12/23/2011 | LMMU | City of Detroit calls all $57.1 million of its water supply bonds
|
12/23/2011 | CVLM | InterRent to redeem all C$25 million of 7% convertibles in February
|
12/23/2011 | LMMU | Nassau County Industrial, N.Y., calls $6.63 million of Amsterdam bonds
|
12/23/2011 | CVLM | Morton's Restaurant calls all of its series A convertible preferreds
|
12/23/2011 | LMMU | Oklahoma Student Loan extends tender offer for its bonds and notes
|
12/23/2011 | EMHYLM | Singapore's Altus Capital buys back $1 million of 12 7/8% notes
|
12/23/2011 | LMMU | South Texas Higher Education offers to purchase student loan bonds
|
12/23/2011 | EMLM | SP PowerAssets calls remaining S$200 million of series 006 notes
|
12/23/2011 | CVLM | AuRico gets tenders of 1.7% of 3.5% convertibles after asset purchase
|
12/23/2011 | IGLMPF | ING updates take-up rates for retail, institutional exchange offers
|
12/23/2011 | CVLM | Daylight series D convertibles acquired in Sinopec transaction; series C debentures called
|
12/22/2011 | LMMU | Snohomish School District No. 201, Wash., defeases 2004 G.O. bonds
|
12/22/2011 | IGLM | Veolia buys back portions of 5.25% dollar bonds, 4.875% euro bonds
|
12/22/2011 | CVDDHYLM | Dune Energy exchanges 99% of 101/2% notes, converts all 10% convertibles
|
12/22/2011 | LMMU | Stillaguamish Tribe to redeem $57.57 million gaming enterprise bonds
|
12/22/2011 | LM | BBVA Senior Finance to redeem €885 million of series 104 floaters
|
12/22/2011 | CVDDLM | Emmis holders in lock-up agreement up stake in 6.25% convertibles
|
12/22/2011 | LMMU | Tucson Unified School District No. 1 defeases $47.6 million of bonds
|
12/22/2011 | HYLM | CIT Group calls $2 billion of 7% second lien notes due 2015 and 2016
|
12/22/2011 | CVDDLM | Holloway to issue trust units in full redemption of 6.5% convertibles
|
12/22/2011 | LMMUPF | Federated muni funds wrap private preferreds sale to fund tender offer
|
12/22/2011 | IGLM | Simon Property calls $74.25 million of its 5.75% notes due 2012
|
12/22/2011 | CVLM | Latecoere Group to redeem €42.9 million of convertibles due 2015
|
12/22/2011 | ABLM | E-MAC Program III falls short of quorum at noteholders' meeting
|
12/22/2011 | LMMU | Omaha Public Power calls $77.11 million 2005 series A revenue bonds
|
12/22/2011 | DDEMHYLM | Nexus offers conditional payment in exchange for termination of bonds
|
12/22/2011 | ABLM | Genworth Life Insurance misses threshold so far in tender offer
|
12/21/2011 | LMMU | Nassau County Industrial calls $50.87 million Hofstra University bonds
|
12/21/2011 | HYLM | WCA may refinance 71/2% notes due 2019 with Macquarie buyout facility
|
12/21/2011 | EMHYLM | Venezuela's Pequiven gets tenders for 99.2% of FertiNitro 8.29% bonds
|
12/21/2011 | ABLM | Angel Court redeems series 2006 tranche B secured notes due 2013
|
12/21/2011 | LMMU | Ohio defeases some series 2004 water pollution control fund bonds
|
12/21/2011 | IGLM | Achmea accepts tenders for $903.68 million of first-priority notes
|
12/21/2011 | LM | BAC Capital buys back £8.5 million of its 5.25% bonds over two days
|
12/21/2011 | ABLM | Faxtor to spend €22 million for class A-1 floaters in tender auction
|
12/21/2011 | LMMU | Travis County Health, Texas, calls some Longhorn Village revenue bonds
|
12/21/2011 | IGLMPF | ING tender offer, institutional exchange offer get 66% participation
|
12/21/2011 | LM | IBRC buys back €1 billion of commercial mortgage-covered securities
|
12/21/2011 | CVDDLM | Emmis locked-up 6.25% convertible holders increase holdings to 30.2%
|
12/21/2011 | LMMUPF | Federated muni fund holders tender 64.4%, 50.4% of preferreds in offer
|
12/21/2011 | LMMU | California calls $159.48 million of its Cedars-Sinai revenue bonds
|
12/21/2011 | LM | Yorkshire Building buys back £724.28 million of three notes series
|
12/21/2011 | CVLM | Primaris to purchase up to C$2.02 million of its convertibles
|
12/21/2011 | LMMU | Hospital Authority of the County of Beaver, Pa., calls $71.03 million series 1998 bonds
|
12/21/2011 | HYLM | Inergy gets consents for 99% of 83/4% notes due 2015, enough to amend
|
12/21/2011 | DDHYLMMU | River Rock obtains tenders for 98.2% of 93/4% notes in exchange offer
|
12/20/2011 | LMMU | Puerto Rico Government Development Bank calls $204.82 million of notes
|
12/20/2011 | CALM | Utility Split Trust to start repurchases of preferreds, capital units
|
12/20/2011 | LMMU | ACA calls $1.63 million of its health care system revenue bonds
|
12/20/2011 | EMLM | Bulgaria's Petrol gets consent to extend 8 3/8% notes to 2017
|
12/20/2011 | CVDDLM | Emmis convertible holders respond to tender with lock-up agreement
|
12/20/2011 | LMMU | District of Columbia defeases series 2003 general obligation bonds
|
12/20/2011 | EMLM | Renaissance Consumer Funding redeems €8.3 million of notes on Dec. 15
|
12/20/2011 | CVLM | CapitaCommercial Trust buys back S$27 million of 2% convertibles
|
12/20/2011 | LMMU | Hospital Authority of Savannah, Ga., calls $47.51 million of St. Joseph's/Candler bonds
|
12/20/2011 | ABLM | Ionia Capital buys back some of its Elbe II fixed-rate notes at par
|
12/20/2011 | HYLM | Sheridan Group redeems $3.88 million of its 121/2% notes due 2014
|
12/20/2011 | CVLM | Conceptus issues new notes for $50.04 million 2.25% convertibles
|
12/20/2011 | LMMU | Illinois Finance moves up redemption date on $500,000 Alexian bonds
|
12/20/2011 | AGLM | FFCB plans to redeem $400 million of consolidated systemwide bonds
|
12/20/2011 | HYLMPF | Strategic Hotels hits tender threshold for preferreds by offer's end
|
12/20/2011 | CVLM | National Bank of Abu Dhabi buys back AED 24.5 million convertibles
|
12/20/2011 | LMMU | Massachusetts Development defeases $55.58 million of Hallmark bonds
|
12/20/2011 | CALM | CIBC to redeem outstanding series 31 class A preferred shares Jan. 31
|
12/20/2011 | IGLMPF | Barclays accepts $2.04 billion, £1.13 billion of securities so far
|
12/20/2011 | CVLM | SVG Capital repurchases £6.8 million of its 8.25% convertible bonds
|
12/19/2011 | LM | JPMorgan to buy back €8.7 million of its floating-rate notes due 2015
|
12/19/2011 | CVLM | ON Semiconductor wraps exchange for $199 million 2.625% convertibles
|
12/19/2011 | LMMU | Texas Water Development calls $4.48 million of series 2000 bonds
|
12/19/2011 | HYLM | NXP redeems some of its U.S. and euro floating-rate notes due 2013
|
12/19/2011 | LM | National Asset Management buys back €3 million senior notes due 2012
|
12/19/2011 | CVLM | Smith & Wesson holders exercise put for $29.67 million 4% convertibles
|
12/19/2011 | LMMUPF | BlackRock Advisors announces details on preferred shares redemption
|
12/19/2011 | HYLM | Pacific Capital's Santa Barbara Bank redeems $35 million floaters
|
12/19/2011 | LM | Swedbank buys back SEK 1.51 billion of its notes on Dec. 9, Dec. 12
|
12/19/2011 | DDHYLM | SeaBird redeems floaters due 2009, 2012 after restructuring on Monday
|
12/19/2011 | ABLM | Global Asset Programme buys back $6.1 million of its notes due 2017
|
12/19/2011 | HYLMPF | Strategic Hotels' preferreds offer set to end Monday, fails target
|
12/19/2011 | LM | Wells Fargo buys back €502.2 million 6% notes in oversubscribed offer
|
12/19/2011 | EMHYLM | Vietnam's Hoang Anh Gia Lai solicits consents to amend 9 7/8% notes
|
12/19/2011 | AGLM | FFCB to redeem $484 million of consolidated systemwide bonds Dec. 27
|
12/19/2011 | LMMU | Hawaii to redeem $126.01 million general obligation bonds at par
|
12/19/2011 | HYLM | Corrections Corp. extends early tender deadline for 61/4% notes due 2013
|
12/19/2011 | LM | Bank of Tokyo-Mitsubishi subsidiary calls $275 million notes in full
|
12/19/2011 | CVLM | Cell Therapeutics pays $11.2 million, retires all 5.75% convertibles
|
12/19/2011 | LMMU | Puerto Rico Public Finance calls $352.46 million of series A bonds
|
12/19/2011 | HYLM | Inergy lowers tender offer cap for 6 7/8%, 7% notes to $150 million
|
12/16/2011 | HYLM | Plains Exploration wraps tender offers for 73/4%, 7% and 10% notes
|
12/16/2011 | CVDDLM | Specialty Foods Group says holders agree to extend exchangeable notes
|
12/16/2011 | LMMU | Tempe, Ariz., Industrial Development may refund some revenue bonds
|
12/16/2011 | IGLM | BNP Paribas reports results in exchange offer for four note series
|
12/16/2011 | CVLM | Royal Host gets tenders for 26.4%, 25.6% of convertibles in issuer bid
|
12/16/2011 | LMPF | Valley National calls $10 million of 7.75% trust preferred securities
|
12/16/2011 | IGLMPF | Bank of America issues stock, notes for $1.6 billion more preferreds
|
12/16/2011 | CVLMPP | Global Energy buys back $1.74 million of convertible notes due 2012
|
12/16/2011 | IGLMPF | Barclays extends tender offers for up to £2.5 billion perpetual notes
|
12/16/2011 | LM | SBAB Bank to redeem SEK 1.03 billion of floating-rate notes due 2012
|
12/16/2011 | ABLM | Langton Securities (2008-3) buys back £310.6 million of class Z notes
|
12/16/2011 | LMMU | Chicago calls $3.9 million of Midway airport bonds, series 2010A-2
|
12/16/2011 | HYLM | Marine Subsea lacks quorum, will not make change to 9% bond agreement
|
12/16/2011 | AGLM | FFCB to redeem $226 million consolidated systemwide bonds on Dec. 23
|
12/16/2011 | LMMU | Kent Hospital Finance, Mich., calls $74.9 million Spectrum bonds
|
12/15/2011 | LM | BAC Capital Trust VII repurchases £21.55 million of bonds due 2035
|
12/15/2011 | LM | Northern Rock completes tender offers for eight series of notes
|
12/15/2011 | DDEMHYLM | Arpeni extends reverse Dutch auction, exchange offers for 83/4% notes
|
12/15/2011 | CALM | NB Split plans to redeem C$7.93 million preferred shares on Dec. 29
|
12/15/2011 | LMMU | Dasny calls $90.64 million of Catholic Health Services revenue bonds
|
12/15/2011 | ABLM | Kirkas buys back all €7.54 billion floating-rate asset-backed notes
|
12/15/2011 | LM | Saphir Finance calls €89.95 million of floating-rate notes due 2017
|
12/15/2011 | DDHYLM | Bradford & Bingley completes tender offer for notes, preferreds
|
12/15/2011 | CVLM | Daylight series D convertibles holders approve acquisition by Sinopec
|
12/15/2011 | LMMU | Richmond, Va., calls $139.02 million of utility bonds, series 2002
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12/15/2011 | ABLM | Madrid redeems all €598.82 million of its secured notes on Dec. 15
|
12/15/2011 | LM | Stockland accepts £189.9 million of 5.625% notes in tender offer
|
12/15/2011 | DDHYLM | Hovnanian Enterprises buys back $25.6 million of unsecured notes
|
12/15/2011 | CVLM | Far East Consortium buys back HK$20 million of 3.625% convertibles
|
12/15/2011 | LMMU | State of Washington calls $91.23 million of series R-2003A G.O. bonds
|
12/15/2011 | ABLM | Skye CLO, Solar, Lunar skip solicitation; RBS wraps tender offer
|
12/15/2011 | IGLMPF | Lloyds TSB sets terms for new notes to be issued in exchange offer
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12/15/2011 | DDHYLMPV | GMX Resources noteholders tender 99% of 11 3/8% notes due 2019
|
12/15/2011 | CVLM | India's Welspun stops tender offer for $150 million 4.5% convertibles
|
12/15/2011 | AGIGLM | Tennessee Valley Authority to redeem its 4.75% electronotes due 2028
|
12/15/2011 | IGLMPF | SVB Bald Eagle Statutory Trust I calls $4 million of its securities
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12/15/2011 | EMLM | Uruguay satisfies financing condition, will settle tender on Friday
|
12/15/2011 | CVLM | Tech Data holders put $102.23 million of 2.75% convertibles, remainder to be redeemed on Tuesday
|
12/15/2011 | AGLM | FFCB calls $150 million of 2% consolidated systemwide bonds due 2014
|
12/15/2011 | LMMU | Connecticut defeases outstanding series 2001B, 2002A and 2002B bonds
|
12/14/2011 | HYLM | NCO Group cancels tender offers for 11 7/8% notes, floating-rate notes
|
12/14/2011 | DDHYLMMU | River Rock amends 93/4% notes after securing tenders for more than 95%
|
12/14/2011 | IGLMPF | Commerzbank completes oversubscribed offer for trust preferreds
|
12/14/2011 | EMHYLM | Brazil's Lupatech gets consents needed to amend 9 7/8% perpetual bonds
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12/14/2011 | LMMU | Massachusetts Water Resources calls $35.46 million of revenue bonds
|
12/14/2011 | EMHYLM | Hong Kong's Fantasia solicits consents for 14% notes due 2015
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12/14/2011 | AGLM | FFCB calls $364 million of consolidated systemwide bonds on Dec. 21
|
12/14/2011 | LMMU | Metropolitan Transportation Authority, N.Y., to redeem revenue bonds
|
12/14/2011 | HYLM | CKE Holdings purchases $9.95 million senior PIK toggle notes due 2016
|
12/14/2011 | CVDDHYLM | Dune Energy extends exchange offer, restructuring vote for 101/2% notes
|
12/14/2011 | LMMU | Puerto Rico Government Development Bank calls $628.18 million of notes
|
12/14/2011 | HYLM | Charter subsidiaries get tenders for $1.31 billion of notes so far
|
12/14/2011 | CVLM | Natixis buys €383.2 million of Air France's 2.75% Oceane convertibles
|
12/13/2011 | LMMU | Puerto Rico Public Finance to redeem $78.26 million of bonds Jan. 12
|
12/13/2011 | EMLM | NBT seeks to change equity ratio for 14% notes at month-end meeting
|
12/13/2011 | AGLM | FFCB to redeem $601 million of consolidated systemwide bonds at par
|
12/13/2011 | IGLMPF | Huntington extends early deadline for trust preferreds exchange offer
|
12/13/2011 | HYLM | Marine Subsea bondholders consent to cancellation of remaining 9% bonds after restructuring
|
12/13/2011 | LMMU | Texas Water Development calls $5.48 million of 2007A revenue bonds
|
12/13/2011 | LM | 3i Group buys back €33.69 million of its floating-rate notes due 2012
|
12/13/2011 | CVDDLM | China Medical Technologies may exchange new debt for convertibles
|
12/13/2011 | LMMU | Illinois to redeem $500,000 of Alexian Brothers Health System bonds
|
12/13/2011 | HYLM | NPC International gets consents needed to amend 91/2% notes due 2014
|
12/13/2011 | LMMUPF | Federated muni funds extend offer for preferreds; 70% threshold out
|
12/13/2011 | LM | BAC Capital Trust VII repurchases £14.2 million of bonds due 2035
|
12/13/2011 | CVLM | Kamat calls $5.97 million convertibles for mandatory conversion
|
12/13/2011 | LMMU | Indiana Bond Bank calls $10.88 million of its series 1 school bonds
|
12/13/2011 | HYLMPF | Strategic Hotels lowers minimum condition, extends preferreds offer
|
12/13/2011 | LM | Lloyds TSB buys back SEK 1 million of floating-rate notes due 2015
|
12/13/2011 | CVLM | Newport retires $38.7 million of its 2.5% convertibles due 2012
|
12/13/2011 | LMMU | Maryland Health to redeem $895,000 Chesapeake Hospitals revenue bonds
|
12/13/2011 | IGLM | NiSource accepts $250 million of 10.75%, 6.15% notes in tender offer
|
12/13/2011 | LM | Swedbank buys back floating-rate notes due January 2012 and May 2014
|
12/13/2011 | LMMU | Massachusetts agency's Boston University bonds have mandatory tender
|
12/13/2011 | CVLM | Solar Applied Materials buys back $2 million more 0% convertibles
|
12/13/2011 | IGLM | Sovereign Bank gets tenders for $234.95 million 5 1/8% notes due 2013
|
12/13/2011 | HYLM | Barrington Broadcasting gets consents needed to amend 101/2% notes
|
12/12/2011 | LM | Old Mutual to redeem all €750 million callable tier 2 notes due 2017
|
12/12/2011 | CVLM | Emmis increases minimum price in tender offer for 6.25% convertibles
|
12/12/2011 | LMMU | Missouri electric commission calls $1.65 million of Iatan 2 bonds
|
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 | CVLM | NuVasive buys back $37 million of its 2.25% convertibles due 2013
|
12/12/2011 | AGLM | FFCB to redeem $448 million of consolidated systemwide bonds
|
12/12/2011 | LMMU | New Jersey to redeem $187.41 million of Meridian Health revenue bonds
|
12/12/2011 | HYLM | Liz Claiborne buys back €100 million of its 5% notes due 2013
|
12/12/2011 | EMLM | Uruguay to accept 8.85 billion pesos of 5% bonds in exchange offer; tender offer is oversubscribed
|
12/12/2011 | CVLM | Air France says Natixis offers to buy its 2.75% Oceane convertibles
|
12/12/2011 | LMMU | Philadelphia refunds series 2001A, 2007A water and wastewater bonds
|
12/12/2011 | HYLMPF | Gray Television buys back $6.87 million of series D preferred shares
|
12/12/2011 | LM | AIB Mortgage buys back €200 million of series 11 floaters due 2018
|
12/12/2011 | CVLM | Clarke announces issuer bid for up to C$1.26 million 6% convertibles
|
12/12/2011 | LMMU | San Jose, Calif., calls $45.71 million of airport bonds due 2031
|
12/12/2011 | IGLMPF | ING begins exchange offers, tender offer for subordinated securities
|
12/12/2011 | LM | EDF Energy redeems €410 million of its floating-rate notes due 2014
|
12/12/2011 | CVLM | Commonwealth Managed buys back A$2.78 million of convertibles due 2014
|
12/12/2011 | LMMU | Tennessee Energy begins consent solicitation for series 2006 bonds
|
12/12/2011 | LMMU | Indianapolis Airport Authority calls $4.03 million of revenue bonds
|
12/9/2011 | CALMPV | Brick buys back all C$9.86 million of its 12% debentures due 2014
|
12/9/2011 | LMMUPF | Federated muni funds extend tenders for auction market preferreds
|
12/9/2011 | EMIGLM | UAE's TAQA to settle tenders for 39.3% of $1.5 billion 5.62% notes
|
12/9/2011 | LM | BAC Capital Trust VII repurchases £5 million of bonds due 2035
|
12/9/2011 | LM | Espirito accepts €146.35 million step-up notes in Dutch auction offer
|
12/9/2011 | ABLM | Genworth Life tenders for RLIII INC money market, term securities
|
12/9/2011 | HYLM | Nalco calls $437.5 million of its 6 5/8%, 81/4% notes for redemption
|
12/9/2011 | CAHYLM | New Flyer Industries purchases C$15.7 million of subordinated notes
|
12/9/2011 | HYLM | Smithfield Foods buys back $37.1 million 10% notes in second quarter
|
12/8/2011 | ABLM | ARLO IV repurchases $40 million limited recourse CDO notes due 2015
|
12/8/2011 | IGLMPF | Bank of America gets needed consents from preferred hybrid holders
|
12/8/2011 | LM | Bank of Ireland buys back €12 million of floating-rate notes due 2017
|
12/8/2011 | AGLM | FFCB calls $1.36 billion of consolidated systemwide bonds
|
12/8/2011 | LMMU | New Jersey to redeem $1.7 billion of series 2012A, B notes on Dec. 15
|
12/8/2011 | LM | Lloyd's repurchases £1.4 million of perpetual capital securities
|
12/8/2011 | DDHYLM | Irish Life & Permanent buys back €30 million of its 4% bonds due 2015
|
12/8/2011 | LMPV | Shaw subsidiary told to wait on sale that will fund note repayment
|
12/8/2011 | LM | Wells Fargo aims to buy back about €500 million 6% notes under offer
|
12/8/2011 | EMLM | Brazil's TAM seeks consent to avoid acceleration of debentures
|
12/8/2011 | HYLM | Marine Subsea seeks further consents from holders of 9% bonds
|
12/8/2011 | EMLM | LSR Group buys $500,000 of series BO-01 bonds on put option exercise
|
12/8/2011 | HYLMPF | Strategic Hotels extends tender after minimum threshold missed
|
12/8/2011 | LM | BBVA Senior Finance buys back $50 million floaters due May 2012
|
12/7/2011 | HYLM | GameStop to redeem all $125 million of its senior notes on Dec. 16
|
12/7/2011 | BKHYLM | Morris Publishing to repurchase notes with proceeds from building sale
|
12/7/2011 | LMMU | Hawaii to repurchase $93.5 million of its G.O. bonds, series CV, CW
|
12/7/2011 | LM | Sveriges Bostadsfin announces repurchase of 3.125% and 2.2% notes
|
12/7/2011 | IGLM | Williams wraps tender for eight series; top-priority notes accepted
|
12/7/2011 | CVLM | SOCO Finance buys back $29.5 million of 4.5% convertibles due 2013
|
12/7/2011 | HYLM | Inergy tenders for 6 7/8%, 7%, 83/4% notes
|
12/7/2011 | CVLM | Biofrontera holders subscribe for €3.2 million 5% bonds; 8% convertibles to be redeemed at par
|
12/7/2011 | LMMU | Minneapolis-St. Paul Metropolitan Airports to redeem series 15 bonds
|
12/7/2011 | LM | Yorkshire Building Society begins tender offer for three note series
|
12/7/2011 | IGLMPF | CVS Caremark receives tenders for $957.72 million 6.302% preferreds
|
12/7/2011 | HYLM | Daily Mail accepts tenders for £110.06 million 71/2% bonds, waives cap
|
12/7/2011 | HYLM | NBG Finance redeems all ¥30 billion of its medium-term notes due 2035
|
12/7/2011 | CVLM | Commonwealth Managed buys back A$1.4 million of convertibles due 2014
|
12/7/2011 | HYLM | Barrington Broadcasting tweaks consent solicitation for 101/2% notes
|
12/7/2011 | LMMU | Southern California defeases $61.13 million of Magnolia Power bonds
|
12/7/2011 | IGLMPF | Viacom to redeem all of its 6.85% senior notes due 2055 on Jan. 9
|
12/7/2011 | LM | Amathea repurchases €40 million of its medium-term notes due 2012
|
12/7/2011 | HYLM | Oxford Industries buys back $5 million 11 3/8% notes in third quarter
|
12/7/2011 | CVLM | India's Welspun offers cash tender for $150 million of convertibles
|
12/7/2011 | HYLM | Brigham Exploration redeems $405 million of its 2018 and 2019 notes
|
12/7/2011 | LMMUPF | Invesco announces auction-rate preferred redemptions
|
12/7/2011 | LMMU | Austin, Texas, to redeem $52.35 million refunding bonds due 2028
|
12/7/2011 | LM | BAC Capital buys back £9.95 million of 5.25% bonds due August 2035
|
12/7/2011 | HYLM | RailAmerica to redeem $74 million 91/4% senior secured notes on Jan. 5
|
12/7/2011 | CVLM | Newport buys back $69.6 million of its 2.5% convertibles due 2012
|
12/7/2011 | HYLM | Community Health wraps oversubscribed tender offer for 8 7/8% notes
|
12/7/2011 | LMPF | TS&W/Claymore to redeem $105 million of preferred shares in January
|
12/7/2011 | LMMU | Chicago Transit defeases $37.48 million of its Federal Transit bonds
|
12/7/2011 | LM | Jyske Bank redeems €50 million of its perpetual capital securities
|
12/7/2011 | HYLM | Stream Global solicits consents to amend 111/4% senior secured notes
|
12/7/2011 | CVLM | ON Semiconductor to exchange $198.76 million of 2.625% convertibles
|
12/6/2011 | EMLM | Uruguay offers to exchange 5% bonds, buy back 15 series of bonds
|
12/6/2011 | CAEMHYLM | Pacific Rubiales offers to exchange 83/4% notes due 2016 for new notes
|
12/6/2011 | LMMU | Illinois to redeem $1.19 million of Landing at Plymouth Place bonds
|
12/6/2011 | IGLM | Achmea Hypotheekbank tender offer oversubscribed at early deadline
|
12/6/2011 | LM | Excalibur pays in full its €50.54 million loan, €35.3 million notes
|
12/6/2011 | CAHYLM | Quadra FNX plans change-of-control offer for $500 million 73/4% notes
|
12/6/2011 | LMMU | New Jersey Turnpike to redeem $111.05 million of 4.252% revenue bonds
|
12/6/2011 | IGLM | Reed Elsevier Capital to redeem $450 million of 4.625% notes due 2013
|
12/6/2011 | LM | Nationwide Building redeems €35 million of its 5.75% notes due 2016
|
12/6/2011 | EMHYLM | Ocean Rig announces $500 million repurchase program for shares, notes
|
12/6/2011 | LMMU | New York State Energy wins bid on $65 million auction-rate bonds
|
12/6/2011 | LMMU | California plans to redeem $250,000 of Bentley School bonds due 2050
|
12/6/2011 | LM | Stockland tenders for any and all £250 million 5.625% notes due 2013
|
12/6/2011 | EMLM | Bulgaria's Petrol extends consent bid for 8 3/8% notes by two weeks
|
12/6/2011 | LMMU | Texas Water Development calls $5.48 million revenue bonds due 2019
|
12/6/2011 | LMMU | California redeems $248.59 million of Southern California Edison bonds
|
12/6/2011 | HYLM | Entravision buys back $16.2 million 83/4% first-lien notes due 2017
|
12/6/2011 | EMLM | Turkey's Global Yatirim sets coupon at 11% for notes to be issued in exchange offer for 91/4% notes
|
12/6/2011 | LMPF | Split Yield plans to redeem all preferred and capital shares Feb. 1
|
12/6/2011 | AGLM | FFCB to redeem $294 million of consolidated systemwide bonds at par
|
12/6/2011 | LMMU | District of Columbia to redeem $7.32 million 5.25% COPs due 2013
|
12/6/2011 | HYLM | Tenet Healthcare wraps tender offer for 9% notes; $22,000 of notes tendered since consent deadline
|
12/5/2011 | HYLM | Corrections Corp. tenders for up to $150 million 61/4% notes due 2013
|
12/5/2011 | EMLM | Bahrain's BBK repurchases $129.86 million medium-term notes on Dec. 2
|
12/5/2011 | LMMU | City of Cleveland to redeem $950,000 of airport revenue bonds
|
12/5/2011 | DDHYLM | Mrs. Fields gets tenders for 90.4% of 10% notes in extended exchange
|
12/5/2011 | HYLM | LIN TV to use tranche B proceeds to redeem 61/2% senior notes due 2013
|
12/5/2011 | IGLMPF | Barclays tenders for up to £2.5 billion of capital securities
|
12/5/2011 | LMMU | East Bay Municipal Utility, Calif., to redeem $162.82 million bonds
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12/5/2011 | DDHYLM | Sevan Marine to redeem 15% callable senior secured bonds on Dec. 9
|
12/5/2011 | ABLM | E-MAC Program III holders may vote on frequency of put option dates
|
12/5/2011 | HYLM | Marine Subsea seeks consents to cancel 9% bonds in restructuring
|
12/5/2011 | LM | ANZ to hold meeting for £450 million unitholders on preferreds buyback
|
12/5/2011 | LMMU | Florida calls $3.46 million of 2001A bonds for optional redemption
|
12/5/2011 | DDHYLMMU | River Rock gets needed consents for 93/4% notes; 92.03% tendered
|
12/5/2011 | IGLMPF | Commerzbank begins tender offer for €600 million of trust preferreds
|
12/5/2011 | ABLM | HSBC Bank accepts tenders for Nemus' £10 million of class D floaters
|
12/5/2011 | LM | BAC Capital buys back £85.1 million of bonds due 2035 in two tranches
|
12/5/2011 | LMPF | Colonial Realty plans to buy back all $50 million of 7.25% preferreds
|
12/5/2011 | EMIGLM | UAE's TAQA extends cash tender offer for 5.62% notes to Dec. 8
|
12/5/2011 | LMMU | Arizona Health Facilities calls some Banner Health 2008 revenue bonds
|
12/5/2011 | AGLM | FFCB to redeem $75 million consolidated systemwide bonds on Dec. 14
|
12/5/2011 | LM | Espirito begins exchange, tender offer for €500 million step-up notes
|
12/5/2011 | EMIGLM | Uruguay plans exchange offer for 5% bonds, tender offer for 15 series
|
12/5/2011 | LMMU | Baltimore Country to redeem $1.43 million of Oak Crest Village bonds
|
12/5/2011 | CVLM | United Microelectronics buys back $10 million of convertibles due 2016
|
12/2/2011 | LM | Jyske Bank buys back €50 million of its hybrid core capital
|
12/2/2011 | LMMU | Tucson Electric Power to purchase all tendered 1983B, 1983C bonds
|
12/2/2011 | AGLM | FFCB to redeem $152 million consolidated systemwide bonds on Dec. 9
|
12/2/2011 | LMMU | King County, Wash., calls $422.9 million of sewer refunding bonds
|
12/2/2011 | IGLM | WPP subsidiary to issue new notes for $281.37 million 5.875% notes
|
12/2/2011 | HYLM | Windstream to redeem $150 million 91/2% senior notes due 2015 on Jan. 3
|
12/2/2011 | LMMU | University of Texas to redeem $188.22 million of 2002B bonds in full
|
12/2/2011 | CALM | Big Split 8 calls 368,040 preferred shares for redemption on Dec. 15
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12/2/2011 | LMMU | New York City calls $550,000 Queens Baseball Stadium bonds due 2046
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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 | ABLM | Bank of Ireland accepts tenders for about €1.1 billion floaters
|
12/2/2011 | IGLM | BNP Paribas gives early results in exchange offer for four series
|
12/2/2011 | CVDDHYLM | Centro Properties receives court approval for planned restructuring
|
12/2/2011 | LMMU | North Texas Tollway Authority to redeem $269.64 million bonds in 2012
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12/2/2011 | LMMU | Cleveland to redeem all 2002 series K waterworks revenue bonds Jan. 1
|
12/2/2011 | ABLM | Claris buys back all ¥2.3 billion of its floating-rate notes due 2057
|
12/2/2011 | IGLM | CommonWealth REIT to redeem all $150.68 million of 6.96% senior notes
|
12/2/2011 | CVLM | Huakan International to redeem C$4.47 million six-year convertibles
|
12/2/2011 | LMMU | South Carolina Public Service calls $293.75 million revenue of bonds
|
12/2/2011 | LMMU | Cuyahoga County, Ohio, to redeem $1.96 million revenue bonds Jan. 1
|
12/2/2011 | ABLM | Classic Finance buys back all $258.35 million of class B notes
|
12/2/2011 | IGLM | Societe Generale completes first of two offers for tier 1 hybrids
|
12/2/2011 | LM | Banco Santander plans repurchase offer for preference shares
|
12/2/2011 | LMMU | Triborough Bridge & Tunnel, N.Y., calls parts of three series of bonds
|
12/2/2011 | ABLM | Sylph buys back A$5 million of its medium-term notes
|
12/2/2011 | LMMU | Indiana Bond Bank to redeem $10 million of school severance bonds
|
12/2/2011 | IGLM | Sovereign Bank tenders for $499.5 million of 5 1/8% notes due 2013
|
12/1/2011 | CVHYLM | Noreco accepts tenders for NOK 214 million notes under Dutch auction
|
12/1/2011 | LMMU | Delaware to redeem $56.1 million of series 2004A G.O. bonds on Jan. 1
|
12/1/2011 | IGLMPF | Bank of America solicits consents from holders of preferred hybrids
|
12/1/2011 | LM | Finmeccanica repurchases €23 million of 8.125% bonds due 2013
|
12/1/2011 | LMMU | Wayne County, Mich., calls $156.51 million of Detroit airport bonds
|
12/1/2011 | CVLM | Cadence 4.75% notes are convertible into Barrick shares in two weeks
|
12/1/2011 | LMMU | New Jersey Turnpike Authority calls its 2003 C-2 and C-3, 1991C bonds
|
12/1/2011 | IGLMPF | Lloyds TSB starts exchange offer for 13 series of capital securities
|
12/1/2011 | HYLM | CKE begins tender offer for 11 3/8% notes, issues redemption notice
|
12/1/2011 | CVLM | Global Industries: 2.75% notes now putable or convertible into cash
|
12/1/2011 | LMMU | North Carolina Municipal Power calls some 1990 Catawba electric bonds
|
12/1/2011 | LMMU | Atlanta calls $1.47 million of Westside Project tax allocation bonds
|
12/1/2011 | HYLM | NXP issues $80.95 million of notes under final tranche of exchange, plans further redemption
|
12/1/2011 | EMLM | Philippines' San Miguel seeks consents to amend PHP 38.8 billion bonds
|
12/1/2011 | LMMU | South Carolina calls $49.1 million of state capital refunding bonds
|
12/1/2011 | AGLM | FFCB to redeem $300 million of consolidated systemwide bonds Dec. 8
|
12/1/2011 | LMMU | California calls California Institute of Technology series 1990 bonds
|
12/1/2011 | HYLM | Plains Exploration accepts early tenders for 87% of 73/4% notes
|
12/1/2011 | EMLM | Singapore's Otto Marine calls meeting of holders of notes due 2013
|
12/1/2011 | LMMU | Southern California Public Power calls San Juan Power Project bonds
|
12/1/2011 | BKHYLM | Jones scratches fixed-charge coverage ratio for redeeming some bonds
|
12/1/2011 | LMMU | Chicago calls $18.5 million Board of Education G.O. bonds due 2015
|
12/1/2011 | HYLMPF | Five Mile begins tender offer for Prime Group's 9% series B preferreds
|
12/1/2011 | LM | ELM buys back AUD 10.32 million of zero-coupon notes, €10 million of steepener notes
|
12/1/2011 | LMMU | Washington, N.J., board of education calls $46.57 million of bonds
|
11/30/2011 | FDLMMUPF | Invesco funds to redeem auction-rate preferreds, merge some funds
|
11/30/2011 | LMMU | New Jersey Health Care calls $130.69 million Saint Barnabas bonds
|
11/30/2011 | EMLM | Bahrain's BBK accepts tenders for $129.86 million subordinated step-up floaters in exchange offer
|
11/30/2011 | HYLMPV | TASC announces redemption of $60 million of 12.38% bonds due 2016
|
11/30/2011 | CVHYLM | Norway's Noreco tenders for NOK 250 million of notes by Dutch auction
|
11/30/2011 | HYLM | American Greetings holders tender $204.84 million 7 3/8% notes so far
|
11/30/2011 | LMMU | New York City calls $2.78 million of series 2004 variable-rate bonds
|
11/30/2011 | LM | BAC Capital repurchases £12 million of its 5.25% securities due 2035
|
11/30/2011 | LMMU | Chicago calls $7.9 million series 1994 O'Hare Airport revenue bonds
|
11/30/2011 | CVLM | Emmis to buy $6 million 6.25% convertible preferreds in Dutch auction
|
11/30/2011 | HYLM | Barrington Broadcasting tenders for 101/2% senior subordinated notes
|
11/30/2011 | LMMU | Newark, N.J., to redeem $69.87 million of its tax anticipation notes
|
11/30/2011 | LM | Ecclesiastical Insurance gets approval to redeem 13% debenture stock
|
11/30/2011 | LMMU | Chicago calls portions of Midway Airport second-lien revenue bonds
|
11/30/2011 | CVLM | Royal Host extends issuer bid for convertibles, lifts pricing
|
11/30/2011 | HYLM | Cablevision unit completes $750 million offer for 81/2%, 63/4% notes
|
11/30/2011 | LM | Helium repurchases €37.35 million of its 11.36% medium-term notes
|
11/30/2011 | LMMU | Chicago to redeem some 2002A sales tax revenue refunding bonds
|
11/30/2011 | CVLM | SOCO Finance buys back $3.9 million of its 4.5% convertibles due 2013
|
11/30/2011 | HYLM | Charter to spend up to $1 billion to buy back three series of notes
|
11/30/2011 | AGLM | FFCB to redeem $435 million of consolidated systemwide bonds at par
|
11/30/2011 | LM | Omega Capital buys back NOK 20 million zero-coupon notes due 2013
|
11/30/2011 | LMMU | Diamondbacks receive tenders for $39.88 million of Ballpark bonds
|
11/30/2011 | CVLM | Wesco to redeem remaining $56,000 of its 1.75% convertible debentures
|
11/30/2011 | HYLM | NCO Group tenders, solicits consents for 11 7/8%, floating-rate notes
|
11/30/2011 | BKHYLM | Seitel amends credit facility to allow note redemptions at below par
|
11/29/2011 | HYLM | HanesBrands calls $200 million of floating-rate senior notes due 2014
|
11/29/2011 | LMMU | Louisiana environmental authority calls $18.25 million revenue bonds
|
11/29/2011 | CALM | RONA accepts C$283.17 million of 5.4% notes in Dutch auction tender
|
11/29/2011 | LMMU | Atlanta Development calls some series 2001A, 2001B revenue bonds
|
11/29/2011 | IGLM | AT&T to redeem all of its 8.125% notes due 2012
|
11/29/2011 | HYLM | Lecta begins Dutch auction tender offers for floating-rate notes
|
11/29/2011 | LMMU | Oklahoma Municipal Power calls $3 million series 2005A revenue bonds
|
11/29/2011 | CVLM | Firstsource repurchases $19.1 million zero-coupon convertible bonds
|
11/29/2011 | LMMU | Chicago Board of Education to redeem $1.2 million of bonds due 2015
|
11/29/2011 | IGLM | BNP Paribas prices exchange offers for 5.125% notes, 4.8% notes
|
11/29/2011 | HYLM | Marine Subsea holders give consent to amend 9% bonds in restructuring
|
11/29/2011 | LMMU | Oklahoma Turnpike Authority calls $366 million of its revenue bonds
|
11/29/2011 | EMLM | Turkey's Global Yatirim begins exchange offer for 91/4% notes
|
11/29/2011 | LMMU | Chicago O'Hare calls $35,000 of series 2008D refunding bonds due 2018
|
11/29/2011 | IGLMPF | CVS Caremark launches tender offer for $1 billion 6.302% preferreds
|
11/29/2011 | HYLM | NPC International tenders, seeks consents for $175 million 91/2% notes
|
11/29/2011 | LMMU | St. Anthony's Medical Center, Mo., buys no bonds in latest auctions
|
11/29/2011 | HYLM | Daily Mail starts tender offer for up to £75 million of 71/2% bonds
|
11/29/2011 | LMMU | Clearwater, Fla., to redeem $48.55 million of its revenue bonds Dec. 1
|
11/29/2011 | IGLMPF | DTE Energy calls $280 million of 7.5%, 7.8% trust preferred securities
|
11/29/2011 | HYLM | Sprint Nextel calls all $2 billion of its 8 3/8% notes due 2012
|
11/29/2011 | HYLM | Claire's Stores bought back $30.5 million of senior notes in Q3
|
11/29/2011 | LMMU | Fort Myers, Fla., announces optional redemption of 2009 utility bonds
|
11/29/2011 | AGLM | FFCB to redeem $164 million consolidated systemwide bonds due 2013
|
11/29/2011 | IGLMPF | Huntington starts exchange offer for $300 million trust preferreds
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11/29/2011 | HYLMPV | Resource America extends senior note maturity, redeems $8.8 million
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11/28/2011 | EMLM | BG Finance repurchased $14.61 million of notes due 2012 on Nov. 24
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11/28/2011 | CALM | BMO to redeem all C$400 million of series C trust capital securities
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11/28/2011 | HYLM | IM Skaugen redeems NOK 477 million of IMSK04, IMSK05 bonds on Nov. 25
|
11/28/2011 | EMLM | Plaza Centers completes NIS 150 million buy back of series A, B bonds
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11/28/2011 | CVDDHYLM | Centro Properties' court hearing on planned restructuring adjourned
|
11/28/2011 | IGLMPF | Bank of America OK'd to amend five preferreds, falls short on three
|
11/28/2011 | LM | BAC Capital buys back £153.45 million of 5.25% bonds on three dates
|
11/28/2011 | CVLM | Royal Host extends substantial issuer bid for convertibles to Dec. 12
|
11/28/2011 | LMMU | Vermont conditionally calls $60.92 million of Fletcher Allen bonds
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11/28/2011 | ABLM | Colston buys back €2.07 billion of its floating-rate notes due 2057
|
11/28/2011 | LM | Banco Santander issues €1.12 billion, £189.80 million debt in exchange
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11/28/2011 | CVLM | Solar Applied Materials buys back $6.3 million more 0% convertibles
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11/28/2011 | LMPF | CVB Financial to redeem $6.81 million of capital securities on Jan. 7
|
11/28/2011 | ABLM | Skye CLO, Solar, Lunar solicit consents; RBS starts tender offer
|
11/28/2011 | LM | IIB Capital to redeem all €40 million of floating-rate notes due 2014
|
11/28/2011 | DDHYLM | Krillsea to pay NOK 7 million to 15% bondholders from sale proceeds
|
11/28/2011 | CADDHYLM | OPTI Canada to redeem all $825 million of first-lien secured notes
|
11/28/2011 | HYLM | Barrington to use facility proceeds to repurchase 101/2% notes due 2014
|
11/23/2011 | CVLM | Japan Airlines buys back of ¥1.5 billion of its convertibles due 2011
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11/23/2011 | LMMU | Chicago calls $53.24 million of G.O. project and refunding bonds
|
11/23/2011 | IGLM | Verizon sets prices for redemption of notes and debentures on Nov. 28
|
11/23/2011 | AGLM | FFCB plans to redeem $385 million of consolidated systemwide bonds
|
11/23/2011 | HYLM | Moneygram redeems $175 million of 131/4% senior secured notes due 2018
|
11/23/2011 | LMMU | Phoenix Civic Improvement to redeem $123.2 million of bonds
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11/23/2011 | DDHYLM | Fairstar Heavy Transport gets OK to amend notes at Wednesday meeting
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11/23/2011 | LMMU | Chicago to redeem portions of 2003B general obligation bonds Jan. 3
|
11/23/2011 | LMMU | Broward County, Fla., to redeem $133.01 million Port Everglades bonds
|
11/23/2011 | CALM | RONA extends Dutch auction tender offer for 5.4% notes, now will purchase up to C$300 million
|
11/23/2011 | HYLM | P.H. Glatfelter to redeem outstanding 7 1/8% senior notes due 2016
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11/23/2011 | LMPF | Winthrop repurchases $25.08 million of convertible preferred shares
|
11/23/2011 | DDHYLM | Sevan Marine to close first part of restructuring this month
|
11/23/2011 | LMMU | Indiana to redeem $85.71 million of Indiana University hospital bonds
|
11/23/2011 | LMMU | California Health calls all $52 million Sutter Health revenue bonds
|
11/23/2011 | CVDDHYLM | Dune Energy gets consents from holders of 74% of convertibles, 96% of 101/2% notes for restructuring
|
11/23/2011 | HYLM | Sealy Mattress to redeem $10 million of 10 7/8% notes due 2016
|
11/23/2011 | EMLM | Argentina's Autopistas del Sol prepays some 2014 step-up notes at par
|
11/23/2011 | LMMU | Maryland Economic Development calls Student Housing College Park bonds
|
11/23/2011 | CVLM | AuRico offers to purchase 3.5% convertible notes due 2016 at par
|
11/23/2011 | LMMU | Chicago Board of Education calls $190.1 million 2000C-D G.O. bonds
|
11/23/2011 | IGLM | NiSource Finance sets payouts in tender for 10.75%, 6.15% notes
|
11/23/2011 | EMLM | Partner Communications' revenues up, will use cash to repay notes
|
11/23/2011 | LMMU | Maryland Health calls two series of Upper Chesapeake Hospitals bonds
|
11/23/2011 | CVLM | GenCorp holders exercise put for $46.4 million of 21/4% convertibles
|
11/23/2011 | LMMU | Chicago calls $44.19 million of Lakefront Millennium parking bonds
|
11/23/2011 | IGLM | Southern Power to redeem all $575 million series B notes due 2012
|
11/23/2011 | LM | Global Asset repurchases CHF 7.34 million of secured notes due 2013
|
11/23/2011 | LMMU | New Mexico to redeem $82.51 million severance tax bonds in 2013
|
11/22/2011 | EMHYLM | Venezuela's Pequiven begins tender offer for FertiNitro's 8.29% bonds
|
11/22/2011 | HYLM | Windstream to redeem $201.46 million 8 5/8% notes due 2016 at 104.313
|
11/22/2011 | LM | Svenska Handelsbanken calls £300 million of 5.5% medium-term notes
|
11/22/2011 | LM | Mackenzie Ltd. announces redemption of £41 million of callable notes
|
11/22/2011 | LMMU | Community Unit School District Number 300, Ill., to redeem G.O. bonds
|
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
|
11/22/2011 | ABLM | Permanent Financing (No. 8) plans £1.5 billion redemption of floaters
|
11/22/2011 | LM | Sweden's Swedbank announces redemption of $218 million of its notes
|
11/22/2011 | LM | Nationwide Building to redeem €300 million subordinated notes due 2016
|
11/22/2011 | LMMU | Maryland Health to redeem $1.49 million of series 2005 revenue bonds
|
11/22/2011 | EMLM | Gabon buys back $4 million of its 8.2% global notes due 2017
|
11/22/2011 | IGLM | MidAmerican plans optional redemption of $400 million 5.65% notes
|
11/22/2011 | CAHYLM | Katanga Mining to redeem all of its 14% unsecured subordinated notes
|
11/22/2011 | LM | Sweden's Swedbank announces redemption of Kr 200 million of its notes
|
11/22/2011 | LM | Nomura to redeem ¥300 billion subordinated bonds on Dec. 26
|
11/22/2011 | LMMU | Mississippi Business Finance to redeem $180 million Mississippi Hub revenue bonds
|
11/22/2011 | LM | Abbey National redeems €13.57 million of floating-rate notes due 2015
|
11/22/2011 | IGLM | NiSource Finance extends early tender deadline for 10.75%, 6.15% notes
|
11/22/2011 | CVDDHYLM | Centro Properties bondholders vote to approve restructuring terms
|
11/22/2011 | HYLM | Community Health 8 7/8% notes tender oversubscribed at early deadline
|
11/22/2011 | LM | Sampo Group announces redemption of €125.45 million of its notes
|
11/22/2011 | LMMU | Norfolk, Va., calls $5.4 million series 2002 bonds for redemption
|
11/22/2011 | LM | Commonwealth Bank of Australia calls $650 million floating-rate notes
|
11/22/2011 | LMMU | California Health to redeem $72.03 million of Sutter Health bonds
|
11/22/2011 | CVLM | United Microelectronics buys back $20 million of 0% convertible bonds
|
11/22/2011 | HYLM | PNM Resources completes tender for up to $50 million of 91/4% notes
|
11/22/2011 | LM | Storebrand calls floating-rate subordinated notes due 2016 at par
|
11/22/2011 | LMMU | Washington Health calls $104.1 million bonds for optional redemption
|
11/22/2011 | LM | Lloyds TSB announces the redemption of €1 million of notes due 2015
|
11/22/2011 | LMMU | Chicago to redeem $64.75 million of series 2000C G.O. bonds Dec. 20
|
11/21/2011 | EMIGLM | UAE's TAQA tenders for $1.5 billion 5.62% notes due 2012 at 103.75
|
11/21/2011 | LMMU | New Orleans calls $15.48 million of refunding certificates due 2012
|
11/21/2011 | CVLM | Resolute Mining to redeem its convertibles on Dec. 31
|
11/21/2011 | HYLM | Western Refining to redeem all $275 million of floating-rate notes
|
11/21/2011 | LM | Prudential to redeem €500 million of its medium-term notes on Dec. 19
|
11/21/2011 | CVLM | Transpacific Industries buys back $159.45 million 6.75% convertibles
|
11/21/2011 | IGLM | ANZ to redeem all $250 million of medium-term notes due 2016
|
11/21/2011 | LM | SpareBank 1 calls SEK 200 million of perpetual tier 2 notes at par
|
11/21/2011 | DDEMHYLM | Arpeni starts reverse Dutch auction, exchange offers for 83/4% notes
|
11/21/2011 | IGLM | Williams prices tender offers; Holders tender $1.99 billion so far
|
11/21/2011 | HYLM | Atrium European wraps up cash tender offer for 6.8% guaranteed notes
|
11/21/2011 | DDEMLM | Kuwait's Global Investment House solicits consents from bondholders
|
11/21/2011 | LMMU | Illinois Finance Authority defeases $625,000 revenue refunding bonds
|
11/21/2011 | ABLM | Bank of Ireland begins tender offers for mortgage-backed floaters
|
11/21/2011 | HYLM | Marine Subsea seeks holder approval to amend 9% bonds due 2019
|
11/21/2011 | DDHYLMMU | River Rock begins exchange offer for 93/4% notes, solicits waiver
|
11/21/2011 | LMMU | Maryland Stadium Authority ends sports facilities bonds, series 1999
|
11/21/2011 | BKHYLM | Glatfelter amends revolver, plans draw to retire 7 1/8% notes
|
11/21/2011 | HYLM | Tenet Healthcare holders deliver needed consents to amend 9% notes
|
11/18/2011 | LM | Signum Finance II buys back A$2.31 million of its medium-term notes
|
11/18/2011 | DDHYLM | Bradford & Bingley begins tender offer, will purchase any notes or preferreds not tendered
|
11/18/2011 | LMMU | Los Angeles Unified School District defeases $425.56 million bonds
|
11/18/2011 | HYLM | Michaels Stores repurchases $25 million of notes in third quarter
|
11/18/2011 | DDHYLM | Mrs. Fields pursues refinancing transactions with noteholder support
|
11/18/2011 | ABLM | GAP repurchases $13 million of series 45 floating-rate notes due 2013
|
11/18/2011 | LMMU | New York City transit authorities call $1.08 million floaters
|
11/18/2011 | HYLM | SS&C Technologies calls all $66.63 million of its 113/4% notes due 2013
|
11/18/2011 | LM | AIG buys back £372.3 million of its series A-8 sterling notes due 2017
|
11/18/2011 | ABLM | HSBC Bank tenders for Nemus' £115.52 million of floating-rate notes
|
11/18/2011 | LMPF | Bryn Mawr calls First Keystone's $16.2 million 9.7% trust securities
|
11/18/2011 | IGLMPF | Delta Natural calls $38.45 million notes, $19.41 million debentures
|
11/18/2011 | LM | Aquarius purchases, cancels €80 million of repo-linked notes due 2014
|
11/18/2011 | CALM | 407 International to redeem all C$300 million of 4.65% notes due 2012
|
11/18/2011 | LMMU | Chicago Transit defeases $48.95 million of its Federal Transit bonds
|
11/18/2011 | LM | Jyske Bank offers to repurchase €50 million variable-rate perpetuals
|
11/18/2011 | CVHYLM | Korreden completes tender offers for notes, exchangeables due 2014
|
11/18/2011 | LMMU | Hospital for Special Surgery, N.Y., calls $77.37 million FHA-insured mortgage revenue bonds
|
11/17/2011 | LMMU | California Infrastructure cancels redemption of Buck Institute bonds
|
11/17/2011 | HYLM | AIB Mortgage buys back €200 million of series 11 floaters due 2018
|
11/17/2011 | LMMU | Wichita, Kan., defeases $104.69 million of water and sewer bonds
|
11/17/2011 | DDHYLM | PetroMena makes $37.5 million payment on 10.85% bonds due 2010
|
11/17/2011 | LMMU | Illinois Health calls $53.1 million Northwest Community revenue bonds
|
11/17/2011 | HYLM | Plains Exploration & Production tenders for $565 million 10% notes
|
11/17/2011 | DDHYLM | William Lyon Homes solicits votes to restructure three notes series
|
11/17/2011 | LMMU | Lower Colorado River Authority Transmission, Texas, calls 2006 bonds
|
11/17/2011 | ABLM | Lease Investment Flight Trust obtains consents to amend note series
|
11/17/2011 | IGLM | BNP Paribas begins exchange offers for $4.02 billion of notes
|
11/17/2011 | EMLM | Shanghai Industrial gets needed consents to amend 93/4% notes due 2014
|
11/17/2011 | LMMU | Lucas County, Ohio, calls $140.54 million ProMedica hospital bonds
|
11/17/2011 | CVIGLMPF | Bank of America exchanges stock, notes for $2.69 billion preferreds
|
11/17/2011 | IGLM | L-3 to use new note proceeds to redeem its 6.375% notes due 2015
|
11/17/2011 | LM | Caixa Galicia buys back €5.5 million of series 8 step-up securities
|
11/17/2011 | LMMU | Nashville calls $101.46 million of electric system revenue bonds
|
11/17/2011 | CVLM | Acadia Realty announces repurchase option for 3.75% convertibles
|
11/17/2011 | IGLM | Puget Sound Energy note proceeds to fund $25 million bond redemption
|
11/17/2011 | LM | Sumitomo calls ¥500 million floating-rate notes for redemption Dec. 1
|
11/17/2011 | LMMU | Port of Seattle calls $81 million of special facility revenue bonds
|
11/17/2011 | CVLM | SOCO repurchases $5.96 million of its 4.5% convertibles due 2013
|
11/16/2011 | CALM | Central 1 Credit calls outstanding C$50 million of subordinated notes
|
11/16/2011 | LMMU | Illinois Health calls $56 million Rush-Presbyterian-St. Luke's bonds
|
11/16/2011 | HYLM | PolyOne redeems all $22.91 million of 8 7/8% senior notes due 2012
|
11/16/2011 | EMHYLM | China's Texhong Textile buys back $7 million of 7 5/8% notes due 2016
|
11/16/2011 | CVLM | Huntingdon calls series C convertible debentures
|
11/16/2011 | LMMU | New York City calls $329.74 million 2002 series B G.O. bonds at par
|
11/16/2011 | IGLM | United Technologies calls all $500 million of its 6.1% notes due 2012
|
11/16/2011 | EMHYLM | Indonesia's Majapahit obtains consents to amend 73/4%, 71/4%, 7 7/8% notes
|
11/16/2011 | CVLM | Rogers Sugar to redeem C$77.936 million of 5.9% convertibles due 2013
|
11/16/2011 | AGLM | FFCB to redeem $340 million of consolidated systemwide bonds at par
|
11/16/2011 | LMMU | Atlanta calls $64.34 million of Atlantic Station tax allocation bonds
|
11/16/2011 | LM | Banco Santander starts exchange offer for nine series of instruments
|
11/16/2011 | CVLM | Tech Data calls all of its 2.75% convertibles, announces put option
|
11/16/2011 | CALM | 5Banc Split plans to redeem its class B preferred shares on Dec. 15
|
11/16/2011 | LMMU | California calls $89.56 million Stanford University refunding bonds
|
11/16/2011 | HYLM | Morris Publishing Group announces $1.55 million redemption of notes
|
11/16/2011 | DDHYLM | Sevan Marine unsecured bondholders fall short of threshold to require secured holders to buy stock
|
11/16/2011 | CALM | Brookfield Renewable preferred holders approve strategic combination
|
11/16/2011 | LMMU | Colorado Health calls some Sisters of Charity of Leavenworth bonds
|
11/16/2011 | HYLM | Plains Exploration & Production begins tender offers for 73/4%, 7% notes
|
11/16/2011 | DDHYLMPV | GMX Resources launches exchange offer for 11 3/8% notes due 2019
|
11/15/2011 | HYLM | Indiantown calls $13.13 million 9.77% first mortgage bonds due 2020
|
11/15/2011 | LMMU | Philadelphia Authority calls $206.46 million of airport revenue bonds
|
11/15/2011 | LM | Espirito Santo wraps exchange offer for preferreds, 6 7/8% notes
|
11/15/2011 | LMMU | Diamondbacks extends $97.73 million tender offer to Nov. 29
|
11/15/2011 | CVLM | Inland Real Estate buys back $2.7 million 4.625% convertibles
|
11/15/2011 | HYLM | Petrohawk buys back $10.75 million 7 7/8%, 101/2% notes in tender offer
|
11/15/2011 | LMMU | San Francisco to redeem $125.3 million of its general obligation bonds
|
11/15/2011 | LM | Lunar Funding to redeem €10 million of floating-rate notes Nov. 21
|
11/15/2011 | LMMU | Hawaii to redeem $5.4 million 5% series 2001 highway bonds due 2022
|
11/15/2011 | CVLM | PDL BioPharma launches exchange offer for 2.875% convertible notes
|
11/15/2011 | IGLMPF | Bank of America starts consent bid to amend eight securities series
|
11/15/2011 | HYLM | American Greetings tenders for any and all of two 7 3/8% notes series
|
11/15/2011 | LMMU | Maryland to redeem $1.7 million series 1997B revenue bonds due 2015
|
11/15/2011 | CVLM | Wesco International holders put back $165,000 of 1.75% convertibles
|
11/15/2011 | LM | ELM repurchases $22 million of secured credit linked notes due 2013
|
11/15/2011 | AGLM | FFCB to redeem $285 million of consolidated systemwide bonds Nov. 22
|
11/15/2011 | HYLM | CSC gives early results in $1.25 billion tender for 63/4%, 81/2% notes
|
11/15/2011 | LMMU | NYC Transit to redeem $5.93 million certificates of participation
|
11/15/2011 | EMLM | Bahrain's BBK starts exchange offer for subordinated step-up floaters
|
11/15/2011 | LMMU | California to redeem Los Angeles Jewish Home for the Aging bonds
|
11/15/2011 | CALM | RONA sets bid range in Dutch auction tender offer for 5.4% debentures
|
11/15/2011 | HYLM | FleetPride's new bank loan to fund call of 111/2% notes, discount notes
|
11/15/2011 | LMMU | Pennsylvania Turnpike calls $115.48 million of turnpike revenue bonds
|
11/15/2011 | EMLM | Indonesia's Bank CIMB Niaga to redeem $200 million notes due 2016
|
11/15/2011 | LMMU | Central Utah Water Conservancy defeases $38.87 million G.O. bonds
|
11/15/2011 | CVLM | Headwaters buys back $6.5 million of 2.5% convertibles due 2014
|
11/14/2011 | EMLM | Gati plans to redeem $15 million of zero-coupon convertibles
|
11/14/2011 | LMMU | Maryland Stadium Authority calls, cancels sports facilities bonds
|
11/14/2011 | CVLM | Newalta calls convertibles, funding from C$125 million of new notes
|
11/14/2011 | LM | Wi-Lan board approves normal course issuer bid for 5% of convertibles
|
11/14/2011 | IGLM | WPP subsidiary sets pricing, exchange ratio in offer for 5.875% notes
|
11/14/2011 | LM | BAC Capital to repurchase $83.7 million of its 5.25% securities Nov. 15
|
11/14/2011 | LMMU | St. Anthony's Medical Center, Mo., purchases no bonds in auctions
|
11/14/2011 | CVLM | Thoresen Thai buys back portion of 2.5% convertibles due 2012
|
11/14/2011 | LMMU | Arizona Transportation calls all $38.2 million of series 2002 bonds
|
11/14/2011 | LM | Emmis to buy back some 6.25% convertible preferreds below market price
|
11/14/2011 | HYLM | DR Horton repurchases $77.1 million of senior notes in fourth quarter
|
11/14/2011 | LMPF | Webster Preferred Capital calls all series B 8.625% preferred stock
|
11/14/2011 | DDHYLM | Krillsea allocates sale proceeds to bondholders: 85% for PIK, 15% bonds, 15% to callable floaters
|
11/14/2011 | LMMU | City and County of San Francisco to redeem $125.3 G.O. bonds
|
11/14/2011 | CALM | RioCan calls all C$120 million of 5.7% series K debentures due 2012
|
11/14/2011 | LM | ING Prime Rate Trust to redeem remaining auction preferred shares
|
11/14/2011 | HYLM | Kansas City Southern Railway to redeem $123.5 million of senior notes
|
11/14/2011 | DDHYLM | Sevan Marine's restructuring plan gets approval of bondholders
|
11/14/2011 | LMMU | Connecticut to redeem $162.23 million of 2001 series E G.O. bonds
|
11/14/2011 | CVDDHYLM | Dune Energy begins exchange offer for 101/2% notes, consent solicitation for convertibles
|
11/14/2011 | LM | InnVest REIT to launch normal course issuer bid for convertibles
|
11/14/2011 | HYLM | Thermon Holding buys back $4.3 million of 91/2% notes in third quarter
|
11/14/2011 | EMLM | Bulgaria's Petrol again seeks to amend €100 million 8 3/8% notes, extend due date by five years
|
11/14/2011 | LMMU | Florida Municipal Loan Council calls $7.58 million revenue bonds
|
11/14/2011 | CVLM | MidAmerican Energy calls 61/2% convertible trust preferred securities
|
11/14/2011 | LM | Kinetic Concepts sets payout for put option on 3.25% convertibles
|
11/14/2011 | IGLM | NiSource Finance begins tender offers for 10.75% notes, 6.15% notes
|
11/10/2011 | CVLM | General Donlee gets OK for issuer bids on C$4.62 million convertibles
|
11/10/2011 | LMMU | San Antonio defeases $57.43 million of its electric and gas bonds
|
11/10/2011 | EMHYLM | Singapore's Altus Capital buys back $2 million of 12 7/8% notes
|
11/10/2011 | LMMU | South Carolina Jobs series 2008 revenue bonds cancelled, reissued
|
11/10/2011 | EMLM | China's Chong Hing calls remaining subordinated floaters due 2016
|
11/10/2011 | HYLM | MarkWest Energy holders deliver consents for 76% of 83/4% notes due 2018
|
11/10/2011 | AGLM | FFCB to redeem $290 million consolidated systemwide bonds at par
|
11/10/2011 | HYLM | NXP issues $534.5 million of notes under first tranche of exchange
|
11/10/2011 | BKCVLM | Level 3 closes term loan, gives 3.5% convertibles redemption notice
|
11/10/2011 | IGLM | Southern Power to use new note proceeds to redeem series B 6.25% debt
|
11/9/2011 | AGLM | FFCB plans to redeem $843 million of consolidated systemwide bonds
|
11/9/2011 | LMMU | Connecticut Student Loan Foundation offers to buy auction-rate bonds
|
11/9/2011 | HYLM | Community Health Systems tenders for up to $1 billion 8 7/8% notes
|
11/9/2011 | CVLM | SVG Capital purchases $2 million of 8.25% convertible bonds due 2016
|
11/9/2011 | LMMU | State of Oregon defeases $62.42 million of series 2003 G.O. bonds
|
11/9/2011 | HYLM | Lions Gate buys back, reissues $10 million of 101/4% notes due 2016
|
11/9/2011 | CVLM | Sandisk buys back $221.9 million of convertible senior notes due 2013
|
11/9/2011 | LMMUPF | Federated muni funds begin tender offers for auction market preferreds
|
11/9/2011 | HYLM | Momentive repurchases €17.2 million 91/2% second priority notes due 2021
|
11/9/2011 | CVLM | Transpacific Industries tenders for 6.75% convertibles at 98 to par
|
11/9/2011 | IGLMPF | AIG exchange offer for $2.5 billion subordinated debentures oversubscribed at early deadline
|
11/9/2011 | LM | Barclays to redeem €806 million in zero-coupon notes due 2041
|
11/9/2011 | ABLM | AerCo gets needed majority of consents to amend five classes of notes
|
11/9/2011 | LMMU | Berks County, Pa., Reading Hospital bonds subject to mandatory tender
|
11/9/2011 | LM | Espirito Santo ends tender, exchange for preferreds, 6 7/8% notes
|
11/8/2011 | AGLM | FFCB redeems $947 million of consolidated systemwide bonds
|
11/8/2011 | LMMU | New Jersey Health to redeem $1 million of series 2006A-1 revenue bonds
|
11/8/2011 | HYLM | Community Health commences cash tender offer for $1 billion of its 8 7/8% notes due 2015
|
11/8/2011 | CVLM | Far East Consortium buys back HK$10 million of 3.625% convertibles
|
11/8/2011 | LMMU | Partners Healthcare, Mass., to make $15 million bids on revenue bonds
|
11/8/2011 | LMMU | California to redeem $33.29 million of economic recovery bonds
|
11/8/2011 | CVLM | Newalta to redeem 7% convertibles with proceeds of 7.75% debentures
|
11/8/2011 | LMMU | St. Anthony's Medical Center, Mo., buys no bonds in latest auctions
|
11/8/2011 | LMMU | Connecticut to redeem $8.02 million of FSA receipts Nov. 15
|
11/8/2011 | DDHYLM | Fairstar Heavy Transport seeks bondholder approval at Nov. 23 meeting
|
11/8/2011 | LMPF | Comerica calls $24 million of securities for redemption at par
|
11/8/2011 | LMMU | Dallas Area Rapid Transit to redeem $5.92 million of FSA receipts
|
11/8/2011 | LM | Espirito Santo extends tender offer for €400 million 6 7/8% notes
|
11/8/2011 | LMMU | Massachusetts Turnpike to redeem all $109 million 1997 series A bonds
|
11/8/2011 | LM | SBAB Bank buys back €20 million of floating-rate notes due March 2012
|
11/7/2011 | HYLM | LyondellBasell subsidiary effectively closes tender for 8%, 11% notes
|
11/7/2011 | CVLM | Carriage Services buys back some more 7% convertible preferreds for $1.27 million in August
|
11/7/2011 | LMMU | Michigan Municipal Bond calls $15.63 million series 2001 bonds
|
11/7/2011 | IGLM | Williams begins $1 billion tender offers for eight series of notes
|
11/7/2011 | HYLM | NPC International says all debt to be repaid by end of year
|
11/7/2011 | CVLM | LeCroy buys back all $29.65 million of remaining 4% convertibles
|
11/7/2011 | LMMU | North Carolina Medical calls $4.9 million of revenue refunding bonds
|
11/7/2011 | IGLMPF | AIG sets coupons for new notes to be issued in exchange offer
|
11/7/2011 | HYLM | Starwood calls all $605.13 million outstanding 7 7/8% notes due 2012
|
11/7/2011 | CVLM | Solar Applied Materials buys back $7 million 0% convertible bonds
|
11/7/2011 | LMMU | Ohio Water Development Authority to redeem $2.13 million of its bonds
|
11/7/2011 | LMMU | Austin, Texas, plans to redeem $23.84 million of various bonds Dec. 5
|
11/7/2011 | HYLM | Windstream to redeem 8 5/8% notes with proceeds from $500 million bonds
|
11/7/2011 | EMLM | Slovak Republic buys back €130 million bonds at 99.696 cut-off price
|
11/7/2011 | LMMU | Orlando-Orange County, Fla., to redeem $408.29 million revenue bonds
|
11/7/2011 | LMMU | Jacksonville Aviation calls $6.74 million 4.5% 2006 bonds due 2036
|
11/7/2011 | HYLMPF | Strategic Hotels & Resorts tenders for three series of preferreds
|
11/7/2011 | LMMUPF | Federated muni income funds to tender for auction market preferreds
|
11/7/2011 | HYLM | Fairstar Heavy Transport holders agree to amend NOK 300 million bonds
|
11/7/2011 | LMMU | Kentucky Infrastructure Authority calls $43.25 million of water bonds
|
11/7/2011 | IGLM | Sallie Mae buys back $9 million of unsecured debt during third quarter
|
11/4/2011 | IGLMPF | Bank of America plans possible exchanges of notes for preferreds
|
11/4/2011 | LMMU | Clearwater announces redemption of $15.2 million of outstanding IRBs
|
11/4/2011 | AGLM | FFCB redeems $75 million consolidated systemwide bonds on Nov. 16
|
11/4/2011 | LMMU | Cook County, Ill., defeases $52.43 million of G.O. bonds
|
11/4/2011 | CVDDHYLM | Dune Energy, holders extend exchange solicitation launch to Nov. 8
|
11/4/2011 | LMMU | Dallas and Fort Worth, Texas, to redeem $104.53 million revenue bonds
|
11/4/2011 | CVLM | United Microelectronics buys back $20 million convertibles due 2016
|
11/4/2011 | LMMU | Indiana Secondary Market to spend up to $60 million in bond tender
|
11/4/2011 | HYLM | Tenet Healthcare tenders, solicits consents for 9% secured notes
|
11/3/2011 | LMMU | San Francisco to redeem $94.075 million of its George R. Moscone Convention Center bonds
|
11/3/2011 | EMLM | Shanghai Industrial solicits consents to amend 93/4% notes due 2014
|
11/3/2011 | IGLM | WPP subsidiary sets terms in exchange offer for 5.875% notes
|
11/3/2011 | CACVHYLM | Valeant resumes buyback program for convertibles, notes and other debt
|
11/3/2011 | HYLM | Sally Holdings to redeem $705 million of notes with offering proceeds
|
11/3/2011 | LMMU | Snohomish County, Wash., calls $107.24 million limited tax G.O. bonds
|
11/3/2011 | LM | Ecclesiastical calls its £6 million of 13% debenture stock due 2018
|
11/3/2011 | LMMU | California to call $275 million of its J. Paul Getty revenue bonds
|
11/3/2011 | CVLM | Bill Barrett expects to call its 5% convertibles due 2028 in March
|
11/3/2011 | HYLM | Tesoro redeems $84 million of bonds this quarter, to buy back 61/4% notes
|
11/3/2011 | ABLM | Hipototta to redeem outstanding notes class A1 to F due January 2061
|
11/3/2011 | HYLM | Avis to redeem all €250 million of its senior notes due 2013
|
11/3/2011 | LMMU | Jacksonville, Fla., commission calls $100 million Mayo Clinic bonds
|
11/3/2011 | CVLM | Rajesh Exports redeems $15.1 million of foreign currency convertibles
|
11/3/2011 | HYLM | Western Refining plans to redeem its floating-rate notes in December
|
11/3/2011 | ABLM | Lease Investment Flight Trust modifies solicitation for note series
|
11/3/2011 | HYLM | Chiquita to redeem $50 million of its 71/2% senior notes due 2014
|
11/3/2011 | LMMU | Massachusetts mandatory tenders rescinded, extended to Feb. 8
|
11/3/2011 | CVLM | SM Energy to repay debt, may call 3.5% convertibles with note proceeds
|
11/3/2011 | HYLMPV | U.S. Corrugated to redeem its 10% senor secured notes due 2013
|
11/3/2011 | AGLM | FFCB plans to redeem $493 million of consolidated systemwide bonds
|
11/3/2011 | HYLM | LIN Television to redeem $165 million of its senior notes due 2013
|
11/3/2011 | LMMU | Minneapolis-St. Paul Metropolitan Airports defeases series 2003A bonds
|
11/3/2011 | DDHYLM | Dynegy scraps exchange offers for several notes after poor turnout
|
11/3/2011 | IGLM | Simon Property calls all $159.75 million of its 5% notes due 2012
|
11/3/2011 | BKDDHYLMPV | GMX Resources, 11 3/8% noteholders enter support/backstop agreements
|
11/3/2011 | HYLM | LyondellBasell subsidiary gets needed consents to amend 8%, 11% notes
|
11/2/2011 | CVLM | Superior Plus to redeem additional C$50 million of 5.75% convertibles
|
11/2/2011 | CALM | Sun Life Capital Trust to redeem ExchangEable securities-series A
|
11/2/2011 | LMMU | New York City Municipal Water's 2006AA-3 bonds have mandatory tender
|
11/2/2011 | LM | Bank of Ireland Mortgage Bank repurchases €125 million of notes
|
11/2/2011 | CVHYLM | TRW spends $213 million cash to retire $162 million debt in Q3, including $66 million exchangeables
|
11/2/2011 | HYLM | Huntsman redeems $111 million notes in quarter, calls 6 7/8% euro notes
|
11/2/2011 | CVLM | Human Genome may buy back 2.25% convertibles with new issue proceeds
|
11/2/2011 | ABLM | Signum repurchases $400 million of series 2011-01 bonds due 2013
|
11/2/2011 | HYLM | Sinclair buys back $12.5 million 8 3/8 notes in third quarter, October
|
11/2/2011 | CVLM | ON Semiconductor buys back $53 million convertible in third quarter
|
11/2/2011 | AGLM | FFCB redeems $240 million consolidated systemwide bonds on Nov. 9
|
11/2/2011 | LMMU | Georgia redeems $99.63 million of its 2001D G.O. bonds on Nov. 1
|
11/2/2011 | CVLM | Quicksilver holders exercise put for 99.9% of 1.875% convertibles
|
11/2/2011 | CAHYLM | Sherritt sets redemption price for 7 7/8% debentures at C$1,058.43
|
11/2/2011 | LMMU | Montgomery County, Ohio, calls Kettering Health Network bonds
|
11/1/2011 | LMMU | Pennsylvania to redeem $75.21 million revenue bonds on Dec. 1
|
11/1/2011 | EMHYLM | Indonesia's Majapahit seeks consents to amend 73/4%, 71/4%, 7 7/8% notes
|
11/1/2011 | CAHYLM | Cara Operations lifts consent fee in solicitation for 9 1/8% notes
|
11/1/2011 | LMMU | Indiana purchases $55 million series 1998 variable-rate revenue bonds
|
11/1/2011 | LMPF | Five Mile to tender for Prime Group's 9% series B preferreds by Dec. 1
|
11/1/2011 | LM | TD Split plans to redeem 1,051,500 of preferred and capital shares
|
11/1/2011 | LMMU | Phoenix to purchase $97.73 million of stadium revenue bonds for cash
|
11/1/2011 | EMLM | Icici Bank UK calls $50 million series 2006 step-up floaters due 2016
|
11/1/2011 | LMMU | Kentucky calls $305,000 of 4.5% 2001 series B drinking water bonds
|
11/1/2011 | CVLM | BioMed Realty redeems all remaining 4.5% exchangeables due 2026
|
11/1/2011 | LMPF | TD Split plans to redeem 1,051,500 of preferred and capital shares
|
11/1/2011 | LMMU | Birmingham redeems $15.21 million of health care revenue bonds
|
11/1/2011 | LMMU | Sacramento to redeem $6.99 million of its 5.125% 1993 revenue bonds
|
11/1/2011 | HYLM | Altra buys back $11.9 million 8 1/8% notes in third, fourth quarters
|
11/1/2011 | LMMU | Louisiana Public Facilities calls $675,000 of its hospital bonds
|
11/1/2011 | CVLM | Health Care REIT holders may put back 4.75% convertibles on Dec. 1
|
11/1/2011 | LMMU | California to redeem $3.5 million series 2003 Sisters of Charity bonds
|
11/1/2011 | LMMU | St. Anthony's Medical, Mo., purchases no bonds in October auctions
|
11/1/2011 | HYLM | CSC Holdings tenders for up to $1.25 billion total of 63/4%, 81/2% notes
|
11/1/2011 | LMMU | Missouri to redeem $76.43 million of Sisters of Mercy revenue bonds
|
11/1/2011 | CVLM | Millipore calls 3.75% convertibles; noteholders may put, convert notes
|
11/1/2011 | AGLM | FFCB plans to redeem $764 million of consolidated systemwide bonds
|
11/1/2011 | LMMU | Cleveland to redeem $3.89 million of its Continental Airlines bonds
|
11/1/2011 | LMMU | Utah to redeem $185 million series 2008 revenue and refunding bonds
|
11/1/2011 | HYLMPV | Coeur d'Alene buys back remaining $18.75 million senior term notes
|
11/1/2011 | LMMU | North Carolina Commission defeases Maria Parham revenue bonds
|
11/1/2011 | DDHYLM | Dynegy misses interest payment on 8 3/8% notes, extends withdrawal date for exchange offers
|
11/1/2011 | AGLM | Fannie Mae plans to redeem $250 million medium-term notes at par
|
11/1/2011 | LMMU | Denver calls $900,000 of five series of airport system revenue bonds
|
11/1/2011 | LMPF | BioMed Realty repurchases $32 million preferreds during third quarter
|
11/1/2011 | IGLM | Mosaic to redeem its $469.25 million of 7.625% senior notes due 2016
|
10/31/2011 | IGLMPF | KeyCorp calls $331 million of its 6.75% trust preferred securities
|
10/31/2011 | LM | Italy's Finmeccanica repurchases €56.15 million 8.125% notes due 2013
|
10/31/2011 | AGLM | Fannie Mae to redeem $695 million of its medium-term notes on Nov. 10
|
10/31/2011 | LMMU | Mississippi Business Finance to redeem $9.97 DDR Gulf Promenade bonds
|
10/31/2011 | LMMU | California County Tobacco calls $400,000 of Kern County tobacco bonds
|
10/31/2011 | HYLM | Cablevision unit begins $750 million tender offer for 81/2%, 63/4% notes
|
10/31/2011 | CAHYLM | Cara Operations extends consent solicitation for 9 1/8% notes
|
10/31/2011 | LMMU | New Jersey Economic Development calls $23.29 million of its bonds
|
10/31/2011 | LMMU | Community Unit School District #300, Ill., calls all 2000 G.O.s
|
10/31/2011 | HYLM | Hovnanian accepts $195 million of notes for exchange in offers
|
10/31/2011 | CVLM | CSX: Only $1,000 convertibles put back; yield to maturity reset to 1%
|
10/31/2011 | LMMU | Port Authority calls $15.80 million of LaGuardia terminal bonds
|
10/31/2011 | LMMU | Iowa Finance Authority calls $950,000 of series 2000A revenue bonds
|
10/31/2011 | IGLM | Beam begins Dutch auction tender offer for portion of 4% notes
|
10/31/2011 | DDEMHYLM | Mexico's Iusacell calls its $110.69 million of 9% senior secured notes
|
10/31/2011 | LMMU | Maryland Health calls $810,000 Catholic Health Initiatives bonds
|
10/31/2011 | IGLM | Verizon New York to redeem $2.5 billion of series A debentures
|
10/31/2011 | DDHYLM | Krillsea gets bondholder OK of vessel sale, possible claims write-down
|
10/31/2011 | LMMU | Miami, Fla. calls $2.83 million pension bonds for redemption on Dec.1
|
10/28/2011 | HYLM | Scientific Games subsidiary records needed consents for 7 7/8% notes
|
10/28/2011 | EMLM | China's Road King Infrastructure units buy back floaters, 91/2% notes
|
10/28/2011 | AGLM | Fannie Mae plans to redeem $2.85 billion medium-term notes at par
|
10/28/2011 | LMMU | California Health calls remaining 1998A Catholic Healthcare West bonds
|
10/28/2011 | HYIGLM | Seacor purchases $1.2 million of 5 7/8% notes in third quarter
|
10/28/2011 | CAHYLM | Sherritt exercises make-whole call for C$274 million 7 7/8% notes
|
10/28/2011 | LMMU | California calls $264.39 million of 1998 general obligation bonds
|
10/28/2011 | HYLM | Capmark to redeem $150 million floating-rate first-lien notes due 2014
|
10/28/2011 | CVDDLM | Lanesborough REIT gets approval to extend, amend 7.5% convertibles
|
10/28/2011 | LMMU | Meridian Metropolitan District, Colo., calls two series of G.O. bonds
|
10/28/2011 | ABLM | Argon redeems €60 million floating-rate credit-linked notes due 2044
|
10/28/2011 | HYLM | Correction: Berry Petroleum buys back $95 million of its senior notes
|
10/28/2011 | CVIGLM | RAIT Financial reports series of October note repurchases, exchanges
|
10/28/2011 | LMMU | Mississippi Business Finance to redeem $57.5 million Petal Gas bonds
|
10/28/2011 | ABLM | Signum Fin II buys back A$3.47 million of its notes
|
10/28/2011 | HYLM | Primus Guaranty gets board OK to buy back more 7% senior notes, stock
|
10/28/2011 | CVLM | Bank of Iwate cancels ¥1.25 billion step-up convertible bonds due 2017
|
10/28/2011 | LMMU | Port Authority of New York and New Jersey to redeem $153.25 million bonds
|
10/28/2011 | AGLM | FFCB to redeem $670 million consolidated systemwide bonds Nov. 10-15
|
10/27/2011 | LMMU | Maryland Department of Transportation defeases $172.8 million bonds
|
10/27/2011 | HYLM | Berry Plastics buys back $95 million 101/4% notes during third quarter
|
10/27/2011 | BKHYLM | Technicolor debtholders OK changes to increase strategic flexibility
|
10/27/2011 | LMMU | New York Liberty calls $2.59 billion World Trade Center project bonds
|
10/27/2011 | HYLM | Elan buys back $200 million of 83/4% senior notes due 2016 in October
|
10/27/2011 | CVLM | Arris buys back $5 million of its convertibles in third quarter
|
10/27/2011 | LMPF | Mack-Cali to redeem $25 million series C preferred stock on Oct. 28
|
10/27/2011 | HYLM | Unisys calls $65.9 million 8% notes at par plus make-whole premium
|
10/27/2011 | CVLM | CapitalSource buys back 30% of 7.25% convertibles in third quarter
|
10/27/2011 | IGLM | AT&T to redeem all 5.875% notes due 2012
|
10/27/2011 | CVLM | Power-One holders to convert all 6%/8%/10% notes ahead of redemption
|
10/27/2011 | IGLM | Verizon to use new deal proceeds to retire notes due 2012 and 2013
|
10/27/2011 | DDHYLM | Dynegy extends exchange offers for up to $1.25 billion of securities
|
10/27/2011 | AGLM | FFCB plans to redeem $70 million of its consolidated systemwide bonds
|
10/26/2011 | IGLM | National Rural to redeem $3.9 million of series 1997 Kepco notes
|
10/26/2011 | HYLM | ACCO Brands bought back $14 million 7 5/8% notes, $34.2 million 10 5/8% notes in third quarter
|
10/26/2011 | AGLM | Fannie Mae plans to redeem $75 million medium-term notes at par
|
10/26/2011 | IGLMPF | Public Storage calls $105 million of 6.95% series H preferred shares
|
10/26/2011 | HYLM | First Industrial buys back $45 million notes in third, fourth quarters
|
10/26/2011 | CVLM | Brandywine holders put $59.49 million 3.875% exchangeables due 2026
|
10/26/2011 | LMMU | Colorado Health to redeem series 2000, 2004 Catholic Health bonds
|
10/26/2011 | HYLM | LIN TV to redeem 61/2% notes issued in two series via loan proceeds
|
10/26/2011 | CVLM | JetBlue redeems $32 million 6.75% putable convertibles last quarter
|
10/26/2011 | LMMU | Escambia County, Fla., defeases part of 2002 sales tax revenue bonds
|
10/26/2011 | ABLM | Annington Finance buys back £3.7 million of its medium-term notes
|
10/26/2011 | HYLM | Solutia repurchases $25 million of notes during third quarter
|
10/26/2011 | DDHYLM | InterOil seeks waiver from holders of NOK 310 million 15% bonds
|
10/26/2011 | LMMU | Tennessee defeases, to redeem $65.25 million series 2005 B G.O. bonds
|
10/26/2011 | ABLM | Dali Capital buys back €75 million series 10 notes due 2035
|
10/26/2011 | HYLM | Vertex Pharmaceuticals to redeem $105 million of notes at month-end
|
10/26/2011 | EMIGLM | Banco de Credito del Peru holders tender $117.04 million 6.95% notes
|
10/26/2011 | AGLM | FFCB to redeem $400 million of consolidated systemwide bonds
|
10/25/2011 | HYLM | MoneyGram enters agreement to allow optional redemptions of notes
|
10/25/2011 | CVLM | Alexandria REIT buys back $121.1 million 3.7% convertibles in Q3
|
10/25/2011 | LMMU | Massachusetts to make $15 million of bids on series F-2 revenue bonds
|
10/25/2011 | CVLM | Euronet buys back $3.6 million of convertibles in third quarter
|
10/25/2011 | LMMU | Missouri Higher Education Loan Authority accepts $81.2 million of auction-rate bonds for purchase
|
10/25/2011 | CVLM | Microsemi gets tenders for nearly all Zarlink's 6% convertibles, plans to call remainder at par
|
10/25/2011 | AGLM | Fannie Mae to redeem $500 million of its medium-term notes Nov. 4
|
10/25/2011 | CVLM | Transpacific may buy back 6.75% convertibles prior to put date
|
10/25/2011 | CALM | Canadian Utilities calls three series of preferreds for redemption
|
10/25/2011 | HYLM | MarkWest Energy Partners tenders for any and all 83/4% notes due 2018
|
10/25/2011 | CVLM | Air Berlin plans to tender for unit's €136 million 1.5% convertibles
|
10/24/2011 | HYLM | PNM Resources offers to purchase up to $50 million of 91/4% notes
|
10/24/2011 | LM | British Telecom announces $1 million buy back of 8.5% notes due 2016
|
10/24/2011 | LMMU | California to redeem $1.79 million of Jewish Community Center bonds
|
10/24/2011 | IGLM | Comcast calls all $345 million of its 7% senior notes due 2055
|
10/24/2011 | LM | Mall Funding redeems $104 million of its floating-rate notes due 2017
|
10/24/2011 | LMMU | Denver redeems $23.01 million 1991D, 1995C, 2002C airport system bonds
|
10/24/2011 | IGLMPF | AIG offers to exchange up to $2.5 billion junior subordinated notes
|
10/24/2011 | LM | NIBC buys back $10 million of its floating-rate notes due 2012
|
10/24/2011 | ABLM | Centurion CDO VI calls 12 series of securities for Nov. 7 redemption
|
10/24/2011 | IGLMPF | Vectren Utility to redeem all $96.17 million of 5.95% notes due 2036
|
10/24/2011 | LM | Renewable Energy gets consent under 11% notes to shutter REC ScanCell
|
10/24/2011 | AGLM | Fannie Mae plans to redeem $400 million medium-term notes
|
10/24/2011 | IGLMPF | Wells Fargo to redeem $40 million of capital securities on Dec. 15
|
10/24/2011 | HYLM | Helix Energy buys back $75 million notes in third quarter at 103.14
|
10/24/2011 | DDHYLM | Sevan Marine calls bondholder meeting to vote on restructuring plan
|
10/24/2011 | LMMU | California to redeem $122.7 million J David Gladstone Institutes bonds
|
10/21/2011 | DDHYLM | Krillsea seeks bondholder OK of vessel sale, says wind-up possible
|
10/21/2011 | LMMU | Maryland Health calls $82.06 million 2001 Johns Hopkins Hospital bonds
|
10/21/2011 | EMLM | Malaysia's Puncak Niaga holders put 94.26% of outstanding notes, remainder called
|
10/21/2011 | AGLM | FFCB to redeem $25 million consolidated systemwide bonds Nov. 1-3
|
10/21/2011 | LMMU | Montgomery County calls $55.24 million Trinity Health Credit bonds
|
10/21/2011 | LM | Skipton buys back €750 million series 1 floating-rate covered bonds
|
10/21/2011 | AGLM | Fannie Mae plans to redeem $1.5 billion of its 0.55% notes due 2012
|
10/21/2011 | HYLM | LyondellBasell subsidiary begins tender offer for 8% notes, 11% notes
|
10/21/2011 | CVLM | Huntingdon REIT to redeem 7.5% convertibles via C$40 million unit sale
|
10/21/2011 | HYLM | Windsor Financing terminates tender offers for 5.881%, 6.927% notes
|
10/21/2011 | DDHYLM | Dynegy again extends exchange for up to $1.25 billion of securities
|
10/21/2011 | LMMU | Cincinnati school district calls series 2001 school improvement bonds
|
10/20/2011 | CVHYLM | Korreden announces tender offers for notes, exchangeables due 2014
|
10/20/2011 | LMMU | University of Colorado Hospital calls portion of 2004A revenue bonds
|
10/20/2011 | LMMU | California Infrastructure calls remaining Gladstone Institutes bonds
|
10/20/2011 | EMLM | Taiwan's Yuanta Commercial Bank to redeem two series of debentures
|
10/20/2011 | LMMU | Florida Board of Education to price $135.14 million of PECO bonds
|
10/20/2011 | LM | Van Lanschot 2004 perpetual holders tender €89.4 million for exchange, €59.49 million for cash
|
10/20/2011 | LMMU | Florida Department of Environmental Protection calls $180.35 million revenue bonds
|
10/20/2011 | HYLM | Berry Plastics announces repurchase of senior notes for $39 million
|
10/20/2011 | LMMU | Montgomery County, Va., calls $50.89 million of Virginia Tech bonds
|
10/20/2011 | HYLM | Builders FirstSource repays final $5.3 million of its 2012 notes
|
10/20/2011 | BKLMPV | Arch Chemicals terminates loan, must make offer for 4%, 6.7% notes
|
10/20/2011 | LMMU | Pennsylvania refunds $176.48 million of series 2003 and 2004 G.O. notes
|
10/20/2011 | IGLM | National Rural calls $250 million of 7.25% notes due 2012 at 102.503
|
10/19/2011 | CVLM | Nasdaq OMX Group holders tender $334.68 million of 2.5% convertibles
|
10/19/2011 | ABLM | Corsair buys back €35 million of its floating-rate notes due 2015
|
10/19/2011 | LMMU | Hamilton County, Ohio, calls $62.14 million Children's Hospital bonds
|
10/19/2011 | LM | Morgan Stanley buys back €5.9 million of its notes due 2013 and 2018
|
10/19/2011 | CVLM | Swiber holders may put 5% convertibles due to change of control
|
10/19/2011 | ABLM | Silverstone to redeem £14.01 billion of its series 2008-1 class A notes due 2055
|
10/19/2011 | LMMU | Hamilton County, Ohio, to refund and redeem series 1998A, 2000B bonds
|
10/19/2011 | HYLM | GSI Group refinances PIK notes using new $80 million facility funds
|
10/19/2011 | CVLM | United Rentals to redeem $32 million of 6.5% convertible Quips
|
10/19/2011 | AGLM | Fannie Mae to redeem $1.58 billion of its medium-term notes Oct. 29
|
10/19/2011 | LMMU | New Jersey authority calls $51.2 million of Cedar Crest Village bonds
|
10/19/2011 | HYLM | Scientific Games subsidiary solicits consents for 7 7/8% notes
|
10/19/2011 | DDHYLM | PetroMena bondholders give authorization for plan of reorganization
|
10/19/2011 | CALM | BCE gives results of conversions of series S and T preferred shares
|
10/19/2011 | LMMU | University of Virginia to defease $82.22 million series 2003B notes
|
10/19/2011 | HYLM | Swift Transportation redeems remaining second-priority floaters
|
10/19/2011 | EMLM | Malaysia's Goodway Integrated redeems final tranche of Islamic MTNs
|
10/19/2011 | CVLM | Global Energy redeems $5.8 million variable coupon convertibles
|
10/19/2011 | IGLM | ITT gets tenders for $87.56 million 7.4% notes, sets price at 158.742
|
10/19/2011 | LM | Huhtamaki to redeem its €75 million hybrid bond on Nov. 28
|
10/18/2011 | HYLM | Morris Publishing redeems $1.2 million more floaters with excess cash
|
10/18/2011 | CVLM | SESI plans to redeem all of its 1.5% senior exchangeable notes due 2026
|
10/18/2011 | ABLM | Aphex Capital to redeem €24.7 million of series 2009-96 bonds due 2016
|
10/18/2011 | LMMU | Massachusetts will make $15 million of bids on series F revenue bonds
|
10/18/2011 | LMMU | Battery Park to redeem $1.4 million series 2003C-5 auction-rate bonds
|
10/18/2011 | DDHYLM | Blom obtains holder approval to extend bond maturity by two years
|
10/18/2011 | LMMU | Michigan authority to redeem $40.88 million of hospital revenue bonds
|
10/18/2011 | ABLM | Cassiopeia to redeem €429.33 million securities at par on Oct. 19
|
10/18/2011 | LMMU | Cleveland defeases, refunds $48.1 million of series K revenue bonds
|
10/18/2011 | EMLM | Singapore's Sengkang Mall seeks to extend due date of junior bonds
|
10/18/2011 | LMMU | Missouri authority submits bids of 1.75% for $156.6 million of bonds
|
10/18/2011 | ABLM | Penarth Master Issuer to redeem £500 million of asset-backed floaters
|
10/18/2011 | LMMU | Connecticut Health calls all $1.3 million 1999-B variable-rate bonds
|
10/18/2011 | LM | Bank of Scotland redeems £3 million index-linked notes due 2020
|
10/18/2011 | LMMU | New Jersey to redeem $690 million of 2001 transportation system bonds
|
10/18/2011 | AGLM | FFCB calls $418 million consolidated systemwide bonds at par
|
10/18/2011 | LMMU | Denver to redeem $1.73 million airport system variable-rate bonds
|
10/18/2011 | LM | British Telecommunications redeems £1 million bonds due 2016
|
10/18/2011 | LMMU | Pennsylvania Higher Education redeems $4.26 million revenue bonds
|
10/18/2011 | AGLM | Fannie Mae to redeem $4.63 billion of its medium-term notes Oct. 28
|
10/18/2011 | LMMU | Maryland calls $460,000 of 2006B project and refunding revenue bonds
|
10/17/2011 | HYLM | Hovnanian extends, ups consideration in private exchange offers
|
10/17/2011 | LMMU | Illinois Health calls $4.23 million of Advocate Health revenue bonds
|
10/17/2011 | ABLM | Lease Investment Flight Trust extends solicitation for notes series
|
10/17/2011 | LMMU | California redeems $1 million series 2001 Buck Institute revenue bonds
|
10/17/2011 | LM | Nordic Investment Bank buys back £10 million of its notes due 2016
|
10/17/2011 | IGLM | PNPP II calls $365,000 of its 8.8% bonds due May 30, 2016
|
10/17/2011 | EMLM | Arab Banking buys back $6 million of its floating-rate notes due 2017
|
10/17/2011 | HYLMPV | NuCO2 subsidiaries extend expiration of consent for four note series
|
10/17/2011 | LMMU | Louisiana Public Facilities calls $6.36 million of notes for Touro
|
10/17/2011 | AGLM | Fannie Mae plans to redeem $2.44 billion medium-term notes
|
10/17/2011 | LMMU | Cleveland refunds $44.81 million of Ohio Waterworks series H, J bonds
|
10/17/2011 | LM | Swedbank buys back SEK 150 million of its floating-rate notes due Nov. 11
|
10/17/2011 | IGLM | PNPP II calls $9.13 million of its 9.12% bonds due May 30, 2016
|
10/17/2011 | LM | British Telecom buys back £1 million of its 8.5% bonds due 2016
|
10/17/2011 | IGLM | Alabama Power to redeem $99.85 million 5.75% bonds due 2036
|
10/17/2011 | LMMU | Metropolitan Transportation calls $446.38 million of tax fund bonds
|
10/17/2011 | CAHYLM | Cara Operations solicits consents for 9 1/8% second-lien notes
|
10/17/2011 | HYLM | Anglo Irish Bank redeems its €750 million of floating-rate notes
|
10/17/2011 | LMMU | Colorado authority to redeem $3.94 million series 2008 revenue bonds
|
10/17/2011 | LMMU | Austin calls $2.41 million of its series 1993 revenue refunding bonds
|
10/17/2011 | LM | Caixa buys back €247.34 million of its floating-rate notes due 2099
|
10/17/2011 | IGLM | BVPS issues calls to redeem $7.36 million 8.89% bonds due 2017 at par
|
10/17/2011 | LMMU | Michigan authority to redeem all $1.5 million of 2001 revenue bonds
|
10/17/2011 | CALM | NorRock holders to receive Partners units in exchange for preferreds
|
10/17/2011 | HYLM | Drummond holders deliver needed consents to amend 9%, 7 3/8% notes
|
10/17/2011 | LMMU | Connecticut to redeem $162.23 million of 2001 series E G.O. bonds
|
10/17/2011 | ABLM | Citigroup gets tenders for $14.5 million of Skytop's income notes
|
10/17/2011 | LMMU | California Education Facilities calls $50 million bonds for Stanford
|
10/17/2011 | LM | Lloyds TSB buys back €2 million of floating-rate notes due 2017
|
10/17/2011 | IGLM | BVPS issues calls to redeem $2.87 million 8.68% bonds due 2017 at par
|
10/17/2011 | LMMU | New Jersey, Massachusetts authorities call Catholic Health East bonds
|
10/17/2011 | CVLM | Host Hotels & Resorts buys back $105 million of 2.625% exchangeables
|
10/17/2011 | HYLM | Elan asset sale and tender offer expires, all floaters redeemed
|
10/17/2011 | LMMU | Illinois Finance calls $215,000 of series 2006A 5.75% revenue bonds
|
10/17/2011 | ABLM | Gracechurch to redeem its 2006-1 Step Up notes
|
10/17/2011 | LMMU | California Pollution Control Financing to redeem $164.86 million bonds
|
10/17/2011 | LM | Mare Baltic to partially redeem €170 million class A notes due 2014
|
10/17/2011 | IGLM | Mosaic to use bond proceeds to redeem 7.625% senior notes due 2016
|
10/17/2011 | LMMU | Wisconsin Health to redeem $11.82 million series 2003 revenue bonds
|
10/17/2011 | CVLM | Royal Host begins automatic repurchase plan for three convertibles
|
10/14/2011 | CVLM | Epistar buys back portion of zero-coupon convertible bonds due 2016
|
10/14/2011 | LMMU | New York Municipal Water calls all 2001C, 2002G water and sewer bonds
|
10/14/2011 | IGLMPF | PNC to redeem $750 million of trust preferred securities due 2036
|
10/14/2011 | DDHYLM | Dynegy extends exchange offers for up to $1.25 billion of securities
|
10/14/2011 | LMMU | Panhandle-Plains Higher Education redeems $52.3 million 2005A-2 bonds
|
10/14/2011 | LMMU | Colorado Health to redeem all 2001 PorterCare Adventist bonds at 101
|
10/14/2011 | EMLM | Center Credit buys back, cancels $900,000 of its 8 5/8% senior notes
|
10/14/2011 | LMMU | San Francisco Public Utilities defeases some water revenue bonds
|
10/14/2011 | LMMU | Highlands County, Fla., calls some Adventist Health revenue bonds
|
10/14/2011 | EMLM | Philippines accepts $1.18 billion, €98.54 million of bonds in offer
|
10/14/2011 | AGLM | Fannie Mae plans to redeem $1.98 billion of medium-term notes
|
10/14/2011 | LMMU | Metropolitan Transportation Authority, N.Y.'s 2008B-1 revenue bonds have mandatory tender
|
10/14/2011 | LM | Annington to redeem £21.36 million of medium-term notes due 2023
|
10/14/2011 | CVLM | EarthLink calls 3.25% convertibles due 2026, offers conversion
|
10/14/2011 | LMMU | Multnomah County, Ore., calls some Mirabella at South Waterfront bonds
|
10/14/2011 | LM | Kingfisher buys back £91.18 million of 5.625% bonds due 2014
|
10/13/2011 | EMLM | Singapore's BW Group extends, amends 6 5/8% notes consent solicitation
|
10/13/2011 | LMMU | Philadelphia hospitals authority calls 2008 Children's Hospital bonds
|
10/13/2011 | AGLM | FFCB calls $100 million consolidated systemwide bonds at par
|
10/13/2011 | HYLM | Vangent calls $190 million 9 5/8% senior subordinated notes due 2015
|
10/13/2011 | LM | AIB Mortgage buys back €150 million of series 11 floaters due 2018
|
10/13/2011 | LMMU | Portland, Ore., defeases 2001A convention center revenue bonds
|
10/13/2011 | CVLM | Diodes to redeem all $236,000 of 2.25% convertible notes due 2026
|
10/13/2011 | IGLMPF | SunTrust Banks to remarket, repurchase junior subordinated notes
|
10/13/2011 | LM | Aviva to redeem its €800 million of 5.75% subordinated notes due 2021
|
10/13/2011 | LMMU | Regional Transportation Authority, Ill., calls some 1990A G.O. bonds
|
10/13/2011 | CVLM | Microsemi again extends offer for Zarlink's 6% convertibles, plans to redeem remaining notes at par
|
10/13/2011 | LMMU | Denver calls portion of 2001A airport system revenue refunding bonds
|
10/13/2011 | LM | Danske Bank repurchases €30 million of its 2.305% notes due 2012
|
10/13/2011 | CVLM | Textron gets tenders for $224.7 million of 4.5% convertibles due 2013
|
10/13/2011 | LMMU | Greater Orlando Aviation, Fla., defeases 2002 airport facilities bonds
|
10/13/2011 | LM | SBAB Bank buys back Kr 565 million of notes due Nov. 17
|
10/13/2011 | DDHYLM | Eitzen Maritime gets bondholder approval for restructuring proposal
|
10/13/2011 | LMMU | Palm Beach County, Fla., calls $64.57 million convention center bonds
|
10/13/2011 | HYLM | Hovnanian extends early tender deadline of private exchange offers
|
10/12/2011 | IGLM | MDC Holdings calls its $176.70 million of 5.5% senior notes due 2013
|
10/12/2011 | LM | Co-operative Bank repurchases all £1.4 billion Moorland covered bonds
|
10/12/2011 | DDHYLM | PetroMena bondholders to vote on plan of reorganization on Oct. 19
|
10/12/2011 | LMMU | Lancaster Port Authority, Ohio, calls some 2008 gas supply bonds
|
10/12/2011 | ABLM | AerCo launches consent solicitation for five classes of notes
|
10/12/2011 | IGLM | Mosaic to redeem its $469 million of 7.625% senior notes due 2016
|
10/12/2011 | HYLM | Aker Drilling bondholders given change-of-control put option at par
|
10/12/2011 | EMHYLM | China's Yuzhou Properties buys back portion of 131/2% senior notes
|
10/12/2011 | LMMU | Nashville and Davidson County, Tenn., health board calls portion of Lipscomb University bonds
|
10/12/2011 | AGLM | FFCB calls $98 million consolidated systemwide bonds at par
|
10/12/2011 | LMMU | California Communities to redeem some 2010 gas supply revenue bonds
|
10/12/2011 | HYLM | Rocksource does not get OK to amend terms of floaters due 2012
|
10/12/2011 | EMLM | Argentina's Autopistas del Sol buys back $1.56 million step-up notes
|
10/12/2011 | LMMU | New Mexico Municipal Energy Acquisition calls some gas supply bonds
|
10/12/2011 | CAIGLM | Canadian National Railway unit gets tenders for 76% of 6.375% notes
|
10/12/2011 | LMMU | Colorado Health calls $60 million of 2008C-8 Catholic Health bonds
|
10/12/2011 | IGLM | AT&T redeems $1.5 billion of 7.3% senior notes due 2011 at 100.651
|
10/12/2011 | EMLM | Bulgaria's Petrol buys €11.78 million 8 3/8% notes via tender offer
|
10/12/2011 | LMMU | Residential Care of Fulton County, Ga., calls some Lenbrook bonds
|
10/12/2011 | CAIGLM | Canadian Pacific Railway holders tender 82.86% of 6.25% notes
|
10/12/2011 | LMMU | Corporate Finance calls some Central Utah Medical Center notes
|
10/12/2011 | IGLM | Alltel Georgia to redeem $10 million of its 6.5% debentures due 2013
|
10/12/2011 | EMLM | Malaysia's MAA redeems remaining RM 140 million MTNs, cancels program
|
10/12/2011 | LMMU | University of Colorado Hospital calls $65.36 million of 2001A bonds
|
10/12/2011 | CVLM | Textron prices tender offer for any and all 4.5% convertibles
|
10/12/2011 | LMMU | Johnson City, Tenn., health board revises redemption amount of Mountain States Health bonds
|
10/11/2011 | LMPF | Five Mile to tender for Prime Group Realty 9% preferreds after merger
|
10/11/2011 | IGLM | Swedbank buys back its $127.5 million of floating rate notes due 2016
|
10/11/2011 | EMLM | Philippines begins Dutch auction tender offer for 16 series of bonds
|
10/11/2011 | AGLM | FFCB calls $125 million consolidated systemwide bonds at par
|
10/11/2011 | LM | Daylight Energy convertibles to be purchased or converted under Sinopec merger agreement
|
10/11/2011 | EMLM | Renaissance buys back $35 million loan participation notes due 2013
|
10/11/2011 | AGLM | Fannie Mae to redeem $1.76 billion of notes at par on Oct. 21
|
10/11/2011 | LMMU | Indiana to redeem all $53.88 million series 2001 health systems bonds
|
10/11/2011 | LM | Commonwealth Bank of Australia buys back €2.73 million notes due 2013
|
10/11/2011 | CAHYLM | Crystallex to retire $100 million 9 3/8% notes with units proceeds
|
10/11/2011 | LMMU | New Jersey Health to redeem $30.29 million series 2001A revenue bonds
|
10/11/2011 | LM | Renewable Energy seeks bondholder consent to shut down REC ScanCell
|
10/11/2011 | EMIGLM | Banco de Credito del Peru gets tenders for $114.44 million 6.95% notes through early deadline
|
10/11/2011 | LMMU | Wisconsin Health defeases $9.07 million of series 2003 revenue bonds
|
10/11/2011 | HYLM | DigitalGlobe holders tender 100% of 101/2% notes by consent deadline
|
10/11/2011 | EMLM | Israel Electric seeks holder OK to issue NIS 1.5 billion more notes
|
10/10/2011 | CVLM | Jazz Technologies redeems all remaining 8% exchangeables due 2011
|
10/7/2011 | LMMU | Kent Hospital Finance, Mich., calls $75 million Spectrum Health bonds
|
10/7/2011 | AGLM | Fannie Mae plans to redeem $2.53 billion medium-term notes at par
|
10/7/2011 | LMMU | Montgomery County, Tenn., calls some 2004 municipal bond fund bonds
|
10/7/2011 | HYLM | FBL Financial to redeem $175 million of notes at make-whole prices
|
10/7/2011 | LMMU | New York's Triborough Bridge and Tunnel calls some revenue bonds
|
10/7/2011 | HYLM | NV Energy calls $191.5 million of 63/4% notes for Nov. 7 redemption
|
10/7/2011 | LMMU | Salt River Project, Ariz., refunds 2002 electric system revenue bonds
|
10/7/2011 | IGLM | NBCUniversal gets consents to amend, guarantee Universal Orlando notes
|
10/7/2011 | LMMU | San Antonio defeases, calls 2002, 2002-A water system revenue bonds
|
10/7/2011 | LMMU | Charleston County School District, S.C., defeases 2004A G.O. bonds
|
10/7/2011 | AGLM | FFCB calls $60 million consolidated systemwide bonds at par
|
10/6/2011 | LMMU | Los Angeles MTA calls $156.11 million tax revenue refunding bonds
|
10/6/2011 | HYLM | American Shipping gets consent to extend PIK floaters by six years
|
10/6/2011 | LMMU | Metropolitan Water District of Southern California bonds have new tender period
|
10/6/2011 | HYLM | DigitalGlobe holders deliver needed consents to amend its 101/2% notes
|
10/6/2011 | AGLM | FFCB calls $170 million consolidated systemwide bonds at par
|
10/6/2011 | LMMU | New York Power Authority calls $77.22 million of 2000 A revenue bonds
|
10/6/2011 | IGLM | Archer-Daniels-Midland gets total tenders for $403.79 million notes
|
10/6/2011 | CVLM | McMoRan holders exchange 91.3% of 5.25% convertibles due 2011
|
10/6/2011 | LMMU | Sacramento to redeem 2002 series Q electric revenue bonds at par
|
10/6/2011 | LMMU | Catholic Health Services of Long Island may refund some Dasny bonds
|
10/6/2011 | LM | Danske Bank redeems SEK 84 million of floating-rate notes due 2012
|
10/6/2011 | LMMU | Wyoming Community Development's mortgage bonds have mandatory tender
|
10/6/2011 | LMMU | Denver calls three series of airport system revenue refunding bonds
|
10/6/2011 | LM | Eyrir Invest buys back ISK 325 million bonds, reaches loan agreement
|
10/5/2011 | HYLM | Polarcus to call $55 million 13% first-lien bonds using loan proceeds
|
10/5/2011 | CVLM | United Microelectronics buys back $21 million convertibles due 2016
|
10/5/2011 | LMMU | Riverside, Calif., school district defeases $60 million G.O. bonds
|
10/5/2011 | IGLM | Beam to redeem its $400 million of 3% notes due 2012
|
10/5/2011 | DDHYLM | Technicolor seeks consents to amend credit documents for flexibility
|
10/5/2011 | AGLM | FFCB calls $50 million consolidated systemwide bonds at par
|
10/5/2011 | LMMU | California Infrastructure calls portion of Gladstone Institutes bonds
|
10/5/2011 | EMLM | Bulgaria's Petrol gets consents to amend 8 3/8% notes, accepts tenders
|
10/5/2011 | AGLM | Fannie Mae plans to redeem $905 million medium-term notes
|
10/5/2011 | LMMU | Florida Board of Education calls four series of capital outlay bonds
|
10/5/2011 | EMLM | HSBC Middle East repurchases $82.42 million of notes
|
10/5/2011 | CVLM | Aquarius Platinum repurchases $2 million 4% convertibles due 2015
|
10/5/2011 | LMMU | Hanover County, Va., Economic Development calls Bon Secours bonds
|
10/5/2011 | EMLM | Malaysia's Puncak Niaga to redeem RM 54.69 million notes on Nov. 18
|
10/5/2011 | CVLM | Firstsource Solutions repurchases $21 million of 0% convertible bonds
|
10/5/2011 | LMMU | JEA, Fla., to redeem St. Johns River Power refunding revenue bonds
|
10/4/2011 | LMMU | Battery Park to redeem $1.35 million 2003C-3 auction-rate bonds
|
10/4/2011 | LM | Sandvik scraps tender offer for 6.875% notes, fails to meet condition
|
10/4/2011 | CAHYLM | AbitibiBowater calls $85 million 101/4% senior secured notes on Nov. 4
|
10/4/2011 | LMMU | Suffolk County to redeem all $4.34 million series 2002A revenue bonds
|
10/4/2011 | ABLM | Claudius repurchases $164 million leveraged credit risk notes due 2015
|
10/4/2011 | LMMU | California authority redeems all 1996 series A pollution control bonds
|
10/4/2011 | HYLM | Banco Comercial Portugues prolongs exchange for notes, preferreds
|
10/4/2011 | CVDDLM | Horizon Lines completes exchange offer for 4.25% convertible notes
|
10/4/2011 | ABLM | Clydesdale Strategic asks holders to OK investment manager change
|
10/4/2011 | LMMU | Connecticut calls all $308.1 million of 2001 series D-2 G.O. bonds
|
10/4/2011 | HYLM | Diversey to redeem 101/2%, 81/4% notes; 35% will be redeemed Nov. 2
|
10/4/2011 | CVLM | Superior Plus to redeem C$75 million of 5.75% convertibles due 2012
|
10/4/2011 | ABLM | Hillenbrand redeems £18 million repackaged notes due July 2014
|
10/4/2011 | LMMU | Massachusetts HEFA will make $15 million of bids on 2005 revenue bonds
|
10/4/2011 | HYLM | Level 3 calls $1.35 billion of Global Crossing notes following merger
|
10/4/2011 | DDHYLM | Eitzen Maritime to seek bondholder approval for restructuring proposal
|
10/4/2011 | AGLM | FFCB calls $627 million consolidated systemwide bonds at par
|
10/4/2011 | LMMU | Michigan authority redeems all $9.44 million of 2001 revenue bonds
|
10/4/2011 | HYLMPV | NuCO2 again extends consent solicitation for four note series
|
10/4/2011 | EMLM | Argentina's Autopistas del Sol buys back $171,617 of notes due 2017
|
10/4/2011 | AGLM | Fannie Mae plans to redeem $1.08 billion in medium-term notes
|
10/4/2011 | LMMU | Sacramento defeases $150.57 million electric revenue refunding bonds
|
10/3/2011 | LMMU | Washington Health calls $7.17 million bonds for optional redemption
|
10/3/2011 | AGLM | Fannie Mae plans to redeem $850 million medium-term notes
|
10/3/2011 | LMMU | Iowa Finance calls $8.45 million 2000A revenue bonds due 2018
|
10/3/2011 | HYLM | Pegasus Solutions extends consent solicitation for 13% PIK notes
|
10/3/2011 | CAHYLM | First Trust Advantaged Short Duration High Yield fund plans normal course bid for portion of units
|
10/3/2011 | LMMU | Maryland calls $3.74 million of revenue bonds for optional redemption
|
10/3/2011 | HYLM | Rocksource seeks bondholder OK to amend terms of floaters due 2012
|
10/3/2011 | EMLM | Brasil Telecom asks debenture holders to approve change to guarantee
|
10/3/2011 | LMMU | Sabine River Authority, Texas' TXU bonds have mandatory tender
|
10/3/2011 | IGLM | DTE Energy to redeem $5.98 million of senior secured bonds due 2024
|
10/3/2011 | HYLM | DigitalGlobe extends tender offer for 101/2% notes, changes pricing
|
10/3/2011 | LMMU | Sacramento to redeem $9.37 million of lease revenue refunding bonds
|
10/3/2011 | LMMU | Brazos River Authority, Texas' TXU bonds have mandatory tender
|
10/3/2011 | HYLM | Drummond starts cash tender for any and all 9% notes, 7 3/8% notes
|
10/3/2011 | LMMU | San Francisco airport commission's $154.21 million second series bonds have mandatory tender
|
10/3/2011 | ABLM | Fulham Road Finance to redeem €255 million of its floating rate notes
|
10/3/2011 | LMMU | Illinois redeems $12 million of series 2002 medium term revenue bonds
|
10/3/2011 | HYLM | Eurotunnel buys back €110 million of sterling, euro bonds at discount
|
9/30/2011 | HYLM | Navistar calls $100 million 81/4% senior notes due 2021 in two stages
|
9/30/2011 | EMLM | Argentina's Central Termica Guemes buys back $18,000 series B notes
|
9/30/2011 | LMMU | Salem, N.J., Pollution Control PSE&G bonds have mandatory tender
|
9/30/2011 | AGLM | FFCB calls $150 million consolidated systemwide bonds at par
|
9/30/2011 | IGLM | Qwest issues call to redeem $950 million of 8.875% notes due 2012
|
9/30/2011 | EMLM | Singapore's BW Group solicits consents to amend 6 5/8% notes due 2017
|
9/30/2011 | LMMU | State of Illinois to redeem $104 million general obligation bonds
|
9/30/2011 | AGLM | Fannie Mae plans to redeem $325 million of its medium term-notes
|
9/30/2011 | LMMU | California to redeem $1.23 billion of general obligation bonds
|
9/30/2011 | LM | Telecom collects consents for nearly all New Zealand dollar bonds
|
9/30/2011 | LMPP | Ku6 Media redeems its $50 million of senior convertible bonds
|
9/30/2011 | CVLM | Armor Holdings calls 2% senior subordinated convertibles due 2024
|
9/30/2011 | LMMU | Mount Clemens, Mich., school district calls $52.7 million G.O. bonds
|
9/30/2011 | HYLM | American Shipping details Aker offer to purchase PIK floaters at 40
|
9/30/2011 | CVLM | Quicksilver holders may put back 1.875% convertibles at par on Nov. 1
|
9/30/2011 | LMMU | New York City Transitional Finance calls all 2002B future tax bonds
|
9/30/2011 | HYLM | Banco Comercial Portugues extends exchange for notes, preferreds
|
9/30/2011 | EMIGLM | Banco de Credito del Peru prices exchange offer for 6.95% notes
|
9/30/2011 | LMMU | Richland County, S.C., school district defeases $206.42 million bonds
|
9/30/2011 | ABLM | Celtic Residential Irish Mortgage 13 to redeem all outstanding notes
|
9/29/2011 | LMMU | Missouri public buildings board calls $126.85 million of 2001A bonds
|
9/29/2011 | LM | F. van Lanschot Bankiers begins tender offers for perpetual securities
|
9/29/2011 | LMMU | Nashville and Davidson County, Tenn., defeases four series G.O. bonds
|
9/29/2011 | LM | Sandvik accepts €199.25 million 6.875% notes for tender; sets pricing
|
9/29/2011 | LMMU | New York City Transitional Finance's 2003A future tax secured bonds have mandatory tender
|
9/29/2011 | HYLM | Hovnanian begins private exchange offers for seven series of notes
|
9/29/2011 | LMMU | Sacramento calls $134 million of 1995 taxable pension funding bonds
|
9/29/2011 | IGLMPF | Xcel Energy to pay $108 million to redeem all cumulative preferreds
|
9/29/2011 | LMMU | Washington Health Care calls $66.21 million Seattle Children's bonds
|
9/29/2011 | LMMU | Florida Board of Education refunds two series of lottery revenue bonds
|
9/29/2011 | EMLM | Kazakhstan's Halyk Savings to repay KZT 10 billion bonds on Oct. 9
|
9/28/2011 | CVDDLM | Horizon Lines again extends exchange offer for 4.25% convertibles
|
9/28/2011 | HYLM | I.M. Skaugen wraps NOK 150 million bond exchange, purchase offer
|
9/28/2011 | CVLM | New South Wales Treasury buys back A$642.16 million of exchangeables
|
9/28/2011 | ABLM | A-Best calls €131.06 million of notes from three series for redemption
|
9/28/2011 | IGLM | Man Group accepts €197.05 million 6% notes, $59.2 million 6.5% notes
|
9/28/2011 | EMIGLM | HSBC Bank Middle East repurchases $2 million of notes on Sept. 23
|
9/28/2011 | AGLM | FFCB calls $70 million consolidated systemwide bonds at par
|
9/28/2011 | LMMU | New York Liberty calls $2.59 billion World Trade Center revenue bonds
|
9/28/2011 | EMLM | Philippines' Ayala announces early redemption of 6.825% bonds
|
9/28/2011 | AGLM | Fannie Mae plans to redeem $250 million medium-term notes
|
9/28/2011 | LMMU | Washington Health Care Facilities to redeem Seattle Children's bonds
|
9/28/2011 | EMLM | Slovenia's Abanka Vipa accepts €149.41 million notes in tender offer
|
9/28/2011 | BKCVLM | Inland Real Estate may buy back convertibles, pay down line of credit
|
9/28/2011 | LM | Finmeccanica buys back €73.85 million of 8.125% notes due 2013
|
9/27/2011 | LMMU | Regional Airports calls $88 million 1996 6.35% refunding revenue bonds
|
9/27/2011 | LM | Michelin buys back €500 million of subordinated notes due 2033
|
9/27/2011 | AGLM | FFCB calls $1.25 billion consolidated systemwide bonds at par
|
9/27/2011 | LM | Suncorp-Metway calls its €150 million subordinated notes due 2016
|
9/27/2011 | AGLM | Fannie Mae plans to redeem $550 million medium-term notes
|
9/27/2011 | HYLM | American Shipping to seek approval for amendments to bonds due 2012; Aker offers to purchase bonds
|
9/27/2011 | CALM | Canadian Pacific Railway unit extends consent date for 6.25% notes
|
9/27/2011 | HYLMPF | Platinum to use IPO proceeds to redeem 141/4% notes due 2015, preferreds
|
9/27/2011 | CVLM | Verenium repurchases remaining 9% secured convertible notes
|
9/27/2011 | HYLMPV | NuCO2 subsidiaries extend consent solicitation for four note series
|
9/27/2011 | EMIGLM | Banco de Credito del Peru starts exchange offer for 6.95% notes
|
9/26/2011 | CVLM | Far East Consortium buys back HK$20 million of 3.625% convertibles
|
9/26/2011 | LMPF | Comerica calls $31.25 million in Sterling trust preferred securities
|
9/26/2011 | LMMU | Connecticut Development calls all $245.5 million series 1993A bonds
|
9/26/2011 | HYLM | Sithe/Independence holders tender 99.7% of 9% bonds by expiration date
|
9/26/2011 | CVLM | Philippine Long Distance calls 10% cumulative convertible preferreds
|
9/26/2011 | AGLM | Fannie Mae plans to redeem $175 million medium-term notes
|
9/26/2011 | LMMU | Connecticut Health and Educational Facilities calls series A, D bonds
|
9/26/2011 | IGLM | SunTrust gets needed consents to terminate capital covenants
|
9/26/2011 | EMLM | Banco Mercantil do Brasil redeems $125 million 10 5/8% notes due 2016
|
9/26/2011 | CAIGLM | Canadian National Railway prolongs consent deadline in tender offer for 6.375% notes
|
9/26/2011 | LMMU | Oklahoma authority to redeem $106.16 million 2006C revenue bonds
|
9/26/2011 | LMMU | Birmingham to redeem $66.71 million 2001 A, C G.O. refunding warrants
|
9/26/2011 | LM | Land Securities repurchases £5,000 of 5.391% class A5 notes due 2027
|
9/26/2011 | CVDDLM | Horizon Lines extends exchange offer for 4.25% convertibles due 2012
|
9/26/2011 | LMMU | Palm Beach County, Fla., calls all $64.01 million refunding bonds
|
9/26/2011 | LMMU | Chicago Park District to redeem in full $75.34 million tax park bonds
|
9/26/2011 | LM | UBM repays £75 million floating-rate reset bonds due 2028
|
9/26/2011 | CVDDLM | Shah Alloys won't redeem $10 million of convertible bonds at maturity
|
9/26/2011 | LMMUPF | BlackRock MuniYield Quality Fund to redeem $35.33 million preferreds
|
9/26/2011 | LMMU | Columbus, Ohio, defeases $82.03 million of 2004-1, 2004-2 tax bonds
|
9/26/2011 | HYLM | ACCO Brands repurchases $48.9 million of 7 5/8% and 10 5/8% notes
|
9/23/2011 | EMLM | Kazakhstan's Halyk Savings plans to call KZT 10 billion bonds due 2017
|
9/23/2011 | CVEMLM | LDK buys back $21.5 million convertibles due 2013, notes due 2014
|
9/23/2011 | LMMU | West Virginia Hospital Finance calls some Pallottine Health bonds
|
9/23/2011 | LMMU | Jefferson Parish Hospital District, La., calls outstanding 2008B bonds
|
9/23/2011 | LM | Nykredit Bank to redeem subordinate capital securities, loan
|
9/23/2011 | CVLM | AU Optronics buys back $100 million of 0% convertible bonds due 2015
|
9/23/2011 | LMMU | Metropolitan Washington Airports calls some 1998B airport bonds
|
9/23/2011 | LM | Telecom CHF, sterling noteholders approve resolutions at meeting
|
9/23/2011 | CVLM | CSX says zero-coupon convertibles are putable; yield to maturity reset
|
9/23/2011 | LMMU | Phoenix Industrial Development may tender for Bank One Ballpark bonds
|
9/23/2011 | ABLM | Aeolus CDO noteholders approve new Sept. 30, 2011 maturity date
|
9/23/2011 | HYLM | I.M. Skaugen offers to pay cash, notes for NOK 150 million bonds
|
9/23/2011 | DDHYLM | Bank of Ireland accepts £29.1 million of 13 3/8% bonds in tender offer
|
9/23/2011 | LMMU | Texas Public Finance redeems portion of 2010C unemployment bonds
|
9/23/2011 | AGLM | FFCB calls $225 million consolidated systemwide bonds at par
|
9/23/2011 | HYLM | Platinum Energy gets consents needed to sell more 141/4% notes
|
9/23/2011 | EMLM | India's Fame India redeems $13 million series A and series B bonds
|
9/23/2011 | AGLM | Fannie Mae plans to redeem $685.3 million medium-term notes
|
9/23/2011 | LMMU | Touro Infirmary accepts all tendered Louisiana Public Facilities bonds
|
9/23/2011 | LMMU | Colorado Springs, Colo., buys $75 million 2007A utilities system bonds
|
9/22/2011 | CVLM | United Microelectronics buys back $9 million convertibles due 2016
|
9/22/2011 | ABLM | ZOO ABS buys back €15.86 million class A-1B notes at 70 in tender offer
|
9/22/2011 | LMMU | Colorado Springs, Colo., buys $66.46 million utilities system bonds
|
9/22/2011 | EMLM | Russia's Nomos Capital to redeem $125 million 93/4% loan notes due 2016
|
9/22/2011 | AGLM | FFCB calls $445 million consolidated systemwide bonds at par
|
9/22/2011 | LMMU | Mesa County Valley School District, Colo., defeases some G.O. bonds
|
9/22/2011 | LM | Sandvik starts tender offer for €200 million of 6.875% notes due 2014
|
9/22/2011 | CVDDLM | Lanesborough REIT seeks approval to extend, amend 7.5% convertibles
|
9/22/2011 | HYLM | Banco Comercial Portugues offers to exchange step-up notes, preferreds
|
9/22/2011 | CVLM | Microsemi increases, extends offer for Zarlink's 6% convertibles
|
9/22/2011 | HYLM | Mac-Gray to redeem $50 million of 7 5/8% notes to lower interest costs
|
9/22/2011 | CVLM | National Bank of Abu Dhabi buys back AED 235 million convertibles
|
9/22/2011 | IGLM | Archer-Daniels-Midland gets tenders for $403.09 million notes so far
|
9/21/2011 | HYLM | DigitalGlobe tenders for any and all $355 million 101/2% secured notes
|
9/21/2011 | ABLMPF | Citigroup accepts tenders for 20.38% of Pro Rata Funding preferreds
|
9/21/2011 | LMMU | Colorado Health Facilities calls some Boulder Community Hospital bonds
|
9/21/2011 | HYLM | Head and HTM Sport GmbH to redeem all senior secured notes due 2012
|
9/21/2011 | AGLM | FFCB calls $390 million consolidated systemwide bonds at par
|
9/21/2011 | LMMU | Dasny plans to defease, call 1998 Hospital for Special Surgery bonds
|
9/21/2011 | HYLM | Petrohawk starts change-of-control offer for its 7 7/8%, 101/2% notes
|
9/21/2011 | AGLM | Fannie Mae plans to redeem $175 million medium-term notes at par
|
9/21/2011 | LMMU | Greater Orlando Aviation, Fla., calls $69.53 million of revenue bonds
|
9/21/2011 | IGLM | Archer-Daniels-Midland sets pricing in exchange for six notes series
|
9/21/2011 | EMHYLM | Thailand's True Move gets needed consents to amend 103/4%, 10 3/8% notes
|
9/21/2011 | LMMU | Johnson City, Tenn., health board calls Mountain States Health bonds
|
9/21/2011 | IGLM | ITT calls 4.9% senior notes due 2014, 6.125% senior notes due 2019
|
9/21/2011 | LM | Telecom increases consent payment for New Zealand dollar bonds
|
9/21/2011 | LMMU | Panhandle-Plains authority, Texas, calls 16 series student loan bonds
|
9/21/2011 | IGLM | Man sets minimum spread, expected acceptance amount for 6.5% notes
|
9/20/2011 | CALM | TD Bank calls all outstanding 4.87% subordinated debentures due 2016
|
9/20/2011 | IGLM | M.D.C. Holdings calls all outstanding 7% senior notes due 2012
|
9/20/2011 | CVLM | Nasdaq OMX tenders for any and all $428 million 2.5% convertibles
|
9/20/2011 | IGLM | National Rural calls $250 million of 7.25% medium-term notes due 2012
|
9/20/2011 | CVLM | National Retail Properties says no 3.95% convertibles put back
|
9/20/2011 | LMMU | California redeems $1.69 million American Baptist Homes revenue bonds
|
9/20/2011 | EMLM | Plaza Centers buys back NIS 50.08 million series A and series B bonds
|
9/20/2011 | AGLM | FFCB calls $443 million consolidated systemwide bonds at par
|
9/20/2011 | LMMU | New Hampshire to redeem all $40 million of 2001 series A G.O. bonds
|
9/20/2011 | HYLM | Morris Publishing Group redeems $3.45 million floaters due 2014
|
9/20/2011 | AGLM | Fannie Mae plans to redeem $5.14 billion medium-term notes at par
|
9/20/2011 | LMMU | Wisconsin Health to redeem $82.91 million of series 2001 revenue bonds
|
9/20/2011 | IGLM | ITT begins tender offer for up to $100 million of 7.4% debentures
|
9/19/2011 | LMMU | Jacksonville calls $1.72 million 2008A revenue bonds due 2034
|
9/19/2011 | AGLM | Fannie Mae plans to redeem $2.15 billion medium-term notes at par
|
9/19/2011 | LMMU | Ventura County College District defeases $51.68 million of G.O. bonds
|
9/19/2011 | CALM | TD Bank to redeem C$550 million in class A preferreds, series M and N
|
9/19/2011 | LMPF | Unilever begins tender offer for 6%, 7% cumulative preference shares
|
9/19/2011 | EMLM | Slovenia's Abanka Vipa begins tender offer for floaters due 2012
|
9/19/2011 | HYLM | Omnicare to redeem all $100 million of 6 7/8% senior notes due 2015
|
9/19/2011 | LMMU | Florida Rural Utility redeems $22.99 million of 2008B revenue notes
|
9/19/2011 | ABLMPF | Citigroup's tender for Pro Rata Funding's preferreds extended again
|
9/16/2011 | CVDDLM | Horizon Lines revises exchange offer documents to address SEC comment
|
9/16/2011 | LMMUPF | BlackRock Municipal Bond Investment calls $17.85 million preferreds
|
9/16/2011 | ABLMPF | Citigroup again extends tender for Pro Rata Funding's preferreds
|
9/16/2011 | LMMU | Dasny to redeem $122.77 million Lenox Hill Hospital revenue bonds
|
9/16/2011 | LM | Telecom obtains needed consents for notes; meeting set for Sept. 22
|
9/16/2011 | CVLM | Corporate Office Properties says holders put all 3.5% exchangeables
|
9/16/2011 | LMMUPF | BlackRock Municipal Income Investment calls $34.25 million preferreds
|
9/16/2011 | AGIGLM | Tennessee Valley Authority to redeem its 5% electronotes due 2023
|
9/16/2011 | LMMU | Florida Rural Utility calls $22.98 million of public projects bonds
|
9/16/2011 | HYLM | Elan subsidiaries offer to buy back four note series, call floaters
|
9/16/2011 | CVLM | Willbros Group gets consents needed to amend 6.5% convertibles
|
9/16/2011 | LMMUPF | BlackRock New York Municipal Bond calls $22.13 million preferreds
|
9/16/2011 | AGLM | FFCB calls $97 million consolidated systemwide bonds at par
|
9/16/2011 | LMMU | Grant County, Wash., utility district defeases series 2001-H bonds
|
9/16/2011 | IGLMMUPF | BlackRock MuniYield Quality Fund to redeem $176.63 million preferreds
|
9/16/2011 | DDHYLM | Dynegy starts exchange offers for up to $1.25 billion of securities
|
9/16/2011 | LMMUPF | BlackRock New York Municipal Income calls $44.48 million preferreds
|
9/16/2011 | CALM | Canadian Swift Master calls C$1.7 billion receivables-backed floaters
|
9/16/2011 | LMMU | Massachusetts HEFA calls $119.28 million of CareGroup revenue bonds
|
9/16/2011 | ABLM | ALPS Capital II calls $370 million of notes from four series
|
9/16/2011 | LMMU | California Infrastructure calls portion of Gladstone Institutes bonds
|
9/16/2011 | EMHYLM | Singapore's Altus Capital buys back $7.91 million of 12 7/8% notes
|
9/16/2011 | LMMUPF | BlackRock New York Municipal Income calls $40.58 million preferreds
|
9/16/2011 | CALM | Energy Split sets redemption prices for shares, class B preferreds
|
9/16/2011 | LMMU | Tampa, Fla., calls 2001A water and sewer refunding revenue bonds
|
9/16/2011 | ABLM | Citigroup begins tender offer for Skytop's $13 million income notes
|
9/16/2011 | LMMU | Colorado Springs, Colo., purchases tendered utilities system bonds
|
9/16/2011 | EMHYLM | Turkey's Vestel Electronics repurchases $67.24 million 83/4% notes
|
9/15/2011 | LM | Standard Life gets tenders for €687.22 million 6.375% fixed/floaters
|
9/15/2011 | AGLM | FFCB calls $24 million consolidated systemwide bonds at par
|
9/15/2011 | LMMU | Livermore-Amador Valley Water Management, Calif., calls $121.33 million sewer revenue bonds
|
9/15/2011 | HYLM | CapitalSource 123/4% noteholders give OK to increase share repurchases
|
9/15/2011 | CVLM | Dixie to repurchase remaining $9.7 million 7% convertibles due 2012
|
9/15/2011 | LMMU | Michigan building authority calls $137.52 million 2001I, II bonds
|
9/15/2011 | HYLM | Chart calls its $163.2 million 9 1/8% senior subordinated notes
|
9/15/2011 | CVLM | ViroPharma may buy back another $200 million stock or 2% convertibles
|
9/15/2011 | LMMU | Oklahoma Turnpike Authority calls $212.32 million 2006 revenue bonds
|
9/15/2011 | ABLM | Khamsin redeems €1.5 million class C2 long-short notes due 2013
|
9/15/2011 | HYLM | Georgia Gulf calls senior subordinated notes due 2016
|
9/15/2011 | EMLM | Malaysia's Tenaga Nasional redeems class B preference shares
|
9/15/2011 | ABLM | Prometheus repurchases €5 million class 2007-1ED notes due 2012
|
9/15/2011 | HYLM | Omnicare to redeem all 6 7/8% notes due 2015 with new notes proceeds
|
9/15/2011 | EMLM | Singapore's United Overseas Bank plans to call S$1.3 billion notes
|
9/15/2011 | ABLMPF | Citigroup extends tender offer for Pro Rata Funding's preferred stock
|
9/15/2011 | IGLM | Norfolk Southern issues $600 million 4.837% notes due 2041, 6% notes due 2111 in exchange offer
|
9/14/2011 | AGLM | FFCB calls $150 million consolidated systemwide bonds at par
|
9/14/2011 | LMMU | Akron, Bath, Copley Hospital District, Ohio, calls some Summa bonds
|
9/14/2011 | CVLM | Textron launches cash tender offer for any and all 4.5% convertibles
|
9/14/2011 | LMMU | California Municipal Finance's $137.65 million Republic Services bonds have mandatory tender
|
9/14/2011 | LM | Telecom Corp. of New Zealand has needed consents for two note series
|
9/14/2011 | ABLM | Fastnet Securities 7 gets consent to amend mortgage-backed notes
|
9/14/2011 | HYLM | CIT Group to redeem remaining $460 million of 7% second-lien notes
|
9/14/2011 | ABLM | Octagon redeems all €303 million series 2003-4 floaters due 2045
|
9/14/2011 | HYLM | Citadel now to redeem 73/4% senior notes due 2018 on Sept. 16
|
9/14/2011 | ABLM | Primus Multi Haus to buy back €126.65 million floaters in six series
|
9/14/2011 | IGLM | Aflac terminates exchange offer for $850 million of 8.5% notes
|
9/13/2011 | LMMU | Colorado Springs defeases some 2001A, 2003A refunding revenue bonds
|
9/13/2011 | CVLM | Immofinanz 7% bond convertible until Oct. 6; price to be adjusted
|
9/13/2011 | AGLM | FFCB calls $857 million consolidated systemwide bonds at par
|
9/13/2011 | LMMU | Kentucky to redeem $54.87 million of its Project No. 72 revenue bonds
|
9/13/2011 | CVLM | Mission NewEnergy buys back A$15 million convertibles for A$5 million
|
9/13/2011 | AGLM | Fannie Mae plans to redeem $1.5 billion medium-term notes at par
|
9/13/2011 | CVLM | Willbros' consent solicitation for 6.5% convertibles to end Friday
|
9/13/2011 | CAIGLM | Canadian National Railway starts tender offer for 6.375% notes
|
9/13/2011 | EMLM | Bulgaria's Petrol tenders, solicits consents for 8 3/8% notes
|
9/13/2011 | CAIGLM | Canadian Pacific Railway unit begins tender offer for 6.25% notes
|
9/13/2011 | HYLM | Qwest to redeem some 8 7/8% notes due 2012 with new notes proceeds
|
9/13/2011 | CALM | Brookfield needs holders of bonds, preferreds to approve combination
|
9/12/2011 | LMMU | Michigan authority to redeem portion of 2001 revenue bonds
|
9/12/2011 | CVLM | BioMarin issues shares, cash for $19.6 million of 2.5% convertibles
|
9/12/2011 | IGLM | SunTrust Banks seeks consents to kill capital covenants under 6% notes
|
9/12/2011 | LM | Elm buys back A$9.24 million series 127 zero-coupon notes due 2013
|
9/12/2011 | CVLM | China Sunergy repurchases $16.5 million 4.75% convertibles due 2013
|
9/12/2011 | LMMU | California plans to redeem $47.3 million American Baptist Homes bonds
|
9/12/2011 | LM | Nationwide Building Society to redeem £75 million notes on Oct. 10
|
9/12/2011 | CVLM | LabCorp holders put back no 0% convertible subordinated notes due 2021
|
9/12/2011 | LMMU | Denver to redeem $5.06 million tax increment revenue refunding bonds
|
9/12/2011 | LM | Tube Lines buys back £95.26 million class A-2C 5.517% notes due 2031
|
9/12/2011 | EMHYLM | Thailand's PTT Aromatics, PTT Chemical to hold joint meeting on Oct. 18 for 51/2% noteholders
|
9/12/2011 | LMMU | Florida redeems $140.46 million of series 2001A, 2001B Forever bonds
|
9/12/2011 | HYLMPV | NuCO2 subsidiaries begin consent solicitation for four note series
|
9/12/2011 | EMLM | Internet Gold investors exercise put for NIS 242,561 series A bonds
|
9/12/2011 | LMMU | Illinois to redeem $190.83 million of pollution control revenue bonds
|
9/12/2011 | AGLM | Fannie Mae plans to redeem $132 million medium-term notes at par
|
9/12/2011 | IGLM | Norfolk Southern to accept no additional notes after early deadline
|
9/12/2011 | EMLM | Malaysia's Puncak Niaga holders may put 15-year notes on Nov. 18
|
9/9/2011 | LMMU | Ohio to redeem series 2001B higher education general obligation bonds
|
9/9/2011 | CVLM | Willbros Group begins consent solicitation for 6.5% convertibles
|
9/9/2011 | LMMU | Pinal County, Ariz., electric district's bonds have mandatory tender
|
9/9/2011 | EMLM | Indonesia's Fajar Surya Wisesa cancels some Fajar Paper 103/4% notes
|
9/9/2011 | LMMU | Texas Public Finance defeases six series of G.O. refunding bonds
|
9/9/2011 | HYLM | Sithe/Independence holders tender 99.69% of 9% bonds by early deadline
|
9/9/2011 | LMMU | Washington Higher Education calls some 2008 Seattle Pacific bonds
|
9/9/2011 | IGLM | Norfolk Southern sets pricing in private exchange offers for notes
|
9/9/2011 | AGLM | Fannie Mae plans to redeem $800 million medium-term notes at par
|
9/9/2011 | LMMU | County of Franklin, Ohio, calls $4.53 million hospital revenue bonds
|
9/9/2011 | CVLM | Far East Consortium buys back HK$7 million of 3.625% convertibles
|
9/8/2011 | LMMU | New Jersey Sports and Exposition Authority defeases 12 series of bonds
|
9/8/2011 | IGLM | AT&T Mobility to redeem $2.25 billion of 6.5%, 7.3% notes in October
|
9/8/2011 | CALM | BNS Split calls 46.44% of preferred shares for redemption on Sept. 22
|
9/8/2011 | LMMUPF | Nuveen Dividend Advantage to redeem $168.4 million preferred shares
|
9/8/2011 | IGLM | Archer-Daniels-Midland begins exchange offers for six series of notes
|
9/8/2011 | CVLM | McMoRan looks to extend maturity of 5.25% convertibles via exchange
|
9/8/2011 | LMMUPF | Nuveen Insured Dividend to redeem $91.95 million preferred shares
|
9/8/2011 | IGLM | NBCUniversal seeks to amend Universal Orlando notes, offers guarantee
|
9/8/2011 | CVLM | Royal Host extends normal course issuer bid for convertible notes
|
9/8/2011 | LMMUPF | Nuveen Insured New York to redeem $50.35 million preferred shares
|
9/8/2011 | ABLM | Aeolus now seeks class D noteholders' approval to redeem floaters on Sept. 30
|
9/8/2011 | LMMU | Alachua County Health, Fla., calls some Oak Hammock revenue bonds
|
9/8/2011 | LM | SBAB Bank buys back SEK 610 million of two floater series due 2012
|
9/8/2011 | ABLM | Ukraine Auto Loan calls three asset-backed floater series due 2018
|
9/8/2011 | LMMU | Harris County Health Facilities, Texas, calls some Texas Children's Hospital bonds
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9/8/2011 | HYLM | Windsor Financing again extends tender offers for 5.881%, 6.927% notes
|
9/8/2011 | AGLM | FFCB to redeem $405 million of consolidated systemwide bonds at par
|
9/7/2011 | LMMU | North Carolina Medical calls 2006A, 2006B Duke University Health bonds
|
9/7/2011 | LMMU | Harris County, Texas, calls $1.53 million hospital revenue bonds
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9/7/2011 | AGLM | Fannie Mae plans to redeem $1.09 billion medium-term notes at par
|
9/7/2011 | LMMU | PG&E to redeem $200 million 5.35% bonds with proceeds of notes
|
9/7/2011 | LMMU | Illinois Finance calls $2.5 million Landing at Plymouth Place bonds
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9/7/2011 | CALM | DundeeWealth calls C$200 million 5.1% notes, series 1 first preferreds
|
9/7/2011 | LMMU | Sacramento Transportation's 2009 sales tax bonds have mandatory tender
|
9/7/2011 | LMMU | Indianapolis Local Public Improvement Bond Bank defeases 12 series
|
9/7/2011 | CALMPV | Gran Colombia kicks off revised issuer bid with $461,000 purchase of silver-linked notes
|
9/7/2011 | LMMU | Metropolitan Washington Airports calls some 2002C airport system bonds
|
9/7/2011 | IGLM | Man Group tenders for €600 million 6% notes, $250 million 6.5% notes
|
9/7/2011 | ABLM | Citigroup gets tenders for $13.8 million of Endeavor's income notes
|
9/7/2011 | LMMU | Nassau County Industrial Development, N.Y., calls $7.77 million bonds
|
9/7/2011 | LM | Sveriges Bostadsfin repurchases SEK 250 million of floaters due 2012
|
9/7/2011 | AGLM | FFCB calls $929 million consolidated systemwide bonds at par
|
9/6/2011 | ABLM | Brooklands calls €134 million of class A1, A2, B and C floaters
|
9/6/2011 | LMMU | Detroit Edison plans to redeem 5.45% tax-exempt bonds due 2029
|
9/6/2011 | HYLM | Taylor Wimpey starts Dutch auction offer for £60 million 10 3/8% notes
|
9/6/2011 | CVLM | Top Image to buy back remaining $1.1 million of series A convertibles
|
9/6/2011 | ABLM | Claris redeems €40 million tranche 1 ABS floating-rate notes due 2024
|
9/6/2011 | LMMU | Grant County, Wash., utility district to defease series 2001-H bonds
|
9/6/2011 | IGLM | Lockheed Martin to redeem $500 million notes with new notes proceeds
|
9/6/2011 | EMHYLM | Thailand's True Move begins tender offer for 103/4%, 10 3/8% notes
|
9/6/2011 | AGLM | FFCB calls $75 million 1.75% consolidated systemwide bonds at par
|
9/6/2011 | LMMU | Montgomery County, Tenn., calls $19.81 million pooled financing bonds
|
9/6/2011 | LMMU | Atlanta rescinds redemption of Westside Project tax allocation bonds
|
9/6/2011 | EMIGLM | HSBC Middle East repurchases $300,000 of notes on Sept. 1
|
9/6/2011 | AGLM | Fannie Mae plans to redeem $1.37 billion medium-term notes at par
|
9/6/2011 | LMMU | Palm Beach County, Fla., calls $64 million public improvement bonds
|
9/6/2011 | LMMU | Chicago to redeem $229.16 million series 2001 water revenue bonds
|
9/6/2011 | EMLM | China's Kaisa Group buys back $2 million of 131/2% senior notes due 2015
|
9/6/2011 | BKDDHYLM | Corral waives minimum for exchange, holders tender 98.7% of notes
|
9/6/2011 | LMMU | Chicago's O'Hare Airport series 1994B, C bonds have mandatory tender
|
9/6/2011 | EMLM | Philippines' Lopez Holdings wraps up tender offer for 7 7/8% notes
|
9/6/2011 | CALM | National Bank of Canada to redeem all C$500 million series 5 notes
|
9/2/2011 | HYLM | Dynegy might seek tender or exchange offer for $3.5 billion of notes
|
9/2/2011 | LMMU | Los Angeles Unified School District to redeem portions of 2008 COPs
|
9/2/2011 | LMMU | California Transit Finance Authority calls part of 1997 demand bonds
|
9/2/2011 | HYLM | GameStop calls $125 million of 8% senior notes due 2012 at par
|
9/2/2011 | LMMU | North Carolina Medical Care calls some WakeMed health care bonds
|
9/2/2011 | LMMU | City of Jacksonville, Fla., calls $7.86 million transportation bonds
|
9/2/2011 | HYLM | Wolverine Tube calls $4.92 million 6% senior notes due 2014 at par
|
9/2/2011 | LMMU | Orange County Sanitation, Calif., to prepay portions of 2000A, B COPs
|
9/2/2011 | AGLM | Fannie Mae plans to redeem $2.16 billion medium-term notes at par
|
9/2/2011 | LMMU | East Bay Municipal Utility District, Calif.'s 2009A-1 water system bonds have mandatory tender
|
9/2/2011 | IGLM | ITT Financial to redeem $1 million of floaters due 2048 at par
|
9/2/2011 | LMMU | Rhode Island calls $53.75 million Brown University revenue bonds
|
9/2/2011 | EMLM | Philippines' Manila Water to redeem PHP 4 billion 81/4% bonds at 102
|
9/2/2011 | LMMU | Indiana Finance's 2005A stadium project bonds have mandatory tender
|
9/2/2011 | IGLMPF | ING Prime Rate Trust to redeem 1,000 auction preferred shares
|
9/2/2011 | LMMU | Sacramento Municipal Utility calls some 2001 electric revenue bonds
|
9/2/2011 | HYLM | Agua Caliente Band of Cahuilla Indians calls $10.6 million 6.35% notes
|
9/2/2011 | LMMU | Lorain, Ohio, calls portions of 2002B Catholic Healthcare bonds
|
9/2/2011 | LMMU | Alexandria, Va., Industrial Development calls $1.66 million bonds
|
9/1/2011 | LMMU | California Infrastructure to redeem $5 million 5.25% revenue bonds
|
9/1/2011 | IGLM | HSBC calls $750 million floaters due 2016 for Oct. 6 redemption
|
9/1/2011 | LMMU | San Francisco airport commission to redeem $223.37 million of bonds
|
9/1/2011 | CVLM | China Green buys back RMB 61.8 million of 3% guaranteed convertibles
|
9/1/2011 | LMMU | Mason County, W.Va.'s Appalachian Power bonds have mandatory tender
|
9/1/2011 | LMMU | California water resources department defeases some power supply bonds
|
9/1/2011 | IGLM | Wells Fargo issues call for $5.78 billion securities from four trusts
|
9/1/2011 | LMMU | Washington state calls $15.25 million of various purpose G.O. bonds
|
9/1/2011 | CVLM | Overstock.com to redeem $24.5 million 3.75% convertibles on Sept. 21
|
9/1/2011 | LMMU | Metropolitan Washington Airports defeases some airport system bonds
|
9/1/2011 | LMMU | Colorado Springs, Colo., utilities system bonds have mandatory tender
|
9/1/2011 | IGLMPF | Fifth Third issues call for $25 million of R&G trust preferreds
|
9/1/2011 | LM | Marfin Popular Bank repurchases €54.75 million 4.375% notes due 2012
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9/1/2011 | LMMU | New Jersey authority calls $60.68 million Cedar Crest Village bonds
|
9/1/2011 | LMMU | Lorain County, Ohio calls $86.35 million hospital improvement bonds
|
9/1/2011 | IGLMPF | KeyCorp calls $30 million trust preferreds from two Union State trusts
|
9/1/2011 | HYLM | Kronos International repurchases €7.2 million 61/2% notes due 2013
|
9/1/2011 | LMMU | New York Local Government calls $188.71 million refunding bonds
|
9/1/2011 | AGLM | FFCB calls $53 million consolidated systemwide bonds at par
|
9/1/2011 | LMMU | Maryland Health calls all of three Adventist HealthCare bond series
|
9/1/2011 | LMMU | Atlanta redeems portion of Westside Project tax allocation bonds
|
9/1/2011 | HYLMPV | Insituform taps new term loan for $65 million 6.54% notes redemption
|
9/1/2011 | LMMU | Orange County Health, Fla., calls $90 million hospital revenue bonds
|
9/1/2011 | BKHYLM | HealthSouth retires remaining 103/4% notes with sale proceeds, revolver
|
9/1/2011 | LMMU | Maryland Health calls portion of 2007B King Farm Presbyterian bonds
|
8/31/2011 | LMMU | Montgomery County, Md., calls $89.82 million public improvement bonds
|
8/31/2011 | IGLM | Coca-Cola gets tenders for $1.02 billion of notes in exchange offers
|
8/31/2011 | LM | Sveriges Bostadsfin repurchases SEK 50 million of floaters due 2012
|
8/31/2011 | LMMU | New Hampshire to redeem $15.23 million of 2006A, 2007A education bonds
|
8/31/2011 | ABLM | Claris redeems €13 million tranche 1 ABS floating-rate notes due 2037
|
8/31/2011 | LMMU | Cucamonga Valley Water District, Calif., defeases 2000, 2001 COPs
|
8/31/2011 | LM | Telecom Corp. of New Zealand begins exchange offer, consent bids
|
8/31/2011 | LMMU | New York State Thruway calls 2001B highway and bridge bonds
|
8/31/2011 | AGLM | FFCB calls $1.65 billion consolidated systemwide bonds at par
|
8/31/2011 | LMMU | Dallas/Fort Worth Airport calls $100.5 million of 2001A, 2003A bonds
|
8/31/2011 | HYLM | CIT Group to redeem additional $1 billion of 7% second-lien notes
|
8/31/2011 | LMMU | Olympic Club, Calif., calls portion of 2008 taxable refunding bonds
|
8/31/2011 | AGLM | Fannie Mae plans to redeem $1.06 billion medium-term notes at par
|
8/31/2011 | LMMU | Gainesville, Fla., calls parts of four series of utility system bonds
|
8/31/2011 | HYLM | CapitalSource starts tender, consent solicitation for 123/4% notes
|
8/31/2011 | CVLM | American Axle calls all $46,000 2% convertibles due 2024 at 101.253
|
8/31/2011 | LMMU | Lee County, Fla., to redeem $172.58 million airport revenue bonds
|
8/31/2011 | IGLM | Aflac starts exchange offer for any and all $850 million 8.5% notes
|
8/31/2011 | CVLM | BioMed Realty holders may put back 4.5% exchangeables due 2026
|
8/30/2011 | LMMU | Tampa Bay Water to redeem $287.9 million of series 1999 utility bonds
|
8/30/2011 | LMMU | Massachusetts HEFA to make $15 million of bids on 2005 revenue bonds
|
8/30/2011 | LM | Land Securities repurchases £7,000 of 5.396% class A7 notes due 2032
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8/30/2011 | LMMU | Michigan building authority to redeem $40,000 of 2004 revenue bonds
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8/30/2011 | LM | Standard Life launches offer for €750 million 6.375% fixed/floaters
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8/30/2011 | CAIGLM | Canadian Pacific Railway to redeem $101.4 million 5.75% notes due 2013
|
8/30/2011 | LMMU | New Hampshire to redeem $9.23 million of series 2006A education bonds
|
8/30/2011 | LM | Swedbank Mortgage buys back SEK 500 million floating-rate S.O. bonds
|
8/30/2011 | CVLM | Top Image repurchases 10.3 million more series A convertibles
|
8/30/2011 | LMMU | Ohio aims to redeem $101.69 million of series 2001A facilities bonds
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8/30/2011 | IGLM | Commonwealth Edison to refinance $536 million of bonds with $600 million bond offer proceeds
|
8/30/2011 | EMHYLM | China's Texhong Textile buys back $1 million of 7 5/8% notes due 2016
|
8/30/2011 | LMMU | Seminole Tribe of Florida calls $60.71 million 5.798% gaming bonds
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8/30/2011 | IGLMPF | Public Storage to redeem $100 million of 7% series G preferred shares
|
8/30/2011 | LM | I.M. Skaugen redeems NOK 200 million of 10.5% series IMSK05 bonds
|
8/29/2011 | LMMU | Northern California Power's 2008 revenue bonds have mandatory tender
|
8/29/2011 | CVLM | Hitachi Metals investors put ¥15.51 billion 0% convertibles due 2019
|
8/29/2011 | LMMU | Seminole Tribe of Florida calls $20.07 million bonds from two series
|
8/29/2011 | EMHYLM | China's Texhong Textile buys back $2 million of 7 5/8% senior notes
|
8/29/2011 | HYLM | HollyFrontier collects tenders for $15,000 81/2% notes, no 6 7/8% notes
|
8/29/2011 | IGLM | Anheuser-Busch to redeem all outstanding 5.491%, 5.35% notes at par
|
8/29/2011 | AGLM | Fannie Mae plans to redeem $4.11 billion medium-term notes at par
|
8/29/2011 | LMMU | New Jersey Economic Development defeases New Jersey Natural Gas bonds
|
8/29/2011 | CACVHYLM | Valeant increases securities repurchase program to C$1.8 billion
|
8/26/2011 | CVLM | LSB Industries to redeem $500,000 5.5% convertibles at par on Oct. 14
|
8/26/2011 | LMMU | Massachusetts calls $1.48 million series 2008 Clark University bonds
|
8/26/2011 | HYLM | Kronos International repurchases €3 million 61/2% notes due 2013
|
8/26/2011 | AGLM | FFCB calls $535 million consolidated systemwide bonds at par
|
8/26/2011 | LMMU | Mississippi Development defeases $42.36 million series 2002 S.O. bonds
|
8/26/2011 | HYLM | Sithe/Independence Funding begins tender offer for 9% bonds due 2013
|
8/26/2011 | AGLM | Fannie Mae plans to redeem $750 million medium-term notes at par
|
8/26/2011 | LMMU | Pennsylvania redeems $1.22 million of second series 2001 G.O. bonds
|
8/26/2011 | IGLM | Fortune Brands completes oversubscribed offer for $1.05 billion notes
|
8/26/2011 | CVDDLM | Horizon Lines sets exchange offer, consent bid for 4.25% convertibles
|
8/26/2011 | IGLM | Norfolk Southern begins private exchange offers for four note series
|
8/26/2011 | CVLM | Autonomy announces change-of-control tender offer for convertibles
|
8/26/2011 | LMMU | D.C. to redeem $50.61 million series 2001A George Washington bonds
|
8/25/2011 | HYLM | Omnicare to redeem $175 million 6 7/8% notes due 2015 on Sept. 23
|
8/25/2011 | CVLM | Nippon Yusen holders exercise put on ¥54.56 billion convertibles
|
8/25/2011 | LMPF | Gray Television buys back $3.26 million series D perpetual preferreds
|
8/25/2011 | LMMU | Minnesota calls $153 million G.O. various purpose, trunk highway bonds
|
8/25/2011 | IGLM | NBC Universal seeks consents, offers to guarantee Universal City notes
|
8/25/2011 | CVLM | Schneider Electric shortens tender offer for Telvent convertible notes
|
8/25/2011 | ABLM | Athenee to repurchase $150 million floaters from two series on Aug. 31
|
8/25/2011 | LMMU | Missouri Health and Educational Facilities calls $53.84 million bonds
|
8/25/2011 | LMMU | Connecticut calls $112.65 million transportation infrastructure bonds
|
8/25/2011 | CVLM | Tekcore announces clean-up call for NT$29 million convertibles
|
8/25/2011 | AGLM | FFCB calls $964 million consolidated systemwide bonds at par
|
8/25/2011 | LMMU | New Hampshire Health and Education calls $15.23 million revenue bonds
|
8/25/2011 | LMMU | Connecticut calls $1.81 million series 1993 clean water revenue bonds
|
8/25/2011 | LM | Tube Lines pays £214.45 million to repurchase some 5.54% notes
|
8/25/2011 | CALMPV | Gran Colombia Gold to make issuer bid for senior silver-linked notes
|
8/25/2011 | LMMU | Ohio Water Development Authority defeases $107.36 million bonds
|
8/25/2011 | LMMU | Connecticut calls $60.22 million clean water fund revenue bonds
|
8/25/2011 | HYLM | Michael Stores buys back $31 million 13% discount notes in quarter
|
8/25/2011 | CVLM | Itron to redeem remaining $38.8 million 2.5% convertibles due 2026
|
8/25/2011 | LMMU | Tampa Bay Water calls $468.71 million utility system revenue bonds
|
8/25/2011 | LMMU | Milwaukee Metropolitan Sewerage to redeem $58.8 million G.O. bonds
|
8/24/2011 | LMMU | Contra Costa Water District, Calif., calls $50.4 million revenue bonds
|
8/24/2011 | CVLM | Schneider Electric extends Telvent convertibles tender offer again
|
8/24/2011 | LMMU | Riverside, Calif., calls parts of two series of water revenue bonds
|
8/24/2011 | LMMU | Massachusetts HEFA to redeem $100 million of Boston University bonds
|
8/24/2011 | DDHYLM | Bank of Ireland starts tender offer for 13 3/8% subordinated bonds
|
8/24/2011 | LMMU | Metropolitan Washington Airports calls portions of revenue bonds
|
8/24/2011 | HYLM | AmeriGas accepts total tenders for $306.66 million of 7 1/8% notes
|
8/24/2011 | LMMU | New York's Triborough Bridge and Tunnel calls $99.51 million of bonds
|
8/24/2011 | HYLM | Petrohawk to make change-of-control offer for its 7 7/8%, 101/2% notes
|
8/24/2011 | AGLM | FFCB calls $62 million consolidated systemwide bonds at par
|
8/24/2011 | LMMU | Ohio defeases some 2004, 2005B water pollution control revenue bonds
|
8/24/2011 | IGLM | Toll Brothers buys back $45.1 million 6.875% notes in third quarter
|
8/24/2011 | AGLM | Fannie Mae plans to redeem $300 million medium-term notes at par
|
8/24/2011 | LMMU | Riverside, Calif., calls parts of three series electric revenue bonds
|
8/23/2011 | LM | Tube Lines buys back £217.06 million 5.54% guaranteed notes due 2031
|
8/23/2011 | CVLM | First Capital plans normal course issuer bid for convertibles
|
8/23/2011 | LMMU | Fulton County, Ga., calls all 1998 water and sewerage revenue bonds
|
8/23/2011 | HYLM | Helix Energy repurchases $50 million high-yield notes due 2016
|
8/23/2011 | CVLM | Thoresen to redeem portion of 2.5% convertibles in second installment
|
8/23/2011 | LMMU | Philadelphia's eighth series gas works bonds have mandatory tender
|
8/23/2011 | HYLM | Norse Energy subsidiary buys back $8 million bonds at discount to par
|
8/23/2011 | EMLM | Argentina's Autopistas del Sol buys back $1.31 million more 2020 notes
|
8/23/2011 | LMMU | University of California calls $77.61 million series Q bonds at 101
|
8/23/2011 | HYLM | TRW Automotive repurchases €5 million of 6 3/8% notes due March 2014
|
8/23/2011 | EMLM | Uralkali buys back BO-01 exchange-traded bonds for $1.06 billion
|
8/23/2011 | AGLM | Fannie Mae plans to redeem $1.02 billion medium-term notes at par
|
8/23/2011 | IGLMPF | Georgia Power calls $200 million 5.875% capital trust VII preferreds
|
8/23/2011 | LM | Swedbank buys back SEK 4 billion of floaters from two series
|
8/23/2011 | CALM | Global 45 issues call to redeem class A shares and preferred stock
|
8/23/2011 | LMMU | Central Utah Water Conservancy calls portion of series 2008B-2 bonds
|
8/22/2011 | CVLM | Euronet board gives go-ahead to repurchase of 3.5% convertibles
|
8/22/2011 | LMMU | Beaver County Industrial Development, Pa.'s FirstEnergy Nuclear bonds have mandatory tender
|
8/22/2011 | EMLM | UAE's Polarcus Alima holders vote to amend 121/2% bonds at meeting
|
8/22/2011 | LMMU | Indiana Secondary Market for Education Loans accepts for purchase $58.33 million offered bonds
|
8/22/2011 | HYLM | Carrols unit gets tenders for $400,000 more 9% notes since early date
|
8/22/2011 | ABLM | Citigroup gets tenders for $19.52 million of Dryden CDO notes
|
8/22/2011 | LMMU | Milwaukee redevelopment authority calls part of UWM-Kenilworth bonds
|
8/22/2011 | HYLM | Graham Packaging units get tenders for $20.46 million 9 7/8% notes
|
8/22/2011 | AGLM | FFCB calls $618 million consolidated systemwide bonds at par
|
8/22/2011 | IGLM | CVS Caremark 6 1/8% noteholders deliver consents to terminate replacement capital covenant
|
8/22/2011 | AGLM | Fannie Mae plans to redeem $1.11 billion securities at par
|
8/22/2011 | IGLM | Fortune Brands sets pricing in up to $1.05 billion tender offers
|
8/19/2011 | ABLM | Langton Securities (2010-2) buys back $1.6 billion floaters due 2054
|
8/19/2011 | LMMU | Fort Smith, Ark., calls $54.75 million water and sewer bonds
|
8/19/2011 | LM | Ageas gets approval to exchange Fortis 6.5% redeemable securities
|
8/19/2011 | ABLM | White Tower gets votes needed to stop paying class E notes interest
|
8/19/2011 | LMMU | Puerto Rico Highways holders may tender $1.82 billion of bonds
|
8/19/2011 | HYLM | Graham units foresee no further extension in tender for 9 7/8% notes
|
8/19/2011 | AGLM | FFCB calls $616 million consolidated systemwide bonds at par
|
8/19/2011 | HYLM | Windstream to redeem $350 million 8 5/8% notes due 2016 at 104.313
|
8/19/2011 | AGLM | Fannie Mae plans to redeem $175 million medium-term notes at par
|
8/19/2011 | LMMU | California Educational Facilities calls 2001A, 2007 St. Mary's bonds
|
8/19/2011 | EMLM | China Fishery Group subsidiary calls $225 million 91/4% senior notes
|
8/19/2011 | LMMU | Florida defeases part of 2001H public education capital outlay bonds
|
8/19/2011 | EMLM | South Korea's Hana Bank calls all $400 million 5 7/8% notes due 2016
|
8/18/2011 | IGLM | PPL Electric redeems $400 million 7.125% secured bonds due 2013
|
8/18/2011 | CVLM | India's Pidilite issues 194,104 shares in exchange for convertibles
|
8/18/2011 | LMMU | Baltimore calls $80.72 million Oak Crest Village facility bonds
|
8/18/2011 | HYLM | AIB Mortgage to buy back €250 million series 11 floaters due 2018
|
8/18/2011 | AGLM | FFCB calls $533 million consolidated systemwide bonds at par
|
8/18/2011 | LMMU | California water department calls $947.6 million power supply bonds
|
8/18/2011 | HYLM | Consol Energy seeks clarification from noteholders on asset purchase
|
8/18/2011 | AGLM | Fannie Mae to redeem $300 million medium-term notes at par
|
8/18/2011 | LMMU | Illinois Development redeems $51 million Peoples Gas Light bonds
|
8/18/2011 | HYLM | Kronos International repurchases €14.2 million 61/2% notes due 2013
|
8/18/2011 | BKCVHYIGLM | Noble Energy, Consol Energy Marcellus Shale joint venture valued at total of $3.4 billion
|
8/18/2011 | LMMU | New Jersey Healthcare calls $46.82 million Virtua revenue bonds
|
8/18/2011 | HYLM | Norway's Noreco buys back NOK 270 million of notes by Dutch auction
|
8/18/2011 | CVLM | Callidus Software repurchases $20 million convertibles at 9% discount
|
8/17/2011 | ABLMPF | Citigroup begins tender offer for Pro Rata Funding's preferred shares
|
8/17/2011 | LMMU | Montgomery County, Md., defeases, calls $258.7 million bonds
|
8/17/2011 | HYLM | Paetec gets OK to skip change-of-control offers for three note series
|
8/17/2011 | LM | Nordea to redeem €500 million 4% lower tier 2 notes due 2016 at par
|
8/17/2011 | AGLM | FFCB calls $616 million consolidated systemwide bonds at par
|
8/17/2011 | LMMU | Pittsburgh Water and Sewer calls $15.13 million 7.25% bonds due 2014
|
8/17/2011 | HYLMPV | Fosamprenavir Royalty calls $64.65 million 151/2% pharma notes due 2018
|
8/17/2011 | HYLM | Citadel to redeem 73/4% senior notes as part of Cumulus merger
|
8/17/2011 | CVLM | Microsemi subsidiary 0916753 B.C. makes offer for Zarlink debentures
|
8/17/2011 | IGLM | Coca-Cola holders tender $1.02 billion in exchange offers so far
|
8/17/2011 | HYLM | MoneyGram secures consents to lower threshold on U.S. investments
|
8/17/2011 | CVLM | National Bank of Abu Dhabi buys back AED 81.9 million convertibles
|
8/17/2011 | LMMU | Missouri HEFA's 2008 BJC Health System bonds have mandatory tender
|
8/17/2011 | HYLM | Morris Publishing does not redeem any floaters for July period
|
8/17/2011 | EMHYLM | China's Nine Dragons redeems remaining 7 7/8% notes for $56.35 million
|
8/17/2011 | LMMU | Modesto Irrigation District, Calif., defeases $135.03 million COPs
|
8/17/2011 | HYLM | Norway's Noreco launches Dutch auction tender for three note series
|
8/17/2011 | LM | Global Asset repurchases CHF 10.58 million series 44 floaters due 2013
|
8/16/2011 | LM | Guoman Hotels repurchases £19.72 million 10.75% first mortgage notes
|
8/16/2011 | LM | Aeolus looks to liquidate underlying asset for credit-linked floaters
|
8/16/2011 | LMMU | Denver $200 million Aviation Department bonds have mandatory tender
|
8/16/2011 | AGLM | FFCB calls $1.06 billion consolidated systemwide bonds at par
|
8/16/2011 | LMMU | Jacksonville, Fla., calls $84.09 million sales tax revenue bonds
|
8/16/2011 | AGLM | Fannie Mae plans to redeem $3.21 billion medium-term notes at par
|
8/16/2011 | LMMU | Texas Municipal Acquisition calls $57.64 million of gas supply bonds
|
8/16/2011 | CVLM | Top Image repurchases 2.9 million more series A convertibles
|
8/16/2011 | LMPP | CalAmp retires 12% subordinated notes for $5 million plus interest
|
8/16/2011 | CVLM | Washington REIT to redeem all $2.66 million of 3.875% convertibles
|
8/15/2011 | LMMU | Jacksonville, Fla., calls 2001 Better Jacksonville sales tax bonds
|
8/15/2011 | CVLM | NuVasive buys back $118.7 million of 2.25% convertibles in past week
|
8/15/2011 | LMMU | Louisiana Public Facilities calls some Willis Knighton Medical bonds
|
8/15/2011 | CVLM | Top Image to buy back some of its convertibles for NIS 5 million
|
8/15/2011 | LMMU | Pennsylvania to redeem all second series of 2001 G.O. bonds at 101
|
8/15/2011 | EMLM | China's Giti Tire to redeem all 121/4% notes at 103.0625 on Sept. 14
|
8/15/2011 | ABLM | Silverstone asks holders to approve modifying mortgage-backed floaters
|
8/15/2011 | LMMU | Sarasota County, Fla., defeases $11.24 million ad valorem tax bonds
|
8/15/2011 | IGLMPF | XL Group holders tender 97.7% of series C preference ordinary shares
|
8/15/2011 | AGLM | FFCB calls $1.24 billion consolidated systemwide bonds at par
|
8/15/2011 | LMMU | Xenia Rural Water, Iowa, to tender for outstanding water revenue bonds
|
8/15/2011 | LMMU | District of Columbia invites holders to sell $281.33 million bonds
|
8/15/2011 | AGLM | Fannie Mae plans to redeem $5.77 billion medium-term notes at par
|
8/15/2011 | LMPV | Friendfinder trims principal of two 14% note series using excess cash
|
8/12/2011 | CVLM | Clearwater Seafoods to buy back up to C$5 million of units, debentures
|
8/12/2011 | LMMU | Lee Memorial Health, Fla., calls $109.45 million 2009 revenue bonds
|
8/12/2011 | CVLM | Headwaters buys back $7.5 million of 14.75% convertibles due 2014
|
8/12/2011 | LMMU | Murrieta Valley, Calif., school district's COPs have mandatory tender
|
8/12/2011 | EMHYLM | China Forestry accepts $120 million tendered 73/4% notes for purchase
|
8/12/2011 | EMLM | Malaysia's Goodway Integrated redeems third tranche of Islamic MTNs
|
8/12/2011 | ABLM | ZOO ABS 4 begins tender offer for €115.7 million class A-1B notes
|
8/12/2011 | HYLM | AmeriGas to redeem $43.35 million 7 1/8% senior notes due 2016
|
8/12/2011 | AGLM | Fannie Mae issues call to redeem $3.93 billion of securities at par
|
8/12/2011 | LMMU | Delaware Economic Development calls four series of Clean Power bonds
|
8/11/2011 | LMMU | Port of Portland, Ore., calls $28 million 5% airport revenue bonds
|
8/11/2011 | EMIGLM | Chile's AES gets tenders for $101.88 million 71/2% notes in swap offer
|
8/11/2011 | LMMU | Texas Water Development redeems $16.84 million of bonds due 2019
|
8/11/2011 | HYLM | Morpol buys back NOK 244 million of outstanding bonds at 100.5
|
8/11/2011 | LMMU | Tucson, Ariz., calls $32.71 million 5% University Medical Center bonds
|
8/11/2011 | HYLM | Waterford Gaming to redeem $5.64 million 8 5/8% notes due 2014
|
8/11/2011 | AGLM | FFCB calls $1.48 billion consolidated systemwide bonds at par
|
8/11/2011 | IGLM | Fortune Brands receives $1.24 billion of notes so far in tender offers
|
8/11/2011 | AGLM | Fannie Mae plans to redeem $195 million medium-term notes at par
|
8/11/2011 | LMMU | Massachusetts HEFA calls $12.71 million 5.25%, 5% UMass Memorial bonds
|
8/11/2011 | CVLM | Equal Energy to buy up to C$3.93 million convertibles in issuer bid
|
8/10/2011 | LMMU | Maine Health and Higher Educational calls some of four series of bonds
|
8/10/2011 | HYLM | El Paso accepts $653.41 million of notes for purchase in tender offers
|
8/10/2011 | CADDHYLM | Bank of Ireland lacks quorum, adjourns meeting for notes due 2015
|
8/10/2011 | ABLM | Citigroup begins tender offers for six note series issued by Endeavor
|
8/10/2011 | LMMU | Massachusetts HEFA calls $71.89 million UMass Memorial revenue bonds
|
8/10/2011 | HYLM | Sterling Chemicals calls $104.43 million 101/4% senior notes due 2015
|
8/10/2011 | CVLM | Powerwave buys back another $4 million 1.875% convertibles
|
8/10/2011 | ABLM | Citigroup completes tender offers for notes issued by Bryant Park CDO
|
8/10/2011 | LMMU | Texas Water Development calls $16.84 million of 2007A revenue bonds
|
8/10/2011 | IGLM | 3M to redeem $251.9 million Liquid Yield Option Notes due 2032
|
8/10/2011 | CVLM | Trina Solar holders put back $320,000 of 4% convertible notes
|
8/10/2011 | ABLM | Permanent Financing (No. 6) to redeem £1.07 billion floaters
|
8/10/2011 | IGLM | Beckman Coulter redeems $36.19 million 7.05% debentures due 2026
|
8/10/2011 | LM | Nordic Investment Bank to repurchase ¥5 billion 1.7% notes on Aug. 12
|
8/10/2011 | ABLM | Permanent Financing (No. 9) to redeem €1.73 billion floaters
|
8/10/2011 | LMMU | Illinois Finance calls $58.42 million Delnor-Community Hospital bonds
|
8/10/2011 | HYLM | AmeriGas obtains early tenders for 87.6% of 7 1/8% notes due 2016
|
8/10/2011 | AGLM | FFCB calls $1.37 billion consolidated systemwide bonds at par
|
8/9/2011 | AGLM | Fannie Mae plans to redeem $400 million medium-term notes at par
|
8/9/2011 | LMMU | Massachusetts Development calls $2.8 million Groves Indiana bonds
|
8/9/2011 | HYLM | Brunswick repurchases $52.1 million of notes in third quarter so far
|
8/9/2011 | DDHYLM | Sevan Marine bondholders fall short of special committee approval
|
8/9/2011 | CADDHYLM | Bank of Ireland gets tenders for C$39.82 million fixed/floating subordinated notes due 2015
|
8/9/2011 | HYLM | Charter Communications buys back $100 million 8% second-lien notes
|
8/9/2011 | EMHYLM | Argentina's Transener holders tender $69.22 million 8 7/8% notes for purchase or exchange
|
8/9/2011 | CAHYLM | MagIndustries calls all 11% notes, announces change-of-control offer
|
8/9/2011 | HYLM | Nexstar redeems 'expensive' 11 3/8% notes, cuts debt by $10.9 million
|
8/9/2011 | EMHYLM | Mexico's Senda: 101/2% noteholders deliver consents to incur more debt
|
8/9/2011 | CVLM | Beckman Coulter holders may put 2.5% convertibles until month-end; most holders opt for conversion
|
8/9/2011 | ABLM | Citigroup extends tender offers for notes issued by Bryant Park CDO
|
8/9/2011 | IGLM | Guaranty Bancshares calls $2.5 million junior debentures due 2030
|
8/9/2011 | EMLM | Brazil's Banco Mercantil to redeem $125 million 10.625% notes due 2016
|
8/9/2011 | CVLM | Weingarten pays down $77.2 million 3.95% convertibles due 2026
|
8/9/2011 | AGLM | FFCB calls $395 million consolidated systemwide bonds at par
|
8/9/2011 | IGLM | U.S. Bancorp calls $575 million trust preferreds from two series
|
8/9/2011 | EMLM | RSHB Capital to redeem $500 million 6.97% loan notes due 2016
|
8/9/2011 | DDHYLM | Cecon gets holder support for another waiver under four bond series
|
8/8/2011 | LMMU | Montgomery County, Tenn., calls some 2004 municipal bond fund bonds
|
8/8/2011 | HYLM | Sealed Air to redeem Diversey's 81/4%, 101/2% notes under merger plans
|
8/8/2011 | AGLM | FFCB calls $375 million of consolidated systemwide bonds at par
|
8/8/2011 | LMMU | Munson accepts tendered Grand Traverse Hospital Finance, Mich., bonds
|
8/8/2011 | IGLM | Pohjola Bank to redeem $325 million subordinated notes due 2016
|
8/8/2011 | AGLM | Fannie Mae plans to redeem $1.57 billion medium-term notes at par
|
8/8/2011 | LMMU | Panhandle-Plains authority, Texas, cancels 19 student loan bond calls
|
8/8/2011 | LMMU | Florida defeases two series of public education capital outlay bonds
|
8/8/2011 | CVLM | Lawson holders convert nearly all 2.5% convertibles ahead of put date
|
8/8/2011 | LMMU | Louisiana Public Facilities calls some Willis Knighton Medical bonds
|
8/8/2011 | LM | Danica Pension calls €400 million perpetual fixed/floating-rate notes
|
8/8/2011 | LMMU | Massachusetts Development calls some Newbridge on the Charles bonds
|
8/8/2011 | HYLM | Atrium European further cuts pricing in tender offer for 6.8% notes
|
8/5/2011 | AGLM | Fannie Mae plans to redeem $3.39 billion securities at par
|
8/5/2011 | LMMU | Potter County, Texas, calls $57.3 million Southwestern Public bonds
|
8/5/2011 | HYLMPF | Aimco to redeem 25% of its class V cumulative preferreds on Sept. 6
|
8/5/2011 | CVLM | Schneider Electric extends tender offer for Telvent convertibles again
|
8/5/2011 | CVLM | AGCO to redeem $33.81 million 1.75% convertibles due 2033
|
8/5/2011 | ABLM | Clydesdale CLO 2004 asks noteholders to OK investment manager change
|
8/5/2011 | IGLM | Chevron issues call to redeem all $1.5 billion 3.45% notes due 2012
|
8/5/2011 | DDEMLM | Argentina cancels exchange offer for four series of Brady bonds
|
8/5/2011 | CVLM | Carriage Services repurchased some Tides in April for $900,000
|
8/5/2011 | ABLM | Jano completes redemption of €39 million asset-backed notes due 2035
|
8/5/2011 | IGLM | Gamco authorized to buy back up to $20 million zero-coupon debentures
|
8/5/2011 | EMLM | Uralkali plans to pay up to $1.1 billion to repurchase BO-01 exchange-traded bonds Aug. 22
|
8/5/2011 | CVLM | Evraz Group redeems remaining $100,000 of 7.25% convertibles
|
8/5/2011 | ABLM | White Tower gets OK to delist class E notes, needs further approval to stop paying interest
|
8/5/2011 | LMMU | Michigan Strategic Fund calls series 1999A, B, C Detroit Edison bonds
|
8/5/2011 | HYLM | EBS repurchases all €1.82 billion 4.5% notes due 2011 on Aug. 5
|
8/5/2011 | CVLM | Goodrich plans to repurchase rest of 3.25% convertibles due 2026
|
8/5/2011 | AGLM | FFCB calls $1.06 billion of consolidated systemwide bonds at par
|
8/5/2011 | LMMU | Michigan's New Center Development 2004-A COPs have mandatory tender
|
8/5/2011 | HYLM | Omnicare to redeem $250 million 6 7/8% notes due 2015 at 103.438
|
8/5/2011 | CVLM | NorthStar repurchases $108 million of convertibles in second quarter
|
8/4/2011 | HYLM | Graham units buy no 81/4% notes, extend tender offer for 9 7/8% notes
|
8/4/2011 | AGLM | FFCB calls $771 million of consolidated systemwide bonds at par
|
8/4/2011 | CVHYLM | TRW repurchases $61 million notes, exchangeables in second quarter
|
8/4/2011 | HYLM | Carrols subsidiary obtains needed consents for 9% subordinated notes
|
8/3/2011 | CVLM | Ying Li buys back S$5 million 4% convertibles at 90.25 in open market
|
8/3/2011 | LMMU | Cucamonga Valley Water District, Calif., calls $84.26 million of COPs
|
8/3/2011 | EMLM | Philippines' Lopez Holdings begins cash tender offer for 7 7/8% notes
|
8/3/2011 | LMMU | E-470 Public Highway, Colo., calls $104.4 million 2007 revenue bonds
|
8/3/2011 | HYLM | Global Aviation purchases $10 million 14% secured first-lien notes
|
8/3/2011 | HYLMPF | Las Vegas Sands to fully redeem 10% series A preferreds on Nov. 15
|
8/3/2011 | AGLM | FFCB calls $1.19 billion of consolidated systemwide bonds at par
|
8/3/2011 | IGLM | Coca-Cola announces exchange offers for up to $2 billion of notes
|
8/3/2011 | AGLM | Fannie Mae to redeem $50 million 5% medium-term notes due 2030 at par
|
8/3/2011 | LMMU | Colorado Springs purchases $117.45 million of tendered 2004A bonds
|
8/2/2011 | HYLM | MTR Gaming Group gets consents needed to amend 9%, 12 5/8% notes
|
8/2/2011 | AGLM | FFCB calls $25 million of 4% consolidated systemwide bonds at par
|
8/2/2011 | IGLMPF | Fifth Third issues call for $40 million of preferreds from two trusts
|
8/2/2011 | AGLM | Fannie Mae plans to redeem $425 million medium-term notes at par
|
8/2/2011 | IGLMPF | KeyCorp to redeem $361.11 million trust preferreds from four trusts
|
8/2/2011 | CVLM | China Water Industry Group to repurchase HK$279 million convertibles
|
8/2/2011 | CVLM | Top Image collects tenders for 10.75% of series A convertibles
|
8/2/2011 | EMLM | Argentina's Mastellone Hermanos buys back $1 million series C bonds
|
8/1/2011 | LMMU | Irvine Ranch Water District, Calif., calls $368.75 million of bonds
|
8/1/2011 | LMMU | California calls $97.11 million series 2004A economic recovery bonds
|
8/1/2011 | EMHYLM | Cosipa gets needed consents to amend 81/4% series 2 medium-term notes
|
8/1/2011 | LMMU | New Jersey Environmental calls $57.84 million infrastructure bonds
|
8/1/2011 | LMMU | Castle Rock, Colo., to redeem portion of series 2008 COPs Sept. 1
|
8/1/2011 | HYLM | Hospital sales to fund call for HealthSouth's $164 million 103/4% notes
|
8/1/2011 | AGLM | Fannie Mae plans to redeem $745 million medium-term notes at par
|
8/1/2011 | LMMU | San Bernardino, Calif., calls $3.61 million of 2008B taxable COPs
|
8/1/2011 | LMMU | City of Los Angeles calls $66.07 million G.O. bonds from two series
|
8/1/2011 | HYLM | Quality Distribution redeems remaining $5.8 million 113/4% PIK notes
|
8/1/2011 | BKLMPF | Gray Television amends credit facility to allow it to call preferreds
|
8/1/2011 | LMMU | Santa Rosa Rancheria Tachi Yokut Tribe calls $65.55 million of bonds
|
8/1/2011 | LMMU | Dallas/Fort Worth Airport calls $106.04 million joint revenue bonds
|
8/1/2011 | HYLM | Virgin Media redeems $550 million 9 1/8% senior notes due 2016
|
8/1/2011 | CVLM | Human Genome exchanges $77.53 million of 2.25% convertibles for stock
|
8/1/2011 | LMMU | South Carolina Jobs calls portion of 2004 MUFC Central Energy bonds
|
8/1/2011 | LMMU | Harris County, Texas' 2010A toll road bonds have mandatory tender
|
8/1/2011 | LMMU | Albany-Dougherty, Ga., authority calls some 2008 Phoebe Putney bonds
|
8/1/2011 | EMHYLM | China Forestry gets tenders for $290.23 million 73/4% notes so far
|
8/1/2011 | LMPF | UDR repurchases series G preferreds at $25.38 in second quarter
|
7/29/2011 | LMMU | Oakland, Calif., to redeem $348.28 million 2000 series K revenue bonds
|
7/29/2011 | CVLM | RAIT buys back $32.5 million convertibles from two series
|
7/29/2011 | LMMU | Residential Care of Fulton County, Ga., calls some Lenbrook bonds
|
7/29/2011 | HYLM | Windsor extends tender offer, shelves withdrawal limits for two days
|
7/29/2011 | LMMU | District of Columbia calls portion of Freedom Forum 2002A bonds
|
7/29/2011 | AGLM | Fannie Mae plans to redeem $2.01 billion securities at par
|
7/29/2011 | LMMU | New Hampshire HEFA calls $104.68 million Dartmouth Hitchcock bonds
|
7/29/2011 | CVLM | First Quantum holders convert nearly all 6% notes in sweetener offer
|
7/29/2011 | LMMU | New York City Transitional Finance's 2003B future tax secured bonds have mandatory tender
|
7/29/2011 | CVLM | Malaysia's Olympia Industries buys back RM 75.54 million convertibles
|
7/28/2011 | IGLMMUPF | Nuveen Dividend to redeem $120.08 million auction-rate preferreds
|
7/28/2011 | HYLM | Linn Energy buys back $17 million 113/4% notes, $24 million 9 7/8% notes
|
7/28/2011 | LMMUPF | Nuveen Michigan to redeem $53.7 million auction-rate preferreds
|
7/28/2011 | CVLM | Savvis begins change-of-control offer for 3% convertibles due 2012
|
7/28/2011 | LMMU | Chicago-O'Hare International Airport bonds have mandatory tender
|
7/28/2011 | HYLM | Norwich & Peterborough repurchases £160 million floaters due 2012
|
7/28/2011 | LMPF | Entertainment Properties calls all $80 million 73/4% preferred shares
|
7/28/2011 | CVLM | Verenium buys back $5.2 million of 5.5% notes, $3 million of 9% notes
|
7/28/2011 | AGLM | FFCB calls $110 million 1.17% consolidated systemwide bonds at par
|
7/28/2011 | LMMU | Ohio Public Facilities Commission defeases G.O. bonds
|
7/28/2011 | IGLM | Fortune Brands begins seven tender offers, will spend up to $1 billion
|
7/28/2011 | EMIGLM | Chile's AES Gener wraps tender offer for 71/2% notes, reports early results of exchange offer
|
7/28/2011 | CVLM | Alexandria repurchases $81.5 million of 3.7% convertibles in July
|
7/28/2011 | LMMU | San Diego County Capital Asset to prepay $3.6 million 5.625% COPs
|
7/28/2011 | IGLM | Glencore Funding gets needed consents to add guarantor for 6% notes
|
7/28/2011 | EMLM | Troy Capital repurchases €103.23 million 91/2% loan participation notes
|
7/28/2011 | CVLM | Chart Industries to redeem notes due 2015 with convertibles proceeds
|
7/28/2011 | LMMUPF | Nuveen Arizona to redeem $27.88 million auction-rate preferreds
|
7/28/2011 | IGLM | National Rural Utilities calls $250 million 7.25% medium-term notes
|
7/28/2011 | HYLM | Germany's Versatel to repurchase €451.94 million floaters on Aug. 25
|
7/28/2011 | CVLM | MF Global to repurchase $109.1 million 9% convertibles due 2038
|
7/28/2011 | LMMUPF | Nuveen Insured to redeem $67.38 million auction-rate preferreds
|
7/27/2011 | LMMU | Sacramento County Sanitation, Calif., calls $85.42 million bonds due 2027
|
7/27/2011 | HYLM | HealthSouth to redeem balance of 103/4% notes due 2016 in third quarter
|
7/27/2011 | CVLM | Asbury Automotive repurchases $8.8 million 3% convertibles in 2011
|
7/27/2011 | LMMU | Sunshine State Governmental Financing, Fla., redeems $98.58 million revenue bonds
|
7/27/2011 | HYLM | HollyFrontier change-of-control offer for two note series ends Aug. 29
|
7/27/2011 | CVLM | First Quantum offers sweetener to holders who convert 6% convertibles
|
7/27/2011 | LMMU | California calls $278.4 million economic recovery bonds of 2016, 2017
|
7/27/2011 | LM | Annington Finance No. 4 repurchases £19 million floaters due 2023
|
7/27/2011 | LMMU | Oregon Facilities calls $70 million Peacehealth revenue bonds
|
7/27/2011 | HYLM | AmeriGas begins tender offer, consent solicitation for 7 1/8% notes
|
7/27/2011 | LMMU | Rhode Island calls $80.4 million capital development G.O. bonds
|
7/27/2011 | HYLM | El Paso gets tenders for $1.03 billion of 10 series of notes so far
|
7/26/2011 | HYLM | Prospect Medical gets tenders and consents for 90.6% of 123/4% notes
|
7/26/2011 | EMHYLM | Argentina's Transener holders tender $68.58 million 8 7/8% notes for purchase or exchange so far
|
7/26/2011 | AGLM | Fannie Mae plans to redeem $650 million medium-term notes at par
|
7/26/2011 | HYLM | Warner Music units complete tender offers for three series of notes
|
7/26/2011 | EMLM | Israel's Internet Gold grants put option to series A debenture holders
|
7/26/2011 | CVLM | RF Micro Devices repurchases $22 million convertibles in Q1
|
7/26/2011 | IGLM | Nordic Investment Bank repurchases £9.25 million floaters due 2024
|
7/26/2011 | HYLM | Chiquita accepts all $133 million of tendered 8 7/8% notes due 2015
|
7/26/2011 | DDHYLM | Cecon seeks holder support for another waiver under four bond series
|
7/26/2011 | LMMU | Dallas defeases $105.29 million of waterworks and sewer system bonds
|
7/26/2011 | HYLM | HCA to buy back $900 million senior notes with new notes proceeds
|
7/26/2011 | DDHYLM | Sevan Marine to hold meeting for approval of $36.1 million bond issue
|
7/26/2011 | LMMU | Maryland defeases $806.63 of million state and local facilities bonds
|
7/26/2011 | HYLM | MTR Gaming extends consent deadline for 9%, 12 5/8% notes by two days
|
7/26/2011 | EMHYLM | Argentina's Loma Negra, Caue Finance gets tenders for $161.54 million of 71/4%, 8 7/8% notes
|
7/26/2011 | LMMU | New Hampshire Higher Educational redeems University System bonds
|
7/26/2011 | AGLM | FFCB calls $50 million 1.65% consolidated systemwide bonds at par
|
7/25/2011 | LMMU | Illinois Finance calls its variable-rate Central Dupage Health bonds
|
7/25/2011 | EMLM | Union Bank of the Philippines calls PHP 1.29 billion 91/2% tier 2 notes
|
7/25/2011 | AGLM | Fannie Mae plans to redeem $775 million medium-term notes at par
|
7/25/2011 | LMMU | San Francisco airport commission to redeem $298 million of bonds
|
7/25/2011 | LM | Lloyd's repurchases £15.53 million perpetual capital securities
|
7/25/2011 | CALM | BCE holders tender 3.25 million series AI preferreds for conversion
|
7/25/2011 | LMMU | University of California calls $237.09 million series Q bonds at 101
|
7/25/2011 | LM | Swedbank buys back €2 million step-up notes, SEK 500 million floaters
|
7/25/2011 | DDHYLM | Allied Irish Banks accepts all notes tendered, calls remainder
|
7/25/2011 | LMPF | Denali Fund buys $17.1 million of auction preferreds in tender offer
|
7/25/2011 | LMMU | Fairfax, Va., authority calls some 2000, 2005 Inova Health bonds
|
7/25/2011 | DDHYLM | Blom asks holders of floating-rate notes due 2012 to extend waiver
|
7/25/2011 | ABLM | Citigroup begins tender offers for $153 million of Dryden CDO notes
|
7/25/2011 | LMPF | MPG to issue stock in exchange for $5.47 million 7.625% preferreds
|
7/25/2011 | LMMU | Honolulu to redeem $107.21 million of series 2001A G.O. bonds at par
|
7/25/2011 | EMLM | Hungary repurchases €3.12 million floating-rate notes due 2012
|
7/25/2011 | AGLM | FFCB calls $165 million 2.45% consolidated systemwide bonds at par
|
7/22/2011 | LMMU | Lexington County Health, S.C., calls $64.48 million of hospital bonds
|
7/22/2011 | LM | New South Wales to repurchase A$252.8 million notes from two series
|
7/22/2011 | AGLM | FFCB calls $567 million consolidated systemwide bonds at par
|
7/22/2011 | LMMU | New Jersey Environmental Infrastructure calls $70.77 million bonds
|
7/22/2011 | HYLM | Carrols begins tender offer, consent bid for $165 million of 9% notes
|
7/22/2011 | AGLM | Fannie Mae plans to redeem $330 million medium-term notes at par
|
7/22/2011 | LMMU | Oregon calls $76.15 million of 2001 A, B higher education G.O. bonds
|
7/22/2011 | LM | Mall Funding redeems £6.42 million floating-rate notes due 2017
|
7/22/2011 | CVLM | Schneider Electric extends tender offer for Telvent convertible notes
|
7/22/2011 | LMMU | University of Illinois calls portion of utility infrastructure bonds
|
7/22/2011 | LMMU | Atlanta's water and wastewater revenue bonds have mandatory tender
|
7/22/2011 | DDHYLM | Irish Life adds four series to tender offer for lower tier 2 notes
|
7/22/2011 | LMMU | District of Colombia calls $1.25 million of Freedom Forum bonds
|
7/22/2011 | EMHYLM | Mexico's Senda solicits consents to incur more debt under 101/2% notes
|
7/22/2011 | ABLM | Puma CLO repurchases all €34 million subordinated notes due 2024
|
7/21/2011 | HYLM | El Pollo Loco to redeem $1.39 million notes from two series on Aug. 29
|
7/21/2011 | CVLM | Pasdec redeems portion of series 2 rainbow exchangeable bonds
|
7/21/2011 | LM | Biofrontera to issue €5.86 million 5% option bonds to shareholders, exchanging noteholders
|
7/21/2011 | CVLM | Powerwave to repurchase $42.6 million 1.875% convertibles due 2024
|
7/21/2011 | LMMU | Houston calls $533.41 million airport bonds, defeases $55.95 million
|
7/21/2011 | CVLM | United Continental's $570 million 4.5% convertibles were put in June
|
7/21/2011 | LMMU | Washington Health Care Facilities defeases series 2001A revenue bonds
|
7/21/2011 | DDHYLM | Allied Irish Banks announces preliminary results of tender offers for three series of notes
|
7/21/2011 | LMMU | West Virginia Parkways Authority's 2008 bonds have mandatory tender
|
7/21/2011 | DDHYLM | SeaBird Exploration holders approve two-month extension for floaters
|
7/20/2011 | CVLM | Institutional Financial gets tenders for about 39% of convertibles
|
7/20/2011 | LMMU | Clark County, Nev., calls $200 million 2008A, B airport system bonds
|
7/20/2011 | CVLM | Taiwan's Farglory Land plans clean-up call for fourth convertibles
|
7/20/2011 | LMMU | Georgetown Hospital to defease portions of South Carolina Jobs bonds
|
7/20/2011 | EMHYLM | Chile's CAP accepts tenders for nearly $129.9 million 7 3/8% bonds
|
7/20/2011 | LMMU | Rhode Island Health calls portion of Brown University 2001B bonds
|
7/20/2011 | LM | Annington Finance repurchases £4.55 million 0% notes due 2022
|
7/20/2011 | ABLM | White Tower to withhold £3 million class E mortgage-backed floaters
|
7/20/2011 | LMMU | Saint Barnabas buys back portion of 2001B New Jersey Health bonds
|
7/20/2011 | HYLM | AIB Mortgage Bank to buy back €150 million series 11 floaters due 2018
|
7/20/2011 | AGLM | FFCB calls $58 million 3.9% consolidated systemwide bonds at par
|
7/20/2011 | LMMU | West Virginia Economic Development defeases 2002 lease revenue bonds
|
7/20/2011 | IGLM | Sallie Mae buys back $60 million of notes in second quarter 2011
|
7/19/2011 | HYLM | Penn National Gaming calls $250 million 63/4% notes due 2015 at 102.25
|
7/19/2011 | EMHYLM | Telefonica de Argentina to cancel balance of notes due 2011 on Aug. 1
|
7/19/2011 | AGLM | FFCB calls $431 million consolidated systemwide bonds at par
|
7/19/2011 | IGLMPF | Public Storage calls all series K preferreds for Aug. 22 redemption
|
7/19/2011 | HYLM | Alpha Natural calls Foundation PA Coal's $298.3 million 71/4% notes
|
7/19/2011 | AGLM | Fannie Mae plans to redeem $2.28 billion medium-term notes at par
|
7/19/2011 | LMMU | Illinois Development Finance calls $51 million Peoples Gas Light bonds
|
7/19/2011 | HYLM | Graham Packaging units gets consents needed to amend 9 7/8% notes
|
7/19/2011 | CVLM | Zeus calls ¥52.8 billion 0% guaranteed exchangeable notes due 2013
|
7/19/2011 | HYLM | Graham tender offer changes puzzle critics; takeout may not be goal
|
7/19/2011 | EMHYLM | Argentina's Loma Negra, Caue Finance gets tenders for $159.02 million 71/4%, 8 7/8% notes so far
|
7/19/2011 | HYLM | Morris Publishing Group redeems $563,028 more floaters due 2014
|
7/19/2011 | EMHYLM | Chile's CAP sets pricing on tender offer for 7 3/8% bonds due 2036
|
7/18/2011 | LMMU | Wisconsin HEFA calls $1.1 million of ProHealth Care revenue bonds
|
7/18/2011 | HYLM | Sabic Innovative Plastics calls $975 million 91/2% notes due 2015
|
7/18/2011 | LMMU | Northwest Independent School, Texas, calls $67.76 million bonds
|
7/18/2011 | CVLM | Top Image to repurchase all its outstanding series A convertibles
|
7/18/2011 | LMMU | Grand Prairie, Texas, school district calls $57.66 million 2000A bonds
|
7/18/2011 | HYLM | Sonic Automotive calls $42.86 million 8 5/8% senior subordinated notes
|
7/18/2011 | LMMU | Philadelphia's $100 million 2009B G.O. bonds have mandatory tender
|
7/18/2011 | CVLMPP | Frontera Resources announces exchange offer for 10% convertibles
|
7/18/2011 | AGLM | Fannie Mae plans to redeem $5.18 billion medium-term notes at par
|
7/18/2011 | LMMU | Harris County Health, Texas, calls $99.84 million St. Luke's bonds
|
7/18/2011 | IGLMPF | XL Group begins tender offer for $71.9 million series C preferreds
|
7/18/2011 | LMMU | Rhode Island Health calls $1.93 million School of Design bonds
|
7/18/2011 | HYLM | Dollar General redeems $839.3 million 10 5/8% senior notes due 2015
|
7/18/2011 | CVLM | Equity Residential calls $482.55 million 3.85% exchangeable notes
|
7/18/2011 | LMMU | Illinois Development Finance calls all $51 million Peoples Gas bonds
|
7/18/2011 | LMMU | Arlington, Texas, calls $1.5 million of Dallas Cowboys Complex bonds
|
7/18/2011 | LMMU | San Jose, Calif., cancels redemption of $45.71 million airport bonds
|
7/18/2011 | HYLM | GSI Group to redeem $35 million 121/4% notes due 2014 on Aug. 17
|
7/18/2011 | CVLM | Hutchinson Technology issues new 8.5% convertibles in swap for $45.96 million of 3.25% paper
|
7/18/2011 | LMMU | Illinois Finance calls portions of 2007 Northwestern Memorial bonds
|
7/18/2011 | LMMU | California Pollution Control 2010 revenue bonds have mandatory tender
|
7/18/2011 | LMMU | University of Illinois calls $119.71 million series 2001A, 2001B COPs
|
7/18/2011 | HYLM | Graham Packaging units amend offers for 9 7/8% notes, 81/4% notes
|
7/18/2011 | LMMU | Keller Independent School District, Texas, calls $67.74 million bonds
|
7/18/2011 | CVLM | Tanger Properties calls $7.03 million 3.75% exchangeables due 2026
|
7/18/2011 | LMMU | Florida Rural Utility calls $4 million of Public Projects notes
|
7/15/2011 | LMMU | Connecticut's 2005 series A G.O. bonds have mandatory tender on Aug. 1
|
7/15/2011 | LM | Electric & General to redeem £7 million 10.75% 2011 debentures
|
7/15/2011 | LMMU | Washington Health Care calls some Southwest Washington Medical bonds
|
7/15/2011 | LMMU | Jefferson County, Texas, calls $93.61 million Baptist Hospitals bonds
|
7/15/2011 | HYLM | Germany's Versatel repurchases €73.07 million floaters due 2014
|
7/15/2011 | LMMU | Multnomah County, Ore., calls some Mirabella at South Waterfront bonds
|
7/15/2011 | HYLM | Graphic Packaging calls all $73.3 million 91/2% senior notes due 2013
|
7/15/2011 | AGLM | Fannie Mae plans to redeem $2.59 billion securities at par
|
7/15/2011 | LMMU | Pasadena, Calif., school district calls $56.75 million of 2002 bonds
|
7/15/2011 | IGLM | Allegheny Generating calls $100 million 6.875% debentures due 2023
|
7/15/2011 | CVLM | Helios and Matheson redeems all $15 million of its convertible bonds
|
7/15/2011 | LMMU | Stanislaus, Calif., calls $9.57 million of 7.15% bonds due 2013
|
7/15/2011 | LMMU | California Statewide's Western University bonds have mandatory tender
|
7/15/2011 | EMIGLM | Chile's AES Gener launches tender and exchange offer for 7.5% notes
|
7/15/2011 | LMMU | University of Texas System calls all series 2001 B, C revenue bonds
|
7/14/2011 | EMHYLM | China Forestry Holdings tenders for up to $120 million of 73/4% notes
|
7/14/2011 | LM | Arcade Finance to buy back €225 million floating-rate notes due 2013
|
7/14/2011 | LMMU | Sunshine State Financing's $98.58 million bonds have mandatory tender
|
7/14/2011 | HYLM | International Coal redeems $200 million 9 1/8% second-priority notes
|
7/14/2011 | CVLM | BBVA sets conversion price for July 15 mandatory conversion of bonds
|
7/14/2011 | LMMUPF | Nuveen Michigan to redeem $87.33 million auction-rate preferreds
|
7/14/2011 | IGLMMUPF | Nuveen Ohio muni fund to redeem $73 million auction-rate preferreds
|
7/14/2011 | CVLM | Biofrontera extends exchange offer for convertible bonds due 2012
|
7/14/2011 | LMMU | Denver's $75.7 million airport system bonds have mandatory tender
|
7/14/2011 | CVLM | Digital Realty calls 4.125% exchangeables, announces put option
|
7/14/2011 | LMMU | Florida to redeem $200.93 million Department of Transportation bonds
|
7/14/2011 | CVLM | Medical Properties holders tender 84.76% of MPT's 9.25% exchangeables
|
7/14/2011 | LMMU | Miami-Dade County calls $112.09 million Miami Children's Health bonds
|
7/13/2011 | LM | White Tower asks holders to amend terms of class E mortgage-backed floating-rate notes
|
7/13/2011 | HYLM | El Paso begins $750 million tender offer for 10 series of notes
|
7/13/2011 | CALM | World Financial Split to start issuer bid for preferreds on Friday
|
7/13/2011 | HYLM | El Pollo Loco gets tenders for $257.33 million of 113/4%, 141/2% notes
|
7/13/2011 | CVLM | International Coal offers to buy back 9%, 4% convertibles at par
|
7/13/2011 | HYLMPV | New York Times to repay $250 million 14.053% notes early on Aug. 15
|
7/13/2011 | DDHYLM | SeaBird Exploration to hold July 21 meeting to seek bond extension
|
7/13/2011 | LMMU | Atlanta calls $485.6 million of series 2000 airport revenue bonds
|
7/13/2011 | HYIGLM | GFI to use senior notes proceeds to redeem notes due 2013, repay loan
|
7/13/2011 | LMMU | Los Angeles MTA's 2008-A sales tax revenue bonds have mandatory tender
|
7/13/2011 | HYLM | Chiquita removes tender cap for 8 7/8% notes, extends early deadline
|
7/12/2011 | HYLM | Vanguard Health to redeem $95.2 million of 10 3/8% notes due 2016
|
7/12/2011 | CVLM | Trina Solar holders may put back 4% convertible notes on Aug. 9
|
7/12/2011 | ABLM | Holders of Carlyle's class A, B and C notes exercise put option
|
7/12/2011 | IGLM | Marsh & McLennan gives early results in offer for 5.375%, 5.75% notes, raises cap amounts
|
7/12/2011 | DDEMHYLM | Argentina's MetroGas to offer exchange of unsecured debt for new notes
|
7/12/2011 | AGLM | FFCB calls $117 million consolidated systemwide bonds at par
|
7/12/2011 | LM | ANZ Banking accepts tenders for A$495 million floating-rate CDs
|
7/12/2011 | EMHYLM | Argentina's Loma Negra, Caue Finance push back early tender deadline
|
7/12/2011 | AGLM | Fannie Mae to redeem $375 million medium-term notes at par on July 22
|
7/12/2011 | LMMU | Corporate Finance calls $1.1 million of Central Utah Medical notes
|
7/12/2011 | EMHYLM | Cosipa seeks holder consent to amend 81/4% notes, relax covenant terms
|
7/12/2011 | CVLM | Kendle accepts $140.42 million in tender for 3.375% convertible notes
|
7/12/2011 | LMMU | Illinois authorities call $237.27 million of Loyola University bonds
|
7/12/2011 | HYLM | El Pollo Loco, parent again extend tender offers for 113/4%, 141/2% notes
|
7/12/2011 | CVLM | Metal Storm seeks holders' OK to extend convertibles by six months
|
7/11/2011 | LMMU | Vermont Student Assistance accepts tenders for $16.1 million of bonds
|
7/11/2011 | LM | Citigroup tenders for five series of notes issued by Bryant Park CDO
|
7/11/2011 | LMMU | American Public Energy, Neb., calls some 2003A, B gas supply bonds
|
7/11/2011 | HYLM | Anglian Water Services sets new issue spread range for exchange offers
|
7/11/2011 | AGLM | FFCB calls $25 million 3.35% consolidated systemwide bonds at par
|
7/11/2011 | LMMU | Cedar Rapids, Iowa, to redeem some 2005 Mercy Medical Center bonds
|
7/11/2011 | HYLM | Omnicare calls $25 million 6 1/8% senior subordinated notes due 2013
|
7/11/2011 | AGLM | Fannie Mae plans to redeem $1.05 billion medium-term notes at par
|
7/11/2011 | LMMU | Massachusetts Development calls some Newbridge on the Charles bonds
|
7/11/2011 | HYLM | Swift Transportation calls $11 million second-priority notes due 2015
|
7/11/2011 | CADDHYLMPF | Bank of Ireland meets condition for issuing notes under exchange offer
|
7/11/2011 | LMMU | Tampa Bay Regional Water, Fla., defeases, calls $112.39 million bonds
|
7/11/2011 | HYLM | Thermon calls $24.6 million of 91/2% senior secured notes due 2017
|
7/11/2011 | CVLM | Medical Properties sets pricing in tender offer for MPT's 9.25% notes
|
7/11/2011 | LMMU | Texas Water Development calls $64.15 million of 2000A revenue bonds
|
7/11/2011 | HYLM | Warner Music units get consents needed to amend three series of notes
|
7/11/2011 | CVLM | National Bank of Abu Dhabi buys back AED 5 million 2018 convertibles
|
7/8/2011 | AGLM | FFCB to redeem $165 million consolidated systemwide bonds at par
|
7/8/2011 | HYLM | WII Components gets tenders, consents for all 10% notes by early date
|
7/8/2011 | CVLM | Theolia announces conversion of 1.59 million Oceane bonds in June
|
7/8/2011 | AGLM | Fannie Mae plans to redeem $2.85 billion medium-term notes at par
|
7/8/2011 | LMMU | Lincoln, Neb., calls $138.57 million of electric system revenue bonds
|
7/8/2011 | EMHYLM | Argentina's Transener offers to exchange, buy back 2016 class 1 notes
|
7/8/2011 | CADDHYLMPF | Bank of Ireland releases results of exchange offers, consent bids
|
7/8/2011 | LMMU | Massachusetts HEFA calls $135.86 million Harvard University bonds
|
7/8/2011 | LM | Abbey National Treasury to redeem £4 billion floaters from two series
|
7/8/2011 | CALM | Faircourt issues call to redeem C$14 million 6.25% preferreds July 22
|
7/8/2011 | LMMU | Metropolitan Water District of Southern California series 2009A-2 bonds have new tender period
|
7/8/2011 | HYLM | HollyFrontier offers 101 for Frontier Oil's 81/2% notes, 6 7/8% notes
|
7/8/2011 | CVLM | Holloway arranges automatic purchase plan for 6.5% convertibles
|
7/8/2011 | LMMU | Tobacco Settlement, N.Y., to redeem $826.06 million revenue bonds
|
7/8/2011 | HYLM | STX Europe to prepay NOK 250 million 14% senior bonds due 2012 at 107
|
7/8/2011 | CVLM | Lawson holders may put back 2.5% convertibles after merger with GGC
|
7/7/2011 | HYLM | PharmaNet holders get until Tuesday to tender 10 7/8% notes in offer
|
7/7/2011 | CVLM | Level 3 holders agree to convert $127.96 million of 15% convertibles
|
7/7/2011 | HYLM | Primus to redeem $11.63 million 141/4% notes not tendered for exchange
|
7/7/2011 | CVLM | School Specialty to exchange another $57.5 million 3.75% convertibles
|
7/7/2011 | HYLM | Windsor Financing extends tender offers for note series to month-end
|
7/7/2011 | DDLM | Sigma Finance accelerates Swiss-franc denominated notes to July 19
|
7/7/2011 | IGLM | M.D.C. holders tender no additional 5.5%, 7% notes after early deadline
|
7/7/2011 | HYLM | Graham Packaging units start tender offers for 9 7/8% notes, 81/4% notes
|
7/7/2011 | LMPV | Aberdeen Asset Management repays $125 million 7.2% notes due 2016
|
7/7/2011 | HYLM | MTR Gaming Group begins tender offers for 9% notes, 12 5/8% notes
|
7/7/2011 | AGLM | FFCB to redeem $100 million consolidated systemwide bonds at par
|
7/6/2011 | LMMU | New Jersey Health Care calls some Jersey City Medical Center bonds
|
7/6/2011 | HYLM | Universal City calls $78.75 million 10 7/8%, $140 million 8 7/8% notes
|
7/6/2011 | LMMU | Omaha Public Power calls some 1993C electric system revenue bonds
|
7/6/2011 | LMMU | Clarksville, Tenn., calls some Tennessee Municipal Bond Fund bonds
|
7/6/2011 | LMMU | Orlando-Orange County's $149.76 million bonds have mandatory tender
|
7/6/2011 | LMMU | Miami-Dade, Fla., school board calls portion of series 2002A COPs
|
7/6/2011 | AGLM | FFCB to redeem $476 million consolidated systemwide bonds at par
|
7/6/2011 | LMMU | Palm Beach County School Board, Fla., calls $115.35 million COPs
|
7/6/2011 | LMMU | Montgomery County, Tenn., to redeem some series 2002 loan pool bonds
|
7/6/2011 | CVLM | Kendle extends tender offer for 3.375% convertible notes to July 11
|
7/6/2011 | LMMU | Seattle to redeem $85.89 million series 2001 limited tax G.O. bonds
|
7/6/2011 | LMMU | Municipal Corrections Finance, Del., calls some revenue bonds
|
7/6/2011 | HYLM | Unifi issues call to redeem $10 million 111/2% notes due 2014 on Aug. 5
|
7/5/2011 | LMMU | Los Angeles Community College calls $425.39 million of G.O. bonds
|
7/5/2011 | LM | Notting Hill Housing Trust holders approve amendments to 5.25% notes
|
7/5/2011 | CVLM | Evraz issues clean-up call for last $1.1 million of 7.25% convertibles
|
7/5/2011 | LMMU | Weber County, Utah, calls $75 million IHC Health revenue bonds
|
7/5/2011 | LMMU | Missouri Higher Education Loan calls $225 million revenue bonds
|
7/5/2011 | HYLM | Primus holders tender $205.94 million of 13%, 141/4% notes for exchange
|
7/5/2011 | CVLM | PDL BioPharma redeems all $133.5 million 2% convertibles for cash
|
7/5/2011 | LMMUPF | BlackRock MuniYield calls $33 million auction-rate preferreds shares
|
7/5/2011 | LMMU | North Texas Tollway to redeem $100 million 2008J revenue bonds July 8
|
7/5/2011 | IGLM | Glencore Finance calls remaining $400 million of 8% perpetual notes
|
7/5/2011 | DDHYLM | Irish Life redeems step-up notes from two series at 0.001% of par
|
7/5/2011 | AGLM | FFCB calls $15 million 3.58% consolidated systemwide bonds at par
|
7/5/2011 | LMMU | Palm Beach County School Board, Fla., calls $289.45 million COPs
|
7/5/2011 | LMMU | Harris County Health, Texas, redeems portion of Baylor College bonds
|
7/5/2011 | EMLM | Singapore's Star Topaz redeems outstanding secured floaters due 2013
|
7/5/2011 | AGLM | Fannie Mae plans to redeem $825 million of medium-term notes at par
|
7/5/2011 | LMMU | Puerto Rico Housing Finance gets tenders for $155.18 million of collateralized mortgage obligations
|
7/5/2011 | LMMU | Kentucky building commission to redeem $155.53 million revenue bonds
|
7/5/2011 | EMLM | South Africa's FirstRand buys back €267.5 million floaters in offer
|
7/5/2011 | CALMPF | Lifeco Split issues call to redeem 34,146 preferred shares on July 29
|
7/5/2011 | LMMU | Trinity River Authority, Texas, calls $77.56 million of revenue bonds
|
7/1/2011 | LMMUPF | BlackRock MuniHoldings New Jersey calls $172.7 million preferreds
|
7/1/2011 | EMLM | Philippine National Bank to redeem all PHP 5.5 billion 10% notes
|
7/1/2011 | LMMU | Puerto Rico Public Finance to redeem all 2001 series A bonds
|
7/1/2011 | CVLM | SVG Capital prepays £1 million convertibles, £18.6 million loan notes
|
7/1/2011 | LMMU | Eastern Municipal Water District, Calif.'s $112.01 million COPs have mandatory tender July 21
|
7/1/2011 | LMMUPF | BlackRock MuniHoldings calls $274.65 million auction market preferreds
|
7/1/2011 | HYLM | Downstream Development holders tender 100% of 12% notes, 151/2% notes
|
7/1/2011 | LMMU | Puerto Rico Sales Tax Financing calls $700 million series 2009A bonds
|
7/1/2011 | DDHYLM | Allied Irish subordinated debt order effective, note terms amended
|
7/1/2011 | LMMU | Kansas City, Mo., 2008E H. Roe Bartle bonds have mandatory tender
|
7/1/2011 | AGLM | Fannie Mae plans to redeem $1.96 billion securities at par
|
7/1/2011 | LMMUPF | BlackRock MuniYield calls $218.45 million auction market preferreds
|
7/1/2011 | HYLM | El Pollo Loco, parent extend tender offers for 113/4% notes, 141/2% notes
|
7/1/2011 | LMMU | Willacy County, Texas, calls $54.16 million 6.875% bonds due 2028
|
7/1/2011 | DDHYLM | Irish Life gets tenders for €507.02 million of lower tier 2 notes
|
7/1/2011 | LMMU | Massachusetts Water Pollution Abatement Trust calls all series 7 bonds
|
7/1/2011 | CVLM | CapitaMall buys back, cancels S$100 million 1% convertibles due 2013
|
7/1/2011 | HYLM | IFCO Systems buys back or redeems all remaining 10% notes due 2016
|
7/1/2011 | LMMU | Yuma, Ariz., authority calls portion of Yuma Regional Medical bonds
|
7/1/2011 | DDLM | PCAS bondholders to vote at meeting whether to extend maturity to 2016
|
7/1/2011 | LMMU | Massachusetts Water Resources calls all 2002B revenue bonds at 101
|
7/1/2011 | CVLM | Frontier Oil's convertibles putable at 101% on merger with Holly
|
7/1/2011 | HYLMPF | Financial Institutions calls 10.2% notes; FISI Trust calls preferreds
|
7/1/2011 | LMMUPF | BlackRock MuniHoldings New York calls $243.63 million preferreds
|
7/1/2011 | EMLM | Argentina's Central Termica Guemes buys back $40,000 notes due 2013
|
7/1/2011 | LMMU | New Mexico Hospital calls $179.4 million Presbyterian Healthcare bonds
|
7/1/2011 | CVLM | Hutchinson Technology amends exchange offer for 8.5% convertibles
|
7/1/2011 | LMMU | Charlotte, N.C., calls $144.93 million water and sewer system bonds
|
6/30/2011 | IGLMMUPF | Nuveen California to redeem $135.53 million of auction-rate preferreds
|
6/30/2011 | EMHYLM | China Automation buys back $7 million of 73/4% senior notes due 2016
|
6/30/2011 | CVDDLM | Southpaw extends tender offer for Eddie Bauer's 5.25% convertibles
|
6/30/2011 | LMMU | Pennsylvania Higher Education accepts tenders for auction-rate bonds in oversubscribed offer
|
6/30/2011 | IGLMMUPF | Nuveen Insured California to redeem $103.75 million MuniPreferreds
|
6/30/2011 | LM | Caixa Galicia repurchases €59.45 million series B step-up notes
|
6/30/2011 | CVLM | Beckman Coulter holders may put 2.5% convertibles after control change
|
6/30/2011 | LMMU | American Self Storage calls $21.44 million of taxable securities
|
6/30/2011 | HYLM | ITV buys back £110 million floaters and £73.6 million 5 3/8% notes
|
6/30/2011 | CVLM | Gigaset sets conversion ratio for bonds to be exchanged on Thursday
|
6/30/2011 | LMMU | Hawaii to redeem $50.25 million general obligation bonds at par
|
6/30/2011 | HYLM | Stratus Technologies accepts tenders for $5 million units of 12% notes
|
6/30/2011 | CVLM | India's Pidilite issues 232,926 shares in exchange for convertibles
|
6/30/2011 | AGLM | FFCB calls $107 million 2.92% consolidated systemwide bonds at par
|
6/30/2011 | LMMU | Michigan State Hospital defeases $11.66 million of Trinity bonds
|
6/30/2011 | IGLM | Beckman Coulter calls four note series after acquisition by Danaher
|
6/30/2011 | CVLM | Japan Airlines repurchases ¥2.35 billion convertibles due 2011
|
6/30/2011 | CAHYLM | AbitibiBowater pays off $270 million of debt with ACH proceeds
|
6/30/2011 | LMMU | New York City Municipal Water to redeem $58.97 million 5% bonds
|
6/29/2011 | LMMU | Philadelphia calls portions of 1997, 2005 water and wastewater bonds
|
6/29/2011 | HYLM | Rainbow says all $325 million 10 3/8% notes tendered by early deadline
|
6/29/2011 | CVLMPP | TimberWest to call 9% convertibles after exchange for listed notes
|
6/29/2011 | LMMU | Philadelphia to redeem $96.3 million gas works revenue bonds at par
|
6/29/2011 | AGLM | FFCB calls $160 million consolidated systemwide bonds at par
|
6/29/2011 | LMMU | Lemhi County Industrial Development, Idaho's Formation Capital bonds have mandatory tender
|
6/29/2011 | LM | Land Securities repurchases £9,000 of 5.376% class A6 notes due 2029
|
6/29/2011 | LMMU | Puerto Rico calls $206.9 million of 2011B public improvement bonds
|
6/29/2011 | AGLM | Fannie Mae to redeem $100 million 2.75% MTNs due 2015 on July 13
|
6/29/2011 | LMMU | Maury County, Tenn., Industrial Development calls $75 million bonds
|
6/29/2011 | LM | Old Mutual accepts tenders for €550.1 million of fixed-to-floaters
|
6/29/2011 | LMMU | San Jose, Calif., to redeem $131.34 million 1998A, 2001A airport bonds
|
6/29/2011 | CALM | Shaw Communications calls all $260.38 million 13.5% notes due 2015
|
6/29/2011 | LMMU | Metropolitan Water District of Southern California 2009A-2 revenue bonds have mandatory tender
|
6/29/2011 | HYLM | PharmaNet holders get one more week to tender 10 7/8% notes in offer
|
6/29/2011 | CVLM | Commonwealth Managed to purchase A$300 million convertibles in tender
|
6/29/2011 | LMMU | Pasco County School Board Leasing, Fla., calls some 2008A, 2008C COPs
|
6/29/2011 | HYLM | R.E.A. buys back £2.46 million 91/2% guaranteed sterling notes at 105.45
|
6/29/2011 | CVLM | Retrocom Mid-Market REIT calls all 7.5% convertibles due 2012 at par
|
6/28/2011 | LMPP | Aspocomp wraps tender offer, buys back 94.9% convertibles in all
|
6/28/2011 | HYLM | Chiquita Brands tenders for $100 million of its 8 7/8% notes due 2015
|
6/28/2011 | EMHYLM | Argentina's Loma Negra, Caue Finance tender for 71/4%, 8 7/8% notes
|
6/28/2011 | HYLM | Windsor Petroleum tallies consents from holders of 96% of 7.84% notes
|
6/28/2011 | EMLM | Banco Central de Cuba to hold meeting for series B bondholders
|
6/28/2011 | LMMU | Massachusetts Bay Transportation defeases $261.57 million of bonds
|
6/28/2011 | EMLM | China's ENN Energy redeems all 7 3/8% notes for $220.54 million
|
6/28/2011 | AGLM | FFCB calls $225 million consolidated systemwide bonds at par
|
6/28/2011 | LMMU | New York Municipal Water calls $63.44 million 5% crossover bonds
|
6/28/2011 | LM | Endesa accepts 87.91% of €1.5 billion preferred shares for redemption
|
6/28/2011 | AGLM | Fannie Mae plans to redeem $300 million medium-term notes at par
|
6/28/2011 | LMMU | San Francisco Airport Commission plans to redeem $178.42 million bonds
|
6/28/2011 | LM | Leeds Building Society cancels £300 million covered bonds due 2012
|
6/28/2011 | CVLM | Pasdec redeems portion of series 2 rainbow exchangeable bonds
|
6/27/2011 | LMMU | Illinois Finance calls $1.56 million of Swedish Covenant bonds
|
6/27/2011 | IGLM | Citigroup gets tenders for more than $1.25 billion of four note series
|
6/27/2011 | EMLM | Icici Bank UK calls $25 million 2007B floating-rate notes due 2016
|
6/27/2011 | LMMU | Lexington Hospital, S.C., to defease, call up to $94.03 million bonds
|
6/27/2011 | IGLM | Commonwealth Bank of Australia calls $200 million step-up notes
|
6/27/2011 | EMLM | Malaysia's DiGi.Com unit gets approval to redeem RM 550 million notes
|
6/27/2011 | AGLM | FFCB calls $316 million consolidated systemwide bonds at par
|
6/27/2011 | LMMU | Mission Economic, Texas, Allied Waste bonds have mandatory tender
|
6/27/2011 | IGLM | Marsh & McLennan tenders for up to $500 million 5.375%, 5.75% notes
|
6/27/2011 | HYLM | McClatchy gets no takers in offer to buy back 111/2% notes due 2017
|
6/27/2011 | AGLM | Fannie Mae plans to redeem $700 million medium-term notes at par
|
6/27/2011 | LMMU | Durham County, N.C., $63 million bonds have mandatory tender
|
6/27/2011 | HYLM | Norse Energy holders OK amending bond agreements to change borrower
|
6/27/2011 | CVLM | Pasdec redeems portion of series 2 rainbow exchangeable bonds
|
6/27/2011 | LMMU | Educational Funding, Calif., rescinds $71.35 million bond call
|
6/27/2011 | HYLM | Warner Music units launch tender offers for 7 3/8%, 8 1/8%, 91/2% notes
|
6/27/2011 | DDHYLMPF | NovaStar holders tender 88.8% of series C preferreds in exchange offer
|
6/24/2011 | LMMU | New York City Water Finance to redeem seven series of revenue bonds
|
6/24/2011 | HYLM | Range Resources completes redemption of 6 3/8% notes, 71/2% notes
|
6/24/2011 | CVLM | Evraz converts nearly all 7.25% convertibles after cash incentive
|
6/24/2011 | LMMU | Purdue University redeems $31.86 million student facilities bonds
|
6/24/2011 | HYLM | WII Components tenders, solicits consents for all 10% notes due 2012
|
6/24/2011 | CVLM | IFCO sets redemption price for 10% guaranteed senior notes due 2016
|
6/24/2011 | AGLM | FFCB calls $330 million 1.5% consolidated systemwide bonds at par
|
6/24/2011 | HYLMPF | Titanium Metals issues call to redeem all 63/4% preferreds on June 28
|
6/24/2011 | CVLM | Japan Airlines repurchases ¥1.4 billion convertibles due 2011
|
6/24/2011 | AGLM | Fannie Mae plans to redeem $555 million medium-term notes at par
|
6/24/2011 | LMMU | Franklin County, Ohio, calls $186.7 million OhioHealth hospital bonds
|
6/24/2011 | EMLM | Kazakhstan's KazMunayGas buys back KZT 33.72 billion 7% bonds due 2013
|
6/24/2011 | CVHYLMPF | NovaStar gets needed consents in offers for 8.9% series C preferreds, 9% series D1 convertibles
|
6/24/2011 | LMMU | Georgia to redeem $273.19 million outstanding 2006H demand bonds
|
6/24/2011 | EMLM | Philippines' International Container holders OK 7 3/8% notes changes
|
6/24/2011 | CVLM | Central European Media Enterprises swaps new notes for $52.3 million 3.5% convertibles
|
6/23/2011 | LMMU | South Carolina Public Service calls $468.68 million revenue bonds
|
6/23/2011 | CVLM | BBVA orders conversion of €2 billion of mandatory convertible bonds
|
6/23/2011 | LMMU | Stamford, Conn., defeases and calls $23.8 million of G.O. bonds
|
6/23/2011 | EMHYLM | Singapore's Altus Capital gets consents to amend 12 7/8% senior notes
|
6/23/2011 | LMMU | California Infrastructure calls $169.51 million Kaiser Hospital bonds
|
6/23/2011 | LMMU | Maryland Health redeems $350,000 of Kennedy Krieger bonds due 2036
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6/23/2011 | AGLM | FFCB calls $15 million consolidated systemwide bonds at par
|
6/23/2011 | LMMU | New York State Thruway defeases, calls $43.73 million trust fund bonds
|
6/23/2011 | CADDHYLMPF | Bank of Ireland tallies early results of exchange offers for 19 series
|
6/22/2011 | LM | Swedbank completes partial redemption of three series of notes
|
6/22/2011 | EMHYLM | China's Nine Dragons Paper calls remaining $47.58 million 7 7/8% notes
|
6/22/2011 | IGLMPF | Lincoln National calls $275 million 6.75% capital securities due 2066
|
6/22/2011 | AGLM | FFCB calls $167 million consolidated systemwide bonds at par
|
6/22/2011 | HYIGLM | M.D.C. gets tenders for $237 million of 5.5% notes, 7% notes so far
|
6/22/2011 | EMLM | Argentina's Autopistas del Sol buys back $1.55 million more 2020 notes
|
6/22/2011 | LMMU | Philadelphia authority cancels redemption of New Courtland bonds
|
6/22/2011 | CVLM | Hutchinson Technology extends exchange offer for 8.5% convertibles
|
6/22/2011 | HYLM | Alere pays $27.1 million of consent fees, gives exact consent numbers
|
6/22/2011 | EMLM | Bahrain's Arab Banking redeems $33 million floaters due 2017
|
6/22/2011 | LMPF | Denali Fund to purchase some auction preferreds at 95 in tender offer
|
6/22/2011 | CVLM | Sterling Chemicals' convertibles holders to get 81% in Eastman merger
|
6/22/2011 | HYLM | Harbinger gets needed consents allowing it to sell up to $150 million more 10 5/8% notes
|
6/22/2011 | EMLM | South Africa's FirstRand tenders for up to €300 million of floaters
|
6/22/2011 | DDHYLM | Allied Irish Banks awaits ruling on June 25 note payment obligation
|
6/22/2011 | HYLM | Vanguard Health to redeem $628.8 million 10 3/8% notes due 2016
|
6/22/2011 | LM | HSBC Bank covered bondholders grant consents to amend bond program
|
6/22/2011 | DDHYLM | Allied Irish Banks calls remaining principal from two series of notes
|
6/22/2011 | IGLM | Aircraft Finance Trust holders supply needed consents for five series
|
6/21/2011 | IGLMPF | Lincoln National to redeem all $275 million 6.75% capital securities
|
6/21/2011 | HYLM | McClatchy offer for 111/2% secured notes due 2017 to end on June 24
|
6/21/2011 | AGLM | Fannie Mae plans to redeem $150 million medium-term notes at par
|
6/21/2011 | LMMU | Brazos Higher Education Authority calls 1999, 2006 student loan bonds
|
6/21/2011 | HYLMPF | Crown Media to pay off loan, redeem preferreds with notes proceeds
|
6/21/2011 | CAHYLM | CCS pulls tender offer for 11% notes due to terminated notes offering
|
6/21/2011 | LMMU | Educational Funding Services calls $71.35 million student loan bonds
|
6/21/2011 | IGLM | BAE Systems to redeem all $765.68 million of 6.879% bonds on June 23
|
6/21/2011 | CVLM | Commonwealth Managed Investments tenders for convertibles due 2014
|
6/21/2011 | LMMU | Massachusetts HEFA calls portion of 2005G Baystate Medical bonds
|
6/21/2011 | IGLM | Motorola Solutions wraps oversubscribed $540 million tender offer
|
6/21/2011 | CVLM | Japan Airlines repurchases ¥2.07 billion convertibles due 2011
|
6/21/2011 | LMMU | Philadelphia Industrial calls $52.67 million New Courtland Elder bonds
|
6/21/2011 | IGLM | Union Pacific accepts $857.44 million of notes for exchange in offer
|
6/21/2011 | CVLM | NuVasive to buy back up to $230 million of 2.25% convertibles due 2013
|
6/21/2011 | AGLM | FFCB calls $52 million 3.25% consolidated systemwide bonds at par
|
6/21/2011 | LMMU | Wichita Falls, Texas, calls $103.09 million water and sewer bonds
|
6/20/2011 | HYLM | Allis-Chalmers to redeem $125 million 9% senior notes due 2014 in July
|
6/20/2011 | AGLM | Fannie Mae plans to redeem $7.65 billion medium-term notes at par
|
6/20/2011 | HYLM | Rexam: €62 million notes due 2013 bought back in last two years
|
6/20/2011 | CAHYLM | Catalyst Paper mulls alternatives for $250 million of 7 3/8% notes
|
6/20/2011 | HYLM | W&T Offshore to redeem $43.85 million 81/4% senior notes due 2014
|
6/20/2011 | CVLM | Blackboard holders may put back 3.25% convertibles until June 29
|
6/20/2011 | LMMU | Sacramento City Financing Authority calls portion of Arco Arena bonds
|
6/20/2011 | CVLM | Institutional Financial Markets begins exchange offer for convertibles
|
6/20/2011 | LMMU | San Antonio Independent School District calls $101.98 million bonds
|
6/20/2011 | DDHYLM | Allied Irish Banks calls remaining principal from 10 series of notes
|
6/20/2011 | AGLM | FFCB calls $77 million 3.94% consolidated systemwide bonds at par
|
6/17/2011 | HYLM | Norse asks holders to amend bond agreements to change borrower
|
6/17/2011 | DDLMMU | Massachusetts Development's Linden Ponds bonds have mandatory tender
|
6/17/2011 | LMMU | Brazos Higher Education calls 2006, 2007 student loan revenue bonds
|
6/17/2011 | CVLM | BE Semiconductor holders convert remaining 5.5% notes ahead of call
|
6/17/2011 | HYLM | Ventas to redeem $200 million 61/2% senior notes due June 1, 2016
|
6/17/2011 | EMLM | CapitaCommercial to purchase tendered Silver Oak floaters June 21
|
6/17/2011 | LMMU | Edinvest, Texas, calls $150.3 million of 2005, 2006 student loan notes
|
6/17/2011 | CVLM | Credit Suisse may only acquire Cameron's 2.5% convertibles on June 29
|
6/17/2011 | HYLM | Windsor Petroleum seeks holder consent to sell 7.84% notes collateral
|
6/17/2011 | AGLM | FFCB calls $204 million consolidated systemwide bonds at par
|
6/17/2011 | EMLM | Hong Kong's Hang Seng Bank to redeem $450 million floaters due 2016
|
6/17/2011 | LMMU | Philadelphia authority calls $52.67 million of New Courtland bonds
|
6/17/2011 | CVLM | Kendle increases tender offer payment for 3.375% convertibles
|
6/17/2011 | IGLM | Texas Gas Transmission calls $115 million 5.5% senior notes due 2013
|
6/17/2011 | AGLM | Fannie Mae plans to redeem $6.43 billion securities at par
|
6/17/2011 | HYIGLM | International Lease completes tender offer for multiple notes series
|
6/17/2011 | LMMU | University of Texas calls portion of 2008A university fund bonds
|
6/17/2011 | CVLM | WesternOne issues call to redeem all 9% series A convertibles due 2011
|
6/17/2011 | IGLMPF | Duke Realty calls 7.25% series N preferreds, depositary shares
|
6/17/2011 | CAHYLM | Videotron to redeem 6 7/8% notes due 2014 with new notes proceeds
|
6/17/2011 | HYIGLM | Valmont redeems $150 million 6.875% notes due 2014 at 101.146
|
6/17/2011 | DDEMLM | KazakhGold holders consent to changes for $200 million 9 3/8% notes
|
6/17/2011 | LMMU | Academic Finance calls all $53.8 million of 2006A-1 student loan notes
|
6/17/2011 | CVHYLM | Alere gets noteholder consent to repurchase convertible preferreds
|
6/16/2011 | DDHYLM | Allied Irish Banks reveals tender results for 15 series of securities
|
6/16/2011 | LMMU | Richmond, Va., calls $5.44 million of 4.5% G.O. bonds due 2012
|
6/16/2011 | CVLM | Hutchinson's 8.5% convertibles to be swapped for 3.25% convertibles will count as reopening
|
6/16/2011 | LMMU | Missouri HEFA calls $105.77 million Washington University bonds
|
6/16/2011 | IGLM | Citibank gets tenders for $4.9 billion of asset-backed securities
|
6/16/2011 | HYLM | AIB Mortgage Bank to repurchase remaining €280 million floaters
|
6/16/2011 | LMPF | Merge Healthcare to redeem all outstanding series A preferred stock
|
6/16/2011 | CVLM | Legg Mason plans retirement of 5.6% notes, part of equity units
|
6/16/2011 | LMMU | Missouri HEFA plans to defease, redeem $73.36 million 5% bonds
|
6/16/2011 | IGLM | Maiden Holdings plans to redeem Maiden Capital 14% trust preferreds
|
6/16/2011 | HYLM | International Coal Group calls $200 million 9 1/8% notes due 2018
|
6/16/2011 | CVLM | Liberty Global holders tender 99.8% of convertibles in exchange offer
|
6/16/2011 | LMMU | North Central Texas Health calls $91.66 million Baylor Health bonds
|
6/16/2011 | IGLM | Toll Brothers buys back $45.09 million 6.875% notes due 2012
|
6/16/2011 | HYLM | Merge Healthcare gets consents needed to issue additional 113/4% notes
|
6/16/2011 | CVLM | Photronics acquires $5 million of 5.5% convertibles with cash, stock
|
6/16/2011 | LMMU | Philadelphia Hospitals and Higher Education calls $3 million of bonds
|
6/16/2011 | LMMU | Indiana Finance Authority calls $2.06 million Community Health bonds
|
6/16/2011 | HYLM | Pokagon Gaming begins tender offer, seeks consents for 10 3/8% notes
|
6/16/2011 | CVLM | Yangaroo to seek holder approval to amend terms of convertibles
|
6/16/2011 | LMMU | Puerto Rico Highway calls $26.68 million of revenue bonds due 2013
|
6/16/2011 | AGLM | FFCB calls $67 million 3.98% bonds, $30 million 5.875% bonds at par
|
6/16/2011 | LMMU | Louisiana cancels redemption of $7.98 million of G.O. refunding bonds
|
6/16/2011 | IGLM | BAE Systems gets consents to redeem $765.68 million 6.879% bonds
|
6/15/2011 | IGLM | Fiserv calls $300.2 million 6.125% notes due 2012 for redemption
|
6/15/2011 | HYLM | Harbinger seeks consents to sell up to $150 million more 10 5/8% notes
|
6/15/2011 | LMMU | Massachusetts HEFA calls some series O-1 pool loan program bonds
|
6/15/2011 | CVLM | Medical Properties begins tender offer for MPT's 9.25% exchangeables
|
6/15/2011 | IGLM | HSBC Finance calls $300 million 6.875% notes, $300 million 6% notes
|
6/15/2011 | HYLM | Morris Publishing redeems $322,286 more floaters due 2014
|
6/15/2011 | LMMU | Multnomah County, Ore., Hospital Facilities calls some Mirabella bonds
|
6/15/2011 | DDHYLM | EBS calls perpetuals, gets tenders for 100% of three series of notes
|
6/15/2011 | AGLM | FFCB calls $300 million consolidated systemwide bonds at par
|
6/15/2011 | LMMU | California Earthquake calls $31.5 million of 6.619% bonds due 2016
|
6/15/2011 | HYLM | Qwest issues call to redeem $825 million 7 7/8% notes on June 16
|
6/15/2011 | LMMU | Pennsylvania Turnpike Commission calls all 2001 registration fee bonds
|
6/15/2011 | EMLM | Argentina's Autopistas del Sol buys back $1.19 million more 2020 notes
|
6/15/2011 | CAHYLM | Gibson Energy gets tenders for all 10% notes, nearly all 113/4% notes
|
6/15/2011 | LMMU | Houston Airport System calls portions of 2002C, 2002D-2 revenue bonds
|
6/15/2011 | HYLM | R.R. Donnelley accepts $416.19 million of notes in tender offers
|
6/15/2011 | LMMU | University of Virginia to redeem all $82.01 million 2003A bonds
|
6/15/2011 | LM | HSBC Bank announces passing of consent fee deadline for covered bonds
|
6/15/2011 | CVLM | Anixter calls $56.71 million zero-coupon convertibles due 2033
|
6/15/2011 | LMMU | Houston Independent School calls $59.1 million maintenance tax notes
|
6/15/2011 | HYLM | Rainbow National Services tenders for all $325 million 10 3/8% notes
|
6/15/2011 | LM | Sveriges Bostadsfin repurchases €15 million of floaters due 2011
|
6/15/2011 | CVLM | International Coal begins make-whole conversion period for 9% notes
|
6/15/2011 | LMMU | Kent Hospital, Mich., calls $82.87 million Spectrum Health bonds
|
6/14/2011 | LMMU | California Municipal Finance's $137.65 million Republic Services bonds have mandatory tender
|
6/14/2011 | HYLM | CKE Restaurants calls $40 million of 11 3/8% notes due 2018 at 103
|
6/14/2011 | CAHYLM | Canadian Satellite Radio 123/4% notes exchange offer to end June 16
|
6/14/2011 | LMMU | Mississippi Development Bank calls $31.35 million MGAM Project bonds
|
6/14/2011 | HYLM | Correction: Vulcan obtains early tenders for $290.3 million 5.6%, 6.3% notes in oversubscribed offer
|
6/14/2011 | CVLM | Japan Airlines repurchases ¥218 million convertibles due 2011
|
6/14/2011 | HYLM | Hilcorp to redeem $200 million 9% senior notes due 2016 on July 14
|
6/14/2011 | DDHYLM | Allied Irish Banks delivers early results of tenders for liabilities
|
6/14/2011 | AGLM | FFCB calls $325 million consolidated systemwide bonds at par
|
6/14/2011 | HYLMPV | Symbion buys back $70.8 million PIK toggle notes, issues 8% exchangeables for $85.4 million
|
6/14/2011 | EMIGLM | Brazil's Itau Unibanco plans full redemption of 8.7% securities
|
6/14/2011 | AGLM | Fannie Mae plans to redeem $1.8 billion medium-term notes at par
|
6/14/2011 | IGLM | Aircraft Finance Trust prolongs consent solicitation for five series
|
6/14/2011 | HYLM | CIT gets tenders for $8.77 billion 7% series A notes in exchange offer
|
6/14/2011 | CADDHYLMPF | Bank of Ireland amends exchange offer for 13 3/8% perpetual bonds
|
6/13/2011 | LMMU | Corporate Finance calls $2.95 million of Central Utah Medical notes
|
6/13/2011 | HYLM | Ascent's offer for Meridian floaters expires; no notes are purchased
|
6/13/2011 | CVHYLM | Alere further extends consent solicitations, increases consent fees
|
6/13/2011 | LMMU | Metropolitan Transportation Authority, N.Y., calls $204.2 million of commuter facilities bonds
|
6/13/2011 | AGLM | FFCB calls $175 million 1% consolidated systemwide bonds at par
|
6/13/2011 | HYLM | PharmaNet extends tender offer for 10 7/8% notes, increases price
|
6/13/2011 | CVLM | CapitaMall holders put S$87.75 million 1% convertible bonds due 2013
|
6/13/2011 | LMMU | South Carolina Public Service calls $234.86 million revenue bonds
|
6/13/2011 | AGLM | Fannie Mae plans to redeem $2.23 billion medium-term notes at par
|
6/13/2011 | HYLM | Vulcan obtains early tenders for 94.86% of 5.6% notes and 6.3% notes in oversubscribed offer
|
6/13/2011 | CVLM | India's Pidilite issues 116,462 shares in exchange for convertibles
|
6/13/2011 | CADDHYLMPF | Correction: Bank of Ireland's consent solicitations cover 19 series
|
6/13/2011 | IGLM | Popular North America holder exchanges $233.2 million of 6.85% notes
|
6/13/2011 | LM | Land Securities repurchases £19,000 of 5.396% class A7 notes due 2032
|
6/13/2011 | CAHYLM | CCS launches cash tender offer to purchase 11% senior notes due 2015
|
6/13/2011 | LMMU | Bucks County, Pa., authority calls some Grand View Hospital bonds
|
6/13/2011 | HYLM | Arcos Dorados calls $141.4 million of 71/2% senior notes due 2019
|
6/13/2011 | CALMPF | NewGrowth to redeem 37.55% of preferreds, capital shares on June 24
|
6/10/2011 | CADDHYLMPF | Bank of Ireland holders oppose tier 1, 2 securities exchange offers
|
6/10/2011 | LMMU | School Board of Broward County, Fla., calls $52.06 million 2001B COPs
|
6/10/2011 | LMMU | DeKalb Private Hospital, Ga., cancels Children's Healthcare bond call
|
6/10/2011 | HYLM | Gundle/SLT Environmental wraps tender offer, calls remaining 11% notes
|
6/10/2011 | CVLM | Credit Suisse may acquire up to $111 million Cameron 2.5% convertibles
|
6/10/2011 | LMMU | Fulton County Development, Ga., stops Children's Healthcare bond call
|
6/10/2011 | HYLM | Sunstate Equipment calls $107.63 million 101/2% senior notes due 2013
|
6/10/2011 | CVLM | Italian-Thai Development calls remaining 4.5% convertibles due 2013
|
6/10/2011 | LMMU | Hampton, Va., defeases series 2002 convention center revenue bonds
|
6/10/2011 | HYLM | W&T Offshore holders deliver needed tenders, consents for 81/4% notes
|
6/10/2011 | DDHYLM | Perkins & Marie Callender's redeems $28.94 million of 14% senior notes
|
6/10/2011 | AGLM | FFCB calls $50 million 3.3% consolidated systemwide bonds at par
|
6/10/2011 | LMMU | Mississippi Development Bank purchases portions of 2001A bonds
|
6/10/2011 | IGLM | PVNGS Funding calls $12.62 million 8% secured lease bonds due 2015
|
6/10/2011 | LM | Notting Hill Housing to hold meeting for holders of 5.25% notes
|
6/10/2011 | AGLM | Fannie Mae plans to redeem $2.23 billion securities at par
|
6/10/2011 | LMMU | Pennsylvania Higher Education amends tender for auction-rate bonds
|
6/10/2011 | LMMU | Connecticut Student Loan Foundation purchases $63.35 million of bonds
|
6/10/2011 | HYLM | Freescale to redeem $750 million of toggle notes, 8 7/8% notes
|
6/9/2011 | EMLM | Icici Bank UK launches exchange offer for three note series due 2016
|
6/9/2011 | LMMU | Georgia calls $121.28 million of series 2001B G.O. bonds at par
|
6/9/2011 | CVLM | Alpha Natural extends put option for Massey's 3.25% convertibles
|
6/9/2011 | HYLM | Global Crossing unit gets no takers in excess cash offer to buy notes
|
6/9/2011 | EMLM | Thailand's G Steel launches cash tender offer for 3% notes due 2015
|
6/9/2011 | LMMU | Memphis-Shelby County Airport calls $80.95 million of revenue bonds
|
6/9/2011 | CVLM | International Coal to hold make-whole conversion period for 4% convertibles, 9% convertibles
|
6/9/2011 | HYLM | Hughes Communications calls 91/2% notes at 102.375 after EchoStar merger
|
6/9/2011 | LM | Banche Popolari to redeem €154.85 million of bonds at par on June 30
|
6/9/2011 | LMMU | Puerto Rico Housing Finance tenders for $331.67 million of collateralized mortgage obligations
|
6/9/2011 | DDHYLM | Allied Irish Banks amends tender offers for several series of notes
|
6/9/2011 | IGLM | Empire District garners needed consents to amend first mortgage bonds
|
6/9/2011 | AGLM | FFCB calls $63 million consolidated systemwide bonds at par
|
6/9/2011 | HYLM | Clayton Williams calls $81.84 million 73/4% senior notes due 2013
|
6/9/2011 | EMHYLM | Kansas City Southern de Mexico wraps tender offers, redeems remaining 7 5/8%, 7 3/8% notes
|
6/9/2011 | LMMU | California Communities calls $7 million Los Angeles Jewish Home bonds
|
6/9/2011 | CVDDLM | ShengdaTech fails to purchase $25.58 million of 6% convertibles
|
6/9/2011 | HYLM | Crown Holdings plans to redeem €83 million of 61/4% senior secured notes
|
6/9/2011 | EMLM | Bank of Georgia buys back $69.82 million 9% loan participation notes
|
6/9/2011 | LMMU | Florida calls $78.51 million Board of Education refunding bonds
|
6/9/2011 | CVHYLM | Alere gives holders till Monday to consent to convertibles buyback
|
6/9/2011 | HYLM | Freescale to redeem $87 million 10 1/8% notes with greenshoe proceeds
|
6/8/2011 | HYLM | Quintiles ends 91/2% note tender; calls remainder for July 8 redemption
|
6/8/2011 | CVLM | CBIZ holders put back $39.25 million 3.125% convertibles to company
|
6/8/2011 | LMMU | University of Massachusetts authority to redeem 2008-3, 4 bonds Aug. 4
|
6/8/2011 | HYLM | WCA Waste calls all remaining 91/4% senior notes due 2014
|
6/8/2011 | CVLM | Energy XXI issues shares in exchange for 5.625% convertible preferreds
|
6/8/2011 | LMMU | Wisconsin Building defeases, calls $86.23 million of G.O. bonds
|
6/8/2011 | LMMU | Franklin Township School Building, Ind., defeases 2001 refunding bonds
|
6/8/2011 | EMLM | China's Kaisa receives consents to issue more 131/2% notes due 2015
|
6/8/2011 | LMMU | Illinois Finance calls $2.5 million of Landing at Plymouth Place bonds
|
6/8/2011 | HYIGLM | International Lease releases three series in oversubscribed tender
|
6/8/2011 | AGLM | FFCB calls $372 million consolidated systemwide bonds at par
|
6/8/2011 | LMMU | Missouri to redeem all $76.07 million outstanding series 2005A COPs
|
6/8/2011 | HYIGLM | M.D.C. Holdings tenders for up to $250 million 5.5% notes, 7% notes
|
6/8/2011 | CADDHYLMPF | Bank of Ireland begins exchange offers for tier 1, tier 2 securities
|
6/8/2011 | LMMU | Nassau County Industrial Development, N.Y., calls some 2007C Amsterdam at Harborside bonds
|
6/7/2011 | HYLM | Freescale to redeem $750 million notes due 2014 with new note proceeds
|
6/7/2011 | HYIGLM | Valmont to redeem 6.875% notes with $150 million more 6.625% notes
|
6/7/2011 | LMMU | California Infrastructure's Orange County bonds have mandatory tender
|
6/7/2011 | AGLM | Fannie Mae plans to redeem $405 million medium-term notes at par
|
6/7/2011 | HYLM | Primus launches private exchange offer for 13% notes, 141/4% notes
|
6/7/2011 | HYLM | Atrium European cuts pricing in cash tender offer for 6.8% notes
|
6/7/2011 | LMMU | California calls $62.9 million of 5% economic recovery bonds due 2017
|
6/7/2011 | BKHYLM | Endeavour to repay 15% term loan, redeem 12% notes via issue proceeds
|
6/7/2011 | HYLM | Toys 'R' Us to redeem $500 million of 7 5/8% notes due 2011 at par
|
6/7/2011 | HYLM | Broadview begins tender offer, consent solicitation for 11 3/8% notes
|
6/7/2011 | LMMU | New Jersey Economic calls $263.39 million school facilities bonds
|
6/7/2011 | CVHYLM | Alere gives holders one more day to consent to convertibles buyback
|
6/7/2011 | HYLM | WCA Waste holders deliver needed consents to amend 91/4% senior notes
|
6/7/2011 | HYLM | Forbes Energy subsidiaries buy back 97.6% of 11% notes in tender offer
|
6/7/2011 | CVLM | Japan Airlines repurchases ¥180 million convertibles due 2011
|
6/7/2011 | IGLM | Motorola Solutions tenders for up to $540 million of five note series
|
6/7/2011 | HYLM | Frac Tech holders tender $320,000 of 7 1/8% notes after control change
|
6/7/2011 | CVLM | Toppan investors put ¥34.85 billion of 0% convertible bonds due 2026
|
6/7/2011 | IGLM | Union Pacific gets $1.01 billion early tenders in note exchange offer
|
6/7/2011 | AGLM | FFCB calls $847 million consolidated systemwide bonds at par
|
6/6/2011 | LMMU | Mississippi Development $113.83 million bonds have mandatory tender
|
6/6/2011 | HYLM | Friendfinder pays down $9.8 million first-lien, second-lien notes
|
6/6/2011 | CVLM | Massey 3.25% convertible holders get change-of-control put option
|
6/6/2011 | LMMU | Munson tenders for Grand Traverse Hospital Finance, Mich.'s bonds
|
6/6/2011 | IGLM | Fiserv begins tender offer for $1 billion 6.125% notes due 2012
|
6/6/2011 | CVLM | Subsea redeems remaining $166.6 million of 2.8% notes after conversion
|
6/6/2011 | AGLM | FFCB calls $865 million consolidated systemwide bonds at par
|
6/6/2011 | LMMU | University of Massachusetts authority cancels 2008-3, 2008-4 bond call
|
6/6/2011 | IGLM | Union Pacific sets pricing in exchange offer for eight note series
|
6/6/2011 | LM | Holcim holders tender CHF 304.58 million of 2.5% notes, 3% notes
|
6/6/2011 | AGLM | Fannie Mae plans to redeem $1.43 billion securities at par
|
6/6/2011 | LMMUPF | Nuveen California to redeem $43.18 million of auction-rate preferreds
|
6/6/2011 | LMMU | Arizona Transportation Board calls $86.17 million 2001 revenue bonds
|
6/6/2011 | HYLM | Claire's Stores buys back $24.2 million notes in last quarter
|
6/6/2011 | CAIGLM | Fairfax Financial accepts $694.46 million of notes in tender offer
|
6/6/2011 | LMPV | Friendfinder pays down $9.8 million first-lien, second-lien notes
|
6/6/2011 | LMMU | Maricopa County, Ariz., calls $8.27 million Catholic Heathcare bonds
|
6/6/2011 | HYLM | El Pollo Loco, parent tender for any and all 113/4% notes, 141/2% notes
|
6/6/2011 | CVLM | Kendle begins tender offer, consent solicitation for convertibles
|
6/3/2011 | CVIGLM | ProLogis holders tender $4.37 billion in AMB Property exchange offers
|
6/3/2011 | LMMU | Montgomery County, Tenn., calls $31.2 million of loan pool bonds
|
6/3/2011 | LMMU | Clarksville, Tenn., calls some Tennessee Municipal Bond Fund bonds
|
6/3/2011 | HYIGLM | International Lease gets tenders for $2.69 billion of notes so far
|
6/3/2011 | CVLM | Cameron to redeem remaining 2.5% convertible senior notes on July 6
|
6/3/2011 | LMMU | Pennsylvania Higher Education tenders for up to $2.3 billion of bonds
|
6/3/2011 | LMMU | Development Authority of Appling, Ga., calls $67 million 4.4% bonds
|
6/3/2011 | HYLM | DRS calls $12.09 million 6 5/8% notes, $5.05 million 7 5/8% notes
|
6/3/2011 | CVLM | Plethico plans to revise terms of its foreign currency convertibles, may plan redemption
|
6/3/2011 | LMMU | Houston Independent Schools calls $8.3 million schoolhouse bonds
|
6/3/2011 | HYLM | Downstream Development/Quapaw Tribe tenders for 12% notes, 151/2% notes
|
6/3/2011 | DDHYLM | Bank of Ireland adds stock exchange option to planned tender offer
|
6/3/2011 | LMMU | Johnson City, Tennessee, Medical Center calls some series 1998C bonds
|
6/3/2011 | AGLM | FFCB calls $498 million of consolidated systemwide bonds at par
|
6/3/2011 | HYLM | Novae Group buys back £625,000 8 3/8% notes at discount for £574,000
|
6/3/2011 | EMHYLM | Kansas City Southern de Mexico calls $41.03 million senior notes
|
6/3/2011 | LMMU | Massachusetts HEFA ups redemption price for 2001 series C bonds to 101
|
6/3/2011 | AGLM | Fannie Mae plans to redeem $1.95 billion of 17 note series at par
|
6/3/2011 | HYLMPV | Black Elk Energy Offshore gets consents needed to amend 133/4% notes
|
6/3/2011 | LM | National Asset Management repurchases €79 million of notes due 2012
|
6/2/2011 | HYLM | Windsor Financing amends tender offers for 5.881%, 6.927% notes
|
6/2/2011 | AGLM | FFCB calls $424 million of consolidated systemwide bonds at par
|
6/2/2011 | LMMU | Santa Clara, Calif., calls $3.16 million 2008B electric revenue bonds
|
6/2/2011 | LMMU | Illinois Finance calls $2.45 million of University of Chicago bonds
|
6/2/2011 | IGLM | Citigroup releases results of tender offer for four note series so far
|
6/2/2011 | AGLM | Fannie Mae plans to redeem $6.06 million securities at par on June 13
|
6/2/2011 | LMMU | Sunshine State Governmental Financing, Fla., calls some 1986 bonds
|
6/2/2011 | LMMU | Los Angeles Department of Water calls $695.36 million power bonds
|
6/2/2011 | LMMU | Columbus Regional Airport, Ohio, calls portion of Oasbo revenue bonds
|
6/2/2011 | EMLM | Russia's Alfa noteholders exercise put on $680,000 of 91/4% notes
|
6/2/2011 | LMMU | University of South Florida calls some series 2007 master lease COPs
|
6/2/2011 | LMMU | Massachusetts Development calls some Newbridge on the Charles bonds
|
6/2/2011 | LMMU | Dasny calls portion of 1999A New York Public Library revenue bonds
|
6/2/2011 | HYLM | FelCor to redeem $144 million of 10% senior secured notes due 2014
|
6/2/2011 | LMMU | Nevada Business and Industry calls portion of 2007 LVE Energy bonds
|
6/2/2011 | LMMU | Energy Northwest calls all 2001-A Columbia Generating Station bonds
|
6/2/2011 | HYLM | Freescale calls $93 million toggle notes and $262.5 million 103/4% notes
|
6/2/2011 | LMMU | Public Service of New Hampshire redeems $119.8 million revenue bonds
|
6/2/2011 | LMMU | Hawaii Budget and Finance calls some 2006A Queens Health bonds
|
6/1/2011 | LMMU | New Hampshire HEFA calls $80.69 million 2001 University System bonds
|
6/1/2011 | HYLM | R.R. Donnelley marks early tender deadline for three series of notes
|
6/1/2011 | LMMU | Honolulu calls $116.84 million wastewater system revenue bonds at par
|
6/1/2011 | CVLM | Veeco settles conversion of all 4.125% convertibles ahead of call
|
6/1/2011 | LMMU | Richmond County, Ga., authority calls $3.5 million MCG Health bonds
|
6/1/2011 | LMMU | California Health calls some 2008 Catholic Healthcare West bonds
|
6/1/2011 | LMMU | New Jersey Health Care calls $1.26 million of Virtua Health bonds
|
6/1/2011 | HYLM | Seitel calls $125 million of $400 million 93/4% senior notes due 2014
|
6/1/2011 | LMMU | Illinois educational authority calls 2001A University of Chicago bonds
|
6/1/2011 | EMHYLM | Singapore's Altus Capital solicits consents to amend 12 7/8% notes
|
6/1/2011 | LMMU | Clark County, Nev., Airport to redeem $217.11 million bonds at par
|
6/1/2011 | LMMU | Tempe, Ariz., calls some series 2006 transit excise tax revenue bonds
|
6/1/2011 | LMMU | New Jersey Health calls portion of Underwood Memorial Hospital bonds
|
6/1/2011 | HYLM | Select Medical buys $266.5 million 7 5/8% notes in oversubscribed offer
|
6/1/2011 | LMMU | Lehigh Valley, Pa., calls $3.94 million of Health Network bonds
|
6/1/2011 | HYLM | Alpha Natural accepts tenders for $499.71 million Massey 6 7/8% notes
|
6/1/2011 | LMMU | Dasny calls all $134.3 million of series 2001A City University bonds
|
6/1/2011 | LMMU | Turnpike Authority, Ky., calls $60.48 million series 2001-B bonds
|
6/1/2011 | AGLM | FFCB calls $1.04 billion consolidated systemwide bonds at par
|
6/1/2011 | LMMU | North Carolina Medical calls $2.73 million of Wake Forest bonds
|
6/1/2011 | IGLM | Piedmont Natural Gas redeems $196.9 million 6.25% notes due 2036 at par
|
6/1/2011 | LMMU | Louisiana Public Facilities calls $3.08 million of Franciscan bonds
|
6/1/2011 | HYLM | Amkor Technology accepts early tenders for $156.58 million 91/4% notes
|
6/1/2011 | LMMU | Dasny calls portion of series 2003C University of Rochester bonds
|
6/1/2011 | LMMU | Washington state calls all $203.03 million of series 2002A G.O. bonds
|
6/1/2011 | CAHYLM | Crystallex noteholders claim change of control and resulting put right
|
6/1/2011 | LMMU | Oregon calls $102.17 million series B certificates of participation
|
6/1/2011 | IGLMPF | ING Prime Rate Trust to redeem $25 million auction-rate preferreds
|
6/1/2011 | LMMU | Massachusetts HEFA calls all 2001 series C Partners Healthcare bonds
|
6/1/2011 | HYLMPF | Pfleiderer to hold June and July meetings for holders of hybrids
|
6/1/2011 | LMMU | Dasny calls portions of series 2000 Cornell University revenue bonds
|
6/1/2011 | LMPV | Energizer issues call to redeem $310 million notes from four series
|
6/1/2011 | CAHYLM | Gibson Energy, GEP get consents needed to amend 113/4% notes, 10% notes
|
6/1/2011 | LMMU | Puerto Rico highways authority calls $28.27 million of series W bonds
|
6/1/2011 | LMMU | Atlantic County Improvement, N.J., calls some convention center bonds
|
5/31/2011 | CVLM | Teva will no longer redeem series A and B convertibles on June 21
|
5/31/2011 | LMMU | Glendale, Calif., calls portion of 2000 police building project COPs
|
5/31/2011 | IGLM | Empire District solicits consents to amend all first mortgage bonds
|
5/31/2011 | CAHYLM | Connacher settles early 113/4%, 101/4% note tenders using offer proceeds
|
5/31/2011 | HYIGLM | Ensco obtains needed consents to amend three series of Pride's notes
|
5/31/2011 | LMMUPF | BlackRock funds to redeem $46.5 million auction-rate preferred shares
|
5/31/2011 | DDHYLM | Bank of Ireland plans offer at 10% for tier 1 notes, 20% for tier 2
|
5/31/2011 | LMMU | Illinois redeems $122 million of 2001 first series G.O. bonds at par
|
5/31/2011 | IGLM | Qwest to redeem $825 million 7 7/8% notes with new notes proceeds
|
5/31/2011 | CVHYLM | Alere solicits consents from noteholders to buy back convertibles
|
5/31/2011 | HYLM | CIT collects required consents for three series of second-lien notes
|
5/31/2011 | LMPP | Aspocomp Group to launch tender offer for convertibles Wednesday
|
5/31/2011 | DDHYLM | EBS to call two series of perpetuals at discount after amending terms
|
5/31/2011 | LMMU | Massachusetts Port Authority calls portion of 2010D refunding bonds
|
5/31/2011 | IGLMPF | First National to redeem $41.24 million capital, common securities
|
5/31/2011 | CVLM | American Medical Systems' 3.25%, 4% convertibles will likely be putable after Endo merger
|
5/31/2011 | HYLM | Exopack buys back $291.51 million of 111/4% notes, calls remainder
|
5/31/2011 | DDHYLM | Irish Life to tender for €840 million notes, prepays some perpetuals
|
5/31/2011 | LMMU | Montana investment board calls part of 1993 Yellowstone Energy bonds
|
5/31/2011 | CVLM | Host Hotels to redeem part of 3.25% exchangeables due 2024 on June 27
|
5/31/2011 | LMMU | DuPage County, Ill., to redeem all 2001 transportation revenue bonds
|
5/31/2011 | HYLM | Stratus Technologies begins excess cash offer for units of 12% notes
|
5/31/2011 | EMHYLM | Proton Bank raises interest on two series of floaters due 2013 to 12%
|
5/31/2011 | LMMU | Purdue University calls portion of 2007C student facilities bonds
|
5/31/2011 | CVLM | Japan Airlines repurchases ¥95 million 0% convertible bonds due 2011
|
5/31/2011 | LMMU | East Bay Municipal Utility, Calif., calls some 2009 water system bonds
|
5/31/2011 | HYLM | Vulcan to tender for $275 million 5.6%, 6.3% notes with deal proceeds
|
5/31/2011 | AGLM | Fannie Mae plans to redeem $250 million medium-term notes at par
|
5/31/2011 | LM | HSBC Bank begins consent solicitation for four series of covered bonds
|
5/31/2011 | LMMU | Washington calls $13.6 million 1996 A, B adjustable-rate G.O. bonds
|
5/27/2011 | LMMU | Detroit to redeem some 1992, 2001A-B sewage disposal revenue bonds
|
5/27/2011 | HYLM | Toys 'R' Us issues call to redeem $500 million 7 5/8% notes on June 24
|
5/27/2011 | EMIGLM | Hong Kong's Noble Group calls remaining 6 5/8% senior notes due 2015
|
5/27/2011 | LMMU | Pennsylvania Turnpike cancels mandatory tender for 2008B-1 bonds
|
5/27/2011 | LMMU | Florida Ports Financing calls 1996 transportation trust fund bonds
|
5/27/2011 | IGLM | Alcoa calls $283.9 million 5.375% notes due Jan. 15, 2013 at par
|
5/27/2011 | LM | National Asset repurchases €500 million of senior notes due 2012
|
5/27/2011 | LMMU | Purdue University calls $31.86 million of student facilities bonds
|
5/27/2011 | AGLM | FFCB calls $415 million consolidated systemwide bonds at par
|
5/27/2011 | LMMU | Illinois Health Facilities calls $76.5 million Loyola Health bonds
|
5/27/2011 | LMMU | Charlotte, N.C., calls portion of 2006B water and sewer system bonds
|
5/27/2011 | HYLM | Conexant Systems tenders for 111/4% notes in change-of-control offer
|
5/27/2011 | LMMU | South Dakota HEFA calls portion of 2008A variable-rate revenue bonds
|
5/27/2011 | AGLM | Fannie Mae plans to redeem $2.72 billion securities at par in June
|
5/27/2011 | LMMU | Metropolitan Water District of Southern California calls 2001A, 2008A-1, 2008A-2 revenue bonds
|
5/27/2011 | LMMU | Dade County, Fla., calls $121.15 million of 5.125% seaport G.O. bonds
|
5/27/2011 | HYLM | IFCO Systems calls €64.3 million 10% notes, plans new share issuance
|
5/27/2011 | LMMU | St. Louis calls $381.05 million series 2001A airport revenue bonds
|
5/27/2011 | CAHYLM | AbitibiBowater to redeem 101/4% notes with hydro asset sale proceeds
|
5/27/2011 | LMMU | Missouri HEFA calls $58.1 million 5.125% Washington University bonds
|
5/27/2011 | LMMU | Detroit to redeem all series 2001A sewage disposal revenue bonds
|
5/27/2011 | HYLM | PharmaNet begins tender offer, consent solicitation for 10 7/8% notes
|
5/27/2011 | CVLM | Western Financial calls series two first preferred shares
|
5/27/2011 | LMMU | North Carolina State Education Assistance calls five series of tax-exempt student loan bonds
|
5/26/2011 | LMMUPF | Nuveen Municipal fund to redeem $95 million auction-rate preferreds
|
5/26/2011 | CVLM | Fibrek to redeem C$25.88 million of 7% convertible debentures due 2011
|
5/26/2011 | HYLM | Rexnord slates IPO proceeds for redemption of 113/4% subordinated notes
|
5/26/2011 | HYLM | Ascent Media extends early tender deadline for Meridian floaters
|
5/26/2011 | LMPF | QBE Capital Funding purchases £10 million preferreds
|
5/26/2011 | EMLM | China's Kaisa solicits consents to issue more 131/2% notes due 2015
|
5/26/2011 | HYLM | Toys 'R' Us to redeem $500 million 7 5/8% notes with new term B-2 loan
|
5/26/2011 | HYLM | Felcor issues call for $100 million 10% senior secured notes due 2014
|
5/26/2011 | EMLM | Emirates NBD holders tender $332.45 million floaters in exchange offer
|
5/26/2011 | HYLM | W&T Offshore begins tender offer, consent solicitation for 81/4% notes
|
5/26/2011 | BKHYLM | Freescale to pay off $532 million revolver, $356 million of notes
|
5/26/2011 | HYLM | Frontier Oil ends successful solicitation for 81/2% notes, 6 7/8% notes
|
5/26/2011 | EMLM | Malaysia's Alliance Bank redeems all RM 600 million subordinated MTNs
|
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 | CALM | CIBC to redeem remaining series 30 class A preferred shares
|
5/26/2011 | HYLM | Michaels Stores repurchases $115 million of 13% discount notes
|
5/26/2011 | LM | Banco Popolare holders tender €659.1 million of floaters for exchange
|
5/26/2011 | IGLMPF | Sempra, Pacific Enterprises to redeem preferreds for $81 million
|
5/26/2011 | CVDDLMPP | Evergreen Energy completes settlement with 8% convertible holders over repayment of 10% convertibles
|
5/26/2011 | HYLM | Norcraft ends offer for 93/4% notes; no additional tenders after May 2
|
5/26/2011 | LM | Land Securities repurchases £9,000 of 5.396% class A7 notes due 2032
|
5/25/2011 | HYLM | AIB Mortgage Bank to repurchase €220 million floating-rate notes
|
5/25/2011 | LMMU | Metropolitan Water District of Southern California calls $200 million of 2001C revenue bonds
|
5/25/2011 | HYLM | IFCO gets tenders for €5.7 million of 10% notes in change of control
|
5/25/2011 | HYLM | Amkor Technology issues call for all remaining 91/4% notes due 2016
|
5/25/2011 | AGLM | FFCB calls $413 million 0.95% consolidated systemwide bonds at par
|
5/25/2011 | LMMU | Panhandle-Plains Higher Education, Texas, redeems 2001A-3 bonds
|
5/25/2011 | HYLM | Range Resources gives early tender results for 6 3/8%, 71/2% notes
|
5/25/2011 | HYLM | Exopack tallies early tenders, consents for 91.1% of 111/4% notes
|
5/25/2011 | AGLM | Fannie Mae plans to redeem $75 million medium-term notes at par
|
5/25/2011 | IGLMPF | Fifth Third to compensate some who traded 8.875% trust preferreds
|
5/25/2011 | HYLM | Fisher Communications calls $3 million 8 5/8% notes due 2014
|
5/25/2011 | CVLM | Cameron to redeem rest of 2.5% convertibles after put option expires
|
5/25/2011 | LMMU | Delaware County, Pa., authority announces mandatory tender for some 1997A revenue bonds
|
5/25/2011 | HYLM | Forbes Energy units move up expiration of tender offer for 11% notes
|
5/25/2011 | CVLM | Zarlink issues call to redeem 966,600 convertibles for C$24.63 million
|
5/25/2011 | LMMU | Maryland Transportation calls $10.4 million BWI Airport bonds
|
5/25/2011 | HYLM | Gundle/SLT Environmental receives enough consents to amend 11% notes
|
5/24/2011 | HYLM | NRG gets early tenders, consents for 72.24% of 7 3/8% notes due 2016
|
5/24/2011 | CVLM | Japan Airlines repurchases ¥695 million convertibles due 2011
|
5/24/2011 | LMPP | KongZhong prepays 70% of convertibles at premium in first quarter
|
5/24/2011 | IGLMPF | First Financial calls $20.6 million floating-rate trust preferreds
|
5/24/2011 | HYLM | Quintiles pushes back consent deadline for $525 million of 91/2% notes
|
5/24/2011 | CVLM | PDL BioPharma calls its outstanding 2% convertibles due 2012
|
5/24/2011 | LMMU | Baltimore Industrial calls $8.2 million of variable-rate bonds
|
5/24/2011 | AGLM | FFCB calls $293 million consolidated systemwide bonds at par
|
5/24/2011 | HYLM | Sanmina-SCI buys back $479.34 million 63/4%, 8 1/8% notes in offer
|
5/24/2011 | CVLM | United Continental to pay cash for any puts on 4.5% convertible notes
|
5/24/2011 | LMMU | New York Urban Development $298.55 million bonds have mandatory tender
|
5/24/2011 | AGLM | Fannie Mae plans to redeem $1.41 billion medium-term notes at par
|
5/24/2011 | HYLM | Select Medical marks end of withdrawal rights in oversubscribed offer
|
5/24/2011 | HYLM | CGG Veritas to redeem rest of 71/2% senior notes with new note proceeds
|
5/24/2011 | LMMUPF | BlackRock funds to redeem $72.53 million auction-market preferreds
|
5/24/2011 | CAHYLM | Connacher Oil gets needed consents to amend 113/4% notes, 101/4% notes
|
5/24/2011 | HYLM | Warner Music subsidiary obtains needed consents for 91/2% notes due 2016
|
5/24/2011 | HYLM | NRG Energy issues call for all remaining 7 3/8% notes due 2016
|
5/24/2011 | LMPP | Aspocomp Group to start tender offer for convertibles in June
|
5/24/2011 | CAHYLM | Gibson Energy, GEP amend and extend offer for 113/4% notes, 10% notes
|
5/24/2011 | IGLM | Genzyme launches consent solicitation for 3 5/8%, 5% senior notes
|
5/23/2011 | LMMU | Connecticut HEFA calls portion of Greenwich Hospital series C bonds
|
5/23/2011 | HYLM | Ipalco calls $43.91 million remaining 8 5/8% senior secured notes
|
5/23/2011 | CVLM | Teva to redeem 0.25%, 0.5% notes; holders may convert until June 17
|
5/23/2011 | LMMU | University of Oklahoma calls $73.12 million bond anticipation notes
|
5/23/2011 | LMMU | Georgia State Road defeases, calls $209.29 million revenue bonds
|
5/23/2011 | HYLM | Univision settles tenders for 96.23% of 12% notes, calls remainder
|
5/23/2011 | EMLM | Israel's Elbit Imaging approves up to NIS 300 million buyback program
|
5/23/2011 | AGLM | FFCB calls $100 million consolidated systemwide bonds at par
|
5/23/2011 | LMMU | Illinois Finance calls some 2008 University of Chicago revenue bonds
|
5/23/2011 | HYLM | WCA Waste tenders, solicits consents for $150 million 91/4% senior notes
|
5/23/2011 | EMLM | Philippines' International Container seeks consents for 7 3/8% notes
|
5/23/2011 | AGLM | Fannie Mae plans to redeem $350 million medium-term notes at par
|
5/23/2011 | LMMU | M-S-R Public Power of California's two series of San Juan Project bonds have mandatory tender
|
5/23/2011 | IGLM | Union Pacific starts exchange offer for eight series of notes
|
5/23/2011 | LM | Bank of Queensland tenders for A$1.23 billion of floaters due 2013
|
5/23/2011 | CVLM | Japan Airlines repurchases ¥596 million convertibles due 2011
|
5/23/2011 | LMMU | Maryland Health and Higher Education calls some Kennedy Krieger bonds
|
5/23/2011 | LMMU | Connecticut HEFA calls portions of Yale-New Haven Hospital bonds
|
5/23/2011 | HYLM | Forbes Energy gets consents to amend 11% senior notes due 2015
|
5/23/2011 | CVLM | National Bank of Abu Dhabi buys back AED 50 million 2018 convertibles
|
5/23/2011 | LMMU | Maryland Health calls some Suburban Hospital revenue bonds
|
5/20/2011 | LMMUPF | BlackRock MuniYield Pennsylvania to redeem $66.35 million preferreds
|
5/20/2011 | CVLM | BE Semiconductor to redeem remaining 5.5% convertible notes due 2012
|
5/20/2011 | LMMUPF | BlackRock MuniEnhanced Fund to redeem $104.45 million preferreds
|
5/20/2011 | HYLM | Norcraft gets consents to issue up to $60 million 101/2% add-on notes
|
5/20/2011 | LMMUPF | BlackRock Quality to redeem $284.53 million auction market preferreds
|
5/20/2011 | EMLM | Argentina's Autopistas del Sol buys back $5.80 million more 2020 notes
|
5/20/2011 | LMMUPF | BlackRock MuniYield Arizona to redeem $38.8 million preferreds
|
5/20/2011 | HYLM | Vantage unit collects consents from holders of nearly all 111/2% notes
|
5/20/2011 | LM | Next gets tenders for £197 million total of 5.25% bonds, 5.875% bonds
|
5/20/2011 | LMMUPF | BlackRock MuniYield California to redeem $105.95 million preferreds
|
5/20/2011 | LMMU | Baltimore calls portion of 2008 city parking system revenue bonds
|
5/20/2011 | HYLM | Allis-Chalmers holders put less than 1% of notes after Archer merger
|
5/20/2011 | LMMUPF | BlackRock MuniYield Investment to redeem $59.48 million preferreds
|
5/20/2011 | AGLM | Fannie Mae plans to redeem $60 million medium-term notes at par
|
5/20/2011 | LMMU | Lancaster County Hospital, Pa., calls some Lancaster General bonds
|
5/20/2011 | HYLM | CDW subsidiaries accept tenders for $321.43 million of 11% notes, $91.41 million of toggle notes
|
5/20/2011 | LMMUPF | BlackRock MuniYield Michigan to redeem $87.35 million preferreds
|
5/20/2011 | CAIGLM | Fairfax Financial again lifts caps in tender for six note series
|
5/20/2011 | LMMU | Metropolitan Water Conservancy, Utah, calls some 2011A bonds
|
5/20/2011 | HYLM | GCI to redeem all outstanding 71/4% senior notes due 2014 on June 20
|
5/19/2011 | IGLM | United States Cellular calls all $330 million 7.5% notes due 2034
|
5/19/2011 | LM | Sveriges Bostadsfin repurchases SEK 465 million of notes due 2011
|
5/19/2011 | LMMU | Public Service of New Hampshire plans to redeem $119.8 million bonds
|
5/19/2011 | HYIGLM | International Lease tenders for up to $1.75 billion of 11 note series
|
5/19/2011 | CVLM | Alto Palermo to repurchase $31.76 million convertible notes due 2014
|
5/19/2011 | LMMU | Texas Water Development calls $11.71 million of state revolving bonds
|
5/19/2011 | HYLM | Morris Publishing: No redemption of floaters due 2014 for April period
|
5/19/2011 | CVLM | Energy XXI holder swaps 7.25% convertible preferreds for stock
|
5/19/2011 | IGLM | Anheuser-Busch InBev to redeem $1.25 billion 7.2% notes due 2014
|
5/19/2011 | EMHYLM | Emirates Bank prices floaters to be issued in swap for two note series
|
5/19/2011 | IGLM | Sun Life Financial calls C$300 million 5% series C debentures due 2031
|
5/19/2011 | EMLM | Russia's Mobile TeleSystems holders exercise put on RUB 1.1 billion of bonds due May 2014
|
5/18/2011 | CAIGLM | Fairfax Financial lifts some tender caps in offer for six note series
|
5/18/2011 | LMMU | University of Toledo calls $53.77 million 2008B general receipts bonds
|
5/18/2011 | IGLMPF | Xerox to use notes proceeds to repay $650 million 8% trust securities
|
5/18/2011 | HYLM | R.R. Donnelley tenders for all 111/4% notes, some 6 1/8%, 51/2% notes
|
5/18/2011 | CVLM | ProLogis completes tender offer for units issued by ProLogis European
|
5/18/2011 | LMMUPF | BlackRock to redeem $37.53 million auction market preferreds June 7
|
5/18/2011 | LMMU | Colorado Educational & Cultural Facilities calls some Nature Conservancy Project bonds
|
5/18/2011 | IGLM | Alabama Power to redeem $450 million notes with senior notes proceeds
|
5/18/2011 | EMLM | Thailand's G Steel to redeem all $34.38 million of outstanding bonds
|
5/18/2011 | LMMU | Massachusetts Development Finance calls some Brooksby Village bonds
|
5/18/2011 | IGLM | Casino Guichard-Perrachon holders tender €300 million of three notes series in exchange offer
|
5/18/2011 | HYLM | Bradken calls $65.64 million of 11% senior notes due Dec. 1, 2014
|
5/18/2011 | AGLM | FFCB calls $50 million 4.6% consolidated systemwide bonds at par
|
5/18/2011 | LMMU | North Central Texas Health to redeem two series of Baylor Health bonds
|
5/18/2011 | IGLMPF | Fifth Third calls $450 million of trust preferred securities
|
5/18/2011 | HYLM | Ipalco wraps, prices tender offer for $331.09 million of 8 5/8% notes
|
5/18/2011 | AGLM | Fannie Mae plans to redeem $1.1 billion of securities at par
|
5/18/2011 | LMMU | North Texas Tollway calls $100 million 2008J revenue refunding bonds
|
5/18/2011 | IGLMPF | Public Storage to redeem $167.5 million of 7.25% preferred shares
|
5/18/2011 | HYLM | Primus gets no tenders under excess cash flow offer for 13% notes
|
5/17/2011 | CVLM | Liberty Global offers shares, cash in exchange for 4.5% convertibles
|
5/17/2011 | LMMU | California County Tobacco calls $8.61 million asset-backed bonds
|
5/17/2011 | AGLM | Fannie Mae plans to redeem $550 million securities at par on May 27
|
5/17/2011 | HYLM | OTE repurchases €8.99 million notes due 2011
|
5/17/2011 | CVLM | NovaMed begins tender offer for $75 million 1% convertibles due 2012
|
5/17/2011 | LMMU | New York Tobacco Settlement calls $70.78 million of 5.5% bonds
|
5/17/2011 | CALMPF | Hudson United calls $20.62 million floating-rate securities at par
|
5/17/2011 | HYLM | PharmaNet to tender for 10 7/8% notes as part of sale to inVentive
|
5/17/2011 | CVLM | Vardhman repurchases $3.5 million of foreign currency convertibles
|
5/17/2011 | LMPP | Lifevantage announces optional redemption of $3 million convertibles
|
5/17/2011 | CVIGLM | AMB Property collects early tenders for $4.37 billion ProLogis notes
|
5/17/2011 | HYLM | Primus, holders enter agreement for potential 13%, 141/4% note exchange
|
5/17/2011 | LM | Sveriges Bostadsfin to repurchase SEK 2.41 billion notes on May 19
|
5/17/2011 | CVLM | Alumina holders put $150.85 million 2% convertibles; notes called
|
5/17/2011 | HYLM | Select Medical sets pricing, extends purchase offer for 7 5/8% notes
|
5/17/2011 | HYLM | Amkor Technology tenders for $264.28 million 91/4% notes in cash offer
|
5/17/2011 | CVLM | Japan Airlines repurchases ¥2.05 billion convertibles due 2011
|
5/17/2011 | IGLM | Aircraft Finance Trust solicits consents for five series of notes
|
5/17/2011 | HYLM | CIT launches exchange offer, solicitation for three notes series
|
5/16/2011 | LM | Bank of Tokyo-Mitsubishi calls subsidiary's ¥120 billion preferreds
|
5/16/2011 | IGLM | MeadWestvaco calls $15 million of 7.5% sinking fund notes due 2027
|
5/16/2011 | HYLM | R.R. Donnelley to tender for all 111/4% notes due 2019, some other debt
|
5/16/2011 | CVLM | China High Speed redeems remaining RMB 1.15 billion of convertibles
|
5/16/2011 | HYLM | Indiantown calls $13.13 million 9.77% first-mortgage bonds due 2020
|
5/16/2011 | LMMU | Maryland Health and Higher Education calls University of Maryland Medical series 2001 bonds
|
5/16/2011 | LM | Bradford & Bingley buys back £1.8 billion 2012 floating-rate bonds
|
5/16/2011 | IGLM | Sovereign calls 7 million Capital Trust V 7.75% capital securities
|
5/16/2011 | HYLM | Silverleaf Resorts to purchase 12% notes following change of control
|
5/16/2011 | CVLM | Maverick Tube calls $20,000 4% convertible subordinated notes
|
5/16/2011 | HYLM | MagnaChip Semiconductor buys back $35 million of 101/2% notes at 109
|
5/16/2011 | LMMU | New York City Municipal Water calls $437.64 million water, sewer bonds
|
5/16/2011 | AGLM | FFCB calls $107 million 2.37% consolidated systemwide bonds at par
|
5/16/2011 | HYLM | Atrium European extends cash tender offer for 6.8% notes to Nov. 18
|
5/16/2011 | LMMU | California Infrastructure's $308.55 million Pacific Gas revenue bonds have mandatory tender
|
5/16/2011 | HYLMPV | Black Elk Energy Offshore to hold consent solicitation for 133/4% notes
|
5/16/2011 | CVLM | Mercer International calls $37.01 million 8.5% convertibles at par
|
5/16/2011 | HYLM | Neiman Marcus settles early tenders for 9%/93/4% notes, calls remainder
|
5/16/2011 | LMMU | Northwest Parkway, Colo., calls $208.74 million revenue bonds
|
5/16/2011 | AGLM | Fannie Mae plans to redeem $525 million medium-term notes at par
|
5/16/2011 | HYLM | Chesapeake Energy buys back $599.92 million of 91/2% notes, 61/2% notes
|
5/16/2011 | LMMU | Colorado Transportation to redeem $167.64 million anticipation notes
|
5/16/2011 | IGLM | Citigroup offers to buy back up to $1.25 billion of four note series
|
5/16/2011 | DDHYLM | Allied Irish noteholder objects to amendments ordered by government
|
5/16/2011 | HYLM | Norcraft solicits consents to issue 101/2% add-on notes to fund extended tender for 93/4% notes
|
5/16/2011 | LMMU | Pennsylvania Turnpike $300 million of bonds have mandatory tender
|
5/16/2011 | CAHYLM | Gibson Energy, GEP tender, seek consents for 113/4% notes, 10% notes
|
5/16/2011 | HYLM | E*Trade to redeem $414.7 million 7 3/8% notes with new issue proceeds
|
5/16/2011 | LMMU | Illinois calls $22.95 million 6% sales tax revenue bonds due 2012
|
5/16/2011 | LM | Banco Comercial Portugues holders exchange €990.17 million perpetuals
|
5/16/2011 | IGLM | DirecTV to redeem $658.77 million 6.375% senior notes due 2015
|
5/16/2011 | HYLM | Primus Telecommunications Group redeems $24 million of 141/4% notes
|
5/16/2011 | LMMU | Washington Suburban Sanitary District, Md., calls some 2003A bonds
|
5/16/2011 | CAIGLMPV | Cliffs buys Consolidated Thompson Iron's 8.5% notes in acquisition
|
5/16/2011 | HYLM | Iasis Healthcare calls $33.85 million 83/4% senior subordinated notes
|
5/16/2011 | LMMU | Los Angeles Metropolitan Transportation calls $1.53 million bonds
|
5/13/2011 | LM | Next tenders for £206.3 million 5.25% bonds, £250 million 5.875% bonds
|
5/13/2011 | LMMU | Michigan Tobacco Settlement Finance calls portion of 2006A bonds
|
5/13/2011 | CALM | MEGA Brands accepts C$20 million of 10% debentures for purchase
|
5/13/2011 | IGLM | Entergy Mississippi calls $100 million first mortgage bonds due 2016
|
5/13/2011 | HYLM | Select Medical to buy back fewer 7 5/8% notes due to loan downsizing
|
5/13/2011 | LMMUPF | BlackRock considers refinancing options for auction-rate preferreds
|
5/13/2011 | HYLM | Allison Transmission accepts total tenders for 92.63% of 111/4% notes
|
5/13/2011 | LMMU | Pennsylvania Turnpike cancels mandatory tender for 2008B-1 bonds
|
5/13/2011 | CVLM | Consolidated Thompson to redeem remaining 5% convertibles on June 13
|
5/13/2011 | IGLMPF | Wells Fargo issues call for $41 million securities from four trusts
|
5/13/2011 | HYLM | Sterling Chemicals purchases $15 million 101/4% notes in first quarter
|
5/13/2011 | HYLM | Anglo Irish Bank purchases €740 million of notes from two series
|
5/13/2011 | LMMU | Philadelphia calls portion of series 2005C airport revenue bonds
|
5/13/2011 | DDHYLM | Allied Irish Banks begins tender offers for 18 series of securities
|
5/13/2011 | LMMU | California Infrastructure calls $56.55 million Orange County Performing Arts Center bonds
|
5/13/2011 | HYLM | Trailer Bridge continues to explore refinancing of 91/4% notes due 2011
|
5/13/2011 | HYLM | Ascent Media tenders for Meridian Funding floaters in effort to refinance Monitronics debt
|
5/13/2011 | LMMU | South Carolina Tobacco Settlement authority calls some 2008 bonds
|
5/13/2011 | EMHYLM | Argentina's Impsa's class III noteholders to vote on changes May 30
|
5/13/2011 | LMMU | Florida Ports Financing calls 1999 intermodal program revenue bonds
|
5/13/2011 | AGLM | FFCB calls $250 million 0.75% consolidated systemwide bonds at par
|
5/13/2011 | HYLM | Warner unit seeks consent to include Access Industries under 91/2% notes
|
5/13/2011 | HYLM | Frontier Oil begins consent solicitation for 81/2% notes, 6 7/8% notes
|
5/13/2011 | LMMU | Tobacco Securitization, Calif., calls portion of 2006A San Diego bonds
|
5/13/2011 | LM | Mizuho Financial Group calls €500 million preferreds in full at par
|
5/13/2011 | LMMU | Illinois calls all first series 2001 Build Illinois sales tax bonds
|
5/13/2011 | AGLM | Fannie Mae plans to redeem $2.47 billion medium-term notes at par
|
5/13/2011 | IGLM | Alcoa accepts tenders for 48.66% of 5.375% notes, 43.67% of 6% notes
|
5/13/2011 | HYLM | Gundle/SLT Environmental tenders for 11% notes, solicits consents
|
5/13/2011 | LMMU | University of Colorado Hospital 2008A, B bonds have mandatory tender
|
5/12/2011 | HYLM | Salem Communications calls $17.5 million of 9 5/8% notes due 2016
|
5/12/2011 | LM | Sveriges Bostadsfin repurchases SEK 500 million series 1 notes
|
5/12/2011 | LMMU | Florida Children's Trust Fund Tobacco calls $5.54 million Cede bonds
|
5/12/2011 | CVLM | Pixelworks holders put back all remaining 1.75% convertibles due 2024
|
5/12/2011 | CADDHYLM | Angiotech executes plan of arrangement, exchanges 73/4% notes, floaters
|
5/12/2011 | HYLM | Sensata Technologies accepts early tenders for $13 million 8% notes and €37.58 million 9% notes
|
5/12/2011 | LM | Sveriges Bostadsfin to repurchase SEK 100 million series 522 notes
|
5/12/2011 | LMMU | Florida Department of Transportation calls $72.67 million bonds
|
5/12/2011 | CVLMPF | Energy XXI holder swaps $5 million 5.625% convertibles for stock
|
5/12/2011 | CVLM | Clarke redeems C$18.28 million 6% convertibles due 2012
|
5/12/2011 | HYLM | Talecris Biotherapeutics calls $60 million of 73/4% notes due 2016
|
5/12/2011 | HYLM | Brown Shoe to redeem $50.78 million 83/4% senior notes due 2012
|
5/12/2011 | LMPF | BRE Properties to redeem $100 million 63/4% series C preferreds
|
5/12/2011 | EMLM | CapitaCommercial tenders for three classes of floaters via Silver Oak
|
5/12/2011 | CVLM | Consolidated Thompson offers to purchase all 5% convertibles due 2017
|
5/12/2011 | HYLM | Vector holders tender 98.89% of 11% notes so far; deadline pushed back
|
5/12/2011 | HYLM | J.B. Poindexter plans to refinance $200 million 83/4% notes due 2014
|
5/12/2011 | EMLM | Fajar Surya Wisesa cancels some of Fajar Paper-issued secured notes
|
5/12/2011 | CVLM | Flotek Industries to swap stock for $4.5 million of 5.25% convertibles
|
5/12/2011 | HYLM | iPayment plans to redeem 93/4% notes due 2014 at 102.438 on June 6
|
5/12/2011 | HYLM | MXenergy to redeem 131/4% notes in connection with Constellation merger
|
5/12/2011 | LM | Norway's Statkraft buys back NOK 100 million floating-rate notes
|
5/12/2011 | CVLM | National Bank of Abu Dhabi repurchases AED 80.2 million convertibles
|
5/12/2011 | LMMU | Florida Board of Education calls $360.49 million of refunding bonds
|
5/11/2011 | CVLM | Life Technologies calls all $350 million of 3.25% convertibles
|
5/11/2011 | LMPV | FriendFinder to use IPO proceeds to pay down two series of 14% notes
|
5/11/2011 | HYLM | Town Sports issues call to redeem 11% senior discount notes due 2014
|
5/11/2011 | HYLM | HCA calls $1 billion 9 1/8% notes and $108.5 million 9 7/8% notes
|
5/11/2011 | CVLM | Seadrill holders convert 96% of bonds due 2012 ahead of redemption
|
5/11/2011 | HYLM | Vantage Drilling subsidiary solicits consents for 111/2% secured notes
|
5/11/2011 | HYLM | HealthSouth to call $335 million of 103/4% notes instead of $285 million
|
5/11/2011 | DDHYLM | Allied Irish Banks to tender for any and all tier 1 and 2 securities
|
5/11/2011 | HYLM | Weyerhaeuser plans to redeem all $517.9 million of 63/4% notes in June
|
5/11/2011 | HYLM | Nexstar redeems $16.6 million notes, calls $33.2 million more
|
5/11/2011 | EMHYLM | South Africa's Edcon buys back €14.91 million more floaters due 2014
|
5/11/2011 | BKHYLM | Belden & Blake in talks with bank group to fund 83/4% notes redemption
|
5/11/2011 | HYLM | Windsor Financing starts purchase offers for 5.881%, 6.927% notes
|
5/11/2011 | HYLM | Sanmina-SCI issues call to redeem $100.66 million 63/4% notes at par
|
5/11/2011 | EMLM | Mobile TeleSystems holders may put bonds due 2014; coupon now 7.6%
|
5/11/2011 | CALM | Yellow Media gets approval to make issuer bid for stock, preferreds
|
5/11/2011 | LMMU | Tobacco Settlement Financing, N.Y., calls $70.78 million 2003 bonds
|
5/11/2011 | HYLM | Sensata waives minimum consent condition in tender for 8%, 9% notes
|
5/11/2011 | HYLM | Brown Shoe accepts early tenders for 66.15% of $150 million 83/4% notes
|
5/10/2011 | CVLM | Massey Energy to redeem 2.25% convertible senior notes due 2024
|
5/10/2011 | AGLM | FFCB calls $155 million 2.84% consolidated systemwide bonds at par
|
5/10/2011 | LMMU | East Bay Municipal Utility District, Calif., calls $232.06 million 2001 water system bonds
|
5/10/2011 | HYLM | NRG tenders, solicits consents for $2.4 billion 7 3/8% notes due 2016
|
5/10/2011 | HYLM | Alpha Natural tenders for any and all of Massey Energy's 6 7/8% notes
|
5/10/2011 | LMMU | New Jersey Building calls portions of 2003A-1, A-2 revenue bonds
|
5/10/2011 | AGLM | Fannie Mae plans to redeem $550 million medium-term notes at par
|
5/10/2011 | HYLM | Quintiles launches new tender offer, solicits consents for 91/2% notes
|
5/10/2011 | HYLM | EPL Intermediate eyes debt refinancing, still slates payment on 141/2% notes for May 15
|
5/10/2011 | LMMU | New Jersey Higher Education starts Dutch tender for 20 bond series
|
5/10/2011 | BKCVEMHYLM | Kansas City Southern may retire 13% notes in December call period
|
5/10/2011 | HYLM | Sanmina-SCI exceeds offer cap with early tenders for 73.51% of 63/4% notes, 42.91% of 8 1/8% notes
|
5/10/2011 | HYLM | Forbes Energy subsidiaries tender for $192.5 million of 11% notes
|
5/10/2011 | CAHYLM | Connacher Oil tenders for any and all 113/4% notes and 101/4% notes
|
5/10/2011 | HYLM | Turning Stone launches tender, consent bid for 9 1/8% notes due 2014
|
5/10/2011 | HYLM | Ipalco holders may begin tendering $375 million 8 5/8% notes due 2011
|
5/10/2011 | CVLM | Forest City swaps stock for $40 million 5% convertibles due 2016
|
5/10/2011 | LMMU | Chester County, Pa., calls some 2001 Archdiocese of Philadelphia bonds
|
5/10/2011 | HYLM | Lions Gate now seeks consents to issue $200 million more 101/4% notes
|
5/9/2011 | HYLM | General Communication subsidiary begins tender offer for 71/4% notes
|
5/9/2011 | IGLM | Republic Services unit announces final results of tender offers for 9.25%, 7.4% notes
|
5/9/2011 | EMHYLM | South Africa's Edcon repurchases €23.74 million floaters due 2014
|
5/9/2011 | HYLM | Sensus USA accepts for purchase $274.98 million tendered 8 5/8% notes
|
5/9/2011 | LMMU | Massachusetts HEFA calls some 2008 series K Stonehill College bonds
|
5/9/2011 | AGLM | Fannie Mae plans to redeem $605 million medium-term notes at par
|
5/9/2011 | HYLM | Seitel settles excess cash flow offer for $2 million of 113/4% notes
|
5/9/2011 | IGLM | U.S. Cellular to redeem 7.5% notes due 2034 with senior notes proceeds
|
5/9/2011 | EMLM | Bank of Georgia gets tenders for $60.07 million of 9% notes due 2012
|
5/9/2011 | HYLM | Univision gets tenders for 96.23% of 12% notes due 2014 by early date
|
5/9/2011 | LMMU | New Jersey Building's four series of 2003 bonds have mandatory tender
|
5/9/2011 | CVLM | Dynamic Energy holder asks to convert HK$40 million convertible notes
|
5/9/2011 | IGLMPF | Essex Property calls $25 million 7.8125% preferreds for redemption
|
5/9/2011 | EMLM | China's Dah Sing Bank calls all subordinated floaters due 2016
|
5/9/2011 | HYLMPF | Gray Television repurchases $60.7 million preferreds with cash, stock
|
5/9/2011 | LMMU | University of Massachusetts Building Authority calls 2008-3, 4 bonds
|
5/9/2011 | CVLM | PDL BioPharma plans buyback of 2% convertibles with offering proceeds
|
5/9/2011 | LMMU | Clackamas County, Ore., authority's $113.49 million Legacy Health System bonds redeemed May 6
|
5/9/2011 | HYLM | Aeroflex purchases or redeems all $140.63 million 113/4% notes due 2015
|
5/9/2011 | IGLM | Barclays to redeem $750 million callable floating-rate notes in June
|
5/9/2011 | LMMU | Virginia University Health System calls some 2005A revenue bonds
|
5/9/2011 | CVLM | SoftBank to redeem remaining 1.75% convertibles due 2014 at par
|
5/9/2011 | LMMU | Indiana Finance's Republic Services 2010A bonds have mandatory tender
|
5/9/2011 | HYLM | Allison Transmission gets early tenders for 93% of 111/4% toggle notes
|
5/9/2011 | IGLM | OeKB to fully redeem floating-rate notes due 2016 in June
|
5/9/2011 | LMMUPF | BlackRock to redeem $27.25 million auction market preferreds on June 6
|
5/9/2011 | CVLM | Valeant buys back $63.8 million 5.375% convertibles in first quarter
|
5/9/2011 | LMMU | Maryland health authority's Mercy Medical bonds have mandatory tender
|
5/9/2011 | AGLM | FFCB calls $705 million of consolidated systemwide bonds at par
|
5/6/2011 | IGLMPF | Duke Realty repurchases $2 million of 8.375% series O preferreds
|
5/6/2011 | HYLM | American Axle calls $42.5 million of 91/4% senior secured notes at 103
|
5/6/2011 | CVLM | Hutchinson Technology begins exchange offer for 3.25% convertibles
|
5/6/2011 | LMMU | Clackamas County, Ore., authority to redeem $113.49 million Legacy Health System bonds May 9
|
5/6/2011 | HYLM | Exopack begins tender offer, consent solicitation for 111/4% notes
|
5/6/2011 | CVLM | ProLogis ups payout, again extends offer for ProLogis European units
|
5/6/2011 | AGLM | FFCB calls $1.83 billion of consolidated systemwide bonds at par
|
5/6/2011 | LMMU | Duke University, N.C., redeems 2009A taxable bonds at 107.917, 114.581
|
5/6/2011 | HYLM | Frac Tech tenders for 7 1/8% notes due 2018 in change-of-control offer
|
5/6/2011 | CVLM | Talam to redeem, cancel RM 68 million of convertible loan stocks
|
5/6/2011 | AGLM | Fannie Mae to redeem $1.06 billion of 10 note series at par in May
|
5/6/2011 | LMMU | Maryland Health's 2009B Anne Arundel bonds have mandatory tender
|
5/6/2011 | HYLM | Lions Gate seeks consents to issue up to $150 million more 101/4% notes
|
5/6/2011 | EMHYLM | Kansas City Southern de Mexico tenders for 7 5/8% notes, 7 3/8% notes
|
5/6/2011 | BKCAHYLM | MEGA Brands gets consents of 10% noteholders to incur more bank debt
|
5/6/2011 | LMMU | Sacramento Financing calls $59.29 million capital improvement bonds
|
5/6/2011 | IGLM | RGA to redeem $159.47 million 5.75% trust Piers bonds due 2050
|
5/6/2011 | HYIGLM | Ensco solicits consents to amend Pride's notes, offers guarantee
|
5/6/2011 | CVHYLM | McMoRan issues 1.2 million shares, cash in exchange for 8% preferreds
|
5/5/2011 | LMMU | Georgia Local calls $78,000 of 4.75% grantor trust COPs due 2028
|
5/5/2011 | IGLMMUPF | Nuveen Investment to redeem $210.7 million auction-rate preferreds
|
5/5/2011 | CVLM | L-3 holders exercise put option for $11 million convertibles due 2035
|
5/5/2011 | LMMU | Municipal Electric Authority of Georgia calls $178.45 million bonds
|
5/5/2011 | IGLMMUPF | Nuveen Premier to redeem $126.85 million auction-rate preferreds
|
5/5/2011 | LM | Valeo offers to buy back €600 million 33/4% notes, plans new issue
|
5/5/2011 | IGLMMUPF | Nuveen Premium to redeem $487.53 million auction-rate preferreds
|
5/5/2011 | HYLM | Education Management to redeem $47.7 million 101/4% notes due 2016
|
5/5/2011 | CVLM | Alexandria repurchases $96 million 3.7% convertibles in first quarter
|
5/5/2011 | IGLMMUPF | Nuveen Select to redeem $251.28 million auction-rate preferreds
|
5/5/2011 | HYLM | Host Hotels to retire 7 1/8% notes, repay some debt with note proceeds
|
5/5/2011 | CVLM | EarthLink plans to redeem up to $255.8 million 3.25% convertibles
|
5/5/2011 | IGLMPF | BRE to repay revolver, redeem 6.75% preferreds with stock proceeds
|
5/5/2011 | HYLM | Virgin Media plans to redeem $550 million 9 1/8% notes by Aug. 15
|
5/5/2011 | CVLM | Forest City Enterprises to swap stock for $40 million 5% convertibles
|
5/4/2011 | LMMU | Baltimore calls $38.74 million metropolitan, public improvement bonds
|
5/4/2011 | CVLM | Southwest Airlines says 7% convertibles putable, will call remainder
|
5/4/2011 | AGLM | Fannie Mae plans to redeem $1.19 billion medium-term notes at par
|
5/4/2011 | LMMU | Connecticut to redeem $179.27 million series 2001B G.O. bonds at par
|
5/4/2011 | EMHYLM | Indonesia's Indika receives consents to amend 93/4% notes
|
5/4/2011 | CACVLM | Whiterock REIT closes $25 million tranche of $35 million debentures, repays series D convertibles
|
5/4/2011 | LMMU | Wisconsin to redeem $42.63 million clean water revenue bonds at par
|
5/4/2011 | HYLM | AIB Mortgage to repurchase remaining €150 million floating-rate notes
|
5/4/2011 | CAIGLM | Fairfax Financial tenders for up to $500 million of six notes series
|
5/4/2011 | HYLM | Dunkin' to repay $475 million 9 5/8% notes with stock, loan proceeds
|
5/4/2011 | CVHYLMPF | NovaStar starts exchange offers for 8.9% series C preferreds, 9% series D1 mandatory convertibles
|
5/4/2011 | IGLM | Simon Property calls $101.52 million 5.6% notes due 2011 at par
|
5/4/2011 | CVLM | First Uranium gets consents to amend technical test for convertibles
|
5/3/2011 | CALM | Bank of Canada buys back C$500 million bonds in repurchase auction
|
5/3/2011 | LMMU | Delaware River Toll Bridge $69.83 million bonds have mandatory tender
|
5/3/2011 | HYLM | Atlas Pipeline acquires $7.2 million of 83/4% notes via tender offer
|
5/3/2011 | DDHYLM | Trico Shipping moves closing date of exchange offer for 11 7/8% notes
|
5/3/2011 | CALM | Canadian Income accepts C$5.57 million of 7% debentures in issuer bid
|
5/3/2011 | LMMU | Educational Funding of the South accepts $858.79 million of bonds
|
5/3/2011 | HYLM | DineEquity cut term debt by $110 million, retired $32.3 million notes
|
5/3/2011 | EMHYLM | China's Shimao Property redeems all $250 million floaters due 2011
|
5/3/2011 | CALM | Desjardins completes offer to acquire Western Financial preferreds
|
5/3/2011 | LMMU | Missouri HEFA calls $8.31 million of SSM Health revenue bonds
|
5/3/2011 | HYLM | Gardner Denver redeems all $125 million of 8% notes due 2013 at par
|
5/3/2011 | EMHYLM | Evraz accepts tenders for $622.03 million 8 7/8% notes in Dutch offer
|
5/3/2011 | CALM | RBC to redeem C$750 million trust capital securities on June 30 at par
|
5/3/2011 | LMMU | New York City Transitional Finance defeases, calls $3.51 million bonds
|
5/3/2011 | AGLM | FFCB calls $598 million of consolidated systemwide bonds at par
|
5/3/2011 | HYLM | Norcraft Holdings collects needed consents for 93/4% discount notes
|
5/3/2011 | LM | Nordea Bank issues call to redeem $850 million floaters due 2016
|
5/3/2011 | CVIGLM | AMB Property begins exchange offers for ProLogis notes, convertibles
|
5/3/2011 | LMMU | North Carolina Medical defeases, calls $1.74 million Novant bonds
|
5/3/2011 | AGLM | Fannie Mae plans to redeem $480.57 million securities at par May 13
|
5/3/2011 | IGLM | SVB Financial Group gets tenders for $108.6 million 5.7% notes, $204 million 6.05% notes
|
5/3/2011 | LM | Norway's Statkraft buys back NOK 173.5 million floating-rate notes
|
5/3/2011 | CVLM | ProLogis prolongs tender offer for ProLogis European Properties units
|
5/3/2011 | LMMU | Pennsylvania Turnpike defeases $70.55 million 5%, 5.125% revenue bonds
|
5/2/2011 | HYLM | Iasis Healthcare holders deliver consents needed to amend 83/4% notes
|
5/2/2011 | LMMU | Pennsylvania Economic Development calls Reliant Energy Seward bonds
|
5/2/2011 | LMMU | University of Cincinnati calls $104.99 million general receipt bonds
|
5/2/2011 | CVLM | Chesapeake Energy holders tender $530.89 million of convertibles
|
5/2/2011 | LMMU | Illinois Health Facilities calls $1.35 million Evanston Hospital bonds
|
5/2/2011 | LMMU | Cincinnati to redeem $138.15 million water system revenue bonds
|
5/2/2011 | LMMU | Tobacco Settlement Financing, R.I., calls $12.57 million 2002A bonds
|
5/2/2011 | HYLMPF | Fresenius issues call for all $225 million 7 7/8% trust preferreds
|
5/2/2011 | LMMU | Reno, Nev., calls some 2005A tax-exempt capital improvement bonds
|
5/2/2011 | LMMU | University of Oklahoma Board of Regents calls $58.41 million bonds
|
5/2/2011 | CVLM | Massey gives conversion notice for 3.25% convertibles due to merger
|
5/2/2011 | LMMU | Los Angeles calls portions of four series of wastewater system bonds
|
5/2/2011 | LMMU | Clark County, N.D., calls $173.17 million limited tax G.O. bonds
|
5/2/2011 | LMMU | Tobacco Settlement, Iowa, calls $8.72 million of asset-backed bonds
|
5/2/2011 | IGLM | Republic Services plans to redeem $600 million 7.125% notes due 2016
|
5/2/2011 | LMMU | Reno, Nev., calls some Retrac-Reno Transportation tax revenue bonds
|
5/2/2011 | LMMU | Warren County, Ky., calls $1.49 million of Wku Student Life bonds
|
5/2/2011 | EMLM | Argentina's Autopistas del Sol buys back more 2020, 2017 notes
|
5/2/2011 | LMMU | Matagorda County, Texas, Navigation District No. One's AEP Texas bonds have mandatory tender
|
5/2/2011 | AGLM | Fannie Mae to redeem $160 million medium-term notes at par May 12
|
5/2/2011 | LMMU | East Bay utility district of California calls $12.09 million bonds
|
5/2/2011 | LMMU | Tobacco Settlement, La., calls $36.11 million of asset-backed bonds
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5/2/2011 | IGLM | Silicon Valley Bank prices tender offers for 5.7% notes, 6.05% notes
|
5/2/2011 | LMMU | San Diego Tobacco Settlement calls portion of series 2006 bonds
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5/2/2011 | HYLM | AEP settles tender offer for 7 7/8% notes, to redeem remaining notes
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5/2/2011 | LMMU | Northside School District, Texas, calls $2.88 million of tax bonds
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5/2/2011 | LMMU | Tobacco Settlement, N.J., calls $104.51 million asset-backed bonds
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5/2/2011 | CVLM | AED Oil holders exercise put option for remaining 9% convertibles
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5/2/2011 | LMMU | Erie Tobacco, N.Y., calls $1.81 million of 6% asset-backed bonds
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5/2/2011 | LMMU | American Public Energy Agency, Neb., calls some 2005A gas supply bonds
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5/2/2011 | LMMU | Tobacco Securitization, Calif., calls $167.48 million Sacramento bonds
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5/2/2011 | HYLM | Chesapeake Energy completes five tender offers, extends two others
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5/2/2011 | LMMU | Novant Health, N.C., calls $2 million of taxable demand bonds
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5/2/2011 | LMMU | Tobacco Settlement, Va., calls $17.73 million 5.25% asset-backed bonds
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5/2/2011 | CVLM | Cell Therapeutics retires 7.5% convertibles, leaving just one series
|
5/2/2011 | LMMU | Harris County Health, Texas, calls all $113.4 million Memorial Hermann 2001A hospital bonds
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5/2/2011 | LMMU | Children's Trust, Puerto Rico, calls $9.44 million Cede tobacco bonds
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5/2/2011 | LMMU | Tobacco Settlement Authority, Iowa, calls $557.31 million 5.5% bonds
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4/29/2011 | LMMU | District of Columbia Tobacco calls $2.35 million 6.25% bonds due 2024
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4/29/2011 | HYLMPV | Westwood One to pay down 15% notes with $104 million of stock proceeds
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4/29/2011 | LMPF | GDL Fund calls $84.86 million of series A preferreds at par of $50
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4/29/2011 | EMLM | Singapore's Ascendas REIT redeems S$150 million 43/4% notes due 2011
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4/29/2011 | LMMU | Kansas City, Mo., authority to redeem downtown redevelopment bonds
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4/29/2011 | IGLM | Alcoa gives early tender results for 6% notes, extends early deadline
|
4/29/2011 | LMPF | Interstate Power and Light redeems 1.6 million 7.1% preferreds
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4/29/2011 | HYLM | Da-Lite Screen gets tenders, consents for 99.9% of 121/2% notes so far
|
4/29/2011 | LMMU | Louisiana calls $177.13 million of 2008-A G.O. demand refunding bonds
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4/29/2011 | AGLM | Fannie Mae plans to redeem $302.19 million securities at par in May
|
4/29/2011 | IGLM | BVPS issues calls to redeem $5.69 million 8.89% bonds due 2017 at par
|
4/29/2011 | HYLM | K. Hovnanian to redeem 111/2% notes with 10 5/8% notes offer proceeds
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4/29/2011 | LMMU | Missouri HEFA calls $248.57 million of 2001A SSM Health Care bonds
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4/29/2011 | CADDHYLM | Angiotech further extends exchange offer for floating-rate notes
|
4/29/2011 | IGLM | Republic Services subsidiary prices tender offer for 9.25%, 7.4% notes
|
4/29/2011 | HYLM | Sealy Mattress calls $10 million of 10 7/8% senior notes due 2016
|
4/29/2011 | LMMU | Nassau County, N.Y., authority's sales tax bonds have mandatory tender
|
4/29/2011 | CVLM | RAIT repurchases $103.7 million convertibles from two series
|
4/29/2011 | LMMU | Charlotte, N.C., calls portion of Nascar Hall of Fame 2009D bonds
|
4/29/2011 | HYLM | Sensata begins tenders offers, consent solicitations for 8%, 9% notes
|
4/29/2011 | LMMU | University of New Mexico calls some series 2001 system revenue bonds
|
4/29/2011 | EMLM | China's ENN Energy calls outstanding 7 3/8% guaranteed notes due 2012
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4/28/2011 | LMMU | Baltimore calls $28.76 million public improvement, metropolitan bonds
|
4/28/2011 | DDHYLM | Trico accepts $3.05 million of additional 11 7/8% notes for exchange
|
4/28/2011 | LMMU | Portland, Ore., calls $4.4 million of tax pension obligation bonds
|
4/28/2011 | HYLM | Centene calls its $175 million 71/4% senior notes due 2014 at 103.625
|
4/28/2011 | HYLM | Kodak repurchases $50 million 71/4% notes with proceeds of 10 5/8% notes
|
4/28/2011 | AGLM | FFCB calls $292 million consolidated systemwide bonds at par
|
4/28/2011 | HYLM | Yonkers Racing marks needed consents for 11 3/8% notes due 2016
|
4/28/2011 | CVLM | Chesapeake Energy prices tender offers for contingent convertibles
|
4/28/2011 | IGLM | Alcoa modifies maximum tender cap in offer for 6% notes due 2013
|
4/28/2011 | CVLM | ProLogis gives results to date of tender offer for ProLogis European
|
4/27/2011 | LMMU | Franklin County, Ohio, calls portion of U.S. Health of Columbus bonds
|
4/27/2011 | HYLM | Goodyear Tire to redeem $350 million of 101/2% senior notes due 2016
|
4/27/2011 | EMLM | Bahrain's BBK repurchases $200,000 variable-rate notes on April 18
|
4/27/2011 | LMMU | San Antonio defeases, calls $58.7 million 5% water system bonds
|
4/27/2011 | LMMU | Huntsville, Ala., Health Care calls $96.52 million 2001A bonds at 101
|
4/27/2011 | HYLM | Greenbrier receives tenders for $90.8 million of 8 3/8% senior notes
|
4/27/2011 | EMLM | Brazil's Net Servicos to prepay all $150 million 91/4% perpetual bonds
|
4/27/2011 | LMMU | Sonoma County, Calif., calls $10.97 million pension obligation bonds
|
4/27/2011 | LMMU | Louisiana Public Facilities calls $440.1 million student loan bonds
|
4/27/2011 | HYLM | Nortek calls $86.75 million 11% senior secured notes due 2013
|
4/27/2011 | HYIGLM | Seacor buys back $1 million of 5 7/8% notes due 2012 in first quarter
|
4/27/2011 | LMMU | New Hampshire HEFA calls portion of 2008 Saint Anselm College bonds
|
4/27/2011 | HYLM | Ryland Group buys back $27.5 million of 5.4% notes due 2015 in April
|
4/27/2011 | HYLM | Allied Capital redeems $161.21 million 6% notes due April 1, 2012
|
4/27/2011 | LMMU | Northern Tobacco Securitization, Alaska, calls all series 2001 bonds
|
4/27/2011 | AGLM | FFCB calls $185 million consolidated systemwide bonds at par
|
4/27/2011 | LMMU | Charlotte, N.C., calls some series 2002C water and sewer system bonds
|
4/27/2011 | HYLM | Brown Shoe tenders, seeks consents for $150 million 83/4% notes due 2012
|
4/27/2011 | LMMU | Riverside, Calif., calls all $59 million 2008A water revenue bonds
|
4/27/2011 | CACVLM | Holloway's normal course bid for $5.18 million convertibles gets OK
|
4/26/2011 | CALM | Bell Aliant to redeem C$300 million 4.72% notes with note proceeds
|
4/26/2011 | LMMU | Anchorage calls $40.61 million series 2001A G.O. school bonds
|
4/26/2011 | HYLM | TRW Automotive repurchases €5 million of 6 3/8% notes due March 2014
|
4/26/2011 | HYLM | B&G Foods authorized to buy back $25 million of 7 5/8% notes, stock
|
4/26/2011 | CALM | National Bank of Canada gets tenders for 13.09 million preferreds
|
4/26/2011 | LMMU | California Pollution redeems $100 million Edison revenue bonds
|
4/26/2011 | HYLM | Yonkers Racing ups consent fee, amends offer terms for 11 3/8% notes
|
4/26/2011 | HYLM | Global Crossing unit begins excess cash offer for two note series
|
4/26/2011 | CVLM | Anixter retires $21.2 million 3.25% convertibles in first quarter
|
4/26/2011 | LMMU | Pennsylvania Turnpike multimodal bonds due 2038 have mandatory tender
|
4/26/2011 | IGLMMUPF | BlackRock MuniYield California to redeem $139.28 million preferreds
|
4/26/2011 | HYLM | KAR Auction plans to refinance loans, 10% notes and some 83/4% notes
|
4/26/2011 | CVLM | First Uranium seeks OK to amend technical test under convertibles
|
4/26/2011 | LMMU | Portland, Ore., calls $4.38 million of tax pension obligation bonds
|
4/26/2011 | AGLM | FFCB calls $152 million consolidated systemwide bonds at par
|
4/26/2011 | IGLMMUPF | BlackRock MuniYield Michigan to redeem $144.65 million preferreds
|
4/26/2011 | HYLM | Nortek gets tenders for 88.5% of 11% notes, enough to pass amendments
|
4/26/2011 | EMHYLM | Brazil's Cosan delivers redemption notice for 81/4% perpetual notes
|
4/26/2011 | AGLM | Fannie Mae plans to redeem $1.08 billion medium-term notes on May 6
|
4/26/2011 | IGLMMUPF | BlackRock MuniYield New York to redeem $247.7 million preferreds
|
4/26/2011 | HYLM | Sanmina-SCI tenders for any and all of its $380 million 63/4% notes, up to $200 million 8 1/8% notes
|
4/26/2011 | HYLM | Ameristar Casinos holders tender $649.53 million 91/4% notes due 2014
|
4/25/2011 | EMHYLM | Argentina's Autopistas del Sol buys back, cancels 2020 and 2017 notes
|
4/25/2011 | LMMU | Carroll County, Ky., Kentucky Utilities bonds have mandatory tender
|
4/25/2011 | AGLM | FFCB calls $110 million 1.24% consolidated systemwide bonds at par
|
4/25/2011 | HYLM | Univision tenders, seeks consents for $545 million 12% notes due 2014
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4/25/2011 | EMHYLM | Malaysia's Ranhill to redeem all outstanding 121/2% notes due 2011
|
4/25/2011 | AGLM | Fannie Mae plans to redeem $848.32 million securities in May
|
4/25/2011 | LMMU | New York Liberty calls $2.6 billion World Trade Center revenue bonds
|
4/25/2011 | HYLM | Vail Resorts gathers needed consents to amend $390 million 63/4% notes
|
4/25/2011 | EMLM | Singapore's Queensley Holdings to redeem S$320 million secured notes
|
4/25/2011 | BKHYLM | Party City plans to repay credit facilities, notes with IPO proceeds
|
4/25/2011 | LMMU | Port of Tacoma, Wash., $112.92 million bonds have mandatory tender
|
4/25/2011 | IGLM | Republic Services subsidiary begins tender for 9.25%, 7.4% notes
|
4/25/2011 | HYLM | Aeroflex begins tender offer for any and all 113/4% notes due 2015
|
4/25/2011 | CVLM | ProLogis begins tender offer for ProLogis European units, convertibles
|
4/25/2011 | IGLM | Verizon New England calls $2 billion 6.5%, 5.65% series A debentures
|
4/25/2011 | HYLM | Commercial Vehicle gets consents needed to amend 8%, 11%/13% notes
|
4/25/2011 | CVLM | Veeco Instruments calls all $91.6 million 4.125% convertibles due 2012
|
4/25/2011 | IGLM | Wells Fargo issues call for $90 million securities from three trusts
|
4/25/2011 | HYLM | Select Medical begins tender offer, solicits consents for 7 5/8% notes
|
4/21/2011 | HYLM | PPR buys back €250 million of 8 5/8% bonds due 2014 in tender offer
|
4/21/2011 | HYLM | Belden & Blake to redeem $139.48 million 83/4% notes due 2012 on May 24
|
4/21/2011 | CVLM | Century Aluminum calls all $47.1 million 1.75% convertibles due 2024
|
4/21/2011 | LMMU | Austin, Texas, calls $9.47 million 6% utility systems bonds due 2013
|
4/21/2011 | HYLM | iPayment to use note, unit proceeds to pay off debts, redeem notes
|
4/21/2011 | HYLM | CDW units start follow-on tender offer for 11% notes, toggle notes
|
4/21/2011 | CVLM | Discovery Air to redeem 8.75% convertibles using new issue proceeds
|
4/21/2011 | LMMU | Finance Authority of Maine redeems $304 million education loan bonds
|
4/21/2011 | IGLM | Alcoa gets tenders for $253.55 million 5.375% notes so far, extends early tender deadline
|
4/21/2011 | HYLM | Hovnanian 8 5/8% noteholders give consents to amend, issue more notes
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4/21/2011 | CVLM | UAE's Tabreed awaits regulatory OK to settle exchangeable certificates
|
4/21/2011 | LMMU | Indiana Health calls $145.95 million Clarian Health bonds due 2030
|
4/21/2011 | IGLM | OneBeacon subsidiary buys back $150 million 5.875% notes through oversubscribed tender offer
|
4/21/2011 | HYLM | Morris Publishing redeems $578,465 more of its floaters due 2014
|
4/21/2011 | EMLM | Dominican Republic's Cerveceria Nacional prices tender for 16% notes
|
4/21/2011 | LMMU | Knox County, Tenn., calls $1 million of 4.75% G.O. bonds due 2012
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4/21/2011 | AGLM | FFCB calls $25 million 4.85% consolidated systemwide bonds at par
|
4/21/2011 | IGLM | Silicon Valley Bank launches cash tender offers for 5.7%, 6.05% notes
|
4/21/2011 | HYLM | Neiman Marcus begins tender offer, solicits consents for 9%/93/4% notes
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4/21/2011 | LM | Schiphol Nederland holders tender €403.37 million 4.375%, 6.625% notes
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4/21/2011 | LMMU | New York calls $12.89 million 5.25% G.O. refunding bonds due 2014
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4/21/2011 | CVLM | BlackRock issues call to redeem $60 million convertible debentures
|
4/21/2011 | IGLMPF | BB&T plans to call all of its trust preferred securities in 2013
|
4/20/2011 | HYLM | Nortek amends tender offer for $753.33 million 11% notes due 2013
|
4/20/2011 | CVLM | Valeant issues call to redeem all 4% convertible notes due 2013
|
4/20/2011 | HYLM | Primus Telecommunications begins excess cash flow offer for 13% notes
|
4/20/2011 | EMHYLM | Brazil's Braskem gives final tender results for 113/4%, 9 3/8%, 8% notes
|
4/20/2011 | HYLM | Yonkers Racing seeks consents to allow issuance of more 11 3/8% notes
|
4/20/2011 | HYLM | Co-operative Bank gets tenders for €149.22 million floating-rate notes
|
4/20/2011 | IGLM | Sallie Mae buys back $825 million senior notes in first quarter 2011
|
4/20/2011 | HYLM | IFCO tenders for 10% senior notes due 2016 in change-of-control offer
|
4/20/2011 | AGLM | FFCB calls $53 million 4.24% consolidated systemwide bonds at par
|
4/20/2011 | HYLM | Neiman Marcus plans to redeem or buy back $752.4 million 9%/93/4% notes
|
4/20/2011 | BKCVHYLM | Superior Energy to redeem notes, pay down revolver with note proceeds
|
4/19/2011 | EMLM | Bank of Georgia tenders for $100 million 9% loan participation notes
|
4/19/2011 | LMMU | Oklahoma City Industrial calls $1.3 million of SSM Health bonds
|
4/19/2011 | EMLM | Emirates NBD repurchases $5.4 million floating-rate notes due 2012
|
4/19/2011 | AGLM | FFCB to redeem $350 million of 2.375% consolidated systemwide bonds
|
4/19/2011 | LMMU | Wisconsin to redeem $18.55 million of four series of G.O. bonds at par
|
4/19/2011 | HYLM | CVR Energy amends tender offer for $100 million 9%, 10 7/8% notes
|
4/19/2011 | AGLM | Fannie Mae to redeem $1.47 billion medium-term notes on April 29
|
4/19/2011 | LMMUPF | Nuveen Ohio to redeem $15.5 million auction-rate preferreds on May 16
|
4/19/2011 | HYLM | Norcraft tenders for 93/4% discount notes, plans to redeem remainder
|
4/19/2011 | CVLM | ChipMOS forces conversion on two series of its 8% senior convertibles
|
4/19/2011 | HYLM | TRW Automotive repurchases €5 million of 6 3/8% notes due March 2014
|
4/19/2011 | EMHYLM | Evraz upsizes Dutch auction offer to cover all tendered 8 7/8% notes
|
4/19/2011 | LMMU | Illinois Health calls $1.7 million of variable-rate SSM Health bonds
|
4/18/2011 | HYLM | Iasis Healthcare begins tender offer, consent bid for 83/4% notes
|
4/18/2011 | CVLM | Solarstrom holders convert €1.54 million of 6.25% convertibles
|
4/18/2011 | LMMU | University of Wisconsin Hospitals calls $57.07 million bonds due 2032
|
4/18/2011 | CVLM | CapitaCommercial holders put back S$6.25 million 2% convertibles
|
4/18/2011 | LMMU | Farmington, N.M., calls $55.54 million California Edison bonds
|
4/18/2011 | HYLM | James River Coal terminates tender offer, calls all 9 3/8% notes
|
4/18/2011 | DDHYLM | Trico further extends exchange offer, solicitation for 11 7/8% notes
|
4/18/2011 | CVLM | Goodrich has bought back $145.9 million 3.25% convertibles due 2026
|
4/18/2011 | LMMU | Fresno, Calif., calls $20.94 million of 1994 taxable pension bonds
|
4/18/2011 | HYLM | Stewart Enterprises settles early tenders for $194.2 million 61/4% notes
|
4/18/2011 | HYLM | AEP Industries settles early tenders for $133.72 million 7 7/8% notes
|
4/18/2011 | CVLM | LDK Solar holders put back $351.78 million of 4.75% convertibles
|
4/18/2011 | LMMU | Houston to redeem $274.13 million 2004C combined utility system bonds
|
4/18/2011 | HYLM | Tomkins repurchases £4 million of 6 1/8% notes due 2015
|
4/18/2011 | HYLM | Chesapeake Energy records early tenders; ups offer cap for one series
|
4/18/2011 | CVLM | Pescanova to buy back €26.6 million of 6.75% convertibles due 2015
|
4/18/2011 | LMMU | Lee County, Fla., calls $77.33 million water and sewer revenue bonds
|
4/18/2011 | AGLM | FFCB calls $384 million 0.55%, 2.95% consolidated systemwide bonds
|
4/18/2011 | IGLMPV | Willis Group redeems remaining $35 million of 12.875% notes due 2016
|
4/18/2011 | HYLM | Da-Lite launches cash tender, change-of-control offers for 121/2% notes
|
4/18/2011 | CVLM | Provident Energy to redeem C$95 million 6.5% convertibles due 2012
|
4/18/2011 | LMMU | Regional Transportation Authority, Ill., calls some 2005B G.O. bonds
|
4/18/2011 | AGLM | Fannie Mae to redeem $1.03 billion medium-term notes at par April 28
|
4/18/2011 | LMMU | Commonwealth Financing, Pa., calls some 2006B, C taxable revenue bonds
|
4/15/2011 | LMMU | Illinois Health calls $225,000 of Delnor Community Hospital bonds
|
4/15/2011 | EMHYLM | Mexico's Javer gets total tenders for $203.67 million of 13% notes
|
4/15/2011 | IGLM | Republic Services calls its 7.125% senior notes due 2016 at 103.563
|
4/15/2011 | HYLM | Sheridan Group settles tenders for $136.57 million of 101/4% notes
|
4/15/2011 | LMMU | Indiana Health authority's Clarian Health bonds have mandatory tender
|
4/15/2011 | LM | Iceland launches par cash tender offer for 3.75% notes, 5.375% notes
|
4/15/2011 | LMMU | Austin, Texas, calls $79.29 million water and wastewater system bonds
|
4/15/2011 | AGLM | FFCB calls $200 million 1.125%, 1.79% consolidated systemwide bonds
|
4/15/2011 | HYLM | Stewart Enterprises gets needed tenders for 61/4% notes by consent date
|
4/15/2011 | LMMU | South Carolina Jobs-Economic calls $355,000 of MUFC Central bonds
|
4/15/2011 | HYLM | Allison Transmission tenders for any and all 111/4% toggle notes
|
4/15/2011 | LMMU | California Pollution Control's $164.86 million Republic Services bonds have mandatory tender
|
4/15/2011 | AGLM | Fannie Mae plans to redeem $1.9 billion medium-term notes at par
|
4/15/2011 | HYLM | Vanguard Health to redeem 10 3/8% notes due 2016 with stock proceeds
|
4/15/2011 | LMMU | Winston-Salem, N.C., calls $77.84 million water and sewer system bonds
|
4/15/2011 | HYLM | American Casino to redeem 5% of its 11% senior notes due 2014 in May
|
4/15/2011 | LMMU | Commonwealth Transportation Board, Va., calls Route 58 revenue bonds
|
4/15/2011 | CVLM | Huntingdon REIT calls C$10 million of 7.5% convertibles due 2012
|
4/15/2011 | IGLM | Allied Waste issues call to redeem $600 million 7.125% notes due 2016
|
4/15/2011 | HYLM | Bankrate to use stock offering proceeds to redeem some 113/4% notes
|
4/15/2011 | LMMU | Fairfax, Va., development authority calls $5.03 million Inova bonds
|
4/15/2011 | EMHYLM | Brazil's Braskem extends tender offers for 113/4%, 9 3/8%, 8% notes
|
4/15/2011 | IGLM | Golden State Water issues call for 7.65% series B notes due 2025
|
4/15/2011 | HYLM | Co-operative Bank sets 9% minimum yield for exchange notes due 2021
|
4/14/2011 | DDHYLM | Trico again extends exchange offer, solicitation for 11 7/8% notes
|
4/14/2011 | LMMU | Educational Funding of the South gets $1.22 billion of tenders so far
|
4/14/2011 | HYLM | El Paso accepts $277.65 million in tender offers for seven note series
|
4/14/2011 | HYLM | CDW prorates purchase of 11%, toggle notes in oversubscribed tender
|
4/14/2011 | HYLM | Greenbrier calls $144.4 million 8 3/8% senior notes due May 2015
|
4/14/2011 | HYLM | CVR Energy units tender for up to $100 million 9% notes, 10 7/8% notes
|
4/14/2011 | CVLM | AirTran plans change-of-control tender offer for 7% convertible notes
|
4/14/2011 | HYLM | Rainbow National Services calls all $300 million 83/4% notes due 2012
|
4/14/2011 | HYLM | Co-operative Bank determines currency, maturity of exchange notes
|
4/14/2011 | CVLM | ProLogis to begin tender offer for ProLogis European convertibles
|
4/14/2011 | HYLM | Sheridan Group extends tender offer for 101/4% notes by one more day
|
4/14/2011 | HYLM | EPL Intermediate issues calls for $10.14 million 141/2% notes due 2014
|
4/14/2011 | DDHYLM | Allied Irish Banks amends subordinated securities, plans tender offer
|
4/14/2011 | LMMU | Denver defeases, calls $354.55 million airport system revenue bonds
|
4/14/2011 | HYLM | El Paso Tennessee Pipeline buys back $23.27 million 9%, 71/4% debentures
|
4/13/2011 | LMMU | Illinois Health calls $54.14 million Methodist Medical Center bonds
|
4/13/2011 | EMLM | Brazil's Banco Sofisa to buy back $7 million 71/4% notes due 2011
|
4/13/2011 | LMMU | San Antonio calls all $50.24 million 2001 water system revenue bonds
|
4/13/2011 | HYLM | Atrium European launches cash tender offer for 6.8% notes due 2011
|
4/13/2011 | HYLM | Berry Petroleum amends loan to allow refinancing of 101/4%, 81/4% notes
|
4/13/2011 | HYLM | Greenbrier gets tenders for $90.6 million of 8 3/8% notes so far
|
4/13/2011 | IGLM | Alcoa offers to repurchase all 5.375% notes, portion of 6% notes
|
4/13/2011 | CVLM | Penn Virginia accepts tenders for roughly 98% of 4.5% convertibles
|
4/12/2011 | HYLM | Sensus USA begins tender offer, consent solicitation for 8 5/8% notes
|
4/12/2011 | CVLM | Clarke gets OK for plans to purchase 10% of 6% convertibles due 2013
|
4/12/2011 | LMMU | Detroit Local Development calls $450,000 of tax increment bonds
|
4/12/2011 | CVLM | Grubb & Ellis does not get needed consents for 7.95% convertibles
|
4/12/2011 | LMMU | Louisiana Public Facilities may buy some of $60 million Touro bonds
|
4/12/2011 | DDHYLM | Trico again prolongs exchange offer, solicitation for 11 7/8% notes
|
4/12/2011 | LMMU | Pennsylvania Economic calls $560,000 of Jefferson Health System bonds
|
4/12/2011 | HYLM | K. Hovnanian launches consent solicitation to amend 8 5/8% notes
|
4/12/2011 | LMPP | Forest Labs accepts $50 million of tendered Clinical Data convertibles
|
4/12/2011 | HYLM | Nortek tenders, seeks consents for $753.33 million 11% notes due 2013
|
4/12/2011 | AGLM | Fannie Mae plans to redeem $150 million medium-term notes at par
|
4/11/2011 | LMMU | Greenville Hospital, S.C., rescinds redemption of 2008D revenue bonds
|
4/11/2011 | IGLM | Entergy Mississippi to redeem $155 million debt with bond proceeds
|
4/11/2011 | HYLM | Co-operative Bank begins exchange offer for step-up floaters due 2016
|
4/11/2011 | LMMU | Rutgers University, N.J., amends redemption date for 2002, 2009 bonds
|
4/11/2011 | AGLM | Fannie Mae plans to redeem $609 million medium-term notes at par
|
4/11/2011 | LMMU | Lancaster Port Authority, Ohio, calls some 2008 gas supply bonds
|
4/11/2011 | IGLM | Golden State Water to redeem $22 million of 7.65% notes due 2025
|
4/11/2011 | HYLM | Nortek to refinance 11% notes due 2013 with proceeds of 10-year notes
|
4/11/2011 | LMMU | Salt Lake City calls some 1991 IHC Hospitals revenue refunding bonds
|
4/11/2011 | CALM | National Bank of Canada extends offers to buy preferreds at premium
|
4/11/2011 | LMMU | Long Island Power Authority, N.Y., calls $116 million revenue bonds
|
4/11/2011 | IGLM | PMA Capital to redeem up to $18.04 million of securities due 2033
|
4/11/2011 | HYLM | Omnicare to redeem $25 million of 6 1/8% senior notes due 2013
|
4/11/2011 | LMMU | Tarrant County, Texas, stops redemption of 2008 Scott and White bonds
|
4/11/2011 | CVLM | Huntingdon REIT gets OK to renew normal course issuer bid to buy portion of 7.5% convertibles
|
4/11/2011 | LMMU | Ohio to redeem portions of series 2006B, C common schools G.O. bonds
|
4/11/2011 | IGLM | Western National calls $2 million surplus notes due 2033 at par
|
4/11/2011 | HYLM | Unisys wraps oversubscribed tender for $220 million 123/4%, 141/4% notes
|
4/11/2011 | LMMUPF | Nuveen California to redeem $26.33 million of auction-rate preferreds
|
4/11/2011 | EMLM | Indonesia's Indika starts exchange for up to $165 million 81/2% notes, solicits consents for 93/4% notes
|
4/11/2011 | LMMU | Philadelphia Gas calls portion of 7% series 12 revenue bonds due 2020
|
4/11/2011 | LMMU | Corporate Finance calls $860,000 Central Utah Medical notes due 2043
|
4/11/2011 | HYLM | Vail Resorts launches tender, consent bid for $390 million 63/4% notes
|
4/11/2011 | HYLM | Ameristar Casinos records needed consents for 91/4% notes due 2014
|
4/11/2011 | LMMU | Philadelphia to redeem $117.46 million of two series of G.O. bonds
|
4/8/2011 | LMMU | Sacramento Metro Fire, Calif., calls $1.23 million pension bonds
|
4/8/2011 | HYLM | Commercial Vehicle Group tenders for any and all 8%, 11%/13% notes
|
4/8/2011 | AGLM | Fannie Mae plans to redeem $1.53 billion medium-term notes at par
|
4/8/2011 | HYLM | United Refining redeems $136.85 million of 101/2% notes due 2012 at par
|
4/8/2011 | CAHYLM | MEGA Brands begins bid for up to $20 million of 10% debentures
|
4/8/2011 | IGLMPF | PMA Capital calls $54.9 million of 8.5% monthly income notes due 2018
|
4/8/2011 | CVLM | AirTran may be required to tender for 5.5%, 5.25% convertibles
|
4/8/2011 | LMMU | Central Utah Water to redeem $57.7 million G.O. refunding bonds
|
4/8/2011 | DDHYLM | Trico again extends exchange offer, solicitation for 11 7/8% notes
|
4/8/2011 | LMMU | Massachusetts HEFA defeases series G, H hospital revenue bonds
|
4/8/2011 | EMLM | Argentina's Mastellone Hermanos buys back $500,000 series C bonds
|
4/7/2011 | CVLM | Correction: Barnes redeems $11.87 million 3.75% convertibles due 2025
|
4/7/2011 | HYLM | TRW Automotive repurchases €5 million of 6 3/8% notes due March 2014
|
4/7/2011 | HYLM | Copano Energy calls for all $56.55 million of 8 1/8% notes due 2016
|
4/7/2011 | EMLM | Bank of Cyprus calls €200 million of bonds due May 2016 at par
|
4/7/2011 | CVLM | Mentor Graphics to redeem its 6.25% convertible debentures due 2026
|
4/7/2011 | HYLMPF | Amerco issues call to fully redeem its 81/2% preferreds on June 1
|
4/7/2011 | HYLM | Fisher Communications calls $5 million of 8 5/8% notes due 2014
|
4/7/2011 | EMLM | Dominican Republic's Cerveceria Nacional offers to purchase 16% notes
|
4/7/2011 | CVLM | Seadrill to redeem $749.5 million of convertible bonds due 2012
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4/7/2011 | IGLM | Liberty Mutual gets tenders for 93.03% of 7.5% notes due 2036 so far
|
4/7/2011 | CAHYLM | Millar Western gets tenders for $177.71 million of 73/4% notes so far
|
4/7/2011 | HYLM | Liz Claiborne plans to settle tenders for €128.5 million of 5% notes
|
4/7/2011 | EMLM | Georgia holders tender $416.74 million of 71/2% notes due 2013 in offer
|
4/7/2011 | EMHYLM | Brazil's Braskem begins tender offers for 113/4%, 9 3/8%, 8% notes
|
4/7/2011 | IGLM | OneBeacon tender for 5.875% notes oversubscribed at early deadline
|
4/7/2011 | CVLM | Algonquin holders to exchange all 7.5% convertibles for shares
|
4/7/2011 | HYLM | Nexstar to redeem $33.4 million 11 3/8% notes with loan proceeds
|
4/7/2011 | LM | Network Rail Infrastructure repurchases $160,000 1.5% notes due 2014
|
4/7/2011 | EMHYLM | Thailand's PTT Aromatics seeks consents to amend 51/2% notes due 2012
|
4/7/2011 | IGLMPF | Essex Property to repurchase series B preferreds with offer proceeds
|
4/7/2011 | CVLM | Clarke to redeem C$18.28 million of 6% convertible debentures due 2012
|
4/7/2011 | HYLM | Park-Ohio offer nets tenders of 60.6%, enough to amend 8 3/8% notes
|
4/7/2011 | HYLM | CDW units mark end of withdrawal rights for 11%, toggle notes tender
|
4/7/2011 | EMLM | Bahrain's BBK redeems $161.88 million variable-rate notes on April 4
|
4/7/2011 | IGLMPF | Public Storage to redeem $350 million of 7.25% preferred shares
|
4/6/2011 | DDHYLM | Trico once more extends exchange, solicitation for 11 7/8% notes
|
4/6/2011 | LMMU | Port of Portland, Ore., defeases $53.37 million airport revenue bonds
|
4/6/2011 | LMMU | Clackamas County, Ore., hospital authority calls Legacy Health bonds
|
4/6/2011 | EMHYIGLM | Braskem plans tender offers for 11.75% notes, 9.375% notes, 8% notes
|
4/6/2011 | LMMU | Utah Water to redeem two series of program revenue bonds in full
|
4/6/2011 | CVLM | Barnes Group rescinds redemption of $92.5 million 3.75% convertibles
|
4/6/2011 | LMMU | Cook County, Ill., calls $358.16 million series 2001A G.O. bonds
|
4/6/2011 | LM | Adecco gives new issue spread range in exchange, tender offers for 4.5% notes, 7.625% notes
|
4/6/2011 | CVLM | Penn Virginia amends, extends tender offer for its 4.5% convertibles
|
4/6/2011 | LMMU | Duke University, N.C., calls $500 million series 2009A taxable bonds
|
4/6/2011 | HYLM | International Wire pulls consent solicitation for 93/4% notes due 2015
|
4/6/2011 | CVLM | Sirius XM Radio lifts purchase price in tender for 3.25% convertibles
|
4/6/2011 | LMMU | Greenville Hospital, S.C., rescinds redemption of $1.14 million bonds
|
4/6/2011 | HYLM | Liz Claiborne records tenders for €128.5 million 5% notes, extends offer; holders reject amendment
|
4/6/2011 | DDHYLM | El Pollo Loco to get equity infusion to pay off 141/2% discount notes
|
4/6/2011 | LMMU | Indiana Health to redeem all Clarian Health series 2003 E, G bonds
|
4/6/2011 | HYLM | Town Sports to repay loan, redeem 11% notes with new credit facility
|
4/5/2011 | AGLM | Fannie Mae plans to redeem $1.26 billion medium-term notes at par
|
4/5/2011 | LMPF | Prime Group Realty calls special meeting for holders of 9% preferreds
|
4/5/2011 | HYLM | Intelsat announces early results of three subsidiaries' tender offers
|
4/5/2011 | CVLM | Avatar Holdings holders put back $41.64 million of 4.5% convertibles
|
4/5/2011 | HYLM | International Wire again extends consent solicitation for 93/4% notes
|
4/5/2011 | EMHYLM | Brazil's Cosan to call 81/4% perpetuals, begins consent solicitation
|
4/5/2011 | HYLM | James River Coal garners consents from majority of 9 3/8% noteholders
|
4/5/2011 | EMHYLM | Evraz Group launches Dutch offer to purchase portion of 8 7/8% notes
|
4/5/2011 | LMMU | New York to redeem $198.63 million general obligation bonds on May 2
|
4/5/2011 | EMLM | Abu Dhabi Commercial Bank repurchases A$25 million of notes
|
4/5/2011 | LMMU | Nuveen Ohio to redeem all $21.6 million auction-rate preferreds
|
4/5/2011 | HYLM | Copano Energy records needed consents in 8 1/8% notes solicitation
|
4/4/2011 | EMLM | Argentina's Neuquen begins consent solicitation for 8.656% notes
|
4/4/2011 | CVLM | Grubb & Ellis extends consent bid for 7.95% convertibles by one week
|
4/4/2011 | LMMU | New York City calls $198.63 million of series 2001F, 2001G G.O. bonds
|
4/4/2011 | AGLM | FFCB calls $10 million 3.6% consolidated systemwide bonds at par
|
4/4/2011 | HYLM | Penn Virginia amends 10 3/8% notes; 4.5% convertibles tender extended
|
4/4/2011 | HYLM | AEP Industries tenders, solicits consents for 7 7/8% notes due 2013
|
4/4/2011 | CVLM | LSB issues shares in exchange for $24.4 million 5.5% convertibles
|
4/4/2011 | LMMU | North Carolina Education calls $70 million student loan revenue bonds
|
4/4/2011 | AGLM | Fannie Mae intends to redeem $800 million medium-term notes at par
|
4/4/2011 | HYLM | Stewart Enterprises begins tender offer, consent bid for 61/4% notes
|
4/4/2011 | HYLM | Builders FirstSource to redeem floating-rate notes due 2012, 2016
|
4/4/2011 | CVLM | UDR redeems all remaining 4% convertible senior notes due 2035 at par
|
4/4/2011 | LMMU | San Francisco commission calls $56.7 million of airport revenue bonds
|
4/4/2011 | CVHYLM | Penn Virginia to amend 10 3/8% notes to allow 41/2% convertibles tender
|
4/4/2011 | IGLM | Liberty Mutual extends early tender date, consent date for 7.5% notes
|
4/4/2011 | HYLM | Chesapeake Energy begins tender offers for up to $1 billion of notes
|
4/4/2011 | DDHYLM | Trico again extends exchange offer, solicitation for 11 7/8% notes
|
4/4/2011 | LMMU | Sunshine State Financing rescinds mandatory tender of Miami-Dade bonds
|
4/4/2011 | CVLM | CapitaMall buys back S$106 million 1% convertible bonds due 2013
|
4/4/2011 | IGLMPF | Citigroup gets consents to kill some covenants for 6% trust preferreds
|
4/4/2011 | HYLM | Endeavour to redeem $81.25 million 6% senior notes due 2012 at par
|
4/4/2011 | EMHYLM | South Africa's Sappi plans to redeem 63/4% notes due 2012, repay loan
|
4/4/2011 | LMMU | Tennergy to redeem $73.51 million of gas revenue bonds due 2016
|
4/4/2011 | CVLM | Chesapeake Energy begins tender offers for up to $1 billion of contingent convertibles
|
4/4/2011 | IGLMPF | Public Storage plans to redeem $517.5 million 7.25% preferred shares
|
4/4/2011 | HYLM | International Wire extends consent solicitation for its 93/4% notes
|
4/1/2011 | EMHYLM | Mexico's Javer gets tenders for $202.67 million of 13% notes so far
|
4/1/2011 | LMMU | Macon-Bibb County Hospital, Ga., calls some 2000 Carlyle Place bonds
|
4/1/2011 | LMMU | Georgia Road and Tollway Authority calls $371.66 million revenue bonds
|
4/1/2011 | HYLM | Intelsat subsidiaries get consents needed to amend six series of notes
|
4/1/2011 | EMLM | China's ITC Properties buys back HK$265.5 million notes due 2011
|
4/1/2011 | LMMU | Miami-Dade, Fla., school board calls all $240.42 million 2001A COPs
|
4/1/2011 | AGLM | FFCB calls $90 million 3.75%, 4% consolidated systemwide bonds
|
4/1/2011 | LMMU | Greenville Hospital, S.C., calls some 2008D, E hospital revenue bonds
|
4/1/2011 | HYLM | Michelin buys back €500 million of subordinated notes due 2033
|
4/1/2011 | EMLM | Colombia's Bavaria gets tenders for 92.66% of bonds in exchange offer
|
4/1/2011 | LMMU | North Carolina Education Assistance calls 2003M-2 loan revenue bonds
|
4/1/2011 | AGLM | Fannie Mae plans to redeem $300 million medium-term notes at par
|
4/1/2011 | LMMU | Harris County Health, Texas, redeems some 2007B Baylor College bonds
|
4/1/2011 | HYLM | Steinway to redeem $85 million of 7% senior notes due 2014 on May 2
|
4/1/2011 | HYLM | AIB Mortgage Bank to repurchase €200 million floating-rate securities
|
4/1/2011 | LMMU | Raleigh-Durham Airport, N.C., calls $137.53 million 5%, 5.25% bonds
|
4/1/2011 | CVLM | Penske buys back $87.28 million 3.5% convertibles on put exercise
|
4/1/2011 | LMMU | Illinois Finance calls portion of 2010A OSF HealthCare System bonds
|
4/1/2011 | IGLM | AGCO issues call to redeem all 6.875% notes due 2014 on May 2
|
4/1/2011 | LMMU | Rutgers University, N.J., to redeem portion of 2009G G.O. bonds
|
4/1/2011 | HYLM | Anglo Irish Asset repurchases €1.2 billion and £350 million of notes
|
4/1/2011 | EMHYLM | China's Shimao Property to redeem $250 million floaters due 2011
|
4/1/2011 | LMMU | Indiana Health calls portion of 2001A Parkview Health System bonds
|
4/1/2011 | LMMU | Dasny to redeem some North Shore Long Island Jewish revenue bonds
|
4/1/2011 | LMMU | Washington State to redeem portion of series 1993B G.O. bonds
|
4/1/2011 | HYLM | Atrium European unit eyes cash tender offer for 6.8% notes due 2011
|
3/31/2011 | HYLM | Biglari Holdings redeems $22.63 million of 14% subordinated debentures
|
3/31/2011 | CVLM | ChipMOS calls all $2.26 million 3.375% convertibles due 2011
|
3/31/2011 | LMMU | St. Anthony's Medical Center, Mo., buys no bonds in February auctions
|
3/31/2011 | LMMU | Burlington County Bridge, N.J., calls $37.16 million revenue bonds
|
3/31/2011 | HYLM | NPS Pharmaceuticals repays $175 million 8% class A notes due 2017
|
3/31/2011 | CVLM | Solarstrom holders may convert 6.25% bonds for two weeks in April
|
3/31/2011 | LMMU | Columbus Regional Airport, Ohio, calls $42.98 million Oasbo bonds
|
3/31/2011 | HYLM | Park-Ohio extends consent deadline, tender expiration for 8 3/8% notes
|
3/31/2011 | CVLM | Thermo Fisher calls $329.23 million 3.25% convertibles due 2024
|
3/31/2011 | LMMU | Fresno, Calif., defeases $91.1 million sewer system revenue bonds
|
3/31/2011 | HYLM | Thermon issues call to redeem 10% of its 91/2% secured notes due 2017
|
3/31/2011 | CVLM | Thoratec calls convertibles due 2034; notes convertible until May 16
|
3/31/2011 | LMMU | Guam calls $28.1 million limited obligation infrastructure bonds
|
3/31/2011 | IGLM | DTE Energy calls $5.67 million of 7.458% senior bonds due 2024
|
3/31/2011 | DDHYLM | Trico Shipping again prolongs exchange offer, plan vote solicitation
|
3/31/2011 | LMMU | New York to redeem $262.51 million G.O. refunding bonds on April 29
|
3/31/2011 | IGLM | Telephone and Data Systems calls all $282.5 million of 7.6% notes
|
3/30/2011 | HYLM | LyondellBasell to redeem 10% of its 8% secured dollar and euro notes
|
3/30/2011 | HYLM | AmeriQual calls $75.17 million 91/2% senior secured notes due 2012
|
3/30/2011 | CVLM | Photronics acquires $30.4 million of convertibles with cash, stock
|
3/30/2011 | LMMU | Northern California Transmission calls some 2002A California-Oregon Transmission Project bonds
|
3/30/2011 | HYLM | Seitel's excess cash flow triggers tender offer for 113/4% notes
|
3/30/2011 | HYLM | CDW units add cap to tender offer for 11% notes, toggle notes, cancel consent solicitation
|
3/30/2011 | DDHYLM | Angiotech again extends exchange offer for floating-rate notes
|
3/30/2011 | LMMU | Riverside, Calif., to redeem $56.45 million electric revenue bonds
|
3/30/2011 | HYLM | Windstream wraps tender offer for up to $1.1 billion of 8 5/8% notes
|
3/30/2011 | HYLM | CIT Group to redeem additional $2.5 billion of 7% second lien notes
|
3/30/2011 | EMHYIGLM | Brazil's Odebrecht reports results in offer for 9 5/8%, 71/2%, 7% notes
|
3/30/2011 | LMMU | Shelby County, Tenn., calls 2003A public improvement, school bonds
|
3/30/2011 | AGLM | FFCB calls $80 million 4.1%, 3.37% consolidated systemwide bonds
|
3/30/2011 | IGLM | Sallie Mae gets total tenders for $805.39 million in oversubscribed offers for 12 series of notes
|
3/30/2011 | HYLM | Citadel to commence debt tender offer as part of Cumulus merger
|
3/30/2011 | EMLM | Thailand's TMB Bank to redeem remaining perpetual tier 1 securities
|
3/30/2011 | LMMU | Tarrant County, Texas, calls $182.17 million Scott & White bonds
|
3/30/2011 | CVDDEMLM | Malaysia's Olympia Industries buys back some convertibles, loan stocks
|
3/30/2011 | LMMU | Berks County, Pa., calls some 2009A Reading Hospital revenue bonds
|
3/30/2011 | HYLM | Greenbrier tenders, solicits consents for 8 3/8% senior notes due 2015
|
3/30/2011 | LM | Co-operative Bank may exchange €300 million floating-rate notes
|
3/30/2011 | LMPF | X-Rite to use new loan to redeem series A preferreds, refinance debt
|
3/30/2011 | CVLM | Codfarmers repurchases NOK 6.36 million of 15%/10% convertible bonds
|
3/30/2011 | LMMU | New York calls all series 1995C, 1996A, 1998F, 2001A G.O. bonds
|
3/29/2011 | LMMU | Wisconsin to redeem $131.09 million G.O. bonds on May 1 at par
|
3/29/2011 | HYLM | El Paso Tennessee Pipeline gets needed consents for 9%, 71/4% debentures
|
3/29/2011 | DDHYLM | Trico Shipping extends exchange offer, plan vote solicitation two days
|
3/29/2011 | LMMUPF | Nuveen California to redeem $39.95 million of auction-rate preferreds
|
3/29/2011 | HYLM | El Paso settles early tenders for $124.22 million of three note series
|
3/29/2011 | EMHYLM | Egypt's Orascom Telecom to refinance debt in connection with merger
|
3/29/2011 | AGLM | FFCB calls $77 million 2.5% consolidated systemwide bonds at par
|
3/29/2011 | LMPV | MCG Capital repays 9.98% series 2005-A notes in full ahead of maturity
|
3/29/2011 | IGLM | Wachovia calls $300 million capital trust I 7.64% notes due 2027
|
3/29/2011 | EMHYLM | Mexico's Javer sets coupon for exchange notes in offer for 13% notes
|
3/29/2011 | AGLM | Fannie Mae plans to redeem $170 million medium-term notes at par
|
3/29/2011 | IGLMPF | Wells Fargo issues call for $3.23 billion securities from eight trusts
|
3/29/2011 | EMLM | Georgia begins tender offer for $500 million of 71/2% notes due 2013
|
3/29/2011 | CVLM | Mentor Graphics to retire 6.25% convertibles with notes proceeds, cash
|
3/29/2011 | LMMU | Greenville Hospital System, S.C., calls $89.92 million hospital bonds
|
3/29/2011 | HYLM | Ameristar Casinos tenders for $650 million 91/4% senior notes due 2014
|
3/29/2011 | DDHYLM | Keystone Automotive exchanges $172.7 million of 93/4% notes for stock
|
3/28/2011 | CVLM | UAE's Tabreed gets consents needed to redeem exchangeable certificates
|
3/28/2011 | LMMU | Waco Education, Texas, calls $73.88 million Baylor University bonds
|
3/28/2011 | AGLM | Fannie Mae plans to redeem $870 million medium-term notes at par
|
3/28/2011 | LM | Sveriges Bostadsfin repurchases SEK 1.05 billion of notes early
|
3/28/2011 | HYLM | Goodyear plans to redeem $350 million of 101/2% senior notes due 2016
|
3/28/2011 | LMPF | Neuberger Berman extends tender offer for auction market preferreds
|
3/28/2011 | EMHYLM | Braskem to prepay all $200 million 9% perpetual bonds in April
|
3/28/2011 | CVLM | Bank of Iwate cancels ¥800 million step-up convertible bonds
|
3/28/2011 | LMMU | Indiana Finance's Parkview Health hospital bonds have mandatory tender
|
3/28/2011 | HYLM | International Power gets tenders for 1.11% of 71/4% notes due 2017
|
3/28/2011 | EMLM | Argentina's Autopistas del Sol buys back, cancels notes due 2014
|
3/28/2011 | CVLM | Green Energy Technology announces clean-up call for convertibles
|
3/28/2011 | LMMU | North Carolina Education Assistance calls 2003M-1 student loan bonds
|
3/28/2011 | IGLM | Ares Capital to redeem $161.21 million 6% notes due 2012 on April 27
|
3/28/2011 | IGLM | Westpac Banking completes early repurchase of €5.2 million of notes
|
3/28/2011 | CVLM | Malaysia's Talam to redeem, cancel RM 9.5 million of convertibles
|
3/28/2011 | LMMU | Puerto Rico calls $55.98 million public improvement refunding bonds
|
3/28/2011 | IGLM | Healthcare Realty redeems $278.2 million 8.125% senior notes
|
3/28/2011 | LM | Land Securities repurchases £50,000 of 4.625% class A9 notes due 2013
|
3/28/2011 | CVLM | Tobu Railway buys ¥80 billion convertibles, exchangeable preferreds
|
3/28/2011 | LMMU | University of Illinois calls $51.69 million auxiliary facilities bonds
|
3/28/2011 | IGLMPF | Wells Fargo calls $1.3 billion California 7% capital securities
|
3/28/2011 | HYLM | Ashtead Holdings issues call to redeem $250 million 8 5/8% notes
|
3/25/2011 | CVLM | Horizon extends consent bid for 4.25% convertibles by one more day
|
3/25/2011 | AGLM | Fannie Mae plans to redeem $410 million medium-term notes at par
|
3/25/2011 | HYLM | Unisys gives early results in $220 million 123/4%, 141/4% notes tender
|
3/25/2011 | LM | National Grid Gas repurchases £13.5 million 8.75% securities due 2025
|
3/25/2011 | CAIGLM | Nexen accepts tenders for $311.91 million of 5.2% notes, 5.65% notes
|
3/25/2011 | LMMU | Burke County authority's Georgia Power bonds have mandatory tender
|
3/25/2011 | HYLM | American Shipping gets OK to lower equity requirement on PIK bonds
|
3/25/2011 | CVHYLM | TUI accepts €550.1 million 5.125% notes, 2.75% convertibles in offer
|
3/25/2011 | LMMU | Louisiana Stadium extends auction period for 2006C convertible bonds
|
3/25/2011 | HYLM | Broder Bros. starts consent solicitation for 12% PIK toggle notes
|
3/25/2011 | CVLM | Endeavour to retire $81.3 million of convertibles with stock proceeds
|
3/25/2011 | AGLM | FFCB calls $325 million consolidated systemwide bonds at par
|
3/25/2011 | LMMU | Waco Education Finance, Texas, calls all 2008B Baylor University bonds
|
3/25/2011 | HYLM | Level 3 to redeem $443 million of 91/4% senior notes due 2014 on April 4
|
3/25/2011 | CVLM | Grubb & Ellis extends consent bid for 7.95% convertibles, amends fee
|
3/25/2011 | AGLM | FHLB repurchases $127.89 million of 5% global bonds due 2017
|
3/25/2011 | LMMU | West Virginia Parkways calls portion of 2008 revenue refunding bonds
|
3/25/2011 | HYLM | Sevan Drilling calls for full redemption of NOK 1 billion of bonds
|
3/24/2011 | AGLM | FFCB calls $20 million 3.6% consolidated systemwide bonds at par
|
3/24/2011 | HYLM | Penn Virginia starts consent solicitation for 10 3/8% notes to pave way for 4.5% convertibles offer
|
3/24/2011 | EMLM | Malaysia's Tomei redeems all Islamic commercial paper/MTNs due 2014
|
3/24/2011 | CVLM | Energy XXI swaps $250,000 convertible preferreds for common stock
|
3/24/2011 | LMMU | South Carolina Jobs calls some Sisters of Charity hospital bonds
|
3/24/2011 | AGLM | Fannie Mae plans to redeem $1.02 million notes at par on April 4
|
3/24/2011 | HYLM | Primus falls short of minimum needed for 13% notes, terminates offers
|
3/24/2011 | LM | Land Securities repurchases £75,000 of 4.625% class A9 notes
|
3/24/2011 | CVLM | Khazanah holders put back 45.71% exchangeable certificates due 2013
|
3/24/2011 | LMMU | Tohopekaliga Water, Fla., calls $92.4 million utility system bonds
|
3/24/2011 | CAHYLM | Millar Western Forest Products tenders for $190 million 73/4% notes
|
3/24/2011 | HYLM | Sheridan allows three more weeks to tender 101/4% notes and fund offer
|
3/24/2011 | LM | New South Wales Treasury repurchases A$251.24 million of 6% notes
|
3/24/2011 | LMMUPF | Nuveen New Jersey to redeem $43.93 million of auction-rate preferreds
|
3/24/2011 | CVLM | Safeguard Scientifics investors put nearly all of 2.625% convertibles
|
3/24/2011 | CAIGLM | Nexen prices tender for 5.2% notes due 2015, 5.65% notes due 2017
|
3/24/2011 | IGLM | OneBeacon tenders for up to $150 million of 5.875% notes due 2013
|
3/24/2011 | LM | Sveriges Bostadsfin repurchases SEK 75 million of notes early
|
3/24/2011 | CVLM | Sirius XM Radio begins tender offer for 3.25% convertibles due 2011
|
3/24/2011 | CALM | CIBC to redeem remaining C$20,000 series 28 class A preferred shares
|
3/24/2011 | LMMU | Hancock, Ohio, calls $108.68 million Blanchard Valley Health bonds
|
3/24/2011 | HYLM | Liz Claiborne wraps early tender for 5% notes, waives offer condition
|
3/24/2011 | EMIGLM | AES Panama repurchases $100,000 of 6.35% bonds due 2016
|
3/24/2011 | CALM | Top 10 Split Trust to redeem 19.8% of preferreds after fund extended
|
3/24/2011 | LMMU | Mississippi Business Finance calls some Promenade D'Iberville bonds
|
3/23/2011 | HYLM | Gardner Denver to redeem all $125 million of 8% notes due 2013 in May
|
3/23/2011 | EMLM | Indonesia's Indika Energy unit gets needed consents to amend 81/2% notes
|
3/23/2011 | AGLM | FFCB calls $156 million 0.7% consolidated systemwide bonds at par
|
3/23/2011 | HYLM | International Wire seeks consents of 93/4% noteholders to pay dividend
|
3/23/2011 | EMLM | Russia's Sistema buys RUB 19.5 billion of two bond series in tender
|
3/23/2011 | AGLM | FHLB may repurchase up to $150 million of 5% global bonds due 2017
|
3/23/2011 | HYLMPF | LTC Properties calls all $88.41 million of 8% series F preferreds
|
3/23/2011 | LM | Storebrand buys back NOK 217.5 million floating notes from two series
|
3/23/2011 | CVDDLM | Newport Partners exchanges 7.5%, 7% convertibles for new debentures
|
3/23/2011 | IGLM | Dow buys back $1.5 billion of notes in Dutch auction tender offers
|
3/23/2011 | HYLM | CIT Group to use proceeds from 2014 note offering to retire 2013 notes
|
3/23/2011 | CVLM | Consolidated Thompson gets consents to redeem convertibles due 2017
|
3/23/2011 | LMMU | Murray City, Utah, calls some IHC Health Services 2005 hospital bonds
|
3/23/2011 | HYLM | Dresser-Rand calls all 7 3/8% senior subordinated notes due 2014
|
3/23/2011 | DDHYLM | Irish Nationwide accepts £144.71 million lower tier 2 notes in tender offer, calls remainder
|
3/22/2011 | LMMU | New York State Power Authority redeems $7.57 million notes due 2016
|
3/22/2011 | HYLMPF | NovaStar exchanges or redeems $78.13 million of trust preferreds
|
3/22/2011 | HYLM | Dollar General plans to redeem or retire some or all 10 5/8% notes
|
3/22/2011 | CALM | Canadian Income substantial issuer bid on 7% notes set for May 3
|
3/22/2011 | IGLM | Ares Capital considers redeeming $161.2 million of 6% notes due 2012
|
3/22/2011 | HYLM | Dresser-Rand gets enough consents to amend 7 3/8% notes due 2014
|
3/22/2011 | CVLM | Photronics note proceeds to pay off debt, acquire 5.5% convertibles
|
3/22/2011 | LMMU | Colorado Health to defease $19.26 million of Adventist Health bonds
|
3/22/2011 | HYLM | James River Coal begins tender offer, consent bid for 9 3/8% notes
|
3/22/2011 | LM | Sveriges Bostadsfin repurchases SEK 10 million of notes due 2011
|
3/22/2011 | LMMU | Columbia, S.C., redeems $8.16 million 5.375% waterworks, sewer bonds
|
3/22/2011 | HYLM | Park-Ohio extends consent deadline in cash offer for 8 3/8% notes
|
3/22/2011 | HYLM | CDW prolongs offer deadline in tender for 11% notes, toggle notes
|
3/22/2011 | LMMU | Illinois Health redeems $96.58 million Edward Hospital revenue bonds
|
3/22/2011 | HYLM | Quintiles terminates tender offer, consent solicitation for 91/2% notes
|
3/22/2011 | HYLM | Copano starts tender offer, consent solicitation for 8 1/8% notes
|
3/21/2011 | CAHYLM | Axcan redeems $228 million 91/4% senior notes due 2015 on March 15
|
3/21/2011 | LMMUPF | Nuveen Ohio redeems $12.5 million series W auction-rate preferreds
|
3/21/2011 | LMMU | New Mexico Municipal Energy calls some series 2009 gas supply bonds
|
3/21/2011 | HYLM | Rotech Healthcare calls $287 million 91/2% senior subordinated notes
|
3/21/2011 | CVLM | Penn Virginia increases purchase price offered for 4.5% convertibles
|
3/21/2011 | LMMU | North Carolina Education Assistance calls all 2002K student loan bonds
|
3/21/2011 | IGLM | Liberty Mutual begins tender offer for 7.5% notes, solicits consents
|
3/21/2011 | EMHYIGLM | Brazil's Odebrecht begins tender offers for 9 5/8%, 71/2%, 7% notes
|
3/21/2011 | LMMU | Port Authority of N.Y. and N.J. calls $175.2 million of obligations
|
3/21/2011 | IGLM | Rogers Wireless redeems all $470 million of 71/4% senior notes due 2012
|
3/21/2011 | EMHYLM | Mexico's Javer begins exchange offer for 13% notes, solicits consents
|
3/21/2011 | LMMU | Salt Lake County, Utah, calls outstanding IHC Health revenue bonds
|
3/21/2011 | IGLM | Telephone and Data Systems to use note proceeds to redeem 7.6% notes
|
3/21/2011 | HYLM | Germany's Grohe calls €83.42 million of floating-rate notes due 2014
|
3/21/2011 | AGLM | FFCB calls $322 million consolidated systemwide bonds at par
|
3/21/2011 | LMMU | Travis County, Texas, Health calls some Longhorn Village revenue bonds
|
3/21/2011 | LMMU | Lucas County, Ohio, calls $62.5 million ProMedica hospital bonds
|
3/21/2011 | HYLM | Intelsat subsidiaries begin tender offers for $2.53 billion of notes
|
3/18/2011 | HYLM | Ferrellgas issues call to redeem $98 million of 8 5/8% notes due 2020
|
3/18/2011 | HYLM | Henderson to accept tenders for exchange for £32.41 million 61/2% notes
|
3/18/2011 | AGLM | FFCB calls $335 million consolidated systemwide bonds at par
|
3/18/2011 | IGLMPV | Willis Group calls remaining $35 million of 12.875% notes due 2016
|
3/18/2011 | AGLM | Fannie Mae plans to redeem $5.18 billion medium-term notes at par
|
3/18/2011 | LMMUPF | BlackRock Muni fund calls $287.18 million auction market preferreds
|
3/18/2011 | CVDDLM | Newport Partners gets approval to exchange 7.5%, 7% convertibles
|
3/18/2011 | EMLM | Argentina's Central Termica Guemes buys back $380,275 of notes
|
3/17/2011 | HYLM | El Paso Tennessee Pipeline begins tender offers for 9%, 71/4% debentures
|
3/17/2011 | DDHYLM | Keystone Automotive obtains tenders for exchange for 98.6% of 93/4% notes, further prolongs offer
|
3/17/2011 | LMMU | Wisconsin HEFA calls $925,000 of Froedtert & Community bonds due 2035
|
3/17/2011 | HYLM | El Paso launches two tender offers for seven series of notes
|
3/17/2011 | EMIGLM | Korea's Woori Bank calls $1 billion step-up lower tier 2 notes
|
3/17/2011 | CAIGLM | Nexen tenders for four series, plans to call $500 million 5.05% notes
|
3/17/2011 | HYLM | Primus to redeem $24.01 million 141/4% notes due 2013 on April 15 at par
|
3/17/2011 | LM | Orkla issues call to redeem NOK 600 million bond in June
|
3/17/2011 | CVLM | GHCL repurchases $700,000 of its 1% foreign-currency convertible bonds
|
3/17/2011 | IGLM | CNA Financial to redeem $400 million 6% notes due Aug. 15 on March 18
|
3/17/2011 | HYLM | Allied Capital redeems $300.58 million of 6 5/8% notes at 102.0607
|
3/17/2011 | CVLM | Sinclair calls $70.03 million of 6% convertible debentures due 2012
|
3/17/2011 | LMMU | NYC Trust for Cultural Resources calls $1.16 million American Museum of Natural History notes
|
3/17/2011 | HYLM | American Shipping to seek approval for amendments to PIK bonds
|
3/17/2011 | CVLM | Subsea holders put $300,000 2.8% convertibles after change of control
|
3/17/2011 | LMMU | San Francisco Redevelopment Agency calls $46.74 million hotel bonds
|
3/16/2011 | HYLM | Morris Publishing redeems $3.23 million more of its floaters due 2014
|
3/16/2011 | HYLM | BRT Realty redeems $5 million of junior subordinated notes due 2036
|
3/16/2011 | CVLM | Century Aluminum expects 1.75% convertibles to be put back in August
|
3/16/2011 | LMMU | University of Minnesota plans to redeem three series of G.O. bonds
|
3/16/2011 | HYLM | Peabody Energy to retire 5 7/8% notes due 2016, bolstering flexibility
|
3/16/2011 | HYLM | Clayton Williams gets tenders for $142.85 million of 73/4% notes so far
|
3/16/2011 | CVLM | Malaysia's Perisai Petroleum redeems remaining 0% two-year bonds
|
3/16/2011 | HYLM | TRW Automotive repurchases €9 million of 6 3/8% notes due March 2014
|
3/16/2011 | HYLM | D.R. Horton issues call to redeem all $112.28 million of 5 3/8% notes
|
3/16/2011 | CVLM | RAIT to repurchase convertibles with $75 million of note proceeds
|
3/16/2011 | AGLM | FFCB calls $2.18 billion consolidated systemwide bonds at par
|
3/16/2011 | LMMU | New York City trust calls portion of Pierpont Morgan Library bonds
|
3/16/2011 | HYLM | Key Energy Services gets tenders for $421.43 million of 8 3/8% notes
|
3/16/2011 | CVLM | Sinclair to redeem all $70 million 6% convertibles at par on April 15
|
3/16/2011 | CALM | Great Basin Gold repays 2008 senior notes with upsized credit facility
|
3/16/2011 | LMMU | San Francisco calls some series 2008 Moscone Center Expansion bonds
|
3/16/2011 | HYLM | Lantheus Medical gets needed consents to issue more 93/4% senior notes
|
3/16/2011 | LM | Sveriges Bostadsfin repurchases SEK 270 million of notes due 2011
|
3/16/2011 | CALM | Greater Toronto Airports sets redemption price for series 2008-2 notes
|
3/16/2011 | LMMU | Student Loan Consolidation accepts $647.3 million tendered notes
|
3/15/2011 | LMMU | Sullivan County, Tenn., Health Educational & Housing calls $76.6 million Wellmont bonds
|
3/15/2011 | HYLM | LINN Energy gets needed consents to amend 113/4% notes, 9 7/8% notes
|
3/15/2011 | AGLM | FHLB New York repurchases $45 million of 5.25% global bonds due 2014
|
3/15/2011 | LMMU | Sunshine State Governmental, Fla., calls $225.9 million revenue bonds
|
3/15/2011 | HYLM | SandRidge holders deliver tenders, consents for 94.5% of 8 5/8% notes
|
3/15/2011 | AGLM | Fannie Mae plans to redeem $2.15 billion medium-term notes at par
|
3/15/2011 | LMMUPF | Nuveen Virginia, Nuveen Maryland to redeem auction-rate preferreds
|
3/15/2011 | IGLM | Sallie Mae pushes back deadline in tender for 12 series of notes
|
3/15/2011 | CVLM | Barnes Group calls $92.5 million 3.75% convertible notes due 2025
|
3/15/2011 | IGLM | Viacom accepts $582.43 million 6.25% notes due 2016 in tender offer
|
3/15/2011 | CVLM | UnitedGlobalCom calls all €328.2 million 1.75% convertibles due 2024
|
3/15/2011 | LMMU | Raleigh-Durham Airport, N.C., calls $1.45 million of bonds due 2036
|
3/15/2011 | HYLM | Comstock Resources to redeem 6 7/8% notes due 2012 at par on March 18
|
3/14/2011 | IGLMPV | Willis Group to redeem Trinity's 12.875% notes with new notes proceeds
|
3/14/2011 | DDHYLM | Keystone extends rights offering; exchange offer deadline unchanged
|
3/14/2011 | CVLM | Alere purchases 183,000 convertible preferreds for $49.4 million
|
3/14/2011 | LMMU | Illinois Development calls $20.85 million Loyola Academy bonds
|
3/14/2011 | HYLM | Deluxe plans early settlement on $193 million of 5% notes for March 15
|
3/14/2011 | CVLM | Champion Path calls HK$144.5 million zero-coupon convertibles due 2015
|
3/14/2011 | LMMU | Nassau County Industrial, N.Y., calls $2.15 million Amsterdam bonds
|
3/14/2011 | HYLM | Ferrellgas plans to redeem up to 35% of its 8 5/8% notes due 2020
|
3/14/2011 | CVLM | GMX Resources closes oversubscribed tender offer for 5% convertibles
|
3/14/2011 | LMMU | South Carolina State Education calls $360,000 loan revenue bonds
|
3/14/2011 | HYLM | Windstream increases tender offer for 8 5/8% notes to $1.1 billion
|
3/14/2011 | CVLM | LabCorp to pay contingent cash interest on 0% convertibles due 2021
|
3/14/2011 | AGLM | FHLB may repurchase up to $50 million of 5.25% global bonds due 2014
|
3/14/2011 | LMMUPF | Nuveen Virginia to redeem $25.55 million of auction-rate preferreds
|
3/14/2011 | HYLM | Windstream plans to increase $600 million 8 5/8% notes tender offer
|
3/14/2011 | CVLM | Willbros holders put all $59.36 million 2.75% convertibles due 2024
|
3/14/2011 | AGLM | Fannie Mae to redeem $608.88 million of medium-term notes at par
|
3/14/2011 | LMPP | Providence Service might use new loan to repay 6.5% convertibles
|
3/11/2011 | IGLM | Goldman Sachs calls $506 million 0.75% callable fixed-rate notes
|
3/11/2011 | EMIGLM | Telmex acquires $366.2 million of 51/2% senior notes from two series
|
3/11/2011 | CALM | Royal Bank of Canada to redeem C$400 million of 6.3% debentures
|
3/11/2011 | LMMU | Illinois Finance calls $1.63 million Landing at Plymouth Place bonds
|
3/11/2011 | HYLM | Consol Energy issues call to redeem all 7 7/8% notes due March 2012
|
3/11/2011 | CVLM | Horizon Lines prolongs consent solicitation for 4.25% convertibles
|
3/11/2011 | LMMU | Rhode Island Health calls $6.35 million 4.75% Brown University bonds
|
3/11/2011 | HYLM | Global Cash to redeem $127.75 million 83/4% senior notes due 2012
|
3/11/2011 | CVLM | Verenium buys $19.9 million of 5.5% notes, $8.5 million of 9% notes
|
3/11/2011 | LMMU | South Placer Wastewater, Calif., calls $163.18 million revenue bonds
|
3/11/2011 | HYLM | Valeo weighs possibility of partial repurchase of bonds due 2013
|
3/11/2011 | CVLM | Wright Medical wraps tender offer for 2.625% convertibles due 2014
|
3/11/2011 | IGLM | 3i Group calls for early par redemption of $50 million putable notes
|
3/11/2011 | EMHYLM | Sappi wraps oversubscribed $150 million tender offer for 63/4% notes
|
3/11/2011 | AGLM | Fannie Mae to redeem $1.18 billion of medium-term notes at par
|
3/10/2011 | HYLM | Sheridan Group holders give consents for 95.57% of 101/4% notes due 2011
|
3/10/2011 | HYLM | Casella redeems $28.17 million 93/4% senior subordinated notes due 2013
|
3/10/2011 | LMMU | Houston calls $274.13 million combined utility system first-lien bonds
|
3/10/2011 | HYLM | MarkWest accepts tenders for $165.64 million of 83/4% notes due 2018
|
3/10/2011 | AGLM | FFCB calls $300 million consolidated systemwide bonds at par
|
3/10/2011 | LMMU | Nassau County, N.Y., calls $495,000 of Crae Retirement bonds
|
3/10/2011 | HYLM | Nexstar redeems $18.9 million 11 3/8%, 7% notes during fourth quarter
|
3/10/2011 | CVLM | Schaltbau to call bonds on April 12; holders may convert thereafter
|
3/10/2011 | LMMU | North Carolina State Education calls $29.6 million student loan bonds
|
3/10/2011 | HYLM | Quintiles launches cash tender offer, solicits consents for 91/2% notes
|
3/10/2011 | CVLM | Wyndham Worldwide accepts tenders for 78.8% of 3.5% convertibles
|
3/10/2011 | LMMU | Texas EFSI calls $314.9 million student loan asset-backed notes
|
3/10/2011 | HYLM | RadioShack redeems $306.76 million 7 3/8% bonds due May 15 on March 4
|
3/10/2011 | HYLM | Atlas Pipeline calls $275.48 million 8 1/8% senior notes due 2015
|
3/9/2011 | IGLM | Citigroup ends unsuccessful consent solicitation for 7.875% notes
|
3/9/2011 | CVLM | Wyndham determines pricing in tender offer for 3.5% convertible notes
|
3/9/2011 | LMMU | Student Loan Consolidation Center extends tender offer, increases cap
|
3/9/2011 | IGLM | Dow Chemical offers oversubscribed at early deadline; cap increased
|
3/9/2011 | EMIGLMPF | Singapore's DBS Capital gives redemption price for series A shares
|
3/9/2011 | LMMU | Bay Area Toll Authority, Calif., calls $61.42 million bridge bonds
|
3/9/2011 | HYLM | California Steel to redeem $150 million of 6 1/8% notes at 101.021
|
3/9/2011 | CVLM | Consolidated Thompson seeks consents to redeem convertibles due 2017
|
3/9/2011 | LMMU | California Communities Development calls $5 million of 5.375% bonds
|
3/9/2011 | HYLM | Del Monte issues call for $10.49 million of 63/4% notes, 71/2% notes
|
3/9/2011 | CVLM | TUI expects €485 million cap for 5.125%, 2.75% convertibles tender
|
3/9/2011 | LMMU | Little Rock, Ark., calls $5.9 million 4% series 2004 G.O. bonds
|
3/9/2011 | HYLM | Perry Ellis calls for all $104.25 million of 8 7/8% notes due 2013
|
3/9/2011 | CVLM | ViroPharma may buy back some 2% convertibles via $150 million program
|
3/9/2011 | LMMU | Oregon Facilities calls $102.15 million Lewis & Clark bonds due 2032
|
3/8/2011 | HYLM | Penn Virginia needs consents from holders of 10 3/8% notes due 2016
|
3/8/2011 | HYLM | Dresser-Rand starts tender offer, consent bid for 7 3/8% notes
|
3/8/2011 | LMMU | New York to redeem $12.53 million variable-rate G.O. bonds March 15
|
3/8/2011 | CVLM | Penn Virginia starts tender offer for $230 million 4.5% convertibles
|
3/8/2011 | HYLM | Pilot Travel intends to redeem bonds using credit facility proceeds
|
3/8/2011 | HYLM | Grohe wraps, amends oversubscribed tender for €400 million of floaters
|
3/8/2011 | LMMU | South Carolina defeases $125 million state capital improvement G.O.s
|
3/8/2011 | HYLM | Atlas Pipeline tenders for 83/4% senior notes due 2018 after asset sale
|
3/8/2011 | HYLM | Quintiles to redeem $525 million 91/2% notes due 2014 with loan proceeds
|
3/8/2011 | HYLM | Liz Claiborne tenders for some 5% notes, seeks OK to allow new issue
|
3/8/2011 | HYLM | Bank of Ireland holders exercise put on £4.5 million of securities
|
3/8/2011 | HYLM | United Refining gets consents for more than half of 101/2% notes
|
3/8/2011 | AGLM | FFCB calls $30 million 3.17% consolidated systemwide bonds at par
|
3/8/2011 | HYLM | NXP Semiconductors calls 7 7/8% notes due 2014, floaters due 2013
|
3/8/2011 | HYLM | CDW gets consents needed to amend 11% notes, toggle notes, accelerates tender offer deadline
|
3/8/2011 | IGLM | Dow Chemical sets reference yields for Dutch auction tender offers
|
3/8/2011 | AGLM | Fannie Mae plans to redeem $510 million medium-term notes at par
|
3/8/2011 | HYLM | Park-Ohio begins tender offer, consent solicitation for 8 3/8% notes
|
3/8/2011 | HYLM | Deluxe gets consents for 5% notes, offers early fee for all tenders
|
3/8/2011 | IGLM | Smith International redeems $550.61 million 9.75% notes due 2019
|
3/8/2011 | CVLM | Grubb & Ellis begins consent solicitation for 7.95% convertibles
|
3/7/2011 | LMMU | Nassau County, N.Y., Industrial Development calls $25.4 million Amsterdam at Harborside bonds
|
3/7/2011 | HYLM | I.M. Skaugen to buy back NOK 142.5 million bonds due July 15
|
3/7/2011 | CVLM | Playboy 3% senior notes due 2025 convertible into cash after merger
|
3/7/2011 | LMMU | South Carolina defeases $50.49 million state school facilities bonds
|
3/7/2011 | HYLM | LBI Media to redeem 11% notes with proceeds from $240 million of notes
|
3/7/2011 | HYLM | Atlas Pipeline calls $275.48 million 8 1/8% senior notes due 2015
|
3/7/2011 | LMMU | Washington Higher Education calls some Seattle Pacific bonds
|
3/7/2011 | IGLMPF | Citigroup extends deadline, lifts fee, amends record date of 6% trust preferreds consent bid
|
3/7/2011 | HYLM | Chandler to redeem $6.98 million 83/4% senior debentures due 2014
|
3/7/2011 | AGLM | Fannie Mae to redeem $1.17 billion of three note series on March 17
|
3/7/2011 | LMMU | California Department of Veterans Affairs redeems $97.9 million bonds
|
3/7/2011 | HYLM | Henderson begins tender, exchange offers for £75 million of 6.5% notes
|
3/7/2011 | CVLM | Allergan calls $649.73 million 1.5% convertible senior notes due 2026
|
3/7/2011 | LMMU | East Bay, Calif., rescinds mandatory tender of water system bonds
|
3/7/2011 | HYLM | Hertz's $300 million notes offering to pay down some 8 7/8% notes
|
3/7/2011 | CVLM | Immofinanz holders tender €465.2 million of 2.75%, 1.25% convertibles
|
3/4/2011 | HYLM | Neenah Paper calls $65 million of 7 3/8% notes due 2014 at 102.458
|
3/4/2011 | DDHYLM | Angiotech extends floating-rate notes exchange offer to March 30
|
3/4/2011 | CVLM | Champion Path holders convert total of HK$1.85 billion of 0% bonds
|
3/4/2011 | HYLM | Saks to redeem $1.91 million of 7 3/8% notes due 2019 on April 15
|
3/4/2011 | EMHYLM | South Africa's Foodcorp calls all €280 million of 8 7/8% notes
|
3/4/2011 | CVLM | Goodrich Petroleum buys back $123 million 3.25% convertibles due 2026
|
3/4/2011 | LMMU | Covenant Health starts cash tender offer for 2002D bonds issued by Knox County, Tenn., board
|
3/4/2011 | HYLM | CDW units nix early settlement in tender offer for 11%, toggle notes
|
3/4/2011 | CVLM | Pacific Basin redeems remaining $24.28 million of 3.3% convertibles
|
3/4/2011 | HYLM | Denbury accepts tenders for $70,000 more notes since consent deadline
|
3/4/2011 | CVLM | Penn West accepts tenders for $5.08 million 6.5%, $1.51 million 7.2% convertibles
|
3/4/2011 | HYLM | -General Nutrition Centers calls $410 million of toggle, 103/4% notes
|
3/4/2011 | CVLM | Safeguard Scientifics expects all 2.625% convertibles to be put back
|
3/4/2011 | AGLM | Fannie Mae plans to redeem $2.4 billion medium-term notes at par
|
3/3/2011 | LMMU | Maryland Economic defeases $46.5 million University of Maryland bonds
|
3/3/2011 | LMMU | New Jersey Health Care calls $1 million revenue bonds due 2036
|
3/3/2011 | LMMU | University of Wisconsin Hospitals calls $1.96 million bonds due 2029
|
3/3/2011 | LMMU | Wisconsin HEFA calls $5.25 million Aurora Health Care bonds due 2028
|
3/3/2011 | EMLM | Argentina repurchases $183.44 million of floating-rate bonds
|
3/3/2011 | LMPF | Majestic USA Capital gets consents needed to amend trust preferreds
|
3/3/2011 | LMMU | Bay Area Toll Authority, Calif., calls $4 million bridge revenue bonds
|
3/2/2011 | IGLM | Sallie Mae tenders for 12 series of notes in separate cash offers
|
3/2/2011 | LM | Bank of Ireland Mortgage Bank repurchases €45.5 million of notes
|
3/2/2011 | LMMU | South Dakota HEFA calls portion of series 2008 Regional Health bonds
|
3/2/2011 | HYLM | Blue Merger reports early results for Del Monte 63/4%, 71/2% note tender
|
3/2/2011 | AGLM | FFCB calls $480 million consolidated systemwide bonds at par
|
3/2/2011 | LMMU | Student Loan Consolidation ups tender cap, extends Dutch offer
|
3/2/2011 | HYLM | Clayton Williams tenders for $225 million 73/4% senior notes due 2013
|
3/2/2011 | CVLM | Barnes Group to redeem remaining $92.5 million of 3.75% convertibles
|
3/2/2011 | HYLM | Headwaters gets enough consents to amend 11 3/8% senior notes due 2014
|
3/2/2011 | CVLM | UDR to redeem all 4% convertibles due 2035; conversion an option
|
3/2/2011 | HYLM | Windstream tenders for up to $600 million of 8 5/8% senior notes
|
3/2/2011 | EMHYLM | Argentina's Autopistas del Sol buys back, cancels 2020 and 2017 notes
|
3/1/2011 | EMHYLM | Argentina's Edenor cancels $9.31 million of floating-rate par notes
|
3/1/2011 | LMMU | West Virginia's Ohio Power 2008A waste disposal, 2008C pollution bonds have mandatory tender
|
3/1/2011 | CVLM | Kansas City Southern to convert series D preferreds to common stock
|
3/1/2011 | LMMU | California calls $700.07 million economic recovery, G.O. bonds
|
3/1/2011 | HYLM | Nielsen redeems $1.77 billion, €322 million of securities in 2011
|
3/1/2011 | EMHYLM | Russia's Mobile TeleSystems tallies consents to amend 8% eurobonds
|
3/1/2011 | LMPF | Neuberger Berman begins tender offer for auction market preferreds
|
3/1/2011 | CVLM | King Pharmaceuticals holders put $397.31 million 1.25% convertibles
|
3/1/2011 | LMMU | Central Utah Water Conservancy calls $72.3 million of G.O. bonds
|
3/1/2011 | AGLM | FFCB calls $25 million of 4.28% consolidated systemwide bonds at par
|
3/1/2011 | HYLM | SandRidge Energy begins tender offer, consent bid for 8 5/8% notes
|
3/1/2011 | LM | Land Securities repurchases £415,000 of 4.625% class A9 notes
|
3/1/2011 | CVLM | Valeant Pharmaceuticals plans to redeem 4% convertibles due 2013
|
3/1/2011 | LMMU | District of Columbia calls $515.49 million Georgetown University bonds
|
3/1/2011 | BKDDHYLM | Trico subsidiaries pursue out-of-court restructuring, eye pre-packaged plan as alternative
|
3/1/2011 | HYLMPF | Developers Diversified Realty to redeem 8% class G preferreds
|
3/1/2011 | HYLM | CIT Group to redeem $500 million of 7% second-lien notes due 2013
|
3/1/2011 | CVLMPF | Insmed converts series B preferreds, plans reverse stock split
|
3/1/2011 | LMMU | Tampa, Fla., calls $12.7 million 5% solid waste system bonds due 2019
|
3/1/2011 | CVLM | Alere repurchases series B convertible preferreds for $31.4 million
|
3/1/2011 | IGLM | Detroit Edison calls $12.93 million general, refunding mortgage bonds
|
3/1/2011 | HYLM | Key Energy gets needed consents, tenders for 99.1% of 8 3/8% notes
|
3/1/2011 | DDHYLM | Irish Nationwide Building Society tenders for lower tier II notes
|
3/1/2011 | LMMU | Utah Water Finance calls $10.55 million of series B-2 revenue bonds
|
3/1/2011 | CVLM | Horizon Lines seeks waiver from 4.25% convertibles holders
|
3/1/2011 | IGLM | Zurich to redeem $575 million variable-rate bonds due 2031 at par
|
3/1/2011 | HYLM | Level 3 to use notes offering proceeds for redemption of 91/4% notes
|
2/28/2011 | IGLM | Viacom sets payout in tender for up to $500 million of 6.25% notes
|
2/28/2011 | HYLM | Grohe begins tender offer for up to €400 million floaters due 2014
|
2/28/2011 | LMPF | Majestic extends consent solicitation for trust preferreds to March 4
|
2/28/2011 | CVLM | GMX Resources extends tender offer for $50 million of 5% convertibles
|
2/28/2011 | IGLMPF | ING Prime Rate Trust to redeem $25 million auction-rate preferreds
|
2/28/2011 | HYLM | LINN Energy tenders, solicits consents for 113/4% notes, 9 7/8% notes
|
2/28/2011 | CVLM | Thermo Fisher calls $329.23 million 3.25% convertibles due 2024
|
2/28/2011 | LMMU | New York Local Government Assistance calls $15.94 million bonds
|
2/28/2011 | HYLM | Perry Ellis to redeem 8 7/8% notes, reduce debt with notes proceeds
|
2/28/2011 | CVLM | Valeant buys back $137.6 million of convertibles, 2.3 million shares
|
2/28/2011 | AGLM | Fannie Mae plans to redeem $290 million medium-term notes at par
|
2/28/2011 | LMMU | New York State Thruway calls $277.49 million highway bridge bonds
|
2/28/2011 | HYLM | Ply Gem gets tenders for $6 million more 113/4% notes since early date
|
2/28/2011 | LM | NIBC accepts €491.4 million of 3.625%, 3.125% bonds in tender offer
|
2/28/2011 | CVLM | Alaska Communications announces plans to refinance 5.25% convertibles
|
2/28/2011 | LMMU | University of Michigan calls $3.34 million of general revenue bonds
|
2/28/2011 | HYLM | Unisys calls $124.7 million of 123/4% notes, $86.3 million of 141/4% notes
|
2/28/2011 | HYLM | Comstock begins cash tender offer, solicits consents for 6 7/8% notes
|
2/28/2011 | CVLM | Ferro repurchases $36.2 million 6.5% convertible senior notes due 2013
|
2/28/2011 | LMMUPF | Nuveen Arizona Dividend fund to redeem muni auction-rate preferreds
|
2/25/2011 | LMMU | Texas Water Development calls portion of state revolving fund bonds
|
2/25/2011 | HYLM | Kronos plans to redeem €80 million of 61/2% notes due 2013 on March 24
|
2/25/2011 | AGLM | Fannie Mae plans to redeem $150 million medium-term notes at par
|
2/25/2011 | LMMU | University of Idaho calls $59.5 million 2007A revenue bonds at par
|
2/25/2011 | IGLM | Marathon Oil accepts $500 million notes in oversubscribed tender offer
|
2/25/2011 | CAHYLM | Canadian Satellite Radio begins exchange offer for 123/4% notes
|
2/25/2011 | LMMU | West Virginia Economic Development's Appalachian Power 2009A, B bonds have mandatory tender
|
2/25/2011 | IGLMPF | State Capital Statutory Trust I calls $3.09 million 10.6% securities
|
2/25/2011 | DDHYLMPF | HomeStreet extends tender for trust preferred series by two months
|
2/25/2011 | LMMU | San Diego Transportation calls some 2008A sales tax revenue bonds
|
2/25/2011 | EMLM | Mexico's Cemex agrees to exchange €119.35 million of 6.277% perpetuals
|
2/25/2011 | LMMU | Student Loan Consolidation increases tender cap to $647.1 million
|
2/25/2011 | HYLM | Energy XXI announces early results of tender offer for 10% notes
|
2/24/2011 | LMMU | Dallas calls $81.49 million 5% waterworks and sewer system bonds
|
2/24/2011 | CVLM | Agenus retires $50 million 5.25% convertibles, extends maturity of $34 million 8% convertibles
|
2/24/2011 | IGLM | Ares Capital to redeem $300.58 million 6.625% notes due 2011
|
2/24/2011 | LM | Sveriges Bostadsfin buys back SEK 130 million of notes from two series
|
2/24/2011 | LMMU | Maryland Economic refunds $41.35 million University of Maryland bonds
|
2/24/2011 | CVLM | NII repurchases all $318.7 million 2.75% convertibles in third quarter
|
2/24/2011 | IGLM | Freeport-McMoRan Copper & Gold calls all $1.1 billion of 8.25% notes
|
2/24/2011 | HYLM | Burlington Coat calls remaining 11 1/8% senior notes due 2014
|
2/24/2011 | LMMUPF | Nuveen Insured to redeem $239.2 million auction-rate preferreds
|
2/24/2011 | CVLM | School Specialty to issue new convertibles in exchange for $100 million of 3.75% convertibles
|
2/24/2011 | IGLM | Honeywell to fully redeem its $183.58 million of 5.625% notes due 2012
|
2/24/2011 | CALM | Allbanc Split to redeem $6.53 million of preferred shares on March 10
|
2/24/2011 | HYLM | FelCor repurchases $40 million of 9% notes during fourth quarter 2010
|
2/24/2011 | LMMUPF | Nuveen Performance to redeem $419.9 million auction-rate preferreds
|
2/24/2011 | DDHYLM | EBS, Green Island increase core capital by €131.9 million through discounted tender offers
|
2/24/2011 | IGLM | News America holders tender $227.42 million 9.25% notes by offer end
|
2/24/2011 | CALM | National Bank of Canada offers to buy some preferred series at premium
|
2/24/2011 | HYLM | MarkWest gets needed consents to amend 81/2% notes, reports early tender results for 83/4% notes
|
2/24/2011 | LMMUPF | Nuveen Premium to redeem $400.65 million auction-rate preferreds
|
2/24/2011 | EMLM | Israel's Partner Communications eyes repurchase of series A notes
|
2/24/2011 | LMMU | Central Utah Water Conservancy calls $900,000 of G.O. bonds due 2033
|
2/24/2011 | CVLM | AED Oil holders put some 9% convertibles; company amends note terms
|
2/24/2011 | HYLM | Sheridan Group launches tender for any and all 101/4% notes due 2011
|
2/24/2011 | LMPV | Teleflex prepays $101.8 million notes; remainder called for March
|
2/24/2011 | EMLM | Thailand's Siam City Bank to amend, redeem debentures due 2019
|
2/23/2011 | HYLM | Burlington Coat reports early tender results for 11 1/8%, 141/2% notes
|
2/23/2011 | CVLM | Appeals court sides with Fluor in Citadel Equity conversion dispute
|
2/23/2011 | LMMU | Oregon to redeem portion of series 81 G.O. veterans' welfare bonds
|
2/23/2011 | IGLM | News America sets pricing in tender for $500 million 9.25% debentures
|
2/23/2011 | HYLM | CDW units start tender offer, consent bid for 11% notes, toggle notes
|
2/23/2011 | CVLM | Tobu Railway to buy exchangeable preferreds with share sale proceeds
|
2/23/2011 | LMPV | Precision Drilling repays C$175 million 10% note to Alberta Investment
|
2/23/2011 | LMMU | Indiana Finance's 2005A stadium lease bonds have mandatory tender
|
2/23/2011 | IGLM | Barclays to redeem €1.25 billion callable floating-rate notes in April
|
2/23/2011 | CVLM | Wyndham to use proceeds of notes offering to repurchase convertibles
|
2/23/2011 | LMMU | Indiana Health's Ascension Health bonds have mandatory tender
|
2/23/2011 | IGLM | Citigroup pushes back consent date for 7.875% notes by two more weeks
|
2/23/2011 | EMLM | Sveriges Bostadsfin buys back SEK 430 million of notes from two series
|
2/23/2011 | LMMU | Missouri HEFA's 2003C Ascension Health bonds have mandatory tender
|
2/23/2011 | IGLM | Dow Chemical launches Dutch auction tender offers for four note series
|
2/23/2011 | LM | Dublin Airport Authority buys back €50.35 million of 6.5872% notes
|
2/23/2011 | LMMU | New Jersey Economic Development to redeem school construction bonds
|
2/23/2011 | IGLM | Honeywell accepts tenders for $216.42 million of 5.625% notes
|
2/22/2011 | EMLM | SMC Motors holders OK redemption of 30% of remaining debentures
|
2/22/2011 | CVLM | Sinclair Television to redeem $70 million of 6% convertibles due 2012
|
2/22/2011 | HYLM | United Refining tenders, seeks consents for 101/2% senior notes due 2012
|
2/22/2011 | AGLM | Fannie Mae plans to redeem $215 million medium-term notes at par
|
2/22/2011 | HYLM | Atlas Energy to redeem $600 million 103/4%, 12 1/8% senior notes
|
2/22/2011 | EMHYLM | Hungary's Invitel Holdings subsidiary redeems floating-rate PIK notes
|
2/22/2011 | HYLM | Univision buys back $68.49 million toggle notes, calls remainder
|
2/22/2011 | CVLM | Colonia announces change-of-control put for 1.875% convertibles
|
2/22/2011 | HYLM | Chaparral Energy gets enough consents to amend 81/2% notes, will redeem any notes not tendered
|
2/22/2011 | EMHYLM | Russia's Mobile TeleSystems solicits consents to amend 8% bonds
|
2/22/2011 | IGLM | Marathon Oil calls 6.125% and 6% notes due 2012, 6.5% notes due 2014
|
2/22/2011 | CVLM | Goodrich Petroleum to use notes proceeds for convertibles redemption
|
2/22/2011 | HYLM | Deluxe launches tender offer, consent solicitation for 5% notes
|
2/22/2011 | EMLM | Hong Kong's ITC Properties to buy back HK$906 million notes due 2011
|
2/22/2011 | IGLM | National Australia Bank investors tender $1.71 billion of 2.55% notes
|
2/22/2011 | CVLM | Level 3 redeems its $195.67 million of 5.25% convertibles due 2011
|
2/22/2011 | HYLM | Sheridan Group to refinance existing notes with new credit facility
|
2/22/2011 | EMLM | Latvia's Parex Banka repurchases €100 million 5 5/8% notes due 2011
|
2/22/2011 | LMMU | District of Columbia calls $56 million American Association for the Advancement of Science bonds
|
2/22/2011 | CVLM | Provident Energy wraps tender offer for series C, D 6.5% convertibles
|
2/22/2011 | HYLM | Unisys announces $220 million tender offer for 141/4%, 123/4% notes
|
2/22/2011 | AGLM | FFCB calls $257 million 2.49% consolidated systemwide bonds at par
|
2/18/2011 | HYLM | Seagate Technology to redeem $14.43 million of 10% notes due 2014
|
2/18/2011 | HYIGLM | Seacor buys back $16.5 million of 7 3/8% notes in fourth quarter 2010
|
2/18/2011 | CVLM | Evergreen Solar says 13% convertibles to remain outstanding for now
|
2/18/2011 | IGLMPF | Citigroup extends consent bid to kill covenants of 6% trust preferreds
|
2/18/2011 | HYLM | CPG International gets needed consents to amend floaters, 101/2% notes
|
2/18/2011 | CVLMPP | Platmin, holders agree to convert all $135 million of debentures
|
2/18/2011 | AGLM | FFCB calls $265 million of 2.99% consolidated systemwide bonds at par
|
2/18/2011 | LMMU | California Education rescinds previous call, defeases University of San Francisco bonds
|
2/18/2011 | HYLM | Energy XXI amends denomination of 10% notes to be tendered in offer
|
2/18/2011 | LM | Land Securities repurchases £200,000 of 4.625% class A9 notes
|
2/18/2011 | AGLM | Fannie Mae plans to redeem $245 million medium-term notes at par
|
2/18/2011 | LMMU | San Bernardino County, Calif., calls portion of 2008B taxable COPs
|
2/18/2011 | HYLM | Georgia Gulf to redeem $8.97 million 7 1/8% notes due 2013 at 101.188
|
2/18/2011 | LM | Norwegian Property buys back NOK 56 million of its bonds at par
|
2/18/2011 | CACVDDLM | Newport Partners moves meeting for debenture holders to March 18
|
2/18/2011 | LMMU | West Virginia Economic Development's Appalachian Power 2008A, B bonds have mandatory tender
|
2/18/2011 | HYLM | National Mentor calls remaining 111/4% senior notes due 2014 at 105.625
|
2/18/2011 | LM | Sveriges Bostadsfin repurchases SEK 350 million series 2 notes
|
2/18/2011 | CAIGLM | Rogers Communications to redeem all $820 million notes due 2012
|
2/17/2011 | LMMU | Educational Funding of the South calls some 2004-2A taxable loan bonds
|
2/17/2011 | HYLM | Denbury accepts tenders for two series of 71/2% senior notes, gets consents for amendments
|
2/17/2011 | EMLM | China's Xinhua Finance redeems rest of 10% guaranteed notes due 2011
|
2/17/2011 | LMMU | Jefferson County, Ala., calls some 2003-B-1-D sewer revenue warrants
|
2/17/2011 | AGLM | FFCB calls $452 million consolidated systemwide bonds at par
|
2/17/2011 | HYLM | Speedway gets tenders for 90.4% of 63/4% notes; remainder to be called
|
2/17/2011 | LM | Land Securities repurchases £2 million of 4.625% class A9 notes
|
2/17/2011 | CVLM | Pier 1 Imports redeems $7.22 million of 6.375% convertibles due 2036
|
2/17/2011 | HYLM | Tower International subsidiaries call $17 million of 10 5/8% notes
|
2/17/2011 | LM | Swedbank gets approval to buy back SEK 10 billion tier 2 bonds
|
2/17/2011 | CVLM | Powerwave buys back $10 million 1.875% convertibles in fourth quarter
|
2/17/2011 | HYLM | US Oncology redeems 9 1/8% notes, 103/4% notes for $1.2 billion
|
2/17/2011 | HYLM | CPI, unit wrap tender offer for floaters, 8% notes related to merger
|
2/17/2011 | EMIGLM | AES Panama repurchases $50,000 of 6.35% bonds due 2016
|
2/17/2011 | IGLM | Healthcare Realty to redeem all $278.2 million 8.125% senior notes
|
2/17/2011 | HYLM | Callon Petroleum will redeem $31 million of notes with stock proceeds
|
2/17/2011 | EMIGLM | Mexico's America Movil gets early tenders for $350 million of Telmex's 51/2% notes, extends deadlines
|
2/16/2011 | DDHYLM | Keystone Automotive starts exchange offer, solicitation for 93/4% notes
|
2/16/2011 | LMMU | Salt River Pima-Maricopa Indian Community, Ariz., calls 2006 bonds
|
2/16/2011 | IGLM | Webster calls NewMil's $10 million 6.4% capital securities at par
|
2/16/2011 | HYLM | Georgia Gulf to redeem all 7 1/8% notes due 2013, 91/2% notes due 2014
|
2/16/2011 | EMLM | Banco de Galicia y Buenos Aires to redeem $90.1 million notes Feb. 22
|
2/16/2011 | IGLM | Williams to become two companies, use IPO proceeds to pay down debt
|
2/16/2011 | HYLM | Intelsat calls all 7 5/8% notes; subsidiary to redeem some 81/2% notes
|
2/16/2011 | EMLM | Russia's VTB holders put back €195.44 million of 41/4% notes due 2016
|
2/16/2011 | CALM | Greater Toronto Airports calls C$325 million of series 2008-2 notes
|
2/16/2011 | LMMU | Clark County, Nev., 2008 airport system bonds have mandatory tender
|
2/16/2011 | HYLM | Morris Publishing redeems $4.27 million more of its floaters due 2014
|
2/16/2011 | LM | Land Securities repurchases £1.9 million of 5.391% class A5 notes
|
2/16/2011 | CVLM | Far East Consortium buys, cancels HK$60 million 3.625% convertibles
|
2/16/2011 | LMMU | Harris County Hospital, Texas, redeems some revenue bonds due 2042
|
2/16/2011 | HYLM | Vertex to redeem $50 million of secured notes due 2012 at par
|
2/16/2011 | LM | National Asset repurchases €91 million of senior notes due March 2011
|
2/16/2011 | CVLM | Pier 1 Imports pays $17.1 million for 6.375% convertibles put Tuesday
|
2/16/2011 | LMMU | New Hampshire HEFA's $59.5 million of University System 2005A bonds have mandatory tender
|
2/16/2011 | IGLM | KfW calls $1 billion 1.875% callable global notes due 2013 at par
|
2/16/2011 | HYLM | Blue Merger extends tender offer for Del Monte's 63/4% notes, 71/2% notes
|
2/15/2011 | IGLM | News America tenders for any and all $500 million of 9.25% debentures
|
2/15/2011 | HYLM | Basic Energy Services gets needed consents for 11 5/8% notes, to redeem any notes not tendered
|
2/15/2011 | IGLMPF | Tortoise Energy Capital to redeem $45 million of 5.6% preferred shares
|
2/15/2011 | HYLM | Headwaters launches tender offer for 11 3/8% notes, solicits consents
|
2/15/2011 | HYLM | SS&C Technologies issues call for $66.63 million of 113/4% senior notes
|
2/15/2011 | AGLM | Fannie Mae intends to redeem $1 billion medium-term notes at par
|
2/15/2011 | HYLMPF | LaSalle Hotel issues call for 8 3/8% series B preferred shares
|
2/15/2011 | CVLM | 3i Group buys back £27.8 million more 3.625% convertibles due 2011
|
2/15/2011 | IGLM | L-3 calls $650 million 5.875% senior subordinated notes due 2015
|
2/15/2011 | EMHYLM | Russia's Mobile TeleSystems gathers needed consents for 8 5/8% bonds
|
2/14/2011 | IGLM | MeadWestvaco calls $15 million of 7.65% sinking fund notes due 2027
|
2/14/2011 | EMIGLM | Gazprom buys back $1 million 7.201% loan participation notes due 2020
|
2/14/2011 | CVLM | Evergreen Solar gets tenders for $45.5 million 4% convertibles, accepts no 13% convertibles
|
2/14/2011 | IGLM | Viacom tenders for up to $500 million of 6.25% senior notes due 2016
|
2/14/2011 | LM | Next repurchases £8.08 million of 5.25% bonds due September 2013
|
2/14/2011 | CVLM | First Gen holders put $72.5 million of 2.5% convertibles due 2013
|
2/14/2011 | LMMU | Piedmont Municipal Power, S.C., 2008C, D bonds have mandatory tender
|
2/14/2011 | HYLM | Key Energy tenders, seeks consents for $425 million of 8 3/8% notes
|
2/14/2011 | CVLM | Immofinanz invites holders of 2.75%, 1.25% convertibles to sell bonds
|
2/14/2011 | HYLMPF | Prime Group Realty Trust to seek preferred holder OK to be acquired
|
2/14/2011 | CVLM | Informatica issues call for $201 million of 3% convertibles due 2026
|
2/14/2011 | AGLM | Fannie Mae plans to redeem $660 million medium-term notes at par
|
2/14/2011 | IGLM | Honeywell begins tender offer for $400 million 5.625% notes due 2012
|
2/14/2011 | CVLM | Terremark begins consent solicitation for 6.625% convertibles due 2013
|
2/14/2011 | CVDDLM | Kazakhstan's BMB Munai plans to redeem $60 million convertible notes
|
2/11/2011 | HYLM | Valassis Communications gets tenders for $206.3 million of 81/4% notes
|
2/11/2011 | HYLM | Hovnanian gives early tender results for 8%, 8 7/8%, 73/4% senior notes
|
2/11/2011 | EMIGLM | Gazprom repurchases $100,000 7.201% loan participation notes due 2020
|
2/11/2011 | LMMU | Memphis-Shelby County Airport Authority, Tenn., calls 1999, 2001 bonds
|
2/11/2011 | HYLM | Kraton Performance units obtain needed consents for 8 1/8% notes
|
2/11/2011 | EMLM | Singapore's DBS Capital to redeem A, B preference shares March 15
|
2/11/2011 | AGLM | FFCB calls $62 million 4.98% consolidated systemwide bonds at par
|
2/11/2011 | LMMU | Seattle to redeem $101.35 million municipal light, power revenue bonds
|
2/11/2011 | HYLM | Libbey Glass calls $40 million of 10% senior secured notes at 103
|
2/11/2011 | LM | Banco de Sabadell wraps oversubscribed tender offer for four series
|
2/11/2011 | AGLM | Fannie Mae plans to redeem $450 million medium-term notes at par
|
2/11/2011 | LMMU | Valdez, Alaska's BP Pipelines series 2003 bonds have mandatory tender
|
2/11/2011 | HYLM | Nalco to redeem all $200 million of 9% senior discount notes due 2014
|
2/11/2011 | HYLM | Dunkin' will use extra $150 million term loan debt to repay bonds
|
2/11/2011 | CVLM | Central European Media Enterprises to swap new convertibles for $206 million 3.5% convertibles
|
2/11/2011 | HYLM | Ply Gem accepts early tenders for nearly all 113/4% secured notes
|
2/11/2011 | HYLM | Freescale Semiconductor to pay down notes, revolver with IPO proceeds
|
2/11/2011 | DDHYLM | Trico calls all $4.4 million 6.11% guaranteed ship financing bonds
|
2/10/2011 | LMMU | Indiana Finance calls $51.25 million Republic Services revenue bonds
|
2/10/2011 | HYLM | Omnicare calls $50 million of 6 1/8% notes due 2013 at 101.021
|
2/10/2011 | LM | Land Securities repurchases £4.82 million 4.625% class A9 notes
|
2/10/2011 | LMMU | Kentucky Economic calls $28.5 million Republic Services bonds
|
2/10/2011 | CADDHYLM | Bank of Ireland gets tenders for C$138.04 million fixed/floating notes
|
2/10/2011 | HYLM | Primus Telecommunications begins exchange offers for 13%, 141/4% notes
|
2/10/2011 | LM | Pohjola Bank issues call for €150 million lower tier 2 notes due 2016
|
2/10/2011 | CVHYLMPF | Ford Motor to redeem $2.98 billion 6.5% convertible trust securities
|
2/10/2011 | HYLM | Smithfield Foods wraps, prices Dutch auction tender for 73/4%, 10% notes
|
2/10/2011 | HYLM | Allied Irish redeems fixed-to-floating notes, some 111/2%, 121/2% notes
|
2/10/2011 | CVLM | Evergreen extends exchange offers for 4%, 13% convertibles to Feb. 11
|
2/10/2011 | IGLMPF | Tortoise Energy Capital plans to redeem $45 million preferred shares
|
2/10/2011 | HYLM | Burlington Coat Factory begins tender offers for 11 1/8%, 141/2% notes
|
2/10/2011 | CVLM | Wright Medical tenders for $200 million 2.625% convertibles due 2014
|
2/10/2011 | LMMU | Fargo, N.D., calls $37.4 million Meritcare health systems bonds
|
2/10/2011 | HYLM | Energy XXI Gulf Coast begins tender offer for 10% notes due 2013
|
2/10/2011 | EMLM | Akbank $1 billion 5 1/8% notes due 2015 may be resold after purchase
|
2/9/2011 | CVLM | Equal Energy issues call to redeem C$79.93 million 8% convertibles
|
2/9/2011 | LMMU | West Virginia's Ohio Power 2008B pollution bonds have mandatory tender
|
2/9/2011 | HYLM | National Mentor, parent settle early tenders for 111/4% notes, floaters
|
2/9/2011 | EMLM | Russia's LSR holders exercise put on RUB 469.44 million of bonds
|
2/9/2011 | CVLM | Hutchinson completes tender/exchange offer for 3.25% convertibles
|
2/9/2011 | HYLM | Quality Distribution calls $17.5 million of 113/4% PIK notes due 2013
|
2/9/2011 | HYLM | CPI to redeem $12 million floating-rate notes, $117 million 8% notes
|
2/9/2011 | CVLM | Wyndham Worldwide begins tender for $115.78 million 3.5% convertibles
|
2/9/2011 | HYLM | Verso Paper unit completes tender offer for 9 1/8% notes due 2014
|
2/9/2011 | HYLM | Energy XXI Gulf Coast to redeem 10% senior notes due 2013
|
2/9/2011 | CVLM | Wyndham repurchases $22 million 3.5% convertibles in fourth quarter
|
2/9/2011 | AGLM | FFCB calls $150 million 3.25% consolidated systemwide bonds at par
|
2/9/2011 | IGLM | Simon Property calls $120.02 million 5.375% notes due in June
|
2/9/2011 | HYLM | Linn calls $89.57 million 9 7/8% notes, $87.5 million 113/4% notes
|
2/9/2011 | DDHYLM | Nattopharma seeks holder OK to amend, extend 10.4% bonds due 2011
|
2/9/2011 | CADDHYLM | Angiotech noteholders extend exchange offer launch deadline to Feb. 10
|
2/9/2011 | LMMU | Corporate Finance calls $415,000 Central Utah Medical notes due 2043
|
2/9/2011 | HYLM | MarkWest tenders for 81/2%, 83/4% notes, solicits consents for 81/2% notes
|
2/9/2011 | EMHYLM | Sappi Papier tenders for up to $150 million of 63/4% guaranteed notes
|
2/8/2011 | IGLM | Citigroup extends consent solicitation for 7.875% notes until Feb. 22
|
2/8/2011 | EMHYLM | Argentina's Autopistas del Sol buys back step-up notes, 2017 notes
|
2/8/2011 | IGLMPF | Post Properties issues call for $50.34 million of 7.625% preferreds
|
2/8/2011 | EMLM | Brazil's TAM debenture holders grant debt coverage-related waiver
|
2/8/2011 | LMMU | Massachusetts Development calls $7.78 million Groves Indiana bonds
|
2/8/2011 | EMLM | Eurasia Capital purchases $90.61 million 11% loan participation notes
|
2/8/2011 | HYLM | Exide wraps tender offer for 101/2% notes, settles $209,000 more notes
|
2/8/2011 | AGLM | Fannie Mae plans to redeem $930 million medium-term notes at par
|
2/8/2011 | HYLM | SeaBird Exploration gets approval needed to amend floaters due 2012
|
2/8/2011 | CVLM | Fil-Estate Land redeems remaining $25 million five-year convertibles
|
2/7/2011 | IGLM | Union Bank calls $10 million 10.875%% fixed-rate capital securities
|
2/7/2011 | CALM | TD, CIBC plan regulatory redemptions in 2022; none for BMO, NBC
|
2/7/2011 | HYLM | Univision marks early tenders for 24.13% of its 93/4%/101/2% senior notes
|
2/7/2011 | HYLM | Casella Waste settles early tenders for $166.83 million of 93/4% notes
|
2/7/2011 | LMMU | Clarksville Public Building Authority calls some Tennessee Municipal Bond Fund bonds
|
2/7/2011 | DDHYLM | Inn of the Mountain Gods holders exchange 99.16% of 12% notes in offer
|
2/7/2011 | HYLM | Windstream wraps tenders for 37.9% of 73/4% notes issued by Valor units
|
2/7/2011 | HYLM | Chaparral Energy begins tender offer, solicits consents for 81/2% notes
|
2/7/2011 | LMMU | Jefferson County, Ala., to redeem some 2003 sewer revenue warrants
|
2/7/2011 | EMLM | Banco de Galicia y Buenos Aires to redeem $90.12 million class C notes
|
2/7/2011 | IGLM | CenterPoint Energy exchanges $397.24 million of 7.875% notes in offer
|
2/7/2011 | HYLM | Chesapeake Energy to repay revolver, notes with asset sale proceeds
|
2/7/2011 | LMMU | Philadelphia calls all $195.72 million series 2001 G.O. bonds at par
|
2/7/2011 | LM | Lloyds TSB Bank buys back £2 billion floating-rate covered bonds
|
2/7/2011 | IGLM | Guaranty Bancshares calls 2,500 units of junior debentures due 2030
|
2/7/2011 | AGLM | FFCB calls $30 million 3.6% consolidated systemwide bonds at par
|
2/7/2011 | HYLM | L-3 Communications calls $650 million 5 7/8% notes due 2015 at 101.958
|
2/7/2011 | HYLM | CGG-Veritas calls $460 million of its 71/2% senior notes due 2015
|
2/7/2011 | IGLM | Smith International to redeem 6%, 8.625%, 9.75% senior notes in full
|
2/7/2011 | AGLM | Fannie Mae plans to redeem $2.16 billion medium-term notes at par
|
2/7/2011 | HYLM | Neenah Paper to draw on existing facility to redeem senior notes
|
2/7/2011 | HYLM | Callon Petroleum to redeem $31 million of notes with stock proceeds
|
2/4/2011 | LMMU | Iowa Finance calls portions of three series of 2009 Iowa Health bonds
|
2/4/2011 | HYLM | Del Monte gets tenders for $719.53 million 63/4%, 71/2% notes so far
|
2/4/2011 | LMMU | Lucas County, Ohio, calls $52.86 million ProMedica Healthcare bonds
|
2/4/2011 | HYLM | GameStop authorizes further $500 million for debt, stock repurchases
|
2/4/2011 | AGLM | Fannie Mae plans to redeem $1.2 billion medium-term notes at par
|
2/4/2011 | LMMU | New York State Urban Development calls $27.47 million of 1996 bonds
|
2/4/2011 | HYLM | Targa gets early tenders for $158.58 million 111/4% notes in exchange
|
2/4/2011 | EMHYLM | Russia's Mobile TeleSystems terminates tender for 8% eurobonds
|
2/4/2011 | IGLM | Liberty Mutual cancels tender offer for 10.75% notes, consent solicitation for 7.5% notes
|
2/4/2011 | EMLM | Philippine Savings Bank redeems PHP 2 billion of notes due 2016
|
2/4/2011 | IGLM | Marshall & Ilsley calls Trustcorp's $15.46 million 10.6% securities
|
2/4/2011 | LM | Banco Comercial Portugues holders exercise put on €500,000 of notes
|
2/3/2011 | HYLMPF | Omega Healthcare issues call notice for all 8 3/8% series D preferreds
|
2/3/2011 | CVLM | Overstock.com lifts convertibles repurchase program to $15 million
|
2/3/2011 | LMPF | Tortoise to redeem all $45 million 5.6% preferreds via offer proceeds
|
2/3/2011 | EMHYLM | Argentina's Edenor to redeem its $12.66 million floaters due 2019
|
2/3/2011 | HYLM | AmeriGas Partners holders tender $327.9 million 71/4% series A, B notes
|
2/3/2011 | HYLM | Denbury tenders, seeks consents for two series of 71/2% senior notes
|
2/3/2011 | AGLM | FFCB calls $35 million 4.68% consolidated systemwide bonds at par
|
2/3/2011 | HYLM | Petrohawk Energy calls $272.38 million 7 1/8% senior notes due 2012
|
2/3/2011 | CVLM | Alexandria repurchases $125.7 million total 3.7% convertible notes
|
2/2/2011 | HYLM | CPG begins tender offers, consent bids for floaters, 101/2% notes
|
2/2/2011 | AGLM | FFCB calls $290 million consolidated systemwide bonds at par
|
2/2/2011 | IGLM | Liberty Mutual amends fee, deadline of consent bid for 7.5% notes, extends 10.75% notes tender
|
2/2/2011 | HYLM | Del Monte holders deliver needed consents for 63/4% and 71/2% notes
|
2/2/2011 | CADDHYLM | Bank of Ireland offers to swap C$366.49 million fixed/floating notes
|
2/2/2011 | LMMU | Connecticut calls $8.9 million bonds
|
2/2/2011 | HYLM | Inergy holders tender needed consents to amend 6 7/8% notes, 81/4% notes
|
2/2/2011 | CVDDLMPP | Evergreen Energy settles with 8% convertible holders over repayment of 10% convertibles
|
2/2/2011 | LMMU | Student Loan Consolidation gives early results of Dutch auction tender
|
2/2/2011 | HYLM | Peninsula Gaming 8 3/8% noteholders approve issuing second-lien notes
|
2/2/2011 | CVLM | Finisar to swap $8 million 5% convertibles for 749,400 shares
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2/2/2011 | HYLM | Targa gets consents for $155.78 million 111/4% notes, extends deadline
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2/2/2011 | DDHYLM | Green Island tenders for distressed tier 1 perpetuals at discount
|
2/2/2011 | IGLM | L-3 to use $650 million note proceeds for redemption of 5 7/8% notes
|
2/1/2011 | CVLM | GenCorp repurchases $6.5 million 21/4% convertibles debentures due 2024
|
2/1/2011 | HYLM | Quality Distribution earmarks stock proceeds for 113/4% notes redemption
|
2/1/2011 | CVLM | Pacific Basin holders put $80.92 million of 3.3% convertibles due 2013
|
2/1/2011 | IGLM | Liberty Mutual extends tender for 10.75% notes to Feb. 2, consent bid for 7.5% notes to Feb. 1
|
2/1/2011 | DDHYLMPF | Capitol Bancorp holders exchange $19.2 million of trust preferreds
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2/1/2011 | LMMU | Maryland Health calls $12 million of 2007 King Farm Presbyterian bonds
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2/1/2011 | LM | Banco de Sabadell sets tender cap at €483 million for four series
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2/1/2011 | LMMU | South Carolina calls $149.97 million state school facilities G.O.s
|
2/1/2011 | HYLM | Basic Energy Services begins tender offer for 11 5/8% notes due 2014
|
2/1/2011 | AGLM | Fannie Mae plans to redeem $577 million medium-term notes at par
|
2/1/2011 | LMMU | South Carolina calls $31.51 million state capital improvement bonds
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2/1/2011 | HYLM | Nexstar redeems $12.5 million 11 3/8% notes due 2013 on Jan. 15
|
1/31/2011 | HYLM | Columbus McKinnon to redeem all $24.07 million 8 7/8% notes due 2013
|
1/31/2011 | CVLM | King tenders for all $400 million of 1.25% convertible notes due 2026
|
1/31/2011 | LMMU | New York Power Authority's notes due 2016, 2020 have optional tender
|
1/31/2011 | LMMU | Hoover City Board of Education, Ala., calls $65.81 million warrants
|
1/31/2011 | HYLM | Great Lakes Dredge & Dock calls $175 million 73/4% notes due 2013
|
1/31/2011 | DDLM | REC Plantation Place again denied waiver from class B noteholders
|
1/31/2011 | LMMU | Seattle to redeem $295.65 million of municipal light and power bonds
|
1/31/2011 | LMMU | Illinois Development calls some Presbyterian Homes Lake Forest bonds
|
1/31/2011 | HYLM | Hovnanian launches tender for 8% notes, 8 7/8% notes and 73/4% notes
|
1/31/2011 | EMIGLM | Mexico's America Movil begins exchange offer for Telmex's 51/2% notes
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1/31/2011 | LMMU | Southeastern Pennsylvania Transportation to redeem some 2007 bonds
|
1/31/2011 | AGLM | FFCB calls $145 million 1.04% consolidated systemwide bonds at par
|
1/31/2011 | LMMU | Indiana Health calls some Clarian Health series 2003 E, G bonds
|
1/31/2011 | HYLM | Rafaella to redeem $71.86 million 111/4% senior notes on Feb. 26
|
1/31/2011 | LM | Banco de Sabadell begins tender offers for €1.5 billion of securities
|
1/31/2011 | LMMU | Wisconsin HEFA calls portion of Marshfield Clinic 2006B revenue bonds
|
1/31/2011 | AGLM | Fannie Mae plans to redeem $105 million medium-term notes at par
|
1/31/2011 | LMMU | Lowry Economic Redevelopment, Colo., calls some 2008A revenue bonds
|
1/31/2011 | HYLM | StoneMor to redeem 121/2% series B and C secured notes due August 2012
|
1/31/2011 | LM | Sveriges Bostadsfin repurchases SEK 232 million series 519 notes
|
1/31/2011 | CALM | CIBC to redeem C$1.08 billion 4.55% notes due 2016 on March 28
|
1/31/2011 | LMMU | New Jersey Sports and Exposition calls some state contract bonds
|
1/31/2011 | LMMU | East Baton Rouge, La., Parish Development calls some Stupp bonds
|
1/28/2011 | IGLM | UnionBanCal calls MCB's $3.09 million 10.6% capital securities
|
1/28/2011 | HYLM | Ply Gem starts tender offer for 113/4% senior secured notes due 2013
|
1/28/2011 | LMMU | South Carolina calls some 2001A capital improvement bonds at 101
|
1/28/2011 | EMHYLM | Greece's Navios receives tenders for 91.66% of 91/2% notes due 2014
|
1/28/2011 | LMMU | Houston calls all $274.64 million 2001A, B public improvement bonds
|
1/28/2011 | HYLM | SeaBird Exploration seeks consents to restructure floaters due 2012
|
1/28/2011 | LMMU | Western Carolina Regional Sewer, S.C., calls all 2001 revenue bonds
|
1/28/2011 | EMLM | EBRD buys back ZAR 140.93 million 0% medium-term notes due 2027
|
1/28/2011 | LMMU | Lancaster County, Pa., cancels call of 2008 Lancaster General bonds
|
1/28/2011 | AGLM | Fannie Mae plans to redeem $1.74 billion medium-term notes at par
|
1/28/2011 | HYLM | Valassis receives tenders for 82.5% of 81/4% notes by consent deadline
|
1/28/2011 | HYLM | CPI, unit get consents to amend floaters, 8% notes for planned merger
|
1/28/2011 | LMMU | Newport Beach, Calif., calls 2009B, C Hoag Memorial Hospital bonds
|
1/28/2011 | CVLM | CMC Magnetics redeems, cancels rest of 0% convertibles due 2012
|
1/28/2011 | IGLM | Prosperity Bancshares calls TXUI's $7 million 10.6% capital securities
|
1/28/2011 | HYLM | Exide Technologies issues call for $13.93 million 101/2% secured notes
|
1/28/2011 | LMMU | Newport Beach, Calif.'s Hoag Memorial bonds have mandatory tender
|
1/28/2011 | CVLM | Conexant calls for redemption $11.22 million 4% convertibles due 2026
|
1/28/2011 | IGLM | Public Service of Oklahoma issues call for all $200 million 6% notes
|
1/28/2011 | HYLM | Kraton Performance Polymers units begin tender offer for 8 1/8% notes
|
1/28/2011 | LMMU | South Carolina calls portions of 2000A, 2001A school facilities bonds
|
1/28/2011 | CVLM | GMX Resources offers to buy back $50 million of its 5% convertibles
|
1/27/2011 | IGLMPF | First Banks gets consents needed to amend 8.15% trust preferreds
|
1/27/2011 | HYLM | National Mentor, parent tally needed consents for 111/4% notes, floaters
|
1/27/2011 | CVLM | Forest City Enterprises to swap stock for $110 million 5% convertibles
|
1/27/2011 | LMMU | Public Energy of Kentucky calls $57.3 million gas supply revenue bonds
|
1/27/2011 | HYLM | Peninsula Gaming begins consent bid to amend 8 3/8% notes due 2015
|
1/27/2011 | EMHYLM | Russia's Mobile TeleSystems: tender offer unaffected by freeze order
|
1/27/2011 | AGLM | FFCB calls $25 million 4.75% consolidated systemwide bonds due 2018
|
1/27/2011 | HYLM | Smithfield Foods increases tender for 73/4%, 10% notes to $450 million
|
1/27/2011 | EMLM | National Bank of Abu Dhabi repurchases $150,000 floating-rate notes
|
1/27/2011 | CVLM | Dynamic Energy to issue shares for HK$360 million convertible notes
|
1/27/2011 | IGLM | Liberty Mutual extends tender for 10.75% notes to Feb. 1, consent bid for 7.5% notes to Jan. 31
|
1/27/2011 | HYLM | ACE Cash lifts tender payment for 101/4% notes, pushes back deadlines
|
1/27/2011 | CVLM | Evergreen Solar amends, extends exchange offers for convertibles
|
1/27/2011 | IGLM | Marathon Oil begins two tender offers for seven series of notes
|
1/27/2011 | HYLM | D.R. Horton buys back $62.5 million notes during first quarter
|
1/27/2011 | CVLM | Fibrek to redeem C$25.87 million of 7% convertible debentures due 2011
|
1/26/2011 | IGLM | Pennsylvania-American to redeem $15.5 million 9.71% mortgage bonds
|
1/26/2011 | HYLM | TRW Automotive repurchases €17 million of 6 3/8% notes due March 2014
|
1/26/2011 | LM | Nationwide cancels €4 billion of covered bonds from two series
|
1/26/2011 | IGLM | Tennessee-American Water to redeem $2.5 million 9.25% mortgage bonds
|
1/26/2011 | HYLM | Verso Paper unit holders tender 92.1% of 9 1/8% notes by early date
|
1/26/2011 | HYLM | ACE Cash extends $175 million 101/4% notes consent deadline to Jan. 26
|
1/26/2011 | HYLM | Windstream's Valor units call all $248.62 million 73/4% notes at 102.583
|
1/26/2011 | HYLM | Baldor Electric to redeem all $550 million 8 5/8% notes due 2017
|
1/26/2011 | IGLM | Illinois American Water to redeem $6 million 9.625% mortgage bonds
|
1/26/2011 | HYLM | NRG Energy nets enough early tenders to amend $1.2 billion 71/4% notes
|
1/26/2011 | CVLM | Penn West Petroleum offers to purchase 6.5%, 7.2% convertibles at 101
|
1/26/2011 | IGLM | Long Island Water issues call for $9 million 8.46% mortgage bonds
|
1/26/2011 | HYLM | NRG issues call for all remaining 71/4% notes due 2014
|
1/26/2011 | DDHYLMPF | Ambac to redeem $26.44 million of Potomac money market securities
|
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 | HYLM | Exide gets needed consents, early tenders for 95.2% of 101/2% notes
|
1/25/2011 | AGLM | Fannie Mae plans to redeem $1.33 billion medium-term notes at par
|
1/25/2011 | IGLM | Liberty Mutual extends early tender deadline for 10.75% notes; 7.5% notes consent bid unchanged
|
1/25/2011 | HYLM | Hertz to use $500 million notes offering to pay down 8 7/8% notes
|
1/25/2011 | CVLM | Boston Properties buys back $50 million 2.875% exchangeables due 2037
|
1/25/2011 | LMMU | Illinois calls $21.29 million of 5.5% Build Illinois sales tax bonds
|
1/25/2011 | HYLM | Kraton plans tender for notes due 2014 with debt financing proceeds
|
1/25/2011 | CVLM | Leader may repurchase C$12.56 million of C$13.16 million convertibles
|
1/25/2011 | LMMU | Port of Seattle to redeem $80.82 million series 2000B G.O. bonds
|
1/25/2011 | HYLM | Phibro Animal Health gets needed consents from holders of 91/4% notes
|
1/25/2011 | HYLM | ACE Cash extends consent deadline for $175 million 101/4% notes
|
1/25/2011 | HYLM | Univision tenders for remaining $283.9 million 93/4%/101/2% senior notes
|
1/25/2011 | HYLM | Columbus McKinnon gets tenders for $100.78 million 8 7/8% notes so far
|
1/24/2011 | HYLM | Dycom to redeem its $48.39 million 8 1/8% notes due 2015 on Feb. 21
|
1/24/2011 | EMHYLM | Russia's Mobile TeleSystems tenders for 8% eurobonds, seeks consents for 8 5/8% eurobonds
|
1/24/2011 | CVLM | Country Garden holders put RMB 522.6 million of 2.5% convertibles
|
1/24/2011 | HYLM | Heating to redeem all its outstanding 7 7/8% mezzanine notes due 2014
|
1/24/2011 | EMLM | Argentina's Central Termica Guemes buys back $1.65 million of notes
|
1/24/2011 | CVLM | Panacea Biotec to consider redeeming 0% convertibles at board meeting
|
1/24/2011 | AGLM | FFCB calls $175 million 2.95% consolidated systemwide bonds at par
|
1/24/2011 | HYLM | Univision wraps up $1 billion tender offer for 93/4%/101/2% senior notes
|
1/24/2011 | HYLM | Aker Drilling may buy back some bonds at 104.5 in swap for new bonds
|
1/24/2011 | CVLM | Tyco Electronics unit gets tenders for $470.37 million of convertibles
|
1/24/2011 | AGLM | Fannie Mae plans to redeem $50 million medium-term notes at par
|
1/24/2011 | HYLM | Vitamin Shoppe issues call for $55.11 million floating-rate notes
|
1/24/2011 | HYLM | AmeriGas to redeem $87.1 million 71/4% senior notes due 2015 on Feb. 22
|
1/24/2011 | DDHYLM | Allied Irish Banks gets €2 billion of 11 note series in tender offer
|
1/24/2011 | CVHYLM | Level 3 to issue $300.22 million more 11 7/8% notes in exchange for remaining 9% convertibles
|
1/24/2011 | IGLM | Rochester Gas to redeem $61 million 6.95% first mortgage bonds
|
1/24/2011 | HYLM | Casella Waste launches tender offer, solicits consents for 93/4% notes
|
1/24/2011 | DDHYLMPF | Ambac Assurance calls $15.88 million Potomac money market securities
|
1/24/2011 | CVLM | Atrium European Real Estate to pay off €20 million 10.75% convertibles
|
1/24/2011 | LMMUPF | Nuveen Maryland to redeem $14.83 million auction-rate preferreds
|
1/21/2011 | LMMU | Massachusetts Development's Boston University series U-6A revenue bonds have mandatory tender
|
1/21/2011 | HYLM | Dycom gets needed consents for 8 1/8% notes, settles early tenders
|
1/21/2011 | LMPF | Majestic USA Capital again extends consent bid for trust preferreds
|
1/21/2011 | IGLM | RenRe 5.75% noteholders agree to one-time waiver of merger covenant
|
1/21/2011 | AGLM | Fannie Mae plans to redeem $150 million 5.09% medium-term notes at par
|
1/21/2011 | IGLMPF | Citigroup seeks consents to terminate covenants of 6% trust preferreds
|
1/21/2011 | IGLM | Citigroup retires $4.03 billion debt in 2010, hopes to buy back more
|
1/21/2011 | IGLMPF | First Banks again extends consent bid for 8.15% trust preferreds
|
1/21/2011 | DDHYLM | Inn of the Mountain Gods again extends private exchange for 12% notes
|
1/21/2011 | LMMU | Firelands Medical Center looking to purchase Erie County, Ohio, bonds
|
1/21/2011 | HYLM | AmeriGas Partners calls $14.64 million 8 7/8% senior notes due 2011
|
1/20/2011 | HYLM | Crown Americas calls all $600 million of its 73/4% notes due 2015
|
1/20/2011 | CVLM | First Capital plans to purchase 5.5% convertibles under issuer bid
|
1/20/2011 | LMMUPF | Nuveen Massachusetts to redeem $14.4 million auction-rate preferreds
|
1/20/2011 | HYLM | Shinsei passes up option to call step-up notes due 2016 on Feb. 23
|
1/20/2011 | DDHYLMPF | Ambac to redeem $23.5 million Potomac money market securities
|
1/20/2011 | HYLM | Speedway Motorsports begins tender offer, consent bid for 63/4% notes
|
1/20/2011 | EMLM | Brazil's TAM convenes holders of debentures for meeting on Feb. 7
|
1/20/2011 | IGLM | CenterPoint holders exchange $397.24 million of 7.875% notes so far
|
1/20/2011 | LM | Kingfisher to purchase £149.39 million of 5.625% notes at 107.698
|
1/20/2011 | LMMU | Massachusetts HEFA redeems $198.67 million Partners HealthCare bonds
|
1/20/2011 | HYLM | AmeriGas Partners gets consents needed to amend 71/4% series A, B notes
|
1/20/2011 | LMMU | New York Liberty calls $2.59 billion World Trade Center revenue bonds
|
1/19/2011 | HYLM | National Mentor tenders for 111/4% notes, parent for toggle floaters
|
1/19/2011 | EMLM | Russia's VTB holders put back €2.64 million of 41/4% notes due 2016
|
1/19/2011 | CVLM | Titan closes exchange agreement for $59.62 million 5.625% convertibles
|
1/19/2011 | IGLM | CenterPoint prices exchange offer for 7.875% notes after early date
|
1/19/2011 | HYLM | NewMarket gets consents to amend 7 1/8% notes for restricted payments
|
1/19/2011 | AGLM | FFCB calls $25 million 2.8% consolidated systemwide bonds at par
|
1/19/2011 | HYLM | Blue Merger Sub starts tender offer for Del Monte 6 3/4% and 7 1/2% notes
|
1/19/2011 | DDLM | Commerzbank trust preferred holders offered cash by Credit Suisse
|
1/19/2011 | LMMU | Indiana Health calls portions of Clarian Health 2005 revenue bonds
|
1/19/2011 | CVLM | Amkor says all 6.25% convertibles exchanged for stock ahead of call
|
1/19/2011 | HYLM | Stallion Oilfield calls $22.5 million 101/2% senior notes due 2015
|
1/19/2011 | HYLM | CGGVeritas plans partial repayment of 71/2% senior notes due May 2015
|
1/19/2011 | DDLM | REC noteholder group vows not to pursue default-related remedies
|
1/19/2011 | LMMU | Ohio plans to redeem parts of 2005 A and B common schools G.O. bonds
|
1/19/2011 | CVLM | India's Nava Bharat forces conversion of 0% convertibles due 2011
|
1/19/2011 | HYLM | Targa Resources Partners offers new notes and cash for 111/4% notes
|
1/19/2011 | HYLM | ITC^DeltaCom gets tenders of less than 1% in offer for its 101/2% notes
|
1/19/2011 | EMHYLM | Thailand's PTT Aromatics buys back $6 million 51/2% notes due 2012
|
1/19/2011 | LMMU | Orleans Parish School Board, La., calls some 7.15% bonds due 2015
|
1/19/2011 | CVLM | Level 3 calls all $195.7 million of its 5.25% convertibles due 2011
|
1/19/2011 | HYLM | UCI International holders tender needed consents to amend PIK floaters
|
1/19/2011 | HYLM | Inergy launches cash tender for 6 7/8% notes, 83/4% notes, 81/4% notes
|
1/19/2011 | EMLM | Eurasia purchases $30 million 11% loan participation notes due June 20
|
1/19/2011 | LMMU | Union County, N.C., calls $33.7 million of 2001 G.O. school bonds
|
1/19/2011 | CVLM | Sinclair Broadcast investors forgo put option on 4.875% convertibles
|
1/19/2011 | HYLM | Wynn Las Vegas solicits consents to amend first mortgage notes
|
1/18/2011 | CVLM | Smith & Wesson exchanges new notes for $23.16 million convertibles
|
1/18/2011 | LMMUPF | Dreyfus Strategic to redeem $2.25 million auction-rate preferreds
|
1/18/2011 | LMMU | County of San Diego to prepay $27.59 million Sharp HealthCare 5% COPs
|
1/18/2011 | HYLM | Packaging Dynamics' $400 million notes for redemption, loan repayment
|
1/18/2011 | DDHYLMPF | Ambac Assurance calls $55.87 million Potomac money market securities
|
1/18/2011 | LMMU | Indiana Health calls $2.3 million Clarian Health series 2005 bonds
|
1/18/2011 | HYLM | Phibro solicits consents from holders of 91/4% notes to allow new notes
|
1/18/2011 | LM | National Grid accepts tenders for €200 million of 4.125% notes, €250 million of 5.125% notes
|
1/18/2011 | AGLM | FFCB calls $1.16 billion consolidated systemwide bonds at par
|
1/18/2011 | LMMU | Massachusetts Health calls $5.29 million variable-rate pool loan bonds
|
1/18/2011 | HYLM | Tomkins accepts tenders for £4.94 million 8% notes at price of 105
|
1/18/2011 | HYLM | Crown Holdings begins tender offer for $600 million 73/4% notes due 2015
|
1/18/2011 | AGLM | Fannie Mae plans to redeem $2.08 billion medium-term notes at par
|
1/18/2011 | LMMU | Municipal Gas Authority of Georgia calls $35.51 million revenue bonds
|
1/18/2011 | LMMU | California Health calls $52 million Sutter Health bonds due 2031, 2035
|
1/18/2011 | HYLM | Great Lakes to repay its 73/4% notes due 2013 with new deal proceeds
|
1/18/2011 | CVLM | Finisar to swap $16.95 million 5% convertibles for 1.59 million shares
|
1/18/2011 | LMMU | Wisconsin HEFA calls $925,000 ProHealth series 2008B bonds due 2034
|
1/18/2011 | LMMU | California Statewide to prepay $52.99 million Sutter certificates
|
1/18/2011 | HYLM | Nielsen redeemed $870 million, €150 million notes last quarter
|
1/14/2011 | HYLM | Petrohawk's $300 million note offering for redemption of 7 1/8% notes
|
1/14/2011 | LMMU | Student Loan Consolidation starts Dutch tender for 14 notes series
|
1/14/2011 | LMMU | Massachusetts HEFA calls $50 million Tufts University series I bonds
|
1/14/2011 | HYLM | Stater Bros. redeems remaining $45.1 million 8 1/8% notes due 2012
|
1/14/2011 | AGLM | FFCB calls $60 million 1.05% consolidated systemwide bonds at par
|
1/14/2011 | LMMU | Toll Road Investors calls $94.42 million Dulles Greenway, Va., bonds
|
1/14/2011 | LMMU | Massachusetts HEFA calls three series of Partners Healthcare bonds
|
1/14/2011 | HYLM | Syniverse calls all $175 million 73/4% subordinated notes at 101.938
|
1/14/2011 | AGLM | Fannie Mae plans to redeem $3.19 billion medium-term notes at par
|
1/14/2011 | LMMU | Montgomery County, Md., to redeem portion of Riderwood Village bonds
|
1/14/2011 | IGLM | Liberty Mutual starts 10.75% notes tender, 7.5% notes consent bid
|
1/14/2011 | CVLM | Finisar to swap $25.2 million 5% convertibles for 2.36 million shares
|
1/14/2011 | LMMU | North Carolina Medical calls $61.6 million Moses Cone Hospital bonds
|
1/14/2011 | LMMU | California Pollution Control's 2010 Republic Services bonds have mandatory tender for purchase
|
1/14/2011 | EMLM | TMK starts consent solicitation for 10% loan participation notes
|
1/14/2011 | LMMU | Plano, Texas, school district calls $67.17 million unlimited tax bonds
|
1/14/2011 | LMMU | Gwinnett County, Ga., authority calls 2008A, C Gwinnett Hospital bonds
|
1/13/2011 | IGLM | RenRe solicits consents for one-time waiver under 5.75% notes due 2020
|
1/13/2011 | EMLM | Indonesia-based BUMA's Prime Dig wraps full 113/4% notes redemption
|
1/13/2011 | AGLM | FFCB calls $75 million 1.8% consolidated systemwide bonds at par
|
1/13/2011 | HYLM | CPI, subsidiary tender and solicit consents for floaters, 8% notes
|
1/13/2011 | CALM | Manulife to redeem C$550 million 6.24% subordinated debentures
|
1/13/2011 | HYLM | TRW Automotive repurchases €2 million of 6 3/8% notes due March 2014
|
1/13/2011 | CVLM | Malaysia's Perisai Petroleum redeems $1 million of 0% two-year bonds
|
1/13/2011 | HYLM | Valassis begins cash tender offer, consent bid for 81/4% notes due 2015
|
1/13/2011 | CVLM | Provident Energy begins tender offer for C, D series 6.5% convertibles
|
1/13/2011 | IGLM | Australia and New Zealand Banking wrap tender offer for 3.2% notes
|
1/13/2011 | DDHYLM | Allied Irish Banks begins tender offer for 11 note series, offers 30%
|
1/12/2011 | LMMU | Corporate Finance calls $975,000 Central Utah Medical notes due 2043
|
1/12/2011 | AGLM | Fannie Mae plans to redeem $50 million medium-term notes at par
|
1/12/2011 | CVLM | Affymetrix buys back additional $53 million 3.5% convertible notes
|
1/12/2011 | HYLM | Cooper to redeem all $339 million 7 1/8% notes due 2015 in February
|
1/12/2011 | HYLM | Smithfield Foods starts Dutch auction tender for 73/4% notes, 10% notes
|
1/12/2011 | IGLM | Westpac Banking holders tender $2.1 billion of 3.25% notes due 2011
|
1/11/2011 | CAHYLM | Catalyst Paper to redeem $26.03 million 8 5/8% senior notes at par
|
1/11/2011 | HYLM | Unifi terminates tender offer for 111/2% notes, calls $30 million for Feb. 16 redemption
|
1/11/2011 | CVLM | Lanesborough renews issuer bid for C$2.56 million 7.5% convertibles
|
1/11/2011 | HYLM | Verso Paper tenders for any and all 9 1/8% second-priority notes
|
1/11/2011 | CVLM | Teva to redeem $813 million 1.75% convertible debentures due 2026
|
1/11/2011 | IGLM | Westpac Banking sets pricing in tender for any and all 3.25% notes
|
1/11/2011 | DDHYLMPF | Ambac Assurance to redeem $50 million Potomac money market securities
|
1/11/2011 | AGLM | FFCB calls $205 million 2.62%, 4.93% consolidated systemwide bonds
|
1/11/2011 | LMMU | Dallas calls $75 million variable-rate taxable G.O. pension bonds
|
1/11/2011 | LM | Bank of Ireland holders put £4.98 million floating-rate notes due 2014
|
1/11/2011 | AGLM | Fannie Mae plans to redeem $1.85 billion medium-term notes at par
|
1/11/2011 | LMMU | Lancaster County, Pa., Hospital Authority calls $61.02 million of 2008 Lancaster General bonds
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1/11/2011 | HYLM | NRG Energy begins tender offer for $1.2 billion 71/4% notes due 2014
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1/10/2011 | CVLM | USEC to issue stock in exchange for $45 million of 3% convertibles
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1/10/2011 | IGLM | Plains All American Pipeline calls $200 million 73/4% notes due 2012
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1/10/2011 | AGLM | FFCB calls $30 million 3% consolidated systemwide bonds at par
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1/10/2011 | HYLM | Columbus McKinnon tenders for any and all 8 7/8% notes due 2013
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1/10/2011 | CVLM | United Phosphorus redeems remaining $2 million of convertible bonds
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1/10/2011 | LMMU | Massachusetts HEFA may refund two series of Tufts Medical Center bonds
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1/10/2011 | AGLM | Fannie Mae to redeem $3.3 billion of medium-term notes at par
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1/10/2011 | HYLM | Exide begins tender offer, consent solicitation for 101/2% senior notes
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1/10/2011 | EMLM | Argentina holders grant consents to amend four series of Brady bonds
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1/10/2011 | LMPV | Kingfisher buys back $169.5 million of three series of notes so far
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1/10/2011 | BKDDHYLM | Network Communications completes out-of-court restructuring; nearly all 103/4% notes exchanged
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1/10/2011 | HYLM | ResCare to redeem $29.95 million 73/4% senior notes due 2013 on Jan. 21
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1/10/2011 | LM | Kingfisher begins tender offer for up to £100 million 5.625% notes
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1/10/2011 | CAHYLM | Sun Media to redeem all $205 million 7 5/8% senior notes due 2012
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1/10/2011 | HYLM | Tenneco redeems remaining 8 5/8% notes after close of tender offer
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1/10/2011 | LM | National Grid companies tender for €450 million of four note series
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1/10/2011 | CVLM | Hutchinson begins tender/exchange offer for 3.25% convertibles
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1/10/2011 | IGLM | Citigroup extends early dates for CitiFinancial's 6.625%, 7.875% notes
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1/10/2011 | HYLM | ACE Cash starts tender offer for any and all 101/4% notes due 2014
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1/7/2011 | CVLM | MasTec completes exchange offer for 4%, 4.25% convertible notes
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1/7/2011 | HYLM | Univision exceeds tender cap on 93/4%/101/2% notes by early deadline
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1/7/2011 | CVLM | Titan agrees to issue shares for $59.6 million 5.625% convertibles
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1/7/2011 | HYLM | Windstream begins tender offer for 73/4% notes issued by Valor units
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1/7/2011 | CVLM | UDR holders may require purchase of 4% convertible notes due 2035
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1/7/2011 | IGLMPF | Ipswich calls $3.5 million 10.2% capital securities
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1/7/2011 | DDHYLM | Inn of the Mountain Gods extends private exchange offer for 12% notes
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1/7/2011 | LMMU | Mississippi Business Finance calls $50 million Mississippi Power bonds
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1/7/2011 | HYLM | Inergy to redeem $78.75 million 83/4% senior notes due 2015 on Feb. 4
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1/7/2011 | AGLM | Fannie Mae plans to redeem $1.35 billion medium-term notes at par
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1/7/2011 | LMMU | Northern Illinois University defeases, calls facilities system bonds
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1/7/2011 | HYLM | RadioShack to redeem all 7 3/8% notes due 2011 on March 4
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1/6/2011 | HYLM | Elizabeth Arden launches tender offer for any and all 73/4% notes
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1/6/2011 | HYLM | Iron Mountain to redeem $231.26 million 73/4% senior notes on Jan. 15
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1/6/2011 | LMMU | Downtown Development Authority of Atlanta calls $10.6 million bonds
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1/6/2011 | LMMU | NYC Trust for Cultural Resources calls some Lincoln Center bonds
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1/6/2011 | AGLM | FFCB calls $10 million 4.8% consolidated systemwide bonds at par
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1/6/2011 | HYLM | Dycom Investments tenders for $135.35 million of 8 1/8% notes due 2015
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1/5/2011 | HYLM | AmeriGas launches cash tender offer for 71/4% series A, B senior notes
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1/5/2011 | LMMU | Massachusetts defeases, calls 1998B, 2000A federal highway grant bonds
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1/5/2011 | HYLM | ResCare wraps offer for 73/4% notes; no more tenders since consent date
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1/5/2011 | LMMU | New York City to redeem $40.74 million of 2001F G.O. bonds at 101
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1/5/2011 | HYLM | UCI International begins tender offer, consent bid for PIK floaters
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1/5/2011 | LMMU | Texas Water Development calls portion of 2007A revolving fund bonds
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1/5/2011 | IGLM | CenterPoint begins exchange offer for $762 million 7.875% notes
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1/5/2011 | AGLM | FFCB calls $150 million 2% consolidated systemwide bonds at par
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1/5/2011 | IGLMPV | Plum Creek prepays $463 million debt, including $213 million in notes
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1/5/2011 | CVHYLM | Realogy swaps new notes, convertibles for $2.74 billion of notes
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1/5/2011 | LMMU | Harris County Health, Texas, calls all $161.6 million Memorial Hermann 2001B hospital bonds
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1/4/2011 | HYLM | NewMarket solicits consents to amend 7 1/8% senior notes due 2016
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1/4/2011 | AGLM | FFCB calls $100 million 3.18% consolidated systemwide bonds at par
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1/4/2011 | IGLM | CenterPoint to start exchange for $762 million 7.875% notes due 2013
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1/4/2011 | AGLM | Fannie Mae plans to redeem $500 million medium-term notes at par
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1/4/2011 | LMMU | Chicago redeems $60.17 million 5% series 2001A G.O. bonds due 2041
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1/4/2011 | CVLM | AED plans to add put dates, lower conversion price of 9% convertibles
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1/4/2011 | DDHYLMPF | Capitol Bancorp starts exchange for 11 series of trust preferreds
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1/4/2011 | HYLM | El Paso completes oversubscribed tender for seven series of notes
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1/3/2011 | CVLM | ASM International to redeem $44.91 million 4.25% convertibles at par
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1/3/2011 | LMMU | New York City Transitional Finance calls $392.27 million tax bonds
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1/3/2011 | LMMU | Indiana Finance to redeem portion of 2008A stadium project bonds
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1/3/2011 | HYLM | Avis Budget Group redeems $175 million 7 5/8% senior notes due 2014
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1/3/2011 | CVLM | EDAP TMS issues stock in exchange for $4.56 million convertibles
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1/3/2011 | LMMU | Omaha Public Power District calls portions of four series of bonds
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1/3/2011 | LMMU | Michigan State Hospital calls $344.52 million Detroit Medical bonds
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1/3/2011 | HYLM | Leslie's Poolmart to redeem $7.98 million 73/4% senior notes due 2013
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1/3/2011 | CVLM | Transocean calls 1.625% series A convertible senior notes due 2037
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1/3/2011 | LMMU | Orleans Parish, La., calls $12.78 million series 1991 bonds due 2015
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1/3/2011 | LMMU | Montgomery County, Md., calls $56 million public improvement bonds
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1/3/2011 | IGLM | Boston Scientific redeems $600 million of 6% notes due 2011 in full
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1/3/2011 | EMLM | India's Mercator Lines buys back 101/2% debentures for Rs. 5.63 million
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1/3/2011 | LMMU | University of Minnesota redeems portion of series 1999A G.O. bonds
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1/3/2011 | AGLM | Fannie Mae plans to redeem $250 million medium-term notes at par
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1/3/2011 | LMMU | Municipal Energy Acquisition, Tenn., calls some 2006 gas revenue bonds
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1/3/2011 | IGLM | Westpac Banking tenders for any and all 3.25% guaranteed notes
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1/3/2011 | EMLM | Malaysia's Emico gets OK to extend due date, lift coupon on loan stock
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1/3/2011 | LMMU | Virginia College authority calls some 2006 21st Century College bonds
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1/3/2011 | CVDDLM | Evergreen Solar launches exchange offers for 4%, 13% convertibles
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1/3/2011 | LMMU | New Jersey Health Care Facilities calls some Jersey City Medical bonds
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1/3/2011 | LMMU | Harris County Hospital, Texas, defeases $103.53 million 4.799% bonds
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1/3/2011 | EMLM | Ranhill: Malaysia's Senai-Desaru funds RM 1.46 billion redemption with new Islamic MTNs
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1/3/2011 | LMMU | Waco Education Finance, Texas, calls part of Baylor University bonds
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12/31/2010 | IGLM | CRH buys back $786.11 million of four series of notes in tender offers
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12/31/2010 | CVDDLM | C&D Technologies completes exchange offer for 5.25%, 5.5% convertibles
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12/31/2010 | EMLM | Argentina holders tendered $267.2 million of bonds into exchange offer, preliminary results say
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12/31/2010 | AGLM | Fannie Mae plans to redeem $100 million medium-term notes at par
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12/31/2010 | LMMU | Wayne County, Mich., calls $76.34 million 2008C Detroit airport bonds
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12/31/2010 | CVLM | WebMD holders convert nearly all 3.125% convertibles before redemption
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12/31/2010 | HYLM | Tomkins: Holders of 8% notes may sell securities to company at 105
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12/31/2010 | IGLM | NiSource Finance accepts tenders for $273.1 million of 10.75% notes
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12/31/2010 | CVLM | Energy Conversion to issue more stock in exchange for 3% convertibles
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12/31/2010 | HYLM | Clearwater Paper gets tenders for nearly all Cellu Tissue 111/2% notes
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12/31/2010 | IGLM | Charles Schwab gets needed consents for 6.375% senior notes due 2017
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12/31/2010 | CVLM | Accuride exchanges stock for $4.17 million of 7.5% convertibles
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12/31/2010 | EMLM | Malaysia's Country Heights redeems RM 150 million 3%-8% bonds of 2011
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12/31/2010 | AGLM | Fannie Mae plans to redeem $300 million medium-term notes at par
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12/31/2010 | LMMUPF | Nuveen California to redeem $73.33 million MuniPreferred shares
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12/31/2010 | CVLM | Yingli Green Energy redeems $171.3 million convertibles in December
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12/31/2010 | HYLM | TransDigm wraps tenders for $160,000 more 73/4% notes, calls remainder
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12/31/2010 | IGLMMUPF | Nuveen to redeem $664.83 million auction-rate preferreds in January
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12/31/2010 | CVLM | Hecla sets conversion rate for 6.5% mandatory convertible preferreds
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12/31/2010 | HYLM | Ferrellgas redeems $79.92 million 63/4% notes due 2014 on Dec. 27
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12/31/2010 | IGLM | Citigroup offers to exchange CitiFinancial's 6.625%, 7.875% notes
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12/31/2010 | CVLM | Amkor Technology to redeem $100 million 6.25% convertibles due 2013
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12/31/2010 | HYLM | AMC, Marquee complete tender offer, solicitation for 11%, 12% notes
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12/31/2010 | HYLM | US Oncology issues call for notes prior to acquisition by McKesson
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12/31/2010 | AGLM | Fannie Mae plans to redeem $831.72 million notes at par in January
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12/31/2010 | LMMUPF | Nuveen Dividend to redeem $4.93 million MuniPreferred shares
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12/31/2010 | DDHYLM | Network Communications amends, extends exchange offer for 103/4% notes
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12/31/2010 | LMMU | Brazos Higher Education, Texas, rescinds redemption of some bonds
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12/31/2010 | CVLM | Hengdeli purchases RMB 3 million dollar-settled convertibles due 2012
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12/31/2010 | HYLM | Global Aviation offers to repurchase $10 million senior secured notes
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12/31/2010 | IGLM | Dr Pepper Snapple holders tender $475.73 million 6.82% notes due 2018
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12/31/2010 | CVLM | Antigenics to exchange shares for $8.05 million of 5.25% convertibles
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12/31/2010 | HYLM | Affinity calls $123.83 million 9% senior subordinated notes due 2012
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12/31/2010 | HYLM | Unifi begins tender offer, consent solicitation for 111/2% notes
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12/31/2010 | CAHYLM | Gibson Energy takes in needed consents to amend 113/4% first-lien notes
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12/31/2010 | DDHYLMPF | HomeStreet again extends tender for four series of trust preferreds
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12/31/2010 | LMMU | South Dakota Conservancy District defeases $54.33 million 2010 notes
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12/31/2010 | CVLM | LDK Solar accepts tenders for $31.92 million of 4.75% convertibles
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12/31/2010 | HYLM | Novelis completes tender offers for 71/4% notes and 111/2% notes
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12/31/2010 | IGLM | JPMorgan holders tender 90.7% of 5.875% capital securities by deadline
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12/31/2010 | CVLM | CMS issues stock, pays cash for $124.83 million 3.375% convertibles
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12/31/2010 | HYLM | Anglo Irish Bank holders tender €59 million, ¥12 billion floaters
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12/31/2010 | IGLM | Australia and New Zealand Banking begins tender offer for 3.2% notes
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12/31/2010 | CVDDHYLM | Technicolor to redeem tranche I NRS notes, DPN notes for stock, cash
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12/31/2010 | EMHYLM | Thailand's PTT Aromatics buys back $5.65 million 51/2% notes due 2012
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12/31/2010 | LMMU | Tacoma, Wash., to redeem $125.27 million electric system bonds at 101
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12/31/2010 | CVLM | Qwest Communications redeems $1.1 billion 3.5% convertibles due 2025
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12/31/2010 | HYLM | Tenneco to redeem all $20.03 million 8 5/8% notes due 2014 at 102.875
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12/31/2010 | IGLM | Kraft completes oversubscribed tender offer for 5.625%, 6.25% notes
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12/31/2010 | CVLM | DATA Group redeems all its outstanding 6.75% convertible debentures
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12/31/2010 | HYLM | CIT Group to redeem $500 million 7% series A second-lien notes
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