12/31/2014 | LMMU | Nashville and Davidson County, Tenn., calls $97.93 million G.O. bonds
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12/31/2014 | LMMU | Westlake City School, Ohio, calls $51.17 million 2010B bonds in full
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12/31/2014 | LMMU | Arizona Transportation defeases Maricopa excise tax revenue bonds
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12/31/2014 | CLLM | LightPoint CLO IV calls $94.25 million from six classes of notes
|
12/31/2014 | EMLM | China’s Renhe Commercial wraps cash tender offer for 11¾%, 13% notes
|
12/31/2014 | CVLM | GenCorp holders decline to exercise put for 4.0625% convertibles
|
12/30/2014 | EUIGLM | Credit Suisse holders pass resolution for remaining covered bonds
|
12/30/2014 | HYLM | Interline Brands completes redemption of $80 million 10%/10¾% notes
|
12/30/2014 | HYLM | Park National prepays $35.25 million 10% subordinated notes due 2019
|
12/30/2014 | CVLM | Bank of China to redeem convertible bonds; stock price triggers call
|
12/30/2014 | CVLM | ICBC to redeem convertible bonds; stock price triggers call option
|
12/30/2014 | EMLM | Singapore’s Halcyon expects to get consents from 6½% noteholders
|
12/30/2014 | CVLM | Westmoreland Coal calls all series A convertible exchangeable preferreds
|
12/30/2014 | HYLM | Res-Care redeems all $200 million 10¾% senior notes due Jan. 15, 2019
|
12/30/2014 | HYLM | Chiquita Brands conditionally calls $42.5 million of 7 7/8% notes
|
12/30/2014 | LMMU | Newark to redeem $10 million 1.75% tax anticipation notes due 2015
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12/30/2014 | LMMU | City of Dallas revises $88.32 million 2008 G.O. redemption to 2018
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12/30/2014 | EMIGLM | Abbott receives tenders for 97.6% of CFR’s $300 million 5.125% notes
|
12/30/2014 | HYLM | Paragon Offshore buys back $25.2 million 6¾%, 7¼% notes at discount
|
12/30/2014 | DDHYLM | iPayment to issue $296 million 9½% notes due 2019 in exchange offers
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12/30/2014 | LMPF | Marquette National redeems remaining $14.19 million of preferreds
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12/29/2014 | CVLM | Vicwest to seek holder approval to redeem 5.25% convertibles; 6% convertibles may also be called
|
12/29/2014 | DDHYLM | Cecon cancels holder meeting to extend 5% tranche A callable bonds
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12/29/2014 | CVLM | GenCorp offers 60.46 common shares per $1,000 of 4.0625% convertibles
|
12/29/2014 | LMMU | Partners HealthCare, Mass., to make $45 million bids on F-1, G-2 bonds
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12/29/2014 | HYLM | Summit Materials to redeem 35% of 10½% notes at 110.5 on Jan. 30
|
12/29/2014 | LMMU | Michigan State Hospital defeases 2006A, 2009A revenue bonds in full
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12/29/2014 | LMMU | Peace River Manasota Regional Water, Fla., defeases $90.2 million bonds
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12/29/2014 | LMMU | Glendale, Ariz., defeases $154 million John C. Lincoln hospital bonds
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12/29/2014 | HYLM | dcp to redeem all $165 million of 10¾% senior secured notes
|
12/29/2014 | LMMU | New York State Thruway defeases general revs, personal income tax revs
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12/29/2014 | LMMU | State of Ohio calls $90.71 million 2005A higher education G.O. bonds
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12/29/2014 | EMLM | India’s Incline Realty to redeem, lower face value of nonconvertibles
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12/29/2014 | DDHYLM | Education Management extends note exchange offer by four more days
|
12/24/2014 | IGLM | PPG Industries redeems $575 million of 6.65% notes due 2018
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12/24/2014 | LMMU | Gainesville, Fla., redeems some taxable utilities system bonds
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12/24/2014 | LMMU | California’s Republic Services 2010 bonds have mandatory tender
|
12/24/2014 | LMMU | Phoenix Civic Improvement to refund junior-lien water system bonds
|
12/24/2014 | LMMU | Nevada calls $58.94 million capital improvement, cultural affairs bonds
|
12/24/2014 | LMMU | San Antonio calls all $250 million 2003 electric and gas revenue bonds
|
12/24/2014 | CVLM | Linc Energy holders agree to amend 7% convertible notes due 2018
|
12/24/2014 | LMMU | Sarasota, Fla., defeases land, parkland bonds
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12/24/2014 | LMMU | New York City Industrial calls $84.5 million solid waste bonds
|
12/24/2014 | LMMU | New Mexico Finance defeases $68.25 million transportation revenue bonds
|
12/24/2014 | DDEMLM | China Forestry ends note tender after low response, lack of new debt
|
12/23/2014 | CVLM | Wistron settles tenders for $256.2 million 0% convertibles
|
12/23/2014 | HYLM | Annington Finance offers to buy back some class B3 floaters due 2023
|
12/23/2014 | HYLM | Cambium buys back $15 million more 9¾% notes due 2017 from investor
|
12/23/2014 | HYLM | Phoenix Life holders consent almost unanimously to amend 7¼% notes
|
12/23/2014 | LMMU | Dallas Area Rapid Transit defeases 2007, 2008 sales tax revenue bonds
|
12/23/2014 | LMMU | Dallas defeases $245.21 million of four series of G.O. bonds
|
12/23/2014 | LMMU | Massachusetts State College defeases its 2005A, 2006A revenue bonds
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12/23/2014 | LMMU | Southern California Public Power defeases 2005A San Juan revenue bonds
|
12/23/2014 | LMMU | Los Angeles MTA defeases first-tier senior sales tax revenue bonds
|
12/23/2014 | CLLM | Fairway Loan Funding to redeem class A-2L, A-3L, B-1L, B-2L notes
|
12/23/2014 | DDHYLM | iPayment tallies final tenders, gets consents for 15%/15%, 10¼% notes
|
12/22/2014 | CAHYLM | North American Energy buys back C$6.27 million 9 1/8% debentures
|
12/22/2014 | CVLM | SandRidge completes mandatory conversion of $200 million 6% convertible perpetual preferreds
|
12/22/2014 | HYLM | Realogy redeems all $332 million 7 7/8% senior secured notes due 2019
|
12/22/2014 | CVDDLM | Pokarna redeems final $2.46 million 0% foreign-currency convertibles
|
12/22/2014 | LMMU | North East ISD, Texas, defeases $76.04 million ULT school building bonds
|
12/22/2014 | LMMU | North Clackamas School, Ore., defeases 2007A, B G.O. bonds
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12/22/2014 | LMMU | Olmsted County, Minn., calls 2007A, 2007B general obligation bonds
|
12/22/2014 | LMMU | University of Colorado Health may refund some 2005, 2006 bonds
|
12/22/2014 | LMMU | Texas Transportation calls $70.74 million 2005-B Texas G.O. bonds
|
12/22/2014 | LMMU | Southern California Public Power defeases $72 million San Juan bonds
|
12/22/2014 | HYLM | Chiquita Brands conditionally calls $138.75 million 7 7/8% notes
|
12/22/2014 | HYLM | Alliant Techsystems plans to redeem 6 7/8% senior notes due 2020
|
12/22/2014 | LMMU | Metropolitan Water, Calif., plans mandatory tender for 2009 A-2 bonds
|
12/22/2014 | LMMU | Hemet USD, Calif., defeases $100 million of 2006A, 2006B G.O. bonds
|
12/22/2014 | LMMU | Illinois Toll Highway Authority defeases $291.66 million 2006A-1 bonds
|
12/22/2014 | LMMU | University of Arkansas defeases 2006 various purpose UAMS Campus bonds
|
12/22/2014 | LMMU | Lee County School, Fla., defeases 2006A certificates of participation
|
12/22/2014 | LMMU | Bay Area Toll Authority, Calif., defeases 2009 series F-1 bridge bonds
|
12/22/2014 | CVLM | Wistron to pay $268.24 million to settle tenders for 0% convertibles
|
12/22/2014 | EMLM | Kazakhstan Mortgage buys back KZT 3.25 billion of 6% bonds due 2018
|
12/22/2014 | CVLM | EPIC to offer convertible preferreds in exchange for common stock
|
12/22/2014 | DDHYLM | Education Management further extends exchange offer for notes
|
12/19/2014 | DDHYLM | Jasper Explorer seeks bondholder approval of separation, new bonds
|
12/19/2014 | DDHYLM | Northland bondholders approve funding for recovery actions at meeting
|
12/19/2014 | DDLM | Handelseiendom seeks bondholder approval to amend, extend floaters
|
12/19/2014 | ABLM | Marble Arch seeks consents to amend two mortgage-backed note series
|
12/19/2014 | IGLM | Waste Management to redeem 6.375%, 7.125%, 7.375% senior notes in full
|
12/19/2014 | HYLM | LBI Media reports results of exchange offers and consent solicitation
|
12/19/2014 | EULM | Hammerson sets redemption price for €480.05 million 4 7/8% bonds
|
12/19/2014 | HYLM | Lock ends solicitation for two note series; consents no longer needed
|
12/19/2014 | EMLM | Hammerson sets redemption price for €480.05 million 4 7/8% bonds
|
12/19/2014 | EULM | Lock ends solicitation for two note series; consents no longer needed
|
12/19/2014 | DDHYLM | iPayment extends exchange offers, lowers threshold for 10¼% notes
|
12/19/2014 | HYLM | Hellenic Telecommunications buys back €50.40 million 7¼% notes
|
12/19/2014 | EMLM | MCB receives noteholder waiver to avoid takeover-related default
|
12/19/2014 | EULM | Deutsche Bank calls €900 million Capital Funding Trust VI preferreds
|
12/18/2014 | EULM | Gtech tenders for €750 million subordinated interest-deferrable notes
|
12/18/2014 | HYLM | Cermaq seeks bondholder approval of early redemption, calls meeting
|
12/18/2014 | HYLM | Summit Materials plans to redeem 10½% notes via common stock offering
|
12/18/2014 | EMLM | China’s Evergrande completes redemption of $1.35 billion 13% notes
|
12/18/2014 | DDHYLM | Education Management further extends exchange offer for notes
|
12/18/2014 | HYLM | Phoenix Life ups consents fee for 7¼% subordinated notes to 500 bps
|
12/18/2014 | IGLM | Alabama Gas to redeem $34.79 million 5.7% notes due 2035 on Jan. 15
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12/18/2014 | EMLM | Russia’s Mobile TeleSystems holders put back RUB 3.71 billion bonds
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12/18/2014 | CLLM | T2 Income Fund CLO to redeem $165.47 million of six classes of notes
|
12/18/2014 | LMMU | Illinois Finance defeases Advocate Health, Sherman Health bonds
|
12/18/2014 | LMMU | Massachusetts School Building defeases $73.13 million sales tax bonds
|
12/18/2014 | LMMU | Brevard County Health, Fla., defeases $254 million Health First bonds
|
12/18/2014 | EULM | National Westminster Bank to redeem all £87.27 million step-up notes
|
12/18/2014 | LMMU | East Baton Rouge Sewerage, La., defeases $331.19 million of bonds
|
12/18/2014 | LMMU | Winston-Salem, N.C., defeases series 2005 water and sewer system bonds
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12/18/2014 | LMMU | Dasny defeases $83.78 million of 2007B NYU Hospitals revenue bonds
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12/18/2014 | DDHYLM | iPayment extends exchange offers for 10¼%, 15% notes by one day
|
12/18/2014 | EMLM | Evraz holders tender $277.75 million 8¼% notes due 2015 by early date
|
12/18/2014 | CVLM | Sony exercises clean-up call for ¥14.46 billion convertibles due 2017
|
12/17/2014 | EMHYLM | Chile’s Inversiones Alsacia exchanges notes under prepackaged plan
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12/17/2014 | LMMU | Spring Branch ISD, Texas, defeases $74.77 million of limited tax bonds
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12/17/2014 | LMMU | Houston school district defeases $177.29 million of limited tax bonds
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12/17/2014 | LMMU | Colorado Health calls $58.74 million Catholic Health revenue bonds
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12/17/2014 | EMLM | Singapore’s Halcyon Agri solicits consents to amend 6½% notes
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12/17/2014 | LMMU | Los Angeles County's lease revenue CP notes have mandatory tender
|
12/17/2014 | EULM | Lock solicits consents for euro-denominated floaters, 7% secured notes
|
12/17/2014 | HYLM | Stora Enso buys back SEK 534.9 million of 5¾% notes due September 2015
|
12/17/2014 | EULM | Vivendi holders reject proposal to add make-whole call to certain notes
|
12/17/2014 | IGLM | Praxair calls all $400 million 5.375% notes due 2016 at 109.251
|
12/17/2014 | IGLM | Prudential Holdings sets redemption prices for 7.245%, 8.695% notes
|
12/17/2014 | HYLM | Ceridian redeems all $720 million 8 7/8% senior notes due 2019
|
12/17/2014 | HYLM | NSG Holdings redeems $17.75 million of 7¾% senior notes due 2025
|
12/17/2014 | EMLM | Russian Standard redeems $102.5 million of 9¼% notes due 2017
|
12/17/2014 | EULM | National Asset Management redeems €500 million of senior notes
|
12/17/2014 | DDHYLM | Caesars funds $17.6 million required redemption of second-lien notes
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12/17/2014 | EMLM | Malaysia’s Public Bank calls all RM 50 million 4.6% notes due 2019
|
12/17/2014 | CVLM | Derwent calls £175 million 2.75% notes due to ‘strong’ share price
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12/16/2014 | DDEMHYLM | Emerging Europe gets votes from 15%, 25% bondholders to amend 15% bonds
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12/16/2014 | IGLM | Federal Realty redeems $125 million of 5.65% notes due 2016 at 107.4
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12/16/2014 | LMPF | Bank of Commerce plans to retire Redding’s $5 million trust preferreds
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12/16/2014 | EUIGLM | Credit Suisse holders pass resolution for covered bonds due 2015; other meetings adjourned to Dec. 30
|
12/16/2014 | LMPF | Southern First Bancshares buys back remaining series T TARP preferreds
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12/16/2014 | LMMU | Indiana Municipal Power calls $27.88 million of 5.5% 1993B bonds
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12/16/2014 | HYLM | Iron Mountain calls $306 million of 8 3/8% senior subordinated notes
|
12/16/2014 | HYLM | B/E Aerospace gets needed consents for 5¼%, 6 7/8% notes; remainder to be redeemed after offer
|
12/16/2014 | HYLM | Dana wraps tender offer, accepts $344.59 million of 6½% notes
|
12/16/2014 | HYLM | Westmoreland Coal reports final results of tender offer for 10¾% notes
|
12/16/2014 | LMMU | South Jersey Transportation 2009 A-3, A-4 bonds have mandatory tender
|
12/16/2014 | EULM | Santander UK calls ¥15 billion 5.56% notes, €100 million floaters
|
12/16/2014 | LMPF | Santander UK purchases £265.07 million fixed/floating-rate preferreds
|
12/16/2014 | LMMU | Denver Department of Aviation calls $94.93 million of 2007F3, F4 bonds
|
12/16/2014 | EMLM | Malaysia’s KPJ unit redeems outstanding sukuk, cancels program
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12/16/2014 | EMLM | China City Infrastructure gets needed consents to amend 12½% notes
|
12/16/2014 | CVLM | Frontline exchanges $22.5 million 4.5% convertibles for stock, cash
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12/16/2014 | EMLM | Nord Gold buys back $50 million 6 3/8% notes due 2018 in open market
|
12/16/2014 | HYLM | Quality Distribution calls $10 million 9 7/8% second priority notes
|
12/16/2014 | DDHYLM | Education Management again extends exchange offer for notes
|
12/15/2014 | EMLM | Central China Real Estate obtains needed consents to amend 10¾% notes
|
12/15/2014 | EMLM | Kazakhstan’s Doszhan buys back portion of infrastructure bonds
|
12/15/2014 | HYLM | Tenneco to redeem all $44.25 million of 7¾% notes due 2018 on Dec. 22
|
12/15/2014 | LMPF | River Valley calls all 7.5% preferreds ahead of dividend increase
|
12/15/2014 | LMMU | Indiana Bond Bank calls $28.81 million taxable school severance bonds
|
12/15/2014 | LMMU | Las Vegas Valley Water calls $348.12 million of 2009C G.O. bonds
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12/15/2014 | LMMU | Ohio to redeem $14.73 million of 2004A higher educational G.O. bonds
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12/15/2014 | IGLM | Stifel Financial to redeem all 6.7% notes due 2022 at par on Jan. 15
|
12/15/2014 | CVLM | Horizon Pharma to exchange $11 million more notes for stock, cash
|
12/15/2014 | IGLM | Boston Properties redeems in full $550 million 5%, 5.625% notes
|
12/15/2014 | LMMU | Atlanta and Fulton County Recreation, Ga., calls 2005A, B park bonds
|
12/15/2014 | LMMU | Rochester, Minn., calls $66.05 million G.O. waste water revenue bonds
|
12/15/2014 | LMMU | Mississippi to redeem all $22.55 million of 2005 series MGAM bonds
|
12/15/2014 | HYLM | eircom pays consent fee to 9¼% noteholders; reorganization set to begin
|
12/15/2014 | LMMU | Hawaii announces defeasance of six series of general obligation bonds
|
12/15/2014 | CLLM | Northwoods Capital extends consent date for eight series of securities
|
12/15/2014 | LMMU | California Independent System Operator calls all 2009 series A revs
|
12/15/2014 | HYLM | Obrascon Huarte sets redemption price for 7 3/8% notes due 2015
|
12/15/2014 | EULM | Standard Life calls 5.314% fixed-to-float mutual assurance securities
|
12/15/2014 | DDHYLM | eircom pays consent fee to 9¼% noteholders; reorganization set to begin
|
12/15/2014 | HYLM | Hoegh holders OK amending notes to allow new floating units, dividends
|
12/15/2014 | HYLM | Barminco prices cash tender offer for 9% notes, tallies early results
|
12/15/2014 | EMLM | Latvia’s Acme secures bondholder OK to sell subsidiaries, repay debt
|
12/15/2014 | EMIGLM | Abbott tenders for CFR unit’s $300 million 5.125% senior notes due 2022
|
12/15/2014 | IGLM | Freddie Mac passes on Reference Notes issuance
|
12/15/2014 | CVLM | Ingenico to redeem all outstanding Oceanes on Jan. 15
|
12/15/2014 | HYLM | Höegh noteholders OK changes to allow new floating units, dividends
|
12/12/2014 | LMPF | Two River plans redemption of remaining preferreds by February 2016
|
12/12/2014 | DDHYLM | Cecon to seek holder approval to extend 5% tranche A callable bonds
|
12/12/2014 | HYLM | Sterling Resources UK gets OK to amend 9% bonds to improve liquidity
|
12/12/2014 | HYLM | Spie BondCo plans Jan. 13 redemption for all 11% notes due 2019
|
12/12/2014 | CAHYLM | Tim Horton’s starts change-of-control offer for 4.2%, 4.52%, 2.875% senior notes
|
12/12/2014 | LMMU | Northside ISD, Texas, to redeem 2005 unlimited tax refunding bonds
|
12/12/2014 | LMMU | Massachusetts to redeem $205.24 million of G.O. bonds due 2015
|
12/12/2014 | LMMU | North Brevard, Fla., defeases Parrish Medical refunding revenue bonds
|
12/12/2014 | CVLM | BioMed Realty Trust to redeem 3.75% exchangeable notes on Jan. 30
|
12/12/2014 | CVLM | BioMed offers to buy back 3.75% exchangeables, issues call for rest
|
12/12/2014 | CVLM | Emerald Oil privately exchanges $21 million convertibles for stock
|
12/12/2014 | CVLM | Wistron extends tender offer period for 0% convertibles by two days
|
12/12/2014 | DDHYLM | Education Management further extends exchange offer for notes
|
12/11/2014 | CVLM | Cal Dive delisting triggers put option on $86 million 5% convertibles
|
12/11/2014 | HYLM | Central Garden may buy back $50 million 8¼% subordinated notes due 2018
|
12/11/2014 | EMLM | Cosan Overseas extends tender offer for 8¼% perpetual notes to 2015
|
12/11/2014 | EMLM | Fibria redeems $118 million of 6¾% senior notes due 2021 at 110.64
|
12/11/2014 | EULM | La Mondiale issues €268.41 million new 5.05% notes in exchange offer
|
12/11/2014 | LMMU | Metropolitan Water, Calif., calls 2005 series A waterworks G.O. bonds
|
12/11/2014 | CVLM | Uni-Select to redeem all C$51.75 million 5.9% convertibles in February
|
12/11/2014 | LMMU | Kent Hospital, Mich., calls $77.52 million 2008A-3 Spectrum bonds
|
12/11/2014 | LMMU | Chicago’s $84 million 2010B Midway Airport bonds have mandatory tender
|
12/11/2014 | EULM | Swedish Match repurchases SEK 300 million of 5.95% notes due 2015
|
12/11/2014 | ABLM | Southern Pacific adjourns meeting for class E mortgage-backed floaters
|
12/11/2014 | EULM | QBE wraps tenders for £215 million 6.125% notes in oversubscribed offer
|
12/11/2014 | CVLM | AmTrust to issue stock, $158.26 million 2.75% convertibles due 2044 in exchange for 5.5% notes
|
12/11/2014 | EMLM | Singapore’s DBS Bank: Offer is 1.3 times oversubscribed by early date
|
12/11/2014 | LMPF | NCAL Bancorp’s TARP perpetual preferreds to be repurchased, converted
|
12/10/2014 | IGLM | Citi wraps tenders for three series, ups cap for others; pricing set
|
12/10/2014 | LMMU | North Texas Tollway defeases $143.54 million 2008F first tier bonds
|
12/10/2014 | DDHYLMMU | Buffalo Thunder issues $112.18 million 11% notes due 2022 in exchange for 9 3/8% notes
|
12/9/2014 | EMHYLM | China's Renhe gets tenders for majority of 11¾%, 13% notes at early deadline, waives condition
|
12/9/2014 | EMLM | China Water Property amends, extends solicitation for 12½% notes
|
12/9/2014 | CVLM | Taiwan's Wistron tenders for $274.6 million zero-coupon convertibles
|
12/9/2014 | LMPF | First Community Financial buys back $6.3 million of TARP preferreds
|
12/9/2014 | HYLM | Dana wraps tenders for $343.6 million of 6½% notes so far; call issued
|
12/9/2014 | LMMUPF | BlackRock Municipal 2018 Term Trust calls $22.75 million W-7, R-7 AMPS
|
12/9/2014 | CVLM | Icade buys back 28.7% of outstanding Ornanes due 2017 issued by Silic
|
12/9/2014 | LMMU | Highlands County, Fla., defeases 2005A-D Adventist Health bonds
|
12/9/2014 | EULM | Vivendi issues make-whole call for five note series
|
12/9/2014 | LMMU | Minneapolis-St. Paul Metro Airports to redeem $120.5 million of bonds
|
12/9/2014 | LMMU | Sacramento Power calls $29.91 million 5.05% 2005 cogeneration bonds
|
12/9/2014 | EULM | RBS gets needed consents to amend six note series; meeting held Dec. 9
|
12/9/2014 | LMMU | Arizona Water Infrastructure defeases water quality revenue bonds
|
12/9/2014 | LMMU | Richland County School District, S.C., defeases $165.36 million G.O.s
|
12/9/2014 | LMMU | Long Island Power calls $150 million electric system bonds
|
12/9/2014 | LMMU | California Statewide defeases $176.73 million Huntington Memorial bonds
|
12/9/2014 | LMMU | Miami-Dade County, Fla., calls four series of aviation revenue bonds
|
12/9/2014 | EMLM | China’s Powerlong gets needed consents to amend 11¼%, 9½% notes
|
12/9/2014 | LMMU | Baltimore defeases $72.11 million 2007D water project revenue bonds
|
12/9/2014 | LMMU | Wisconsin HEFA calls $112.39 million of 2008A, B ProHealth bonds
|
12/9/2014 | EMLM | China’s Harbin Bank redeems in full RMB 1 billion bonds due 2019
|
12/9/2014 | HYLM | Sealed Air receives tenders for $296,000 more 8 1/8% notes by expiry
|
12/8/2014 | CVLM | American Equity holders may opt to convert 5.25% notes into cash
|
12/8/2014 | EMHYLM | Brazil’s JBS scraps tender offer for $900 million 8¼% notes due 2018
|
12/8/2014 | LMPF | South State plans to redeem $45 million 7% trust preferreds on Jan. 7
|
12/8/2014 | EULM | La Mondiale sets minimum spread in exchange offer for two note series
|
12/8/2014 | EULM | GEA wraps tender offer, accepts €125.26 million 4.25% notes due 2016
|
12/8/2014 | EMLM | Israel’s TowerJazz calls all $45 million of 8% senior notes due 2015
|
12/8/2014 | CLLM | Moselle CLO to redeem outstanding notes on Jan. 6
|
12/8/2014 | CAIGLM | CIBC to redeem all series 27 noncumulative class A preferred shares
|
12/8/2014 | EMLM | Latvia’s 4finance buys back $1 million of 13% senior notes due 2015
|
12/8/2014 | CVLM | Icade starts offer to repurchase Ornanes due 2017 issued by Silic
|
12/8/2014 | HYLM | Kodiak Oil buyout by Whiting triggers change-of-control put option
|
12/8/2014 | EMLM | Evraz starts offer to purchase all $576.7 million of its 8¼% notes
|
12/8/2014 | DDHYLM | Education Management again extends exchange offer for notes
|
12/5/2014 | HYLM | ONO Finance plans to redeem 11 1/8%, 10 7/8% senior notes due 2019
|
12/5/2014 | HYLM | Highclere Holdings gets needed bondholder approval of asset sale
|
12/5/2014 | EMLM | Russia’s Mobile TeleSystems series 03 bond coupon up to 12%; put date set for Dec. 17
|
12/5/2014 | EULM | GDF Suez reports final results of tender offer for five note series
|
12/5/2014 | IGLM | Prudential Holdings to redeem three series of notes on Dec. 18
|
12/5/2014 | IGLM | Newell Rubbermaid wraps early tenders for $168.69 million of 4.7% notes, sets pricing
|
12/5/2014 | IGLM | Merck’s Schering-Plough redeems all $1 billion 6% notes due 2017
|
12/5/2014 | HYLM | Taminco Global to redeem all $400 million of 9¾% second priority notes
|
12/5/2014 | LMMU | Denver City School District No. 1 defeases $149.2 million 2009A G.O.s
|
12/5/2014 | LMMU | University of Houston to redeem remaining $51.1 million of 2006 bonds
|
12/5/2014 | HYLM | LBI Media gives exchange offer, consent solicitation results so far
|
12/5/2014 | IGLM | Newell Rubbermaid wraps early tenders for $168.69 million of 4.7% notes
|
12/5/2014 | IGLM | Freeport-McMoRan unit wraps early tenders in oversubscribed offer
|
12/4/2014 | CVLM | Owens-Illinois gets tenders for $611 million 3% exchangeables due 2015
|
12/4/2014 | HYLM | Unitymedia calls $459.33 million 7½% notes, €735.1 million 7½% notes
|
12/4/2014 | EULM | Allianz Finance calls in full €1 billion 6½% fixed-to-floating bonds
|
12/4/2014 | HYLM | Dana tallies tenders as of extended early tender date for 6½% notes
|
12/4/2014 | CVLM | Concur says holders may put or convert 2.5%, 0.5% notes due to merger
|
12/4/2014 | ABGNLM | Breeze Finance gets votes from class A bondholders at Dec. 1 meeting
|
12/4/2014 | CVDDHYLM | Norwegian Energy seeks OK on payment deferrals, waivers on bond issues
|
12/4/2014 | HYLM | Asbury Automotive obtains needed consents to amend 8 3/8% notes
|
12/4/2014 | HYLM | Cliffs Natural Resources scraps tender for $600 million of five series
|
12/4/2014 | LMMU | California Statewide calls all $201.67 million 2014 Loma Linda bonds
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12/3/2014 | EULM | La Mondiale starts exchange offer for two series of fixed-to-floaters
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12/3/2014 | DDHYLM | iPayment amends, extends exchange offers for 10¼% notes, 15% notes
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12/3/2014 | LMMU | Fort Lauderdale, Fla., defeases $98.66 million water and sewer bonds
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12/3/2014 | EMLM | Cosan Overseas takes in early tenders for 73.15% of 8¼% perpetuals
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12/3/2014 | EMHYLM | JBS tenders for any and all of $900 million 8¼% notes due 2018
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12/3/2014 | LMMU | District of Columbia’s American University bonds have mandatory tender
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12/3/2014 | LMMU | Hamilton County, Ohio, defeases Cincinnati sewer district bonds
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12/3/2014 | LMMU | North Texas Tollway defeases $313.88 million of 2008A first tier bonds
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12/3/2014 | LMMU | Trinity River Authority, Texas, defeases $114.48 million of bonds
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12/3/2014 | CLLM | Kingsland calls class B, C, D and subordinated notes for redemption
|
12/3/2014 | HYLM | National Asset Management redeems €1 billion of its senior notes
|
12/3/2014 | EMLM | Chile begins one-day tender offer for some 3 7/8% notes and 3¼% notes
|
12/2/2014 | DDHYLMMU | Buffalo Thunder further extends exchange for 9 3/8% notes due 2014
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12/2/2014 | HYLM | Huntington Ingalls receives early tenders for 66.6% of 6 7/8% notes
|
12/2/2014 | LMPF | Independent Bank buys back $5 million trust preferreds at a discount
|
12/2/2014 | LMPF | Triumph Bancorp to redeem fixed-rate cumulative perpetual preferreds
|
12/2/2014 | HYLM | Westmoreland Coal obtains necessary consents to amend 10¾% notes
|
12/2/2014 | CVLM | DryShips completes repayment of 5% convertible notes at maturity
|
12/2/2014 | DDEMHYLM | Emerging Europe again seeks to extend 15% callable bonds, cut interest
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12/2/2014 | LMMUPF | BlackRock Municipal 2018 Term Trust calls $27.5 million W-7, R-7 AMPS
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12/2/2014 | LMPF | Community West to redeem portion of series A preferreds on Jan. 2
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12/2/2014 | EULM | E.On International buys back all €150 million of 4 3/8% bond due 2016
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12/2/2014 | HYLMPF | DRA CRT Acquisition to redeem all 8½% series A cumulative preferreds
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12/2/2014 | EMLM | Malaysia’s Hong Leong Bank redeems RM 250 million 5¾% notes due 2019
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12/2/2014 | HYLM | Barminco begins cash tender offer for $65 million of 9% notes due 2018
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12/2/2014 | LMMU | New York City Transit calls $11.84 million 1993 Livingston Plaza bonds
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12/2/2014 | LMMU | New Jersey Turnpike to redeem four series of revenue bonds on Jan. 1
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12/2/2014 | LMMU | Georgia Municipal Electric Authority calls general power revenue bonds
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12/2/2014 | LMMU | Pittsburgh defeases $47.8 million of series C of 2006 G.O. bonds
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12/2/2014 | HYLM | DS Services gets needed consents in consent solicitation for 10% notes
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12/2/2014 | HYLM | Dana Holding extends early deadline of tender offer for 6½% notes
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12/2/2014 | EULM | QBE Insurance tenders for up to £200 million of 6.125% notes due 2015
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12/2/2014 | DDHYLM | Education Management further extends exchange offer for notes
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12/2/2014 | IGLMPF | First Citizens BancShares calls in full 8.25% debentures, trust preferreds
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12/2/2014 | CAIGLM | Metro plans redemption of 4.98% series A notes at end of December
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12/2/2014 | EMLM | Singapore's Perennial China solicits consents for 5¼% notes, 6 3/8% notes
|
12/1/2014 | CVLM | Hutchinson Technology to redeem all 8.5% convertibles in January
|
12/1/2014 | HYLM | Höegh LNG seeks to amend notes to allow new floating units, dividends
|
12/1/2014 | HYLM | Highclere Holdings seeks 2013/2015 bondholder approval of asset sale
|
12/1/2014 | EMLM | Central China Real Estate solicits consents for S$175 million 10¾% notes
|
12/1/2014 | EULM | GDF Suez tenders for up to €750 million of notes from five series
|
12/1/2014 | DDLM | Bradford & Bingley defers bond interest payment, starts tender offers for several notes series
|
12/1/2014 | EULM | Vivendi seeks to add make-whole call to notes that lack feature
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12/1/2014 | CVLM | West Pharmaceuticals to convert remaining 4% convertibles Dec. 9
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12/1/2014 | EMLM | Cosipa Commercial calls $75.79 million 8¼% medium-term notes due 2016
|
12/1/2014 | EULM | Norway’s Fjord Line gets bondholder consent to amend bonds due 2016
|
12/1/2014 | HYLM | Phoenix Life solicits consents to amend 7.25% subordinated notes
|
12/1/2014 | HYLM | Level 3 plans to redeem all 11 7/8% senior notes due 2019 on Dec. 31
|
12/1/2014 | IGLM | Vornado Realty to redeem $500 million 4.25% notes at par on Jan. 1
|
12/1/2014 | EMLM | MCB seeks waiver from noteholders to avoid takeover-related default
|
12/1/2014 | LMPF | Farmers Capital Bank redeems one-half of series A preferred stock
|
12/1/2014 | EMLM | Latvia’s Acme seeks bondholder OK to sell subsidiaries, repay debt
|
12/1/2014 | HYLM | CDW intends to redeem $541.4 million of 8½% senior notes due 2019
|
12/1/2014 | EMLM | China’s HanKore noteholders vote in favor of waivers under 7½% notes
|
12/1/2014 | HYLM | E*Trade redeems all outstanding 6%, 6¾% notes at 103, 108.8635
|
12/1/2014 | EULM | Societe Fonciere Lyonnaise buys back €300 million bonds via tender offer proceeds, new bond issue
|
12/1/2014 | CALM | BMO to redeem all C$600 million of series D trust capital securities
|
12/1/2014 | EMLM | Promsvyazbank purchases some of its 10.2% series 7 LPNs due 2019
|
12/1/2014 | LMMU | McKinney ISD, Texas, defeases school building, refunding bonds
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12/1/2014 | CAIGLM | First Capital Realty to redeem C$125 million 5.95% debentures in full
|
12/1/2014 | HYLM | Sealed Air lets solicitation expire for 8 3/8% notes, lacks consents
|
12/1/2014 | IGLM | Roche Holdings wraps tenders for $1.04 billion 5.25% notes, 7% notes
|
12/1/2014 | HYLM | Valeant Pharmaceuticals calls $445 million 6 7/8% senior notes due 2018
|
12/1/2014 | LMMU | University of Texas defeases 2006F revenue financing system bonds
|
12/1/2014 | CVLM | Discovery Air secures holder OK to amend terms of 8.375% convertibles
|
11/28/2014 | HYLM | B/E Aerospace tenders, solicits consents for all 5¼%, 6 7/8% notes
|
11/28/2014 | CVLM | Perpetual Energy redeems C$25 million of 7% convertible debentures
|
11/26/2014 | CAHYLM | Mercer gets consents for 89.6% of 9½% notes so far, executes supplemental indenture
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11/26/2014 | LMMU | Wake County, N.C.’s Carolina Power & Light bonds have mandatory tender
|
11/26/2014 | HYLM | Interline Brands calls $80 million of 10%/10¾% notes due 2018 at 105
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11/26/2014 | LMMU | Hollywood, Fla., calls $54.91 million of 2003 water and sewer bonds
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11/26/2014 | IGLM | Alltel redeems all $143.33 million 7% notes due 2016 at 108.665
|
11/26/2014 | EULM | Mercialys gets tenders for €170.3 million of 4.125% bonds due 2019
|
11/26/2014 | LMMU | Cerritos CCD, Calif., defeases three series of general obligation bonds
|
11/26/2014 | HYLM | Correction: QR Energy to redeem $300 million 9¼% senior notes due 2020
|
11/26/2014 | EMLM | Malaysia’s Public Bank calls all RM 223 million 4.6% notes due 2019
|
11/26/2014 | CVLM | Horizon Pharma to settle $8.6 million converted notes in stock, cash
|
11/26/2014 | LMMU | Lewisville ISD, Texas, defeases school building and refunding bonds
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11/26/2014 | LMMU | District of Columbia Water defeases three series public utility bonds
|
11/26/2014 | LMMU | New York City calls $356.22 million of 2005 series G G.O. bonds
|
11/26/2014 | EMLM | Russian Standard seeks to make 10¾% notes count as tier 2 capital
|
11/26/2014 | LMMU | California defeases $337.33 million of general obligation bonds
|
11/26/2014 | CVLM | Dubai’s Polarcus buys back $21 million 2.875% convertibles at 72.25
|
11/26/2014 | HYLM | DS Services extends solicitation for 10% notes, ups consent payment
|
11/25/2014 | HYLM | Hurtigruten gets needed two-thirds votes at meeting to amend notes
|
11/25/2014 | EULM | Gtech completes consent solicitation for 5.375% and 3.5% notes
|
11/25/2014 | HYLM | Lowell Group extends consent solicitation for £275 million 10¾% notes
|
11/25/2014 | LMMU | Indiana Secondary Market calls auction-rate revenue bonds in full
|
11/25/2014 | IGLM | Citigroup begins tender offer for $1.05 billion of six notes series
|
11/25/2014 | LMMU | Louisiana defeases 2006-C, 2009-A and 2011-A general obligation bonds
|
11/25/2014 | LMMU | New York trust’s natural history museum bonds have mandatory tender
|
11/25/2014 | EMLM | Metinvest wraps offer for 10¼% notes, waives tender minimum condition
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11/25/2014 | LMMU | Kansas Development redeems $35.38 million of Adventist Health bonds
|
11/25/2014 | LMMU | South Carolina Jobs to redeem $18.09 million 2009 Palmetto Health bonds
|
11/25/2014 | LMMU | Massachusetts HEFA calls $10 million of Museum of Fine Arts bonds
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11/25/2014 | LMMU | Metropolitan Water District of Southern California’s 2011 A-1, A-3 bonds have mandatory tender
|
11/25/2014 | IGLM | Motorola Solutions to redeem all $3.45 million 8.4% debentures due 2031
|
11/25/2014 | LMMU | Long Island Power calls all $22.27 million 2004A electric system bonds
|
11/25/2014 | EUIGLM | Correction: Credit Suisse seeks to convert one series of dollar bonds into soft bullets
|
11/25/2014 | LMMU | North Harris County Regional Water, Texas, defeases senior-lien bonds
|
11/25/2014 | LMMU | Peoria, Ill., plans to redeem all 2005A general obligation bonds
|
11/25/2014 | LMMU | Miami-Dade County School Board, Fla., defeases its 2006A, 2006B COPs
|
11/25/2014 | HYLM | QR Energy plans to redeem $300 million of 9¼% senior notes due 2021
|
11/25/2014 | IGLM | Ingersoll-Rand to redeem all $200 million 5.5% senior notes due 2015
|
11/25/2014 | HYLM | Springleaf to buy back $192.2 million 6.9% notes with new deal funds
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11/24/2014 | EMHYLM | China's Renhe starts cash tender, solicitation for 11¾%, 13% notes
|
11/24/2014 | HYLM | Sealed Air extends consent bid for 8 3/8% notes, updates tender for 8 1/8% notes so far; call issued
|
11/24/2014 | IGLMPF | Duke Realty to redeem all 597,579 6.5% series K preferreds on Dec. 24
|
11/24/2014 | EMLM | China Water Property solicits consents to amend 12½% notes due 2016
|
11/24/2014 | CVLM | Energy XXI issues shares in exchange for 5.625% convertible preferreds
|
11/24/2014 | CVLM | CapitaCommercial updates redemption amount of 2.7% convertible bonds
|
11/24/2014 | IGLM | Consumers Energy scraps exchange offer, fails to meet minimum tenders
|
11/24/2014 | EULM | Credit Suisse seeks to convert seven covered series into soft bullets
|
11/24/2014 | HYLM | CHC Helicopter to redeem $105 million of 9 3/8% senior notes due 2021
|
11/24/2014 | LMMU | California State Public Works defeases four lease revenue bond series
|
11/24/2014 | LMMU | North Carolina defeases its 2008A, 2009A capital improvements bonds
|
11/24/2014 | HYLM | CDW to redeem $541.4 million of senior notes due 2019 via new offering
|
11/24/2014 | LMMU | Sacramento County Sanitation defeases $58.73 million of 2005 bonds
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11/24/2014 | IGLM | Boardwalk Pipeline to redeem all $275 million Gulf South 5.05% notes
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11/24/2014 | HYIGLM | Seagate HDD Cayman to redeem all $324 million 6.8% notes due 2016
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11/24/2014 | HYLM | Sealed Air extends consent solicitation for $750 million 8 3/8% notes
|
11/21/2014 | HYLM | DS Services extends expiration of consent solicitation to Nov. 25
|
11/21/2014 | HYLM | Prospector holders may put 7¾% bonds due 2019 at 101 due to buyout
|
11/21/2014 | CVLM | Molycorp holder to exchange $38 million of 6%, 5.5% convertibles
|
11/21/2014 | HYLM | Hapag-Lloyd plans to redeem all outstanding 9% senior notes due 2015
|
11/21/2014 | HYLM | Golden State Petroleum to redeem 8.04% first preferred mortgage notes
|
11/21/2014 | CVDDLM | Transeuro pulls summons for meeting meant to OK convertibles standstill agreement, waiver extension
|
11/21/2014 | HYLM | Kennedy-Wilson to redeem all $350 million of 8¾% senior notes due 2019
|
11/21/2014 | BKHYLM | EarthLink amends credit agreement to allow $30 million note buyback
|
11/21/2014 | IGLM | Tanger Factory Outlet to redeem $250 million of 6.15% notes due 2015
|
11/21/2014 | LMMUPF | Nuveen California AMT-Free Premium Income Fund to redeem preferreds
|
11/21/2014 | HYLM | Realogy to redeem all $332 million 7 7/8% secured notes due 2019
|
11/21/2014 | IGLM | Consumers Energy extends early deadline in exchange offer for 6.7%, 6.125% first-mortgage bonds
|
11/21/2014 | HYLM | Sonae Industria announces full redemption of €120 million of bonds
|
11/21/2014 | LMPF | Oak Ridge Financial calls $2.5 million series A TARP preferred stock
|
11/21/2014 | LMMU | Loma Linda, Calif., defeases some university medical center bonds
|
11/21/2014 | LMMU | Grant County, Wash., calls $59.82 million Wanapum Hydroelectric bonds
|
11/21/2014 | LMMU | Marshall County, W.Va., calls $50 million Ohio Power series E bonds
|
11/21/2014 | LMMU | Scottsdale, Ariz., authority calls $59.49 million hospital bonds
|
11/21/2014 | HYLM | Mueller Water counts early tenders for 7 3/8% notes and 8¾% notes
|
11/21/2014 | CVLM | JetBlue to redeem $48.41 million 6.75% convertibles due 2039 on Dec. 23
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11/21/2014 | HYLM | Selvaag Bolig holders vote to amend NOK 500 million bonds due 2018
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11/20/2014 | HYLM | Tenneco starts tender offer for $225 million of 7¾% notes due 2018
|
11/20/2014 | HYLM | LBI Media begins exchange offers for several series of notes
|
11/20/2014 | HYLM | Hurtigruten ups proposed call price to be voted on at Nov. 25 meeting
|
11/20/2014 | IGLM | Verizon Communications sets redemption price for seven debt series
|
11/20/2014 | HYLM | Valeant to buy back up to $2 billion of notes under repurchase program
|
11/20/2014 | HYLM | Obrascon Huarte to redeem all €523.75 million of 7 3/8% notes due 2015
|
11/20/2014 | EMLM | Brazil’s Marfrig cancels tender offer, consent solicitation for 9½% notes, also skips note offering
|
11/20/2014 | IGLM | Freeport-McMoRan offers to buy up to $1.25 billion of five note series
|
11/20/2014 | LMMU | Metro, Ore., defeases 2007 natural areas general obligation bonds
|
11/20/2014 | EULM | Veolia lifts tender cap to €225 million for 4%, 4.375%, 6.75% notes
|
11/20/2014 | HYLM | Cable & Wireless collects needed consents to amend 8¾% notes due 2020
|
11/20/2014 | DDHYLMMU | Buffalo Thunder again extends exchange offer for 9 3/8% notes due 2014
|
11/20/2014 | HYLM | Cliffs Natural Resources tenders for $600 million of five note series
|
11/19/2014 | DDEMLM | Jasper Investments gives details on consensual separation of subsidiary
|
11/19/2014 | IGLM | KLA-Tencor redemption of $750 million 6.9% notes set for Dec. 19
|
11/19/2014 | LMMUPF | Three Nuveen funds plan to redeem in full MuniFund term preferreds
|
11/19/2014 | EMLM | Metinvest gets tenders for 76% of 10¼% notes so far, extends exchange offer to Nov. 24
|
11/19/2014 | CVLM | XPO Logistics holders to convert 4.5% convertible notes due 2017
|
11/19/2014 | BKHYLM | Swift Transportation uses term loan to redeem all 10% secured notes
|
11/19/2014 | LMMU | Montgomery County, Md., calls 2004A public improvement bonds
|
11/19/2014 | LMMU | Ernest N. Morial – New Orleans Exhibition calls $77.53 million bonds
|
11/19/2014 | LMMU | Indiana Finance’s 2010A, B Republic Services bonds subject to tender
|
11/19/2014 | LMMU | Virginia Small Business calls $70 million Hampton University bonds
|
11/19/2014 | LMMU | Virginia Small Business calls $70 million Hampton University bonds
|
11/19/2014 | LMMU | Camden County, N.J., defeases 2005A, 2005B Cooper Health System bonds
|
11/19/2014 | HYLM | HD Supply to refinance 8 1/8% first-priority notes due 2019 via new notes
|
11/19/2014 | LMMU | Illinois calls $68.89 million unemployment insurance fund bonds
|
11/19/2014 | HYLM | Foreign & Colonial to redeem 11¼% debenture stock due 2014 in full
|
11/19/2014 | HYLM | AA plans redemption for £175 million 9½/10¼ senior PIK toggle notes
|
11/19/2014 | EMLM | Singapore’s DBS Bank tenders for $550 million of subordinated floaters
|
11/19/2014 | LMMU | Virginia Tobacco Settlement calls $11.05 million of asset-backed bonds
|
11/19/2014 | CVLM | DryShips buys back $191.09 million of 5% convertibles in open market
|
11/19/2014 | HYIGLM | Owens Corning wraps oversubscribed tender offers for 9%, 6.5% notes
|
11/19/2014 | HYLM | Asbury Automotive begins tender offer for $300 million 8.375% notes
|
11/18/2014 | IGLM | Macy’s to redeem $406.62 million of 7.875% senior notes due 2015
|
11/18/2014 | DDEMLM | Jasper Explorer trustee issues separation plan to keep vessel afloat
|
11/18/2014 | IGLM | Equity CommonWealth redeems all $125 million 7.5% notes due 2019
|
11/18/2014 | HYLM | Walter Energy to issue stock, pay cash for $52 million 9 7/8% notes
|
11/18/2014 | EMLM | Cosan Overseas begins tender offer for $500 million 8.25% perpetuals
|
11/18/2014 | HYIGLM | Owens Corning prices $400 million tender offers for 9%, 6.5% notes
|
11/18/2014 | EULM | GEA Group begins tender offer for €400 million 4.25% notes due 2016
|
11/18/2014 | LMMU | Washington Health to refund $83.36 million Seattle Cancer Care bonds
|
11/18/2014 | EMLM | Vietnam’s Vingroup solicits consents to amend 11 5/8% notes due 2018
|
11/18/2014 | EULM | Mercialys tenders for €650 million 4.125% bonds due March 2019
|
11/18/2014 | LMMU | Colorado Transportation to redeem $134.64 million anticipation notes
|
11/18/2014 | HYLM | Neovia Logistics enters supplemental indenture for 8 7/8% notes
|
11/18/2014 | HYLM | Rottapharm begins change-of-control offer for €400 million 6 1/8% notes
|
11/18/2014 | HYLM | Borgestad exercises call option on 10% senior unsecured callable bond
|
11/18/2014 | LMMU | Southcentral Pennsylvania, defeases $91.54 million WellSpan bonds
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11/18/2014 | LMMU | West Deptford, N.J., will redeem series 2004 general obligation bonds
|
11/18/2014 | LMMU | Wisconsin HEFA calls all 2012D $61.05 million Hospital Sisters bonds
|
11/18/2014 | HYLM | Lear to redeem in full 8 1/8% notes due 2020 with new note proceeds
|
11/18/2014 | LMMU | San Mateo Union High School, Calif., defeases election of 2006 G.O.s
|
11/17/2014 | EMLM | Hong Kong’s Powerlong solicits consents for 11¼% notes, 9½% notes
|
11/17/2014 | IGLM | KLA-Tencor plans to redeem $750 million 6.9% senior notes due 2018
|
11/17/2014 | EULM | Generali accepts €1.36 billion perpetual fixed/floaters in buyback
|
11/17/2014 | EMLM | Peru gives final results for offer to purchase sovereign, global bonds
|
11/17/2014 | HYLM | InterOil Exploration gets consents to amend some parts of 15% bonds
|
11/17/2014 | HYLM | Westmoreland Coal tenders for any and all $675.49 million 10¾% notes
|
11/17/2014 | IGLM | Freeport-McMoRan, units to redeem all 1.4%, 7.625% notes Dec. 17
|
11/17/2014 | EMLM | China’s Evergrande calls all 13% notes for early redemption on Dec. 18
|
11/17/2014 | EULM | Norway’s Fjord Line seeks bondholder OK to amend bonds due 2016
|
11/17/2014 | HYLM | Athlon to redeem 35% of 7 3/8%, 6% notes on Dec. 15, the rest Dec. 16
|
11/17/2014 | CVLM | Subsea 7 buys back $35.5 million more 1% convertible bonds due 2017
|
11/17/2014 | EMIGLM | Gruma announces Dec. 15 redemption for all 7¾% perpetual bonds
|
11/17/2014 | CVIGLM | Dominion Resources to repurchase debt securities via new note offerings
|
11/17/2014 | HYLM | Dana Holding begins tender offer for $360 million 6½% notes due 2019
|
11/17/2014 | LMMU | Duke Energy to repurchase tax-exempt bonds via mortgage bond offering
|
11/17/2014 | EULM | RBS solicits consents to amend six note series; meeting set for Dec. 9
|
11/17/2014 | LMMU | Frenship ISD, Texas, defeases $65.74 million unlimited tax bonds
|
11/17/2014 | HYLM | Level 3 to redeem all 11 7/8% notes due 2019 via offering proceeds
|
11/17/2014 | CLLM | Halcyon begins consent solicitation for eight series of notes
|
11/17/2014 | LMMU | Colorado Health’s Sisters of Charity bonds have mandatory tender
|
11/17/2014 | HYLM | Equinix to redeem its 7% senior notes due 2021 via offering proceeds
|
11/17/2014 | LMMU | Fulton County, Ga., authority calls $64.1 million 2009B Piedmont bonds
|
11/17/2014 | HYLM | Neovia gets consents for 8 7/8% notes; bid for PIK notes ends Monday
|
11/17/2014 | HYLM | Huntington Ingalls begins tender offer for 6 7/8% senior notes due 2018
|
11/17/2014 | DDHYLMMU | Buffalo Thunder extends exchange offer for 9 3/8% notes due 2014
|
11/17/2014 | IGLM | PPG Industries wraps cash tender offers for 9% debentures, 7.7% notes
|
11/14/2014 | EULM | Generali gives pro-ration factors in tender for fixed/floating notes
|
11/14/2014 | ABLM | Breeze Finance class A bondholders’ meeting adjourned to Dec. 1
|
11/14/2014 | EULM | EXOR cancels €11.4 million more 5.375% notes due 2017 after tender
|
11/14/2014 | HYLM | Bankrate gets enough consents to amend 6 1/8% senior notes due 2018
|
11/14/2014 | HYLM | Essar Steel Algoma to redeem remaining 9 3/8% notes at par on Dec. 15
|
11/14/2014 | EMHYLM | Central European Media calls €240 million 9% senior notes due 2017
|
11/14/2014 | HYLM | Pilgrim’s Pride calls $500 million 7 7/8% senior notes due 2018
|
11/14/2014 | IGLM | PPG Industries prices cash tender offers for 9% debentures, 7.7% notes
|
11/14/2014 | HYLM | Zayo Group intends to redeem 8 1/8% and 10 1/8% notes due 2020
|
11/14/2014 | IGLMPF | Duke Realty to redeem all 6.6% series L preferreds in December
|
11/14/2014 | HYLM | MTR Gaming buys back $10 million 11¼% senior secured second-lien notes
|
11/14/2014 | EMLM | Brazil’s Marfrig tenders, solicits consents for 9½% notes due 2020
|
11/14/2014 | LMMU | Posey, Ind.’s Midwest Fertilizer bonds subject to mandatory tender
|
11/14/2014 | CAIGLM | Bell Canada, Bell Aliant get approval to swap out seven note series
|
11/14/2014 | LMMU | Washington defeases various purpose, motor vehicle fuel tax G.O. bonds
|
11/14/2014 | LMMU | Colorado defeases $115.2 million of series 2008 higher education COPs
|
11/14/2014 | HYLM | Realogy to redeem all $332 million 7 7/8% senior notes via new offering
|
11/14/2014 | HYLM | Dean Foods to pay $25 million to redeem all 9¾% senior notes due 2018
|
11/14/2014 | HYLM | Travelex holders agree to reorganize £240 million notes, PIK notes
|
11/14/2014 | IGLM | Newell Rubbermaid tenders for up to $100 million of 4.7% notes due 2020
|
11/14/2014 | HYLM | GasLog gets bondholder OK to amend bonds to add more flexibility
|
11/13/2014 | HYLM | DS Services solicits consents for 10% second-priority notes due 2021
|
11/13/2014 | CVLM | Horizon Lines plans to defease 6% convertibles due 2017 after merger
|
11/13/2014 | HYLM | Neovia again extends consent solicitation for 8 7/8% notes, amends fee
|
11/13/2014 | IGLM | Roche holders tender $1.04 billion of two note series by early deadline
|
11/13/2014 | DDHYLM | ZaZa Energy in talks with 8% noteholders to consider PIK interest
|
11/13/2014 | HYLM | Golden Close to carry out cash sweep redemption on 11% bonds due 2015
|
11/13/2014 | CLLM | Ocean Trails solicits consents from holders of notes, preferreds
|
11/13/2014 | EULM | Wellington Pub purchases £20.34 million additional class A bond
|
11/13/2014 | IGLM | Prudential plans to redeem all $750 million of 11¾% notes on Dec. 23
|
11/13/2014 | LMMU | New York City Municipal Water calls all $604.34 million 2005B bonds
|
11/13/2014 | IGLM | Cardinal Health to redeem $1.14 billion of four note series on Dec. 10
|
11/13/2014 | LMMU | San Joaquin Hills, Calif., defeases 1997A toll road refunding bonds
|
11/13/2014 | LMMU | Seattle calls all $125 million 2004 municipal light and power bonds
|
11/13/2014 | IGLM | Cytec Industries wraps tenders for $17.81 million 6% notes due 2015
|
11/13/2014 | IGLM | Mack-Cali plans to redeem $150 million 5.125% notes due 2015 at 100.38
|
11/12/2014 | EMLM | BTA Bank gets enough consents to approve changes to 5½% notes due 2022
|
11/12/2014 | HYLM | Hurtigruten seeks to add call option to bonds, sets Nov. 25 meeting
|
11/12/2014 | HYLM | McClatchy gets no tenders in offer to buy back up to $406 million of 9% notes at par
|
11/12/2014 | IGLM | Cytec prices tender offer for 6% notes due 2015, set to end Wednesday
|
11/12/2014 | HYLM | E*Trade to redeem all outstanding 6¾%, 6% via new notes and cash
|
11/12/2014 | IGLM | Duke Realty plans to repay $250 million of 7.375% notes due 2015
|
11/12/2014 | LMPF | Duke Realty plans to redeem all 6.6% series L cumulative preferreds
|
11/12/2014 | HYLM | Lowell Group seeks consents to amend £275 million 10¾% notes due 2019
|
11/12/2014 | HYLM | Vertellus Specialties to redeem $345 million of 9 3/8% notes in full
|
11/12/2014 | CVLM | American Equity to redeem all $32.14 million of 5.25% convertibles
|
11/12/2014 | HYLM | KraussMaffei, MPM call €32.5 million of 8¾% senior notes due 2020
|
11/12/2014 | EULM | Santander UK calls €400 million fixed-to-floating callable notes
|
11/12/2014 | EULM | Veolia begins tender offer for €200 million of 4%, 4.375%, 6.75% notes
|
11/12/2014 | EULM | Norway’s Statkraft buys back NOK 200 million of notes on Tuesday
|
11/12/2014 | EMLM | Cosan solicits consents for 5% notes due 2023, 9½% notes due 2018
|
11/12/2014 | DDEMLM | Cosan solicits consents for 5% notes due 2023, 9½% notes due 2018
|
11/12/2014 | HYLM | Kennedy-Wilson to redeem all 8¾% notes due 2019 via new offering
|
11/12/2014 | CAHYLM | Mercer tenders, seeks consents for $334.36 million 9½% notes due 2017
|
11/11/2014 | HYLM | Neovia extends consent solicitation of 8 7/8% notes to Nov. 12
|
11/10/2014 | CVLM | Omnicare calls 3.75% convertibles due 2042 for redemption on Dec. 10
|
11/10/2014 | HYLM | Michaels plans redemption of 7½%/8¼% PIK toggle notes on Dec. 10
|
11/10/2014 | HYLM | SPX obtains consents to amend $600 million 6 7/8% notes due 2017
|
11/10/2014 | HYLM | SuperValu to redeem its $350 million 8% senior notes via new offering
|
11/10/2014 | EMLM | Mexico’s Controladora Mabe gets enough consents to amend 7 7/8% notes
|
11/10/2014 | HYLM | S&B acquisition will trigger change of control for 9¼% notes due 2020
|
11/10/2014 | LMMU | Minneapolis-St. Paul Metro Airports calls $114.04 million 2005A bonds
|
11/10/2014 | IGLM | Federal Realty to redeem all 5.65% notes due 2016 via new offering
|
11/10/2014 | CLLM | Cougar CLO II calls all class A senior secured, B subordinated floaters
|
11/10/2014 | EULM | Coventry Building redeems the rest of its €650 million bonds due 2014
|
11/10/2014 | DDHYLM | iPayment begins exchange offers for 10¼% notes, 15% notes due 2018
|
11/10/2014 | EMLM | Vietnam accepts tenders for $726.65 million of 6 7/8%, 6¾% bonds
|
11/10/2014 | CVLM | 3D Systems holders convert remaining $12,540 of 5.5% notes due 2016
|
11/7/2014 | EULM | Australia's ANZ to buy back €500 million hybrid securities in December
|
11/7/2014 | HYLM | Selvaag Bolig seeks to amend bond issue to improve earnings potential
|
11/7/2014 | CVDDLM | Transeuro seeks extension of convertibles standstill agreement, waiver
|
11/7/2014 | EULM | Gtech sets 2016 notes call date, gets consents for two other series
|
11/7/2014 | EMLM | India's Golden Goenka redeems its Rs. 500 million 12¾% debentures
|
11/7/2014 | LMPF | United Bankshares subsidiary to redeem $27 million trust preferreds
|
11/7/2014 | EULM | Hammerson to redeem in full €480.05 million 4 7/8% bonds due 2015
|
11/7/2014 | IGLM | Hammerson to redeem in full €480.05 million 4 7/8% bonds due 2015
|
11/7/2014 | HYLM | Hammerson to redeem in full €480.05 million 4 7/8% bonds due 2015
|
11/7/2014 | CLLM | AMMC CLO IV to redeem $39.6 million of class C, class D senior notes
|
11/7/2014 | LMMU | North Carolina Medical calls $54.19 million of Eastern Carolina bonds
|
11/7/2014 | IGLM | SABMiller calls $850 million of 6.5% notes due 2016
|
11/7/2014 | IGLM | Cardinal Health plans make-whole call for four series via new issue
|
11/7/2014 | HYLM | Cable & Wireless begins consent bid for $400 million 8¾% notes due 2020
|
11/7/2014 | HYLM | Sealed Air tenders, solicits consents for $750 million 8 1/8% notes
|
11/6/2014 | CVHYLM | Omnicare to redeem $400 million 7¾% notes, might redeem convertibles
|
11/6/2014 | EULM | Generali starts repurchase offer for three fixed/floating notes series
|
11/6/2014 | HYLM | Bankrate solicits consents to amend 6 1/8% senior notes due 2018
|
11/6/2014 | HYLM | Iasis buys back $100,000 8 3/8% notes in asset sale tender offer
|
11/6/2014 | CVLM | CapitaCommercial updates redemption amount of 2.7% convertible bonds
|
11/6/2014 | HYLM | Travelport redeems notes after obtaining first-lien credit facility
|
11/6/2014 | CVLM | Atlantic Power to begin normal-course issuer bid for convertibles
|
11/6/2014 | IGLM | Consumers Energy offers to exchange 6.7%, 6.125% first mortgage bonds due 2019 for bonds due 2025
|
11/6/2014 | EULM | AXA gives final results for exchange of undated subordinated notes
|
11/6/2014 | LMMU | Wyandotte County and Kansas City, Kan., calls $41.48 million of bonds
|
11/6/2014 | LMMU | Bucks County, Pa., calls 2004 federally taxable G.O. bonds
|
11/6/2014 | EMLM | BTA Bank ups consent fee, extends deadline for 5½% notes due 2022
|
11/6/2014 | LMMU | Texas Municipal Gas calls $51.68 million series 2008D revenue bonds
|
11/6/2014 | LMMU | California County Tobacco defeases $82.45 million of Kern County bonds
|
11/6/2014 | HYLM | Calpine to redeem $125 million of its 5 3/8% 2023 first-lien notes
|
11/6/2014 | EULM | SPP Liv holders approve issuer change under SEK 700 million perpetuals
|
11/6/2014 | CVLM | Alpha Natural buys back $21.4 million more 2.375% convertibles, $19 million 3.25% convertibles
|
11/6/2014 | HYLM | Mueller Water tenders, seeks consents for 7 3/8% notes and 8¾% notes
|
11/6/2014 | HYLM | EnQuest gets votes to amend 5½% notes due 2022 at Wednesday meeting
|
11/6/2014 | IGLM | PPG begins cash tender offers for $400 million of two series of notes
|
11/5/2014 | CAIGLM | AltaGas calls all C$200 million of its 4.1% series 5 notes
|
11/5/2014 | EMLM | Vietnam starts one-day tender offer to purchase 6 7/8%, 6¾% bonds
|
11/5/2014 | HYLM | US Foods fails to satisfy conditions on time, rescinds 8½% note call
|
11/5/2014 | EULM | RSA Insurance calls £450 million 8.5% cumulative step-up perpetuals
|
11/5/2014 | HYLM | McClatchy agrees to buy back $409.35 million 9% notes, 5¾% notes
|
11/5/2014 | HYLM | Boart Longyear gets early tenders for 52.1% of 10% notes due 2018
|
11/5/2014 | LMMU | Virgin Islands Public Finance to redeem all $233.29 million 2003 revs
|
11/5/2014 | EULM | KPN accepts €1.42 billion, £293.72 million of notes in tender offer
|
11/5/2014 | CAIGLM | AltaGas plans to redeem all C$200 million 4.1% series 5 notes
|
11/5/2014 | IGLM | Associated Banc-Corp to fund 5.125% note redemption via new offerings
|
11/5/2014 | CAHYLM | Huntingdon calls C$18.14 million 7½% secured notes due 2016 at 106.247
|
11/5/2014 | CALMPF | Industrial Alliance to redeem all C$104 million of series E preferreds
|
11/5/2014 | IGLM | Cytec begins tender for 6% notes due 2015, issues call for two series
|
11/4/2014 | EMLM | Metinvest changes new notes/cash ratio in 10¼% notes exchange offer
|
11/4/2014 | HYIGLM | Owens Corning begins $400 million tender offers for 9%, 6.5% notes
|
11/4/2014 | LMMU | Fairfax County, Va., defeases 2012A, 2013A public improvement bonds
|
11/4/2014 | LMMU | New York Liberty to redeem World Trade Center recovery revenue bonds
|
11/4/2014 | EULM | Klepierre accepts €162.7 million 4.25% notes, €185.4 million 4% notes
|
11/4/2014 | LMMU | Michigan State Hospital calls $148.66 million 2007 Henry Ford bonds
|
11/4/2014 | LMMU | California defeases $1.29 billion 2009A economic recovery bonds
|
11/4/2014 | HYLM | Ontex to redeem €395 million 7½% notes, €235 million 9% notes Dec. 4
|
11/4/2014 | LMPF | Pacific Commerce Bank buys back all $4.3 million TARP preferreds
|
11/4/2014 | CAIGLM | Thomson Reuters to redeem C$750 million of 6% notes due 2016 on Dec. 4
|
11/3/2014 | HYLM | InterOil Exploration & Production begins consent bid for 15% bonds
|
11/3/2014 | LMPF | Rabobank to redeem in full floating-rate trust preferreds on Dec. 31
|
11/3/2014 | IGLM | ConocoPhillips intends to redeem all outstanding 4.6% notes due 2015
|
11/3/2014 | EULM | AXA gives minimum spreads for exchange of undated subordinated notes
|
11/3/2014 | EMLM | MBPS Finance to redeem all $198.36 million of 11¼% notes due 2015
|
11/3/2014 | CVLM | 361 Degrees International calls remaining 4.5% convertibles due 2017
|
11/3/2014 | ABLM | Max Two gets consent to change prepayment terms of 5.7% notes due 2024
|
11/3/2014 | EMLM | India’s Rolta gets needed consents to amend 10¾% notes due 2018
|
11/3/2014 | HYLM | Seneca Gaming to pay down $325 million 8¼% senior notes on Dec. 1
|
11/3/2014 | HYLM | Belgium’s Ontex Group to redeem 7½%, 9% notes via new notes, term loan
|
11/3/2014 | IGLM | Aetna plans to redeem all $495.6 million 6.5% notes due 2018 on Dec. 3
|
11/3/2014 | HYLM | Kemet to redeem all 10½% senior notes due 2018 via new notes due 2019
|
11/3/2014 | CVLM | Owens-Illinois tenders for $628.7 million 3% exchangeables due 2015
|
10/31/2014 | LMPF | Pimco funds receive tenders for 35%, 43% of auction-rate preferreds
|
10/31/2014 | EULM | United Kingdom to redeem £218 million of First World War bonds
|
10/31/2014 | CAHYLMPV | Postmedia gets consent to issue C$140 million add-on to 8¼% notes
|
10/31/2014 | CVHYLM | Vantage Drilling buys back some 7 1/8%, 7½% notes, 7.875% convertibles
|
10/31/2014 | IGLM | National Rural to redeem all $400 million of 1% collateral trust bonds
|
10/31/2014 | HYLM | DineEquity redeems all $761 million of 9½% senior notes due 2018
|
10/31/2014 | EMLM | Peru accepts S/. 5.34 billion of bonds in one-day tender offer
|
10/31/2014 | HYLM | Level 3 to redeem all of tw telecom’s 5 3/8%, 6 3/8% senior notes
|
10/31/2014 | HYLM | Styrolution changes expected redemption date for 7 5/8% notes due 2016
|
10/31/2014 | CVLM | Omnicare to swap out $241.5 million 3.25% convertibles due 2035
|
10/31/2014 | HYLM | GasLog sets bondholders meeting for Nov. 14, seeks more flexibility
|
10/30/2014 | CVLM | HealthLease debentureholders approve redemption of 5.75% convertibles
|
10/30/2014 | HYLM | Omnova Solutions to redeem $50 million of 7 7/8% notes at 103.938
|
10/30/2014 | LMPV | Royal Imtech announces planned debt buybacks totaling €146 million
|
10/30/2014 | EMLM | Philippines’ Petron plans early redemption of series B notes on Dec. 5
|
10/30/2014 | CVGNLM | Jun Yang Solar redeems all HK$195.68 million 5% convertible bonds
|
10/30/2014 | LMMU | Chandler, Ariz., plans to refund 2007, 2009 general obligation bonds
|
10/30/2014 | HYLM | Cermaq: Acquisition triggers change-of-control put on bonds due 2019
|
10/30/2014 | LMMU | Sacramento County Sanitation plans to redeem all 2004A revenue bonds
|
10/30/2014 | LMMU | ABAG Finance calls $59.19 million of 899 Charleston variable-rate revs
|
10/30/2014 | HYLM | Cermaq bondholder exercises put option on 92.16% of bonds due 2019
|
10/30/2014 | DDHYLM | Education Management extends exchange offer due to noteholder suit
|
10/30/2014 | EMLM | Peru sets one-day tender offer for maximum amount of five note series
|
10/30/2014 | CALM | National Bank of Canada to redeem series 3 medium-term notes due 2019
|
10/30/2014 | HYLM | Regency Energy calls all $600 million 6 7/8% senior notes due 2018
|
10/30/2014 | EULM | Society of Lloyd’s gets tenders for £149 million 6 7/8% notes due 2025
|
10/30/2014 | EULM | KPN begins tender offer for up to €2 billion of several note series
|
10/30/2014 | LMPF | Farmers Capital Bank to redeem one-half of series A preferred stock
|
10/30/2014 | CVLM | TUI: Holders may be able to put or convert £400 million 4.9% notes
|
10/29/2014 | EULM | Klepierre launches tender offer for 4.25%, 4% euro-denominated notes
|
10/29/2014 | CVLM | Finisar holders convert all 5% convertible notes ahead of redemption
|
10/29/2014 | HYLM | Targa Resources to redeem $250 million 7 7/8% notes on Nov. 28
|
10/29/2014 | EULM | Christian Dior gets approval from 2011 bondholders at meeting
|
10/29/2014 | HYLM | Nara Cable Funding to redeem all 8 7/8% senior secured notes due 2018
|
10/29/2014 | EULM | AXA offers to exchange four series of undated subordinated notes
|
10/29/2014 | HYLM | Huntsman to redeem some 8 5/8% notes with proceeds from new notes
|
10/29/2014 | BKCLLM | TICC enters into $150 million three-year revolver, redeems CLO notes
|
10/29/2014 | LMMU | Nevada calls all 2004 motor vehicle fuel tax highway improvement revs
|
10/29/2014 | LMMU | Columbus City School, Ohio, calls $138.51 million 2004 bonds in full
|
10/29/2014 | CVLM | Sino Grandness buys back some convertibles, extends rest to June 2015
|
10/29/2014 | BKHYLM | Caesars looks to restructure three note series, senior secured loans
|
10/29/2014 | HYLM | Fiat Chrysler to redeem Chrysler notes, refinance term loans, revolver
|
10/29/2014 | HYLM | SPX solicits consents to amend $600 million 6 7/8% notes due 2017
|
10/28/2014 | LMMU | Iowa Higher Education calls $60 million of 2008 Grinnell College bonds
|
10/28/2014 | LMMU | Port Authority of N.Y., N.J. calls $302.41 million consolidated bonds
|
10/28/2014 | LMMU | North Carolina partially redeems 2005A, 2006A-B Duke University bonds
|
10/28/2014 | CLLM | Grosvenor Place CLO III partially redeems class A floaters due 2023
|
10/28/2014 | EULM | Enel accepts €761.73 million notes in tender offers for five series
|
10/28/2014 | LMMU | Virginia Small Business to redeem all $70 million 2008A Hampton revs
|
10/28/2014 | LMMU | Minnesota Higher Education calls $15.25 million student loan bonds
|
10/28/2014 | IGLMPF | Standard Chartered calls all $1.5 billion step-up callable securities
|
10/28/2014 | CVLM | 361 Degrees buys back $86.2 million 4.5% convertibles in tender offer
|
10/28/2014 | CVLM | Frontline exchanges $23 million 4.5% convertibles for stock, cash
|
10/27/2014 | HYLM | M/I Homes terminates tender offer, solicitation for 8 5/8% notes
|
10/27/2014 | EMHYLM | Mexico’s Controladora Mabe solicits consents for 7 7/8% notes due 2019
|
10/27/2014 | LMMU | Suffolk County Water, N.Y., defeases 2003, 2005 water system bonds
|
10/27/2014 | CAIGLM | Bell Aliant sets 101.267 redemption price for 6.29% notes due 2015
|
10/27/2014 | CVLM | AudioCodes to redeem all remaining $53,000 2% convertibles due 2024
|
10/27/2014 | LMMU | District of Columbia calls $155.77 million 2008A, D multimodal G.O.s
|
10/27/2014 | LMMU | Cleveland Clinic Health, Ohio’s 2008B-4 bonds have mandatory tender
|
10/27/2014 | LMMU | New York City to redeem $231.86 million of 2005E G.O. bonds on Nov. 1
|
10/27/2014 | CVLM | Atos’ Bull plans to redeem remaining Oceanes due 2033 on Dec. 1
|
10/27/2014 | HYLM | M/I Homes tenders, solicits consents for $230 million 8 5/8% notes
|
10/24/2014 | HYLM | Golden Close to redeem all 11% senior secured callable bonds due 2015
|
10/24/2014 | ABLM | Southern Pacific Financing seeks holder consent for floating-rate notes
|
10/24/2014 | LMMU | Stockton, Calif., calls $70.4 million wastewater system project bonds
|
10/24/2014 | LMMU | Blair County Hospital, Pa., calls $55.05 million of 2009 Altoona bonds
|
10/24/2014 | LMMU | Denver $146.2 million Aviation Department bonds have mandatory tender
|
10/24/2014 | EULM | Aviva calls all €700 million 4.7291% fixed/floating-rate instruments
|
10/24/2014 | LMMU | Montgomery, Ohio, calls $113.38 million Miami Valley Hospital bonds
|
10/24/2014 | CVLM | Horizon Pharma to settle $60.9 million converted notes in stock, cash
|
10/23/2014 | EULM | Gtech to redeem notes due 2016, seek consents for two other series
|
10/23/2014 | LMMU | Franklin, Ohio, hospital facilities revenue bonds have mandatory tender
|
10/23/2014 | LMMU | Brevard County School Board, Fla., partially defeases its 2006A COPs
|
10/23/2014 | EMLM | Malaysia’s Public Bank calls all RM 200 million 4.6% notes due 2019
|
10/23/2014 | IGLM | Verizon Communications, units to redeem various debt securities
|
10/23/2014 | LMMU | Massachusetts Health and Educational calls $33 million revenue bonds
|
10/23/2014 | EULM | Society of Lloyd’s tenders for £153.24 million 6 7/8% notes due 2025
|
10/23/2014 | HYLM | Graphic Packaging plans to redeem $250 million 7 7/8% notes at 103.938
|
10/22/2014 | HYLM | Boart Longyear tenders for up to $105 million of 10% notes due 2018
|
10/22/2014 | CAEMHYLM | Pacific Rubiales accepts $321.6 million 7¼% notes in exchange offer
|
10/22/2014 | HYLM | J.C. Penney defeases its 6 7/8% medium-term notes due 2015
|
10/22/2014 | LMPF | Urstadt Biddle Properties to redeem 7.5% preferreds in full on Nov. 21
|
10/22/2014 | IGLM | Nuveen Investments calls all $300 million 5.5% senior notes due 2015
|
10/22/2014 | HYLM | Service Corp. to redeem 7% notes due 2019 at 103.5 on Nov. 15
|
10/22/2014 | CVLM | PDL to issue shares, pay cash for $25.97 million 2.875% convertibles
|
10/22/2014 | ABLM | Annington Finance buys back £2.17 million zero-coupon bonds due 2022
|
10/22/2014 | LMMU | Sacramento County Sanitation plans to redeem $32.05 million of bonds
|
10/22/2014 | LMMU | New Jersey Economic calls $119.06 million 2012G school bonds
|
10/22/2014 | EULM | National Asset Management redeems €734 million of its senior notes
|
10/22/2014 | IGLM | Verizon to redeem notes due 2015 to 2018 via new offering proceeds
|
10/22/2014 | LMMU | NYC Transitional Finance calls $12.79 million 2012 D future tax bonds
|
10/22/2014 | LMMU | Austin, Texas, calls $113.08 million 2004A water and wastewater bonds
|
10/22/2014 | LMMU | Keller ISD, Texas, defeases $59.62 million ULT school building bonds
|
10/22/2014 | LMMU | Nassau County Interim Finance, N.Y., calls $67.88 million 2004H bonds
|
10/22/2014 | EMLM | Banco do Brasil forgoes swapping out 8½% perpetuals in exchange offer
|
10/22/2014 | HYLM | Flint Hills Resources Houston Chemical collects consents for 6¼% notes
|
10/22/2014 | CALMPF | RBC to redeem $325 million five-year rate-reset first preferreds
|
10/21/2014 | HYLM | Breeze Finance class A bondholders asked to release guarantor MBIA UK
|
10/21/2014 | CVLM | United Continental calls $56.22 million 6% convertibles for redemption
|
10/21/2014 | HYLM | Ethan Allen to use credit facility to refinance 5 3/8% notes due 2015
|
10/21/2014 | BKCVDDLM | Metalico exchanges convertible notes for three new series, amends loan
|
10/21/2014 | IGLM | IGT collects consents to amend 7.5% notes, extends bid for 5.5% notes
|
10/21/2014 | HYLM | Cambium buys back $10 million 9¾% secured notes for $9.9 million
|
10/21/2014 | DDHYLM | PA Resources gets approval to defer interest on two series till May
|
10/21/2014 | HYLM | Constellation to redeem $500 million 8 3/8% notes due 2014 on Nov. 26
|
10/21/2014 | EMHYLM | Ukraine's Metinvest offers to swap out $500 million 10¼% notes
|
10/21/2014 | LMPF | Urstadt Biddle to redeem series D preferreds via new issue proceeds
|
10/21/2014 | LMMU | Greenville County School, S.C., calls all best II bonds series 2004
|
10/21/2014 | LMMU | Louisiana State University defeases 2006 auxiliary revenue bonds
|
10/21/2014 | CVLM | Ford calls 4.25% convertible notes due 2016 for redemption on Nov. 21
|
10/20/2014 | HYLM | Sea Production bondholders approve changes to 2007/2012 bonds
|
10/20/2014 | EMLM | Czech Export Bank calls all €100 million floating-rate notes due 2016
|
10/20/2014 | EULM | Enel Finance tenders for five series of euro-denominated notes
|
10/20/2014 | EMLM | India’s Rolta increases fee under consent solicitation for 10¾% notes
|
10/20/2014 | CVLM | 361 Degrees launches cash tender offer for 4.5% convertibles due 2017
|
10/20/2014 | LMPF | Eastern Virginia Bancshares redeems $10 million series A preferreds
|
10/20/2014 | LMMU | Metropolitan Transportation, N.Y., calls $17.91 million 2008C bonds
|
10/20/2014 | LMMU | Washington Health Care calls $100 million 2009A Swedish Health bonds
|
10/20/2014 | LMMU | Sales Tax Asset Receivable, N.Y., calls $127.54 million revenue bonds
|
10/20/2014 | LMMU | Connecticut defeases 2005 series A transportation infrastructure bonds
|
10/20/2014 | CVLM | Subsea 7 buys $27 million more 1% convertibles in market purchases
|
10/20/2014 | LMMU | Franklin County Convention, Ohio, to defease 2005 tax and lease bonds
|
10/20/2014 | HYLM | Constellium gets needed consents for 8¾% notes related to merger plans
|
10/20/2014 | CAIGLM | Bell Canada, Bell Aliant seek approval to swap out seven note series
|
10/20/2014 | HYLMPV | Hutchinson to exchange $15 million 8½% notes for stock and warrants
|
10/20/2014 | HYLM | Constellation to redeem 8 3/8% notes using proceeds of new offering
|
10/20/2014 | DDHYLMMU | Buffalo Thunder offers new 11% notes, certificates for 9 3/8% notes
|
10/20/2014 | CADDHYLM | Essar Steel Algoma starts tender offer, solicitation for 9 3/8% notes
|
10/17/2014 | LMMUPF | Three Blackrock municipal trusts to redeem auction-rate preferreds
|
10/17/2014 | HYLM | Whiting Petroleum gets consents to amend three series of Kodiak notes
|
10/17/2014 | EULM | Priory Group No. 3 to redeem £244.7 million of 7% notes due 2018
|
10/17/2014 | CVLM | Subsea 7 buys $19.4 million 1% convertibles through market purchases
|
10/17/2014 | CVLM | 361 Degrees repurchases more 4.5% convertible bonds due 2017
|
10/17/2014 | EMLM | Singapore’s OCBC calls $500 million 4¼% subordinated notes due 2019
|
10/17/2014 | HYLM | Interface to redeem remaining $220 million 7 5/8% notes on Dec. 1
|
10/17/2014 | EULM | Norway’s Statkraft buys back NOK 147 million of notes on Friday
|
10/17/2014 | CAHYLM | NOVA Chemicals to redeem all 8 5/8% notes due 2019 via new offering
|
10/17/2014 | HYLM | Brixmor wraps tenders for six note series; settlement set for Friday
|
10/17/2014 | HYLM | EnQuest lacks quorum at meeting for 5½% notes due 2022; new date set
|
10/16/2014 | LMMU | Oregon Department of Transportation calls highway user tax bonds
|
10/16/2014 | IGLM | Mylan to redeem $800 million 6% senior notes on Nov. 15 at 103
|
10/16/2014 | BKLMPV | Orbcomm draws $80 million from Macquarie facilities to repay AIG notes
|
10/16/2014 | IGLM | Brandywine redeems remaining 5.4% notes and 7.5% guaranteed notes
|
10/16/2014 | EMLM | Pemex plans to redeem all 4 7/8%, 5¾% notes due 2015
|
10/16/2014 | HYLM | Start Up 271 obtains bondholder consent for maturity extension
|
10/16/2014 | LMMU | California Health defeases $151.8 million Dignity Health revenue bonds
|
10/16/2014 | CLLM | Gannett Peak CLO I announces plan to redeem various notes on Oct. 27
|
10/16/2014 | HYLM | West Corp. calls 7 7/8% senior notes due 2019 for redemption Nov. 15
|
10/16/2014 | HYLM | Simmons wraps offer for 10½% second-lien notes; no further tenders
|
10/15/2014 | EMHYLM | Brazil’s OAS obtains needed consents for 8¼% notes due 2019
|
10/15/2014 | CVLM | Equinix issues 1.6 million shares for $178.74 million 3% convertibles
|
10/15/2014 | HYLM | Brixmor gets needed consents for six note series; tender offer goes on
|
10/15/2014 | EULM | Unibail-Rodamco accepts tenders for €1 billion of five series of notes
|
10/15/2014 | CVLM | 361 Degrees repurchases more 4.5% convertible bonds due 2017
|
10/15/2014 | LMMU | Miami-Dade County, Fla., defeases 2005, 2006 toll system revenue bonds
|
10/15/2014 | HYLM | Unitymedia to redeem all €665 million of 9 5/8% senior notes due 2019
|
10/15/2014 | HYLM | Schaeffler units successfully solicit consents for 10 series of notes
|
10/15/2014 | LMMU | Colorado Springs calls $105.39 million series B, C utilities bonds
|
10/15/2014 | HYLM | Stoneridge redeems all $157.5 million 9½% senior secured notes
|
10/15/2014 | LMMU | Miami Beach Health calls $84.37 million 2004 Mount Sinai Medical bonds
|
10/15/2014 | LMPF | Premier Financial to redeem remaining $5 million series A preferreds
|
10/15/2014 | EMLM | China’s Hidili wraps tender offer, gets consents to amend 8 5/8% notes
|
10/15/2014 | IGLM | Merck takes in tenders for $1.8 billion of eight note series in offer
|
10/14/2014 | EULM | CIR to pay €237 million to wrap tender offer, redemption of 5¾% notes
|
10/14/2014 | ABLM | Annington Finance offers to repurchase some class A and class B notes
|
10/14/2014 | HYLM | Ziggo plans to redeem all €465.72 million of 8% senior notes due 2018
|
10/14/2014 | IGLM | Merck prices tender offers for $4.76 billion of eight note series
|
10/14/2014 | HYLM | Mount Eden Land calls £41 million 8½% notes due 2016 at 101
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10/14/2014 | IGLM | Equity CommonWealth to redeem all $6.25 million of 7.5% notes due 2019
|
10/14/2014 | HYLM | McClatchy offers to buy back up to $406 million of 9% notes at par
|
10/14/2014 | ABLM | Marble Arch seeks consents to amend nine mortgage-backed note series
|
10/14/2014 | EMLM | Russia’s MegaFon repurchases RUB 8.25 million of series 05 bonds
|
10/14/2014 | EUGNLM | Italeaf holders vote to amend TerniEnergia’s €25 million notes due 2019
|
10/14/2014 | IGLM | Devon Energy issues make-whole call for $1.9 billion of notes
|
10/14/2014 | ABLM | NRAM purchases €8.76 million of class B2 Whinstone Capital notes
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10/14/2014 | CLLM | Chatham Light II CLO plans to redeem six notes series on Nov. 3
|
10/14/2014 | DDHYLM | Ambac Financial gets OK to redeem surplus notes one month earlier
|
10/14/2014 | CVLM | Zeus II (Cayman) redeems notes due 2016 exchangeable for SK Telecom
|
10/14/2014 | CVLM | Terrace receives consents, court approval to exchange 8% convertibles
|
10/13/2014 | HYLM | Com Hem’s NorCell subsidiary calls 9¼% senior secured notes due 2018
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10/10/2014 | HYLM | Essar Steel Algoma plans tender for notes as part of recapitalization
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10/10/2014 | HYLM | Interface to redeem $27.5 million 7 5/8% notes at 103 on Nov. 26
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10/10/2014 | LMPF | HMN to redeem $6 million series A cumulative perpetual preferreds
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10/10/2014 | HYLM | Sea Production postpones bondholder meeting to Oct. 20 from Oct. 15
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10/10/2014 | HYLM | Levi Strauss calls all €150 million 7¾% euro senior notes due 2018
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10/10/2014 | EULM | Society of Lloyd’s to redeem €300 million 5.625% notes on Nov. 17
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10/10/2014 | CVLM | TransForce: C$81.61 million 5.65% notes converted ahead of redemption
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10/10/2014 | EULM | Dignity prices new class A, B notes to be issued in exchange offers
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10/10/2014 | HYLM | Freescale calls $100 million more 8.05% senior notes due 2020 at par
|
10/10/2014 | HYLM | Constellium begins consent bid for Wise notes related to merger plans
|
10/9/2014 | LMMU | Minneapolis-St. Paul Airports defeases 2005A, B, C subordinate revs
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10/9/2014 | EULM | EXOR accepts tenders for €238.6 million of 5.375% notes due 2017
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10/9/2014 | CVLM | Finisar calls all $40.02 million 5% convertible senior notes due 2029
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10/9/2014 | LMMU | Anaheim Public Financing, Calif., calls 2004 electric system bonds
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10/9/2014 | LMPV | KMG Chemicals retires $20 million 7.43% Prudential term notes due 2014
|
10/9/2014 | HYLM | Spie BondCo rescinds redemption notice for all 11% notes due 2019
|
10/9/2014 | IGLM | Transocean calls $207 million of 4.95% notes due 2015 via make-whole
|
10/9/2014 | EULM | Dignity Finance wraps exchange offers, gets OK to call class A, B notes
|
10/9/2014 | LMPF | Community West redeems more series A cumulative perpetual preferreds
|
10/9/2014 | IGLM | Safeway secures 6.35% noteholder OK to avoid change-of-control offer
|
10/9/2014 | CAHYLM | Sherritt buys 7½%, 8% notes on prorated basis in oversubscribed offer
|
10/9/2014 | EULM | SPP Liv sets meeting to change issuer under SEK 700 million perpetuals
|
10/9/2014 | HYLM | SPP Liv sets meeting to change issuer under SEK 700 million perpetuals
|
10/9/2014 | LM | Rising Development’s floating-rate convertible bonds due 2016 putable
|
10/8/2014 | EULM | Unibail-Rodamco tenders for up to €750 million of five series of notes
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10/8/2014 | CVLM | Sino Grandness holders support extending maturity date of convertibles
|
10/8/2014 | LMMU | North Carolina looks to defease capital improvement bonds, COPs
|
10/8/2014 | CV | Rising Development’s floating-rate convertible bonds due 2016 putable
|
10/8/2014 | HYLM | Sea Production calls Oct. 15 meeting for issue 2007/2012 bondholders
|
10/8/2014 | HYLM | HCA to redeem in full $1.4 billion of 7¼% secured notes on Nov. 6
|
10/8/2014 | ABLM | Max Two misses quorum, reschedules 5.7% note solicitation for Oct. 28
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10/8/2014 | LMMU | Centre County Hospital, Pa., calls $67.58 million Mount Nittany bonds
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10/8/2014 | LMMU | California calls various purpose G.O. bonds, defeases some G.O.s
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10/8/2014 | LMMU | Sales Tax Asset Receivable, N.Y., calls $20 million FSA program bonds
|
10/8/2014 | LMMU | Essex County Improvement, N.J., calls 2004 refunding project bonds
|
10/8/2014 | HYLM | Max Two misses quorum, reschedules 5.7% note solicitation for Oct. 28
|
10/8/2014 | LMMU | Charlotte, N.C., calls $54.27 million of 2004 storm water fee bonds
|
10/8/2014 | IGLM | IGT seeks consents for $1.3 billion notes related to planned merger
|
10/8/2014 | HYLM | Ally Financial ups tender cap to $750 million in oversubscribed offers
|
10/7/2014 | LMPFPV | Blackstone/GSO fund to call $96 million notes, $48 million preferreds
|
10/7/2014 | LMMU | Charleston Educational, S.C., defeases 2006 installment purchase bonds
|
10/7/2014 | HYLM | Interface plans to redeem $247.5 million of 7 5/8% notes by year’s end
|
10/7/2014 | LMMU | California Health 2009C St. Joseph Health bonds have mandatory tender
|
10/7/2014 | IGLM | Citi accepts tenders for $416.8 million total of 5.5%, 6.125% notes
|
10/7/2014 | LMMU | Massachusetts HEFA’s series 2003H Amherst bonds have mandatory tender
|
10/7/2014 | LMMU | Mesa County Valley School, Colo., calls $83.78 million G.O. bonds
|
10/7/2014 | HYLM | J.C. Penney wraps oversubscribed tender offers for three note series
|
10/7/2014 | EMLM | Banco do Brasil extends exchange offer payment for 8½% perpetuals
|
10/7/2014 | DDHYLM | Education Management amends exchange offer for PIK notes due 2018
|
10/7/2014 | HYLM | HCA Holdings to repurchase all $1.4 billion of 7¼% notes via offering
|
10/7/2014 | LMMU | Massachusetts to redeem 2007A, 2007B Newbridge on the Charles bonds
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10/7/2014 | ABLM | Crusade Global Trust No. 2 of 2005 calls full $101.98 million floaters
|
10/7/2014 | EMLM | Israel’s Unitronics to redeem series 3 debentures at 112.5 on Oct. 30
|
10/7/2014 | LMMU | Village Center, Fla., calls $96.68 million recreational revenue bonds
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10/7/2014 | LMMU | Montana’s 2011A Billings Clinic revenue bonds have mandatory tender
|
10/7/2014 | HYLM | Flint Hills Resources Houston Chemical seeks consents for 6¼% notes
|
10/7/2014 | CVLM | Frontline buys back $17.8 million of 4.5% convertible bonds due 2015
|
10/7/2014 | HYLM | Paragon Offshore buys back $60.24 million of its notes at a discount
|
10/6/2014 | EULM | Ciments Francais resets meeting to seek noteholder approval for Oct. 17
|
10/6/2014 | EMLM | Peru’s InRetail gets tenders for $275.03 million 8 7/8% notes so far
|
10/6/2014 | CAHYLM | Huntingdon begins change-of-control offer for 7½% debentures due 2016
|
10/6/2014 | HYLM | HBME Sukuk completes repurchase of $41 million of 3.575% notes
|
10/6/2014 | HYLM | Schaeffler units begin consent solicitations for 10 series of notes
|
10/6/2014 | ABLM | Eurocredit Opportunities asks noteholders to exercise redemption option
|
10/6/2014 | EULM | Barclays accepts €500 million of Iberdrola’s 3.5% notes, 4.5% notes
|
10/6/2014 | EMHYLM | Brazil’s OAS solicits consents from holders of 8¼% notes due 2019
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10/6/2014 | LMMU | Denver School District No. 1 calls $55.65 million of 2004C G.O. bonds
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10/6/2014 | LMMU | Virginia Resources Authority redeems, defeases clean water revenue bonds
|
10/6/2014 | HYLM | Whiting Petroleum seeks consents to amend three series Kodiak notes
|
10/6/2014 | IGLM | Merck begins tender offers for $4.76 billion of eight note series
|
10/6/2014 | HYLM | DPL lifts tender cap for 6½% notes due 2016 in oversubscribed offer
|
10/6/2014 | CAHYLM | Postmedia plans consent bid for 8¼% notes due 2017 to issue add-on
|
10/6/2014 | CAEMHYLM | Pacific Rubiales gives update in exchange offer for 7¼% notes due 2021
|
10/3/2014 | ABLM | Silverstone seeks holder approval to amend mortgage-backed notes
|
10/3/2014 | LMMU | Clark County, Nev., calls all $65 million 5.25% Southwest Gas bonds
|
10/3/2014 | HYLM | Travelport redeems all senior floaters, 13 7/8% notes due 2016
|
10/3/2014 | LMMU | Port Authority of New York, New Jersey to refund $302.4 million bonds
|
10/3/2014 | HYLM | Styrolution announces conditional redemption of 7 5/8% notes due 2016
|
10/3/2014 | LMMU | University of Massachusetts Building calls 2004A, 2004-1 revenue bonds
|
10/3/2014 | LMMU | California Public Works calls University of California revenue bonds
|
10/3/2014 | CVLM | Vantage Drilling to retire $13.4 million of 7.875% convertible notes
|
10/3/2014 | LMMU | McLeod Regional Medical, S.C., calls $74.89 million of hospital bonds
|
10/3/2014 | EULM | Landshypotek announces redemption of SEK 102 million notes on Oct. 2
|
10/3/2014 | LMMU | Schaumburg, Ill., to redeem $226.03 million of 2004B G.O. bonds
|
10/3/2014 | DDHYLM | PA Resources sets new meeting to defer October interest on two series
|
10/2/2014 | HYLM | HealthSouth redeems remaining $271.35 million 7¼% notes at 103.625
|
10/2/2014 | CLLM | Aimco CLO, Series 2005-A plans redemption of several series of notes
|
10/2/2014 | EULM | LVMH holders approve conversion to societas europaea under nine series
|
10/2/2014 | CVLM | HealthLease amendments would require it to redeem 5.75% convertibles
|
10/2/2014 | LMPV | Coty completes redemption of 5.12%, 5.67% and 5.82% notes on Sept. 29
|
10/2/2014 | LMMU | Atlanta calls $149.37 million of 2004 water, wastewater revenue bonds
|
10/2/2014 | LMMU | St. Petersburg Health, Fla., calls $25.88 million All Children’s bonds
|
10/2/2014 | LMMU | Dallas-Forth Worth airport calls $181.85 million joint revenue bonds
|
10/2/2014 | HYLM | Styrolution to redeem 7 5/8% secured notes due 2016 via new loan
|
10/2/2014 | HYLM | Rite Aid to redeem all $270 million of 10¼% senior notes due 2019
|
10/2/2014 | EULM | Banco Comercial Portugues buys back €2.25 billion floating-rate notes
|
10/2/2014 | CVLM | InterMune makes make-whole fundamental change offer for convertibles
|
10/2/2014 | EMLM | Mexico’s Cemex wraps tenders for $275,000 more of two note series
|
10/2/2014 | DDHYLM | Education Management begins exchange offer for PIK notes due 2018
|
10/2/2014 | CVLM | Subex holders vote to remove subsidiary pledge under 5.7% convertibles
|
10/1/2014 | CVLM | BPZ plans to repay 6.5% convertibles using secured notes proceeds
|
10/1/2014 | HYLM | Nyrstar accepts tenders for €247.64 million of two note series
|
10/1/2014 | EULM | CA Animation to convene meeting for holders of 4.8% bonds due 2019
|
10/1/2014 | HYLM | Start Up 271 arranges bondholder meeting to vote on maturity extension
|
10/1/2014 | ABLM | Annington Finance offers to repurchase £20.75 million bonds on Oct. 10
|
10/1/2014 | EULM | Banif cancels government-guaranteed bond program early
|
10/1/2014 | EULM | Orange accepts €255.21 million 3.625% notes, £464.19 million 5% notes
|
10/1/2014 | EULM | Macif accepts €74.4 million subordinated fixed/floaters for exchange
|
10/1/2014 | CVLM | Goodrich Petroleum holders put back $45.12 million 5% convertibles
|
10/1/2014 | HYLM | Simmons Foods gets consents needed to amend 10½% second-lien notes
|
10/1/2014 | CVLM | DryShips plans to partially refinance 5% convertibles via new notes
|
9/30/2014 | IGLMPF | Entergy Louisiana, Gulf States may redeem outstanding preferreds
|
9/30/2014 | LMPF | TexCom gets OK to convert series A convertible preferreds into shares
|
9/30/2014 | CVLM | Discovery Air seeks consents to amend terms of 8.375% convertibles
|
9/30/2014 | BKHYLM | SuperValu extends ABL revolver with eye toward prepaying 8% notes
|
9/30/2014 | HYLM | AirTran to redeem all 10.41% pass-through certificates, series 1999-1A
|
9/30/2014 | CAIGLM | Bell Aliant to redeem all C$350 million of 6.29% notes on Oct. 30
|
9/30/2014 | EULM | EXOR begins tender offer for €690 million 5.375% notes due 2017
|
9/30/2014 | IGLM | Zions gets $276.06 million early tenders in offer for 4%, 4.5% notes
|
9/30/2014 | HYLM | Enterprise Inns accepts tenders for £249.52 million of 6½% bonds
|
9/30/2014 | LMSP | Barclays extends consent bid for 22 iPath commodities ETNs to Nov. 28
|
9/30/2014 | CALM | CIBC to redeem all series 26 noncumulative class A preferred shares
|
9/30/2014 | LMMU | Illinois Finance calls $16.12 million of 2009 Riverside Health bonds
|
9/30/2014 | LMMU | California to redeem $81.14 million 2004C-4 economic recovery bonds
|
9/30/2014 | LMMU | Massachusetts HEFA defeases series N, O MIT revenue bonds
|
9/30/2014 | CAHYLM | Sherritt offer for 7½%, 8% debentures oversubscribed by early deadline
|
9/30/2014 | HYLM | Daily Mail to buy £92.84 million 10% bonds, £56.47 million 5¾% bonds
|
9/30/2014 | HYLM | Intelsat calls Intelsat Jackson’s $500 million of 8½% notes due 2019
|
9/29/2014 | IGLM | California Petroleum gives redemption notice for 8.52% mortgage notes
|
9/29/2014 | HYLM | K. Hovnanian collects needed consents to amend 7¼% notes due 2020
|
9/29/2014 | CLLM | Apidos CLO IX takes back optional redemption notice for several series
|
9/29/2014 | CAHYLM | Athlon purchase to trigger change-of-control offer for 7 3/8% notes
|
9/29/2014 | EMHYLM | India’s Rolta begins exchange offer, consent bid for 10¾% notes
|
9/29/2014 | DDHYLM | iPayment agrees to hold exchange offers for 10¼% notes, 15% notes
|
9/29/2014 | HYLM | Viridian Group calls €31.3 million, $25 million 11 1/8% notes due 2017
|
9/29/2014 | HYLM | Picard Bondco to redeem €115 million 9% of senior notes due 2018
|
9/29/2014 | EULM | Stampos to redeem all €200 million senior secured floaters due 2019
|
9/26/2014 | CVLM | Subsea 7 buys back $79.1 million of 3.5% convertible bonds due 2014
|
9/26/2014 | IGLM | AIG to redeem all $1.98 billion of outstanding 8.25% notes due 2018
|
9/26/2014 | CVLM | CapitaCommercial issues clean-up call for 2.7% convertible bonds
|
9/26/2014 | EMHYLM | Brazil’s Fibria plans to redeem all 9¼% notes due 2019 on Oct. 30
|
9/26/2014 | HYIGLM | MDC Holdings to redeem all $250 million 5 3/8% notes on Oct. 27
|
9/26/2014 | LMMU | Lee County School, Fla., defeases 2005A certificates of participation
|
9/26/2014 | HYLM | Newfield Exploration to redeem all $600 million 7 1/8% notes due 2018
|
9/26/2014 | LMMU | Bay Area Toll Authority, Calif., bridge bonds have mandatory tender
|
9/26/2014 | CALMPF | National Bank of Canada to redeem series 16 preferreds on Nov. 15
|
9/26/2014 | EMLM | Asia Resource to refinance Berau’s $450 million 12½% notes due 2015
|
9/25/2014 | EULM | Barclays tenders for two series of Iberdrola notes due 2016 and 2017
|
9/25/2014 | HYLM | ProQuest to redeem remaining $275 million 9% senior notes due 2018
|
9/25/2014 | HYLM | K. Hovnanian extends consent solicitation for 7¼% notes, increases fee
|
9/25/2014 | CVLM | Lincare to redeem remaining $200,000 of 2.75% convertibles on Nov. 1
|
9/25/2014 | IGLM | Verizon sets redemption price for $750 million 1.25% notes at 100.103
|
9/25/2014 | HYLM | Suburban Propane to redeem $110.72 million 7½% senior notes due 2018
|
9/25/2014 | LMMU | Vectren subsidiary Southern Indiana Gas redeems $63.6 million bonds
|
9/25/2014 | LMMU | Minnesota plans to redeem $119.13 million of various G.O. bonds
|
9/25/2014 | EULM | Norway’s Statkraft buys back NOK 65 million of notes
|
9/25/2014 | LMMU | South Dakota HEFA calls $52 million 2004A Sioux Valley Hospitals bonds
|
9/25/2014 | HYLM | Outokumpu gets tenders of €154.90 million notes, offer oversubscribed
|
9/24/2014 | EMLM | Mexico’s Grupo Papelero Scribe gets needed consents for 8 7/8% notes
|
9/24/2014 | HYLM | URS begins change-of-control offer for $400 million of 3.85%, 5% notes
|
9/24/2014 | HYLM | Veidekke obtains bondholder approval to amend floaters due 2018
|
9/24/2014 | IGLMPF | Blackstone/GSO Senior Floating Rate to prepay notes, redeem preferreds
|
9/24/2014 | HYLM | Ally Financial tenders for up to $700 million of three series of notes
|
9/24/2014 | CVLMPF | First Mid-Illinois announces mandatory conversion of 9% preferred stock
|
9/24/2014 | HYLM | Travelport to redeem all $107.02 million of senior floaters on Oct. 2
|
9/24/2014 | LMMU | Allegheny, Pa., to redeem $130.39 million of series C-57 G.O. notes
|
9/24/2014 | LMMU | BMC Special Care, Montgomery, Ala., calls $106.24 million 2004 bonds
|
9/24/2014 | IGLM | Dominion Resources to redeem all $685 million of 2009 A junior notes
|
9/24/2014 | CVLM | Taiwan’s Catcher Technology calls second issue convertible bonds
|
9/24/2014 | EMLM | Banco do Brasil begins exchange offer for $1.5 billion 8½% perpetuals
|
9/24/2014 | EMLM | GOL Linhas units wrap tender offers, get needed consents for 10¾% notes
|
9/23/2014 | DDLM | Bradford & Bingley gets OK to repay subordinated debt, issue calls
|
9/23/2014 | HYLM | Toys 'R' Us to redeem all 7 3/8% senior notes on Oct. 24 at 101.844
|
9/23/2014 | IGLM | Zions Bancorp completes any and all tender offer for 4.5% notes
|
9/23/2014 | IGLM | Citi sets pricing, reports early tender results as one offer oversubscribed
|
9/23/2014 | EULM | Macif starts exchange offer for €150 million subordinated fixed/floaters
|
9/23/2014 | DDHYLM | NRAM gets approval to pay out on subordinated debt, including calls
|
9/23/2014 | HYLM | US Foods issues conditional call notice for 8½% notes at 106.375
|
9/23/2014 | HYLM | K. Hovnanian gets needed consents for 9 1/8% notes, extends solicitation for 7¼% notes
|
9/23/2014 | CALMPF | Fairfax Financial to run one-year issuer bid for five preferred series
|
9/23/2014 | HYLM | CBRE to redeem 6 5/8% notes due 2020 via new offering proceeds
|
9/23/2014 | EULM | LVMH resets meeting for holders of five bond series for Sept. 29
|
9/23/2014 | LMMU | Illinois Development calls $75 million 2003E Peoples Gas Light bonds
|
9/23/2014 | HYLM | Pioneer Energy calls remaining $125 million 9 7/8% notes due 2018
|
9/23/2014 | HYLM | J.C. Penney gets $448 million early tenders for three note series
|
9/23/2014 | EMLM | Peru’s InRetail tenders for Intercorp’s $300 million 8 7/8% notes
|
9/22/2014 | CVLM | United Airlines to redeem 6% convertible debentures due 2030, term income equity securities
|
9/22/2014 | LMPV | Tiffany to redeem $400 million of notes with funds from new notes
|
9/22/2014 | IGLM | Tiffany to redeem $400 million of notes with funds from new notes
|
9/22/2014 | EULM | Orange begins tender offer for 3.625% euro notes, 5% sterling notes
|
9/22/2014 | ABLM | Aire Valley issuers begin consent solicitations for asset-backed notes
|
9/22/2014 | HYLM | Scandinavian Air Ambulance seeks extension of notes’ listing deadline
|
9/22/2014 | IGLM | Citigroup gets tenders for $267.95 million of 6.125% notes in offer
|
9/22/2014 | IGLM | Valmont accepts $199.8 million 6.625% notes in oversubscribed offer
|
9/22/2014 | IGLM | Safeway seeks OK to avoid change-of-control offer under three series
|
9/22/2014 | HYLM | Enterprise Inns begins tender offer for up to £250 million of 6½% bonds
|
9/22/2014 | LMMU | Nuveen gives update on offers to buy 10% of shares of four muni funds
|
9/22/2014 | HYLM | EnQuest sets meeting on Oct. 17 for £155 million 5½% notes due 2022
|
9/22/2014 | HYLM | Daily Mail and General tenders for £100 million of two note series
|
9/22/2014 | EULM | Van Lanschot to redeem remainder of perpetual securities on Oct. 29
|
9/22/2014 | HYLM | DPL prices tender offer for $280 million 6½% senior notes due 2016
|
9/22/2014 | HYLM | General Cable to redeem floaters due 2015 via new issue proceeds
|
9/19/2014 | IGLM | Humana calls $500 million notes due 2016 for redemption on Oct. 20
|
9/19/2014 | EM | Pacific Rubiales starts exchange offer for 7¼% notes due 2021
|
9/19/2014 | CAHYLM | Pacific Rubiales starts exchange offer for 7¼% notes due 2021
|
9/19/2014 | IGLM | Agilent Technologies calls $500 million of 6.5% notes due 2017
|
9/19/2014 | HYLM | United Airlines redeems all $800 million 6¾% notes with new term loan
|
9/19/2014 | EULM | Holding d’Infrastructures de Transport wraps tender offer for 5.75% notes due 2018
|
9/19/2014 | LMMUPF | Nuveen Dividend Advantage Municipal Fund calls 350 series 1 preferreds
|
9/19/2014 | LMMU | District of Columbia defeases $152.47 million of series 2006 COPs
|
9/19/2014 | LMMU | Rochester Gas & Electric, N.Y., begins tender offer for 1997A, B bonds
|
9/19/2014 | CAIGLMPF | TD Bank calls C$425 million outstanding class A first preferred shares
|
9/19/2014 | EMLM | Peru’s Pesquera fails to get needed consents for $250 million 9% notes
|
9/19/2014 | IGLMPF | JPMorgan calls $1.7 billion fixed-to-float callable subordinated notes
|
9/18/2014 | LMPF | Pimco Income Strategy funds tender for auction-rate preferreds at 90
|
9/18/2014 | HYLM | Meritor to redeem 8 1/8% notes due 2015 at 107.33 on Sept. 20
|
9/18/2014 | HYLM | National Mentor reduces 12½% notes to be redeemed to $162 million
|
9/18/2014 | HYLM | Brixmor begins tender offer, consent solicitation for six note series
|
9/18/2014 | IGLMPF | Virginia Electric and Power to redeem $5 dividend preferreds on Oct. 20
|
9/18/2014 | BKHYLM | LMI Aerospace amends redemption guidelines for 7 3/8% notes due 2019
|
9/18/2014 | EMLM | LDK Solar seeks support for pre-packaged plan from holders of 10% notes
|
9/18/2014 | HYLM | LDK Solar seeks support for pre-packaged plan from holders of 10% notes
|
9/18/2014 | EMLM | Russia's LSR buys back interest-bearing bonds for RUB 71.35 million
|
9/18/2014 | LMMU | Virginia Public Facilities to redeem public facilities revenue bonds
|
9/18/2014 | LMMU | Colorado Health’s 2004B-6 Catholic Health bonds have mandatory tender
|
9/18/2014 | HYLM | VWR calls 10¾% subordinated notes due 2017 for Oct. 17 redemption
|
9/18/2014 | LMMU | Louisiana to redeem $312.4 million of 2004-A general obligation bonds
|
9/18/2014 | LMMU | Maricopa, Ariz., calls series 2004A Catholic Healthcare revenue bonds
|
9/18/2014 | LMMU | Arizona Health calls series 2009D Catholic Healthcare revenue bonds
|
9/18/2014 | LMMU | California Health calls 2004G, 2009A Catholic Healthcare revenue bonds
|
9/18/2014 | DDHYLM | PA Resources seeks to defer October interest on 12¼% bonds, 13½% bonds
|
9/17/2014 | EMLM | Mexico’s Cemex accepts early tenders for $957.67 million of two series
|
9/17/2014 | CVLM | Terrace Energy to seek consents from holders of 8% convertibles
|
9/17/2014 | EULM | Ciments Francais to seek noteholder approval for company conversion
|
9/17/2014 | LMMU | California authority’s Republic Services bonds have mandatory tender
|
9/17/2014 | LMMU | Manitowoc, Wis., calls portion of 2004A electric power system bonds
|
9/17/2014 | CVLM | Group 1 Automotive to redeem $22.55 million 3% convertibles due 2036
|
9/17/2014 | CLLM | Apidos CLO IX gives optional redemption notice, seeks consents
|
9/17/2014 | HYLM | Simmons Foods begins tender offer for 10½% second-lien notes
|
9/17/2014 | ABDDLM | Punch Taverns secures noteholder consent for restructuring proposals
|
9/17/2014 | EULM | UK Power Networks prices, wraps Dutch auction tender offers for notes
|
9/17/2014 | EULM | Aryzta exercises call on 5% perpetual callable subordinated instrument
|
9/17/2014 | EMLM | Correction: China’s Hidili tenders, solicits consents for 8 5/8% notes
|
9/17/2014 | LMMU | Oregon’s 2013C Providence Health revenue bonds have mandatory tender
|
9/17/2014 | HYLM | DPL extends tender offer for $280 million 6½% senior notes due 2016
|
9/16/2014 | EMLM | China’s Hidili Industry seeks tenders, consents for up to $228 million 8 5/8% notes due 2015
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9/16/2014 | CVLM | Veresen to redeem all 5.75% series C convertible debentures Oct. 20
|
9/16/2014 | HYLM | Celanese sets Oct. 15 redemption date for 6 5/8% notes due 2018
|
9/16/2014 | IGLM | Brandywine wraps tenders for two note series, issues call for remainder
|
9/16/2014 | CAHYLM | Tembec unit begins tender offer, consent solicitation for 11¼% notes
|
9/16/2014 | LMMU | Pima County, Ariz., calls $167.4 million metro police facility bonds
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9/16/2014 | HYLM | Delta Air Lines to redeem $13.5 million notes due 2019 on Sept. 23
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9/16/2014 | IGLM | Owens & Minor calls $200 million 6.35% senior notes due 2016
|
9/16/2014 | CVDDLM | Petropavlovsk proposes 7.5% bonds in swap for 4% convertibles due 2015
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9/16/2014 | HYLM | Nyrstar Netherlands tenders for up to €320 million of two note series
|
9/16/2014 | IGLM | Humana to redeem its $500 million notes due 2016 via new offerings
|
9/16/2014 | LMPF | Realty Income to redeem all class E preferred stock via new notes
|
9/15/2014 | IGLM | Zions Bancorporation tenders for $500 million of three note series
|
9/15/2014 | HYLM | Valeant calls in full $500 million 6¾% notes for Oct. 15 redemption
|
9/15/2014 | IGLM | Freeport-McMoRan calls $400 million of 8.625% notes due 2019
|
9/15/2014 | HYLM | Commerzbank gives redemption notices for two lower tier II series
|
9/15/2014 | HYLM | Stoneridge to redeem all $157.5 million 9½% notes via new revolver
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9/15/2014 | IGLM | Protective Life to redeem $100 million 8% notes due 2024 on Oct. 15
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9/15/2014 | EMLM | China’s Future Land secures consents to amend 10¼% notes, 9¾% notes
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9/15/2014 | EMIGLM | AngloGold Ashanti scraps plans to redeem 8½% bonds, pay down loans
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9/15/2014 | CVLM | EnPro Industries wraps tender offer for 3.9375% convertibles due 2015
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9/12/2014 | EULM | Christian Dior falls short of quorum; next meeting set for Sept. 29
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9/12/2014 | LMMU | Irvine USD, Calif., 2012B special tax bonds have mandatory tender
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9/12/2014 | HYLM | BWG Homes parent gets noteholder OK to redeem notes due 2016, 2018
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9/12/2014 | LMMU | Geisinger, Pa., calls $112.7 million 2005C, 2011C health system bonds
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9/12/2014 | EMLM | Grupo Papelero Scribe solicits consents to amend 8 7/8% notes due 2020
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9/12/2014 | EMLM | West China Cement calls $400 million 7½% notes due 2016 at 103.75
|
9/12/2014 | IGLM | WellPoint completes Sept. 11 redemption of all 5.25% notes due 2016
|
9/12/2014 | LMMU | City of El Paso defeases 2005 tax and revenue certificates, 2006 G.O.s
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9/12/2014 | HYLM | Arise announces plan to fully redeem outstanding bond due 2015
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9/11/2014 | CVLM | Molycorp to repay $27.5 million of convertibles via new term loan
|
9/11/2014 | HYLM | K. Hovnanian solicits consents for two notes series to allow more debt
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9/11/2014 | HYLM | Golden State gets consent from 8.04% noteholders to release collateral
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9/11/2014 | HYLM | Spie BondCo plans Oct. 13 redemption for all 11% notes due 2019
|
9/11/2014 | EMLM | Philippines’ EastWest to redeem Green Bank’s PHP 112.5 billion debt
|
9/11/2014 | HYLM | Ahlstrom reopens tender offer for €100 million 4½% notes due 2015
|
9/11/2014 | DDEMLM | OSX 3 Leasing bondholders OK revised restructuring terms at meeting
|
9/11/2014 | EMLM | Bancolombia redeems all $520 million notes due 2016 at 104.866
|
9/11/2014 | CLLM | Neuberger Berman CLO extends deadline in consent solicitation
|
9/11/2014 | IGLM | Owens & Minor to fund redemption of 2016 notes via notes offering
|
9/11/2014 | HYLM | Owens & Minor to fund redemption of 2016 notes via notes offering
|
9/11/2014 | EMLM | Hong Kong’s Powerlong calls $200 million 13¾% notes at 103.4375
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9/11/2014 | CAHYLM | Sherritt tenders, seeks consents for up to maximum of two note series
|
9/11/2014 | LMMU | Osceola County, Fla., calls $82.62 million 2004 transportation bonds
|
9/11/2014 | LMMU | Whittier College, Calif., calls $51.26 million 2008 variable-rate bonds
|
9/11/2014 | CAHYLM | Sherritt to pay cash for portion of 8% debentures due 2018, 7½% debentures due 2020
|
9/11/2014 | IGLM | Simon Property wraps tenders for $1.32 billion of five note series
|
9/11/2014 | HYLM | Norway’s Rem Offshore buys back NOK 235 million of three note series
|
9/10/2014 | DDEMLM | Jasper Explorer: Bondholders issue standstill letter, support operations of 13½% bond obligors
|
9/10/2014 | IGLM | Simon Property prices tender offers for $2.75 billion of five note series
|
9/10/2014 | HYLM | American Media holders exchange 13½%, 10% notes for equity interests
|
9/10/2014 | LMMU | Chicago calls $192.77 million 2003B G.O. variable-rate demand bonds
|
9/10/2014 | HYLM | Veidekke seeks approval to amend NOK 500 million floaters due 2018
|
9/10/2014 | LMMUPF | Two Nuveen municipal funds intend to redeem variable-rate preferreds
|
9/10/2014 | LMMU | Manheim Township, Pa., to redeem $57.17 million of 2011 G.O. notes
|
9/10/2014 | EMLM | Malaysia’s Maybank redeems portion of 2008 tier 1 capital securities
|
9/10/2014 | CVLM | EnPro Industries prices tender offer for 3.9375% convertibles due 2015
|
9/10/2014 | LMMU | West Virginia University calls $50 million of 2011C improvement bonds
|
9/10/2014 | LMMU | New Jersey Economic calls $97.05 million of Natural Gas Project bonds
|
9/10/2014 | LMMU | Miami Beach Health defeases $79.64 million of 2004 Mount Sinai bonds
|
9/10/2014 | CLLM | Airlie CLO to redeem floating notes, subordinated notes on Sept. 22
|
9/10/2014 | EULM | Tender offer begins for Holding d’Infrastructures de Transport notes
|
9/10/2014 | HYLM | Eurobank Ergasias redeems €550 million of notes due March 6, 2015
|
9/10/2014 | EMIGLM | AngloGold Ashanti to redeem 35% of 8½% bonds via rights issue; loan paydown also an option
|
9/10/2014 | IGLM | Citigroup begins tender offers for $410 million of two note series
|
9/10/2014 | HYLM | SFX Entertainment gets consents to amend 9 5/8% notes in solicitation
|
9/10/2014 | EMLM | GOL Linhas units extend early payment to all notes tendered in offer
|
9/9/2014 | EULM | CIR - Industriali Riunite tenders for €210.16 million of 5.75% notes
|
9/9/2014 | CVLM | CBIZ exchanges shares, cash for $15 million 4.875% convertibles
|
9/9/2014 | IGLM | Motorola Solutions sets 114.115 redemption price for 6% notes due 2017
|
9/9/2014 | LMMU | Allegheny County, Pa., calls $50 million University of Pittsburgh bonds
|
9/9/2014 | DDHYLM | Orco Property seeks to cut interest on €73 million notes; votes needed
|
9/9/2014 | CVLM | TransForce to redeem all C$85 million 5.65% convertible debentures
|
9/9/2014 | HYLM | J.C. Penney begins tender offers for up to $300 million of three series
|
9/8/2014 | HYLM | Celanese unit plans to redeem $600 million 6 5/8% notes due 2018
|
9/8/2014 | IGLM | Citigroup sets pricing in tender for $700 million of 6.125% notes
|
9/8/2014 | HYLM | Sanmina plans to redeem all $100 million of 7% senior notes due 2019
|
9/8/2014 | CVLM | Molina exchanges 1.625% convertibles, stock for 3.75% convertibles
|
9/8/2014 | LMMU | Detroit to redeem water supply, sewage disposal system revenue bonds
|
9/8/2014 | LMPF | PrivateBancorp Capital Trust IV calls $75 million 10% trust-preferreds
|
9/8/2014 | LMMU | Dickinson County, Mich., calls $63 million International Paper bonds
|
9/8/2014 | EULM | UK Power Networks begins Dutch tender offers for four series of notes
|
9/8/2014 | EULM | RBS secures consents for several series of covered bonds at meeting
|
9/8/2014 | HYLM | Koppers to refinance $300 million 7 7/8% bonds, cut rate by 175-225 bps
|
9/8/2014 | IGLM | Brandywine Realty unit tenders for two series of outstanding notes
|
9/8/2014 | LMPF | SB Financial Group redeems $10.3 million of 10.6% trust preferreds
|
9/8/2014 | IGLM | Valmont begins tender offer for $200 million of 6.625% notes due 2020
|
9/8/2014 | EMLM | Russia’s HMS Group buys back RUB 900 million of 10¾% bonds due 2015
|
9/5/2014 | HYLM | Atlantica seeks OK to amend BassDrill notes, issue $75 million more
|
9/5/2014 | HYIGLM | QVC to redeem all $769.06 million 7.5% notes at 104.205
|
9/5/2014 | LMMUPF | Three Nuveen municipal funds intend to redeem preferred shares
|
9/5/2014 | IGLM | CVS Caremark accepts tenders for $2 billion of four series of notes
|
9/5/2014 | EMLM | Peru’s Inkia begins consent solicitation for 8 3/8% notes due 2021
|
9/5/2014 | LMMU | Florida Board of Education defeases 2003D, 2004C capital outlay bonds
|
9/5/2014 | LMMU | Metropolitan Washington Airports’ 2011B bonds have mandatory tender
|
9/5/2014 | EMLM | Mexico’s Cemex begins tender offer for $1.18 billion of two note series
|
9/5/2014 | CVLM | InterMune: Merger to trigger fundamental change under 5% convertibles
|
9/4/2014 | DDHYLM | Education Management gets consents needed to amend cash pay/PIK notes
|
9/4/2014 | HYLM | Exmar gets holder approval to amend NOK 700 million 4½% bonds due 2017
|
9/4/2014 | LMMU | Akron, Bath and Copley, Ohio, calls 2004B Summa Health System bonds
|
9/4/2014 | HYLM | National Mentor calls all $212 million of 12½% senior notes due 2018
|
9/4/2014 | LMMU | South Carolina Transportation calls all $198.81 million 2004A bonds
|
9/4/2014 | LMMU | Reedy Creek, Fla., calls $109.78 million 2003-2 revenue bonds
|
9/4/2014 | HYLM | SFX quadruples cash fee for 9 5/8% notes consent solicitation, also amends terms, extends deadline
|
9/4/2014 | LMMU | Hawaii sets to redeem all G.O. bonds of 2004, series DE, on Oct. 1
|
9/4/2014 | HYLM | Sinclair Television calls all $237.5 million of 8 3/8% notes due 2018
|
9/4/2014 | HYLM | Consolidated Communications to repay Enventis debt via new offering
|
9/4/2014 | LMMU | Augusta, Ga., calls $160 million 2004 water and sewer revenue bonds
|
9/4/2014 | LMMU | Virgin Islands authority calls $58.84 million matching loan fund notes
|
9/4/2014 | HYLM | HealthSouth to redeem all $271 million 7¼% notes due 2018 on Oct. 1
|
9/3/2014 | HYLM | T-Mobile to use $1 billion of note proceeds to redeem 7 7/8% notes
|
9/3/2014 | DDHYLM | Education Management extends consent solicitation for cash pay/PIK notes due 2018 by one day
|
9/3/2014 | LMMU | Harris County, Texas, calls $125.43 million road and refunding bonds
|
9/3/2014 | LMMU | Savannah College of Art and Design calls $85 million bonds due 2024
|
9/3/2014 | LMMU | Central Brown County Water, Wis., defeases $126.14 million 2005 bonds
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9/3/2014 | LMMU | Sunshine State, Fla., to redeem $65.74 million CP notes Thursday
|
9/3/2014 | LMMU | North Texas Tollway’s $118.4 million 2009D bonds have mandatory tender
|
9/3/2014 | LMMU | JEA, Fla., calls $237.75 million water and sewer, St. Johns River bonds
|
9/3/2014 | LMPF | Brookfield Office calls C$287.5 million class AAA series L preferreds
|
9/3/2014 | CAIGLM | Central 1 Credit Union to redeem its C$150 million of series 2 notes
|
9/3/2014 | CLLM | Neuberger Berman CLO seeks consents from holders of seven series
|
9/3/2014 | CLLM | Highbridge to redeem $283.25 million of six notes classes on Sept. 22
|
9/3/2014 | LMMU | Metropolitan Transportation, N.Y., calls 1999A dedicated tax fund bonds
|
9/3/2014 | LMMU | Milledgeville and Baldwin Counties, Ga., redeems $77.53 million bonds
|
9/3/2014 | LMMU | University of Massachusetts calls $73.55 million Worcester City bonds
|
9/3/2014 | HYLM | DPL begins tender offer for $280 million of 6½% senior notes due 2016
|
9/3/2014 | LMMU | North Texas Tollway’s $58.4 million 2009D bonds have mandatory tender
|
9/3/2014 | IGLM | Simon Property begins tender offers for $2.75 billion of five series
|
9/3/2014 | HYLM | Simon Property begins tender offers for $2.75 billion of five series
|
9/2/2014 | HYLM | Ahlstrom launches tender offer for €100 million 4½% notes due 2015
|
9/2/2014 | HYLM | Nyrstar to launch tender offer for all 2015 bonds, some 2016 bonds
|
9/2/2014 | HYLM | SFX Entertainment extends 9 5/8% notes consent solicitation to Friday
|
9/2/2014 | CVLM | REXLot holder converts HK$5 million of 6% convertibles due 2016
|
9/2/2014 | LMPV | Resource America extends 9% notes to 2015, adds redemption option
|
9/2/2014 | CVLM | Group 1 Automotive holders convert almost all 2.25% convertibles
|
9/2/2014 | HYLM | SeaBird gets OK from 6% bondholders to extend charter for vessel
|
9/2/2014 | CAHYLM | Northern Blizzard redeems $148.75 million 7¼% senior notes due 2022
|
9/2/2014 | CVLM | Cemex holders to convert $16 million of 4.875% convertibles due 2015
|
9/2/2014 | HYLM | AGR Petroleum Services to redeem all senior secured bonds due 2018
|
9/2/2014 | DDEMHYLM | Chile’s Inversiones Alsacia to exchange notes under prepackaged plan
|
9/2/2014 | LMMU | Multnomah County, Ore., calls 2004 Providence Health revenue bonds
|
9/2/2014 | EULM | Royal Bank of Scotland calls €226.55 million step-up notes due 2016
|
9/2/2014 | LMMU | Village Center, Fla., calls $71.89 million 2003 utility revenue bonds
|
9/2/2014 | LMMU | Seminole Tribe, Fla., calls gaming bonds, special obligation bonds
|
9/2/2014 | LMMU | Houston calls 2005A, B, E public improvement bonds, 2005D certificates
|
9/2/2014 | LMMU | Michigan Municipal defeases $210 million drinking, clean water bonds
|
9/2/2014 | LMMU | University of Alabama defeases 2004-A, 2006-A general revenue bonds
|
8/29/2014 | LMMU | Metropolitan Water, Calif., calls all 2003 series B-3 revenue bonds
|
8/29/2014 | HYLM | BWG Homes parent seeks noteholder approval to redeem notes Oct. 1
|
8/29/2014 | EULM | Vodafone completes change-of-control tender offer for Cableuropa notes
|
8/29/2014 | HYLM | Freescale Semiconductor calls $100 million of 8.05% notes due 2020
|
8/29/2014 | LMMU | Brink’s calls all $43.16 million 2003 Dominion Terminal project bonds
|
8/29/2014 | IGLM | Brink’s calls all $43.16 million 2003 Dominion Terminal project bonds
|
8/29/2014 | LMMU | West Virginia University governors call 2004C revenue refunding bonds
|
8/29/2014 | IGLM | Verizon calls all $750 million 1.25% notes for redemption on Sept. 29
|
8/29/2014 | CVLM | AAR calls $30 million 1.75% convertibles due 2015 at 103.358
|
8/28/2014 | EMLM | Singapore’s DBS Bank calls 5% subordinated notes for Nov. 15 redemption
|
8/28/2014 | EMHYLM | West China Cement plans to refinance portion of 7½% notes due 2016
|
8/28/2014 | HYLM | Campofrio holders tender 1.7% of 8¼% notes in change-of-control offer
|
8/28/2014 | LMMU | East Bay Municipal Utility, Calif., defeases wastewater system bonds
|
8/28/2014 | LMMU | Leander ISD, Texas, defeases 2007 school building and refunding bonds
|
8/28/2014 | LMMU | Arizona Water Infrastructure to redeem its 2004A water quality bonds
|
8/28/2014 | CLLM | ECP CLO 2008-1 to redeem $743.88 million from four classes of notes
|
8/28/2014 | LMMU | Louisiana refunds $170.34 million of 2007 Hurricane Recovery bonds
|
8/28/2014 | CVLM | Difference Capital purchases C$4 million of convertibles for cancellation
|
8/28/2014 | DDHYLM | Education Management solicits consents for cash pay/PIK notes due 2018
|
8/27/2014 | LMMU | Indiana Health calls $50.11 million of 2001 Methodist Hospitals bonds
|
8/27/2014 | HYLM | Aperam plans Oct. 1 redemption for all of its 7 3/8% notes due 2016
|
8/27/2014 | LMMU | Tennessee State School Board refunds higher education bonds
|
8/27/2014 | LMMU | Los Angeles Harbor Department calls $76.3 million 2006 D revenue bonds
|
8/27/2014 | LMMU | Leander ISD, Texas, calls 2006 ULT school building & refunding bonds
|
8/27/2014 | HYLM | Diamorph plans to call SEK 425 million of bonds due 2017 at 107.5
|
8/27/2014 | EMHYLM | Diamorph plans to call SEK 425 million of bonds due 2017 at 107.5
|
8/27/2014 | LMPF | Premier Financial to redeem $7 million series A preferreds on Sept. 26
|
8/26/2014 | EMLM | GOL subsidiaries seek tenders, consents for three series of notes
|
8/26/2014 | LMMU | Omaha Public Power, Neb., defeases 2007 series AA electric bonds
|
8/26/2014 | LMPF | Empire State Realty issues $26.72 million preferreds in exchange offer
|
8/26/2014 | LMMU | Metropolitan Washington Airports to redeem 2004 system revenue bonds
|
8/26/2014 | CVLM | Alliant holders convert nearly all 3% convertibles ahead of redemption
|
8/26/2014 | LMMU | Long Island Power calls $16.86 million electric general revenue bonds
|
8/25/2014 | LMMU | Louisiana defeases 2005A, 2006A gasoline and fuels tax revenue bonds
|
8/25/2014 | DDLMMU | Detroit gets court OK to repurchase $1.47 billion water supply bonds
|
8/25/2014 | HYLM | Symbion calls 11%/11¾% PIK notes due 2015, 8% secured notes due 2016
|
8/25/2014 | CVDDLM | Indonesia’s Bumi gets waiver, consent to replace 9.25% convertibles
|
8/25/2014 | DDEMLM | Jasper Explorer does not get consent to extend interest payment date
|
8/25/2014 | LMMU | Washington Health Care defeases 2005 Overlake Hospital revenue bonds
|
8/25/2014 | DDHYLM | eircom says 9¼% noteholders give consents for potential reorganization
|
8/25/2014 | DDHYLM | eircom says 9¼% noteholders give consents for potential reorganization
|
8/22/2014 | DDEMHYLM | Chile's Inversiones Alsacia extends forbearance agreement for 8% notes
|
8/22/2014 | DDLMMU | Detroit accepts tenders for $1.47 billion water supply system bonds
|
8/22/2014 | LMMU | Sacramento Transportation to redeem $106.1 million sales tax bonds
|
8/22/2014 | IGLMPF | MB Financial calls all $45.4 million 9.75% TAYC Capital Trust I TruPS
|
8/22/2014 | HYLM | BWAY Parent calls all $335 million 9½%/10¼% PIK toggle notes due 2017
|
8/22/2014 | LMMU | Illinois Sports defeases $74.64 million of 2001 sports facility bonds
|
8/22/2014 | LMMU | Tallahassee, Fla., to redeem all series 2004 capital bonds on Oct. 1
|
8/22/2014 | LMMU | UCF Athletics announces Oct. 1 redemption of all series 2004 COPs
|
8/22/2014 | HYLM | FMG Resources to redeem $500 million of 6 7/8% senior notes due 2018
|
8/22/2014 | CVLM | First Capital Realty plans issuer bid for seven series of convertibles
|
8/22/2014 | CVLM | Future Retail announces redemption of Rs. 1.5 billion convertibles
|
8/22/2014 | IGLM | Citigroup tenders for $700 million of outstanding 6.125% notes due 2017
|
8/22/2014 | LMPF | CoBank to redeem series D non-cumulative perpetual preferreds Oct. 1
|
8/22/2014 | HYLM | Exmar seeks holder approval to amend NOK 700 million 4½% bonds due 2017
|
8/21/2014 | LMMU | Washington Economic defeases 2005E, 2006J Biomedical Research bonds
|
8/21/2014 | CALMPF | Equitable calls all C$50 million of noncumulative five-year preferreds
|
8/21/2014 | ABLM | Miramax Film to repay all of its 2011 notes via asset-backed offering
|
8/21/2014 | IGLM | CVS Caremark gets tenders for $2.37 billion notes so far, sets pricing
|
8/21/2014 | IGLM | CBS to redeem all $264.25 million of 8.875% notes after tender offer
|
8/21/2014 | LMMU | Massachusetts HEFA calls $141.35 million of Partners Healthcare bonds
|
8/21/2014 | LMMU | Illinois Sports calls all $187.84 million 2001 sports facility bonds
|
8/21/2014 | HYLM | Meritor calls $84.4 million principal amount of 8 1/8% notes due 2015
|
8/20/2014 | HYLM | Tesoro Logistics calls $130.27 million 5 7/8% notes due Oct. 1, 2020
|
8/20/2014 | LMPP | TexCom starts conversion offer for series A convertible preferred stock
|
8/20/2014 | EULM | Nykredit to redeem all €500 million, Kr. 150 million of securities
|
8/20/2014 | IGLM | Verizon completes exchange offers for several series of notes
|
8/20/2014 | HYLM | SeaBird seeks OK to amend NOK 89.8 million 6% bonds due 2015
|
8/20/2014 | HYLM | Voyage Care gets consents for amendments, waivers to 11% notes
|
8/19/2014 | EMLM | China’s Future Land solicits consents for 10¼% notes, 9¾% notes
|
8/19/2014 | EMLM | AES Panama gets needed consents to amend indenture of 6.35% notes
|
8/19/2014 | LMMU | New York State Thruway calls $200.43 million income tax revenue bonds
|
8/19/2014 | HYLM | SFX Entertainment begins consent solicitation to amend 9 5/8% notes
|
8/19/2014 | LMMU | Palm Springs Financing to redeem Convention Center revenue bonds
|
8/19/2014 | IGLM | CBS tallies final tenders of $802.51 million for four note series
|
8/19/2014 | LMMU | Tennessee defeases $58.98 million of 2009 C general obligation bonds
|
8/19/2014 | IGLM | Lloyds Bank to redeem $21.2 million of its 0% notes due Sept. 9, 2043
|
8/19/2014 | LMMU | Hawaii defeases $26.44 million of series 2005B highway revenue bonds
|
8/19/2014 | LMMU | NYC Industrial to make advance payment on 2004 United Jewish bonds
|
8/19/2014 | CVLM | Equal Energy makes change-of-control offer for 6.75% convertibles
|
8/18/2014 | CVLM | Difference Capital lifts purchase limit in issuer bid for convertibles
|
8/18/2014 | IGLM | CBS prices tender offer for $2.13 billion of four note series
|
8/18/2014 | LMMU | Pennsylvania Turnpike to redeem $249.94 million oil franchise bonds
|
8/18/2014 | LMMU | California calls $118 million workers compensation bonds
|
8/18/2014 | HYLM | Norwegian Car Carriers exercises call on all 10½% bonds due 2015
|
8/18/2014 | DDHYLM | Alion gets tenders for $210.99 million 10¼% notes, calls 12% notes
|
8/18/2014 | LMMU | Texas’ 2001A-2 Veterans’ Housing fund II bonds have mandatory tender
|
8/18/2014 | LMPF | Global Ship Lease to redeem all outstanding series A preferred shares
|
8/18/2014 | HYLM | American Media investors to convert $121.3 million notes due 2018
|
8/18/2014 | CVLM | American Media investors to convert $121.3 million notes due 2018
|
8/15/2014 | HYLM | Voyage Care extends consent solicitation for 11% notes to Aug. 18
|
8/15/2014 | LMMU | Maryland defeases multiple state and local facilities loan bonds
|
8/15/2014 | LMMU | Memphis to redeem $73.67 million 2004 G.O improvement bonds in full
|
8/15/2014 | LMMU | Prince George’s County, Md., calls all $73.51 million 2004 G.O. bonds
|
8/15/2014 | IGLM | Equity CommonWealth calls 6.4% notes in full for Sept. 15 redemption
|
8/15/2014 | LMMU | Los Angeles Unified School District partially refunds 2004F G.O. bonds
|
8/15/2014 | LMMU | Indiana Finance's 2010A, B Republic Services bonds subject to tender
|
8/15/2014 | LMMU | North Carolina Medical calls $154.25 million of 2009A WakeMed bonds
|
8/15/2014 | LMMU | Portland, Ore., defeases $101.28 million sewer system revenue bonds
|
8/15/2014 | LMPF | Gramercy Property Trust to redeem series A preferreds on Sept. 12
|
8/15/2014 | EULM | EIB buys back £200 million floaters due 2015, 2016 in one-day tender
|
8/14/2014 | CVHYLM | Chiquita nixes acquisition offer that would have triggered put option
|
8/14/2014 | HYLM | Black Elk tender offer expires; $11.3 million of 13¾% notes tendered
|
8/14/2014 | HYLM | Alion again extends 10¼% notes offer, lowers minimum tender condition
|
8/14/2014 | HYLM | Ryerson to use $111 million IPO funds to retire 11¼% notes due 2018
|
8/14/2014 | LMMU | New Jersey Environmental to redeem all series 2005A bonds on Sept. 1
|
8/14/2014 | HYLM | Petrohawk to redeem $600 million 6¼% notes due 2019 at 107.57488827
|
8/14/2014 | EMLM | China Construction Bank redeems RMB 10 billion bonds due 2019
|
8/14/2014 | HYLM | Ferro wraps tender offer for 7 7/8% notes, issues call for remainder
|
8/14/2014 | HYLM | AGR collects votes to shorten call notice under bonds due 2018
|
8/13/2014 | EMLM | Indonesia’s Modernland wraps offer to exchange 11% notes for 9¾% notes
|
8/13/2014 | LMMU | MTA, N.Y., calls $307.86 million from four series of revenue bonds
|
8/13/2014 | LMMU | Princeton City School, Ohio, defeases $105.24 million of 2010C G.O.s
|
8/13/2014 | HYLM | Voyage Care ups fee for 6½% notes due 2018, 11% notes due 2019
|
8/13/2014 | CVLM | Parex calls all 5.25% extendible convertible debentures due 2016
|
8/12/2014 | HYLM | Alion Science and Technology again updates, extends 10¼% notes offer
|
8/12/2014 | IGLM | Motorola Solutions calls $400 million 6% senior notes due 2017
|
8/12/2014 | DDHYLM | Caesars to buy back $89.4 million 6½% notes, $66 million 5¾% notes
|
8/12/2014 | CVDDLM | Indonesia's Bumi unit seeks consent to extend 9.25% convertibles
|
8/12/2014 | EMLM | Kazakhstan Mortgage buys back KZT 2.5 billion of 6% bonds due 2018
|
8/12/2014 | LMMU | Illinois Finance defeases $397.91 million of 2008B University of Chicago bonds
|
8/12/2014 | LMMU | District of Columbia calls $41.94 million certificates of participation
|
8/12/2014 | HYLM | Consol lifts tender cap in oversubscribed offer for 8¼% notes
|
8/11/2014 | CVLM | Molina Healthcare to issue convertibles, stock in exchange agreement
|
8/11/2014 | CVDDLM | Arcan Resources defends plan to redeem convertibles at less than par
|
8/11/2014 | LMMU | Lower Colorado River partially defeases five series of revenue bonds
|
8/11/2014 | LMMU | North Carolina Medical calls $15 million of 2010B Galloway Ridge bonds
|
8/11/2014 | IGLMPF | FirstMerit calls $73.67 million of Citizens trust preferred securities
|
8/11/2014 | CVLM | Nuance Communications calls 2.75% notes, which are now convertible
|
8/11/2014 | CVLM | EnPro Industries begins tender offer for 3.9375% convertibles due 2015
|
8/11/2014 | CVHYLM | Chiquita notes could be repurchased if it accepts offer to be acquired
|
8/11/2014 | EMLM | India’s Anant Raj redeems Rs. 200 million nonconvertible debentures
|
8/11/2014 | IGLM | CBS begins one-week tender offer for $2.13 billion of four note series
|
8/11/2014 | IGLM | Darden Restaurants calls $100 million of debt for redemption in August
|
8/11/2014 | IGLMPF | Farmer Mac expects to call $244 million of preferreds in 2015
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8/8/2014 | DDLMMU | Detroit tenders for $2.8 billion sewage, $2.4 billion water bonds
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8/8/2014 | LMMU | Geisinger Authority, Pa., health system bonds have mandatory tender
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8/8/2014 | HYLM | Ryerson to redeem $99.5 million 11¼% senior notes on Sept. 7
|
8/8/2014 | HYLM | Spencer Spirit to redeem $30 million 9%/9¾% PIK toggle notes at 102
|
8/8/2014 | LMMU | Collier County, Fla., calls capital improvement and refunding bonds
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8/8/2014 | IGLM | International Paper to redeem $200 million 5.3% notes Sept. 8 at par
|
8/8/2014 | CAIGLM | Manulife calls all C$350 million series 1 class 1 preferred shares
|
8/8/2014 | LMMU | New Jersey Transit calls $61.68 million of 2000, 2002 certificates
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8/8/2014 | LMMU | Long Island Power, N.Y., calls $66.54 million electric system bonds
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8/8/2014 | LMMU | Orange County Sanitation, Calif., defeases $93.93 million COPs
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8/8/2014 | EMLM | Indonesia’s Berau secures consents to amend 12½% notes, 7¼% notes
|
8/8/2014 | IGLM | Darden Restaurants wraps tender for $610 million of four note series
|
8/8/2014 | EMLM | Singapore’s Goodpack gets votes to call S$50 million 4.7% notes
|
8/8/2014 | IGLM | Darden Restaurants wraps tender for $610 million of four note series
|
8/8/2014 | EULM | LVMH to hold meeting in Paris on Sept. 5 for holders of nine series
|
8/8/2014 | EULM | Christian Dior sets meeting to seek approval under €300 million bonds
|
8/7/2014 | HYIGLM | QVC to redeem 7.5% notes due 2019 with new offering proceeds
|
8/7/2014 | HYLM | Commerzbank to give redemption notice for three trust preferred series
|
8/7/2014 | LMMU | Ohio’s FirstEnergy pollution control bonds have mandatory purchase
|
8/7/2014 | LMMU | Long Island Power calls $103.12 million 2004A electric system bonds
|
8/7/2014 | HYLM | Otium obtains waiver from holders of NOK 100 million unsecured bond
|
8/7/2014 | LMMU | California to redeem $29.24 million of 2004C-4 economic recovery bonds
|
8/7/2014 | LMMU | New Jersey Economic calls $231.46 million school facilities bonds
|
8/7/2014 | DDHYLMPF | Commerzbank to give redemption notice for three trust preferred series
|
8/7/2014 | CLLM | Atrium VII will redeem six classes of notes, senior preferred shares
|
8/7/2014 | CLLM | Zais Investment Grade X calls $483.52 million from nine notes classes
|
8/7/2014 | EMLM | China’s Solargiga repurchases RMB 300 million tendered 4¾% bonds
|
8/7/2014 | IGLM | CVS Caremark tenders for all 6.25% notes, up to cap for three series
|
8/7/2014 | HYLM | Voyage Care seeks consents for 6½% notes due 2018, 11% notes due 2019
|
8/7/2014 | EMLM | Latvia’s 4finance begins tender offer for $170 million 13% notes
|
8/6/2014 | LMMU | Port Authority of New York and New Jersey to call $213 million bonds
|
8/6/2014 | IGLM | Verizon increases exchange offer cap for two notes to $3.3 billion
|
8/6/2014 | LMMU | Alabama defeases partly series 2006 and 2007-A G.O. bonds
|
8/6/2014 | LMMU | Los Angeles Water and Power defeases 2005 A power system revenue bonds
|
8/5/2014 | IGLM | Verizon prices private exchange offers for 11 series of debt securities
|
8/5/2014 | LMMU | Texas Municipal Gas calls $63.56 million of 2007A and B revenue bonds
|
8/5/2014 | LMMU | Houston calls $37.25 million of 2001 Consolidated Rental Car bonds
|
8/5/2014 | IGLM | Vornado Realty to redeem all $445 million of 7.875% Pines due 2039
|
8/5/2014 | LMMU | Kentucky Economic to redeem 2008A & B Ashland Hospital revenue bonds
|
8/5/2014 | HYLM | CDW calls 8% notes in full, $234.7 million portion of 8½% notes
|
8/4/2014 | HYLM | House of Fraser gets noteholder OK to skip change-of-control offer
|
8/4/2014 | DDEMLM | Jasper Explorer asks to extend interest payment date for 13½% bonds
|
8/4/2014 | HYIGLM | Universal Health Services redeems 7% notes due 2018 in full at 104.56
|
8/4/2014 | HYLM | NRG Energy to redeem all outstanding 8½% notes after tender offer
|
8/4/2014 | LMMU | Niagara Frontier, N.Y., to redeem $61.53 million 1999A airport bonds
|
8/4/2014 | LMMU | Seattle to redeem all $68.13 million 2004 water system revenue bonds
|
8/4/2014 | LMMU | New Jersey Economic to redeem 2004 series I school facilities bonds
|
8/4/2014 | HYLM | Styrolution pushes back redemption date for 7 5/8% notes to Sept. 2
|
8/4/2014 | IGLM | ConAgra tender offer oversubscribed, takes $500 million early tenders
|
8/1/2014 | HYLM | Expro Finance to redeem $1.09 billion of 8½% secured notes due 2016
|
8/1/2014 | IGLM | ConAgra prices tender offer for up to $500 million of five note series
|
8/1/2014 | LMPF | National Beverage board authorizes partial preferred stock redemption
|
8/1/2014 | IGLMPV | Darden Restaurants buys back 3.79%, 4.52% notes totaling $290 million
|
8/1/2014 | LMMU | La Quinta Financing, Calif., calls $73.41 million 2004A revenue bonds
|
8/1/2014 | LMMU | Colorado Water to redeem $150.17 million bonds from two 2004 series
|
8/1/2014 | EMLM | India’s Tata Power subsidiary to redeem $450 million subordinated notes
|
8/1/2014 | LMMU | California calls $321.45 million various-purpose general obligation bonds
|
8/1/2014 | LMMU | Los Angeles calls $180.39 million of series 2004-A G.O. bonds in full
|
8/1/2014 | LMMU | Los Angeles calls $180.39 million of series 2004-A G.O. bonds in full
|
8/1/2014 | DDEMLM | Ukraine’s Mriya Agro notifies 9¾% noteholders of possible restructuring
|
8/1/2014 | CVLM | Melcor sets redemption issue price for C$40 million 6.25% convertibles
|
7/31/2014 | CVLM | InnVest completes oversubscribed tender offer for series G convertibles
|
7/31/2014 | HYLM | Atradius calls €120 million fixed-to-floating step-up bonds due 2024
|
7/31/2014 | HYLM | Capsugel plans to redeem all its 9 7/8% senior notes due 2019 on Aug. 1
|
7/31/2014 | HYLM | Misa Investment calls $170 million of 8 5/8%/9 3/8% PIK toggle notes
|
7/31/2014 | EMLM | China’s KWG Property calls $250 million 12½% senior notes due 2017
|
7/31/2014 | HYLM | BWAY Holding to redeem three series of senior notes via new offerings
|
7/31/2014 | HYLM | Allbritton gets tenders for 99.92% of 8% notes, will redeem remaining
|
7/31/2014 | HYLM | Ferro gets tenders for 57% of 7 7/8% notes due 2018 by early deadline
|
7/31/2014 | HYLM | CDW to redeem $449.7 million of senior notes via new offering proceeds
|
7/31/2014 | DDHYLM | Verso Paper meets minimum tenders needed in exchange offers for buyout
|
7/30/2014 | HYLM | AGR Holdings seeks to shorten call notice time under bonds due 2018
|
7/30/2014 | IGLM | Citi prices tender offers for up to $2.15 billion of five note series
|
7/30/2014 | HYLM | Catalent Pharma calls all $350 million 7 7/8% senior notes due 2018
|
7/30/2014 | HYLM | Crown European redeems all €142.02 million senior notes due 2018
|
7/30/2014 | HYLM | Citgo Petroleum calls 11½% senior secured notes due 2017 at 105.75
|
7/30/2014 | CAIGLM | Granite REIT sets 111.1943 redemption price for 6.05% notes due 2016
|
7/30/2014 | LMMU | East Bay Municipal, Calif., calls $91.81 million wastewater bonds
|
7/30/2014 | CVLM | Owens-Illinois buys back $15 million exchangeables, to refinance rest
|
7/30/2014 | IGLM | Broadcom exercises make-whole call option for 2.375% notes in full
|
7/30/2014 | HYLM | Cardtronics plans to redeem all 8¼% senior subordinated notes due 2018
|
7/30/2014 | HYLM | inVentiv offers PIK notes in exchange for up to $475 million 10% notes
|
7/30/2014 | HYLM | Mueller Water calls $55 million of 7 3/8% senior subordinated notes
|
7/30/2014 | EULM | National Asset Management redeems €250 million of its senior notes
|
7/30/2014 | EULM | Vodafone offers premium for Cableuropa notes in change-of-control offer
|
7/30/2014 | LMSP | Barclays extends consent bid for 22 iPath commodities ETNs to Sept. 30
|
7/30/2014 | IGLM | Citi gives early tender results in offer, lifts sub-cap for two series
|
7/30/2014 | HYLM | Alion Science and Technology again updates, extends 10¼% notes offer
|
7/30/2014 | EMLM | Brazil’s GOL Linhas wraps tender offers for 10¾% notes, 7½% notes
|
7/29/2014 | EMLM | Indonesia’s Berau seeks consents to amend 12½%, 7¼% notes
|
7/29/2014 | EMLM | Indonesia’s Modernland gets needed consents to amend 11% notes
|
7/29/2014 | CVLM | Holloway secures holder approval to take over Royal Host convertibles
|
7/29/2014 | CVLM | CapitaCommercial makes further repurchase of 2.7% convertible bonds
|
7/29/2014 | HYLM | Clearwater Paper to redeem $375 million 7 1/8% notes on Aug. 28
|
7/29/2014 | HYLM | Consol begins cash tender offer for up to $200 million of 8¼% notes
|
7/29/2014 | HYLM | DineEquity intends to refinance 9½% notes via securitized facility
|
7/29/2014 | HYLM | Caesars Entertainment wraps tender offers for 5 5/8%, 10% notes
|
7/29/2014 | EULM | RBS solicits consents from holders of several series of covered bonds
|
7/29/2014 | LMMU | Metropolitan Water, Calif., to redeem 2004 A-1, A-2 & 2008 A-2 bonds
|
7/29/2014 | LMMU | New Jersey Health calls $38.3 million of 1998 CentraState Medical bonds
|
7/29/2014 | LMMU | Emeryville Public Financing, Calif., calls 1998B & 2004A revenue bonds
|
7/29/2014 | CVLM | Maoye International to redeem remaining 3% convertible bonds July 30
|
7/28/2014 | HYLM | Affinity Gaming gets enough consents to amend 9% notes due 2018
|
7/28/2014 | HYLM | CNO Financial buys back remainder of 7% debentures for $3.7 million
|
7/28/2014 | HYLM | Dave & Buster’s issues call to redeem $200 million 11% notes due 2018
|
7/28/2014 | HYLM | Enterprise Networks unit to pay €12.5 million in offer for 10¾% notes
|
7/28/2014 | CVLM | Assystem buys back 12.4% of Ornanes following reverse bookbuilding
|
7/28/2014 | HYLM | Cardtronics consent solicitation for 8¼% notes due 2018 comes up short
|
7/28/2014 | HYLM | Unifrax gets required consents for 7½% notes consent solicitation
|
7/28/2014 | DDHYLM | Travelport to issue 3.6 million more shares in exchange for five series
|
7/28/2014 | EMLM | Promsvyazbank to issue $33.37 million notes in exchange for two series
|
7/28/2014 | CVLM | Seadrill holders tender nearly all convertibles; clean-up call issued
|
7/28/2014 | HYLM | Allbritton extends tender offer for 8% notes, this time till Wednesday
|
7/25/2014 | LMMU | Illinois Finance calls $48.69 million 2009B Northwestern Memorial bonds
|
7/25/2014 | IGLM | Weingarten Realty Investors to redeem 8.1% notes at par on Sept. 15
|
7/25/2014 | CVLM | InnVest gets OK to increase convertibles’ coupon, conversion price
|
7/25/2014 | EULM | Dignity secures waiver from holders of 6.31% class A notes due 2023
|
7/25/2014 | EMLM | Singapore’s Straits redeems remaining 4.3% notes after tender offer
|
7/25/2014 | IGLM | Darden extends tender offers for four series; proxy fight poses thorns
|
7/24/2014 | DDEMHYLM | New World Resources gets consents to amend two 7 7/8% notes series
|
7/24/2014 | HYLM | House of Fraser says it might refinance 8 7/8% notes with new debt
|
7/24/2014 | DDHYLM | Verso Paper amends exchange offers for 8¾% notes, 11 3/8% notes
|
7/24/2014 | LMMU | Puerto Rico Highways calls $12.5 million 2013A special revenue bonds
|
7/24/2014 | LMMU | West Virginia Hospital calls $48.66 million medical center bonds
|
7/24/2014 | LMMU | American Airlines to prepay $261 million special facility revenue bonds
|
7/24/2014 | CVLM | American Airlines settles in cash all 7.25% convertible notes in May
|
7/24/2014 | HYLM | American Airlines calls remaining balance on 7½% notes due 2016
|
7/24/2014 | HYLM | Alion Science and Technology again updates, extends 10¼% notes offer
|
7/24/2014 | HYLM | Clearwater Paper to redeem all 7 1/8% senior notes with new offering
|
7/24/2014 | HYLM | Flint Hills fails to get needed consents to amend PetroLogistics notes
|
7/24/2014 | EMLM | Brazil prices tender for eight bond series, sets cap at $1.6 billion
|
7/23/2014 | IGLM | Verizon starts private exchange offers for 11 series of debt securities
|
7/23/2014 | HYLM | Otium seeks waiver from holders of NOK 100 million unsecured bond
|
7/23/2014 | HYLM | Crown noteholders tender no additional notes after early tender date
|
7/23/2014 | CVLM | Seadrill releases early results of incentive offer for convertibles
|
7/23/2014 | CVLM | Perpetual Energy calls 7.25% convertible debentures due Jan. 31, 2015
|
7/23/2014 | CVLM | Omnicare repurchases $52 million 3.75% convertibles in second quarter
|
7/23/2014 | CVLM | Solar Applied Materials repurchases more 0% convertibles due 2016
|
7/23/2014 | LMMU | Florida Transportation calls $114.99 million of 2004A turnpike bonds
|
7/23/2014 | CVLM | Micron calls 1.875% convertibles due 2031 for redemption on Aug. 22
|
7/23/2014 | HYLM | Ardagh wraps tender offers for 7 3/8% notes due 2017, calls remainder
|
7/23/2014 | EMLM | Brazil begins tender offer for maximum amount of eight series of bonds
|
7/22/2014 | LMMU | New Mexico Municipal Energy calls $768 million 2009 gas supply bonds
|
7/22/2014 | HYLM | Calpine obtains needed consents to amend 7 7/8%, 7½% secured notes
|
7/22/2014 | IGLM | DTE Electric to redeem all $200 million of its 4.8% notes due 2015
|
7/22/2014 | LMMU | South Carolina defeases $70.9 million 2005A G.O. state highway bonds
|
7/22/2014 | HYLM | Ocean Yield exercises call on all NOK 600 million floaters due 2017
|
7/22/2014 | LMMU | Kentucky Economic amends tender offer for King’s Daughters notes
|
7/22/2014 | EMHYLM | Russia's Otkritie to seek consents to amend 10% loan participation notes
|
7/22/2014 | LMMU | New York City to redeem all $20 million of 2004I FGIC G.O. bonds
|
7/22/2014 | LMMU | Partners Healthcare, Mass., to make $15 million of bids on F-2 bonds
|
7/21/2014 | HYLM | Europcar to redeem all €350 million 9¾% senior secured notes due 2017
|
7/21/2014 | LMPF | American Overseas OK’d to redeem class B preferreds, establishes trust
|
7/21/2014 | EULM | Carrefour expects to accept €150.08 million 2.875% notes for purchase
|
7/21/2014 | HYLM | Helly Hansen receives holder OK to amend callable bonds due 2017
|
7/21/2014 | HYLM | House of Fraser seeks noteholder OK to skip change-of-control offer
|
7/21/2014 | LMMU | North Carolina Medical Care to redeem 2009C FirstHealth revenue bonds
|
7/21/2014 | HYLM | Affinity Gaming increases consent payment for 9% senior notes
|
7/21/2014 | HYLM | Clear Channel to redeem senior notes due 2016 via proceeds of add-on
|
7/21/2014 | EMLM | ICBC exercises option to redeem subordinated bonds on July 20
|
7/21/2014 | HYLM | Dixons Retail calls 8¾% notes due 2017, 2015, conditioned on merger
|
7/21/2014 | DDHYLM | Energy Future extends tender offer for second-lien notes settlement
|
7/21/2014 | CVLM | Assystem begins standing repurchase order for Ornanes, buys back 54.8%
|
7/18/2014 | HYLM | Unifrax extends, increases payment for 7½% notes consent solicitation
|
7/18/2014 | HYLM | Affinity Gaming extends consent solicitation for 9% notes to Thursday
|
7/18/2014 | CVLM | Seadrill begins another incentive offer for 3.375% convertibles
|
7/18/2014 | LMMU | Socorro ISD, Texas, defeases $52.86 million 2006A unlimited tax bonds
|
7/18/2014 | HYLM | Packaging Dynamics gets no tenders in offer for 8¾% notes; call issued
|
7/18/2014 | LMMU | Houston defeases junior-lien and first-lien revenue refunding bonds
|
7/18/2014 | CAIGLM | RBC to redeem C$675 million of five-year rate-reset first preferreds
|
7/18/2014 | DDEMHYLM | New World solicits consents to amend 7 7/8% notes due 2018 and 2021
|
7/17/2014 | HYLM | Western Bulk obtains consents to amend unsecured bonds due 2017
|
7/17/2014 | LMPF | Community First calls $6 million floaters, $186,000 common securities
|
7/17/2014 | LMPF | MidSouth calls all $7 million floaters, $217,000 common securities
|
7/17/2014 | DDHYLM | Rooster Energy gets needed consents from first-priority noteholders
|
7/17/2014 | HYLM | Community First calls $6 million floaters, $186,000 common securities
|
7/17/2014 | LMMU | Massachusetts Port Authority defeases 2003-A, 2003-C and 2005-A bonds
|
7/17/2014 | LMMU | Rancho Cucamonga, Calif., defeases $224.29 million redevelopment bonds
|
7/17/2014 | LMMU | JEA, Fla., defeases $320.78 million of water and sewer revenue bonds
|
7/17/2014 | ABLM | Preferred Residential to seek noteholder approval at Aug. 15 meeting
|
7/17/2014 | LMMU | Wisconsin HEFA’s 2009B-1 Aurora Health bonds to be bought back
|
7/17/2014 | EMLM | China Fishery seeks consents for $250 million senior notes due 2017
|
7/17/2014 | EULM | National Asset Management redeems €739 million senior guaranteed notes
|
7/17/2014 | HYLM | Verso Paper gives early exchange count, notes tally falls short so far
|
7/17/2014 | HYLM | Burlington Stores calls 9%/9¾% notes due 2018, 10% notes due 2019
|
7/16/2014 | EMLM | Singapore's Goodpack solicits consents for S$50 million 4.7% notes
|
7/16/2014 | IGLM | Citi begins tender offers for up to $2 billion of five series of notes
|
7/16/2014 | CVLM | IBI Group gets needed consents to extend 7% convertible debentures
|
7/16/2014 | EMLM | Brazil’s GOL Linhas extends tender offers for 10¾% notes, 7½% notes
|
7/16/2014 | CVDDLM | Transeuro gets holder OK to make interest payment on 12% convertibles
|
7/16/2014 | IGLM | WEA Finance calls all $1 billion of 4.625% fixed-rate notes due 2021
|
7/16/2014 | LMMU | Utah Board of Regents calls $291.96 million student loan revenue bonds
|
7/16/2014 | LMMU | IPS Multi-School Building, Ind., defeases 2010A first mortgage bonds
|
7/16/2014 | HYLM | Viking Cruises gets needed consents to amend 8½% notes due 2022
|
7/16/2014 | IGLM | Mohawk Industries calls $200 million of 6.125% notes due Jan. 15, 2016
|
7/16/2014 | HYLM | Black Elk Energy announces tender offer for 13¾% senior notes due 2015
|
7/16/2014 | HYLM | Ferro begins tender offer, consent solicitation for 7 7/8% notes
|
7/16/2014 | LMMU | Ferro begins tender offer, consent solicitation for 7 7/8% notes
|
7/16/2014 | CVLM | U.S. Steel seeks to amend event of default under 2.75% convertibles
|
7/16/2014 | IGLM | Target accepts $725.24 million of 7%, 6.5% notes in tender offers
|
7/16/2014 | HYLM | Mediacom calls remaining $350 million of 9 1/8% senior notes due 2019
|
7/16/2014 | LMMU | Illinois Finance calls $194.13 million of Northwestern Memorial bonds
|
7/16/2014 | IGLM | CSX to redeem 8.375% secured equipment notes due 2014 via new offerings
|
7/16/2014 | LMMU | New Hampshire HEFA calls $40.89 million 2009 Dartmouth-Hitchcock bonds
|
7/16/2014 | LMMU | Rhode Island Health calls $48.71 million 2004D School of Design bonds
|
7/16/2014 | ABLM | Vega ContainerVessel secures needed votes to amend 5.562% class A notes
|
7/16/2014 | EMLM | Promsvyazbank to issue 10½% seven-year dollar notes in exchange offer
|
7/16/2014 | EMLM | Russia’s Novolipetsk wraps, prices tender offer for 4.45%, 4.95% notes
|
7/15/2014 | CVDDLM | New Issue: Suzlon issues $546.92 million convertibles to restructure four series
|
7/15/2014 | LMMU | Sacramento County Sanitation, Calif., defeases its 2006 revenue bonds
|
7/15/2014 | IGLM | Darden lifts tender offer maximum amount, eliminates sub-caps
|
7/15/2014 | HYLM | Hospitality Properties calls $280 million 5 1/8% senior notes due 2015
|
7/15/2014 | EMLM | Investcorp redeems $52.38 million preferreds, calls $21.24 million more
|
7/15/2014 | CLLM | Neuberger Berman CLO to pay $359.37 million to redeem six notes series
|
7/15/2014 | LMMU | Intermountain Power, Utah, redeems 2009A, defeases 2009B revenue bonds
|
7/15/2014 | LMMU | Austin, Texas, to partly refund 2005A water and wastewater bonds
|
7/15/2014 | HYLM | Affinity Gaming seeks to amend 9% notes’ change-of-control definition
|
7/14/2014 | LMMU | Massachusetts Water to redeem $2 million of general revenue bonds
|
7/14/2014 | LMMU | South Carolina Public Service calls $23.69 million 2004A obligations
|
7/14/2014 | CVLM | Ocwen Financial buys back remaining perpetual convertible preferreds
|
7/14/2014 | IGLM | Darden sets pricing in cash tender for up to $600 million of notes
|
7/14/2014 | LMMU | Massachusetts HEFA calls $125 million 2010 Children’s Hospital bonds
|
7/14/2014 | EMLM | Indonesia’s Modernland offers to exchange 11% notes for new 9¾% notes
|
7/14/2014 | HYLM | Petrohawk to redeem all 7¼% notes due 2018, 6¼% notes due 2019
|
7/14/2014 | EULM | Componenta gets holder approval to call €22.3 million notes due 2017
|
7/14/2014 | LMMU | Iowa Finance calls $69.36 million of 2005A Iowa Health System bonds
|
7/14/2014 | HYLM | Algeco Scotsman gets enough consents to amend 8½%, 9%, 10¾% notes
|
7/14/2014 | CVLM | InnVest amends tender offer for convertibles, increases purchase price
|
7/14/2014 | LMMU | Greater New Haven defeases $78.99 million 2005A wastewater bonds
|
7/14/2014 | EMHYLM | Black Earth buys back SEK 60 million of 9.4% bonds due 2017
|
7/14/2014 | LMMU | California Health defeases $249 million 2008C Providence Health bonds
|
7/14/2014 | HYLM | Cardtronics tenders, seeks consents for $179 million 8¼% 2018 notes
|
7/14/2014 | IGLM | Mutual of Omaha sets pricing, tallies early tenders for surplus notes
|
7/14/2014 | EMLM | Promsvyazbank offers to issue dollar notes in exchange for two series
|
7/14/2014 | DDHYLM | Energy Future extends tender offer for second-lien notes settlement
|
7/14/2014 | HYLM | Allbritton extends tender offer for 8% notes due 2018 until July 25
|
7/14/2014 | HYLM | Travelport ups exchange cap for five series, gives early tender update
|
7/11/2014 | LMMU | Indiana University calls all $56.49 million of 2004P student fee bonds
|
7/11/2014 | HYLM | Viking Cruises extends consent bid for 8½% notes; lifts consent fee
|
7/11/2014 | EMLM | AS 4finance gets needed consents to amend $170 million 13% notes
|
7/11/2014 | EMLM | Straits wraps tenders for S$216.75 million 4.3% notes, adds call option
|
7/11/2014 | LMMU | Sacramento County Sanitation defeases portion of 2006 revenue bonds
|
7/11/2014 | LMMU | Florida Hurricane Catastrophe defeases $675.92 million revenue bonds
|
7/11/2014 | LMMU | Illinois calls $49.55 million of 2004 revolving fund revenue bonds
|
7/11/2014 | LMMU | Georgia Finance calls all $161.84 million of 2004C G.O. refunding bonds
|
7/11/2014 | CVLM | Flexium buys back $10.6 million of zero-coupon convertibles due 2015
|
7/11/2014 | CVLM | ATK to start one-month offer for 3% convertibles due 2024; call issued
|
7/11/2014 | IGLM | AIG wraps oversubscribed tender offers for multiple series of notes
|
7/11/2014 | EMHYLM | Black Earth offers to buy back SEK 60 million of 9.4% bonds due 2017
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7/10/2014 | LMMU | Los Angeles Unified School District partially calls 2005C G.O. bonds
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7/10/2014 | DDHYLM | Alion Science and Technology again updates, extends 10¼% notes offer
|
7/10/2014 | LMMU | Dasny defeases St. Luke’s-Roosevelt Hospital Center 2005 revenue bonds
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7/10/2014 | IGLM | Express Scripts redeems $1.25 billion 3.5% senior notes at 105.7188
|
7/10/2014 | ABLM | Italfinance calls two series of mortgage-backed floaters due 2049
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7/10/2014 | ABLM | Bruntwood to redeem £80 million mortgage-backed floaters due 2017
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7/10/2014 | HYLM | C&S Group marks tenders for 61.7% of 8 3/8% notes at early deadline
|
7/10/2014 | HYLM | Unifrax solicits consents for 7½% notes to permit affiliate’s purchase of Shandong Luyang stock
|
7/10/2014 | HYLM | Orion Engineered Carbons calls $425 million 9¼%/10% PIK toggle notes
|
7/10/2014 | ABLM | Korea ACE solicits consents for $288 million floaters due 2038
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7/10/2014 | LMMU | Oregon Department of Transportation defeases highway user tax bonds
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7/10/2014 | LMMU | Texas Public Finance defeases $539.03 million G.O. commercial paper notes
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7/10/2014 | LMMU | JEA, Fla., defeases series three St. Johns River Power Park bonds
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7/10/2014 | CLLM | Avoca CLO IX to redeem three series of asset-backed floating-rate notes
|
7/10/2014 | LMMU | New York State Environmental calls 2004D water revenue bonds in full
|
7/10/2014 | LMMU | Riverside Community College, Calif., calls 2004A G.O. bonds in full
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7/10/2014 | CVDDLM | Suzlon to issue $546.92 million convertibles with 5% yield in restructuring of four series
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7/10/2014 | CVLM | Group 1 Automotive to redeem all 2.25% convertible notes on Sept. 4
|
7/10/2014 | LMPF | Western Asset buys back 99% of auction-rate preferreds in tender offer
|
7/10/2014 | HYLM | PetroLogistics again extends consent bid for 6¼% notes due 2020
|
7/9/2014 | HYLM | Calpine details tender offer for 7 7/8% and 7½% secured notes
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7/9/2014 | CAHYLM | Cott Beverages gets tenders for further $175,000 of 8 1/8% notes
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7/9/2014 | HYLM | j2 Cloud Services announces tender offer for 8% senior notes due 2020
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7/9/2014 | LMMU | Montana redeems all $30 million of 8% Stillwater Mining revenue bonds
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7/9/2014 | HYLM | Floatel offers to buy back 8% bonds, to call outstanding bonds Oct. 11
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7/9/2014 | HYLM | Hellenic Telecommunications’ OTE completes tender for two bond series
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7/9/2014 | HYLM | Cincinnati Bell to redeem $325 million 8¾% notes due 2018 at 104.375
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7/9/2014 | CVLM | Assystem to buy back 54.8% of Ornanes, begins standing repurchase order
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7/9/2014 | HYLM | Yorkshire Water buys back £35,000 6 5/8% guaranteed bonds due 2031
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7/9/2014 | HYLM | International Power to redeem all €10.15 million 7¼% notes due 2017
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7/9/2014 | EMLM | Bank of China redeems RM 16 billion fixed-rate bonds, floaters due 2019
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7/9/2014 | CLLM | Madison Park Funding VIII to refinance four series of notes on July 22
|
7/9/2014 | EMLM | Singapore-based Olam settles change-of-control put for 7½% bonds
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7/9/2014 | ABLM | Fordgate Commercial to redeem backed class A & B floaters due 2016
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7/9/2014 | EMLM | Straits holders tender S$216.75 million 4.3% notes due 2016 in offer
|
7/9/2014 | LMMU | Washington defeases various purpose, motor vehicle fuel tax G.O.s
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7/9/2014 | CVLM | Assystem may repurchase €89 million Ornanes via reverse bookbuilding
|
7/8/2014 | HYLM | Spencer Spirit: 100% of 11% notes tendered; offer for 9%/9¾% PIK toggle notes canceled
|
7/8/2014 | EMLM | Russia’s Novolipetsk tenders for up to $100 million 4.45%, 4.95% notes
|
7/8/2014 | CVLM | Seadrill scraps incentive offer for 3.375% convertibles, proposed $1 billion five-year convertibles
|
7/8/2014 | HYLM | Ardagh gets early tenders for 84%, 95% of euro, dollar 7 3/8% notes
|
7/8/2014 | CAIGLM | First Capital Realty to redeem remaining C$50 million 5.32% debentures
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7/8/2014 | LMMU | Metro Washington Airports to redeem $451.06 million revenue bonds
|
7/8/2014 | HYLM | Calpine tenders for 7 7/8%, 7½% notes, plans to repurchase 8% notes
|
7/8/2014 | CVLM | Seadrill begins voluntary incentive offer for 3.375% convertibles
|
7/8/2014 | HYLM | Caesars extends offers for 5 5/8%, 10% notes, this time until July 25
|
7/8/2014 | LMMU | Los Angeles MTA's 2008-A1 sales tax revenue bonds have mandatory tender
|
7/8/2014 | LMMU | Philadelphia Hospitals & Higher Education defeases 2010B Jefferson bonds
|
7/8/2014 | HYLM | Crown gets early tenders for 71.6% of senior notes due 2018 in offer
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7/8/2014 | HYLM | Armored AutoGroup solicits consents to amend 9¼% notes due 2018
|
7/8/2014 | LMMU | Kentucky Public Energy calls $67.75 million of 2006A gas supply bonds
|
7/8/2014 | CAIGLM | Calloway REIT redeems C$50 million of 5.37% debentures via offering
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7/8/2014 | ABLM | Mall Funding announces redemption of all secured floaters due 2017
|
7/7/2014 | LMMU | Texas Transportation defeases $1.07 billion of mobility fund bonds
|
7/7/2014 | LMMU | New Jersey Turnpike calls $125 million 2011 turnpike revenue bonds
|
7/7/2014 | HYLM | Helly Hansen seeks holder approval to amend callable bonds due 2017
|
7/7/2014 | HYLM | Ferro intends to redeem $250 million of 7 7/8% senior notes due 2018
|
7/7/2014 | LMMU | Louisiana defeases $204.12 million of various G.O. bonds
|
7/7/2014 | CVLM | CFS Retail holders put A$500,000 of convertible notes due July 2016
|
7/7/2014 | EMLM | Brazil’s Marfrig concludes tender offer for 11¼% and 9 7/8% notes
|
7/7/2014 | EMLM | Straits reports early consents for S$216.5 million 4.3% notes due 2016
|
7/7/2014 | HYLM | Styrolution plans to redeem all 7 5/8% senior secured notes due 2016
|
7/7/2014 | EULM | Componenta seeks holder approval to call €22.3 million notes due 2017
|
7/7/2014 | DDHYLM | Energy Future extends tender offer for second-lien notes settlement
|
7/7/2014 | HYLM | Hoegh LNG gets holder approval to amend floaters at July 4 meeting
|
7/7/2014 | HYLM | PetroLogistics amends, extends consent bid for 6¼% notes due 2020
|
7/7/2014 | CVDDLM | Subex gets waiver for next two interest payments on 5.7% convertibles
|
7/7/2014 | HYLM | Viking Cruises solicits consents for $250 million 8½% notes due 2022
|
7/3/2014 | LMMU | Louisiana defeases $204.12 million of general obligation bonds
|
7/3/2014 | LMMU | Orange County, Fla., school board calls $69.56 million 2004A COPs
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7/3/2014 | LM | Revolution Lighting issues new 9% convertible under exchange agreement
|
7/3/2014 | CVLM | Brookfield Residential to force conversion of 8% series A preferreds
|
7/3/2014 | HYLM | Altegrity completes private exchange offers for three series of notes
|
7/3/2014 | HYLM | West Corp. gets needed consents to amend 8 5/8% senior notes due 2018
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7/3/2014 | CLLM | Cougar CLO gets redemption notice for class A and B notes due 2020
|
7/3/2014 | HYLM | Western Bulk seeks OK to change clauses under unsecured bonds due 2017
|
7/3/2014 | DDHYLM | Northland holders vote to force redemption of 11% super senior bonds
|
7/3/2014 | LMMU | Massachusetts HEFA defeases $76.89 million Worcester City Campus bonds
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7/3/2014 | LMMU | Reedy Creek, Fla., defeases $126.81 million utilities revenue bonds
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7/3/2014 | LMMU | St. Cloud, Minn., calls $64.89 million CentraCare Health bonds
|
7/3/2014 | LMMU | Oregon Board of Higher Education calls $59.3 million 2004D G.O.s
|
7/3/2014 | LMMU | Scottsdale, Ariz., redeems $83.03 million general obligation bonds
|
7/3/2014 | CAIGLM | Granite REIT subsidiary calls all $265 million 6.05% notes due 2016
|
7/3/2014 | HYLM | Regency Energy wraps exchange offer for Eagle Rock’s 8 3/8% notes
|
7/3/2014 | CVLM | CapitaCommercial makes further repurchase of 2.7% convertible bonds
|
7/3/2014 | HYLM | Ardagh Glass to redeem €310 million of 7 1/8% senior notes due 2017
|
7/3/2014 | HYLM | Alcatel-Lucent accepts €210.39 million tendered 8½% notes for purchase
|
7/2/2014 | EMLM | Brazil’s GOL gets tenders for $186.63 million 10¾%, 7½% notes so far
|
7/2/2014 | LMMUPF | Neuberger Berman funds redeem auction market preferred shares
|
7/2/2014 | EMLM | Banco de Credito del Peru completes exchange offer for 4¾% notes
|
7/2/2014 | HYLM | PetroLogistics extends consent solicitation for 6¼% notes due 2020
|
7/2/2014 | DDHYLM | Verso Paper begins exchange offers for 8¾% notes, 11 3/8% notes
|
7/2/2014 | EULM | Bradford & Bingley accepts tenders for CHF 306.98 million covered bonds
|
7/2/2014 | LMMU | Bay Area Infrastructure, Calif., calls all $240.72 million 5% bonds
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7/2/2014 | HYLM | Cedar Fair to redeem all $405 million 9 1/8% notes on Thursday
|
7/2/2014 | CVLM | YRC Worldwide calls $86.65 million 10% convertibles due 2015
|
7/2/2014 | HYLM | First Data to redeem 35% portion of 6¾% senior secured notes due 2020
|
7/2/2014 | EMLM | Hong Kong’s Shimao Property to redeem all 9.65% notes due 2017
|
7/2/2014 | LMMU | Fontana USD, Calif., calls all election of 2006 series A G.O. bonds
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7/2/2014 | CVLM | IBI Group postpones meeting of 7% convertible holders to July 16
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7/2/2014 | HYLM | Algeco Scotsman begins consent solicitations for 8½%, 9%, 10¾% notes
|
7/2/2014 | LMMU | Virginia Public Building calls $84.66 million public facilities bonds
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7/2/2014 | LMMU | Indiana Bond Bank calls $15.86 million 2004B revolving fund bonds
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7/2/2014 | LMMU | Maryland to redeem $185.13 million of state & local facilities G.O.s
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7/2/2014 | EULM | Enterprise Holdings may buy back €2 million 7% bonds until year-end
|
7/2/2014 | CVLM | Horizon Oil makes early redemption offer to convertible bondholders
|
7/2/2014 | CVLM | Holloway seeks to take over Royal Host convertibles, needs consents
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7/1/2014 | LMMU | Phoenix defeases $192.5 million of 2005B various purpose G.O. bonds
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7/1/2014 | HYLM | Hellenic Telecommunications’ OTE tenders for bonds due 2015, 2016
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7/1/2014 | IGLM | Target prices $1 billion tender offers for up of six series of notes
|
7/1/2014 | IGLM | AIG plans to repurchase all 4.875% notes due 2016, 3.8% notes due 2017
|
7/1/2014 | HYLM | Jaguar Holding to fund consent bid for toggle notes via add-on issue
|
7/1/2014 | LMMU | Baltimore County, Md., calls $43.2 million public improvement bonds
|
7/1/2014 | CVLM | Glencore Finance repurchases $55.4 million 5% convertibles due 2014
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6/30/2014 | IGLM | Target tender offers for six note series oversubscribed at early deadline
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6/30/2014 | LMPF | QCR Holdings redeems remaining small business lending preferreds
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6/30/2014 | EMLM | China’s 21Vianet holders vote unanimously to amend 7 7/8% bonds
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6/30/2014 | LMMU | Puerto Rico Sales Tax Financing calls $38.49 million of 2009B bonds
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6/30/2014 | HYLM | Southern Star Central gets no more tenders, calls remaining 6¾% notes
|
6/30/2014 | LMMU | New York City Municipal Water calls $340.93 million water, sewer bonds
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6/30/2014 | IGLM | Darden begins tender offer for up to $600 million of four note series
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6/30/2014 | EMLM | Malaysia’s Hong Leong Industries redeems RM 240 million MTNs
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6/30/2014 | CVLM | United Microelectronics redeems remaining 2016 convertible bonds
|
6/30/2014 | CVLM | CapitaCommercial buys back S$18 million more 2.7% convertibles
|
6/30/2014 | LMMU | El Paso, Texas, to redeem $85.21 million of G.O. refunding bonds
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6/30/2014 | LMMU | Massachusetts Water calls 2004 series A general revenue bonds in full
|
6/30/2014 | EMLM | China’s Kaisa Group gets needed consents to amend four series of notes
|
6/30/2014 | CVLM | Flexium buys back $31.2 million of zero-coupon convertibles due 2015
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6/30/2014 | LMMU | Indiana Health's 2001A-1 Ascension Health bonds have mandatory tender
|
6/30/2014 | LMMU | South Central Connecticut calls 18th series B-1 & 19th series A bonds
|
6/30/2014 | LMMU | Palm Springs USD, Calif., calls $67.32 million of 2004A G.O. bonds
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6/30/2014 | EMLM | Argentina’s Mastellone Hermanos reports further early tender results
|
6/30/2014 | HYLM | Caesars extends offers for 5 5/8%, 10% notes, this time until July 7
|
6/27/2014 | HYLM | Alion Science and Technology again updates, extends 10¼% notes offer
|
6/27/2014 | IGLM | Mutual of Omaha Insurance tenders for up to $300 million surplus notes
|
6/27/2014 | DDEMHYLM | Emerging Europe bondholders approve longer maturities on two issues
|
6/27/2014 | LMMU | Los Angeles Unified School District calls 2004 G.O. bonds
|
6/27/2014 | IGLMPF | RBS calls four series of trust preferreds, subordinated notes
|
6/27/2014 | CVDDLM | Arcan Resources’ plan to redeem convertibles at 82.5 draws objection
|
6/27/2014 | EMIGLM | Brazil’s Odebrecht completes tender offers for four series of notes
|
6/27/2014 | HYLM | Norwegian Air Shuttle obtains sufficient votes; amends bond agreement
|
6/27/2014 | DDHYLM | Travelport offers shares for up to $50 million of five series of notes
|
6/27/2014 | HYLM | Michaels to redeem $439 million of 7½%/8¼% PIK toggle notes
|
6/27/2014 | DDHYLM | Northland 11% bondholders to vote on whether to force redemption
|
6/27/2014 | CLLM | KKR Financial CLO 2007-A to redeem six series of notes
|
6/27/2014 | HYLM | Essar Steel Minnesota receives enough consents to amend 11½% notes
|
6/27/2014 | CVLM | DFC begins tender offer for any and all 3.25%, 3% convertible notes
|
6/27/2014 | LMMU | Huntington Beach Union High, Calif., calls $159.7 million G.O. bonds
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6/27/2014 | EMLM | Argentina’s Mastellone Hermanos gives early tender update in offer
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6/27/2014 | HYLM | Allbritton extends early premium to all holders who tender 8% notes
|
6/26/2014 | HYLM | AmSurg announces plans to repay remaining 5 5/8% notes due 2020
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6/26/2014 | LMMU | Maryland may refund some outstanding series via new G.O. proceeds
|
6/26/2014 | LMPF | Empire State Realty extends exchange offer for $250 million units
|
6/26/2014 | EULM | BWG Homes holders may put back bonds after change-of-control event
|
6/26/2014 | LMMU | Turnpike Authority of Kentucky defeases $132.41 million 2005B bonds
|
6/26/2014 | LMMU | Leander ISD, Texas, calls 2006 unlimited tax school building bonds
|
6/26/2014 | LMMU | Louisville and Jefferson County, Ky., authority calls airport bonds
|
6/26/2014 | LMMU | Minnesota calls G.O. various purpose bonds, state trunk highway bonds
|
6/26/2014 | LMMU | Massachusetts Water Pollution calls $186.73 million pool program bonds
|
6/26/2014 | HYLM | Labeyrie obtains needed consents to amend 5 5/8% notes due 2021
|
6/26/2014 | HYLM | DaVita HealthCare to redeem any 6 3/8% notes not tendered in offer
|
6/26/2014 | LMMU | Volusia County, Fla., school board defeases $122.1 million 2006A COPs
|
6/26/2014 | HYLM | Cenveo calls all $400 million 8 7/8% senior second-lien notes due 2018
|
6/26/2014 | CVLM | Cogent Communications redeems all 1% convertible notes due 2027
|
6/26/2014 | EULM | Verizon to issue £694.8 million total new notes under exchange offer
|
6/26/2014 | LMPF | Preferred Apartment stockholders vote to add holder redemption options
|
6/26/2014 | LMPF | Pulaski Financial to buy back all $7.4 million of series A preferreds
|
6/26/2014 | IGLM | AIG prices tender for multiple note series, lifts cap; offers oversubscribed by early date
|
6/26/2014 | IGLM | Popular to redeem subordinated debentures, capital securities
|
6/25/2014 | CVLM | Alliant Techsystems sets purchase price in tender for 3% convertibles
|
6/25/2014 | DDHYLM | Energy Future wraps tender offer for first-lien notes settlement
|
6/25/2014 | LMMUPF | Three Neuberger Berman funds to redeem auction market preferred shares
|
6/25/2014 | CVLM | InterMune exchanges $43.1 million of 2.5% convertibles at discount
|
6/25/2014 | CVLM | Peabody holders deliver needed consents to amend 4.75% convertibles
|
6/25/2014 | HYLM | Floatel nixes consent solicitation for 8% bonds, makes other plans
|
6/25/2014 | ABLM | KeyCorp Student Loan Trust to redeem all group II notes on June 24
|
6/25/2014 | HYLM | KeyCorp Student Loan Trust to redeem all group II notes on June 24
|
6/25/2014 | EMLM | Brazil’s JBS short of consent threshold as of early deadline for notes
|
6/25/2014 | LMMU | Contra Costa Water, Calif., to redeem $114.56 million water bonds
|
6/25/2014 | CVLM | IBI postpones meeting for holders of 7% convertibles to July 7
|
6/25/2014 | IGLM | AIG sets reference yields for $1.5 billion tender offers for notes
|
6/25/2014 | LMMU | Los Angeles County Metropolitan Transportation calls tax revenue bonds
|
6/25/2014 | EULM | SBAB Bank repurchases SEK 789 million of floating-rate notes due 2014
|
6/25/2014 | LMMU | Baltimore County, Md., calls $83 million 2004 public improvement bonds
|
6/25/2014 | LMMU | Royal Oak Hospital Finance, Mich., calls some William Beaumont bonds
|
6/25/2014 | LMMU | District of Columbia calls $224.3 million 2008C G.O. refunding bonds
|
6/25/2014 | CACVLM | Melcor to redeem C$40 million 6.25% convertibles due Feb. 8, 2017
|
6/25/2014 | EMLM | China Forestry extends tender offer for 10¼% notes by six more months
|
6/25/2014 | EMHYLM | China Forestry extends tender offer for 10¼% notes by six more months
|
6/25/2014 | CVLM | Thompson Creek holders tender 86.4% of 6.5% equity units in exchange
|
6/25/2014 | HYLM | Nationstar to redeem all $285 million 10 7/8% senior notes due 2015
|
6/25/2014 | HYLM | C&S Group begins tender offer for 8 3/8% senior secured notes due 2017
|
6/24/2014 | CLLM | Mill Creek CLO inks supplemental indenture to notes after consent bid
|
6/24/2014 | HYLM | VWR to redeem subordinated notes using common stock offering proceeds
|
6/24/2014 | CVLM | Group 1 prices tender offer for $115 million 3% convertibles due 2020
|
6/24/2014 | HYLM | Lantheus to redeem portion of 9¾% notes with proceeds from stock sale
|
6/24/2014 | HYLM | Memorial Resource Development to redeem 10%/10¾% PIK toggle notes
|
6/24/2014 | HYLM | Townsquare Media to repay 10% PIK notes due 2019 with IPO proceeds
|
6/24/2014 | HYLM | Essar Steel Minnesota amends consent solicitation for 11½% notes
|
6/24/2014 | CAHYLM | Cott Beverages gets tenders for $295.93 million 8 1/8% notes so far
|
6/24/2014 | LMMU | Missouri HEFA’s Saint Louis University bonds have mandatory tender
|
6/24/2014 | EMLM | Argentina’s Mastellone Hermanos sets 12 5/8% coupon for notes to be issued in exchange offer
|
6/24/2014 | ABLM | Vega ContainerVessel seeks consents to amend 5.562% class A notes
|
6/24/2014 | CVLM | Barnes Group calls remaining $55.4 million 3.375% convertible notes
|
6/24/2014 | HYLM | PetroLogistics starts consent solicitation for 6¼% notes due 2020
|
6/24/2014 | LMPF | Genie Energy wraps exchange offer to issue preferreds for class B stock
|
6/24/2014 | LMMU | Charlotte/Douglas International Airport calls 1998 US Airways bonds
|
6/24/2014 | CVLM | CapitaCommercial buys back S$23.25 million more 2.7% convertibles
|
6/24/2014 | HYLM | Alcatel-Lucent offers to buy any and all €424.76 million 8½% notes
|
6/23/2014 | LMMU | Los Rios Community College, Calif., calls $54.26 million 2002C bonds
|
6/23/2014 | CVDDLM | Atlanticus begins tender offer for up to $100 million convertibles
|
6/23/2014 | CAIGLMPF | Scotiabank to redeem all series 13 non-cumulative preferreds July 29
|
6/23/2014 | LMMU | Connecticut HEFA defeases series J-1, M Yale-New Haven Hospital bonds
|
6/23/2014 | IGLM | Freeport-McMoRan intends to redeem $1.66 billion of senior notes
|
6/23/2014 | IGLM | EnLink Midstream to redeem $18.5 million of 7.125% notes due 2022
|
6/23/2014 | CLLM | Golub Capital Partners CLO 10 to refinance $257.25 million of notes
|
6/23/2014 | CVDDLM | Arcan to be acquired, plans to redeem convertible debentures at 82.5
|
6/23/2014 | HYLM | First Data to redeem 35% portions of 11¾% notes, 10 5/8% notes
|
6/23/2014 | ABLM | Swedish Consumer Credits redeems SEK 27.53 million of class A floaters
|
6/23/2014 | IGLM | DTE Electric to redeem all $200 million 4.8% notes due 2015 on July 23
|
6/23/2014 | HYLM | Carlson Wagonlit to tender for up to $50 million of 6 7/8% notes
|
6/23/2014 | HYLM | Polymer Group to redeem $56 million 7¾% senior secured notes due 2019
|
6/23/2014 | CACVLM | Altus Group calls all C$50 million of 5.75% convertibles due 2017
|
6/23/2014 | IGLM | DTE Electric to redeem 5.4%, 5.25% notes with new offering proceeds
|
6/23/2014 | CLLM | Golub Capital Partners to refinance $257.25 million of Rule 144A notes
|
6/23/2014 | IGLM | Legg Mason plans to repurchase its 5.5% notes with new note proceeds
|
6/23/2014 | HYLM | Nielsen to redeem 7¾% senior notes due 2018 via new debt offering
|
6/23/2014 | HYLM | Martin Marietta to redeem Texas Industries’ 9¼% notes via offering
|
6/23/2014 | HYLM | AMD wraps early tenders in offer for 8 1/8% notes, calls remainder
|
6/23/2014 | CVLM | Thompson Creek sets shares to be issued in offer for 6.5% equity units
|
6/23/2014 | HYLM | Ardagh tenders for dollar, euro 7 3/8% senior secured notes due 2017
|
6/23/2014 | HYLM | Crown begins tender offer for €500 million senior notes due 2018
|
6/23/2014 | HYLM | Essar Steel Minnesota begins consent bid for $450 million 11½% notes
|
6/20/2014 | LMMU | ABAG Finance defeases $55.49 million Children’s Hospital Oakland bonds
|
6/20/2014 | IGLM | AmerisourceBergen to redeem $497.74 million 5.875% notes at 106.305
|
6/20/2014 | CVLM | Peabody hikes consent fee in solicitation to amend 4.75% convertibles
|
6/20/2014 | LMMU | Asante Health, Ore., purchases $51.33 million hospital revenue bonds
|
6/20/2014 | CVLM | OPKO Health to issue shares, cash for $70.4 million 3% convertibles
|
6/20/2014 | LMMU | Tulsa Municipal Airport, Okla., calls $97.71 million revenue bonds
|
6/20/2014 | LMPP | CIFC’s $25 million of notes converted ahead of July 13 redemption
|
6/20/2014 | HYLM | Havila OK’d to move up maturity; holders may choose cash or new bonds
|
6/20/2014 | HYLM | First Data to redeem 35% portion of 11¼% notes on July 21
|
6/20/2014 | LMMU | Arizona School Facilities Board to redeem $208.92 million 2005A COPs
|
6/20/2014 | HYLM | Travelport Worldwide to exchange $181.7 million of notes for stock
|
6/20/2014 | CVLM | Solazyme to issue additional shares for exchanged 6% convertibles
|
6/20/2014 | HYLM | Delta Air Lines calls all $130.6 million equipment notes due 2016
|
6/20/2014 | LMMU | Arlington ISD, Texas, defeases $72.37 million 2006 unlimited tax bonds
|
6/20/2014 | ABLM | Canary Wharf Group to redeem £577.9 of its class A1 notes on July 22
|
6/20/2014 | HYLM | Canary Wharf Group to redeem £577.9 of its class A1 notes on July 22
|
6/20/2014 | HYLM | Hoegh LNG seeks approval to amend floaters at July 4 meeting
|
6/20/2014 | CVLM | Maurel & Prom wraps standing repurchase order for Oceanes due 2014
|
6/19/2014 | CAIGLM | Canadian Pacific Railway terminates tender offers for four note series
|
6/19/2014 | EMIGLM | Brazil’s Odebrecht begins tender offers for four series of notes
|
6/19/2014 | LMMU | Chicago to redeem $114.39 million 2003A motor fuel tax revenue bonds
|
6/19/2014 | HYLM | Global Rig to redeem all 13% bonds due 2015 after total loss of rig
|
6/19/2014 | CAHYLM | Lanesborough gets approval for 9½% debentures normal course issuer bid
|
6/19/2014 | CAHYLM | Cascades gets needed consents for 7¾% notes due 2016, 2017, calls remainder for July redemption
|
6/19/2014 | IGLMPF | Popular to repay $935 million trust securities tied to TARP preferreds
|
6/19/2014 | HYLM | First Data plans to redeem four series of notes via placement proceeds
|
6/19/2014 | CVLM | China Power holders convert all remaining 2.25% convertible bonds
|
6/19/2014 | EMLM | AS 4finance begins consent solicitation for $170 million 13% notes
|
6/19/2014 | CLLM | Avoca CLO IX to redeem €300 million notes following class M put
|
6/19/2014 | EMLM | Brazil’s Odebrecht plans to start tender offer, consent solicitation for several notes series
|
6/19/2014 | HYLM | Petrolia completes last portion of three-part 12% bond repurchase
|
6/19/2014 | HYLM | Travelex gets consents, waiver under 8% notes, floaters due 2018
|
6/19/2014 | EMLM | Cosan holders OK one-time covenant waiver under 5%, 9½% notes
|
6/19/2014 | HYLM | Labeyrie begins consent bid to amend 5 5/8% notes related to merger
|
6/19/2014 | EMLM | Brazil’s GOL Linhas begins tender offers for 10¾% notes, 7½% notes
|
6/19/2014 | EMLM | Mexico’s Pemex gets needed consents in bid for multiple note series
|
6/19/2014 | EMHYLM | Brazil’s Marfrig gives early tender update for 11¼% and 9 7/8% notes
|
6/18/2014 | EMLM | Singapore’s Ezion issues call to redeem 5¼% notes due 2015
|
6/18/2014 | CVLM | Callidus Software converts $14.2 million 4.75% convertibles due 2016
|
6/18/2014 | HYLM | Tenet Healthcare to redeem $474.22 million 9¼% notes on July 10
|
6/18/2014 | LMMU | San Ramon Valley school district, Calif., calls $94.34 million G.O.s
|
6/18/2014 | CAIGLM | TD Bank calls five-year series AI, series AK preferreds for redemption
|
6/18/2014 | EMLM | Straits Trading seeks consents for S$225 million 4.3% notes due 2016
|
6/18/2014 | EMLM | China’s Noble Group to redeem $350 million 8½% perpetual notes
|
6/18/2014 | DDHYLM | Alion Science and Technology extends 10¼% notes offer yet again
|
6/18/2014 | CVLM | Peabody again extends solicitation for 4.75% convertibles due 2066
|
6/18/2014 | LMMU | Sylacauga Health Care Authority, Ala., looks to defease 2005-A bonds
|
6/18/2014 | HYLM | Seagate HDD Cayman wraps tender offers for 7% notes, 6 7/8% notes
|
6/18/2014 | IGLM | Nasdaq OMX Group redeems $400 million 4% notes due 2015 at par
|
6/18/2014 | HYLM | Norwegian Air Shuttle increases price offered for floating-rate notes
|
6/18/2014 | CVLM | EnPro issues stock in exchange for $41.6 million 3.9375% convertibles
|
6/18/2014 | HYLM | Packaging Dynamics offers to buy back up to $64.91 million 8¾% notes
|
6/18/2014 | CLLM | Atrium VII looks to redeem subordinated securities, preferred shares
|
6/18/2014 | LMMU | Tennessee to redeem $66 million 2006 series A G.O. bonds
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6/18/2014 | LMMU | Collier County, Fla., defeases series 2005 gas tax revenue bonds
|
6/18/2014 | EULM | Dignity seeks waiver from holders of 6.31% class A notes due 2023
|
6/18/2014 | EMLM | Mexico’s Pemex extends consent bid for multiple note series by one day
|
6/18/2014 | HYLM | DaVita HealthCare gets needed consents to amend 6 3/8% notes due 2018
|
6/18/2014 | HYLM | Acadia Healthcare gets consents to lift leverage under 12 7/8% notes
|
6/18/2014 | EMLM | Banco de Credito del Peru extends early deadline in exchange offer
|
6/17/2014 | EMLM | Argentina’s Mastellone Hermanos changes tender, exchange offer dates
|
6/17/2014 | CVLM | Insulet holders may convert 3.75% notes till July 24; call issued
|
6/17/2014 | IGLM | Citigroup completes cash tender offers for nine series of notes
|
6/17/2014 | CALM | Cameco to redeem C$300 million 4.7% series C debentures on July 16
|
6/17/2014 | CVLM | CapitaCommercial buys back S$42 million of 2.7% convertible bonds
|
6/17/2014 | EMLM | China’s 21Vianet holders tender RMB 702.5 million 7 7/8% bonds so far
|
6/17/2014 | IGLM | International Paper prices tender offer for 9.375% notes, 7.95% notes
|
6/17/2014 | LMMU | California conducts mandatory tender of $75 million series 2001B bonds
|
6/17/2014 | DDHYLM | Energy Future units’ notes trustee eyes premium payment on refinancing
|
6/17/2014 | IGLM | Cameron to redeem all $250 million 1.6% senior notes via new offering
|
6/17/2014 | HYLM | Cenveo to redeem 8 7/8% second-lien notes with notes offering proceeds
|
6/17/2014 | LMMU | Former Florida Hurricane Catastrophe Fund defeases 2010A revenue bonds
|
6/17/2014 | HYLM | Caesars again extends deadlines in tender offers for 5 5/8%, 10% notes
|
6/17/2014 | CVHYLM | SBA to redeem 8¼% notes, fund conversion of 4% notes via new notes
|
6/17/2014 | HYLM | West Corp. tenders for 8 5/8% notes, up to $200 million 7 7/8% notes
|
6/17/2014 | CVLM | InnVest REIT tenders for C$28.75 million of series G convertibles
|
6/17/2014 | LMMU | Indiana Bond Bank calls $117.5 million 6A, 7A school severance bonds
|
6/17/2014 | LMMU | California Statewide calls all 2008, 2009D & 2009F variable-rate bonds
|
6/17/2014 | LMMU | Indiana Finance calls $53 million of 2007 economic development bonds
|
6/17/2014 | LMMU | Illinois Finance drops Southern Illinois redemption, issues new call
|
6/17/2014 | LMMU | Texas Water calls $137.49 million 2007B state revolving fund bonds
|
6/17/2014 | CVLM | Glencore to buy back $521.7 million 5% convertibles under tender offer
|
6/17/2014 | IGLM | Target begins tender offers for up to $1 billion of six note series
|
6/16/2014 | IGLM | International Paper reports early tender results for 9.375%, 7.95% notes
|
6/16/2014 | LMMU | California Municipal’s Republic Services bonds have mandatory tender
|
6/16/2014 | LMMU | Philadelphia to redeem $15.54 million of 2005B water, wastewater bonds
|
6/16/2014 | CAHYLM | Lanesborough gets OK to extend maturity of 9½% debentures to June 2018
|
6/16/2014 | HYLM | Quality Distribution subsidiaries to redeem $22.5 million 9 7/8% notes
|
6/16/2014 | HYLM | Southern Star Central holders tender $185.76 million 6¾% notes so far
|
6/16/2014 | HYLM | American Tire Distributors redeems all $250 million of 9¾% notes
|
6/16/2014 | HYLM | Global Partners to repurchase 8%, 7¾% senior notes via new offering
|
6/16/2014 | HYLM | ServiceMaster to redeem $210 million 8% notes, $262.5 million 7% notes
|
6/16/2014 | HYLM | AMD extends consent date in tender offer for 8 1/8% notes due 2017
|
6/16/2014 | CVLM | Glencore tenders for $600 million convertibles via Dutch auction
|
6/13/2014 | DDEMHYLM | Emerging Europe seeks lower rates, longer maturities on two bonds
|
6/13/2014 | LMMU | Contra Costa County Community College, Calif., calls two series G.O.s
|
6/13/2014 | LMMU | New York City calls $50 million 2006 general obligation bonds
|
6/13/2014 | HYLM | Norwegian Air Shuttle begins tender offer, consent bid for floaters
|
6/13/2014 | DDHYLM | Energy Future: 43% of second-lien notes tendered as of early deadline
|
6/13/2014 | HYLM | Allbritton Communications begins cash tender offer for 8% notes
|
6/13/2014 | CVLM | DFC Global holders tender nearly all convertible notes into offer
|
6/13/2014 | IGLMPF | Barclays closes multi-currency exchange offers for tier 1 securities
|
6/13/2014 | LMMU | Fairfax County, Va., calls 2004 sewer revenue refunding bonds in full
|
6/13/2014 | HYLM | Regency Energy extends exchange offer for Eagle Rock’s 8 3/8% notes
|
6/13/2014 | EMLM | Brazil’s Tonon solicits consents for $230 million of notes units
|
6/13/2014 | LMMU | Chicago to redeem $653.22 million of Midway Airport revenue bonds
|
6/13/2014 | CVLM | DFC Global holders tender nearly all convertible notes into offer
|
6/13/2014 | HYLM | Radian sets redemption price for $54.5 million of notes at 104.998
|
6/13/2014 | CVLM | Maurel & Prom starts standing repurchase order for Oceanes due 2014
|
6/13/2014 | CVEMLM | China Nickel Resources gets votes to amend 10% bonds, 6% convertibles
|
6/12/2014 | CVDDLM | Subex seeks waiver of next two interest payments on 5.7% convertibles
|
6/12/2014 | HYLM | Actavis gets needed consents to guarantee Forest Laboratories notes
|
6/12/2014 | CAIGLM | First Capital Realty calls C$50 million of 5.32% series F debentures
|
6/12/2014 | EULM | Air France accepts tenders for €94 million 6.75% bonds due 2016
|
6/12/2014 | IGLM | Oklahoma Gas and Electric calls $140 million of 6.5% notes in full
|
6/12/2014 | LMMU | California’s 2008B O.C. Performing Arts bonds have mandatory tender
|
6/12/2014 | LMPF | First BanCorp. exchanges for $20.71 million preferreds in May, June
|
6/12/2014 | IGLM | American States Water unit calls $15 million of notes due 2023
|
6/12/2014 | IGLM | American States Water subsidiary calls $15 million of two note series
|
6/12/2014 | IGLM | Agilent calls all $500 million of 5.5% notes for July 14 redemption
|
6/12/2014 | HYLM | Ardagh calls €256.97 million, $479.21 million 11 1/8% PIK notes
|
6/12/2014 | EUHYLM | Ardagh calls €256.97 million, $479.21 million 11 1/8% PIK notes
|
6/12/2014 | HYLM | Trinseo to redeem $132.5 million of 8¾% notes via share offering
|
6/12/2014 | CVLM | Malaysia’s Malton to redeem portion of 6% convertible loan stocks
|
6/12/2014 | HYLM | Avanti gets OK to issue new bonds for satellite construction
|
6/12/2014 | EULM | National Asset Management redeems €730 million of its senior notes
|
6/12/2014 | EULM | Verizon to issue £678.37 million new notes in exchange offer so far
|
6/12/2014 | EMLM | Mexico’s ICA wraps tender offer for 8 3/8% notes; no more purchased
|
6/12/2014 | IGLM | AIG tenders for $1.5 billion of multiple junior, senior note series
|
6/11/2014 | DDHYLM | Alion Science and Technology again extends 10¼% notes exchange offer
|
6/11/2014 | CVLM | IBI to hold conference call for holders of 7% convertibles on Monday
|
6/11/2014 | CVLM | Thompson Creek extends, amends exchange offer for 6.5% equity units
|
6/11/2014 | LMMU | Pennsylvania Economic calls $76.23 million 2012C unemployment bonds
|
6/11/2014 | CVLM | CBD amends agreements, will now issue preferreds for convertibles
|
6/11/2014 | LMMU | South Carolina defeases $70.9 million 2005A G.O. state highway bonds
|
6/11/2014 | EMLM | JBS starts tender offer, consent solicitation for 10¼%, 10½% notes
|
6/11/2014 | HYLM | Floatel fails to form quorum, calls second meeting of 8% bondholders
|
6/11/2014 | EMLM | Votorantim, Companhia Brasileira de Aluminio complete tender offer
|
6/11/2014 | IGLMPF | Goldman Sachs prices tender offer for 6.345% capital securities
|
6/11/2014 | IGLM | Comerica Bank calls $150 million subordinated notes due 2024
|
6/11/2014 | EMLM | Singapore’s Ezion gets votes from holders of S$92.75 million 5¼% notes
|
6/11/2014 | LMMU | North Carolina Capital Facilities calls $60.46 million Campbell bonds
|
6/11/2014 | HYLM | Tenet Healthcare to redeem 9¼% notes due 2015 via new offering
|
6/11/2014 | LMMU | Port of Tacoma, Wash., defeases its 2004B & 2005 AMT revenue bonds
|
6/11/2014 | EMLM | Uruguay wraps one-day cash tender offer for seven series of bonds
|
6/11/2014 | EULM | Verizon sets pricing in private exchange offer for 8.875% notes
|
6/11/2014 | DDHYLM | Energy Future extends tender offer for first-lien notes settlement
|
6/11/2014 | CVLM | Peabody extends consent solicitation for 4.75% convertibles due 2066
|
6/10/2014 | HYLM | Golden State Petroleum redeems $39.72 million 8.04% mortgage notes
|
6/10/2014 | HYLM | Spencer Spirit tenders for 11% secured notes, toggle notes due 2018
|
6/10/2014 | CVLM | Penn Virginia negotiating conversion of 6% convertible preferreds
|
6/10/2014 | EULM | Bradford & Bingley launches tender for two covered bonds series
|
6/10/2014 | LMMUPF | Nuveen Massachusetts Premium Income Municipal to redeem preferreds
|
6/10/2014 | HYLM | Diamond Resorts redeems all $374.44 million 12% notes at 108.077
|
6/10/2014 | CAIGLM | Veresen to redeem all C$200 million of 5.6% series 1 notes via offering
|
6/10/2014 | CVLM | Equinix holder exchanges some 3% convertibles for stock, cash
|
6/10/2014 | CAIGLM | Cameco considers redeeming 4.7% series C debentures due 2015
|
6/10/2014 | LMMU | New York City Municipal Water calls $60.07 million water & sewer bonds
|
6/10/2014 | LMMU | NYC Trust for Cultural Resources calls Natural History Museum bonds
|
6/10/2014 | LMMU | Virginia calls $52.91 million Hampton Roads Proton Beam Therapy bonds
|
6/10/2014 | CAHYLM | Cott begins tender offer, consent solicitation for 8 1/8% notes
|
6/10/2014 | EMLM | Uruguay begins one-day cash tender offer for seven series of bonds
|
6/9/2014 | DDHYLM | Affinion Group issues warrants for 30.3 million class B shares in exchange for 13¾%/14½% PIK notes
|
6/9/2014 | HYIGLM | Seagate plans to redeem all remaining 7¾% notes due 2018
|
6/9/2014 | ABLM | Spirit Realty Capital units defease $488 million 2006 mortgage notes
|
6/9/2014 | EMLM | China’s Kaisa Group solicits consents to amend four series of notes
|
6/9/2014 | HYLM | Oil States redeems remaining 6½%, 5 1/8% notes following tender offers
|
6/9/2014 | EMLM | China’s I.T buys back more 6¼% senior notes due 2018
|
6/9/2014 | DDHYLM | Energy Future amends tender offer for second-lien notes settlement
|
6/9/2014 | LMMUPF | BlackRock New York Municipal 2018 to redeem $2.5 million preferreds
|
6/9/2014 | LMMU | Sacramento calls $108.85 million of 2004C-3 pension funding bonds
|
6/9/2014 | EMLM | Mexico’s Axtel seeks consents for notes due 2020 to incur debt
|
6/9/2014 | LMMU | Michigan Finance calls $34.65 million of 2012B unemployment bonds
|
6/9/2014 | LMMU | New York City calls $150 million 2008 series L-6 G.O. bonds in full
|
6/9/2014 | DDHYLM | Energy Future amends tender offer for second-lien notes settlement
|
6/9/2014 | HYLM | Acadia Healthcare seeks consents to lift leverage under 12 7/8% notes
|
6/9/2014 | HYLM | Actavis extends offers to guarantee Forest Lab notes for acquisition
|
6/6/2014 | HYLM | Havila seeks to refinance bonds, move up their maturity to June 25
|
6/6/2014 | LMPF | UIL Holdings unit accepts tenders for 65.04% of $3.125-par preferreds
|
6/6/2014 | HYLM | Clear Channel uses note proceeds to redeem 5½%, 4.9% notes
|
6/6/2014 | DDHYLM | Affinion Group accepts tenders for $88.7 million 13¾%/14½% PIK notes in exchange offer
|
6/6/2014 | CAIGLM | Viterra wraps tender for 6.406% notes; remainder to be redeemed June 13
|
6/6/2014 | CVLM | Maurel & Prom plans to repurchase €270.49 million of 2014 Oceanes
|
6/6/2014 | ABLM | HoldCo CDO Opportunities begins tender offer for South Street notes
|
6/6/2014 | LMMU | San Jose Financing, Calif., calls $62.11 million Land Acquisition bonds
|
6/6/2014 | ABLM | SC Germany Auto to redeem class A and B floaters due 2019 in full
|
6/6/2014 | HYLM | Sanmina plans to redeem $135.59 million of 7% senior notes due 2019
|
6/6/2014 | LMMU | Intermountain Power, Utah, calls $57.04 million of power supply bonds
|
6/6/2014 | LMMU | Georgia Finance calls $103.93 million of series 2004D G.O. bonds
|
6/5/2014 | CAIGLM | Canadian Pacific Railway begins tender offer for four series of notes
|
6/5/2014 | HYLM | Alere receives consents under three note series to allow unit's IPO
|
6/5/2014 | LMMU | San Jose-Evergreen, Calif., defeases $33.73 million 2004A G.O. bonds
|
6/5/2014 | CVLM | Omnicom plans to redeem zero-coupon zero-yield convertibles due 2032
|
6/5/2014 | LMMU | Texas Public Finance calls $189.99 million of 2010B unemployment bonds
|
6/5/2014 | LMMU | NYC Trust calls $79.23 million American Museum of Natural History notes
|
6/5/2014 | EMLM | Brazil’s JBS cancels tender offers, consent bids for 10¼%, 10½% notes
|
6/5/2014 | EMHYLM | Brazil’s Marfrig announces tender offers for 11¼% notes, 9 7/8% notes
|
6/5/2014 | HYLM | Vail Resorts to redeem $175 million 6½% notes due 2019 on July 7
|
6/5/2014 | CAHYLM | Cascades tenders, solicits consents for 7¾% notes due 2016, 2017
|
6/5/2014 | HYLM | TransDigm settles early tendered 7¾% notes, calls remainder
|
6/5/2014 | HYLM | Ceridian, Comdata report early results of 11¼%, toggle notes tender
|
6/5/2014 | EMLM | China’s 21Vianet begins tender offer for 7 7/8% bonds due 2016
|
6/5/2014 | LMMU | Harris County Flood Control, Texas, calls 2006A contract tax bonds
|
6/5/2014 | EULM | National Asset Management redeems €1.15 billion of its senior notes
|
6/5/2014 | LMMU | Missouri HEFA calls $50 million of 2008 Lutheran Senior Services bonds
|
6/5/2014 | LMMU | Illinois Finance calls $51.24 million of variable-rate demand bonds
|
6/5/2014 | EMLM | Argentina’s Mastellone Hermanos launches tender and exchange offer
|
6/4/2014 | CVLM | Cemex holders to convert $55 million 4.875% convertibles due 2015
|
6/4/2014 | CVLM | Illumina to repurchase some 0.25% convertibles via new convertibles
|
6/4/2014 | DDHYLM | Alion Science and Technology again extends 101/4% notes exchange offer
|
6/4/2014 | EMHYLM | Cosan seeks waiver under 5%, 91/2% notes to allow distribution
|
6/4/2014 | EMLM | Banco de Credito del Peru begins exchange offer for 43/4% notes due 2016
|
6/4/2014 | EMLM | Votorantim, Companhia Brasileira de Aluminio tender for three note series
|
6/4/2014 | LM | Bank of Scotland, Lloyds wrap tender for three covered bond series
|
6/4/2014 | HYLM | Caesars again extends deadlines in tender offers for 5 5/8%, 10% notes
|
6/4/2014 | HYLM | DaVita HealthCare begins tender offer for 6 3/8% notes due 2018
|
6/4/2014 | HYLM | Energy XXI Gulf Coast amendment removes prohibition on note prepayment
|
6/4/2014 | HYLM | Inmarsat holders tender $412.05 million 7 3/8% notes by early deadline
|
6/4/2014 | HYLM | Sanmina gets needed consents to amend 7% notes due 2019 by early date
|
6/4/2014 | HYLM | Scientific Games to redeem 91/4% senior notes following tender offer
|
6/4/2014 | HYLM | Seagate unit gives early tender results for 7% notes 6 7/8% notes
|
6/4/2014 | LMMU | El Paso, Texas, defeases $80.21 million 2005 general obligation bonds
|
6/4/2014 | LMMU | Missouri Highways defeases series 2006A, 2006B & 2007 state road bonds
|
6/3/2014 | EMLM | Mexico's Pemex seeks consents to amend notes for regulatory purposes
|
6/3/2014 | HYLM | Continental Resources calls all $300 million of 81/4% notes due 2019
|
6/3/2014 | HYLM | DriveTime gets tenders, consents for 71.46% of 12 5/8% notes due 2017
|
6/3/2014 | HYLM | Westmoreland Coal gets tenders for $1.02 million 103/4% notes in offer
|
6/3/2014 | IGLM | AT&T, BellSouth plan redemptions of five series of notes
|
6/3/2014 | IGLM | Citigroup prices tender offers, increases caps for three note series
|
6/3/2014 | IGLM | International Paper begins tender offer for 9.375%, 7.95% notes
|
6/3/2014 | LMMU | California Statewide calls $13.88 million Terraces San Joaquin bonds
|
6/3/2014 | LMMU | California calls $139.02 million of 2004A economic recovery bonds
|
6/3/2014 | LMMU | California calls full Terraces San Joaquin; Retirement Housing bonds
|
6/3/2014 | LMMU | Carmel, Ind., defeases $52.2 million 2005 lease rental revenue bonds
|
6/3/2014 | LMMU | Illinois calls $54.69 million unemployment insurance fund bonds
|
6/3/2014 | LMMU | Los Angeles County's lease revenue CP notes have mandatory tender
|
6/3/2014 | LMMU | Los Angeles Water and Power calls 2004C water system revenue bonds
|
6/3/2014 | LMMU | New Jersey Educational calls $129.64 million Princeton revenue bonds
|
6/3/2014 | LMMU | New Jersey Educational calls $66.1 million Ramapo College bonds
|
6/3/2014 | LMMU | New Jersey Educational calls 2003L5 Montclair revenue bonds in full
|
6/3/2014 | LMMU | New Jersey Health Care calls full 2003 Somerset Medical revenue bonds
|
6/3/2014 | LMMU | Puerto Rico Highways to redeem series J transportation revenue bonds
|
6/3/2014 | LMMU | University of Oklahoma Student Housing calls $67.6 million bonds
|
6/3/2014 | LMPF | LaSalle Hotel to fully redeem 7.25% series G preferreds on July 3
|
6/2/2014 | CALM | CIBC calls all series 33, 37 noncumulative rate reset preferreds
|
6/2/2014 | CVLM | ATK begins tender offer for $195.95 million 3% convertibles due 2024
|
6/2/2014 | CVLM | Frasers to redeem remaining series A convertible perpetual preferreds
|
6/2/2014 | EMLM | Hong Kong's MIE gets consents to amend 6 7/8% notes due 2018
|
6/2/2014 | LM | Verizon sets spread in private exchange offer for 8.875% notes
|
6/2/2014 | HYLM | AMD begins tender offer and consent solicitation for 8 1/8% notes
|
6/2/2014 | HYLM | KCG gets consents for nearly 99% of 81/4% senior secured notes due 2018
|
6/2/2014 | HYLM | Southern Star Central tenders, seeks consents for two series due 2016
|
6/2/2014 | HYLM | Wema Group to fully redeem its callable bonds due 2017 on June 30
|
6/2/2014 | IGLM | Express Scripts to redeem its 3.5% senior notes due 2016 via new debt
|
6/2/2014 | IGLM | ITC gets tenders for $170.4 million of 5.875% notes, 6.375% notes
|
6/2/2014 | IGLM | TJX to redeem its $400 million of 4.2% notes due 2015 via new notes
|
6/2/2014 | LMMU | California calls $139.02 million of 2004A economic recovery bonds
|
6/2/2014 | LMMU | California calls $160 million series 2004A economic recovery bonds
|
6/2/2014 | LMMU | Honolulu to redeem $131.77 million of 2004A & 2004B G.O. bonds
|
6/2/2014 | LMMU | JEA calls $88.64 million of St. Johns River Power Park System bonds
|
6/2/2014 | LMMU | Missouri Environmental Improvement calls $63.05 million revenue bonds
|
6/2/2014 | LMMU | Modesto Irrigation, Calif., calls $50 million series 2004A COPs
|
6/2/2014 | LMMU | San Jose authority calls $62.11 million taxable lease revenue bonds
|
6/2/2014 | LMMU | State of Ohio to refund seven series of general obligation bonds
|
6/2/2014 | LMMU | University of Alabama to redeem $114.19 million general revenue bonds
|
6/2/2014 | LMPF | Strategic Hotels to redeem all 8.25% series C preferreds on July 3
|
5/30/2014 | CVLM | Sanchez Energy to issue common stock in exchange for convertibles
|
5/30/2014 | DDHYLM | Alion Science and Technology extends exchange offer for 101/4% notes
|
5/30/2014 | EMLM | Mexico's Financiera Independencia gets consents to amend 10% notes
|
5/30/2014 | EMLM | Singapore's Ezion gets tenders, consents for S$91 million of 51/4% notes
|
5/30/2014 | HYLM | Ally Financial to redeem 10.3% deferred interest debentures on June 30
|
5/30/2014 | HYLM | Cerved to redeem all €250 million senior secured floaters due 2019
|
5/30/2014 | LMMU | Illinois Finance calls all series 2004A University of Chicago bonds
|
5/30/2014 | LMMU | Virginia's Capital Beltway calls $129.75 million I-495 HOT Lanes bonds
|
5/30/2014 | LMPF | Sumitomo Mitsui Trust Holdings to redeem its ¥10 billion preferreds
|
5/29/2014 | EMLM | Mexico's Empresas ICA gets early tenders for 59.96% of 8 3/8% notes
|
5/29/2014 | EMLM | China ITS buys back additional 10% guaranteed bonds due 2015
|
5/29/2014 | EMLM | Egypt's ezzsteel to redeem all EGP 440 million of bonds on June 30
|
5/29/2014 | LM | National Asset Management redeems €1.75 billion of senior notes
|
5/29/2014 | LM | Trafigura holders tender €109.19 million 6 3/8% notes for exchange
|
5/29/2014 | LM | Verizon begins offer to exchange 8.875% notes for new sterling notes
|
5/29/2014 | HYLM | CGG to redeem all $225 million 91/2% notes due 2016 on June 2
|
5/29/2014 | HYLM | Cedar Fair to redeem 9 1/8% notes due 2018 with funds from new notes
|
5/29/2014 | HYLM | EnergySolutions calls all $300 million of 103/4% senior notes due 2018
|
5/29/2014 | HYLM | Harbinger 7 7/8% notes exchange oversubscribed by early deadline
|
5/29/2014 | HYLM | Wyle Services to redeem all 101/2% senior subordinated notes due 2018
|
5/29/2014 | IGLM | Goldman Sachs tenders for $2.75 billion 6.345% capital securities
|
5/29/2014 | IGLM | Union Pacific calls all $242.05 million 2004-2 pass-throughs due 2014
|
5/29/2014 | LMMU | St. Lucie School Board, Fla., calls 2004A master lease program COPs
|
5/29/2014 | LMSP | Barclays extends consent bid for 22 iPath commodities ETNs to July 31
|
5/28/2014 | CVLM | Peabody Energy solicits consents to amend 4.75% convertibles due 2066
|
5/28/2014 | EMLM | JBS begins tender offer, consent solicitation for 101/4%, 101/2% notes
|
5/28/2014 | LM | NRAM completes tender for Whinstone Capital sterling, euro notes
|
5/28/2014 | LM | Nordea Bank Finland to redeem all £300 million of notes on July 18
|
5/28/2014 | HYLM | Seagate unit accepts tenders for $192.92 million of 73/4% notes due 2018
|
5/28/2014 | HYLM | Smurfit Kappa to redeem all 73/4% notes due 2019 via new offering
|
5/28/2014 | HYLM | Suburban Propane wraps early tenders; rest to be called after offer
|
5/28/2014 | LMMU | Cohasset, Minn., to redeem all $111 million of 2004 Allete bonds
|
5/28/2014 | LMMU | University of Texas System calls 2004A, 2004B permanent university bonds
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5/28/2014 | LMMUPF | Three Nuveen Massachusetts funds to redeem MuniFund term preferreds
|
5/28/2014 | LMPF | Empire State Realty Trust offers preferreds in exchange for units
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5/27/2014 | CAIGLM | Canadian Tire calls in full C$200 million of 5.65% series D notes
|
5/27/2014 | CAIGLM | Viterra accepts tenders for C$175.79 million 6.406% notes, plans to redeem remaining notes
|
5/27/2014 | CALMPF | Brookfield Asset Management to redeem all series 22 class A preferreds
|
5/27/2014 | CALMPF | Co-operators to redeem all C$115 million series D class E preferreds
|
5/27/2014 | CVLM | Atos offers to purchase Bull Group's Oceanes related to company buyout
|
5/27/2014 | CVLM | CGG pushes back redemption date for 2016 Oceanes to June 27
|
5/27/2014 | CVLM | IBI changes consent fee offered to convertibles holders, moves meeting
|
5/27/2014 | CVLM | Olam's 6% convertibles putable and convertible with change of control
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5/27/2014 | CVLM | United Microelectronics holders put $324.4 million 2016 convertibles
|
5/27/2014 | DDHYLM | Energy Future extends deadlines in tender offer for second-lien notes
|
5/27/2014 | EMLM | Singapore-based Olam's 71/2% bonds putable after change of control
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5/27/2014 | EMLM | Thailand's Kasikornbank to redeem 600 million baht debentures July 17
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5/27/2014 | LM | Agfa-Gevaert holders elect to exchange €42.33 million of 4.375% bonds
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5/27/2014 | LM | Bank of Scotland, Lloyds tender for three series of covered bonds
|
5/27/2014 | HYLM | Berry Plastics wraps tender offer for 91/2 notes, will redeem remainder
|
5/27/2014 | HYLM | Floatel seeks holder approval to move up repayment of bonds due 2017
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5/27/2014 | HYLM | Range Resources calls all $300 million of 8% senior notes due 2019
|
5/27/2014 | HYLM | Suburban Propane gets needed consents to amend 71/2% notes due 2018
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5/27/2014 | HYLM | TransDigm subsidiary gets consents from holders of 76% of 73/4% notes
|
5/27/2014 | IGLM | Fidelity earmarks note proceeds for term loan paydown, 7.875% note redemption
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5/27/2014 | LMMU | Pasco County School Leasing, Fla., 2008C COPs have mandatory tender
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5/27/2014 | LMPF | Apollo Senior Floating redeems all $30.68 million series A preferreds
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5/27/2014 | LMPF | Strategic Hotels & Resorts set to redeem all 8.25% series C preferreds
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5/23/2014 | ABLM | HoldCo CDO Opportunities begins tender offer for SKM-Libertyview notes
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5/23/2014 | ABLM | Ortelius Finance buys back $30 million synthetic CDO notes on May 16
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5/23/2014 | CAIGLM | Viterra noteholders provide consents needed to amend 6.406% notes
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5/23/2014 | CVLM | Essar Global gets tenders for 3.29% of Essar Energy 4.25% convertibles
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5/23/2014 | EMHYLM | China Forestry extends tender offer for 101/4% notes until June 24
|
5/23/2014 | EMLM | Kazakhstan's Temirbank holders may put 14% notes after control change
|
5/23/2014 | HYLM | Compass Minerals International calls 8% senior notes due 2019 in full
|
5/23/2014 | HYLM | Harbinger secures enough consents to amend 7 7/8% notes due 2019
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5/23/2014 | HYLM | Stewart Enterprises to redeem all $44.25 million of 61/2% senior notes
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5/23/2014 | LMMU | East Bay Municipal Utility, Calif., calls some 2008A water bonds
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5/22/2014 | CLLM | Sugar Creek CLO seeks consents to amend several series of notes
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5/22/2014 | CVEMLM | China Nickel sets bondholder meeting for 6% convertibles, 10% bonds
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5/22/2014 | CVHYLM | Triumph Group to redeem all 8.625% notes, 2.625% convertibles June 23
|
5/22/2014 | EMHYLM | International Personal Finance to repurchase €21.91 million 111/2% notes
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5/22/2014 | LM | Index offers to redeem or exchange SEK 275 million 9% bonds due 2016
|
5/22/2014 | HYIGLM | Groupama exchanges 91% 2005 notes, 55% 2007 notes for new notes
|
5/22/2014 | HYLM | Actavis offers to guarantee Forest Laboratories' notes for acquisition
|
5/22/2014 | HYLM | Altegrity begins private exchange offers for three series of notes
|
5/22/2014 | DDHYLM | Energy Future holders tender 42% of notes for first-lien settlement
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5/22/2014 | HYLM | Oil States gets tenders for 83% of 61/2% notes, nearly all 5 1/8% notes so far
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5/22/2014 | IGLM | AmerisourceBergen to redeem all $500 million of 5 7/8% notes due 2015
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5/22/2014 | IGLMPF | UIL again extends offer for preferreds; tender mark drops to 63.13%
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5/22/2014 | LMMU | Dasny's Catholic Health calls $83.28 million St. Francis bonds
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5/22/2014 | LMMU | East Bay Municipal, Calif., calls $73.79 million water system bonds
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5/22/2014 | LMPF | Eastern Virginia Bankshares plans to repay up to $15 million preferreds
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5/22/2014 | LMPF | Genie Energy offers preferreds in exchange for class B common stock
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5/21/2014 | CVLM | Thompson Creek begins exchange offer for 6.5% convertible equity units
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5/21/2014 | EMLM | Agricultural Bank of China redeems RMB 25 billion bonds due 2019
|
5/21/2014 | HYLM | Alere solicits consents under three note series to allow unit's IPO
|
5/21/2014 | HYLM | American Rock Salt calls all $175 million 81/4% notes due 2018
|
5/21/2014 | HYLM | Cambium buys back $3 million 93/4% secured notes for $3.1 million
|
5/21/2014 | HYLM | Clear Channel to redeem all 51/2% notes, 4.9% notes on June 6
|
5/21/2014 | HYLM | SinOceanic II to redeem all 10% bonds due 2015 on Friday at 103
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5/21/2014 | HYLM | TiZir gets bondholder approval to issue $150 million more 9% bonds
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5/21/2014 | IGLMPF | Ameriprise Financial to redeem all 7.75% $25-par notes on June 16
|
5/21/2014 | LMMU | Chicago Midway Airport calls all 1998A, B second-lien revenue bonds
|
5/21/2014 | LMMU | Delaware Transportation Authority calls 2004 senior revenue bonds
|
5/21/2014 | LMMU | Indiana Development calls $51 million Indianapolis Museum of Art bonds
|
5/21/2014 | LMMU | Maryland Transportation Authority calls $124.99 million revenue bonds
|
5/21/2014 | LMMU | North Carolina defeases five series Infrastructure Finance COPs, bonds
|
5/21/2014 | LMPF | First BanCorp. issues stock in exchange for $11.31 million preferreds
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5/21/2014 | LMPF | Gladstone Capital to redeem all 7.125% preferreds for $38.69 million
|
5/20/2014 | CVEMLM | China Nickel to seek shareholder approval on June 5 to amend, extend 6% convertibles, 10% bonds
|
5/20/2014 | CVLM | CGG to redeem all €6.66 million of convertibles and/or exchangeables
|
5/20/2014 | CVLM | Niko issues 418,655 shares to convert $700,000 7% notes due 2014
|
5/20/2014 | DDHYLM | Energy Future extends early tender deadline for second-lien notes
|
5/20/2014 | EMHYIGLM | Brazil's BicBanco 51/4% noteholders give up change-of-control put right
|
5/20/2014 | EMHYIGLM | Brazil's BicBanco 51/4% noteholders give up change-of-control put right
|
5/20/2014 | HYLM | Caesars extends early deadline of tender offers for 5 5/8%, 10% notes
|
5/20/2014 | HYLM | Encore subsidiaries conform note provisions to those of 61/2% notes
|
5/20/2014 | HYLM | Etrion redeems all €60 million of corporate bonds due 2015 at 101
|
5/20/2014 | HYLM | Inmarsat launches tender offer for 7 3/8% senior notes due 2017
|
5/20/2014 | HYLM | Nokia Solutions and Networks to redeem all €800 million notes June 19
|
5/20/2014 | HYLM | Sanmina begins cash tender offer, consent solicitation for 7% notes
|
5/20/2014 | HYLM | Scientific Games begins tender offer, consent solicitation for $350 million 91/4% notes due 2019
|
5/20/2014 | HYLM | Scientific Games to redeem all 91/4% notes due 2019 via new offering
|
5/20/2014 | HYLM | Seagate unit launches tender offers for 73/4%, 7%, 6 7/8% notes
|
5/20/2014 | IGLM | Nasdaq OMX Group to redeem 4% notes due 2015 on June 18
|
5/20/2014 | LMMU | Austin, Texas' $215 million airport system bonds have mandatory tender
|
5/20/2014 | LMMU | Greater New Orleans Expressway calls $17.16 million of 2003 bonds
|
5/20/2014 | LMMU | New Jersey Economic defeases school bonds, calls Chambers bonds
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5/20/2014 | LMMU | New Mexico Finance calls $619.39 million 2004A transportation bonds
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5/20/2014 | LMMU | Oklahoma City Water calls all 2004, 2008 water and sewer system bonds
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5/20/2014 | LMPF | Community West to redeem portion of series A preferreds on June 20
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5/19/2014 | CVEMLM | China Nickel seeks consents to amend 6% convertibles, 10% bonds
|
5/19/2014 | CVLM | AGCO calls all 1.25% convertible senior subordinated notes due 2036
|
5/19/2014 | CVLM | Callidus to redeem $14.2 million 4.75% convertibles due 2016 on June 18
|
5/19/2014 | CVLM | China Power International calls all 2.25% convertible bonds due 2016
|
5/19/2014 | CVLM | Live Nation to redeem all 2.875% convertibles due 2027 via new debt
|
5/19/2014 | EMLM | China ITS buys back additional 10% guaranteed bonds due 2015
|
5/19/2014 | EMLM | China's Country Garden to redeem 111/4% notes on June 15 at 105.625
|
5/19/2014 | EMLM | Singapore's Ezion tenders for 51/4% notes, seeks to insert call option
|
5/19/2014 | HYLM | DriveTime seeks tenders, consents for $250 million 12 5/8% notes
|
5/19/2014 | HYLM | Envision Healthcare intends to redeem $617.5 million of 8 1/8% notes
|
5/19/2014 | HYLM | Triumph to redeem all 8 5/8% senior notes due 2018 via new offering
|
5/19/2014 | IGLM | Nasdaq to refinance all 4% senior notes due 2015 via new offering
|
5/19/2014 | IGLM | National Rural Utilities accepts $209.4 million 8% notes for exchange
|
5/19/2014 | LMMU | New Jersey Economic defeases 19 series of school facilities bonds
|
5/19/2014 | LMPP | Lilis Energy holders agree to extend maturity of 8% convertibles
|
5/16/2014 | CAHYLM | Trident again extends consent solicitation for 81/4% notes due 2018
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5/16/2014 | CALM | HSBC Bank Canada to redeem all C$250 million of series E preferreds
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5/16/2014 | CVLM | Liberty Interactive corrects additional payout on 4% exchangeables
|
5/16/2014 | CVLM | Primero buys back $1.9 million convertibles in change-of-control offer
|
5/16/2014 | LM | Leeds Building Society cancels £10 million covered bonds due 2015
|
5/16/2014 | LM | Thames Water Utilities reports results of bond consent solicitation
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5/16/2014 | HYLM | CommScope to redeem $1.1 billion 81/4% notes on June 16 at 104.125
|
5/16/2014 | HYLM | Scandinavian Air Ambulance gets noteholder consent to waive put option
|
5/16/2014 | IGLM | Entergy Texas calls all $150 million of 7.875% first mortgage bonds
|
5/16/2014 | IGLM | ITC collects overall consents for 54.4% of 5.875% and 6.375% notes
|
5/16/2014 | LMMU | Florida Department of Transportation to redeem 2004A bonds at 101
|
5/16/2014 | LMMU | Hammond Multi-School Building, Ind., defeases $56.89 million of bonds
|
5/16/2014 | LMMU | Indiana Finance calls $50 million Sisters of St. Francis revenue bonds
|
5/16/2014 | LMMU | Inland Valley Development, Calif., calls $65 million 4% bonds due 2041
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5/16/2014 | LMMU | Rockport, Ind.'s Indiana Michigan Power bonds have mandatory tender
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5/16/2014 | LMMUPF | Five BlackRock municipal trusts to redeem auction preferred shares
|
5/15/2014 | ABLM | Northern Rock, Whinstone Capital begin Dutch auction tender offers
|
5/15/2014 | ABLM | Spirit Realty completes exchange offer for four series of notes
|
5/15/2014 | CVLM | Amarin to issue new notes in exchange for $118.73 million 3.5% notes
|
5/15/2014 | CVLM | Aquarius to settle tenders for $172.6 million 4% convertibles due 2015
|
5/15/2014 | CVLM | CommonWealth REIT holders opt to convert 10,379,586 series D preferreds
|
5/15/2014 | CVLM | DFC Global tenders for convertible notes related to planned merger
|
5/15/2014 | CVLM | Liberty pays out on 4% exchangeables, lowering adjusted par amount
|
5/15/2014 | CVLM | Micron buys back $99 million of two series of convertible notes
|
5/15/2014 | DDHYLM | Energy Future trustees ask court to order preapproval of tender offer
|
5/15/2014 | EMLM | Brazil's BRF completes cash tender offer for 6 7/8% notes, 71/4% notes
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5/15/2014 | EMLM | Mexico's Empresas ICA tenders for $150 million 8 3/8% notes due 2017
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5/15/2014 | EMLM | Mexico's Financiera Independencia tenders for 10% notes due 2015
|
5/15/2014 | EMLM | China's Country Garden to refinance 111/4% notes with new issue proceeds
|
5/15/2014 | HYLM | CommScope to redeem all $1.1 billion of 81/4% notes via new offering
|
5/15/2014 | HYLM | Rockwood wraps tender offer, takes in $660,000 4 5/8% notes due 2020
|
5/15/2014 | IGLM | ITC announces tender offer pricing for 5.875%, 6.375% notes
|
5/15/2014 | IGLMPF | Barclays launches multi-currency exchange offers for tier 1 securities
|
5/15/2014 | IGLMPF | UIL again extends offer for preferreds, reaches 64.07% tender mark
|
5/15/2014 | LMPF | Corporate Office plans to redeem all $50 million of 7.5% preferreds
|
5/15/2014 | LMPF | Farmers Capital Bank redeems one-third of series A preferred stock
|
5/14/2014 | CVLM | Cogent Communications holders may put back 1% convertibles on June 16
|
5/14/2014 | CVLM | Shelton Petroleum buys back SEK 9.5 million convertibles, issues shares
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5/14/2014 | EMHYLM | Russia's Severstal accepts $288.37 million of notes in tender offer
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5/14/2014 | EMLM | Brazil's BRF prices cash tender offer for 6 7/8% notes and 71/4% notes
|
5/14/2014 | EMLM | New Issue: Hong Kong to issue HK$800 million 1.1% bonds due 2023 via switch tender
|
5/14/2014 | EMLM | Montenegro to issue €85.06 million of 5 3/8% notes in exchange offer
|
5/14/2014 | LM | Trafigura begins exchange offer for €150 million 6 3/8% notes due 2015
|
5/14/2014 | HYLM | Harbinger begins exchange offer, consent solicitation for 7 7/8% notes
|
5/14/2014 | HYLM | KCG solicits consents to amend 81/4% senior secured notes due 2018
|
5/14/2014 | HYLM | Radio One repurchases all 121/2%/15% senior subordinated notes due 2016
|
5/14/2014 | HYLM | Stater Bros. calls $285 million of 73/4%, $255 million of 7 3/8% notes
|
5/14/2014 | LMPF | Adam Statutory Trust IV calls $40 million capital securities due 2033
|
5/14/2014 | LMPF | Corporate Office to redeem its series H preferred stock via new notes
|
5/14/2014 | LMPV | TAL Advantage IV to prepay all of its series 2012-1 notes on May 20
|
5/13/2014 | BKHYLM | Sanitec to redeem €250 million floaters at 101 with loan proceeds
|
5/13/2014 | CAIGLM | Industrial Alliance to redeem all of its 5.13% debentures via offering
|
5/13/2014 | CVLM | Atari announces repurchase of €23.5 million 10% Oceanes due 2019
|
5/13/2014 | CVLM | Equinix holders exchange some 4.75% convertibles for stock, cash
|
5/13/2014 | CVLM | L-3 Communications calls all 3% convertibles for June 2 redemption
|
5/13/2014 | CVLM | L-3 to redeem 3% convertibles due 2035 via senior notes offering
|
5/13/2014 | DDHYLM | Alion Science and Technology begins exchange offer for 101/4% notes
|
5/13/2014 | EMHYLM | Singapore's Yanlord to redeem all $300 million 91/2% notes on June 12
|
5/13/2014 | EMLM | Montenegro gives tender, exchange results so far for 7 7/8%, 71/4% notes
|
5/13/2014 | IGLM | Entergy Texas to redeem its 7.875% bonds due 2039 via new bonds
|
5/13/2014 | LMMU | New Jersey Economic calls $467.76 million of 2004 cigarette tax bonds
|
5/13/2014 | LMMU | New York City Municipal Water calls $990.3 million water, sewer bonds
|
5/13/2014 | LMMU | Wisconsin defeases 2004 series 1 transportation refunding bonds
|
5/13/2014 | LMMUPF | Nuveen New York municipal funds to redeem three series of preferreds
|
5/13/2014 | LMPF | Red Mountain to issue common shares for 222,224 series A preferreds
|
5/12/2014 | ABLM | EBS accepts €105.12 million of Emerald Mortgages bonds for purchase
|
5/12/2014 | DDHYLM | Energy Future begins tender offer related to second-lien settlement
|
5/12/2014 | EMLM | China's Shui On completes tender, exchange offers for two notes series
|
5/12/2014 | HYLM | Berry Plastics gets tenders for 84% of 91/2 notes by consent deadline
|
5/12/2014 | HYLM | Continental Resources to redeem all 81/4% senior notes via new offering
|
5/12/2014 | HYLM | Service, Stewart get tenders, consents for $449.7 million notes so far
|
5/12/2014 | HYLM | Suburban Propane tenders for $496.56 million 71/2% senior notes due 2018
|
5/12/2014 | LMMU | Missouri HEFA calls $197 million of 2010D & E SSM Health Care bonds
|
5/12/2014 | LMMU | Westar Energy to retire $177.5 million of Kansas Gas bonds via offering
|
5/12/2014 | LMPF | Gladstone to redeem 7.125% series 2016 term preferreds via new issue
|
5/9/2014 | BKHYLM | SunCoke gets OK from 7 3/8% noteholders to incur more secured debt
|
5/9/2014 | CAIGLM | Manulife calls all C$450 million series 4 class A preferred shares
|
5/9/2014 | CVLM | Essar Global extends tender offer for Essar Energy 4.25% convertibles
|
5/9/2014 | CVLM | Harbinger to convert series A and A-2 convertible preferred stock
|
5/9/2014 | EMHYLM | Brazil's Fibria gets tenders, consents for $430.39 million 63/4% notes
|
5/9/2014 | EMLM | Brazil's Gerdau completes exchange offer for 71/4% and 7% bonds
|
5/9/2014 | LM | Citigroup wraps tender offer for euro, Swiss franc subordinated debt
|
5/9/2014 | LM | Citigroup wraps tender offer for euro, Swiss franc notes; pricing set
|
5/9/2014 | HYLM | Bactiguard gets approval to amend SEK 450 million 11% bonds due 2016
|
5/9/2014 | HYLM | Diamond Resorts calls $419 million 12% senior secured notes due 2018
|
5/9/2014 | HYLM | Golden State Petroleum calls $39.72 million of 8.04% mortgage notes
|
5/9/2014 | HYLM | Oil States tenders, solicits consents for 61/2% notes and 5 1/8% notes
|
5/9/2014 | HYLM | Stanadyne to redeem all outstanding 10% notes, 12% notes on June 2
|
5/9/2014 | HYLM | TransDigm begins tender offer and consent solicitation for 73/4% notes
|
5/9/2014 | LMMU | Arizona School Facilities calls $88.63 million of 2004A revenue bonds
|
5/9/2014 | LMMUPF | American Municipal redeems all of its remarketed preferred shares
|
5/8/2014 | HYLM | Chesapeake Energy buys back $946.57 million 91/2% notes in tender offer
|
5/8/2014 | HYLM | Kratos Defense & Security Solutions plans to redeem 10% notes due 2017
|
5/8/2014 | HYLM | Michael Foods to redeem all 93/4% senior notes due 2018 on June 2
|
5/8/2014 | HYLM | Pretium Packaging plans June 6 redemption of 111/2% notes at 105.75
|
5/8/2014 | HYLM | SunCoke tender offer for 7 5/8% notes oversubscribed at early deadline
|
5/8/2014 | LMMU | Virginia's Capital Beltway calls $234 million I-495 HOT Lanes bonds
|
5/8/2014 | LMMUPF | Minnesota Municipal redeems all of its remarketed preferred shares
|
5/8/2014 | LMPF | Genie Energy to start exchange offer for series 2012-A preferreds
|
5/8/2014 | LMPF | Guaranty Federal redeems all $12 million series A fixed-rate preferreds
|
5/7/2014 | CAHYLM | Lanesborough REIT seeks to extend 91/2% series G notes by 40 months
|
5/7/2014 | CVLM | Group 1 begins tender offer for $115 million 3% convertibles due 2020
|
5/7/2014 | CVLM | IBI Group seeks holder approval to extend 7% convertibles to 2019
|
5/7/2014 | DDHYLM | Affinion Group offers to exchange $292.8 million 133/4%/141/2% PIK notes
|
5/7/2014 | DDHYLM | Energy Future tenders for two series related to first-lien settlement
|
5/7/2014 | EMLM | Brazil's BRF starts cash tender offer for 6 7/8% notes and 71/4% notes
|
5/7/2014 | HYLM | Interactive Data completes redemption of all $700 million 101/4% notes
|
5/7/2014 | HYLM | Iona Energy gets bondholder consent for one-time waiver fee
|
5/7/2014 | HYLM | TiZir seeks to lift 9% bonds to $300 million, calls bondholder meeting
|
5/7/2014 | HYLM | U.S. Well Services to redeem all $126.41 million 141/2% secured notes
|
5/7/2014 | HYLM | Westmoreland begins tender offer for up to $22.13 million 103/4% notes
|
5/7/2014 | IGLMPF | UIL further extends offer for preferreds, reaches 61.63% tender mark
|
5/7/2014 | LMMU | Missouri HEFA calls $233.51 million of 2005 SSM Health Care bonds
|
5/7/2014 | LMMU | New Jersey Economic calls $50.35 million of Keystone facility bonds
|
5/6/2014 | CAHYLM | Bombardier redeems all 71/4% notes with proceeds from 43/4%, 6% notes
|
5/6/2014 | CAIGLM | Sun Life Financial to redeem in full C$250 million preferreds June 30
|
5/6/2014 | CVLM | Comtech says all remaining 3% convertibles redeemed or converted
|
5/6/2014 | EMLM | Singapore's Maxi-Cash redeems S$20 million notes due 2017 in full
|
5/6/2014 | LM | National Asset Management redeems €635 million of its senior notes
|
5/6/2014 | HYLM | Baytex gets needed consents for Aurora's 9 7/8% notes, 71/2% notes
|
5/6/2014 | HYLM | Caesars Entertainment begins tender offers for 5 5/8% notes, 10% notes
|
5/6/2014 | HYLM | Endo Health completes exchange offers for three series of notes
|
5/6/2014 | HYLM | Neff Rental to redeem 9 5/8% senior secured notes via new term loan
|
5/6/2014 | HYLM | Radian plans to redeem $54.5 million 5 3/8% senior notes due 2015
|
5/6/2014 | IGLMPF | Essex Property Trust to convert 4.875% series G cumulative preferreds
|
5/6/2014 | LMMU | Massachusetts Water calls $114.76 million of 2008F multi-modal bonds
|
5/5/2014 | CAIGLM | Laurentian Bank of Canada to redeem class A preferreds on June 15
|
5/5/2014 | CALM | Viterra begins tender offer, consent bid for 6.406% notes due 2021
|
5/5/2014 | CVDDLM | Suzlon, committee reach agreement on restructuring of convertibles
|
5/5/2014 | CVLM | CGG buys back 16.8% Oceanes due 2016 in standing repurchase order
|
5/5/2014 | HYLM | Realogy buys back $44 million of 9%, 7 7/8% notes in first quarter
|
5/5/2014 | HYLM | Realogy repurchases $44 million notes in Q1, $354 million in April
|
5/5/2014 | IGLM | National Rural holders tender $209.4 million 8% notes within bid price
|
5/5/2014 | IGLM | Suncorp-Metway begins off-market buyback offer for perpetual floaters
|
5/5/2014 | LMMU | Burlington, Kan., calls $108.6 million Kansas Gas and Electric bonds
|
5/5/2014 | LMMU | Connecticut to redeem $648.28 million 2004B general obligation bonds
|
5/5/2014 | LMMU | North Carolina Infrastructure Finance to refund six series of bonds
|
5/5/2014 | LMMU | Phoenix Civic Improvement calls 2004 junior-lien wastewater bonds
|
5/5/2014 | LMMU | Phoenix calls $64.63 million of series 2004 various purpose G.O. bonds
|
5/2/2014 | CAIGLM | RBC calls all C$600 million of 5.95% subordinated debentures due 2103
|
5/2/2014 | CVHYLM | Meritor board OKs $100 million debt repurchase program for 2014
|
5/2/2014 | CVLM | Equinix holders exchange some 4.75% convertibles for stock, cash
|
5/2/2014 | CVLM | InnVest REIT to redeem C$70 million 5.85% convertible notes due 2014
|
5/2/2014 | DDHYLM | Alion noteholders agree to extend refinancing support agreement
|
5/2/2014 | EMHYLM | China's Lonking gives redemption notice for $268.36 million 81/2% notes
|
5/2/2014 | EMLM | Malaysia's IOI buys back portion of 51/4% guaranteed notes due 2015
|
5/2/2014 | HYLM | Air Berlin extends, amends exchange offer for 111/2% notes, 81/2% notes
|
5/2/2014 | IGLM | ITC begins tender offer, solicits consents for 5.875%, 6.375% notes
|
5/2/2014 | LMMU | Birmingham to redeem $75.27 million of 2009 Children's Hospital bonds
|
5/2/2014 | LMMU | California calls $500 million series 2009B economic recovery bonds
|
5/2/2014 | LMMU | Desert Sands USD, Calif., calls $94.29 million G.O. bonds
|
5/2/2014 | LMMU | Houston calls $304.49 million series 2001 Continental Airlines bonds
|
5/2/2014 | LMMU | King County, Wash., calls $146.78 million of general obligation bonds
|
5/2/2014 | LMMU | Nebraska Educational Finance calls $99.68 million revenue bonds
|
5/2/2014 | LMMU | Ohio Water Development calls $580.08 million of water quality bonds
|
5/2/2014 | LMMU | Phoenix Civic Improvement calls $315.83 million light rail bonds
|
5/2/2014 | LMMU | Phoenix calls $72.57 million 2004 various purpose G.O. bonds
|
5/2/2014 | LMMU | Puyallup School District No. 3, Wash., calls $78 million G.O. bonds
|
5/2/2014 | LMMUPF | First American Minnesota redeems all of its auction preferred shares
|
5/2/2014 | LMPF | Old Second buys back portion of series B perpetual preferred stock
|
5/2/2014 | LMPP | Heron Lake BioEnergy calls 71/4% convertibles for July 1 redemption
|
5/1/2014 | ABLM | Textainer Marine Containers to redeem $662 million asset-backed notes
|
5/1/2014 | EMHYLM | Fibria begins tender offer, consent bid for $548.6 million 63/4% notes
|
5/1/2014 | HYLM | Mohegan lacks needed consents for 93/4%, scraps tender for 11% notes
|
5/1/2014 | HYLM | Pretium Packaging plans to redeem senior secured notes after merger
|
5/1/2014 | LMMU | Auburn University, Ala., calls $60.95 million series 2004 bonds
|
5/1/2014 | LMMU | Brazos River, Texas, calls $83.57 million of 2004 CenterPoint bonds
|
5/1/2014 | LMMU | Clark County School, Nev., defeases some 2004 limited tax G.O. bonds
|
5/1/2014 | LMMU | Cleveland State University calls $48.71 million general receipt bonds
|
5/1/2014 | LMMU | Indiana Bond Bank defeases 2004B & C state revolving fund bonds
|
5/1/2014 | LMMU | Indiana Finance defeases three series state revolving fund program bonds
|
5/1/2014 | LMMU | Indiana Transportation calls $320.55 million highway revenue bonds
|
5/1/2014 | LMMU | Michigan Strategic Fund calls $68.5 million Detroit Edison bonds
|
5/1/2014 | LMMU | New Mexico Finance calls $60.97 million of 2004C public project bonds
|
5/1/2014 | LMMU | North Carolina calls, defeases eight series of G.O. bonds
|
5/1/2014 | LMMU | North Texas Tollway's $60 million 2009D bonds have mandatory tender
|
5/1/2014 | LMMU | Northside ISD, Texas, calls variable-rate unlimited tax school bonds
|
5/1/2014 | LMMU | Pennsylvania calls $169.87 million 2004 general obligation bonds
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5/1/2014 | LMMU | Rancho Mirage, Calif., calls $76.88 million Eisenhower Medical bonds
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5/1/2014 | LMMU | St. Johns, Fla., calls $63.96 million water and sewer revenue bonds
|
5/1/2014 | LMPF | National Beverage board authorizes partial preferred stock redemption
|
4/30/2014 | CVLM | Digital River buys back $169.3 million convertibles, $14 million stock
|
4/30/2014 | EMHYIGLM | Brazil's BicBanco extends consent bid to amend 51/4% notes due 2015
|
4/30/2014 | EMIGLM | Braskem gives early tender results in Credit Suisse's repurchase offer
|
4/30/2014 | EMLM | China's Shui On announces terms of notes to be issued in exchanges
|
4/30/2014 | EMLM | Montenegro begins tender, exchange offers for 7 7/8% notes, 71/4% notes
|
4/30/2014 | LM | E Forland to redeem NOK 75 million of callable bonds on May 8
|
4/30/2014 | LM | Geo Travel Finance calls €46 million of 10 3/8% notes due 2019
|
4/30/2014 | HYLM | Denbury gets tenders for $815 million 81/4% notes so far, calls remainder
|
4/30/2014 | HYLM | Endo Health again extends exchange offer, reopens withdrawal rights
|
4/30/2014 | HYLM | Endo Health extends exchange offer for three series by one more day
|
4/30/2014 | HYLM | SkyePharma calls remaining 61/2% bonds due 2024 after securing go-ahead
|
4/30/2014 | HYLM | Stanadyne to repay all senior notes with proceeds from business sale
|
4/30/2014 | IGLM | National Rural Utilities makes change to exchange offer for 8% notes
|
4/30/2014 | LMMU | California calls $118 million various purpose general obligation bonds
|
4/30/2014 | LMMU | California calls $359.97 million 2004A Coalinga State Hospital bonds
|
4/30/2014 | LMMU | California calls $98.05 million from three series of prison bonds
|
4/30/2014 | LMMU | Fredericksburg Industrial Authority, Va., calls 2002B MediCorp bonds
|
4/30/2014 | LMMU | Wisconsin calls $63.05 million 2004 series 1 clean water revenue bonds
|
4/30/2014 | LMPF | Sterling Bancorp to redeem all 8.375% cumulative trust preferreds
|
4/29/2014 | ABLM | Sagres Sociedade de Titularizacao repurchases five series of notes
|
4/29/2014 | ABLM | Spirit gets tenders for 98.03% of notes by early exchange deadline
|
4/29/2014 | CVLM | China Huiyuan Juice redeems $117.3 million 4% convertibles due 2016
|
4/29/2014 | CVLM | Safeguard Scientifics calls remaining $76,000 of 2.625% convertibles
|
4/29/2014 | DDHYLMPF | Winthrop Realty may buy back series D preferreds, 73/4% notes related to asset liquidation
|
4/29/2014 | EMHYLM | Severstal begins Dutch auction tender for $500 million of two series
|
4/29/2014 | EMLM | HSBC Middle East bought back $500,000 of notes on March 31
|
4/29/2014 | HYLM | CRC Health redeems in full $177.3 million 103/4% subordinated notes
|
4/29/2014 | HYLM | Westmoreland subsidiary to prepay 8.02% secured notes due 2018 in May
|
4/29/2014 | LMMU | Indiana Finance to redeem four series state revolving fund program bonds
|
4/29/2014 | LMMU | Rochester Community School District, Mich., calls $52.4 million G.O.s
|
4/29/2014 | LMMUPF | Nuveen municipal funds to redeem preferreds with new issue proceeds
|
4/29/2014 | SP | UBS calls two series of ETracs Fisher-Gartman Risk ETNs due 2041
|
4/28/2014 | ABLM | Annington Finance buys back £8.27 million of bonds due Dec. 7, 2022
|
4/28/2014 | CALM | Genworth MI Canada details redemption price for 4.59% notes due 2015
|
4/28/2014 | CVLM | Agile Property holders put $481.9 million of 4% convertible bonds
|
4/28/2014 | CVLM | CFS Retail calls noteholder meeting to amend 5.75% convertibles
|
4/28/2014 | CVLM | CMS Energy calls $155.81 million of 5.5% convertible notes due 2029
|
4/28/2014 | DDHYLM | Affinion announces plan to offer warrants in exchange for toggle notes
|
4/28/2014 | EMLM | China's Shui On Land discloses early results of tender, exchange offer
|
4/28/2014 | LM | Emerald Mortgages tenders for three series of floating-rate bonds
|
4/28/2014 | HYLM | Air Berlin offers new notes in exchange for 111/2% notes, 81/2% notes
|
4/28/2014 | HYLM | Antero Resources to redeem its 71/4% senior notes due 2019 on May 23
|
4/28/2014 | HYLM | Berry Plastics begins tender offer, consent solicitation for 91/2 notes
|
4/28/2014 | HYLM | CGG plans to redeem 91/2%, 73/4% senior notes via new offering proceeds
|
4/28/2014 | HYLM | Clear Channel to redeem 51/2% senior notes due 2014 via new offering
|
4/28/2014 | HYLM | Global Rig gets waiver from 13% bondholders to incur new loan
|
4/28/2014 | HYLM | Regency Energy extends exchange offer for Eagle Rock's 8 3/8% notes
|
4/28/2014 | HYLM | Service Corp., Stewart tender, seek consents for three note series
|
4/28/2014 | HYLM | SkillSoft announces planned redemption of 11 1/8% senior notes due 2018
|
4/28/2014 | HYLM | Stratus Technologies calls all senior secured notes due March 2015
|
4/28/2014 | HYLM | SunCoke seeks consents under 7 3/8% notes to incur more secured debt
|
4/28/2014 | IGLMPF | Aegon calls all $1.05 billion of 7.25% perpetual capital securities
|
4/28/2014 | LMMU | Everett School District No. 2, Wash., defeases 2006, 2007 G.O. bonds
|
4/28/2014 | LMMU | Lakewood, Colo., calls $67.5 million of 2003 Plaza Metropolitan bonds
|
4/28/2014 | LMMU | Westchester, Fla., calls $53.78 million 2003 special assessment bonds
|
4/28/2014 | LMPF | Blackhawk Bancorp redeems all series B, series C cumulative preferreds
|
4/28/2014 | LMPF | DDR plans to call 7 3/8% class H cumulative redeemable preferreds
|
4/25/2014 | ABLM | Annington Finance buys back £7.8 million of zero-coupon bonds due 2023
|
4/25/2014 | CVLM | CGG begins standing repurchase order for 18.6% of Oceanes due 2016
|
4/25/2014 | EMLM | Brazil's Gerdau sets pricing, gives early results in exchange, tender offer for 71/4%, 7% bonds
|
4/25/2014 | EMLM | Philippines' Vista Land accepts tenders for $103.77 million 81/4% notes
|
4/25/2014 | LM | Citigroup begins tender offer for euro, Swiss franc subordinated debt
|
4/25/2014 | HYLM | Cambium buys back $5 million 93/4% senior secured notes for $5.1 million
|
4/25/2014 | HYLM | SunCoke Energy tenders for up to $160 million 7 5/8% notes due 2019
|
4/25/2014 | HYLM | Walter Energy exchanges $35 million 9 7/8% notes due 2020 for stock
|
4/25/2014 | HYLM | Windsor Petroleum Transport gets needed consents to amend 7.84% notes
|
4/25/2014 | LMMU | Colorado Health calls $55.78 million Evangelical Lutheran bonds
|
4/25/2014 | LMMU | Philadelphia Industrial says multi-modal bonds have mandatory tender
|
4/25/2014 | LMPF | Community West to redeem $7.8 million of series A fixed-rate preferreds
|
4/24/2014 | ABLM | Spirit Realty extends early deadline in swap offer for class A notes
|
4/24/2014 | CAHYLM | Quebecor Media wraps tender for 73/4% notes; remainder to be redeemed
|
4/24/2014 | CLLM | Euro Atlantis to redeem €241.5 million from five series of notes
|
4/24/2014 | CVLM | Equnix to issue shares in exchange for $98.9 million of convertibles
|
4/24/2014 | CVLM | Ryman Hospitality redeems $56.34 million of its 3.75% convertibles
|
4/24/2014 | EMHYLM | China Forestry extends tender offer for 101/4% notes by one more month
|
4/24/2014 | EMLM | Malaysia's IOI may buy back 51/4% notes due 2015, 4 3/8% notes due 2022
|
4/24/2014 | HYLM | Chesapeake Energy takes in early tenders of $945.91 million 91/2% notes
|
4/24/2014 | HYLM | Clear Channel subsidiary repurchases of $61.9 million of notes
|
4/24/2014 | HYLM | EMS Seven Seas gets needed votes to convert 12% bonds due 2014
|
4/24/2014 | LMMU | Antelope Valley Community College, Calif., defeases some G.O. bonds
|
4/24/2014 | LMMU | Lexington-Fayette Urban County, Ky., calls 2010A Build America bonds
|
4/24/2014 | LMMU | San Jose-Evergreen Community College, Calif., defeases 2004A G.O.s
|
4/23/2014 | ABLM | Halcyon Structured Asset Management to redeem five series of notes
|
4/23/2014 | CAHYLM | Sirius XM Canada to redeem remaining 9.75% notes due 2018 in May
|
4/23/2014 | CVLM | 361 Degrees repurchases more 4.5% convertible bonds due 2017
|
4/23/2014 | EMHYLM | Brazil's Marfrig wraps tender offer for 111/4% notes and 9 7/8% notes
|
4/23/2014 | LM | Provident Financial exercises call option on €50,000 floaters due 2015
|
4/23/2014 | HYLM | Antero Resources to redeem 71/4% notes due 2019 via new offering
|
4/23/2014 | HYLM | Florida East Coast reveals tender offer results through early deadline
|
4/23/2014 | HYLM | Norwegian Car Carriers 101/2% bondholders get put option through July 22
|
4/23/2014 | HYLM | Numericable calls all €146.25 million 83/4% notes, €234.13 million 12 3/8% notes due 2019
|
4/23/2014 | HYLM | Scandinavian Air Ambulance asks noteholders to waive put option
|
4/23/2014 | LMMU | Atlanta to redeem series 2004C, G & J airport general revenue bonds
|
4/23/2014 | LMMU | Metropolitan St. Louis Sewer calls $159.09 million of wastewater bonds
|
4/23/2014 | LMMU | Philadelphia Industrial Development calls 2007 B-1 multi-modal bonds
|
4/23/2014 | LMMU | Saint Paul, Minn., says 2009A RiverCentre bonds have mandatory tender
|
4/22/2014 | CLLM | Apidos CDO II calls rated & subordinated notes, blended securities
|
4/22/2014 | CVLM | Clarke set to redeem some 6% convertibles April 25, calls remainder
|
4/22/2014 | EMHYLM | Navios South American to redeem any 91/4% notes not tendered in offer
|
4/22/2014 | EMHYLM | Peermont Global plans to redeem all 18% PIK notes at par on May 28
|
4/22/2014 | EMLM | Elbit Imaging holders approve amendment for series I notes
|
4/22/2014 | LM | Thames Water Utilities seeks bondholder consent for tunnel project
|
4/22/2014 | LM | Wurttembergische Lebensversicherung to redeem €130 million of notes
|
4/22/2014 | HYLM | AMC Entertainment to redeem 83/4% notes on June 1 at 104.375
|
4/22/2014 | HYLM | Baytex seeks tenders, consents for Aurora's 9 7/8% notes, 71/2% notes
|
4/22/2014 | HYLM | Beam to delist 8 5/8% notes, 7 7/8% notes after buyout by Suntory
|
4/22/2014 | HYLM | Mohegan tenders for 11% notes, seeks consents for 93/4%, 11% notes
|
4/22/2014 | IGLM | Appalachian Power calls all $200 million of 4.95% notes due 2015
|
4/22/2014 | IGLM | US Airways plans to redeem all $14.76 million of 8.483% notes due 2019
|
4/22/2014 | LMMU | Atlanta defeases its series 2004A, 2004B airport general revenue bonds
|
4/22/2014 | LMMU | Massachusetts HEFA calls $29.2 million series I-2 MIT revenue bonds
|
4/21/2014 | CVLM | Accuray holders to exchange 3.5% convertibles for new notes, cash
|
4/21/2014 | HYLM | Energy XXI gets needed consents for EPL's 81/4% senior notes due 2018
|
4/21/2014 | HYLM | NRG Energy to redeem all outstanding 7 5/8% notes after tender offer
|
4/21/2014 | HYLM | NRG gets early tenders for 24.67% of 81/2% notes, 47.57% of 7 5/8% notes
|
4/21/2014 | HYLM | Nine West to issue new 81/4% notes in exchange for 91.69% of Jones Group's 6 7/8% notes
|
4/21/2014 | HYLM | Tekni-Plex calls $48.5 million of 93/4% senior secured notes due 2019
|
4/21/2014 | IGLM | National Rural Utilities offers to swap $175 million 8% notes due 2032
|
4/17/2014 | CAHYLM | SiriusXM Canada to redeem 93/4% notes with proceeds of new 5 5/8% notes
|
4/17/2014 | CVLM | USG holders convert $75 million 10% convertibles ahead of redemption
|
4/17/2014 | EMHYIGLM | Brazil's BicBanco solicits consents to avert put right for 51/4% notes
|
4/17/2014 | EMHYLM | Peru's Camposol gets consents to amend 9 7/8% notes due 2017
|
4/17/2014 | EMLM | Votorantim Cimentos gets tenders, consents for 59.53% of 51/4% notes
|
4/17/2014 | LM | Lloyds buys back £58.5 million enhanced capital notes in tender offer
|
4/17/2014 | HYLM | Co-operative Group gets needed consents for 7 5/8% debentures, sets tender offer pricing
|
4/17/2014 | HYLM | Endo Health holders deliver needed consents to amend three note series
|
4/17/2014 | HYLM | Rockwood begins asset sale offer for up to $400 million 4 5/8% notes
|
4/17/2014 | HYLM | USG intends to redeem 93/4% notes prior to maturity in early August
|
4/17/2014 | LMMU | Florida Board of Education to redeem $13.74 million of 2004A bonds
|
4/17/2014 | LMMU | Pennsylvania Turnpike calls revenue bonds, to tender multi-modal bonds
|
4/16/2014 | CALM | Bank of Montreal calls C$275 million of series 21 preferreds in full
|
4/16/2014 | CVLM | BPZ to exchange 8.5% convertibles for $26 million 6.5% convertibles
|
4/16/2014 | CVLM | CGG agrees to buy back 81.4% of Oceanes using note proceeds
|
4/16/2014 | CVLM | Globalstar stock price triggers automatic conversion of 8% notes
|
4/16/2014 | CVLM | SunPower issued 7.1 million shares in conversions of 4.75% debentures prior to maturity
|
4/16/2014 | EMIGLM | Credit Suisse plans cash offer for three series of Braskem notes
|
4/16/2014 | LM | Thames Water Utilities needs bondholder consent for tunnel project
|
4/16/2014 | HYLM | Denbury tenders, seeks consents for $996.27 million 81/4% notes due 2020
|
4/16/2014 | HYLM | Interactive Data to redeem 101/4% senior notes due 2018 via new offering
|
4/16/2014 | HYLM | Iona Energy seeks consents to amend 91/2% bonds' definition of cash
|
4/16/2014 | HYLM | Valassis Communications redeems remaining 6 5/8% notes at 114
|
4/16/2014 | HYLM | Victor Technologies calls all $327 million of 9% notes due 2017
|
4/16/2014 | LMMU | California Pollution's Republic Services bonds have mandatory tender
|
4/16/2014 | LMMU | Fairfax County, Va., defeases 2004 sewer revenue refunding bonds
|
4/16/2014 | LMMU | New Jersey Economic's 2003A Port Newark bonds have mandatory tender
|
4/16/2014 | LMMU | North Carolina looks to refund facilities, capital improvement bonds
|
4/16/2014 | LMMU | North Texas Tollway's 2011A first tier bonds have mandatory tender
|
4/16/2014 | LMMU | Virginia calls $69.81 million of series 2004B general obligation bonds
|
4/16/2014 | LMMU | Wayne Township Marion County, Ind., calls $89 million of 2005 bonds
|
4/15/2014 | CVLM | Amdocs accepts $417,000 of 0.5% convertibles due 2024 in cash offer
|
4/15/2014 | EMLM | Brazil's Gerdau starts exchange offer, tender offer for 71/4%, 7% bonds
|
4/15/2014 | EMLM | Millicom wraps tender offer for $139 million of El Salvador-based Telemovil's 2017 bonds
|
4/15/2014 | HYLM | Avaya to redeem its 10 1/8%/10 7/8% and 93/4% notes due 2015 in full
|
4/15/2014 | HYLM | Consol Energy takes in early tenders for 38.9% 8% notes due 2017
|
4/15/2014 | HYLM | TrollDrilling to redeem 133/4% senior secured callable bonds due 2016
|
4/15/2014 | HYLM | Viasystems gets consents for all 7 7/8% to sell $50 million more notes
|
4/15/2014 | IGLM | Commonwealth Bank of Australia wraps tender for guaranteed notes
|
4/15/2014 | IGLM | UnumProvident calls $145 million of 6.85% senior debentures due 2015
|
4/15/2014 | LMMU | Hamilton, Ohio, calls $79.07 million 2004J Cincinnati Children's bonds
|
4/15/2014 | LMMU | Sacramento Municipal calls all $66 million of 2004T electric bonds
|
4/15/2014 | LMMU | Virginia to redeem Northern Virginia Transportation, Route 58 bonds
|
4/15/2014 | LMPF | Apollo Senior Floating Rate Fund calls all of its series A preferreds
|
4/14/2014 | ABLM | BPI accepts €106.75 million Sagres Sociedade de Titularizacao notes
|
4/14/2014 | CVLM | Aquarius gets tenders for $172.6 million 4% convertibles due 2015
|
4/14/2014 | CVLM | CGG may repurchase Oceanes due 2016 with €360 million note proceeds
|
4/14/2014 | CVLM | REXLot holder converts HK$6.9 million of 6% convertibles due 2016
|
4/14/2014 | DDHYLM | Rubicon Offshore bondholders vote to extend maturity to June 2014
|
4/14/2014 | EMLM | China's Shui On Land begins exchange offers for 93/4%, 7 5/8% notes
|
4/14/2014 | EMLM | Ukraine's Agroton repurchases $22.1 million of 121/2% notes due 2019
|
4/14/2014 | HYLM | Cegedim wraps tender offer, accepts €105.95 million 7% notes due 2015
|
4/14/2014 | HYLM | Endo Health again extends exchange offer, consent bid; payment lifted
|
4/14/2014 | HYLM | Kindred Healthcare calls all $550 million of 81/4% senior notes due 2019
|
4/14/2014 | IGLM | GATX plans to redeem all $300 million of 8.75% senior notes due 2014
|
4/14/2014 | IGLM | Kimco Realty to pre-fund three series of notes via offering proceeds
|
4/14/2014 | LMMU | Dasny calls $156.1 million state university education facilities bonds
|
4/14/2014 | LMMU | Louisville and Jefferson County, Ky., calls $100 million revenue bonds
|
4/14/2014 | LMMU | New York City calls $465.79 million general obligation bonds
|
4/14/2014 | LMMU | Posey, Ind.'s Midwest Fertilizer bonds subject to mandatory tender
|
4/14/2014 | LMPF | HMN declares dividend on preferreds, to redeem 10,000 shares on May 15
|
4/11/2014 | CVLM | Amdocs extends put option for $1.02 million 0.5% convertibles due 2024
|
4/11/2014 | CVLM | American Equity to issue shares in exchange for 3.5% convertibles
|
4/11/2014 | CVLM | Banif repurchases €125 million of contingent convertible bonds
|
4/11/2014 | EMHYLM | Eutelsat, Satmex to redeem all $359.96 million of 91/2% senior notes
|
4/11/2014 | HYLM | ClubCorp plans full redemption of $270 million of 10% senior notes
|
4/11/2014 | HYLM | EMS Seven Seas seeks OK to convert 12% bonds due 2014, issue shares
|
4/11/2014 | HYLM | Endo Health further extends tender offer, consent solicitation
|
4/11/2014 | HYLM | Goodman to redeem 12 1/8% senior secured notes due 2018 via stock
|
4/11/2014 | HYLM | Kate Spade to redeem up to $334.8 million 101/2% notes at 105.25
|
4/11/2014 | HYLM | StormGeo floaters putable through June 11 following change of control
|
4/11/2014 | LMMU | Cook County, Ill., to redeem $196.11 million of 2004A G.O. bonds
|
4/10/2014 | ABLM | Goldman Sachs A-1, A-2 corporate-backed trust certificates called
|
4/10/2014 | LM | Segro holders vote to substitute the trustee for seven series of notes
|
4/10/2014 | HYLM | Bactiguard seeks approval to amend SEK 450 million 11% bonds due 2016
|
4/10/2014 | HYLM | Chesapeake Energy begins tender offer for $1.26 billion 91/2% notes
|
4/10/2014 | HYLM | Nine West wraps tenders for about 1% of notes in control change offer
|
4/10/2014 | LMMU | Fairfax County, Va., to redeem $75.04 million of Inova Health bonds
|
4/10/2014 | LMMU | San Antonio to redeem $71.23 million of series 2004 water system bonds
|
4/9/2014 | ABLM | Spirit Realty begins exchange offer for four series of class A notes
|
4/9/2014 | CAHYLM | Quebecor Media gets tenders for $89.1 million of 73/4% notes so far
|
4/9/2014 | CVLM | CommonWealth REIT holders may convert 6.5% convertible preferreds
|
4/9/2014 | EMLM | Brazil's Gerdau plans exchange offer, tender offer for 71/4%, 7% bonds
|
4/9/2014 | EMLM | Votorantim Cimentos tenders, seeks consents for €750 million 51/4% notes
|
4/9/2014 | EMLM | Renaissance Securities holders exercise put on 11% securities due 2016
|
4/9/2014 | HYLM | Beazer Homes sets price for $298 million of 9 1/8% notes redemption
|
4/9/2014 | HYLM | CDW subsidiaries call $42.5 million 12.535% exchange notes in full
|
4/9/2014 | HYLM | Florida East Coast begins any and all tender offer for two note series
|
4/9/2014 | HYLM | Global Rig seeks from 13% bondholders waiver needed to incur new loan
|
4/9/2014 | HYLM | Libbey Glass settles tenders for $360 million 6 7/8% notes due 2020
|
4/9/2014 | HYLM | Nine West calls $250 million of 5 1/8% senior notes due 2014
|
4/9/2014 | HYLM | Regal Cinemas announces redemption price for 8 5/8% notes due 2019
|
4/9/2014 | HYLM | TransUnion calls $645 million 11 3/8% senior notes due 2018 in full
|
4/9/2014 | HYLM | Viasystems gets 7 7/8% noteholder OK to sell $50 million more notes
|
4/9/2014 | IGLMPF | UIL extends tender offer for preferreds, increases price to $10.25
|
4/9/2014 | LMPV | IMH Financial, NWRA Ventures enter agreement to allow $80 million convertible loan prepayment
|
4/8/2014 | CVDDLM | American Airlines completes final mandatory conversion of preferreds
|
4/8/2014 | EMHYLM | Brazil's Marfrig gets early tenders for $222.73 million notes, lifts cap
|
4/8/2014 | EMHYLM | Mexico's Cemex reaches $1.08 billion cap at early tender deadline
|
4/8/2014 | EMHYLM | Peru's Camposol solicits consents for 9 7/8% senior notes due 2017
|
4/8/2014 | EMLM | Kazakhstan's Almatytemir buys back some 3% bonds due 2024
|
4/8/2014 | HYLM | Beazer Homes USA to redeem 9 1/8% notes due 2018 via new offering
|
4/8/2014 | HYLM | Endo Health extends deadlines for exchange offer, consent solicitation
|
4/8/2014 | HYLM | Navios South American launches cash tender offer for 91/4% senior notes
|
4/8/2014 | HYLM | Polypore to redeem $365 million 71/2% notes via credit facility proceeds
|
4/8/2014 | HYLM | Stratus to redeem all senior secured notes after acquisition by Siris
|
4/8/2014 | LMMU | Delaware River Toll Bridge $127.65 million bonds have mandatory tender
|
4/7/2014 | CLLM | Dryden XXI Leveraged Loan plans to redeem $395.96 million of notes
|
4/7/2014 | CVLM | Aquarius Platinum begins tender offer for 4% convertibles due 2015
|
4/7/2014 | CVLM | Commonwealth issues clean-up call for remaining 5.25% convertibles
|
4/7/2014 | DDHYLM | Rubicon Offshore unable to repay bonds, seeks extension of maturity
|
4/7/2014 | EMHYLM | China's Longfor Properties completes redemption of 91/2% notes
|
4/7/2014 | EMLM | Philippines' Vista Land begins tender offer for 81/4% notes due 2015
|
4/7/2014 | HYLM | Cegedim begins tender offer for €168.6 million 7% notes due 2015
|
4/7/2014 | HYLM | Energy XXI solicits consents to amend EPL's 81/4% senior notes due 2018
|
4/7/2014 | HYLM | Interactive Data announces plans to redeem 101/4% notes due 2018
|
4/7/2014 | HYLM | Jones holders tender $363.65 million 6 7/8% notes for exchange so far
|
4/7/2014 | HYLM | Orion Engineered Carbons calls €35.5 million, $35 million of notes
|
4/7/2014 | HYLM | Spirit AeroSystems calls remaining 71/2% notes for May 1 redemption
|
4/7/2014 | HYLM | WMG takes in needed consents for $765 million 111/2% notes due 2018
|
4/7/2014 | LMMU | Massachusetts Bay Transportation Authority defeases 13 series of bonds
|
4/7/2014 | LMMU | Texas Transportation defeases $865.06 million of state highway bonds
|
4/4/2014 | CVDDLM | Northland Resources convertible bondholders approve new bond issue
|
4/4/2014 | CVLM | Comtech to redeem its remaining 3% convertible senior notes due 2029
|
4/4/2014 | CVLM | Primero Mining offers to purchase all 2016 convertible debentures
|
4/4/2014 | EMHYLM | Banco ABC Brasil partially redeems 81/2% notes due 2016
|
4/4/2014 | HYLM | Crown Castle sets redemption price for 7 1/8% senior notes due 2019
|
4/4/2014 | HYLM | Express rescinds call for all 83/4% senior notes due 2018
|
4/4/2014 | HYLM | IMS Health to redeem $649.72 million of 121/2% bonds April 10
|
4/4/2014 | HYLM | NRG Energy tenders for any and all 81/2% notes, 7 5/8% notes
|
4/4/2014 | HYLM | RadNet receives no additional tenders for 10 3/8% notes by offer's end
|
4/4/2014 | IGLM | AIG plans to repurchase its $750 million of 3% senior notes due 2015
|
4/4/2014 | IGLMPF | MetLife to repurchase its $200 million 5.875% $25-par notes due 2033
|
4/4/2014 | LMMU | Houston calls $597.86 million of 2004A combined utility system bonds
|
4/4/2014 | LMMU | Nashville and Davidson County, Tenn., calls $110 million revenue bonds
|
4/4/2014 | LMMU | Springfield, Mo., school district defeases $83.75 million G.O. bonds
|
4/4/2014 | LMPF | Guaranty Federal to redeem all series A preferreds in second quarter
|
4/4/2014 | LMPF | MacKenzie makes tender offer for BRE Select Hotels 7% preferreds
|
4/4/2014 | SP | Automatic redemption of Barclays ETN+Short B Leveraged ETNs triggered
|
4/3/2014 | CVLM | AuRico Gold wraps tender offer for any and all 3.5% convertibles
|
4/3/2014 | EM | EM-focused International Personal wraps tender offer for 111/2% notes
|
4/3/2014 | EMLM | Argentina's YPF exchanges $85.18 million 10% series C notes due 2028
|
4/3/2014 | LM | Sagres Sociedade de Titularizacao begins tender offer for 10 series of mortgage-backed notes
|
4/3/2014 | HYIGLM | Interpublic calls all $350 million 6.25% notes for May 5 redemption
|
4/3/2014 | HYLM | Beazer Homes to redeem 9 1/8% senior notes via new notes offering
|
4/3/2014 | HYLM | Cooper-Standard announces tender offer results so far, calls remainder
|
4/3/2014 | HYLM | Guitar Center completes partial exchange of debt into preferred stock
|
4/3/2014 | HYLM | ISS to repurchase all €256.3 million of its 8 7/8% notes due 2016
|
4/3/2014 | HYLM | International Personal Finance concludes tender offer for 111/2% notes
|
4/3/2014 | HYLM | R.R. Donnelley wraps cash tender offers for three series of notes
|
4/3/2014 | HYLM | Rhodia to repurchase its 7% notes due 2018, 6 7/8% notes due 2020
|
4/3/2014 | IGLM | Essex Property gives final exchange results for three BRE note series
|
4/3/2014 | IGLM | Lloyds reports exchange offer results for certain dollar capital notes
|
4/3/2014 | IGLM | MidAmerican to redeem 4.65% notes due October 2014 on May 5
|
4/3/2014 | LMMU | Northside ISD, Texas, calls variable-rate unlimited tax school bonds
|
4/2/2014 | CVLM | 49 North starts normal course issuer bid for 9% convertibles series
|
4/2/2014 | LM | Føroya Landsstýri buys back Kr 248 million of 11/2% fixed-rate notes
|
4/2/2014 | HYLM | Consol Energy begins tender offer, consent solicitation for 8% notes
|
4/2/2014 | HYLM | Consolidated Communications gets needed consents for 10 7/8% notes
|
4/2/2014 | HYLM | Crown Castle plans to redeem 7 1/8% senior notes due 2019 on May 2
|
4/2/2014 | HYLM | KION Group to retire €525 million bonds with revolver draw, new loan
|
4/2/2014 | HYLM | Realogy Holdings to repay existing secured notes via new offering
|
4/2/2014 | HYLM | Regency Energy starts exchange offer for Eagle Rock 8 3/8% notes
|
4/2/2014 | LMMU | California calls $169.47 million of 2004 general obligation bonds
|
4/2/2014 | LMMU | Dasny partially defeases 2005B and 2005E Mental Health Services bonds
|
4/2/2014 | LMMU | Mt. Diablo USD, Calif., calls $54.12 million Contra Costa G.O. bonds
|
4/2/2014 | LMMU | University of Texas defeases 2004A & B permanent university fund bonds
|
4/2/2014 | LMMUPF | Two BlackRock municipal term trusts to redeem auction-rate preferreds
|
4/2/2014 | LMPV | TAL International unit prepays all $119.64 million 2008-1 notes
|
4/1/2014 | CAHYLM | Newalta plans to redeem C$125 million 7 5/8% notes due 2017 at 103.813
|
4/1/2014 | CVLM | AV Homes holders put back all 4.5% convertibles to company at par
|
4/1/2014 | CVLM | TMK redeems $11.5 million of 5.25% convertible bonds due 2015
|
4/1/2014 | DDEMLM | OSX Brasil unit bondholders vote to approve terms of restructuring
|
4/1/2014 | EMHYLM | Argentina's Edenor buys back $133.61 million bonds at 52.7 average
|
4/1/2014 | EMLM | Malaysia's Naim redeems RM 150 million MTNs, cancels sukuk program
|
4/1/2014 | EMLM | Bahrain's Batelco wraps tenders for $131.43 million 41/4% notes at par
|
4/1/2014 | HYLM | Crown Castle to redeem 7 1/8% senior notes due 2019 via new offering
|
4/1/2014 | HYLM | Etrion plans to redeem outstanding bonds due 2015 at 101 on May 19
|
4/1/2014 | HYLM | First Wind gets consents from 101/4% noteholders to issue more notes
|
4/1/2014 | HYLM | Pioneer Energy calls $200.53 million of 9 7/8% senior notes due 2018
|
4/1/2014 | HYLM | Rosetta Resources to call $200 million 91/2% notes due 2018 at 104.75
|
4/1/2014 | HYLM | Viasystems seeks to amend 7 7/8% notes to sell $50 million more notes
|
4/1/2014 | LMMU | Duke Energy Ohio to redeem $402 million tax-exempt bonds via new notes
|
4/1/2014 | LMMU | Florida Board of Education to redeem $122.21 million of 2004B bonds
|
4/1/2014 | LMMU | Kentucky Asset/Liability Commission redeems $57.18 million of notes
|
4/1/2014 | LMMU | Miami-Dade, Fla., calls $268.28 million 2002A, 2003A aviation bonds
|
4/1/2014 | LMMU | Missouri Highways calls $10 million series B 2005 multi-modal bonds
|
4/1/2014 | LMMU | NYC Transitional calls all $127.48 million fiscal 2004 series D bonds
|
4/1/2014 | LMMU | North Carolina calls $80 million of general obligation highway bonds
|
4/1/2014 | LMMU | Vermont Economic's series A taxable CP notes have mandatory tender
|
4/1/2014 | LMMUPF | Three municipal income funds announce plans to redeem preferreds
|
3/31/2014 | CAHYLM | Correction: Quebecor Media to pay $1,002.50 in tender for 73/4% notes due 2016
|
3/31/2014 | CVIGLM | NorthStar issues $481.12 million 3% notes in exchange for 7.5% exchangeables
|
3/31/2014 | CVLM | Atari anticipates redemption of €23.55 million of 10% Oceanes due 2019
|
3/31/2014 | CVLM | Linear Technology calls all $845 million 3% convertibles due 2027
|
3/31/2014 | DDHYLM | Midwest Vanadium noteholders OK security for new funding facility
|
3/31/2014 | DDLMMU | City of Hercules, Calif., extends tender offer needed to avoid default
|
3/31/2014 | LM | Novus Capital redeems €150 million of floating-rate notes due 2014
|
3/31/2014 | HYIGLM | Interpublic to redeem 61/4% senior notes due 2014 via new notes offering
|
3/31/2014 | HYLM | CRC Health to redeem $177.3 million 103/4% notes due 2016 on April 28
|
3/31/2014 | HYLM | Hercules Offshore calls $79.93 million 7 1/8% notes at 105.344
|
3/31/2014 | HYLM | Norske Skog announces buyback of NOK 30 million floating-rate bonds
|
3/31/2014 | HYLM | PHI wraps tender offer; no 8 5/8% notes tendered after early deadline
|
3/31/2014 | HYLM | SkyePharma tenders, seeks consents for £61 million 61/2% bonds due 2024
|
3/31/2014 | IGLM | Freeport-McMoRan to redeem $210 million portion of 6.625% notes
|
3/31/2014 | IGLM | MidAmerican Energy to redeem or repay 4.65% notes via new offerings
|
3/31/2014 | LMMU | California State University calls $80.32 million 2004A revenue bonds
|
3/31/2014 | LMMU | Hawaii to redeem $140.71 million of its G.O. bonds of 2004, series DD
|
3/31/2014 | LMMU | Los Angeles County's lease revenue CP notes have mandatory tender
|
3/31/2014 | LMMU | Massachusetts State College calls $49.8 million of 2004A revenue bonds
|
3/31/2014 | LMPF | NewBridge redeems remaining $15 million series A fixed-rate preferreds
|
3/28/2014 | CAIGLM | Encana wraps tender offer, consent bid for 5.8% notes, calls remainder
|
3/28/2014 | CVLM | NorthStar gets tenders for all 7.5% exchangeables due 2031 in offer
|
3/28/2014 | CVLM | Toppan investors put remaining ¥400 million 0% convertibles due 2024
|
3/28/2014 | EMLM | Kazakhstan's Almatytemir buys back some 3% bonds due 2024
|
3/28/2014 | HYLM | Catalyst Paper redeems $14.5 million PIK toggle senior secured notes
|
3/28/2014 | HYLM | Endo Health begins exchange offers for $1.3 billion of three series
|
3/28/2014 | HYLM | Express to redeem all 83/4% senior notes due 2018 at 104.375 on April 28
|
3/28/2014 | HYLM | Panoro Energy calls all 131/2% and 12% senior secured bonds due 2018
|
3/28/2014 | HYLM | Quicksilver calls 81/4% senior notes due 2015, 113/4% notes due 2016
|
3/28/2014 | HYLM | Realkapital European Opportunity gets OK to extend bonds by six months
|
3/28/2014 | LMMU | New York State Thruway defeases highway and bridge trust fund bonds
|
3/28/2014 | LMMU | Wisconsin to redeem all $59.73 million of its 2003 series C G.O. bonds
|
3/28/2014 | LMSP | Barclays again extends consent bid for 22 iPath commodities ETNs
|
3/27/2014 | HYLM | Regency Energy offers to repurchase PVR's 8 3/8% notes due 2020 at 101
|
3/27/2014 | HYLM | StormGeo notifies trustee for bonds due 2017 of change of control
|
3/27/2014 | IGLM | Schneider Electric sets new meeting to vote on corporate conversion
|
3/27/2014 | IGLMPF | Citigroup to fully redeem three series of trust preferred securities
|
3/27/2014 | LMMU | Hamilton, Ohio, calls $56.68 million 7.9% University Hospital bonds
|
3/27/2014 | LMMU | State of California defeases $710.24 million general obligation bonds
|
3/26/2014 | CAHYLM | Quebecor Media tenders for 73/4% notes due 2016; also issues call
|
3/26/2014 | CAHYLM | Videotron to redeem $260 million 9 1/8% notes due 2018 on April 24
|
3/26/2014 | CVLM | Clarke to redeem $12 million 6% convertibles due 2018 on April 25
|
3/26/2014 | DDHYLM | Dannemora Mineral bondholders OK interest payment waiver, extensions
|
3/26/2014 | DDHYLM | NBT holders vote in favor of amending 14% senior secured bonds
|
3/26/2014 | EM | Mexico's Cemex tenders for up to $1.08 billion of two note series
|
3/26/2014 | EMHYLM | Brazil's Fibria redeems $690.2 million of 71/2% senior notes due 2020
|
3/26/2014 | EMLM | Votorantim holders tender 64% of 6 5/8% notes; offer cap set at $414.11 million for 63/4% notes
|
3/26/2014 | HYLM | Calumet to repurchase all 9 3/8% notes due 2019 via new offering
|
3/26/2014 | HYLM | First Wind seeks consents from 101/4% noteholders to issue more notes
|
3/26/2014 | HYLM | Hercules gets tenders and consents for 73.36% of 7 1/8% notes so far
|
3/26/2014 | HYLM | Interline Brands buys back $292.52 million 71/2% notes in tender offer
|
3/26/2014 | HYLM | Kindred to repurchase all 81/4% senior notes due 2019 via new offering
|
3/26/2014 | HYLM | Libbey gets tenders for nearly 99% of 6 7/8% notes by consent deadline
|
3/26/2014 | EMHYLM | Mexico's Cemex tenders for up to $1.08 billion of two note series
|
3/26/2014 | HYLM | Ocean Rig to redeem remaining 91/2% senior notes not tendered by April 7
|
3/26/2014 | HYLM | WMG tenders, solicits consents for $765 million 111/2% notes due 2018
|
3/26/2014 | LMMU | Dasny calls $74.6 million of mental health services facilities bonds
|
3/26/2014 | LMMU | Fairfax County, Va., defeases 2006 Joint Public Uses Complex bonds
|
3/26/2014 | LMMU | New York City Transitional future tax bonds have mandatory tender
|
3/26/2014 | LMPF | UIL Holdings unit again extends tender offer for $3.125-par preferreds
|
3/25/2014 | CAHYLM | Laurentian Bank of Canada to redeem class A preferreds on June 16
|
3/25/2014 | CVLM | 361 Degrees repurchases more 4.5% convertible bonds due 2017
|
3/25/2014 | CVLM | NorthStar sets final exchange consideration in 7.5% exchangeables offer
|
3/25/2014 | EM | Cemex to retire euro notes via new issue, may also redeem dollar notes
|
3/25/2014 | EMHYLM | Credito Real wraps tenders for $3 million more 101/4% notes due 2015
|
3/25/2014 | LM | Westfield holders give OK for two note series related to restructuring
|
3/25/2014 | HYLM | Atlantic Power plans to buy back $140 million 9% senior notes due 2018
|
3/25/2014 | HYLM | Cemex to retire euro notes via new issue, may also redeem dollar notes
|
3/25/2014 | HYLM | Cloud Peak gets no additional tenders for 81/4% notes, calls remainder
|
3/25/2014 | HYLM | RadNet obtains needed consents to amend 10 3/8% notes due 2018
|
3/25/2014 | HYLM | Rallye to cancel €110.6 million 81/2%, 7.7% bonds through tender offer
|
3/25/2014 | LMPF | Ameris Bancorp redeems all $28 million of remaining TARP preferreds
|
3/24/2014 | ABLM | GS Real Estate Mezzanine calls $75.88 million of floaters due 2016
|
3/24/2014 | ABLM | Housing Securities exchange offer for 8 3/8% debenture stock fails
|
3/24/2014 | CAIGLM | Canadian Western Bank to redeem five-year rate-reset first preferreds
|
3/24/2014 | CAIGLM | Toronto-Dominion Bank calls C$675 million rate-reset preferreds
|
3/24/2014 | CVLM | Sterling Biotech replaces all convertibles due 2012 in exchange offer
|
3/24/2014 | EM | International Personal Finance tenders for €225 million 111/2% notes
|
3/24/2014 | EMHYLM | China Forestry extends tender offer for 101/4% notes by another month
|
3/24/2014 | EMLM | China Fishery Group to redeem all $250 million senior notes due 2017
|
3/24/2014 | EMLM | Singapore's Aspial begins consent solicitation for two series of notes
|
3/24/2014 | EMLM | Bahrain's Batelco tenders for up to $200 million 41/4% notes due 2020
|
3/24/2014 | LM | Jyske wraps tenders for two series of capped fixed-to-float perpetuals
|
3/24/2014 | HYLM | Co-operative Group begins consent solicitation for 7 5/8% debentures
|
3/24/2014 | HYLM | International Personal Finance tenders for €225 million 111/2% notes
|
3/24/2014 | HYLM | Jones announces change-of-control exchange offer for 6 7/8% notes
|
3/24/2014 | HYLM | Regency, PVR merger triggers repurchase offer for PVR notes at 101
|
3/24/2014 | HYLM | ServiceMaster plans to redeem some 8% notes at 108, 7% notes at 107
|
3/24/2014 | HYLM | Telenet to issue call to redeem 5.3% senior secured notes due 2016
|
3/24/2014 | IGLM | Kellogg wraps oversubscribed tender offer for three series of notes
|
3/24/2014 | LMMU | Chicago defeases $63.59 million of 2005A G.O. refunding bonds due 2015
|
3/21/2014 | CAIGLM | Omers Realty announces redemption price for 4.05% notes due 2014
|
3/21/2014 | CVLM | EnPro Industries holders exchange $26.6 million 3.9375% convertibles
|
3/21/2014 | CVLM | Green Plains holders convert more 5.75% convertibles before redemption
|
3/21/2014 | CVLM | Petrogrand offers to buy Shelton convertibles in takeover attempt
|
3/21/2014 | EMLM | Singapore's ASL Marine gets consents to amend 43/4% notes due 2017
|
3/21/2014 | LM | Coventry Building redeems €17.5 million of floaters due Sept. 21, 2016
|
3/21/2014 | HYLM | Cooper-Standard begins cash tender offer for PIK toggle, 81/2% notes
|
3/21/2014 | HYLM | EnLink gets tenders for $536.1 million of 8 7/8% senior notes due 2018
|
3/21/2014 | HYLM | Etrion to refinance €60 million bonds due 2015 via new issue proceeds
|
3/21/2014 | HYLM | Lamar Media calls its 7 7/8% senior subordinated notes due 2018 in full
|
3/21/2014 | HYLM | Norwegian Car Carriers holders may put 101/2% bonds at par until June 23
|
3/21/2014 | HYLM | SunGard Data to exchange $389.25 million 7 3/8% notes for spinoff plan
|
3/21/2014 | HYLM | Virgin Media to redeem £875 million 7% notes due 2018 on April 14
|
3/21/2014 | LMMU | Maryland DoT calls $172.8 million of consolidated transportation bonds
|
3/21/2014 | LMMU | Perry County, Miss., begins consent solicitation for Leaf River bonds
|
3/21/2014 | LMMU | University of Connecticut calls $89.2 million 2004 series A G.O. bonds
|
3/21/2014 | LMPF | Farmers Capital Bank to repurchase one third of preferreds during Q2
|
3/20/2014 | CVHYLM | AMD wraps two tender offers for some 6% convertibles, 8 1/8% notes
|
3/20/2014 | CVLM | Assystem holders may put 4% Ornanes due 2017 after change of control
|
3/20/2014 | CVLM | WesternOne issues stock to redeem $196,000 remaining 8.5% convertibles
|
3/20/2014 | EMLM | Israel's TowerJazz swaps out $45 million 8% notes for new convertibles
|
3/20/2014 | HYLM | Catalyst Paper to redeem $19.4 million floating-rate notes due 2016
|
3/20/2014 | HYLM | Consolidated Communications solicits consents to amend 10 7/8% notes
|
3/20/2014 | HYLM | Jarden to redeem $275 million of 71/2% senior subordinated notes in full
|
3/20/2014 | HYLM | R.R. Donnelley counts early tenders; two series oversubscribed so far
|
3/20/2014 | IGLM | DirecTV to redeem all 4.75% notes due 2014 via new notes offering
|
3/20/2014 | IGLM | EnLink to redeem $188.91 million of 8 7/8% senior notes due 2018
|
3/20/2014 | IGLM | Lloyds gives exchange results for sterling, euro notes; tender updated
|
3/20/2014 | IGLMPFPV | Farmer Mac might redeem portion of FALConS with new issue proceeds
|
3/20/2014 | LMMU | Florida Board of Education defeases 2005A, 2006A lottery revenue bonds
|
3/20/2014 | LMMU | Maryland defeases five series of state and local facilities loan bonds
|
3/19/2014 | DDHYLM | Dannemora Mineral can't make March 22 bond payment, requests waivers
|
3/19/2014 | EM | Digicel tenders, seeks consents for $775 million 101/2% notes due 2018
|
3/19/2014 | EM | Jamaica's Digicel to call remaining 101/2% notes after tender offer ends
|
3/19/2014 | HYLM | CEVA buys back $728.69 million of tendered notes, calls remainder
|
3/19/2014 | HYLM | Digicel Group to call any remaining 101/2% notes after tender offer ends
|
3/19/2014 | HYLM | Digicel tenders, seeks consents for $775 million 101/2% notes due 2018
|
3/19/2014 | HYLM | Interline Brands plans to redeem its 71/2% notes due 2018 in full
|
3/19/2014 | IGLM | Essex Property gives early exchange update for three BRE note series
|
3/19/2014 | LMMU | Fort Worth, Texas, calls $40.44 million water and sewer system bonds
|
3/19/2014 | LMMU | Tustin USD, Calif., calls $90.5 million of 2010 special tax bonds
|
3/18/2014 | CVHYLM | Portugal Telecom: Holders of 61/4% notes pass proposals on second try
|
3/18/2014 | CVLM | USG calls remaining 10% convertibles; holders may opt for conversion
|
3/18/2014 | DDLMMU | California's City of Hercules warns of default if tender offer fails
|
3/18/2014 | EMLM | China Lesso calls $130 million of 7 7/8% senior notes due 2016
|
3/18/2014 | EMLM | India's IDBI Bank buys back, to cancel 33/4% notes due 2019
|
3/18/2014 | EMLM | Kazakhstan's Almatytemir plans to buy back some 3% bonds due 2024
|
3/18/2014 | LM | ING Group calls €1.5 billion of 8% perpetual hybrid capital securities
|
3/18/2014 | HYLM | CEVA obtains required consents to amend 8 3/8%, 11 5/8%, 111/2% notes
|
3/18/2014 | HYLM | Pioneer Energy gets early tenders for $99.47 million 9 7/8% notes
|
3/18/2014 | IGLM | Entergy Mississippi to redeem 4.95% first mortgage bonds via offering
|
3/18/2014 | IGLM | Verizon Communications gets tenders for $4.12 billion notes in offer
|
3/18/2014 | LMMU | Maryland plans to redeem $39.47 million of series 2004 5% G.O. bonds
|
3/17/2014 | CVLM | Carriage Services calls 7% convertible trust preferred Tides
|
3/17/2014 | CVLM | Digital Realty to redeem any 5.5% exchangeables not put back to company
|
3/17/2014 | CVLM | Pacific Basin holders put $20.4 million of 1.75% convertible bonds
|
3/17/2014 | DDHYLM | Sea Production gets approval to extend $130 million bonds to 2015
|
3/17/2014 | EMHYLM | Nostrum calls all $92.51 million of 101/2% senior notes due 2015
|
3/17/2014 | EMLM | Kazakhstan's Doszhan buys back portion of infrastructure bonds
|
3/17/2014 | HYLM | Cooper-Standard to refinance PIK toggle notes, 81/2% notes via new loan
|
3/17/2014 | HYLM | Nostrum calls all $92.51 million of 101/2% senior notes due 2015
|
3/17/2014 | HYLM | PHI gets tenders, consents for 97.52% of 8 5/8% notes by early date
|
3/17/2014 | HYLM | Rallye announces tender offer for 81/2% bonds, 7.7% bonds
|
3/17/2014 | HYLM | Spirit AeroSystems records needed consents to amend 71/2% notes
|
3/17/2014 | IGLM | Citigroup holders tender $297.99 million in offers for three series
|
3/17/2014 | IGLM | Pitney Bowes prices, gives early results in tender for $500 million notes
|
3/17/2014 | IGLM | Pitney Bowes sets tender pricing for $500 million of five note series
|
3/17/2014 | IGLM | Verizon Communications prices tender offer for $8.2 billion of notes
|
3/17/2014 | LMMU | Massachusetts calls $3.61 million Jewish Rehabilitation Centers bonds
|
3/17/2014 | LMMU | Puerto Rico Sales Tax calls all $333.3 million of series 2013A bonds
|
3/14/2014 | BKHYLM | iGate to redeem $770 million of 9% due 2016 notes via new offering
|
3/14/2014 | CVLM | Amdocs begins cash offer for $1.02 million 0.5% convertibles due 2024
|
3/14/2014 | CVLM | Community West Bancshares redeems remaining convertible debentures
|
3/14/2014 | EMLM | Malaysia's LBS Bina redeems portion of tranche 2 sukuk due 2015
|
3/14/2014 | HYLM | Greektown Holdings purchases 54.5% of 13% notes in tender offer so far
|
3/14/2014 | HYLM | Kate Spade to redeem up to $37.2 million 101/2% notes at 103 on April 14
|
3/14/2014 | HYLM | Oppenheimer Holdings to retire $50 million of 83/4% secured notes
|
3/14/2014 | HYLM | TreeHouse Foods to redeem outstanding 73/4% notes on April 10 at 103.875
|
3/14/2014 | HYLM | Trinseo plans to repay 83/4% senior secured notes with IPO proceeds
|
3/14/2014 | LMMU | Bay Area, Calif., calls $240.72 million payment acceleration notes
|
3/14/2014 | LMMU | California Municipal's Republic Services bonds have mandatory tender
|
3/14/2014 | LMMU | Moon Industrial, Pa., 2007 Providence Point bonds have mandatory tender
|
3/14/2014 | LMMU | Triborough Bridge and Tunnel, N.Y., calls $180.79 million 1994A bonds
|
3/13/2014 | CAIGLM | Encana gets consents to amend 5.8% notes, extends early deadline
|
3/13/2014 | CAIGLM | Rogers gets tenders for $304 million of 5.5% senior notes due 2014
|
3/13/2014 | CVLM | Just Energy may purchase C$33 million 6% convertibles under issuer bid
|
3/13/2014 | CVLM | Leap announces change-of-control put option for 4.5% convertibles
|
3/13/2014 | DDHYLM | NBT calls meeting to get holder approval to delete mandatory redemption clause for 14% bonds
|
3/13/2014 | LM | E Forland to redeem NOK 75 million of bonds after Seisranger sale
|
3/13/2014 | HYLM | CRC Health to refinance existing senior subordinated notes
|
3/13/2014 | HYLM | Kate Spade wraps purchase offer for 101/2% notes; no notes tendered
|
3/13/2014 | HYLM | Realkapital European Opportunity seeks OK to extend bonds six months
|
3/13/2014 | IGLM | Aetna updates redemption price on $750 million of 6% notes due 2016
|
3/13/2014 | LMPF | Cousins Properties calls all $94.78 million of 7.5% preferred stock
|
3/12/2014 | CVLM | Algeta holders may redeem, convert 3.375% bonds after change of control
|
3/12/2014 | CVLM | Beazer Homes issues common stock in exchange for 7.5% TEUs
|
3/12/2014 | CVLM | Qiagen plans to tender for $300 million convertible notes due 2026
|
3/12/2014 | CVLM | Qiagen repurchases $291 million of convertible notes due 2026
|
3/12/2014 | EMHYLM | Central European Media gets needed consents for subsidiary's 9% notes
|
3/12/2014 | EMHYLM | South Africa's Foodcorp plans to redeem remaining 83/4% notes due 2018
|
3/12/2014 | LM | National Asset Management redeems €3 billion of senior notes due 2015
|
3/12/2014 | HYLM | Accellent wraps tender offers, issues call for 8 3/8%, 10% notes
|
3/12/2014 | HYLM | Aircastle to redeem 93/4% senior notes due 2018 via new notes offering
|
3/12/2014 | HYLM | Callon Petroleum calls $48.48 million 13% notes due 2016 at 103.25
|
3/12/2014 | HYLM | EnLink begins tender offer for $725 million 8 7/8% notes due 2018
|
3/12/2014 | HYLM | Hercules tenders, seeks consents for $300 million 7 1/8% senior notes
|
3/12/2014 | HYLM | Interline Brands gets consents needed to amend 71/2% notes due 2018
|
3/12/2014 | HYLM | Libbey begins tender offer, consent bid for $405 million 6 7/8% notes
|
3/12/2014 | HYLM | Regal to redeem any 9 1/8% notes, 8 5/8% notes not tendered in offer
|
3/12/2014 | HYLM | United Rentals to redeem 91/4% senior notes due 2019 via new offering
|
3/12/2014 | HYLM | Visteon to redeem $50 million of its 63/4% notes due April 15, 2019
|
3/12/2014 | IGLM | Orange redeems in full $1.22 billion 4.375% notes at 101.285
|
3/12/2014 | LMMU | Douglas County School, Ga., defeases $55.05 million 2007 G.O. bonds
|
3/12/2014 | LMMU | Erie County, N.Y., calls $228.61 million school facility revenue bonds
|
3/12/2014 | LMMU | Virginia Resources defeases $1.4 million Virginia Pooled Financing bonds
|
3/12/2014 | LMPV | TAL International unit to prepay all series 2011-1 notes on March 20
|
3/11/2014 | ABLM | Housing Securities extends exchange offer for 8 3/8% debenture stock
|
3/11/2014 | CLLM | Race Point V CLO companies to redeem five classes of joint-issue notes
|
3/11/2014 | CVLM | Green Plains holders convert some 5.75% notes ahead of redemption
|
3/11/2014 | CVLM | Safeguard Scientifics holders may put 2.625% convertibles due 2024
|
3/11/2014 | LM | AMP Group Finance Services plans to redeem all AMP notes on May 15
|
3/11/2014 | HYLM | CPI collects consents to amend $215 million 8% senior notes due 2018
|
3/11/2014 | HYLM | Cleaver-Brooks scraps consents to amend 83/4% secured notes due 2019
|
3/11/2014 | HYLM | EnLink merger triggers change-of-control offer under 8 7/8% notes
|
3/11/2014 | HYLM | Greektown fails to receive consents for 13% notes, plans redemption
|
3/11/2014 | HYLM | SunGard Data Systems wraps tender offer for 7 3/8% notes due 2018
|
3/11/2014 | HYLM | TransUnion plans redemption of 11 3/8% notes using facility draw
|
3/11/2014 | HYLM | TreeHouse Foods gets early tenders for about 75% of 73/4% notes due 2018
|
3/11/2014 | HYLM | TreeHouse gets early tenders for 75% of 73/4% notes, calls remainder
|
3/11/2014 | HYLM | Troll Drilling & Services gets bondholder OK to amend 133/4% bonds
|
3/11/2014 | LMMU | California Statewide's Western University bonds have mandatory tender
|
3/11/2014 | LMMU | Partners Healthcare, Mass., to bid $15 million on series F-2 bonds
|
3/11/2014 | LMMUPF | Nuveen to redeem MuniFund term preferred shares from two funds
|
3/10/2014 | CAHYLM | Catalyst Paper announces plans to retire remaining floating-rate notes
|
3/10/2014 | CVDDLM | American Air gives third mandatory conversion notice for preferreds
|
3/10/2014 | EMHYLM | Credito Real reports early tenders for 101/4% senior notes due 2015
|
3/10/2014 | EMLM | Votorantim, Companhia Brasileira de Aluminio tender for 6 5/8% and 63/4% notes
|
3/10/2014 | LM | National Asset Management redeems €850 million of senior notes
|
3/10/2014 | HYLM | Atkore to redeem all $369 million 9 7/8% secured notes due 2018
|
3/10/2014 | HYLM | Cloud Peak Energy gets enough consents to amend 81/4% notes due 2017
|
3/10/2014 | HYLM | Ocean Rig UDW begins tender offer for $500 million 91/2% notes due 2016
|
3/10/2014 | HYLM | Vulcan Materials buys back $506.37 million 61/2%, 6.4% notes in offer
|
3/10/2014 | IGLM | Entergy Arkansas to redeem $115 million 5% first mortgage bonds
|
3/10/2014 | IGLM | Kellogg announces early tender results; lifts sub-cap for one series
|
3/10/2014 | IGLM | Schneider Electric seeks consents to convert to Societas Europaea
|
3/10/2014 | IGLM | Verizon Communications tenders for $8.2 billion of eight note series
|
3/10/2014 | LMMU | Hawaii defeases $435.07 million from seven series of G.O. bonds
|
3/10/2014 | LMMU | Lakeland, Fla., calls $99.23 million of energy system refunding bonds
|
3/7/2014 | CAIGLM | Potash Corp. of Saskatchewan to redeem 5.25% notes in full on April 7
|
3/7/2014 | CAIGLM | Scotiabank to redeem all of its 4.94% debentures due April 15, 2019
|
3/7/2014 | CVLM | Western Refining opts to settle conversions of 5.75% notes in shares
|
3/7/2014 | DDHYLM | Sea Production seeks approval to extend $130 million bonds until 2015
|
3/7/2014 | EMLM | China-based Gemdale redeems some 7 1/8%, 5 5/8% bonds, no 9.15% bonds
|
3/7/2014 | HYLM | Niska Gas to redeem $643.79 million 8 7/8% notes at 104.438 March 17
|
3/7/2014 | HYLM | RadNet starts tender offer, consent solicitation for 10 3/8% notes
|
3/7/2014 | HYLM | Telecom Italia begins tendering for €500 million of four note series
|
3/7/2014 | IGLM | Essex Property unit details exchange offers for three BRE note series
|
3/7/2014 | IGLM | Kellogg sets pricing in tender for $700 million of three note series
|
3/7/2014 | IGLM | Lloyds Banking begins tender, exchange offers for 33 series of notes
|
3/7/2014 | LMMU | JEA, Fla., to redeem $74.94 million bulk power system revenue bonds
|
3/7/2014 | LMMU | Knox County, Tenn., board's 2011 Covenant Health bonds to have tender
|
3/6/2014 | CAIGLM | Brookfield Asset Management to redeem preferreds via new offering
|
3/6/2014 | CVLM | AuRico Gold begins tender offer for any and all 3.5% convertibles
|
3/6/2014 | CVLM | NorthStar Realty adjusts exchange ratio for 7.5% exchangeable notes
|
3/6/2014 | EMHYLM | China's Longfor Properties to redeem 91/2% notes at 104.75 on April 7
|
3/6/2014 | EMLM | B Communications to redeem all NIS 203 million of series A debentures
|
3/6/2014 | HYLM | J. Crew calls $400 million of 8 1/8% senior notes due 2019 in full
|
3/6/2014 | HYLM | Jones Group sets put option for 6 7/8% notes after change of control
|
3/6/2014 | HYLM | Parker Drilling calls remainder of 9 1/8% senior notes due 2018
|
3/6/2014 | HYLM | R.R. Donnelley tenders for up to $400 million of three note series
|
3/6/2014 | HYLM | Tesoro to redeem all $300 million 93/4% senior notes due 2019 on April 3
|
3/6/2014 | IGLM | Essex Property unit starts exchange offers for three BRE note series
|
3/6/2014 | LMMU | Crowley ISD, Texas, defeases $23.73 million of 2003, 2004, 2005 bonds
|
3/6/2014 | LMMU | Richland, S.C., calls $71.71 million of 6.1% International Paper bonds
|
3/5/2014 | CVLM | Cogent announces June 15 put option for 1% convertibles due 2027
|
3/5/2014 | CVLM | Digital River repurchases $150 million 2% convertibles due 2030
|
3/5/2014 | CVLM | Frasers holders convert series A convertible perpetual preferreds
|
3/5/2014 | HYLM | CPI solicits consents to amend $215 million 8% senior notes due 2018
|
3/5/2014 | HYLM | Easton-Bell Sports plans to retire 2016 notes with asset sale proceeds
|
3/5/2014 | LMMU | Albemarle Hospital, N.C., defeases 2007 health care facilities bonds
|
3/5/2014 | LMMU | El Dorado Irrigation, Calif., defeases $99.04 million of 2009A COPs
|
3/5/2014 | LMPF | UIL Holdings subsidiary extends tender offer for $3.125 par preferreds
|
3/4/2014 | CALM | CIBC calls all series 35 noncumulative rate reset class A preferreds
|
3/4/2014 | CVLM | EnPro Industries holders exchange $29.5 million 3.9375% convertibles
|
3/4/2014 | CVLM | Special Opportunities Find announces convertible redemption results
|
3/4/2014 | EMLM | YPF begins exchange offer for $100 million 10% series C notes due 2028
|
3/4/2014 | LM | Jyske tenders for two series of capped fixed-to-floating perpetuals at 75
|
3/4/2014 | HYLM | AES lifts tender offer cap to $625 million, extends expiration date
|
3/4/2014 | HYLM | CEVA begins tender offer, consent bid for 8 3/8%, 11 5/8%, 111/2% notes
|
3/4/2014 | HYLM | Cleaver-Brooks seeks consents to amend 83/4% secured notes due 2019
|
3/4/2014 | HYLM | HCA to redeem in full 81/2% notes and 7 7/8% notes on April 2
|
3/4/2014 | HYLM | Pioneer Energy Services tenders for up to $300 million 9 7/8% notes
|
3/4/2014 | HYLM | Spirit AeroSystems tenders, seeks consents for $300 million 71/2% notes
|
3/4/2014 | HYLM | Tesoro to redeem all $300 million of 93/4% notes via new notes offering
|
3/4/2014 | HYLM | Tethys Oil plans to redeem SEK 400 million of 91/2% bonds on April 7
|
3/4/2014 | IGLM | Pitney Bowes begins tender offer for $350 million of three note series
|
3/4/2014 | IGLM | Viacom calls all $600 million of 4.375% senior notes due 2014
|
3/4/2014 | LMMU | Texas calls $23.71 million 2005C Veterans' Housing Assistance bonds
|
3/4/2014 | LMMU | Wisconsin Public Finance calls $23.34 million 2012B Searstone bonds
|
3/3/2014 | CVHYLM | Portugal Telecom wraps some solicitations, extends that for 61/4% notes
|
3/3/2014 | CVLM | Cemex holders to convert $280 million 4.875% convertibles due 2015
|
3/3/2014 | CVLM | Morgans Hotel repurchases $88 million 2.375% convertibles due 2014
|
3/3/2014 | EMLM | China's Agile Property to redeem all 10% notes on March 30 at 105
|
3/3/2014 | EMLM | China's KWG Property to redeem all 123/4% notes due 2016 at 106.375
|
3/3/2014 | HYLM | AES counts early tenders in oversubscribed offer; cap now $415 million
|
3/3/2014 | HYLM | HCA to repurchase all 81/2%, 7 7/8% notes with new offering proceeds
|
3/3/2014 | HYLM | ManTech to redeem all $200 million 71/4% notes due 2018 on April 15
|
3/3/2014 | HYLM | PHI tenders for any and all $300 million 8 5/8% notes due 2018
|
3/3/2014 | HYLM | RadNet plans to refinance 10 3/8% notes due 2018 with lower-cost loans
|
3/3/2014 | HYLM | Stream Global to redeem all 111/4% notes in connection with merger
|
3/3/2014 | HYLM | Vulcan Materials extends tender for three series; offer oversubscribed
|
3/3/2014 | IGLM | Citi ups tender caps for two series, tallies early results; pricing set
|
3/3/2014 | LMMU | Arizona Health to redeem all series 2004 Blood Systems revenue bonds
|
3/3/2014 | LMMU | California Pollution calls $60.57 million 2010 Athens Services bonds
|
3/3/2014 | LMMU | Fairfax County Water, Va., calls $35.77 million of 2004 revenue bonds
|
3/3/2014 | LMMU | JEA, Fla., to redeem $65.8 million of electric system revenue bonds
|
3/3/2014 | LMMU | North Carolina Medical calls $35.95 million High Point Regional bonds
|
3/3/2014 | LMMU | Sunshine State, Fla., calls $58.51 million Orlando Program CP notes
|
3/3/2014 | LMPF | Strategic Hotels calls 8.5% series A cumulative redeemable preferreds
|
2/28/2014 | ABLM | LightPoint CLO III calls €113.21 million floating-rate notes due 2017
|
2/28/2014 | CAHYLM | North American Energy calls C$10 million 9 1/8% notes due 2017
|
2/28/2014 | CAIGLM | Encana tenders, solicits consents for $1 billion 5.8% notes due 2014
|
2/28/2014 | CAIGLM | Omers Realty unit to redeem all C$180 million 4.05% notes due 2014
|
2/28/2014 | CVDDHYLM | Emerging Europe holders vote to lift loan amounts, extend maturities
|
2/28/2014 | CVLM | NorthStar Realty registers $432.37 million 3% notes for exchange offer
|
2/28/2014 | DDHYLM | Verso terminates exchange offers after negotiations with group stall
|
2/28/2014 | EMHYLM | Central European Media lays out plans to retire €272.97 million 11 5/8% notes; consents needed
|
2/28/2014 | LM | Aviva calls £200 million, €50 million of fixed/floating-rate notes
|
2/28/2014 | LM | Group Casino to purchase €550 million total bonds in tender offer
|
2/28/2014 | LM | Jubilee calls €283.57 million of class A, B, C and subordinated notes
|
2/28/2014 | LM | Tethys Oil to redeem 91/2% bonds with revolving facility proceeds
|
2/28/2014 | HYLM | Big Heart Pet Brands to redeem $400 million 7 5/8% notes due 2019
|
2/28/2014 | HYLM | First Quantum completes exchange, solicitation for 83/4%, 71/2% notes
|
2/28/2014 | HYLM | InterOil Exploration & Production bondholders OK amending 15% bonds
|
2/28/2014 | HYLM | Martin Midstream to redeem $175 million of 8 7/8% notes at 104.438
|
2/28/2014 | HYLM | Niska Gas to redeem 8 7/8% senior notes with new offering proceeds
|
2/28/2014 | HYLM | Tethys Oil to redeem 91/2% bonds with revolving facility proceeds
|
2/28/2014 | IGLM | United Technologies calls all $187.9 million of 6.29% Goodrich notes
|
2/28/2014 | IGLM | Verizon Communications subsidiaries call $1.25 billion of 8.5% notes
|
2/28/2014 | LMMU | JEA, Fla., to redeem $45.07 million of electric system revenue bonds
|
2/27/2014 | ABLM | First Flexible No. 4 to exercise call on mortgage-backed floaters
|
2/27/2014 | ABLM | Housing Securities gets holder approval to amend stock terms in connection with exchange offer
|
2/27/2014 | CAIGLM | Rogers gets tenders for 67.8% of 6.375% senior notes due March 1, 2014
|
2/27/2014 | CALM | Capital Desjardins calls all C$500 million of 5.756% series E notes
|
2/27/2014 | CVLM | NorthStar Realty plans exchange offer for 7.5% exchangeables due 2031
|
2/27/2014 | CVLM | Western Areas buys back A$15 million convertibles, may repurchase more
|
2/27/2014 | EMLM | Malaysia's Hong Leong redeems RM 410 million 53/4% notes due 2019
|
2/27/2014 | HYLM | Atlantic Power redeems three series of its notes via loan proceeds
|
2/27/2014 | HYLM | Griffon settles early tenders for 77.8% of 7 1/8% notes due 2018
|
2/27/2014 | HYLM | Solocal gets needed consents for PagesJaunes €350 million 8 7/8% notes
|
2/27/2014 | HYLM | Southern Water Services calls £250 million of unwrapped bonds due 2038
|
2/27/2014 | LMMU | Alamo Community College, Texas, calls $48.51 million 2007 tax notes
|
2/27/2014 | LMMU | Fairfax County, Va., calls $52.76 million of Route 28 bonds in full
|
2/27/2014 | LMMU | Kansas Development calls $78.87 million of public water supply bonds
|
2/27/2014 | LMMU | Montgomery County, Md., calls $77.3 million public improvement bonds
|
2/27/2014 | LMMU | New York State Thruway calls $239.25 million 2004A, B trust fund bonds
|
2/27/2014 | LMMU | Piedmont Municipal Power, S.C., 2011B, C bonds have mandatory tender
|
2/26/2014 | BKHYLM | HellermannTyton to repay €220 million bonds using revolver proceeds
|
2/26/2014 | DDHYLM | Sea Production bondholders approve extension of maturity to March 14
|
2/26/2014 | EMHYLM | Credito Real tenders, seeks consents for 101/4% senior notes due 2015
|
2/26/2014 | EMLM | Singapore's ASL Marine seeks OK to amend 43/4% series 006 notes due 2017
|
2/26/2014 | HYLM | Accellent gets early tenders for 92% of 8 3/8% notes, 78% of 10% notes
|
2/26/2014 | HYLM | CVR Energy subsidiaries redeemed remaining first-lien notes on Nov. 23
|
2/26/2014 | HYLM | Interline Brands begins tender offer, consent bid for 71/2% notes
|
2/26/2014 | HYLM | Troll Drilling & Services seeks consents to amend terms of 133/4% bonds
|
2/26/2014 | HYLM | Wells Enterprises plans to redeem $23.5 million of 63/4% notes due 2020
|
2/26/2014 | LMMU | Illinois State Toll Highway defeases $436.55 million of 2005A bonds
|
2/26/2014 | LMMU | Oklahoma Water to redeem all $145.99 million of 2004 revenue bonds
|
2/26/2014 | LMPF | First Financial calls all $65 million series A fixed-rate preferreds
|
2/25/2014 | ABLM | Tagus Leasing No. 1 redeems €1.24 billion from four series of notes
|
2/25/2014 | CVLM | ViroPharma gets no tenders in offer for 2% convertibles after buyout
|
2/25/2014 | EMHYLM | China Forestry extends tender offer for 101/4% notes by one more month
|
2/25/2014 | EMLM | Oversea-Chinese Banking calls S$711.93 million 5.6% subordinated bonds
|
2/25/2014 | LM | Cordatus seeks waiver to allow for optional redemption of notes
|
2/25/2014 | LM | EIB buys £675 million floaters due 2015, 2016 in one-day tender offer
|
2/25/2014 | LM | EIB tenders for some of two floater series, to be funded by new issue
|
2/25/2014 | HYLM | Cloud Peak tenders for any and all $300 million of 81/4% notes due 2017
|
2/25/2014 | HYLM | Greektown Holdings tenders for any, all $385 million 13% notes
|
2/25/2014 | HYLM | IMS Health to redeem $649.72 million of 121/2% exchange notes due 2018
|
2/25/2014 | HYLM | Norske Skog buys back NOK 86 million of bond loan due June 2014
|
2/25/2014 | HYLM | Regal Entertainment begins tender offers for 9 1/8% and 8 5/8% notes
|
2/25/2014 | HYLM | TreeHouse Foods begins tender for $400 million 73/4% notes due 2018
|
2/25/2014 | HYLM | Ziggo wraps tender offer for 3 5/8% notes, exchange offer for 8% notes
|
2/25/2014 | LMMU | Connecticut calls $75 million of 2004 series C G.O. bonds in full
|
2/24/2014 | ABLM | Salt Creek Pass Through Trust calls $327.21 million of certificates
|
2/24/2014 | CAIGLM | Calloway REIT calls C$50 million of its 5.37% series B debentures
|
2/24/2014 | CVHYLM | Portugal Telecom extends early voting deadline for 61/4% notes
|
2/24/2014 | CVLM | Unisys OKs purchase of up to $50 million of convertibles, stock
|
2/24/2014 | DDHYLM | NBT gets holder approval to extend 14% bonds, pay interest in kind
|
2/24/2014 | LM | Westfield holds meetings for two note series related to restructuring
|
2/24/2014 | HYIGLM | CMS Energy to redeem its 6 7/8% and 41/4% notes via new offering
|
2/24/2014 | HYIGLM | MDC Holdings calls all $250 million of 5 3/8% senior notes due 2014
|
2/24/2014 | HYLM | National Asset Management redeems €675 million of its senior notes
|
2/24/2014 | HYLM | PVH calls its $600 million of 7 3/8% senior notes due 2020 in full
|
2/24/2014 | IGLM | Delphi to redeem its $500 million of notes due 2019 via new offering
|
2/24/2014 | IGLM | Kellogg begins tender offer for $700 million of three note series
|
2/24/2014 | IGLM | Vodafone to redeem about $5.65 billion of seven note series in March
|
2/24/2014 | LMMU | California's $428.29 million of 2005 G.O.s have mandatory tender
|
2/21/2014 | CVLM | Pulse to exchange debt, cash, stock for $20.7 million 7% convertibles
|
2/21/2014 | CVLM | Wisdom Marine Lines' first foreign convertibles putable on March 29
|
2/21/2014 | CVLM | XPO Logistics issues shares, cash premium for 4.5% convertibles
|
2/21/2014 | HYLM | PVH plans to call 7 3/8% notes due 2020 with loan upsizing proceeds
|
2/21/2014 | HYLM | PulteGroup calls $150 million 7 3/8% notes, $95.65 million 5.2% notes
|
2/21/2014 | HYLM | Verso Paper again extends offers needed for buyout; NewPage responds
|
2/21/2014 | LMPF | Ameris Bancorp to redeem $28 million TARP preferreds in first quarter
|
2/20/2014 | BKHYLM | J.Crew eyes potential refinancing, may redeem 8 1/8% notes due 2019
|
2/20/2014 | CVHYLM | AMD begins two tender offers for some 6% convertibles, 8 1/8% notes
|
2/20/2014 | EMLM | Banco Santander-Chile gets tenders for 79.56% of 61/2% notes due 2020
|
2/20/2014 | EMLM | China ITS buys back additional 10% guaranteed bonds due 2015
|
2/20/2014 | LM | AGR Petroleum gets bondholder approval for demerger/restructuring
|
2/20/2014 | LM | Avoca Credit to redeem all €50 million of class E-9 notes due 2086
|
2/20/2014 | HYLM | J.Crew eyes potential refinancing, may redeem 8 1/8% notes due 2019
|
2/20/2014 | HYLMPF | Phoenix gets needed consents for 7.45% bonds to avoid covenant breach
|
2/20/2014 | IGLM | Washington REIT repays $100 million 5.25% notes
|
2/20/2014 | LMMU | New Jersey Higher Education starts Dutch tender for 17 bond series
|
2/20/2014 | LMMU | Oakland County Retiree trust, Mich., calls $422.14 million of COPs
|
2/19/2014 | LMMU | Michigan Finance calls $31.61 million of its 2013 B-1 state aid notes
|
2/19/2014 | LMPF | DNP Select to redeem all $60.2 million of its series E preferreds
|
2/18/2014 | ABLM | Housing Securities amends exchange offer for 8 3/8% debenture stock
|
2/18/2014 | CVLM | 361 Degrees buys back $10.3 million more 4.5% convertibles due 2017
|
2/18/2014 | CVLM | AV Homes holders put back $19,000 of 7.5% convertible notes due 2016
|
2/18/2014 | DDHYLM | Dannemora Magnetit requests bond extension and escrow fund drawdown
|
2/18/2014 | HYLM | DDM obtains holder approval to amend terms of 13% notes due 2016
|
2/18/2014 | HYLM | Freescale unit to pay $719 million to redeem 10 1/8% notes, some 8.05% notes and floaters
|
2/18/2014 | HYLM | Lear calls all 7 7/8% notes at 103.938 and 10% of 8 1/8% notes at 103
|
2/14/2014 | CALM | Allbanc Split to redeem $6.03 million of preferred shares on Feb. 28
|
2/14/2014 | CVDDHYLM | Emerging Europe seeks changes to bond terms amid impending maturity
|
2/14/2014 | CVLM | Green Plains calls all $90 million of its 5.75% convertibles due 2015
|
2/14/2014 | CVLM | Sanchez Energy to issue stock in swap for 4.875%, 6.5% convertibles
|
2/14/2014 | HYLM | AES begins tender offers for up to $300 million of three note series
|
2/14/2014 | HYLM | Correction: Solocal seeks consents for €350 million 8 7/8% notes until Feb. 26
|
2/14/2014 | HYLM | IMS Health plans to use IPO proceeds to redeem PIK and 121/2% notes
|
2/14/2014 | HYLM | Verso Paper again extends exchange offers needed for NewPage buyout
|
2/14/2014 | IGLM | Citigroup tenders for up to $230 million of three series of notes
|
2/14/2014 | LMMU | Indiana Finance's 2010A, B Republic Services bonds subject to tender
|
2/14/2014 | LMMU | New York State Thruway defeases series F, G general revenue bonds
|
2/13/2014 | ABLM | ALM V redeems all $273 million class A-1 senior secured floaters
|
2/13/2014 | CVLM | Affiliated Managers Group calls all 5.1% convertible trust preferreds
|
2/13/2014 | CVLM | Alliance One holders tender $53.91 million 5.5% convertibles in offer
|
2/13/2014 | CVLM | Gati gets conversion notice on foreign-currency bonds, 'unable to act'
|
2/13/2014 | CVLM | Sanchez Energy to issue stock in swap for 6.5% perpetual convertibles
|
2/13/2014 | CVLM | Tree Island redeems C$1.8 million of 10% second-lien convertibles
|
2/13/2014 | EMLM | Banco Santander-Chile tenders for Ps. 148.8 billion 61/2% notes due 2020
|
2/13/2014 | LM | Urenco accepts €170.45 million 5 3/8% notes due 2015 in tender offer
|
2/13/2014 | HYLM | AMC Entertainment completes tender offer for 83/4% notes due 2019
|
2/13/2014 | HYLM | InterOil Exploration & Production begins consent bid for 15% bonds
|
2/13/2014 | HYLM | Meritor plans to redeem all $250 million of its 10 5/8% notes due 2018
|
2/13/2014 | HYLM | Solocal seeks consents for PagesJaunes' €350 million 8 7/8% secured notes; refinancing needed
|
2/13/2014 | LMMU | Metropolitan Water, Calif., calls $90.1 million 2010 series A bonds
|
2/13/2014 | LMMU | New York City Transitional Finance to redeem $15.74 million of bonds
|
2/12/2014 | ABLM | Business Mortgage Finance calls class A1, A2 mortgage-backed floaters
|
2/12/2014 | ABLM | Fir Tree scraps offer for some residential mortgage-backed securities
|
2/12/2014 | CAIGLM | Shaw sets redemption price for C$600 million of 6.5% senior notes
|
2/12/2014 | CAIGLM | Sun Life Financial calls all C$500 million of 7.9% debentures due 2019
|
2/12/2014 | CVLM | Celesio extends offer for convertibles after second change of control
|
2/12/2014 | EMLM | DBS Bank to redeem S$1.7 billion 4.7% preference shares on March 21
|
2/12/2014 | EMLM | Singapore's BW Group holders tender $306.12 million 6 5/8% notes
|
2/12/2014 | LM | Citi to pay 97.42 to settle tenders for £181.49 million of 4.5% notes
|
2/12/2014 | HYIGLM | Ally Financial calls $892.5 million of 7 3/8% notes due 2044 in full
|
2/12/2014 | HYLM | First Quantum issues $2.23 billion new notes in exchange offer so far
|
2/12/2014 | HYLM | Griffon tenders, seeks consents for $550 million 7 1/8% notes due 2018
|
2/12/2014 | HYLM | Holly Energy plans to redeem all $150 million of 81/4% notes due 2018
|
2/12/2014 | LMMU | New York State Urban Development calls $189.14 million revenue bonds
|
2/12/2014 | LMMU | Ohio calls $67.5 million 2008B Case Western Reserve University bonds
|
2/12/2014 | LMMU | Washington calls $44.08 million of Southwest Washington Medical bonds
|
2/12/2014 | LMPF | Deutsche Bank Capital calls all 7.35% noncumulative trust preferreds
|
2/11/2014 | CAIGLM | Rogers extends consent payment date in tender offers, consent bids
|
2/11/2014 | CVLM | Just Energy to redeem C$90 million 6% convertibles at par on March 19
|
2/11/2014 | CVLM | Niko Resources gets conversion notices for $475,000 7% notes due 2014
|
2/11/2014 | LM | Citi to wrap tenders for £181 million of 4.5% notes, no 4.25% notes
|
2/11/2014 | HYLM | Accellent begins tender offers for 8 3/8% notes, 10% subordinated notes
|
2/11/2014 | HYLM | Coleman Cable calls all $275 million 9% notes for March 13 redemption
|
2/11/2014 | HYLM | Del Monte plans to redeem $400 million 7 5/8% notes on March 13
|
2/11/2014 | HYLM | PQ Holdings to repay some 83/4% second-lien notes with IPO proceeds
|
2/11/2014 | HYLM | SPX fully redeems 7 5/8% senior notes due 2014 at 105.898
|
2/11/2014 | HYLM | Sabra Health Care redeems remaining 8 1/8% senior notes due 2018
|
2/11/2014 | HYLM | Verso extends exchange offers for buyout after participation concerns
|
2/11/2014 | IGLM | Oneok accepts tenders for $152 million 4.25% notes, no 6% notes
|
2/11/2014 | LMMU | Philadelphia defeases $142.92 million 2008B general obligation bonds
|
2/11/2014 | LMPF | Pioneer High Income to redeem $151 million auction-market preferreds
|
2/11/2014 | SP | Barclays solicits consents for iPath Dow Jones - UBS Coffee ETNs
|
2/10/2014 | CVLM | American Equity exchanges shares, cash for 5.25% convertibles
|
2/10/2014 | CVLM | Xilinx calls $689.64 million of 3.125% junior convertibles due 2037
|
2/10/2014 | CVLM | Xilinx calls $689.64 million of 3.125% junior convertibles due 2037
|
2/10/2014 | DDHYLM | NBT seeks approval to extend 14% bonds to 2015, pay interest in kind
|
2/10/2014 | HYLM | AMC Entertainment settles early tenders for 77.3% of 83/4% notes
|
2/10/2014 | HYLM | First Quantum holders tender 97.3% of 83/4% notes, 99.8% of 71/2% notes for exchange so far
|
2/10/2014 | HYLM | Freescale to redeem 10 1/8% notes, some 8.05% notes via stock issue
|
2/10/2014 | HYLM | Meritor to partially redeem 10 5/8% notes due 2018 via new offering
|
2/10/2014 | HYLM | NRG wraps oversubscribed tender offer for 81/2% notes, 7 5/8% notes
|
2/10/2014 | HYLM | Outokumpu obtains approval to amend 5 1/8% and 5 7/8% notes
|
2/10/2014 | HYLM | Radio One takes in consents for 63.34% of 121/2%/15% notes due 2016
|
2/10/2014 | HYLM | SunGard Data Systems holders offered 106.625% of par for 7 3/8% notes
|
2/10/2014 | HYLM | Vulcan Materials lifts tender cap for 61/2% notes; offer oversubscribed
|
2/10/2014 | HYLM | Ziggo gives early updates on tender and exchange offer for buyout
|
2/10/2014 | LMMU | Oregon Health Housing calls $70 million of Peacehealth revenue bonds
|
2/10/2014 | LMMU | Triborough Bridge and Tunnel, N.Y., calls $104.5 million 1998A bonds
|
2/7/2014 | CAIG | Calloway REIT calls all C$100 million of its 5.1% series E debentures
|
2/7/2014 | CVDDLM | American Airlines: Further preferred stock conversion set for March
|
2/7/2014 | CVHYLM | Portugal Telecom seeks consents for €400 million 61/4% notes, €750 million 4.125% exchangeables
|
2/7/2014 | CVLM | Linear plans to redeem $845.1 million of convertibles on May 1
|
2/7/2014 | CVLM | Mingfa issues clean-up call for 5.25% convertible bonds due 2016
|
2/7/2014 | CVLM | PDL to issue shares, pay cash for $131.7 million 2.875% convertibles
|
2/7/2014 | CVLM | WesternOne to redeem $3.29 million of 8.5% convertibles due 2015
|
2/7/2014 | EMLM | Russia's LSR holders put RUB 1.61 billion of three series of bonds
|
2/7/2014 | HYLM | Health Management wraps tender offer for 6 1/8%, 7 3/8% notes
|
2/7/2014 | HYLM | Portugal Telecom sets meeting for €400 million 61/4% notes due 2016
|
2/7/2014 | HYLM | SAS noteholders approve amendments to allow dividend payment
|
2/7/2014 | HYLM | Westmoreland Coal gets enough consents to amend 103/4% senior notes
|
2/7/2014 | IGLM | Aetna plans to redeem all $750 million of 6% senior notes due 2016
|
2/7/2014 | HYLM | Black Knight gets needed consents to amend 5.75% senior notes due 2023
|
2/7/2014 | LMMU | Essex County, N.J., redeems $56.38 million project consolidation bonds
|
2/7/2014 | LMMU | Irving Ranch Water, Calif., 2011A-1, A-2 bonds have mandatory tender
|
2/7/2014 | LMMU | Massachusetts HEFA T-3 (2008) Northeastern bonds have mandatory tender
|
2/7/2014 | LMMUPF | Two BlackRock municipal term trusts to redeem auction preferred shares
|
2/6/2014 | CVLM | Eguana seeks OK to nix mandatory redemption feature of convertibles
|
2/6/2014 | DDHYLM | Cecon seeks holder OK to amend notes due to delay in ship delivery
|
2/6/2014 | EMHYLM | Indonesia's Alam Sutera tallies final tenders for 103/4% notes
|
2/6/2014 | LM | AGR Petroleum seeks bondholder approval for demerger/restructuring
|
2/6/2014 | LM | Ziggo gets needed consents to amend 3 5/8% notes, meets minimum threshold under exchange offer
|
2/6/2014 | HYLM | Gannett calls $250 million of 9 3/8% senior notes due 2017 in full
|
2/6/2014 | HYLM | Oshkosh to redeem all 81/4% senior notes due 2017 via new offering
|
2/6/2014 | HYLM | SPX wraps tender offer for 7 5/8% notes due 2014, calls remainder
|
2/6/2014 | LMMU | Dallas to redeem all $85.16 million of series 2005 refunding bonds
|
2/6/2014 | LMMU | Metropolitan Transportation, N.Y., calls $146.66 million of 2003 bonds
|
2/5/2014 | LMMU | Sunshine State, Fla., calls $50 million of Orlando Program CP notes
|
2/5/2014 | LMMU | Florida Transportation calls $110.21 million of 2004A turnpike bonds
|
2/5/2014 | HYLM | Ziggo sets coupon at 7 1/8% for new notes due 2024 in exchange offer
|
2/5/2014 | HYLM | Telio gets holder approval to call bonds due 2017 at 109.5% of par
|
2/5/2014 | HYLM | StandardAero to redeem remaining 111/4% notes due 2015 following tender
|
2/5/2014 | HYLM | Fifth & Pacific offers to purchase up to $75 million of 101/2% notes
|
2/5/2014 | HYLM | AES to redeem all $110.17 million of 73/4% senior notes due 2014
|
2/5/2014 | EMLM | Philippines' SMC Global Power gets needed consents to amend 7% notes
|
2/5/2014 | CVLM | TransForce holders convert C$118.17 million 6% notes before call date
|
2/5/2014 | ABLM | Fir Tree amends offer for some residential mortgage-backed securities
|
2/4/2014 | LMPF | DHT Holdings completes mandatory exchange of series B preferreds
|
2/4/2014 | HYLM | StandardAero gets early tenders for 81.7% of 111/4% notes due 2015
|
2/4/2014 | HYLM | Harland Clarke wraps tenders for 94.62% of notes issued by Valassis
|
2/4/2014 | EMHYLM | Mexico's Satmex begins change-of-control offer for 91/2% senior notes
|
2/4/2014 | CVLM | IHI calls all ¥19.04 billion outstanding 0% convertibles due 2016
|
2/4/2014 | CVLM | China Overseas settles tenders for $487.2 million 0% exchangeables
|
2/4/2014 | CLLM | Connecticut Valley CLO to redeem six series of its notes in full
|
2/4/2014 | ABLM | Housing Securities offers to exchange £72.55 million of 8 3/8% debenture stock for new bonds
|
2/3/2014 | LMPF | UIL Holdings subsidiary begins tender offer for $3.125 par preferreds
|
2/3/2014 | LMPF | First Industrial to redeem all $75 million series F, G preferreds
|
2/3/2014 | LMMU | Houston to redeem all $131.03 million 2004B public improvement bonds
|
2/3/2014 | IGLM | Oneok to redeem all $400 million of 5.2% senior notes due 2015
|
2/3/2014 | HYLM | National Asset Management redeems €750 million of its senior notes
|
2/3/2014 | LM | Citi tenders for up to $285 million equivalent of 4.5%, 4.25% notes
|
2/3/2014 | EMLM | Singapore's BW Group tallies early tenders for 6 5/8% notes due 2017
|
2/3/2014 | CVLM | Synaptics calls 0.75% convertible senior subordinated notes due 2024
|
1/31/2014 | LMMU | Massachusetts HEFA calls $71.67 million 2003D-3 Partners revenue bonds
|
1/31/2014 | LMMU | Los Angeles County Capital's lease revenue notes have mandatory tender
|
1/31/2014 | LMMU | Grant Joint Union High, Calif., defeases $38.87 million of G.O. bonds
|
1/31/2014 | IGLM | Principal Life Insurance calls $100 million 8% notes at 102.3173
|
1/31/2014 | IGLM | Bristol-Myers to redeem $582.06 million 5.45% notes due 2018
|
1/31/2014 | CVLM | Micron may repurchase some 1.875% convertibles via new issue proceeds
|
1/31/2014 | CVLM | Clarke to redeem $12 million 6% convertibles due 2018 on March 3
|
1/31/2014 | CAIGLM | Shaw to redeem all C$600 million of 61/2% senior notes due June 2014
|
1/31/2014 | BKCVDDLM | YRC cuts debt by $300 million; senior debt refinancing expected next
|
1/30/2014 | SP | Barclays extends consent solicitation for 22 iPath commodities ETNs
|
1/30/2014 | LMMUPF | Two Nuveen municipal funds to redeem MuniFund term preferred shares
|
1/30/2014 | LMMU | North Carolina calls $335 million 2004A G.O. public improvement bonds
|
1/30/2014 | LMMU | Massachusetts Bay Transportation calls $43.25 million of 1992B bonds
|
1/30/2014 | LMMU | Illinois exercises call option on $68.94 million of its G.O. bonds
|
1/30/2014 | LMMU | Fort Mill School District No. 4, S.C., to redeem its 2004 G.O. bonds
|
1/30/2014 | IGLM | Orange plans early redemption of remaining $1.22 billion 4.375% notes
|
1/30/2014 | HYLM | tw telecom holdings to redeem all 8% notes due 2018 on March 1
|
1/30/2014 | HYLM | Telio changes proposed amendment to unsecured bonds due 2017
|
1/30/2014 | BKHYLM | Atlantic Power to repay revolver, redeem some notes with loan proceeds
|
1/30/2014 | HYLM | AMC Entertainment gets early tenders for 77.3% of 83/4% notes due 2019
|
1/30/2014 | EMIGLM | Brazil's Braskem holders tender $707.1 million notes by early deadline
|
1/30/2014 | CVLM | 361 Degrees buys back $4 million of 4.5% convertible bonds due 2017
|
1/30/2014 | CVDDLM | Orckit noteholders propose arrangement including issue of new notes
|
1/30/2014 | BKCVDDLM | YRC Worldwide lenders extend deadline for repayment of convertibles
|
1/29/2014 | LMPF | M&T Capital Trust IV calls 8.5% enhanced trust preferred securities
|
1/29/2014 | LMMU | Wentzville R-IV School District, Mo., calls $42.21 million 2005A G.O.s
|
1/29/2014 | LMMU | Philadelphia defeases its 2005A water and wastewater revenue bonds
|
1/29/2014 | LMMU | Metro Water, Calif.'s 2009 series A-2 bonds have mandatory tender
|
1/29/2014 | LMMU | Georgia Finance calls $141.67 million of series 2004B G.O. bonds
|
1/29/2014 | LM | Telecom Italia to redeem €750 million hybrid bonds on March 3
|
1/29/2014 | EMLM | Standard Chartered Korea calls all 7.267% hybrid securities due 2034
|
1/29/2014 | EMIGLM | Kansas City Southern de Mexico calls $62.8 million of 8% notes
|
1/29/2014 | EMHYLM | Brazil's Fibria calls all $690.2 million of 71/2% senior notes due 2020
|
1/29/2014 | CVLM | Community West Bancshares to redeem convertibles on March 10
|
1/29/2014 | CVLM | China Overseas gets holder approval to delist exchangeables due 2014
|
1/29/2014 | CAIGLM | Rogers begins tender offers, consent bids for 6.375% notes, 5.5% notes
|
1/28/2014 | LMMU | North Carolina calls $133.28 million of G.O. public improvement bonds
|
1/28/2014 | LMMU | Kansas City, Mo., to redeem $70.83 million of its 2004F G.O. bonds
|
1/28/2014 | LMMU | Indiana Health calls $54.15 million of Community Foundation bonds
|
1/28/2014 | IGLM | Oneok marks early tenders for 62.39% of 4.25% notes, 28.4% of 6% notes
|
1/28/2014 | HYLM | Verso warns NewPage of poor participation in offers needed for merger
|
1/28/2014 | HYLM | Cable & Wireless calls in full $500 million of 73/4% secured notes
|
1/28/2014 | LM | Banca Lombarda to redeem €155 million of its preferred securities
|
1/28/2014 | EMIGLM | Singapore's BW Group extends early tender date for 6 5/8% notes
|
1/28/2014 | CVLM | Press Metal seeks to waive early redemption of convertible loan stocks
|
1/28/2014 | CVLM | Celesio starts change-of-control offer for 2.5% convertible bonds
|
1/28/2014 | CAHYLM | First Quantum begins exchange offer, consent bid after Inmet buyout
|
1/27/2014 | HYLM | Ziggo begins tender and exchange offer for buyout by Liberty Global
|
1/27/2014 | HYLM | Radio One starts cash tender offer for any and all 121/2%/15% notes
|
1/27/2014 | HYLM | Outokumpu to seek approval to amend 5.125% and 5.875% notes
|
1/27/2014 | HYLM | NRG tender offer for 81/2%, 7 5/8% notes oversubscribed at early deadline
|
1/27/2014 | EMLM | China's Xinyuan Real Estate solicits consents to amend 131/4% notes
|
1/27/2014 | EMIGLM | VTB to buy back $291 million notes in modified Dutch auction tender
|
1/27/2014 | EMIGLM | VTB accepts tenders for $291 million of three note series; pricing set
|
1/27/2014 | DDEMHYLM | Lupatech reaches necessary quorum for its consent solicitation
|
1/27/2014 | CVLM | Special Opportunities Fund to redeem all convertible preferred stock
|
1/27/2014 | CVLM | Micron Technology repurchases some of three series of convertibles
|
1/27/2014 | CAIGLM | TransCanada to redeem all C$200 million of 5.6% series Y preferreds
|
1/24/2014 | LMMUPF | Four Nuveen municipal bond funds to refinance MuniFund term preferreds
|
1/24/2014 | LMMU | Raleigh, N.C., calls $33.41 million combined enterprise system revs
|
1/24/2014 | LMMU | Kansas Department of Transportation 2004C bonds have mandatory tender
|
1/24/2014 | LMMU | County of Wake, N.C., to redeem $30 million of series 2004 G.O. bonds
|
1/24/2014 | LMMU | Connecticut HEFA calls $214.08 million Saint Francis Hospital bonds
|
1/24/2014 | IGLMPF | Wisconsin Energy considers retiring 6.2% bonds, 6.25% hybrids
|
1/24/2014 | IGLMPF | NextEra calls $375 million series F junior subordinated debentures
|
1/24/2014 | IGLM | Mondelez to settle early tenders for $1.56 billion notes; pricing set
|
1/24/2014 | IGLM | Mondelez to settle early tenders for $1.56 billion of five note series
|
1/24/2014 | IGLM | Black & Decker calls all $300 million of 5.75% senior notes due 2016
|
1/24/2014 | HYLM | Westmoreland Coal solicits consents to amend 103/4% senior secured notes
|
1/24/2014 | HYLM | Petrolia obtains holder approval to extend 12% bond maturity to 2017
|
1/24/2014 | HYLM | Health Management to amend 6 1/8%, 7 3/8% notes; remainder called
|
1/24/2014 | HYIGLM | NV Energy buys back $5.51 million notes in change-of-control offers
|
1/24/2014 | LM | Lloyds Banking plans to redeem all €261.23 million of 6.35% bonds
|
1/24/2014 | CVLM | ViroPharma tenders for any and all 2% convertibles after acquisition
|
1/24/2014 | CALMPF | Bank of Montreal calls C$150 million of series 18 preferreds in full
|
1/24/2014 | CAHYLM | Seven Generations seeks approval to issue $300 million more 81/4% notes
|
1/24/2014 | ABLM | Leek announces successful consent bids for mortgage-backed floaters
|
1/23/2014 | LMMU | Connecticut plans to redeem all 2004 series A general obligation bonds
|
1/23/2014 | HYLM | Vulcan Materials tenders for up to $500 million of three note series
|
1/23/2014 | HYLM | Sabra collects tenders for 99.8% of 8 1/8% notes at early deadline
|
1/23/2014 | HYLM | SPX obtains needed consents to amend 7 5/8% notes due 2014
|
1/23/2014 | HYLM | Phoenix solicits consents for 7.45% bonds to avoid covenant breach
|
1/23/2014 | HYLM | Associated Asphalt to redeem $18.5 million of 81/2% notes due 2018
|
1/23/2014 | EMHYLM | China Forestry extends tender offer for 101/4% notes by one more month
|
1/23/2014 | CVLM | Pacific Basin holders may put $230 million 1.75% convertibles due 2016
|
1/22/2014 | LMMU | Yuma, Ariz., calls $103.38 million of Yuma Regional Medical bonds
|
1/22/2014 | LMMU | West Sacramento, Calif., calls $47.14 million of redevelopment bonds
|
1/22/2014 | IGLMPF | Aegon calls $550 million 6.875% junior perpetual capital securities
|
1/22/2014 | HYLM | United Rentals redeems all $200 million of 101/4% notes due 2019
|
1/22/2014 | HYLM | Telio seeks holder approval to call some bonds at 108.5; meeting set
|
1/22/2014 | HYLM | Parker Drilling gets enough consents to amend 9 1/8% notes
|
1/22/2014 | HYLM | DDM asks holders of 13% notes due 2016 to approve amendment to terms
|
1/22/2014 | HYLM | Credit Acceptance to redeem all 9 1/8% notes due 2017 on Feb. 21
|
1/22/2014 | HYLM | CDW subsidiaries to redeem $20 million portion of 12.535% notes
|
1/22/2014 | HYLM | A.M. Castle to repurchase senior secured notes via revolver expansion
|
1/22/2014 | LM | Urenco may tender for its €500 million 5 3/8% notes due May 2015
|
1/22/2014 | LM | Barclays calls all fixed/floating-rate subordinated notes due 2019
|
1/22/2014 | EMHYLM | Indonesia's Alam Sutera gets enough consents to amend 103/4% notes
|
1/22/2014 | EMHYLM | Panama's Prestige Cruises to redeem some 9 1/8% notes due 2019 via IPO proceeds
|
1/22/2014 | CVLM | Alliance One extends offer for 5.5% convertibles, lifts price to 102.5
|
1/22/2014 | ABLM | Fir Tree tenders for some residential mortgage-backed securities
|
1/21/2014 | LMPF | BRE Properties calls 6.75% series D preferreds for redemption Feb. 20
|
1/21/2014 | HYLM | StandardAero tenders for any and all $300 million 111/4% notes due 2015
|
1/21/2014 | HYLM | Party City may repurchase 8 7/8% notes, PIK notes with stock proceeds
|
1/21/2014 | HYLM | Ineos Group Holdings to redeem €682.13 million of 7 7/8% notes
|
1/21/2014 | HYLM | Harland Clarke gets tenders to amend 6 5/8% notes issued by Valassis
|
1/21/2014 | HYLM | EP Energy to redeem 8 1/8%/8 7/8% senior toggle notes via new stock
|
1/21/2014 | HYLM | ArcelorMittal to redeem $650 million subordinated perpetuals at 101
|
1/21/2014 | HYIGLM | Icahn gets tenders for $2.42 billion of 7.75% notes, 8% notes so far
|
1/21/2014 | EMLM | Singapore's Fraser and Neave extends early payment to all consenting 51/2%, 6% noteholders
|
1/21/2014 | EMLM | Olam buys back S$39.2 million 7% bonds, S$15 million 6% notes
|
1/21/2014 | EMIGLM | VTB begins modified Dutch auction tender offer for $500 million notes
|
1/21/2014 | EMHYLM | China's Evergrande gets enough consents to amend 13% notes, 91/4% notes
|
1/21/2014 | CVLM | Just Energy to redeem C$90 million of convertibles via new offering
|
1/17/2014 | LMPF | First Citizens Banc to redeem all series A fixed-rate preferreds
|
1/17/2014 | LMMU | Southglenn Metro, Colo., calls $71.01 million variable-rate bonds
|
1/17/2014 | LMMU | Orange County (Ladera Ranch), Calif., calls $125.47 million of bonds
|
1/17/2014 | LMMU | Ohio Electric calls all series 2004 Belleville Hydroelectric certificates
|
1/17/2014 | LMMU | Indiana Finance's 2008A-2 Convention bonds have mandatory tender
|
1/17/2014 | LMMU | Benedictine Health, Minn., calls all St. Mary's Duluth revenue bonds
|
1/17/2014 | HYLM | Petrolia seeks holder OK to extend 12% bonds at meeting on Jan. 24
|
1/17/2014 | HYLM | Grohe announces redemption of senior secured floaters due 2017
|
1/17/2014 | HYLM | GXS Worldwide calls all $785 million of 93/4% notes due 2015 at 102.438
|
1/17/2014 | HYLM | Apria Healthcare calls all $157.5 million of 12 3/8% senior notes
|
1/17/2014 | EMHYIGLM | HSBC begins tender offer for three series issued by Brazil's Braskem
|
1/16/2014 | LMMU | Orange County (Ladera Ranch), Calif., calls $70.75 million of bonds
|
1/16/2014 | LMMU | Ohio to redeem $120.84 million 2004B common school G.O. bonds in full
|
1/16/2014 | LMMU | New Jersey Educational calls $52.16 million Farleigh Dickinson bonds
|
1/16/2014 | LMMU | Houston ISD calls $125 million of limited tax school building bonds
|
1/16/2014 | LMMU | Dasny calls all 2003B mental health services facilities revenue bonds
|
1/16/2014 | LMMU | Cypress-Fairbanks ISD, Texas, calls $95.84 million schoolhouse bonds
|
1/16/2014 | LMMU | California Pollution's Republic Services bonds have mandatory tender
|
1/16/2014 | HYLM | Prestige Brands redeems $48.29 million of 81/4% notes at 105.715
|
1/16/2014 | HYLM | Brixmor gets total tenders for $57.65 million of notes due 2026, 2028
|
1/16/2014 | HYLM | AMC Entertainment begins tender for $600 million 83/4% notes due 2019
|
1/16/2014 | EMHYIGLM | Brazil's Braskem tenders for three note series, seeks consents for two
|
1/15/2014 | LMMU | Oklahoma Development calls $66.51 million of St. John revenue bonds
|
1/15/2014 | LMMU | Dasny calls $61.39 million of Kaleida Health hospital revenue bonds
|
1/15/2014 | LMMU | Clear Creek ISD, Texas, calls $81.12 million of unlimited tax bonds
|
1/15/2014 | IGLMPF | Maiden Holdings repurchases $152.5 million trust preferreds in full
|
1/15/2014 | IGLM | Hospitality Properties to redeem $300 million 7.875% notes on Feb. 15
|
1/15/2014 | HYLM | Prestige changes amount of 81/4% notes to be redeemed, redemption price
|
1/15/2014 | HYLM | LINN Energy begins change-of-control offer for Berry Petroleum notes
|
1/15/2014 | HYLM | Iron Mountain to redeem £150 million of 71/4% notes due 2014 on Jan. 27
|
1/15/2014 | IGLM | RBS wraps tenders for six Australian, U.S. dollar, euro note series
|
1/15/2014 | DDLM | Opera Finance (CMH) lacks funds to make Jan. 15 notes interest payment
|
1/15/2014 | CVLM | Sirius XM Canada to redeem 8% convertible debentures at par on Feb. 18
|
1/15/2014 | CVDDLM | American Airlines holders opt to convert 36.31 million preferreds; conversion period cut short
|
1/15/2014 | CAIGLM | AltaGas to redeem all C$200 million of 7.42% notes due 2014
|
1/14/2014 | LMPF | First Capital Bancorp redeems its remaining 5% series A preferreds
|
1/14/2014 | IGLM | Oneok tenders for $150 million 4.25% notes due 2022, 6% notes due 2035
|
1/14/2014 | HYLM | North Atlantic Trading settles tender offers for 111/2%, 19% notes; remaining notes called
|
1/14/2014 | HYLM | Ardagh Packaging to redeem all 5%, 4 7/8% and 7% notes on Jan. 17
|
1/14/2014 | EMIGLM | Singapore's BW Group tenders for any and all 6 5/8% notes due 2017
|
1/13/2014 | SP | UBS calls two series of ETracs linked to oil, natural gas indexes
|
1/13/2014 | HYLM | Verso begins exchange offers, consent bids for 83/4%, 11 3/8% notes
|
1/13/2014 | HYLM | Tekni-Plex buys back 0.02% of 93/4% notes in change-of-control offer
|
1/13/2014 | HYLM | Crudecorp bondholders agreed to waive change-of-control put option
|
1/13/2014 | EMLM | Singapore's Fraser and Neave to redeem 51/2%, 6%, 2.48%, 3.15% notes
|
1/13/2014 | EMHYLM | Argentina's TGS offers new 9 5/8% notes in exchange for 7 7/8% notes
|
1/13/2014 | CVLM | China Overseas gets tenders for $482.2 million exchangeables due 2014
|
1/10/2014 | LMMU | Public Energy, Ky., calls $61.56 million of 2006A gas supply bonds
|
1/10/2014 | LMMU | Dallas ISD calls $179.78 million 2004 school building bonds in full
|
1/10/2014 | IGLM | Associated Banc-Corp to redeem in full $155 million 1.875% notes
|
1/10/2014 | HYLM | Ply Gem tenders for $756 million 81/4% notes, $96 million 9 3/8% notes
|
1/10/2014 | HYLM | North Atlantic Trading again extends tender offers for 111/2%, 19% notes
|
1/10/2014 | HYLM | NRG Energy tenders for up to $400 million 81/2% notes, 7 5/8% notes
|
1/10/2014 | HYLM | Health Management begins tender offers for 6 1/8% notes, 7 3/8% notes
|
1/10/2014 | EMLM | China ITS buys back portion of 10% guaranteed bonds due 2015
|
1/10/2014 | EMIGLM | Mexico prices one-day tender offer for $1.5 billion of five series
|
1/10/2014 | CVLM | United Continental calls all $155.64 million of 4.5% convertibles
|
1/10/2014 | CVLM | Pacific Rubiales, Petrominerales issue clean-up call for remaining 3.25%, 2.625% convertibles
|
1/10/2014 | ABLM | Silk Road gets needed votes to amend mortgage-, asset-backed floaters
|
1/10/2014 | ABLM | Co-operative Bank holders vote to adopt changes to 4.75% bonds
|
1/9/2014 | IGLM | Mondelez International tenders for $1 billion of five series of notes
|
1/9/2014 | HYLM | Petrohawk Energy to redeem $799.61 million 7 7/8% notes at 101.969
|
1/9/2014 | HYLM | NBT holders vote 14% bonds not in default at Thursday meeting
|
1/9/2014 | HYLM | MTR Gaming obtains consents to amend 111/2% second-lien notes due 2019
|
1/9/2014 | HYLM | Darling International updates redemption on $250 million of 81/2% bonds
|
1/9/2014 | HYLM | CHC Helicopter calls $130 million of 91/4% senior notes due 2020
|
1/9/2014 | EMLM | Philippines tenders for maximum amount of 11 series of notes in offer
|
1/9/2014 | EMIGLM | Mexico runs one-day tender offer for five series of notes on Thursday
|
1/9/2014 | CVLM | Royal Host begins bid for two series of 6.25%, 7.5% convertibles
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1/8/2014 | LMMU | Hamilton, Ohio, to redeem $130.46 million Children's Hospital bonds
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1/8/2014 | HYLM | Sabra tenders, seeks consents for $211.3 million 8 1/8% notes due 2018
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1/8/2014 | HYLM | SPX tenders, seeks consents for $500 million of 7 5/8% notes due 2014
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1/8/2014 | HYLM | Novus Funding redeems $167 million of variable-rate bonds due 2017
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1/8/2014 | HYLM | North Atlantic Trading again extends tender offers for 111/2%, 19% notes
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1/8/2014 | HYLM | Darling International calls all $250 million of its 81/2% bonds due 2018
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1/8/2014 | CVDDLM | American Airlines gives mandatory conversion notice for preferreds
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1/8/2014 | ABLM | Nelnet gets tenders for $1.35 million auction-rate asset-backed notes
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1/8/2014 | ABLM | Eurosail solicits consents for five series of mortgage-backed floaters
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1/7/2014 | IGLM | Federal Realty redeems $150 million of 5.95% notes due Aug. 15, 2014
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1/7/2014 | HYLM | Parker Drilling begins tender offer, consent bid for 9 1/8% notes
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1/7/2014 | EMHYLM | Indonesia's Alam Sutera tenders, solicits consents for 103/4% notes
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1/7/2014 | CVLM | REXLot holders convert HK$18.5 million of 6% convertibles due 2016
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1/7/2014 | CVLM | Chorus Aviation calls C$60 million convertible debentures due 2014
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1/7/2014 | CVLM | China Overseas Finance starts consent, tender offer for $500 million exchangeable bonds due 2014
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1/6/2014 | LMPF | Square 1 to redeem $12.4 million trust preferreds, series A preferreds
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1/6/2014 | LMMU | Omaha Public Power calls $211.52 million electric system revenue bonds
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1/6/2014 | LMMU | New York State Energy calls $44.8 million Long Island Lighting bonds
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1/6/2014 | LMMU | Massachusetts calls $73.82 million 2011 K-3 Partners Healthcare bonds
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1/6/2014 | LMMU | California calls all $13.57 million FGIC various purpose G.O. bonds
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1/6/2014 | LMMU | Arizona Health advance refunds its series 2004A Blood Systems bonds
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1/6/2014 | HYLM | Verso Paper units plan exchange offers for 83/4% notes, 11 3/8% notes related to NewPage merger
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1/6/2014 | HYLM | Manitowoc to redeem 91/2% notes due 2018 via credit facility proceeds
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1/6/2014 | HYLM | Harland Clarke begins tender offer for 6 5/8% notes issued by Valassis
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1/6/2014 | HYIGLM | Icahn begins tender offers for $3.5 billion of 7.75% notes, 8% notes
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1/6/2014 | IGLM | RBS tenders for six series of Australian, U.S. dollar, euro notes
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1/6/2014 | EMLM | Kazakhstan's KazMunayGas to buy back KZT 8 billion of bonds
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1/6/2014 | EMHYLM | China's Evergrande solicits consents to amend 13% notes, 91/4% notes
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1/6/2014 | CVLM | Santander Holdings USA gets tenders for 99.87% Sovereign trust Piers
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1/6/2014 | CVLM | Royal Host amends 7.5% convertibles, trust indenture of all notes
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1/6/2014 | CVLM | Clarke fails to get needed votes for 6% convertibles; meeting canceled
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1/6/2014 | CVLM | Aveo holders put back $87.4 million of 8% guaranteed convertibles; remaining $1 million called
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1/6/2014 | ABLM | Leek adjourns meetings in consent bid for mortgage-backed floaters
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1/3/2014 | LMMU | Metropolitan Water, Calif., plans mandatory tender for 2013E bonds
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1/3/2014 | IGLM | AIG to redeem $1.2 billion 4.25% notes due 2014 at par
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1/3/2014 | HYLM | Global Rig gets OK from holders of 13% bonds due 2015 for rig purchase
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1/3/2014 | DDEMHYLM | Mexico's Maxcom exchanges $2.13 million step-up notes for stock
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1/3/2014 | CVLM | United Microelectronics buys back $68 million 0% convertibles of 2016
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1/3/2014 | CVLM | TransForce calls all C$122.11 million 6% convertible debentures
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1/3/2014 | CVLM | Marfrig Alimentos to redeem second issue of convertible debentures
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1/3/2014 | CVLM | AGCO gets no tenders for 1.25% convertible notes due 2036
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1/3/2014 | CVDDLM | Subex gets approval to waive Jan. 6 interest on 5.7% convertibles
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1/2/2014 | LMPP | Zaio gets majority vote needed to pass amendment for 10% convertibles
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1/2/2014 | LMPF | Seacoast completes redemption of $50 million of series A preferreds
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1/2/2014 | LMPF | S.Y. Bancorp redeemed all $30 million 10% trust preferreds on Dec. 31
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1/2/2014 | LMPF | Mackinac redeems remaining $4 million of series A preferred stock
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1/2/2014 | LMMU | North Carolina Infrastructure calls correctional facilities COPs
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1/2/2014 | LMMU | Massachusetts agency calls $73.82 million Partners HealthCare bonds
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1/2/2014 | LMMU | Galveston, Texas, school district calls 2004 unlimited tax bonds
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1/2/2014 | LMMU | Fort Worth defeases portion of 2005 water and sewer system bonds
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1/2/2014 | LMMU | Foothill/Eastern Transportation, Calif., defeases $2.23 billion bonds
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1/2/2014 | IGLM | Nordstrom holders tender $201.48 million 7% notes in exchange offer
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1/2/2014 | HYLM | Petrohawk to redeem all 101/2% notes due 2014, 7 7/8% notes due 2015
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1/2/2014 | HYLM | Cott Beverages calls all $15 million 8 3/8% notes due 2017 at 104.118
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1/2/2014 | CVLM | Uranium One buys back C$227.46 million, or 87.49%, of convertibles
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