3/25/2025 | CAIG | New Issue: Royal Bank of Canada prices $3 billion of notes in four tranches
|
2/4/2025 | CACVIG | DBRS rates RBC covered bonds AAA
|
1/30/2025 | CAIG | New Issue: RBC prices $1.25 billion senior floating-rate notes due 2026
|
1/22/2025 | CAIG | New Issue: Royal Bank of Canada sells C$1.5 billion 4.279% debentures due 2035
|
1/22/2025 | CAIG | New Issue: Royal Bank of Canada prices $4.25 billion of notes in four parts
|
11/5/2024 | CAIGLM | Royal Bank of Canada calls C$1.5 billion of 2.88% debentures due 2029
|
10/17/2024 | CAIG | New Issue: Royal Bank of Canada prices $1 billion of 6.35% notes due 2084
|
10/9/2024 | CAIG | New Issue: Royal Bank of Canada prices $4.7 billion of notes in five parts
|
7/22/2024 | CAIG | New Issue: Royal Bank of Canada sells C$1.25 billion 4.829% debentures due 2034
|
7/17/2024 | CAIG | New Issue: Royal Bank of Canada sells C$600 million series BW preferreds
|
7/16/2024 | CAIG | New Issue: Royal Bank of Canada prices $3.25 billion of notes in three parts
|
6/28/2024 | CAIG | DBRS rates RBC covered bond AAA
|
6/10/2024 | CAIGLM | RBC calls series BB NVCC non-cumulative rate reset first preferreds
|
6/10/2024 | CAIGLM | RBC calls C$1.5 billion 2.74% NVCC subordinated debentures due 2029
|
4/18/2024 | CAIG | New Issue: Royal Bank of Canada issues $1 billion of 7.5% limited recourse capital notes
|
4/17/2024 | CAIG | Royal Bank of Canada to offer limited resource capital notes
|
4/16/2024 | CAIGLM | Royal Bank of Canada to redeem series AZ first preferred shares
|
4/2/2024 | CAIG | Moody’s ups, withdraws HSBC Bank Canada
|
4/1/2024 | CAIG | DBRS rates RBC notes AAA
|
4/1/2024 | CAIG | DBRS ups, withdraws HSBC Bank Canada
|
4/1/2024 | CAIG | S&P raises, withdraws HSBC Bank Canada
|
4/1/2024 | CAIG | Fitch ups, ends HSBC Bank Canada ratings
|
3/25/2024 | CAIG | New Issue: Royal Bank of Canada sells C$2 billion of 5.096% debentures due 2034
|
2/14/2024 | CALM | RBC will not convert any series BO preferreds into series BP shares
|
1/18/2024 | CAIG | New Issue: RBC prices C$750 million 7.408% five-year rate reset preferreds
|
1/17/2024 | CAIGLM | Royal Bank of Canada series BO holders have conversion rights until Feb. 9
|
1/11/2024 | CAIG | New Issue: Royal Bank of Canada prices $4 billion of notes in four parts
|
12/21/2023 | CAGNIG | DBRS rates RBC notes AAA
|
12/14/2023 | CAGNIG | DBRS assigns AAA to RBC bond
|
12/7/2023 | CAIG | New Issue: RBC prices $2 billion 4.851% covered notes due 2026 at 78 bps over mid-swaps
|
10/17/2023 | CAGNIG | DBRS assigns AAA to RBC bond
|
9/25/2023 | CAIG | New Issue: Royal Bank of Canada sells $100 million one-year floaters
|
9/18/2023 | CAGNIG | DBRS rates RBC bonds AAA
|
8/24/2023 | CALMPF | Royal Bank of Canada to redeem series C-2 first preferred shares
|
7/26/2023 | CAGNIG | DBRS rates RBC bonds AAA
|
7/14/2023 | CAIG | New Issue: RBC sells $2.35 billion of fixed-, floating-rate notes in three parts
|
6/22/2023 | CAIG | New Issue: Royal Bank of Canada sells $100 million one-year floaters at SOFR plus 58 bps at par
|
4/28/2023 | CAGNIG | DBRS assigns AAA to RBC bonds
|
4/25/2023 | CAIG | New Issue: Royal Bank of Canada prices $2.5 billion of notes due 2025, 2033
|
4/6/2023 | CAIG | DBRS confirms AAA on Canadian bank covered bonds
|
4/3/2023 | CAGNIG | DBRS rates RBC bonds AAA
|
1/30/2023 | CAGNIG | DBRS rates RBC bonds AAA
|
1/26/2023 | CAIG | New Issue: Royal Bank of Canada sells C$1.5 billion of 5.01% debentures due 2033
|
1/18/2023 | CAGNIG | DBRS rates RBC bonds AAA
|
1/12/2023 | CAIG | New Issue: RBC prices $3.75 billion of fixed-, floating-rate notes in four parts
|
12/22/2022 | CAGNIG | DBRS gives RBC bonds AAA
|
12/12/2022 | CAGNIG | DBRS rates RBC notes AAA
|
12/8/2022 | CAGNIG | DBRS rates RBC bonds AAA
|
12/6/2022 | CAIG | New Issue: Royal Bank of Canada sells $1.25 billion covered notes due 2025
|
10/24/2022 | CAIG | New Issue: RBC prices $1.35 billion 6% senior notes
|
10/24/2022 | CAIG | New Issue: RBC prices $1.15 billion 5.66% senior notes
|
10/20/2022 | CAIG | New Issue: Royal Bank of Canada sells $2.5 billion senior notes due 2024, 2027
|
9/23/2022 | CAGNIG | DBRS rates RBC bond AAA
|
9/13/2022 | CAGNIG | DBRS rates RBC bonds AAA
|
7/26/2022 | CAIG | New Issue: Royal Bank of Canada sells $2.75 billion senior notes due 2024, 2027
|
7/13/2022 | AGCAGNIG | DBRS rates RBC bonds AAA
|
7/7/2022 | CAIG | New Issue: RBC sells $150 million floating-rate notes due 2023
|
6/9/2022 | CAGNIG | DBRS rates RBC bonds AAA
|
6/8/2022 | CAGNIG | DBRS assigns AAA to RBC bonds
|
6/8/2022 | CAIG | New Issue: Royal Bank of Canada sells $1.6 billion 3.4% covered bonds due 2025
|
4/7/2022 | CAGNIG | DBRS rates RBC bonds AAA
|
3/24/2022 | CAGNIG | DBRS gives RBC bonds AAA
|
3/23/2022 | CAGNIG | DBRS rates RBC bonds AAA
|
3/18/2022 | CAIG | New Issue: Royal Bank of Canada sells $1.5 billion 2.6% covered bonds due 2027
|
1/27/2022 | CAGNIG | Moody’s upgrades RBC
|
1/26/2022 | CAGNIG | DBRS rates RBC bonds AAA
|
1/18/2022 | CAIG | New Issue: RBC sells C$1 billion 2.94% subordinated debentures due 2032
|
1/18/2022 | CAIGLM | Royal Bank of Canada to redeem C$150 million first preferred shares
|
1/12/2022 | CAIG | New Issue: RBC sells $2.2 billion floaters, fixed-rate notes in four parts due 2025, 2027
|
1/12/2022 | CAIG | RBC to sell floaters, fixed-rate notes in four parts due 2025, 2027
|
10/29/2021 | CAIG | New Issue: Royal Bank of Canada sells C$750 million 4.2% non-cumulative preferreds
|
10/27/2021 | CAIG | New Issue: Royal Bank of Canada prices $1.5 billion 2.3% 10-year notes at 70 bps over Treasuries
|
10/22/2021 | CAGNIG | DBRS assigns AAA to RBC bonds
|
10/7/2021 | CAGNIG | Moody's eyes RBC for upgrade
|
10/6/2021 | CAIG | New Issue: Royal Bank of Canada sells C$1.75 billion of 2.14% debentures due 2031
|
10/5/2021 | CAGNIG | DBRS assigns AAA to RBC bonds
|
10/4/2021 | CAIG | New Issue: Royal Bank of Canada sells $2.75 billion of floating-, fixed-rate notes due 2024, 2026
|
9/22/2021 | CAEULM | RBC moves covered bonds to Sonia base rate from Libor
|
9/14/2021 | CAGNIG | DBRS assigns AAA to RBC bonds
|
9/7/2021 | CAIG | RBC markets five-year notes at mid-swaps plus 20 bps area
|
8/26/2021 | CAIGLM | RBC calls all C$1 billion 3.45% subordinated debentures due 2026
|
7/27/2021 | CAIG | New Issue: Royal Bank of Canada prices $1.5 billion senior notes in two parts
|
7/15/2021 | CAGNIG | Fitch trims Royal Bank of Canada
|
7/15/2021 | CAGNIG | DBRS rates RBC bond AAA
|
7/13/2021 | CAGNIG | DBRS rates RBC bond AAA
|
7/7/2021 | CAGNIG | New Issue: Royal Bank of Canada sells $750 million 1.15% five-year green notes at 38 bps spread
|
6/1/2021 | CAIG | New Issue: Royal Bank of Canada prices C$1 billion of 3.65% notes due 2081
|
4/22/2021 | CAIG | Royal Bank of Canada plans dual tranches of five-year notes
|
4/15/2021 | CAIGLM | RBC calls all series BK, BM five-year rate reset first preferreds
|
1/27/2021 | CAIG | DBRS gives AAA RBC bonds
|
1/21/2021 | CAIG | New Issue: RBC prices C$1 billion 1.67% subordinated debentures due 2033
|
1/14/2021 | CAIG | New Issue: Royal Bank of Canada sells $3.25 billion four-part offering of notes
|
12/4/2020 | CAIGLM | RBC to redeem C$1.5 billion outstanding 3.31% debentures due 2026
|
10/22/2020 | CAIG | New Issue: Royal Bank of Canada prices C$1.25 billion of 4% notes due 2081
|
10/22/2020 | CAIG | New Issue: Royal Bank of Canada details $2.25 billion fixed-, floating-rate three-year notes
|
10/21/2020 | CAIG | New Issue: Royal Bank of Canada prices $2.25 billion two-part offering of three-year notes
|
8/26/2020 | CAIGLMPF | Royal Bank of Canada to redeem six series of first preferred shares
|
8/17/2020 | CAGNIG | Fitch gives RBC New York AA
|
7/21/2020 | CAIG | New Issue: Royal Bank of Canada prices C$1.75 billion of 4.5% notes due 2080
|
7/15/2020 | CAIG | RBC markets Canadian dollar-denominated NVCC limited recourse notes, preferred shares
|
7/15/2020 | CAIG | RBC markets Canadian dollar NVCC limited recourse notes, preferred shares
|
7/15/2020 | CAIG | DBRS assigns RBC tier 1 notes A(low)
|
7/15/2020 | CAIG | S&P gives RBC tier 1 notes BBB
|
7/15/2020 | CAIG | Moody’s rates RBC tier 1 notes Baa3
|
6/23/2020 | CAIG | New Issue: RBC prices C$1.25 billion 2.088% 10-year fixed-to-floating debentures
|
6/3/2020 | CAIG | New Issue: Royal Bank of Canada prices $1.5 billion of 1.15% five-year notes at 85 bps spread
|
6/3/2020 | CAIG | Royal Bank of Canada markets dollar five-year senior notes at Treasuries plus 105 bps area
|
6/1/2020 | CAIG | DBRS gives RBC bonds AAA
|
5/14/2020 | CAIGLM | Royal Bank of Canada won’t convert any series BD first preferreds
|
4/24/2020 | CAIGLM | RBC plans to redeem C$1 billion 2.48% debentures on June 4 at par
|
4/15/2020 | CAIG | New Issue: Royal Bank of Canada sells $1.25 billion 1.6% three-year notes at 138 bps spread
|
4/9/2020 | CAIGLM | RBC won’t redeem series BD preferreds; holders may convert shares
|
4/7/2020 | CAIG | DBRS assigns RBC bonds AAA
|
3/25/2020 | CAIG | DBRS rates RBC bonds AAA
|
2/4/2020 | CAIG | New Issue: Royal Bank of Canada sells $300 million 2.5-year floaters at SOFR plus 40 bps
|
1/17/2020 | CAIG | Fitch affirms RBC
|
1/13/2020 | CAIG | New Issue: Royal Bank of Canada sells $1.85 billion notes due 2023 in two parts
|
1/13/2020 | CAIG | Royal Bank of Canada markets dollar-denominated fixed- and floating-rate notes due 2023
|
12/16/2019 | CAIG | New Issue: Royal Bank prices C$1.5 billion of 2.88% 10-year fixed-to-floating-rate debentures
|
10/21/2019 | CAIG | New Issue: Royal Bank of Canada prices $1.5 billion 2.25% five-year bonds to yield 2.297%
|
10/18/2019 | CAIGLM | RBC calls C$2 billion 2.99% subordinated debentures due 2024 at par
|
9/17/2019 | CAIG | New Issue: Royal Bank of Canada sells $1.5 billion 1.9% three-year bonds at mid-swaps plus 31 bps
|
8/15/2019 | CAIGLM | Royal Bank of Canada won’t convert any series BB first preferreds
|
7/22/2019 | CAIG | DBRS ups RBC’s long-term ratings
|
7/22/2019 | CAIGLM | RBC won’t redeem series BB preferreds; holders have conversion option
|
7/18/2019 | CAIG | New Issue: RBC prices C$1.5 billion 2.74% 10-year fixed-to-floating debentures
|
6/10/2019 | CAIGLM | RBC calls C$1 billion 3.04% subordinated debentures due 2024 at par
|
5/14/2019 | CAIGLM | RBC won’t convert series AZ preferreds after offer doesn’t hit minimum
|
4/26/2019 | CAGN | New Issue: RBC prices €500 million five-year 0.25% green senior notes at 99.476
|
4/24/2019 | CAIG | New Issue: Royal Bank of Canada prices $1.5 billion of three-year fixed-, floating-rate notes
|
4/24/2019 | CAGN | New Issue: Royal Bank of Canada prices €500 million five-year green bonds
|
4/24/2019 | CAIGLM | RBC announces changes to dividend rates for series AZ, BA preferreds
|
1/22/2019 | CAIG | New Issue: Royal Bank of Canada prices $600 million two-year floaters at Libor plus 40 bps
|
10/25/2018 | CAIG | New Issue: Royal Bank of Canada sells upsized C$350 million 4.8% long five-year reset preferreds
|
10/25/2018 | CAIG | New Issue: Royal Bank of Canada prices C$300 million 4.8% long five-year rate reset preferreds
|
10/23/2018 | CAIGLM | RBC to redeem C$950 million of four preferreds on Nov. 24, Feb. 24
|
10/15/2018 | CAIG | New Issue: Royal Bank of Canada sells $1.7 billion 3.35% bonds due 2021 at 25 bps over mid-swaps
|
10/1/2018 | CAIG | New Issue: Royal Bank of Canada prices $1.8 billion five-year notes in two parts
|
9/24/2018 | CAGNIGPF | Moody’s acts on Canadian banks
|
7/24/2018 | CAIG | New Issue: Royal Bank of Canada sells $100 million tap of two-year notes at Libor plus 30 bps
|
7/23/2018 | CAIG | New Issue: Royal Bank of Canada sells $900 million two-year floaters at Libor plus 30 bps
|
7/17/2018 | CAIGPF | Moody’s acts on Canadian Banks
|
6/27/2018 | CAIG | S&P ups Royal Bank of Canada view to stable
|
5/16/2018 | CAIGLM | RBC unit calls $500 million series 2008-1 trust capital securities
|
4/24/2018 | CAIG | New Issue: Royal Bank of Canada prices $3 billion of notes in two tranches
|
10/18/2017 | CAIG | New Issue: Royal Bank of Canada sells $2.5 billion three-year notes in two parts
|
8/28/2017 | CAIG | New Issue: Royal Bank of Canada prices $500 million two-year floaters at Libor plus 24 bps
|
8/23/2017 | CAIGLMPF | RBC calls series AB first preferreds, series C-1 perpetual preferreds
|
8/1/2017 | CAIGPF | DBRS: Royal Bank of Canada trend to stable
|
5/11/2017 | CAIGPF | Moody’s drops six Canadian banks
|
4/28/2017 | CALM | RBC calls all ¥10 billion of 2.86% subordinated debentures due 2037
|
2/28/2017 | CAIG | New Issue: Royal Bank of Canada prices $2.1 billion three-year fixed- and floating-rate notes
|
1/25/2017 | CAIG | New Issue: Royal Bank of Canada prices $1.75 billion five-year fixed- and floating-rate notes
|
1/17/2017 | CAIG | New Issue: RBC sells $100 million more two-year floaters at Libor plus 45 bps
|
1/13/2017 | CAIG | New Issue: Royal Bank of Canada sells $900 million two-year notes at Libor plus 45 bps in two deals
|
11/1/2016 | CAIG | New Issue: Royal Bank of Canada sells $120 million two-year floaters in two parts
|
9/20/2016 | CAIG | RBC Global Asset Management opens four Canadian income-oriented ETFs
|
7/25/2016 | CAIG | New Issue: Royal Bank of Canada prices $1.8 billion five-year fixed-, floating-rate notes
|
6/6/2016 | CAIG | S&P cuts Royal Bank of Canada view
|
6/2/2016 | CAIG | New Issue: Royal Bank of Canada prices $500 million 1.5% two-year notes with 65 bps spread
|
4/11/2016 | CAIG | New Issue: RBC sells $1.75 billion of notes in fixed-, floating-rate tranches
|
3/22/2016 | CAEM | New Issue: RBC prices HK$518 million of 1.95% three-year notes at par
|
3/14/2016 | CAIG | New Issue: RBC sells $1.75 billion 2.3% five-year bonds to yield mid-swaps plus 93 bps
|
3/3/2016 | CAEM | New Issue: RBC sells RMB 200 million of 5.08% three-year notes at par
|
2/25/2016 | CAIG | New Issue: RBC prices upsized C$750 million 5.5% five-year rate reset preferreds
|
2/23/2016 | CAIGLMPF | RBC gets tenders for $92.95 million 5.5% preferreds, $79.61 million 6.75% preferreds
|
1/25/2016 | CAIGLMPF | RBC begins tender offer for 5.5% preferreds and 6.75% preferreds
|
1/25/2016 | CAIGPF | Fitch changes Royal Bank of Canada to negative
|
1/22/2016 | CAIG | New Issue: RBC sells $1.5 billion 4.65% 10-year contingent capital notes
|
1/22/2016 | CAIG | RBC preps offering of contingent capital subordinated notes due 2026
|
1/13/2016 | CAIG | New Issue: RBC prices C$1.5 billion 3.31% 10-year subordinated debentures to yield 3.319%
|
1/11/2016 | CAIG | New Issue: RBC sells $1.25 billion of 2.5% five-year notes at 95 bps spread
|
12/30/2015 | CAIG | RBC greenshoe ups five-year rate reset preferreds to C$725 million
|
12/8/2015 | CAIG | New Issue: RBC prices upsized C$675 million 5.5% five-year rate reset preferred shares
|
12/8/2015 | CAIG | New Issue: RBC prices C$300 million 5.5% five-year rate reset preferred shares
|
12/3/2015 | CAIG | New Issue: RBC prices $1.5 billion of three-year notes in two tranches
|
11/16/2015 | CAIGLM | RBC Capital Trust calls C$1.2 billion series 2015 trust securities
|
11/3/2015 | CAIGPF | DBRS applies A (low) to RBC preferreds
|
10/23/2015 | CAIG | New Issue: Royal Bank of Canada prices $1.5 billion 2.35% five-year notes at 95 bps spread
|
10/6/2015 | CAIG | New Issue: RBC sells $1.75 billion 2.1% covered bonds due 2020 at mid-swaps plus 72 bps
|
10/6/2015 | CAIG | RBC talks benchmark covered bonds due 2020 at mid-swaps plus 75 bps area; pricing Tuesday
|
10/1/2015 | CAIGLM | Royal Bank of Canada calls C$1.5 billion of 3.18% debentures due 2020
|
9/24/2015 | CAIG | New Issue: Royal Bank of Canada prices C$150 million 5.25% preferred shares
|
9/1/2015 | CAIGPF | Fitch assigns AA to RBC notes
|
7/23/2015 | CAIG | New Issue: RBC prices $1.75 billion of senior notes due 2018 in fixed-, floating-rate tranches
|
7/21/2015 | CAIG | New Issue: RBC prices $500 million three-year floaters at Libor plus 30 bps
|
5/28/2015 | CAIG | New Issue: Royal Bank of Canada sells C$150 million 4.9% preferred shares
|
4/24/2015 | CAIG | New Issue: Royal Bank of Canada prices $500 million 1% two-year notes at 99.97
|
4/20/2015 | CAIGLM | Royal Bank of Canada calls all C$1.5 billion 4.35% debentures due 2020
|
3/5/2015 | CAIG | New Issue: Royal Bank of Canada prices C$300 million of 3.6% five-year rate reset preferreds
|
2/27/2015 | CAIG | New Issue: RBC prices $1.4 billion of five-year fixed-, floating-rate notes
|
2/27/2015 | CAIG | RBC talks benchmark five-year fixed-, floating-rate notes for Friday pricing
|
2/4/2015 | CAIG | New Issue: RBC sells upsized $1.75 billion two-year floaters at Libor plus 26 bps
|
1/29/2015 | CAIG | New Issue: RBC prices $2 billion 1.875% five-year covered bonds at 44 bps over mid-swaps
|
1/26/2015 | AGCAIG | New Issue: Royal Bank of Canada sells upsized C$600 million of 3.6% preferred shares due 2020
|
12/4/2014 | CAIG | New Issue: Royal Bank sells C$1.5 billion of 2.35% five-year deposit notes at 91.8 bps spread
|
10/22/2014 | CALMPF | RBC to redeem $325 million five-year rate-reset first preferreds
|
10/9/2014 | CAIG | New Issue: RBC prices $1.3 billion of senior notes due 2017 in fixed-, floating-rate tranches
|
9/23/2014 | CAIG | DBRS rates RBC bonds AAA
|
9/23/2014 | CAIG | New Issue: RBC prices C$1 billion of 3.45% 12-year subordinated notes
|
7/18/2014 | CAIGLM | RBC to redeem C$675 million of five-year rate-reset first preferreds
|
7/11/2014 | CAIG | New Issue: RBC sells C$1 billion of 3.04% 10-year subordinated debentures at 145 bps spread
|
7/11/2014 | CAIG | Moody’s gives RBC debt Baa1
|
7/11/2014 | CAIG | S&P rates RBC debt A-
|
7/11/2014 | CAIG | RBC talks C$750 million 10-year subordinated notes at 150 bps spread; pricing Friday
|
5/28/2014 | CAIG | New Issue: Royal Bank of Canada sells C$500 million of 3.9% five-year rate reset preferreds
|
5/23/2014 | CAIG | New Issue: Royal Bank of Canada prices C$250 million of 3.9% five-year rate reset preferreds
|
5/2/2014 | CAIGLM | RBC calls all C$600 million of 5.95% subordinated debentures due 2103
|
3/13/2014 | CAIG | New Issue: Royal Bank of Canada prices $400 million 1.17% notes due 2017 at par
|
3/4/2014 | CAIG | New Issue: RBC prices $1.65 billion fixed-, floating-rate notes due 2019
|
2/14/2014 | CAIG | RBC gives conversion results for two series of preferred shares
|
1/24/2014 | CAIG | RBC gives dividend rates for several series of preferred shares
|
1/21/2014 | CAIG | New Issue: Royal Bank of Canada prices C$500 million of 4% five-year rate reset preferreds
|
9/27/2013 | CAIGLM | RBC calls all C$1 billion of 5.45% subordinated debentures due 2018
|
9/4/2013 | CAIG | New Issue: Royal Bank of Canada prices $2 billion of notes in two tranches
|
7/24/2013 | CAIG | Royal Bank of Canada pricing five-year senior notes Wednesday
|
7/24/2013 | CAIG | New Issue: Royal Bank of Canada sells $2 billion 2.2% five-year notes at Treasuries plus 83 bps
|
7/17/2013 | CAIG | New Issue: RBC details $1.75 billion sale of 1.125% three-year covered bonds
|
7/16/2013 | CAIG | New Issue: RBC sells $1.75 billion of three-year covered bonds at 35 bps over mid-swaps
|
7/10/2013 | CAIG | New Issue: RBC sells upsized C$2 billion 2.82% five-year deposit notes to yield 2.825%
|
7/3/2013 | CAIG | CIBC, RBC bring Canada's first registered covered bond programs
|
5/30/2013 | CAIGLM | RBC to redeem all C$212.5 million series AH noncumulative preferreds
|
4/30/2013 | CAIG | New Issue: Royal Bank of Canada sells $1.5 billion of two-year notes in two parts
|
3/5/2013 | CAIG | New Issue: Royal Bank of Canada sells $2 billion three-year notes in two parts
|
3/5/2013 | CAIG | Royal Bank of Canada selling three-year notes in Tuesday's session
|
2/11/2013 | CAIGLM | RBC to redeem all C$1 billion 4.84% subordinated debentures due 2018
|
1/17/2013 | CAIG | New Issue: RBC prices $100 million five-year floaters at par to yield Libor plus 48 bps
|
1/9/2013 | CAIG | New Issue: Royal Bank of Canada gives terms of $1.25 billion 1.5% five-year notes
|
1/7/2013 | CA | Market Commentary: RBC sells U.S. dollar notes; First Capital retaps 10-year debentures; Canadian deals eyed
|
1/7/2013 | CAIG | New Issue: Royal Bank of Canada sells $1.25 billion five-year notes at Treasuries plus 72 bps
|
1/7/2013 | CAIG | Royal Bank of Canada pricing five-year notes on Monday
|
12/21/2012 | CA | Market Commentary: 'Decent buying' in secondary markets ahead of holiday; RBC, Ford Credit Canada tighten
|
12/14/2012 | CAIG | S&P cuts Canadian banks
|
12/6/2012 | CAIG | Moody's rates Royal Bank of Canada bonds Aaa
|
12/5/2012 | CA | Market Commentary: Quebec sells C$500 million in add-on; Scotiabank's 2015s widen 7 bps but firmer on year
|
12/3/2012 | CA | Market Commentary: RBC sells C$2 billion debentures before Basel III deadline; Enbridge flat; Algonquin firms
|
12/3/2012 | CAIG | New Issue: RBC gives terms of $1.5 billion sale of 0.625% three-year covered bonds
|
12/3/2012 | CAIG | Moody's rates Royal Bank of Canada bonds Aaa
|
12/3/2012 | CA | New Issue: Royal Bank of Canada sells C$2 billion 2.99% 12-year debentures at 150 bps spread
|
11/30/2012 | CA | Market Commentary: Alberta, Quebec price; Trilogy Energy plans high-yield offering; Paramount, RBC better
|
11/29/2012 | CA | Market Commentary: RBC sells $1.5 billion; Paramount upsizes; Cominar REIT, Enbridge price; Inmet rises
|
11/29/2012 | CAIG | New Issue: RBC sells $1.5 billion of three-year covered bonds to yield mid-swaps plus 20 bps
|
11/29/2012 | CAIG | RBC pricing benchmark three-year covered bonds on Thursday
|
10/25/2012 | CA | Market Commentary: Alimentation Couche-Tard, Ontario, Royal Bank of Canada price billion-dollar deals
|
10/25/2012 | CAIG | New Issue: RBC sells $1 billion 0.8% three-year global notes to yield 37.5 bps over Treasuries
|
10/25/2012 | CAIG | RBC preparing to sell three-year global medium-term notes Thursday
|
10/23/2012 | CA | Market Commentary: Canadian bond issuers wait out poor market tone; banks flat, Kinross Gold notes widen
|
9/20/2012 | CA | Market Commentary: Quebec sells C$500 million 10-year add-on, Ontario, Valeant focus deal action in U.S. markets
|
9/19/2012 | CAIG | Moody's rates Royal Bank of Canada bonds Aaa
|
9/18/2012 | CA | New Issue: Royal Bank of Canada sells C$1.75 billion 2.364% five-year notes at par
|
9/18/2012 | CA | Market Commentary: Royal Bank of Canada, Greater Toronto Airports, St. Clair bring deals; Paramount flat
|
9/14/2012 | CAIG | Moody's rates Royal Bank of Canada bonds Aaa
|
9/13/2012 | CAIG | New Issue: RBC gives details of $2.5 billion sale of 1.2% five-year covered bonds
|
9/12/2012 | CA | Market Commentary: RBC taps U.S. market for $2.5 billion; JPMorgan sells C$1.25 billion of notes, paper firms
|
9/12/2012 | CAIG | New Issue: RBC prices $2.5 billion 1.2% five-year covered bonds to yield mid-swaps plus 35 bps
|
9/12/2012 | CAIG | RBC expected to price five-year covered bonds
|
9/4/2012 | CA | Market Commentary: BMO taps U.S. market; Canadian deals forecast; BMO, TransCanada tighten, Valeant flat
|
8/23/2012 | CAIGSP | New Issue: RBC prices $200 million fixed-to-floaters with 0.935% initial rate
|
7/27/2012 | CAHYIG | S&P cuts outlooks on seven Canadian banks
|
5/14/2012 | CA | Market Commentary: Aimia sells C$250 million; Canadian and U.S. dollar deals forecast; banks down; 407 widens
|
5/3/2012 | CA | Market Commentary: Scotiabank sells C$1 billion; new bank paper totals C$2 billion for week; SEK roadshow set
|
5/2/2012 | CA | New Issue: RBC sells C$1 billion of 2.98% deposit notes due 2019 at 120 bps spread
|
5/2/2012 | CA | Market Commentary: Royal Bank of Canada sells C$1 billion of notes; roadshow pipeline wakes, Aimia ahead
|
4/17/2012 | CA | Market Commentary: Quiet day on Bank of Canada forecast; banks flat, Lower Mattagami Energy trades tighter
|
4/13/2012 | CA | Market Commentary: Week sees C$3 billion-plus of new bonds; Mattagami Energy eyes deal; Russel Metals lower
|
4/11/2012 | CA | Market Commentary: Ontario, Montreal sell C$975 million of bonds; BAA plans to hold roadshow; AltaGas firms
|
4/10/2012 | CA | New Issue: Royal Bank of Canada sells C$1.5 billion 2.58% five-year notes at 107 bps spread
|
4/10/2012 | CA | Market Commentary: RBC, AltaGas, Brookfield tap Canadian markets; Enbridge brings U.S.-dollar preferred deal
|
4/3/2012 | CA | Market Commentary: Brookfield, British Columbia Authority bring corporate, provincial deals; RBC trades flat
|
3/20/2012 | CA | Market Commentary: Canadian deal calendar stays light; Enbridge sells preferreds; Husky widens; RBC firms
|
3/13/2012 | CALM | RBC calls all C$1 billion of 4.58% trust subordinated notes due 2017
|
3/7/2012 | CAIG | New Issue: RBC sells $1.25 billion 1.15% three-year notes to yield Treasuries plus 75 bps
|
3/2/2012 | CA | Market Commentary: Bank deal potential grows after earnings; Transpower New Zealand plans roadshow
|
1/30/2012 | CA | Market Commentary: Canadian primary rests; Bank of Nova Scotia weaker in secondary; TD Bank widens
|
1/30/2012 | CA | Fitch affirms Canadian banks
|
1/10/2012 | CA | Market Commentary: CIBC, Hydro One, provinces tap Canadian bond markets; primary activity forecast on rise
|
12/30/2011 | CA | Outlook 2012: Canadian bond deals notable for size, maturity, structure; Cara deal oft cited
|
12/7/2011 | CA | Market Commentary: Industrial Alliance Insurance sells C$200 million notes; Canadian primary market slows
|
12/5/2011 | CA | New Issue: Royal Bank of Canada sells C$1.5 billion 2.68% five-year notes at 134.3 bps spread
|
12/5/2011 | CA | Market Commentary: RBC sells C$1.5 billion of notes; CIBC taps U.S. market; Yellow Media bonds trade lower
|
11/10/2011 | CAIG | Fitch affirms RBC
|
10/26/2011 | CAIG | New Issue: RBC's $750 million three-year floaters yield Libor plus 70 bps
|
10/26/2011 | CA | Market Commentary: RBC, BMO sell U.S.-dollar notes; Canada high-yield market wakes; utility bond deals eyed
|
10/26/2011 | CAIG | New Issue: RBC sells $1.25 billion 1.45% three-year notes to yield Treasuries plus 105 bps
|
10/6/2011 | CA | S&P lowers RBC to stable
|
8/29/2011 | CA | Market Commentary: Canada markets calm as issuers await right tone; bank notes firmer; government bonds fall
|
8/26/2011 | CAIG | DBRS: RBC unaffected
|
8/23/2011 | CA | Market Commentary: Canadian bond markets flat amid thin trading volume; bank paper widens 10 bps to 20 bps
|
8/19/2011 | CA | Market Commentary: RBC sells U.S. note offering; bond spreads 5 bps to 7 bps wider; deposit notes outperform
|
8/19/2011 | CA | New Issue: Royal Bank of Canada sells $50 million 0.461% notes due 2013 at par
|
8/8/2011 | CA | Market Commentary: Canadian corporate bonds widen due to market conditions; government bonds reap gains
|
7/26/2011 | CA | New Issue: Royal Bank of Canada sells C$350 million 2.35% notes due 2016 at 58 bps spread
|
7/26/2011 | CA | Market Commentary: RBC, Inter Pipeline, Prince Edward Island sell bonds; Precision Drilling, Noranda improve
|
7/22/2011 | CA | Market Commentary: Noranda Operating Trust issues C$90 million ahead of weekend; Cascades, Nortel stronger
|
7/21/2011 | CA | New Issue: Royal Bank of Canada sells C$1.25 billion 3.03% five-year notes at 77.9 bps spread
|
7/21/2011 | CA | Market Commentary: Royal Bank of Canada breaks deal drought; Noranda Trust guidance out; OPTI up 12 points
|
7/15/2011 | CA | Market Commentary: Noranda on tap; Algonquin Power holds non-deal roadshow; price chatter out on Trader deal
|
7/14/2011 | CA | Market Commentary: Brookfield Office wraps roadshow; Quebec reopens 10-year notes; RBC notes flat in trading
|
7/13/2011 | CAIG | New Issue: RBC prices upsized $1.6 billion of notes in new, reopened tranches
|
7/13/2011 | CA | Market Commentary: RBC prices $1.6 billion of notes; energy bonds better bid, Paramount, Vermilion trade up
|
7/8/2011 | CA | Market Commentary: RBC sells U.S. dollar-denominated short notes; provincials move wider, RioCan REIT gains
|
7/8/2011 | CAIG | New Issue: RBC prices $400 million four-year notes at par to yield 1.92%
|
6/21/2011 | CAIG | Moody's affirms Royal Bank of Canada
|
5/3/2011 | CALM | RBC to redeem C$750 million trust capital securities on June 30 at par
|
4/25/2011 | CA | Market Commentary: Royal Bank of Canada notes widen; Viterra paper trades stronger; government bonds improve
|
4/15/2011 | CA | Market Commentary: Ontario, provincial bonds widen; Royal Bank of Canada firms; deal calendar lightens
|
4/12/2011 | CA | Market Commentary: New bond action led by Royal Bank of Canada, Taseko Mines, Ontario, Bank of Nova Scotia
|
4/12/2011 | CAIG | New Issue: Royal Bank of Canada prices $1.75 billion of notes in two tranches
|
3/25/2011 | CA | Market Commentary: Manitoba sells C$400 million; primary picks up; high-grade bonds firm; Vermilion tightens
|
3/23/2011 | CA | Market Commentary: RBC, BMW Canada, Wells Fargo Financial Canada, Quebec crowd bond market; trading active
|
3/23/2011 | CA | New Issue: Royal Bank of Canada sells C$1.1 billion 3.77% notes due 2018 at 87 bps spread
|
3/11/2011 | CALM | Royal Bank of Canada to redeem C$400 million of 6.3% debentures
|
3/8/2011 | CAIG | New Issue: RBC sells $750 million two-year floaters to yield Libor plus 15 bps
|
2/3/2011 | CA | New Issue: Royal Bank of Canada sells C$700 million 3.36% notes due 2016 at 79.3 bps spread
|
2/3/2011 | CA | Market Commentary: Royal Bank of Canada, Vermilion, Valeant fill appetites; interest keen in oil, gas bonds
|
1/12/2011 | CA | New Issue: Royal Bank of Canada sells C$772.2 million in two tranches of mortgage-backed notes
|
1/12/2011 | CA | Market Commentary: Royal Bank of Canada sells mortgage-backed notes; telecom sector firms; Newalta stronger
|
1/10/2011 | CA | Market Commentary: John Deere upsizes, prices notes; RBC sells floaters; provincial supply to be 'heavy'
|
1/10/2011 | CAIG | New Issue: RBC sells $2.25 billion six-year extendible floaters with Libor flat coupon at 99.9467
|
1/7/2011 | CA | New Issue: RBC sells upsized C$450 million three-year deposit note floaters at CDOR plus 33 bps
|
1/7/2011 | CA | Market Commentary: Ontario, RBC pick up deal pace; January sales forecasts rise; interest falls in financials
|
1/6/2011 | CA | Market Commentary: RBC upsizes to C$1.3 billion, Bank of Nova Scotia wraps U.S. deal; market awaits jobs data
|
1/6/2011 | CA | New Issue: RBC sells upsized C$1.3 billion 3.36% five-year notes at 83 bps spread
|
12/16/2010 | CAIG | New Issue: RBC issues $200 million 0.77% three-year fixed-to-floating notes
|
12/16/2010 | CA | Market Commentary: Canada Housing Trust, Royal Bank of Canada sell debt; quarterly auctions to skip 30-years
|
12/15/2010 | CA | Market Commentary: Quebecor Media, Agrium tap market; Canada Housing Trust offers C$6 billion mortgage bonds
|
12/15/2010 | CAIG | New Issue: RBC prices $650 million two-year floaters to yield Libor plus 15 bps
|
11/12/2010 | CAIG | Fitch affirms RBC
|
10/22/2010 | CA | Market Commentary: Royal Bank of Canada, Fortis Alberta bring deals; new deals tighter in secondary trading
|
10/22/2010 | CA | New Issue: Royal Bank of Canada sells C$1.5 billion 3.18% fixed-to-floating 10-year notes
|
10/14/2010 | CAIG | Royal Bank of Canada reopening 2.625% notes due 2015 to add benchmark amount
|
10/1/2010 | CA | Market Commentary: Molson Coors sells C$500 million seven-year notes; Nova Scotia Bank firms in trading
|
9/30/2010 | CA | Market Commentary: Scotiabank prices $1.25 billion notes; RBC debt weaker; Canadian government bonds fall
|
9/29/2010 | CA | Market Commentary: HSBC Bank Canada sells C$1 billion seven-year notes; Lloyds Bank prices C$350 million
|
9/29/2010 | CAIG | New Issue: Royal Bank of Canada prices $1 billion 1.25% notes due 2014 at 53 bps over Treasuries
|
9/14/2010 | CAIG | Moody's may cut RBC
|