January 14, 2013 | Cbonds
|Subordinated notes were issued by SB Debt Issuance Limited in the framework of a $500m LPN programme registered in 2007. The deal amounted to $30m. The deal was priced on 28 December 2012. The issue is due 28 December 2022. The 10.5% coupon is payable 2 times a year. Deutsche Bank AG (London branch) is the paying agent on the notes. |
The first 10-year tranche worth $50m was priced by SB Bank in the framework of this programme on 20 December 2007. BCP Securities arranged the transaction.
|Status||Default||Country of risk||Maturity (option)||Amount||Issue ratings (M/S&P/F)|
Company: Sudostroitelny Bank
|Full company name||Commercial bank "Sudostroitelny bank" (LTD)|
|Country of risk||Russia|
|Country of registration||Russia|