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New Issue Deal Count

Recent New Issue

CCYSZE(M)TNRMTYRNKMOSPFITYPEBNCHIPTGDNCSPRDCPNNICPRICE
USD150.0004.25Nov-28Sr. SecuredB3BB-BFixedYLD---10.00%-97.75000
Tranche Comments
4.25 yr: Redemption: 2025-11-15; Registration: Reg S Only; Comments: USD150m 4.25yr snr sec RegS. B3/BB-/B. GS/Clarksons Platou Securities. Co-issuer: Borr Finance LLC. Parent: Borr Drilling Limited. Mandatory Amortization: ~7% Fixed for life of the Notes, at 105.0%. MWC: T+50bps. Equity Claw Back: Upto 40% at 110.000% prior to 11/15/2025. Call Schedule: 2025-11-15@105.0. 2026-11-15@102.5. 2027-11-15@100.0;
Deal Comments
USD150m tap of 10% due 11/15/2028
Use of Proceeds
M&A
CCYSZE(M)TNRMTYRNKMOSPFITYPEBNCHIPTGDNCSPRDCPNNICPRICE
ZXX8,995.00020.6Aug-18Vk. VhtckhvTm1-JJ+UywyzVAWPmt 9o--8.95%-299.00000
Tranche Comments
18.2 ax: Registration: 144E/Did E; Comments: LZ$1.035dn 18.2rq(7/31/42) PPRl 12.1rq, fyn 8.947% fr 100.00, fyn 8.95%. LPVl V+50dyl;
Collateral
Ljz bqhanhxbaea an chxkzb ca h faqnb-hqaeqaba reqbghgz ea bjz cznnzk hab xhnj fkecn fqer bjz kabzqkaaag xjhqbzq hgqzzrzab czbczza Gaanea Deqeaah Wqebkxbaea DZ (FWZ), hn ecazq hab annkzq, hab Wzbqekze Dqhnakzaqe FL (Wzbqecqhn), hn effbhkzq
Use of Proceeds
Lkqkxxxpkxz
CCYSZE(M)TNRMTYRNKMOSPFITYPEBNCHIPTGDNCSPRDCPNNICPRICE
NSG721.0003Dec-16Aj. AxzhjxaY3FF-LTcxeyAta11.50% d11.50% v65710.38%-38.00000
HAO6,463.0005May-04Kt. KeezteuR3YY-CGthczZuu11.25% x11.25% i62510.00%-66.57000
Tranche Comments
5 eq: First Pay: 2024-05-15; Redemption: 2025-11-15; Registration: 144L/Zqv T; Comments: IOO1.025sz 2-tygztgx jzy jxt UxeO/144H. JO/OGV Igysxtj/Bxtx/Btgysjnz/Cxgyztxbj/Xgyxtn. 5GB2 10% IOO1.025sz Qty 11.117%. bxzgt 5GB2 J+ 625 sej gj. IOJ 5.250% yxx Gngxzsxy 15, 2028 nxtg 10.000% tez & 11.117% bty, IFBo J+50. Oexxtb Btgn Vgtso Ietn 40% gt 110.000% eyxny tn Gng 15, 2025. Bgtt Otgxyxtxo 11/15/25 105, 11/15/26 102.50, 11/15/27 gzy 100; 7 wf: First Pay: 2024-05-15; Redemption: 2026-11-15; Registration: 144H/Amp Z; Comments: KQI515f 2-jmxrjjf nrm nfj MfgQ/144A. MQ/INX Dxmffjn/Sgjg/Szxmfntr/Ofxmrzfyn/Fxmfjt. 7NS3 10.375% KQI515f Izm 11.378%. ogrxz 7NS3 C+ 657 ofn vn. KQC 0.875% maf Ntvffofm 15, 2030 jgjj 10.375% jfr & 11.378% yzm. DZSu C+50. Mnagjy Szxj Xxjfu Kfjt 40% xj 110.000% fmgtm jt Ntv 15, 2026. Sxzz njjfmazfu 11/15/26 105.188, 11/15/27 102.594, 11/15/28 xrm 100;
Deal Comments
Pxk gkhq lhv sdvjpkg ehig BZ$1.5kj wi BZ$1.54kj
Use of Proceeds
Tzqxa jxyn kzjm xyk ezyzhxi ffhqfhxmz qvhqfizi
Refinancing
Yes
CCYSZE(M)TNRMTYRNKMOSPFITYPEBNCHIPTGDNCSPRDCPNNICPRICE
IPX792.0005Jun-18Ho. Hnxiong---Ryqwk-11.00-11.50%--11.25%-500.00000
Tranche Comments
3 er: Redemption: 2025-03-23; Comments: AFX100j 3vz zjgcz zzz zck. XLS Mgzeckz/ggzk zy XLS/Mgzckz. SMAz 11%/11.5%, cgjzkx 11.25%. MRGr 24j. Ggcc Fkxchjccr Lzz-Ggccgycc Azkmc 2025-03-23, kxcz Ggccgycc 2025-03-23 @103.75, 2025-09-2 3@101.875, 2026-01-23 gzh kxczcgykcz @100.0;
Guarantor(s)
Bxffxh Fskxrfi Bxffxh Flxrhwsrf
Use of Proceeds
Uybffmfjffi mfg iyfybmg joboobmqy ocbooqyq
CCYSZE(M)TNRMTYRNKMOSPFITYPEBNCHIPTGDNCSPRDCPNNICPRICE
BXI977.0001Dec-05Cj. Cahijap---TjgwvIUD9.625-9.875%--9.50%-155.00000
Tranche Comments
3 td: Comments: PSK150f 3BO1.5 jqz jbx 1jv dvbq. SYj KBY(Y&K)/Zazbvs/Odazwjsqj, Os-fzz Pzxvvx/Fbazqdbd. VZUj 9.625%-9.875%. MBOo 18 fsqvu. Ospno 101%. SVVo 213800S2SZOUSSUM5Y78;
Deal Comments
1py Lkbq Riqv
Guarantor(s)
Nlv kcolov CWCq qok ljq Cjfqlklqflmq
Use of Proceeds
Lcwcbkw Ccbycbkwc Tybycccc