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August 2014

News Nomura issues 30 Year USD Callable Zero Coupon International Bonds in Taiwan

Nomura Bank International plc (the “Issuer”) today announced that it has issued US$325 million in principal amount of 30 Year USD Callable Zero Coupon Notes due 2044 (the “Notes”). The Notes were issued out of the Issuer’s Note, Warrant and Certificate Programme and are (...)

August 2014

Opinion Don’t cry for Argentina

In accordance with the Right Upon Future Offers or RUFO clause (similar to a conventional clause requiring creditors to be treated pari passu) contained in the 2005 agreement on the restructuring of the debt of the exchange bondholders (preventing Argentina from making more (...)

July 2014

Strategy Equities vs. high yield ? The answer becomes clearer…

During the initial phase of the turnaround in high-risk American assets, equities and high yield moved very similarly. In contrast, since mid-2012, equities have been accelerating more quickly, outpacing the credit market by a decent (...)

July 2014

Strategy Next crisis will hit non-financial businesses, warns bond manager

Petercam’s Peter de Coensel has increased his exposure to financial bonds as the asset class offers safety and value from a credit perspective, the manager said.

July 2014

Strategy Preparing for higher yields: Downgrading equities and credit

According to Goldman Sachs, the likelihood of a rise in government bond yields has increased and Goldman Sachs see this as a key aspect of the near-term macro outlook...

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