12/23/2010 | LM | Natixis to redeem €750 million refundable subordinated securities
|
12/23/2010 | CVLM | Rovi intends to repurchase up to $200 million convertible notes
|
12/23/2010 | CVLM | Dendreon to exchange shares for $24.85 million of 4.75% convertibles
|
12/23/2010 | LMMU | Southern California Public Power calls all $216.6 million 1991 bonds
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12/23/2010 | HYLM | Nalco to redeem remaining $351.92 million 8 7/8% senior notes due 2013
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12/23/2010 | CVLM | Wesco redeems $2.51 million, converts $89.82 million convertibles
|
12/23/2010 | CVLM | Enercoal to redeem remaining $7.9 million of 5% convertibles at 100.9
|
12/23/2010 | LMMUPF | Nuveen Quality fund to redeem $386.88 million MuniPreferred shares
|
12/23/2010 | HYLM | Tenneco holders give needed consents to amend 8 5/8% notes due 2014
|
12/23/2010 | DDHYLM | Anglo Irish Bank gets noteholder OK to call notes at hefty discount
|
12/23/2010 | CVLM | Icahn to prosecute Lions Gate exchange challenge to final judgment
|
12/23/2010 | HYLM | Univision again tenders for 93/4%/101/2% notes, this time for $1 billion
|
12/23/2010 | DDLM | REC Plantation Place just misses getting waiver from noteholders
|
12/23/2010 | CVLM | OceanaGold noteholders put A$2 million of 5.75% convertibles due 2012
|
12/23/2010 | HYLMPF | Capitol Bancorp offers common stock in exchange for trust preferreds
|
12/23/2010 | EMLM | Malaysia's KrisAssets redeems RM 200 million bonds due December 2012
|
12/23/2010 | CVLM | Olympique Lyonnais gets tenders for 82.7% of Oceanes in exchange
|
12/23/2010 | LMMU | Atlanta calls $401.84 million 2003RF airport revenue refunding bonds
|
12/22/2010 | HYLM | ResCare amends 73/4% notes, buys back $120.05 million tendered so far
|
12/22/2010 | CVLM | MasTec extends exchange offer for 4%, 4.25% convertibles, ups fee
|
12/22/2010 | HYLM | Standard Pacific settles tenders for $350.75 million notes Wednesday
|
12/22/2010 | CVLM | Taiwan High Speed Rail calls remaining 0% convertible bonds due 2012
|
12/22/2010 | IGLM | Old Dominion Electric calls mortgage bonds issued before Sept. 1, 2001
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12/22/2010 | CVLMPP | Navios plans to buy back $131.3 million of 2% convertible preferreds
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12/22/2010 | LMPF | Majestic USA Capital again prolongs consent bid for trust preferreds
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12/22/2010 | LM | National Grid Gas repurchases £17.92 million 7.125% bonds due 2044
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12/22/2010 | LMPV | SVG Capital prepays £33.3 million senior unsecured notes at par
|
12/22/2010 | HYLM | Hexagon noteholders give green light to early redemption of floaters
|
12/22/2010 | CALM | Northampton issues call for C$3 million 10% debentures due July 2012
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12/22/2010 | LMPV | Teleflex prepays $165.8 million 2004 senior notes with cash, credit
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12/21/2010 | LM | Centrica buys back €30 million of 7.125% notes due Dec. 2013
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12/21/2010 | AGLM | FHLB Chicago buys back $89.73 million of two bond series in auction
|
12/21/2010 | LMMU | Mississippi Development Bank calls $18.6 million variable-rate bonds
|
12/21/2010 | LM | Nutreco will buy back €54.5 million cumulative preference A shares
|
12/21/2010 | AGLM | Fannie Mae calls medium-term notes totaling $59.02 million at par
|
12/21/2010 | LMMUPF | Dreyfus Strategic will redeem $12.75 million auction-rate preferreds
|
12/21/2010 | LM | Sveriges Bostadsfin buys back SEK 100 million in series 530 notes
|
12/21/2010 | CAHYLM | CW Media gets tenders for $51.62 million of 131/2% notes due 2015 in change-of-control offer
|
12/21/2010 | LMMUPF | Dreyfus municipal fund calls $7.58 million auction-rate preferreds
|
12/21/2010 | HYLM | Intelsat plans full redemption of 91/4% notes and 6 7/8% debentures
|
12/21/2010 | CVLM | Pier 1 calls its $577,000 of 6.375% convertibles, announces put date
|
12/21/2010 | LMMUPF | Nuveen muni fund plans redemption of all auction-rate preferreds
|
12/21/2010 | HYLM | Quality Distribution plans to redeem $9.97 million 113/4% PIK notes
|
12/21/2010 | DDHYLM | Anglo Irish accepts tenders for €307.18 million floaters due 2014, €459.45 million due 2016
|
12/21/2010 | IGLM | Sotheby's takes in tenders for 37.64% of 7.75% notes in Dutch auction
|
12/20/2010 | HYLM | ESCO to redeem $100 million of senior floaters due 2013 in full
|
12/20/2010 | CAHYLM | Mercer announces redemption of $20.54 million 91/4% senior notes
|
12/20/2010 | LM | M&G Equity Investment calls £40 million 7.376% debentures due 2011
|
12/20/2010 | EMHYLM | Kansas City Southern de Mexico holders tender $174.51 million of 7 5/8% notes, 121/2% notes
|
12/20/2010 | IGLM | Sierra Pacific Power sets make-whole premium for called 6.25% notes
|
12/20/2010 | HYLM | Huntsman to redeem $100 million of 7 3/8% bonds due 2015
|
12/20/2010 | CALM | Cogeco Cable sets prepayment price for 7.73% series B notes due 2011
|
12/20/2010 | HYLM | Affinion to redeem $19.52 million 10 1/8% notes due 2013 on Dec. 23
|
12/20/2010 | EMIGLM | Banco do Brasil issues call to redeem $500 million 7.95% junior notes
|
12/20/2010 | LMMU | Atlanta rescinds previous call, now calls $70.66 million airport bonds
|
12/20/2010 | HYLM | Mobile Mini to redeem its outstanding 93/4% notes due 2014 on Jan. 10
|
12/20/2010 | CALM | Equitable redeems all C$20 million 6.92% series 6 debentures
|
12/20/2010 | HYLM | Coffeyville Resources to offer to buy 9% notes, 10 7/8% notes at 103
|
12/20/2010 | EMLM | Indonesia's Indofood buys back Rp 36 billion of 2007 series IV bonds
|
12/20/2010 | LMMU | Dasny to redeem series 1998B, 2000A State University bonds in full
|
12/20/2010 | CVDDLM | C&D holders give green light to 5.25%, 5.5% convertibles exchange; 97.99% of notes tendered
|
12/20/2010 | HYLM | Nalco obtains early tenders for $113.08 million 8 7/8% notes, €114.45 million 9% notes
|
12/20/2010 | HYLM | Cotton Holdings to redeem $5 million 15% secured notes due 2013
|
12/20/2010 | EMLM | Mexico's Perforadora gets tenders for $55.95 million Tonala bonds
|
12/20/2010 | LMMU | Wayne County, Mich., authority calls $500.5 million Detroit airport revenue bonds
|
12/20/2010 | CVLM | Alumina unit buys back, cancels $128.42 million of 2% convertibles
|
12/20/2010 | HYLM | Nexstar to redeem $12.5 million 11 3/8% senior notes due 2013 at par
|
12/20/2010 | HYLM | Cricket Communications redeems $184.17 million 9 3/8% notes due 2014
|
12/20/2010 | AGLM | FHLB Chicago to buy back up to $500 million of three bond series
|
12/20/2010 | LM | Allied Irish: holders exercise put option for €17 million of notes
|
12/20/2010 | LMMUPF | Nuveen Dividend Advantage to redeem W, TH, F auction-rate preferreds
|
12/20/2010 | CVLM | Seadrill holders to convert $742.9 million 3.625%, 4.875% bonds under early conversion offer
|
12/20/2010 | HYLM | Swift extends offers for floaters due 2015, 121/2% notes due 2017
|
12/17/2010 | HYLM | Energy XXI unit gets tenders for 98% of 16% notes by early deadline
|
12/17/2010 | CVLM | Seadrill holders to convert $650 million of 3.625% notes, 4.875% notes
|
12/17/2010 | LMMU | Brazos Higher Education to redeem 11 series of student loan bonds
|
12/17/2010 | AGLM | FFCB calls $210 million consolidated systemwide bonds at par
|
12/17/2010 | IGLM | First Horizon calls $100 million First Tennessee 8.07% securities
|
12/17/2010 | HYLM | First Data issues $6 billion notes in exchange for 9 7/8%, 10.55% notes
|
12/17/2010 | DDHYLM | Network Communications extends exchange offer for 103/4% notes due 2013
|
12/17/2010 | LMMU | Minneapolis-St. Paul Metropolitan Airports calls series 2001A, C bonds
|
12/17/2010 | AGLM | Fannie Mae to redeem $4.63 billion medium-term notes at par
|
12/17/2010 | IGLM | Hubbell redeems $118.13 million 6.375% notes due May 15, 2012
|
12/17/2010 | HYLM | Novelis settles early tenders for $1.23 billion 71/4% notes, 111/2% notes
|
12/17/2010 | LM | BBVA Senior Finance holders put £125 million of its floaters due 2011
|
12/17/2010 | LMMU | North Texas Higher Education calls $120.2 million student loan bonds
|
12/17/2010 | BKHYLM | McClatchy: Amended loan terms allow early retirement of public bonds
|
12/17/2010 | IGLM | Nelnet buys back $64.3 million auction-rate notes in tender offer
|
12/17/2010 | HYLM | Remy International calls $133.04 million floating-rate PIK notes
|
12/17/2010 | LM | Bank of Ireland holders swap €1.4 billion of nine note series in offer
|
12/17/2010 | LMMU | Tennessee Local Development defeases $91.64 million revenue bonds
|
12/17/2010 | CVLM | Delong Holdings calculates remaining 0% convertibles to be redeemed
|
12/17/2010 | IGLM | Reed Elsevier Capital redeems $350 million of 6.75% notes due 2011
|
12/17/2010 | HYLM | ResCare extends consent deadline in tender for $150 million 73/4% notes
|
12/17/2010 | HYLM | CMS Energy to redeem $100 million of 6.3% senior notes at 106.0705
|
12/17/2010 | CVLM | Energy Conversion may swap $14.5 million of 3% convertibles for shares
|
12/17/2010 | IGLM | XTO investors tender $1.98 billion of nine series of debt securities
|
12/17/2010 | IGLM | Charles Schwab seeks consents to revise 6.375% senior notes due 2017
|
12/16/2010 | LMMU | Easy Bay Municipal Utility, Calif., calls $66.85 million revenue bonds
|
12/16/2010 | EMLM | Brazil's DASA records tenders for 87.13% of 83/4% notes at offer's end
|
12/16/2010 | IGLMMUPF | Nuveen Premier to redeem all series W, TH, F auction-rate preferreds
|
12/16/2010 | CVLM | Rogers Sugar to buy up to C$5 million convertibles in issuer bid
|
12/16/2010 | AGLM | FFCB calls $50 million 5.125% consolidated systemwide bonds at par
|
12/16/2010 | IGLM | Nelnet extends tender for 10 auction-rate note series by another day
|
12/16/2010 | LMMU | Indianapolis Public Improvement Bond Bank calls $350 million airport authority bonds
|
12/16/2010 | EMLM | Israel's Internet Gold places NIS 148.33 million notes in swap offer
|
12/16/2010 | IGLMPF | BlackRock plans to redeem all trust II auction-rate preferreds in January
|
12/16/2010 | CVLM | Seadrill launches conversion incentive period for 3.625%, 4.875% bonds
|
12/16/2010 | CAIGLM | Teck completes oversubscribed Dutch tender for three notes series
|
12/16/2010 | IGLM | XTO Energy sets pricing in tender offer for nine series of notes
|
12/16/2010 | LMMU | St. Anthony's Medical Center, Mo., to bid 1.25% for 2005, 2006 bonds
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12/16/2010 | LM | Glencore to redeem $300 million of 8% callable perpetual notes
|
12/16/2010 | IGLMPF | BlackRock will redeem all trust IV auction-rate preferreds in January
|
12/16/2010 | CVLM | Taiwan High Speed Rail to call $300 million 0% convertibles due 2012
|
12/16/2010 | CVLM | Actuant says less than $100,000 of 2% convertibles due 2023 put back
|
12/16/2010 | IGLMMUPF | Nuveen California to redeem all series M and W auction-rate preferreds
|
12/16/2010 | LMPF | NB Split to redeem $7.69 million preferreds on Dec. 29 at $32.72
|
12/16/2010 | HYLM | Prospect Medical merger triggers put option on $160 million 123/4% notes
|
12/16/2010 | LMMU | Charlotte-Mecklenburg Hospital, N.C., calls $26.45 million 5% bonds
|
12/16/2010 | CVLM | Trinidad Drilling announces call of 7.75% convertibles due 2012
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12/16/2010 | CVLM | Omnicare accepts $525 million of 3.25% convertibles in tender offer
|
12/16/2010 | IGLMMUPF | Nuveen California to redeem all series T, W, F auction-rate preferreds
|
12/16/2010 | LMPV | Sonic repurchases $62.5 million variable funding senior notes
|
12/16/2010 | HYLM | Taylor Wimpey redeems two variable-rate note series at less than par
|
12/16/2010 | LMMU | Cleveland to redeem $54.74 million water revenue bonds due 2033 at par
|
12/16/2010 | DDHYLM | Network Communications extends exchange offer for 103/4% notes due 2013
|
12/16/2010 | IGLMMUPF | Nuveen New York to redeem series M, W, TH, F auction-rate preferreds
|
12/16/2010 | CVLM | Paladin Energy to redeem remaining $20.4 million of 4.5% convertibles
|
12/16/2010 | LMPV | Stanley Furniture prepays $15 million outstanding on Prudential note
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12/16/2010 | IGLM | Cigna investors tender $169.35 million of 6.35% senior notes due 2018
|
12/15/2010 | EMLM | Hong Kong's Bank of East Asia redeems balance of 5.625% notes
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12/15/2010 | LMMU | Illinois Finance calls portion of Landing at Plymouth Place bonds
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12/15/2010 | IGLM | Dr Pepper meets minimum tender condition for offer for 6.82% notes
|
12/15/2010 | CVLM | Delong Holdings calls $47.81 million of 0% convertibles due 2012
|
12/15/2010 | HYLM | Leslie's Poolmart investors tender $155.86 million 73/4% notes due 2013
|
12/15/2010 | AGLM | FFCB calls $12 million 5.2% consolidated systemwide bonds at par
|
12/15/2010 | LM | LS Property repurchases £6,000 5.376% class A6 Notes due 2029
|
12/15/2010 | LMMU | Memorial Hermann calls hospital bonds issued by Harris County, Texas
|
12/15/2010 | IGLM | Golden State gets approval to revise 8.04% preferred mortgage notes
|
12/15/2010 | CVLM | MasTec amends exchange for 4%, 4.25% convertibles, cuts threshold
|
12/15/2010 | HYLM | Marquee gets enough consents to amend notes; AMC needs more consents
|
12/15/2010 | CALM | Homeq plans redemption of C$25 million senior medium-term notes
|
12/15/2010 | LM | Old Mutual to redeem £300 million step up notes due 2016 on Jan. 21
|
12/15/2010 | LMMU | Michigan Municipal Bond calls remaining 2008A school loan bonds
|
12/15/2010 | IGLM | Hershey wraps, prices tender for $150 million of 6.95% notes due 2012
|
12/15/2010 | CVLM | O'Reilly receives no puts of CSK's 6.75% exchangeable notes due 2025
|
12/15/2010 | HYLM | Morris Publishing redeems $1.19 million floating-rate notes due 2014
|
12/15/2010 | CALM | RioCan announces call of 4.91% series F unsecured debentures due 2011
|
12/15/2010 | HYLM | CMS Energy rescinds redemption of $100 million of 6.3% senior notes
|
12/15/2010 | LMMU | Minneapolis-St. Paul Metropolitan Airports calls series 2001B bonds
|
12/15/2010 | IGLM | Tampa Electric issues $278.5 million of 5.4% notes in exchange offer
|
12/15/2010 | CVLM | Willbros holders choose not to put back 6.5% convertibles due 2012
|
12/15/2010 | HYLMPF | Shinsei Bank wraps tender offers for two perpetual preferred series
|
12/15/2010 | CVDDHYLM | Realogy meets minimum tender condition in exchange offers, will pay early premium to all holders
|
12/15/2010 | HYLM | Energy XXI subsidiary prices tender offer for 16% second-lien notes
|
12/15/2010 | LMMU | Pennsylvania calls $173.7 million 5%, 5.125% series 2001 G.O. bonds
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12/15/2010 | LMMU | Dasny defeases, redeems 1998 New York and Presbyterian Hospital bonds
|
12/15/2010 | DDHYLM | Trico Shipping gets consents from holders of nearly all 11 7/8% notes
|
12/15/2010 | IGLM | Coca-Cola holders tender $8.5 million more notes since early deadline
|
12/15/2010 | CVLM | Berlian Laju closes $48.8 million convertibles sale, amends bonds
|
12/15/2010 | HYLM | KAR accepts $68.33 million 10% notes, no 83/4% notes in tender offer
|
12/15/2010 | LMMUPF | Nuveen Connecticut to redeem all series TH auction-rate preferreds
|
12/14/2010 | HYLM | TransDigm gets tenders for $968 million of 73/4% notes due 2014 so far
|
12/14/2010 | LM | Sutton Bridge gets needed consents to amend 8.625%, 7.97% bonds
|
12/14/2010 | DDHYLM | Trico Shipping extends consent solicitation for 11 7/8% notes
|
12/14/2010 | IGLM | CRH gives early results in $800 million tender for four notes series
|
12/14/2010 | HYLM | Centex to redeem $195.85 million 7 7/8%, 71/2% senior notes on Dec. 15
|
12/14/2010 | EMLM | Indonesia-based BUMA's Prime Dig to redeem remaining 113/4% notes
|
12/14/2010 | AGLM | Fannie Mae plans to redeem $2.37 billion medium-term notes at par
|
12/14/2010 | IGLM | NiSource ups cap, gets tenders for $272.9 million of 10.75% notes; no 6.8% notes to be accepted
|
12/14/2010 | HYLM | El Paso gives early results in tender for seven series of notes
|
12/14/2010 | EMLM | Ras Al Khaimah calls $325 million trust certificates due 2012
|
12/14/2010 | CVLM | OK Play buys back $9.76 million of 0% convertible bonds due 2012
|
12/14/2010 | LMMU | New York Local Government Assistance redeems $265.1 million bonds
|
12/14/2010 | HYLM | Hexagon to seek OK for redemption of all floaters at Dec. 22 meeting
|
12/14/2010 | EMLM | Russia's VTB holders consent to amend RUB 30 billion 71/4% notes
|
12/14/2010 | CVLM | Russel Metals noteholders approve amendment to 7.75% convertibles
|
12/14/2010 | LMMU | Vermont Student Assistance gets tenders for $1.03 billion bonds
|
12/14/2010 | HYLM | Rain CII investors tender $219.08 million of 11 1/8% notes due 2015
|
12/14/2010 | LM | Schiphol marks €382 million of tenders in oversubscribed offer
|
12/14/2010 | CVLM | WebMD to redeem its outstanding 3.125% convertible notes on Dec. 30
|
12/14/2010 | LMMUPF | Nuveen North Carolina to redeem all series TH auction-rate preferreds
|
12/13/2010 | LMMUPF | Nuveen New York to redeem all series F auction-rate preferreds Jan. 6
|
12/13/2010 | HYLM | Intelsat to redeem all $580.72 million senior notes due 2016 at par
|
12/13/2010 | LMMU | East Bay, Calif., 2008A, B, C water system bonds have mandatory tender
|
12/13/2010 | EMLM | Indonesia-based BUMA's Prime Dig gets consents to amend 113/4% notes
|
12/13/2010 | CAHYLM | Paramount buys back $64.22 million of 81/2% notes, calls remainder
|
12/13/2010 | IGLM | CRH prices tender for up to $800 million of four series of notes
|
12/13/2010 | LMPV | GateHouse Media subsidiary investor puts its 10% cumulative preferreds
|
12/13/2010 | HYLM | Iron Mountain calls its $231 million 73/4% senior subordinated notes
|
12/13/2010 | LMMU | Kendall County Texas Health calls some Morningside Ministries bonds
|
12/13/2010 | LM | Bank of Ireland holders put remaining €25 million of floaters due 2011
|
12/13/2010 | IGLM | JPMorgan gets tenders for $831.05 million 5.875% series O securities
|
12/13/2010 | CVDDLM | C&D Technologies extends exchange offer, bankruptcy plan solicitation
|
12/13/2010 | HYLM | Janus Capital calls $120.9 million of senior notes due June 15, 2012
|
12/13/2010 | LMMU | New Jersey Educational Facilities calls $56.95 million New Jersey Institute of Technology bonds
|
12/13/2010 | HYLM | Briggs & Stratton plans to redeem $201 million 8 7/8% notes due 2011
|
12/13/2010 | IGLM | Kraft prices tender for 5.625%, 6.25% notes, ups cap to $1.5 billion
|
12/13/2010 | CVLM | Antigenics plans to buy back convertibles from majority holder Ingalls
|
12/13/2010 | HYLM | Mariner Energy calls $195 million of 113/4% senior notes at 131.75724
|
12/13/2010 | LMMU | Perry County, Miss., stops Leaf River Forest Products bond redemption
|
12/13/2010 | HYLM | Clearwater Paper prices tender offer for Cellu Tissue's 111/2% notes
|
12/13/2010 | IGLM | PVNGS Funding calls $17.06 million 8% secured lease bonds due 2015
|
12/13/2010 | CVLM | China Nickel redeems portion of outstanding 0% convertibles due 2012
|
12/13/2010 | AGLM | FFCB calls $375 million consolidated systemwide bonds at par
|
12/13/2010 | HYLM | Stater Bros. gets tenders for $479.89 million 8 1/8% notes due 2012
|
12/13/2010 | LMMU | Piedmont Municipal Power, S.C., calls $111.19 million revenue bonds
|
12/13/2010 | HYLM | Hexcel intends to redeem $150 million of $225 million 6 3/4% notes
|
12/13/2010 | IGLMPV | Harley-Davidson repurchases $297 million 15% senior notes due 2014
|
12/13/2010 | DDEMLM | Thailand's G Steel amends 101/2% notes, exchanges $84.04 million
|
12/13/2010 | AGLM | Fannie Mae to redeem $1.49 billion medium-term notes at par
|
12/13/2010 | HYLM | Terex calls its $297.6 million of 7 3/8% senior notes due 2014
|
12/10/2010 | IGLM | NiSource changes pricing terms for 10.75%, 6.8% notes tender offer
|
12/10/2010 | HYLM | Ferrellgas settles 63/4% notes tender; note proceeds to fund redemption
|
12/10/2010 | AGLM | Fannie Mae to redeem $460.09 million medium-term notes at par
|
12/10/2010 | LMMU | Delaware County, Pa., calls all $50.76 million PECO Energy 1999A bonds
|
12/10/2010 | HYLM | Omnicare plans to redeem $75 million of 6 1/8% senior notes due 2013
|
12/10/2010 | CVHYLM | Realogy extends solicitation in amended exchange offer to issue convertibles for three note series
|
12/10/2010 | LMMU | Knox County, Tenn., board's 2002D Covenant Health bonds to have tender
|
12/10/2010 | HYLMPF | NovaStar to launch exchange offers for series C, series D preferreds
|
12/10/2010 | CVLM | Coeur d'Alene to redeem all $1.86 million 1.25% convertibles due 2024
|
12/10/2010 | LMMU | New York Liberty stops redemption of World Trade Center Project bonds
|
12/10/2010 | IGLM | Capital One gets consents to kill replacement covenants on 5.35% notes
|
12/10/2010 | CVLM | LDK Solar ups payment in exchange offer for 4.75% convertibles
|
12/10/2010 | IGLM | Dr Pepper extends early deadline for 6.82% notes, nixes exchange offer
|
12/10/2010 | CVLM | Powerwave forces conversion on $60 million of its 1.875% convertibles
|
12/10/2010 | AGLM | FFCB calls $52 million 1.69% consolidated systemwide bonds at par
|
12/9/2010 | IGLM | XTO Energy tenders for nine series of notes totaling $3.83 billion
|
12/9/2010 | CVLM | JSL Stainless redeems $9 million of its foreign-currency convertibles
|
12/9/2010 | IGLM | Cigna begins cash tender offer for $300 million 6.35% notes due 2018
|
12/9/2010 | HYLM | Cognis redeems $293 million floating-rate notes due 2013 at par
|
12/9/2010 | IGLMPF | First Banks: Some 8.15% trust preferreds holders must resubmit consents due to website error
|
12/9/2010 | CVLM | ShengdaTech plans to repurchase portion of 6% convertibles due 2018
|
12/9/2010 | IGLM | Constellation Energy plans to repay $213.5 million 7% notes due 2012
|
12/9/2010 | IGLM | Mosaic to redeem $455 million 7 3/8% senior notes due 2014 on Jan. 13
|
12/9/2010 | LMMU | New Hampshire Health calls $4.14 million Riverwoods at Exeter bonds
|
12/9/2010 | DDHYLM | Bradford & Bingley gets tenders for £27.74 million 13%, 11 5/8% bonds
|
12/9/2010 | AGLM | FFCB calls $10 million 5.6% consolidated systemwide bonds at par
|
12/9/2010 | IGLM | Dr Pepper Snapple sets pricing terms in 6.82% notes exchange, tender
|
12/9/2010 | HYLM | Novelis announces early results of tender offers for 71/4%, 111/2% notes
|
12/9/2010 | LMMU | North Carolina Municipal Power calls $31.84 million 5.5% Catawba bonds
|
12/9/2010 | DDHYLM | Northern Rock investors tender £6.35 million 12 5/8% perpetual notes
|
12/9/2010 | IGLM | Eastman Chemical wraps offer to buy $500 million of four note series
|
12/9/2010 | CVHYLM | CapitalSource 123/4% holders consent to convertibles buyback using cash
|
12/9/2010 | HYLM | Smithfield Foods repurchases $522 million 7% senior notes due 2011
|
12/9/2010 | LMPP | China-Biotics redeems $25 million 4% senior convertible notes
|
12/9/2010 | EMLM | Ras Al Khaimah prices certificates to be issued in exchange offer
|
12/9/2010 | IGLM | HSBC Finance settles private exchange offer for $1.8 billion of notes
|
12/9/2010 | CVLM | Covanta gets tenders for 84.67% of its $373.75 million 1% convertibles
|
12/9/2010 | HYLM | Tenneco launches cash tender offer for 8 5/8% senior notes due 2014
|
12/9/2010 | HYLM | CMS Energy to redeem $100 million 6.3% senior notes due 2012 at par
|
12/8/2010 | IGLM | Boston Properties sets $793.1 million redemption price for 6.25% notes
|
12/8/2010 | HYLM | GameStop reports redemption of all $200 million of its senior notes
|
12/8/2010 | LMMU | University of Cincinnati defeases, to redeem some series 2001 bonds
|
12/8/2010 | DDEMHYLM | Mexico's Vitro wraps Dutch tender, further extends exchange offers
|
12/8/2010 | LMMU | Massachusetts Development calls some Newbridge on the Charles bonds
|
12/8/2010 | IGLM | Cigna investors tender $98.58 million of 8.5% senior notes due 2019
|
12/8/2010 | HYLM | Nalco tenders for $465 million 8 7/8% notes, €200 million 9% notes
|
12/8/2010 | LMPF | General American authorizes repurchase of 604,687 preferred shares
|
12/8/2010 | EMHYLM | China Properties receives tenders for $197.4 million of 9 1/8% notes
|
12/8/2010 | LMMU | New York City to redeem portion of 2006 series H-2 G.O. bonds
|
12/8/2010 | IGLM | Golden State begins consent solicitation to amend 8.04% mortgage notes
|
12/8/2010 | HYLM | Omega Healthcare ends tender for 7% notes, calls remainder at 102.333
|
12/8/2010 | EMLM | Ras Al Khaimah completes offers for two series of trust certificates
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12/8/2010 | LMMU | North Broward Hospital District, Fla., to redeem 2007 bonds on Jan. 3
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12/8/2010 | IGLM | Hershey begins cash tender for $150 million of 6.95% notes due 2012
|
12/8/2010 | HYLM | Seneca redeems $11.53 million of two note series at par on Wednesday
|
12/8/2010 | LM | Bank of Ireland starts exchange for €1.5 billion of lower tier notes
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12/8/2010 | LMMU | Purdue University stops redemption of 2007C student facilities bonds
|
12/8/2010 | AGLM | FFCB calls $10 million 4.75% consolidated systemwide bonds at par
|
12/8/2010 | IGLM | Tampa Electric accepts $278.5 million 6.875%, 6.375% notes tendered in exchange offer so far
|
12/8/2010 | HYLM | Univision accepts $460 million of 93/4%/101/2% senior notes tendered
|
12/8/2010 | LM | Land Securities holders tender £268.79 million 5.292% notes due 2015
|
12/8/2010 | LMMU | South Carolina Education Assistance calls six series of bonds in full
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12/8/2010 | AGLM | Fannie Mae to redeem $549 million medium-term notes at par
|
12/8/2010 | IGLM | Telephone & Data Systems calls $217.5 million 7.6% notes due 2041
|
12/7/2010 | IGLM | ProLogis accepts tenders for $203.36 million of 7.375% notes, $238.95 million of 6.875% notes
|
12/7/2010 | HYLM | ResCare plans tender for all $150 million 73/4% senior notes due 2013
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12/7/2010 | EMLM | Russia's Novorossiysk Port obtains needed consents for 7% notes
|
12/7/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $164 million
|
12/7/2010 | IGLM | Sotheby's announces early results of tender offer for 7.75% notes
|
12/7/2010 | HYLM | Standard Pacific gets total early tenders for $353.9 million of 91/4% notes, 61/4% notes, 7% notes
|
12/7/2010 | HYLM | Clearwater Paper extends tender offer for Cellu Tissue's 111/2% notes
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12/7/2010 | AGLM | Fannie Mae to redeem $3.53 billion medium-term notes at par
|
12/7/2010 | LMMU | Allegheny County, Pa., authority calls $3.07 million revenue bonds
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12/7/2010 | HYLM | iStar Financial calls final $312 million 10% senior notes due 2014
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12/7/2010 | HYLM | Ford Motor Credit to redeem its $750 million 7 3/8% notes due 2031
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12/7/2010 | BKHYLM | Aeroflex accepts tenders for $32.16 million 113/4% notes, settles $128.35 million term loan buyback
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12/7/2010 | LMMU | Massachusetts Health to redeem $770,000 Fairview Extended Care bonds
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12/7/2010 | HYLMPF | Colonial Properties to redeem 71/4% series B cumulative preferred units
|
12/7/2010 | HYLM | Invista subsidiary KoSa to redeem $150 million 91/4% notes due 2012
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12/7/2010 | DDHYLM | Trico extends consent solicitation for 11 7/8% senior notes due 2014
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12/7/2010 | IGLM | Cigna prices tender offer for $350 million of 8.5% notes due 2019
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12/7/2010 | HYLM | Novelis increases payout for 111/2% notes; consent deadline on horizon
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12/7/2010 | EMLM | Israel's Internet Gold may exchange series C notes for series B notes
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12/6/2010 | CVLM | China Medical buys back $105.9 million 3.5% convertibles due 2011
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12/6/2010 | LMMU | Philadelphia School District calls $355.42 million 2008 G.O. bonds
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12/6/2010 | LMMU | Arizona Health Facilities calls portions of Banner Health 2008 bonds
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12/6/2010 | HYLM | Brixton holders provide consents for Segro to assume two bond series
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12/6/2010 | CVLM | Evergreen Solar starts exchange offer for 4% and 13% convertibles
|
12/6/2010 | LMMU | Lower Colorado River Authority defeases portion of two bond series
|
12/6/2010 | HYLM | First Data ups issue cap in exchange for 9 7/8%, 10.55% PIK notes
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12/6/2010 | DDHYLM | Bradford & Bingley gets tenders for £103.67 million 6.462% preferreds
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12/6/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $225 million
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12/6/2010 | LMMU | Missouri HEFA's Children's Mercy Hospital bonds have mandatory tender
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12/6/2010 | HYLM | Hertz plans to redeem its 101/2% notes and $625 million of 8 7/8% notes
|
12/6/2010 | EMLM | Argentina begins exchange offer, consent solicitation for Brady bonds
|
12/6/2010 | AGLM | Fannie Mae to redeem $655 million medium-term notes at par
|
12/6/2010 | LMMU | North Broward Hospital District, Fla., cancels redemption of 2007 bonds, calls 2005A bonds
|
12/6/2010 | HYLM | Pactiv holders tender $698,000 5 7/8% notes in change-of-control offer
|
12/6/2010 | HYIGLM | Bio-Rad plans to redeem its $425 million 71/2%, 6 1/8% senior notes
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12/6/2010 | CALM | Laurentian Bank of Canada calls C$150 million 4.9% debentures due 2016
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12/6/2010 | LMMU | Oklahoma Municipal Power calls some 2005A power supply revenue bonds
|
12/6/2010 | HYLM | Swift subsidiary gets consents needed to amend 121/2% notes, floaters
|
12/6/2010 | HYLM | Berry Plastics says investors tendered $750.58 million of 8 7/8% notes
|
12/3/2010 | HYLM | Kabel Deutschland calls $465 million 10 5/8% senior notes due 2014
|
12/3/2010 | LMMU | South Carolina State Education calls five series of loan revenue bonds
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12/3/2010 | EMHYLM | China's Hong Long accepts tenders for remaining $30 million 121/2% notes
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12/3/2010 | LMMU | Chesapeake Bay Bridge & Tunnel, Va., calls $30 million of 2008A bonds
|
12/3/2010 | HYLM | Novelis increases payout for 71/4% notes; 111/2% notes' payout unchanged
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12/3/2010 | LMPF | Majestic USA Capital extends consent solicitation for trust preferreds
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12/3/2010 | EMLM | Czech Republic's CEZ gets tenders for €246 million of 4.625% notes
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12/3/2010 | AGLM | Fannie Mae to redeem $959.58 million medium-term notes at par
|
12/3/2010 | LMMU | Chicago calls $59.4 million 2005C O'Hare International Airport bonds
|
12/3/2010 | HYLM | Sun Healthcare calls $200 million 9 1/8% senior notes due 2015
|
12/3/2010 | HYLM | Apache to redeem Mariner Energy's 71/2% notes, 113/4% notes and 8% notes
|
12/3/2010 | CVDDLM | C&D Technologies meets 95% minimum condition in exchange offer
|
12/3/2010 | LMMU | Dasny calls New York Hospital Medical Center of Queens 1999 bonds
|
12/3/2010 | HYLM | SunGard Data calls $636.1 million of 9 1/8% senior notes due 2013
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12/3/2010 | HYLM | ESCO calls its $200 million 8 5/8% senior notes due December 2013
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12/3/2010 | CVHYLM | CapitalSource seeks 123/4% noteholder consent to buy back convertibles
|
12/3/2010 | LMMU | MEAG to redeem portions of nine series of general power revenue bonds
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12/3/2010 | IGLM | Bristol-Myers records $1.09 billion tenders in oversubscribed offer
|
12/3/2010 | HYLM | Interface gets tenders for $141.86 million 11 3/8% notes, $98.52 million 91/2% notes
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12/3/2010 | DDHYLM | Trico solicits consents to amend 11 7/8% notes to sell two vessels
|
12/3/2010 | LMMU | Port Authority of New York, New Jersey calls portion of Continental, Eastern airlines bonds
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12/3/2010 | IGLMPF | Post Properties may buy back up to $200 million notes, preferreds
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12/2/2010 | LMMU | Massachusetts Health to redeem $71.14 million Harvard bonds due 2024
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12/2/2010 | CAIGLM | Teck gives early results of $650 million tender for three note series
|
12/2/2010 | IGLM | ING Prime Rate Trust to redeem $25 million auction-rate preferreds
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12/2/2010 | HYLM | El Paso launches $800 million cash tender for seven series of notes
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12/2/2010 | LMMU | Washington to redeem $346.49 million G.O. bonds on Jan. 1 at par
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12/2/2010 | LMMU | Massachusetts Turnpike to redeem $18.37 million 1997 series A bonds
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12/2/2010 | CALM | Ontrea releases C$1.2 billion 5.7%, 5.57% debentures redemption prices
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12/2/2010 | IGLM | Independence Community to redeem $250 million 3.75% notes due 2014
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12/2/2010 | HYLM | KAR Auction ups tender cap for two notes series to $73.8 million
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12/2/2010 | CVLM | Alumina unit tenders for 2% convertibles that may be put back in 2011
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12/2/2010 | LMMU | New York City Industrial Development calls $460,000 Queens Baseball Stadium series 2006 bonds
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12/2/2010 | IGLM | PSEG Energy to redeem $127.02 million 8.5% notes due 2011 on Dec. 3
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12/2/2010 | HYLM | Polypore calls its $91.32 million 83/4% senior notes due May 15, 2012
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12/2/2010 | CVLM | Trinidad Drilling plans to redeem its C$354 million 7.75% convertibles
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12/2/2010 | LMMU | New York State Urban Development calls $668.81 million revenue bonds
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12/2/2010 | LMMU | Delaware Health to redeem $1.3 million series 2005 bonds due 2035
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12/2/2010 | HYLM | Smithfield repurchases $318.4 million of 7% notes in tender offer
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12/2/2010 | EMLM | Brazil's DASA holders deliver consents needed to amend its 83/4% notes
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12/2/2010 | LMMU | Tacoma, Wash., to redeem $125.27 million revenue, refunding bonds
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12/2/2010 | LMMU | Louisiana Public Facilities calls $15,000 Baton Rouge Medical bonds
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12/2/2010 | HYLM | TRW Automotive buys back €2 million of 6 3/8% notes due 2014
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12/2/2010 | EMLM | House of Investments to redeem PHP 13.58 million preferred shares
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12/2/2010 | LMMU | Tulsa Airports, Okla, defeases, redeems $18.2 million airport bonds
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12/1/2010 | IGLM | Cigna begins tender offer for $350 million of 8.5% notes due 2019
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12/1/2010 | HYLM | AMC, Marquee begin tender offers for 11% notes, 12% discount notes
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12/1/2010 | LMMU | New Jersey Turnpike Authority calls $22.9 million of revenue bonds
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12/1/2010 | CVLM | Daylight Energy redeems, converts C$53.2 million 8.5% convertibles
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12/1/2010 | IGLMMU | Northrop Grumman accepts tenders for $178.4 million Gulf Opportunity Zone bonds due 2028
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12/1/2010 | IGLM | Coca-Cola holders tender $1.04 billion of 4.875%, 5.35% notes so far
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12/1/2010 | HYLM | Interline Brands wraps tender offer for 8 1/8% senior notes due 2014
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12/1/2010 | LMMU | Port of Seattle redeems $159.11 million 1998A, 1998B revenue bonds
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12/1/2010 | CVLM | GLG holders skip change-of-control put option in favor of conversion
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12/1/2010 | IGLMPF | CNA Financial redeems $500 million 2008 preferreds held by Loews
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12/1/2010 | IGLM | Dr Pepper Snapple begins exchange and tender offers for 6.82% notes
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12/1/2010 | HYLM | Sealed Air redeems $150 million 12% senior notes due February 2014
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12/1/2010 | LMMU | Salt River Project Agricultural, Ariz., to redeem $59.86 million bonds
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12/1/2010 | EMHYLM | Kansas City Southern de Mexico extends tender for 7 5/8%, 121/2% notes
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12/1/2010 | LMMU | Alliance, Ohio, calls some Alliance Obligated Group hospital bonds
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12/1/2010 | CALM | 5Banc Split calls 1.5 million preferred shares
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12/1/2010 | IGLM | NiSource offers to buy back up to $250 million of 10.75%, 6.8% notes
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12/1/2010 | IGLM | AT&T to redeem $3 billion 7.875% notes due March 2011 on Dec. 31
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12/1/2010 | LMMU | Triborough Bridge & Tunnel calls portions of general revenue bonds
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12/1/2010 | EMLM | Ras Al Khaimah gets tenders for 75% of certificates due 2012 so far
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12/1/2010 | LMMU | Chicago to redeem its $133.83 million series 2001A G.O. bonds
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12/1/2010 | CALM | Big 8 Split to redeem some class B, class C preferred shares
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12/1/2010 | IGLM | Rochester Gas to redeem $100 million 6.95% first mortgage bonds
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12/1/2010 | IGLM | CRH launches tender for up to $800 million of four series of notes
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12/1/2010 | LMMU | Washington calls all $122.92 million 1999 convention center COPs
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12/1/2010 | LM | Centrica accepts £150.61 million, €353.44 million of tendered notes
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12/1/2010 | LMMU | Florida calls $11 million Jacksonville Transportation Authority bonds
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12/1/2010 | CVHYLM | Realogy offers notes or convertibles in exchange for three note series
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12/1/2010 | IGLM | Tampa Electric extends exchange offer, increases coupon for new notes
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11/30/2010 | LMMU | Montana Board of Investments to redeem $3.4 million recovery bonds
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11/30/2010 | AGLM | Fannie Mae to redeem $1.285 billion medium-term notes at par
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11/30/2010 | IGLM | Eastman Chemical prices tenders for $500 million of four notes series
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11/30/2010 | HYLM | Murray Energy gets needed consents to amend 101/4% senior notes due 2015
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11/30/2010 | LMMU | NYC Transit to redeem $1.63 million certificates of participation
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11/30/2010 | CACVDDLM | Newport fund enters into refinancing, exchange of 7%, 71/2% debentures
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11/30/2010 | IGLM | HSBC Finance holders exchange $1.8 billion of notes in private offers
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11/30/2010 | HYLM | Polypore to redeem all untendered dollar notes, euro notes on Dec. 30
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11/30/2010 | LMMU | North Texas Tollway to redeem its $120 million 5.5% refunding bonds
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11/30/2010 | EMLM | South Korea's Kookmin Bank gets OK to amend 71/4% bonds due 2014
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11/30/2010 | LMMU | Chicago to redeem $133.67 million airport, sales tax and bridge bonds
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11/30/2010 | HYLM | R.E.A. Holdings subsidiary obtains consent to amend 91/2% sterling notes
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11/30/2010 | HYLM | Airplanes Group gets needed consents to amend certificates, notes
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11/30/2010 | LMMU | Dallas defeases $100.37 million series 2003 G.O. bonds due 2013-2023
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11/30/2010 | HYLM | TransDigm begins tender offer, consent solicitation for 73/4% notes
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11/30/2010 | HYLM | Church & Dwight calls all $250 million of 6% senior notes due 2012
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11/30/2010 | LMMU | Massachusetts Health to redeem $110.93 million revenue bonds Jan. 1
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11/30/2010 | IGLM | Coca-Cola sets pricing in tender offer for 4.875% notes, 5.35% notes
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11/30/2010 | HYLM | Correction: Swift tender is for $505.648 million 121/2% notes due 2017
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11/29/2010 | AGLM | Fannie Mae to redeem $626.97 million medium-term notes at par
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11/29/2010 | LM | Norwegian Property buys back NOK 60 million of its bonds at par
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11/29/2010 | EMLM | Ras Al Khaimah releases more pricing info for tender, exchange offers
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11/29/2010 | IGLM | Nelnet begins tender offer for senior, subordinate auction-rate notes
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11/29/2010 | DDHYLM | Inn of the Mountain Gods begins private exchange offer for 12% notes
|
11/29/2010 | HYLM | Pactiv extends change-of-control offer for 5 7/8% notes to Dec. 6
|
11/29/2010 | CAHYLM | Canadian Satellite Radio plans exchange offer for $69.8 million notes
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11/29/2010 | LM | Swedish Match repurchases €170.59 million of 4.625% notes due 2013
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11/29/2010 | LM | Accor holders tender €283 million of two bond series due 2013, 2014
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11/29/2010 | IGLM | Rowan redeems its $102.7 million 111/4% senior callable bonds due 2013
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11/29/2010 | EMHYLM | Indonesia's BUMA begins tender offer for 113/4% notes, solicits consents
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11/29/2010 | HYLM | Stater Bros. gets consents needed to amend 8 1/8% notes due 2012
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11/29/2010 | CALM | 407 International to redeem C$550 million 4.5%, 5% notes due 2011
|
11/29/2010 | HYLM | Boyd Gaming wraps offer for its 73/4% notes due 2012 at 58% tendered
|
11/29/2010 | LM | Allied Irish: holders exercise put option for €30 million of notes
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11/29/2010 | LMMU | Ohio Higher Education to redeem all University Hospitals 2008C bonds
|
11/29/2010 | EMLM | China's Parkson Retail to redeem $125 million 7 1/8% five-year notes
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11/29/2010 | IGLM | Capital One Financial begins consent solicitation for 5.35% notes
|
11/29/2010 | CALM | TD Bank calls its C$1 billion 4.317% debentures due 2016
|
11/29/2010 | HYLM | Energy XXI subsidiary tenders for 16% second-lien notes due 2014
|
11/29/2010 | LM | Irish Life: holders exercise put option for its €104.2 million notes
|
11/29/2010 | LMMU | Wisconsin HEFA to redeem portion of Aurora Health Care 1999A bonds
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11/29/2010 | AGLM | FFCB calls $15 million 5.15% consolidated systemwide bonds at par
|
11/29/2010 | EMLM | Coca-Cola Hellenic Bottling announces tender offer for 4 3/8% notes
|
11/29/2010 | IGLM | JPMorgan tenders for $1 billion of 5.875% series O capital securities
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11/29/2010 | CVLM | China Medical plans to buy back convertibles with new deal proceeds
|
11/29/2010 | HYLM | Mobile Mini gets needed consents to amend 93/4% senior notes due 2014
|
11/29/2010 | AGLM | Fannie Mae plans to redeem $110 million medium-term notes at par
|
11/29/2010 | LM | Land Securities holders may tender £393.36 million 5.292% notes
|
11/29/2010 | LMMU | Wisconsin HEFA to redeem portion of Aurora Medical Group 1996 bonds
|
11/29/2010 | EMLM | Colgrade to redeem its $149.97 million 13% notes due 2011 on Dec. 30
|
11/29/2010 | IGLM | Kraft Foods tenders for up to $1 billion of 5.625% notes, 6.25% notes
|
11/29/2010 | CVLM | Paladin Energy accepts tenders for $229.6 million of 4.5% convertibles
|
11/29/2010 | HYLM | Novelis begins tender offers, consent bids for 71/4% notes, 111/2% notes
|
11/24/2010 | EMLM | Malaysia's Maybank redeems all RM 1 billion of 10-year Islamic bonds
|
11/24/2010 | CVLM | Ford gets tenders for $2.55 billion 4.25% convertibles due 2016, 2036
|
11/24/2010 | LMMU | Washington Health cancels redemption of all 1998 Swedish Health bonds
|
11/24/2010 | BKDDHYLM | Radio One wraps offer, exchanges $296.2 million 8 7/8%, 6 3/8% notes
|
11/24/2010 | HYLM | Univision accepts $306.8 million notes tendered by early deadline
|
11/24/2010 | LM | Lloyds repurchases £5.46 million of its perpetual capital securities
|
11/24/2010 | CVLM | Headwaters buys back $10 million 16% convertible notes due 2016
|
11/24/2010 | LMMUPF | Nuveen Ohio to redeem $16.5 million auction-rate preferred securities
|
11/24/2010 | CALM | Canada Life to redeem C$150 million series B preferreds on Dec. 31
|
11/24/2010 | HYLM | West gets consents needed to amend 91/2% notes, will redeem any notes not tendered in offer
|
11/24/2010 | LM | Sutton Bridge solicits consents to amend 8 5/8%, 7.97% bonds due 2022
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11/24/2010 | CVLM | LDK Solar launches exchange offer for 4.75% convertible senior notes
|
11/24/2010 | LMPV | Petaquilla Minerals to redeem all its remaining secured notes
|
11/24/2010 | CVLM | AIG holders tender 49.47 million equity units in exchange offer
|
11/24/2010 | IGLM | Eastman Chemical gets tenders for $541.82 million notes so far, increases cap to $500 million
|
11/24/2010 | HYLM | Ferrellgas gets tenders for $368.6 million of 63/4% notes so far
|
11/24/2010 | CVLM | MasTec starts exchange offer for 4% convertibles, 4.25% convertibles
|
11/24/2010 | CVLM | Accuride accepts $141.08 million 7.5% convertibles for conversion
|
11/24/2010 | LMMU | New York Liberty to redeem $2.59 billion World Trade Center bonds
|
11/24/2010 | HYLM | Rural/Metro buys back $24.84 million 123/4% notes in tender, calls rest
|
11/24/2010 | DDHYLM | Caesars swaps $1.12 billion notes for stock with Paulson, Apollo, TPG
|
11/24/2010 | CVLM | Carrizo investors tender $359.94 million 4.375% convertibles due 2028
|
11/24/2010 | LMMU | Rockdale County, Ga., calls portion of Visy Paper series 2007B bonds
|
11/24/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $438 million
|
11/24/2010 | HYLM | Taylor Wimpey sets estimated redemption prices for variable-rate debt
|
11/23/2010 | IGLM | Coca-Cola records $1.85 billion of tenders in any and all offer
|
11/23/2010 | DDEMHYLM | Mexico's Vitro extends tender, exchange offers for three note series
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11/23/2010 | HYLM | Omega Healthcare takes in needed consents to amend 7% senior notes
|
11/23/2010 | AGLM | FFCB calls $495 million 2.8% consolidated systemwide bonds at par
|
11/23/2010 | HYIGLM | NV Energy calls its $100 million 6.25% mortgage notes due 2012
|
11/23/2010 | IGLM | Entergy New Orleans calls its $25 million 6.75% first mortgage bonds
|
11/23/2010 | EMHYLM | China Properties extends tender offer for 9 1/8% notes, lifts payment
|
11/23/2010 | HYLM | Scientific Games calls its 61/4% senior subordinated notes due 2012
|
11/23/2010 | AGLM | Fannie Mae plans to redeem $1.17 billion medium-term notes at par
|
11/23/2010 | HYLM | Affinion Group gets tenders for $409.63 million 10 1/8% notes so far
|
11/23/2010 | IGLM | Sonoco investors tender $111.73 million 5.625% notes, 9.2% debentures
|
11/23/2010 | EMLM | Argentina's Clisa receives tenders for $90.93 million of 93/4% notes
|
11/23/2010 | HYLM | Standard Pacific tenders for any, all 91/4% notes, 61/4% notes, 7% notes
|
11/23/2010 | CALM | BMO Capital Trust to redeem C$400 million securities on Dec. 31 at par
|
11/23/2010 | HYLM | Atlas Pipeline obtains needed consents to amend 8 1/8% senior notes
|
11/23/2010 | IGLM | Tampa Electric extends early participation date of exchange offer for 6.875%, 6.375% notes
|
11/23/2010 | LM | Bank of America repurchases £10 million 7% senior notes due 2028
|
11/23/2010 | HYLM | Taylor Wimpey may make repurchases of two variable-rate bond series
|
11/23/2010 | CVLM | Energy XXI swaps $6.34 million convertible preferreds for common stock
|
11/23/2010 | HYLM | Bristow Group calls its $230 million of 6 1/8% senior notes due 2013
|
11/23/2010 | IGLMPV | Tortoise Energy plans to redeem $20 million preferred shares
|
11/23/2010 | LM | Centrica launches tender for up to £400 million of three notes series
|
11/23/2010 | HYLM | Univision extends early deadline of tender offer for 93/4%/101/2% notes
|
11/23/2010 | CVLM | Zarlink Semiconductor to buy back up to C$7.08 million 6% convertibles
|
11/23/2010 | HYLM | Nalco gets needed consents to amend $500 million of 81/4% notes due 2017
|
11/23/2010 | LM | Next repurchases £36.49 million of 5.25% bonds due September 2013
|
11/22/2010 | DDHYLM | Anglo Irish gets tenders for €690.22 million of floaters due 2017
|
11/22/2010 | IGLM | Coca-Cola resets prices for tender offer for 13 series of notes
|
11/22/2010 | HYLM | Nalco prolongs, doubles payout in consent solicitation for 81/4% notes
|
11/22/2010 | HYLM | Clearwater Paper extends early tender date for Cellu Tissue 111/2% notes
|
11/22/2010 | LMMU | Illinois to redeem $123 million first series 2000 G.O. bonds at par
|
11/22/2010 | EMLM | Brazil's Banco Sofisa to buy back $1 million 71/4% notes due 2011
|
11/22/2010 | IGLM | NV Energy to redeem remaining 7.803% notes, 8 5/8% notes on Dec. 22
|
11/22/2010 | HYLM | Pactiv extends change-of-control offer for 5 7/8% notes to Nov. 29
|
11/22/2010 | HYLM | Ford calls $1.31 billion 7 3/8% notes due 2031, 7.6% notes due 2032
|
11/22/2010 | LMMU | Montana Higher Education calls all 1999F University of Montana bonds
|
11/22/2010 | EMLM | Ras Al Khaimah begins tender, exchange offers for trust certificates
|
11/22/2010 | IGLM | ProLogis' offer for eight note series oversubscribed at early deadline
|
11/22/2010 | HYLM | Rain CII Carbon holders provide consents needed to amend 11 1/8% notes
|
11/22/2010 | HYLM | Frontier Oil buys $104.5 million of 6 5/8% notes, calls remainder
|
11/22/2010 | LMMU | New Hanover, N.C., rescinds redemption of 1999 hospital revenue bonds
|
11/22/2010 | LM | Allied Irish: holders exercise put option for €25 million of notes
|
11/22/2010 | IGLM | Sotheby's starts tender offer for portion of 7.75% notes due 2015
|
11/22/2010 | AGLM | Fannie Mae to redeem $1.21 billion medium-term notes at par
|
11/22/2010 | HYLM | Ship Finance terminates tender offer for 81/2% senior notes due 2013
|
11/22/2010 | HYLM | Momentive companies receive tenders for majority of notes in offers
|
11/22/2010 | LMMU | Ohio to redeem $93.04 million of 1998 series B turnpike revenue bonds
|
11/22/2010 | HYLM | Aeroflex investors tender $32.16 million 113/4% notes by early deadline
|
11/22/2010 | IGLMMUPF | Nuveen Ohio Fund to redeem $16.5 million auction-rate preferreds
|
11/22/2010 | CVLM | Medical Facilities to buy back up to C$3.44 million 7.5% convertibles
|
11/22/2010 | HYLM | Solar Capital to redeem some outstanding 83/4% senior notes
|
11/22/2010 | HYLM | Murray Energy seeks 101/4% noteholder consent for $150 million offering
|
11/22/2010 | LMMU | Perry County, Miss., calls all 2002 Leaf River Forest Products bonds
|
11/22/2010 | HYLM | Berry Plastics calls all outstanding 8 7/8% notes due 2014 at 104.438
|
11/22/2010 | LMMU | Educational Funding of the South calls some 2004-2A taxable loan bonds
|
11/19/2010 | HYLM | Leap settles early tenders, gets needed consents for Cricket's notes
|
11/19/2010 | DDHYLM | Anglo Irish Bank requests holder approval to call €500 million notes
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11/19/2010 | LMMU | Salem, Ore., Hospital Project 2008C bonds have mandatory tender
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11/19/2010 | AGLM | Fannie Mae to redeem $489.17 million medium-term notes at par
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11/19/2010 | IGLM | ProLogis sets pricing in second of two tender offers; deadline Dec. 6
|
11/19/2010 | HYLM | Mariner Energy rescinds redemption of 113/4% senior notes due 2016
|
11/19/2010 | LMMU | Waco Education Finance, Texas, rescinds 2008B Baylor bonds redemption
|
11/19/2010 | DDHYLM | Radio One receives tenders for 98% of notes, enough to wrap exchange
|
11/19/2010 | CAHYLM | Bombardier wraps tender offers for floaters due 2013, 8% senior notes
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11/19/2010 | IGLMPF | First Banks consent solicitation for 8.15% debentures expires Jan. 21
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11/19/2010 | HYLM | Seneca Gaming investors tender $488.47 million of 71/4% notes so far
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11/19/2010 | LMMU | Wisconsin Health and Education calls all 2000 Aurora revenue bonds
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11/19/2010 | EMHYLM | Brazil's Odebrecht to redeem $200 million of 9 5/8% perpetual notes
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11/19/2010 | CVLM | Digital Realty issues shares, pays cash incentive for $18.99 million of 4.125% exchangeables
|
11/19/2010 | LMMU | Capital Beltway Funding revises I-495 HOT Lanes bonds redemption
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11/19/2010 | HYLM | Swift launches cash tender for floaters due 2015, 121/2% notes due 2017
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11/19/2010 | EMHYLM | Mexico's Cablemás prepays $183.03 million of 9.375% guaranteed notes
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11/19/2010 | CVLM | Energy XXI gets tenders for 76.12% of 7.25% convertibles in exchange
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11/19/2010 | LMMU | Houston to redeem $92.9 million 2005A airport system revenue bonds
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11/19/2010 | HYLM | Tomkins holders may put back 6 1/8% notes with notice by Dec. 14
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11/19/2010 | LM | France Telecom buys €1 billion of three bond series in tender offer
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11/19/2010 | CVLM | Wesco calls remaining $92.32 million 2.625% convertible debentures
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11/19/2010 | LMMU | Piedmont Municipal Power, S.C., calls 1998A electric revenue bonds
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11/19/2010 | HYLMPV | Cambium Learning to repay notes, credit facility with note proceeds
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11/18/2010 | IGLM | New York Edison to redeem $224.6 million of 4.7% bonds due 2036
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11/18/2010 | HYLM | Burlington Coat Factory terminates tender for 11 1/8%, 141/2% notes
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11/18/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $421 million
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11/18/2010 | IGLM | XTO Energy holders tender $1.24 billion of three note series in offer
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11/18/2010 | HYLM | First Data begins exchange offers for 9 7/8% notes, 10.55% PIK notes
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11/18/2010 | CALM | BCE scraps conversion of series R preferreds due to lack of interest
|
11/18/2010 | LMMU | Chicago to redeem $337.06 million series 2001A, 2003B bonds on Jan. 1
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11/18/2010 | HYLM | Interface gets early tenders for $240.4 million of 11 3/8%, 91/2% notes
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11/18/2010 | CVLM | Hologic to issue $450 million of new 2% convertibles in exchanges
|
11/18/2010 | LMMU | Massachusetts calls $288.94 million variable-rate revenue bonds
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11/18/2010 | HYLM | Morris Publishing redeems $1.99 million floating-rate notes due 2014
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11/18/2010 | EMIGLM | Brasil Telecom calls its $200 million 9 3/8% senior notes due 2014
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11/18/2010 | LMMU | Miami-Dade County Health, Fla., calls $41.93 million bonds due 2034
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11/18/2010 | IGLM | Bristol-Myers Squibb sets tender offer prices for 6.125%, 5.875% notes
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11/18/2010 | EMLM | Thailand's TMB Bank buys back $3.08 million perpetual securities
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11/18/2010 | LMMU | NYC Transit to redeem $525,000 2004A-4 certificates of participation
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11/17/2010 | LM | Danone wraps exchange of €155 million total 6.375% bonds, 5.5% bonds
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11/17/2010 | LMMU | Central Plains Energy Project calls portion of 2009 gas project bonds
|
11/17/2010 | CAIGLM | Teck Resources starts $650 million tender offer for three note series
|
11/17/2010 | IGLM | Bristol-Myers Squibb gets tenders for $1.09 billion of notes so far
|
11/17/2010 | HYLM | NV Energy to redeem all 7.803% notes due 2012, 8 5/8% notes due 2014
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11/17/2010 | LM | Nationwide Building Society calls £100 million 5.875% notes due 2015
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11/17/2010 | LMMU | Jacksonville, Fla., Shands medical center bonds have mandatory tender
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11/17/2010 | CVIGLM | AIG extends exchange offer to Nov. 23; 42.56 million units tendered
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11/17/2010 | IGLM | Hubbell wraps tender for 6.375% notes, sets pricing date for remainder
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11/17/2010 | HYLM | Olin planning to repay $75 million of debt in 2011
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11/17/2010 | LM | Nationwide Building calls £100 million 5.875% notes due 2015
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11/17/2010 | LMMU | Port of Bellingham, Wash.'s BP West Coast bonds have mandatory tender
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11/17/2010 | CVLM | Omnicare begins tender for $525 million 3.25% convertibles due 2035
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11/17/2010 | IGLMPF | RenaissanceRe to redeem all outstanding 7.3% series B preferreds
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11/17/2010 | AGLM | Fannie Mae to redeem $1.3 billion medium-term notes at par
|
11/17/2010 | HYLM | Smithfield extends tender premium to holders tendering after Nov. 16
|
11/17/2010 | LMMU | Richmond, Va., to redeem in full 2000A public improvement G.O. bonds
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11/17/2010 | LM | Swedish Match accepts €170.59 million of 4.625% notes in tender offer
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11/17/2010 | EMHYLM | Kansas City Southern de Mexico gets consents to amend 7 5/8% notes
|
11/17/2010 | LMMU | Birmingham, Ala., calls all 1998-A water and sewer revenue warrants
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11/17/2010 | CAHYLM | Calfrac receives consents to amend 73/4% senior notes, 97% tendered
|
11/17/2010 | HYLM | TRW Automotive buys back some 6 3/8% notes due 2014 for €3 million
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11/17/2010 | LMMU | Whiting, Ind.'s BP Products North America bonds have mandatory tender
|
11/17/2010 | HYLM | Hanger Orthopedic gets no more tenders for 101/4% notes since early date
|
11/17/2010 | LM | Banche Popolari to redeem €349.65 million of bonds at par on Dec. 7
|
11/17/2010 | LMMU | Capital Beltway Funding calls $589 million I-495 HOT Lanes bonds
|
11/17/2010 | CAHYLM | Mercer records early tenders, consents for 93.2% of 91/4% senior notes
|
11/17/2010 | HYLM | Tower Automotive calls $26 million of its new 10 5/8% notes due 2017
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11/17/2010 | LMMUPF | Nuveen Michigan Dividend muni fund to redeem auction-rate preferreds
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11/17/2010 | HYLM | LyondellBasell to redeem 10% of its 8% secured dollar and euro notes
|
11/16/2010 | HYLM | Ship Finance increases consent fee in offer for 81/2% notes due 2013
|
11/16/2010 | AGLM | Fannie Mae to redeem $2.45 billion medium-term notes at par
|
11/16/2010 | HYLM | Interline Brands holders tender $135.57 million 8 1/8% notes so far
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11/16/2010 | IGLM | France Telecom starts tender offer for €1 billion of 2012, 2013 bonds
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11/16/2010 | LM | Allied Irish: holders exercise put option for €118 million of notes
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11/16/2010 | HYLM | Star Gas calls its $82.5 million 101/4% senior notes due 2013
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11/16/2010 | CAHYLM | Bombardier sets redemption price for floaters not tendered in offer
|
11/16/2010 | HYLM | Invacare to redeem its $3.06 million 93/4% senior notes due 2015
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11/16/2010 | IGLM | Hubbell prices tender for 6.375% notes due 2012
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11/16/2010 | LM | Coventry Building Society calls £5.5 million 5.875% notes due 2015
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11/16/2010 | HYLM | SunGard Data Systems noteholders tender $963.9 million of 9 1/8% notes due 2013 by early deadline
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11/16/2010 | CVHYLM | CMS Energy plans to retire all 3.375% convertibles, some 6.3% notes
|
11/16/2010 | HYLM | Pactiv accepts $234.34 million 6.4% notes in cash tender, consent bid
|
11/16/2010 | HYLM | Asbury gets needed consents for 8%, 7 5/8% notes, calls 8% notes
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11/16/2010 | HYLMPF | Remy to redeem some preferred shares with rights offering proceeds
|
11/16/2010 | CVLM | CRA repurchases $24.65 million of its 2.875% convertible debentures
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11/16/2010 | HYLM | Psychiatric Solutions calls $590 million 73/4% senior notes due 2015
|
11/16/2010 | HYLM | Beazer Homes calls its $164.47 million 61/2% notes due 2013
|
11/16/2010 | IGLM | Coca-Cola extends, partially amends pricing in simultaneous tenders
|
11/16/2010 | CVLM | Digital Realty issues shares, pays cash incentive for $2.3 million of 4.125% exchangeables
|
11/16/2010 | HYLM | PulteGroup calls $328 million outstanding notes due 2011, 2012
|
11/16/2010 | HYLM | Boyd Gaming calls all its $66.83 million 73/4% senior notes due 2012
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11/16/2010 | IGLM | Entergy New Orleans calls its $25 million 6.75% first mortgage bonds
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11/16/2010 | CVLM | Global Crossing calls its $144 million of 5% convertibles due 2011
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11/15/2010 | HYLM | Ship Finance tenders for $298.1 million of 81/2% senior notes due 2013
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11/15/2010 | EMHYLM | Singapore's Flextronics to redeem its $302 million 61/4% notes due 2014
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11/15/2010 | LMMU | Texas Municipal Gas Acquisition & Supply calls portion of 2008D bonds
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11/15/2010 | CVLM | O'Reilly: CSK Auto 6.75% exchangeable notes are putable until Dec. 14
|
11/15/2010 | IGLM | ProLogis accepts tenders for $831.8 million of six notes series
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11/15/2010 | HYLM | Texas Competitive Electric holder agrees to swap $1.27 billion notes
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11/15/2010 | EMLM | China New Town to buy back its RMB 87.36 million 173/4% notes due 2011
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11/15/2010 | LMMU | Waco Education Finance, Texas, calls all series 2008B Baylor bonds
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11/15/2010 | CVLM | Taliworks: Holders put remaining RM 113 million 2.25% convertibles
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11/15/2010 | LMMU | Nashville, Davidson County, Tenn., calls some Belmont University bonds
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11/15/2010 | BKDDHYLM | Radio One lowers minimum tender condition for 8 7/8% notes, gets lender OK to amend facility
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11/15/2010 | HYLM | Wise Metals to redeem all its 101/4% senior notes due 2012 on Dec. 15
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11/15/2010 | LM | Bank of Tokyo-Mitsubishi calls its ¥165 billion preferred securities
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11/15/2010 | LMMUPF | Nuveen Michigan Municipal Fund to redeem auction-rate preferreds
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11/15/2010 | DDHYLM | Claire's retires $24 million senior notes for $21 million in Q3
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11/15/2010 | LMMU | New Jersey Economic Development calls $7.43 million of Keystone bonds
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11/15/2010 | CVLM | BioMarin gives more stock, cash in exchange for converting 2.5% notes
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11/15/2010 | IGLM | Coca-Cola prices tender for 13 series of notes slated to end Monday
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11/15/2010 | HYLM | Atlas Pipeline solicits consents to amend 8 1/8% senior notes due 2015
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11/15/2010 | LMPF | BlackRock to redeem $569.5 million auction-rate preferred shares
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11/15/2010 | EMHYLM | Argentina's Edenor to redeem its $8.02 million par notes due 2016
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11/15/2010 | LMMU | Purdue University to redeem 2007C student facilities revenue bonds
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11/15/2010 | CVLM | Gold One holders forgo put option on 8.5% convertible bonds due 2012
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11/15/2010 | IGLM | HSBC Finance gives early exchange offer tally for six series of notes
|
11/15/2010 | HYLM | Nalco seeks consents to amend its $500 million in 81/4% notes due 2017
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11/15/2010 | LMPV | DineEquity redeems its $2,200 of series A perpetual preferreds
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11/15/2010 | EMHYLM | Brazil's Braskem to redeem its $150 million 93/4% perpetual bonds
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11/15/2010 | LMMU | South Carolina Jobs to redeem all 2000 Palmetto Health Alliance bonds
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11/15/2010 | CVLM | O'Reilly Automotive calls $89 million 6.75% exchangeables due 2025
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11/15/2010 | IGLM | Lincoln National to redeem $150 million 6.75% preferreds on Dec. 15
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11/12/2010 | LMMU | Spokane, Wash., school district defeases 2003 unlimited tax G.O. bonds
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11/12/2010 | HYLM | Regency Energy accepts more 8 3/8% notes, completes cash tender offer
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11/12/2010 | HYLM | M/I Homes buys $158.6 million 6 7/8% notes due 2012 in cash tender
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11/12/2010 | LMMU | Buckeye Tobacco Settlement, Ohio, calls some series 2007A-2 bonds
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11/12/2010 | EMLM | Russia's Novorossiysk Port solicits consents for $300 million 7% notes
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11/12/2010 | IGLM | Zurich calls its $600 million 61/2% debentures, $400 million floaters
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11/12/2010 | LMMU | Tobacco Settlement, W.Va., calls some series 2007A taxable bonds
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11/12/2010 | AGLM | Fannie Mae to redeem $875 million medium-term notes at par
|
11/12/2010 | HYLM | Stater Bros. starts tender offer for 8 1/8% notes, solicits consents
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11/12/2010 | HYLM | Mariner to redeem all $900 million of its 113/4%, 8%, 71/2% senior notes
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11/12/2010 | LMMU | Colorado Health calls some 2000B Catholic Health Initiatives bonds
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11/12/2010 | HYLM | Accellent wraps offer for 101/2% notes; no more tenders since early date
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11/12/2010 | IGLMPF | Lincoln National to redeem $150 million 6.75% preferred securities
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11/12/2010 | CALM | Brookfield Renewable Power prices redemption of 83/4% notes due 2012
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11/12/2010 | IGLM | Boston Properties to redeem $700 million 6.25% senior notes due 2013
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11/12/2010 | HYLM | Pactiv again extends offer; $234.34 million of 6.4% notes tendered
|
11/12/2010 | LMMU | Corporate Finance to redeem $1.86 million Central Utah Medical notes
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11/12/2010 | HYLM | D.R. Horton buys back $69.4 million notes during fourth quarter
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11/12/2010 | IGLMPF | Old National to redeem all $100 million 8% trust preferred securities
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11/12/2010 | CVIGLMPF | Duke Realty buys back more notes in tender offer, open market in 3Q
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11/12/2010 | IGLM | Golden State lacks needed consents to amend 8.04% mortgage notes
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11/12/2010 | HYLM | RBS Global, Rexnord redeem all $913,000 91/2% notes issued 2006, 2009
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11/12/2010 | LMMU | Maryland Health's Adventist Health Care bonds have mandatory tender
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11/12/2010 | HYLM | Infratil to issue new five-year infrastructure bonds in exchange offer
|
11/12/2010 | CVLM | Mahindra redeems all $1.1 million of foreign currency convertibles
|
11/12/2010 | CVLM | Clearwater Seafoods amends 7% convertible debentures due 2010
|
11/12/2010 | IGLM | ProAssurance board OKs $200 million for repurchases, debt retirement
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11/12/2010 | HYLM | Rain CII launches tender offer for 11 1/8% notes, solicits consents
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11/12/2010 | LMMU | Massachusetts to redeem $154.41 million federal highway grant notes
|
11/12/2010 | HYLM | KAR Auction tenders for up to $73.5 million of 10% notes, 83/4% notes
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11/12/2010 | CVLM | McMoRan announces conversion rate for $158.9 million 6.75% preferreds
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11/12/2010 | EMLM | Malaysia's RGB gets noteholders approval of equity interest disposal
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11/12/2010 | IGLM | Windsor Petroleum does not have needed consents to amend 7.84% notes
|
11/10/2010 | LMMU | California Infrastructure's California Academy of Sciences bonds have mandatory tender
|
11/10/2010 | CVLM | Ricoh investors put ¥52.78 billion of zero-coupon convertible bonds
|
11/10/2010 | IGLM | HSBC Finance sets pricing in exchange offer for six series of notes
|
11/10/2010 | CAHYLM | Paramount Resources begins tender offer for 81/2% senior notes due 2013
|
11/10/2010 | HYLM | Nortek plans to redeem portion of 11% senior secured notes due 2013
|
11/10/2010 | EMLM | Brazil's Banco Sofisa buys back $6 million 71/4% notes due 2011
|
11/10/2010 | IGLM | Mack-Cali Realty calls all of its $300 million 73/4% notes due 2011
|
11/10/2010 | CVIGLM | AIG extends exchange offer to Nov. 17; 41.14 million units tendered
|
11/10/2010 | HYLM | Polypore tenders, seeks consents to amend 83/4% dollar and euro notes
|
11/10/2010 | HYLM | Alimentation Couche-Tard calls $350 million 71/2% notes due 2013
|
11/10/2010 | IGLM | Reed Elsevier Capital to redeem $350 million of 6.75% notes due 2011
|
11/10/2010 | CVLM | China Nickel wraps exchange offer, gets consents to amend convertibles
|
11/10/2010 | HYLM | Univision extends deadline of tender offer for 93/4%/101/2% senior notes
|
11/10/2010 | HYLM | Boyd Gaming investors deliver needed consents for 73/4% notes due 2012
|
11/10/2010 | IGLMPF | Tanger Factory Outlet to redeem its $75 million preferreds on Dec. 9
|
11/10/2010 | CVLM | IOI Resources buys back $10 million more 0% exchangeables due 2013
|
11/10/2010 | HYLMPF | Shinsei Bank begins tender offers for two perpetual preferred series
|
11/10/2010 | HYLM | CIT Group to redeem all $752 million of 101/4% series B notes due 2017
|
11/10/2010 | LMMU | American Public Energy, Neb., calls portion of 2005A gas supply bonds
|
11/10/2010 | CVLM | Lear converts all outstanding series A participating preferreds
|
11/10/2010 | IGLM | Barclays Bank extends consent solicitation for eight series of notes
|
11/10/2010 | AGLM | Fannie Mae to redeem $1.13 billion medium-term notes due 2039 at par
|
11/10/2010 | HYLM | Leslie's Poolmart gets tenders, consents for 94.9% of 73/4% senior notes
|
11/9/2010 | CALM | Ontrea to redeem its C$1.2 billion 5.7%, 5.57% debentures on Dec. 9
|
11/9/2010 | HYLM | Univision begins tender offer for up to $460 million 93/4%/101/2% notes
|
11/9/2010 | HYLM | Ferrellgas launches cash tender offer for 63/4% senior notes due 2014
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11/9/2010 | CVLM | Ryerson to redeem all $2,000 of its 3.5% convertibles due 2024
|
11/9/2010 | IGLMMU | Entergy Arkansas to redeem $289.5 million of mortgage, revenue bonds
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11/9/2010 | CVLM | Accuride extends expiration date of conversion offer for 7.5% notes
|
11/9/2010 | HYLM | West Corp. launches tender, consent solicitation for 91/2% notes
|
11/9/2010 | HYLM | MBIA repurchases $26 million medium-term notes in third quarter
|
11/9/2010 | CVLM | Toreador to redeem all $129,000 remaining 5% convertible senior notes
|
11/9/2010 | IGLMMU | Northrop Grumman reports tender results for six series of notes
|
11/9/2010 | CVLM | BioMarin issues shares, cash for $87 million of 2.5% convertibles
|
11/9/2010 | IGLM | Delphi Financial to redeem $68.75 million 8% senior notes due 2033
|
11/9/2010 | HYLM | MarkWest calls all $24.1 million of 6.875% series A, B notes due 2014
|
11/9/2010 | CVLM | WebMD buys $9.94 million 3.125% convertibles, $26.23 million converted
|
11/9/2010 | IGLMPF | Digital Realty to redeem all 7.875% series B preferreds on Dec. 10
|
11/9/2010 | CVLM | Covanta launches cash tender for all $373.75 million 1% convertibles
|
11/9/2010 | IGLM | International Speedway holders tender $62.96 million of 5.4% notes
|
11/9/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $464 million at par
|
11/9/2010 | HYLM | Northern Rock announces tender offer for £520 million of securities
|
11/9/2010 | DDHYLM | Bradford & Bingley launches tenders for two bonds series, preferreds
|
11/9/2010 | LMMU | Atlanta to redeem $4.37 million bonds on Dec. 1 at par
|
11/9/2010 | CVLM | DATA Group to redeem its $34.82 million 6.75% convertibles debentures
|
11/9/2010 | IGLM | Tampa Electric starts exchange offer for 6.875% notes, 6.375% notes
|
11/9/2010 | AGLM | Fannie Mae to redeem $3.61 billion medium-term notes at par
|
11/9/2010 | HYLM | Star Gas to buy back all $82.5 million 101/4% notes due 2013
|
11/9/2010 | EMLM | Kazakhstan's Temir buys back its $36.77 million 9% bonds due 2011
|
11/9/2010 | CVLM | McMoRan converts $7 million of 8% preferreds in Q3, all 63/4% preferreds to be converted Nov. 15
|
11/9/2010 | IGLM | Travelers accepts all $868.36 million of 6.25% notes in tender offer
|
11/8/2010 | HYLM | Quality Distribution to redeem notes due 2010, 2012, 2013 on Dec. 3
|
11/8/2010 | HYLM | Beazer Homes to redeem its $164.5 million 61/2 senior notes due 2013
|
11/8/2010 | LMMU | Harris County, Texas, calls portion of 2005A-5 Christus Health bonds
|
11/8/2010 | DDHYLM | Radio One amends exchange offer for its 8 7/8% notes and 6 3/8% notes
|
11/8/2010 | IGLM | Sallie Mae's latest tender to cover up to $650 million equivalent of euro and sterling notes
|
11/8/2010 | HYLM | Radian Group to buy back 73/4% notes due 2011, 5 5/8% notes due 2013
|
11/8/2010 | HYLM | Ford Financial buys back $1 billion unsecured debt, ABS in quarter
|
11/8/2010 | LMMU | Tarrant County calls four series of Texas Health Resources bonds
|
11/8/2010 | EMHYLM | Hungary's Invitel subsidiary wraps offer to buy back 91/2% senior notes
|
11/8/2010 | IGLM | Sonoco wraps 6.5% notes offer, marks early tenders on other series
|
11/8/2010 | AGLM | FFCB calls $100 million 2.55% consolidated systemwide bonds at par
|
11/8/2010 | HYLM | Unisys calls its $14.19 million of 81/2% senior notes due Oct. 15, 2015
|
11/8/2010 | LMMU | Winston-Salem, N.C., defeases $87.42 million water, sewer bonds
|
11/8/2010 | HYLM | Fortescue calls $1.51 billion senior notes due 2011, 2013 and 2016
|
11/8/2010 | EMHYLM | China Properties gets needed consents to amend 9 1/8% senior notes
|
11/8/2010 | IGLMMU | Northrop Grumman fixes pricing in tender for six series of notes
|
11/8/2010 | AGLM | FFCB calls $250 million 1.95% consolidated systemwide bonds at par
|
11/8/2010 | IGLM | Boston Properties to redeem near-term maturities with new deal funds
|
11/8/2010 | HYLM | Mobile Mini begins cash tender offer for 93/4% senior notes due 2014
|
11/8/2010 | EMLM | Banco de Galicia y Buenos Aires redeems $143.05 million 2014 notes
|
11/8/2010 | LMMU | Atlanta, Fulton County Recreation calls 1997 downtown arena bonds
|
11/8/2010 | AGLM | Fannie Mae to redeem $985 million medium-term notes at par
|
11/8/2010 | IGLM | Deutsche Bank tenders for 14 series of its trust-issued certificates
|
11/8/2010 | HYLM | Omega Healthcare tenders for, solicits consents to amend 7% notes
|
11/8/2010 | HYLM | Affinion launches cash tender offer for 10 1/8% senior notes due 2013
|
11/8/2010 | LMMU | California water department defeases $1.05 billion power supply bonds
|
11/8/2010 | CVLM | Killam calls all its outstanding 6.5% convertible debentures due 2012
|
11/8/2010 | IGLM | Hubbell tenders for $200 million of outstanding 6.375% notes due 2012
|
11/5/2010 | IGLM | Travelers gets needed consents to amend 6.75% notes, extends offers
|
11/5/2010 | CVLM | AGCO buys back $37.5 million of its 1.75% convertible senior notes
|
11/5/2010 | HYLM | Terex says investors tendered $2.42 million of 10 7/8%, 7 3/8% notes
|
11/5/2010 | HYLM | Berry Plastics launches tender offers, solicits consents for two series of 8 7/8% notes due 2014
|
11/5/2010 | LMMUPF | Nuveen Texas to redeem $65.05 million auction-rate preferreds
|
11/5/2010 | CVLM | Standard Pacific buys back $6 million 6% convertibles due 2012
|
11/5/2010 | HYLMPF | Gramercy says investors tendered 1,074,178 8 1/8% series A preferreds
|
11/5/2010 | HYLM | Clearwater Paper tenders for Cellu Tissue's 111/2% notes due 2014
|
11/5/2010 | CVLMPPPF | GE Healthcare begins tender offer for Clarient convertible preferreds
|
11/5/2010 | IGLM | PNC Financial gets needed consents to amend 6.875% notes due 2019
|
11/5/2010 | HYLM | Frontier Oil begins tender offer, solicits consents for 6 5/8% notes
|
11/5/2010 | HYLM | Brixton seeks consents for Segro to take over 51/4% bonds, 6% bonds
|
11/5/2010 | IGLM | ProLogis begins tender offer on six note series, another on eight more
|
11/5/2010 | AGLM | Fannie Mae to redeem $1.67 billion of medium-term notes at par
|
11/5/2010 | HYLM | MetroPCS Wireless to redeem $451 million 91/4% notes due 2014
|
11/5/2010 | LM | Barclays Bank calls €850 million 7.5% step-up callable instruments
|
11/5/2010 | IGLM | Sonoco prices tender offer to buy some of its notes for $300 million
|
11/5/2010 | BKCVDDLM | Empire Resorts obtains bridge loan to fund 5.5% convertibles payment
|
11/5/2010 | HYLM | Momentive Performance, Specialty report early results in tender offer
|
11/5/2010 | HYLM | Aeroflex announces tender offer for 113/4% notes and buyback for loans
|
11/4/2010 | CAHYLM | Bombardier to settle early tenders for floaters, 8% notes by Friday
|
11/4/2010 | IGLM | Golden State amends, extends consent bid for 8.04% mortgage notes
|
11/4/2010 | HYLM | Alliance One buys back $25 million 10% senior notes in second quarter
|
11/4/2010 | CVLM | Accuride tweaks conversion offer for 7.5% senior convertibles due 2020
|
11/4/2010 | IGLM | Travelers holders get one more day, higher fee to amend 6.75% notes
|
11/4/2010 | HYLM | Host Hotels calls $250 million of is 7 1/8% senior notes due 2013
|
11/4/2010 | CVLM | BioMed buys back $2.1 million exchangeables due 2026 in third quarter
|
11/4/2010 | IGLM | Windsor Petroleum amends, extends consent solicitation for 7.84% notes
|
11/4/2010 | HYLM | Huntsman buys back €132 million 6 7/8% notes, to redeem 7 7/8% notes
|
11/4/2010 | CVLM | Medical Properties buys back $12.5 million exchangeables due 2011
|
11/4/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $247 million
|
11/4/2010 | HYLM | Leap announces cash tender offer for Cricket's 9 3/8% notes due 2014
|
11/4/2010 | LM | Bank of Tokyo-Mitsubishi UFJ calls €1 billion notes due 2015
|
11/4/2010 | CACVHYLM | Valeant to buy back $1.5 billion convertibles, senior notes, stock
|
11/4/2010 | IGLM | Coca-Cola tenders for 13 note series, $3.45 billion of two series
|
11/4/2010 | LM | Swedbank repurchases ₤1.39 million 5.25% notes due June 22, 2016
|
11/3/2010 | LM | Pohjola Bank calls €70 million 3.5% fixed-to-floating rate notes
|
11/3/2010 | CVLM | Minefinders exchange new notes for $32.94 million 4.5% convertibles
|
11/3/2010 | LMMU | Connecticut to redeem $150 million series C 1-7 G.O. bonds in full
|
11/3/2010 | HYLM | Polypore calls $75 million of its $225 million 83/4% notes due 2012
|
11/3/2010 | HYLM | Burlington Coat Factory begins tender offers for 11 1/8%, 141/2% notes
|
11/3/2010 | CVLM | Sinclair Broadcast buys back $17 million of 4.875% convertibles in Q3
|
11/3/2010 | LMMU | Metropolitan Pier and Exposition, Ill., calls $590 million 6.5% bonds
|
11/3/2010 | HYLM | Seneca Gaming begins tender offer, consent solicitation for 71/4% notes
|
11/3/2010 | HYLM | Denny's calls $49.72 million 10% notes remaining after tender offer
|
11/3/2010 | CVLM | Symantec repurchases $500 million 0.75% convertible notes due 2011
|
11/3/2010 | LMPF | Majestic USA Capital begins consent solicitation for trust preferreds
|
11/3/2010 | HYLM | TRW Automotive buys back €5 million of 6 3/8% notes due 2014
|
11/3/2010 | BKHYLM | Nexstar planning to apply record free cash flow toward debt reduction
|
11/3/2010 | HYLM | Interface starts tender offer for 11 3/8%, 91/2% notes, seeks consents
|
11/3/2010 | DDLMPP | Plastinum fails to buy back convertible preferreds as required; going-concern status in doubt
|
11/3/2010 | HYLM | WII Components scraps tender offer, consent solicitation for 10% notes
|
11/3/2010 | CAHYLM | Calfrac launches tender offer, solicits consents for 73/4% senior notes
|
11/3/2010 | HYLM | KAR Auction could repurchase up to $75 million notes if loan amended
|
11/3/2010 | EMLM | Argentina's Clisa offers to buy back 2012 notes, sell 2016 notes
|
11/3/2010 | IGLM | Bristol-Myers Squibb tenders for $750 million of four note series
|
11/3/2010 | CVLM | Energy XXI increases late exchange offer price for 7.25% convertibles
|
11/3/2010 | HYLM | Nexstar buys back $4.7 million 7% PIK notes, $0.9 million 7% notes
|
11/2/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $166.83 million
|
11/2/2010 | HYLM | Smithfield Foods tenders for up to $337 million of 7% notes due 2011
|
11/2/2010 | HYLM | Hanger Orthopedic gets tenders for $172.44 million 101/4% notes so far
|
11/2/2010 | EMHYLM | Kansas City Southern de Mexico tenders for 7 5/8% notes, 121/2% notes
|
11/2/2010 | LMMU | Georgia intends to redeem $7.59 million of series 2006-H G.O. bonds
|
11/2/2010 | AGLM | Fannie Mae to redeem $2.12 billion medium-term notes at par
|
11/2/2010 | HYLM | Tenet Healthcare repurchases $40 million 9 7/8%, $7 million 91/4% notes
|
11/2/2010 | HYLM | Huntsman intends to redeem $100 million of its 7 7/8% notes due 2014
|
11/2/2010 | EMLM | South Korea's Kookmin seeks consents to amend 71/4% guaranteed bonds
|
11/2/2010 | LMMU | Ohio plans redemption of $93.04 million series 1998 B turnpike bonds
|
11/2/2010 | CAHYLM | Bombardier calls its floating-rate notes due 2013, 8% notes due 2014
|
11/2/2010 | IGLM | CBS calls all $543.89 million 6.625% senior notes due May 2011
|
11/2/2010 | HYLM | MarkWest Energy gets consents needed to amend two 6 7/8% notes series
|
11/2/2010 | HYLM | Ames True Temper aims to redeem all $109.37 million 10% notes due 2012
|
11/2/2010 | CAHYLM | Catalyst Paper repurchases $9.5 million 8 5/8% notes due June 2011
|
11/2/2010 | IGLM | CBS wraps tender offer for 8.625% debentures, 5.625% senior notes
|
11/2/2010 | HYLM | Mercer tenders, solicits consents for $310 million 91/4% senior notes
|
11/2/2010 | HYLM | Da-Lite Screen repurchases $10.8 million 121/2% notes for $11 million
|
11/2/2010 | CVLM | Comforce convertibles to convert into cash once ARBY merger closes
|
11/2/2010 | IGLM | PepsiCo holders tender $637 million 7.9% notes; cash tender settles
|
11/2/2010 | HYLM | Pactiv gets tenders for $233.3 million of 6.4% notes; offer extended
|
11/2/2010 | HYLM | GFSI Holdings to redeem all $59.36 million PIK floaters due 2011
|
11/2/2010 | EMHYLM | Argentina's Edenor completes tender, exchange for 101/2% notes due 2017
|
11/2/2010 | LMMU | Battery Park, N.Y., to redeem some variable-rate bonds due 2031
|
11/1/2010 | HYLM | SunGard begins tender offer for up to $500 million 9 1/8% senior notes
|
11/1/2010 | LMMU | Michigan redeems portion of 1992 environmental protection G.O. bonds
|
11/1/2010 | HYLM | Asbury Automotive tenders, seeks consents for 8% notes, solicits consents to amend 7 5/8% notes
|
11/1/2010 | LMMU | East Baton Rouge, La., Parish Development calls some Stupp bonds
|
11/1/2010 | HYLM | Team Health to redeem $45.52 million 111/4% notes due 2013 on Dec. 1
|
11/1/2010 | LMMU | Middleton, Ohio, calls parts of 2008A, B Atrium Medical Center bonds
|
11/1/2010 | HYLM | Burlington Coat Factory to buy back or redeem 11 1/8%, 141/2% notes
|
11/1/2010 | LMMU | Gwinnet County, Ga., calls $57.35 million civic, cultural center bonds
|
11/1/2010 | CVLM | Air Berlin offers to buy back €125 million 9% convertible bonds
|
11/1/2010 | HYLM | US Oncology notes to be repaid or refinanced in buyout by McKesson
|
11/1/2010 | LMMU | Missouri Health to redeem in full St. Anthony's Medical Center series 2000 revenue bonds
|
11/1/2010 | HYLM | IKON Office Solutions launches cash tender offer for 63/4%, 7.3% notes
|
11/1/2010 | LMMU | Houston calls all 2000B water, sewer system junior-lien bonds
|
11/1/2010 | DDEMHYLM | Mexico's Vitro begins tender, exchange offers for three note series
|
11/1/2010 | IGLM | Stanley Black & Decker to redeem 5.902% fixed-rate/floating-rate notes
|
11/1/2010 | LMMU | Seattle calls $86.48 million municipal light, power revenue bonds
|
11/1/2010 | HYLM | Interline tenders, solicits consents for $150.7 million 8 1/8% notes
|
11/1/2010 | LMMU | Indiana Finance calls some Trinity Health series 2008D1, D2 bonds
|
11/1/2010 | DDHYLM | Vertis expects to amend offers for 131/2%, 181/2% notes, extends deadline
|
11/1/2010 | IGLMMU | Northrop Grumman begins tender offers for $2.12 billion of notes
|
11/1/2010 | LMMU | University of Michigan calls portion of 2005B hospital revenue bonds
|
11/1/2010 | HYLM | Invacare gets tenders for $142.95 million of its 93/4% notes due 2015
|
11/1/2010 | LMMU | Indiana Transportation to redeem $262.04 million highway revenue bonds
|
11/1/2010 | HYLM | American Achievement extends tender offer for notes, calls remainder
|
11/1/2010 | LMMU | Colorado Health calls some Sisters of Charity of Leavenworth bonds
|
10/29/2010 | LMMU | Austin, Texas, calls some 2008 Travis and Williamson Counties bonds
|
10/29/2010 | HYLM | TRW Automotive buys back €3 million of 6 3/8% notes due 2014
|
10/29/2010 | EMHYLM | Dominican Republic's AES Dominicana, Itabo launch tender offers for 11% notes, 10 7/8% notes
|
10/29/2010 | LMPV | Signet Jewelers: $47 million make-whole amount on prepaid notes equals 21/2 years of coupon payments
|
10/29/2010 | AGLM | FFCB calls $80 million 1.23% consolidated systemwide bonds at par
|
10/29/2010 | LMMU | California Health calls $348.62 million 1998A Kaiser Permanente bonds
|
10/29/2010 | IGLM | Correction: France's EDF launches cash tender offers for three series of bonds
|
10/29/2010 | LM | Skandinaviska announces early redemption of £275 million bonds at par
|
10/29/2010 | AGLM | Fannie Mae to redeem $5.15 billion medium-term notes at par
|
10/29/2010 | LMMU | Philadelphia Industrial Development calls some airport revenue bonds
|
10/29/2010 | IGLM | Golden State Petroleum extends consent bid for 8.04% mortgage notes
|
10/29/2010 | HYLM | American Achievement Group receives tenders for $275.68 million notes
|
10/29/2010 | BKDDHYLM | Loehmann's exchange offer fails; company skips October notes payment
|
10/29/2010 | LMMU | Washington Health calls all $197.5 million 1998 Swedish Health bonds
|
10/29/2010 | IGLM | Pepco plans redemption of $210 million of 5.9%, 6% notes in November
|
10/29/2010 | HYLM | Goodman Global to redeem all 131/2% notes due 2016, 111/2% notes due 2014
|
10/29/2010 | CVLM | Micron buys back, refinances portion of 1.875%, 4.25% convertibles
|
10/29/2010 | LMMUPF | Dreyfus municipal funds call $12.86 million auction-rate preferreds
|
10/29/2010 | IGLM | Regency Centers investors tender $69.42 million 6.75%, 7.95% notes
|
10/29/2010 | HYLM | Nielsen to redeem outstanding 10% senior notes, 9% senior notes
|
10/29/2010 | DDHYLMPF | HomeStreet once more extends tender for four trust preferreds series
|
10/29/2010 | LMMUPF | Nuveen Pennsylvania to redeem $23 million auction-rate preferreds
|
10/28/2010 | LMPV | Signet Jewelers to prepay $229.1 million of private placement notes
|
10/28/2010 | EMLM | Bank of Moscow announces it will not call $300 million step-up notes
|
10/28/2010 | IGLM | France's EDF launches cash tender offers for four series of bonds
|
10/28/2010 | HYLM | Rio Tinto accepts tenders for roughly 76% of 5.875% notes due 2013
|
10/28/2010 | LM | Navio repurchases €65 million, £650 million of its outstanding bonds
|
10/28/2010 | IGLM | HSBC Finance offers new notes in exchange for six series of notes
|
10/28/2010 | HYLM | TRW Automotive buys back €5 million of 6 3/8% notes due 2014
|
10/28/2010 | LM | Pohjola Bank calls €70 million lower tier II instruments due 2015
|
10/28/2010 | IGLM | Union Pacific to redeem all $400 million of its 6.65% notes at 101.28
|
10/28/2010 | CVLM | CBIZ redeems $60 million of 3.125% convertible notes in third quarter
|
10/28/2010 | HYLM | Valeant Pharmaceuticals redeems $765 million in 7 5/8%, 8 3/8% notes
|
10/28/2010 | HYLM | Accellent investors tender $230.77 million 101/2% notes in offer so far
|
10/28/2010 | IGLM | Windsor Petroleum extends consent solicitation for 7.84% notes
|
10/28/2010 | CVLM | Western Areas accepts A$103 million 8% convertibles in exchange offer
|
10/28/2010 | HYLM | iStar Financial buys back $125 million senior notes in third quarter
|
10/28/2010 | HYLM | Invacare to redeem 93/4% notes not purchased in tender offer in February
|
10/28/2010 | LMPV | National Consumer Cooperative Bank pays final $29.7 million to satisfy two debt arrangements
|
10/28/2010 | EMHYLM | Russia's Severstal: Chatham purchases $706.45 million 93/4% Steel Capital notes in tender offer
|
10/28/2010 | IGLM | Brandywine buys back $1.7 million 2010, 2012 notes in third quarter
|
10/28/2010 | HYLM | Nielsen redeems $750 million 10% senior notes due 2014 at 105
|
10/27/2010 | HYLM | Leslie's Poolmart begins tender, consent offer for 73/4% notes due 2013
|
10/27/2010 | CVLM | Arris Group buys back $14 million convertible notes in third quarter
|
10/27/2010 | LMMU | New York City Health & Hospitals to redeem 1999A health bonds at par
|
10/27/2010 | IGLM | PSEG Energy to redeem $127.02 million 8.5% senior notes due 2011
|
10/27/2010 | HYLM | M/I Homes gets tenders of $117.5 million 6 7/8% notes, revises timing
|
10/27/2010 | CVLM | PDL BioPharma to retire 2% convertibles in swap for new 2.875% notes
|
10/27/2010 | LMMU | Wayne County Airport Authority, Mich., calls some Detroit airport revenue refunding bonds
|
10/27/2010 | IGLM | Smith International calls all $122.56 million 6.75% notes due 2011
|
10/27/2010 | IGLM | Rio Tinto: 76% of 5.875% notes due 2013 tendered, expiration extended
|
10/27/2010 | HYLM | Boyd Gaming begins cash tender offer for 73/4% senior subordinated notes
|
10/27/2010 | IGLM | Travelers tenders for 6.25% notes, seeks OK from 6.75% noteholders
|
10/27/2010 | HYLM | Vitamin Shoppe to repurchase $20 million more floating-rate notes
|
10/27/2010 | HYLM | Energy XXI: Offer funds will help buy $119 million 16% notes due 2014
|
10/27/2010 | CVHYLM | International Coal buys back $30.2 million 101/4% notes, 9% convertibles
|
10/27/2010 | LMMU | Battery Park City, N.Y., calls part of 2003C-4 junior revenue bonds
|
10/27/2010 | HYLM | WII Components receives consents to amend 10% senior notes due 2012
|
10/27/2010 | HYLM | First Industrial Realty repurchases $16 million 6 7/8% notes due 2012
|
10/27/2010 | CVLM | Affymetrix buys back $72 million 3.5% convertibles for $66.9 million
|
10/27/2010 | LMMU | Denver to redeem all $196.78 million outstanding 2000B COPs at 101
|
10/27/2010 | HYLM | XM Satellite Radio settles $489.07 million 111/4% notes tendered to date
|
10/26/2010 | CVLM | Paladin Energy tenders for any and all $250 million convertible bonds
|
10/26/2010 | CVLM | Asbury Automotive bolsters its finances with convertible buyback in Q3
|
10/26/2010 | EMLM | Korea's SK Energy holders give go-ahead to separate business units
|
10/26/2010 | CVLM | Wyndham Worldwide buys back $92 million 3.5% convertibles due 2012
|
10/26/2010 | CVLM | CSG repurchases $23.2 million 2.5% convertible securities due 2024
|
10/26/2010 | HYLM | Quality Distribution subsidiaries to redeem four notes series
|
10/26/2010 | DDEMHYLM | Brazil's Imcopa gets consents needed to amend 10 3/8% notes, will pursue reorganization plan
|
10/26/2010 | CVLM | Continental Airlines to redeem $99.95 million 5% convertibles due 2023
|
10/26/2010 | IGLM | Trinity Industries calls all $201.5 million 6.5% notes due March 2014
|
10/26/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $250 million at par
|
10/26/2010 | DDEMHYLM | Vitro noteholder group still opposes planned consent solicitation
|
10/26/2010 | CVLM | DST Systems buys back $35 million 4.125% convertibles in third quarter
|
10/26/2010 | AGLM | Fannie Mae to redeem $1.36 billion medium-term notes at par
|
10/26/2010 | DDHYLM | American Media again extends exchange offers; holders consent to deferred coupon on 14% notes
|
10/26/2010 | CVLM | Ford starts conversion offer for 4.25% convertibles due 2036, 2016
|
10/26/2010 | CVHYLM | Anixter repurchases 3.25% zero-coupon convertibles, retires 10% notes
|
10/26/2010 | EMHYLM | Russia's Severstal fulfills tender offer terms with new notes issue
|
10/25/2010 | EMHYLM | Argentina's Autopistas del Sol buys back $16 million notes due 2020
|
10/25/2010 | CVLM | SL Green Realty buys back $28.7 million 3% exchangeables in quarter
|
10/25/2010 | LMMU | Michigan Hospital Finance calls portion of Trinity Health bonds
|
10/25/2010 | EMHYLM | Argentina's Edenor announces early settlement of tender offer, exchange for 101/2% notes due 2017
|
10/25/2010 | CVLM | Washington REIT gets tenders for $122.8 million 3.875% convertibles
|
10/25/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $297 million at par
|
10/25/2010 | LMMU | New Jersey Transportation calls 1998A, 2007A transportation bonds
|
10/25/2010 | EMHYLM | Avago Technologies calls all $230.74 million 11 7/8% notes due 2015
|
10/25/2010 | CVLM | Western Areas' exchange offer for its 8% convertibles oversubscribed
|
10/25/2010 | AGLM | Fannie Mae to redeem $775 million medium-term notes at par
|
10/25/2010 | EMHYLM | China Properties launches cash tender offer for 9 1/8% senior notes
|
10/25/2010 | DDHYLM | Loehmann's ups payment for noteholders who tender after early deadline
|
10/25/2010 | CVLM | Carrizo Oil & Gas tenders for $300 million of 4.375% convertibles
|
10/25/2010 | IGLM | International Speedway announces early results of tender offer for 5.4% senior notes due 2014
|
10/25/2010 | DDHYLM | Radio One again falls short of 95% tenders needed for exchange offer
|
10/25/2010 | CVLM | OZ Minerals calls $105 million outstanding 5.25% convertible bonds
|
10/25/2010 | IGLM | Sonoco plans to pay up to $300 million for three note series in tender
|
10/22/2010 | HYLM | Momentive says significant holder of senior notes agrees to exchange
|
10/22/2010 | DDHYLM | Anglo Irish starts exchange for three series of floating-rate notes
|
10/22/2010 | CVEMHYLM | Central European Media buys back $46 million of three series of notes
|
10/22/2010 | LMMUPF | Nuveen California to redeem $48.9 million of auction-rate preferreds
|
10/22/2010 | LMMU | Middletown, Ohio, calls $85 million hospital facilities revenue bonds
|
10/22/2010 | DDHYLMPF | Anglo Irish proposes amendment to allow notes, preferreds redemption
|
10/22/2010 | CVLM | Accuride begins conversion offer, consent solicitation for 7.5% notes
|
10/22/2010 | LMMU | Polk County, Fla., to redeem $50.9 million transportation bonds
|
10/22/2010 | EMLM | Argentina's Banco de Galicia y Buenos Aires redeems bonds due 2014
|
10/22/2010 | CVLM | CMS Energy issues 11.28 million shares for remaining 4.5% preferreds
|
10/22/2010 | LMMU | South Carolina ports authority calls $85.57 million 1998 revenue bonds
|
10/22/2010 | HYLM | Brookstone gets total tenders for 94.16% of 12% notes in exchange
|
10/22/2010 | CVLM | Q-Cells wraps oversubscribed Dutch tender for 1.375% convertibles
|
10/22/2010 | LMMU | Southern California Logistics Airport calls portion of 2006 tax bonds
|
10/22/2010 | HYLM | Momentive companies start cash tender offers for senior notes due 2014
|
10/22/2010 | CVLM | RAIT extinguishes $28.3 million of 6.875% convertible senior notes
|
10/22/2010 | AGLM | Fannie Mae to redeem $304.52 million medium-term notes at par
|
10/22/2010 | LMMU | Texas Water Development calls $28.68 million of series 2007A bonds
|
10/21/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $455 million at par
|
10/21/2010 | IGLM | Schlumberger unit Smith wraps tender offer for three series of notes
|
10/21/2010 | LM | National Grid repurchases £22.28 million of 6% instruments due 2017
|
10/21/2010 | CVLM | Former AmeriCredit gives change-of-control put option for convertibles
|
10/21/2010 | CAHYLM | Bombardier tenders for its floating-rate notes, 8% notes in two offers
|
10/21/2010 | IGLM | Weatherford buys $532.93 million notes in oversubscribed tender offer
|
10/21/2010 | HYLM | Michaels gets consents to amend 10% notes, plans to call the remainder
|
10/21/2010 | CVLM | GLG sets repurchase date for put option granted to convertible holders
|
10/21/2010 | CALM | Bank of Canada buys back C$518.68 million of convertibles in auction
|
10/21/2010 | LMMU | Illinois Student Assistance Commission wraps tender offer for 15 loan revenue bond series
|
10/21/2010 | HYLM | PulteGroup buys back $500 million of notes in three tender offers
|
10/21/2010 | CVLM | Sonic Automotive calls all $16 million 4.25% convertibles due 2015
|
10/21/2010 | CVDDLM | C&D Technologies launches exchange offer, bankruptcy plan solicitation
|
10/21/2010 | LMMU | Lancaster Port Authority, Ohio, calls some 2008 gas supply bonds
|
10/21/2010 | HYLM | Stoneridge to redeem $73.11 million of 111/2% senior notes due 2012
|
10/21/2010 | CVLM | Western Areas extends exchange offer for 8% convertibles to Friday
|
10/21/2010 | CVLM | Enercoal redeems all $94 million 0% convertibles due 2012 at 126.99
|
10/21/2010 | LMMU | Minneapolis Health calls $159.49 million Fairview Health bonds at 101
|
10/21/2010 | HYLMPF | Deerfield swaps remaining $25 million trust preferreds for new notes
|
10/21/2010 | EMHYLM | Brazil's Braskem obtains needed consents to amend 113/4% notes
|
10/21/2010 | CVLM | Energy XXI begins exchange offer for 7.25% convertible preferreds
|
10/20/2010 | HYLM | United Rentals plans to redeem 73/4% senior subordinated notes due 2013
|
10/20/2010 | LM | Anglo Irish Mortgage repurchases €800 million covered securities
|
10/20/2010 | IGLM | Rio Tinto begins tender for all $2.5 billion of 5.875% notes due 2013
|
10/20/2010 | LM | National Grid Gas repurchases £10.05 million 6.3275% instruments
|
10/20/2010 | AGLM | FFCB calls $25 million 5.15% consolidated systemwide bonds at par
|
10/20/2010 | LMMU | Illinois calls $92.88 million Metropolitan Fair and Exposition bonds
|
10/20/2010 | LM | Sydbank to repurchase, redeem all €100 million notes due 2013
|
10/20/2010 | BKCVHYLM | United Rentals comfortable with capital structure to support business
|
10/20/2010 | LMMU | North Carolina defeases some 2005A public improvement G.O. bonds
|
10/20/2010 | HYLM | Pactiv begins cash change-of-control offer for 5 7/8% notes due 2012
|
10/20/2010 | CVLM | Western Areas to issue 6.375% convertibles in swap for 8% convertibles
|
10/20/2010 | LMMU | Southglenn Metropolitan District, Colo., calls portion of 2007 bonds
|
10/20/2010 | HYLM | Sinclair Broadcast calls $49.01 million 8% notes due 2012 at par
|
10/20/2010 | EMHYLM | Argentina's Edenor holders tender 60.7% of 101/2% notes for exchange, 21.8% for cash so far
|
10/19/2010 | IGLMPF | Capitol Bancorp lacks consents, terminates trust preferred exchange
|
10/19/2010 | CVLM | Qwest aims to redeem all $1.12 billion in 3.5% convertibles due 2025
|
10/19/2010 | CVDDLM | China Nickel begins exchange offer for convertibles, solicits consents
|
10/19/2010 | HYLM | WII Components begins tender offer for all 10% senior notes due 2012
|
10/19/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $645 million at par
|
10/19/2010 | HYLM | LightSquared calls all outstanding 14% senior discount notes due 2013
|
10/19/2010 | LMMU | Battery Park, N.Y., to redeem some series 2003C-3 revenue bonds
|
10/19/2010 | LM | Westpac calls its €350 million step-up securities due November 2015
|
10/19/2010 | HYLMPV | New York Times may redeem 14.053% notes in January 2012 at 105
|
10/19/2010 | CVHYLM | Sinclair tallies tenders for 78.2% of 8% notes, 45.3% of 6% debentures
|
10/19/2010 | AGLM | Fannie Mae to redeem $5.76 billion medium-term notes at par
|
10/19/2010 | HYLM | Millicom calls outstanding $459.59 million 10% notes due 2013
|
10/19/2010 | HYLM | Domino's buys back $20 million fixed-rate notes in third quarter
|
10/19/2010 | IGLM | CBS announces early results of tender offer for 8.625%, 5.625% notes
|
10/19/2010 | CVLM | 3i Group buys back £37.3 million more 3.625% convertibles due 2011
|
10/19/2010 | CACVDDHYLM | Compton Petroleum issues 10% notes series, cash for all 7 5/8% notes
|
10/19/2010 | HYLM | Morris Publishing redeems $423,763 of floating-rate notes due 2014
|
10/19/2010 | HYLM | Hanger Orthopedic tenders for any and all $175 million 101/4% notes
|
10/19/2010 | IGLM | First Banks consent solicitation for 8.15% debentures expires Nov. 19
|
10/19/2010 | CVLM | Akamai Technologies calls all $58.62 million 1% convertibles due 2033
|
10/19/2010 | CAHYLM | Domtar calls its $135 million outstanding 7 7/8% notes due 2011
|
10/19/2010 | HYLM | Pactiv gets consents for 93.36% of 6.4% notes; tender offer for 5 7/8% notes nixed
|
10/19/2010 | HYLM | Host Hotels & Resorts to redeem $250 million 7 1/8% notes due 2013
|
10/19/2010 | IGLM | PepsiCo to buy back $500 million of 7.9% notes through cash tender
|
10/19/2010 | CVLM | Energy XXI issues 3.33 million shares for $34.75 million 7.25% perpetual convertible preferreds
|
10/19/2010 | CALM | Bank of Canada accepts C$500 million of bonds in repurchase auction
|
10/19/2010 | HYLM | Stoneridge accepts all $109.89 million in tendered 111/2% notes due 2012
|
10/19/2010 | HYLM | Invista subsidiary KoSa to partially redeem $675 million 91/4% notes
|
10/18/2010 | LMMU | Illinois Health to redeem $102.11 million Advocate Health Care bonds
|
10/18/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $185 million
|
10/18/2010 | IGLM | Pedernales Electric calls $9.14 million of its $28.56 million bonds
|
10/18/2010 | HYLM | MarkWest Energy launches tender offers for two 6 7/8% notes series
|
10/18/2010 | LMMU | Montgomery County, Ohio, calls portion of Miami Valley Hospital bonds
|
10/18/2010 | AGLM | Fannie Mae to redeem $2.55 billion medium-term notes at par
|
10/18/2010 | IGLM | Pepco calls its $200 million outstanding 6% notes due April 2019
|
10/18/2010 | HYLM | Rural/Metro tenders for and seeks consents to amend its 123/4% notes
|
10/18/2010 | CVLM | CMS Energy converts all outstanding 4.5% cumulative preferred shares
|
10/18/2010 | LMMU | Nassau County, N.Y., to redeem $102.04 million 2000A bonds in full
|
10/18/2010 | IGLM | Southern calls all $250 million series C 5.75% senior notes due 2015
|
10/18/2010 | HYLMPF | Gramercy Capital extends tender offer for 8 1/8% series A preferreds
|
10/18/2010 | CVLM | Daylight Energy to redeem C$53.2 million 8.5% convertible debentures
|
10/18/2010 | LMMU | Orange County Health, Fla., calls 2000 hospital revenue bonds at 101
|
10/18/2010 | LMMU | Allegheny County, Pa., authority calls $442 million of West Penn Allegheny Health System bonds
|
10/18/2010 | IGLM | CBS determines tender payment for 8.625% debentures, 5.625% notes
|
10/18/2010 | CVLM | GLG's 5% notes putable, convertible into cash only following merger
|
10/18/2010 | LMMU | Puerto Rico Electric Power calls $181.22 million power revenue bonds
|
10/18/2010 | LMMU | Honolulu calls $102.64 million 4.5% wastewater system bonds due 2028
|
10/18/2010 | IGLM | First Banks seeks to amend documents relating to its 8.15% debentures
|
10/18/2010 | EMLM | Indonesia's Lippo Karawaci gets needed consents to amend 8 7/8% notes
|
10/18/2010 | LMMUPF | Nuveen closed-end funds call $27.26 million preferred securities
|
10/15/2010 | DDHYLM | American Media further extends offers for its 14% notes, 9% PIK notes
|
10/15/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $468 million
|
10/15/2010 | LMMU | Austin, Texas, calls portion of 2008 water & wastewater system bonds
|
10/15/2010 | HYLM | Intelsat subsidiary concludes tender for 91/4%, 6 7/8% senior notes
|
10/15/2010 | EMLM | Argentina's Edenor holders tender 57.9% of 101/2% notes for exchange, 20.61% for cash so far
|
10/15/2010 | AGLM | Fannie Mae to redeem $4.56 billion medium-term notes at par
|
10/15/2010 | LMMU | Colorado Energy calls some natural gas purchase revenue bonds
|
10/15/2010 | HYLM | Invacare extends consent deadline for $146 million 93/4% notes due 2015
|
10/15/2010 | EMLM | Paiton calls $7.43 million of its $180 million 9.34% notes due 2014
|
10/15/2010 | CVLM | Energy XXI to swap common stock for 7.25% convertible preferreds
|
10/15/2010 | LMMU | Colorado Health calls $158.37 million Exempla Northwest Medical bonds
|
10/15/2010 | HYLM | Invacare tender for $146 million in 93/4% notes now set to expire Nov. 1
|
10/15/2010 | HYLM | Choctaw Resort to redeem $4.5 million of its 71/4% notes due 2019
|
10/15/2010 | CVLM | Wesco holders put $3,000 of 2.625% convertible senior notes due 2025
|
10/15/2010 | LMMU | Cook County, Ill., defeases, to redeem 1999A capital improvement bonds
|
10/15/2010 | IGLM | Golden State Petroleum solicits consents for 8.04% mortgage notes
|
10/15/2010 | HYLM | DJO receives tenders for nearly all 113/4% notes by early deadline
|
10/15/2010 | DDEMLM | Thailand's G Steel sets Nov. 8 meeting for holders of 101/2% notes
|
10/15/2010 | LMMU | Minnesota Agricultural and Economic Development to redeem $159.49 million Fairview Health bonds
|
10/15/2010 | IGLM | Windsor Petroleum seeks consents to sell vessels securing 7.84% notes
|
10/15/2010 | HYLM | DaVita receives enough consents to amend 6 5/8%, 71/4% notes
|
10/14/2010 | CVLM | Energy XXI exchanges common stock for $7.2 million 7.25% convertibles
|
10/14/2010 | HYLM | M/I Homes begins cash tender offer for $200 million 6 7/8% notes
|
10/14/2010 | DDHYLM | Loehmann's extends early exchange deadline, gets needed consents
|
10/14/2010 | HYLM | SeaDrill repurchases, delists $30 million floating-rate bond due 2012
|
10/14/2010 | EMHYLM | Singapore's Stats ChipPAC calls remaining 63/4% notes due 2011 at par
|
10/14/2010 | AGLM | FFCB calls $330 million 0.99% consolidated systemwide bonds due 2012
|
10/14/2010 | IGLM | Norfolk Southern terminates exchange offer for 7.9% notes due 2097
|
10/14/2010 | EMLM | Argentina's Edenor amends exchange consideration for 101/2% notes
|
10/14/2010 | CVLM | Alliant redeems nearly all 2.75% convertibles; holders convert $28,000
|
10/14/2010 | IGLM | Regency Centers extends early deadline in offer for 6.75%, 7.95% notes
|
10/14/2010 | EMLM | Singapore's DBS Bank to use preference shares proceeds to redeem debt
|
10/14/2010 | CVLM | BRE Properties buys 90.2% of 4.125% convertibles in tender offer
|
10/14/2010 | LMMU | California authority to redeem $164.86 million in solid waste bonds
|
10/14/2010 | HYLM | Accellent launches cash tender offer for 101/2% senior notes due 2013
|
10/13/2010 | EMIGLM | Mexico's Pemex redeems $1.74 billion of 73/4% guaranteed perpetuals
|
10/13/2010 | LMMU | Metropolitan Government of Nashville defeases $254.98 million bonds
|
10/13/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $951 million
|
10/13/2010 | IGLM | Pepco buys $40.01 million 6.125% senior notes due 2017 in tender
|
10/13/2010 | HYLM | Brookstone wraps exchange offer for notes, now 12% unsecured due 2012
|
10/13/2010 | LMMUPF | Nuveen California Dividend muni fund to redeem auction-rate preferred
|
10/13/2010 | CACVLM | Chartwell to redeem its C$124.93 million 6% convertible debentures
|
10/13/2010 | IGLM | Raytheon to redeem 5.5%, 5.375% notes with proceeds of new notes
|
10/13/2010 | HYLM | FTI Consulting announces final tender results of 7 5/8% senior notes
|
10/13/2010 | CALM | Canadian Income substantial issuer bid on 7% notes set for Thursday
|
10/13/2010 | LMMU | Battery Park City, N.Y., calls part of 2003C-2 junior revenue bonds
|
10/13/2010 | HYLM | Regency tenders, seeks consents to amend 8 3/8% senior notes due 2013
|
10/13/2010 | CVLM | Ciena to buy back $76.4 million 0.25% convertible senior notes
|
10/13/2010 | LMMU | Hanover County, Va., calls some Bon Secours Health System bonds
|
10/13/2010 | HYLM | XM Satellite Radio begins cash tender offer for 111/4% notes due 2013
|
10/13/2010 | EMHYLM | Russia's Severstal ups size of tender offer for 93/4% notes
|
10/13/2010 | LMMU | JEA, Fla., to redeem $99.19 million water, sewer system revenue bonds
|
10/13/2010 | IGLM | Fiserv wraps $250 million tender for 6.125% senior notes due 2012
|
10/12/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $517 million
|
10/12/2010 | LM | Westpac Banking calls A$250 million 6% notes, A$375 million floaters
|
10/12/2010 | AGLM | Fannie Mae to redeem $4.9 billion medium-term notes at par
|
10/12/2010 | HYLM | Brigham redeems all $5.6 million of its 9 5/8% senior notes due 2014
|
10/12/2010 | CALM | Bank of Canada accepts C$1 billion of bonds in repurchase auction
|
10/12/2010 | HYLM | Fortescue Metals refinances $1.65 billion, €315 million of notes
|
10/12/2010 | CALM | Sun Life Assurance redeems C$300 million 6.65% debentures due 2015
|
10/12/2010 | HYLMPF | Remy International terminates exchange for two series of preferreds
|
10/12/2010 | CVLM | Pharming: Holders exercise put option for rest of 6.875% convertibles
|
10/12/2010 | LMMU | Battery Park, N.Y., to redeem $1.38 million 2003C-2 revenue bonds
|
10/12/2010 | CVLM | Sakthi Sugars buys back $6.3 million convertibles at 40% discount
|
10/11/2010 | CVLM | Dana Petroleum holders tender almost all convertibles into KNOC offer
|
10/11/2010 | CVLM | AIG launches exchange offer for up to 74.48 million corporate units
|
10/8/2010 | LM | Coventry Building Society calls £10 million 5.25% notes due 2015
|
10/8/2010 | LMMU | California Water Resources calls parts of power supply revenue bonds
|
10/8/2010 | AGLM | Fannie Mae to redeem $3.519 billion medium-term notes at par
|
10/8/2010 | IGLM | AIG launches exchange offer for up to 74.48 million corporate units
|
10/8/2010 | LM | Saint-Gobain to issue new notes to BNP, partially cancel four series
|
10/8/2010 | LMMU | Dasny calls all $94.79 million 2000A City University revenue bonds
|
10/8/2010 | CAHYLM | Harvest Operations calls all remaining $209.57 million 7 7/8% notes
|
10/8/2010 | IGLM | Alltel Georgia to redeem $10 million of its 6.5% debentures
|
10/8/2010 | HYLM | El Paso obtains $348.67 million tenders in 12% notes exchange offer
|
10/8/2010 | LMMU | Ohio Water Development defeases some 2004 pollution control bonds
|
10/8/2010 | CVLM | Mahindra & Mahindra calls all $141.2 million zero-coupon convertibles
|
10/8/2010 | IGLM | Entergy Arkansas calls $200 million first mortgage bonds due 2032
|
10/8/2010 | HYLM | Energy Future issues new 15% notes for 111/4/12% toggle, 101/4% notes
|
10/8/2010 | EMHYLM | Hungary's Magyar Telecom begins offer to buy back 91/2% senior notes
|
10/8/2010 | IGLM | International Speedway tenders for $100 million 5.4% notes due 2014
|
10/8/2010 | HYLM | PolyOne wraps tender for 8 7/8% notes; new issue to fund offer
|
10/8/2010 | EMIGLM | Telemar Norte Leste swaps $607.94 million of 91/2% notes for 51/2% notes
|
10/8/2010 | IGLM | Sara Lee redeems remaining $456.68 million 6.25% bonds at 105.7914
|
10/8/2010 | HYLMPV | NextWave to retire senior secured first-lien notes with sale proceeds
|
10/7/2010 | EMHYLM | Brazil's Braskem solicits consents to amend 113/4% notes due 2014
|
10/7/2010 | AGLM | FFCB calls $110 million 5.625% consolidated systemwide bonds at par
|
10/7/2010 | HYLM | Denny's subsidiary closes tender offer for 10% senior notes due 2012
|
10/7/2010 | EMLM | Philippines' SM Investments to issue $213.7 million new 51/2% bonds due 2017 in exchange offer
|
10/7/2010 | CALM | Brookfield Renewable Power to redeem 8.75% medium-term notes due 2012
|
10/7/2010 | HYLM | InterOil redeems $20 million 9% bonds and NOK 100 million bonds
|
10/7/2010 | EMLM | Puncak Niaga Holdings calls RM 54,687,000 15-year notes
|
10/7/2010 | CVLM | Continental to redeem $75 million of 5% convertible notes due 2023
|
10/7/2010 | HYLMPF | PS Business Parks calls all $48,375,000 of 7.6% preferred stock
|
10/7/2010 | EMLM | Turkey's Yasar gets tenders for €103.23 million of Troy's 91/2% notes
|
10/7/2010 | CVLM | Energy XXI to swap common stock for $7.2 million of 7.25% convertibles
|
10/7/2010 | LMMU | Illinois Student Assistance Commission extends tender offer to Oct. 11
|
10/7/2010 | EMLM | Venezuela's PDVSA considers exchange offer for 2011 bonds
|
10/7/2010 | CVLM | RS repays C$25 million 8.5% convertible debentures due 2010 in shares
|
10/7/2010 | LMPF | Trustmark redeems $8.25 million Republic Bancshares trust preferreds
|
10/7/2010 | HYLM | Applebee's and IHOP to redeem several series of their fixed-rate notes
|
10/6/2010 | HYLM | Alliance Laundry calls all $685,000 8.5% senior subordinated notes
|
10/6/2010 | CVLM | Essex Property to redeem $3.22 million 3.625% exchangeables due 2025
|
10/6/2010 | IGLM | Union Pacific to redeem all $400 million 6.65% notes due 2011
|
10/6/2010 | HYLM | Brookstone accepts 12% note tenders, extends offer expiration again
|
10/6/2010 | CVLM | Neo-China Land holders put back HK$50.16 million of 0% convertibles
|
10/6/2010 | IGLMPF | Public Storage calls all $108.75 million 7.125% preferred shares
|
10/6/2010 | HYLM | Michaels begins tender offer, consent solicitation for 10% notes
|
10/6/2010 | CVLM | Sevan Marine to redeem $48 million senior secured convertibles
|
10/6/2010 | AGLM | FFCB calls $200 million of 1.55% consolidated systemwide bonds at par
|
10/6/2010 | LMMU | Clark County, Nev., calls all 2005A Las Vegas-McCarran Airport bonds
|
10/6/2010 | HYLM | Scientific Games holders tender $107.62 million in 61/4% notes due 2012
|
10/6/2010 | EMLM | Philippines' SM gets tenders for $196.58 million 63/4% bonds, 6% bonds
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10/6/2010 | CAIGLM | Teck Resources holders tender $543 million in 103/4% notes due 2019
|
10/6/2010 | LMMU | Hurley, N.M., calls 1985 Kennecott Santa Fe pollution control bonds
|
10/6/2010 | IGLM | Barclays Bank begins consent solicitation for eight series of notes
|
10/6/2010 | EMLM | Thailand's TMB Bank buys $18.08 million perpetual securities in offer
|
10/6/2010 | CVLM | Accuride plans conversion offer for 7.5% notes, reverse stock split
|
10/6/2010 | LMMU | Massachusetts Development calls some Newbridge on the Charles bonds
|
10/6/2010 | IGLM | Delhaize swaps debentures, notes for $827.16 million in 5.7% notes
|
10/5/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $850 million at par
|
10/5/2010 | IGLM | Pepco tenders for 6.125% notes, expects to call 5.9% notes, 6% notes
|
10/5/2010 | HYLM | Pactiv starts tender for 5 7/8% notes, 6.4% notes with acquisition
|
10/5/2010 | LMMU | South Carolina Education Assistance rescinds full redemptions of 12 series of loan revenue bonds
|
10/5/2010 | EMLM | Philippines updates offer results; $2.29 billion bonds to be exchanged
|
10/5/2010 | BKHYLM | Terex wraps loan amendment, permitting repurchase of senior notes
|
10/5/2010 | IGLM | Public Service Colorado plans to repay debt via bond issue proceeds
|
10/5/2010 | HYLM | Pulte gets tenders for $570.27 million of notes so far in three offers
|
10/5/2010 | LMMU | University of Connecticut calls all 2000A student fee revenue bonds
|
10/5/2010 | HYLM | Brookstone gets tenders for 90.74% of 12% notes by cash deadline
|
10/5/2010 | CALM | Bank of Canada accepts C$500 million of bonds in purchase auction
|
10/5/2010 | IGLM | Sweden's Swedbank announces repurchase of $4 million of notes
|
10/5/2010 | HYLM | R.E.A. Holdings to buy back some 71/2%, 91/2% notes with equity proceeds
|
10/5/2010 | HYLM | CIT calls all outstanding $860 million 10.25% notes due 2015 and 2016
|
10/5/2010 | CVLM | CapitaMall repurchases S$100 million 1% convertibles bonds due 2013
|
10/5/2010 | LMMU | California redeems series 2000 G.O. bonds totaling $534.58 million
|
10/5/2010 | HYLM | Terex offers to buy back its 10 7/8% notes and 7 3/8% notes at par
|
10/5/2010 | HYLM | DJO Finance to fund tender for 113/4% notes with senior notes proceeds
|
10/5/2010 | CVLM | Energy Conversion Devices issues shares in swap for 3% convertibles
|
10/5/2010 | LMMU | Jefferson County, Texas, defeases $91.61 million Baptist Hospitals of Southeast Texas bonds
|
10/5/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $280 million at par
|
10/5/2010 | HYLM | Visant completes offers for 101/4%, 83/4%, 7 5/8% notes; Oct. 21 call set
|
10/5/2010 | HYLM | Delta wraps $750 million of debt reduction, delevering in September
|
10/5/2010 | EMHYLM | Brazil's Minerva Overseas gets tenders for $125.52 million 91/2% notes
|
10/5/2010 | LMMU | Mahoning County, Ohio, calls $68.65 million Forum Health 1997A bonds
|
10/4/2010 | HYLM | Sinclair gets tenders, consents for $175.6 million of 8% notes so far
|
10/4/2010 | LMMU | Ohio Water Development to redeem $99.1 million FirstEnergy Nuclear Generation bonds in full
|
10/4/2010 | DDEMLM | Thailand's G Steel adjourns 101/2% notes meeting due to lack of quorum
|
10/4/2010 | LMMU | Indiana Finance calls some 2008A Sisters of St. Francis Health bonds
|
10/4/2010 | CAHYLM | Harvest to call 7 7/8% notes after tender; $178.34 million is tendered
|
10/4/2010 | HYLM | Stoneridge holders tender enough 111/2% senior notes to amend indenture
|
10/4/2010 | LMMU | Pittsburgh, Allegheny County Sports & Exhibition calls some 2007 bonds
|
10/4/2010 | EMHYLM | Hong Kong's Road King to buy $30.41 million 61/4% notes, no floaters in Dutch auction tender offers
|
10/4/2010 | LMMU | Lehigh County, Pa., calls portion of 2008 Muhlenberg College bonds
|
10/4/2010 | CVLM | Champion Path holders convert HK$1.02 billion of zero-coupon bonds
|
10/4/2010 | HYLM | Tomkins accepts all £259.29 million of tendered 8% notes, 6 1/8% notes
|
10/4/2010 | EMLM | SK Energy seeks consents for 7% notes due 2013, 5 7/8% notes due 2011
|
10/4/2010 | LMMU | Portland, Ore., calls all 1998 Portland International Airport bonds
|
10/4/2010 | LMMU | Metropolitan Transportation Authority, N.Y., to redeem some 2008 dedicated tax fund bonds
|
10/4/2010 | CVLM | Club Mediterranee buys back €11.97 million Oceanes in off-market deals
|
10/4/2010 | IGLM | CBS begins cash tender offer for $250 million of 8.625%, 5.625% notes
|
10/4/2010 | HYLM | NBTY calls all $190 million 7 1/8% senior subordinated notes due 2015
|
10/4/2010 | LMMU | Private Colleges, Ga., to redeem $95.7 million Emory University bonds
|
10/4/2010 | LMMU | Missouri Development calls $500,000 of Nelson Gallery Foundation bonds
|
10/4/2010 | CVLM | Sterling Biotech calls in full 0.5% foreign currency convertibles
|
10/4/2010 | IGLM | CBS calls all $335 million 7.25 % senior notes due June 2051
|
10/4/2010 | AGLM | FFCB calls $50 million of 2.875% consolidated systemwide bonds at par
|
10/4/2010 | HYLM | Silgan calls all outstanding 63/4% senior subordinated notes due 2013
|
10/4/2010 | LMMU | North Carolina Medical Care calls some 2008 Novant Health bonds
|
10/4/2010 | DDEMHYLM | Brazil's Imcopa begins consent solicitation for 10 3/8% notes, announces plan to reorganize
|
10/4/2010 | IGLM | Washington REIT buys back $56.1 million in 5.95% notes in cash tender
|
10/4/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $305 million at par
|
10/1/2010 | CVLM | Mood Media to redeem all C$30.32 million 10% convertible debentures
|
10/1/2010 | LMMU | Denver School District No. 1 defeases $88.47 million 2004 G.O. bonds
|
10/1/2010 | AGLM | FFCB calls $50 million of 3.6% consolidated systemwide bonds at par
|
10/1/2010 | HYLM | Invacare launches tender offer, solicits consents for 93/4% notes
|
10/1/2010 | LM | Rexam buys back €3.45 million of its 4.375% notes in two transactions
|
10/1/2010 | CVLM | US Airways says holders surrender 93% of 7% convertibles in put option
|
10/1/2010 | LMMU | Michigan Hospital Finance calls portions of 2005 Trinity Health bonds
|
10/1/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $631.22 million at par
|
10/1/2010 | HYLMPF | Gramercy Capital offers to buy 4 million 8 1/8% series A preferreds
|
10/1/2010 | HYLM | EarthLink purchase of ITC^DeltaCom triggers notes' change of control
|
10/1/2010 | CVLM | Vornado Realty accepts tenders for 49.69% of 3.625% convertibles, 54.48% of 2.85% convertibles
|
10/1/2010 | LMMU | Michigan Hospital Finance calls some 2007 Henry Ford Health bonds
|
10/1/2010 | CALM | Calloway REIT to redeem its $150 million of 10.25% notes on Oct. 25
|
10/1/2010 | IGLM | DTE Energy to redeem $5.67 million of 7.458% senior bonds on Oct. 31
|
10/1/2010 | HYLM | DJO Finance tenders for all $200 million 113/4% subordinated notes
|
10/1/2010 | DDHYLM | Radio One further extends exchange offer for 8 7/8%, 6 3/8% notes
|
10/1/2010 | LMMU | Vermont Education & Health calls all 2008 Middlebury College bonds
|
10/1/2010 | CVLM | Dragon Mining is free from debt after redemption of all convertibles
|
10/1/2010 | IGLM | Kraft Foods gets needed consents to amend Cadbury Schweppes notes
|
10/1/2010 | HYLM | DaVita launches tender offer, solicits consents for 6 5/8%, 71/4% notes
|
10/1/2010 | DDHYLM | Vertis extends tender offers for 131/2%, 181/2% senior notes to Oct. 29
|
10/1/2010 | CVLM | IOI Resources buys back $11.65 million more 0% exchangeables due 2013
|
10/1/2010 | IGLMPF | Gleacher redeems all 14% series B preferreds for about $26.75 million
|
10/1/2010 | HYLM | Griffon unit wraps tender offers for Ames True Temper notes due 2012, calls remainder
|
10/1/2010 | EMLM | Argentina's Edenor begins tender, exchange offer for 101/2% senior notes
|
9/30/2010 | CVLM | eBet buys A$3.2 million 10% convertibles, debt cut to A$2.5 million
|
9/30/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $674 million at par
|
9/30/2010 | IGLM | Oncor tallies tenders for $220 million 6.375%, $126.3 million 5.95% notes thus far in exchange
|
9/30/2010 | HYLM | Intelsat receives needed consents to amend 91/4%, 6 7/8% senior notes
|
9/30/2010 | DDHYLM | American Media again extends offers for its 14% notes, 9% PIK notes
|
9/30/2010 | CALM | Telebec, NorthernTel seek consents to amend C$137.7 million debentures
|
9/30/2010 | IGLM | Regency Centers launches cash tender offer for 6.75%, 7.95% notes
|
9/30/2010 | HYLM | Nielsen plans to redeem some of its $869 million in 10% notes due 2014
|
9/30/2010 | EMHYLM | Russia's Severstal announces tender offer for $450 million 93/4% notes
|
9/30/2010 | CVLM | Club Mediterranee to buy back portion of 2010 Oceane bonds in reverse book-building process
|
9/30/2010 | IGLM | Weatherford gets early tenders for $627.7 million of three note series
|
9/30/2010 | HYLM | Titan sets Friday as early settlement day in tender offer for 8% notes
|
9/30/2010 | HYLM | Alliance Laundry says 99.54% of 81/2% notes were tendered by early date
|
9/30/2010 | CVLM | Pacific Basin Shipping buys back $8.1 million more 3.3% convertibles
|
9/30/2010 | LMMU | Chicago calls $82.48 million in three series of water revenue bonds
|
9/30/2010 | IGLM | Anadarko Petroleum calls all $422.04 million 6.75% notes due 2011
|
9/30/2010 | HYLM | Elan accepts all $156 million of tendered 8 7/8%, floating-rate notes
|
9/30/2010 | CVLM | Thoresen redeems one-third of 2.5% convertibles in first installment
|
9/30/2010 | LMMU | NY Authority to redeem $181.27 million series 1999A water, sewer bonds
|
9/30/2010 | IGLM | Norfolk Southern extends early exchange date for 7.9% notes to Oct. 14
|
9/30/2010 | HYLM | Graphic Packaging aims to redeem $40.18 million in 91/2% notes due 2012
|
9/29/2010 | EMLM | Thailand's Bank of Ayudhya to redeem all 12 billion baht debentures
|
9/29/2010 | CVLM | Q-Cells begins Dutch auction tender offer for 1.375% convertibles
|
9/29/2010 | LMMU | Alaska calls $105.96 million of Alaska International Airports bonds
|
9/29/2010 | LM | Saint-Gobain to refinance or buy back €957 million of four note series
|
9/29/2010 | EMIGLM | Brazil's Votorantim gets needed holder consents to amend 7.875% notes
|
9/29/2010 | LMMU | Fulton County, Ga., calls all series 1999 Public Purpose Project COPs
|
9/29/2010 | LM | Sweden's Swedbank intends to repurchase €105 million of its euro notes
|
9/29/2010 | EMLM | Korea's SK Energy seeks noteholder approval of reorganization plans
|
9/29/2010 | LMMU | New Jersey Economic Development 2008 V-1 bonds have mandatory tender
|
9/29/2010 | HYLM | Graphic Packaging gets tenders for $209.83 million 91/2% senior notes
|
9/29/2010 | EMLM | Philippines' SM Investments sets 5.2% minimum coupon for bonds to be issued for cash or exchange
|
9/29/2010 | LMMU | New York State Thruway defeases $101.21 million tax revenue bonds
|
9/29/2010 | CVLM | Evergreen Energy retires $2.8 million of 8% convertibles for stock
|
9/29/2010 | HYLMPF | Remy International to issue common shares in exchange for preferreds
|
9/29/2010 | EMLM | Philippines gets tenders for $4.45 billion of bonds in exchange offer
|
9/29/2010 | LMMU | South Placer Wastewater, Calif., calls all $84.53 million 2000A bonds
|
9/29/2010 | CVLM | Fort Chicago Power to redeem remaining 6.25% exchangeable debentures
|
9/29/2010 | IGLM | Schlumberger subsidiaries buy back $329.78 million 6.5%, 6.75% notes
|
9/28/2010 | CALMPF | CIBC to redeem all of two series of class A preferreds on Oct. 31
|
9/28/2010 | EMHYLM | Brazil's Minerva Overseas gets consents needed to amend 91/2% notes
|
9/28/2010 | CVLM | CMS Energy declares mandatory conversion of 4.5% cumulative preferreds
|
9/28/2010 | IGLM | Alabama Power calls all $150 million 5 5/8% senior notes due 2034
|
9/28/2010 | CVLM | Equity Residential to redeem series E, series H convertible preferreds
|
9/28/2010 | IGLM | Fiserv gets tenders for $553.87 million 6.125% notes by early deadline
|
9/28/2010 | CVLM | Industrea to repay all A$40.4 million convertibles, get debt facility
|
9/28/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $300 million at par
|
9/28/2010 | CVLM | Q-Cells to repurchase 2007/2012 convertibles with deal's proceeds
|
9/28/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $550 million at par
|
9/28/2010 | DDEMLM | Thailand's G Steel clarifies details of 101/2% notes exchange program
|
9/27/2010 | CVLM | Country Garden buys back another RMB 60 million 2.5% convertibles
|
9/27/2010 | IGLM | Pepco plans to use offering's proceeds to redeem $250 million in notes
|
9/27/2010 | HYLM | Rhodia to use issue proceeds to redeem €306 million floaters due 2013
|
9/27/2010 | CVLM | Norton aims to reduce debt by 28% through redeeming some convertibles
|
9/27/2010 | LMMU | Minneapolis Fairview Health bonds have mandatory tender for purchase
|
9/27/2010 | HYLM | Tomkins amends issuer names in cash tender offer for 8%, 6 1/8% notes
|
9/27/2010 | EMLM | Philippines sets spreads in exchange offer for 14 series of bonds
|
9/27/2010 | LMMU | New Jersey Health Care calls all 1998 Hackensack University bonds
|
9/27/2010 | HYLM | Valeant defeases 7 5/8% and 8 3/8% notes; redemption set for Oct. 27
|
9/27/2010 | HYLM | Brigham holders deliver needed consents for $160 million 9 5/8% notes
|
9/27/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $759 million
|
9/27/2010 | IGLM | Alabama Power to redeem $150 million 5 5/8% notes via new issue funds
|
9/27/2010 | HYLM | Huntsman gets tenders for $159 million 7 7/8% notes by early deadline
|
9/27/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $140 million at par
|
9/27/2010 | IGLM | Entergy Louisiana to repay 51/4%, 4 7/8%, 5.7% first mortgage bonds
|
9/27/2010 | HYLM | Regal Cinemas calls all $51.52 million 9 3/8% notes for redemption
|
9/24/2010 | EMLM | Thailand's TMB Bank delays early tender date for perpetual securities
|
9/24/2010 | LMMU | Burke County authority's Georgia Power bonds have mandatory tender
|
9/24/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $1.25 billion at par
|
9/24/2010 | HYLM | Titan extends expiration of tender offer for 8% senior notes due 2012
|
9/24/2010 | LM | National Grid Gas buys back 5.25% bonds due 2011, 5.5% bonds due 2013
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9/24/2010 | LMMU | Illinois commission to redeem $884.4 million of its student loan bonds
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9/24/2010 | CVLM | Carnival to redeem all 2% convertible senior debentures on Oct. 25
|
9/24/2010 | HYLM | United Components to redeem all $230 million 9 3/8% notes due 2013
|
9/24/2010 | HYLM | DineEquity gets early tenders, consents for $1.26 billion of notes
|
9/24/2010 | LMMU | Monroe County authority's Georgia Power bonds have mandatory tender
|
9/24/2010 | CVLM | Digital Realty issues shares, pays cash incentive for $3 million further 4.125% exchangeables
|
9/24/2010 | IGLM | Sallie Mae says tenders accepted for $660.83 million in company debt
|
9/24/2010 | HYLM | El Paso gets $348.17 million early tenders in 12% notes exchange offer
|
9/24/2010 | DDHYLM | Loehmann's starts exchange offer to extend senior secured notes
|
9/24/2010 | IGLMMU | Jacksonville Port Authority calls some 2007 Mitsui OSK Lines bonds
|
9/24/2010 | HYLM | PHI to redeem remaining $10.51 million 7 1/8% senior notes due 2013
|
9/24/2010 | EMHYLM | Brazil's Vigor obtains consents to amend 91/4% step-up notes due 2017
|
9/24/2010 | LMMU | Bartow County authority's Georgia Power bonds have mandatory tender
|
9/24/2010 | HYLM | PolyOne: $256 million in 8 7/8% notes tendered by early tender date
|
9/23/2010 | CVIGLM | Washington REIT tenders for 5.95% notes, convertibles in two offers
|
9/23/2010 | IGLMPF | Capitol Bancorp again extends trust preferred exchange, raises payout
|
9/23/2010 | CVLMPP | Verenium buys all $13 million of 8% notes, $8 million 5.5% notes
|
9/23/2010 | LMMU | Illinois to redeem all $69.5 million of series 1998B revenue bonds
|
9/23/2010 | EMIGLM | Brazil's Telemar Norte gets needed consents in 91/2% notes swap offer
|
9/23/2010 | LMMU | JEA to redeem $128.07 million in series three electric revenue bonds
|
9/23/2010 | HYLM | Denny's gets needed consents, tenders for 10% senior notes due 2012
|
9/23/2010 | LMMU | Massachusetts calls $1.24 million 2007A Wentworth Institute bonds
|
9/23/2010 | IGLM | Delhaize meets minimum tenders needed for private exchange offer; early participation date extended
|
9/23/2010 | LMMU | Minnesota to redeem $136.75 million of G.O. bonds issued in 10 series
|
9/23/2010 | IGLM | Weatherford gets tenders for $167.07 million of 6.625% notes due 2011
|
9/22/2010 | CVLM | Former CV Therapeutics calls remaining 2.75%, 3.25% convertibles
|
9/22/2010 | IGLM | Oncor gets tenders for 6.375%, 5.95% notes in exchange for new notes
|
9/22/2010 | HYLM | General Motors repurchases €136.77 million, £51.83 million in notes
|
9/22/2010 | EMLM | Philippines' SM Investments to issue bonds due 2017 in exchange offer
|
9/22/2010 | IGLM | Schlumberger subsidiaries start tender offers for five series of notes
|
9/22/2010 | HYLM | PHI gets needed tenders, consents to amend its 7 1/8% notes due 2013
|
9/22/2010 | LM | Allied Irish: holders exercise put option for €26 million of notes
|
9/22/2010 | IGLM | Weatherford prices tender offer for $350 million 6.625% senior notes
|
9/22/2010 | AGLM | FFCB calls $100 million 4.5% consolidated systemwide bonds due 2019
|
9/22/2010 | HYLM | PulteGroup begins three tender offers for up to $500 million of notes
|
9/22/2010 | LM | BNP Paribas begins tender offer for four series of Saint-Gobain notes
|
9/22/2010 | LMMU | Livermore, Calif., to redeem some variable-rate demand certificates
|
9/22/2010 | CAIGLM | Teck Resources ups payout for 103/4% notes tendered after early deadline
|
9/22/2010 | HYLM | Scientific Games gets needed consents, tenders for 61/4% senior notes
|
9/22/2010 | HYLM | Alliance Laundry gets consents to amend 81/2% senior subordinated notes
|
9/22/2010 | LMMU | Nuveen California calls all $34.38 million of auction-rate preferreds
|
9/22/2010 | CVLM | China Medical to redeem convertibles with notes offering proceeds
|
9/22/2010 | HYLM | Visant wraps early settlement for 101/4%, 83/4%, 7 5/8% notes; redemption for remainder set for Oct. 21
|
9/22/2010 | HYLM | GameStop aims to redeem some of its $185 million 8% notes due 2012
|
9/21/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $475 million at par
|
9/21/2010 | LMMU | East Bay Municipal Utility District to redeem $50 million 2008A bonds
|
9/21/2010 | EMLM | WPE receives needed consents for 111/4% notes of Argentina's Impsa
|
9/21/2010 | CVLM | Mentor Graphics calls all floating-rate convertibles for redemption
|
9/21/2010 | LMMU | North Carolina Eastern Municipal Power redeems, defeases 1993B bonds
|
9/21/2010 | HYLM | CIT Group to redeem $537 million 101/4% series B second-lien notes
|
9/21/2010 | CVLM | Overstock.com lifts convertibles repurchase program to $20 million
|
9/21/2010 | HYLM | Rhodia to use $400 million note proceeds to redeem some floaters
|
9/21/2010 | DDHYLM | Trico 11 7/8% noteholders consent to amendments, $22 million financing
|
9/21/2010 | HYLM | Visant obtains needed consents to amend 101/4%, 83/4% and 7 5/8% notes
|
9/21/2010 | EMHYLM | Brazil's Minerva extends early deadline for 91/2% note exchange offer
|
9/21/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $93 million
|
9/21/2010 | IGLM | Entergy Louisiana to repay 5.56%, 5.09%, 5.5% first mortgage bonds
|
9/21/2010 | EMIGLM | Brazil's Votorantim gets consents for 6.625%, 7.75% notes, extends expiration for 7.875% notes
|
9/20/2010 | HYLMPF | CommonWealth REIT to redeem 83/4% series B preferreds at $25 per share
|
9/20/2010 | CVLM | Gasco converts portion of 5.5% convertibles into series C preferreds
|
9/20/2010 | IGLM | DuPont may redeem some 5% notes, 5.875% notes with new issue proceeds
|
9/20/2010 | CVLM | SPG Land announces clean-up call for 0% convertible bonds due 2012
|
9/20/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $165 million
|
9/20/2010 | IGLM | Kraft Foods solicits consents for Cadbury Schweppes 5.125% notes
|
9/20/2010 | EMLM | Philippines starts exchange offer for holders of 14 series of bonds
|
9/20/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $2.92 billion at par
|
9/20/2010 | LMMU | Tarrant County, Texas, to redeem 2008-3 Scott & White hospital bonds
|
9/20/2010 | LM | Hafslund buys back NOK 26 million more five-year floating-rate bonds
|
9/20/2010 | CVHYLM | Sinclair tenders for all 8% notes, up to $60 million 6% convertibles
|
9/20/2010 | HYLM | Stoneridge begins tender offer for 111/2% senior notes, seeks consents
|
9/20/2010 | CVLM | CMS Energy plans to force conversion of 4.5% convertible preferreds
|
9/17/2010 | LMMU | New Jersey authority calls 1994A Public Service Electric & Gas bonds
|
9/17/2010 | LM | Dexia Municipal ends exchange for seven obligations foncières series
|
9/17/2010 | CAHYLM | Harvest begins tender offer, consent solicitation for 7 7/8% notes
|
9/17/2010 | LMMU | South Carolina Education calls $54 million 2006A-3 loan revenue bonds
|
9/17/2010 | HYLM | Brookstone again extends offer to buy 12% second-lien notes due 2012
|
9/17/2010 | CVLM | Digital Realty issues shares, pays cash incentive for another $900,000 of 4.125% exchangeables
|
9/17/2010 | LMMU | Colorado E-470 authority starts Dutch tender for revenue bonds series
|
9/17/2010 | CVLM | Don Quijote to redeem final ¥8.62 billion 0% convertibles due 2011
|
9/17/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $1.61 billion
|
9/17/2010 | LMMU | Jacksonville, Fla., calls portion of 2008A, B capital projects bonds
|
9/17/2010 | CVLM | Energy Conversion enters into exchange with holder of 3% convertibles
|
9/17/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $8.4 billion at par
|
9/17/2010 | LMMU | Michigan building authority calls $87.22 million 2000 series I bonds
|
9/17/2010 | EMLM | Russia's IIB misses quorum for 11% loan participation notes meeting
|
9/17/2010 | CACVDDHYLM | Compton Petroleum gets final court order to recapitalize 7 5/8% notes
|
9/16/2010 | HYLM | Intelsat tenders for 91/4% notes due 2014, 6 7/8% debentures due 2028
|
9/16/2010 | DDHYLM | Radio One again extends exchange offer for 8 7/8% notes, 6 3/8% notes
|
9/16/2010 | CVLM | PDL BioPharma retires remaining $54.3 million 2.75% convertibles
|
9/16/2010 | IGLM | Norfolk Southern starts exchange for any and all 7.9% notes due 2097
|
9/16/2010 | EMHYLM | Brazil's Minerva Overseas cuts participation threshold in private exchange offer for 91/2% notes
|
9/16/2010 | CVLM | Transocean to buy back three series of convertible notes due 2037
|
9/16/2010 | IGLM | Weatherford begins tender offers for up to $700 million senior notes
|
9/16/2010 | EMLM | Turkey's Yasar begins tender offer for 91/2% loan participation notes
|
9/16/2010 | CVLM | Whiting: Exchange offer of 6.25% convertible preferreds oversubscribed
|
9/16/2010 | LM | Swedbank announces repurchase of €2.35 billion of euro notes
|
9/16/2010 | DDEMLM | Thailand's G Steel solicits consents for 101/2% notes, plans exchange
|
9/16/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $633 million at par
|
9/16/2010 | HYLM | Cellu Tissue announces plans to tender for or defease 111/2% notes
|
9/16/2010 | DDHYLM | Bankruptcy Management Solutions' exchange offer for PIK notes extended
|
9/16/2010 | CALM | Bank of Ireland holders tender C$178.68 million fixed/floating notes
|
9/15/2010 | CVLM | BRE launches 4.125% convertibles tender offer, straight bond offering
|
9/15/2010 | LMMU | Illinois Finance calls portion of Landing at Plymouth Place bonds
|
9/15/2010 | HYLM | Graphic Packaging launches cash tender offer for 91/2% senior notes
|
9/15/2010 | HYLM | Cinemark calls all outstanding 9% senior subordinated notes due 2013
|
9/15/2010 | CVLM | Country Garden buys back another RMB 90 million 2.5% convertibles
|
9/15/2010 | LMMU | Pennsylvania calls $113.5 million second series 2000 G.O. bonds
|
9/15/2010 | HYLM | Titan investors tender $138.87 million 8% notes by consent deadline
|
9/15/2010 | HYLM | Correction: El Paso offers up to $220 cash per note in exchange offer
|
9/15/2010 | CVLM | Kodak calls all $11.25 million 3.375% convertibles due 2033 at par
|
9/15/2010 | LMMU | Sevierville, Tenn., building authority calls public improvement bonds
|
9/15/2010 | HYLMPF | Odyssey Re announces plans to redeem series A, series B preferreds
|
9/15/2010 | AGLM | FFCB calls $50 million 5% consolidated systemwide bonds due 2024
|
9/15/2010 | HYLM | EXCO to redeem $444.7 million 71/4% senior notes due 2011 on Oct. 15
|
9/15/2010 | CVLM | Newell Rubbermaid holders tender $324.7 million of 5.5% convertibles
|
9/15/2010 | LMMU | Wisconsin Health's Aurora Health bonds subject to mandatory purchase
|
9/15/2010 | AGLM | Fannie Mae to redeem $15 million 4% medium-term notes at par
|
9/15/2010 | IGLM | Consumers Energy to redeem $136.68 million 5.65% notes in full
|
9/15/2010 | HYLM | French Lick Resorts to redeem $46.42 million 103/4% notes at 105.375
|
9/15/2010 | DDHYLM | American Media further extends offers for 14% notes, 9% PIK notes
|
9/15/2010 | CVLM | AAR retires $6 million 2.25% convertible notes for $4.7 million
|
9/15/2010 | LMMU | Clark County, Nev., to redeem all 1995A, B Nevada Power revenue bonds
|
9/15/2010 | HYLM | GameStop plans to retire senior notes with stock repurchase funds
|
9/15/2010 | DDHYLM | Trico Shipping extends consent solicitation for 11 7/8% notes due 2014
|
9/14/2010 | IGLM | Hospira intends to redeem all $500 million of its 5.55% notes due 2012
|
9/14/2010 | HYLM | El Paso offers 12% noteholders one-for-one exchange plus up to $250
|
9/14/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $2.44 billion at par
|
9/14/2010 | LMMU | Bi-State Development, Mo., to redeem $50 million series 2005A bonds
|
9/14/2010 | HYLM | FTI Consulting begins tender offer, solicits consents for 7 5/8% notes
|
9/14/2010 | CVLM | Country Garden buys back another RMB 75 million 2.5% convertibles
|
9/14/2010 | HYLMPF | CommonWealth REIT to redeem rest of 83/4% series B cumulative preferreds
|
9/14/2010 | CVLM | Toreador extends offer for holders to put 5% convertible senior notes
|
9/14/2010 | IGLM | Fiserv investors invited to tender $250 million 6.125% senior notes
|
9/14/2010 | EMLM | Argentina's Piedra del Aguila repurchases $400,000 of 9% notes
|
9/14/2010 | IGLM | Gulf Power to redeem 5.75%, 5.875% senior notes in full at par Oct. 14
|
9/14/2010 | LM | Sveriges Bostadsfin to repurchase SEK 50 million in series 530 notes
|
9/13/2010 | CVLMPF | Dynex Capital directors approve redeeming 9.5% convertible preferreds
|
9/13/2010 | LMMU | Richland County, S.C., school district defeases two series G.O. bonds
|
9/13/2010 | BKCVLM | Mood Media plans to offer new convertibles to redeem existing 10% convertibles, credit facility
|
9/13/2010 | HYLM | Huntsman tenders for up to $165 million 7 7/8% senior notes due 2014
|
9/13/2010 | LM | Shinsei Bank accepts all 5.625%, 3.75% notes tendered for exchange
|
9/13/2010 | DDLM | Kommunalkredit calls remaining perpetual notes following tender; extraordinary resolution adopted
|
9/13/2010 | CALM | Bell Aliant calls C$345 million outstanding 4.72% medium-term notes
|
9/13/2010 | HYLM | I.M. Skaugen buys back NOK 300 million bonds with new issue proceeds
|
9/13/2010 | LM | Tomkins holders offered cash for 8% notes, 6 1/8% notes by Pinafore
|
9/13/2010 | DDHYLM | Trico Shipping announces consent solicitation for 11 7/8% notes
|
9/13/2010 | CVLM | Alliant Techsystems to redeem all $279.76 million 2.75% convertibles
|
9/13/2010 | HYLM | SoftBank to redeem all remaining 73/4% senior notes due 2013 at 103.875
|
9/13/2010 | HYIGLM | Delta completes early tender for passthrough certificates, 113/4% notes
|
9/13/2010 | EMHYIGLM | Brazil's CSN to redeem $750 million of 91/2% guaranteed perpetual bonds
|
9/13/2010 | CVLM | Energy Conversion issues shares, cash for $6 million 3% convertibles
|
9/13/2010 | IGLM | Southern to redeem some or all 5.75% notes with new issue proceeds
|
9/13/2010 | AGLM | FFCB calls $100 million 2.35% consolidated systemwide bonds at par
|
9/13/2010 | HYLM | Brigham begins tender offer, consent bid for $160 million 9 5/8% notes
|
9/13/2010 | EMHYLM | China's Shimao obtains needed consents for 8% notes, floaters
|
9/13/2010 | CVLM | Symantec may repay $1.1 billion 0.75% convertibles with notes proceeds
|
9/13/2010 | LMMU | Mahoning County, Ohio, calls $68.65 million 1997A Forum Health bonds
|
9/13/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $870 million at par
|
9/13/2010 | HYLM | El Paso offers 61/2% notes, cash in exchange for 12% notes due 2013
|
9/13/2010 | EMLM | Hong Kong's Road King begins cash tender offers for 2011, 2012 notes
|
9/10/2010 | LMMU | North Carolina Education rescinds redemption of 2002K bonds
|
9/10/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $1.86 billion at par
|
9/10/2010 | LMMU | Wisconsin Health's Aurora Health bonds subject to mandatory purchase
|
9/10/2010 | EMIGLM | Brazil's Telemar Norte offers to issue 51/2% notes in swap for 91/2% notes
|
9/10/2010 | LMMUPF | BlackRock California to redeem $5.93 million in municipal preferreds
|
9/10/2010 | HYLM | PolyOne launches cash tender offer for 8 7/8% senior notes due 2012
|
9/10/2010 | IGLM | SABMiller gets consents to amend 6.625% guaranteed notes due 2033
|
9/10/2010 | LMMU | Metropolitan Transportation Authority, N.Y., calls $190.99 million dedicated tax fund bonds
|
9/9/2010 | CVLM | RAIT to swap stock, cash for $10 million of 6.875% convertibles
|
9/9/2010 | IGLMPF | Bank of Ireland to convert allotment notes issued in exchange offers
|
9/9/2010 | HYLM | Peabody says $503.62 million 6 7/8% notes tendered in cash offer
|
9/9/2010 | HYLM | AES calls all $290 million 83/4% second-priority senior notes due 2013
|
9/9/2010 | DDLM | Kommunalkredit wraps tender for perpetuals, expects to call remainder
|
9/9/2010 | HYLM | Texas Industries redeems 71/4% notes outstanding after tender at 101.813
|
9/9/2010 | HYLM | Alaska Airlines redeems $5.76 million 91/2% trust certificates in full
|
9/9/2010 | EMHYLM | REA's 91/2% sterling noteholders approve reorganization resolutions
|
9/9/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $522 million
|
9/9/2010 | IGLM | Goodrich calls all $257.46 million outstanding 7.625% notes due 2012
|
9/9/2010 | HYLM | Denny's begins tender offer and consent solicitation for 10% notes
|
9/9/2010 | EMIGLM | Votorantim Participacoes solicits consents for 6.625%, 7.75%, 7.875% notes
|
9/9/2010 | CVDDLM | Emmis Communications scraps exchange offer for 6.25% convertibles
|
9/9/2010 | IGLM | Gulf Power plans to call all or portion of 5.75%, 5.875% senior notes
|
9/9/2010 | HYLM | Millicom to redeem $455 million 10% bonds due 2013 in full in December
|
9/9/2010 | EMLM | Indonesia's Lippo Karawaci seeks to amend 8 7/8% notes due 2011
|
9/9/2010 | CVLM | AmeriCredit marks Oct. 1 as make-whole date for two convertible series
|
9/9/2010 | IGLM | Nevada Power to redeem local furnishing, pollution control bonds
|
9/9/2010 | HYLM | PHI tenders for, seeks consents to amend 7 1/8% senior notes due 2013
|
9/9/2010 | EMLM | WPE tenders, seeks consents for 111/4% notes issued by Argentina's Impsa
|
9/8/2010 | CVLM | Henry Schein holders convert nearly all 3% convertibles before Sept. 3
|
9/8/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $1.42 billion
|
9/8/2010 | LMMU | Illinois Development calls all $50 million 2003B Peoples Gas bonds
|
9/8/2010 | IGLM | Delhaize Group begins private exchange offer for 9%, 8.05% notes
|
9/8/2010 | CVLM | Royal Host to begin normal course issuer bid for convertibles
|
9/8/2010 | AGLM | Fannie Mae to redeem $25 million 2% medium-term notes due 2017 at par
|
9/8/2010 | LMMU | Washington State calls portion of outstanding series 1993A G.O. bonds
|
9/8/2010 | IGLM | Oncor Electric begins private exchange offer for 6.375%, 5.95% notes
|
9/8/2010 | CVLM | Stewart Enterprises reports purchase of $14.9 million of convertibles
|
9/8/2010 | CAIGLM | Teck Resources begins tender offer for up to $1 billion of 103/4% notes
|
9/8/2010 | IGLM | Sara Lee accepts all $653.32 million of tendered 6.25% notes, calls remaining 6.25% notes
|
9/8/2010 | LM | National Grid Gas buys back £4.28 million of its 7% bonds due 2024
|
9/8/2010 | CVHYLM | Smithfield Foods reports repurchase of more than $52 million of debt
|
9/8/2010 | IGLMPF | City National plans to redeem $250 million 9.625% trust preferreds
|
9/8/2010 | HYLM | MetroPCS lifts tender for 91/4% senior notes due 2014 to $1 billion
|
9/8/2010 | CVLM | Alliant to use offering proceeds to redeem 2.75% convertibles due 2024
|
9/8/2010 | LMMU | California Infrastructure to redeem all 2001 Buck Institute bonds
|
9/8/2010 | HYLM | Scientific Games tenders for, seeks consents to amend 61/4% senior notes
|
9/7/2010 | LM | National Grid repurchases £47.59 million of its 7% bonds due 2024
|
9/7/2010 | CVDDHYLM | Compton Petroleum makes changes to exchange offer for 7 5/8% notes
|
9/7/2010 | IGLM | Goldman Sachs to redeem all $154 million of its 1.75% notes due 2011
|
9/7/2010 | HYLM | EXCO to redeem all $444.7 million remaining 71/4% senior notes due 2011
|
9/7/2010 | CVLM | Fukuyama Transporting holders put ¥6.27 billion convertibles due 2025
|
9/7/2010 | IGLM | Hospira to redeem all $500 million outstanding 5.55% notes due 2012
|
9/7/2010 | HYLM | MetroPCS launches cash tender for $500 million 91/4% notes due 2014
|
9/7/2010 | DDHYLM | Claire's retires $70.2 million in senior notes for $59.1 million
|
9/7/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $1.68 billion
|
9/7/2010 | IGLM | Rogers Communications to redeem all $490 million 9.63% notes due 2011
|
9/7/2010 | HYLM | Visant launches tender offers for 101/4% notes, 83/4% notes, 7 5/8% notes; remainder set to be called
|
9/7/2010 | EMHYLM | Brazil's Minerva starts exchange offer, solicitation for 91/2% notes
|
9/7/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $1.79 billion at par
|
9/7/2010 | IGLM | Sara Lee sets purchase price in tender offer for 6.25% notes due 2011
|
9/7/2010 | HYLMPF | Aimco to redeem all outstanding class G preferreds on Oct. 7
|
9/7/2010 | EMLM | Thailand's TMB Bank tenders for its perpetual tier 1 securities
|
9/7/2010 | CALM | Bank of Ireland starts C$400 million fixed/floating notes exchange
|
9/7/2010 | LMMU | Houston to redeem all $54.59 million series 2000A water, sewer bonds
|
9/7/2010 | IGLM | France Telecom plans to redeem all $3.37 billion 7.75% notes due 2011
|
9/3/2010 | IGLM | Italy's UniCredit to redeem $450 million 9.2% notes due 2010 on Oct. 5
|
9/3/2010 | AGLM | FFCB to redeem $80 million of 3.08% consolidated systemwide bonds
|
9/3/2010 | LMMU | Pennsylvania Economic Development calls some Bionol Clearfield bonds
|
9/3/2010 | IGLMPF | American Physicians to redeem all $6 million 3% series A preferreds
|
9/3/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $4.17 billion at par
|
9/3/2010 | LMMU | Southeastern Pennsylvania Transportation calls $156.37 million of 11 series of 1999A revenue bonds
|
9/3/2010 | LMMU | California Health Facilities calls portion of Memorial Health bonds
|
9/3/2010 | CALM | Great-West Life plans full redemption of 5.55% series O preferreds
|
9/3/2010 | LMMU | Harris County Health, Texas, redeems 2007, 2008 Baylor College bonds
|
9/3/2010 | CVDDLM | Emmis once more extends offer to swap 12% notes for 6.25% convertibles
|
9/3/2010 | LMMU | New Jersey Economic Development calls portion of cigarette tax bonds
|
9/3/2010 | HYLM | Wynn Las Vegas redeems remaining 6 5/8% first mortgage notes due 2014
|
9/3/2010 | LMMU | North Carolina Education Assistance calls 2003M student loan bonds
|
9/2/2010 | CALM | Sun Life Assurance to redeem all 6.65% series 3 debentures due 2015
|
9/2/2010 | HYLM | Chesapeake Energy to redeem all $54.89 million of 7% notes due 2014
|
9/2/2010 | CVLM | Vornado Realty launches tender offers for 3.625%, 2.85% convertibles
|
9/2/2010 | HYLM | Cohen accept tenders for 85% of subordinated promissory notes
|
9/2/2010 | CVLMPP | Pharming Group converts, clears remaining January 2010 private bonds
|
9/2/2010 | IGLM | AT&T swaps $1.36 billion 8.75% notes, $1.59 billion 8% notes for $3.5 billion in new notes
|
9/2/2010 | EMHYLM | China's Shimao begins consent solicitation for 8% notes, floaters
|
9/2/2010 | IGLM | Georgia Power calls $475 million series T, W, X senior notes at par
|
9/2/2010 | EMLM | Kazakhstan's Kazkommerts repurchases some of two series of bonds
|
9/2/2010 | AGLM | FFCB calls $364 million of 1.09% consolidated systemwide bonds at par
|
9/2/2010 | LMPF | Power Financial to redeem all 5.2% series C preferreds on Oct. 31
|
9/2/2010 | LM | Sveriges Bostadsfin repurchases SEK 50 million in series 534 notes
|
9/1/2010 | LMMU | Chattanooga, Tenn., to redeem $55.34 million series 2000 revenue bonds
|
9/1/2010 | IGLMPF | Capitol Bancorp again extends exchange offer for trust preferreds
|
9/1/2010 | LMMU | Puerto Rico Infrastructure to redeem $996.33 million 2000A, B bonds
|
9/1/2010 | CVLM | Charming Shoppes buys back more 1.125% convertibles at discount in Q2
|
9/1/2010 | LMMU | JEA, Fla., to redeem parts of three water, sewer system bonds series
|
9/1/2010 | LMMU | Colorado Health calls portion of Boulder Community Hospital bonds
|
9/1/2010 | IGLMPF | Comerica subsidiary calls all $500 million 6.576% capital securities
|
9/1/2010 | LMMU | Riverside, Calif., calls three series of refunding water revenue bonds
|
9/1/2010 | CVLM | Digital Realty issues shares, pays cash incentive for $11.85 million additional 4.125% exchangeables
|
9/1/2010 | LMMU | Los Angeles MTA calls all $90.16 million Gold Line Eastside bonds
|
9/1/2010 | LMMU | Dekalb County, Ga., calls $214.53 million of water, sewerage bonds
|
9/1/2010 | LMMU | Agua Caliente Band of Cahuilla Indians, Calif., calls some notes
|
9/1/2010 | LMMU | Santa Rosa Rancheria Tachi Yokut, Calif., to redeem some 2004 bonds
|
9/1/2010 | EMHYLM | Brazil's Vigor solicits consents for 91/4% step-up notes due 2017
|
9/1/2010 | LMMU | Massachusetts Health to redeem $82.34 million Worcester City bonds
|
9/1/2010 | LMMU | Georgia to redeem $172.73 million series 2000D G.O. bonds in full
|
9/1/2010 | LMMU | Augusta, Ga., Water & Sewerage calls $84.26 million of 2000 bonds
|
9/1/2010 | LMMU | Virgin Islands Public Finance calls $162.87 million 1999A bonds
|
9/1/2010 | LM | Sveriges Bostadsfin repurchases some of its 540, 538 and 528 notes
|
9/1/2010 | LMMU | Nashville and Davidson County, Tenn., calls some Vanderbilt bonds
|
9/1/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $485 million at par
|
9/1/2010 | LMMU | Harris County, Texas, Health Facilities calls portions of two series Children's Hospital bonds
|
9/1/2010 | LMMU | California Infrastructure rescinds redemption of Buck Institute bonds
|
9/1/2010 | HYLM | Buckeye Technologies to redeem all $140 million of 81/2% notes due 2013
|
9/1/2010 | LMMU | North Carolina Medical calls $71.25 million Presbyterian Homes bonds
|
9/1/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $160 million at par
|
9/1/2010 | LMMU | JEA, Fla., calls some of 12 series of 2008 electric revenue bonds
|
8/31/2010 | LMMU | Bon Secours to convert various bond series to long-term interest rates
|
8/31/2010 | HYLM | Titan International begins tender offer for 8% senior notes due 2012
|
8/31/2010 | EMHYLM | Kansas City Southern Mexico unit calls remaining 9 3/8% senior notes
|
8/31/2010 | LMMU | Colorado E-470 authority weighs tender offer for several bond series
|
8/31/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $282 million at par
|
8/31/2010 | HYLMPF | Aimco announces plans to redeem class G cumulative preferred stock
|
8/31/2010 | EMLM | South Africa's Standard Bank subsidiary calls all floaters due 2015
|
8/31/2010 | LMMU | Houston to redeem all $163.94 million series 1997E water, sewer bonds
|
8/31/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $2.6 billion at par
|
8/31/2010 | IGLM | Corning accepts $226.35 million of tendered 5.9%, 6.2%, 8.875% notes
|
8/31/2010 | LM | Shinsei Bank begins exchange offer for 5.625%, 3.75% step-up notes
|
8/31/2010 | LMMU | Ohio defeases several 2002A, 2003A, 2004A state facilities bonds
|
8/31/2010 | CVDDLM | Becton to seek conversion of convertibles in recapitalization plan
|
8/31/2010 | IGLM | Time Warner to redeem remaining $219.97 million 5.5% notes due 2011
|
8/31/2010 | HYLM | Chesapeake Energy buys back $1.39 billion of notes in tender offers for 7%, 6 5/8%, 61/4% notes
|
8/31/2010 | CVLM | Ferro investors tender $100.5 million 6.5% convertibles due 2013
|
8/31/2010 | IGLM | United Technologies calls all $500 million outstanding 6.35% notes
|
8/31/2010 | HYLM | Radio One extends exchange, consent deadline for 8 7/8%, 6 3/8% notes
|
8/31/2010 | CVLM | Health Care REIT to redeem 7.5% convertible preferreds on Sept. 30
|
8/30/2010 | EMHYLM | Singapore's Stats ChipPAC gets tenders for $164.87 million 63/4% notes
|
8/30/2010 | LMPPPF | Hampton Roads: $255 million private placement of shares on track
|
8/30/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $1.26 billion at par
|
8/30/2010 | LMMU | Houston to redeem three water, sewer junior-lien bond issues in full
|
8/30/2010 | HYLM | Seminole Tribe of Florida calls $57.38 million gaming division bonds
|
8/30/2010 | LM | Norway's Statkraft buys back NOK 250 million in 5.845% notes due 2010
|
8/30/2010 | AGLM | Fannie Mae will probably call $158 billion of callables over next six months
|
8/30/2010 | LMMU | Kalamazoo, Mich., Hospital Finance calls all Bronson Methodist bonds
|
8/30/2010 | IGLM | Sara Lee launches tender offer for $1.11 billion 6.25% notes due 2011
|
8/30/2010 | HYLM | Elan tenders for up to $186 million 8 7/8% notes, floaters due 2013
|
8/30/2010 | CVDDLM | Emmis again extends offer to swap 12% notes for 6.25% convertibles
|
8/30/2010 | LMMU | Louisiana Public Facilities calls Willis Knighton Medical Center bonds
|
8/30/2010 | IGLM | Telus prices planned redemption of $613 million in 8% notes due 2011
|
8/30/2010 | HYLM | Goodyear to redeem all $973 million of its 7.857%, 8 5/8%, 9% notes
|
8/30/2010 | CVLM | Digital Realty issues shares, pays cash incentive for $2 million of 4.125% exchangeables
|
8/30/2010 | LMMU | San Francisco calls $123.32 million San Bruno Jail 3 Replacement COPs
|
8/30/2010 | LMMU | California calls $73.19 million 6.25% various purpose G.O. bonds
|
8/30/2010 | HYLM | Griffon subsidiary extends tender offers for Ames True Temper notes
|
8/30/2010 | CVLM | Dragon Mining to redeem all remaining convertible notes on Sept. 30
|
8/30/2010 | LMMU | University of Akron, Ohio, calls $61.61 million 2008C-1 bonds due 2029
|
8/30/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $445 million at par
|
8/30/2010 | LMMU | Dayton-Montgomery County Port Authority, Ohio, calls all DHL 2007 airport bonds
|
8/30/2010 | HYLM | Range Resources redeems $200 million of its 7 3/8% notes due 2013
|
8/27/2010 | DDHYLMPF | HomeStreet once more extends tender for four trust preferreds series
|
8/27/2010 | CVLM | Hitachi Metals investors put ¥19.9 billion 0% convertibles due 2016
|
8/27/2010 | LMMU | New Jersey Economic Development calls $7.43 million of Keystone bonds
|
8/27/2010 | LM | Mitsubishi calls all ¥1.2 billion series 620 step-up callable notes
|
8/27/2010 | CVLM | Lion obtains needed consents to remove put, redeem some Excel Step 2.5% exchangeables; coupon at 6%
|
8/27/2010 | LMMU | Seminole Tribe of Florida calls two series of special obligation bonds
|
8/27/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $933 million at par
|
8/27/2010 | HYLM | Clean Harbors to redeem $30 million of 7 5/8% notes due 2016 at 103
|
8/27/2010 | CVLM | Olam holders opt to convert remaining $106.08 million 1.2821% bonds
|
8/27/2010 | LMMU | Sunrise, Fla., defeases portion of 1998 utility system revenue bonds
|
8/27/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $481.46 million at par
|
8/27/2010 | HYLM | Innophos to redeem all remaining $190 million of 8 7/8% notes due 2014
|
8/27/2010 | CVLM | Pacific Basin Shipping buys back $4.73 million more 3.3% convertibles
|
8/27/2010 | LMMU | University of Akron to redeem $61.53 million 2008C-2 bonds due 2029
|
8/27/2010 | BKHYLMPF | Forest City Enterprises amends loan to permit preferred equity sale
|
8/27/2010 | IGLM | Prime Property Fund wraps $200 million tender for four notes series
|
8/27/2010 | CVLM | Qwest accepts tenders for 11.6% of 3.5% convertibles; redemption set for November with merger
|
8/27/2010 | CVLM | Barrick Gold calls all Placer Dome 2.75% convertible senior debentures
|
8/27/2010 | LMMU | E-470 Public Highway Authority, Colo., eyes potential tender offers for senior revenue bonds
|
8/26/2010 | HYLM | Dignity seeks consents to amend class A 6.31%, class B 8.151% notes
|
8/26/2010 | LMMU | Hawaii plans to redeem all $87.48 million of 2000CU bonds on Oct. 1
|
8/26/2010 | IGLM | Alcoa plans redemption of $330.06 million of 6.5% notes due 2011
|
8/26/2010 | CVHYLM | Endeavour plans project financing via high-yield deal in mid-2011, convertible refinancing
|
8/26/2010 | IGLM | Georgia Power, unit to redeem four note series via new issue proceeds
|
8/26/2010 | CVLM | Magma says $13.45 million of 6% convertibles repurchased or converted
|
8/26/2010 | IGLM | Sallie Mae launches two Dutch auction tenders for four series of notes
|
8/26/2010 | LM | BPE Financiaciones investors put €300 million in floating-rate notes
|
8/26/2010 | IGLMPF | First BanCorp gets tenders for $487.1 million of perpetual preferreds
|
8/26/2010 | HYLM | Cardtronics holders tender $97.6 million 91/4% notes by Wednesday; remainder called at 102.313
|
8/26/2010 | LMMU | California Infrastructure to redeem $55.6 million series 2001 bonds
|
8/25/2010 | HYIGLM | Delta begins tender offers for passthrough certificates, 113/4% notes
|
8/25/2010 | CVLMPF | EnGlobe investors convert all class A debentures, series 1 preferreds
|
8/25/2010 | LMMU | Tarrant County, Texas, rescinds planned redemption of 2008-3 Scott & White hospital bonds
|
8/25/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $1.16 billion at par
|
8/25/2010 | LMMU | Idaho Health calls portion of St. Luke's Medical Center revenue bonds
|
8/25/2010 | HYLM | Cornell to redeem all $112 million 103/4% senior notes due 2012
|
8/25/2010 | DDHYLM | American Media Operations extends offers for 14% notes, 9% PIK notes
|
8/25/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $75 million at par
|
8/25/2010 | LMMU | Metropolitan Washington Airports defeases 1998B, 1999A airport bonds
|
8/25/2010 | HYLM | Peabody says $503.5 million of 6 7/8% notes tendered by early deadline
|
8/25/2010 | DDHYLMPF | BankAtlantic cancels tender offers for 12 series of trust preferreds
|
8/25/2010 | CVLM | Country Garden buys back another RMB 449.5 million 2.5% convertibles
|
8/25/2010 | LMMU | North Carolina Education calls $60 million student loan revenue bonds
|
8/25/2010 | HYLM | Pride International calls all 7 3/8% senior notes due 2014 at 102.458
|
8/25/2010 | EMLM | Brazil's Banco Itau redeems $1.18 million of its medium-term notes
|
8/25/2010 | CVLM | Evergreen Energy to swap stock for $3.14 million of 8% convertibles
|
8/25/2010 | LMMU | Oregon Facilities calls portion of 2008A Lewis & Clark College bonds
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8/25/2010 | IGLM | Kimco Realty to repay 5.304%, 7.95% notes using proceeds from offering
|
8/25/2010 | EMLM | Qatar's Doha Bank repurchases $5 million floating-rate notes due 2016
|
8/25/2010 | CVLM | Thoresen Thai to redeem remaining 2.5% convertibles in installments
|
8/25/2010 | LMMU | Tampa, Fla., calls $94.44 million 1999B solid waste system bonds
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8/25/2010 | IGLMPF | First BanCorp gets preliminary tenders for 87.9% of perpetual preferreds in exchange offer
|
8/24/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $785 million
|
8/24/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $2.1 billion at par
|
8/24/2010 | CVLM | Ferro closes new issue, loan needed to fund convertibles tender offer
|
8/24/2010 | EMLM | Malaysia's Iris redeems RM 100 million in notes and debt securities
|
8/24/2010 | IGLM | Alcoa accepts $241.92 million of 6%, 5.375% notes in tender offer
|
8/23/2010 | LMMU | Louisiana Public Facilities calls Willis Knighton Medical Center bonds
|
8/23/2010 | HYLM | American Towers to redeem all 71/4% senior subordinated notes due 2011
|
8/23/2010 | HYLM | Interoil to call $20 million 9% bonds and NOK 100 million bonds
|
8/23/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $1.25 billion
|
8/23/2010 | IGLM | Interstate Power to use note proceeds to fund 6.75% notes redemption
|
8/23/2010 | CVLM | AMD wraps oversubscribed tender offer for $800 million 6% convertibles
|
8/23/2010 | IGLM | SunTrust Bank accepts $750 million of debt securities in tender offer
|
8/23/2010 | CVLM | Ferro prolongs tender offer for 6.5% convertibles due 2013 to Aug. 30
|
8/23/2010 | IGLMPF | First BanCorp prices offer to swap five series of perpetual preferreds
|
8/23/2010 | EMHYLM | Indonesia's Indosat calls rest of $53.38 million 7 1/8% notes due 2012
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8/20/2010 | CVLM | Qwest plans to redeem all 3.5% convertibles in November with CenturyLink merger; tender ongoing
|
8/20/2010 | LMMU | St. Cloud, Minn., redeems portion of CentraCare Health System bonds
|
8/20/2010 | EMLM | Russia's VTB North-West elects not to redeem 6.2% loan notes due 2015
|
8/20/2010 | HYLM | Old Second terminates exchange offer for $31.6 million 7.8% securities
|
8/20/2010 | AGLM | Fannie Mae calls medium-term notes totaling $2.78 billion at par
|
8/20/2010 | HYLM | Petrohawk gets needed consents to amend $769 million in 9 1/8% notes
|
8/20/2010 | CVDDLM | Emmis further extends offer to swap 12% notes for 6.25% convertibles
|
8/20/2010 | LMMU | Geauga County, Ohio, calls some 2007A South Franklin Circle bonds
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8/20/2010 | CVEMLM | Korea National Oil to tender for Dana Petroleum convertible bonds
|
8/20/2010 | LMMU | Massachusetts Development Finance calls some Clark University bonds
|
8/19/2010 | BKCVLM | School Specialty drew on revolver to buy $132.9 million convertibles
|
8/19/2010 | LMMU | Washington Airports to redeem all $187.83 million of its 1998B bonds
|
8/19/2010 | HYLM | PetroQuest gets tenders, consents from 73% of 10 3/8% noteholders
|
8/19/2010 | DDHYLM | Vertis extends withdrawal period for 131/2%, 181/2% notes exchange offers; offer payout, terms amended
|
8/19/2010 | LMMUPF | Nuveen muni funds call $590.65 million of auction-rate preferreds
|
8/19/2010 | HYLM | Wynn gets tenders for $987.85 million 6 5/8% first mortgage notes
|
8/19/2010 | EMLM | Argentina's Piedra del Aguila repurchases $2.6 million of 9% notes
|
8/19/2010 | IGLM | Dow Chemical subsidiary gets needed consents for Morton's 91/4% notes
|
8/19/2010 | EMLM | South Korea's Shinhan to redeem series 5, 8 redeemable preferreds
|
8/19/2010 | AGLM | FFCB calls $15 million of 5.2% consolidated systemwide bonds at par
|
8/19/2010 | LMMU | Nashville Airport Authority aims to redeem $219.1 million of bonds
|
8/19/2010 | LM | British Land buys £51.11 million first mortgage debenture bonds
|
8/19/2010 | AGLM | Fannie Mae calls $500 million 0% medium-term notes due 2040 at par
|
8/19/2010 | LMMU | Texas to redeem $19.83 million series 2007A gas supply revenue bonds
|
8/19/2010 | HYLM | MultiPlan, Viant prolong tender offers for 10 3/8% and 10 1/8% notes
|
8/18/2010 | LMMU | California Department of Water Resources calls 2005G-6, 2008J-2 bonds
|
8/18/2010 | CVLM | Pharming plans repayment of remaining 6.875% convertibles due 2012
|
8/18/2010 | LMMU | Essex County, N.J., calls series 2000 correctional facility G.O. bonds
|
8/18/2010 | CVLM | Xstrata calls Xstrata Capital 4% convertibles for Sept. 27 redemption
|
8/18/2010 | LMMU | North Carolina to redeem all $499.87 million 2002 B, C, D, E, F bonds
|
8/18/2010 | EMLM | Argentina's Emgasud proposes new issue to cancel some class 1 notes
|
8/18/2010 | HYLM | Sonic Automotive redeems $20 million 8 5/8% senior subordinated notes
|
8/18/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $340 million at par
|
8/18/2010 | IGLM | AT&T ups maximum tender amount in exchange offer for 8.75%, 8% notes
|
8/18/2010 | AGLM | Fannie Mae calls medium-term notes totaling $1.85 billion at par
|
8/17/2010 | CVLM | Whiting begins exchange offer for 6.25% convertible preferreds
|
8/17/2010 | LMMU | Fort Myers, Fla., calls portion of 2009 utility system revenue bonds
|
8/17/2010 | HYLM | Petrohawk gets tenders for 84.9% of 9 1/8% notes and needed consents
|
8/17/2010 | HYLM | Crown unit holders tender less than half of 61/4% senior notes due 2011
|
8/17/2010 | EMIGLM | Banco Santander Brasil calls all $500 million 8.7% perpetual junior subordinated securities
|
8/17/2010 | LMMU | North Carolina Education Assistance calls $65 million 2002 K-2 bonds
|
8/17/2010 | HYLM | Tenet holders tender 78% of notes so far in offer for $800 million
|
8/17/2010 | HYLM | Elan to redeem remaining $300 million senior floating-rate notes
|
8/17/2010 | EMIGLM | Brazil's Gerdau calls 8.875% perpetual bonds for Sept. 22 redemption
|
8/17/2010 | LMMU | Pittsburgh Water and Sewer calls portion of series 1986 revenue bonds
|
8/17/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $360 million at par
|
8/17/2010 | HYLM | UPC Holding to redeem all of its remaining 73/4%, 8 5/8% notes due 2014
|
8/17/2010 | HYLM | Elizabeth Arden bought back $5 million 73/4% subordinated notes in May
|
8/17/2010 | LM | Fortis Capital calls all €87.49 million of 6.25% perpetual preferreds
|
8/17/2010 | LMMU | Salt River Pima - Maricopa Indian Community calls some 2005 bonds
|
8/17/2010 | AGLM | Fannie Mae calls medium-term notes totaling $1.8 billion at par
|
8/17/2010 | IGLM | AT&T determines payments in exchange offer for 8.75% notes, 8% notes
|
8/17/2010 | HYLM | Griffon unit gets needed consents for Ames True floaters; holders can still receive total payout
|
8/17/2010 | HYLM | Blount to redeem all $175 million 8 7/8% senior subordinated notes
|
8/17/2010 | CVLM | Newell Rubbermaid offers stock, cash in exchange for 5.5% convertibles
|
8/17/2010 | IGLM | Corning holders tender $266.4 million 5.9%, 6.2%, 8.875% notes so far
|
8/17/2010 | HYLM | Nielsen to redeem $1.33 billion of four note series with IPO proceeds
|
8/17/2010 | HYLM | Chesapeake holders deliver consents to amend three note series; remainder to be called after tender
|
8/16/2010 | LMMU | New Jersey Transit to redeem all $146.21 million series 2000B COPs
|
8/16/2010 | AGLM | FFCB to redeem consolidated systemwide bonds totaling $515 million
|
8/16/2010 | LMMU | Central Utah Water Conservancy calls portion of series 2008 B-2 bonds
|
8/16/2010 | LMMU | North Carolina Medical calls portion of 2009C WakeMed revenue bonds
|
8/16/2010 | HYLM | Radio One pushes back exchange expiration for 8 7/8%, 6 3/8% notes
|
8/16/2010 | LMMU | New York City to redeem $159.64 million of 2001D G.O. bonds at 101
|
8/16/2010 | AGLM | Fannie Mae calls medium-term notes totaling $3.22 billion at par
|
8/16/2010 | LMMU | George Washington University calls portions of 2002A, B 5.095% bonds
|
8/16/2010 | LMMU | University of Minnesota to redeem portion of series 2003A G.O. bonds
|
8/16/2010 | IGLM | Corning sets pricing in tender offer for 5.9%, 6.2%, 8.875% notes
|
8/16/2010 | HYLM | Morris Publishing redeems portion of floaters due 2014 in quarter
|
8/16/2010 | LMMU | Massachusetts Port Authority to redeem 1998E, 1999D, 2008B bonds in full, some of 1998A bonds
|
8/16/2010 | IGLM | Legal & General tenders for Potomac Trust Capital class A securities
|
8/16/2010 | HYLM | Nexstar aims to redeem all $5.3 million 131/2% PIK notes on Sept. 15
|
8/16/2010 | LMMU | Medford, Ore., hospital authority calls some Rogue Valley Manor bonds
|
8/16/2010 | IGLM | Simon Property sets pricing in tender for 5.3%, 6.75%, 5.625% notes
|
8/16/2010 | HYLM | Primus Telecommunications retires $9.5 million 141/4% notes in quarter
|
8/16/2010 | LMMU | Michigan Municipal Bond calls portions of 2008A school loan bonds
|
8/16/2010 | IGLM | Teck gets early tenders for 72.4% of 9.75%, 44.2% of 10.25% notes
|
8/16/2010 | HYLM | Prospect Medical holders may put 123/4% notes with change of control
|
8/13/2010 | IGLM | Prime Property Fund extends early tender date for $200 million notes
|
8/13/2010 | HYLM | UPC completes tender for 73/4%, 8 5/8% notes; remainder to be redeemed
|
8/13/2010 | IGLM | XTO buys $16.84 million 7.5%, 6.25% notes in change-of-control offers
|
8/13/2010 | HYLM | Brookstone again extends offer to buy 12% second-lien notes due 2012
|
8/13/2010 | AGLM | FFCB calls consolidated systemwide bonds totaling $385 million at par
|
8/13/2010 | LMMU | Florida Board of Education calls $126.08 million lottery revenue bonds
|
8/13/2010 | HYLM | Delta Air Lines calls $75 million 91/2% senior secured notes due 2014
|
8/13/2010 | AGLM | Fannie Mae calls medium-term notes totaling $8.93 billion at par
|
8/13/2010 | LMMU | Massachusetts Port Authority defeases portion of 1999B PFC bonds
|
8/13/2010 | HYLM | Energy Future wraps exchange offer for 111/4/12% toggle, 10 7/8% notes
|
8/13/2010 | CVDDLMPF | Emmis further extends offer to swap 12% notes for 6.25% convertibles
|
8/13/2010 | LMMU | New Mexico Educational Assistance calls all $385.97 million 2008 bonds
|
8/13/2010 | IGLM | Interstate Power calls $200 million 6.75% series B senior debentures
|
8/13/2010 | CVLM | Qwest extends expiration of tender for all 3.5% convertibles due 2025
|
8/12/2010 | LMMU | California to redeem $328 million of its 2004C economic recovery bonds
|
8/12/2010 | CVLMPF | Merck says its 6% convertible preferreds will be converted on Friday
|
8/12/2010 | AGLM | FFCB to redeem $100 million of 1.48% consolidated systemwide bonds
|
8/12/2010 | LMMUPF | Nuveen to redeem 12 series of ARPS using private offering proceeds
|
8/12/2010 | DDHYLM | American Media extends expiration date for tender and exchange offers
|
8/12/2010 | AGLM | Fannie Mae calls medium-term notes totaling $185 million at par
|
8/12/2010 | HYLM | Cardtronics begins tender offer, consent bid for 91/4% notes due 2013
|
8/12/2010 | CVDDLM | Empire Resorts appeals court order to buy back 5.5% convertibles; going-concern status in doubt
|
8/12/2010 | HYLM | R.E.A. Holdings subsidiary proposes amendments for 91/2% sterling notes
|
8/12/2010 | CVLM | Citycon buys back €500,000 4.5% convertibles due 2013 at a discount
|
8/12/2010 | IGLM | WesBanco to redeem Oak Hill Capital pass-through securities at 105.438
|
8/12/2010 | CVLM | Wendy's/Arby's buys back remaining 5% convertibles for $2.1 million
|
8/11/2010 | HYLM | Elan to use offering proceeds for redemption of floating-rate notes
|
8/11/2010 | CVLM | Headwaters buys back $19 million of its 16% convertible notes due 2016
|
8/11/2010 | HYLM | Peabody launches cash tender offer for all $650 million 6 7/8% notes
|
8/11/2010 | CVLM | Power-One holders convert all 8% convertibles ahead of redemption
|
8/11/2010 | HYLM | QEP buys back $618.24 million of its notes in change-of-control tender
|
8/11/2010 | DDEMLM | Argentina's Autopistas del Sol details results of exchange offer
|
8/11/2010 | LMMU | New Mexico Educational Assistance rescinds redemption of 2008A bonds
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8/11/2010 | EMHYLM | Singapore's Stats ChipPAC gets tenders for 76.49% of 63/4% notes so far
|
8/11/2010 | LMMU | Tarrant County Cultural Education Facilities, Texas, calls 2008-3 Scott & White hospital bonds
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8/11/2010 | HYLM | Arch Western Finance calls $500 million of 63/4% senior notes due 2013
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8/11/2010 | AGLM | Fannie Mae calls medium-term notes totaling $440 million at par
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8/11/2010 | LMMU | University of Akron, Ohio, nixes redemption of 2008C-1, 2008C-2 bonds
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8/10/2010 | CVLM | Greatbatch: Put options exercised for $30.5 million 2.25% convertibles
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8/10/2010 | HYLM | Esterline to redeem any 73/4% notes due 2013 not tendered in offer
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8/10/2010 | CVLM | Henry Schein calls 3% convertible contingent notes due 2034
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8/10/2010 | HYLM | Goodyear to use note proceeds to redeem some 8 5/8%, 7.857% notes
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8/10/2010 | CVLM | Qwest Communications prices tender offer for 3.5% convertible notes
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8/10/2010 | AGLM | FFCB calls $225 million of 3.3% consolidated systemwide bonds at par
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8/10/2010 | HYLM | MultiPlan, Viant get needed consents for 10 3/8% and 10 1/8% notes
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8/10/2010 | EMHYLM | Indosat redeems remaining $66.87 million 73/4% guaranteed notes due 2010
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8/10/2010 | AGLM | Fannie Mae calls medium-term notes totaling $729.31 million at par
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8/10/2010 | HYLM | Waterford Gaming calls portion of 8 5/8% notes due 2014 at 102.537
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8/10/2010 | EMHYLM | Thailand's PTT Aromatics repurchases $53.5 million of its 51/2% notes
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8/10/2010 | CVHYLM | Regal Entertainment to repay 61/4% convertibles, redeem 9 3/8% notes
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8/10/2010 | LM | Nordea Bank redeems £350 million of its 4.625% notes due 2010 at par
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8/9/2010 | HYLM | Tyson Foods buys back $392 million of notes in fiscal third quarter
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8/9/2010 | CVLM | PNC Financial to redeem two series of convertible preferreds on Oct. 1
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8/9/2010 | LMMU | New Jersey Health Care Facilities calls $129.64 million Robert Wood Johnson University Hospital bonds
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8/9/2010 | IGLM | Simon Property begins tender offer for 5.3%, 6.75% and 5.625% notes
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8/9/2010 | CVDDLM | Emmis again extends offer to swap 12% PIK notes for 6.25% convertibles
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8/9/2010 | HYLM | Whiting Petroleum calls 71/4% senior subordinated notes due 2012, 2013
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8/9/2010 | CVLM | Pacific Basin Shipping cancels another $2 million of 3.3% convertibles
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8/9/2010 | LMMU | Raleigh Durham Airport to redeem all $216.87 million 2008A, B bonds
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8/9/2010 | IGLM | SunTrust sets pricing in already oversubscribed $750 million tender
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8/9/2010 | CVHYLMPF | LTC Properties calls 8.5% convertible preferreds, some 8% preferreds
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8/9/2010 | IGLM | Alcoa gets $375.25 million of 6%, 5.375% notes in tender offer so far
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8/9/2010 | DDEMLM | Argentina's Autopistas del Sol announces exchange offer results
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8/9/2010 | IGLM | Teck lifts cash tender offer for 9.75%, 10.25% notes to $800 million
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8/9/2010 | CVLM | Affiliated Managers holders convert all remaining zero-coupon convertibles ahead of redemption
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8/9/2010 | IGLM | Colonial Properties to redeem 8 1/8% series D cumulative preferreds
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8/9/2010 | HYLM | Cornell Cos. informs investors that it may refinance its senior notes
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8/9/2010 | CVLM | Coeur d'Alene repurchases $44.4 million 3.25% convertibles in exchange
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8/9/2010 | IGLMPF | Public Storage buys back some of its 6.85% preferreds for $9.2 million
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8/9/2010 | IGLM | Delphi Financial to redeem $50 million of 8% senior notes due 2033
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8/9/2010 | AGLM | FFCB calls $287 million of consolidated systemwide bonds at par
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8/9/2010 | HYLM | Newell Rubbermaid gets tenders for $279.32 million of 10.6% notes
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8/9/2010 | CVLM | DST to redeem all series A, series B convertible debentures due 2023
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8/9/2010 | LMMU | Harris County, Texas, 2009B toll road bonds have mandatory tender
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8/9/2010 | IGLM | Ohio Water Service to redeem $3.56 million of first-mortgage bonds
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8/9/2010 | AGLM | Fannie Mae calls medium-term notes totaling $2.26 billion at par
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8/6/2010 | HYLMPF | Hilltop Holdings to redeem all 8.25% series A preferreds on Sept. 6
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8/6/2010 | CVLM | Inland accepts tenders for 35.4% of 4.625% convertibles in exchange offer, falls short of consents
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8/6/2010 | LMMU | East Baton Rouge, La., Parish Development calls some Stupp bonds
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8/6/2010 | CVLM | International Coal plans to buy back portion of 9% convertible notes
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8/6/2010 | AGLM | FFCB to redeem $1 billion of consolidated systemwide bonds at par
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8/6/2010 | LMMU | JEA, Fla., to redeem all $73.59 million 2008A-1 water and sewer bonds
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8/6/2010 | CVLM | Liberty Media seeks judgment to allow split-off, related exchange offer for 3.125% exchangeables
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8/6/2010 | AGLM | Fannie Mae calls medium-term notes totaling $2.72 billion at par
|
8/6/2010 | LMMU | Port of Seattle's 2005 subordinate-lien bonds have mandatory tender
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8/6/2010 | EMHYLM | Argentina's TGS buys back $6 million of its 7 7/8% notes due 2017
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8/6/2010 | CVLM | Alcatel-Lucent bought back €327 million 2.875% series A convertibles
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8/6/2010 | EMLM | Argentina's Piedra del Aguila repurchases $2.03 million of 9% notes
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8/6/2010 | CVLM | DST Systems buys back $155 million of convertibles at discount in H1
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8/5/2010 | HYLM | Iron Mountain calls $200 million of $431 million 73/4% notes due 2015
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8/5/2010 | CVLM | Vincom converts, cancels $1 million of additional 6% convertibles
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8/5/2010 | LMMU | Illinois calls $137 million in first series of August 2000 G.O. bonds
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8/5/2010 | HYLM | PetroQuest announces tender, consent solicitation for 10 3/8% notes
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8/5/2010 | DDHYLM | Vitro noteholder steering group opposes planned consent solicitation
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8/5/2010 | HYLM | Texas Industries holders deliver consents needed to amend 71/4% notes
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8/5/2010 | EMLM | National Bank of Abu Dhabi buys back $20.13 million of floaters
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8/5/2010 | AGLM | FFCB calls $25 million of 5.99% consolidated systemwide bonds at par
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8/5/2010 | HYLM | Vantage Drilling calls $135 million 131/2% notes for Aug. 30 redemption
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8/5/2010 | HYLM | Boyd Gaming buys back $17.5 million senior subordinated notes in Q2
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8/5/2010 | CVLM | Ferro ups payout, adds condition for 6.5% convertibles tender offer
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8/5/2010 | HYLM | Wynn gets consents to amend $1.32 billion 6 5/8% first mortgage notes
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8/5/2010 | HYLM | Exide Technologies to redeem 101/2% notes with new issue proceeds
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8/5/2010 | CVLM | PDL to retire $61.6 million 2.75% convertibles; remainder called
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8/5/2010 | IGLM | Sallie Mae buys back $1.4 billion notes in Q2, including tender offer
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8/4/2010 | HYLM | Nexstar reports repurchase of $4 million PIK notes in second quarter
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8/4/2010 | CVLM | Savvis accepts tenders for $339.4 million of 3% convertibles due 2012
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8/4/2010 | LMMU | New York City Industrial Development's 2006B New York Law School bonds have mandatory tender
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8/4/2010 | HYLM | Sevan Marine bondholders approve early redemption of 91/4% bonds
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8/4/2010 | CVLM | Sinclair buys back $16.1 million 6%, 3% convertibles, readies funds for 4.875% notes redemption
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8/4/2010 | LMMU | UIL Holdings plans to refund $64.5 million of its auction-rate bonds
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8/4/2010 | AGLM | Fannie Mae calls 4% medium-term notes totaling $280 million at par
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8/4/2010 | IGLM | AT&T offers holders new notes and cash in exchange for 8.75%, 8% notes
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8/4/2010 | EMLM | Brazil's Banco Itau redeems $1 million of its medium term notes at par
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8/4/2010 | CVLM | Equal Energy to buy up to C$11.99 million convertibles in issuer bid
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8/4/2010 | IGLM | Santander UK to redeem $150 million subordinated floaters due 2015
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8/4/2010 | HYLM | ArvinMeritor buys back $18 million of its 83/4% notes, 8 1/8% notes
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8/4/2010 | CVLM | Kendle buys back $12 million of 3.375% convertibles in second quarter
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8/4/2010 | LMMU | Harris County, Texas, Health Facilities redeems 2007, 2008 Baylor College of Medicine bonds
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8/4/2010 | HYLM | Crown Holdings begins tender offer for Crown European's 61/4% notes
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8/4/2010 | CVLM | Pacific Basin Shipping buys back another $2 million 3.3% convertibles
|
8/4/2010 | LMMU | Milwaukee Redevelopment calls portion of 2005 UWM-Kenilworth bonds
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8/3/2010 | CVHYLM | iStar buys back or redeems $517.2 million of notes in second quarter
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8/3/2010 | HYLM | Tenet Healthcare launches tender for up to $800 million 7 3/8% notes
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8/3/2010 | HYLM | Griffon subsidiary begins tender offer for Ames True Temper notes
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8/3/2010 | LM | Bank of Ireland holders put back all floaters due September 2010
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8/3/2010 | LMMU | New Jersey to redeem $56.94 million series 2000A environmental bonds
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8/3/2010 | CVLM | BRE Properties repurchases $15 million of its 4.125% convertible notes
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8/3/2010 | HYLMPF | LTC Properties to redeem series E preferreds and series F preferreds
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8/3/2010 | HYLM | MGM Resorts buys back $211 million of senior notes in second quarter
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8/3/2010 | LM | National Grid cancels notes repurchased in Dutch tender offers
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8/3/2010 | CVLM | Pantry buys back $16.1 million of convertibles in fiscal third quarter
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8/3/2010 | IGLM | Alcoa wraps first offer, gets tenders for less than half of 6.5% notes
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8/3/2010 | AGLM | FFCB to redeem $1.2 billion of consolidated systemwide bonds at par
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8/3/2010 | HYLM | Navistar to redeem all $14.62 million of its 71/2% senior notes due 2011
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8/3/2010 | HYLM | Chesapeake Energy launches tender offers for 7%, 6 5/8%, 61/4% notes
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8/3/2010 | CVLM | Savvis again extends tender for $345 million 3% convertibles due 2012
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8/3/2010 | IGLM | Corning offers to buy up to $225 million of 5.9%, 6.2%, 8.875% notes
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8/3/2010 | AGLM | Fannie Mae calls medium-term notes totaling $942.94 million at par
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8/3/2010 | HYLM | Nexus gets tenders of 86.27% of notes in exchange for new notes, stock
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8/3/2010 | HYLM | D.R. Horton buys back $345.2 million notes in Q3, $53.3 million after
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8/3/2010 | CVLM | WebMD buys back $12.9 million, converts $12.7 million 3.125% convertibles in second quarter
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8/3/2010 | IGLM | Teck begins tender offer for up to $600 million 9.75%, 10.25% notes
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8/3/2010 | CVDDLM | Emmis Communications extends exchange offer for 6.25% convertibles
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8/3/2010 | HYLM | Petrohawk Energy begins tender, consent solicitation for 9 1/8% notes
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8/3/2010 | HYLM | Esterline buys back 73/4% notes tendered so far, gets needed consents
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8/3/2010 | DDLM | Kommunalkredit begins tender offer for fixed/floating-rate notes
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8/3/2010 | IGLMPF | Post Properties buys back $2 million preferreds in first half of 2010
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8/2/2010 | CVLM | Griffon holders put nearly all $50 million outstanding 4% convertibles
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8/2/2010 | LMMU | Kentucky to redeem $53.41 million of its Project No. 67 revenue bonds
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8/2/2010 | HYLM | Arch Coal to redeem $500 million of 63/4% notes with new issue proceeds
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8/2/2010 | CVLM | Powerwave buys back $3 million 1.875% convertibles in second quarter
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8/2/2010 | LMMU | South Carolina authority to redeem $1.45 million MUFC bonds Sept. 1
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8/2/2010 | HYLM | Radio One again extends exchange offer for 8 7/8%, 6 3/8% notes
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8/2/2010 | CVLMPF | Virtus Investment calls some 8% convertible preferreds held by Harris
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8/2/2010 | HYLM | Teleflex plans to prepay $196.6 million of senior notes due 2012, 2014
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8/2/2010 | DDEMLM | Argentina's Autopistas del Sol extends exchange offer to Aug. 9
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8/2/2010 | AGLM | Fannie Mae to redeem $1.45 billion of its medium-term notes Aug. 12
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8/2/2010 | LMMU | Charleston Area Medical Center, W.Va., intends to redeem $64.76 million hospital bonds Sept. 1
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8/2/2010 | EMHYLM | Indonesia's Indosat wraps tender offers for 73/4%, 7 1/8% notes, gets needed funding for settlement
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8/2/2010 | CVIGLM | Newell Rubbermaid begins tender offer for 10.6% notes, plans exchange offer for 5.5% convertibles
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8/2/2010 | LMMU | Illinois finance authority calls $1 million Presbyterian Home bonds
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8/2/2010 | EMLM | Russia's Integra buys back 94.4% of ruble bonds with loan proceeds
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7/30/2010 | HYLM | Winmark redeems remaining renewable notes at par with loans proceeds
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7/30/2010 | CVLM | Savvis extends tender for all $345 million 3% convertibles due 2012
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7/30/2010 | HYLMPF | Old Second extends exchange offer for $31.6 million of 7.8% securities
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7/30/2010 | CVLM | Sybase closes step two of acquisition that triggers conversion period, put option for 3.5% notes
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7/30/2010 | IGLM | Prime Property Fund begins tender offer for $200 million of notes
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7/30/2010 | EMHYLM | Singapore's Stats ChipPAC tenders for any, all $213 million 63/4% notes
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7/30/2010 | AGLM | Fannie Mae calls medium-term notes totaling $1.97 billion at par
|
7/30/2010 | EMLM | TMM combines three trust certificate tranches into one issue, may use proceeds to prepay debt
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7/30/2010 | BKDDHYLM | Bankruptcy Management Solutions agrees to debt-for-equity exchange
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7/30/2010 | HYLM | Energy Future gets needed consents, gives early exchange results for 111/4/12% toggle, 10 7/8% notes
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7/30/2010 | CVLM | ProMOS repurchases $5.53 million of its 0% convertibles due 2012
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7/29/2010 | HYLM | Valassis buys back $297.8 million of 81/4% notes in second quarter
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7/29/2010 | LM | National Grid, subsidiary announce results, partial pricing of €450 million Dutch tender offers
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7/29/2010 | CVLM | BioMed buys back $18 million exchangeables due 2026 in second quarter
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7/29/2010 | LMMU | AGL Resources, Ga., to tender, reissue $160 million revenue bonds
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7/29/2010 | HYLM | Cohen begins tender offer for $9.5 million promissory notes due 2013
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7/29/2010 | CVLM | First Potomac Realty retires $20.1 million 4% exchangeables during Q2
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7/29/2010 | LMPP | Kennedy-Wilson Holdings repurchases $30 million 7% convertible note
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7/29/2010 | HYLM | Man Group to issue 5% notes due 2017 in exchange for floaters due 2015
|
7/29/2010 | CVLM | Inland extends offer to swap new notes, cash for 4.625% convertibles
|
7/29/2010 | HYLM | Range to redeem $200 million notes due 2013 with note sale proceeds
|
7/29/2010 | CVLM | NII buys back $131.4 million of its 3.125%, 2.75% convertible notes
|
7/29/2010 | AGLM | Fannie Mae calls 5% medium-term notes totaling $210.5 million at par
|
7/29/2010 | HYLM | Tenneco to redeem all remaining 101/4% senior secured notes due 2013
|
7/29/2010 | CVLM | Penske buys back additional 3.5% convertibles in second, third quarter
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7/29/2010 | CVLM | Alexandria Real Estate buys back $7.1 million more of 8% convertibles
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7/28/2010 | LMMU | Metropolitan Water District, Calif., redeems 2005B-1, B-2 water bonds
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7/28/2010 | HYLM | Ryland buys back or redeems $274.6 million of notes in second quarter
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7/28/2010 | EMLM | Argentina's Banco Comafi cancels $8.5 million of class I 121/2% notes
|
7/28/2010 | LMMU | Montgomery, Va., Industrial Development calls 2009 Virginia Tech bonds
|
7/28/2010 | AGLM | FFCB calls $165 million of consolidated systemwide bonds at par
|
7/28/2010 | IGLM | National Rural Utilities calls $125 million 6.75% subordinated notes
|
7/28/2010 | HYIGLM | Lazard buys back $10 million senior notes due 2015 in second quarter
|
7/28/2010 | LMMU | New Jersey Health Care Facilities calls $76.74 million Hackensack University Medical Center bonds
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7/28/2010 | CVIGLM | Brandywine buys back $19.3 million 2010, 2011, 2012 notes in quarter
|
7/28/2010 | IGLM | Rogers Communications calls three series of notes that mature in 2011
|
7/28/2010 | HYLM | Crown Holdings to redeem all of subsidiaries' 7 5/8% notes due 2013
|
7/28/2010 | LMMU | North Carolina Medical's CaroMont Health bonds have mandatory tender
|
7/28/2010 | CVLM | Omnicom sets Aug. 6 convertibles payout for holders who forgo put
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7/28/2010 | IGLMPF | Duke Realty repurchased $260.7 million bonds, $55.7 million series O preferreds in second quarter
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7/28/2010 | HYLM | Las Vegas Sands buys back $27.6 million of 6 3/8% senior notes in Q2
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7/28/2010 | DDEMLM | KazakhGold gets waiver from holders of $200 million 9 3/8% notes
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7/28/2010 | LMMU | E-470 Public Highway, Colo., calls $506.1 million 2000B senior bonds
|
7/28/2010 | HYLM | MultiPlan, Viant tender for 10 3/8%, 10 1/8% senior subordinated notes
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7/28/2010 | DDHYLM | Vertis reinstates withdrawal rights in tenders for 131/2%, 181/2% notes
|
7/27/2010 | AGLM | FFCB to redeem $125 million of 1.99% consolidated systemwide bonds
|
7/27/2010 | LMPP | Maui Land & Pineapple now to buy all $40 million 5.875% convertibles
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7/27/2010 | HYLM | Domino's buys back $30.4 million notes since start of second quarter
|
7/27/2010 | CVLM | Digital Realty issues shares, pays incentive for 4.125% exchangeables
|
7/27/2010 | AGLM | Fannie Mae calls medium-term notes totaling $615.22 million at par
|
7/27/2010 | HYLM | Park-Ohio repurchases 8 3/8% senior subordinated notes due 2014
|
7/27/2010 | CVLM | ExpressJet to redeem $1.8 million 11.25% convertibles to correct error
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7/27/2010 | CVHYLM | Host Hotels calls $225 million 7 1/8% notes, might repurchase up to $175 million of additional debt
|
7/27/2010 | HYLM | Texas Industries tenders, seeks consents for $550 million of 71/4% notes
|
7/27/2010 | CVLM | Ferro launches tender offer for its $172.5 million 6.5% convertibles
|
7/27/2010 | CVHYLM | Millipore 3.75%, 5.875% noteholders get change-of-control put option
|
7/27/2010 | IGLM | Telus calls $613 million 8% notes at price to be based on adjusted U.S. Treasury yield
|
7/27/2010 | CVLM | Mentor Graphics swaps $11.51 million of new 6.25% convertibles for floating-rate convertibles
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7/27/2010 | CVLM | Boston Properties bought back $132.8 million 2.875% exchangeables
|
7/27/2010 | LMPP | GlenRose aims to buy back $10 million of its 4% convertible debentures
|
7/27/2010 | CVLM | Sybase investors may put or convert 3.5% notes due to SAP acquisition
|
7/27/2010 | CVLM | CSG buys $23.2 million 2.5% convertible debt securities due 2024
|
7/26/2010 | CVLM | AMD begins cash tender offer for $800 million 6% convertibles due 2015
|
7/26/2010 | IGLM | XTO Energy sets payouts in tender offer for 6.1%, 6.75%, 6.375% notes
|
7/26/2010 | HYLM | DSG repurchases £140 million 6 1/8% guaranteed bonds in tender offer
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7/26/2010 | CVLM | Lions Gate's private convertibles exchange challenged by Carl Icahn
|
7/26/2010 | LM | CIBC to redeem C$1.3 billion in 3.75% subordinated debentures due 2015
|
7/26/2010 | HYLM | Sevan Marine asks 91/4% bondholders for approval to call bonds early
|
7/26/2010 | CVLM | SL Green buys back $115.4 million of 4% exchangeables so far this year
|
7/26/2010 | LMMU | Connecticut calls portion of 1992B transportation infrastructure bonds
|
7/26/2010 | IGLM | Alcoa begins tender offers for up to $750 million of three note series
|
7/26/2010 | EMHYLM | Indonesia's Indosat subsidiaries extend initial acceptance date in tenders for 73/4%, 7 1/8% notes
|
7/26/2010 | LMMU | University of Alabama calls $131.45 million Birmingham Hospital bonds
|
7/26/2010 | AGLM | FFCB calls $5 million of 5.95% consolidated systemwide bonds at par
|
7/26/2010 | IGLM | Empire District Electric to redeem all $48.3 million in 7.05% notes
|
7/26/2010 | EMLM | Argentina's Edenor buys back $7.32 million of par notes due 2016
|
7/26/2010 | LMMU | University of California defeases portion of 2003Q revenue bonds
|
7/26/2010 | AGLM | Fannie Mae calls medium-term notes totaling $655 million at par
|
7/26/2010 | IGLM | SunTrust Bank begins tender offer for $750 million of debt securities
|
7/26/2010 | EMLM | Singapore's Lucky Condotel calls S$105 million 4.115% notes, S$105 million floaters due 2011
|
7/23/2010 | LMMU | Royal Oak, Mich., Hospital Finance calls all $82.68 million William Beaumont Hospital bonds
|
7/23/2010 | EMHYLM | Argentina's Piedra del Aguila buys back $500,000 of class I 9% notes
|
7/23/2010 | LMMU | University of California defeases portion of 2003A revenue bonds
|
7/23/2010 | HYLM | Forbes Energy Services fails to receive needed consents for 11% notes
|
7/23/2010 | LMMU | Vermont Education & Health calls some 2008 Norwich University bonds
|
7/23/2010 | IGLM | Telus plans to redeem $613 million of 8% notes using issue proceeds
|
7/23/2010 | IGLMPF | Capitol Bancorp further extends 10.5% trust preferred exchange offer
|
7/23/2010 | LMMU | Pittsburgh Water & Sewer 2008D2 first-lien bonds have mandatory tender
|
7/23/2010 | AGLM | Fannie Mae calls medium-term notes totaling $1.54 billion at par
|
7/22/2010 | LM | National Grid repurchases £10.84 million in 4.75% instruments due 2010
|
7/22/2010 | CVLMPP | Frontera once more extends exchange offer for convertibles, warrants
|
7/22/2010 | LM | National Grid repurchases £15.25 million of 8.75% instruments due 2025
|
7/22/2010 | DDLM | Kommunalkredit to tender for perpetual fixed/floating-rate notes
|
7/22/2010 | HYIGLM | Newfield retires remaining 7 5/8% notes at a premium in second quarter
|
7/22/2010 | EMLM | Israel Electric plans to lower debt by NIS 9 billion, issue new debt
|
7/22/2010 | IGLMPF | Digital Realty Trust to redeem all 8.5% series A preferreds on Aug. 24
|
7/22/2010 | IGLM | Swedbank gets approval to buy back SEK 9 billion of tier 2 bonds
|
7/22/2010 | LMMU | Hurst-Euless-Bedford ISD, Texas, redeems $171.41 million 1998 bonds
|
7/22/2010 | LM | Alliance repurchases C$10 million subordinated securities due 2010
|
7/22/2010 | AGLM | FFCB calls $624 million of consolidated systemwide bonds at par
|
7/21/2010 | DDHYLMPF | BankAtlantic again extends tender offers for 12 trust preferred series
|
7/21/2010 | CVLM | JetBlue to redeem all of its remaining 3.5%, 3.75% convertible notes
|
7/21/2010 | HYLM | Wynn launches tender for $1.32 billion in 6 5/8% first mortgage notes
|
7/21/2010 | CVHYIGLM | Freeport-McMoRan Copper & Gold repays $1.28 billion of debt in Q2
|
7/21/2010 | EMHYLM | Argentina's Piedra del Aguila buys back $270,000 of class I 9% notes
|
7/21/2010 | CVLM | Lions Gate exchanges $99.72 million of convertibles held by Kornitzer
|
7/21/2010 | LMMU | Louisville, Jefferson County, Ky., Metropolitan Sewer calls portion of drainage system bonds
|
7/21/2010 | CVHYIGLM | Sallie Mae retires $1.8 billion of unsecured debt in second quarter; further debt reduction planned
|
7/21/2010 | EMLM | Kazakhstan's Kazkommertsbank adjourns noteholder votes to Aug. 4
|
7/21/2010 | CVLM | RF Micro Devices buys back and retires $110 million of convertibles
|
7/21/2010 | LMMU | Mississippi Business Finance calls some Promenade D'iberville bonds
|
7/21/2010 | CVLM | Affymetrix repurchases $95.8 million of 3.5% convertibles at discount
|
7/21/2010 | LM | National Grid, subsidiary offer to buy back up to €450 million notes
|
7/21/2010 | CVLM | Vincom converts, cancels $5.1 million more 6% convertibles due 2014
|
7/21/2010 | LMMU | Texas Water Development calls $47.71 million senior-lien revenue bonds
|
7/21/2010 | CVLM | Country Garden buys back RMB 35 million more 2.5% convertibles
|
7/21/2010 | HYLM | Cardtronics to redeem all $100 million in 91/4% senior notes due 2013
|
7/21/2010 | DDEMHYLM | Vitro plans to launch restructuring consent solicitation in August
|
7/21/2010 | CVLM | GHCL repurchases $7.25 million of its 1% foreign currency convertibles
|
7/21/2010 | HYLM | Crown Holdings to retire notes due 2011, 2013 using offering proceeds
|
7/20/2010 | HYLM | Forbes Energy Services extends consent solicitation for 11% notes
|
7/20/2010 | EMIGLM | Bank of East Asia buys $74.69 million of 5 5/8% notes in tender offer
|
7/20/2010 | CVLM | China Water Affairs Group investors put $79.7 million in convertibles
|
7/20/2010 | HYLM | Odyssey Re gets needed consents to amend 7.65%, 6 7/8% senior notes
|
7/20/2010 | EMLM | Argentina's Edenor buys back some par notes due 2016 for $7.27 million
|
7/20/2010 | CVLM | Linear retires $154.9 million of 3% convertibles in fourth quarter
|
7/20/2010 | AGLM | FFCB to redeem $150 million of 1.85% consolidated systemwide bonds
|
7/20/2010 | HYLM | United Rentals buys back $24 million 73/4%, 7% notes in second quarter
|
7/20/2010 | LM | Alliance Films buys back C$10 million subordinated securities due 2010
|
7/20/2010 | CVLM | Lion announces consent solicitation for Excel Step 2.5% exchangeables
|
7/20/2010 | AGLM | Fannie Mae calls medium-term notes totaling $3.56 billion at par
|
7/20/2010 | IGLM | Pepco investors tender $194.04 million in 6.125%, 7.45% senior notes
|
7/20/2010 | LM | Mall Funding announces upcoming redemption of £119.76 million floaters
|
7/20/2010 | CVLM | Lions Gate swaps shares for $100 million 3.625%, 2.9375% convertibles
|
7/20/2010 | CVDDEMHYLM | Titan reports $209.49 million 81/2% notes tendered in exchange offer
|
7/20/2010 | IGLM | Standard Chartered buys $1.3 million of its series 2 perpetual bonds
|
7/20/2010 | LM | Yorkshire Building Society gets bondholder OK to remove S&P as rating agency for 4% covered bonds
|
7/20/2010 | DDHYLM | Triad Guaranty buys back remaining $35 million of 7.9% notes due 2028
|
7/20/2010 | CVDDLM | Theolia says new terms on Oceanes are in effect after rights offering
|
7/20/2010 | LMMU | Chicago to redeem all $50 million of 2000B gas supply bonds Aug. 18
|
7/19/2010 | AGLM | FFCB to redeem $640 million of consolidated systemwide bonds
|
7/19/2010 | LMMU | University of Texas System calls some of three series of revenue bonds
|
7/19/2010 | LMMU | Florida Rural Utility calls $10 million of construction revenue bonds
|
7/19/2010 | LM | France's Schneider Electric buys back €263 million of its 6.75% bonds
|
7/19/2010 | AGLM | Fannie Mae calls medium-term notes totaling $4.39 billion at par
|
7/19/2010 | LMMU | Washington Health Care rescinds redemption of Catholic Health bonds
|
7/19/2010 | LMMU | Medical Center Hospital, Ga., calls $77.48 million Columbus Regional Healthcare System bonds
|
7/19/2010 | LM | Nationwide Building calls €750 million 3.375% notes due 2015 at par
|
7/19/2010 | CVHYLM | Compton Petroleum may issue new 10% notes, cash or 10% convertibles for its 7 5/8% senior notes
|
7/19/2010 | LMMU | Pennsylvania Convention Center calls $12.45 million of revenue bonds
|
7/19/2010 | HYLM | Esterline begins tender offer, consent solicitation for 73/4% notes
|
7/19/2010 | CVLM | Thoresen Thai buys back $10.5 million in 2.5% convertibles due 2012
|
7/19/2010 | LMMU | Southeast Alabama Gas calls $29.84 million 2007A supply project bonds
|
7/19/2010 | HYLM | Vantage to refinance 131/2% notes with proceeds from notes, stock issues
|
7/19/2010 | CVLM | Zions marks conversion of $116.6 million convertibles into preferreds
|
7/19/2010 | LMMU | University of Illinois calls portion of utility infrastructure COPs
|
7/19/2010 | LMMU | Federated Student Finance rescinds redemption of 2004A-3 notes
|
7/19/2010 | DDEMLM | Argentina's Autopistas del Sol extends its exchange offer to Aug. 2
|
7/16/2010 | EMLM | Banco de Galicia y Buenos Aires buys $18.79 million of notes at 69.44
|
7/16/2010 | CVLM | Avnet announces put option on Bell Microproducts' 3.75% convertibles
|
7/16/2010 | LMMU | Rhode Island Health calls part of 1991 Rhode Island Hospital bonds
|
7/16/2010 | IGLMPF | First BanCorp to issue stock in exchange for five preferreds series
|
7/16/2010 | EMLM | Bank of East Asia sets $450 million cap for 5 5/8% notes tender offer
|
7/16/2010 | CVLM | Neo-China Land convertible holders get change-of-control put option
|
7/16/2010 | LMMU | Rhode Island Health calls some Rhode Island School of Design bonds
|
7/16/2010 | IGLMPF | JPMorgan Chase calls 6.15%, 5.72% and 5.49% cumulative preferreds
|
7/16/2010 | HYLM | Brookstone once more extends its offer to purchase, exchange 12% notes
|
7/16/2010 | CVLM | Pacific Andes buys back another $3.9 million of its 4% convertibles
|
7/16/2010 | LMMU | San Antonio calls portion of 2008 hotel occupancy tax revenue bonds
|
7/16/2010 | LMMU | Arkansas Student Loan calls $73.25 million of 2006 A revenue bonds
|
7/16/2010 | HYLM | Energy Future offers to exchange 111/4/12% toggle notes, 10 7/8% notes
|
7/16/2010 | DDHYLM | American Media begins private exchange offer for 14% notes, tender offer for 9% PIK notes
|
7/16/2010 | LMMU | Stanislaus County, Calif., calls portion of 1995 taxable pension bonds
|
7/16/2010 | AGLM | Fannie Mae calls medium-term notes totaling $5.29 billion at par
|
7/16/2010 | LMMU | Fort Bend, Texas, school district calls all $72.05 million 2000 bonds
|
7/16/2010 | HYLM | Radio One extends exchange, consent deadline for 8 7/8%, 6 3/8% notes
|
7/16/2010 | DDHYLM | Vertis extends tender deadline for 131/2%, 181/2% senior notes to Aug. 31
|
7/16/2010 | LMMU | University of Minnesota calls some series 2003 G.O. bonds due 2031
|
7/16/2010 | CVLM | Citycon resumes buybacks of 4.5% convertibles with €900,000 purchase
|
7/16/2010 | LMMU | Indiana Health calls $141.72 million Clarian Health revenue bonds
|
7/16/2010 | IGLM | Lloyds TSB buys back $536.19 million of two series of perpetual bonds
|
7/15/2010 | CVLM | RAIT to issue stock, pay cash for $10 million more 6.875% convertibles
|
7/15/2010 | LMMU | Los Angeles County pays cash for $38.1 million in Union Station bonds
|
7/15/2010 | EMHYLM | Pacific Rubiales investors consent to amend 8.75% notes due 2016
|
7/15/2010 | LMMU | Utah County to redeem all $107.14 million series 1997 IHC Health bonds
|
7/15/2010 | LM | John Lewis accepts tenders for £158 million of 6.375% bonds due 2012
|
7/15/2010 | AGLM | FFCB to redeem $959 million of consolidated systemwide bonds
|
7/15/2010 | LMMU | Washington Health Care Facilities calls $50.24 million 2008 A-4 bonds
|
7/15/2010 | LM | Mall Funding gets needed consents for £1.44 billion secured floaters
|
7/15/2010 | CVLM | MF Global wraps exchange offer for 9% convertibles, 9.75% preferreds
|
7/15/2010 | HYLM | DSG launches tender for up to £140 million 6 1/8% guaranteed bonds
|
7/15/2010 | CVLM | Millipore amends 3.75% convertible notes following acquisition; holders may put back 5 7/8% notes
|
7/15/2010 | HYLM | Nexus Energy to issue new notes in exchange for its subordinated notes
|
7/14/2010 | LMMU | Harris County, Texas, hospital calls all $100.08 million of 2000 bonds
|
7/14/2010 | CVLM | Sterling Biotech buys back, cancels $13.73 million 0.5% convertibles
|
7/14/2010 | LMMU | North Carolina Education Assistance calls portion of 2004 O-5 bonds
|
7/14/2010 | LM | National Grid buys back C$25.26 million in 4.98% securities due 2011
|
7/14/2010 | IGLM | Lloyds buys back $57.24 million of Bank of Scotland's perpetuals
|
7/14/2010 | AGLM | FFCB to redeem $25 million of 4.58% consolidated systemwide bonds
|
7/14/2010 | IGLM | Time Warner gets tenders for $2.71 billion 5.5%, 6.875%, 9.125% notes
|
7/14/2010 | BKHYLM | AMC plans to apply IPO proceeds to term loan, 12% notes repayments
|
7/14/2010 | LMMU | Dallas calls $80.2 million waterworks and sewer system revenue bonds
|
7/14/2010 | CVDDEMHYLM | Titan lowers minimum tender condition in exchange offer for 81/2% notes
|
7/13/2010 | LMMU | Fort Worth defeases some water and sewer system revenue bonds
|
7/13/2010 | CVLM | OSI sets expiration on purchase offer for 2% convertibles at July 30; holders convert all 3% notes
|
7/13/2010 | LMMU | Garland defeases some TMPA subordinate-lien revenue refunding bonds
|
7/13/2010 | CVLM | Qwest Communications starts tender offer for 3.5% convertible notes
|
7/13/2010 | LMMU | Wichita, Kan., to redeem some of its 0.45% series 234 temporary notes
|
7/13/2010 | CVLM | Vincom converts, cancels $2.8 million more 6% convertibles due 2014
|
7/13/2010 | AGLM | FFCB calls $397 million of consolidated systemwide bonds at par
|
7/13/2010 | HYLM | NXP to repay some notes using proceeds from $600 million offering
|
7/13/2010 | AGLM | Fannie Mae calls medium-term notes totaling $1.66 billion at par
|
7/13/2010 | LMMU | Corporate Finance calls $1.06 million Central Utah Medical Center notes
|
7/13/2010 | CVLM | Adani Enterprises forces conversion on $250 million 6% bonds due 2012
|
7/12/2010 | CVLM | National Bank of Abu Dhabi buys back AED 49 million more convertibles
|
7/12/2010 | IGLM | XTO launches change-of-control offers for 7.5% notes and 6.25% notes
|
7/12/2010 | CVLM | Tower Semiconductor to issue $93.6 million 8% bonds in exchange for $79.6 million 8% convertibles
|
7/12/2010 | LMMU | Port of Seattle calls $128.25 million in series 2000B revenue bonds
|
7/12/2010 | DDHYLMPF | First State cancels tender offer for $95.2 million trust preferreds
|
7/12/2010 | AGLM | FFCB calls six system-wide bond series totaling $313 million at par
|
7/12/2010 | EMLM | Indonesia's Matahari calls all its outstanding 103/4% notes at 105.375
|
7/12/2010 | AGLM | Fannie Mae announces planned redemption of $2.82 billion in notes
|
7/12/2010 | HYLM | QEP launches change-of-control tender offers for four series of notes
|
7/12/2010 | BKHYLM | Blount plans to amend, restate facility to extend maturity, up size; notes redemption possible
|
7/12/2010 | IGLM | Union Pacific accepts $375.9 million 7.875% notes in exchange offer
|
7/9/2010 | LMMU | District of Columbia calls parts of two series of Freedom Forum bonds
|
7/9/2010 | HYLM | Phibro records tenders for 95% of 10% notes, all 13% notes thus far
|
7/9/2010 | LMMU | Public Energy Authority of Kentucky plans to redeem $57.37 million 2006A gas supply bonds
|
7/9/2010 | IGLM | Progressive wraps tender on 6.7% notes after filling consent condition
|
7/9/2010 | AGLM | Fannie Mae calls medium-term notes totaling $3.15 billion at par
|
7/9/2010 | IGLMPF | PFGI Capital plans to redeem series A, series B preferreds in August
|
7/9/2010 | EMLM | Hong Kong's Bank of East Asia tenders for $550 million 5 5/8% notes
|
7/9/2010 | LMMU | American Public Energy calls $20.4 million of Nation Public Energy gas supply revenue bonds
|
7/9/2010 | EMLM | Kazakhstan's Bank CenterCredit repurchases $7.81 million of 8% notes
|
7/9/2010 | LMMU | Chino Basin, Calif., to redeem $51.75 million 1994 sewer system bonds
|
7/9/2010 | HYLM | Lennar bought back $74.4 million 5 1/8% notes, $1 million 5.95% notes during 2010 first half
|
7/8/2010 | LMMU | Massachusetts authority redeems $3.3 million in 1999-B revenue bonds
|
7/8/2010 | CVLM | Delong redeems some 0% convertibles; RMB 386.5 million outstanding
|
7/8/2010 | LMMU | Orlando-Orange County Expressway defeases $227.31 million in bonds
|
7/8/2010 | CVLM | Dragon Mining to redeem all $5.8 million of convertibles on Oct. 8
|
7/8/2010 | CVLM | National Financial gets tenders for nearly all 0.75% convertibles
|
7/8/2010 | EMLM | Argentina's Piedra del Aguila buys back $3.6 million of 9% notes
|
7/8/2010 | HYLM | Kingsway Financial Services buys back C$33.93 million 6% debentures, $25.58 million of 71/2% notes
|
7/8/2010 | AGLM | FFCB to redeem $15 million of 6.1% consolidated systemwide bonds
|
7/7/2010 | EMLM | Russia's International Industrial Bank solicits consents for 9% notes
|
7/7/2010 | CVDDEMHYLM | Titan extends exchange offer, consent deadlines for 81/2% notes due 2012
|
7/7/2010 | IGLM | Time Warner begins tender offer for 5.5%, 6.875% and 9.125% notes
|
7/7/2010 | HYLM | American Achievement cancels tender offer for 123/4%, 101/4%, 81/4% notes
|
7/7/2010 | CVLM | Calloway REIT completes full redemption of 4.51%, 6% debentures
|
7/7/2010 | LMMU | Maryland calls $93.08 million state, local facilities loan G.O. bonds
|
7/7/2010 | HYLM | Energy Future exchanges $549 million of 5.55% notes under liability management program
|
7/7/2010 | CVLM | Life Technologies calls all $349.54 million of 2% convertible notes
|
7/7/2010 | AGLM | FFCB calls $125 million of consolidated systemwide bonds at par
|
7/7/2010 | LMMU | North Texas Higher Education calls some student loan revenue bonds
|
7/7/2010 | HYLM | Odyssey Re begins consent solicitation for 7.65% notes, 6 7/8% notes
|
7/7/2010 | CVLM | St. Barbara redeems all A$1.2 million of remaining convertibles
|
7/7/2010 | AGLM | Fannie Mae calls $90 million of 5% medium-term notes due 2023 at par
|
7/7/2010 | LMPV | St. Andrew Goldfields offers to repurchase $16.2 million in gold notes
|
7/7/2010 | HYLM | Phibro Animal Health gets needed consents to amend 10%, 13% notes
|
7/7/2010 | EMHYLM | Argentina's TGS buys back $1 million of its 7 7/8% notes due 2017
|
7/7/2010 | BKHYLM | American Achievement fails to get notes and/or loans for tender offer
|
7/7/2010 | IGLM | Plains All American may redeem 6.25% notes using notes proceeds
|
7/6/2010 | LMMU | Clarksville, Tenn., Public Building calls some Nashville & Davidson County loan revenue bonds
|
7/6/2010 | CVLM | Delong calls RMB 346 million of 0% convertibles for redemption
|
7/6/2010 | LMMU | Orange County, Fla., Health calls $70.71 million series 2006 Presbyterian Retirement bonds
|
7/6/2010 | LMMU | Mercer County, N.D., redeems $23.21 million of Antelope Valley bonds
|
7/6/2010 | CVLM | New World China Land buys back RMB 18 million 0% convertibles due 2012
|
7/6/2010 | LMMU | Orange County, Fla., school board calls all $91.56 million 2000A COPs
|
7/6/2010 | LMMU | Montgomery, Tenn., calls some 2004 Tennessee County Loan Pool bonds
|
7/6/2010 | CVLM | YRC's attempt to eliminate put option for convertibles denied by court
|
7/6/2010 | AGLM | FFCB to redeem $80 million of 1.99% consolidated systemwide bonds
|
7/6/2010 | LMMU | New Jersey Health calls portion of Jersey City Medical Center bonds
|
7/6/2010 | HYLM | Forbes Energy seeks consents to do $20 million add-on to 11% notes
|
7/6/2010 | AGLM | Fannie Mae calls medium-term notes totaling $4.28 billion at par
|
7/6/2010 | LMMU | Newport, Ky., calls some Kentucky League of Cities 2002 debt
|
7/6/2010 | HYLMPF | Mid-America Apartment to redeem rest of 8.3% cumulative preferreds
|
7/6/2010 | CVDDLM | Emmis Communications begins exchange offer for 6.25% convertibles
|
7/6/2010 | LMMU | North Central Texas Health calls $11.4 million of Baylor Health bonds
|
7/2/2010 | AGLM | FFCB calls $275 million of consolidated systemwide bonds at par
|
7/2/2010 | LMMU | California Pollution Control calls all $57 million Keller Canyon bonds
|
7/2/2010 | LM | Veolia Environnement wraps exchange offer for 5.875%, 4.875% bonds
|
7/2/2010 | LMMU | Puerto Rico Public Finance calls $12.32 million of 2001C bonds
|
7/2/2010 | DDHYLM | American Media bondholders agree to swap bonds for common stock
|
7/2/2010 | AGLM | Fannie Mae calls medium-term notes totaling $3.14 billion at par
|
7/2/2010 | LMMU | District of Columbia calls portion of 2002B Freedom Forum bonds
|
7/2/2010 | HYLM | Bradford & Bingley buys back all £500 million 2011 floating-rate bonds
|
7/2/2010 | LMMU | Virginia Public Building calls all $67.09 million 2000A revenue bonds
|
7/2/2010 | DDHYLM | InterOil calls together holders of 9%, 121/2% bonds for July 13 meeting
|
7/2/2010 | CVLM | AirTran holders exercise puts for 94% of outstanding 7% convertibles
|
7/2/2010 | LMMU | Geauga County, Ohio, calls some 2007A South Franklin Circle bonds
|
7/2/2010 | HYLM | Brookstone again pushes back offer to purchase, exchange 12% notes
|
7/2/2010 | EMLM | Argentina's Piedra del Aguila buys back $343,000 of class I 9% bonds
|
7/2/2010 | CVLM | China's Delong plans mandatory redemption of $40.87 million 0% bonds
|
7/2/2010 | LMMU | Indiana Bond Bank calls all $184.22 million 2000A revolving fund bonds
|
7/2/2010 | IGLM | Conoco to redeem all $1.75 billion outstanding 6.35% notes due 2011
|
7/2/2010 | EMLM | Telefonica de Argentina cancels $50.61 million of 9 1/8% notes
|
7/2/2010 | LMMU | Miami-Dade County, Fla., school board calls portion of 2002A, B COPs
|
7/2/2010 | CVLM | Power-One calls all its outstanding 8% convertibles due 2013 at 139.29
|
7/2/2010 | IGLM | Pepco holders tender $833.71 million senior notes by early deadline
|
7/2/2010 | LM | Sveriges Bostadsfin buys back SEK 100 million of series 540 notes
|
7/2/2010 | LMMU | Omaha Public Power calls portion of series 1993C bonds due 2014
|
7/2/2010 | DDEMLM | Argentina accepts tenders for $12.86 billion bonds in exchange offer
|
7/1/2010 | AGLM | Fannie Mae calls medium-term notes totaling $407.62 million at par
|
7/1/2010 | EMLM | Argentina's Emgasud bondholders waive coverage ratio reserve funding
|
7/1/2010 | CVLM | McMoRan induces some conversion of 8% convertible perpetual preferreds
|
7/1/2010 | CVDDLM | Emmis further details planned exchange offer for 6.25% convertibles
|
7/1/2010 | HYLM | Radio One extends subscription offer for 8 7/8%, 6 3/8% noteholders
|
7/1/2010 | CVLM | PDL buys back $84 million 2.75% convertible notes in second quarter
|
7/1/2010 | CVLM | ANG Industries buys back $12 million in foreign currency convertibles
|
7/1/2010 | LMMU | California to redeem $600 million of its 2008B economic recovery bonds
|
7/1/2010 | CVLM | Savvis plans tender for all $345 million of 3% convertibles due 2012
|
7/1/2010 | CVLM | Cell Therapeutics to retire all remaining 4% convertible notes
|
7/1/2010 | LMMU | Miami-Dade County Expressway, Fla., to redeem $109.92 million series 2000 toll revenue bonds
|
7/1/2010 | CVLM | WMS reports conversion of all remaining 2.75% convertible notes
|
7/1/2010 | CVLM | India's Tantia Constructions buys back $5 million of its convertibles
|
7/1/2010 | AGLM | FFCB to redeem $47 million of consolidated systemwide bonds
|
7/1/2010 | LMMU | Orlando-Orange County Expressway Authority, Fla., cancels 2008B-1, 2008B-2 bond redemption
|
7/1/2010 | DDHYLM | Northern Rock holders tender $1.5 billion, £189.3 million securities
|
7/1/2010 | CVLM | Kulicke & Soffa redeems its remaining $48.96 million 1% convertibles
|
6/30/2010 | HYLM | Crum & Forster gets needed consents to amend $330 million 73/4% notes
|
6/30/2010 | LMMU | Palm Beach, Fla., school board to redeem all $155 million 2000A COPs
|
6/30/2010 | DDHYLM | Ambac issues shares in exchange for $11.81 million 9 3/8% debentures
|
6/30/2010 | CVLM | Aarvee Denims repurchases $5 million in 0% convertible bonds due 2012
|
6/30/2010 | LMMU | Florida's Orlando-Orange County Expressway rescinds $249.53 million redemption of 2008B bonds
|
6/30/2010 | HYLM | DynCorp extends tender offer, consent solicitation for 91/2% notes
|
6/30/2010 | LMMU | Philadelphia hospitals, higher education authority calls $68.52 million Jefferson Health bonds
|
6/30/2010 | DDHYLMPF | Pacific Capital extends tender offers for trust preferreds, debentures
|
6/30/2010 | CVLM | India's Pioneer Embroideries buys back $2 million of its convertibles
|
6/30/2010 | LMMU | Georgia's Medical Center Hospital calls $77.48 million Columbus Regional Healthcare 1999 bonds
|
6/30/2010 | HYLM | Winmark to redeem $18.6 million outstanding renewable notes at par
|
6/30/2010 | LMMU | Texas Water Development calls portion of 2007A refunding revenue bonds
|
6/30/2010 | EMLM | Thailand's PTT Aromatics buys back another $20 million of 51/2% notes
|
6/30/2010 | CVLM | MF Global extends exchange offer for 9%, 9.75% convertibles, increases cash inducement premium
|
6/30/2010 | LMMU | Illinois Development calls $115.8 million Evanston Northwestern bonds
|
6/30/2010 | IGLM | Pepco lays out pricing in any and all offer for 6.45% senior notes
|
6/30/2010 | LMPPPV | Jazz Pharmaceuticals prepays all $63.5 million of remaining 15% notes
|
6/30/2010 | LM | Hafslund buys back NOK 75.5 million of floating-rate bonds due 2011
|
6/30/2010 | CVLM | Pine Agritech investors put RMB 12.3 million in convertibles due 2012
|
6/30/2010 | LMMU | Maine Turnpike to redeem $110.52 million 2000 turnpike revenue bonds
|
6/30/2010 | AGLM | Fannie Mae calls medium-term notes totaling $24.08 million at par
|
6/30/2010 | LMMU | Arkansas Student Loan calls three auction-rate revenue bonds series
|
6/30/2010 | LM | National Grid buys back £10.82 million of 5.25% instruments due 2011
|
6/30/2010 | CVLM | Powerchip Technology redeems remaining zero-coupon convertibles
|
6/30/2010 | LMMU | Massachusetts Water Resources calls all $246.66 million 2000A bonds
|
6/30/2010 | CVDDEMHYLM | Titan further extends early deadline in exchange offer for 81/2% notes
|
6/30/2010 | LMMU | Chester County, Pa., to redeem $176.86 million Jefferson Health bonds
|
6/29/2010 | HYLM | Forbes Energy Services completes required 11% secured notes purchase
|
6/29/2010 | CVLM | Olam holders to convert $34,000 of 1.2821% convertible bonds
|
6/29/2010 | IGLM | Lloyds to exchange shares for HBOS ¥42.5 billion 3.5% step-up notes
|
6/29/2010 | EMHYLM | Indonesia's Indosat subsidiaries extend tenders for 73/4%, 7 1/8% notes
|
6/29/2010 | IGLMPF | Southern Union calls all 7.55% preferreds for July 30 redemption
|
6/29/2010 | EMLM | Banco Central de Cuba to ask bondholders to extend series A maturity
|
6/29/2010 | AGLM | FFCB calls $385 million of consolidated systemwide bonds at par
|
6/29/2010 | LMMU | Illinois calls $115.8 million Evanston Northwestern Healthcare bonds
|
6/29/2010 | EMLM | Kazakhstan's Kazkommertsbank seeks consents to amend two note series
|
6/29/2010 | AGLM | Fannie Mae calls medium-term notes totaling $2.46 billion at par
|
6/29/2010 | HYLM | Brookstone mulls changes to offer for 12% second-lien notes after negotiations with holders
|
6/29/2010 | CVLM | Inland Real Estate begins exchange offer, consent bid for 4.625% notes
|
6/28/2010 | HYLM | Real Mex Restaurants gets needed consents to amend 14% secured notes
|
6/28/2010 | CVLM | Gasco issues 5.5% convertibles due 2015 in exchange for notes due 2011
|
6/28/2010 | LMMU | Portland, Ore., to redeem all $146 million 2000A sewer system bonds
|
6/28/2010 | HYLM | Remy Cointreau buys €107.63 million of notes due 2012, calls remainder
|
6/28/2010 | CVLM | Kilroy wraps oversubscribed tender offer for 3.25% exchangeable notes
|
6/28/2010 | LMMU | Texas Water Development calls $10.17 million of 2007A revenue bonds
|
6/28/2010 | LM | Power Financial calls all 4.7% preferreds for July 30 redemption
|
6/28/2010 | CVLM | Mentor Graphics to swap up to $32.27 million floating-rate convertibles for new convertibles, cash
|
6/28/2010 | LMMU | Massachusetts Health and Education calls some M-2 capital asset bonds
|
6/28/2010 | DDHYLM | Vertis extends tender deadlines for 131/2%, 181/2% senior notes to July 15
|
6/28/2010 | AGLM | FFCB calls $155 million of consolidated systemwide bonds at par
|
6/28/2010 | LMMU | Midwestern University Foundation, Ill., to redeem $65 million bonds
|
6/28/2010 | HYLM | Case New Holland calls all $500 million of 7 1/8% notes at 103.563
|
6/28/2010 | AGLM | Fannie Mae calls medium-term notes totaling $1.66 billion at par
|
6/28/2010 | LMMU | Montana Higher Education calls $90 million 2007 student loan bonds
|
6/25/2010 | LMMU | Chester County, Pa., rescinds redemption of Jefferson Health bonds
|
6/25/2010 | AGLM | Fannie Mae calls medium-term notes totaling $4.54 billion at par
|
6/25/2010 | LMMU | Port Authority of New York and New Jersey calls some series 1R bonds
|
6/25/2010 | LMMU | Cook County, Ill., to redeem $53.91 million series 1998A G.O. bonds
|
6/25/2010 | CVLM | Hong Kong's Pacific Basin buys back $1.74 million 3.3% convertibles
|
6/25/2010 | LMMU | Sacramento County's 1995 taxable pension bonds have mandatory tender
|
6/25/2010 | LMMU | Houston rescinds redemption of 2002C, 2002D-1 airport system bonds
|
6/25/2010 | CVLM | Seagate calls in full 5.75% convertibles and 2.375% convertibles
|
6/25/2010 | LMMU | Utah to redeem $50 million of 2010A student loan revenue bonds
|
6/25/2010 | LMMU | Maryland Transportation calls $9.9 million of 2003A BWI Airport bonds
|
6/25/2010 | CVLM | Vincom converts, cancels $500,000 of 6% convertibles due 2014
|
6/25/2010 | LMMU | Nuveen wraps private exchange for four variable-rate demand preferreds
|
6/25/2010 | IGLM | Union Pacific extends early exchange date for 7.875% notes to July 9
|
6/25/2010 | LMMU | Pennsylvania Turnpike calls $208.62 million turnpike multi-modal bonds
|
6/24/2010 | AGLM | FFCB calls $761 million of consolidated systemwide bonds at par
|
6/24/2010 | HYLMPV | RC Royalty Sub to redeem $38.5 million in 7% secured notes due 2018
|
6/24/2010 | AGLM | Fannie Mae calls medium-term notes totaling $279.58 million at par
|
6/24/2010 | IGLM | Citigroup launches tender offers for 7.25% notes and 5.125% notes
|
6/24/2010 | DDEMLM | Argentina debt exchange offer concludes with 66% acceptance level
|
6/24/2010 | IGLM | Progressive gets consents to kill 6.25% notes replacement covenant
|
6/24/2010 | EMLM | Russia's Mobile Telesystems holders put RUB 179.5 million 8.7% bonds
|
6/24/2010 | LMMU | New York City Industrial Development Agency plans to redeem $700 million Liberty revenue bonds
|
6/24/2010 | LM | Anglo Irish Bank buys back €400 million of €750 million bonds due 2016
|
6/24/2010 | LMMU | Sacramento to redeem $134 million variable-rate pension funding bonds
|
6/24/2010 | HYLM | Phibro begins tender offers, consent solicitations for 10%, 13% notes
|
6/23/2010 | IGLMPF | Capitol Bancorp extends exchange for 10.5% trust preferred securities
|
6/23/2010 | AGLM | FFCB to redeem $240 million of consolidated systemwide bonds
|
6/23/2010 | IGLMPF | Independent Bank accepts 1.66 million shares in exchange offer for four series of trust preferreds
|
6/23/2010 | AGLM | Fannie Mae calls medium-term notes totaling $933.33 million at par
|
6/23/2010 | LMMU | Dasny to redeem $14.91 million of series 1993A City University bonds
|
6/23/2010 | BKDDHYLMPV | American Capital meets minimum tender condition in exchange offers
|
6/23/2010 | LMMU | Illinois Finance redeems portion of Advocate Health Care 2008C bonds
|
6/23/2010 | HYIGLM | CNH to redeem $500 million 7 1/8% notes with proceeds from offering
|
6/23/2010 | LMMU | New Hampshire Higher Education Loan to buy $588.35 million of auction-rate bonds in tender offer
|
6/23/2010 | IGLM | Boston Scientific to repay $850 million of notes with loan proceeds
|
6/22/2010 | HYLM | Amkor Technology accepts $125.72 million of its 91/4% notes in tender
|
6/22/2010 | CVLM | Omnicom gets consents for $398.22 million convertibles so far; holders put back $197.04 million
|
6/22/2010 | HYLM | SNF Floerger tenders for 81/4% notes, will call any notes not tendered
|
6/22/2010 | CVLM | WebMD holders convert nearly all 1.75% convertibles before redemption
|
6/22/2010 | AGLM | FFCB calls $150 million of consolidated systemwide bonds at par
|
6/22/2010 | HYLMPF | Old Second begins exchange offer for $31.6 million of 7.8% securities
|
6/22/2010 | DDHYLMPF | BankAtlantic once more extends tender for 12 trust preferred series
|
6/22/2010 | AGLM | Fannie Mae calls medium-term notes totaling $106.9 million at par
|
6/22/2010 | IGLM | Motorola wraps oversubscribed Dutch tender, retires $500 million debt
|
6/22/2010 | EMLM | Brazil's Banco Sofisa buys back some 71/4% notes due 2011 for $3 million
|
6/22/2010 | CVDDEMHYLM | Titan Petrochemicals extends offer to issue convertibles, PIK notes in exchange for its 81/2% notes
|
6/22/2010 | LMMU | Pennsylvania Turnpike cancels call to redeem $208.62 million bonds
|
6/22/2010 | LM | Sveriges Bostadsfin buys back portions of 2011, 2012 notes
|
6/22/2010 | CVLM | Hong Kong's Pacific Basin buys back $19 million 3.3% convertibles
|
6/22/2010 | LMMU | San Jose, Calif., redevelopment agency calls all $264.6 million series 2002 tax bonds
|
6/21/2010 | CVLM | Liberty Media plans exchange offer for 3.125% exchangeables due 2023
|
6/21/2010 | LMMU | Massachusetts Health & Education calls some Baystate Medical bonds
|
6/21/2010 | IGLMPF | Independent Bank sets exchange ratios for four trust preferred series
|
6/21/2010 | HYLM | DynCorp gets needed consents to amend its $376.22 million in 91/2% notes
|
6/21/2010 | LMMU | Travis County, Texas, Health calls portion of Longhorn Village bonds
|
6/21/2010 | DDEMLM | Argentina's Autopistas del Sol extends and amends exchange offer
|
6/21/2010 | LMMU | New Hampshire Health & Education calls some Riverwoods at Exeter bonds
|
6/21/2010 | LMMU | Arkansas Student Loan calls $51.6 million of 2004A-1, 2005A-1 bonds
|
6/21/2010 | HYLM | Michael Foods investors tender all 93/4%, 8% notes by consent deadline
|
6/21/2010 | LM | Statkraft buys SEK 790 million of Stibor plus 120 bps notes due 2010
|
6/21/2010 | LMMU | Oregon Health Sciences University to redeem parts of 1998, 2002 bonds
|
6/21/2010 | LMMU | California Health defeases, redeems two Stanford Hospital bond series
|
6/21/2010 | AGLM | FFCB calls $850 million of consolidated systemwide bonds at par
|
6/21/2010 | HYLM | Valeant to refinance 7 5/8%, 8 3/8% notes as part of Biovail merger
|
6/21/2010 | HYLM | American Achievement extends deadlines for its tender offer to July 6
|
6/21/2010 | LMMU | Sacramento calls portion of 1997 Arco Arena lease revenue bonds
|
6/21/2010 | LMMU | Clark County, Nev., to redeem all $105.22 million 1999A airport bonds
|
6/21/2010 | AGLM | Fannie Mae calls medium-term notes totaling $554.69 million at par
|
6/21/2010 | HYLM | Weyerhaeuser accepts tenders for $548 million of 63/4% notes due 2012
|
6/21/2010 | HYLM | Chesapeake Energy calls all $600 million of its 6 3/8% notes due 2015
|
6/21/2010 | LMMU | Seattle Light & Power to redeem all $77.33 million 1998A light bonds
|
6/21/2010 | CVLM | Beazer redeems all $154.5 million of its 4.625% convertibles due 2024
|
6/21/2010 | LMMU | Houston school district to redeem some limited tax schoolhouse bonds
|
6/21/2010 | IGLM | Pepco starts $950 million tender offers for three senior notes series
|
6/21/2010 | HYLM | Domtar wraps tender offer for up to $450 million of four note series
|
6/21/2010 | LMMU | Tempe, Ariz., calls portion of 2006 transit excise tax revenue bonds
|
6/18/2010 | LMMU | Illinois State Toll Highway calls $287.3 million of toll highway bonds
|
6/18/2010 | CVLM | Matsui Securities buys back ¥10.93 billion 0% convertibles due 2011
|
6/18/2010 | LMMU | Philadelphia Industrial Development rescinds redemption of 2007A Fox Chase Cancer Center bonds
|
6/18/2010 | HYLM | Atrium European wraps tender offer for 5 3/8% notes, calls remainder
|
6/18/2010 | HYLM | Brookstone again extends offer to buy, exchange 12% second-lien notes
|
6/18/2010 | AGLM | FFCB calls $75 million of 3.15% consolidated systemwide bonds due 2015
|
6/18/2010 | HYLM | Remy Cointreau to repurchase 5.2% senior notes using offer proceeds
|
6/18/2010 | AGLM | Fannie Mae calls 188 medium-term notes issues totaling $13.14 billion
|
6/18/2010 | IGLM | Pall to redeem all $280 million 6% senior notes due 2012 on July 19
|
6/18/2010 | CVLM | ExpressJet to use cash to redeem additional 11.25% convertible notes
|
6/17/2010 | LM | British American Tobacco tenders for all €750 million 3.625% notes
|
6/17/2010 | CVLM | ExpressJet to redeem another $5 million 11.25% convertibles in August
|
6/17/2010 | HYLM | Energy Partners to redeem its 20% PIK notes for $70.9 million in cash
|
6/17/2010 | CVLM | Lifetime Brands buys $49.9 million of its 4.75% convertibles due 2011
|
6/17/2010 | LMMU | Catholic Health Initiatives defeases $89.02 million series 2002A bonds
|
6/17/2010 | CVLM | RAIT to exchange stock, cash for $4 million more 6.875% convertibles
|
6/17/2010 | CVLM | Takefuji funds put on all ¥41.4 billion outstanding 1.5% convertibles
|
6/17/2010 | AGLM | FFCB to redeem $87 million of 3.3% consolidated systemwide bonds
|
6/17/2010 | DDHYLM | Ambac issues shares in exchange for $8.5 million 9 3/8% debentures
|
6/17/2010 | AGLM | Fannie Mae calls medium-term notes totaling $1.09 billion at par
|
6/16/2010 | LMMU | Arkansas to redeem all $74.72 million of 2001A federal highway bonds
|
6/16/2010 | HYLM | Gramercy Capital redeems remaining $52.5 million subordinated notes
|
6/16/2010 | DDHYLM | Northern Rock announces early results in tender for five notes series
|
6/16/2010 | LMMU | Massachusetts Health and Education calls some capital asset bonds
|
6/16/2010 | LMMU | Butler County Hospital Authority, Pa., sets mandatory tender for $50 million Butler Health bonds
|
6/16/2010 | AGLM | FFCB calls $520 million of consolidated systemwide bonds at par
|
6/16/2010 | HYLM | Radio One launches exchange offer for all 8 7/8% notes, 6 3/8% notes
|
6/16/2010 | EMLM | South Korea's Shinhan Bank calls $350 million 5 1/8% notes due 2015
|
6/16/2010 | LMMU | Massachusetts Health and Education calls portion of pool loan bonds
|
6/16/2010 | LMMU | California Infrastructure calls Orange County Performing Arts bonds
|
6/16/2010 | AGLM | Fannie Mae announces planned redemption of $157.21 million in notes
|
6/16/2010 | IGLM | Fisher Scientific calls $500 million of 6.125% senior notes due 2015
|
6/16/2010 | LM | Iceland tenders for €1 billion 3.75% notes, €250 million 5.375% notes
|
6/16/2010 | LMMU | Orlando-Orange County Expressway Authority, Fla., calls $249.53 million 2008B revenue bonds
|
6/16/2010 | LMMU | Colorado Department of Transportation calls $287.89 million 2000 bonds
|
6/16/2010 | BKDDHYLMPV | American Capital amends exchange offers to change payout options
|
6/16/2010 | LM | Canada's 407 International calls C$625 million senior notes due 2010
|
6/16/2010 | HYLM | BWAY wraps successful tender, consent solicitation for all 10% notes
|
6/16/2010 | LMMU | Hospitals and Higher Education of Philadelphia calls some Children's Hospital 2002B bonds
|
6/16/2010 | CVLM | 3i Group buys back £23.8 million more 3.625% convertibles due 2011
|
6/16/2010 | LM | FinanSure tenders for series 2007-1 auction-rate student loan notes
|
6/16/2010 | HYLM | Crum & Forster seeks consents to amend its $330 million in 73/4% notes
|
6/16/2010 | DDHYLM | Bradford & Bingley wraps tender for six series of subordinated notes
|
6/16/2010 | LMMU | Lehigh County, Pa., calls part of Lehigh Valley Health hospital bonds
|
6/15/2010 | AGLM | TVA plans to redeem $33.42 million of four issues of electronotes
|
6/15/2010 | LMMU | Westchester Tobacco Asset Securitization, N.Y., calls all $62.53 million tobacco settlement bonds
|
6/15/2010 | IGLM | Pall to redeem all $280 million 6% notes with proceeds from new notes
|
6/15/2010 | DDHYLMPF | Pacific Capital Bancorp ups payout, extends tender deadlines for trust preferreds, debt securities
|
6/15/2010 | CVLM | Cadence Design buys back $200 million of two note series at discount
|
6/15/2010 | LMMU | District of Columbia calls portion of Children's Hospital 2005 bonds
|
6/15/2010 | EMLM | India's Icici Bank buys back $16.25 million notes
|
6/15/2010 | CVLM | Digital Realty swaps stock, cash for $36.96 million 4.125% notes
|
6/15/2010 | LMMU | Massachusetts Health calls $7.46 million Harvard University bonds
|
6/15/2010 | EMLM | Qatar's Doha Bank buys back $3.5 million floating-rate notes due 2016
|
6/15/2010 | CVLM | MF Global plans cash inducement premium in offer for 9% senior notes, convertible preferreds
|
6/15/2010 | AGLM | FFCB calls $846 million of consolidated systemwide bonds at par
|
6/15/2010 | LMMU | Missouri Development Finance calls $20 million Kauffman Center bonds
|
6/15/2010 | HYLM | International Coal Group calls all $5.88 million 101/4% notes due 2014
|
6/15/2010 | CVLM | Omnicom boosts incentive to amend 0% convertibles, forgo put option
|
6/15/2010 | AGLM | Fannie Mae calls medium-term notes totaling $2.3 billion at par
|
6/15/2010 | LMMU | New York's Erie Tobacco Asset Securitization calls $181.43 million tobacco settlement bonds
|
6/15/2010 | HYLM | Real Mex Restaurants begins soliciting consents to amend 14% notes
|
6/15/2010 | DDHYLM | Frontera Copper completes recapitalization of 10% notes due 2010, 2011
|
6/14/2010 | LMMU | ABAG Finance, Calif., calls 899 Charleston Project bonds in full
|
6/14/2010 | DDHYLM | Vertis extends tender deadlines for 131/2%, 181/2% senior notes to June 25
|
6/14/2010 | LMMU | Dasny to redeem all $257.57 million 2000A Mount Sinai Hospital bonds
|
6/14/2010 | HYLM | Perry Ellis buys back $25 million of its 8 7/8% senior notes due 2013
|
6/14/2010 | AGLM | FFCB calls $518 million of consolidated systemwide bonds at par
|
6/14/2010 | LMMU | New York Local Government Assistance calls $68.04 million 1995G bonds
|
6/14/2010 | HYLM | RAM reports repurchase of $25 million in 6 7/8% senior notes due 2024
|
6/14/2010 | AGLM | Fannie Mae calls medium-term notes totaling $1.1 billion at par
|
6/14/2010 | HYLM | Weyerhaeuser tenders for all $1.07 billion in 63/4% notes due 2012
|
6/14/2010 | CVLM | 3i Group buys back £28.55 million more 3.625% convertibles due 2011
|
6/14/2010 | IGLM | Lloyds Banking gets $760.28 million of tenders for four notes series in exchange offer by early submission deadline
|
6/14/2010 | CVLM | Alexandria Real Estate wraps exchange offer for its 8% convertibles
|
6/11/2010 | LMMU | Illinois Finance calls portion of The Landing at Plymouth Place bonds
|
6/11/2010 | EMHYLM | Argentina's TGS buys back $3.8 million of its 7 7/8% notes due 2017
|
6/11/2010 | CVDDLM | BMB Munai grants additional put right to holders of 5% convertibles
|
6/11/2010 | LMMU | Montgomery County, Pa., PECO Energy bonds subject to mandatory tender
|
6/11/2010 | LM | Tesco launches modified Dutch auction tender for nine notes series
|
6/11/2010 | CVDDLM | Ruyan Group holders demand full redemption of convertible notes
|
6/11/2010 | HYLM | Titan International investors tender $47.35 million in 8% senior notes
|
6/11/2010 | CVLM | DexCom opts to redeem $1.5 million of 4.75% convertible notes due 2027
|
6/11/2010 | IGLM | Union Pacific launches exchange to issue new 5.78% notes due 2040 for 7.875% notes due 2019
|
6/11/2010 | CVLM | New World China Land redeems 87% of its zero-coupon convertible notes
|
6/11/2010 | AGLM | FFCB to redeem $25 million of 5% consolidated systemwide bonds
|
6/11/2010 | LMMU | Coastal Bend Health, Texas, calls 2005B-2 Christus Health bonds
|
6/11/2010 | CVLM | RAIT to exchange stock, cash for $10 million of 6.875% convertibles
|
6/11/2010 | AGLM | Fannie Mae calls medium-term notes totaling $853.97 million at par
|
6/10/2010 | HYLM | Douglas Dynamics redeems all 73/4% notes at 101.9 via IPO proceeds
|
6/10/2010 | BKDDHYLMPV | American Capital amends, extends exchange offers, standby plan of reorganization solicitation
|
6/10/2010 | HYLM | Valassis investors tender $488.58 million 81/4% senior notes due 2015
|
6/10/2010 | CVLM | China Water Industry investors put HK$260 million convertible bonds
|
6/10/2010 | IGLM | Progressive solicits consents for 6.25% notes, tenders for 6.7% junior subordinated debentures
|
6/10/2010 | DDHYLM | LNR Property's $420 million notes to be converted in recapitalization
|
6/10/2010 | LMMU | N.J. authority to redeem $65 million of 1994A water facilities bonds
|
6/10/2010 | EMLM | Malaysia's Delloyd buys back RM 50 million notes, cancels Islamic commercial paper, MTN program
|
6/10/2010 | LM | Capital & Regional seeks consents to extend, amend Mall Fund floaters
|
6/10/2010 | AGLM | FFCB to redeem $272 million of consolidated systemwide bonds
|
6/9/2010 | CVDDLM | Skyfame 4% convertibles holders agree to settlement at less than par
|
6/9/2010 | IGLMPF | Bank of Ireland gets tenders for $588.69 million of debt securities
|
6/9/2010 | CVLM | Cadence Design to redeem some of its 1.375%, 1.5% convertible notes
|
6/9/2010 | LMMU | Butler County, Ohio, rescinds redemption of LifeSphere Project bonds
|
6/9/2010 | CVLM | CapitaCommercial Trust buys back S$49.5 million 2% convertible bonds
|
6/9/2010 | AGLM | FFCB to redeem $873 million of consolidated systemwide bonds
|
6/9/2010 | LMMU | California to redeem $122.17 million of 2004C economic recovery bonds
|
6/9/2010 | CVLM | National Financial announces cash tender for 0.75% convertible notes
|
6/9/2010 | BKDDHYLM | American Capital further extends exchange offers, standby plan of reorganization solicitation
|
6/9/2010 | LMMU | Seattle to redeem $69.23 million municipal light & power revenue bonds
|
6/9/2010 | HYLM | BWAY extends expiration of notes tender offer, consent solicitation
|
6/9/2010 | CVDDLM | Gula Perak convertible holders to vote on whether to demand repayment
|
6/9/2010 | IGLM | Delphi Financial to redeem $20 million of 8% senior notes on July 14
|
6/8/2010 | CVLM | First Potomac Realty to issue shares for $13 million 4% exchangeables
|
6/8/2010 | LMMU | Miami-Dade County Expressway, Fla., to redeem $3.6 million bonds
|
6/8/2010 | HYLM | Silgan may redeem some 63/4% notes with proceeds from loan refinancing
|
6/8/2010 | CVLM | Magnum Hunter redeems, converts all $15 million in series B preferreds
|
6/8/2010 | LMMU | New York Local Government Assistance to redeem $293.4 million bonds
|
6/8/2010 | IGLM | Motorola gets tenders for $138.18 million 5.22% debentures; cap for two offers up to $500 million
|
6/8/2010 | CVLM | Stewart Enterprises reports repurchase of $6 million of convertibles
|
6/8/2010 | AGLM | FFCB to redeem $1.51 billion of consolidated systemwide bonds
|
6/8/2010 | IGLM | U.S. Bancorp holders exchange $574.62 million of Normal ITS in offer
|
6/8/2010 | CVLM | Toppan investors put all ¥35 billion of 0% convertible bonds due 2018
|
6/8/2010 | AGLM | Fannie Mae calls medium-term notes totaling $1.26 billion at par
|
6/8/2010 | LMMU | California Health Facilities calls $159.49 million 1998 series B bonds
|
6/8/2010 | CVLM | Yellow Media to redeem C$86.55 million in 5.5% exchangeable debentures
|
6/8/2010 | CVDDEMHYLM | Titan plans new offer to issue convertibles, PIK notes for 81/2% notes
|
6/8/2010 | LMMU | Massachusetts Turnpike to redeem $1.12 billion 1997 series A bonds
|
6/8/2010 | EMHYLM | Indonesia's Indosat subsidiaries again extend tender, consent dates
|
6/7/2010 | HYLM | DynCorp starts tender for any and all 91/2% senior subordinated notes
|
6/7/2010 | AGLM | Fannie Mae calls medium-term notes totaling $913.53 million at par
|
6/7/2010 | LMMU | Indiana office building commission calls 6.9% capitol complex bonds
|
6/7/2010 | IGLM | Motorola sets pricing on two tender offers for $400 million of notes
|
6/7/2010 | HYLM | Michael Foods launches tender for any and all 93/4% discounted notes, 8% subordinated notes
|
6/7/2010 | CVLM | Calloway REIT to redeem all remaining 4.51%, 6% debentures for cash
|
6/7/2010 | LMMU | Santa Clara, Calif., to redeem some 2008B electric revenue bonds
|
6/7/2010 | LMMU | Chicago to redeem $105.11 million series 2000C G.O. bonds in full
|
6/7/2010 | HYLM | Perry Ellis retires $25 million of its notes due 2013 in June
|
6/7/2010 | CVLM | Omnicom amends redemption provisions for zero-coupon convertibles
|
6/7/2010 | LMMU | Gwinnet County, Ga., hospital authority to redeem some 2008C, 2009A Gwinnett Hospital bonds
|
6/7/2010 | HYLM | Terex gets consents for 8% notes; waiver on sales limitation approved
|
6/7/2010 | EMLM | Hong Kong's Hang Seng Bank to redeem HK$2.5 billion in notes due 2015
|
6/7/2010 | LMMU | Houston calls portions of 2002 airport system subordinate-lien bonds
|
6/7/2010 | HYLMPF | Logan's Roadhouse to prepay 131/4% notes, redeem series A preferreds
|
6/7/2010 | HYLM | Amkor Technology gets early tenders for $123.55 million of 91/4% notes
|
6/7/2010 | AGLM | FFCB calls $2.02 billion of consolidated systemwide bonds at par
|
6/7/2010 | LMMU | Illinois Educational Facilities calls some University of Chicago bonds
|
6/7/2010 | HYLMPF | Scottish Re extends tender offer for its perpetual preferred shares
|
6/4/2010 | IGLM | Bunge to redeem all 7.44% senior guaranteed notes, 7.8% senior notes
|
6/4/2010 | CVLM | St. Barbara gets puts on A$20.75 million convertibles, calls remainder
|
6/4/2010 | LMMU | Iowa Finance calls $2.14 million of Care Initiatives Project bonds
|
6/4/2010 | IGLM | Capitol Bancorp begins exchange for 10.5% trust preferred securities
|
6/4/2010 | HYLM | American Achievement extends deadlines for tender offer to June 22
|
6/4/2010 | LMMU | Maryland Health's 2008 Suburban Hospital bonds have mandatory tender
|
6/4/2010 | AGLM | FFCB calls $160 million of 2% consolidated systemwide bonds at par
|
6/4/2010 | IGLMPF | Independent Bank gets tenders for $18.3 million of trust preferreds in exchange offer so far
|
6/4/2010 | HYLM | Brookstone extends offer to purchase or exchange 12% second-lien notes
|
6/4/2010 | LMMU | Sarasota County, Fla., hospital district calls portions of Sarasota Memorial Hospital bonds
|
6/4/2010 | AGLM | Fannie Mae calls medium-term notes totaling $641.3 million at par
|
6/4/2010 | LMMU | California Infrastructure redeems part of 2005 Asian Art Museum bonds
|
6/4/2010 | HYLM | Domtar raises size of tender offer for notes, accepts $238.22 million
|
6/4/2010 | CVLM | IOI Resources buys back $96.97 million of 0% exchangeables due 2013
|
6/4/2010 | LMPF | ALJ subsidiary refinances facility, buys back series A preferreds
|
6/4/2010 | LMMU | Fulton County, Ga., Development calls Piedmont Healthcare bonds
|
6/4/2010 | HYLM | Titan sets early settlement date for its 8% unsecured notes at June 3
|
6/4/2010 | CVLM | RAIT to exchange $2.5 million 6.875% convertibles for stock, cash
|
6/4/2010 | LMMU | Geauga County, Ohio, calls some 2007A South Franklin Circle bonds
|
6/3/2010 | CVLM | Western Coal redeems $317,435 in remaining 7.5% convertibles due 2011
|
6/3/2010 | AGLM | FFCB calls $500 million of consolidated systemwide bonds at par
|
6/3/2010 | AGLM | Fannie Mae calls $100 million 0% medium-term notes due 2024 at par
|
6/3/2010 | CVLM | Charming Shoppes buys back another $9.95 million of its 1.125% convertibles since first quarter
|
6/3/2010 | CVLM | Opexa Therapeutics aims to prepay 10% convertible promissory notes
|
6/2/2010 | AGLM | FFCB calls $518 million of consolidated systemwide bonds at par
|
6/2/2010 | LMMU | Florida's Environmental Protection calls Preservation 2000 bonds
|
6/2/2010 | LMMU | New York State Urban Development calls portion of 1996 senior bonds
|
6/2/2010 | LMMU | Connecticut Development calls $6.1 million Independent Living bonds
|
6/2/2010 | LMMU | Massachusetts Health & Education calls some South Shore Hospital bonds
|
6/2/2010 | DDEMHYLM | Brazil's Imcopa holders deliver consents needed to amend 10 3/8% notes
|
6/2/2010 | LMMU | Los Angeles MTA calls all $131.34 million 2000-A sales tax bonds
|
6/2/2010 | BKDDHYLM | American Capital prolongs exchange offer, standby plan solicitation
|
6/2/2010 | LMMU | Georgia to redeem $132.01 million of series 2000C G.O. bonds at par
|
6/2/2010 | LMMU | Sacramento County, Calif., plans to redeem some pension funding bonds
|
6/2/2010 | LMMU | Connecticut Health & Education calls Yale-New Haven Hospital bonds
|
6/2/2010 | LMMU | Metropolitan Atlanta Rapid Transit calls $16.24 million 1992 P bonds
|
6/2/2010 | DDHYLM | Bradford & Bingley tenders for six series of subordinated notes
|
6/2/2010 | LMMU | Massachusetts Bay Transportation calls all $496.65 million 2000A bonds
|
6/2/2010 | CVLM | Cyberonics buys $15.4 million of convertible debt, leaving $7 million
|
6/2/2010 | LMMU | Georgia's Dekalb Private Hospital calls portion of Children's Healthcare of Atlanta bonds
|
6/2/2010 | LMMU | Dasny calls $34.5 million of 1993A, B City University bonds
|
6/2/2010 | LMMU | New Jersey Educational Facilities calls all $82.75 million 2000H Princeton University bonds
|
6/2/2010 | EMLM | Mexico's Cemex to redeem some of four certificados bursatiles series
|
6/2/2010 | LMMU | Massachusetts Development calls $8.63 million of 2007 B Newbridge on the Charles revenue bonds
|
6/2/2010 | CVLM | Dynamic Energy to issue shares for HK$80 million convertible notes
|
6/2/2010 | LMMU | Hawaii's budget and finance department calls some Queen's Health bonds
|
6/2/2010 | LMMU | Dasny to redeem some Rockefeller University 2005A revenue bonds
|
6/2/2010 | LMMU | New Jersey Health Care calls some Saint Barnabas Health Care bonds
|
6/2/2010 | IGLMPF | ING Prime Rate Trust to buy $25 million more auction-rate preferreds in third redemption this year
|
6/2/2010 | LMMU | Massachusetts Health & Education calls some Partners HealthCare bonds
|
6/2/2010 | CVLM | Richardson Electronics amends revolver to allow for full redemption of 7.75% convertibles
|
6/2/2010 | LMMU | Houston to redeem all $224.73 million 2000B airport system bonds
|
6/2/2010 | LMMU | Florida to redeem $11.5 million Broward County Expressway bonds
|
6/2/2010 | LMMU | New Jersey Health Care calls $54.42 million Trinitas Hospital bonds
|
6/2/2010 | LMMU | California's MSR Public Power calls portion of San Juan Project bonds
|
6/2/2010 | LMMU | Massachusetts Health & Education calls some General Hospital bonds
|
6/2/2010 | CVLM | Takefuji holders put all ¥41.4 billion outstanding 1.5% convertibles
|
6/2/2010 | LMMU | Las Vegas Valley Water District calls portion of series 2006B, C bonds
|
6/1/2010 | HYLM | Liberty Media gets tenders for 51% of its notes under Dutch auction
|
6/1/2010 | CVLM | MF Global begins exchange offer for 9% convertibles, 9.75% preferreds
|
6/1/2010 | LMMU | Maryland Health & Higher Education to redeem University of Maryland Medical System 2000 bonds
|
6/1/2010 | AGLM | FFCB to redeem $100 million of consolidated systemwide bonds due 2015
|
6/1/2010 | LMMU | Hillsborough County, Fla., school board to redeem all 2001A COPs
|
6/1/2010 | IGLM | OneBeacon buys $156.4 million 5.875% notes in offer for $200 million
|
6/1/2010 | CVLM | ProMOS Technologies buys back $600,000 of 0% convertibles due 2012
|
6/1/2010 | LMMU | Massachusetts Health calls $120.08 million Harvard University bonds
|
6/1/2010 | AGLM | Fannie Mae calls medium-term notes totaling $550 million at par
|
6/1/2010 | LMMU | Idaho Health calls part of St. Luke's Regional Medical Center bonds
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6/1/2010 | LMMU | Arizona Health calls $72.62 million Catholic Healthcare West bonds
|
6/1/2010 | EMLM | Argentina announces extension of deadline in exchange offer for bonds
|
6/1/2010 | LMMU | New York Local Government Assistance calls four series of bonds
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6/1/2010 | CVLM | Autoliv swaps 554,200 equity units for 721,623 shares, $1.65 million
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6/1/2010 | LMMU | Louisa County, Va., Industrial Development calls Newport News bonds
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6/1/2010 | LMMU | Clark County, Nev., calls $11.1 million of Las Vegas-McCarran International Airport bonds
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6/1/2010 | EMLM | Argentina's Mastellone Hermanos to redeem remaining 8% debentures
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6/1/2010 | LMMU | Pennsylvania Turnpike calls $208.62 million 2008 multi-modal bonds
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6/1/2010 | CVLM | Cephalon calls its zero-coupon putable convertibles due 2033 at 100.25
|
6/1/2010 | LMMU | Maine Health & Higher Education calls portion of 2008A revenue bonds
|
6/1/2010 | LMMU | Clark County, Nev., to redeem all $170.73 million 2000 G.O. bonds
|
6/1/2010 | HYLM | ArvinMeritor's repurchase program for 83/4% notes gets board approval
|
6/1/2010 | LMMU | Shelby County, Kentucky Association of Counties trust calls part of 2004 A lease program bonds
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6/1/2010 | CVLM | Hynix holders put $547.7 million 4.5% convertible notes due 2012
|
6/1/2010 | LMMU | Maricopa County, Ariz., Industrial Development calls portion of Catholic Healthcare West bonds
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6/1/2010 | LMMU | Florida's Orlando-Orange County Expressway calls $202.42 million 1998 junior-lien bonds
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5/28/2010 | LMMU | Massachusetts Health calls all 1992B Medical Center of Central Massachusetts revenue bonds
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5/28/2010 | IGLMPF | Empire District Electric to redeem all trust preferred securities
|
5/28/2010 | EMLM | Gabon repurchases $2 million more of its 8.2% global notes due 2017
|
5/28/2010 | LMMU | Montana Board of Investments calls some Yellowstone Energy bonds
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5/28/2010 | IGLMPF | Independent Bank again extends exchange deadline for trust preferreds
|
5/28/2010 | HYLM | LPL Investment plans to redeem all $550 million senior notes due 2015
|
5/28/2010 | LMMU | North Carolina Medical Care Commission calls portion of Wake Forest University Health bonds
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5/28/2010 | LMMU | Connecticut Health & Education calls some Greenwich Hospital bonds
|
5/28/2010 | HYLM | Ply Gem plans to redeem some 113/4% and 13 1/8% notes with IPO proceeds
|
5/28/2010 | LMMU | San Diego Public Facilities to redeem all $54.67 million of 1996A Jack Murphy Stadium bonds
|
5/28/2010 | LMMU | Illinois Development calls some Museum of Contemporary Art bonds
|
5/28/2010 | HYLM | Stena redeems $153 million senior notes at 102.5 with notes proceeds
|
5/28/2010 | LMMU | San Diego to redeem $141.32 million of series 1998 certificates
|
5/28/2010 | LMMU | Los Angeles MTA to redeem portion of series 2008 sales tax bonds
|
5/28/2010 | IGLM | Lloyds Banking Group launches exchange offer for four series of notes
|
5/28/2010 | LMMU | Southern California Public Power calls $17.4 million revenue bonds
|
5/28/2010 | AGLM | Fannie Mae calls medium-term notes totaling $1.08 billion at par
|
5/27/2010 | EMLM | Gabon buys back another $5 million of its 8.2% global notes due 2017
|
5/27/2010 | HYLM | Titan waives minimum tender, funding terms, gets early tenders for 24% of 8% unsecured notes
|
5/27/2010 | IGLM | Airgas buys back $83.1 million 7.125% notes in fiscal fourth quarter
|
5/27/2010 | LMMU | District of Columbia to redeem all $85.17 million series 1999A bonds
|
5/27/2010 | AGLM | FFCB to redeem $437 million consolidated systemwide bonds at par
|
5/27/2010 | LMMU | South Dakota to redeem $950,000 in 2008A variable-rate revenue bonds
|
5/27/2010 | CVLM | Interpublic gets preliminary tenders for 57.8% of 5.25% convertibles
|
5/26/2010 | CVLM | Skyworks Solutions retires $20.4 million of convertibles due 2012
|
5/26/2010 | IGLMPV | Discovery Communications plans to repay some or all of four notes series via notes proceeds
|
5/26/2010 | LMMU | Educational Funding, Tenn., calls $24 million 2004-2A educational bonds
|
5/26/2010 | CVLM | Cell Therapeutics swaps stock for $1.85 million of 4% convertibles
|
5/26/2010 | CVLM | ExpressJet to redeem $5 million of its 11.25% convertibles on July 9
|
5/26/2010 | CVLM | Frontera Resources extends exchange offer for convertibles, warrants
|
5/25/2010 | HYLM | American Achievement extends early tender deadline for notes to June 8
|
5/25/2010 | CVDDLM | Emmis to offer 12% notes in exchange for 6.25% convertible preferreds
|
5/25/2010 | IGLMPF | HSBC calls $1.35 billion 9.547% preferreds for June 30 redemption
|
5/25/2010 | HYLM | Lennar gets tenders for $289.4 million of 5.95% notes, 5 1/8% notes
|
5/25/2010 | CVLM | Country Garden buys back RMB 120 million more 2.5% convertibles
|
5/25/2010 | LMMU | Chicago to redeem $226.48 million in 2000A general obligation bonds
|
5/25/2010 | HYLM | Terex to pay fee of $5.00 per 8% note for consents allowing asset sale
|
5/25/2010 | CVLM | Interpublic prices tender offer for $370 million of 5.25% convertibles
|
5/25/2010 | AGLM | FFCB calls $819 million of consolidated systemwide bonds at par
|
5/25/2010 | IGLM | Devon Energy to redeem all $350 million of its 7.25% notes due 2011
|
5/25/2010 | DDHYLM | Cecon holders allow extending due date, interest payment on 25% bonds
|
5/25/2010 | AGLM | Fannie Mae calls medium-term notes totaling $125 million at par
|
5/25/2010 | IGLM | Estee Lauder accepts $199.85 million 6%, 7.75% notes in tender offer
|
5/25/2010 | EMHYLM | Indonesia's Indosat subsidiaries extend tender offers, consent date
|
5/25/2010 | BKHYLM | Unifi to redeem $15 million of 111/2% notes using revolver draw, cash
|
5/25/2010 | IGLM | Georgia Power to redeem all series O 5.9%, series R 6% senior notes
|
5/24/2010 | LMMU | Connecticut Health & Education calls portion of Masonicare bonds
|
5/24/2010 | HYLM | Amkor Technology begins tender offer for $175 million of 91/4% notes
|
5/24/2010 | LMMU | North Carolina Education Assistance to redeem $169.6 million series 2007 student loan bonds
|
5/24/2010 | CVLM | Inland Real Estate plans exchange, tender offers for 4.625% notes
|
5/24/2010 | LMMU | Cook County, Ill., plans to redeem three series of G.O. bonds in full
|
5/24/2010 | AGLM | FFCB calls $1.6 billion consolidated systemwide bonds at par
|
5/24/2010 | HYLM | BWAY gets consents from all 10% noteholders in ongoing tender offer
|
5/24/2010 | LMMU | North Carolina Education Assistance calls all $82 million senior-lien guaranteed bonds
|
5/24/2010 | EMLM | Argentina agrees to forgo change of exchange offer terms; judge freezes $2.43 billion of assets
|
5/24/2010 | LMMU | Delaware County, Pa., Industrial Development 1997A revenue bonds have mandatory tender
|
5/24/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $735 million at par
|
5/24/2010 | HYLM | Terex seeks OK on 8% notes to lift restrictions on mining parts sale
|
5/24/2010 | EMLM | Argentina holders tender $8.48 billion notes in exchange offer so far
|
5/24/2010 | LMMU | Maryland Health calls $100,000 Frederick Memorial Hospital bonds
|
5/24/2010 | BKHYLM | Sun Healthcare to repay term loan borrowings, 9 1/8% notes with spinoff-related financing
|
5/24/2010 | IGLM | Lockheed holders swap $611.05 million of debentures in exchange offer
|
5/24/2010 | HYIGLM | J.C. Penney completes cash tender for $300 million of debt securities
|
5/24/2010 | LMMU | Massachusetts Health calls some Caritas Christi revenue bonds at par
|
5/24/2010 | CVLM | Autoliv buys back equity units at discount, issues 2.34 million shares
|
5/24/2010 | IGLM | Motorola begins two tender offers for up to $400 million of notes
|
5/24/2010 | HYLM | AK Steel accepts $321.3 million of 73/4% notes due 2012 in tender offer
|
5/24/2010 | LMMU | New Jersey Economic Development refunds some school facilities bonds
|
5/24/2010 | CVLM | Country Garden repurchases RMB 214.4 million more 2.5% convertibles
|
5/21/2010 | CVLM | 3i Group buys back £27.65 million more 3.625% convertibles due 2011
|
5/21/2010 | LMMU | Utah Water Finance calls portion of Metropolitan Water District of Salt Lake & Sandy bonds
|
5/21/2010 | LMMU | Chelan County, Wash., public utility calls two series of revenue bonds
|
5/21/2010 | HYLM | BWAY gets required consents to amend 10% senior subordinated notes
|
5/21/2010 | CVLM | Headwaters agrees to repurchase $10 million 16% convertibles due 2016
|
5/21/2010 | LMMU | Maine Finance Authority calls $1.57 million Jackson Laboratory bonds
|
5/21/2010 | HYLM | Domtar begins tender offer for up to $350 million of three notes, $75 million of fourth series
|
5/21/2010 | CVLM | LSB Industries buys back $2 million of its 5.5% convertibles due 2012
|
5/21/2010 | LMMU | Maryland Health & Higher Educational to redeem some Johns Hopkins bonds
|
5/21/2010 | HYLM | L-3 plans redemption for $800 million in 6 1/8% notes due 2013, 2014
|
5/21/2010 | CVLM | Symmetricom to buy back $50.4 million of its 3.25% convertibles at par
|
5/21/2010 | AGLM | FFCB calls $1.15 billion consolidated systemwide bonds at par
|
5/21/2010 | LMMU | Maryland Health & Higher Education calls some Kennedy Krieger bonds
|
5/21/2010 | HYLM | Michael Foods to tender for 93/4% discounted, 8% subordinated notes
|
5/21/2010 | DDHYLMPF | BankAtlantic increases payouts, again extends tender for 12 series of trust preferreds
|
5/21/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $504.24 million at par
|
5/21/2010 | LMMU | Tobacco Settlement Financing, N.Y., calls $11.36 million 2003B bonds
|
5/21/2010 | IGLM | Taylor Capital investors get common stock for all series A preferreds
|
5/21/2010 | EMLM | Hidroelectrica Piedra del Aguila buys back $800,000 9% bonds due 2017
|
5/20/2010 | LMMU | Harris County Healthcare calls $3.4 million Memorial Hospital bonds
|
5/20/2010 | EMLM | Brazil's Telesp board opts for June 7 redemption of unsecured bonds
|
5/20/2010 | CVLM | Cell Therapeutics agrees to exchange up to $30 million 4% convertibles
|
5/20/2010 | LMMU | Long Island Power, N.Y., calls four series of electric system bonds
|
5/20/2010 | EMLM | Gabon repurchases $4 million more of its 8.2% global notes due 2017
|
5/20/2010 | CVLM | Quanta Services wraps redemption of $143.75 million 3.75% convertibles
|
5/20/2010 | LMMU | New Jersey Economic Development calls $57.5 million school bonds
|
5/20/2010 | HYLM | Levi Strauss investors tender $415.5 million in 93/4% notes, €199.8 million of 8 5/8% notes
|
5/20/2010 | CVLM | WebMD aims to redeem all $188 million 1.75% convertibles due 2023
|
5/20/2010 | HYLM | RailAmerica to redeem $74 million of 91/4% senior secured notes at 103
|
5/20/2010 | CVLM | euNetworks Group to buy back €17.5 million 3% convertibles due 2012
|
5/20/2010 | IGLMPF | Bank of Ireland sets minimum conversion price in exchange offers
|
5/20/2010 | DDHYLM | Vertis again prolongs offers for 131/2% PIK notes and 181/2% notes
|
5/19/2010 | LMMU | Wisconsin calls all 2000A transportation bonds due 2012 through 2021
|
5/19/2010 | LMMU | Chester County, Pa., Industrial Development calls some Archdiocese of Philadelphia bonds
|
5/19/2010 | AGLM | FFCB calls $50 million 2.45% consolidated systemwide bonds at par
|
5/19/2010 | LMMU | Chicago Transit Authority defeases 2004, 2006 capital grant bonds
|
5/19/2010 | CVDDEMHYLM | Titan terminates latest offer to issue convertibles, PIK notes for 81/2% notes; new exchange possible
|
5/19/2010 | LMMU | New Hampshire Health calls $8 million Riverwoods at Exeter bonds
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5/19/2010 | EMLM | Kazakhstan's Halyk Savings Bank to redeem 13% subordinated bonds
|
5/19/2010 | LMMU | Puerto Rico Electric Power calls 1998, 1999, 2000 power revenue bonds
|
5/19/2010 | HYLM | Standard Pacific accepts tenders for $90 million 73/4% notes; remainder to be redeemed on June 3
|
5/19/2010 | LMMU | South Carolina Tobacco Settlement to redeem $63.04 million 2008 bonds
|
5/19/2010 | HYLMPF | Host Hotels plans to redeem all outstanding 8 7/8% class E preferreds
|
5/18/2010 | HYLM | Omnicare gets enough early tenders to amend 63/4% notes, wraps notes issue needed to fund purchase
|
5/18/2010 | EMLM | Gabon repurchases $5 million of its 8.2% global notes due 2017
|
5/18/2010 | CVLM | Greentown holders put back RMB 2.13 billion 0% convertibles due 2012
|
5/18/2010 | IGLM | Chesapeake Utilities redeems some Florida Public bonds, will call more
|
5/18/2010 | HYLM | Allbritton Communications wraps tender offer for 73/4% notes due 2012
|
5/18/2010 | CVLM | Kemet completes oversubscribed tender offer for 2.25% convertibles
|
5/18/2010 | LMMU | Delaware River Toll Bridge calls part of 2007 bridge system bonds
|
5/18/2010 | HYLM | Chesapeake Energy calls all $1.33 billion of 71/2% notes, 6 7/8% notes
|
5/18/2010 | CVLM | National Bank of Abu Dhabi buys back AED 84.21 million convertibles
|
5/18/2010 | LMMU | Eastern Municipal Water, Calif., calls some 2008 water & sewer bonds
|
5/18/2010 | HYLM | Global Crossing buys back £104,863 113/4% notes, $194,276 103/4% notes
|
5/18/2010 | CVLM | Sinclair holders put nearly two-thirds of remaining 3% convertibles
|
5/18/2010 | AGLM | FFCB to redeem $37 million of consolidated systemwide bonds at par
|
5/18/2010 | LMMU | Tobacco Settlement Financing, N.Y., calls part of 2003 revenue bonds
|
5/18/2010 | HYLM | Limited Brands buys $133.64 million 6 1/8% notes, $266.36 million 51/4% notes in oversubscribed offer
|
5/18/2010 | EMHYLM | Thailand's PTT Aromatics buys back another $4 million of 51/2% notes
|
5/18/2010 | AGLM | Fannie Mae to redeem medium-term notes totaling $530 million at par
|
5/18/2010 | LMMUPF | Two Dreyfus funds to redeem $22 million of auction-rate preferreds
|
5/17/2010 | LMMU | Michigan Tobacco Settlement calls $4.03 million 2006A taxable bonds
|
5/17/2010 | CVLM | CompuCredit obtains tenders for $24.77 million of 3.625% convertibles
|
5/17/2010 | HYLM | Liberty Media gets tenders for 64.6% of notes in Dutch auction so far
|
5/17/2010 | CVLM | Taiwan High Speed holders put $267.02 million in 0% convertible bonds
|
5/17/2010 | LMMU | Philadelphia Industrial Development calls portion of 2007A Fox Chase Cancer Center bonds
|
5/17/2010 | CVLM | Continental Airlines to pay cash for any 5% convertibles put in June
|
5/17/2010 | IGLM | AIG Retirement calls part of SunAmerica Trust class A certificates
|
5/17/2010 | DDHYLMPF | Pacific Capital Bancorp tenders for trust preferreds, debt securities
|
5/17/2010 | LMMU | Puerto Rico Ports Authority calls all $55.58 million 1991 D bonds
|
5/17/2010 | CVLM | Gome Electrical holders put back nearly RMB 2.63 billion 0% convertibles due 2014
|
5/17/2010 | LMMU | Baltimore Industrial Development calls $13.9 million revenue bonds
|
5/17/2010 | AGLM | FFCB calls $520 million of consolidated systemwide bonds at par
|
5/17/2010 | EMLM | Qatar's Doha Bank repurchases $650,000 floating-rate notes due 2016
|
5/17/2010 | LMPF | Ameritrans Capital may buy back 9 3/8% preferreds from time to time
|
5/17/2010 | CVLM | Italian-Thai Development buys back $6 million 4.5% convertibles
|
5/17/2010 | LMMU | Clark County, Nev., school district calls $95.05 million 2000A limited tax G.O. building bonds
|
5/17/2010 | AGLM | Fannie Mae calls medium-term notes totaling $2.77 billion at par
|
5/17/2010 | HYLM | AK Steel to call 73/4% notes that remain outstanding after tender offer
|
5/17/2010 | CVLM | Kilroy begins tender offer for its $298 million 3.25% exchangeables
|
5/17/2010 | LMMU | Maryland Health & Education calls some Western Maryland Health bonds
|
5/17/2010 | CVLM | Cell Therapeutics to issue shares in exchange for up to $30 million of 4% convertible notes
|
5/17/2010 | HYLM | Forbes Energy Services targets more funding for interest, required $6.6 million 11% notes purchase
|
5/17/2010 | CVLM | Suzlon Energy cuts conversion price of convertibles series after already receiving needed consents
|
5/14/2010 | CVLM | Chesapeake converts all of its 5% cumulative convertible preferreds
|
5/14/2010 | LMMU | San Antonio to redeem portion of 3.625% electric & gas system bonds
|
5/14/2010 | LMMU | American Public Energy, Neb., calls $11.64 million gas supply bonds
|
5/14/2010 | HYLM | Omnicare extends early deadline in tender for its 63/4% notes due 2013
|
5/14/2010 | AGLM | FFCB to redeem $1.2 billion of consolidated systemwide bonds
|
5/14/2010 | LMMU | Tobacco Settlement Finance, W.Va., calls $8.12 million 2007A bonds
|
5/14/2010 | LMMU | California Infrastructure calls all $62.69 million 2000 Asian Art Museum Project bonds
|
5/14/2010 | IGLM | Pepco plans repayment of $450 million bridge financing, $1.3 billion of debt in 2010-2011
|
5/14/2010 | AGLM | Fannie Mae calls medium-term notes totaling $1.1 billion at par
|
5/14/2010 | LMMU | Illinois calls $17.8 million Build Illinois sales tax revenue bonds
|
5/14/2010 | IGLM | United Technologies to redeem all $500 million of its 7 1/8% notes
|
5/14/2010 | BKHYLM | Noranda plans to repay floaters, term B loan using IPO proceeds
|
5/14/2010 | LMMU | Massachusetts Health calls five series of Children's Hospital bonds
|
5/14/2010 | IGLMPF | FirstMerit subsidiary to redeem all series B 8.67% trust preferreds
|
5/14/2010 | CVLM | Alexandria Real Estate launches exchange offer for 8% convertibles
|
5/14/2010 | LMMU | Northern California Power calls some 1998A Hydroelectric Project bonds
|
5/14/2010 | LMMU | Alachua County, Fla., Health calls $50 million 2002A Shands Teaching Hospital and Clinics bonds
|
5/13/2010 | LMMU | Massachusetts HEFA to redeem $321.05 million Children's Hospital bonds
|
5/13/2010 | HYLM | Emergency Medical wraps redemption of all 10% notes due 2015 at 105
|
5/13/2010 | AGLM | FFCB calls $105 million of consolidated systemwide bonds at par
|
5/13/2010 | HYLM | Titan International tenders for all 8% senior unsecured notes due 2012
|
5/13/2010 | AGLM | Fannie Mae to redeem $19.85 million 4% medium-term notes due 2016
|
5/13/2010 | HYLMPF | Associated Estates to redeem its 7.92% trust preferred securities
|
5/13/2010 | DDEMHYLM | Mexico's Cemex updates amounts tendered in private exchange offers for perpetual debentures
|
5/13/2010 | IGLM | Diageo gets tenders for $696 million 7.375% notes in exchange offer
|
5/13/2010 | EMLM | Argentina sets currency exchange rates to be used in exchange offer
|
5/13/2010 | LMMU | KnowledgeFunding Ohio extends tender for student loan revenue bonds
|
5/13/2010 | HYLM | DSG plans to use proceeds from revolver to refinance bonds due 2012
|
5/12/2010 | LMMU | New York City Water calls four series of water & sewer system bonds
|
5/12/2010 | LMMU | Baltimore Industrial Development calls $13.91 million revenue bonds
|
5/12/2010 | HYLM | Harvest Energy redeemed $156 million debentures, $40 million 7 7/8% notes during first quarter
|
5/12/2010 | AGLM | FFCB calls $285 million of consolidated systemwide bonds at par
|
5/12/2010 | LMMU | California Water Resources defeases $430 million power supply bonds
|
5/12/2010 | HYLM | Nexstar buys back $34.3 million 13% PIK notes in tender offer
|
5/12/2010 | AGLM | Fannie Mae calls medium-term notes totaling $419.57 million at par
|
5/12/2010 | LMMU | Delaware calls all outstanding series 2002A G.O. bonds
|
5/12/2010 | HYLM | Valassis starts tender offer for up to $270 million of 81/4% notes
|
5/12/2010 | CVLM | National Bank of Abu Dhabi buys back AED 47.25 million of 2018 notes
|
5/12/2010 | LMMU | Golden State Tobacco, Calif., calls portion of 2007A1 settlement bonds
|
5/12/2010 | HYLM | Virgin Media spends £178 million to redeem its senior notes due 2014
|
5/12/2010 | EMLM | Argentina extends early tender deadline in exchange offer by two days
|
5/12/2010 | LMMU | Missouri Health & Education defeases, calls rest of SSM Health bonds
|
5/12/2010 | IGLMPF | Independent Bank extends early exchange date for trust preferreds
|
5/12/2010 | HYLM | BWAY tenders, seeks consents for all 10% senior subordinated notes
|
5/11/2010 | LMMU | San Antonio announces defeasance of $3.68 billion in bonds
|
5/11/2010 | EMLM | Thailand's TMB Bank buys back $23 million perpetual tier 1 securities
|
5/11/2010 | AGLM | Fannie Mae calls medium-term notes totaling $375 million at par
|
5/11/2010 | HYLM | CNG discloses consent fee for 121/4% notes, reasoning for solicitation
|
5/11/2010 | CVLM | CapLease investors tender $13.5 million in 7.5% convertibles due 2027
|
5/11/2010 | HYLM | Cablevision concludes tender offer for its $1 billion 8% senior notes
|
5/11/2010 | DDEMHYLM | Brazil's Imcopa starts new consent solicitation for 10 3/8% notes
|
5/11/2010 | IGLM | General Mills accepts $437 million in 6%, 5.65% notes in Dutch tender
|
5/11/2010 | EMHYLM | Indonesia's Indosat subsidiaries tender for 73/4% notes, 7 1/8% notes
|
5/11/2010 | LMMU | Golden State Tobacco to redeem all $51.4 million of its 2003B bonds
|
5/11/2010 | EMLM | Mexico plans swap for up to 10 billion pesos of bonds
|
5/11/2010 | AGLM | FFCB calls $252 million of consolidated systemwide bonds at par
|
5/10/2010 | LMMU | Montana Health calls all Sisters of Charity of Leavenworth 1998 bonds
|
5/10/2010 | DDEMHYLM | Mexico's Cemex wraps private exchange offers for perpetual debentures
|
5/10/2010 | IGLMPF | Bank of Ireland gets early tenders for three debt series, wraps tender for four preferred series
|
5/10/2010 | CVLM | Conexant Systems buys back $115.2 million 4% convertibles, plans to buy back or call remainder
|
5/10/2010 | HYLM | Warnaco Group calls $110.9 million remaining 8 7/8% senior notes
|
5/10/2010 | LMMU | Montgomery, Tenn., building authority calls portion of 2006 Tennessee County Loan Pool bonds
|
5/10/2010 | HYLM | AK Steel gets needed consents, accepts early tenders for $320.8 million of 73/4% notes
|
5/10/2010 | LMMU | Clarksville, Tenn., building authority calls part of Tennessee Municipal Bond Fund 2004 bonds
|
5/10/2010 | CVLM | DBA holders put all RMB 330 million in 1% convertible bonds due 2012
|
5/10/2010 | IGLM | Diageo prices exchange offer for 7.375% notes issued by Diageo Capital
|
5/10/2010 | LMMU | Philadelphia calls $5.3 million of 2005C airport revenue bonds
|
5/10/2010 | HYLM | ASG settles early tenders of 98.5% of 111/2% notes by consent date
|
5/10/2010 | LMMU | Colorado Health calls all 1998 Sisters of Charity of Leavenworth bonds
|
5/10/2010 | CVLM | Fluor holders convert $10 million 1.5% convertibles in first quarter
|
5/10/2010 | IGLM | First American ekes out needed consents for 7.55% debentures due 2028, prolongs tender offers
|
5/10/2010 | LMMU | Tobacco Securitization, Calif., calls some 2006A San Diego Tobacco Asset Securitization bonds
|
5/10/2010 | HYLM | American Achievement, affiliates tender for three series of notes
|
5/10/2010 | LMMU | Greater Richmond Convention Center, Va., calls all $138.28 million Expansion Project bonds
|
5/10/2010 | CVLM | Powerchip still negotiating for remainder of two convertibles series
|
5/10/2010 | IGLM | Lockheed Martin holders swap $608.54 million notes by early deadline
|
5/10/2010 | AGLM | FFCB to redeem $295 million of consolidated systemwide bonds
|
5/10/2010 | LMPV | Gray Television buys back $60.7 million of preferreds for cash, stock
|
5/10/2010 | HYLM | CNG Holdings solicits consents from holders of its 121/4% notes
|
5/10/2010 | LMMU | Kansas Development calls all 1998C Sisters of Charity of Leavenworth health facilities bonds
|
5/10/2010 | CVLM | Strategic Hotels begins tender for all $180 million 3.5% exchangeables
|
5/10/2010 | IGLM | U.S. Bancorp offers to exchange fixed-to-floating-rate Normal ITS
|
5/10/2010 | CVLM | CapLease extends tender offer for its 7.5% convertibles due 2027
|
5/10/2010 | HYLM | Tyson Foods pays down $518 million notes in first half of fiscal 2010
|
5/7/2010 | HYLM | Goodman Global may repurchase discount, PIK notes with stock proceeds
|
5/7/2010 | DDEMHYLM | Mexico's Cemex fulfills consent requirement for exchange offers for four perpetual series
|
5/7/2010 | AGLM | Fannie Mae calls medium-term notes totaling over $1.65 billion at par
|
5/7/2010 | IGLMPF | Kayne Anderson calls series D preferreds for redemption on May 28
|
5/7/2010 | HYLM | Ocwen purchased $12,930 of its 10 7/8% capital securities in January
|
5/7/2010 | DDHYLM | Vertis extends expiration in offers for 131/2% PIK notes, 181/2% notes
|
5/7/2010 | BKHYLM | Terra called 73/4% notes, terminated $150 million loan with CF merger
|
5/7/2010 | LMMU | Illinois Finance calls $55.94 million Art Institute of Chicago bonds
|
5/7/2010 | HYLM | Rhodia completes oversubscribed €500 million tender offer for floaters
|
5/7/2010 | EMLM | Mexico's Cemex tenders for Ps. 6.11 billion certificados bursatiles
|
5/7/2010 | CVLM | GuocoLand holders put back 97.91% of tranche 1 convertible notes
|
5/7/2010 | LMMU | Massachusetts Water Authority calls $75 million of multi-modal bonds
|
5/7/2010 | HYLMPF | Associated Estates Realty calls $48.3 million 8.7% class B preferreds
|
5/7/2010 | HYLM | DaVita to redeem its $200 million 6 5/8% notes at 101.656 on June 7
|
5/7/2010 | CVLM | Hong Kong's Pacific Basin buys back $152.19 million 3.3% convertibles
|
5/7/2010 | HYLMPF | Scottish Re tenders for any and all of its perpetual preferred shares
|
5/7/2010 | HYLM | Gaylord buys back $26.5 million 63/4% notes for $25.1 million in quarter
|
5/7/2010 | CVLM | Penske cancels tender for all $235.2 million of 3.5% convertibles
|
5/7/2010 | AGLM | FFCB calls $244 million of consolidated systemwide bonds at par
|
5/7/2010 | IGLM | Citigroup accepts tenders for $535.9 million of seven notes series
|
5/6/2010 | LMMU | Health and Educational Authority of Missouri calls $181.6 million of three revenue bond series
|
5/6/2010 | HYLM | Levi Strauss accepts $411.4 million of 93/4% notes, €198.9 million of 8 5/8% notes by early tender date
|
5/6/2010 | CVLM | OSI holders convert nearly all 3.25% convertibles ahead of redemption
|
5/6/2010 | LMMU | Massachusetts Water Resources to redeem $52.53 million 1998-A bonds
|
5/6/2010 | HYLM | Phillips-Van Heusen wraps 71/4%, 8 1/8% notes offer; remainder called
|
5/6/2010 | CVLM | Penske tenders for any and all of $235.2 million 3.5% convertibles
|
5/6/2010 | LMMU | Puerto Rico Electric Power to redeem $104.7 million revenue bonds
|
5/6/2010 | HYLMPF | PS Business Parks calls entirety of 7.95% cumulative preferred stock
|
5/6/2010 | CVLM | Scientific Games to redeem any convertibles not put back on June 1
|
5/6/2010 | LMMU | Tobacco Settlement of N.J. calls $20.71 million of asset-backed bonds
|
5/6/2010 | AGLM | Fannie Mae calls medium-term notes totaling $944.52 million at par
|
5/6/2010 | IGLM | Sallie Mae plans to buy back $1.1 billion of notes in tender offer
|
5/6/2010 | HYLM | Host Hotels & Resorts redeemed all $346 million 7% notes in January
|
5/6/2010 | LMMU | Virginia Port Authority defeases $65 million series 2009 revenue BANs
|
5/6/2010 | CVLM | Coeur d'Alene to swap shares for $14.22 million in 3.25% convertibles
|
5/6/2010 | LMMU | California plans to redeem $123.3 million Children's Hospital bonds
|
5/6/2010 | HYLM | Lamar Media calls remaining $19.44 million of 71/4% notes at 101.208
|
5/6/2010 | CVLM | Country Garden repurchases RMB 200 million more 2.5% convertibles
|
5/5/2010 | CVLM | Conseco buys back $52.5 million of 3.5% convertibles due 2035 at par
|
5/5/2010 | LMMU | Illinois Development calls $17 million YMCA Metropolitan Chicago bonds
|
5/5/2010 | HYLM | RBS Global, Rexnord accept tenders for nearly all 91/2%, 8 7/8% notes
|
5/5/2010 | EMHYLM | Indonesia's Ciliandra Perkasa calls all $140.8 million of 103/4% bonds
|
5/5/2010 | CVLM | Country Garden repurchases RMB 110 million more 2.5% convertibles
|
5/5/2010 | LMMU | New Jersey Building Authority calls portion of 2003 series A bonds
|
5/5/2010 | HYLM | Ryland bought back $8 million of senior notes in quarter at a premium
|
5/5/2010 | EMLM | Brazil's Banco Itau redeems $2.16 million medium-term notes in full
|
5/5/2010 | CVLM | Qwest plans to call any 3.5% convertibles not put back in November
|
5/5/2010 | LMMU | New Mexico State Highway calls $87.13 million 2000A tax revenue bonds
|
5/5/2010 | HYLMPV | Securus refinances $194 million 11% notes, $97.6 million of 17% notes
|
5/5/2010 | EMLM | Indonesia's Lippo Karawaci gets consents needed to amend 8 7/8% notes
|
5/5/2010 | CVLM | Richardson Electronics calls $14 million of its 7.75% convertibles
|
5/5/2010 | LMMU | Berks County, Pa., Reading Hospital bonds have mandatory tender
|
5/5/2010 | HYLM | Energy Future issues notes in exchange for $75 million of toggle notes
|
5/5/2010 | EMHYLM | Hong Kong's Agile Property holders deliver consents to amend 10% notes in line with new issue
|
5/5/2010 | LMMU | Health & Education, Mo., calls $198.95 million SSM Health Care bonds
|
5/5/2010 | HYLM | Ferrellgas, subsidiary to redeem all $34.1 million 83/4% notes due 2012
|
5/5/2010 | EMHYLM | Hong Kong's Agile Property calls in full 9% senior notes due 2013
|
5/4/2010 | CVLM | Chesapeake swaps shares for $10.64 million of 2.25% convertibles
|
5/4/2010 | HYLM | Tenet Healthcare buys back $6 million more of its 91/4% notes in quarter
|
5/4/2010 | HYLM | Domino's repurchases $60 million of its senior notes in first quarter
|
5/4/2010 | CVLM | Country Garden buys back RMB 485.8 million of 2.5% convertibles
|
5/4/2010 | HYLM | WireCo to use note proceeds to redeem all 11% senior notes due 2015
|
5/4/2010 | HYLM | Limited offers for 6 1/8% notes, 51/4% notes oversubscribed as of early tender date
|
5/4/2010 | CVLM | Suzlon Energy gets consents needed to amend five convertibles series
|
5/4/2010 | IGLMPF | RBS gets tenders for $3.9 billion in oversubscribed tender offer for 18 series of its preferreds
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5/4/2010 | HYLM | Meritage Homes gets tenders for $248.1 million 7% notes, 61/4% notes, will call remaining 7% notes
|
5/4/2010 | DDEMLM | Old Mutual gets consents from noteholders needed to avoid default
|
5/4/2010 | LMMU | Massachusetts to redeem $4.8 million series 2007-A variable-rate bonds
|
5/4/2010 | HYLM | Standard Pacific calls its 61/2% notes, 6 7/8% notes and 73/4% notes
|
5/4/2010 | EMLM | Brazil's Banco Itau redeems $2.9 million medium-term notes in full
|
5/4/2010 | LMPP | Rick's Cabaret holders elect to convert $7.2 million in 10% debentures
|
5/4/2010 | AGLM | Fannie Mae calls medium-term notes totaling $440 million at par
|
5/4/2010 | HYLM | Standard Pacific investors tender $89.5 million of 73/4% notes so far
|
5/4/2010 | HYLM | Amkor Technology calls for redemption its 7 1/8% notes, 73/4% notes
|
5/3/2010 | AGLM | Fannie Mae calls medium-term notes totaling $475 million at par
|
5/3/2010 | IGLM | OneBeacon tenders for up to $200 million of its 5.875% notes due 2013
|
5/3/2010 | HYLM | Ryland purchases $255.34 million in tender for 5 3/8%, 6 7/8% notes
|
5/3/2010 | LMMU | Santa Clara Valley Water, Calif., calls some 2007B water system COPs
|
5/3/2010 | CVLM | QBE Insurance Group opts to call all remaining LYONs 4 due 2027
|
5/3/2010 | LMMU | Las Vegas Valley calls some 2006B, 2006C water improvement bonds
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5/3/2010 | CVHYLM | Beazer Homes plans to buy back 8 3/8% notes, 4.625% convertibles
|
5/3/2010 | LMMU | Chino Basin Financing, Calif., calls Inland Empire Utilities bonds
|
5/3/2010 | HYLM | Synovus cancels exchange offer for 5 1/8% subordinated notes due 2017
|
5/3/2010 | LMMU | Tobacco Settlement Financing, Va., calls $16.39 million 5.25% bonds
|
5/3/2010 | DDEMHYLM | Cemex extends exchange offers for four perpetual note series, gets needed consents for three series
|
5/3/2010 | LMMU | Maryland Health & Higher Education's Doctors Community Hospital bonds have mandatory tender
|
5/3/2010 | CVLM | Bellatrix Exploration to redeem 7.5% unsecured convertible debentures
|
5/3/2010 | LMMU | East Bay Utility, Calif., calls $27.85 million water system bonds
|
5/3/2010 | HYLM | Wendy's/Arby's to redeem $200 million of Wendy's 61/4% senior notes
|
5/3/2010 | LMMU | University of New Mexico to redeem some 2001 subordinate-lien bonds
|
5/3/2010 | HYLM | Liberty Media begins Dutch auction tender for $400 million 5.7% notes
|
5/3/2010 | LMMU | Northside ISD, Texas, calls $1.82 million school building bonds
|
5/3/2010 | CVLM | Conexant retires $106.7 million of its 4% convertible notes at 101.9
|
5/3/2010 | LMMU | Fresno, Calif., calls $15.18 million 1994 pension obligation bonds
|
5/3/2010 | HYLMPF | Mid-America Apartment to redeem half of its 8.3% series H preferreds
|
5/3/2010 | LMMU | Washington State to redeem $8.2 million of two 1996 G.O. bonds series
|
5/3/2010 | HYLM | Omnicare launches tender for its $225 million 63/4% notes due 2013
|
5/3/2010 | LMMU | Rhode Island Health & Education calls part of Bryant University bonds
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5/3/2010 | CVLM | Digital Realty Trust holders may exchange their 4.125% notes due 2026
|
5/3/2010 | LMMU | Golden State Tobacco, Calif., calls $286.59 million 2003B bonds
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5/3/2010 | IGLM | First American extends consent bid for 7.55% senior notes due 2028
|
5/3/2010 | HYLM | Realogy may have to redeem portion of senior toggle notes at par
|
5/3/2010 | LMMU | San Diego Tobacco Settlement Funding calls portion of 2006 bonds
|
5/3/2010 | CVLM | Lonking investors issue put notice on $99.28 million in convertibles
|
5/3/2010 | LMMU | Inland Empire Tobacco Securitization, Calif., calls $3.61 million series 2007A bonds
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4/30/2010 | EMLM | Indonesia's Lippo Karawaci gets tenders for $183.75 million 8 7/8% notes in exchange offer
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4/30/2010 | LMMU | New Hampshire Health & Education calls some Dartmouth College bonds
|
4/30/2010 | CVLM | Penske buys back $27 million more 3.5% convertibles in first quarter
|
4/30/2010 | LMMU | District of Columbia calls portion of 2008 multimodal G.O. bonds
|
4/30/2010 | HYLM | Allbritton gets early tenders for $405.4 million 73/4% notes due 2012; remainder called
|
4/30/2010 | LMMU | New Hampshire Health calls $1.15 million Saint Anselm College bonds
|
4/30/2010 | CVLM | ProMOS Technologies buys back $120,000 of 0% convertibles due 2012
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4/30/2010 | LMMU | Franklin County, Ohio, calls $4.2 million Holy Cross hospital bonds
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4/30/2010 | HYLM | D.R. Horton redeems, repurchases $234.4 million of its senior notes
|
4/30/2010 | LMMU | Parish of St. James, La., calls portion of 2008 NuStar Logistics bonds
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4/30/2010 | DDEMHYLM | Egidaco repurchases €9.8 million of eurobonds under buyback program
|
4/30/2010 | LMMU | Geauga County, Ohio, calls $1.7 million South Franklin Circle bonds
|
4/30/2010 | HYLM | Live Nation receives consents to amend Ticketmaster's 103/4% notes
|
4/30/2010 | LMMU | Tobacco Settlement Financing, La., calls 2001A & B asset-backed bonds
|
4/30/2010 | DDEMLM | Argentina's Mastellone Hermanos gets regulatory approval for exchange
|
4/30/2010 | AGLM | Fannie Mae calls medium-term notes totaling $3.7 billion at par
|
4/30/2010 | LMMU | Los Angeles calls portion of 2008 wastewater system revenue bonds
|
4/30/2010 | HYLM | Quality Distribution earmarks part of IPO proceeds for retirement of some of four notes series
|
4/30/2010 | LMMU | Vermont Educational & Health calls some Norwich University bonds
|
4/30/2010 | EMLM | Brazil's Banco Itau calls $500,000 of medium-term notes in full
|
4/30/2010 | CVLM | 3i Group buys back £31.5 million more 3.625% convertibles due 2011
|
4/30/2010 | LMMU | MEAG calls 2002A combustion turbine, 2003A combustion cycle bonds
|
4/30/2010 | LMMU | Clark County School District, Nev., calls all 2001A & B G.O. bonds
|
4/29/2010 | HYLM | Amkor Technology to redeem all of its 7 1/8%, 73/4% senior notes
|
4/29/2010 | AGLM | Fannie Mae calls medium-term notes totaling $13.94 million at par
|
4/29/2010 | LMMU | N.Y. Tobacco Settlement to redeem $95.46 million in asset-backed bonds
|
4/29/2010 | HYLM | Interpublic Group repurchases $21.4 million of its floaters due 2010
|
4/29/2010 | CVIGLMPF | RBS accepts £4.28 billion of notes in exchange offer, tender offers
|
4/29/2010 | LMMU | Regional Transportation Authority, Ill., calls $6.85 million bonds
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4/29/2010 | HYLM | Pinnacle Entertainment plans repurchase of $200 million 81/4% notes using senior notes proceeds
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4/29/2010 | CVLM | Interpublic tenders for up to $370 million of 5.25% convertibles
|
4/29/2010 | LMMU | Wheeling, W.Va., to redeem $80,000 4.75% tax revenue bonds due 2015
|
4/29/2010 | IGLM | Colonial Properties buys back $8.7 million of notes in first quarter
|
4/29/2010 | CVLM | KKR Financial buys back $95.2 million in 7% convertible senior notes
|
4/29/2010 | LMMU | Franklin County, Ohio, calls some U.S. Health Corp. of Columbus hospital facilities bonds
|
4/29/2010 | DDHYLM | Vertis holders deliver needed consents for 131/2% PIK notes, 181/2% notes
|
4/29/2010 | LMMU | Missouri's SSM Health Care calls $48.75 million series 1998A bonds
|
4/28/2010 | HYLM | AutoNation holders tender all of the floaters, $117.9 million 7% notes
|
4/28/2010 | CVLM | Level 3 calls its $171.8 million 10% convertibles due 2011 at 101.67
|
4/28/2010 | IGLM | Tyco International to redeem all outstanding 6.375% notes due 2011
|
4/28/2010 | AGLM | Fannie Mae calls medium-term notes totaling $632.71 million at par
|
4/28/2010 | HYLM | Cellu Tissue bought back some 111/2% notes via $29 million IPO proceeds
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4/28/2010 | CVLM | Regions Financial to mandatorily convert 10% preferred stock early
|
4/28/2010 | LMMU | Charlotte, N.C., calls portion of 2002C water and sewer revenue bonds
|
4/28/2010 | CVIGLM | Duke Realty repurchases $327.2 million of 6.25% bonds, 2011 exchangeables, unsecured bonds
|
4/28/2010 | HYLM | Charter Communications subsidiaries get needed consents for 83/4%, 8 3/8% notes, lift tender payout
|
4/28/2010 | CVLM | Western Coal to call 7.5% convertible debentures for May redemption
|
4/28/2010 | LMMU | Portland, Ore., calls portion of limited tax pension obligation bonds
|
4/28/2010 | CVIGLMPF | Royal Bank of Scotland announces results of exchange, tender offers
|
4/28/2010 | HYLM | Sirius XM calls remaining 10% senior PIK notes for June 1 redemption
|
4/28/2010 | EMLM | Argentina begins exchange offer covering billions of dollars of bonds
|
4/28/2010 | LMMU | Sonoma County, Calif., calls $9.7 million of 1993 pension bonds
|
4/28/2010 | CVLM | Country Garden buys back RMB 390 million more 2.5% convertible bonds
|
4/28/2010 | HYLM | Wynn accepts tenders for $382.01 million 6 5/8% first mortgage notes in exchange offer
|
4/28/2010 | EMLM | Korea Exchange Bank calls $300 million 5% lower tier 2 notes due 2015
|
4/28/2010 | LMMU | West Virginia calls $110 million series 2000 state road bonds in full
|
4/28/2010 | CVLM | Diamond Offshore aims to redeem all 0% convertibles due June 2020
|
4/28/2010 | IGLM | Diageo Capital gets tenders of almost 70% of 7.375% notes in exchange offer by early deadline
|
4/28/2010 | AGLM | FFCB calls $25 million of 5.3% consolidated systemwide bonds
|
4/27/2010 | CVDDLM | Emmis Communications plans exchange offer for 6.25% convertibles
|
4/27/2010 | IGLM | Lockheed Martin launches exchange for four series of debentures
|
4/27/2010 | HYLM | International Wire to redeem its $75 million of 10% notes at 101.25
|
4/27/2010 | EMHYLM | Thailand's Advance Agro to redeem all 11% senior notes due 2012
|
4/27/2010 | CVLM | Boston Properties buys back $53.6 million exchangeables in first quarter, $99.6 million more in April
|
4/27/2010 | IGLM | PSEG unit to buy back $194.8 million of 73/4% notes in tender offer
|
4/27/2010 | HYLM | Susser to redeem all outstanding 10 5/8% notes due 2013 at 105.313
|
4/27/2010 | HYLM | Brightsea EOL calls £100 million 11% first mortgage debentures
|
4/27/2010 | CVLM | Hong Kong's SPG Land investors put RMB 817.7 million 0% convertibles
|
4/27/2010 | LMMU | Fairfax County, Va., to redeem all $118.8 million series 2002A bonds
|
4/27/2010 | IGLM | CBS wraps oversubscribed tender offer for up to $500 million of notes
|
4/27/2010 | HYLM | Cablevision accepts $972.42 million of 8% senior notes in early tender
|
4/27/2010 | CVLM | SL Green buys back $34.6 million 4% exchangeables in year to date
|
4/27/2010 | LMMU | Iowa Student Loan tenders for up to $88 million in auction-rate bonds
|
4/27/2010 | AGLM | FFCB calls $25 million of 4.6% consolidated systemwide bonds
|
4/27/2010 | IGLM | First American gets consents needed to amend two note series; more needed to amend third series
|
4/27/2010 | HYLM | DaVita to redeem $200 million of its 6 5/8% senior notes due 2013
|
4/27/2010 | EMHYLM | Argentina's Piedra del Aguila buys back $3 million 9% notes due 2017
|
4/27/2010 | LMMU | Municipal Electric Authority of Georgia to redeem $65.16 million series 2002B revenue bonds
|
4/27/2010 | AGLM | Fannie Mae calls medium-term notes totaling $2.34 billion at par
|
4/27/2010 | IGLM | General Mills gets tenders for $539.6 million of 6%, 5.65% notes so far, ups cap to $400 million
|
4/27/2010 | HYLM | Ferrellgas completes tender for $233.9 million in 83/4% notes due 2012
|
4/27/2010 | EMHYLM | Kansas City Southern plans note repurchases via stock proceeds
|
4/26/2010 | HYLM | AK Steel plans tender offer, consent bid for $400 million 73/4% notes
|
4/26/2010 | LMMU | San Diego Public Facilities calls $178.78 million sewer revenue bonds
|
4/26/2010 | DDEMHYLM | Cemex again extends early deadline in private exchange offers for four perpetual debentures series
|
4/26/2010 | HYLMPF | Hillman plans notes refinancing; trust preferreds to stay outstanding
|
4/26/2010 | HYLM | Lennar tenders for three notes series using proceeds from new issue
|
4/26/2010 | LMMU | Tallahassee, Fla., calls some 1998A, all 1998B energy system bonds
|
4/26/2010 | DDHYLM | Corral gets tenders, consents from nearly all holders of floaters
|
4/26/2010 | IGLMPF | Bank of Ireland begins two exchange offers for notes, preferreds
|
4/26/2010 | HYLM | Lockheed Martin launches exchange for four series of debentures
|
4/26/2010 | LMMUPF | Evergreen funds to redeem $276 million in auction market preferreds
|
4/26/2010 | EMLM | Korea's National Agricultural calls its $400 million of 5 1/8% notes
|
4/26/2010 | LMMU | Gwinnett County, Ga., 2001 Civic Center bonds have mandatory tender
|
4/26/2010 | HYLM | Mercator Minerals unit calls its 111/2% senior secured notes due 2012
|
4/26/2010 | EMLM | Russia's Mobile TeleSystems to repurchase RUB 7.1 billion 14.01% bonds
|
4/26/2010 | LMMU | Municipal Electric Authority of Georgia calls combustion turbine bonds
|
4/26/2010 | AGLM | FFCB calls $287 million of consolidated systemwide bonds at par
|
4/26/2010 | HYLM | SS&C Technologies details redemption of $71.75 million in 113/4% notes
|
4/26/2010 | HYIGLM | J.C. Penney begins tender for up to $300 million debt securities
|
4/26/2010 | LMMU | Palm Beach Health, Fla., calls $10 million hospital loan bonds
|
4/26/2010 | AGLM | Fannie Mae calls medium-term notes totaling $75 million at par
|
4/26/2010 | HYLM | Synovus Financial begins exchange offer for 5 1/8% notes due 2017
|
4/23/2010 | EMLM | Hong Kong's Dah Sing Bank buys back $75 million of its perpetual notes
|
4/23/2010 | CVLM | China Sun buys back $6.5 million more zero-coupon convertible bonds
|
4/23/2010 | AGLM | FFCB calls $30 million of 2.45% consolidated systemwide bonds at par
|
4/23/2010 | LMMU | Maine Health & Higher Education calls portion of 1998B, 1999A bonds
|
4/23/2010 | EMLM | Kazakhstan's Bank CenterCredit buys back $1 million of 8% notes
|
4/23/2010 | CVLM | Country Garden meets financial condition for 2.5% convertibles tender; April 27 settlement set
|
4/23/2010 | AGLM | Fannie Mae calls medium-term notes totaling $2.3 billion at par
|
4/23/2010 | LMMU | Pennsylvania Intergovernmental calls $202.82 million tax revenue bonds
|
4/23/2010 | HYLM | Trustreet Properties to redeem $295.52 million of 71/2% notes in full
|
4/23/2010 | CVLM | Petrobank investors opt to convert all convertibles due July 10, 2015
|
4/23/2010 | CVDDEMHYLM | Titan Petrochemicals plans to issue new convertibles, PIK notes in new 81/2% notes exchange offer
|
4/23/2010 | LMMUPF | Four Nuveen funds to redeem $113.55 million auction-rate preferreds
|
4/23/2010 | IGLM | Citigroup launches $1.1 billion tender offer for seven notes series
|
4/23/2010 | EMHYLM | Hong Kong's Galaxy Entertainment calls $281.16 million 9 7/8% notes
|
4/23/2010 | CVIGLM | Stanley Black & Decker to remarket $320 million floating convertibles
|
4/23/2010 | IGLMPF | Independent Bank starts exchange for four series of trust preferreds
|
4/23/2010 | EMLM | Brazil's Banco Itau to redeem $1.5 million medium-term notes in full
|
4/23/2010 | CVLM | China Nickel holder agrees to forgo exercising put right for 15% of convertibles due 2012
|
4/23/2010 | LMMU | Fairfax County, Va., development authority's 2010A-2 Inova Health bonds have mandatory tender
|
4/22/2010 | HYLM | Live Nation starts consent solicitation for Ticketmaster's 103/4% notes
|
4/22/2010 | EMLM | Brazil's Banco Itau calls $1.15 million of medium-term notes in full
|
4/22/2010 | IGLM | Developers Diversified repurchased $155.9 million notes in quarter
|
4/22/2010 | EMLM | Ukraine's MHP gets early tenders for 91% of 101/4% notes in exchange
|
4/22/2010 | CVLM | Antigenics issues shares for $2.29 million 5.25% convertibles, amends terms of 2006 convertibles
|
4/22/2010 | IGLM | Northwestern Energy plans refinancing of 5.875% senior secured notes
|
4/22/2010 | HYLM | Intelsat wraps successful solicitation for 7 5/8% notes, 61/2% notes
|
4/22/2010 | CVLM | Constantin Medien tenders for EM.TV Finance's 5.25% convertible notes
|
4/22/2010 | LMMU | Lorain County, Ohio, redeems $189.11 million Catholic HealthCare bonds
|
4/22/2010 | HYLM | Lamar Media accepts early tenders for $365.39 million of 71/4% notes
|
4/22/2010 | EMHYLM | Argentina's Piedra del Aguila buys back $150,000 of class I notes
|
4/22/2010 | LMMU | Minnesota aims to redeem $81.15 million in general obligation bonds
|
4/22/2010 | HYLM | Levi Strauss begins tender, consent solicitation for 93/4%, 8 5/8% notes
|
4/22/2010 | EMHYLM | Hong Kong's Agile Property plans consent solicitation to align 10% notes with proposed senior notes
|
4/22/2010 | LMMU | New Hampshire to redeem $15.5 million in Riverwoods at Exeter bonds
|
4/21/2010 | IGLM | Duke Realty gets tenders for 60.94% of 6.95% notes, 43.88% of 5.625% notes, 33.24% of 6.25% notes
|
4/21/2010 | DDHYLM | Cecon seeks to extend 25% bonds, make interest payment in kind
|
4/21/2010 | LMMU | Utah Water Finance Agency to redeem B-3, B-5 program revenue bonds
|
4/21/2010 | IGLM | Sallie Mae reports repurchase of $1.3 billion in unsecured debt
|
4/21/2010 | EMLM | Brazil's Banco Itau calls $1.38 million of medium-term notes in full
|
4/21/2010 | CVLM | DST Systems buys back $36.5 million 4.125% series A convertibles
|
4/21/2010 | LMMU | Douglas County, Neb., defeases Omaha Public Schools 2001B G.O. bonds
|
4/21/2010 | HYLM | Limited lifts tender cap for 6 1/8% notes, 51/4% notes to $400 million
|
4/21/2010 | CVLM | GSI Commerce calls all $57.5 million of its 3% convertibles due 2025
|
4/21/2010 | LMMU | Florida Department of Environmental Protection calls $75.8 million preservation 2000 bonds
|
4/21/2010 | HYLM | RBS Global, Rexnord receive consents needed to amend 91/2%, 8 7/8% notes
|
4/21/2010 | CVLM | Umpqua Holdings schedules automatic conversion of series B preferreds
|
4/21/2010 | LMMU | Ohio to redeem $119.33 million of three series common schools bonds
|
4/21/2010 | HYLM | Vitamin Shoppe calls $25 million second-priority floaters due 2012
|
4/21/2010 | DDEMLM | Argentina's Autopistas del Sol extends first step of exchange offer
|
4/21/2010 | LMMU | Tampa, Fla., calls $206.8 million 1998A-1 Catholic Health East bonds
|
4/20/2010 | HYLM | Phillips-Van Heusen gets consents needed to amend 71/4%, 8 1/8% notes
|
4/20/2010 | CVLM | Thermo Fisher to redeem $174.12 million convertible floaters due 2033
|
4/20/2010 | LMMU | Lower Colorado River Authority calls $14.22 million series 2001 revenue bonds
|
4/20/2010 | HYLM | Ryland to redeem any 5 3/8% notes due 2012 not tendered in offer
|
4/20/2010 | DDEMHYLM | Titan Petrochemicals terminates exchange offer for 81/2% notes due 2012
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4/20/2010 | AGLM | FFCB to redeem $271 million of consolidated systemwide bonds at par
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4/20/2010 | HYLM | Standard Pacific launches cash tender offer for its 73/4% notes due 2013
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4/20/2010 | HYLM | ASG announces tender, consent solicitation for 111/2% notes due 2011
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4/20/2010 | AGLM | Fannie Mae calls medium-term notes totaling $435 million at par
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4/20/2010 | IGLM | BVPS II to redeem $5.38 million of its $108.89 million 8.89% bonds
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4/20/2010 | HYLM | Limited Brands tenders for up to $300 million 6 1/8% notes, 51/4% notes
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4/20/2010 | CVLM | Evergreen Solar to buy some 4% convertibles using new issue proceeds
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4/20/2010 | IGLM | Time Warner to redeem all $226.96 million of its 6.75% notes due 2011
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4/20/2010 | HYLM | Meritage Homes accepts tenders for $247 million 7% notes, 61/4% notes
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4/20/2010 | CVLM | Kemet tenders for $40.5 million 2.25% convertible notes due 2026
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4/20/2010 | LMMU | Connecticut calls Wesleyan University series E, D variable-rate bonds
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4/19/2010 | LMMU | Capital Area, Texas, series 2005 Roman Catholic Diocese of Austin bonds have mandatory tender
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4/19/2010 | DDEMHYLM | Cemex prolongs early deadline in private exchange offers for four series of perpetual debentures
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4/19/2010 | LMMU | Rochester, Minn., 2008E Mayo Clinic bonds have mandatory tender
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4/19/2010 | LMMU | DeKalb, Newton, Gwinnett Counties, Ga., announce mandatory tender for GPC Real Estate bonds
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4/19/2010 | EMLM | Brazil's Banco Itau calls $500,000 of medium-term notes in full
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4/19/2010 | LMMU | Florida Board of Education calls four series of capital outlay bonds
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4/19/2010 | EMLM | Ukraine's MHP reveals terms of new notes in 101/4% notes exchange offer
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4/19/2010 | AGLM | FFCB calls $1.74 billion of consolidated systemwide bonds at par
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4/19/2010 | LMMU | Hamilton, Ohio, calls two series of Children's Hospital bonds in part
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4/19/2010 | HYLM | Nexstar Broadcasting gets consents needed to amend 13% PIK notes
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4/19/2010 | AGLM | Fannie Mae calls medium-term notes totaling $3.61 billion at par
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4/19/2010 | LMMU | Illinois Development calls 2001 Evanston Northwestern Healthcare bonds
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4/19/2010 | HYLM | Peel seeks consents to amend terms of first mortgage debenture stock
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4/19/2010 | BKDDHYLMPF | Gray Television to repay loans, buy back preferreds via note proceeds
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4/19/2010 | LMMU | Oklahoma City Industrial & Cultural Facilities Trust revises SSM Health Care bond redemption
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