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Market: BK = Bank loans, CV = Convertibles, DD = Distressed Debt, EM = Emerging Markets, HY = High Yield, IG = Investment Grade, LM = Liability Management, MU = Municipals, PP = PIPEs, PF = Preferreds, PV = Private Placements, SP = Structured Products
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Smith International, Inc.
6/9/2010
SP
Barclays to price 9.5% reverse convertibles linked to Smith International
4/29/2010
SP
New Issue: Barclays prices $1 million 8% reverse convertibles linked to Smith International
4/12/2010
SP
Barclays to price 8% reverse convertibles linked to Smith International
2/25/2010
SP
New Issue: Barclays prices $2 million 9% reverse convertibles linked to Smith International
2/8/2010
SP
Barclays to price 9% reverse convertibles linked to Smith International
1/29/2010
SP
New Issue: Barclays prices $2 million 9.5% reverse convertibles linked to Smith International
1/8/2010
SP
Barclays to price 9.5% reverse convertibles linked to Smith International
9/14/2009
SP
New Issue: RBC prices $1 million 12.5% reverse convertibles linked to Smith International
12/22/2006
SP
New Issue: Barclays sells $1 million 9.5% reverse convertibles linked to Smith
12/6/2006
SP
Barclays to price 9.5% reverse convertibles linked to Smith International
12/4/2006
SP
Barclays to price 9.5% reverse convertibles linked to Smith
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