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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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Date
Found: 491
Summary data
Quantity
Option 16
Placement 5
Redemption 9
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Event type Country Security Issue market Additional info
06/18/2018
Option Brazil Petrobras, 5.375% 27jan2021, USD International bonds
Put/call price 100.875 %
Option debt repurchase
Amount *,***,***,*** USD
Minimum Settlement Amount *,*** USD
Option Russia Sviaz-Bank, 03 Domestic bonds
Put/call price 100 %
Option put
Amount *,***,***,*** RUB
Nominal *,*** RUB
Option Brazil Petrobras, 4.250% 2oct2023, EUR International bonds
Put/call price 105.25 %
Option debt repurchase
Amount ***,***,*** EUR
Repurchased amount at par ***,***,*** EUR
Minimum Settlement Amount ***,*** EUR
Option Brazil Petrobras, 4.375% 20may2023, USD International bonds
Put/call price 94.65 %
Option debt repurchase
Amount *,***,***,*** USD
Minimum Settlement Amount *,*** USD
Option Ukraine Agro-Elita, 1-A Domestic bonds
Put/call price 100 %
Option put
Amount ***,***,*** UAH
Nominal *,*** UAH
Option Ukraine SChOP Berezovolutskoe, 1-A Domestic bonds
Put/call price 100 %
Option put
Amount ***,***,*** UAH
Nominal *,*** UAH
Option Ukraine SH OOO Progress-Plyus, 1-A Domestic bonds
Put/call price 100 %
Option put
Amount ***,***,*** UAH
Nominal *,*** UAH
Option Poland RONSON EUROPE, FRN 18jun2019, PLN (K) Domestic bonds
Put/call price 100.5 %
Option call
Amount *,***,*** PLN
Nominal *** PLN
Option Brazil Petrobras, 8.375% 23may2021, USD International bonds
Put/call price 110 %
Option debt repurchase
Amount *,***,***,*** USD
Minimum Settlement Amount *,*** USD
Option Brazil Petrobras, 6.125% 17jan2022, USD International bonds
Put/call price 102.75 %
Option debt repurchase
Amount *,***,***,*** USD
Minimum Settlement Amount *,*** USD
Option Brazil Petrobras, 5.999% 27jan2028, USD International bonds
Put/call price 93.5 %
Option debt repurchase
Amount *,***,***,*** USD
Minimum Settlement Amount *,*** USD
Option Korea Hyosung Capital, 2.62% 16nov2018, KRW Domestic bonds
Put/call price 100 %
Option call
Amount *,***,***,*** KRW
Nominal **,*** KRW
Option Korea Hyosung Capital, 2.56% 18oct2018, KRW Domestic bonds
Put/call price 100 %
Option call
Amount *,***,***,*** KRW
Nominal **,*** KRW
Option Korea Hyosung Capital, 2.452% 17aug2018, KRW Domestic bonds
Put/call price 100 %
Option call
Amount *,***,***,*** KRW
Nominal **,*** KRW
Option Ecuador Hotel Boulevard, 8% 18mar2020, USD (A) Domestic bonds
Put/call price 100 %
Option option to extend
Amount *,***,*** USD
Nominal **,*** USD
Option Poland BZ WBK Faktor, FRN 18oct2018, PLN Domestic bonds
Put/call price 100 %
Option call
Amount ***,***,*** PLN
Nominal *,*** PLN
Placement Ukraine CORP Fudcentr, 2-B Domestic bonds
Amount ***,***,*** UAH
Nominal *** UAH
Maturity date 19.06.2038
Placement Russia VTB, KS-2-332 Domestic bonds
Amount **,***,***,*** RUB
Nominal *,*** RUB
Maturity date 19.06.2018
Placement Iran Iran, TB 16aug2018 (TB28) Domestic bonds
Nominal *,***,*** IRR
Maturity date 16.08.2018
Placement Singapore DBS Group Holdings Ltd, 0.85% 25jun2028, JPY International bonds
Amount *,***,***,*** JPY
Minimum Settlement Amount ***,***,*** JPY
Maturity date 25.06.2028
Bookrunners *
Placement Singapore Nomura International Funding, FRN 6jul2028, USD International bonds
Amount ***,***,*** USD
Minimum Settlement Amount **,*** USD
Maturity date 06.07.2028
Bookrunners *
Redemption Romania Romania, 6.50% 18jun2018, EUR International bonds
Repayment of principal 50,000 EUR
Amount *,***,***,*** EUR
Minimum Settlement Amount **,*** EUR
Estimated payment *,***,***,*** EUR
Redemption Belarus Alsem, FRN 18jun2018, BYN (1) Domestic bonds
Repayment of principal 100 BYN
Amount *,***,*** BYN
Nominal *** BYN
Estimated payment *,***,*** BYN
Redemption China China Merchants Group, 7.125% 18jun2018, USD International bonds
Repayment of principal 1,000 USD
Amount ***,***,*** USD
Minimum Settlement Amount *,*** USD
Estimated payment ***,***,*** USD
Redemption Russia Cascade, 01 Domestic bonds
Repayment of principal 1,000 RUB
Amount ***,***,*** RUB
Nominal *,*** RUB
Estimated payment ***,***,*** RUB
Redemption Chile Banco del Estado de Chile, 0.837% 18jun2018, JPY International bonds
Repayment of principal 100,000,000 JPY
Amount **,***,***,*** JPY
Minimum Settlement Amount ***,***,*** JPY
Estimated payment **,***,***,*** JPY
Redemption Panama Banco General, 1.625% 18jun2018, CHF International bonds
Repayment of principal 5,000 CHF
Amount ***,***,*** CHF
Minimum Settlement Amount *,*** CHF
Estimated payment ***,***,*** CHF
Redemption Hong Kong HKMA, EFN 0.79 18jun2018 Domestic bonds
Repayment of principal 50,000 HKD
Amount *,***,***,*** HKD
Nominal **,*** HKD
Estimated payment *,***,***,*** HKD
Redemption Korea Busan Bank, 0.65% 18jun2018, JPY International bonds
Repayment of principal 100,000,000 JPY
Amount **,***,***,*** JPY
Minimum Settlement Amount ***,***,*** JPY
Estimated payment **,***,***,*** JPY
Redemption China ICBC, 3.9% 18jun2018, CNY International bonds
Repayment of principal 1,000,000 CNY
Amount *,***,***,*** CNY
Minimum Settlement Amount *,***,*** CNY
Estimated payment *,***,***,*** CNY
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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200 000
issues: local and international bonds
170
countries
+7 812 336 97 21
pro@cbonds.info
200 000
issues: local and international bonds
170
countries
Сbonds is a global Fixed income data platform
+7 812 336 97 21
pro@cbonds.info
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