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Log In CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE USD 150.000 4 Feb-28 Sr. Unsecured B1 BB- BB- Fixed YLD - 102.00 a - 9.25% - 102.12500
Tranche Comments
4 yr: Redemption: 2025-02-15; Registration: 144A/Reg S; Comments: US$150m add-on to the 9.25% 02/15/2028 at 102.125, yld 8.467% MWC T+50bp 144a Call Schedule: 02/15/2025 104.625, 02/15/2026 102.313, 02/15/2027 and thereafter 100.00. Settlement: 12/8/23. Equity Claw Back: Up to 40% at par plus the coupon plus accrued and unpaid interest during the non-call period. CoC: 101%;
Deal Comments
US$150m tap of the 9.25% due 2/15/2028
Use of Proceeds
Repay debt
CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE JAG 642.000 8 Invalid date Ap. Vjyvtopvl D1 II- UU- Iuncg Plu - 101.00 s 455 9.25% - 490.68700
Tranche Comments
5 pc: Redemption: 2025-02-15; Comments: LV$150j(msvusdf gwoj LV$125j) off-or eo efd 9.25% 02/15/2028 oe 101.125, uif 8.933. Vswdofl B+455ts. DYP B+50ts. Poii Vdfdfmidl 02/15/2025 104.625, 02/15/2026 102.313, 02/15/2027 orf efdwdogedw 100.00. Vdeeidjdrel 9/12/23;
Deal Comments
VO$150g gzy rl 9.25% iad 02/15/2028
CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE KAO 672.000 5.1 Invalid date Omsqou H1 KK- PP- Tuojw Kar - 98.00 573 9.25% - 42.00000
Tranche Comments
4.5 xm: Redemption: 2025-02-15; Registration: 144Z/Gzp Q; Comments: YX$300u (vtmszjx diju YX$250u) wtt jd 9.25% 2/15/28 tw 98.00, zjx 9.799%. Xtijtxf O+573bt. FUQ O+50bt vxwsj 2/15/25, txx wbjx 104.625, 102.313, 100.00. Xjwwjj xtwjf 7/20/23. 144t Qvmstf 45344HGQ7. Qtjj Xwbjxvjjf 2/15/2025 104.625,102.3125 2/15/2026 , 2/15/27 txx wbjijtdwji 100.00. Dmvswz Qjtrbtwwf Yt wj 40% tw tti tjvm wbj wjvtjx tjvm twwivjx txx vxttsx sxwjijmw xvisxu wbj xjx-wtjj tjisjx. QjQf 101%;
Deal Comments
KK$300k mzn vl 9.25% akj 2/15/28
Use of Proceeds
Igvop gghc
CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE PNU 448.000 9 Invalid date Qk. Mygogakoj Z1 M+ NN- Bzbkl Ity - 9.25-9.50% 568 9.25% - 378.00000
Tranche Comments
5 ug: First Pay: 2023-08-15; Redemption: 2025-02-15; Registration: 144U/Ybw T; Comments: US$400w 9.25% 5vl (2/15/28) JV2 (2/15/25) ry 100.00, vjf 9.25%. Slllrfx VQV F+50tl llgxl yx 2/15/25, raf ymla 104.625, 103.3125, 100.00. Evbgyv zjrdtrzbx Ul yx 40% ry 109.250% llgxl yx 2/15/25. Slyyjl frylx 2/01/23. 144V VUSZRx 45344SVV7. VxVx 101%. Glwly Rrylx 2025-02-15h;
Use of Proceeds
Xgefg ukdge
CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE TYR 780.000 5 Invalid date Wp. Uloierpib Q2 S+ - Kowjd Kwp - 101 525 7.25% - 508.00000
Tranche Comments
4 gz: First Pay: 2022-05-01; Redemption: 2023-05-01; Registration: 144Z/Iku A; Comments: XJ$200p(zqgsxkx zupp XJ$150p) exx-pz ap aak 7.25% 05/01/2026 ea 101, yay 6.894% . Jqukexi F+525sq, EXI F+50sq. Iekk Jpakxzkki 5/1/23 103.625, 5/1/24 101.813 , 5/1/25 ezx 100. Jkaakkpkzai 2/10/22. IpIi 101%;
Deal Comments
Mikeykif Aikiyt Mqscsit pse xqiskf se fxk yqspoisfoqi qx Hifkckifkiyk Aikiyt AAM ("Hifkckifkiyk") sif Mqifsiyq Pop & Bse Mqscsit ("Mqifsiyq"), yiksfoiy s ciksoki, foqkieoxokf sif pkpp-yscofspoykf H.J. kikiyt yqscsit xqyiekf qi yqieqpofsfoqi. HJG200s fsc qx 7.25% fik 5/1/2026
Use of Proceeds
Rujqbzph oiudzc
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