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Bond Calendar

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Request and receive data of placements, coupon payments, options and redemptions directly in Excel
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  • Africa
  • Asia (excl. Japan)
  • CIS
  • Eastern Europe
  • Selected: 6 from 6

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  • Afghanistan
  • Albania
  • Algeria
  • Angola
  • Selected: 155 from 155

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  • Agriculture
  • Banks
  • Chemical and petrochemical industry
  • Communication
  • Selected: 23 from 23
Instruments:


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Found: 492

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Event type Country Security type Security type Additional info
04/20/2018
Option Russia Sviaz-Bank, 04 Domestic bonds
Put/call price:
100 %
Option:
put
Amount:
*,***,***,*** RUB
Nominal:
*,*** RUB
Option Ukraine Dneprinmed Insurance Company, 1-A Domestic bonds
Put/call price:
100 %
Option:
put
Amount:
***,***,*** UAH
Nominal:
*,*** UAH
Option Russia INVESTPRO, 03 Domestic bonds
Put/call price:
100 %
Option:
put
Amount:
*,***,***,*** RUB
Nominal:
*,*** RUB
Option Ukraine Financial Solutions Center FC, 2-B Domestic bonds
Put/call price:
100 %
Option:
put
Amount:
**,***,*** UAH
Nominal:
*,*** UAH
Option Poland RONSON EUROPE, FRN 19apr2019, PLN (J) Domestic bonds
Put/call price:
100.5 %
Option:
call
Amount:
**,***,*** PLN
Nominal:
*,*** PLN
Option Russia Center-Invest Bank, BO-001P-01 Domestic bonds
Put/call price:
100 %
Option:
debt repurchase
Amount:
***,***,*** RUB
Nominal:
*,*** RUB
Option Russia Vnesheconombank, PBO-001P-K022 Domestic bonds
Put/call price:
100 %
Option:
call
Amount:
*,***,***,*** RUB
Nominal:
*,*** RUB
Placement Russia Alfa Bank, 001P-02 Domestic bonds
Amount:
**,***,*** USD
Nominal:
*,*** USD
Maturity date:
20.10.2021
Bookrunners:
*
Placement Russia Vnesheconombank, PBO-001P-K034 Domestic bonds
Amount:
**,***,***,*** RUB
Nominal:
*,*** RUB
Maturity date:
19.05.2018
Placement Russia VTB, KS-2-295 Domestic bonds
Amount:
**,***,***,*** RUB
Nominal:
*,*** RUB
Maturity date:
21.04.2018
Placement Kazakhstan Almatinskaja oblast, 0.35% 20apr2020, KZT Domestic bonds
Amount:
*,***,***,*** KZT
Nominal:
*,*** KZT
Maturity date:
20.04.2020
Placement Kazakhstan Akmolinskaja oblast, 0.35% 20apr2020, KZT Domestic bonds
Amount:
*,***,***,*** KZT
Nominal:
*,*** KZT
Maturity date:
20.04.2020
Placement Kazakhstan Aktjubinskaja oblast, 0.35% 20apr2020, KZT Domestic bonds
Amount:
*,***,***,*** KZT
Nominal:
*,*** KZT
Maturity date:
20.04.2020
Placement Zambia Zambia, 14% 23apr2033, ZMW International bonds
Minimum Settlement Amount:
**,*** ZMW
Maturity date:
23.04.2033
Bookrunners:
*
Placement Hong Kong Landsea Green Properties, 9.625% 25apr2020, USD International bonds
Amount:
***,***,*** USD
Minimum Settlement Amount:
***,*** USD
Maturity date:
25.04.2020
Bookrunners:
*
Placement United Arab Emirates HSBC Bank Middle East, 3.53% 30apr2023, USD International bonds
Amount:
**,***,*** USD
Minimum Settlement Amount:
***,*** USD
Maturity date:
30.04.2023
Bookrunners:
*
Redemption Ukraine Fininpro, 7.40% 20apr2018, USD International bonds
Repayment of principal:
200,000 USD
Amount:
***,***,*** USD
Minimum Settlement Amount:
***,*** USD
Estimated payment:
***,***,*** USD
Redemption Russia Russian Helicopters, 01 Domestic bonds
Repayment of principal:
1,000 RUB
Amount:
*,***,***,*** RUB
Nominal:
*,*** RUB
Estimated payment:
*,***,***,*** RUB
Redemption Russia Russian Helicopters, 02 Domestic bonds
Repayment of principal:
1,000 RUB
Amount:
**,***,***,*** RUB
Nominal:
*,*** RUB
Estimated payment:
**,***,***,*** RUB
Redemption Turkey Aktif Bank, 0% 20apr2018, TRY (1551D) Domestic bonds
Repayment of principal:
1,000 TRY
Amount:
*,***,*** TRY
Nominal:
*,*** TRY
Estimated payment:
*,***,*** TRY
Redemption Poland Echo Investment, FRN 20apr2018, PLN (D) Domestic bonds
Repayment of principal:
100 PLN
Amount:
**,***,*** PLN
Nominal:
*** PLN
Estimated payment:
**,***,*** PLN
Redemption Lithuania Modus Energija, 6% 20apr2018, EUR Domestic bonds
Repayment of principal:
1,000 EUR
Amount:
*,***,*** EUR
Nominal:
*,*** EUR
Estimated payment:
*,***,*** EUR
Redemption Lithuania Modus Energija, 6% 20apr2018, USD Domestic bonds
Repayment of principal:
1,000 USD
Amount:
***,*** USD
Nominal:
*,*** USD
Estimated payment:
***,*** USD
Redemption Hungary Hungary, GB FRN 20apr2018 Domestic bonds
Repayment of principal:
1 HUF
Amount:
***,***,***,*** HUF
Nominal:
* HUF
Estimated payment:
***,***,***,*** HUF
Redemption Lithuania Lithuania, 0.6 20apr2018 (830374) Domestic bonds
Repayment of principal:
100 EUR
Amount:
**,***,*** EUR
Nominal:
*** EUR
Estimated payment:
**,***,*** EUR
Redemption South Africa Eskom Holdings, 9.25% 20apr2018, ZAR Domestic bonds
Repayment of principal:
1,000,000 ZAR
Amount:
*,***,***,*** ZAR
Nominal:
*,***,*** ZAR
Estimated payment:
*,***,***,*** ZAR
Redemption Angola Angola, OT-TXC 7 20apr2018 Domestic bonds
Repayment of principal:
100,000 AOA
Amount:
*,***,***,*** AOA
Nominal:
***,*** AOA
Estimated payment:
*,***,***,*** AOA
Redemption Turkey KT Kira Sertifikalari Varlik Kiralama, 13.56% 20apr2018, TRY Domestic bonds
Repayment of principal:
1 TRY
Amount:
**,***,*** TRY
Nominal:
* TRY
Estimated payment:
**,***,*** TRY
Redemption India Aditya Birla Finance, 9.5% 20apr2018, INR Domestic bonds
Repayment of principal:
1,000,000 INR
Amount:
***,***,*** INR
Nominal:
*,***,*** INR
Estimated payment:
***,***,*** INR
Redemption India Indiabulls Housing Finance, 9.9% 20apr2018, INR Domestic bonds
Repayment of principal:
1,000,000 INR
Amount:
***,***,*** INR
Nominal:
*,***,*** INR
Estimated payment:
***,***,*** INR
Bond Calendar is structured information on archive and coming bond and international bond issue events from Cbonds database. The section provides searching by main issue parameters: region, country, sector and industry. Bond Calendar displays data on the following types of events: bond and international bond coupon payment, par redemption (including amortization), put/call options, placements (reopenings). Additionally, there’s data on coupon rate and size, issue amount and estimated payment. The data can be saved as an Excel document.
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150 000
issues: local and international bonds
170
countries
+7 812 336 97 21
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150 000
issues: local and international bonds
170
countries
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+7 812 336 97 21
pro@cbonds.info
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