12/23/2011 | IGLMPF | ING updates take-up rates for retail, institutional exchange offers
|
12/22/2011 | IGLM | Veolia buys back portions of 5.25% dollar bonds, 4.875% euro bonds
|
12/22/2011 | IGLM | Simon Property calls $74.25 million of its 5.75% notes due 2012
|
12/21/2011 | IGLM | Achmea accepts tenders for $903.68 million of first-priority notes
|
12/21/2011 | IGLMPF | ING tender offer, institutional exchange offer get 66% participation
|
12/20/2011 | IGLMPF | Barclays accepts $2.04 billion, £1.13 billion of securities so far
|
12/16/2011 | IGLM | BNP Paribas reports results in exchange offer for four note series
|
12/16/2011 | IGLMPF | Bank of America issues stock, notes for $1.6 billion more preferreds
|
12/16/2011 | IGLMPF | Barclays extends tender offers for up to £2.5 billion perpetual notes
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12/15/2011 | IGLMPF | SVB Bald Eagle Statutory Trust I calls $4 million of its securities
|
12/15/2011 | AGIGLM | Tennessee Valley Authority to redeem its 4.75% electronotes due 2028
|
12/15/2011 | IGLMPF | Lloyds TSB sets terms for new notes to be issued in exchange offer
|
12/14/2011 | IGLMPF | Commerzbank completes oversubscribed offer for trust preferreds
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12/13/2011 | IGLM | NiSource accepts $250 million of 10.75%, 6.15% notes in tender offer
|
12/13/2011 | IGLM | Sovereign Bank gets tenders for $234.95 million 5 1/8% notes due 2013
|
12/13/2011 | IGLMPF | Huntington extends early deadline for trust preferreds exchange offer
|
12/12/2011 | HYIGLM | Nalco plans to redeem all of its 81/4%, 6 5/8% and 6 7/8% senior notes
|
12/12/2011 | IGLMPF | ING begins exchange offers, tender offer for subordinated securities
|
12/9/2011 | EMIGLM | UAE's TAQA to settle tenders for 39.3% of $1.5 billion 5.62% notes
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12/8/2011 | IGLMPF | Bank of America gets needed consents from preferred hybrid holders
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12/7/2011 | IGLMPF | Viacom to redeem all of its 6.85% senior notes due 2055 on Jan. 9
|
12/7/2011 | IGLM | Williams wraps tender for eight series; top-priority notes accepted
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12/7/2011 | IGLMPF | CVS Caremark receives tenders for $957.72 million 6.302% preferreds
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12/6/2011 | IGLM | Achmea Hypotheekbank tender offer oversubscribed at early deadline
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12/6/2011 | IGLM | Reed Elsevier Capital to redeem $450 million of 4.625% notes due 2013
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12/5/2011 | IGLMPF | Commerzbank begins tender offer for €600 million of trust preferreds
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12/5/2011 | EMIGLM | UAE's TAQA extends cash tender offer for 5.62% notes to Dec. 8
|
12/5/2011 | EMIGLM | Uruguay plans exchange offer for 5% bonds, tender offer for 15 series
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12/5/2011 | IGLMPF | Barclays tenders for up to £2.5 billion of capital securities
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12/2/2011 | IGLM | Sovereign Bank tenders for $499.5 million of 5 1/8% notes due 2013
|
12/2/2011 | IGLM | WPP subsidiary to issue new notes for $281.37 million 5.875% notes
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12/2/2011 | IGLMPF | Bank of America issues stock, notes in swap for $1.35 billion more preferreds, for $4 billion total
|
12/2/2011 | IGLM | BNP Paribas gives early results in exchange offer for four series
|
12/2/2011 | IGLM | CommonWealth REIT to redeem all $150.68 million of 6.96% senior notes
|
12/2/2011 | IGLM | Societe Generale completes first of two offers for tier 1 hybrids
|
12/1/2011 | IGLMPF | Bank of America solicits consents from holders of preferred hybrids
|
12/1/2011 | IGLMPF | Lloyds TSB starts exchange offer for 13 series of capital securities
|
11/29/2011 | IGLM | AT&T to redeem all of its 8.125% notes due 2012
|
11/29/2011 | IGLM | BNP Paribas prices exchange offers for 5.125% notes, 4.8% notes
|
11/29/2011 | IGLMPF | CVS Caremark launches tender offer for $1 billion 6.302% preferreds
|
11/29/2011 | IGLMPF | DTE Energy calls $280 million of 7.5%, 7.8% trust preferred securities
|
11/29/2011 | IGLMPF | Huntington starts exchange offer for $300 million trust preferreds
|
11/28/2011 | IGLMPF | Bank of America OK'd to amend five preferreds, falls short on three
|
11/23/2011 | IGLM | NiSource Finance sets payouts in tender for 10.75%, 6.15% notes
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11/23/2011 | IGLM | Southern Power to redeem all $575 million series B notes due 2012
|
11/23/2011 | IGLM | Verizon sets prices for redemption of notes and debentures on Nov. 28
|
11/22/2011 | IGLM | MidAmerican plans optional redemption of $400 million 5.65% notes
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11/22/2011 | IGLM | NiSource Finance extends early tender deadline for 10.75%, 6.15% notes
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11/22/2011 | EMIGLM | Tele Norte to redeem all $150 million of its 8% senior notes Dec. 19
|
11/22/2011 | IGLM | L-3 to redeem $500 million of its 6.375% subordinated notes due 2015
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11/21/2011 | EMIGLM | UAE's TAQA tenders for $1.5 billion 5.62% notes due 2012 at 103.75
|
11/21/2011 | IGLM | ANZ to redeem all $250 million of medium-term notes due 2016
|
11/21/2011 | IGLM | Williams prices tender offers; Holders tender $1.99 billion so far
|
11/18/2011 | IGLMPF | Delta Natural calls $38.45 million notes, $19.41 million debentures
|
11/17/2011 | CVIGLMPF | Bank of America exchanges stock, notes for $2.69 billion preferreds
|
11/17/2011 | IGLM | BNP Paribas begins exchange offers for $4.02 billion of notes
|
11/17/2011 | IGLM | L-3 to use new note proceeds to redeem its 6.375% notes due 2015
|
11/17/2011 | IGLM | Puget Sound Energy note proceeds to fund $25 million bond redemption
|
11/16/2011 | IGLM | United Technologies calls all $500 million of its 6.1% notes due 2012
|
11/15/2011 | IGLMPF | Bank of America starts consent bid to amend eight securities series
|
11/14/2011 | IGLM | NiSource Finance begins tender offers for 10.75% notes, 6.15% notes
|
11/14/2011 | IGLM | WPP subsidiary sets pricing, exchange ratio in offer for 5.875% notes
|
11/10/2011 | IGLM | Southern Power to use new note proceeds to redeem series B 6.25% debt
|
11/9/2011 | IGLMPF | AIG exchange offer for $2.5 billion subordinated debentures oversubscribed at early deadline
|
11/7/2011 | IGLM | Sallie Mae buys back $9 million of unsecured debt during third quarter
|
11/7/2011 | IGLM | Williams begins $1 billion tender offers for eight series of notes
|
11/7/2011 | IGLMPF | AIG sets coupons for new notes to be issued in exchange offer
|
11/4/2011 | IGLMPF | Bank of America plans possible exchanges of notes for preferreds
|
11/3/2011 | IGLM | WPP subsidiary sets terms in exchange offer for 5.875% notes
|
11/3/2011 | IGLM | Simon Property calls all $159.75 million of its 5% notes due 2012
|
11/1/2011 | IGLM | Mosaic to redeem its $469.25 million of 7.625% senior notes due 2016
|
10/31/2011 | IGLM | Beam begins Dutch auction tender offer for portion of 4% notes
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10/31/2011 | IGLM | Verizon New York to redeem $2.5 billion of series A debentures
|
10/31/2011 | IGLMPF | KeyCorp calls $331 million of its 6.75% trust preferred securities
|
10/28/2011 | CVIGLM | RAIT Financial reports series of October note repurchases, exchanges
|
10/28/2011 | HYIGLM | Seacor purchases $1.2 million of 5 7/8% notes in third quarter
|
10/27/2011 | IGLM | AT&T to redeem all 5.875% notes due 2012
|
10/27/2011 | IGLM | Verizon to use new deal proceeds to retire notes due 2012 and 2013
|
10/26/2011 | IGLM | National Rural to redeem $3.9 million of series 1997 Kepco notes
|
10/26/2011 | IGLMPF | Public Storage calls $105 million of 6.95% series H preferred shares
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10/26/2011 | EMIGLM | Banco de Credito del Peru holders tender $117.04 million 6.95% notes
|
10/24/2011 | IGLM | Comcast calls all $345 million of its 7% senior notes due 2055
|
10/24/2011 | IGLMPF | AIG offers to exchange up to $2.5 billion junior subordinated notes
|
10/24/2011 | IGLMPF | Vectren Utility to redeem all $96.17 million of 5.95% notes due 2036
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10/24/2011 | IGLMPF | Wells Fargo to redeem $40 million of capital securities on Dec. 15
|
10/20/2011 | IGLM | National Rural calls $250 million of 7.25% notes due 2012 at 102.503
|
10/19/2011 | IGLM | ITT gets tenders for $87.56 million 7.4% notes, sets price at 158.742
|
10/17/2011 | IGLM | Mosaic to use bond proceeds to redeem 7.625% senior notes due 2016
|
10/17/2011 | IGLM | PNPP II calls $365,000 of its 8.8% bonds due May 30, 2016
|
10/17/2011 | IGLM | PNPP II calls $9.13 million of its 9.12% bonds due May 30, 2016
|
10/17/2011 | IGLM | Alabama Power to redeem $99.85 million 5.75% bonds due 2036
|
10/17/2011 | IGLM | BVPS issues calls to redeem $7.36 million 8.89% bonds due 2017 at par
|
10/17/2011 | IGLM | BVPS issues calls to redeem $2.87 million 8.68% bonds due 2017 at par
|
10/14/2011 | IGLMPF | PNC to redeem $750 million of trust preferred securities due 2036
|
10/13/2011 | IGLMPF | SunTrust Banks to remarket, repurchase junior subordinated notes
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10/12/2011 | IGLM | Mosaic to redeem its $469 million of 7.625% senior notes due 2016
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10/12/2011 | CAIGLM | Canadian National Railway unit gets tenders for 76% of 6.375% notes
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10/12/2011 | CAIGLM | Canadian Pacific Railway holders tender 82.86% of 6.25% notes
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10/12/2011 | IGLM | AT&T redeems $1.5 billion of 7.3% senior notes due 2011 at 100.651
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10/12/2011 | IGLM | Alltel Georgia to redeem $10 million of its 6.5% debentures due 2013
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10/12/2011 | IGLM | MDC Holdings calls its $176.70 million of 5.5% senior notes due 2013
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10/11/2011 | EMIGLM | Banco de Credito del Peru gets tenders for $114.44 million 6.95% notes through early deadline
|
10/11/2011 | IGLM | Swedbank buys back its $127.5 million of floating rate notes due 2016
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10/7/2011 | IGLM | NBCUniversal gets consents to amend, guarantee Universal Orlando notes
|
10/6/2011 | IGLM | Archer-Daniels-Midland gets total tenders for $403.79 million notes
|
10/5/2011 | IGLM | Beam to redeem its $400 million of 3% notes due 2012
|
10/3/2011 | IGLM | DTE Energy to redeem $5.98 million of senior secured bonds due 2024
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9/30/2011 | EMIGLM | Banco de Credito del Peru prices exchange offer for 6.95% notes
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9/30/2011 | IGLM | Qwest issues call to redeem $950 million of 8.875% notes due 2012
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9/29/2011 | IGLMPF | Xcel Energy to pay $108 million to redeem all cumulative preferreds
|
9/28/2011 | EMIGLM | HSBC Bank Middle East repurchases $2 million of notes on Sept. 23
|
9/28/2011 | IGLM | Man Group accepts €197.05 million 6% notes, $59.2 million 6.5% notes
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9/27/2011 | EMIGLM | Banco de Credito del Peru starts exchange offer for 6.95% notes
|
9/26/2011 | CAIGLM | Canadian National Railway prolongs consent deadline in tender offer for 6.375% notes
|
9/26/2011 | IGLM | SunTrust gets needed consents to terminate capital covenants
|
9/22/2011 | IGLM | Archer-Daniels-Midland gets tenders for $403.09 million notes so far
|
9/21/2011 | IGLM | ITT calls 4.9% senior notes due 2014, 6.125% senior notes due 2019
|
9/21/2011 | IGLM | Man sets minimum spread, expected acceptance amount for 6.5% notes
|
9/21/2011 | IGLM | Archer-Daniels-Midland sets pricing in exchange for six notes series
|
9/20/2011 | IGLM | ITT begins tender offer for up to $100 million of 7.4% debentures
|
9/20/2011 | IGLM | M.D.C. Holdings calls all outstanding 7% senior notes due 2012
|
9/20/2011 | IGLM | National Rural calls $250 million of 7.25% medium-term notes due 2012
|
9/16/2011 | IGLMMUPF | BlackRock MuniYield Quality Fund to redeem $176.63 million preferreds
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9/16/2011 | AGIGLM | Tennessee Valley Authority to redeem its 5% electronotes due 2023
|
9/15/2011 | IGLM | Norfolk Southern issues $600 million 4.837% notes due 2041, 6% notes due 2111 in exchange offer
|
9/14/2011 | IGLM | Aflac terminates exchange offer for $850 million of 8.5% notes
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9/13/2011 | CAIGLM | Canadian National Railway starts tender offer for 6.375% notes
|
9/13/2011 | CAIGLM | Canadian Pacific Railway unit begins tender offer for 6.25% notes
|
9/12/2011 | IGLM | SunTrust Banks seeks consents to kill capital covenants under 6% notes
|
9/12/2011 | IGLM | Norfolk Southern to accept no additional notes after early deadline
|
9/9/2011 | IGLM | Norfolk Southern sets pricing in private exchange offers for notes
|
9/8/2011 | IGLM | AT&T Mobility to redeem $2.25 billion of 6.5%, 7.3% notes in October
|
9/8/2011 | IGLM | Archer-Daniels-Midland begins exchange offers for six series of notes
|
9/8/2011 | IGLM | NBCUniversal seeks to amend Universal Orlando notes, offers guarantee
|
9/7/2011 | IGLM | Man Group tenders for €600 million 6% notes, $250 million 6.5% notes
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9/6/2011 | EMIGLM | HSBC Middle East repurchases $300,000 of notes on Sept. 1
|
9/6/2011 | IGLM | Lockheed Martin to redeem $500 million notes with new notes proceeds
|
9/2/2011 | IGLM | ITT Financial to redeem $1 million of floaters due 2048 at par
|
9/2/2011 | IGLMPF | ING Prime Rate Trust to redeem 1,000 auction preferred shares
|
9/1/2011 | IGLM | HSBC calls $750 million floaters due 2016 for Oct. 6 redemption
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9/1/2011 | IGLM | Wells Fargo issues call for $5.78 billion securities from four trusts
|
9/1/2011 | IGLMPF | Fifth Third issues call for $25 million of R&G trust preferreds
|
9/1/2011 | IGLMPF | KeyCorp calls $30 million trust preferreds from two Union State trusts
|
8/31/2011 | IGLM | Aflac starts exchange offer for any and all $850 million 8.5% notes
|
8/31/2011 | IGLM | Coca-Cola gets tenders for $1.02 billion of notes in exchange offers
|
8/30/2011 | CAIGLM | Canadian Pacific Railway to redeem $101.4 million 5.75% notes due 2013
|
8/30/2011 | IGLM | Commonwealth Edison to refinance $536 million of bonds with $600 million bond offer proceeds
|
8/30/2011 | IGLMPF | Public Storage to redeem $100 million of 7% series G preferred shares
|
8/29/2011 | IGLM | Anheuser-Busch to redeem all outstanding 5.491%, 5.35% notes at par
|
8/26/2011 | IGLM | Norfolk Southern begins private exchange offers for four note series
|
8/26/2011 | IGLM | Fortune Brands completes oversubscribed offer for $1.05 billion notes
|
8/25/2011 | IGLM | NBC Universal seeks consents, offers to guarantee Universal City notes
|
8/24/2011 | IGLM | Toll Brothers buys back $45.1 million 6.875% notes in third quarter
|
8/23/2011 | IGLMPF | Georgia Power calls $200 million 5.875% capital trust VII preferreds
|
8/22/2011 | IGLM | Fortune Brands sets pricing in up to $1.05 billion tender offers
|
8/22/2011 | IGLM | CVS Caremark 6 1/8% noteholders deliver consents to terminate replacement capital covenant
|
8/18/2011 | BKCVHYIGLM | Noble Energy, Consol Energy Marcellus Shale joint venture valued at total of $3.4 billion
|
8/18/2011 | IGLM | PPL Electric redeems $400 million 7.125% secured bonds due 2013
|
8/17/2011 | IGLM | Coca-Cola holders tender $1.02 billion in exchange offers so far
|
8/15/2011 | IGLMPF | XL Group holders tender 97.7% of series C preference ordinary shares
|
8/11/2011 | IGLM | Fortune Brands receives $1.24 billion of notes so far in tender offers
|
8/11/2011 | EMIGLM | Chile's AES gets tenders for $101.88 million 71/2% notes in swap offer
|
8/10/2011 | IGLM | 3M to redeem $251.9 million Liquid Yield Option Notes due 2032
|
8/10/2011 | IGLM | Beckman Coulter redeems $36.19 million 7.05% debentures due 2026
|
8/9/2011 | IGLM | Guaranty Bancshares calls $2.5 million junior debentures due 2030
|
8/9/2011 | IGLM | U.S. Bancorp calls $575 million trust preferreds from two series
|
8/8/2011 | IGLM | Pohjola Bank to redeem $325 million subordinated notes due 2016
|
8/5/2011 | IGLM | Chevron issues call to redeem all $1.5 billion 3.45% notes due 2012
|
8/5/2011 | IGLM | Gamco authorized to buy back up to $20 million zero-coupon debentures
|
8/3/2011 | IGLM | Coca-Cola announces exchange offers for up to $2 billion of notes
|
8/2/2011 | IGLMPF | KeyCorp to redeem $361.11 million trust preferreds from four trusts
|
8/2/2011 | IGLMPF | Fifth Third issues call for $40 million of preferreds from two trusts
|
7/28/2011 | EMIGLM | Chile's AES Gener wraps tender offer for 71/2% notes, reports early results of exchange offer
|
7/28/2011 | IGLM | Fortune Brands begins seven tender offers, will spend up to $1 billion
|
7/28/2011 | IGLM | Glencore Funding gets needed consents to add guarantor for 6% notes
|
7/28/2011 | IGLM | National Rural Utilities calls $250 million 7.25% medium-term notes
|
7/28/2011 | IGLMMUPF | Nuveen Dividend to redeem $120.08 million auction-rate preferreds
|
7/26/2011 | IGLM | Nordic Investment Bank repurchases £9.25 million floaters due 2024
|
7/20/2011 | IGLM | Sallie Mae buys back $60 million of notes in second quarter 2011
|
7/19/2011 | IGLMPF | Public Storage calls all series K preferreds for Aug. 22 redemption
|
7/18/2011 | IGLMPF | XL Group begins tender offer for $71.9 million series C preferreds
|
7/15/2011 | IGLM | Allegheny Generating calls $100 million 6.875% debentures due 2023
|
7/15/2011 | EMIGLM | Chile's AES Gener launches tender and exchange offer for 7.5% notes
|
7/14/2011 | IGLMMUPF | Nuveen Ohio muni fund to redeem $73 million auction-rate preferreds
|
7/13/2011 | HYIGLM | GFI to use senior notes proceeds to redeem notes due 2013, repay loan
|
7/12/2011 | IGLM | Marsh & McLennan gives early results in offer for 5.375%, 5.75% notes, raises cap amounts
|
7/7/2011 | IGLM | M.D.C. holders tender no additional 5.5%, 7% notes after early deadline
|
7/5/2011 | IGLM | Glencore Finance calls remaining $400 million of 8% perpetual notes
|
6/30/2011 | IGLM | Beckman Coulter calls four note series after acquisition by Danaher
|
6/30/2011 | IGLMMUPF | Nuveen California to redeem $135.53 million of auction-rate preferreds
|
6/30/2011 | IGLMMUPF | Nuveen Insured California to redeem $103.75 million MuniPreferreds
|
6/27/2011 | IGLM | Commonwealth Bank of Australia calls $200 million step-up notes
|
6/27/2011 | IGLM | Marsh & McLennan tenders for up to $500 million 5.375%, 5.75% notes
|
6/27/2011 | IGLM | Citigroup gets tenders for more than $1.25 billion of four note series
|
6/22/2011 | HYIGLM | M.D.C. gets tenders for $237 million of 5.5% notes, 7% notes so far
|
6/22/2011 | IGLM | Aircraft Finance Trust holders supply needed consents for five series
|
6/22/2011 | IGLMPF | Lincoln National calls $275 million 6.75% capital securities due 2066
|
6/21/2011 | IGLMPF | Lincoln National to redeem all $275 million 6.75% capital securities
|
6/21/2011 | IGLM | BAE Systems to redeem all $765.68 million of 6.879% bonds on June 23
|
6/21/2011 | IGLM | Motorola Solutions wraps oversubscribed $540 million tender offer
|
6/21/2011 | IGLM | Union Pacific accepts $857.44 million of notes for exchange in offer
|
6/17/2011 | IGLM | Texas Gas Transmission calls $115 million 5.5% senior notes due 2013
|
6/17/2011 | IGLMPF | Duke Realty calls 7.25% series N preferreds, depositary shares
|
6/17/2011 | HYIGLM | International Lease completes tender offer for multiple notes series
|
6/17/2011 | HYIGLM | Valmont redeems $150 million 6.875% notes due 2014 at 101.146
|
6/16/2011 | IGLM | BAE Systems gets consents to redeem $765.68 million 6.879% bonds
|
6/16/2011 | IGLM | Citibank gets tenders for $4.9 billion of asset-backed securities
|
6/16/2011 | IGLM | Maiden Holdings plans to redeem Maiden Capital 14% trust preferreds
|
6/16/2011 | IGLM | Toll Brothers buys back $45.09 million 6.875% notes due 2012
|
6/15/2011 | IGLM | Fiserv calls $300.2 million 6.125% notes due 2012 for redemption
|
6/15/2011 | IGLM | HSBC Finance calls $300 million 6.875% notes, $300 million 6% notes
|
6/14/2011 | EMIGLM | Brazil's Itau Unibanco plans full redemption of 8.7% securities
|
6/14/2011 | IGLM | Aircraft Finance Trust prolongs consent solicitation for five series
|
6/13/2011 | IGLM | Popular North America holder exchanges $233.2 million of 6.85% notes
|
6/10/2011 | IGLM | PVNGS Funding calls $12.62 million 8% secured lease bonds due 2015
|
6/9/2011 | IGLM | Empire District garners needed consents to amend first mortgage bonds
|
6/8/2011 | HYIGLM | International Lease releases three series in oversubscribed tender
|
6/8/2011 | HYIGLM | M.D.C. Holdings tenders for up to $250 million 5.5% notes, 7% notes
|
6/7/2011 | IGLM | Union Pacific gets $1.01 billion early tenders in note exchange offer
|
6/7/2011 | HYIGLM | Valmont to redeem 6.875% notes with $150 million more 6.625% notes
|
6/7/2011 | IGLM | Motorola Solutions tenders for up to $540 million of five note series
|
6/6/2011 | CAIGLM | Fairfax Financial accepts $694.46 million of notes in tender offer
|
6/6/2011 | IGLM | Fiserv begins tender offer for $1 billion 6.125% notes due 2012
|
6/6/2011 | IGLM | Union Pacific sets pricing in exchange offer for eight note series
|
6/3/2011 | HYIGLM | International Lease gets tenders for $2.69 billion of notes so far
|
6/3/2011 | CVIGLM | ProLogis holders tender $4.37 billion in AMB Property exchange offers
|
6/2/2011 | IGLM | Citigroup releases results of tender offer for four note series so far
|
6/1/2011 | IGLM | Piedmont Natural Gas redeems $196.9 million 6.25% notes due 2036 at par
|
6/1/2011 | IGLMPF | ING Prime Rate Trust to redeem $25 million auction-rate preferreds
|
5/31/2011 | IGLMPF | First National to redeem $41.24 million capital, common securities
|
5/31/2011 | HYIGLM | Ensco obtains needed consents to amend three series of Pride's notes
|
5/31/2011 | IGLM | Empire District solicits consents to amend all first mortgage bonds
|
5/31/2011 | IGLM | Qwest to redeem $825 million 7 7/8% notes with new notes proceeds
|
5/27/2011 | EMIGLM | Hong Kong's Noble Group calls remaining 6 5/8% senior notes due 2015
|
5/27/2011 | IGLM | Alcoa calls $283.9 million 5.375% notes due Jan. 15, 2013 at par
|
5/26/2011 | IGLM | BAE to redeem notes as part of aircraft asset business sale, calls $765.68 million of 6.879% bonds
|
5/26/2011 | IGLMPF | Sempra, Pacific Enterprises to redeem preferreds for $81 million
|
5/25/2011 | IGLMPF | Fifth Third to compensate some who traded 8.875% trust preferreds
|
5/24/2011 | IGLM | Genzyme launches consent solicitation for 3 5/8%, 5% senior notes
|
5/24/2011 | IGLMPF | First Financial calls $20.6 million floating-rate trust preferreds
|
5/23/2011 | IGLM | Union Pacific starts exchange offer for eight series of notes
|
5/20/2011 | CAIGLM | Fairfax Financial again lifts caps in tender for six note series
|
5/19/2011 | HYIGLM | International Lease tenders for up to $1.75 billion of 11 note series
|
5/19/2011 | IGLM | Anheuser-Busch InBev to redeem $1.25 billion 7.2% notes due 2014
|
5/19/2011 | IGLM | Sun Life Financial calls C$300 million 5% series C debentures due 2031
|
5/19/2011 | IGLM | United States Cellular calls all $330 million 7.5% notes due 2034
|
5/18/2011 | IGLM | Alabama Power to redeem $450 million notes with senior notes proceeds
|
5/18/2011 | IGLM | Casino Guichard-Perrachon holders tender €300 million of three notes series in exchange offer
|
5/18/2011 | IGLMPF | Fifth Third calls $450 million of trust preferred securities
|
5/18/2011 | IGLMPF | Public Storage to redeem $167.5 million of 7.25% preferred shares
|
5/18/2011 | IGLMPF | Xerox to use notes proceeds to repay $650 million 8% trust securities
|
5/18/2011 | CAIGLM | Fairfax Financial lifts some tender caps in offer for six note series
|
5/17/2011 | CVIGLM | AMB Property collects early tenders for $4.37 billion ProLogis notes
|
5/17/2011 | IGLM | Aircraft Finance Trust solicits consents for five series of notes
|
5/16/2011 | IGLM | DirecTV to redeem $658.77 million 6.375% senior notes due 2015
|
5/16/2011 | IGLM | MeadWestvaco calls $15 million of 7.5% sinking fund notes due 2027
|
5/16/2011 | IGLM | Sovereign calls 7 million Capital Trust V 7.75% capital securities
|
5/16/2011 | CAIGLMPV | Cliffs buys Consolidated Thompson Iron's 8.5% notes in acquisition
|
5/16/2011 | IGLM | Citigroup offers to buy back up to $1.25 billion of four note series
|
5/13/2011 | IGLM | Alcoa accepts tenders for 48.66% of 5.375% notes, 43.67% of 6% notes
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5/13/2011 | IGLM | Entergy Mississippi calls $100 million first mortgage bonds due 2016
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5/13/2011 | IGLMPF | Wells Fargo issues call for $41 million securities from four trusts
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5/9/2011 | IGLM | Barclays to redeem $750 million callable floating-rate notes in June
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5/9/2011 | IGLM | OeKB to fully redeem floating-rate notes due 2016 in June
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5/9/2011 | IGLM | Republic Services unit announces final results of tender offers for 9.25%, 7.4% notes
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5/9/2011 | IGLM | U.S. Cellular to redeem 7.5% notes due 2034 with senior notes proceeds
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5/9/2011 | IGLMPF | Essex Property calls $25 million 7.8125% preferreds for redemption
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5/6/2011 | HYIGLM | Ensco solicits consents to amend Pride's notes, offers guarantee
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5/6/2011 | IGLM | RGA to redeem $159.47 million 5.75% trust Piers bonds due 2050
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5/6/2011 | IGLMPF | Duke Realty repurchases $2 million of 8.375% series O preferreds
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5/5/2011 | IGLMMUPF | Nuveen Premium to redeem $487.53 million auction-rate preferreds
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5/5/2011 | IGLMMUPF | Nuveen Select to redeem $251.28 million auction-rate preferreds
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5/5/2011 | IGLMPF | BRE to repay revolver, redeem 6.75% preferreds with stock proceeds
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5/5/2011 | IGLMMUPF | Nuveen Investment to redeem $210.7 million auction-rate preferreds
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5/5/2011 | IGLMMUPF | Nuveen Premier to redeem $126.85 million auction-rate preferreds
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5/4/2011 | CAIGLM | Fairfax Financial tenders for up to $500 million of six notes series
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5/4/2011 | IGLM | Simon Property calls $101.52 million 5.6% notes due 2011 at par
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5/3/2011 | IGLM | SVB Financial Group gets tenders for $108.6 million 5.7% notes, $204 million 6.05% notes
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5/3/2011 | CVIGLM | AMB Property begins exchange offers for ProLogis notes, convertibles
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5/2/2011 | IGLM | Republic Services plans to redeem $600 million 7.125% notes due 2016
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5/2/2011 | IGLM | Silicon Valley Bank prices tender offers for 5.7% notes, 6.05% notes
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4/29/2011 | IGLM | BVPS issues calls to redeem $5.69 million 8.89% bonds due 2017 at par
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4/29/2011 | IGLM | Republic Services subsidiary prices tender offer for 9.25%, 7.4% notes
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4/29/2011 | IGLM | Alcoa gives early tender results for 6% notes, extends early deadline
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4/28/2011 | IGLM | Alcoa modifies maximum tender cap in offer for 6% notes due 2013
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4/27/2011 | HYIGLM | Seacor buys back $1 million of 5 7/8% notes due 2012 in first quarter
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4/26/2011 | IGLMMUPF | BlackRock MuniYield California to redeem $139.28 million preferreds
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4/26/2011 | IGLMMUPF | BlackRock MuniYield Michigan to redeem $144.65 million preferreds
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4/26/2011 | IGLMMUPF | BlackRock MuniYield New York to redeem $247.7 million preferreds
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4/25/2011 | IGLM | Republic Services subsidiary begins tender for 9.25%, 7.4% notes
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4/25/2011 | IGLM | Verizon New England calls $2 billion 6.5%, 5.65% series A debentures
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4/25/2011 | IGLM | Wells Fargo issues call for $90 million securities from three trusts
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4/21/2011 | IGLM | Silicon Valley Bank launches cash tender offers for 5.7%, 6.05% notes
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4/21/2011 | IGLMPF | BB&T plans to call all of its trust preferred securities in 2013
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4/21/2011 | IGLM | Alcoa gets tenders for $253.55 million 5.375% notes so far, extends early tender deadline
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4/21/2011 | IGLM | OneBeacon subsidiary buys back $150 million 5.875% notes through oversubscribed tender offer
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4/20/2011 | IGLM | Sallie Mae buys back $825 million senior notes in first quarter 2011
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4/18/2011 | IGLMPV | Willis Group redeems remaining $35 million of 12.875% notes due 2016
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4/15/2011 | IGLM | Republic Services calls its 7.125% senior notes due 2016 at 103.563
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4/15/2011 | IGLM | Allied Waste issues call to redeem $600 million 7.125% notes due 2016
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4/15/2011 | IGLM | Golden State Water issues call for 7.65% series B notes due 2025
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4/13/2011 | IGLM | Alcoa offers to repurchase all 5.375% notes, portion of 6% notes
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4/11/2011 | IGLM | Golden State Water to redeem $22 million of 7.65% notes due 2025
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4/11/2011 | IGLM | PMA Capital to redeem up to $18.04 million of securities due 2033
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4/11/2011 | IGLM | Western National calls $2 million surplus notes due 2033 at par
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4/11/2011 | IGLM | Entergy Mississippi to redeem $155 million debt with bond proceeds
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4/8/2011 | IGLMPF | PMA Capital calls $54.9 million of 8.5% monthly income notes due 2018
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4/7/2011 | IGLM | OneBeacon tender for 5.875% notes oversubscribed at early deadline
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4/7/2011 | IGLMPF | Essex Property to repurchase series B preferreds with offer proceeds
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4/7/2011 | IGLMPF | Public Storage to redeem $350 million of 7.25% preferred shares
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4/7/2011 | IGLM | Liberty Mutual gets tenders for 93.03% of 7.5% notes due 2036 so far
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4/6/2011 | EMHYIGLM | Braskem plans tender offers for 11.75% notes, 9.375% notes, 8% notes
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4/4/2011 | IGLM | Liberty Mutual extends early tender date, consent date for 7.5% notes
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4/4/2011 | IGLMPF | Citigroup gets consents to kill some covenants for 6% trust preferreds
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4/4/2011 | IGLMPF | Public Storage plans to redeem $517.5 million 7.25% preferred shares
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4/1/2011 | IGLM | AGCO issues call to redeem all 6.875% notes due 2014 on May 2
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3/31/2011 | IGLM | DTE Energy calls $5.67 million of 7.458% senior bonds due 2024
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3/31/2011 | IGLM | Telephone and Data Systems calls all $282.5 million of 7.6% notes
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3/30/2011 | EMHYIGLM | Brazil's Odebrecht reports results in offer for 9 5/8%, 71/2%, 7% notes
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3/30/2011 | IGLM | Sallie Mae gets total tenders for $805.39 million in oversubscribed offers for 12 series of notes
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3/29/2011 | IGLMPF | Wells Fargo issues call for $3.23 billion securities from eight trusts
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3/29/2011 | IGLM | Wachovia calls $300 million capital trust I 7.64% notes due 2027
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3/28/2011 | IGLM | Westpac Banking completes early repurchase of €5.2 million of notes
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3/28/2011 | IGLM | Ares Capital to redeem $161.21 million 6% notes due 2012 on April 27
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3/28/2011 | IGLM | Healthcare Realty redeems $278.2 million 8.125% senior notes
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3/28/2011 | IGLMPF | Wells Fargo calls $1.3 billion California 7% capital securities
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3/25/2011 | CAIGLM | Nexen accepts tenders for $311.91 million of 5.2% notes, 5.65% notes
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3/24/2011 | CAIGLM | Nexen prices tender for 5.2% notes due 2015, 5.65% notes due 2017
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3/24/2011 | EMIGLM | AES Panama repurchases $100,000 of 6.35% bonds due 2016
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3/24/2011 | IGLM | OneBeacon tenders for up to $150 million of 5.875% notes due 2013
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3/23/2011 | IGLM | Dow buys back $1.5 billion of notes in Dutch auction tender offers
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3/22/2011 | IGLM | Ares Capital considers redeeming $161.2 million of 6% notes due 2012
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3/21/2011 | EMHYIGLM | Brazil's Odebrecht begins tender offers for 9 5/8%, 71/2%, 7% notes
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3/21/2011 | IGLM | Liberty Mutual begins tender offer for 7.5% notes, solicits consents
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3/21/2011 | IGLM | Rogers Wireless redeems all $470 million of 71/4% senior notes due 2012
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3/21/2011 | IGLM | Telephone and Data Systems to use note proceeds to redeem 7.6% notes
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3/18/2011 | IGLMPV | Willis Group calls remaining $35 million of 12.875% notes due 2016
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3/17/2011 | CAIGLM | Nexen tenders for four series, plans to call $500 million 5.05% notes
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3/17/2011 | EMIGLM | Korea's Woori Bank calls $1 billion step-up lower tier 2 notes
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3/17/2011 | IGLM | CNA Financial to redeem $400 million 6% notes due Aug. 15 on March 18
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3/15/2011 | IGLM | Viacom accepts $582.43 million 6.25% notes due 2016 in tender offer
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3/15/2011 | IGMUPF | Interstate Power and Light to redeem all 7.1% series C preferreds
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3/15/2011 | IGLM | Sallie Mae pushes back deadline in tender for 12 series of notes
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3/14/2011 | IGLMPV | Willis Group to redeem Trinity's 12.875% notes with new notes proceeds
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3/11/2011 | EMIGLM | Telmex acquires $366.2 million of 51/2% senior notes from two series
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3/11/2011 | IGLM | 3i Group calls for early par redemption of $50 million putable notes
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3/11/2011 | IGLM | Goldman Sachs calls $506 million 0.75% callable fixed-rate notes
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3/9/2011 | EMIGLMPF | Singapore's DBS Capital gives redemption price for series A shares
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3/9/2011 | IGLM | Citigroup ends unsuccessful consent solicitation for 7.875% notes
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3/9/2011 | IGLM | Dow Chemical offers oversubscribed at early deadline; cap increased
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3/8/2011 | IGLM | Dow Chemical sets reference yields for Dutch auction tender offers
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3/8/2011 | IGLM | Smith International redeems $550.61 million 9.75% notes due 2019
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3/7/2011 | IGLMPF | Citigroup extends deadline, lifts fee, amends record date of 6% trust preferreds consent bid
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3/2/2011 | IGLM | Sallie Mae tenders for 12 series of notes in separate cash offers
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3/1/2011 | IGLM | Detroit Edison calls $12.93 million general, refunding mortgage bonds
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3/1/2011 | IGLM | Zurich to redeem $575 million variable-rate bonds due 2031 at par
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2/28/2011 | IGLM | Viacom sets payout in tender for up to $500 million of 6.25% notes
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2/28/2011 | IGLMPF | ING Prime Rate Trust to redeem $25 million auction-rate preferreds
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2/25/2011 | IGLM | Marathon Oil accepts $500 million notes in oversubscribed tender offer
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2/25/2011 | IGLMPF | State Capital Statutory Trust I calls $3.09 million 10.6% securities
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2/24/2011 | IGLM | Freeport-McMoRan Copper & Gold calls all $1.1 billion of 8.25% notes
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2/24/2011 | IGLM | Honeywell to fully redeem its $183.58 million of 5.625% notes due 2012
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2/24/2011 | IGLM | News America holders tender $227.42 million 9.25% notes by offer end
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2/24/2011 | IGLM | Ares Capital to redeem $300.58 million 6.625% notes due 2011
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2/23/2011 | IGLM | Barclays to redeem €1.25 billion callable floating-rate notes in April
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2/23/2011 | IGLM | Citigroup pushes back consent date for 7.875% notes by two more weeks
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2/23/2011 | IGLM | Dow Chemical launches Dutch auction tender offers for four note series
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2/23/2011 | IGLM | Honeywell accepts tenders for $216.42 million of 5.625% notes
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2/23/2011 | IGLM | News America sets pricing in tender for $500 million 9.25% debentures
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2/22/2011 | IGLM | Marathon Oil calls 6.125% and 6% notes due 2012, 6.5% notes due 2014
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2/22/2011 | IGLM | National Australia Bank investors tender $1.71 billion of 2.55% notes
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2/18/2011 | CAIGLM | Rogers Communications to redeem all $820 million notes due 2012
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2/18/2011 | HYIGLM | Seacor buys back $16.5 million of 7 3/8% notes in fourth quarter 2010
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2/18/2011 | IGLMPF | Citigroup extends consent bid to kill covenants of 6% trust preferreds
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2/17/2011 | EMIGLM | AES Panama repurchases $50,000 of 6.35% bonds due 2016
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2/17/2011 | EMIGLM | Mexico's America Movil gets early tenders for $350 million of Telmex's 51/2% notes, extends deadlines
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2/17/2011 | IGLM | Healthcare Realty to redeem all $278.2 million 8.125% senior notes
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2/16/2011 | IGLM | Webster calls NewMil's $10 million 6.4% capital securities at par
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2/16/2011 | IGLM | Williams to become two companies, use IPO proceeds to pay down debt
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2/16/2011 | IGLM | KfW calls $1 billion 1.875% callable global notes due 2013 at par
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2/15/2011 | IGLM | L-3 calls $650 million 5.875% senior subordinated notes due 2015
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2/15/2011 | IGLM | News America tenders for any and all $500 million of 9.25% debentures
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2/15/2011 | IGLMPF | Tortoise Energy Capital to redeem $45 million of 5.6% preferred shares
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2/14/2011 | IGLM | MeadWestvaco calls $15 million of 7.65% sinking fund notes due 2027
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2/14/2011 | IGLM | Viacom tenders for up to $500 million of 6.25% senior notes due 2016
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2/14/2011 | EMIGLM | Gazprom buys back $1 million 7.201% loan participation notes due 2020
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2/14/2011 | IGLM | Honeywell begins tender offer for $400 million 5.625% notes due 2012
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2/11/2011 | EMIGLM | Gazprom repurchases $100,000 7.201% loan participation notes due 2020
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2/10/2011 | IGLMPF | Tortoise Energy Capital plans to redeem $45 million preferred shares
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2/9/2011 | IGLM | Simon Property calls $120.02 million 5.375% notes due in June
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2/8/2011 | IGLM | Citigroup extends consent solicitation for 7.875% notes until Feb. 22
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2/8/2011 | IGLMPF | Post Properties issues call for $50.34 million of 7.625% preferreds
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2/7/2011 | IGLM | Guaranty Bancshares calls 2,500 units of junior debentures due 2030
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2/7/2011 | IGLM | Smith International to redeem 6%, 8.625%, 9.75% senior notes in full
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2/7/2011 | IGLM | Union Bank calls $10 million 10.875%% fixed-rate capital securities
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2/7/2011 | IGLM | CenterPoint Energy exchanges $397.24 million of 7.875% notes in offer
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2/4/2011 | IGLM | Liberty Mutual cancels tender offer for 10.75% notes, consent solicitation for 7.5% notes
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2/4/2011 | IGLM | Marshall & Ilsley calls Trustcorp's $15.46 million 10.6% securities
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2/2/2011 | IGLM | L-3 to use $650 million note proceeds for redemption of 5 7/8% notes
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2/2/2011 | IGLM | Liberty Mutual amends fee, deadline of consent bid for 7.5% notes, extends 10.75% notes tender
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2/1/2011 | IGLM | Liberty Mutual extends tender for 10.75% notes to Feb. 2, consent bid for 7.5% notes to Feb. 1
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1/31/2011 | EMIGLM | Mexico's America Movil begins exchange offer for Telmex's 51/2% notes
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1/28/2011 | IGLM | Prosperity Bancshares calls TXUI's $7 million 10.6% capital securities
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1/28/2011 | IGLM | Public Service of Oklahoma issues call for all $200 million 6% notes
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1/28/2011 | IGLM | UnionBanCal calls MCB's $3.09 million 10.6% capital securities
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1/27/2011 | IGLMPF | First Banks gets consents needed to amend 8.15% trust preferreds
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1/27/2011 | IGLM | Liberty Mutual extends tender for 10.75% notes to Feb. 1, consent bid for 7.5% notes to Jan. 31
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1/27/2011 | IGLM | Marathon Oil begins two tender offers for seven series of notes
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1/26/2011 | IGLM | Long Island Water issues call for $9 million 8.46% mortgage bonds
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1/26/2011 | IGLM | Pennsylvania-American to redeem $15.5 million 9.71% mortgage bonds
|
1/26/2011 | IGLM | Tennessee-American Water to redeem $2.5 million 9.25% mortgage bonds
|
1/26/2011 | IGLM | Illinois American Water to redeem $6 million 9.625% mortgage bonds
|
1/25/2011 | IGLM | Citigroup gets tenders for $93.73 million 6.625% notes, $57.6 million 7.875% notes in exchange offer
|
1/25/2011 | IGLM | Liberty Mutual extends early tender deadline for 10.75% notes; 7.5% notes consent bid unchanged
|
1/24/2011 | IGLM | Rochester Gas to redeem $61 million 6.95% first mortgage bonds
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1/21/2011 | IGLMPF | First Banks again extends consent bid for 8.15% trust preferreds
|
1/21/2011 | IGLM | Citigroup retires $4.03 billion debt in 2010, hopes to buy back more
|
1/21/2011 | IGLM | RenRe 5.75% noteholders agree to one-time waiver of merger covenant
|
1/21/2011 | IGLMPF | Citigroup seeks consents to terminate covenants of 6% trust preferreds
|
1/20/2011 | IGLM | CenterPoint holders exchange $397.24 million of 7.875% notes so far
|
1/19/2011 | IGLM | CenterPoint prices exchange offer for 7.875% notes after early date
|
1/14/2011 | IGLM | Liberty Mutual starts 10.75% notes tender, 7.5% notes consent bid
|
1/13/2011 | IGLM | Australia and New Zealand Banking wrap tender offer for 3.2% notes
|
1/13/2011 | IGLM | RenRe solicits consents for one-time waiver under 5.75% notes due 2020
|
1/12/2011 | IGLM | Westpac Banking holders tender $2.1 billion of 3.25% notes due 2011
|
1/11/2011 | IGLM | Westpac Banking sets pricing in tender for any and all 3.25% notes
|
1/10/2011 | IGLM | Plains All American Pipeline calls $200 million 73/4% notes due 2012
|
1/10/2011 | IGLM | Citigroup extends early dates for CitiFinancial's 6.625%, 7.875% notes
|
1/7/2011 | IGLMPF | Ipswich calls $3.5 million 10.2% capital securities
|
1/5/2011 | IGLM | CenterPoint begins exchange offer for $762 million 7.875% notes
|
1/5/2011 | IGLMPV | Plum Creek prepays $463 million debt, including $213 million in notes
|
1/4/2011 | IGLM | CenterPoint to start exchange for $762 million 7.875% notes due 2013
|
1/3/2011 | IGLM | Boston Scientific redeems $600 million of 6% notes due 2011 in full
|
1/3/2011 | IGLM | Westpac Banking tenders for any and all 3.25% guaranteed notes
|
12/31/2010 | IGLM | JPMorgan holders tender 90.7% of 5.875% capital securities by deadline
|
12/31/2010 | IGLM | Australia and New Zealand Banking begins tender offer for 3.2% notes
|
12/31/2010 | IGLM | Kraft completes oversubscribed tender offer for 5.625%, 6.25% notes
|
12/31/2010 | IGLM | CRH buys back $786.11 million of four series of notes in tender offers
|
12/31/2010 | IGLM | NiSource Finance accepts tenders for $273.1 million of 10.75% notes
|
12/31/2010 | IGLM | Charles Schwab gets needed consents for 6.375% senior notes due 2017
|
12/31/2010 | IGLMMUPF | Nuveen to redeem $664.83 million auction-rate preferreds in January
|
12/31/2010 | IGLM | Citigroup offers to exchange CitiFinancial's 6.625%, 7.875% notes
|
12/31/2010 | IGLM | Dr Pepper Snapple holders tender $475.73 million 6.82% notes due 2018
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