG Spring calls all €21.24 million 9½% senior notes due 2019
|
8/4/2015 | CAHYLM | Postmedia offers to buy C$17.24 million of 8¼% senior secured notes
|
8/4/2015 | HYLM | IGas Energy approved to amend terms of two issues of 10% bonds
|
8/4/2015 | HYLM | MEIF Renewable calls £19 million of 6¾% senior secured notes due 2020
|
8/3/2015 | CVLM | Lennar holders exchange, convert $69.8 million of 2.75% convertibles
|
8/3/2015 | HYLM | PetroQuest evaluating refinancing options for 10% notes due 2017
|
8/3/2015 | LMMU | Oakland Redevelopment Agency, Calif., calls 5% Central District bonds
|
8/3/2015 | LMMU | Georgia Finance and Investment calls $226.03 million 2005A G.O. bonds
|
8/3/2015 | DDEMLM | Ukraine’s Oschadbank gets consent to exchange 8¼% notes, 8 7/8% notes
|
8/3/2015 | LMMU | Maryland redeems $198.74 million state and local facilities loan bonds
|
8/3/2015 | LMMU | Jacksonville, Fla., calls series 2008A transportation bonds due 2032
|
8/3/2015 | HYLM | Diversified Gas proposes to split 8½% bonds, places £640,000 add-on
|
8/3/2015 | ABLM | OHA Credit Partners VI, Ltd. to redeem seven groups of notes due 2023
|
8/3/2015 | LMMU | California Public Works calls $12.24 million of prison bonds due 2017
|
8/3/2015 | LMMU | New Jersey Environmental calls $105.62 million of series 2006A bonds
|
8/3/2015 | LMMU | New York Thruway defeases highway and bridge bonds from three series
|
8/3/2015 | LMMU | New Jersey Economic calls $230.24 million of school facilities bonds
|
8/3/2015 | LMMU | Partners HealthCare, Mass., to make $45 million bids on F-1, G-2 bonds
|
8/3/2015 | LMMU | Colorado Health defeases $55.39 million of 2006 Good Samaritan bonds
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8/3/2015 | EMLM | Greentown China to issue $429.7 million notes in exchange, $70.3 million for cash
|
8/3/2015 | HYLM | Health Net to amend 6 3/8% notes due 2017 for merger with Centene
|
8/3/2015 | HYLM | HD Supply to redeem 11% notes due 2020 after refinancing term loan
|
8/3/2015 | EMHYLM | R.E.A. Holdings offers £40 million 8¾% notes, to exchange 9½% notes
|
8/3/2015 | HYLM | Jaguar Holding, Pharmaceutical Product plan to redeem 9½% notes, 9 3/8%/10 1/8% PIK notes
|
8/3/2015 | EMLM | Mexico’s Grupo Idesa gets consents to amend $300 million 7 7/8% notes
|
8/3/2015 | HYLM | Sears Holdings tenders for up to $1 billion of 6 5/8% notes due 2018
|
7/31/2015 | IGLM | Atlas Air calls some pass-through certificates for redemption Aug. 4
|
7/31/2015 | IGLM | Janus Capital calls all $344.5 million of 6.7% notes due June 15, 2017
|
7/31/2015 | CLLM | Phoenix CLO I issues call to redeem five series of notes on Aug. 7
|
7/31/2015 | DDHYLM | immigon to spend €933 million to buy back bonds, notes, Schuldscheine
|
7/31/2015 | LMMU | BlackRock Municipal 2020 calls $2.85 million of auction preferreds
|
7/31/2015 | DDHYLM | Cliffs begins tender offer for $100 million 3.95% notes due 2018
|
7/31/2015 | IGLM | Time Warner calls all $312.91 million 5.875% notes after tender offer
|
7/31/2015 | EMLM | Magnesita gets tenders, consents for 76.89% of 7 7/8% notes so far
|
7/31/2015 | CVLM | Castex forces conversion of $137.4 million of foreign-currency bonds
|
7/31/2015 | EULM | RWE to redeem €1.75 billion subordinated fixed-to-floating rate notes
|
7/31/2015 | HYLM | Millicom gets OK to amend leverage covenant in 4¾%, 6 5/8% notes
|
7/31/2015 | HYLM | Alcatel-Lucent USA begins one-month tender for $300 million 6¾% notes
|
7/30/2015 | CADDHYLM | Iona calls bondholder meeting to approve refinancing of 9½% bonds
|
7/30/2015 | DDHYLM | RAAM Global again extends exchange offer for 12½% notes due 2015
|
7/30/2015 | EMLM | Greentown China gets OK to amend 5 5/8% notes, 8½% notes, 8% notes
|
7/30/2015 | HYLM | Star Gas to redeem all $125 million of 8 7/8% senior notes due 2017
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7/30/2015 | CVLM | Pinetree Capital calls C$10 million more 10% convertibles due 2016
|
7/30/2015 | HYLM | Cerved Group plans to fully redeem senior notes due 2020 and 2021
|
7/30/2015 | BKLMPV | Penn West to repay $81 million notes, pays down $17 million bank debt
|
7/30/2015 | LMMU | Massachusetts calls $461.66 million of loan of 2005 bonds, series C
|
7/30/2015 | LMMU | Maryland Health defeases $25.41 million of LifeBridge revenue bonds
|
7/30/2015 | LMMU | Colorado Health defeases $20.39 million of Evangelical Lutheran bonds
|
7/30/2015 | LMMU | Massachusetts Water Pollution calls $23.88 million of pool bonds
|
7/30/2015 | EUHYLM | Banco Popolare adjourns meeting to mull new junk status until Aug. 13
|
7/30/2015 | IGLMPF | RBS to redeem four ADS series representing dollar preferreds Sept. 1
|
7/30/2015 | HYLM | Linn Energy buys back $599 million notes at 35% discount in July, plans to suspend dividend
|
7/29/2015 | LMMU | North Carolina Municipal Power defeases some 2008A, 2009A Catawba bonds
|
7/29/2015 | CLLM | Carlyle Global Market Strategies CLO 2011-1 to redeem notes Aug. 10
|
7/29/2015 | LMMU | Seattle calls $102.31 million of 2005 water system refunding bonds
|
7/29/2015 | CLLM | Apidos CLO XV seeks holder consents to amend nine note series
|
7/29/2015 | DDEMLM | Ukraine’s PrivatBank seeks to extend 9 3/8% notes to Dec. 1, 2015
|
7/29/2015 | LMMU | Rhode Island defeases $52.53 million of capital loan of 2005 bonds
|
7/29/2015 | CLLM | Carlyle seeks to trim spread on €210 million class A floaters due 2025
|
7/29/2015 | DDHYLM | Arch Coal bank lenders seek to block exchange offer for three series
|
7/29/2015 | CVLMPP | Comstock Mining solicits consents to convert preferreds into stock
|
7/29/2015 | DDEMLM | Edcon exchanges 97.3% of 13 3/8% notes, expects €72 million savings
|
7/29/2015 | EULM | Bank of Scotland gets OK to restructure four series into soft bullets; two meetings adjourned
|
7/29/2015 | CVLM | MannKind to issue new notes, stock for $84.6 million convertibles
|
7/29/2015 | CVLM | Meritor buys back $4 million 4% convertibles due 2027 in Q3
|
7/29/2015 | HYLM | Seventy Seven buys back $40 million 6½% senior notes due 2022 in Q2
|
7/28/2015 | LMMU | NYC Industrial calls $80 million of IAC project 5% bonds due 2035
|
7/28/2015 | CLLM | Avoca CLO VII class G noteholders agree to establish reserve account
|
7/28/2015 | LMMU | Illinois Finance calls series 2005 Spertus Institute revenue bonds
|
7/28/2015 | HYLM | Party City plans to redeem $350 million of 8 7/8% senior notes
|
7/28/2015 | IGLM | Janus to repay 6.7% notes due 2017 with proceeds from new offering
|
7/28/2015 | HYIGLM | Noble announces final results in exchange offer for Rosetta notes
|
7/28/2015 | HYLM | Graton Economic Development tenders for 9 5/8% senior secured notes
|
7/27/2015 | IGLM | Citigroup announces tender offers for seven series of outstanding notes
|
7/27/2015 | HYLM | Atlantic Power redeems 9% senior notes due 2018 for $330.4 million
|
7/27/2015 | CVLM | Atlantic Power looks to ‘reshape’ convertibles due 2017, 2019
|
7/27/2015 | EMLM | Armenia’s Ardshinbank gets tenders for $59 million of notes due 2017
|
7/27/2015 | LMMU | New York City to redeem all 2006E general obligation bonds on Aug. 1
|
7/27/2015 | EMLM | Banco Mercantil do Brasil buys back $64.62 million 9 5/8% notes
|
7/27/2015 | LMMUPF | AllianceBernstein muni funds offer to buy back auction preferreds
|
7/27/2015 | IGLM | Iceland begins tender offer for $400 million of 4.875% notes due 2016
|
7/27/2015 | LMMU | Tampa, Fla., defeases water and sewer bonds, series 2005, 2006, 2007
|
7/27/2015 | LMMU | Washington Health Care calls $51.4 million 2002B Catholic Health bonds
|
7/27/2015 | EMLM | China’s Fantasia solicits consents to amend four series of notes
|
7/27/2015 | LMPF | Ocean Shore to redeem remaining $7 million of 8.67% capital securities
|
7/27/2015 | EULM | Urenco begins one-week tender for €150 million of 4% notes due 2017
|
7/27/2015 | EMLM | Thailand’s Kasikornbank to redeem 7.5 billion baht debentures Sept. 22
|
7/27/2015 | HYLM | Barminco buys back $25 million of additional 9% notes due 2018
|
7/27/2015 | HYLM | House of Fraser calls 8 7/8% notes due 2018 for redemption on Aug. 26
|
7/27/2015 | HYLM | Caleres wraps tender offer for 7 1/8% notes, expects to call remainder
|
7/27/2015 | HYLM | Center Parcs gets tenders for £125.24 million 11 5/8% notes due 2042
|
7/27/2015 | EMLM | KazMunayGas holders vote to amend seven note series at Monday meeting
|
7/24/2015 | HYLM | Eldorado Resorts calls all $168 million 8 5/8% notes due 2019
|
7/24/2015 | HYLM | Interline Brands plans to redeem all remaining 10%/10¾% notes due 2018
|
7/24/2015 | LMMU | Illinois Finance’s 2006 Chicago Historical bonds have mandatory tender
|
7/24/2015 | EMLM | Singapore’s Swiber buys back more 9¾% senior perpetual securities
|
7/24/2015 | LMMU | Johnston Memorial Hospital, N.C., defeases $124.63 million of bonds
|
7/24/2015 | LMMU | Municipal Authority of Westmoreland County, Pa., calls all 2005 bonds
|
7/24/2015 | CVLM | Zall Development calls all $90 million 5.5% convertible bonds due 2018
|
7/24/2015 | EMLM | Russia’s VTB Bank wraps tender for seven series, buys back $337.2 million Dutch auction notes
|
7/23/2015 | HYLM | Seacor redeems $99.9 million Title XI bonds, $14 million 7 3/8% notes
|
7/23/2015 | LMPF | Condor Hospitality plans exchange offer for series A, B preferreds
|
7/23/2015 | DDHYLM | RAAM Global again extends exchange offer for 12½% notes due 2015
|
7/23/2015 | CVLM | Beni Stabili buys back nearly all 3.375% convertibles via reverse bookbuilding
|
7/23/2015 | CVLM | Beni Stabili may buy back 3.375% convertibles in reverse book-building
|
7/23/2015 | HYIGLM | Catamaran’s outstanding 4¾% notes due 2021 to be redeemed on Aug. 23
|
7/23/2015 | LMMU | Louisiana Citizens defeases $415.29 million assessment revenue bonds
|
7/23/2015 | LMMU | Vernon, Calif., defeases $72.87 of 2009A electric bonds due 2021
|
7/23/2015 | LMMU | Lamar ISD, Texas, defeases $77.48 million of ULT schoolhouse bonds
|
7/23/2015 | HYLM | Euramax to repay all 9½% senior secured notes due 2016 via new notes
|
7/23/2015 | CVLM | Golden Agri-Resources buys back some 2.5% convertible bonds due 2017
|
7/23/2015 | DDEMHYLM | Global A&T: Court rules against default claims under 10% notes exchange; holders appeal
|
7/23/2015 | CVLM | Beni Stabili may buy back 3.375% convertibles via reverse bookbuilding
|
7/22/2015 | LMMU | Winston-Salem, N.C., to redeem 2002C water, sewer system revenue bonds
|
7/22/2015 | HYLM | Telenet to redeem €500 million secured notes due 2020 on Aug. 21
|
7/22/2015 | LMMU | Deschutes County Hospital, Ore., defeases 2008 Cascade Healthcare Community bonds
|
7/22/2015 | LMMU | Merced Irrigation, Calif., calls all 2005 electric bonds, certificates
|
7/22/2015 | LMMU | Ohio defeases $67.95 million of 2007, 2010 Denison University bonds
|
7/22/2015 | LMMU | Texas Transportation defeases $848.3 million of highway fund bonds
|
7/22/2015 | LMMU | Clark County, Nev., defeases 2007A-2 McCarran airport revenue bonds
|
7/22/2015 | LMMU | Broward County, Fla., defeases $202.46 million of water, sewer bonds
|
7/22/2015 | DDHYLM | Arch Coal extends early deadline in exchange offers for three series
|
7/21/2015 | DDHYLM | Norshore Atlantic seeks holder OK to restructure 12% bonds due 2018
|
7/21/2015 | IGLM | Mylan redeems 7.875% notes due 2020 with new loan proceeds
|
7/21/2015 | DDHYLM | Otium bondholders vote in favor of amended restructuring proposal
|
7/21/2015 | CVLMPF | Wheeler REIT holders exchange 69% of preferreds, 54% of convertibles
|
7/21/2015 | LMMU | Rhode Island’s Tobacco Settlement Financing, R.I., needs more consents
|
7/21/2015 | EMLM | Singapore’s Swiber buys back more 9¾% senior perpetual securities
|
7/21/2015 | LMMU | Anaheim Public Financing defeases $61.05 million of electric bonds
|
7/21/2015 | HYLM | Nordic Service Partners bondholders widely vote down listing waiver
|
7/21/2015 | CLLM | Gillespie CLO to redeem €309.1 million of notes due 2023 per request
|
7/21/2015 | EMLM | Banco Mercantil do Brasil upsizing approved, to buy all early tenders
|
7/21/2015 | EMHYLM | Millicom seeks to amend leverage covenant in 4¾% notes, 6 5/8% notes
|
7/20/2015 | EULM | Terna Rete buys back €480 million 4.125% notes in offer; pricing set
|
7/20/2015 | HYLM | Domtar calls $55 million of 9½% notes, $215 million of 10¾% notes
|
7/20/2015 | LMMU | California Pollution's Republic Services bonds have mandatory tender
|
7/20/2015 | CVLM | Innergex Renewable to redeem outstanding 5.75% convertibles due 2017
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7/20/2015 | LMMU | Metropolitan Washington Airports defeases $182.91 million 2005A bonds
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7/20/2015 | HYLM | Mohegan Tribal to refinance most 11% senior subordinated notes due 2018
|
7/20/2015 | LMMU | Community Hospitals of Central California defeases $74.03 million COPs
|
7/20/2015 | EMLM | Russia’s Gaz Capital begins consent solicitation for 5.338% notes
|
7/20/2015 | LMPF | Grand preferred holders may receive Seacoast stock, cash after merger
|
7/20/2015 | EMLM | Mexico’s Grupo Idesa seeks consents to amend $300 million 7 7/8% notes
|
7/20/2015 | EULM | Iceland’s Islandsbanki buys back €47.7 million 3% with new deal funds
|
7/20/2015 | LMMU | Massachusetts Water calls some series 2008A-2 revenue bonds due 2037
|
7/20/2015 | LMMU | Philadelphia to redeem $129.53 million of gas works revenue bonds
|
7/20/2015 | EULM | Iceland’s Islandsbanki to buy back some of €100 million 3% notes
|
7/20/2015 | EMLM | Greentown China offers new notes in exchange for 8½% notes, 8% notes
|
7/20/2015 | EULM | Terna Rete accepts tenders for €480 million of 4 1/8% notes in offer
|
7/20/2015 | HYLM | Caleres begins tender offer for $200 million 7 1/8% notes due 2019
|
7/20/2015 | EMLM | Magnesita Refractories begins tender, consent bid for 7 7/8% notes
|
7/20/2015 | HYLM | Center Parcs tenders for 11 5/8% notes as part of merger, refinancing
|
7/17/2015 | HYLM | Telecom Italia to buy €979.84 million notes in euro, dollar tender
|
7/17/2015 | LMMU | Wylie ISD, Texas, calls $95.07 million 2005 unlimited tax bonds
|
7/17/2015 | LMMU | Chula Vista, Calif., calls San Diego Gas & Electric bonds at 101
|
7/17/2015 | LMMU | Texas Public Finance defeases $50.09 million Charter School bonds
|
7/17/2015 | HYLM | Rite Aid to redeem all remaining 8% notes due 2020 at 104 on Aug. 15
|
7/17/2015 | LMMU | Socorro ISD, Texas, calls $132.81 million of 2005, 2005A ULT bonds
|
7/17/2015 | HYLM | Sea Production receives enough consents to extend bonds’ maturity date
|
7/17/2015 | LMMU | Dasny defeases $100 million of Sloan Kettering bonds, 2006 series 1
|
7/17/2015 | LMMU | Los Angeles County Sanitation defeases $167.63 million of 2005B bonds
|
7/17/2015 | LMMU | Ada & Canyon JSD No. 2, Idaho, calls $80.33 million of G.O. bonds
|
7/17/2015 | LMMU | Prosper ISD, Texas, calls $102.23 million of building bonds, 2006
|
7/17/2015 | LMMU | Massachusetts defeases several G.O. bonds from three series
|
7/17/2015 | LMMU | Ysleta ISD, Texas, calls $51.27 million 2005 ULT school building bonds
|
7/17/2015 | DDHYLM | Otium seeks bondholder approval of amended restructuring proposal
|
7/17/2015 | LMMU | Grapevine-Colleyville, Texas, calls all 2005A school building bonds
|
7/17/2015 | LMMU | Eagle Mountain-Saginaw ISD, Texas, calls series 2006 building bonds
|
7/17/2015 | LMMU | New York State Environmental looks to refund five revenue bond series
|
7/17/2015 | LMMU | Massachusetts School Building calls $1.9 billion 2005A sales tax bonds
|
7/17/2015 | LMMU | El Paso Hospital, Texas, calls all 2005 certificates of obligation
|
7/17/2015 | ABLM | FMC Real Estate CDO 2005-1 delays notes’ redemption date by one month
|
7/17/2015 | HYLM | Marina District Finance plans redemption of all 9 7/8% notes due 2018
|
7/17/2015 | HYLM | Mobylife gets approval of waiver for SEK 450 million notes due 2018
|
7/17/2015 | EUIGLM | AIG wraps tender offers for up to $3.3 billion of several note series
|
7/17/2015 | CVLM | Forest City holders agree to exchange $50.53 million of convertibles
|
7/17/2015 | CVLM | Health Care REIT calls 3% convertibles, triggers conversion option
|
7/17/2015 | DDHYLM | Arch Coal extends exchange offers, gets needed consents for 7¼% notes
|
7/17/2015 | EMLM | Kazakhstan’s Almatytemir buys back some 8% bonds due 2024
|
7/17/2015 | HYLM | NRAM wraps tender for 4 1/8% series 7 bonds, 5 5/8% series 8 bonds
|
7/16/2015 | DDHYLM | RAAM Global extends exchange offer for 12½% notes due 2015 to July 23
|
7/16/2015 | CVLM | Forest City holders agree to exchange $138.9 million of convertibles
|
7/16/2015 | CALM | Faircourt Split Trust to redeem C$1 million 6% preferreds at month-end
|
7/16/2015 | EMLM | MIE gets holder OK to amend two series to cash in on energy volatility
|
7/16/2015 | DDHYLM | Otium fails to get bondholder OK to restructure senior bond issue
|
7/16/2015 | EMLM | Brazil’s Tonon wraps exchange offer for $289.16 million of 9¼% notes
|
7/16/2015 | LMPV | Imperial Holdings redeems all $50 million of 12 7/8% senior notes
|
7/16/2015 | CVLM | Accentro Real Estate issues clean-up call for convertibles due 2017
|
7/16/2015 | EMLM | Brazil calls outstanding 11% dollar-denominated global bonds due 2040
|
7/16/2015 | LMMU | Metropolitan Washington Airports purchases $51.9 million revenue bonds
|
7/16/2015 | HYLM | ServiceMaster to redeem all $487.5 million of 7% notes on Aug. 17
|
7/16/2015 | EMLM | China Culiangwang Beverages redeems HK$380 million 19.2% notes
|
7/16/2015 | EULM | Arion Bank repurchases NOK 260 million of bonds issued in 2013
|
7/16/2015 | EMLM | Russia’s VTB Bank begins tender offers for seven series of notes
|
7/16/2015 | EMLM | Russia’s Magnit will redeem its BO-10 exchange-traded bonds early
|
7/16/2015 | LMPF | Old Second Bancorp calls remaining 31,553 of series B TARP preferreds
|
7/16/2015 | HYLM | Telecom Italia to buy $564.23 million 6.999%, 7.175% notes in tender
|
7/16/2015 | HYLM | Finmeccanica wraps tender offer for €450 million of five note series
|
7/16/2015 | HYLM | Care UK tenders for £95 million of floaters due 2019 via asset sale
|
7/16/2015 | CVLM | Forest City holders agree to exchange $88.41 million of convertibles
|
7/16/2015 | HYLM | TRW Automotive gets needed consents to amend 4½%, 4.45% senior notes
|
7/15/2015 | LM | High North completes plan of arrangement for 12% convertibles due 2015
|
7/15/2015 | LMMU | Lincoln Electric, Nebraska, calls $115 million of 2005 revenue bonds
|
7/15/2015 | LMMU | Leander ISD, Texas, to redeem 2005 unlimited tax bonds at discount
|
7/15/2015 | LMMU | Georgia Finance and Investment calls $300.61 million 2005B G.O. bonds
|
7/15/2015 | HYLM | Spencer Spirit to redeem all $135 million 9%/9¾% PIK toggle notes
|
7/15/2015 | LMMU | Hurst-Euless-Bedford ISD, Texas, refunds its 2004, 2006 ULT bonds
|
7/15/2015 | LMMU | South Carolina Transportation defeases 2005A, 2007A revenue bonds
|
7/15/2015 | LMMU | New Jersey Economic calls 5.5% 2009 water project bonds due 2039
|
7/15/2015 | LMMU | Dasny calls $264.69 million of series 2005 St. Luke’s-Roosevelt bonds
|
7/15/2015 | LMMU | Central Florida Expressway’s 2008B-2 bonds have mandatory tender
|
7/15/2015 | HYLM | Telecom Italia prices tender offer for 6.999% notes, 7.175% notes
|
7/15/2015 | HYLM | TRAC Intermodal calls $150 million 11% senior secured notes due 2019
|
7/15/2015 | DDEMLM | Ukraine’s PrivatBank gives details of failed bid to amend two series
|
7/15/2015 | CLLM | KKR Financial CLO 2005-1 to redeem six classes of notes on July 27
|
7/15/2015 | LMMU | New Mexico Hospital defeases 2008A Presbyterian Health Care bonds
|
7/15/2015 | EMLM | Bahrain’s Investcorp retires $104.2 million of its preference shares
|
7/15/2015 | LMPV | TAL International unit opts to prepay all series 2010-1 notes in July
|
7/15/2015 | DDEMLM | Edcon holders tender for exchange more than 95% of 13 3/8% notes
|
7/14/2015 | IGLM | Kohl’s upsizes tender for notes to $767.04 million, sets pricing
|
7/14/2015 | IGLM | Kohl’s upsizes tender to $767.04 million; all early notes accepted
|
7/14/2015 | LMMU | University of Pennsylvania Health calls series A of 2005 revenue bonds
|
7/14/2015 | LMMU | Tustin USD, Calif., calls $89.29 million of 2002 special tax bonds
|
7/14/2015 | LMMU | Penn State to redeem $79.24 million of series 2005 bonds on Sept. 1
|
7/14/2015 | DDEMLM | Ukraine’s PrivatBank fails in effort to amend 9 3/8% and 5.799% notes
|
7/14/2015 | HYIGLM | Noble receives tenders for 98.77%-plus in exchange for Rosetta notes
|
7/14/2015 | EMLM | Banco Mercantil do Brasil extends tender to allow upsizing approval
|
7/14/2015 | IGLM | Kohl’s reaches $600 million maximum by early deadline in tender offer
|
7/13/2015 | BKCVDDHYLM | Hercules Offshore solicits votes for prepackaged plan of reorganization
|
7/13/2015 | CVLMPF | Wheeler REIT extends deadline to exchange series A preferreds, series B convertibles for stock
|
7/13/2015 | HYLM | Thompson Creek buys back $34.2 million of 9¾% notes in second quarter
|
7/13/2015 | LMMU | New Jersey Economic defeases its school facilities construction bonds
|
7/13/2015 | LMMU | Philadelphia plans to redeem its series 2006 general obligation bonds
|
7/13/2015 | HYLM | Labco to redeem all €700 million of senior secured notes due 2018
|
7/13/2015 | CLLM | Gresham Capital CLO I to redeem notes at request of class F holders
|
7/13/2015 | CLLM | Gresham Capital CLO II to redeem notes after class F holders’ request
|
7/13/2015 | CLLM | OZLM Funding will redeem five groups of secured notes on July 22
|
7/13/2015 | ABLM | Arbor Realty Mortgage Securities series 2006-1 calls notes, preferreds
|
7/13/2015 | IGLM | Reynolds American wraps offer to swap out $3.5 billion Lorillard notes
|
7/13/2015 | DDEMLM | Edcon receives consents to amend 13 3/8% notes, ends withdrawal right
|
7/13/2015 | HYLM | Eldorado tenders, seeks consents for units’ 8 5/8% notes, 11½% notes
|
7/13/2015 | CVLM | Bristow calls 3% convertibles due 2038; senior notes are convertible
|
7/10/2015 | DDLMMU | Puerto Rico notes may be repurchased at ‘materially less than par’
|
7/10/2015 | HYLM | Sea Production solicits consents to extend maturity date of bonds
|
7/10/2015 | LMMU | Georgia Finance calls all $300.61 million of series 2005B G.O. bonds
|
7/10/2015 | LMMU | Prosper ISD, Texas, rescinds call of 2006 school building bonds
|
7/10/2015 | HYLM | IGas Energy seeks OK to amend terms of two issues of 10% bonds due 2018
|
7/10/2015 | LMMU | Lewisville ISD, Texas, rescinds $48.2 million building bond call
|
7/10/2015 | LMMU | Leander ISD, Texas, rescinds plan to redeem $61.19 million of bonds
|
7/10/2015 | LMMU | White Settlement ISD, Texas, to redeem $128.82 million of 2006 bonds
|
7/10/2015 | HYLM | NRAM prices tender for 4 1/8% series 7 bonds, 5 5/8% series 8 bonds
|
7/10/2015 | EULM | Terna Rete tenders for up to €400 million of 4 1/8% notes, 2 7/8% notes
|
7/10/2015 | HYLM | Nobina to redeem Nobina Europe bonds via make-whole call on Aug. 11
|
7/9/2015 | DDHYLM | RAAM Global again extends exchange offer for 12½% notes due 2015
|
7/9/2015 | HYLM | Hanger gets consents to waive reporting requirements for 7 1/8% notes
|
7/9/2015 | HYLM | Efesto Energy gets noteholder OK for redemptions, security interest
|
7/9/2015 | LMMU | Port of Seattle calls $319.3 million of 2005A intermediate-lien bonds
|
7/9/2015 | LMMU | Palm Beach County School Board, Fla., calls $104.88 million 2005A COPs
|
7/9/2015 | LMMU | Montgomery County, Ohio, calls three series of Catholic Health bonds
|
7/9/2015 | LMMU | California defeases University of Southern California revenue bonds
|
7/9/2015 | ABLM | Quarzo calls €123.1 million of asset-backed variable notes due 2037
|
7/9/2015 | LMMU | Tobacco Settlement Financing, R.I., extends bid to amend 2015A bonds
|
7/9/2015 | HYLM | Ethias holders tender €236 million of fixed-to-floaters for exchange
|
7/9/2015 | EMLM | KazMunayGas doubles early consent fee for three series in solicitation
|
7/8/2015 | CAEMHYLM | Pacific Rubiales: Consent solicitations for four note series fail due to merger termination
|
7/8/2015 | CAHYLM | North American Energy calls C$37.48 million 9 1/8% notes due 2017
|
7/8/2015 | CVLM | Ixia buys back $65 million of 3% senior convertible notes due 2015
|
7/8/2015 | HYLM | Nordic Service Partners seeks listing waiver from bondholders
|
7/8/2015 | IGLM | Citigroup accepts $554.87 million of tendered 6%, 6.125% notes
|
7/8/2015 | LMMU | Sonoma County, Calif., defeases $72.77 million of agricultural bonds
|
7/8/2015 | LMMU | New Hampshire HEFA calls $220.67 million of Dartmouth College bonds
|
7/8/2015 | LMMU | Lee Memorial Health of Florida calls $50.85 million of hospital bonds
|
7/8/2015 | CLLM | Bacchus (U.S.) 2006-1 calls class A, B, C, D, E and subordinated notes
|
7/8/2015 | CVHYLM | Novo Banco gets quorum, needed votes to amend two series at meeting
|
7/8/2015 | HYLM | Finmeccanica begins tender offer for €450 million of five note series
|
7/8/2015 | HYLM | ContourGlobal fails to garner needed approval in bid for 7 1/8% notes
|
7/8/2015 | HYLM | Eldorado Resorts plans to repurchase or redeem 8 5/8% and 11½% notes
|
7/7/2015 | DDEMLM | Brazil’s Tonon gets tenders for 94.6% of 9¼% notes, avoids insolvency
|
7/7/2015 | HYLM | iGate to redeem $325 million 4¾% senior notes due 2019 on July 31
|
7/7/2015 | HYLM | Telecom Italia begins any and all tender for dollar notes, capped offer for five euro series
|
7/7/2015 | DDEMLM | Ukraine’s Ukreximbank gets votes to amend 8¾% notes issued by Biz
|
7/7/2015 | HYLM | TRW Automotive solicits consents to amend 4½%, 4.45% senior notes
|
7/7/2015 | EMLM | Argentina’s Clisa begins consent solicitation for 9½%, 11½% notes
|
7/7/2015 | HYLM | Wynn Las Vegas to redeem $80.1 million of 7¾% first mortgage notes
|
7/7/2015 | LMMU | Hackensack Medical Plaza calls $47.03 million of 7.95% notes due 2028
|
7/7/2015 | HYLM | Danske Koncept seeks bondholder OK to waive listing requirement
|
7/7/2015 | LMMU | Fairfax County, Va., defeases $154.54 million of series 2005A bonds
|
7/7/2015 | LMMU | Partners HealthCare, Mass., to make $15 million bids on F-2 bonds
|
7/7/2015 | EULM | Bank of Scotland seeks to restructure seven series into soft bullets
|
7/7/2015 | EULM | Finland’s Kotipizza Group to redeem €30 million of bonds due 2016
|
7/7/2015 | CVLM | Golden Agri-Resources buys back some 2.5% convertible bonds due 2017
|
7/6/2015 | EMLM | AES Panama wraps tender offer for 6.35% senior notes due 2016
|
7/6/2015 | LMMU | Gwinnett County Water, Ga., calls $127 million of series 2005 bonds
|
7/6/2015 | LMMU | Ohio Higher Education calls $75.48 million of Case Western bonds
|
7/6/2015 | LMMU | Trinity River, Texas, calls $77.91 million Tarrant County bonds
|
7/6/2015 | LMMU | Public Energy Authority of Kentucky calls 2006A gas supply bonds
|
7/6/2015 | LMMU | North East ISD, Texas, calls all $57.91 million of series 2005 bonds
|
7/6/2015 | LMMU | South Carolina calls $70.9 million of 2005A G.O. state highway bonds
|
7/6/2015 | LMMU | Montgomery County IDA, Pa., defeases series 2010 New Regional bonds
|
7/6/2015 | LMMU | Fremont USD of California calls outstanding series 2002B G.O. bonds
|
7/6/2015 | LMMU | City of Industry Public Facilities, Calif., calls 2007 revenue bonds
|
7/6/2015 | LMMU | Ohio Air Quality Authority calls three series of Dayton project bonds
|
7/6/2015 | DDEMLM | Oschadbank seeks consents to exchange offer for notes due 2016, 2018
|
7/6/2015 | HYIGLM | Darden raises consent fee for 6% notes due 2035, 6.8% notes due 2037
|
7/6/2015 | LMMU | Lee County School, Fla., calls all 2005A certificates of participation
|
7/6/2015 | LMMU | Sonoma County Junior College, Calif., calls all series B G.O. bonds
|
7/6/2015 | LMMU | Massachusetts Port Authority defeases several revenue bonds
|
7/6/2015 | EULM | BPCE to redeem €700 million subordinated fixed-to-floaters on July 30
|
7/6/2015 | CVLM | China Hongqiao Group redeems all 6.5% convertible bonds due 2017
|
7/6/2015 | HYLM | Freescale Semiconductor calls all $302 million 10¾% notes due 2020
|
7/6/2015 | EULM | Idex Energies postpones meeting to ease covenant for 5% bonds
|
7/6/2015 | HYIGLM | Darden extends solicitation for 6% notes due 2035, 6.8% notes due 2037
|
7/2/2015 | LMPP | First Community Financial redeems $14.1 million of subordinated debt
|
7/2/2015 | CAHYLM | Lightstream to swap $465 million notes for $395 million secured notes
|
7/2/2015 | EMLM | China Shanshui Cement wraps change-of-control offer for 8½% notes
|
7/2/2015 | DDEMHYLM | Ferrexpo gets OK to amend 7 7/8% notes, accepts all notes for exchange
|
7/2/2015 | HYLM | Norwegian Energy exercises call option for portion of 6½% bonds
|
7/2/2015 | HYLM | Solor Bioenergi gets votes to amend senior secured bonds due 2017
|
7/2/2015 | DDHYLM | Otium seeks to convert bonds into preferreds as part of restructuring
|
7/2/2015 | CVLM | Poydras gets needed consents to amend 11% convertibles for acquisition
|
7/2/2015 | LMMU | North Orange Community College, Calif., calls $129.95 million of bonds
|
7/2/2015 | EMHYLM | Polish Television Holding calls outstanding PIK toggle notes due 2021
|
7/2/2015 | LMMU | Pennsylvania Economic Development defeases Albert Einstein bonds
|
7/2/2015 | LMMU | Cape Coral, Fla., defeases some water and sewer bonds issued in 2006
|
7/2/2015 | LMMU | Florida Department of Management Services to redeem 2006A COPs in full
|
7/2/2015 | LMMU | NYC Industrial’s American Airlines JFK bonds have mandatory tender
|
7/2/2015 | LMMU | Vermont Economic Development calls $145.7 million notes due Aug. 10
|
7/2/2015 | LMMU | Colorado Water calls $87.85 million of Aurora utility project bonds
|
7/2/2015 | LMMU | Rancho Santiago Community College, Calif., calls series 2005B bonds
|
7/2/2015 | LMMU | Dasny defeases $19.21 million of series 2006D education revenue bonds
|
7/2/2015 | LMMU | Laredo ISD, Texas, calls $74.9 million of school building bonds
|
7/2/2015 | ABLM | MWAM CBO 2001-1 plans July 30 redemption of notes, preferreds
|
7/2/2015 | DDHYLM | Arch Coal begins exchange offers for three series, concurrent offer
|
7/2/2015 | LMMU | Keller ISD, Texas, to redeem full 2005 unlimited tax refunding bonds
|
7/2/2015 | CVLM | Sercomm’s domestic convertible bonds putable beginning July 22
|
7/2/2015 | IGLM | Baxter holders tender $2.7 billion notes in any and all, capped offers
|
7/2/2015 | IGLM | AIG wraps any and all tenders, gives update, pricing for capped offers
|
7/2/2015 | HYLM | ContourGlobal amends, again extends consent bid for 7 1/8% notes
|
7/1/2015 | EMLM | MIE seeks noteholder consents to take advantage of energy volatility
|
7/1/2015 | DDHYLM | RAAM Global Energy extends exchange offer for 12½% notes due 2015
|
7/1/2015 | IGLM | Twin Cities Power gets holder OK to amend renewable subordinated notes
|
7/1/2015 | IGLM | AIG prices tender offers for any and all of 5.45% notes and 5% notes
|
7/1/2015 | IGLM | Baxter prices tender offers for any and all, maximum of seven series
|
7/1/2015 | HYLM | Range Resources to redeem all $500 million 6¾% notes at 103.375
|
7/1/2015 | HYLM | National Fuel begins consent solicitation for 7.395%, 7 3/8% notes
|
7/1/2015 | DDHYLM | Cecon seeks bondholder approval to extend tranche B2 bonds to August
|
7/1/2015 | HYLM | Lee Enterprises repays $9 million remaining 9% senior notes due 2017
|
7/1/2015 | ABLM | Landmark VII CDO plans July 15 redemption for some notes
|
7/1/2015 | CVLM | SunPower to redeem all $79,000 of 0.75% senior convertibles due 2027
|
7/1/2015 | EMLM | Russia’s Tinkoff buys back $48.02 million of 10¾% notes due 2015
|
7/1/2015 | LMMU | Leander ISD, Texas, calls $83.88 million series 2005 building bonds
|
7/1/2015 | LMMU | Adams County, Ohio, calls $83.31 million Platte Valley Medical bonds
|
7/1/2015 | LMMU | Prosper ISD, Texas, calls $102.23 million of school building bonds
|
7/1/2015 | LMMU | Florida Department of Transportation calls $74.63 million bonds
|
7/1/2015 | LMMU | Lewisville ISD, Texas, calls $76.88 million of building bonds, 2007
|
7/1/2015 | LMMU | San Jose Unified Schools, Calif., calls $77.22 million of G.O. bonds
|
7/1/2015 | LMMU | San Bernardino Schools, Calif., calls $60 million of 2006B G.O. bonds
|
7/1/2015 | LMMU | Kentucky calls state property and buildings commission revenue bonds
|
7/1/2015 | LMMU | Columbus-Franklin County, Ohio, calls $62.4 million of revenue bonds
|
7/1/2015 | IGLM | ADM to pay $961.42 million to settle tender offer for 11 note series
|
6/30/2015 | HYLM | FTI Consulting may retire $400 million 6¾% notes due 2020 by Oct. 1
|
6/30/2015 | IGLM | First National holders OK slashing coupon to 4.5% on notes due 2019
|
6/30/2015 | EMLM | KazMunayGas begins consent solicitation to amend seven note series
|
6/30/2015 | CAHYLM | Iona seeks to refinance bond debt, expects to call bondholder meeting
|
6/30/2015 | LMMU | Los Angeles defeases $75.52 million of series 2009A wastewater bonds
|
6/30/2015 | LMMU | Louisiana calls $205.81 million of 2005A general obligation bonds
|
6/30/2015 | LMMU | Fort Worth, Texas, calls $15.75 million of 2005A water, sewer bonds
|
6/30/2015 | EMLM | Mexico’s Grupo Posadas buys back $269.16 million 7 7/8% notes so far
|
6/30/2015 | HYIGLM | Ipalco gets early tenders for 91.62% of 7.25% notes; pricing set
|
6/30/2015 | CVLM | Canacol to issue 9.76 million shares on redemption of 8% convertibles
|
6/30/2015 | LMMU | California to redeem $498.74 million various purpose G.O.s on Aug. 1
|
6/30/2015 | EULM | Kahrs to redeem SEK 750 million of senior unsecured floaters due 2017
|
6/30/2015 | EMLM | Kahrs to redeem SEK 750 million of senior unsecured floaters due 2017
|
6/30/2015 | HYLM | ContourGlobal Power extends consent bid for 7 1/8% notes, raises fee
|
6/30/2015 | HYLM | NRAM reaches quorum in tenders for 4 1/8% and 5 5/8% covered bonds
|
6/30/2015 | DDEMLM | Edcon offers 8% PIK notes, warrants in exchange for 13 3/8% notes
|
6/30/2015 | EMLM | Banco Mercantil do Brasil lifts tender offer cap to $35.56 million
|
6/30/2015 | HYLM | Hanger seeks waiver of reporting requirement for 7 1/8% notes
|
6/29/2015 | IGLM | Sysco to redeem $5 billion of senior notes after merger called off
|
6/29/2015 | IGLMMU | George Washington University calls all $50 million 2007 taxable bonds
|
6/29/2015 | HYLM | First Data calls $245 million more of 7.375% senior notes due 2019
|
6/29/2015 | LMMU | Colorado Water to redeem $87.85 million of 2005D Aurora revenue bonds
|
6/29/2015 | IGLM | Kohl’s begins tender offer for up to $600 million of four note series
|
6/29/2015 | LMMU | Louisiana defeases $121.91 million of general obligation bonds
|
6/29/2015 | ABLM | FMC Real Estate calls several notes for optional full redemption
|
6/29/2015 | LMMU | San Marcos Public Facilities, Calif., calls $103.89 million of bonds
|
6/29/2015 | HYLM | ContourGlobal Power extends consent bid for 7 1/8% notes due 2019
|
6/29/2015 | HYLM | Ethias begins exchange offer for €250 million fixed-to-floating bonds
|
6/29/2015 | EMLM | Kazkommertsbank: Votes fall shy of target needed to amend 5½% notes
|
6/29/2015 | IGLM | Noble Energy offers to swap out three Rosetta series related to merger
|
6/29/2015 | HYLM | Ducommun calls $200 million of 9¾% senior notes due 2018 at 104.875
|
6/29/2015 | IGLMPF | MetLife gets tenders for 37.19 million of 6.5% series B preferreds
|
6/26/2015 | HYLM | Transocean issues make-whole call for $893 million 4.95% notes due 2015
|
6/26/2015 | HYLM | New Academy extends redemption date for 8%/8¾% toggle notes to July 3
|
6/26/2015 | LMMU | Washington Health defeases $84 million of Northwest Hospital bonds
|
6/26/2015 | LMMU | Lebanon County Facilities calls two series of Good Samaritan bonds
|
6/26/2015 | HYLM | Atlantic Power calls 9% notes, explores other ways to ‘reshape’ debt
|
6/26/2015 | LMMU | New York dormitory authority defeases North Shore bonds, calls others
|
6/26/2015 | EMLM | China SCE Property calls RMB 1.97 billion 10½% senior notes due 2016
|
6/26/2015 | HYLM | TRW Automotive gets tenders for 70% of 4½% notes, 89% of 4.45% notes
|
6/26/2015 | DDEMLM | Ukraine's PrivatBank seeks holder OK to amend 9 3/8% and 5.799% notes
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6/26/2015 | IGLMPF | BofA says $63.81 million Barnett Capital III securities to be redeemed
|
6/26/2015 | DDEMLM | Metinvest gets OK to extend, waive defaults for 10¼% notes due 2015
|
6/26/2015 | EULM | Banca Monte dei Paschi gets consents to amend 12 covered bond series
|
6/26/2015 | CVLM | Pacific Basin Shipping buys back $9.56 million 1.75% convertibles
|
6/26/2015 | EMLM | Modern Land China gets needed consents for 13 7/8%, 11% and 12¾% notes
|
6/26/2015 | HYLM | Europcar calls 11½% notes at 111.5, 9 3/8% notes at 104.688
|
6/26/2015 | HYLM | Mobylife seeks another waiver for SEK 450 million notes due 2018
|
6/25/2015 | LMMU | New York City’s G.O. bonds have mandatory tender, to be reoffered
|
6/25/2015 | CVLM | Marine Harvest to redeem 2.375% convertible bonds due 2018 on July 23
|
6/25/2015 | HYLM | Biomet calls two series of 6½% notes due 2020 after acquisition closes
|
6/25/2015 | HYLM | Crown Media Holdings to redeem all 10½% notes at 105.25 on July 24
|
6/25/2015 | HYLM | Milacron Holdings repays $220 million senior notes at 106.281
|
6/25/2015 | HYLM | Kloeckner Pentaplast unit calls €74.57 million 11 5/8% notes due 2017
|
6/25/2015 | DDHYLM | Cecon 5% bondholders vote to replace director at Wednesday meeting
|
6/25/2015 | LMMU | Los Angeles Community College defeases $359.29 million of G.O. bonds
|
6/25/2015 | LMMU | Placentia-Yorba Linda USD, Calif., defeases 2008, series A G.O.s
|
6/25/2015 | HYLM | Rank Group Finance repurchases $700,000 of 7 1/8% notes due 2018
|
6/25/2015 | HYLM | England’s AA Bond to redeem all £655 million of 9% notes due 2043
|
6/25/2015 | LMMU | Burbank-Glendale-Pasadena Airport, Calif., revises bond redemption
|
6/25/2015 | LMMU | Mesa, Ariz., to redeem all $77.84 million 2011A highway project notes
|
6/25/2015 | LMMU | Crowley ISD, Texas, defeases $63.77 million of 2005, 2007 bonds
|
6/25/2015 | LMMU | Long Beach Bond Finance, Calif., calls $150.33 million of 2005 bonds
|
6/25/2015 | IGLM | Reynolds gets needed consents to exchange $3.5 billion Lorillard notes
|
6/25/2015 | EULM | Idex Energies seeks to ease leverage covenant for 5% bonds due 2020
|
6/25/2015 | CVLM | China Minsheng announces redemption amount of A share convertibles
|
6/25/2015 | CVLM | CGG receives tenders for 90.3% of 1.25% Oceanes in exchange offer
|
6/25/2015 | CVLM | GFI Informatique calls Oceane convertibles due 2017 for redemption
|
6/24/2015 | CAHYLM | Centric buys back C$9.84 million 8 5/8% notes in oversubscribed offer
|
6/24/2015 | EMLM | Mexico’s Grupo Posadas gets enough consents to amend 7 7/8% notes
|
6/24/2015 | HYLM | Alere to redeem all $400 million 8 5/8% subordinated notes on Oct. 1
|
6/24/2015 | HYLM | Ridgebury Crude Tankers holders approve changes to 7 5/8% bonds
|
6/24/2015 | HYLM | Intralot buys back €26.9 million 9¾% notes and €20.1 million 6% notes
|
6/24/2015 | HYLM | Kistefos quits soliciting consents to extend half of bonds to October
|
6/24/2015 | HYLM | Esterline calls all $250 million of 7% senior notes due Aug. 1, 2020
|
6/24/2015 | HYLM | Endo calls outstanding $499.88 million of two series of 7% notes
|
6/24/2015 | LMMU | Illinois Finance Authority to redeem $38.75 million of hospital bonds
|
6/24/2015 | LMMU | New York dormitory authority defeases University of Rochester bonds
|
6/24/2015 | LMMU | Iowa Finance defeases state revolving fund bonds, series 2007-2009
|
6/24/2015 | HYLM | Spectrum Brands calls all $300 million of 6¾% notes due March 15, 2020
|
6/24/2015 | LMMU | Erie County, N.Y., defeases series 2007 and 2008 Buffalo school bonds
|
6/24/2015 | EMLM | Brazil’s Oi to repurchase two series of nonconvertible debentures
|
6/24/2015 | EMLM | Brazil’s Oi to begin mandatory repurchase of unsecured debentures
|
6/24/2015 | CVLM | Prakash to issue new 5.35% five-year convertibles in exchange offer
|
6/24/2015 | CVLM | China Molybdenum to redeem convertibles in full on July 16 at 103
|
6/24/2015 | LMPF | LMP Corporate Loan Fund buys 97.5% of auction-rate preferreds in offer
|
6/24/2015 | HYLM | DNO calls $124.6 million of notes, NOK 421 million of notes at 101.5
|
6/23/2015 | HYLM | TransUnion to redeem in full two series of PIK toggle notes on July 15
|
6/23/2015 | IGLM | Citi tallies early tenders for two subordinated note series, lifts offer cap; pricing also set
|
6/23/2015 | IGLMPF | Citi tallies early tenders for two subordinated note series, lifts offer cap; pricing also set
|
6/23/2015 | CVLM | Publicis Groupe intends to redeem €381.16 million of Orane on July 15
|
6/23/2015 | LMPF | Brookfield Office to run one-year issuer bid for five preferred series
|
6/23/2015 | LMPF | Oxford Lane calls all outstanding 8.5% series 2017 term preferreds
|
6/23/2015 | LMMU | Eastern Muni Water, Calif.’s tender of 2008G certificates called off
|
6/23/2015 | LMMU | Sacramento Sanitation calls District No. 1 bonds, series 2005
|
6/23/2015 | LMMU | Indiana Finance calls all series 2008A Marion hospital revenue bonds
|
6/23/2015 | HYIGLM | Darden seeks consents to amend 6% notes due 2035, 6.8% notes due 2037
|
6/23/2015 | LMMU | Ohio Air’s redemption of $100 million of Dayton Power bonds revoked
|
6/23/2015 | IGLM | Winthrop Realty Trust calls outstanding 7.75% senior notes due 2022
|
6/23/2015 | LMMU | California Statewide calls $91.75 million University of San Diego bonds
|
6/23/2015 | DDHYLM | American Energy – Woodford holders exchange $339.7 million of 9% notes
|
6/23/2015 | EULM | Norway’s Statkraft buys back NOK 50.5 million of notes due December
|
6/23/2015 | HYLM | European Energy lacks holder approval needed to amend senior bonds
|
6/23/2015 | HYLM | Ashland expects to buy 92% of its 3% notes in tender, calls remainder
|
6/22/2015 | SP | RBS to redeem 13 ETNs as part of exit from structured products business
|
6/22/2015 | EMLM | Brazil’s Oi to buy back portion of four note series with note proceeds
|
6/22/2015 | LMMU | Illinois Finance calls hospital, health centers bonds, series 2008B
|
6/22/2015 | CVLM | Nuance swaps $255 million of 2.75% convertibles for new $1.5% bonds
|
6/22/2015 | CVLM | Eletrobras shareholders OK early conversion of Amazonas debentures
|
6/22/2015 | CVLM | Golden Agri-Resources buys back some 2.5% convertible bonds due 2017
|
6/22/2015 | IGLM | Macy’s to redeem all $76.02 million of 8.125% debentures due 2035
|
6/22/2015 | EMLM | Philippines’ San Miguel seeks to refinance over $1 billion of debt
|
6/22/2015 | EMLM | Singapore’s Swiber buys back more 9¾% senior perpetual securities
|
6/22/2015 | EMLM | China’s Fufeng calls $130 million of 7 5/8% senior notes due 2016
|
6/22/2015 | LMMU | New York City Municipal Water defeases several bonds issued 2006-2009
|
6/22/2015 | LMMU | Hawaii partially calls general obligation bonds of 2005, series DF
|
6/22/2015 | LMMU | Miami-Dade, Fla., calls $30 million Building Better Communities G.O.s
|
6/22/2015 | HYLM | Atrium European wraps tenders for €77.4 million of floaters due 2017
|
6/22/2015 | EMLM | China’s Agile gets OK to conform two note series to 9% notes due 2020
|
6/22/2015 | IGLM | Cimic gets tenders for 59.7% of $500 million 5.95% notes due 2022
|
6/19/2015 | SP | Credit Suisse to repurchase two series of X-Links ETNs on July 6
|
6/19/2015 | DDHYLM | Solor Bioenergi seeks OK to waive covenant breaches, amend bonds
|
6/19/2015 | EMLM | KOKS extends exchange offer for 7¾% loan participation notes by a week
|
6/19/2015 | IGLM | Cimic sets purchase price in tender offer for 5.95% notes due 2022
|
6/19/2015 | LMPP | Merge Healthcare convertible preferred stockholders waive put right
|
6/19/2015 | LMPP | CO2 Solutions converts 10% subordinated debentures due 2016
|
6/19/2015 | HYLM | Berry Plastics gets no more tenders in offer for 9¾% notes due 2021
|
6/19/2015 | LMMU | Maryland DoT defeases series 2008 consolidated transportation bonds
|
6/19/2015 | CVLM | Medivation to redeem all $167.7 million 2.625% convertibles due 2017
|
6/19/2015 | HYLM | Actuant begins excess proceeds offer for $165 million of 5 5/8% notes
|
6/19/2015 | EULM | Citigroup wraps tender offers for euro, sterling, Swiss franc notes
|
6/18/2015 | HYLM | Hologic to redeem 6¼% notes due 2020 with proceeds of 5¼% notes
|
6/18/2015 | IGLM | AIG begins capped tender offer, any and all offers for 26 note series
|
6/18/2015 | CVLM | Poydras again extends consent solicitation for 11% convertibles
|
6/18/2015 | CLLM | Versailles CLO M.E. does not get enough holder requests to call notes
|
6/18/2015 | HYLM | Esterline to redeem all outstanding 7% senior notes due 2020
|
6/18/2015 | EMLM | China Funding Investment 2013-1 calls $100 million floaters due 2016
|
6/18/2015 | LMMU | Springfield, Mo., defeases $571.49 million of public utilities bonds
|
6/18/2015 | CVLM | CapitaLand accepts S$313.75 million 2.95% convertibles for repurchase
|
6/18/2015 | IGLM | Baxter tenders for any and all of five series, maximum of two series
|
6/18/2015 | EMLM | AES Panama gets enough consents to amend 6.35% senior notes due 2016
|
6/18/2015 | EMLM | Singapore’s DBS Bank to redeem $30 million of 0% notes due in 2044
|
6/18/2015 | LMPF | Eastern Virginia Bankshares redeems remaining series A preferreds
|
6/18/2015 | CVLM | Radian to purchase $389 million of convertibles due 2017 on June 23
|
6/18/2015 | EULM | Ringkjobing Landbobank plans to redeem €27 million of tier 2 capital
|
6/17/2015 | EULM | Macquarie gets tenders for £30.9 million 6.177% perpetual preferreds
|
6/17/2015 | LMMU | Lake Washington School District No. 414, Wash., defeases ULTGO bonds
|
6/17/2015 | HYLM | New Look Bondco plans redemption of senior secured notes due 2018
|
6/17/2015 | LMMU | Oregon Board of Higher Education calls $64.66 million 2005A G.O. bonds
|
6/17/2015 | LMMU | Ohlone Community College, Calif., calls series B obligation bonds
|
6/17/2015 | LMMU | Pennsylvania calls $165.49 million of third series of 2004 G.O. bonds
|
6/17/2015 | DDEMLM | China’s Cre8ive wraps exchange offer for all 12% bonds due 2018
|
6/16/2015 | DDHYLM | Cecon bondholders grant OK to extend tranche B2 bonds by one month
|
6/16/2015 | HYLM | Six Flags lacks consents to allow debt financing plans under 5¼% notes
|
6/16/2015 | IGLMPF | JPMorgan calls 78 series of subordinated notes for redemption at par
|
6/16/2015 | CAHYLM | Videotron calls all 9 1/8% notes due 2018, 7 1/8% notes due 2020
|
6/16/2015 | HYLM | Sealed Air gets tenders for $602.24 million 8 3/8% notes, calls rest
|
6/16/2015 | LMMU | Pennsylvania defeases seven series of general obligation bonds
|
6/16/2015 | IGLM | Ipalco tenders, seeks consents for $400 million 7.25% notes due 2016
|
6/16/2015 | EMLM | India’s Emaar MGF partially redeems Rs. 2.77 billion of debentures
|
6/16/2015 | EMLM | Soho China gets consents for 5¾% notes due 2017, 7 1/8% notes due 2022
|
6/16/2015 | CVLM | PHH exchanges 99.19% of 6% convertibles due 2017
|
6/16/2015 | EMHYLM | Gulf Keystone holders give approval to amend 13% notes due 2017
|
6/16/2015 | LMMU | Wisconsin DOT to fully redeem its 2007 series A 4.5% revenue bonds
|
6/16/2015 | EMLM | India’s Religare to consider early termination of debentures
|
6/16/2015 | HYLM | NRAM tenders for 4 1/8% series 7 and 5 5/8% series 8 covered bonds
|
6/16/2015 | LMMU | Honolulu to redeem $10.83 million of 5% 2005 G.O. bonds due July 2024
|
6/16/2015 | DDEMLM | Ferrexpo holders send instructions for 84.53% of 7 7/8% notes to date
|
6/16/2015 | CVLM | Jakks Pacific must refinance or extend convertibles to September 2019
|
6/16/2015 | CVLM | CapitaLand will not extend tender offer for 2.95% convertibles
|
6/16/2015 | HYLM | Ashland begins cash tender offer for $600 million 3% notes due 2016
|
6/15/2015 | HYLM | Jack-Up InvestCo pulls Tuesday holder meeting for 11% bonds due 2018
|
6/15/2015 | EMLM | China’s Cre8ive extends exchange offer for 12% bonds to June 22
|
6/15/2015 | CLLM | Harbourmaster CLO sells off collateral obligations, calls six series
|
6/15/2015 | CVLM | PHH sets exchange ratio in offer to exchange 6% convertibles due 2017
|
6/15/2015 | CVLMPF | Wheeler REIT offers to exchange series A preferreds, series B convertibles for common stock
|
6/15/2015 | LMMU | NYC Trust for Cultural Resources calls $70 million of Juilliard bonds
|
6/15/2015 | LMMU | Miami-Dade, Fla., calls $240.08 million of Jackson Heath System bonds
|
6/15/2015 | IGLM | Archer-Daniels-Midland prices tender offer, reports results so far
|
6/15/2015 | LMMU | New York City Municipal Water calls all $10 million of 2005D bonds
|
6/15/2015 | IGLM | Mylan issues call to redeem $1 billion 7.875% senior notes due 2020
|
6/15/2015 | IGLM | Rio Tinto to redeem $1.2 billion of notes due May, September of 2016
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6/15/2015 | LMMU | Massachusetts Educational calls $10.8 million of bonds due 2030
|
6/15/2015 | LMMU | Massachusetts Water Pollution calls $62.83 million of pool bonds
|
6/15/2015 | LMMU | St. Louis Park, Minn., defeases $167.95 million of Park Nicollet bonds
|
6/15/2015 | DDEMLM | Brazil’s Tonon begins exchange offer for 9¼% notes to avoid insolvency
|
6/15/2015 | IGLM | Citi buys back $1.54 billion of six series of notes in tender offers
|
6/15/2015 | EMLM | Banco Mercantil do Brasil tenders for up to $30 million 9 5/8% notes
|
6/15/2015 | LMMU | North Texas Municipal Water defeases $123.55 million water system bonds
|
6/15/2015 | CLLM | Race Point IV CLO plans to redeem six classes of joint-issue notes
|
6/15/2015 | HYLM | Krauss-Maffei calls €32.5 million more 8¾% notes due 2020 at 103
|
6/15/2015 | CVLM | Radian to repurchase some 2017 convertibles via senior note proceeds
|
6/15/2015 | IGLM | Cimic tenders for $500 million 5.95% guaranteed senior notes due 2022
|
6/15/2015 | CVHYLM | Novo Banco fails to get votes to amend two series at meeting Thursday
|
6/15/2015 | EMLM | Brazil’s Oi buys back €315.2 million of four series in one-day tender
|
6/12/2015 | LMMU | Main Street Natural Gas’ 2010A-2 revenue bonds have mandatory tender
|
6/12/2015 | DDHYLM | DF Deutsche Forfait holders choose to convert €5.56 million bonds
|
6/12/2015 | IGLMPF | MetLife adds 59.85 million-share cap to tender offer for preferreds
|
6/12/2015 | LMMU | St. Paul Housing, Miss., defeases $165.46 million health bonds
|
6/12/2015 | LMMU | Indio Water Authority, Calif., defeases $53.72 million of 2006 bonds
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6/12/2015 | EMLM | Singapore’s Swiber buys back more 9¾% senior perpetual securities
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6/12/2015 | CVLM | Malaysia’s Malton to redeem portion of 6% convertible loan stocks
|
6/12/2015 | LMMU | Pennsylvania Economic Development calls $77.4 million of 5% bonds
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6/12/2015 | LMMU | Walton Schools, Ga., to redeem $51.68 million of series 2005A bonds
|
6/12/2015 | HYLM | American Piping gets early tenders for all of 12 7/8% notes due 2017
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6/12/2015 | CVLM | Zall gets OK to call all 5.5% convertible bonds due 2018 by July 31
|
6/12/2015 | LMMU | California’s $127.05 million Republic Services bonds subject to tender
|
6/12/2015 | CVLM | Novion RE holders may put 5.75% convertibles due 2016 after delisting
|
6/12/2015 | HYLM | DDM gets votes to amend SEK 300 million secured notes, extend to 2018
|
6/12/2015 | HYLM | Eclipse Resources to redeem 12% PIK notes due 2018 via new issue
|
6/12/2015 | IGLM | International Paper wraps oversubscribed tender for five note series
|
6/11/2015 | LMMU | Tobacco Settlement Financing, R.I., seeks to amend series 2015A bonds
|
6/11/2015 | HYLM | Harkand holders vote unanimously to amend $230 million of 7½% bonds
|
6/11/2015 | HYLM | Sektor gets OK to call 5% bonds, floating-rate notes for merger
|
6/11/2015 | HYLM | Berry Plastics to redeem any outstanding 9¾% notes on July 13
|
6/11/2015 | HYLM | MarkWest Energy Partners calls 6¾% and 6½% senior notes due 2021
|
6/11/2015 | HYLM | Kistefos seeks to extend maturity date, repay bonds in installments
|
6/11/2015 | HYLM | Tops to redeem $108.1 million of 8 7/8% senior secured notes
|
6/11/2015 | LMMU | Massachusetts HEFA announces mandatory tender of museum bonds
|
6/11/2015 | CVLM | Pinetree Capital calls C$10 million more 10% convertibles due 2016
|
6/11/2015 | IGLM | Reynolds starts exchange offers for $3.5 billion of Lorillard notes
|
6/11/2015 | CVLM | Lennar exchanges $99.2 million 2.75% convertible notes due 2020
|
6/11/2015 | LMMU | Seattle, Wash., defeases water bonds dated 2003, 2005, 2006 and 2008
|
6/11/2015 | LMMU | Collier schools, Fla., defeases $61.95 million of lease certificates
|
6/11/2015 | IGLM | Rio Tinto to redeem 2.25%, 2.5% notes due 2016 with new deal proceeds
|
6/11/2015 | IGLMPF | Fulton Financial to redeem 6.29% junior subordinated notes, securities
|
6/11/2015 | LMMU | Highline District No. 401, Wash., defeases $52 million of bonds
|
6/11/2015 | CLLM | Nash Point CLO will redeem €232.7 million senior, subordinated notes
|
6/11/2015 | EMLM | KOKS starts exchange offer for 7¾% loan participation notes due 2016
|
6/11/2015 | CVLM | Nuance to swap 2.75% convertibles for new 1.5% convertibles due 2035
|
6/11/2015 | EMLM | Mexico’s Grupo Posadas tenders for $310 million 7 7/8% notes due 2017
|
6/11/2015 | EMLM | Singapore’s Ascendas calls remaining 4¾% perpetuals, to settle tenders
|
6/11/2015 | CVLM | Far Eastern International Bank convertibles due 2018 putable Aug. 7
|
6/11/2015 | CVLM | Zaio holders OK one-time make-whole payment for conversion of notes
|
6/11/2015 | EMLM | Brazil’s Oi starts one-day tender for maximum amount of four notes
|
6/11/2015 | EMHYLM | Polyus Gold gets holder OK to amend 5 5/8% notes due 2020 at meeting
|
6/10/2015 | LM | High North: Court OKs arrangement for 12% convertibles due April 2015
|
6/10/2015 | HYLM | Ridgebury Crude Tankers seeks to amend 7 5/8% senior secured bonds
|
6/10/2015 | LMMU | Texas Public Finance calls $264.24 million of unemployment bonds
|
6/10/2015 | LMMU | Torrance Memorial Medical Center, Calif., bonds have mandatory tender
|
6/10/2015 | LMMU | San Antonio ISD to redeem $239.68 million of 2005 ULT refunding bonds
|
6/10/2015 | HYLM | Viking Cruises gets needed consents to amend 8½% senior notes due 2022
|
6/10/2015 | DDHYLM | Cecon tranche A bondholders to vote on replacement for director
|
6/10/2015 | LMMU | Virginia Public Schools calls $186.18 million of bonds issued in 2005
|
6/10/2015 | LMMU | Poway Redevelopment, Calif., to redeem $167.95 million of Paguay TABs
|
6/10/2015 | LMMU | Fort Mill School District No. 4, S.C., defeases 2006 revenue bonds
|
6/10/2015 | LMMU | Louisiana Public Facilities calls $53.85 million of Tiger bonds
|
6/10/2015 | LMMU | Laredo ISD, Texas, calls $57.54 million of school building bonds
|
6/10/2015 | LMMU | Monongalia Building, W.Va., calls $54.57 million of hospital bonds
|
6/10/2015 | EMLM | Buenos Aires to issue $399.5 million 9.95% notes in exchange offer
|
6/10/2015 | CVLM | CapitaLand calls rest of 2.875%, 3.125% bonds for redemption July 10
|
6/10/2015 | HYLM | Intralot buys back €22.5 million 9¾% notes and €12 million 6% notes
|
6/10/2015 | DDEMLM | China’s Cre8ive amends exchange offer for 12% bonds; no details given
|
6/10/2015 | EMLM | Chile’s Latam calls TAM’s 9½% guaranteed notes due 2020 at 104.75
|
6/10/2015 | EMLM | Brazil’s Oi plans one-day tender for maximum amount of four notes
|
6/10/2015 | HYLM | Alere plans to redeem $400 million 8 5/8% subordinated notes due 2018
|
6/9/2015 | CVLM | American Energy – Utica to retire $277 million of convertible notes
|
6/9/2015 | EULM | Motability buys back £200 million 5.25% notes in oversubscribed tender
|
6/9/2015 | IGLM | Citigroup tenders for up to $500 million 6%, 6.125% subordinated notes
|
6/9/2015 | IGLMPF | Resona to redeem $1.15 billion of preferred securities on July 30
|
6/9/2015 | LMMU | Virginia Public Building defeases $93.5 million of series 2008B bonds
|
6/9/2015 | HYLM | Braathens Aviation gets OK to redeem bonds at 104.25 on June 15
|
6/9/2015 | EULM | Citigroup begins tender offers for euro, sterling, Swiss franc notes
|
6/9/2015 | EUIGLMPF | Santander gives tender results for trust preferreds, other series
|
6/9/2015 | LMMU | Michigan Finance calls $77 million 2012B unemployment obligation bonds
|
6/9/2015 | LMMU | Massachusetts Water calls $41.6 million general revenue bonds due 2019
|
6/9/2015 | HYLM | Lantheus Medical plans to redeem $400 million 9¾% notes due 2017
|
6/9/2015 | HYLM | Tops takes in tenders for 76.5% of 8 7/8% notes, 98.81% of 8¾% notes
|
6/9/2015 | DDEMLM | Russian Standard wins waiver of possible default under 9¼% notes
|
6/9/2015 | HYLM | Six Flags seeks consents for 5¼% notes to allow debt financing plans
|
6/8/2015 | DDEMLM | Ukraine’s Ukreximbank seeks consents for three series issued by Biz
|
6/8/2015 | DDHYLM | American Energy – Woodford: Holders exchange nearly 96% of 9% notes for 12% notes in offer so far
|
6/8/2015 | CVLM | China Minsheng to redeem A share convertible bonds at RMB 100.168
|
6/8/2015 | LMMU | Senior Quality Lifestyles buys back 72.28% of Tarrant County bonds
|
6/8/2015 | CVLM | EnerSys to settle 3.375% conversions from May 27 with cash, stock
|
6/8/2015 | CVLM | Exchange Income to redeem in full 6.5% series H convertibles due 2017
|
6/8/2015 | HYLM | CMA CGM tallies tenders for 8½% dollar notes, 8 7/8% euro notes
|
6/8/2015 | DDHYLM | Hertz gets noteholder OK to delay or skip filing financial reports
|
6/8/2015 | LMPF | Farmers Capital Bank redeems final third of series A preferred stock
|
6/8/2015 | CLLM | Versailles CLO M.E. I notes might be subject to redemption option
|
6/8/2015 | EMLM | China’s Agile Property seeks consents for 8 7/8% notes, 9 7/8% notes
|
6/8/2015 | LMMU | Mississippi’s 2004B2 Baptist Memorial bonds have mandatory tender
|
6/8/2015 | EMLM | Modern Land China solicits consents for 13 7/8%, 11% and 12¾% notes
|
6/8/2015 | LMMU | District of Columbia to refund 2005, 2008 Children’s Hospital bonds
|
6/8/2015 | HYLM | McClatchy buys back $41.34 million of 5¾% notes due 2017 at par
|
6/8/2015 | IGLMPF | Fulton Financial to call 6.29% junior subordinated notes due 2036
|
6/8/2015 | HYLM | Sealed Air begins tender for $750 million 8 3/8% notes due 2021
|
6/8/2015 | HYLM | Carmike Cinemas to redeem $210 million 7 3/8% secured notes due 2019
|
6/5/2015 | HYIGLM | Harsco abandons tender for 2.7% senior notes due 2015
|
6/5/2015 | HYLM | European Directories plans mandatory cash sweep of floaters due 2018
|
6/5/2015 | HYLM | Mobylife to seek different waiver for SEK 450 million notes due 2018
|
6/5/2015 | HYLM | Metro Exploration to redeem some 2016 bonds at $5 million on June 8
|
6/5/2015 | HYLM | Boyd Gaming gets tenders for $463.6 million 9 1/8% notes, calls rest
|
6/5/2015 | LMMU | Pennsylvania Turnpike defeases $116.02 million of series 2006A bonds
|
6/5/2015 | LMMU | Buffalo Municipal Water, N.Y., calls $52.3 million of refunding bonds
|
6/5/2015 | HYLM | Berry Plastics gets consents for 62.9% of $800 million 9¾% notes
|
6/5/2015 | LMMU | Loudoun County, Va., to redeem $60.57 million of series 2005A bonds
|
6/5/2015 | CVLM | SVG Capital purchases £550,000 more 8.25% convertible bonds due 2016
|
6/5/2015 | LMMU | Okaloosa County, Fla., defeases $65.87 million of water, sewer bonds
|
6/5/2015 | HYLM | Atrium European tenders for €83.85 million floating-rate notes due 2017
|
6/5/2015 | HYLM | SM Energy wraps tenders for 69.84% of 6 5/8% notes, calls remainder
|
6/5/2015 | CAEMHYLM | Pacific Rubiales gets consents to amend four note series for merger
|
6/5/2015 | IGLM | Reynolds American plans exchange offers for $3.5 billion Lorillard notes after merger
|
6/5/2015 | EMLM | Chile’s Latam collects early tenders for 65.31% of TAM’s 9½% notes
|
6/5/2015 | EMLM | Kazkommertsbank starts another consent bid to amend 5½% notes due 2022
|
6/4/2015 | EMLM | AES Panama begins tender offer for 6.35% senior notes due 2016
|
6/4/2015 | LMMU | Miami-Dade, Fla., defeases 2006 transit system sales surtax bonds
|
6/4/2015 | CVLM | Cominar REIT calls C$86.3 million of series E 5.75% debentures
|
6/4/2015 | LMMU | Las Vegas Convention calls $64.25 million 2005 revenue refunding bonds
|
6/4/2015 | LMMU | NYC Industrial calls $90.8 million 2004 FC Hanson revenue bonds
|
6/4/2015 | LMMU | Harris County, Texas, calls 1999B-1 Texas Children’s Hospital bonds
|
6/4/2015 | LMMU | Sherwood School No. 88J, Ore., defeases deferred interest G.O. bonds
|
6/4/2015 | LMMU | City of Reno, Nev. defeases $105.1 million of hospital revenue bonds
|
6/4/2015 | LMMU | Santa Clara County Financing, Calif. defeases $113.14 million bonds
|
6/4/2015 | LMMU | Los Angeles USD calls $378.12 million of series A1, series A2 bonds
|
6/4/2015 | LMMU | Metropolitan Water, Calif., to redeem $194.24 million in bonds July 1
|
6/4/2015 | LMMU | Salt River Project, Ariz., cancels $155.8 million of electric bonds
|
6/4/2015 | EULM | ICA Gruppen calls SEK 3.3 billion in preference shares issued in 2013
|
6/4/2015 | LMMU | Connecticut HEFA calls $300 million of Yale University revenue bonds
|
6/4/2015 | IGLM | Time Warner gets tenders for $687.09 million of 5.875% notes due 2016
|
6/4/2015 | HYLM | MarkWest wraps tender offers for 6¾% notes, 6½% notes and 6¼% notes
|
6/4/2015 | CVLM | Sequenom issues $85 million 5% convertibles due 2018 in exchange
|
6/3/2015 | EULM | Banca Monte dei Paschi seeks consents to amend 12 covered bond series
|
6/3/2015 | LMMU | Phoenix Civic Improvement calls 2005 junior-lien water system bonds
|
6/3/2015 | DDEMLM | Mexico’s Oro Negro bondholders approve changes needed to avoid default
|
6/3/2015 | LMMU | Phoenix plans to redeem 2005B various purpose G.O. bonds in full
|
6/3/2015 | EULM | Kinepolis Group holders exchange €15.88 million 4.75% bonds due 2019
|
6/3/2015 | LMMU | Puerto Rico Electric Power calls $273.26 million power revenue bonds
|
6/3/2015 | LMMU | City of Cleveland defeases its series 0, 2007 water revenue bonds
|
6/3/2015 | HYLM | AMC Entertainment gets tenders for $581.7 million 9¾% notes due 2020
|
6/3/2015 | LMMU | New Jersey EFA calls $56.68 million of series 2002F revenue bonds
|
6/3/2015 | EMLM | International Personal Finance unit to buy back PLN 90.6 million bonds
|
6/3/2015 | LMMU | Massachusetts HEFA calls $315.58 million of Harvard issue bonds
|
6/3/2015 | LMMU | Virginia Port Authority to redeem $59.1 million of series 2005A bonds
|
6/3/2015 | EMHYLM | International Personal Finance unit to buy back PLN 90.6 million bonds
|
6/3/2015 | LMMU | Pennsylvania plans to redeem some G.O. bonds, first series of 2005
|
6/3/2015 | LMMU | California calls 2005A Adventist Health, 2005 Huntington bonds
|
6/3/2015 | EULM | Groupama calls €41.15 million of subordinated notes issued in 2005
|
6/3/2015 | LMMU | California Pollution Control calls 1991 North County Recycling bonds
|
6/3/2015 | LMMU | Los Angeles MTA calls $154.65 million senior sales tax revenue bonds
|
6/3/2015 | LMMU | Miami-Dade, Fla., calls $250 million Building Better Communities G.O.s
|
6/3/2015 | LMMU | Kentucky Turnpike calls $132.41 million economic, road revenue bonds
|
6/3/2015 | EMLM | Philippines’ Rizal to redeem $100 million 9 7/8% perpetuals on July 24
|
6/3/2015 | EMLM | Buenos Aires offers 9.95% notes due 2021 in exchange for 11¾% notes
|
6/3/2015 | EULM | GDF Suez buys back €749.96 million of six series in offer; pricing set
|
6/3/2015 | EULM | Hoist tenders for krona bonds due 2016, offers euro bonds due 2017
|
6/3/2015 | HYLM | Consolidated Communications to redeem 10 7/8% senior notes due 2020
|
6/2/2015 | DDHYLM | Midstates issues third-lien notes in exchange for some 10¾%, 9¼% notes
|
6/2/2015 | HYLM | European Energy seeks holder approval to amend senior bonds
|
6/2/2015 | DDHYLM | Cecon seeks bondholder approval to extend maturity of tranche B2 bonds
|
6/2/2015 | HYLM | Jack-Up InvestCo 3 seeks OK to delay payments on 11% bonds due 2018
|
6/2/2015 | ABLM | CMA CGM gets votes to amend 5.562% asset-backed notes due 2021
|
6/2/2015 | HYLM | Spectrum Brands plans to retire 6¾% notes due 2020 with loan proceeds
|
6/2/2015 | CVLM | 49 North issues C$3.1 million 2.5% five-year convertibles in exchange
|
6/2/2015 | HYLM | Viasystems to redeem 7 7/8% notes on June 28 at 105.906% of par
|
6/2/2015 | IGLM | Twin Cities Power Holdings seeks noteholder approval to restructure
|
6/2/2015 | CVLM | CBIZ swaps shares, cash for $33.3 million of 4.875% convertible notes
|
6/2/2015 | LMMU | MTA, N.Y., to redeem $41.71 million series R service contract bonds
|
6/2/2015 | EULM | Societe Generale to buy back €300 million of 6.25% notes issued by ESB
|
6/2/2015 | LMMU | Puerto Rico highways authority calls $485.11 million series K bonds
|
6/2/2015 | EULM | SCOR calling dollar notes due 2029, euro notes due 2020
|
6/2/2015 | CVLM | Pinetree Capital renews normal-course issuer bid for 10% convertibles
|
6/2/2015 | LMMU | Grand Rapids, Mich., calls $45.36 million sanitary sewer system bonds
|
6/2/2015 | LMMU | Port of Portland, Ore., to redeem series 2006 bonds on July 2
|
6/2/2015 | LMMU | Ohio Air calls $100 million of 2008A, B Dayton Power & Light bonds
|
6/2/2015 | LMMU | Illinois Toll Highway Authority calls $701.55 million of 2005A bonds
|
6/2/2015 | EULM | Belfius to redeem all €300 million of notes due 2018 on June 20
|
6/2/2015 | LMMU | Huntsville Health Care Authority, Ala., defeases $46.94 million bonds
|
6/2/2015 | LMMU | Massachusetts Bay Transportation calls $219.85 million of 2005A bonds
|
6/2/2015 | EULM | Bristol-Myers to redeem 4.625% senior notes at €1,291.25 per €1,000
|
6/2/2015 | LMMU | Massachusetts Port Authority calls $170.49 million of 2005-C bonds
|
6/2/2015 | LMMU | Washington Health Care calls 2005B Overlake Hospital revenue bonds
|
6/2/2015 | LMMU | Tacoma, Wash., calls $122.14 million electric system revenue bonds
|
6/2/2015 | LMMU | Puerto Rico Electric Power calls $60.89 million power revenue bonds
|
6/2/2015 | LMMU | Montgomery County, Md., calls $58.52 million public improvement bonds
|
6/2/2015 | LMMU | San Diego USD to redeem $201.34 million 2005 general obligation bonds
|
6/2/2015 | EMLM | Philippines’ Vista Land begins tender offer for 7.45%, 6¾% notes
|
6/1/2015 | CVLM | China Hongqiao stock price triggers redemption of 6.5% convertibles
|
6/1/2015 | DDHYLM | Colt Defense amends payout in exchange for 8¾% notes; offer extended
|
6/1/2015 | LMMUPF | Deutsche municipal trusts refinance preferreds with new issue due 2018
|
6/1/2015 | EMLM | Soho China solicits consents for senior notes due 2017, 2022
|
6/1/2015 | CVHYLM | Novo Banco extends early voting deadline in consent solicitation
|
6/1/2015 | LMMU | Buffalo Municipal Water, N.Y., calls $52.3 million 2008-A water bonds
|
6/1/2015 | HYLM | Yankees Entertainment to redeem $525 million of 12.9% notes due 2018
|
6/1/2015 | IGLMPF | MetLife tenders for series B preferreds, issues redemption notice
|
6/1/2015 | LMMU | NYC Cultural Resources’ American Museum bonds have mandatory tender
|
6/1/2015 | LMMU | University Medical Center, Ariz., calls $138.67 million hospital revs
|
6/1/2015 | LMMU | Keller ISD, Texas, defeases 2007 unlimited tax school building bonds
|
6/1/2015 | IGLM | Citi prices tender offers, increases cap for 6.125% subordinated notes
|
6/1/2015 | LMMU | California Pollution Control calls solid waste disposal revenue bonds
|
6/1/2015 | LMMU | Seminole County, Fla., defeases its 2006 water and sewer revenue bonds
|
6/1/2015 | LMMUPF | BlackRock Municipal 2020 Term Trust to redeem auction preferred shares
|
6/1/2015 | LMMU | Washington calls 2006A various purpose, 2006B vehicle fuel tax G.O.s
|
6/1/2015 | IGLM | ADM begins tenders for up to $1 billion of 11 note series
|
6/1/2015 | HYLM | ADM begins tenders for up to $1 billion of 11 note series
|
6/1/2015 | IGLM | Starbucks to redeem, buy back 6.25% notes due 2017 via new notes issue
|
6/1/2015 | DDHYLM | Hertz further extends solicitation for 4 3/8% senior notes due 2019
|
6/1/2015 | HYLM | Kratos Defense to repurchase $175 million-$200 million 7% notes at par
|
6/1/2015 | HYLM | Harsco offers to buy back 2.7% senior notes due 2015 through tender
|
6/1/2015 | HYLM | Viking solicits consents for $525 million 8½% senior notes due 2022
|
5/29/2015 | HYLM | American Piping tenders for any and all $93 million 12 7/8% notes
|
5/29/2015 | LMMU | Massachusetts Port Authority calls $155.82 million 2005A revenue bonds
|
5/29/2015 | DDHYLM | Metro Exploration bondholders grant waiver, will get equity ownership
|
5/29/2015 | DDHYLM | Norshore Atlantic gets bondholder consent to draw from escrow account
|
5/29/2015 | BKHYLM | Majestic Star gets $109.2 million loan in exchange for 12½%/14½% notes
|
5/29/2015 | LMMU | Hawaii calls all $189.77 million 2005DG G.O. refunding bonds
|
5/29/2015 | LMMU | Washington state calls all $216.04 million 2006A various purpose G.O.s
|
5/29/2015 | HYLM | Tops Holding lifts tender offer cap to $60 million for 8¾%/9½% notes
|
5/29/2015 | CLLM | CIFC withdraws class B-3L notes from planned redemption of notes
|
5/29/2015 | LMMU | Indiana Finance Authority calls $220 million of stadium project bonds
|
5/29/2015 | LMMU | Chicago updates mandatory tender, redemption of 2002B, 2003B G.O.s
|
5/29/2015 | LMMU | Fort Bend County, Texas, defeases $117.31 million of 2007 bonds
|
5/29/2015 | ABLM | Apidos CDO III calls notes due 2020, preferreds
|
5/29/2015 | EULM | Friends Life to redeem all £267.84 million 6.292% capital securities
|
5/29/2015 | CVLM | Eni buys back €514.9 million of 0.25% exchangeables in one-day tender
|
5/29/2015 | CLLM | Gresham Capital CLO IV to redeem notes after class N holders’ request
|
5/29/2015 | IGLM | Comcast calls 5.85% notes due November and 5.9% notes due March 2016
|
5/29/2015 | EMLM | Philippines’ Rizal gets final approval to redeem 9 7/8% perpetuals
|
5/29/2015 | DDHYLM | Afren gets upsized noteholder commitments for $369 million new notes
|
5/29/2015 | HYIGLM | Ally Financial ups tender cap in oversubscribed offer for five series
|
5/29/2015 | EMLM | Kazkommertsbank fails to meet consent threshold for 5½% notes due 2022
|
5/28/2015 | CVLM | Sintex Industries mandatorily converts 7.5% step-down convertibles
|
5/28/2015 | IGLM | International Paper gives pricing, increases cap, extends early deadline for tender offer for five notes series
|
5/28/2015 | LMMU | Tacoma, Wash., calls all 2005A and 2005B electric system revenue bonds
|
5/28/2015 | HYLM | IDQ calls all outstanding 14%/14¾% senior secured PIK notes at 107
|
5/28/2015 | IGLM | RPM International unit to redeem $150 million 6.7% senior notes Friday
|
5/28/2015 | DDHYLM | Afren: Holders of 95.2% of 11½% notes enter forbearance agreement
|
5/28/2015 | HYLM | Harkand seeks to amend 7½% bonds; holders to vote at June 11 meeting
|
5/28/2015 | LMMU | Albuquerque Bernalillo, N.M., defeases 2005 water, sewer system bonds
|
5/28/2015 | HYLM | Norwegian Property gets bondholder approval to redeem bonds on June 5
|
5/28/2015 | EMLM | Brazil’s BRF units wrap tender offers for three series of notes
|
5/28/2015 | LMMU | Tulsa Municipal Airport, Okla., calls $112.36 million revenue bonds
|
5/28/2015 | CVLM | Eni tenders for €515 million 0.25% exchangeable bonds due 2015
|
5/28/2015 | HYLM | EP Energy takes in tenders for 64.1% of 6 7/8% notes, calls remaining
|
5/28/2015 | HYLM | Lemminkainen starts tender offer for €35 million hybrid bonds
|
5/28/2015 | EULMPF | Santander UK tenders for Abbey’s trust preferreds, three other series
|
5/28/2015 | EULM | Banca Popolare calls fixed/floating perpetual trust preferreds
|
5/28/2015 | LMPF | Community West to redeem rest of preferred stock bought by directors
|
5/28/2015 | LMMU | Seattle defeases 2008 limited tax G.O. improvement and refunding bonds
|
5/28/2015 | LMMU | Chicago’s 2002 variable-rate sales tax bonds have mandatory tender
|
5/28/2015 | LMMU | Burbank-Glendale-Pasadena Airport, Calif., to redeem revenue bonds
|
5/28/2015 | LMMU | Connecticut calls 2004 series A transportation infrastructure bonds
|
5/28/2015 | LMPF | Montpelier Re to redeem 8.875% preferreds for $156 million on June 29
|
5/28/2015 | DDHYLM | Hertz extends solicitation for 4 3/8% senior notes due 2019
|
5/28/2015 | HYLM | Manchester United to redeem 8 3/8% senior secured notes on June 27
|
5/28/2015 | HYLM | MarkWest begins tender offers for 6¾% notes, 6½% notes and 6¼% notes
|
5/28/2015 | IGLM | Time Warner begins tender offer for $1 billion 5.875% notes due 2016
|
5/28/2015 | DDEMLM | Ferrexpo begins exchange offer, consent bid for 7 7/8% notes due 2016
|
5/28/2015 | IGLM | Eli Lilly gets early tenders for $1.45 billion of notes; pricing set
|
5/27/2015 | EMLM | Ubitech Hub to redeem S$143 million 4.2% bonds due 2017 on June 12
|
5/27/2015 | EMLM | KSH Holdings solicits consents for S$75 million 5¼% notes due 2016
|
5/27/2015 | HYLM | Biomet to redeem two series of 6½% notes due 2020 after LVB’s merger
|
5/27/2015 | EMLM | RA Holding OKs redemption of final $142.6 million sukuk certificates
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5/27/2015 | HYLM | Manchester United plans to redeem 8 3/8% notes with new issue proceeds
|
5/27/2015 | CVLM | CapitaLand reports tender results for 3.125%, 2.875% convertibles
|
5/27/2015 | CVLM | Golden Agri-Resources buys back some 2.5% convertibles at discount
|
5/27/2015 | EMLM | China Shanshui Cement updates change-of-control offer for 8½% notes
|
5/27/2015 | CVLM | Calloway REIT to redeem C$55.58 million 5.75% convertibles in full
|
5/27/2015 | IGLM | Atlas Air Worldwide to issue redemption notices on equipment notes
|
5/27/2015 | IGLMPF | HSBC intends to redeem preferred stock, capital securities on June 26
|
5/27/2015 | HYLM | IDQ calls all outstanding 11½% senior secured notes at 105.75
|
5/27/2015 | CVLMPF | Cott to redeem preferreds, convertible preferreds via stock proceeds
|
5/27/2015 | CVLM | Poydras extends consent solicitation for 11% convertibles to June 19
|
5/27/2015 | EULM | Gas Natural’s Union Fenosa gets tenders for €639.7 million preferreds
|
5/27/2015 | CLLM | THL Credit Wind River 2013-2 CLO seeks consents for 12 note series
|
5/27/2015 | HYLM | TRW Automotive tenders for 4½% notes, 4.45% notes, calls 7¼% notes
|
5/27/2015 | EULM | GDF Suez begins tender offer for up to €750 million of six note series
|
5/27/2015 | EULM | Motability tenders for up to £150 million of 5.25% notes due 2016
|
5/27/2015 | EULM | Vorarlberger repurchases €150 million of floaters due July 31, 2017
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5/27/2015 | EULM | National Asset Management redeems €1.75 billion of its senior notes
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5/27/2015 | LMPF | MetLife plans to repurchase 6.5% preferreds using new issue proceeds
|
5/27/2015 | IGLM | Bristol-Myers wraps oversubscribed tender offer for $500 million notes
|
5/27/2015 | HYLM | ArcelorMittal plans to issue make-whole call for 4½% notes due 2015
|
5/27/2015 | HYLM | Bristol-Myers wraps oversubscribed tender offer for $500 million notes
|
5/27/2015 | HYLM | Manutencoop’s tender for €80 million 8½% notes oversubscribed
|
5/27/2015 | LM | American Energy – Woodford offers 12% second-lien notes for 9% notes
|
5/27/2015 | CVLM | Matson gets tenders for 98.13% of Horizon’s 6% convertibles so far
|
5/26/2015 | CVLM | Emerald Oil to exchange $32 million convertibles for stock, preferreds
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5/26/2015 | DDHY | American Energy – Woodford offers 12% second lien notes for 9% notes
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5/26/2015 | DDHYLM | Colt Defense again extends exchange; tender response rises slightly
|
5/26/2015 | HYLM | Sektor seeks to call 5% bonds at 107.25, floaters at 103.05 for merger
|
5/26/2015 | EMLM | Malaysia’s RHB Investment Bank redeems RM 75 million notes due 2020
|
5/26/2015 | HYIGLM | UnitedHealth plans to redeem Catamaran notes pending acquisition
|
5/26/2015 | HYLM | AMC tenders for $600 million 9¾% senior subordinated notes due 2020
|
5/26/2015 | LMMU | New York City to redeem $456.91 million 2005O G.O. bonds
|
5/26/2015 | LMMU | Oregon defeases 2007 series A University of Portland revenue bonds
|
5/26/2015 | LMMU | Grossmont Healthcare, Calif., defeases $174.89 million of G.O. bonds
|
5/26/2015 | CVLM | CapitaLand says tender offer ends for 3.125% convertibles on Monday
|
5/26/2015 | CVLM | 49 North gets OK at meeting to restructure 9% convertibles due 2017
|
5/26/2015 | CALMPF | PWC wraps oversubscribed offer to exchange 800,000 class B preferreds
|
5/26/2015 | HYLM | Tops Holding begins tender offers for 8 7/8% notes, 8¾%/9½% notes
|
5/26/2015 | BKDDHYLM | Warren gets $249.7 million term loans, exchanges $69.6 million notes
|
5/26/2015 | CLLM | Babson CLO 2012-II calls $369 million million of floating-rate notes
|
5/26/2015 | HYLM | Commerzbank holders tender $41.35 million of notes for purchase at 65
|
5/26/2015 | CVLM | TerraVest approved to make issuer bid for C$1.2 million convertibles
|
5/26/2015 | HYLM | CMA CGM tenders for 8½% notes due 2017, 8 7/8% notes due 2019
|
5/26/2015 | EMLM | Kazkommertsbank extends consent solicitation for 5½% notes due 2022
|
5/26/2015 | CVLM | Superior Plus to redeem all 5.75% convertibles due 2017 on June 30
|
5/22/2015 | HYLM | SM Energy to redeem all $107.08 million 6 5/8% senior notes due 2019
|
5/22/2015 | HYLM | Norshore 12% bondholders approve appointment of financial advisers
|
5/22/2015 | HYLM | Braathens Aviation seeks OK to redeem bonds at 104.25 on June 15
|
5/22/2015 | HYLM | Genesis Energy issues call to redeem 7 7/8% notes due 2018 at 103.938
|
5/22/2015 | CVLM | CapitaLand extends tender offer for 3.125% convertibles until Monday
|
5/22/2015 | IGLM | Raymond James gets OK to increase note repurchases to $150 million
|
5/22/2015 | CVLM | Webster Financial to convert all 8.5% convertible preferreds on June 1
|
5/22/2015 | LMMU | Tarrant County Cultural, Texas, defeases Scott & White, Baylor bonds
|
5/22/2015 | LMMU | Los Angeles Water and Power calls 2005A-1 power system revenue bonds
|
5/22/2015 | LMMU | Raleigh-Durham Airport, N.C., calls 2005A, B airport revenue bonds
|
5/22/2015 | LMMU | Mecklenburg County, N.C., defeases 2009 limited obligation bonds
|
5/22/2015 | CLLM | Mercator CLO I calls €79 million senior, subordinated notes due 2023
|
5/22/2015 | LMMU | Scottsdale USD No. 48, Ariz., calls $55.5 million of school bonds
|
5/22/2015 | EMLM | China’s Fosun to redeem all $300 million 7½% senior notes at 101.875
|
5/22/2015 | LMMU | NYC cultural resources’ Lincoln Center bonds have mandatory tender
|
5/22/2015 | HYLM | Center Parcs gets consents to amend 11 5/8% class B notes due 2042
|
5/22/2015 | EMLM | Chile’s Latam tenders for, seeks consents to amend TAM’s 9½% notes
|
5/22/2015 | EMHYLM | Gulf Keystone receives approval to amend 13% notes due 2017
|
5/22/2015 | HYLM | Rexel to redeem 6 1/8% senior notes due 2019 on June 22
|
5/21/2015 | HYLM | Boyd Gaming gets tenders for 91.7% of 9 1/8% notes, enough to amend
|
5/21/2015 | EULM | Macquarie Capital begins tender offer for 6.177% perpetual preferreds
|
5/21/2015 | HYLM | Global Ship holders tender $350,000 10% notes in excess cash flow offer
|
5/21/2015 | HYLM | Armored AutoGroup calls 9¼% notes following acquisition by Spectrum
|
5/21/2015 | HYLM | SM Energy gets tenders for $242.92 million of 6 5/8% notes so far
|
5/21/2015 | LMMU | Luzerne, Pa., edits redemption of $88.52 million variable-rate G.O.s
|
5/21/2015 | LMMU | Pennsylvania Higher Educational to redeem health system revenue bonds
|
5/21/2015 | HYLM | Genesis Energy wraps tender offer, takes in 86% 7 7/8% notes due 2018
|
5/21/2015 | EMLM | Gulf International Bank to redeem $327.76 million floaters in June
|
5/21/2015 | EULM | Talanx, subsidiary to redeem subordinated fixed-to-floating rate notes
|
5/21/2015 | LMPF | Ally Financial buy backs 13 million preferreds in oversubscribed offer
|
5/21/2015 | EULM | HSBC to redeem all 3.625% notes due 2020, 8.208% preferreds
|
5/21/2015 | DDLMPF | Depfa Bank gets needed votes at meeting for €1.1 billion preferreds
|
5/21/2015 | CVLM | Flexium Interconnect’s convertibles due 2016 putable May 25-June 24
|
5/21/2015 | CAEMHYLM | Pacific Rubiales seeks consents for four series, plans exchange offer
|
5/21/2015 | EULM | Societe Generale tenders for €300 million of two series issued by ESB
|
5/21/2015 | CVLM | Cemex to issue 3.72% convertibles, ADSs in exchange for 3.25% notes
|
5/21/2015 | HYLM | Majestic Star updates offer to swap out 12½%/14½% notes for term loan
|
5/21/2015 | HYLM | Berry Plastics tenders, solicits consents for $800 million 9¾% notes
|
5/20/2015 | HYLM | Hilcorp Energy calls $300 million of 8% notes due Feb. 15, 2020 at 104
|
5/20/2015 | HYLM | FelCor takes in tenders for 87.8% of 6¾% senior secured notes due 2019
|
5/20/2015 | HYLM | Norshore Atlantic seeks bondholder consent to draw from escrow account
|
5/20/2015 | LMMU | Dasny to redeem $62.65 million Rockefeller University revenue bonds
|
5/20/2015 | CAHYLM | Centric Health to offer to buy back up to C$10 million of 8 5/8% notes
|
5/20/2015 | DDLMPF | Depfa Bank parent gets tenders for €1.1 billion preferreds, calls rest
|
5/20/2015 | LMMU | University of New Mexico calls $153.93 million hospital revenue bonds
|
5/20/2015 | HYLM | FMG Resources to redeem all outstanding 6 7/8%, 6% notes on May 28
|
5/20/2015 | LMMU | Memphis plans to redeem nine series of general improvement bonds
|
5/20/2015 | ABLM | CMA CGM alters tender deadlines for 5.562% asset-backed notes due 2021
|
5/20/2015 | HYLM | Amkor Technology calls all $345 million 7 3/8% senior notes due 2018
|
5/20/2015 | EULM | Isar Capital Funding to redeem €100 million capital securities in full
|
5/20/2015 | HYLM | Novo Banco solicits consents for numerous notes issued by BES Finance
|
5/20/2015 | EMLM | Brazil’s BRF units begin tender offers for three series of notes
|
5/19/2015 | DDEMLM | Mexico’s Oro Negro gets OK to amend bond terms, asks for more changes
|
5/19/2015 | CVLM | HeartWare exchanges $101.3 million 3.5% convertibles for new notes
|
5/19/2015 | CVLM | New Issue: HeartWare increases 1.75% convertibles due 2021 to $202.3 million
|
5/19/2015 | EMLM | Axis Offshore offers to buy back some senior secured bonds due 2018
|
5/19/2015 | ABLM | CMA CGM tenders, seeks consents for 5.562% asset-backed notes due 2021
|
5/19/2015 | IGLM | SCOR exercises call option on subordinated step-up floaters due 2029
|
5/19/2015 | LMMU | Charlotte, N.C., to prepay $59.33 million series 2005E transit COPs
|
5/19/2015 | CAHYLM | Cascades gets tenders for $228.47 million 7 7/8% notes, calls rest
|
5/19/2015 | HYLM | Thames Water gets consents to amend £400 million 7¾% notes due 2019
|
5/19/2015 | IGLM | CRH wraps tender offers for 4.125% notes due 2016, 6% notes due 2016
|
5/19/2015 | HYLM | Thames Water gets consents to amend £400 million 7¾% notes due 2019
|
5/19/2015 | EULM | GfK buys back €13.88 million of 5% notes due 2016 at 103.75 in offer
|
5/19/2015 | EMLM | Oi holders vote to amend €400 million 6¼% notes issued by PT Portugal
|
5/19/2015 | LMMU | Clark County School, Nev., calls $336.11 million 2005A, B, LTGO bonds
|
5/19/2015 | HYLM | Manutencoop tenders for €80 million of its 8½% senior secured notes
|
5/19/2015 | DDHYLM | Afren extends solicitation of consents for default forbearance
|
5/19/2015 | IGLM | Fiserv to redeem 3.125% notes, 6.8% notes with new deal proceeds
|
5/19/2015 | CVLM | Matson tenders, solicits consents for Horizon’s 6% convertible notes
|
5/19/2015 | HYLM | EP Energy tenders for its $750 million of 6 7/8% senior secured notes
|
5/19/2015 | IGLM | NiSource announces tender offer response, lifts second priority cap
|
5/19/2015 | HYLM | Rexel to redeem 6 1/8% notes due 2019 with proceeds from new deal
|
5/18/2015 | DDHYLM | Colt Defense holders tender 5.65% of notes for exchange; offer extended
|
5/18/2015 | HYLM | Mobylife seeks waiver from holders of SEK 450 million notes due 2018
|
5/18/2015 | IGLM | CRH prices tender offers for 4.125% notes due 2016, 6% notes due 2016
|
5/18/2015 | IGLMPF | Triangle Capital calls $69 million 7% $25-par senior notes due 2019
|
5/18/2015 | IGLM | Host Hotels calls all $500 million 5.875% series X notes at 102.938
|
5/18/2015 | HYLM | HollyFrontier to redeem all 6 7/8% notes at 103.4375 on June 17
|
5/18/2015 | DDEMLM | Mexico’s Oro Negro offers consent fee to bondholders who OK proposal
|
5/18/2015 | LMMU | New Jersey to redeem 2005 series C, D transportation system bonds
|
5/18/2015 | IGLM | NiSource prices tender offer for $750 million of four series of notes
|
5/18/2015 | LMMU | Illinois calls $195.93 million unemployment insurance fund bonds
|
5/18/2015 | EMLM | Polyus Gold seeks consents for $750 million of 5 5/8% notes due 2020
|
5/18/2015 | LMPF | LMP Corporate Loan Fund plans tender offer for auction-rate preferreds
|
5/18/2015 | DDEMLM | Ukraine's Oschadbank seeks to ‘reprofile’ 8¼% notes, 8 7/8% notes
|
5/18/2015 | EULM | DONG Energy set to redeem its €600 million of 5½% bonds due 3005
|
5/18/2015 | LMMU | Los Angeles Water and Power calls 2005A-2 power system revenue bonds
|
5/18/2015 | EULM | Topdanmark Forsikring’s board calls Kr 350 million of notes due 2018
|
5/18/2015 | LMMU | Indiana Finance’s 2010A, B Republic Services bonds subject to tender
|
5/18/2015 | DDHYLM | Hertz seeks waivers, to extend filing time for several series of notes
|
5/18/2015 | HYLM | DDM asks to amend SEK 300 million senior secured notes, extend to 2018
|
5/18/2015 | EMHYLM | Scripps plans to refinance three series of notes issued by N-Vision
|
5/18/2015 | CVLM | AuRico Gold holders may convert 3.5% notes due to planned merger
|
5/18/2015 | EULM | Investec to redeem €200 million fixed-to-floating perpetual preferreds
|
5/18/2015 | EULM | Scripps plans to refinance three series of notes issued by N-Vision
|
5/18/2015 | IGLM | Scripps plans to refinance three series of notes issued by N-Vision
|
5/15/2015 | CVLM | Bristow Group announces June 15 put option for 3% convertible due 2038
|
5/15/2015 | LMMU | Texas Public Finance to redeem five series of park development G.O.s
|
5/15/2015 | LMMU | Illinois calls all $88.76 million of 2005 bureau of the budget COPs
|
5/15/2015 | LMMU | New York City Municipal Water calls $1.12 billion water, sewer bonds
|
5/15/2015 | LMMU | Oakland Joint Powers, Calif., plans to redeem 2005 G.O. revenue bonds
|
5/15/2015 | IGLM | Citigroup to buy back up to $3.01 billion of $4.99 billion notes
|
5/15/2015 | HYLM | Labco: Conditions not satisfied, €270 million notes won’t be redeemed
|
5/15/2015 | DDEMLM | Russian Standard seeks to avoid default under 9¼% notes; meeting set
|
5/15/2015 | EULM | Zurich Finance calls all €268.7 million of its 4.5% notes due 2025
|
5/15/2015 | LMMU | St. Petersburg Health, Fla., to refund All Children’s revenue bonds
|
5/15/2015 | EMLM | China’s Fufeng calls $100 million of 7 5/8% senior notes due 2016
|
5/15/2015 | LMMU | Chicago’s 2007E, F, G general obligation bonds have mandatory tender
|
5/15/2015 | CAHYLM | Paramount Resources to redeem C$370 million 8¼% notes at 102.75 June 15
|
5/15/2015 | EMLM | Brazil’s Votorantim Cimentos calls €303.51 million 5¼% notes due 2017
|
5/15/2015 | DDEMLM | China’s Cre8ive extends exchange offer for 12% bonds to June 15
|
5/14/2015 | HYLM | SandRidge to issue stock in exchange for some 7½% notes, 8 1/8% notes
|
5/14/2015 | EMLM | Singapore’s Guthrie GTS calls remaining 3.7% notes at 101.85% of par
|
5/14/2015 | HYLM | FCA US redeems all $2.88 billion of 8% secured senior notes due 2019
|
5/14/2015 | LMMU | Prosper ISD, Texas, defeases some school building, refunding bonds
|
5/14/2015 | LMMU | Mid-Bay Bridge Authority, Fla., announces tender offer results
|
5/14/2015 | HYLM | Smith & Wesson to redeem all $100 million 5 7/8% notes due 2017
|
5/14/2015 | CVLM | CGG intends to exchange 2019 Oceanes for 2020 Oceanes in public offer
|
5/14/2015 | LMMU | Phoenix Civic Improvement calls, defeases tax revenue bonds
|
5/14/2015 | LMMU | California Infrastructure calls $66.06 million of Colburn School bonds
|
5/14/2015 | LMMU | New York Tobacco Settlement calls $221.23 million 2013A, B bonds
|
5/14/2015 | CLLM | CIFC Funding calls four class A note series, three class B note series
|
5/14/2015 | CVLM | CapitaLand begins modified Dutch auction tenders for three note series
|
5/14/2015 | HYLM | DJO Finance issues $298.44 million 10¾% third-lien notes in exchange
|
5/14/2015 | IGLM | International Paper tenders for up to $750 million of five note series
|
5/14/2015 | IGLM | Ally Financial begins tenders for $700 million of five note series
|
5/14/2015 | HYLM | EarthLink calls $70 million of 8 7/8% senior notes due 2019 at 104.438
|
5/14/2015 | HYLM | FelCor tenders for all $525 million 6¾% senior secured notes due 2019
|
5/14/2015 | HYLM | Genesis Energy starts tender offer for 7 7/8% senior notes due 2018
|
5/13/2015 | DDLMMU | Wyndcrest offers to Port St. Lucie, Fla., to pay $62 million Digital Domain bonds
|
5/13/2015 | IGLMPF | Principal Financial to redeem all 5.563%, 6.518% preferreds on June 30
|
5/13/2015 | CVLM | Hong Kong Exchanges calls all outstanding 0.5% convertible bonds
|
5/13/2015 | EMLMPV | Premier Oil buys back $192 million private placement notes at discount
|
5/13/2015 | EULM | Lloyds redeems all outstanding 6.0884% fixed-to-floating preferreds
|
5/13/2015 | DDHYLM | Sea Production gets approval to extend bond maturity to July 14
|
5/13/2015 | LMMU | Connecticut to redeem $280 million of 2005 series A-2 G.O. bonds
|
5/13/2015 | DDHYLM | Metro Exploration seeks waiver, offers equity ownership to bondholders
|
5/13/2015 | HYLM | Dolphin Group gets consent to extend bond maturities by 15 months
|
5/13/2015 | CVLM | 49 North reaches quorum for meeting to restructure 9% convertibles
|
5/12/2015 | EULM | Kinepolis Group begins exchange offer for 4.75% bonds due 2019
|
5/12/2015 | HYLM | EchoStar subsidiary Hughes calls 6½% secured notes due 2019 at 103
|
5/12/2015 | HYLM | Dolphin lifts consent fee in bid to extend bond maturities by 15 months
|
5/12/2015 | CAIGLM | Manulife Financial to redeem all C$350 million class A preferreds
|
5/12/2015 | CVLM | First Capital Realty plans to redeem 5.7% convertibles due 2017
|
5/12/2015 | CVLM | Maurel & Prom buys back 86.17% of Oceanes due 2015 via bookbuilding
|
5/12/2015 | EMLM | China Oriental Group buys back $19.6 million more 8% senior notes
|
5/12/2015 | LMMU | Wisconsin HEFA calls all $138.78 million of Wheaton Franciscan bonds
|
5/12/2015 | EULM | Vattenfall calls outstanding hybrid bonds for redemption on June 29
|
5/12/2015 | LMMU | Golden State Tobacco, Calif., to redeem $70 million of 5% 2005A bonds
|
5/12/2015 | LMMU | New Mexico Hospital defeases 2008A Presbyterian Health Care bonds
|
5/12/2015 | LMMU | California Statewide calls $21.53 million 2007B ValleyCare Health bonds
|
5/12/2015 | IGLM | CRH starts tender offers for 4.125% notes due 2016, 6% notes due 2016
|
5/12/2015 | HYLM | EarthLink buys back $25 million of 8 7/8% notes year to date
|
5/12/2015 | CVLM | SunEdison to exchange $600 million 2%, 2.75% convertibles for stock
|
5/12/2015 | CVLM | Maurel & Prom offers to buy back Oceanes due 2015 via bookbuilding
|
5/12/2015 | IGLM | Bristol-Myers increases tender to $500 million, gives early results
|
5/12/2015 | DDHYLM | Colt Defense extends exchange offer; 5.1% of notes tendered so far
|
5/12/2015 | IGLM | Eli Lilly tenders for up to $1.6 billion of bonds, calls 6.57% notes
|
5/12/2015 | HYLM | Genel Energy bondholders approve merger of new issue into existing
|
5/12/2015 | HYLM | Center Parcs solicits consents for 11 5/8% notes to allow new debt
|
5/11/2015 | HYLM | Bankrate gets OK to extend information deadlines for 6 1/8% notes
|
5/11/2015 | LMMU | International-Matex to refinance Gulf Opportunity, New Jersey bonds
|
5/11/2015 | LMMU | Illinois Sports to redeem all 2001 sports facilities conversion bonds
|
5/11/2015 | HYLM | Norwegian Property seeks bondholder approval to redeem bonds on June 5
|
5/11/2015 | LMMU | NYC Trust calls $78.58 million American Museum of Natural History notes
|
5/11/2015 | LMMU | Orange County School, Fla., defeases series 2005A, 2005B COPs
|
5/11/2015 | LMMU | Cleveland to redeem all $90.8 million of 2008Q water revenue bonds
|
5/11/2015 | CAHYLM | Cascades begins tender for $250 million 7 7/8% senior notes due 2020
|
5/11/2015 | HYLM | Stabilus calls €256 million senior secured notes due 2018 at 103.875
|
5/11/2015 | HYLM | Targa to issue $342.1 million new notes in exchange for Atlas notes
|
5/11/2015 | HYLM | International Game wraps tender offer for 5½% notes and 5.35% notes
|
5/11/2015 | HYLM | CNO Financial to redeem 6 3/8% notes due 2020 with new issue proceeds
|
5/11/2015 | IGLM | Appalachian Power to repay 7.95% notes with proceeds from new notes
|
5/8/2015 | CAHYLM | Great Canadian Gaming withdraws consent solicitation for 6 5/8% notes
|
5/8/2015 | LMMU | JEA, Fla., to redeem $77.09 million of St. Johns River revenue bonds
|
5/8/2015 | LMMU | New Jersey to redeem 2005 C, D transportation system revenue bonds
|
5/8/2015 | LMMU | Pennsylvania Higher Educational to redeem AC, AE revenue bonds
|
5/8/2015 | LMMU | Sunshine State, Fla., to redeem $50 million of CP notes Thursday
|
5/8/2015 | LMMU | North East ISD, Texas, defeases $357.16 million 2005 ULT school bonds
|
5/8/2015 | LMMU | Fort Worth ISD to refund $184.19 million of 2005, 2008 ULT bonds
|
5/8/2015 | DDHYLM | Sterling Resources gets enough votes at meeting to amend 9% bonds
|
5/8/2015 | LMMU | Greater Richmond Convention, Va., calls $124.82 million hotel tax bonds
|
5/8/2015 | CVLM | SVG Capital purchases £400,000 more 8.25% convertible bonds due 2016
|
5/8/2015 | LMMU | California Health might redeem $171.3 million Adventist Health bonds
|
5/8/2015 | LMMU | Castaic Lake Water Agency, Calif., defeases series 2006C revenue COPs
|
5/8/2015 | CVLM | China Minsheng’s stock price triggers convertible bonds’ call option
|
5/8/2015 | LMMU | Energy Northwest, Wash., defeases 2006-A, C Columbia Generating bonds
|
5/8/2015 | LMMU | District of Columbia calls $365.56 million of 2004A, 2005A G.O. bonds
|
5/8/2015 | LMMU | Niagara Falls City School, N.Y., defeases 2005 refunding COPs in full
|
5/7/2015 | DDLMMU | Elbert & Highway 86, Colo., to pay maximum 50% of par in tender offer for 7.5% revenue bonds
|
5/7/2015 | LMMU | Mesa, Ariz., calls $77.7 million 2005 utility systems revenue bonds
|
5/7/2015 | IGLM | Puget Sound Energy to redeem all 5.197%, 6.75% senior notes on June 5
|
5/7/2015 | LMMU | Oklahoma Development Finance to redeem 2011A, 2011B Integris bonds
|
5/7/2015 | HYLM | Norshore Atlantic 12% callable bonds trustee calls May 22 meeting to appoint financial advisers
|
5/7/2015 | LMMU | Sacramento City USD to redeem $67.67 million general obligation bonds
|
5/7/2015 | LMMU | Los Angeles USD plans to redeem $274.89 million of 2004 E G.O. bonds
|
5/7/2015 | LMMU | West Hills Community College, Calif., calls all $70.2 million COPs
|
5/7/2015 | LMMU | Lake County School, Fla., calls $72.64 million of 2005A, 2005B COPs
|
5/7/2015 | DDEMLM | Metinvest again seeks consents to extend 10¼% notes due 2015, waive defaults for three note series
|
5/7/2015 | LMMU | Missouri Development calls $67.11 million 2005A Branson Landing bonds
|
5/7/2015 | LMMU | Commonwealth Financing, Pa., calls $62.5 million 2005A revenue bonds
|
5/7/2015 | HYLM | CNL Lifestyle Properties calls 7¼% senior notes due in 2019 at 103.625
|
5/7/2015 | LMMU | Pennsylvania to redeem $83.49 million 2006A Philadelphia School bonds
|
5/7/2015 | IGLM | Boston Scientific to redeem some 5.5%, 6.4% notes with note proceeds
|
5/7/2015 | HYLM | HCA Holdings calls all $1.53 billion outstanding 7¾% notes due 2021
|
5/7/2015 | LMMU | Palm Beach County School Board, Fla., defeases 2007A, 2007E COPs
|
5/7/2015 | LMMU | Houston Higher Education defeases $537.32 million Rice University bonds
|
5/7/2015 | LMMU | Ohio State University calls $108.21 million general receipts bonds
|
5/7/2015 | LMMU | Tobacco Settlement Financing, Va., calls $302.47 million 2005 bonds
|
5/7/2015 | LMMU | Ohio Development calls $137.69 million water quality revenue bonds
|
5/7/2015 | LMMU | North Carolina Medical defeases 2005A Pennybyrn at Maryfield bonds
|
5/7/2015 | LMMU | East Bay Municipal Utility, Calif., calls $144.36 million 2005A bonds
|
5/7/2015 | LMMU | Washington Metropolitan Area Transit, D.C., redeems $100 million bonds
|
5/7/2015 | HYLM | Range plans to pay down debt pending redemption of 6¾% notes due 2020
|
5/7/2015 | HYLM | SM Energy begins tender offer, consent bid for 6 5/8% notes due 2019
|
5/7/2015 | HYLM | Boyd tenders, seeks consents for 9 1/8% notes, issues call at 104.563
|
5/6/2015 | HYLM | Thompson Creek buys back $7.3 million of senior notes in first quarter
|
5/6/2015 | CVLM | PHH begins exchange offer for 6% convertible notes due 2017
|
5/6/2015 | LMMU | Pennsylvania Turnpike calls all $65.16 million 2013B revenue bonds
|
5/6/2015 | LMMU | Berkeley County, S.C., calls 2005A water, sewer system revenue bonds
|
5/6/2015 | LMMU | California to redeem $330.92 million various purpose G.O.s on June 1
|
5/6/2015 | LMPF | Landmark Apartment Trust to redeem some series D, series E preferreds
|
5/6/2015 | HYLM | Highclere Holdings bondholders consent to sale of vessel
|
5/6/2015 | DDHYLM | Sea Production seeks approval to extend bond maturity to July 14
|
5/6/2015 | HYLM | Constantia Flexibles holders put back €20.88 million of 4½% bonds
|
5/6/2015 | LMMU | California Water Resources calls $107.19 million Central Valley bonds
|
5/6/2015 | HYLM | HCA plans to redeem $1.53 billion 7¾% notes due 2021 via new issue
|
5/6/2015 | EMLM | Kazkommertsbank asks holders of 5½% notes to approve loan amendment
|
5/5/2015 | LMPF | Farmers Capital Bank to redeem final third of series A preferred stock
|
5/5/2015 | CLLM | Harbourmaster CLO seeks noteholder OK for collateral manager changes
|
5/5/2015 | LMMU | Washington Health Care defeases $93.62 million 2009 Central Washington Health bonds
|
5/5/2015 | EULM | Bristol-Myers calls all 4.375% notes due 2016, 4.625% notes due 2021
|
5/5/2015 | LMMU | District of Columbia Tobacco calls $14.89 million 6.25% bonds due 2024
|
5/5/2015 | LMMU | San Antonio calls $91.53 million water system revenue refunding bonds
|
5/5/2015 | LMMU | Philadelphia to redeem all 2005A water and wastewater revenue bonds
|
5/5/2015 | LMMU | California to redeem $51.19 million of FSA program G.O. bonds in full
|
5/5/2015 | IGLM | Bristol-Myers calls all 4.375% notes due 2016, 4.625% notes due 2021
|
5/5/2015 | HYLM | Ophir Energy says put exercised for $45 million of Salamander bonds
|
5/5/2015 | LMMU | Mid-Bay Bridge Authority of Florida extends tender deadline to May 11
|
5/5/2015 | LMMU | Ohio calls $121.58 million 2005C common schools G.O. bonds
|
5/5/2015 | EMLM | China Automation calls $120 million of 7¾% senior notes at 101.9375
|
5/5/2015 | LMMU | Ohio Water calls $101.19 million 2005B water quality loan fund bonds
|
5/5/2015 | LMMU | Lubbock, Texas, to redeem some G.O., tax and waterworks system bonds
|
5/5/2015 | LMMU | NYC Industrial calls $23.96 million of Ethical Culture revenue bonds
|
5/5/2015 | LMMU | Wisconsin Building defeases $137.24 million transportation bonds
|
5/5/2015 | HYLM | Petrolia holders approve requested changes to 12% bonds due 2015
|
5/5/2015 | HYLM | Cirsa receives tenders for €264.51 million, to call €185.50 million
|
5/5/2015 | HYLM | EnQuest gains approval to change terms of its £155 million 5½% notes
|
5/5/2015 | IGLM | NiSource starts tender offer for $750 million of four series of notes
|
5/5/2015 | EMLM | Russia’s Far-Eastern extends tender offer for 8%, 8¾% notes to May 8
|
5/4/2015 | LMMU | Texas A&M University to redeem 2006 permanent university fund bonds
|
5/4/2015 | HYLM | Bankrate seeks to amend information deadlines for its 6 1/8% notes
|
5/4/2015 | LMMU | University of New Mexico calls $110.89 million series 2005 bonds
|
5/4/2015 | LMMU | Philadelphia School to redeem $44.22 million of 2005C G.O. bonds
|
5/4/2015 | LMMU | Kentucky Asset/Liability defeases 2007 general receipts project notes
|
5/4/2015 | LMMU | Illinois Municipal Electric defeases 2006, 2007A power supply bonds
|
5/4/2015 | HYLM | Owens-Illinois’ Owens-Brockway calls $300 million of 7 3/8% notes
|
5/4/2015 | LMMU | Port of Seattle to redeem $57.38 million of 2006 LTGO refunding bonds
|
5/4/2015 | LMMU | Burbank-Glendale-Pasadena Airport, Calif., to redeem revenue bonds
|
5/4/2015 | DDEMLM | Mexico’s Oro Negro seeks to delay rig valuation, amend coverage ratio
|
5/4/2015 | LMMU | Suffolk County Water, N.Y., calls $131.91 million water, sewer bonds
|
5/4/2015 | LMMU | Halifax Hospital Medical, Fla., defeases $115.9 million of 2006A bonds
|
5/4/2015 | LMMU | Utah defeases $199.28 million of series 2011A general obligation bonds
|
5/4/2015 | LMMU | Luzerne, Pa., calls all $88.52 million of variable-rate G.O.s due 2026
|
5/4/2015 | LMMU | Chicago’s 2002B, 2003B general obligation bonds have mandatory tender
|
5/4/2015 | LMMU | California water resources department defeases some power supply bonds
|
5/4/2015 | LMMU | Missouri HEFA defeases $78.5 million 2004 Washington University revs
|
5/4/2015 | EULM | Union Fenosa tenders for €750 million of perpetual preferreds at 85
|
5/4/2015 | CVLM | Cyan holders may put, convert $50 million 8% notes under merger plans
|
5/4/2015 | CAHYLM | CHC Helicopter gets no more tenders for 9 3/8% notes since early date
|
5/1/2015 | LMMU | Allen County, Ohio, calls $56.82 million of Catholic Healthcare bonds
|
5/1/2015 | LMMU | Central Marin Sanitation, Calif., defeases $55.51 million bonds
|
5/1/2015 | LMMU | King County Rural Library, Wash., calls all $52.68 million 2005 GOs
|
5/1/2015 | LMMU | Michigan State Hospital calls all 2005 Sparrow Obligated Group bonds
|
5/1/2015 | CVLM | Retrocom REIT to redeem 6.75% convertible subordinated bonds June 3
|
5/1/2015 | LMMU | Pennsylvania State University calls all $50.05 million of 2004A bonds
|
5/1/2015 | LMMU | Chester County, Pa., defeases $84.14 million series 2006 G.O. bonds
|
5/1/2015 | LMMU | West Virginia to redeem $185.39 million 2005 state road refunding G.O.s
|
5/1/2015 | LMMUPF | Deutsche Municipal Income Trust plans to redeem preferreds in June
|
5/1/2015 | LMMU | Las Vegas Valley Water calls 2005A limited tax G.O. bonds
|
5/1/2015 | LMMU | IPS Multi-School, Ind., defeases 2006, 2006B first mortgage bonds
|
5/1/2015 | CLLM | Madison Park Funding IX to refinance six notes series on May 15
|
5/1/2015 | EULM | Malmo, Sweden, repurchases SEK 50 million of floaters due August 2015
|
5/1/2015 | LMMU | Wyandotte County and Kansas City, Kan., calls $37.42 million of bonds
|
5/1/2015 | HYLM | Calpine buys back $147 million 7 7/8% notes with new deal proceeds
|
5/1/2015 | BKHYLM | Majestic Star offers to swap out 12½%/14½% notes for new term loan
|
5/1/2015 | EMLM | Home Credit gets tenders for $214 million of Eurasia’s notes due 2020
|
4/30/2015 | CVDDLM | Transeuro bondholders vote to accelerate convertible bonds payment
|
4/30/2015 | HYLM | Teleflex calls $250 million 6 7/8% notes due 2019 at 103.438
|
4/30/2015 | LMPV | Energizer plans to exercise call option for five note series in May
|
4/30/2015 | CAHYLM | Ainsworth gets tenders for $311.41 million 7½% notes, redeems rest
|
4/30/2015 | LMMU | Indiana Health defeases $64 million of 2007 Community Foundation bonds
|
4/30/2015 | LMMU | California calls, defeases $1.07 billion of general obligation bonds
|
4/30/2015 | LMMU | California calls, defeases $1.07 billion of general obligation bonds
|
4/30/2015 | LM | Legal & General calls all €600 million of its 4% subordinated notes
|
4/30/2015 | EULM | Clerical Medical to redeem €387.93 million of 4.25% bonds on June 24
|
4/30/2015 | EULM | GfK tenders for up to €100 million of 5% notes due 2016 at 103.75
|
4/30/2015 | LMMU | Virginia to redeem $51.55 million of 2005A general obligation bonds
|
4/30/2015 | HYLM | Carrols Restaurant calls remaining $4.5 million of 11¼% notes due 2018
|
4/30/2015 | CVLM | Pinetree Capital calls C$10 million more 10% convertibles due 2016
|
4/30/2015 | HYLM | NRAM prices tender offer for €2 billion 3 7/8% covered bonds due 2020
|
4/30/2015 | HYLM | Constantia calls deeply subordinated 2013 hybrid bonds after buyout
|
4/30/2015 | HYLM | DJO Finance holders tender 99.48% of 9¾% notes for exchange so far
|
4/30/2015 | HYLM | Refresco Gerber calls all 7 3/8% notes, floating-rate notes due 2018
|
4/30/2015 | HYLM | Xella to redeem all of its PIK toggle notes due 2018 on May 28
|
4/29/2015 | EULM | Bristol-Myers to redeem €1 billion senior notes via new notes offering
|
4/29/2015 | HYLM | Carrols gets consents needed to amend 11¼% second-lien notes due 2018
|
4/29/2015 | EMLM | Malaysia’s RHB Bank redeems in full RM 700 million subordinated notes
|
4/29/2015 | LMMU | Knoxville Utilities, Tenn., defeases 2007 wastewater system bonds
|
4/29/2015 | LMMU | Eastern Municipal Water, Calif.’s 2012A bonds have mandatory tender
|
4/29/2015 | LMMU | Pennsylvania Turnpike defeases $50 million subordinate revenue bonds
|
4/29/2015 | LMMU | New Mexico Hospital mulls 2008A Presbyterian Healthcare bond redemption
|
4/29/2015 | LMMU | Indiana Finance defeases $84.27 million 2005A state revolving fund bonds
|
4/29/2015 | LMMU | Tallahassee, Fla., calls $99.38 million of health facilities bonds
|
4/29/2015 | CLLM | Ares XXVII CLO pulls plans to call class A-2 notes, scraps refinancing
|
4/29/2015 | HYLM | Avanza receives tenders for 81.63% of 7½% notes, 87.86% of 9½% notes
|
4/29/2015 | CVLM | Dialog Semiconductor holders convert all 1% bonds ahead of call date
|
4/29/2015 | EMHYLM | Columbus International receives no tenders in offer for 7 3/8% notes
|
4/29/2015 | CVLM | Subex seeks to reset conversion price of $127.72 million 5.7% bonds
|
4/29/2015 | HYLM | Labco to redeem €270 million of senior secured notes due 2018 at 104.25
|
4/28/2015 | EMHYLM | Gulf Keystone seeks votes to amend 13% notes due 2017; meeting set
|
4/28/2015 | HYLM | Highclere sets another holder meeting, still needs OK for vessel sale
|
4/28/2015 | DDEMLM | Ukraine’s Ukreximbank gets approval to extend 8 3/8% notes to July 27
|
4/28/2015 | DDEMLM | OSA Goliath bondholders waive condition to release of escrowed funds
|
4/28/2015 | HYLM | 21st Century Oncology gets consents to amend OnCure’s 11¾% notes
|
4/28/2015 | HYLM | Level 3 calls 8 1/8% notes and 8 7/8% notes for May 28 redemption
|
4/28/2015 | EULM | Brisa-Concessao Rodoviaria holders tender €192.7 million 4.5% notes
|
4/28/2015 | IGLMPF | Appalachian Power calls all $350 million of its 7.95% notes due 2020
|
4/28/2015 | LMMU | Albuquerque Bernalillo, N.M., defeases water and sewer system bonds
|
4/28/2015 | LMMU | Philadelphia defeases $47.36 million of 2007A water, wastewater bonds
|
4/28/2015 | LMMU | Connecticut calls all $157.5 million of 2005C general obligation bonds
|
4/28/2015 | LMMU | South Broward Hospital, Fla., defeases 2006 revenue, refunding bonds
|
4/28/2015 | DDHYLM | Afren solicits consents from noteholders for default forbearance
|
4/28/2015 | HYLM | Avanza postpones 2014 report to bondholders; publication not expected
|
4/28/2015 | HYLM | Klöckner reports €229.72 million tenders of 11 5/8% notes, 10¼% notes
|
4/28/2015 | HYLM | ENCE Energia calls 10% of its €250 million 7¼% senior secured notes
|
4/28/2015 | IGLM | Bristol-Myers tenders for up to $400 million of four series of notes
|
4/28/2015 | HYLM | International Game approved to amend reporting for two note series
|
4/28/2015 | EMLM | TransCapitalBank seeks to amend $100 million 10.514% notes due 2017
|
4/28/2015 | DDEMLMPV | International Mining receives support to restructure 8¾%, 8 7/8% debt
|
4/28/2015 | HYIGLMPF | Ally Financial to redeem more preferreds, buy back ‘high-cost’ debt
|
4/27/2015 | IGLM | Banks reveal early response, set pricing in tender for Du Pont notes
|
4/27/2015 | EMLM | Singapore’s Guthrie takes in tenders for S$115.75 million 3.7% notes
|
4/27/2015 | IGLM | Harris calls 5.95% notes due 2017, 6.375% notes due 2019 at premium
|
4/27/2015 | LMMU | Lower Colorado calls 2008, 2008A refunding revenue bonds in full
|
4/27/2015 | IGLMPF | Morgan Stanley trusts call $1.96 billion of 6.6% capital securities
|
4/27/2015 | DDHYLM | Former Washington Mutual redeems 13% senior first-lien notes in full
|
4/27/2015 | LMMU | Missouri State University defeases $56.42 million 2007A auxiliary bonds
|
4/27/2015 | LMMU | Denton ISD, Texas, defeases 2007, 2008 ULT school building bonds
|
4/27/2015 | LMMU | Bastrop ISD, Texas, defeases $56.31 million 2007 school building bonds
|
4/27/2015 | LMMU | Indiana Finance calls $56.86 million Indiana University hospital bonds
|
4/27/2015 | HYLM | Petrolia holders seek votes to amend 12% bonds due 2015; meeting set
|
4/27/2015 | LMMU | North Texas Tollway defeases $856.46 million of 5.75% 2008F bonds
|
4/27/2015 | HYLM | CCO Holdings to redeem all 7¼% notes due 2017, 8 1/8% notes due 2020
|
4/27/2015 | HYLM | Thames Water starts new bid to amend £400 million 7¾% notes due 2019
|
4/27/2015 | HYLM | Cirsa tenders for up to €450 million of its 8¾% senior notes due 2018
|
4/27/2015 | CVLM | Micron buys back $110 million of 2.375% convertible notes due 2032
|
4/27/2015 | IGLM | Hartford Financial Services to redeem all $295.6 million 4% notes
|
4/27/2015 | HYLM | Targa holders exchange 96.3% of 6 5/8% Atlas Pipeline notes so far
|
4/27/2015 | CVLM | SVG Capital purchases £2.4 million more 8.25% convertibles due 2016
|
4/24/2015 | HYLM | Windstream Services calls 8 1/8% notes; Paetec calls 9 7/8% notes
|
4/24/2015 | CAHYLM | Bombardier prices make-whole call for 4¼% notes due 2016 at 103.7624
|
4/24/2015 | LMMU | Mid-Bay Bridge Authority, Fla., tenders for three series of bonds
|
4/24/2015 | CAHYLM | Kissner gets consent to skip change-of-control offer for 7¼% notes
|
4/24/2015 | LMMU | Jackson, Tenn., to refund $78.02 million 2008 hospital revenue bonds
|
4/24/2015 | HYLM | Pernix: Holders of 12% notes OK incurrence of up to $42.2 million debt
|
4/24/2015 | LMMU | Charlotte, N.C., calls $97.09 million 2005 G.O. refunding bonds
|
4/24/2015 | HYLM | Charter to redeem 5½%, 5¾% notes issued to fund nixed acquisition
|
4/24/2015 | LMMU | Los Angeles Water and Power defeases $437.89 million of bonds
|
4/24/2015 | HYLM | Dolphin Group seeks consent to extend bond maturities by 15 months
|
4/24/2015 | LMMU | Central Florida Expressway 2008B-1 revenue bonds have mandatory tender
|
4/24/2015 | LMMU | Dublin USD, Calif., defeases $46.6 million current interest G.O. bonds
|
4/24/2015 | HYLM | ExamWorks to redeem $250 million 9% senior notes on May 16 at 105.888
|
4/24/2015 | EMLM | South Africa’s Gold Fields gets OK to release note guarantor Sibanye
|
4/24/2015 | HYLM | Genel Energy seeks holder OK for proposed bond merger; meeting set
|
4/24/2015 | LMMU | Williamson County, Texas, defeases 2009 toll revenue, limited tax bonds
|
4/24/2015 | LMMU | Florida Board of Education calls seven series of capital outlay bonds
|
4/24/2015 | LMMU | Senior Quality Lifestyles offers to purchase $53.79 million Tarrant County Cultural Education bonds
|
4/24/2015 | LMMU | San Mateo County Transit, Calif., calls $218.99 million 2005A bonds
|
4/24/2015 | HYLM | Stora Enso issues make-whole call for $389 million of bonds due 2016
|
4/23/2015 | HYLM | Carrizo Oil & Gas holders tender $264.08 million of 8 5/8% notes
|
4/23/2015 | DDHYLM | Sterling Resources announces meeting to vote on changes to 9% bonds
|
4/23/2015 | CAIGLM | Bank of Montreal to redeem C$350 million series 13 class B preferreds
|
4/23/2015 | IGLM | Digital Realty unit calls all $375 million 4.5% notes due 2015
|
4/23/2015 | LMPF | Ally Financial offers to buy back 13 million series A preferreds
|
4/23/2015 | HYLM | Halcon agrees to issue stock in exchange for $40 million 8 7/8% notes
|
4/23/2015 | LMMU | Michigan State Hospital defeases 2007 Sparrow Obligated Group bonds
|
4/23/2015 | LMMU | Louisiana calls $171.72 million gasoline and fuels tax revenue bonds
|
4/23/2015 | DDEMLM | Ukraine’s DTEK 9½% note exchange participation falls short; company to go ahead with scheme
|
4/23/2015 | LMMU | San Francisco Public Utilities defeases $470.89 million 2006A, 2009A water revenue bonds
|
4/23/2015 | ABLM | Theatre (Hospitals) gets OK to restructure mortgage-backed floaters
|
4/23/2015 | LMPP | High North postpones meeting for 12% convertibles due April 4, 2015
|
4/23/2015 | HYLM | Black Knight calls $205 million 5.75% senior notes due 2023 at 105.75
|
4/23/2015 | IGLM | Becton, Dickinson wraps exchange offer for CareFusion’s five series
|
4/22/2015 | LMMU | Missouri HEFA defeases $130 million of 2008A CoxHealth revenue bonds
|
4/22/2015 | DDHYLMPV | ZaZa Energy amends 10% notes to extend put option payment to May 29
|
4/22/2015 | EMLM | Nigeria’s Sea Trucks accepts $36 million of 9% notes at 80% of par
|
4/22/2015 | LMMU | Columbus, Ohio, calls its 2005-A, 2005-B various purpose G.O. bonds
|
4/22/2015 | LMMU | Birmingham Waterworks, Ala., defeases $70.55 million of revenue bonds
|
4/22/2015 | LMMU | California Public Works calls 2003C, 1998B prison lease revenue bonds
|
4/22/2015 | HYLM | Telecom Italia buys €2 billion of nine series in oversubscribed tender
|
4/22/2015 | CVLM | HealthSouth forces conversion of 6.5% convertible perpetual preferreds
|
4/21/2015 | HYLM | Global Ship begins excess cash flow offer for $20 million 10% notes
|
4/21/2015 | HYLM | Charter wraps tenders for 63.31% of 7¼% notes, 75.45% of 8 1/8% notes
|
4/21/2015 | HYLM | STHI Holding to redeem all $475 million of 8% notes due March 15, 2018
|
4/21/2015 | CVLM | SVG Capital purchases £3 million more 8.25% convertibles due 2016
|
4/21/2015 | LMMU | Pennsylvania Industrial defeases $28.03 million revenue refunding bonds
|
4/21/2015 | EULM | Allianz France calls €400 million 4 5/8% fixed-to-floating notes
|
4/21/2015 | HYLM | Avanza’s AG Spring to redeem €31.5 million of its 7½% notes on May 21
|
4/21/2015 | DDEMLMPV | International Mining asks holders to approve changes to 8¾% bonds
|
4/21/2015 | HYLM | Univision holders tender $711.68 million of 7 7/8% notes; rest called
|
4/21/2015 | HYLM | DaVita takes in tenders for $599.6 million 6 5/8% notes, calls rest
|
4/20/2015 | EULM | Red Electrica accepts tenders for €446.1 million of three note series
|
4/20/2015 | CVLM | Premium Brands calls 5.75% convertibles due 2015; notes convertible
|
4/20/2015 | LMMU | Lower Colorado River calls $61.71 million 2002 refunding revenue bonds
|
4/20/2015 | LMMU | Oklahoma Development Finance defeases 2008B, 2008C Integris bonds
|
4/20/2015 | DDEMLM | Gildemeister terminates exchange offer for 6¾%, 8¼% notes
|
4/20/2015 | EMLM | Home Credit tenders for Eurasia’s $500 million callable notes due 2020
|
4/20/2015 | DDLM | Depfa parent tenders for three series of perpetual preferred securities
|
4/20/2015 | CALMPF | PWC to swap 800,000 class B preferreds for Pacific & Western shares
|
4/20/2015 | CAIGLM | Royal Bank of Canada calls all C$1.5 billion 4.35% debentures due 2020
|
4/20/2015 | EMLM | Russia’s Far-Eastern reports $217.51 million early tenders for 8%, 8¾% notes, ups cap to $130 million
|
4/20/2015 | HYLM | Banco Comercial Portugues plans in-kind offer for two perpetual series
|
4/20/2015 | EMLM | Sunac China holders give consents to amend 9 3/8%, 12½% note terms
|
4/20/2015 | CAHYLM | CHC Helicopter gets early tenders for $20.76 million of 9 3/8% notes
|
4/20/2015 | HYLM | NRAM gets consents so far for two-thirds of covered bonds due 2020
|
4/20/2015 | CAHYLM | Kissner seeks consents for 7¼% notes due 2019 related to merger plans
|
4/20/2015 | HYLM | Levi Strauss starts tender offer for 7 5/8% senior notes due 2020
|
4/17/2015 | CVLM | Pernix holders agree to convert all $65 million 8% notes due 2019
|
4/17/2015 | EULM | Klepierre receives tenders for €208 million of Corio’s 4.625% bonds
|
4/17/2015 | LMMU | University of Kansas Hospital defeases $107.42 million revenue bonds
|
4/17/2015 | LMMU | Los Angeles to redeem 2005-A wastewater system revenue refunding bonds
|
4/17/2015 | LMMU | Matanuska-Susitna, Alaska, defeases $101.85 million Goose Creek bonds
|
4/17/2015 | LMMU | Los Angeles Water and Power redeems 2005A-1 power system revenue bonds
|
4/17/2015 | LMMU | Missouri HEFA calls all $72.03 million 2005A BJC Health System bonds
|
4/17/2015 | CVLM | SVG Capital purchases £500,000 more of 8.25% convertibles due 2016
|
4/17/2015 | LMMU | Virginia Resources Authority defeases 2009 clean water revenue bonds
|
4/17/2015 | LMMU | Washington Health revises mandatory tender for Catholic Health bonds
|
4/17/2015 | EULM | Barclays tenders for €250 million Brisa-Concessao 4.5% notes due 2016
|
4/17/2015 | HYLM | Hexagon Composites to pay NOK 321.9 million to redeem bonds April 24
|
4/17/2015 | HYLM | Elis to redeem €450 million notes due 2018, €228 million notes due 2018
|
4/17/2015 | HYLM | Avanza’s AG Spring halts redemption of 7½% notes; conditions not met
|
4/16/2015 | CVLM | Paladin Energy to redeem all remaining 3.625% convertibles on May 18
|
4/16/2015 | CAHYLM | Norbord takes in, settles early tenders for 98.86% of 7½% notes
|
4/16/2015 | LMMU | Kentucky Economic Development edits mandatory tender for 2011B Catholic Health bonds
|
4/16/2015 | LMMU | San Antonio calls all $291.93 million 2005 water system revenue refunding bonds
|
4/16/2015 | LMMU | State Center Community College, Calif., defeases $76 million 2007A, 2009A G.O. bonds
|
4/16/2015 | LMMU | Long Beach, Calif., calls 2005A, 2005B harbor revenue refunding bonds
|
4/16/2015 | HYLM | DJO Finance begins exchange offer, consent solicitation for 9¾% notes
|
4/16/2015 | LMPF | Alabama Power calls three series of preferreds for redemption May 15
|
4/16/2015 | LMMU | Tarrant County Cultural Education’s 2008C Texas Health bonds have mandatory tender
|
4/16/2015 | LMMU | City of Chicago rescinds mandatory tender for 2002B, 2003B G.O. bonds
|
4/16/2015 | LMMU | California plans mandatory tender of $164.86 million solid waste bonds
|
4/16/2015 | LMMU | California Statewide calls $95.04 million of 2004 student housing revs
|
4/16/2015 | DDEMLM | China’s Cre8ive starts exchange offer for bonds after defaults
|
4/16/2015 | EULM | Gunvor wraps oversubscribed tender for $80 million of 5.875% notes
|
4/16/2015 | HYLM | Klöckner companies start tenders for 11 5/8% notes, 10¼% PIK notes
|
4/16/2015 | DDHYLM | Halcon agrees to issue stock in exchange for $70.7 million 9¾% notes
|
4/16/2015 | EULM | Deutsche Pfandbriefbank tenders for up to €250 million benchmark bonds
|
4/16/2015 | EMLM | Peru’s Pesquera calls $250 million 9% senior notes due 2017 at 102.25
|
4/15/2015 | EMLM | Singapore’s Guthrie seeks tenders, consents for 3.7% notes due 2018
|
4/15/2015 | LMMU | Texas A&M University to redeem 2005B revenue financing system bonds
|
4/15/2015 | HYLM | Global Cash Access redeems 7¾% notes due 2021 with new issue proceeds
|
4/15/2015 | LMMU | Massachusetts HEFA’s Wellesley College bonds have mandatory tender
|
4/15/2015 | LMMU | University of Virginia calls $69.9 million 2005 general revenue bonds
|
4/15/2015 | HYLM | Allison Transmission buys back 89.31% of 7 1/8% notes, calls remainder
|
4/15/2015 | IGLM | Prospect Capital to redeem all $100 million of 6.95% notes due 2022
|
4/15/2015 | EMLM | Nigeria’s Sea Trucks begins buyback offer for portion of 9% notes
|
4/15/2015 | EULM | Unibail-Rodamco accepts tenders for €1.15 billion notes, sets pricing
|
4/15/2015 | CVLM | SVG Capital purchases £3.85 million of 8.25% convertibles due 2016
|
4/15/2015 | IGLM | Iceland purchases $97.47 million of 4.875% bonds due June 16, 2016
|
4/15/2015 | LMMU | Mississippi Business Finance calls $35 million of System Energy bonds
|
4/15/2015 | CVLM | Nokia to call €750 million bonds, plans exchange for Alcatel-Lucent Oceanes 2018, 2019, 2020
|
4/15/2015 | EULM | Unibail-Rodamco receives tenders for a total of €1.15 billion notes
|
4/15/2015 | EULM | IGD to issue €162 million of 2.65% seven-year notes in exchange offer
|
4/15/2015 | CVLM | Nokia plans to call €750 million convertible bonds in fourth quarter
|
4/15/2015 | DDEULM | Fairhold gets consents for 59.15% of class A floaters, none for class B
|
4/15/2015 | HYLM | Picard gets consents to amend €822 million floating-rate notes due 2019
|
4/15/2015 | HYLM | Kleopatra to redeem all €264.74 million 10¼%/11% PIK notes due 2017
|
4/15/2015 | HYLM | Avanza further extends tender for AG Spring 7½%, 9½% notes
|
4/15/2015 | IGLM | Healthcare Realty to redeem 6.5% notes with proceeds from new deal
|
4/15/2015 | HYLM | Carrols tenders for 11¼% senior secured second-lien notes due 2018
|
4/15/2015 | DDHYLM | Colt Defense starts exchange to cut debt, may file for Chapter 11
|
4/14/2015 | HYLM | Fiat Chrysler subsidiary plans to redeem notes due 2019 on May 14
|
4/14/2015 | LMPV | Penn West Petroleum to prepay notes with proceeds of royalty sale
|
4/14/2015 | HYLM | Heidelberger to redeem €240.48 million 9¼% notes due 2018 in two stages
|
4/14/2015 | HYLM | Highclere Holdings cancels bondholder meeting related to vessel sale
|
4/14/2015 | LMPF | FelCor Lodging calls series C preferreds for redemption on May 14
|
4/14/2015 | LMMU | IAC fails to get consents from holders of New York liberty bonds
|
4/14/2015 | IGLM | AIG wraps oversubscribed maximum tender offer for 17 series of notes
|
4/14/2015 | HYLM | Isle of Capri accepts $237.83 million tendered 7¾% notes, calls rest
|
4/14/2015 | HYLM | Iceland’s Glitnir Banki redeems 5 billion krona of floating-rate notes
|
4/14/2015 | CVLM | SVG Capital purchases £25.35 million of 8.25% convertibles due 2016
|
4/14/2015 | LMMU | University of Massachusetts Building defeases 2009-1 project revs
|
4/14/2015 | HYLM | Thames Water seeks to amend £400 million of 7¾% notes due 2019
|
4/14/2015 | HYLM | Telecom Italia tenders for up to €2 billion of nine series of notes
|
4/14/2015 | CVLM | Polarcus approved to extend maturity of 2.875% convertibles to 2018
|
4/14/2015 | HYLM | Univision starts tender for its $750 million of 7 7/8% notes due 2020
|
4/14/2015 | HYLM | DaVita HealthCare tenders for all $775 million 6 5/8% notes due 2020
|
4/14/2015 | HYLM | Carrizo tenders for 8 5/8% notes due 2018; all to be called on May 14
|
4/14/2015 | HYLM | AES says tender for $500 million notes in three series oversubscribed
|
4/14/2015 | HYLM | Level 3 to redeem 8 1/8% senior notes due 2019 with new deal proceeds
|
4/13/2015 | HYLM | 21st Century Oncology starts tender, consent for OnCure’s 11¾% notes
|
4/13/2015 | HYLM | Charter tenders for $1 billion 7¼% notes, $700 million 8 1/8% notes
|
4/13/2015 | CVLM | Zall to redeem $10 million 5.5% convertible bonds due 2018 on June 19
|
4/13/2015 | EMLM | Singapore’s Ascendas begins cash tender offer for 4¾% perpetual notes
|
4/13/2015 | HYLM | Pernix Therapeutics solicits consents to amend 12% secured notes
|
4/13/2015 | LMMU | Scago Educational, S.C., defeases its 2006 installment purchase revs
|
4/13/2015 | LMMU | La Porte ISD, Texas, defeases $68.39 million ULT schoolhouse bonds
|
4/13/2015 | LMMU | East Baton Rouge, La., defeases $59.7 million road and street bonds
|
4/13/2015 | HYLM | Matterhorn calls seven series of CHF-, euro-denominated notes
|
4/13/2015 | HYLM | Targa offers to swap 6 5/8% Atlas Pipeline notes for new Targa notes
|
4/13/2015 | HYLM | Avanza extends tender offer for AG Spring 9½% notes, increases payment
|
4/13/2015 | HYLM | SPCM to redeem €400 million 5½% senior notes due 2020 on April 23
|
4/13/2015 | HYLM | Vulcan accepts $185,000 more 7% notes due 2018 by tender offer close
|
4/13/2015 | IGLM | Credit Suisse, JPMorgan tender for $500 million of Du Pont’s notes
|
4/13/2015 | LMMU | Montana calls all series 2005 Highway 93 grant anticipation notes
|
4/13/2015 | LMMU | Kentucky Asset/Liability to redeem 2005 general fund project notes
|
4/13/2015 | CVLM | SVG Capital purchases £10.95 million of 8.25% convertibles due 2016
|
4/13/2015 | HYLM | MasTec gets consents from 4 7/8% noteholders to extend filing deadlines
|
4/13/2015 | HYLM | Trinseo to call $132.5 million 8¾% notes due 2019 at 103, rest at 106
|
4/13/2015 | HYLM | Charter to tender for $1 billion 7¼% notes, $700 million 8 1/8% notes
|
4/13/2015 | EULM | Lloyds calls Bank of Scotland 8.117% perpetual preferred securities
|
4/13/2015 | DDHYLM | Afren receives consents for amendments to three series of notes
|
4/13/2015 | CVLM | FirstFarms starts conversion incentive offer for 6% bonds due 2016
|
4/10/2015 | BKHYLM | Windstream banks buy loans, tender for 8 1/8%, 7 7/8% notes ended
|
4/10/2015 | LMMU | California Municipal defeases $51.69 million 2011B Azusa Pacific bonds
|
4/10/2015 | LMMU | University of Virginia calls $78.64 million 2003A revenue bonds
|
4/10/2015 | HYLM | Murray takes in early tenders for more than 97% of 8 5/8%, 9½% notes
|
4/10/2015 | IGLM | Cigna calls all $600 million 2.75% notes, $251.42 million 8.5% notes
|
4/10/2015 | IGLM | Federal Realty to redeem $200 million of 6.2% notes due 2017
|
4/10/2015 | ABLM | Theatre (Hospitals) seeks OK to restructure mortgage-backed floaters
|
4/10/2015 | HYLM | HealthSouth redeems $290 million 8 1/8% notes due 2020 at 104.063
|
4/10/2015 | IGLM | Quest Diagnostics redeems some 3.2% notes, all 5.45% and 6.4% notes
|
4/10/2015 | LMMU | Port Authority of N.Y., N.J. to refund $524.78 million bonds
|
4/10/2015 | LMMU | Monroe County, N.Y., defeases $70.26 million public improvement bonds
|
4/10/2015 | EULM | Orange to buy £617.94 million of four series in oversubscribed tender
|
4/10/2015 | LMMU | Kentucky Municipal Power defeases 2007A Prairie State power system revs
|
4/10/2015 | HYLM | Afren extends consent bid to allow interim funding by one more day
|
4/10/2015 | HYLM | EnQuest seeks consents to ease terms of £155 million 5½% notes due 2022
|
4/10/2015 | HYLM | International Game begins change-of-control offer for two note series
|
4/10/2015 | LMMU | Essex County, N.J., calls $50.63 million refunding escrow G.O. bonds
|
4/10/2015 | IGLMPV | Excel’s 4.625% bonds to remain after acquisition, others to be repaid
|
4/9/2015 | IGLM | Becton, Dickinson gives tally so far in exchange for CareFusion notes
|
4/9/2015 | LMMU | Colorado Health defeases $118.11 million of Covenant Retirement bonds
|
4/9/2015 | LMMU | Indiana University defeases 2008A, 2008B consolidated revenue bonds
|
4/9/2015 | LMMU | Bellevue School District No. 405, Wash., defeases 2008 ULTGO bonds
|
4/9/2015 | HYLM | Aviv Healthcare calls all $400 million of 7¾% senior notes due 2019
|
4/9/2015 | EULM | World Bank redeems £5.78 million of 4.875% notes due Dec. 7, 2028
|
4/9/2015 | LMMU | University of Texas defeases 2005A, 2005B, 2006C university fund bonds
|
4/9/2015 | LMMU | Lubbock-Cooper ISD, Texas, defeases $78.18 million school bonds
|
4/9/2015 | CVLM | SVG Capital purchases £1.45 million of 8.25% convertibles due 2016
|
4/9/2015 | HYLM | Highclere Holdings again seeks bondholder OK for vessel sale
|
4/9/2015 | LMMU | Maine Turnpike defeases series 2005, 2007, 2009 turnpike revenue bonds
|
4/9/2015 | LMMU | Maine Turnpike defeases series 2005, 2007, 2009 turnpike revenue bonds
|
4/9/2015 | CVLM | SVG Capital purchases £1.45 million of 8.25% convertibles due 2016
|
4/9/2015 | DDHYLM | Halcon Resources agrees to exchange $116.5 million 9¾% notes for stock
|
4/9/2015 | HYLM | International Game Technology amends three note series after merger
|
4/9/2015 | CVLM | Abengoa to pay €60.5 million to settle cash amount in conversion offer
|
4/9/2015 | EULM | Severn Trent Utilities repurchases €182.64 million of 5.25% bonds
|
4/9/2015 | HYLM | Avanza still lacks needed consents to amend AG Spring 7½% senior notes
|
4/8/2015 | EULM | JPMorgan Chase Bank calls €1 billion fixed-to-float subordinated notes
|
4/8/2015 | CVEULM | Unibail-Rodamco to buy back 78.2% of Ornanes, up to €1.5 billion notes
|
4/8/2015 | CVLM | Abengoa accepts €238.3 million of 6.25% convertibles for shares, cash
|
4/8/2015 | CLLM | NACM CLO I announces plans to redeem $72.44 million notes on April 22
|
4/8/2015 | EULM | Klepierre offers to buy back Corio’s 4.625% bonds following merger
|
4/8/2015 | HYLM | Polymer Group expects to redeem $200 million 7¾% notes due 2019
|
4/8/2015 | CVEULM | Unibail-Rodamco offers to buy back Ornanes, up to €1.5 billion notes
|
4/8/2015 | HYLM | Heathrow Finance repurchases £4.15 million of its 5 3/8%, 7 1/8% notes
|
4/8/2015 | EULM | Hannover Finance exercises call on all €500 million fixed-to-floaters
|
4/8/2015 | EULM | Sweden’s Gothenburg repurchases SEK 150 million of floaters due 2016
|
4/8/2015 | EMHYLM | Gulf Keystone holders vote to amend 13% notes due 2017 at meeting
|
4/8/2015 | HYLM | Anglian Water tenders for up to £100 million 7% secured notes due 2018
|
4/8/2015 | DDEMLM | Metinvest seeks consents to extend 10¼% notes due 2015, waive defaults for three note series
|
4/8/2015 | HYLM | Infor calls 10% senior notes due 2019 at 107.5
|
4/8/2015 | EULM | IGD offers €294.9 million 2.65% notes in exchange for two note series
|
4/7/2015 | LMMU | Golden State Tobacco gets OK to amend indenture for three bond series
|
4/7/2015 | HYLM | Cincinnati Bell to redeem in full $300 million 8¾% notes due 2018
|
4/7/2015 | HYIGLM | Seagate HDD Cayman plans to redeem remaining $474 million 6.875% notes
|
4/7/2015 | CVLM | SVG Capital purchases £2.05 million of 8.25% convertibles due 2016
|
4/7/2015 | HYLM | Foresight Energy terminates consent solicitation for 7 7/8% notes
|
4/7/2015 | EMLM | Sunac China seeks to align 9 3/8%, 12½% note terms with 8¾% note terms
|
4/7/2015 | IGLMPF | Weingarten Realty Investors to redeem 6.5% series F preferreds May 8
|
4/7/2015 | DDHYLM | Helly Hansen gets holder OK to redeem bonds after covenant breach
|
4/7/2015 | EMLM | Russia’s Far-Eastern makes changes to tender offer for 8%, 8¾% notes
|
4/7/2015 | LMMU | Massachusetts College of Pharmacy and Allied Health Sciences defeases 2007E bonds
|
4/7/2015 | LMMU | Partners HealthCare, Mass., to make $15 million bids on F-2 bonds
|
4/7/2015 | CVLM | Abengoa starts €200 million early conversion offer for 6.25% notes
|
4/7/2015 | DDHYLM | Afren solicits consents from noteholders to allow interim funding
|
4/7/2015 | DDEMLM | Gildemeister offers dollar, UF notes in exchange for 6¾%, 8¼% notes
|
4/7/2015 | HYLM | Murray Energy starts new consent solicitation for 8 5/8%, 9½% notes
|
4/7/2015 | HYLM | ExamWorks to redeem 9% senior notes using proceeds from new offering
|
4/7/2015 | HYLM | Isle of Capri starts cash tender offer for 7¾% senior notes due 2019
|
4/7/2015 | HYLM | Hellenic Telecommunications buys back €70.55 million 4 5/8% notes
|
4/6/2015 | CAHYLM | CHC Helicopter tenders for $80 million of 9 3/8% notes due 2021
|
4/6/2015 | LMPF | FelCor to redeem 8% cumulative redeemable preferreds via stock sale
|
4/6/2015 | HYLM | Perry Ellis calls $100 million of 7 7/8% senior subordinated notes
|
4/6/2015 | HYLM | Michaels to redeem all $180.85 million of 7½%/8¼% PIK toggle notes
|
4/6/2015 | LMMU | Honolulu defeases G.O. bonds, G.O. commercial paper notes
|
4/6/2015 | LMMU | Connecticut to redeem $36.38 million of 2005A, B Aquarion Water bonds
|
4/6/2015 | LMMU | Oklahoma Development calls $47.9 million of 2007A-3 Integris bonds
|
4/6/2015 | LMMU | Michigan State Hospital calls $112.23 million 2008B McLaren bonds
|
4/6/2015 | HYLM | Shea Homes gets no more tenders for 8 5/8% notes after early deadline
|
4/6/2015 | CAHYLM | Salix Pharmaceuticals sets redemption price for $262 million 6% notes
|
4/6/2015 | HYLM | United Airlines to redeem $298.24 million of 6% notes due 2031 in full
|
4/6/2015 | LMMU | California to redeem $194.71 million G.O. bonds on June 1
|
4/6/2015 | LMMU | Massachusetts Water Pollution defeases $56.28 million series 12 bonds
|
4/6/2015 | LMMU | Clayton County, Ga., calls $59.45 million 2005 water, sewerage bonds
|
4/6/2015 | LMMU | Passaic County Improvement Authority, N.J., calls all 2005 Preakness lease revenue bonds
|
4/6/2015 | LMMU | University of California calls all $963.48 million 2007J general revenue bonds
|
4/6/2015 | LMMU | Kansas Development to redeem 2005E, 2005H revenue bonds on May 1
|
4/6/2015 | LMMU | Palm Beach, Fla., calls $82.63 million Biomedical Research Park bonds
|
4/6/2015 | LMMU | Dasny defeases some City University fifth general resolution bonds
|
4/6/2015 | LMMU | Chaffey Community College, Calif., to redeem $63.13 million G.O. bonds
|
4/6/2015 | LMMU | North Carolina Medical defeases $119.72 million bonds
|
4/6/2015 | LMMU | Washoe County School District, Nev., calls $50.28 million bonds
|
4/6/2015 | LMMU | Little Rock, Ark., defeases its 2007A, 2007C sewer revenue bonds
|
4/6/2015 | HYLM | Freescale Semiconductor to redeem $100 million of 10¾% notes on May 6
|
4/6/2015 | HYLM | SeaWorld to redeem all of its 11% senior notes due 2016 on Tuesday
|
4/6/2015 | CVLM | EnerSys to repay 3.375% convertibles with funds from new notes
|
4/6/2015 | IGLM | Duke Realty announces purchase amounts, prices in $500 million tender
|
4/2/2015 | EMLM | Philippines’ San Miguel gets tenders for $283.62 million 4 7/8% notes
|
4/2/2015 | IGLMPF | PNC Financial calls all $500 million series K perpetual preferreds
|
4/2/2015 | LMMU | New York City Transitional calls 2005 A-1, A-2 future tax bonds
|
4/2/2015 | HYLM | Freescale gets noteholder consent to skip change-of-control offer
|
4/2/2015 | LMPF | SouthCrest Financial Group redeems $85 million of series A preferreds
|
4/2/2015 | HYLM | Party City calls all $350 million of 8¾%/9½% PIK toggle notes due 2019
|
4/2/2015 | HYLM | Nortek to redeem in full 10% senior notes due 2018 at 105
|
4/2/2015 | EULM | Det norske gets OK to amend floaters due 2020 after modifying proposal
|
4/2/2015 | HYLM | Switzerland’s gategroup calls all €100 million 6¾% notes due 2019
|
4/2/2015 | LMMU | Indiana Health calls all $127.72 million 2005A Community Health bonds
|
4/2/2015 | HYLM | Ineos Finance intends to redeem all 7½% senior secured notes due 2020
|
4/2/2015 | HYLM | AA PIK calls all £175 million 9½%/10¼% senior PIK toggle notes due 2019
|
4/2/2015 | LMPF | CA Preferred Funding Trust calls all 7% noncumulative trust-preferreds
|
4/2/2015 | EULM | Southern Gas calls all £233 million of floating-rate bonds due 2015
|
4/2/2015 | CVLM | EPIC to offer convertible preferreds in exchange for common stock
|
4/2/2015 | EULM | National Bank of Greece buys back, cancels €800 million covered bonds
|
4/2/2015 | CLLM | Ares XXVII CLO to redeem class A-2 notes in full on April 28
|
4/2/2015 | CVLM | Jaccar seeks to extend maturity of 7% convertible bonds to 2016
|
4/2/2015 | HYLM | Avanza extends consent date for AG Spring’s notes, receives consents to amend 7½% notes
|
4/2/2015 | IGLM | Duke Realty announces early tender response in $500 million offer
|
4/2/2015 | LM | Foresight collects needed consents for 7 7/8% senior notes due 2021
|
4/2/2015 | HYLM | UPC calls all 6 3/8% notes, 6 5/8% notes, 10% of 6 7/8%, 7¼% notes
|
4/2/2015 | HYLM | Picard starts consent solicitation to amend floating-rate notes
|
4/2/2015 | EMHYLM | Gulf Keystone receives consents to amend 13% notes due 2017
|
4/1/2015 | EMLM | Noble Group buys back $20 million of 3 5/8% senior notes due 2018
|
4/1/2015 | CVLM | Salix convertible noteholders get change-of-control put option
|
4/1/2015 | LMMU | Lincoln, Neb., defeases series 2007A, 2007B electric system bonds
|
4/1/2015 | HYLM | Radio One gets OK from 100% of holders of 9¼% notes to incur debt
|
4/1/2015 | HYLM | GCI gets tenders for $334.5 million 8 5/8% notes, calls remainder
|
4/1/2015 | LMMU | Wisconsin plans to redeem all G.O. refunding bonds of 2005, series I
|
4/1/2015 | HYLM | Care UK Health & Social Care buys back £10.08 million floaters
|
4/1/2015 | CVLM | Kirkland Lake starts normal course issuer bid for 6%, 7.5% convertibles
|
4/1/2015 | LMSP | Barclays gets consents for four of 22 series of iPath commodities ETNs
|
4/1/2015 | EULM | HSBC accepts €707.55 million 5.252% perpetual step-up notes issued by ELM in tender offer
|
4/1/2015 | EULM | BAA redeems £10.2 million of 5 3/8%, 7 1/8% Heathrow Finance bonds
|
4/1/2015 | CVLM | Qiagen sets final payment of 48.5% in tender for 1.5% convertibles
|
4/1/2015 | EMHYLM | Columbus International starts change-of-control offer for 7 3/8% notes
|
4/1/2015 | DDEMLM | Ukraine’s DTEK amends new notes in exchange offer, ups fee, threshold
|
4/1/2015 | HYLM | Murray Energy granted needed consents to amend 8 5/8%, 9½% notes
|
4/1/2015 | CVHYLM | Alpha Natural Resources buys back $593 million notes, convertibles
|
4/1/2015 | CAHYLM | Valeant to redeem Salix’s 6% senior notes due 2021 in two stages
|
4/1/2015 | CAHYLM | Ainsworth starts tender offer, consent solicitation for 7½% notes
|
4/1/2015 | IGLM | Equity Commonwealth to redeem 5.75% senior notes due 2015
|
4/1/2015 | HYLM | Taylor Morrison to redeem 7¾% notes due 2020 using new bond offering
|
3/31/2015 | CVLM | Paladin accepts tenders for $289.25 million 3.625% convertibles due 2015
|
3/31/2015 | CVLM | YRC Worldwide holders to exchange $17.04 million 10% convertibles
|
3/31/2015 | HYLM | Allison Transmission gets consents to amend 7 1/8% notes due 2019
|
3/31/2015 | EMLM | Russia’s Far-Eastern Shipping begins tender offer for 8%, 8¾% notes
|
3/31/2015 | EULM | Orange begins £500 million tender offer for four sterling notes series
|
3/31/2015 | HYLM | Jaguar Land Rover accepts tenders for $326.42 million 8 1/8% notes
|
3/31/2015 | IGLMPF | HSBC cancels tender offer for Swiss Re’s 6.854% step-up preferreds
|
3/31/2015 | HYLM | AAR to redeem all $325 million of 7¼% senior notes due Jan. 15, 2022
|
3/31/2015 | HYLM | TransUnion plans redemption of PIK toggle notes using IPO proceeds
|
3/31/2015 | DDHYLM | Otium holders approve extension of NOK 100 million bonds to 2017
|
3/31/2015 | EMLM | Philippines’ Rizal gets OK for early redemption of 9 7/8% perpetuals
|
3/31/2015 | IGLM | AIG sets pricing, gives early results in maximum tender offer for 17 series of notes
|
3/31/2015 | EMLM | China’s Hopson Development calls all $300 million 11¾% notes
|
3/31/2015 | HYLM | MasTec seeks consents from 4 7/8% noteholders for reporting extension
|
3/31/2015 | EUHYLM | Obrascon Huarte plans to redeem all €425 million 8¾% notes due 2018
|
3/31/2015 | CLLM | Grosvenor Place CLO II redeems nine series of notes due in 2023
|
3/31/2015 | LMMU | Virginia Resources defeases some 2008B Virginia Pooled Financing bonds
|
3/31/2015 | HYLM | Calcipar calls all $450 million 6 7/8% senior secured notes due 2018
|
3/31/2015 | EMLM | VimpelCom to buy $1.84 billion of notes in tender for eight series
|
3/31/2015 | EMLM | Russia’s TCS Bank receives tenders for $80.09 million of 10¾% notes
|
3/31/2015 | HYLM | Hexion to redeem 8 3/8% sinking fund debentures with note proceeds
|
3/31/2015 | HYLM | United Rentals calls $350 million of its 8¼% senior notes due 2021
|
3/31/2015 | HYLM | AES starts tender offer for $500 million of three series of notes
|
3/30/2015 | EMLM | China’s Country Garden completes redemption of $900 million 11 1/8% notes
|
3/30/2015 | EULM | Omega gives notice of change-of-control offer after Perrigo acquisition
|
3/30/2015 | CAIGLM | Canadian Tire holders OK interest rate increase on 2028, 2034 notes
|
3/30/2015 | HYLM | Cliffs to issue $544 million 7¾% notes due 2020 in exchange offers
|
3/30/2015 | IGLM | American Tower issues call to redeem all 7% notes due 2017 on April 29
|
3/30/2015 | HYLM | Sabre GLBL to redeem all $480 million of 8½% secured notes due 2019
|
3/30/2015 | CVLM | OPKO Health issues stock, cash for $36.4 million 3% convertibles
|
3/30/2015 | IGLM | Citigroup gives final results of tender offer for four series of notes
|
3/30/2015 | CVLM | SVG Capital purchases, cancels £10 million 8¼% convertibles due 2016
|
3/30/2015 | CAHYLM | Bombardier reveals planned redemption of all 4¼% senior notes due 2016
|
3/30/2015 | HYLM | Foresight solicits consents for 7 7/8% senior notes due 2021
|
3/30/2015 | EMLM | Russian Standard announces tender offer results for three notes series
|
3/30/2015 | EULM | Ageas takes in tenders for 71.71% of 5.125% perpetual securities
|
3/30/2015 | HYLM | Vulcan accepts early tenders for $127.3 million 7% notes due 2018
|
3/30/2015 | HYLM | NRAM seeks tenders for €2 billion 3 7/8% covered bonds due 2020
|
3/30/2015 | HYLM | Heidelberger Druckmaschinen to redeem €55.8 million of 9¼% notes
|
3/30/2015 | HYLM | Murray Energy raises payment in tender offer for 8 5/8%, 9½% notes
|
3/30/2015 | HYLM | Peabody Energy receives tenders for $1.23 million more 7 3/8% notes
|
3/30/2015 | HYLM | Radio One approved to issue new debt by holders of 9¼% notes
|
3/30/2015 | EMHYLM | Gulf Keystone extends consent solicitation for 13% notes by one day
|
3/30/2015 | HYLM | Bakkavor calls £140 million of 8¼% senior secured notes due 2018
|
3/27/2015 | EMLM | China Shanshui Cement calls $400 million 10½% notes due 2017
|
3/27/2015 | DDHYLM | OSA Goliath holders agree to trustee proposal for issue of $6 million liquidity bonds
|
3/27/2015 | DDLMMU | South Bay Community Development, Fla., to restructure $30.67 million series 2005 bonds
|
3/27/2015 | IGLM | Discovery sets redemption price for $850 million 3.7% notes due 2015
|
3/27/2015 | LMMU | Chicago Board of Education calls $88.9 million of 2011D ULTGO bonds
|
3/27/2015 | DDHYLM | Iona Energy gets holder approval to amend 9½% secured callable bonds
|
3/27/2015 | LMMU | University of Michigan’s general revenue bonds have mandatory tender
|
3/27/2015 | LMMU | Missouri Development defeases $68.94 million 2007B Kauffman Center bonds
|
3/27/2015 | CLLM | Kinney Hill to redeem $115.36 million from four series of notes in full
|
3/27/2015 | LMMU | University of California defeases limited project, general revenue bonds
|
3/27/2015 | LMMU | Chicago’s 2002B, 2003B general obligation bonds have mandatory tender
|
3/27/2015 | LMMU | Southern California Public Power defeases 2008B transmission bonds
|
3/27/2015 | LMMU | Dallas defeases 2006, 2007, 2008 waterworks and sewer system bonds
|
3/27/2015 | HYLM | Hexagon Composites proposes to redeem bonds early at a premium to par
|
3/27/2015 | EMLM | VimpelCom receives puts for 99% of its 8.85% ruble bonds due 2022
|
3/26/2015 | EMLM | Singapore’s Wing Tai calls all 3.38% notes due 2016 for redemption
|
3/26/2015 | CVLM | 49 North seeks OK to exchange 9% convertibles for preferreds, common shares, new convertible
|
3/26/2015 | HYLM | Constantia holders may put back bonds following change of control
|
3/26/2015 | HYLM | Windstream tenders for $100 million total of 8 1/8%, 7 7/8% notes
|
3/26/2015 | CVLM | Ag Growth to hold April 15 meeting for holders of subscription receipts
|
3/26/2015 | LMMU | New York to partially redeem series C, E, 2005M FSA program bonds
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3/26/2015 | CVLM | Pinetree to redeem C$10 million of 10% convertibles due May 31, 2016
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3/26/2015 | LMMU | Nashville, Davidson County, Tenn., calls $67 million Vanderbilt bonds
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3/26/2015 | LMMU | San Diego County Water defeases series 2004A water revenue COPs
|
3/26/2015 | HYLM | Petrolia purchases NOK 30.5 million bonds from bond loan due June 2017
|
3/26/2015 | LMMU | Austin, Texas, calls all 2005A water, wastewater system revenue bonds
|
3/26/2015 | CLLM | Dryden XV - Euro CLO 2006 meets conditions to redeem note series
|
3/26/2015 | LMMU | Indiana Finance defeases 2007A, 2009A state revolving fund bonds
|
3/26/2015 | HYLM | Murray Energy starts tender for 8 5/8%, 9½% senior secured notes
|
3/26/2015 | CVLM | Polarcus sets meeting to amend 2.875% convertibles for April 14
|
3/26/2015 | HYLM | Schaeffler to redeem €800 million, $600 million 7¾% notes due 2017
|
3/26/2015 | IGLM | Becton, Dickinson starts exchange to replace CareFusion notes
|
3/26/2015 | IGLM | AIG announces response to any and all tender, to accept all notes
|
3/26/2015 | CVLM | TowerJazz early conversion offer oversubscribed, accepts $80 million
|
3/26/2015 | HYLM | Cliffs extends note exchange offer to match close of new financing
|
3/25/2015 | LMMU | Metropolitan Water, Calif., plans mandatory tender for some 2011 bonds
|
3/25/2015 | HYLM | I.M. Skaugen buys back NOK 60 million floating-rate bonds via offer
|
3/25/2015 | HYLM | Wynn Las Vegas to redeem $71.14 million of 7 7/8% first mortgage notes
|
3/25/2015 | CAHYLM | GFL Environmental accepts tenders for C$50 million 7½% notes due 2018
|
3/25/2015 | DDEULM | Fairhold seeks consents from holders of two floating-rate note series
|
3/25/2015 | HYLM | Hercules Technology will redeem $20 million of 7% notes on April 30
|
3/25/2015 | IGLM | AIG prices tender offer for 5.45% notes due 2017, 5% notes due 2017
|
3/25/2015 | EMLM | Russia’s Metalloinvest holders put back RUB 24.96 billion of bonds
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3/25/2015 | EMLM | India’s Tata Motors will buy back Rs. 12.5 billion debentures due 2016
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3/25/2015 | EULM | BAA redeems £605,000 of 7 1/8%, 5 3/8% Heathrow Finance bonds
|
3/25/2015 | CVLM | Polarcus seeks to amend, extend $125 million of 2.875% convertibles
|
3/25/2015 | HYLM | AA to refinance £655 million 9½% notes, £175 million 9½% PIK notes
|
3/25/2015 | HYLM | Murray Energy extends consent bid to amend 8 5/8% notes, 9½% notes
|
3/24/2015 | LMMU | Barnabas Health of New Jersey gets noteholder consent to release lien
|
3/24/2015 | DDHYLM | Afren gets OK for private placement notes as part of interim funding
|
3/24/2015 | DDHYLM | PA Resources asks bondholders to further defer payments to April 30
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3/24/2015 | IGLM | Equity One calls all $107.5 million of 5.375% senior notes due 2015
|
3/24/2015 | HYLM | Headwaters calls all $400 million of 7 5/8% notes due 2019 at 103.813
|
3/24/2015 | LMMU | California to redeem $428.5 million general obligation bonds on April 17
|
3/24/2015 | LMMU | Philadelphia Redevelopment calls 2005C Neighborhood Transformation revs
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3/24/2015 | EULM | SolarWorld to make €4.6 million of repayments under some note series
|
3/24/2015 | HYLM | GCI begins tender offer for $425 million 8 5/8% senior notes due 2019
|
3/24/2015 | LMMU | Irvine USD, Calif., defeases series 2005A special tax revenue bonds
|
3/24/2015 | HYLM | Calumet to redeem all $275 million of 9 5/8% notes using new bonds
|
3/24/2015 | EMLM | VimpelCom receives puts for 99% of its 8.85% ruble bonds due 2022
|
3/24/2015 | EMHYLM | Gulf Keystone extends early consent deadline for 13% notes to April 1
|
3/24/2015 | CVLM | Ag Growth seeks to extend early maturity of 5.25% convertibles
|
3/24/2015 | CAIGLM | Canadian Tire to pay fee on all notes voted in consent solicitation
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3/23/2015 | LMPV | Smucker prepays $1.1 billion of notes following Big Heart acquisition
|
3/23/2015 | IGLM | Smucker prepays $1.1 billion of notes following Big Heart acquisition
|
3/23/2015 | HYLM | SeaWorld Entertainment contemplates options to refinance 2016 notes
|
3/23/2015 | HYLM | Care UK Health & Social Care offers to buy back £21.5 million floaters
|
3/23/2015 | HYLM | Freescale seeks noteholder consent to skip change-of-control offer
|
3/23/2015 | HYLM | Shea Homes takes in nearly 91% of 8 5/8% notes by early deadline
|
3/23/2015 | DDEMLM | Ukraine’s DTEK launches exchange offer to avoid default on 9½% notes
|
3/23/2015 | CVLM | China Overseas holders put all HK$2.2 billion 2% convertibles due 2017
|
3/23/2015 | HYLM | Jerrold seeks consents from holders of 9¾% notes to amend definitions
|
3/23/2015 | EMLM | Czech Republic’s RPG seeks consents for €400 million 6¾% notes
|
3/23/2015 | EMLM | Russia’s TCS Bank tenders for $125 million of 10¾% notes due 2015
|
3/23/2015 | EMLM | Russian Standard tenders for $150 million of notes via Dutch auction
|
3/23/2015 | HYLM | Consol gets tenders for 92.4% of 8¼% notes, 91.7% of 6 3/8% notes
|
3/20/2015 | LMMUPF | Nuveen Texas Quality Income to redeem all MuniFund term preferreds
|
3/20/2015 | CVLM | Bill Barrett holders tender $24.76 million of 5% convertibles due 2028
|
3/20/2015 | CALM | Bank of Montreal to redeem C$500 million of 4.87% series C debentures
|
3/20/2015 | EULM | Indesit gets needed consents to amend 4.5% guaranteed notes due 2018
|
3/20/2015 | EMLM | Peru completes one-day tender for bonos soberanos, global bonds
|
3/20/2015 | CVLM | SM Investments calls all $33.2 million 1.625% convertibles due 2017
|
3/20/2015 | CVLM | Boyuan garners holder votes to amend convertibles, extend them to 2018
|
3/20/2015 | LMMU | Virginia Port Authority redeems $96.11 million port facilities bonds
|
3/20/2015 | EMLM | India’s Tata Motors may buy back Rs. 12.5 billion debentures due 2016
|
3/20/2015 | EULM | BAA redeems £4 million of Heathrow Finance bonds Thursday
|
3/20/2015 | HYLM | Arrow Global gets needed majority consents to amend 7 7/8% notes
|
3/20/2015 | HYLM | Jaguar receives tenders for 88.31% of 8¼% senior notes due 2020
|
3/20/2015 | CVLM | Marine Harvest conversion incentive offer achieves 99.43% response
|
3/20/2015 | HYLM | Reliance Intermediate collects early tenders for 96.43% of 9½% notes
|
3/20/2015 | ABLM | Proventus European ABS CDO redeems six series of secured floaters
|
3/19/2015 | DDHYLM | Helly Hansen seeks holder OK to redeem bonds after covenant breach
|
3/19/2015 | EULM | Ageas tenders for €336.36 million of 5.125% perpetual securities
|
3/19/2015 | EULM | Consilium calls SEK 400 million senior unsecured note loan due 2017
|
3/19/2015 | HYLM | Radio One seeks consents from holders of 9¼% notes to incur debt
|
3/19/2015 | IGLM | GATX to redeem $250 million of 4.75% notes due 2015 at 100.656
|
3/19/2015 | EULM | Severn Trent starts tender offer for €280 million 5.25% notes due 2016
|
3/19/2015 | EUHYLM | Banque PSA Finance completes tender offer for four series of notes
|
3/19/2015 | HYLM | Avanza Spain starts tender offer for 7½%, 9½% notes issued by AG Spring
|
3/19/2015 | EMLM | Severn Trent starts tender offer for €280 million 5.25% notes due 2016
|
3/19/2015 | IGLM | Severn Trent starts tender offer for €280 million 5.25% notes due 2016
|
3/19/2015 | CLLM | Voya CLO to redeem six series of notes, preferreds on March 23
|
3/19/2015 | LMMU | New York calls $198.38 million general obligation bonds for redemption
|
3/19/2015 | LMMU | Ohio calls $82.35 million higher education general obligation bonds
|
3/19/2015 | HYLM | Ethan Allen redeems $129.4 million 5 3/8% notes due 2015
|
3/19/2015 | CLLM | Apidos CLO IX plans to refinance six classes of notes with new notes
|
3/19/2015 | CLLM | Landmark VI CDO plans March 30 redemption for six classes of notes
|
3/19/2015 | EULM | HSBC tenders for €750 million of three note series issued by Elm
|
3/19/2015 | CVDDLM | Petropavlovsk completes exchange, issues $100 million convertibles
|
3/19/2015 | EULM | Wellington Pub purchases additional £5 million of class A bonds
|
3/19/2015 | EULM | Heathrow Finance redeems £1.55 million of 7 1/8% notes due 2017
|
3/19/2015 | IGLM | Duke Realty begins tender for up to $500 million of five note series
|
3/19/2015 | EMLM | Armenia accepts $199.93 million of 6% notes due 2020 in tender offer
|
3/19/2015 | CVLM | TowerJazz upsizes early conversion offer for bonds to $80 million
|
3/19/2015 | EMLM | Peru runs one-day tender for seven bonos soberanos, global bonds
|
3/19/2015 | EMLM | Philippines’ San Miguel starts Dutch auction tender for 4.875% notes
|
3/19/2015 | HYLM | Sensata begins tender for $700 million 6½% senior notes due 2019
|
3/19/2015 | IGLM | Quest hits tender offer cap for 6.95%, 5.75% notes by early deadline
|
3/18/2015 | IGLM | Quest Diagnostics prices tender offers for 6.95% notes, 5.75% notes
|
3/18/2015 | IGLM | HSBC tenders for Swiss Re’s 6.854% perpetual step-up preferreds
|
3/18/2015 | HYLM | Huntsman plans to redeem some 8 5/8% notes with funds from new notes
|
3/18/2015 | EULM | Det norske seeks holder consent to amend unsecured floaters due 2020
|
3/18/2015 | LMMU | Massachusetts Development calls $91.66 million 2002A Saltonstall bonds
|
3/18/2015 | LMMU | Posey County, Ind.’s Midwest Fertilizer bonds have mandatory tender
|
3/18/2015 | HYLM | Allison Transmission tenders, seeks consents for 7 1/8% notes due 2019
|
3/18/2015 | HYLM | Del Monte to redeem all $900 million of 7 5/8% notes due Feb. 15, 2019
|
3/18/2015 | CVLM | Lufthansa to exchange nearly all 0.75% notes March 26, may call rest
|
3/18/2015 | HYLM | Fortescue pulls tender offer after scrapping $2.5 billion notes issue
|
3/18/2015 | EULM | Oriola-KD announces full redemption of €40 million hybrid bond
|
3/18/2015 | CLLM | Dryden XV - Euro CLO 2006 required to redeem nine note series due 2023
|
3/18/2015 | CLLM | Dryden XV - Euro CLO 2006 holders exercise put on subordinated notes
|
3/18/2015 | HYLM | Station Casinos solicits consents to amend 7½% senior notes due 2021
|
3/18/2015 | CVLM | EnPro buys back $21.3 million of 3.9375% convertible debentures
|
3/18/2015 | HYLM | Laredo Petroleum calls all $550 million of 9½% senior notes due 2019
|
3/18/2015 | IGLM | Georgia Power to redeem all $125 million of 5.8% notes maturing 2035
|
3/18/2015 | DDEM | Asia Resource proposes to issue new notes in exchange for Berau notes
|
3/18/2015 | MU | IAC seeks consents from holders of New York Liberty Bonds
|
3/18/2015 | CVLM | Marine Harvest sets incentive payment for conversion of 2.375% bonds
|
3/18/2015 | HYLM | Moto Finance receives tenders for £131.96 million of its 10¼% notes
|
3/18/2015 | HYLM | Virgin Media to redeem 10% of 5½%, 5 3/8%, 6% senior secured notes
|
3/18/2015 | HYLM | Refresco Gerber calls €100 million of floating-rate notes due 2018
|
3/17/2015 | HYLM | IAC seeks consents from holders of New York Liberty Bonds
|
3/17/2015 | LMMU | Miramar, Fla., calls $83.94 million capital improvement revenue bonds
|
3/17/2015 | HYLM | Reynolds completes premium, asset sale tender offers, calls 7 1/8% notes
|
3/17/2015 | HYLM | Vulcan Materials to redeem all $125 million 6½% notes due 2016
|
3/17/2015 | HYLM | Arrow Global amends and extends consent solicitation for 7 7/8% notes
|
3/17/2015 | CVDDLM | New Issue: Petropavlovsk to issue $100 million 9% five-year convertibles in exchange offer
|
3/17/2015 | EULM | Unipol Gruppo to issue new 3% notes in exchange for two series of notes
|
3/17/2015 | IGLM | WesBanco calls $36.1 million ESB Capital Trust junior subordinated debentures
|
3/17/2015 | HYLM | Otium seeks to extend NOK 100 million bonds due 2015 by two years
|
3/17/2015 | EMHYLM | Telemovil Finance to redeem 8% notes due 2017 at 104 on April 20
|
3/17/2015 | HYLM | Millicom gets consent to conform Swedish krona bonds’ debt covenants
|
3/17/2015 | LMMU | Wisconsin HEFA calls $40 million of 5.625% 2010A Aurora Health bonds
|
3/17/2015 | LMMU | Rutgers University, N.J., calls $10.2 million of 2002A G.O. bonds
|
3/17/2015 | LMMU | Delaware to redeem $27.85 million of 2007A general obligation bonds
|
3/17/2015 | EULM | Heathrow Finance redeems £2.09 million of 5.375% notes due 2019
|
3/17/2015 | IGLM | AIG tenders for 39 series of debt securities
|
3/17/2015 | HYLM | Faurecia to redeem all €250 million of 8¾% senior notes due 2019
|
3/17/2015 | IGLM | AIG tenders for 39 series of debt securities
|
3/17/2015 | EMLM | Russia’s Alliance Oil receives consents to amend 9 7/8% notes, to buy $50.93 million
|
3/17/2015 | HYLM | Jaguar Land Rover receives tenders for $326.12 million 8 1/8% notes
|
3/16/2015 | IGLM | Citigroup upsizes tender offer for four series of notes; sets pricing
|
3/16/2015 | EMLM | Noble Group buys back $15 million of 6.625% senior notes due 2020
|
3/16/2015 | EULM | Gunvor begins tender offer for $80 million of 5.875% notes due 2018
|
3/16/2015 | CVLM | Prologis exchanges $460 million convertibles due 2015 for common stock
|
3/16/2015 | HYLM | Peabody Energy gets early tenders for 87% of 7 3/8% notes due 2016
|
3/16/2015 | EULM | Unipol Gruppo to accept €281.7 million 5%, 4.375% notes in exchange
|
3/16/2015 | IGLM | Citigroup wraps early tenders; offers for two series oversubscribed
|
3/16/2015 | HYLM | Pantry plans to call 8 3/8% notes in lieu of change-of-control offer
|
3/16/2015 | HYLM | Jaguar Land Rover Automotive prices tender offer for 8 1/8% notes
|
3/16/2015 | HYLM | Stora Enso buys back $174.33 million more 6.404% notes due 2016
|
3/16/2015 | CVLM | Horizon Pharma to exchange $32.2 million more notes for stock, cash
|
3/16/2015 | HYLM | Vulcan Materials tenders for up to $200 million of 7% notes due 2018
|
3/16/2015 | HYLM | RSI Home takes in tenders for 93.71% of 6 7/8% notes, calls remaining
|
3/16/2015 | HYLM | Murray Energy seeks to amend two note series, may buy back another series after control change
|
3/16/2015 | CVLM | Marine Harvest announces incentive offer to convert 2.375% bonds
|
3/16/2015 | EULM | New South Wales buys back A$12.79 million 5.5% exchangeables due 2017
|
3/16/2015 | EMLM | VimpelCom receives tenders for $1.8 billion of notes, sets pricing
|
3/16/2015 | CVLM | Dialog Semiconductor calls 1% bonds due 2017; notes are convertible
|
3/16/2015 | CVLM | New South Wales buys back A$12.79 million 5.5% exchangeables due 2017
|
3/13/2015 | LMPP | High North Resources lacks funds to repay convertibles, seeks waiver
|
3/13/2015 | EMHYLM | Sappi Papier calls 6 5/8% notes due 2018, 8 3/8% notes due 2019
|
3/13/2015 | LMMU | Texas Transportation defeases series 2006A mobility fund G.O. bonds
|
3/13/2015 | LMMU | New York City Transitional Finance calls $52.14 million 1998B bonds
|
3/13/2015 | HYLMMU | Vail Resorts calls all 6½% notes, Eagle County sports facilities note
|
3/13/2015 | LMMU | Brevard County School, Fla., defeases 2007C COPs
|
3/13/2015 | LMMU | Chicago Board of Education’s 2000B ULTGO bonds have mandatory tender
|
3/13/2015 | LMMU | Clark County, Nev.’s 2010 California Edison bonds have mandatory tender
|
3/13/2015 | LMMU | Arkansas defeases its 2007B higher education general obligation bonds
|
3/13/2015 | LMMU | Farmington, N.M. to purchase some Southern California Edison bonds
|
3/13/2015 | LMMU | Washington State University defeases $53.41 million student fee bonds
|
3/13/2015 | CAHYLM | Banro gives details of consent bid to amend 10% senior secured notes
|
3/13/2015 | LMMU | Olentangy Local School, Ohio, defeases 2006, 2006A various purpose bonds
|
3/13/2015 | HYLM | United Rentals calls 8 3/8% notes at 107.461, 5¾% notes at 104.206
|
3/12/2015 | EMLM | South Africa’s Gold Fields seeks to release Sibanye as note guarantor
|
3/12/2015 | DDHYLM | Iona Energy seeks to amend 9½% bonds to allow financial flexibility
|
3/12/2015 | IGLMPF | WP Glimcher calls all $117.5 million series G cumulative preferreds
|
3/12/2015 | IGLMPF | Public Storage calls all $145 million of 6.875% series O preferreds
|
3/12/2015 | CAHYLM | Banro starts consent solicitation to amend 10% senior secured notes
|
3/12/2015 | IGLM | Verizon to issue $13.37 billion new notes in exchange for seven series
|
3/12/2015 | HYLM | United Rentals plans to issue make-whole call for 8 3/8%, 5¾% notes
|
3/12/2015 | EULM | GlobalConnect gets OK to amend 5.7% senior secured bonds due 2018
|
3/12/2015 | HYLM | Newfield Exploration to redeem $700 million 6 7/8% notes on April 10
|
3/12/2015 | CVIGLM | Mylan gets consents to amend filing requirements for nine note series
|
3/12/2015 | EULM | BPM Capital will redeem all €161.91 million of 8.393% trust-preferreds
|
3/12/2015 | HYLM | Western Bulk purchases NOK 29 million of bonds due 2017
|
3/12/2015 | LMMU | Kansas Development Finance defeases 2006A administration revenue bonds
|
3/12/2015 | HYLM | Cliffs holders tender $635 million of four note series for exchange; early deadline extended
|
3/12/2015 | LMMU | Northwest ISD, Texas, defeases $93.31 million 2007 unlimited tax bonds
|
3/12/2015 | EULM | WPP begins exchange offer for €400 million of 6.625% bonds due 2016
|
3/12/2015 | EMHYLM | Gulf Keystone seeks to amend 13% notes to avoid triggering put option
|
3/12/2015 | EMLM | Armenia begins tender offer for up to $200 million of 6% notes due 2020
|
3/11/2015 | HYIGLM | QVC to fund 7 3/8% senior secured note redemption via cash, loans
|
3/11/2015 | LMPF | Ally to redeem $1.3 billion series G preferreds, other debt to normalize capital structure
|
3/11/2015 | CAHYLM | Videotron issues call to redeem all 6 3/8% notes due 2015 on April 10
|
3/11/2015 | LMMU | Nevada defeases 2007B capital improvement and cultural affairs LTGOs
|
3/11/2015 | LMMU | New York City to redeem $22.46 million of fiscal 2005 series M bonds
|
3/11/2015 | LMMU | Tampa Bay Water, Fla., defeases 2011A and 2011B utility system bonds
|
3/11/2015 | LMMU | Missouri HEFA calls $290 million of Stowers Institute bonds in full
|
3/11/2015 | EMLM | Indonesia’s Tower Bersama solicits consents to amend 4 5/8% notes
|
3/11/2015 | DDHYLM | Energy Future unit gets OK to repay $750 million of second-lien notes
|
3/11/2015 | EULM | Unipol sets 240 bps minimum new issue spread for exchange offer notes
|
3/11/2015 | HYIGLM | QVC to fund 7 3/8% senior secured note redemption via new offering
|
3/11/2015 | EULM | Raiffeisen Zentralbank to cancel €47.07 million of notes on March 16
|
3/11/2015 | EULM | National Asset Management redeems €1 billion of its senior notes
|
3/11/2015 | IGLM | Cigna plans to redeem $600 million 2.75% notes, $251 million 8.5% notes
|
3/11/2015 | EUHYLM | Banque PSA Finance begins tender offer for four series of notes
|
3/11/2015 | LMMU | Washington Health’s 2013B-2 Catholic Health bonds have mandatory tender
|
3/10/2015 | IGLM | Ensco wraps cash tender offer, accepts tenders for 85.3% 3.25% notes
|
3/10/2015 | IGLM | Ensco sets pricing in cash tender offer for any and all 3.25% notes
|
3/10/2015 | IGLM | CME Group to redeem $612.5 million 4.4% notes due 2018 on April 8
|
3/10/2015 | LMMU | Barnabas Health of New Jersey solicits consents to release lien
|
3/10/2015 | HYLM | Chiquita accepts tenders for $234,000 of 7 7/8% secured notes due 2021
|
3/10/2015 | LMMU | Kentucky Economic’s 2011B Catholic Health bonds have mandatory tender
|
3/10/2015 | HYLM | Moto Finance to redeem remaining 10¼% notes on April 9 at 105.125
|
3/10/2015 | HYLM | Vulcan Materials calls $219 million of 6.4% notes due 2017 in full
|
3/10/2015 | HYLM | United Airlines to redeem $303.33 million of 6% notes due 2031 in full
|
3/10/2015 | LMPF | DNB Financial redeems $9.75 million of 2011A perpetual preferreds
|
3/10/2015 | LMMU | Metropolitan Transportation, N.Y., calls $200 million revenue BANs
|
3/10/2015 | IGLM | Citigroup accepts $406.24 million of notes in tender for three series
|
3/10/2015 | AGIGLM | World Bank to redeem £7.97 million of 5.75% notes due June 7, 2032
|
3/10/2015 | LMMU | Dasny calls $71.44 million 1999 New York Public Library bonds
|
3/10/2015 | LMMU | Lexington County School District, S.C., defeases $62.35 million G.O.s
|
3/10/2015 | LMMU | Mississippi Hospital calls $60.22 million Baptist Memorial bonds
|
3/10/2015 | LMMU | Chicago scraps redemption for $201 million Neighborhoods Alive bonds
|
3/10/2015 | LMMU | Massachusetts HEFA defeases $63.11 million Tufts University bonds
|
3/10/2015 | LMMU | Mobile, Ala., pollution control revenue bonds have mandatory tender
|
3/10/2015 | EMLM | Telemovil plans to redeem 8% senior notes due 2017
|
3/10/2015 | CVLM | TowerJazz plans early conversion offer for series F convertible bonds
|
3/9/2015 | HYLM | Consol Energy tenders for any and all 8¼% notes, 6 3/8% notes
|
3/9/2015 | CAIGLM | CIBC to redeem all $1.1 billion 4.11% debentures due 2020
|
3/9/2015 | EULM | Enterprise Holdings plans tender offer to exchange bonds due 2017
|
3/9/2015 | LMPF | Enterprise Bancorp redeems $10.5 million 10.875% trust preferreds
|
3/9/2015 | HYLM | Moto Finance tenders for £176 million 10¼% second-lien notes due 2017
|
3/9/2015 | HYLM | Constantia announces change-of-control put option, expected redemption
|
3/9/2015 | IGLM | Apollo Investment repurchases all $150 million 5.25% notes due 2024
|
3/9/2015 | HYLM | Zayo Group to redeem remaining 8 1/8% notes with new issue proceeds
|
3/9/2015 | HYLM | Shea Homes tenders for any and all 8 5/8% secured notes due 2019
|
3/9/2015 | EULM | Unipol Gruppo offers to swap 5% notes due 2017, 4.375% notes due 2021
|
3/9/2015 | CAIGLM | Calloway REIT redeems C$150 million of 5.37% debentures via offering
|
3/9/2015 | LMPV | LabCorp: Covance prepays all $250 million notes following acquisition
|
3/9/2015 | HYLM | Crestwood Midstream Partners to redeem all 7¾% senior notes on April 8
|
3/9/2015 | HYLM | I.M. Skaugen to repurchase NOK 60 million of floating-rate bonds
|
3/9/2015 | IGLM | LabCorp: Covance prepays all $250 million notes following acquisition
|
3/9/2015 | LMMU | Orange County School, Fla., defeases 2007A COPs
|
3/9/2015 | LMMUPF | Western Asset Municipal Partners wraps tenders for 78.24% of preferreds
|
3/9/2015 | LMMU | Florida Board of Education to redeem 2005D capital outlay bonds
|
3/9/2015 | LMMU | Mississippi defeases $414.67 million from five series of G.O. bonds
|
3/9/2015 | LMMU | St. Louis County Parkway School, Mo., defeases $60.66 million G.O. bonds
|
3/9/2015 | HYLM | HealthSouth to redeem 8 1/8% notes due 2020 using new issue proceeds
|
3/9/2015 | LMMU | Waco, Texas, to redeem 2006, 2007 certificates, 2007 G.O.s
|
3/9/2015 | HYLM | Masonite to redeem $500 million 8¼% notes due 2021 via new notes issue
|
3/9/2015 | HYLM | Faurecia to retire €250 million 8¾% notes due 2019, refinance debt
|
3/9/2015 | IGLM | Aflac to redeem 8.5% senior notes due 2019 via new notes proceeds
|
3/9/2015 | HYLM | Arrow Global seeks consents to align terms of 7 7/8% notes due 2020
|
3/9/2015 | IGLM | Mondelez International ups tender cap to $2.5 billion, sets pricing
|
3/6/2015 | HYLM | Blyth to redeem $50 million 6% notes due 2017 at 106 on March 10
|
3/6/2015 | LMMUPF | Deutsche municipal trusts to maintain leverage by redeeming preferreds
|
3/6/2015 | CVLM | Shin Kong’s second issue convertible bonds putable March 25-April 23
|
3/6/2015 | HYLM | Ineos Finance to redeem $700 million of 8 3/8% senior secured notes
|
3/6/2015 | LMMU | University of Maryland to redeem auxiliary facility and tuition bonds
|
3/6/2015 | CAHYLM | Reliance Intermediate Holdings tenders for 9½% notes due 2019
|
3/6/2015 | LMMU | University of Washington defeases series 2005, 2007 revenue bonds
|
3/6/2015 | CLLM | Proventus plans to call six series of notes for redemption on March 16
|
3/6/2015 | CVDDLM | Petropavlovsk meets condition needed in exchange offer, consent bid
|
3/6/2015 | LMMU | Washington defeases various purpose G.O.s, motor vehicle fuel G.O.s
|
3/6/2015 | LMMU | East Bay Municipal Utility, Calif., defeases water system bonds
|
3/6/2015 | LMMU | South Carolina Public Service defeases tax-exempt, refunding bonds
|
3/6/2015 | DDLMMU | Ambac begins cash tender offer for insured Las Vegas Monorail bonds
|
3/6/2015 | HYLM | Prosafe buys NOK 240.5 million bonds at 101.9 via reverse Dutch auction
|
3/6/2015 | HYLM | Millicom seeks to conform SEK bonds to loan terms; meeting March 17
|
3/6/2015 | HYLM | Rottapharm to redeem €399.9 million 6 1/8% senior notes due 2019
|
3/5/2015 | CVLM | Beach Energy holders put back more than 90% of 3.95% convertibles
|
3/5/2015 | CVLM | Forest City holders agree to exchange $40.5 million 5% convertibles
|
3/5/2015 | HYLM | Cliffs increases amount of 7¾% notes to be issued in exchange offers
|
3/5/2015 | IGLM | Quest Diagnostics tenders for $250 million of 6.95% notes, 5.75% notes
|
3/5/2015 | LMMU | California Municipal Finance calls $78.08 million Azusa Pacific bonds
|
3/5/2015 | LMMU | Sacramento Transportation calls $106.1 million sales tax revenue bonds
|
3/5/2015 | HYLM | Thermo Electron to redeem all $200 million 5% notes due June 1, 2015
|
3/5/2015 | HYLM | Dean Foods to redeem all $476.19 million of 7% notes due June 1, 2016
|
3/5/2015 | CVDDHYLM | Norwegian Energy bondholders cancel meeting to OK hiring of advisers
|
3/5/2015 | EMLM | Bank of China redeems all RMB 9 billion subordinated bonds due 2020
|
3/5/2015 | LMMU | Fairfax County, Va., calls various water, public improvement bonds
|
3/5/2015 | LMMU | Texas Transportation calls $707.87 million 2005-A mobility fund G.O.s
|
3/5/2015 | CLLM | Mizuho Bank to buy €11 million Proventus notes in Dutch auction tender
|
3/5/2015 | HYLM | Jaguar to pay £1,115.75 in tender offer for 8¼% senior notes due 2020
|
3/5/2015 | IGLM | Altria wraps, prices tender for $792.54 million 9.7% notes due 2018
|
3/5/2015 | HYLM | GEO Debt, Geo Travel get consents to amend 7½% notes, 10 3/8% notes
|
3/5/2015 | HYLM | Newfield Exploration to redeem 6 7/8% notes due 2020 via new issue
|
3/5/2015 | IGLM | Quest Diagnostics tenders for $250 million of 6.95% notes, 5.75% notes
|
3/4/2015 | HYLM | Whiting gives results of required offer to purchase Kodiak Oil notes
|
3/4/2015 | CVLM | Lufthansa holders agree to exchange 99.99% of 0.75% exchangeables
|
3/4/2015 | IGLM | Ensco starts cash tender offer for any and all 3.25% notes due 2016
|
3/4/2015 | LMMU | New York Local Government Assistance partially calls 2003A, 1993 bonds
|
3/4/2015 | HYLM | GEO Debt gets holder consents to amend 7½% secured notes due 2018
|
3/4/2015 | IGLM | CME Group to repay 4.4% notes due 2018 with funds from new bonds
|
3/4/2015 | HYLM | Zayo to redeem $675 million 8 1/8% notes with proceeds from new notes
|
3/3/2015 | HYLM | Reynolds gives results for tender offers so far, extends premium offers’ early deadline
|
3/3/2015 | HYLM | Salamander Energy’s 9¾% bonds putable due to change of control
|
3/3/2015 | CVLM | TetraLogic to exchange $3.25 million of notes for common stock, cash
|
3/3/2015 | CVDDHYLM | Norwegian Energy bondholders, shareholders OK restructuring proposal
|
3/3/2015 | HYLM | Targa gets tenders for $4.78 million of Atlas Pipeline’s 6 5/8% notes in change-of-control offer
|
3/3/2015 | LMMU | San Jose Financing, Calif., calls $21.42 million 2008F revenue bonds
|
3/3/2015 | HYLM | Jaguar begins tender offer for $410 million 8 1/8% notes due 2021
|
3/3/2015 | LMMU | Chicago to redeem $201 million of 2002B Neighborhoods Alive 21 bonds
|
3/3/2015 | LMMU | Idaho Health defeases Trinity Health revenue and refunding bonds
|
3/3/2015 | HYLM | CDW intends to redeem $503.9 million of 8½% senior notes on April 2
|
3/3/2015 | LMMU | Golden State Tobacco contemplates redemption of series 2005A bonds
|
3/3/2015 | HYLM | Germany’s Unitymedia to redeem all 9½% notes due 2021 in April
|
3/3/2015 | EULM | Societe Generale accepts tenders for €289.65 million of Edenred bonds
|
3/3/2015 | HYLM | Campofrio calls all €500 million 8¼% notes for redemption on April 2
|
3/3/2015 | CVIGLM | Mylan seeks consents to amend filing requirements for notes
|
3/3/2015 | EMHYLM | Digicel receives tenders for $663.78 million of 8¼% notes due 2017
|
3/3/2015 | CVLM | TUI Travel to redeem all £400 million of 4.9% convertibles due 2017
|
3/2/2015 | CAIGLMPF | TD Bank calls 5.48% subordinated debentures, class A first preferreds
|
3/2/2015 | LMMU | Omaha Public Power defeases all $96.46 million 2007A revenue bonds
|
3/2/2015 | LMMU | Horry, S.C., school district defeases some 2006A G.O. refunding bonds
|
3/2/2015 | LMMU | Santa Clara Valley Transportation, Calif., defeases sales tax bonds
|
3/2/2015 | LMMU | California Public Works calls 2005C University of California bonds
|
3/2/2015 | IGLM | Citigroup begins tender offer for $1.53 billion of four notes series
|
3/2/2015 | EMIGLM | Korea’s Kookmin Bank gets consents to establish covered bond program
|
3/2/2015 | HYLM | Ridgebury to redeem $10 million 7 5/8% notes with excess balance
|
3/2/2015 | HYLM | RSI Home begins tender offer for $525 million 6 7/8% notes due 2018
|
3/2/2015 | HYLM | Viridian gets tenders for €726,000 more euro notes, redeems remainder
|
3/2/2015 | HYLM | Summit Materials to redeem $285 million 10½% notes at par on April 1
|
3/2/2015 | HYLM | E*Trade plans make-whole call for $800 million 6 3/8% notes due 2019
|
3/2/2015 | CVLM | Summit Financial to convert all series 2009, 2011 preferreds March 12
|
3/2/2015 | LMMUPF | Western Asset Managed Muni accepts tenders for 87.03% of preferreds
|
3/2/2015 | LMMU | Knoxville, Tenn., calls all $103.45 million 2005A wastewater bonds
|
3/2/2015 | CAIGLM | CIBC to redeem all series 29 noncumulative class A preferred shares
|
3/2/2015 | LMMU | Albany, N.Y., defeases 2008 civic facilities bonds, 2011 revenue bonds
|
3/2/2015 | LMMU | West Virginia Economic calls all $86 million of 2010A Ohio Power bonds
|
3/2/2015 | EMLM | VimpelCom Amsterdam tenders for up to $2.1 billion of eight notes
|
3/2/2015 | LMMU | San Francisco defeases five series of general obligation bonds
|
3/2/2015 | EMHYLM | VimpelCom Amsterdam tenders for up to $2.1 billion of eight notes
|
3/2/2015 | HYLM | ServiceMaster redeems remaining $200 million of 8% senior notes
|
3/2/2015 | LMMU | Connecticut Development’s power project bonds have mandatory tender
|
3/2/2015 | CAIGLM | Canadian Tire seeks to amend two note series, sets March 30 meeting
|
3/2/2015 | HYLM | Townsquare to redeem $410.9 million 9% notes at 106.75 on April 1
|
3/2/2015 | HYLM | Level 3 calls $500 million 9 3/8% senior notes due 2019 at 104.688
|
3/2/2015 | HYLM | Peabody Energy tenders for $650 million 7 3/8% senior notes due 2016
|
3/2/2015 | HYLM | Ineos calls $300 million of 8 3/8% notes, all floaters due 2019
|
2/27/2015 | EMLM | Russia’s Alliance Oil extends early consent deadline for 9 7/8% notes
|
2/27/2015 | HYLM | Unitymedia calls 10% of each of three series of notes due 2023
|
2/27/2015 | IGLM | Delphi plans to redeem all $500 million 6.125% notes due 2021
|
2/27/2015 | LMPF | Farmer Mac II calls all $250 million noncumulative perpetual preferreds
|
2/27/2015 | DDHYLMPV | ZaZa Energy, purchasers delay put date of notes due 2017 by 30 days
|
2/27/2015 | HYLM | Headwaters to redeem all 7 5/8% senior notes via term loan proceeds
|
2/27/2015 | EMLM | China’s Country Garden to redeem 11 1/8% notes on March 29 at 105.5625
|
2/27/2015 | IGLMPF | JPMorgan Chase Capital XXIX calls 6.7% series CC preferreds in full
|
2/27/2015 | LMMU | Ashfield seeks waiver, consents for Kirkwood, Mo., retirement community revenue bonds
|
2/27/2015 | CVDDHYLM | SandRidge may retire or buy back debt as tumbling oil price poses risk
|
2/27/2015 | ABLM | Lusitano Leverage calls all class X, subordinated backed notes due 2020
|
2/27/2015 | EMIGLM | Israel’s Teva ups tender purchase amount to $1.3 billion; pricing set
|
2/27/2015 | IGLM | Regions Bank to buy 77% of tendered 7.5% notes in oversubscribed offer
|
2/27/2015 | CVLM | Forest City to issue stock in exchange for $248.3 million convertibles
|
2/27/2015 | EMLM | Russia’s Metalloinvest gives put dates for three series of 0.01% bonds
|
2/27/2015 | HYLM | Cliffs offers new 7¾% notes due 2020 in exchange for four note series
|
2/27/2015 | HYLM | Greece’s S&B Minerals to redeem €275 million 9¼% notes in two stages
|
2/27/2015 | IGLM | Discovery to redeem $850 million 3.7% notes on March 31
|
2/27/2015 | HYLM | Aperam to redeem all $250 million of 7¾% notes on April 1
|
2/26/2015 | EMLM | China’s Country Garden to refinance 11 1/8% notes with issue proceeds
|
2/26/2015 | IGLM | Regions Bank prices tender offer for $250 million 7.5% notes due 2018
|
2/26/2015 | LMMU | West Valley-Mission CCD, Calif., defeases $32.19 million of G.O. bonds
|
2/26/2015 | HYLM | Targa Resources gets tenders for $1.14 billion Atlas Pipeline notes
|
2/26/2015 | EULM | GlobalConnect seeks amendments for 5.7% senior secured bonds due 2018
|
2/26/2015 | EULM | Iberdrola holders pass amendment for €525 million subordinated notes
|
2/26/2015 | LMMUPF | Nuveen Texas Quality Income to redeem all MuniFund term preferreds
|
2/26/2015 | LMMU | Illinois Finance’s SwedishAmerican revenue bonds have mandatory tender
|
2/26/2015 | LMMU | Iowa Higher Education calls $82.14 million of Wartburg revenue bonds
|
2/26/2015 | IGLM | Unitrin to redeem all $250 million of 6% notes due Nov. 30, 2015
|
2/26/2015 | HYLM | American Tire redeems all $425 million 11½% notes due 2018 at 102
|
2/26/2015 | HYLM | Unitymedia calls €65 million of 5½% senior secured notes due 2022
|
2/26/2015 | LMMU | Los Angeles International Airport defeases subordinate revenue bonds
|
2/26/2015 | HYLM | Prosafe considers repurchase of NOK 500 million bonds due 2016
|
2/26/2015 | DDHYLM | PA Resources gets bondholder OK to defer interest payments to March 31
|
2/26/2015 | HYLM | Baker & Taylor calls all $125.41 million 15% notes due April 1, 2017
|
2/26/2015 | DDHYLM | Trigon gets holder OK to extend SEK 350 million of 11% bonds to 2017
|
2/26/2015 | IGLM | Verizon gives early tender update in exchange offers for seven series
|
2/26/2015 | HYLM | CDW plans to retire $503.9 million remaining 8½% senior notes due 2019
|
2/26/2015 | EMLM | Mexico’s Cemex may redeem three note series using new issue proceeds
|
2/26/2015 | IGLM | Altria begins cash tender offer for $1.66 billion 9.7% notes due 2018
|
2/25/2015 | HYLM | Suburban Propane gets needed consents, calls remaining 7 3/8% notes
|
2/25/2015 | LMMUPF | Western Asset Intermediate Muni accepts tenders for 94.8% of preferreds
|
2/25/2015 | CAHYLM | GFL Environmental tenders for up to $50 million of 7½% notes due 2018
|
2/25/2015 | EMLM | Brazil’s Oi announces waiver fees for two issues of debentures
|
2/25/2015 | CVLM | Salix notifies 2.75% convertible holders of expected make-whole change
|
2/25/2015 | HYLM | Waste Management completes tender offer for five series of notes
|
2/25/2015 | IGLM | Verizon sets pricing in private exchange offers for seven note series
|
2/25/2015 | LMMU | Houston calls $45.51 million of 1998B, C Continental Airlines bonds
|
2/25/2015 | LMMU | West Virginia University calls $43.12 million of United Hospital bonds
|
2/25/2015 | LMMU | New York State Energy calls $100 million Niagara Mohawk revenue bonds
|
2/25/2015 | EULM | Atlantia ups tender cap again, buys back €1.02 billion of three series in oversubscribed offer
|
2/25/2015 | EULM | A2A accepts tenders for €258.18 million of 4.5% notes due 2016
|
2/25/2015 | CLLM | Grosvenor Place CLO I calls €41.5 million class F subordinated notes
|
2/25/2015 | EULM | BPCE to redeem €750 million of undated deeply subordinated notes
|
2/25/2015 | CVLM | Gecina calls all outstanding Ornanes; bonds convertible till March 13
|
2/25/2015 | EULM | Atlantia to buy back €1.02 billion of notes in oversubscribed offer
|
2/25/2015 | HYIGLM | Ally buys back $950 million of notes due 2020, 2031, lifts offer cap
|
2/25/2015 | HYLM | Suburban Propane gets needed consents to amend 7 3/8% senior notes
|
2/25/2015 | IGLM | Delhaize wraps tenders for $172.26 million 4.125% notes in capped offer
|
2/24/2015 | IGLM | Citigroup lifts tender cap for two note series, gives early update
|
2/24/2015 | CAIGLM | Industrial Alliance to redeem all series F preferreds for C$104 million
|
2/24/2015 | IGLM | Waste Management sets tender offer pricing for five series of notes
|
2/24/2015 | CVLM | Boyuan meeting for 10% convertibles holders adjourned to March 20
|
2/24/2015 | CVLM | TUI calls 2.75% convertibles; redemption triggered by stock price
|
2/24/2015 | HYLM | GEO Debt seeks consents for 7½% notes, Geo Travel for 10 3/8% notes
|
2/24/2015 | EULM | GEO Debt seeks consents for 7.5% notes, Geo Travel for 10.375% notes
|
2/24/2015 | HYLM | USG accepts tenders for $126 million of 8 3/8% senior notes due 2018
|
2/24/2015 | EULM | Societe Generale tenders for €300 million of Edenred’s 3.625% bonds
|
2/24/2015 | LMMU | Partners HealthCare, Mass., to make $15 million bids on F-2 bonds
|
2/24/2015 | LMMU | Fairfax County, Va., to redeem $141 million public improvement bonds
|
2/24/2015 | EMLM | China Oriental extends early deadline in tender offer for 7%, 8% notes
|
2/24/2015 | CVDDLM | Petropavlovsk convertible holders agree to refinancing; $186.33 million tendered in exchange
|
2/24/2015 | EMHYLM | Digicel starts cash tender offer for 8¼% senior notes due 2017
|
2/24/2015 | IGLM | Arrow to redeem $250 million 3.375% notes due 2015 on March 26
|
2/23/2015 | IGLM | Mondelez International tenders for $2 billion of 10 series of notes
|
2/23/2015 | CVLM | Merck gets no tenders in offer for three series of Cubist convertibles
|
2/23/2015 | DDHYLM | Norwegian Energy bondholders call meeting to OK hiring of advisers
|
2/23/2015 | IGLMPF | Protective Life calls all $103.09 million 6 1/8% debentures due 2034
|
2/23/2015 | CVLM | Hutchinson 8½% holders fail to exercise put, $7.5 million released
|
2/23/2015 | HYLM | Norske Skog de-leverages with issue of €290 million notes due 2019
|
2/23/2015 | EMLM | Russia’s Alliance Oil: Noteholders must keep $100,000 of 9 7/8% notes in consent solicitation
|
2/23/2015 | LMMU | New York City calls $310.92 million 2005J general obligation bonds
|
2/23/2015 | CLLM | Del Mar CLO announces March 9 redemption for $45.19 million of notes
|
2/23/2015 | EMLM | Philippines’ Petron plans to redeem 2010 preferreds on March 5
|
2/23/2015 | CLLM | Mizuho Bank begins Dutch auction tender offers for Proventus notes
|
2/23/2015 | LMMUPF | Western Asset Intermediate Muni gets tenders for 94.8% of preferreds
|
2/23/2015 | DDEMLM | Ferrexpo to issue $160.72 million new notes, pay cash in exchange offer
|
2/23/2015 | HYLM | I.M. Skaugen holders agree to extend NOK 209 million bonds to 2016
|
2/20/2015 | CVLM | XPO Logistics to issue stock, pay cash in conversion of 4.5% notes
|
2/20/2015 | LMPF | Heartland Financial calls $20 million floating-rate capital securities
|
2/20/2015 | EULM | Akelius Residential Property calls SEK 1 billion senior floaters
|
2/20/2015 | HYLM | Akelius Residential Property calls SEK 1 billion senior floaters
|
2/20/2015 | LMMU | Milpitas Redevelopment, Calif., calls series 2003 tax allocation bonds
|
2/20/2015 | ABLM | Themeleion Mortgage Finance calls €750 million mortgage-backed floaters
|
2/20/2015 | EULM | National Grid prices, wraps tenders for £295 million of seven series
|
2/20/2015 | LMMU | Palm Beach Solid Waste, Fla., defeases 2008B improvement revenue bonds
|
2/20/2015 | DDHYLM | DF Deutsche Forfait gets needed votes to restructure bonds due 2020
|
2/20/2015 | HYLM | Thomas Cook to buy €115.43 million 6¾% notes due 2015 in tender offer
|
2/19/2015 | CVLM | JKX Oil & Gas redeems $4 million of 8% convertibles due 2018
|
2/19/2015 | CVLM | Exchange Income to redeem in full 5.75% convertibles due 2016
|
2/19/2015 | LMMU | Nashville and Davidson County, Tenn., defeases G.O. refunding bonds
|
2/19/2015 | LMMU | Louisiana defeases 2006A, 2010B gasoline and fuels tax revenue bonds
|
2/19/2015 | LMMU | Dallas ISD defeases 2006, 2008 unlimited tax school building bonds
|
2/19/2015 | CLLM | Alzette European CLO plans to redeem 14 classes of notes due 2020
|
2/19/2015 | LMMU | Texas A&M University to redeem 2005A revenue financing system bonds
|
2/19/2015 | LMMU | Virginia Public School to redeem 1997 resolution school financing bonds
|
2/19/2015 | HYLM | Jaguar Land Rover tenders, seeks consents for 8¼% senior notes due 2020
|
2/19/2015 | HYLM | iHeartCommunications buys back $177.1 million of notes at discount
|
2/19/2015 | HYLM | Univision gets tenders for 95.42% of 6 7/8% notes, calls remainder
|
2/19/2015 | HYLM | Ball calls 6¾% senior notes due 2020, 5¾% senior notes due 2021
|
2/19/2015 | HYLM | Targa extends tender offers for three series issued by Atlas Pipeline
|
2/18/2015 | HYIGLM | Wynn Las Vegas completes tender offer for 7¾%, 7 7/8% notes due 2020
|
2/18/2015 | IGLM | Constellation Energy redeems in full $550 million 4.55% senior notes
|
2/18/2015 | LMMU | King County, Wash., defeases sewer revenue bonds, limited tax G.O.s
|
2/18/2015 | IGLM | Alabama Power calls all $250 million of 5.65% series DD notes due 2035
|
2/18/2015 | IGLM | GATX calls $250 million of 4.75% notes due May 15, 2035 in full
|
2/18/2015 | LMMU | L’Anse Creuse Public Schools, Mich., calls 2010B school building bonds
|
2/18/2015 | CVLM | Lufthansa offers JetBlue shares, cash in swap for 0.75% exchangeables
|
2/18/2015 | LMPF | Community West to redeem another $317,000 of 9% perpetual preferreds
|
2/18/2015 | CALMPF | Industrial Alliance plans to call 5.9% non-cumulative class A preferreds
|
2/18/2015 | EULM | A2A begins maximum tender offer for €761.59 million 4.5% notes due 2016
|
2/18/2015 | EULM | New South Wales Treasury prices, wraps tender for 5% notes due 2039
|
2/18/2015 | HYLM | Reynolds tenders for notes using expected $4.15 billion from SIG sale
|
2/18/2015 | IGLM | Waste Management tenders for $2.35 billion of notes in five series
|
2/18/2015 | HYLM | Norske Skog secures needed consents to amend 11¾% notes due 2016
|
2/17/2015 | CVDDHYLM | Norwegian Energy asks bondholders to approve restructuring proposal
|
2/17/2015 | HYLM | USG concurrently settling tender, bond offers under new SEC ruling
|
2/17/2015 | HYLM | Dean Foods to redeem unsecured notes due 2016 with offering proceeds
|
2/17/2015 | CVLM | First Community to redeem in full convertible preferreds on March 10
|
2/17/2015 | CVLM | Headwaters buys back nearly all 8.75% convertible notes due 2016
|
2/17/2015 | EMLM | Singapore’s Ascendas announces possible change-of-control redemption
|
2/17/2015 | IGLM | State Street subsidiary to redeem $900 million floating-rate notes
|
2/17/2015 | CVLM | Petropavlovsk refinancing plan faces opposition from shareholder group
|
2/17/2015 | LMMU | Indiana Finance’s 2010A, B Republic Services bonds subject to tender
|
2/17/2015 | LMMU | Nebraska Public Power defeases 2006A, 2007B, 2008B general revenue bonds
|
2/17/2015 | LMPF | Hercules Technology to redeem $20 million 7% senior notes due 2019
|
2/17/2015 | HYLM | Hercules Technology to redeem $20 million 7% senior notes due 2019
|
2/17/2015 | LMMU | New York State Urban Development calls $166.46 million revenue bonds
|
2/17/2015 | IGLM | International Paper calls all $195.92 million of 5.3% notes due 2015
|
2/17/2015 | HYLM | USG starts tender for its $350 million 8 3/8% senior notes due 2018
|
2/17/2015 | HYLM | Mizzen Bondco calls £10.6 million of its 7% senior notes due 2021
|
2/13/2015 | CVLM | Arcan exchanges two convertible series for 1.14 billion shares
|
2/13/2015 | CVDDHYLM | American Realty sets cure period for delivering financials under notes
|
2/13/2015 | EULM | JPMorgan calls €750 million fixed-to-floating subordinated notes
|
2/13/2015 | HYLM | Big Heart Pet Brands to redeem 7 5/8% notes at 101.906 on March 16
|
2/13/2015 | IGLM | Lazard to redeem $450 million of 6.85% senior notes due June 15, 2017
|
2/13/2015 | EMLM | Intercorp Peru gets tenders for 95% of 8 5/8% notes, calls remainder
|
2/13/2015 | LMMU | Dasny to redeem all 2005F state personal income tax revenue bonds
|
2/13/2015 | LMMU | New York State Thruway calls $127.47 million personal income tax bonds
|
2/13/2015 | HYLM | Ethan Allen issues call to redeem $129.4 million 5 3/8% notes due 2015
|
2/13/2015 | EMLM | Malaysia’s LBS Bina redeems remaining tranche 5 sukuk due 2016
|
2/13/2015 | EMLM | Russia’s Alliance Oil terminates prior solicitation, starts new offer/consent bid for 9 7/8% notes
|
2/13/2015 | HYLM | Steel Dynamics calls all $350 million of 7 5/8% senior notes due 2020
|
2/13/2015 | LMMU | Illinois Finance defeases five series of Rush University revenue bonds
|
2/13/2015 | LMMU | West Virginia Economic calls $86 million of 2010A Ohio Power bonds
|
2/13/2015 | EULM | Atlantia begins tender offer for €750 million of three note series
|
2/13/2015 | CVLM | Frontline buys back $33.3 million 4.5% convertibles due 2015 at 99
|
2/13/2015 | HYLM | Viridian buys €195.82 million, $182.74 million 11 1/8% notes in tender
|
2/12/2015 | EMLM | China's Xinyuan Real Estate gets consents to amend 13¼%, 13% notes
|
2/12/2015 | EMLM | Brazil’s Oi gets OK for restructuring, temporary covenant waiver, fee
|
2/12/2015 | EMLM | Alicorp accepts total tenders for $89.16 million of 3 7/8% notes
|
2/12/2015 | LMMU | Dasny to partially redeem 2005 state personal income tax revenue bonds
|
2/12/2015 | CVLM | Sinopec to redeem RMB 52.78 million convertibles on Feb. 17
|
2/12/2015 | IGLM | Regions Bank begins tender offer for $250 million 7.5% notes due 2018
|
2/12/2015 | LMMU | San Jose Unified School District, Calif., defeases G.O. bonds
|
2/12/2015 | EMLM | Promsvyazbank completes Dutch auction tender for three series of notes
|
2/12/2015 | EMLM | RA Holding Mudareb OKs redemption of $150 million sukuk certificates
|
2/12/2015 | LMMU | Massachusetts defeases F5, G5 Partners HealthCare revenue bonds
|
2/12/2015 | LMMU | Atlanta calls $710.21 million of 2001A, 2004 water, wastewater bonds
|
2/12/2015 | IGLM | Ares Capital to redeem all $143.75 million of 7% senior notes due 2022
|
2/12/2015 | HYLM | Rexel announces planned redemption of all 7% senior notes due 2018
|
2/12/2015 | LMMU | Texas Water calls 2004 water financial assistance G.O. bonds
|
2/12/2015 | HYLM | Associated Asphalt revises redemption of $18.5 million 8½% notes
|
2/12/2015 | LMMU | University of Colorado Hospital defeases $53 million 2006A bonds
|
2/12/2015 | HYLM | Alliant Techsystems to redeem $350 million 6 7/8% notes on March 11
|
2/12/2015 | LMMU | Pennsylvania Higher Educational calls Thomas Jefferson revenue notes
|
2/12/2015 | CLLM | NZCG Funding intends to redeem class A, class B notes on Feb. 25
|
2/12/2015 | EULM | National Grid begins tender offer for £250 million of seven note series
|
2/12/2015 | EULM | New South Wales Treasury begins tender offer for £250 million 5% notes
|
2/12/2015 | EMIGLM | Teva Pharmaceutical tenders for up to $1 billion of four note series
|
2/12/2015 | HYLM | Navient sets price in oversubscribed offer for $500 million 6¼% notes
|
2/11/2015 | CVLM | Paladin Energy to repurchase $300 million 3.625% convertibles due 2015
|
2/11/2015 | CVLM | Arcan to close exchange of 6.25%, 6.5% convertibles on Feb. 13
|
2/11/2015 | IGLM | Verizon starts private exchange offers involving seven series of notes
|
2/11/2015 | EMLM | Oversea-Chinese Banking unit calls S$400 million 3.93% preference shares
|
2/11/2015 | HYIGLM | Omega Healthcare calls all $200 million of 7½% senior notes due 2020
|
2/11/2015 | LMMU | Montgomery, Pa., calls all $107.95 million of 2005 Whitemarsh bonds
|
2/11/2015 | LMMU | Pasco School, Wash., defeases $60.29 million unlimited tax G.O. bonds
|
2/11/2015 | ABCALM | RBC exercises option on Ccarat II series 2011-2 auto loan-backed notes
|
2/11/2015 | EULM | BPCE to redeem €1 billion subordinated fixed-to-floaters on March 17
|
2/11/2015 | EULM | Intesa Sanpaolo exercises call on full €272 million of notes due 2020
|
2/11/2015 | EUIGLM | BPCE to redeem €1 billion subordinated fixed-to-floaters on March 17
|
2/11/2015 | HYLM | Univision begins tender offer for $1.2 billion 6 7/8% notes due 2019
|
2/11/2015 | HYLM | Thomas Cook begins tender offer for 6¾% guaranteed notes due 2015
|
2/11/2015 | EMLM | Russian Standard gets needed votes at meeting to amend 10¾% notes
|
2/11/2015 | HYLM | KB Home plans to retire 6¼% senior notes due 2015 via new notes issue
|
2/11/2015 | EMLM | Dar Al-Arkan buys back $63.03 million of 10¾% sukuk due Feb. 18
|
2/10/2015 | HYLM | Cogent to redeem $240 million 8 3/8% notes on March 12 at 104.188
|
2/10/2015 | LMMU | Main Street Natural Gas’ 2010A revenue bonds have mandatory tender
|
2/10/2015 | LMMU | National Public Radio, D.C., calls $75 million of 5% bonds due 2043
|
2/10/2015 | CVLM | Vicwest gets holder approval to redeem 5.25% convertible debentures
|
2/10/2015 | ABLM | Nelnet intends to redeem various student loan asset-backed notes
|
2/10/2015 | LMMU | Texas Transportation to redeem its 2002 Central Texas Turnpike bonds
|
2/10/2015 | IGLM | Delhaize accepts tenders for $447.79 million 6.5%, 4.125% notes so far
|
2/10/2015 | HYLM | Suburban Propane begins tender offer for 7 3/8 % senior notes
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2/10/2015 | IGLM | Lazard to repay $450 million of notes due 2017 with new deal proceeds
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2/10/2015 | HYIGLM | Ally starts tenders for $900 million total of notes due 2020, 2031
|
2/10/2015 | HYIGLM | Wynn Las Vegas tenders for all of 7¾%, 7 7/8% notes due 2020
|
2/9/2015 | EMLM | China Oriental tenders, solicits consents for 7% notes and 8% notes
|
2/9/2015 | IGLM | Delhaize sets pricing in tender for up to $450 million 6.5%, 4.125% notes
|
2/9/2015 | HYLM | Constellium gets no tenders in offer for Wise’s 9¾/10½% notes due 2019
|
2/9/2015 | IGLM | Citigroup begins tender offer for $380 million of three notes series
|
2/9/2015 | EULM | Danske Bank exercises call on €700 million fixed/floaters due 2018
|
2/9/2015 | IGLM | Danske Bank exercises call on €700 million fixed/floaters due 2018
|
2/9/2015 | LMMU | Texas Transportation to redeem its 2002-A, 2012-B turnpike bonds
|
2/9/2015 | LMMU | Glendale Municipal Property calls $94.62 million excise tax bonds
|
2/9/2015 | LMMU | Colorado Health calls $55 million of 2005F hospital revenue bonds
|
2/9/2015 | HYLM | I.M. Skaugen seeks to extend NOK 209 million bonds to June 30, 2016
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2/9/2015 | EMLM | Russia’s Alliance Oil seeks to amend $350 million 9 7/8% notes due 2015
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2/9/2015 | LMMU | Washington Health defeases $78.6 million 2009 Seattle Children’s bonds
|
2/9/2015 | HYLM | Cogent plans to redeem $240 million 8 3/8% notes with new notes issue
|
2/9/2015 | CAHYLM | Tim Hortons to settle all early tenders in offers for three note series
|
2/9/2015 | HYLM | Norske Skog amends exchange offers for four series, extends by one day
|
2/6/2015 | LMMU | Washington defeases series R-2007C, 2009A various purpose G.O. bonds
|
2/6/2015 | IGLM | Thermo Fisher issues call to redeem all $250 million 5% notes due 2015
|
2/6/2015 | EMLM | Hong Kong’s Shimao Property to redeem all 11% notes due 2018
|
2/6/2015 | CVLM | Take-Two Interactive's 1.75% notes may be converted by March 31
|
2/6/2015 | DDHYLM | Trigon seeks to extend maturity of SEK 350 million 11% bonds to 2017
|
2/6/2015 | LMMU | New York State Energy calls $100 million 1985A Niagara Mohawk bonds
|
2/6/2015 | DDEMLM | Ferrexpo extends exchange for 7 7/8% notes due 2016, lifts cash pay
|
2/6/2015 | CVLM | Golar LNG may repurchase up to $50 million convertibles until year-end
|
2/6/2015 | HYLM | Smithfield wraps early tenders in oversubscribed offers for four series
|
2/5/2015 | HYLM | Barminco buys back $42 million of 9% notes due 2018
|
2/5/2015 | LM | Capital Bank begins consent solicitation for contingent value rights
|
2/5/2015 | HYLM | North Atlantic Drilling amends bonds; Seadrill now provides guarantee
|
2/5/2015 | LMMU | River Islands Public Financing calls $43.84 million special tax bonds
|
2/5/2015 | EULM | Credit Agricole cuts coupon of $100 million callable fixed-rate notes
|
2/5/2015 | LMMU | Cass County, N.D., calls $33 million of 2007 Tharaldson Ethanol bonds
|
2/5/2015 | LMMU | San Diego County Water defeases series 2004A, 2008A water revenue COPs
|
2/5/2015 | LMMU | California defeases $634.44 million of 2009A economic recovery bonds
|
2/5/2015 | EMLM | Singapore’s Hyflux receives consents to amend five series of notes
|
2/5/2015 | EULM | EIB runs one-day tender offers for £500.25 million of two bond series
|
2/5/2015 | EMLM | Cellcom Israel agrees to exchange more notes at recent offer terms
|
2/5/2015 | HYLM | Unify Germany to redeem all 10¾% notes due 2015 on March 9
|
2/5/2015 | HYLM | Norske Skog fails to meet exchange threshold, may review options
|
2/5/2015 | EMLM | Russia’s Severstal to buy $221.39 million of notes in tender offer
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2/4/2015 | HYLM | National Mentor plans to redeem all $50 million 12½% notes due 2018
|
2/4/2015 | CVLM | Microchip to repay convertible debt via new convertibles offering
|
2/4/2015 | HYLM | UPCB Finance II to redeem €560 million of 6 3/8% notes due 2020
|
2/4/2015 | EULM | Stadshypotek buys back SEK 200 million of series 43 tranche 1 floaters
|
2/4/2015 | EMLM | Philippines’ San Miguel Pure Foods to redeem PHP 15 billion preferreds
|
2/4/2015 | EULM | Iberdrola seeks consents for €525 million subordinated reset rate notes
|
2/4/2015 | EMLM | Promsvyazbank tenders for $250 million of three series by Dutch auction
|
2/4/2015 | DDEMLM | Ferrexpo extends early payment in exchange for 7 7/8% notes due 2016
|
2/4/2015 | EMLM | Russian Standard lifts late consent fee in bid to amend 10¾% notes
|
2/3/2015 | LMMU | Washington Health defeases $88.76 million Children’s Hospital bonds
|
2/3/2015 | HYLM | Chiquita begins change-of-control tender offer for 7 7/8% notes
|
2/3/2015 | LMPF | Denali Fund to redeem all $21.95 million series A auction preferreds
|
2/3/2015 | CAIGLM | RioCan calls all C$225 million of 4.499% series O debentures due 2016
|
2/3/2015 | HYIGLM | Omega Healthcare to repay $200 million 7½% notes via stock proceeds
|
2/3/2015 | EULM | Weifa repurchases NOK 50 million of 5.6% bonds due 2019
|
2/3/2015 | EMLM | Cellcom Israel completes exchange offer for two series of debentures
|
2/3/2015 | BKDDHYLM | Boart Longyear gets new $225 million loan, buys back 10% secured notes
|
2/3/2015 | LMPF | Deutsche Bank Capital Funding Trust XI to redeem its 9½% preferreds
|
2/3/2015 | HYLM | Gentiva Health Services calls all $325 million 11½% notes due 2018
|
2/3/2015 | HYLM | American Tire to redeem 11½% notes due 2018 with new bond proceeds
|
2/3/2015 | LMPV | Euronav to redeem $235.5 million mezzanine bond on Feb. 19
|
2/2/2015 | EMLM | China's Xinyuan Real Estate seeks consents to amend 13¼%, 13% notes
|
2/2/2015 | CVLM | Arcan obtains holder approval to exchange 6.25%, 6.5% convertibles
|
2/2/2015 | CAIGLM | RioCan calls all $100 million of 4.1% series N debentures due 2015
|
2/2/2015 | CVDDLM | Petropavlovsk launches underwritten rights issue, convertible bond
|
2/2/2015 | IGLM | Nordea Bank intends to redeem $1 billion of 8.375% notes on March 25
|
2/2/2015 | EULM | BNP Paribas accepts €282.3 million of Enagas’ 4¼% notes in tender
|
2/2/2015 | EMLM | China Everbright Water holders put S$21.75 million of 7½% notes
|
2/2/2015 | CVLM | Dongfang Electric calls all outstanding convertible bonds at par
|
2/2/2015 | EMLM | Russia’s Severstal increases price on offer for $600 million of notes
|
2/2/2015 | HYLM | Norske Skog sets minimum response in exchange, raises cash payment
|
2/2/2015 | HYLM | Targa reveals Atlas tender results, extends one series’ early deadline
|
1/30/2015 | IGLM | Safeway announces results of offer for 5%, 3.95% and 4.75% notes
|
1/30/2015 | HYLM | Central Garden & Pet calls $50 million of 8¼% senior subordinated notes
|
1/30/2015 | LMPF | BRE Select says MacKenzie offer is below last redemption of preferreds
|
1/30/2015 | HYLM | Kindred’s bondholders agree to amendments to 6 3/8% notes due 2022
|
1/30/2015 | HYIGLM | SEC takes ‘no action’ stance on five-business-day tender offers
|
1/30/2015 | LMMU | Pennsylvania’s Holy Spirit Hospital approved to amend its 2011B bonds
|
1/30/2015 | LMMU | West Virginia defeases 1996D, 1998A and 2006 general obligation bonds
|
1/30/2015 | HYLM | American Media to buy back 11½% notes due 2017 via asset sale proceeds
|
1/30/2015 | EULM | Clydesdale fails to pass amendments to regulated covered bonds series
|
1/30/2015 | LMMU | West Carolina Regional, S.C., calls 2005 sewer system revenue bonds
|
1/30/2015 | LMMU | Austin calls full $66.48 million of 2005 public improvement bonds
|
1/30/2015 | LMMU | Ohio defeases $120.14 million higher education, common schools G.O.s
|
1/29/2015 | CVLM | Micron Technology to use note proceeds to repurchase convertibles
|
1/29/2015 | EMIGLM | Korea’s Kookmin Bank seeks consents to establish covered bond program
|
1/29/2015 | CVHYLM | Meritor board approves up to $150 million debt repurchase program
|
1/29/2015 | IGLM | Albemarle collects needed consents to amend Rockwood’s 4.625% notes
|
1/29/2015 | CVLM | Quantum buys back $50 million 3.5% convertible notes due 2015
|
1/29/2015 | HYLM | Baytex Energy revises redemption notice for $7.9 million 9 7/8% notes
|
1/29/2015 | HYLM | Lear to redeem all $245 million 8 1/8% notes at 104.063 on March 15
|
1/29/2015 | LMMU | California to redeem $199.23 million of various purpose G.O. bonds
|
1/29/2015 | LMMU | North Carolina to redeem 2005A G.O. public improvement bonds in full
|
1/29/2015 | ABLM | Silk Road Finance calls all class A1 mortgage-backed floaters due 2052
|
1/29/2015 | HYLM | Peel South East calls all 12½% first mortgage debenture stock due 2020
|
1/29/2015 | HYLM | Eden Springs to exchange €35 million of €76.3 million notes tendered
|
1/29/2015 | HYLM | Oshkosh calls all $250 million 8½% senior notes due 2020 at 104.25
|
1/29/2015 | HYLM | Navient begins Dutch auction tender for $500 million of 6¼% notes
|
1/29/2015 | CVLM | Temple Hotels begins issuer bids to purchase four convertible series
|
1/29/2015 | EMLM | Cosan Overseas scraps tender offer for 8¼% perpetual notes
|
1/28/2015 | LMSP | Barclays extends consent bid for iPath commodities ETNs by two months
|
1/28/2015 | EULM | Atlantia accepts tenders for nearly all Romulus Finance’s 5.441% notes
|
1/28/2015 | LMMU | Oregon Department of Administrative Services defeases lottery bonds
|
1/28/2015 | LMMU | Arizona Transportation defeases 2006, 2008A, 2008B revenue bonds
|
1/28/2015 | LMMU | Michigan State Hospital defeases $66.75 million 2007A Oakwood bonds
|
1/28/2015 | EULM | Ringkjobing Landbobank calls Kr. 200 million of hybrid core capital
|
1/28/2015 | HYLM | Viridian tenders for €313 million, $250 million 11 1/8% notes due 2017
|
1/28/2015 | EMLM | Intercorp Peru tenders for $250 million 8 5/8% secured notes due 2019
|
1/28/2015 | HYLM | Speedway Motorsports to redeem all 6¾% notes due 2019 on March 13
|
1/28/2015 | CVLM | InnVest REIT calls C$36.4 million 6.75% notes; holders may convert
|
1/28/2015 | HYLM | Kindred extends bid to amend 6 3/8% notes due 2022, lifts consent fee
|
1/28/2015 | EMLM | Cellcom Israel lifts cap, exchange terms in offer to swap out notes
|
1/27/2015 | IGLM | Safeway again extends offer to purchase 5%, 3.95% and 4.75% notes
|
1/27/2015 | LMPF | Atlas Pipeline calls 8.25% class E cumulative perpetual preferreds
|
1/27/2015 | EMLM | Singapore’s Olam International calls $750 million 6¾% bonds due 2018
|
1/27/2015 | EMLM | Peru’s Alicorp extends early tender premium in offer for 3 7/8% notes
|
1/27/2015 | EMLM | Brazil’s Oi seeks holder approval for use of sale proceeds, leverage
|
1/27/2015 | LMMU | Oregon Department of Transportation defeases highway user tax bonds
|
1/27/2015 | HYLM | Amlin calls $50 million 7.28% fixed-to-floating subordinated bonds
|
1/27/2015 | LMMU | Ohio to redeem $118.82 million of 2006A common schools G.O. bonds
|
1/27/2015 | CVLM | Derwent holders convert all 2.75% convertibles ahead of redemption
|
1/27/2015 | HYLM | Unify Germany Holdings accepts €12.5 million 10¾% notes in tender
|
1/27/2015 | CVLM | China Petroleum to redeem RMB 23 billion convertibles on Feb. 11
|
1/27/2015 | IGLM | Delhaize tenders for up to $450 million of 6.5%, 4.125% senior notes
|
1/26/2015 | HYLM | American Media issues $39 million 7% notes in exchange for 11½% notes
|
1/26/2015 | CALMMU | Blue Water Bridge Authority gets holder consent to amend series 2010-A and 6.41% revenue bonds
|
1/26/2015 | HYLM | Baytex to redeem entire $7.9 million 9 7/8% senior notes due 2017
|
1/26/2015 | EULM | Atlantia increases purchase price for Romulus Finance’s 5.441% notes
|
1/26/2015 | EMLM | Malaysia-based Paramount’s KDU unit redeems RM 21.6 million sukuk
|
1/26/2015 | CVDDLM | Up Energy seeks to extend convertibles until 2018, offers 5% in return
|
1/26/2015 | CVLM | Press Metal calls portion of 6% convertible secured loan stocks
|
1/26/2015 | CVLM | Gagfah takeover offer causes change of control for 1.5% convertibles
|
1/26/2015 | CVLM | China Petroleum & Chemical plans to redeem RMB 23 billion convertibles
|
1/26/2015 | CVLM | China’s ICBC calls convertibles at 100.629 due to stock price trigger
|
1/26/2015 | EULM | Credit Agricole solicits consents to cut coupon on $100 million notes
|
1/26/2015 | EMLM | Philippines’ International Container offers to exchange 7 3/8% notes for new 5 7/8% notes
|
1/26/2015 | HYLM | UPC calls 8 3/8% notes; UPCB Finance calls 7 5/8% notes at 103.813
|
1/26/2015 | HYLM | Express calls $200.9 million of 8¾% senior notes due 2018 at 102.188
|
1/26/2015 | CAHYLM | Tim Hortons begins cash tender offers for three series of senior notes
|
1/26/2015 | HYLM | Cliffs Natural Resources buys back $200 million of notes at about 66
|
1/23/2015 | DDHYLMPV | ZaZa Energy still trying to refinance 10% notes, delay put option date
|
1/23/2015 | HYLM | Columbus McKinnon calls 7 7/8% senior subordinated notes at 103.938
|
1/23/2015 | HYLM | Smithfield Foods begins capped tender offers for four series of notes
|
1/23/2015 | LMMU | San Angelo ISD, Texas, defeases $96.59 million of 2009A school bonds
|
1/23/2015 | LMMU | Miami-Dade County, Fla., defeases 2005 general obligation bonds
|
1/23/2015 | HYLM | American Tire calls $425 million 11½% senior notes due 2018 in full
|
1/23/2015 | DDHYLM | DF Deutsche Forfait lacks quorum in vote to restructure bonds due 2020
|
1/23/2015 | EULM | Gtech wraps tenders for €704.51 million interest-deferrable notes
|
1/23/2015 | EULM | BNP Paribas tenders for up to €250 million of Enagas 4¼% notes due 2017
|
1/23/2015 | HYLM | Norske Skog begins exchange offers, consent bids for four note series
|
1/22/2015 | EMLM | Korea's Shinhan Bank calls $300 million 5.663% hybrid securities
|
1/22/2015 | IGLM | Safeway once more extends offer to purchase 5%, 3.95% and 4.75% notes
|
1/22/2015 | DDLMMU | Oconee Regional Medical Center, Ga., solicits consents for 1998 bonds
|
1/22/2015 | HYLM | Hurtigruten exercises full call option for senior bonds due 2017
|
1/22/2015 | CAIGLM | Bank of Montreal calls C$400 million series 23 preferreds in full
|
1/22/2015 | LMMUPF | Western Asset municipal funds begin tender offers for preferreds
|
1/22/2015 | CVLM | Boyuan seeks to extend 10% convertibles to 2018, trim conversion price
|
1/22/2015 | LMMU | Miami-Dade County School Board, Fla., defeases its 2007A, 2007B COPs
|
1/22/2015 | HYLM | Associated Asphalt to redeem $18.5 million of 8½% notes due 2018
|
1/22/2015 | LMMU | St. Joseph County, Ind., calls $195.11 million of Notre Dame bonds
|
1/22/2015 | CVLM | Merck tenders for three series of Cubist convertibles following merger
|
1/22/2015 | HYLM | Norske Skog will offer to exchange existing bonds for cash, new notes
|
1/22/2015 | EULM | Enel to issue €1.46 billion 1.966% notes in exchange offer; pricing set
|
1/22/2015 | EULM | BBVA accepts all €527.65 million of tendered notes issued by Iberdrola
|
1/22/2015 | EMLM | Kazakhstan’s KazMunayGas buys back KZT 8 billion of bonds due 2019
|
1/22/2015 | LMMU | St. Johns County School, Fla., defeases 2006 master lease program bonds
|
1/22/2015 | EMLM | Philippines’ International Container accepts tenders for $229.84 million of 8 3/8% perpetuals
|
1/22/2015 | HYLM | Speedway Motorsports to draw on credit facility for notes buyback
|
1/22/2015 | HYLM | Deluxe plans to redeem $200 million 7% senior notes due 2019
|
1/22/2015 | HYLM | North Atlantic Drilling seeks to amend NOK 1.5 billion 2018 bonds; Seadrill offers guarantee
|
1/22/2015 | HYLM | Koppers scraps tender offer for 7 7/8% notes after postponing new issue
|
1/22/2015 | CLLM | Harbourmaster CLO 11 redeems all notes after notice from C holders
|
1/22/2015 | HYLM | Eden Springs sets new note coupon at 8% in exchange for floaters
|
1/22/2015 | HYLM | HSS calls £64 million of 6¾% senior secured notes due 2019
|
1/21/2015 | HYLM | Telecom Italia gives final results in tender offer for four note series
|
1/21/2015 | LMMU | Texas Water calls $31.68 million of 2007A state revolving fund bonds
|
1/21/2015 | CAIGLMPF | TD Bank calls outstanding class A first preferred shares, series P, Q
|
1/21/2015 | EMLM | Malaysia’s Maybank buys back some 6% callable capital securities
|
1/21/2015 | EULM | World Bank redeems £17.78 million of 5.75% notes due 2032
|
1/20/2015 | EMLM | RA Holding Mudareb to redeem $124.5 million of sukuk certificates
|
1/20/2015 | EULM | Gtech holders vote to amend interest-deferrable notes at meeting Monday
|
1/20/2015 | IGLMPF | Deutsche Bank Capital Funding calls 6.625% class B trust preferreds
|
1/20/2015 | EULM | Atlantia begins tender offer for Romulus Finance’s 5.441% notes
|
1/20/2015 | LMPF | Eastern Virginia Bankshares redeems $5 million series A preferreds
|
1/20/2015 | CVLM | Ingenico: 99.9% of Oceanes due 2017 converted before early redemption
|
1/20/2015 | HYLM | PGH Capital to issue £428.11 million of 6 5/8% notes in exchange offer
|
1/20/2015 | EMLM | Russian Standard begins another consent bid for $350 million 10¾% notes
|
1/20/2015 | EULM | Enel sets minimum spread for new 10-year notes in exchange offer
|
1/20/2015 | IGLM | Albemarle solicits consents to amend 4.625% notes issued by Rockwood
|
1/20/2015 | EMLM | Russia’s Severstal extends tender for $600 million of two note series
|
1/20/2015 | DDEMLM | Ferrexpo offers cash, new notes in exchange for 7 7/8% notes due 2016
|
1/20/2015 | EMLM | Cellcom Israel gives details on exchange offer for two series of notes
|
1/16/2015 | LMPF | Pimco Corporate & Income Fund to tender for auction-rate preferreds
|
1/16/2015 | ABLM | Southern Pacific gets consents for class E mortgage-backed floaters
|
1/16/2015 | CVLM | XPO Logistics converts $17 million of 4.5% senior notes due 2017
|
1/16/2015 | CVLM | Photronics swaps $57.5 million convertibles due 2016 for new convertibles due 2019
|
1/16/2015 | CLLM | Carlyle Bristol CLO gives redemption notice for subordinated notes
|
1/16/2015 | LMMU | San Diego County calls $68.77 million certificates of participation
|
1/16/2015 | LMMU | Hawaii Budget and Finance calls $190.46 million Queen’s Health bonds
|
1/16/2015 | LMMU | Orange County, Fla., school board defeases $145.22 million COPs
|
1/16/2015 | LMMU | Johns Hopkins University calls $150 million of 2009A taxable bonds
|
1/16/2015 | CLLM | Cheyne to redeem five floating-rate, subordinated series on Feb. 27
|
1/16/2015 | LMMU | Houston ISD calls $190.55 million 2003 limited tax schoolhouse bonds
|
1/16/2015 | HYLM | ServiceMaster to redeem $190 million of 8% notes due 2020 at 106
|
1/16/2015 | CVLM | Banca Popolare di Vicenza holds meeting for 5% convertibles due 2018
|
1/16/2015 | IGLM | Kommuninvest calls $100 million series 1689 tranche 1 notes due 2017
|
1/15/2015 | CVLM | Crombie REIT to redeem all C$45 million 5.75% convertibles due 2017
|
1/15/2015 | LMMU | Massachusetts School Building defeases $104.88 million sales tax bonds
|
1/15/2015 | EMEULM | Investec Finance calls all 7¾% guaranteed subordinated step-up notes
|
1/15/2015 | HYLM | Investec Finance calls all 7¾% guaranteed subordinated step-up notes
|
1/15/2015 | HYLM | Paragon Offshore buys back $11 million more 6¾% notes and 7¼% notes
|
1/15/2015 | HYLM | Eden Springs offers fixed-rate notes for €35 million of floaters
|
1/15/2015 | HYLM | Targa begins tendering for Atlas Pipeline notes related to merger
|
1/15/2015 | CVLM | Qiagen receives tenders for all 1.5% convertibles under split option
|
1/15/2015 | EMIGLM | Abbott receives tenders for $1.2 million more of CFR’s 5.125% notes
|
1/15/2015 | CAHYLM | Valeant Pharmaceuticals calls $499.58 million 6 7/8% notes in full
|
1/15/2015 | HYLM | Kindred seeks to amend 6 3/8% notes to align with new 8%, 8¾% notes
|
1/15/2015 | EMLM | Cellcom Israel eyes exchange offer for about NIS 430 million of notes
|
1/14/2015 | DDLMPF | Depfa parent to tender for three series of perpetual preferred securities
|
1/14/2015 | EULM | BBVA tenders for up to €500 million across three series issued by Iberdrola
|
1/14/2015 | IGLM | Brocade Communications to redeem in full 6.875% notes due 2020
|
1/14/2015 | LMMU | Keller ISD, Texas, defeases 2005 ULT refunding, school building bonds
|
1/14/2015 | LMMU | American Municipal Power-Ohio defeases 2008A, 2009A Prairie State bonds
|
1/14/2015 | LMMU | Energy Northwest, Wash., defeases its 2006 wind project revenue bonds
|
1/14/2015 | EMLM | Russia’s Severstal tenders for up to $600 million of two note series
|
1/14/2015 | EULM | Enel Finance begins exchange offer for six euro-denominated note series
|
1/14/2015 | HYLM | Level 3 plans to redeem $500 million 9 3/8% senior notes due 2019
|
1/14/2015 | HYLM | Sunrise Communications announces note redemptions linked to IPO plan
|
1/14/2015 | HYLM | Koppers starts cash tender offer for 7 7/8% senior notes due 2019
|
1/13/2015 | HYLM | Troax seeks bondholder approval to amend floating-rate bonds due 2020
|
1/13/2015 | CAHYLM | Tim Horton’s wraps change-of-control offer for 4.2%, 4.52%, 2.85% notes
|
1/13/2015 | HYLM | PGH Capital offers to exchange 6.5864% fixed-to-floating perpetuals
|
1/13/2015 | GNHYLM | Arise purchases SEK 18 million of senior floaters due 2017 at 100.4
|
1/13/2015 | CAHYLM | Lanesborough REIT calls all C$6 million of 9% second mortgage bonds
|
1/13/2015 | CALMMU | Blue Water Bridge Authority to seek holder consent to amend series 2010-A and 6.41% revenue bonds
|
1/13/2015 | HYLM | Matterhorn receives consents to amend six note series for acquisition
|
1/13/2015 | EMLM | Singapore’s Hyflux solicits consents to amend five note series
|
1/13/2015 | HYLM | Telecom Italia sets size of tender offer for notes at €600 million
|
1/13/2015 | HYLM | SunCoke Energy Partners to assume, redeem $135 million SunCoke notes
|
1/13/2015 | IGLM | Southern California Edison to redeem 5% bonds with new deal proceeds
|
1/13/2015 | EMLM | Mexico to pay $2 billion in one-day tender for 10 series of notes
|
1/13/2015 | EMLM | Evraz holders tender $850,000 more 8¼% notes due 2015 by end of offer
|
1/13/2015 | HYLM | Ardagh Glass calls 8¾% senior notes due 2020 for redemption
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1/12/2015 | IGLM | Safeway again extends offer to purchase 5%, 3.95% and 4.75% notes
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1/12/2015 | EMLM | Singapore’s Halcyon gets consents to amend 6½% notes due 2019
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1/12/2015 | LMMU | MSD Warren Township, Ind., redeems $61.15 million Vision 2005 bonds
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1/12/2015 | IGLM | American Tower to redeem all 4.625% senior notes on Feb. 11
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1/12/2015 | LMMU | Dallas plans to redeem all $128.43 million of series 2006 G.O. bonds
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1/12/2015 | LMMU | South Dakota HEFA exercises call on outstanding Regional Health bonds
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1/12/2015 | LMMU | Minnesota Municipal Power defeases $80.32 million revenue bonds
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1/12/2015 | EULM | Banca popolare dell’Emilia redeems €300 million covered floaters
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1/12/2015 | EMLM | Peru’s Alicorp tenders for up to $150 million of 3 7/8% notes due 2023
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1/12/2015 | EMLM | Abu Dhabi Commercial Bank calls $400 million subordinated step-up notes
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1/12/2015 | HYLM | Telecom Italia begins tender offer for four series of notes
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1/12/2015 | HYLM | Safari begins required amortization offer for 10% of 8¼% notes due 2021
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1/12/2015 | CVLM | Qiagen starts cash tender offer for 1.5% convertible notes due 2024
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1/12/2015 | EULM | Nationwide calls £200 million 7.971% permanent interest bearing shares
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1/12/2015 | EMLM | Mexico begins one-day tender offer for some of 10 series of notes
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1/9/2015 | LMMU | Minnesota Public Facilities calls $56 million water pollution bonds
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1/9/2015 | LMMUPF | Nuveen Missouri, New Jersey to redeem MuniFund term preferreds Feb. 9
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1/9/2015 | HYLM | Cermaq bondholders OK February maturity, early redemption at 108.5
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1/9/2015 | LMMU | Pennsylvania’s Holy Spirit Hospital seeks OK to amend 2011B bonds
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1/9/2015 | LMMU | Los Angeles Community College defeases $1.51 billion of G.O. bonds
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1/9/2015 | CVLM | Micron Technology repurchases convertibles, announces convertibility
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1/9/2015 | LMMU | District of Columbia calls $60.9 million American University bonds
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1/9/2015 | EULM | Arion Bank repurchases NOK 59 million of bonds due 2016 at 102.5
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1/9/2015 | CLLM | Duchess I CDO, Duchess III CDO get holder OK to call six note series
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1/9/2015 | CVLM | China Shipping sets redemption date, price for convertible bonds
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1/9/2015 | LMPF | HMN Financial to redeem remaining $10 million TARP perpetual preferreds
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1/9/2015 | CVLM | Medical Facilities sets up purchase plan to buy back 5.9% convertibles
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1/8/2015 | SP | Morgan Stanley to redeem S&P 500 Crude Oil-linked ETNs on Jan. 30
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1/8/2015 | LMMU | San Antonio calls $295 million electric & gas revenue refunding bonds
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1/8/2015 | CVLM | China Shipping to redeem in full outstanding convertibles in February
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1/8/2015 | IGLM | Scana calls all $150 million 7.7% junior subordinated notes at par
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1/8/2015 | CLLM | Belhurst CLO calls nine series of notes for Jan. 15 redemption
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1/8/2015 | DDLM | Handelseiendom gets bondholder approval to amend, extend floaters
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1/8/2015 | HYLM | Freescale calls remaining 8.05% notes, $70.5 million of 10¾% notes
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1/8/2015 | HYLM | Spie BondCo to pay 111.724 in redemption of 11% notes due 2019
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1/8/2015 | CVLM | Holloway plans issuer bids for 6.25% convertibles, 7.5% convertibles
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1/8/2015 | EULM | Clydesdale Bank sets meetings for two regulated covered bonds series
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1/8/2015 | EULM | Gtech gets early tenders for €696.79 million interest-deferrable notes
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1/8/2015 | EULM | Arion Bank to repurchase up to NOK 150 million of bonds due 2016
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1/8/2015 | HYLM | Arion Bank to repurchase up to NOK 150 million of bonds due 2016
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1/8/2015 | IGLM | Exelon to call $550 million 4.55% notes with proceeds from new bonds
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1/8/2015 | EULM | RBS calls A$25.77 million floaters, A$123.22 million 6.5% notes
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1/7/2015 | LMMU | Omaha Public Power defeases $268.38 million electric system bonds
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1/7/2015 | EUHYLM | Constellium tenders for any and all of Wise’s 9¾/10½% notes due 2019
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1/7/2015 | LMMU | Chicago Metropolitan Water calls $76.05 million series 2006 G.O. bonds
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1/7/2015 | EMLM | India’s Religare ponders redeeming option B series 15 XXIX debentures
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1/7/2015 | LMMU | Tampa Sports Authority, Fla., defeases $79.19 million stadium bonds
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1/7/2015 | LMMU | Mobile, Ala., Water and Sewer defeases series 2006 revenue bonds
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1/7/2015 | HYLM | Milestone calls 8 5/8% notes, related to buyout by GE Capital Aviation
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1/7/2015 | EMLM | Philippines to pay $1.23 billion to buy global bonds in tender offer
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1/7/2015 | CLLM | Dryden X – Euro CLO 2005 to redeem notes on Jan. 25
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1/6/2015 | HYLM | Matterhorn solicits consents for six note series due to acquisition
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1/6/2015 | HYLM | Unify Germany Holdings starts offer for €12.5 million 10.75% notes
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1/6/2015 | IGLM | Citi accepts roughly $1.15 billion notes in tender offer for six series
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1/6/2015 | DDHYLM | Bradford & Bingley calls four more note series, gives tender results
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1/6/2015 | LMMU | Public Energy, Ky., calls $64.28 million gas supply revenue bonds
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1/6/2015 | LMMU | North Texas Tollway defeases $215 million first-tier revenue bonds
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1/6/2015 | CVLM | Linc Energy redeems $50 million of 7% convertible notes due 2018
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1/6/2015 | DDHYLM | Interoil asks holders to approve restructuring of outstanding bond
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1/6/2015 | EMLM | Philippines starts one-day tender offer to buy global bonds
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1/5/2015 | IGLM | Safeway extends offer to purchase any and all 5%, 3.95%, 4.75% notes
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1/5/2015 | LMMU | North Carolina Infrastructure calls $30.43 million of 2005A COPs
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1/5/2015 | CVLM | Arcan seeks holder approval to exchange its 6.25%, 6.5% convertibles
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1/5/2015 | LMPF | Strategic Hotels & Resorts redeems all 8.25% series B preferreds
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1/5/2015 | IGLM | Textron redeems all $350 million 6.2% notes at 101.147
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1/5/2015 | LMMU | Vermont Economic’s $135 million taxable CP notes have mandatory tender
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1/5/2015 | LMMU | North Texas Tollway’s 2009D revenue bonds have mandatory tender
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1/5/2015 | LMMU | Omaha Public Power calls $200 million of 2007AA electric system bonds
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1/5/2015 | LMMU | Trinity River Authority, Texas, calls $104.96 million wastewater bonds
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1/5/2015 | DDLM | Bradford & Bingley gives tender results for three series, issues call
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1/5/2015 | LMMU | Municipal Energy Acquisition, Tenn., calls $63.06 million of gas bonds
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1/5/2015 | LMMU | Columbia, S.C., calls $60 million 2005 waterworks, sewer system bonds
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1/5/2015 | LMMU | San Antonio calls $435.02 million 2005 electric and gas revenue bonds
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1/5/2015 | EMLM | Kazakhstan’s Doszhan buys back portion of infrastructure bonds
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1/5/2015 | EMLM | Singapore’s DBS Bank buys floaters on prorated basis in tender offer
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1/5/2015 | EMLM | Latvia’s mogo receives consents to amend terms of 10% bonds
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1/5/2015 | DDHYLM | American Media exchanges $32 million notes in refinancing strategy
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1/2/2015 | LMPF | Old Second Bancorp to redeem one-third of series B TARP preferreds
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1/2/2015 | EMLM | Promsvyazbank buys back $30.46 million of 11¼%, 12¾% notes
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1/2/2015 | EMLM | Russian Standard buys back $8.4 million of 9¼% notes due 2017
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1/2/2015 | LMMU | Texas Public Finance calls $64.25 million Workforce Commission bonds
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1/2/2015 | LMMU | Dasny defeases $83.78 million of NYU Hospitals Center revenue bonds
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1/2/2015 | LMMU | Dasny calls $271.89 million of 2005 mental health facilities bonds
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1/2/2015 | LMMU | Harris County-Houston Sports, Texas, calls $558.81 million of bonds
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1/2/2015 | LMMU | Indianapolis Local Public Improvement calls $55.29 million of bonds
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1/2/2015 | LMMU | Mission Consolidated ISD, Texas, defeases $73.79 million of bonds
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1/2/2015 | LMMU | California Educational Facilities defeases some Pepperdine bonds
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