12/24/2012 | EMLM | China's Sound Global says it is not required to purchase 11 7/8% notes
|
12/24/2012 | HYLM | Tops announces redemption price for $350 million 10 1/8% notes
|
12/24/2012 | LM | Glacier Securities redeems €49.75 million series 2011-3 notes in full
|
12/24/2012 | IGLM | CVS Caremark holders tender $1.74 billion of notes by offers' end
|
12/24/2012 | HYLM | Centex to redeem $107.74 million 5 1/8% senior notes due 2013 in full
|
12/24/2012 | LMMU | Dasny calls $50.84 million series 2003 Lutheran Medical Center bonds
|
12/24/2012 | HYLM | Cleaver-Brooks wraps offer for 121/4% notes; no more tenders obtained
|
12/24/2012 | CVLM | AGO gets needed consents, will convert bonds at €1.76 per share
|
12/24/2012 | LMMU | Fairfax County, Va., calls all $75.04 million Ivona Health bonds
|
12/24/2012 | HYLM | Crown Castle to redeem its 9%, 73/4% senior notes after tender offers
|
12/24/2012 | CVLM | Greatbatch to redeem all $197.8 million of 2.25% convertibles due 2013
|
12/24/2012 | LMMU | Los Angeles to redeem $280.86 million of 2008 wastewater system bonds
|
12/24/2012 | HYLM | Harbinger gets needed consents to amend $500 million 10 5/8% notes
|
12/21/2012 | DDHYLM | Energy Future begins exchange offer for two series of notes, exchanges $157.38 million privately
|
12/21/2012 | LMMU | Tarrant Regional Water, Texas, defeases $109.7 million of water bonds
|
12/21/2012 | CVLM | Fifth & Pacific issues shares for $3.8 million of 6% convertibles
|
12/21/2012 | IGLM | American Electric Power redeems all $12.6 million 8.75% debentures
|
12/21/2012 | EMHYLM | China Automation buys back, cancels portion of 73/4% notes due 2016
|
12/21/2012 | LMMU | Wichita, Kan., calls G.O. renewal, improvement notes due 2013
|
12/21/2012 | CVLM | PA Resources: 90% of bondholders take part in early conversion offer
|
12/21/2012 | IGLM | OrCal gets consents for more than two-thirds of 6.21% notes due 2020
|
12/21/2012 | EMLM | China's Sound Global to purchase 11 7/8% notes after change of control
|
12/21/2012 | LMPF | Brookfield Office Properties calls C$200 million series F preferreds
|
12/21/2012 | CVLM | Sound Global buys back portion of 6% convertible bonds due 2015
|
12/21/2012 | ABLM | Rivoli gets needed consents for class A, B, C mortgage-backed floaters
|
12/21/2012 | LMMU | Connecticut defeases 2003 A, B transportation infrastructure bonds
|
12/21/2012 | HYLM | Plastipak Holdings calls $250 million senior notes due 2015 in full
|
12/21/2012 | CVLM | Ultrapetrol tenders for $80 million 7.25% convertible notes due 2017
|
12/21/2012 | CVDDLM | Codfarmers seeks consent from 15% bondholders for restructuring
|
12/21/2012 | LMMU | East Bay Municipal Utility, Calif., 2011A wastewater system bonds have mandatory tender
|
12/21/2012 | HYLM | Primus Telecommunications exchanges 10% notes for 10% exchange notes
|
12/21/2012 | DDHYLM | Blom gets waiver from holders of 15% secured bonds and floaters
|
12/21/2012 | CVEMLM | LDK Solar collects needed consents for 10% notes due 2014
|
12/21/2012 | LMMU | Oregon Health and Science defeases $153.03 million of revenue bonds
|
12/21/2012 | HYLM | TrollDrilling calls meeting to approve recovery for 133/4% bondholders
|
12/20/2012 | LMMU | Adams County School District, Colo., defeases $60.73 million of bonds
|
12/20/2012 | LM | SpareBank 1 announces plans to redeem floating-rate notes in March
|
12/20/2012 | LMMU | Tampa-Hillsborough County authority calls 2002 revenue bonds in full
|
12/20/2012 | LMMU | Chelan County, Wash., public utility defeases $53.7 million of notes
|
12/20/2012 | HYLM | Cenveo to redeem all $67.85 million of 7 7/8% notes due 2013
|
12/20/2012 | AGLM | FFCB to redeem $362 million of its consolidated systemwide bonds
|
12/20/2012 | LMPF | Eaton Vance calls all series A, B, C, D and E auction preferred shares
|
12/20/2012 | LMMU | Lebanese American University calls $75 million taxable bonds in full
|
12/20/2012 | HYLM | MGM gets tenders for majority of 13%, 10 3/8%, 11 1/8%, 9% notes
|
12/20/2012 | CVLM | Exterran to redeem all $143.75 million 4.75% convertibles due 2014
|
12/20/2012 | LMMU | Massachusetts HEFA calls $5 million of Museum of Fine Arts bonds
|
12/20/2012 | HYLM | Tops cancels tender offer for 10 1/8% notes, to redeem notes Jan. 22
|
12/20/2012 | EMIGLM | Development Bank of Kazakhstan buys back $98.93 million of 51/2% notes
|
12/20/2012 | LMMU | Medical University Hospital, S.C., defeases $386.24 million 2004 bonds
|
12/20/2012 | IGLM | United Technologies extends Goodrich note offers; tender caps lifted
|
12/20/2012 | EMLM | Malaysia's LBS Bina Group redeems portion of tranche 1 sukuk
|
12/20/2012 | LMMU | Springfield, Mass., defeases $26.44 million of series 2012 G.O. bonds
|
12/19/2012 | HYLM | Cleaver-Brooks calls outstanding $1.75 million senior secured notes
|
12/19/2012 | LMPF | First Interstate BancSystem calls all $50 million series A preferreds
|
12/19/2012 | HYLM | Philippines' Globe Telecom holders tender 92.9% of Bayan notes
|
12/19/2012 | CVLM | Ciena extends half of 4% convertibles in exchange deal for new notes
|
12/19/2012 | IGLM | United Technologies prices tender offers for notes issued by Goodrich
|
12/19/2012 | EMLM | Brazil's CPFL debentureholders approve amendment to financial ratios
|
12/19/2012 | LM | New South Wales to buy back A$144.23 million global exchangeable bonds
|
12/19/2012 | LM | New South Wales to buy back A$144.23 million global exchangeable bonds
|
12/19/2012 | LMMU | Minnesota defeases series 2009 certificates, sets redemption for 2016
|
12/19/2012 | HYLM | Clear Channel redeems remaining series A, B 91/4% senior notes due 2017
|
12/19/2012 | LMMU | Missouri HEFA calls $34.64 million of Freeman Hospital revenue bonds
|
12/18/2012 | LMMU | Fort Worth, Texas, calls $32.5 million of water and sewer system bonds
|
12/18/2012 | EMLM | Acme holders pass proposals to amend and extend bonds, cancel bonus
|
12/18/2012 | HYLM | McClatchy calls remaining $83.6 million notes following tender offer
|
12/18/2012 | CVLM | Canadian Solar's 6% convertibles holders put all $1 million notes
|
12/18/2012 | IGLM | GE Capital calls step-up, 6% public income notes; 6.05%, 5.875% notes
|
12/18/2012 | CVLM | FKP Property to buy back A$12.3 million of 8% convertible notes
|
12/18/2012 | IGLM | Pentair unit settles exchange offer for 74.61% of 5% notes due 2021
|
12/18/2012 | DDHYLM | Cecon again seeks to pay in-kind interest on some notes, citing delays
|
12/18/2012 | IGLM | Teva Pharmaceutical Finance to redeem $1 billion senior notes due 2014
|
12/18/2012 | EMHYLM | China's Zoomlion settles consent solicitation for 6 7/8% senior notes
|
12/17/2012 | LMMU | Oakland, Calif., announces call for $55.4 million of 2003A G.O. bonds
|
12/17/2012 | HYLM | Radian gets early tenders for $195.16 million notes in exchange offer
|
12/17/2012 | LM | Co-operative Bank exchanges 5.875% notes, fixed/floating notes for £235.4 million new 7.875% notes
|
12/17/2012 | LMMU | South Miami Health Facilities calls all Baptist Health hospital bonds
|
12/17/2012 | HYLM | Visant buys back some 10% notes due 2017, pays down term loan
|
12/17/2012 | HYLM | Cenveo announces mandatory redemption of 7 7/8% notes due 2013
|
12/17/2012 | IGLM | AT&T prices pool 1, pool 2 offers, settles all three exchange offers
|
12/17/2012 | HYLM | Greece's FAGE to redeem €101.48 million of 71/2% notes due 2015
|
12/17/2012 | BKCVLM | Flotek amends loan terms, allowing $40 million buyback of convertibles
|
12/17/2012 | IGLM | Viacom gives final tally in exchange offer for 6.875%, 6.75% notes
|
12/17/2012 | HYLM | ISS Group to redeem remaining €525 million 11% senior notes due 2014
|
12/17/2012 | CVLM | Energy XXI issues stock in exchange for 5.625% convertible preferreds
|
12/17/2012 | LMMU | New Jersey Turnpike calls $2.02 million of its series C revenue bonds
|
12/17/2012 | HYLM | MetroPCS Wireless gets enough consents to amend 7 7/8%, 6 5/8% notes
|
12/17/2012 | CVLM | PA Resources extends acceptance period for early conversion of bonds
|
12/14/2012 | LMMU | Southern California water's 1997B, C bonds have mandatory tender
|
12/14/2012 | EMHYLM | China's Zoomlion gets needed consents to amend 6 7/8% senior notes
|
12/14/2012 | LMMU | Miami-Dade County, Fla., to redeem some 2002 aviation revenue bonds
|
12/14/2012 | AGIGLM | Tennessee Valley Authority calls $17 million 5% electronotes in full
|
12/14/2012 | LMMU | Charlotte-Mecklenburg, N.C., calls $58.83 million of health care bonds
|
12/14/2012 | LMMU | Susquehanna Area Regional Airport, Pa., calls revenue bonds series
|
12/14/2012 | LM | Spar Nord Bank announces full redemption of Kr 1.25 billion floaters
|
12/14/2012 | LMMU | Mississippi Business Finance says revenue bonds have mandatory tender
|
12/14/2012 | AGLM | FFCB to redeem $711 million of consolidated systemwide bonds at par
|
12/14/2012 | LMMU | Cobb County, Ga., hospital authority defeases $115.58 million bonds
|
12/14/2012 | LMMU | University of Connecticut calls $106.03 million of student fee bonds
|
12/14/2012 | IGLM | American Electric to redeem all $242.78 million of 5.25% notes
|
12/14/2012 | LMMU | New Hampshire announces redemption of turnpike system revenue bonds
|
12/14/2012 | CVEMLM | LDK Solar solicits consents from holders of 10% notes due 2014
|
12/14/2012 | LMMU | Fulton-Dekalb Hospital defeases $258.4 million revenue certificates
|
12/14/2012 | IGLM | Dow Chemical announces redemption price for 7.6% notes due 2014
|
12/14/2012 | LMMU | New York State Urban Development calls $56.34 million corporate bonds
|
12/14/2012 | CVHYLM | Virgin Media to spend £200 million to buy back debt and convertibles
|
12/14/2012 | LMMU | Lower Colorado River Authority defeases $154.09 million revenue bonds
|
12/14/2012 | IGLM | PPL Energy short of majority in exchange offer for Ironwood bonds
|
12/14/2012 | LMMU | Southeastern Pennsylvania Transportation bonds have mandatory tender
|
12/14/2012 | DDEMHYLM | EOAL Cypress holders approve loan requests for 15% notes, 20% notes
|
12/14/2012 | LMMU | Maryland Health's Mercy Medical Center bonds have mandatory tender
|
12/14/2012 | IGLM | Starwood calls all $179 million outstanding 7 7/8% notes due 2014
|
12/13/2012 | HYLM | Cequel tenders for $750 million of its 8 5/8% senior notes due 2017
|
12/13/2012 | CVHYLM | CNO Financial board OKs $300 million more for securities repurchases
|
12/13/2012 | LMMU | California Health to redeem some 2002A and B Episcopal Home bonds
|
12/13/2012 | IGLM | Brandywine Realty begins cash tender offer for 7.5% and 6% notes
|
12/13/2012 | CVLM | Forest City exchanges $75.7 million convertible preferreds for stock
|
12/13/2012 | LMMU | Dasny defeases series 2007 New York and Presbyterian Hospital bonds
|
12/13/2012 | IGLM | Lockheed to issue $1.34 billion new notes, cash in exchange offer
|
12/13/2012 | CVLM | Two Advent Claymore convertible funds wrap tender offers for AMPS
|
12/13/2012 | LMMU | Hennepin County, Minn. calls $33.79 million of series 2006A G.O. bonds
|
12/13/2012 | IGLM | Teva Pharmaceutical to redeem $1 billion 1.7% notes via new offerings
|
12/13/2012 | DDHYLM | Bank of America gets tenders for $136 million MBIA notes; unit Blue Ridge issues default notice
|
12/13/2012 | LMMU | Jacksonville, Fla., defeases $381.06 million from various bond series
|
12/13/2012 | IGLM | Veolia buys back $203 million, €597 million bonds due 2015-2018
|
12/13/2012 | EMLM | Maribor to issue €45.29 million of new 6% notes in exchange offer
|
12/13/2012 | LMMU | Whittier, Calif., calls all 2009C Presbyterian Intercommunity bonds
|
12/13/2012 | IGLM | Verizon sets redemption price for $700 million 8.75% notes at 140.206
|
12/12/2012 | LMMU | Beaverton School District, Ore., defeases $128.75 million G.O. bonds
|
12/12/2012 | HYLM | Deluxe calls outstanding $93.5 million senior notes following tender
|
12/12/2012 | AGLM | FFCB to redeem $831 million of consolidated systemwide bonds at par
|
12/12/2012 | IGLM | Brandywine Realty plans cash tender offer for 7.5% and 6% notes
|
12/12/2012 | LMMU | Mississippi Higher Education calls $53.6 million of student loan bonds
|
12/12/2012 | HYLM | Sealed Air wraps offer for 5 5/8% notes; final tally remains unchanged
|
12/12/2012 | LMMU | Corporate Finance calls $7.73 million of Central Utah Medical notes
|
12/12/2012 | HYLM | FelCor to redeem $258 million of 10% notes via new notes offering
|
12/12/2012 | CVLM | BlackRock Latin American buys back $15.95 million of 3.5% convertibles
|
12/12/2012 | IGLM | HSBC Holdings announces full $1.4 billion repayment of 5.25% notes
|
12/12/2012 | LMMU | North Carolina power agency calls $542.25 million 2003A revenue bonds
|
12/12/2012 | HYLM | Sequa receives enough consents to amend 113/4%, 131/2% notes indenture
|
12/12/2012 | LMMU | Dasny defeases $76.1 million Rochester Institute of Technology bonds
|
12/12/2012 | HYLM | Host Marriott, subsidiaries call $100 million of 6.75% senior notes
|
12/12/2012 | CVLM | CapitaMall buys back, cancels portion of 1% convertible bonds due 2013
|
12/12/2012 | IGLM | Sutton Bridge Financing calls two series of guaranteed secured bonds
|
12/12/2012 | LMMU | Whittier, Calif., calls all 2009B Presbyterian Intercommunity bonds
|
12/12/2012 | IGLM | AIG gets enough consents to amend 8.125%, 7.05%, 7%, 5.6% notes terms
|
12/12/2012 | LMMU | Houston calls $132.01 million 2008D-1 combined utility system bonds
|
12/12/2012 | HYLM | Moog plans redemption of all $200 million of 61/4% notes due 2015
|
12/12/2012 | CVLM | National Bank of Abu Dhabi buys back AED 9 million of convertibles
|
12/12/2012 | IGLM | Veolia gets tenders for $153.07 million of 6% notes due 2018
|
12/12/2012 | LMPF | First BanCorp plans exchange offer for five series of preferred stock
|
12/12/2012 | IGLM | American Express announces final results for 8.125%, 8.15% notes
|
12/12/2012 | LMMU | Indianapolis Airport Authority calls $3.24 million of revenue bonds
|
12/12/2012 | HYLM | Obrascon pays fee to noteholders who approved resolutions in September
|
12/12/2012 | LMMU | Baltimore County, Md., defeases $113.5 million Catholic Health bonds
|
12/12/2012 | EMLM | Greece announces results of exchange offers for 20 note series
|
12/12/2012 | LMMU | American Water to fund subsidiaries' debt via new senior offering
|
12/12/2012 | ABLM | Banco Popular wraps tenders for asset-backed, subordinated securities
|
12/12/2012 | IGLM | Aon settles exchange offer for 8.205% notes, no more tenders counted
|
12/12/2012 | LMMU | Miami-Dade County, Fla., to redeem some series 1997, 1998 & 2000 bonds
|
12/12/2012 | HYLM | Phoenix solicits consents for 7.45% bonds to avoid covenant breach
|
12/11/2012 | EMLM | China's Global Bio-Chem settles tenders and consents for 7% bonds
|
12/11/2012 | IGLM | Citi prices fixed spread tender offers to buy back nine note series
|
12/11/2012 | HYLM | Alere gets consents for 99.3% of 7 7/8% notes, enough to amend terms
|
12/11/2012 | IGLMPF | Double Eagle gets consents to alter articles for 9.25% preferreds
|
12/11/2012 | HYLM | Crown Castle International launches tender offer for 9% notes due 2015
|
12/11/2012 | DDEMLM | Singapore's Petra Foods says cocoa division sale to affect several notes
|
12/11/2012 | LMMU | District of Columbia to redeem $2.5 million of Washington Drama bonds
|
12/11/2012 | HYLM | FTI Consulting reports no further tenders for 73/4% notes due 2016
|
12/11/2012 | DDHYLM | LBI Media again amends, extends exchange offers for 81/2%, 11% notes
|
12/11/2012 | LMMU | Louisiana Public Facilities defeases Baton Rouge Medical Center bonds
|
12/11/2012 | HYLM | NXP concludes tender offer, purchases 73.5% of 93/4% notes due 2018
|
12/11/2012 | EMHYLM | Sappi unit gets tenders for €54,393 more 113/4% notes since early date
|
12/11/2012 | HYLM | TPC extends tender offer and consent solicitation deadline to Dec. 20
|
12/10/2012 | HYLM | Harbinger tenders, solicits consents for $500 million 10 5/8% notes
|
12/10/2012 | LMMU | Newark, N.J., calls $20 million of tax anticipation notes due 2013
|
12/10/2012 | EMLM | Greece prolongs €10 billion exchange offer for 20 series to Dec. 11
|
12/10/2012 | IGLM | NextEra announces redemption of $350 million series A debentures
|
12/10/2012 | HYLM | Ormat Funding gets consents for over 66% of 81/4% senior notes due 2020
|
12/10/2012 | LMMU | Virginia Resources defeases $3.43 million of infrastructure bonds
|
12/10/2012 | LM | Brixton announces £62.75 million buyback of 5.25% and 6% bonds
|
12/10/2012 | IGLM | Starwood Hotels gives early tender results, increases maximum offer
|
12/10/2012 | AGLM | FFCB to redeem $640 million of consolidated systemwide bonds at par
|
12/10/2012 | HYLM | Sanmina calls $100 million floaters due 2014 for redemption at par
|
12/10/2012 | LM | Citigroup gives price, results of tender offer for 7.375%, 4% notes
|
12/10/2012 | LMMU | Delaware River Port Authority calls full $8.34 million of 2008B bonds
|
12/10/2012 | CVLM | Volcano to repurchase $90 million of 2.875% convertibles via offering
|
12/10/2012 | HYLM | Wesco intends to redeem its 71/2% senior subordinated notes due 2017
|
12/10/2012 | LM | Nationwide Building Society tenders for £350 million of 6.024% PIBS
|
12/10/2012 | LMMU | Illinois Finance calls $3.37 million Landing at Plymouth Place bonds
|
12/10/2012 | DDHYLM | LBI Media holders may tender notes till Friday; offers again extended
|
12/10/2012 | IGLM | Achmea prices tender for first-priority notes; offer oversubscribed
|
12/10/2012 | HYLM | Cleaver-Brooks prices tender offer for 121/4% secured notes due 2016
|
12/10/2012 | LMMU | Maryland Industrial may redeem $4.86 million Bon Secours Health bonds
|
12/10/2012 | EMHYLM | Russia's Evraz gets needed consents to drop leverage ratio covenant
|
12/10/2012 | IGLM | CVS Caremark prices offers for $1 billion notes; tender cap lifted
|
12/7/2012 | IGLM | General Dynamics redeems $1.4 billion of its notes due 2013, 2015
|
12/7/2012 | DDHYLM | Blom seeks waiver from holders of 15% secured bonds and floaters
|
12/7/2012 | LMMU | Port Authority of New York, New Jersey calls $228.14 million of bonds
|
12/7/2012 | IGLM | Verizon Communication sets $750 million notes redemption at 100.712
|
12/7/2012 | EMHYLM | Philippines' Globe Telecom holders tender 91.66% of Bayan notes so far
|
12/7/2012 | IGLMPF | MainSource Financial buys back some series A perpetual preferred stock
|
12/7/2012 | LM | Bank of Scotland moves meeting to update covered bonds
|
12/7/2012 | AGLM | FFCB to redeem $578.91 million of consolidated systemwide bonds at par
|
12/7/2012 | IGLMPF | Tortoise Energy Infrastructure calls mandatory redeemable preferreds
|
12/7/2012 | IGLM | Abbott announces prices for $2.78 billion redemption of notes series
|
12/7/2012 | CVLM | Lonking buys back $3 million of zero-coupon convertibles due 2014
|
12/7/2012 | LMMU | North Texas Tollway series 2009D revenue bonds have mandatory tender
|
12/7/2012 | IGLM | Fund American calls $269.86 million of 5.875% senior notes in full
|
12/7/2012 | CVLM | eAccess calls all ¥10.65 billion 3.5% convertible bonds due 2016
|
12/7/2012 | LMMU | Pennsylvania Higher Education's revenue bonds have mandatory tender
|
12/6/2012 | IGLM | United Technologies tenders for six note series issued by Goodrich
|
12/6/2012 | HYLM | MGM tenders for any and all 13%, 10 3/8%, 11 1/8%, 9% secured notes
|
12/6/2012 | LMMU | Indiana Municipal Power calls $64.65 million of power supply bonds
|
12/6/2012 | CVLM | Spartan Stores swaps $40.3 million convertibles for new 6.625% notes
|
12/6/2012 | IGLM | Verizon Virginia to redeem $1 billion series A debentures at 101.129
|
12/6/2012 | HYLM | Phoenix wants to amend 7.45% bonds indenture due to late 10-Q filing
|
12/6/2012 | LMMU | Municipal Electric, Ga., calls $45.24 million of series W and Z bonds
|
12/6/2012 | EMLM | Russia's VTB Capital wraps oversubscribed tender offer for 51/2% notes
|
12/6/2012 | IGLMPF | General Electric to redeem $1.68 billion in call of three full series
|
12/6/2012 | HYLM | Tops begins tender offer for $350 million 10 1/8% notes due 2015
|
12/6/2012 | LM | Citigroup extends offer, ups cap for 7.375%, 4% notes to €725 million
|
12/6/2012 | IGLMPV | Cliffs Natural to buy back private placement notes via senior offering
|
12/6/2012 | AGLM | FFCB to redeem $204.48 million of its consolidated systemwide bonds
|
12/6/2012 | IGLM | Aon prices exchange offer for 8.205% debentures, updates early tenders
|
12/6/2012 | LM | Co-operative Bank offers new 7.875% notes in exchange for 5.875% notes, fixed/floating notes
|
12/6/2012 | LMMU | California Statewide calls $32.75 million of Methodist Hospital bonds
|
12/6/2012 | CALM | National Bank of Canada calls all series 15 non-cumulative preferreds
|
12/6/2012 | IGLM | Citigroup extends offers to buy back $910 million of 12 note series
|
12/6/2012 | LM | Segro to buy back £112.63 million notes by Dutch auction; pricing set
|
12/6/2012 | LMMU | Clarksville, Tenn., building authority calls portions of revenue bonds
|
12/6/2012 | CVLM | GMX obtains consents to issue notes, retire convertibles with proceeds
|
12/5/2012 | HYLMPF | Prime Group locks up votes for Five Mile's offer to buy 9% preferreds
|
12/5/2012 | LM | Maribor gets needed consents to amend loan participation notes
|
12/5/2012 | CVLM | India's Great Offshore asks convertibles holders to extend maturity
|
12/5/2012 | IGLMPF | Post Properties may buy back up to $200 million notes, preferreds
|
12/5/2012 | LM | Permanent announces repurchase of callable CMS-linked notes due 2035
|
12/5/2012 | CVLM | Niko Resources makes C$308 million repayment of convertible debentures
|
12/5/2012 | LMMU | Allegheny County, Pa., redeems $1.83 million Longwood at Oakmont bonds
|
12/5/2012 | HYLM | Caesars Entertainment may redeem up to $150 million debt via offering
|
12/5/2012 | CVLM | United Microelectronics buys back $5 million 0% convertibles due 2016
|
12/5/2012 | HYLM | Energy Future issues toggle notes in exchange for five series of notes
|
12/5/2012 | DDHYLM | Bank of America sets aside terms to tender offer for MBIA's 5.7% notes
|
12/5/2012 | HYLM | MetroPCS Wireless seeks consents to amend 7 7/8%, 6 5/8% notes
|
12/5/2012 | EMLM | Greece offers €10 billion six-month 0% notes in exchange for 20 series
|
12/5/2012 | AGLM | FFCB to redeem $455 million of consolidated systemwide bonds at par
|
12/4/2012 | LMMU | Louisiana Public Facilities defeases Baton Rouge General Medical bonds
|
12/4/2012 | HYLM | Bergen Group to keep NOK 200 million bonds, redeem remaining notes
|
12/4/2012 | LMMU | Massachusetts HEFA calls $1.37 million of Fairview Extended Care bonds
|
12/4/2012 | HYLM | Clear Channel Outdoor completes tender for 91/4% series A, B notes
|
12/4/2012 | LMMU | New York City calls $17.98 million 1998 B future tax secured bonds
|
12/4/2012 | HYLM | USI Holdings tenders for $225 million floaters, $175 million 93/4% notes
|
12/4/2012 | AGLM | FFCB to redeem $35 million of its consolidated systemwide bonds
|
12/4/2012 | LMMU | North Texas Tollway calls $225 million of its series A revenue bonds
|
12/4/2012 | IGLM | Genworth wraps oversubscribed tender for 5.75% notes due 2014
|
12/4/2012 | CVLM | Meritor acquires $245 million of 4.625% convertibles via new offering
|
12/4/2012 | LMMU | Virginia Resources Authority defeases water and sewer system bonds
|
12/4/2012 | IGLM | Pentair extends early date in exchange offer, collects needed consents
|
12/4/2012 | DDHYLM | LBI Media holders may tender notes in exchange offers until Friday
|
12/3/2012 | HYLM | Alliant begins tender offer, consent bid for 11% senior notes due 2015
|
12/3/2012 | CVLM | Groupe Steria to redeem all 5.7% perpetual convertibles on Jan. 2
|
12/3/2012 | LMMU | Delaware Health calls $1.37 million of 2005 Nemours Foundation bonds
|
12/3/2012 | HYLM | McClatchy now tendering for any and all 111/2% notes due 2017
|
12/3/2012 | CVLM | Monmouth Capital redeems $4.87 million 8% convertibles due 2013, 2015
|
12/3/2012 | LMMU | New Jersey Health Care calls $150.58 million Jersey City Medical bonds
|
12/3/2012 | HYLM | Radian Group begins exchange offer for 5 3/8% senior notes due 2015
|
12/3/2012 | CVLM | Temple REIT completes C$86,000 redemption of remaining convertibles
|
12/3/2012 | IGLM | Aon waives minimum issue condition, extends early date of exchange offer for 8.205% debentures
|
12/3/2012 | EMHYLM | China's Zoomlion solicits consents to amend 6 7/8% senior notes
|
12/3/2012 | CVHYLM | U.S. Concrete proposes to exchange convertibles for new senior notes
|
12/3/2012 | IGLM | Delhaize to redeem remaining $99.05 million 5.875% notes Jan. 3
|
12/3/2012 | EMHYLM | Greece's FAGE Dairy seeks consents for $150 million 9 7/8% notes due 2020
|
12/3/2012 | CVLM | Affymetrix calls remaining $3.9 million of 3.5% convertible notes
|
12/3/2012 | LMMU | Chicago Board of Education calls $1.28 million building revenue bonds
|
11/30/2012 | CVLM | Wockhardt announces full redemption of convertible preferred shares
|
11/30/2012 | LMMU | Chicago to redeem all 2003A general obligation refunding bonds Jan. 1
|
11/30/2012 | CALM | 5banc Split announces redemption of portions of preferred shares
|
11/30/2012 | IGLMPF | GE Capital calls all 6.625%, 6.10% public income notes, 6.45% notes
|
11/30/2012 | HYLM | Hanesbrands plans to redeem $250 million of 8% notes on Dec. 27
|
11/30/2012 | LMMU | South Jersey Port calls $60.26 million of 2002K marine terminal bonds
|
11/30/2012 | EMHYLM | Mexico's Posadas accepts tenders for another $100,000 91/4% notes
|
11/30/2012 | LMMU | Griffin, Ga., calls $58.28 million of public utility revenue bonds
|
11/30/2012 | CALM | Big 8 Split to redeem portions of class B, C preferred shares Dec. 14
|
11/30/2012 | LMMU | Atlanta Rapid Transit calls $160 million 2002 sales tax revenue bonds
|
11/30/2012 | IGLM | AIG solicits consents for 8.125%, 7.05%, 7% and 5.6% notes
|
11/30/2012 | LMMU | Triborough Bridge and Tunnel Authority calls $65.9 million of bonds
|
11/30/2012 | EMIGLM | Abu Dhabi's Mubadala secures consents to amend five series of notes
|
11/30/2012 | LMMU | Indiana Health defeases $138.29 million Community Health Network bonds
|
11/30/2012 | CALM | TD Capital Trust II announces redemption of all 2012-1 securities
|
11/30/2012 | LMMU | Chicago Board of Education calls $19.65 million lease certificates
|
11/30/2012 | IGLM | AT&T gives early results for exchange offers, lifts certain caps
|
11/30/2012 | LMPF | DNP Select, Duff & Phelps call three series of auction preferreds
|
11/30/2012 | LM | Sponda accepts tenders for 28.6% of €130 million hybrid bonds
|
11/30/2012 | LMMU | New Jersey Economic Development calls $50.35 million of Keystone bonds
|
11/30/2012 | CVLM | Fifth & Pacific issues shares for $8 million of 6% convertibles
|
11/30/2012 | LMMU | Chicago Board of Education calls $19.65 million lease certificates
|
11/30/2012 | IGLM | Delhaize accepts tenders for 67% of $300 million of 5.875% notes
|
11/30/2012 | ABLM | Banco Popular tenders for asset-backed, subordinated securities
|
11/30/2012 | HYLM | Cincinnati Bell calls $247.55 million 7% senior notes due 2015 in full
|
11/30/2012 | LMMU | North Texas Tollway calls $309.04 million of system first-tier bonds
|
11/30/2012 | CVLM | Superior Plus calls C$50 million of convertible debentures due 2015
|
11/30/2012 | LMMU | Chicago calls $3.45 million Midway Airport second-lien revenue bonds
|
11/30/2012 | AGLM | FFCB to redeem $275 million of consolidated systemwide bonds at par
|
11/30/2012 | IGLM | Viacom prices offer to issue new notes for 6.875% notes, 6.75% notes
|
11/30/2012 | HYLM | Entravision to redeem remaining $40 million of 83/4% notes due 2017
|
11/30/2012 | LMMU | RBC Municipal Products calls $200.99 million E-17 variable-rate bonds
|
11/29/2012 | IGLM | AT&T gives reference yield for exchange offers, prices pool 3 offer
|
11/29/2012 | HYLM | Nexstar calls $1.96 million of 7% PIK, 7% senior subordinated notes
|
11/29/2012 | DDEMHYLM | EOAL Cypress requests loan from 15%, 20% noteholders for trustee fees
|
11/29/2012 | LMMU | Indianapolis bond bank calls $58.34 million of airport project bonds
|
11/29/2012 | IGLM | Delhaize sets pricing in tender for $300 million of 5.875% notes
|
11/29/2012 | HYLM | Sealed Air calls $95.14 million 5 5/8% senior notes following tender
|
11/29/2012 | DDHYLM | Eitzen Chemical bondholders to vote on restructuring at Dec. 7 meeting
|
11/29/2012 | LMMU | Modesto Irrigation District, Calif., defeases $143.23 million certificates of participation
|
11/29/2012 | IGLM | Lockheed gives early exchange results; all to receive early payment
|
11/29/2012 | HYLM | TPC gets tenders for 99.97% of 81/4% notes due 2017 by early deadline
|
11/29/2012 | EMHYLM | Shanghai Industrial gets required consents for 93/4% notes due 2014
|
11/29/2012 | LMMU | San Antonio, Texas, calls $147.62 million Texas electric and gas bonds
|
11/29/2012 | ABLM | Rivoli seeks consents for mortgage-backed floaters; standstill needed
|
11/29/2012 | LMMU | Broadway Office defeases King County, Wash., lease revenue bonds
|
11/29/2012 | HYLM | Virgin Media Finance calls remaining $31.43 million 91/2% notes in full
|
11/29/2012 | LM | HBOS sets Dec. 21 meeting to amend covered bonds' trust deed
|
11/29/2012 | CALM | First Capital calls C$44.14 million of series E debentures due 2014
|
11/29/2012 | LMMU | Cook County, Ill., calls $100.19 million of 2002D G.O. refunding bonds
|
11/29/2012 | HYLM | Wesco intends to redeem 71/2% senior subordinated notes due 2017
|
11/29/2012 | HYLM | Belo plans redemption of $175.93 million of 63/4% senior notes due 2013
|
11/29/2012 | CVLM | Royal Host holders vote to extend convertibles, bump coupon to 7.5%
|
11/29/2012 | LMMU | Indianapolis Airport calls $58.34 million series 2003A bonds in full
|
11/28/2012 | HYLM | McClatchy tenders, seeks consents for $700 million 111/2% notes due 2017
|
11/28/2012 | LMMU | Austin, Texas, announces mandatory tender for hotel occupancy bonds
|
11/28/2012 | IGLM | Macy's exceeds tender cap in offer to purchase four series of notes
|
11/28/2012 | LM | Segro launches £150 million tender for 6.25% notes, 5.25%, 6% bonds
|
11/28/2012 | IGLM | American Express gives early exchange results for 8.125%, 8.15% notes
|
11/28/2012 | HYLM | Range Resources calls all $250 million of 71/2% senior notes due 2017
|
11/28/2012 | LMMU | Birmingham, Ala., to redeem $293.14 million of water and sewer bonds
|
11/28/2012 | IGLM | Starwood Hotels & Resorts tenders for up to $515 million of notes
|
11/28/2012 | HYIGLM | SL Green Realty tenders for 5.875% notes, 6% notes issued by Reckson
|
11/28/2012 | IGLM | Aon pushes back early deadline in exchange offer for 8.205% debentures
|
11/28/2012 | AGLM | FFCB to redeem $260 million of consolidated systemwide bonds at par
|
11/28/2012 | HYLM | Sealed Air gets enough tenders for 5 5/8% notes to amend indenture
|
11/28/2012 | LMMU | Sacramento City Financing calls $83.67 million of series 2002A bonds
|
11/28/2012 | IGLM | Veolia tenders for $200 million of $700 million 6% notes due 2018
|
11/28/2012 | HYLM | Cincinnati Bell completes in-demand tender offer for 8 3/8%, 81/4% notes
|
11/28/2012 | IGLM | Chevron to redeem all $2 billion of 3.95% notes via offering proceeds
|
11/28/2012 | CVLM | GMX Resources seeks consents to issue new notes due 2017, retire convertibles with proceeds
|
11/28/2012 | HYLM | Sequa begins tender offer for any, all 113/4% notes due 2015, 131/2% notes
|
11/28/2012 | IGLMPF | Brandywine Realty to redeem all remaining 7.375% series D preferreds
|
11/28/2012 | HYLM | FTI Consulting obtains consents to amend 73/4% notes, calls remainder
|
11/28/2012 | IGLM | Cox Communications calls $850 million of 5.45% notes due 2014 at par
|
11/28/2012 | LM | BBVA Subordinated buys back €68.1 million, £34.3 million of notes
|
11/28/2012 | HYLM | TriMas calls $23.5 million 93/4% senior secured notes due 2017 in full
|
11/28/2012 | IGLMPF | Telefonica to purchase 97.06% of preferreds in offer for notes, stock
|
11/28/2012 | HYLM | Greektown plans to refinance revolver, 13% notes via new loan proceeds
|
11/28/2012 | IGLM | Dun & Bradstreet to redeem $400 million of notes via offer proceeds
|
11/28/2012 | LM | Lafarge Cement to redeem all 103/4% bonds due 2013 on Jan. 2
|
11/28/2012 | IGLM | American Electric to redeem $557.78 million notes with offer proceeds
|
11/27/2012 | IGLMPF | RenaissanceRe calls $150 million preferreds for mandatory redemption
|
11/27/2012 | HYLM | Deluxe accepts early tenders for $106.5 million 7 3/8% notes due 2015
|
11/27/2012 | CVDDLM | Gold Reserve wraps restructuring offer for 5.5% convertibles due 2022
|
11/27/2012 | LMMU | Texas authority defeases $857.15 million Central Texas Turnpike bonds
|
11/27/2012 | LMMU | Atlanta calls $2.41 million series 2005A Westside tax allocation bonds
|
11/27/2012 | IGLM | Achmea Hypotheekbank tenders for up to $900 million of two note series
|
11/27/2012 | CVLM | Dundee REIT to redeem all C$133.71 million of four convertible series
|
11/27/2012 | LMMU | Miami-Dade County, Fla., calls three special obligation bond series
|
11/27/2012 | IGLM | American Express prices exchange offers for 8.125% notes, 8.15% notes
|
11/27/2012 | HYLM | Alere seeks consents, tenders for $250 million 7 7/8% notes due 2016
|
11/27/2012 | LMMU | Mississippi Business calls $1.49 million of its 200 Renaissance bonds
|
11/27/2012 | IGLM | Corning gives final results of tender offer for three notes series
|
11/27/2012 | HYLM | B&G Foods to redeem $101.5 million of 7 5/8% senior notes due 2018
|
11/27/2012 | AGLM | FFCB to redeem $110 million of its consolidated systemwide bonds
|
11/27/2012 | LMMU | New Mexico State Highway calls $5.93 million 2002C fund revenue bonds
|
11/27/2012 | IGLM | Raytheon to fund $975 million notes redemption via offering proceeds
|
11/27/2012 | HYLM | Cleaver-Brooks begins tender offer for 121/4% notes; consents needed
|
11/27/2012 | CAHYLM | Ainsworth Lumber gets needed consents to amend 11% notes due 2015
|
11/27/2012 | LMMU | Pennsylvania Economic calls $9.5 million Northwestern Human receipts
|
11/26/2012 | HYLM | Terex accepts tenders, consents for 85% of 8% notes due 2017
|
11/26/2012 | CVLM | Santander USA begins tender offer for $800 million 4.375% trust Piers
|
11/26/2012 | HYLM | MBIA gets needed consents to amend definitions under five notes series
|
11/26/2012 | CVDDLM | Moser Baer schedules meeting for 0% convertible holders on Jan. 21
|
11/26/2012 | LM | Citigroup offers to purchase 7.375% notes due 2014, 4% notes due 2015
|
11/26/2012 | IGLM | CVS Caremark begins tender offer for $1 billion of three note series
|
11/26/2012 | EMHYLM | Mexico's Posadas gets consents to amend 91/4% notes by early deadline
|
11/26/2012 | HYLM | Nexstar Broadcasting wraps cash tender offer for two 7% notes series
|
11/26/2012 | CVLM | ASM bondholders exercise right to convert 6.5% convertibles to shares
|
11/26/2012 | LM | Finnair gets tenders for €67.65 million of €120 million bonds
|
11/26/2012 | LMPF | Banner to redeem remaining $30.2 million of its series A preferreds
|
11/26/2012 | EMHYLM | China's Citic Bank calls $250 million floating-rate notes due 2017
|
11/26/2012 | HYLM | Patheon tenders for any and all 8 5/8% secured notes due 2017
|
11/26/2012 | CVLM | Energy XXI issues common shares in exchange for 5.625% convertibles
|
11/26/2012 | LM | Westpac buys back A$3.37 billion of three government-guaranteed notes
|
11/26/2012 | LMPF | Genie renews offer to swap out stock for series 2012-A preferreds
|
11/26/2012 | EMHYLM | Sappi unit gets tenders for 75.72% of €31 million 113/4% notes due 2014
|
11/26/2012 | HYLM | PulteGroup calls $62.7 million 61/4% notes, $107.7 million 5 1/8% notes
|
11/26/2012 | CVLM | Ezra Holdings holders put $94 million of 4% convertibles due 2014
|
11/26/2012 | HYLM | Deluxe obtains needed consents for 7 3/8% notes due 2015
|
11/26/2012 | EMLM | China's Citic Bank calls $250 million floating-rate notes due 2017
|
11/26/2012 | HYLM | PulteGroup gives final results in tender offers for $1 billion notes
|
11/26/2012 | CVLM | Fufeng accepts for repurchase RMB 747.8 million of 4.5% convertibles
|
11/26/2012 | HYLM | Freescale Semiconductor calls $100 million of 8 7/8% notes due 2014
|
11/26/2012 | ABLM | Bank of Ireland announces buyback of $5 million, €1 billion of notes
|
11/26/2012 | EMLM | Kazakhstan's Doszhan buys no infrastructure bonds at Friday auction
|
11/21/2012 | HYLM | NXP extends tender offer for 93/4% senior secured notes; tally unchanged
|
11/21/2012 | EMLM | Argentina's Banco Hipotecario buys back €650,008 of notes due 2013
|
11/21/2012 | AGLM | FFCB to redeem $235 million of consolidated systemwide bonds at par
|
11/21/2012 | LMMU | Fairfax, Va., Industrial Development may defease Inova Health bonds
|
11/21/2012 | HYLM | Peninsula Gaming calls $675 million 8 3/8%, 103/4% secured notes
|
11/21/2012 | EMLM | Russia's VTB Capital gets early tenders for $741.8 million 51/2% notes
|
11/21/2012 | CALM | EnerCare to redeem 5.25% notes on Dec. 21 with C$250 million proceeds
|
11/21/2012 | LMMU | Honolulu defeases $593.03 million of its series 2004 and 2005 bonds
|
11/21/2012 | IGLM | Charles Schwab to redeem all $494 million of its 4.95% senior notes
|
11/21/2012 | LM | Sponda begins tender offer for €130 million hybrid bond at 102% of par
|
11/21/2012 | CVLM | CRM to start purchase offer for convertible bonds at €6.72 each
|
11/21/2012 | LMMU | Minnesota Tobacco Securitization Authority defeases series 2011 bonds
|
11/21/2012 | IGLM | Citigroup offers to buy back $910 million of 12 series of notes
|
11/21/2012 | HYLM | CDW subsidiaries to redeem $100 million of 12.535% notes on Dec. 21
|
11/21/2012 | CVLM | Sound Global buys back portion of 6% convertible bonds due 2015 at 99
|
11/21/2012 | LMMUPF | DWS municipal funds wrap tender offers for preferreds
|
11/21/2012 | LMMU | Albany-Dougherty County Hospital Authority, Ga.'s certificates have mandatory tender
|
11/21/2012 | HYLM | Hancock Fabrics issues notes, cash in swap for $16.4 million floaters
|
11/21/2012 | CVLM | Suedzucker buys €268.55 million of 2.5% convertibles at 182.5 in offer
|
11/21/2012 | LMMU | Arizona Health Facilities calls $67.19 million of Banner Health bonds
|
11/20/2012 | LMMU | Delaware River Port Authority calls $163.36 million series B bonds
|
11/20/2012 | HYLM | Altra to use credit facility proceeds to redeem 8 1/8% notes due 2016
|
11/20/2012 | DDHYLM | LBI Media extends and amends exchange offers and consent solicitation
|
11/20/2012 | LMMU | Illinois Health Facilities calls $55.41 million Centegra Health bonds
|
11/20/2012 | AGLM | FFCB to redeem $420 million of consolidated systemwide bonds at par
|
11/20/2012 | HYLM | Sprint gets needed consents to amend change-of-control definition
|
11/20/2012 | DDHYLM | MBIA calls for holders to reject counteroffer by bank for 5.7% notes
|
11/20/2012 | LMMU | Pennsylvania authority calls some Northwestern Human Services bonds
|
11/20/2012 | CVLM | Mission NewEnergy gets OK from holders to exchange convertibles
|
11/20/2012 | IGLM | Delhaize begins tender offer for $300 million of 5.875% notes due 2014
|
11/20/2012 | EMHYLM | Philippines' Globe Telecom extends early date for Bayan's 131/2% notes
|
11/20/2012 | LMMU | Virginia Resources redeems $32.44 million series 2002 revenue bonds
|
11/20/2012 | CVLM | Orbital Sciences tenders for $143.75 million 2.4375% convertible notes
|
11/20/2012 | IGLM | Principal Financial calls all $400 million 7.875% notes due 2014
|
11/20/2012 | EMHYLM | Kazakhstan's Zhaikmunai accepts tenders for $347.6 million 101/2% notes
|
11/20/2012 | LMPF | First Industrial Realty announces plans to redeem series J preferreds
|
11/20/2012 | CVLM | STX Pan Ocean holders put $193.8 million 4.5% convertibles due 2014
|
11/20/2012 | LMMU | Atlanta Municipal Association calls $6.53 million of series 1998 COPs
|
11/20/2012 | EMLM | Uruguay completes tender, exchange offers for several series of bonds
|
11/20/2012 | LMPF | Peoples Bancorp plans to redeem preferreds, other securities
|
11/20/2012 | CVLM | Suedzucker offers to buy back 2.5% convertibles due 2016 at 182.5
|
11/19/2012 | HYLM | Clear Channel Outdoor unit settles early tenders for 91/4% notes
|
11/19/2012 | LMSP | UBS amends call provision of Etracs on UBS Bloomberg commodity
|
11/19/2012 | CVLM | ON Semiconductor calls $95 million of 1.875% convertible notes
|
11/19/2012 | LMMU | Jacksonville, Fla., calls $138.41 million from three series of bonds
|
11/19/2012 | IGLMPF | CVB Financial trust to redeem $20.62 million of securities on Jan. 7
|
11/19/2012 | HYLM | R.E.A. Holdings takes in $19.01 million notes for exchange in offer
|
11/19/2012 | CVLM | Safeguard Scientifics buys back all $46.9 million 10.125% convertibles
|
11/19/2012 | LMMU | Louisville and Jefferson County, Ky., calls sewer and drainage bonds
|
11/19/2012 | CAHYLM | Valeant buys back C$89.9 million three senior note series at discount
|
11/19/2012 | LMMU | California calls $9.9 million of its Syncora 5% G.O. bonds due 2024
|
11/19/2012 | HYLM | WMG wraps tender offer for 91/2% notes; no more tenders since early date
|
11/19/2012 | CVLM | Valeant buys back C$2.4 million 5.375% convertibles for C$7.9 million
|
11/19/2012 | LMMU | Nebraska Public Power calls $54.15 million of 2002B revenue bonds
|
11/19/2012 | CAIGLM | Encana extends consent expiration for 8.125%, 7.375% and 7.2% notes
|
11/19/2012 | LMMU | Delaware River and Bay to redeem $41.7 million of 2003 revenue bonds
|
11/19/2012 | IGLM | Genworth holders tender $193.41 million 5.75% notes by early deadline
|
11/19/2012 | DDHYLM | MBIA solicitation for 5.7% notes draws counteroffer by bank, triggers ratings review by Moody's
|
11/19/2012 | LMPF | Genie to renew offer to swap out stock for series 2012-A preferreds
|
11/19/2012 | CVLM | Algonquin Power & Utilities to redeem 7% series 3 convertibles
|
11/19/2012 | LMMU | Guam Power Authority calls $1.36 million 5.25% revenue bonds in full
|
11/19/2012 | IGLM | Pentair unit begins consent solicitation, exchange offer for $500 million 5% notes due 2021
|
11/19/2012 | HYLM | Bergen Group seeks consents to amend NOK 330 million notes, issue call
|
11/19/2012 | LMPF | New York Community Bancorp calls $69,310 preferreds from five trusts
|
11/19/2012 | CVLM | CanWel Building Materials to repurchase 10% of stock, convertibles
|
11/19/2012 | LMMU | Indiana Finance Authority calls $57.48 million Community Health bonds
|
11/19/2012 | IGLM | Viacom to issue 4.375% notes due 2043 in exchange for two note series
|
11/16/2012 | LM | Preps falls short of quorum; noteholder meetings delayed until Nov. 29
|
11/16/2012 | LMMU | Miami-Dade County, Fla., calls all 2002, some 2002A aviation bonds
|
11/16/2012 | CVLM | Unibail-Rodamco announces redemption of all 3.5% convertibles due 2015
|
11/16/2012 | IGLMPF | Central Maine Power owner accepts tenders for 426 6% preferreds
|
11/16/2012 | LMMU | Virgin Islands Public Finance calls $66.77 million 1999A revenue bonds
|
11/16/2012 | IGLM | Abbott to redeem $2.77 billion of outstanding notes from four series
|
11/16/2012 | HYLM | Corrections Corp. of America calls remaining 63/4% senior notes in full
|
11/16/2012 | LMMU | Nebraska Public Power District calls $54.15 million of revenue bonds
|
11/16/2012 | EMHYLM | Shanghai Industrial solicits consents to amend 93/4% notes due 2014
|
11/16/2012 | LMMU | Colorado Health calls various Sisters of Charity of Leavenworth bonds
|
11/16/2012 | IGLM | Dow Chemical plans redemption of $1 billion of 7.6% notes due 2014
|
11/16/2012 | HYLM | DriveTime cancels tender offer, consent solicitation for 12 5/8% notes
|
11/16/2012 | LMMU | New Jersey authority calls $172.85 million of Saint Barnabas bonds
|
11/16/2012 | EMLM | Philippines wraps cash tender for bond series due 2014 through 2032
|
11/16/2012 | LMMU | Contra Costa Transportation, Calif., calls $200.99 million of bonds
|
11/16/2012 | IGLM | Viacom to issue notes due 2043 in exchange for 6.875%, 6.75% notes
|
11/16/2012 | HYLM | Sabine Pass calls remaining $16.06 million 71/4% senior secured notes
|
11/16/2012 | LMMU | New York Metropolitan Transportation calls $132.47 million of bonds
|
11/16/2012 | EMLM | HSBC Bank Middle East repurchases $250,000 of $16.4 million notes
|
11/16/2012 | LMMU | Education Funding Capital calls $83.75 million 2003 class A-5 notes
|
11/16/2012 | CVDDLM | Gold Reserve extends convertibles restructuring offer to Nov. 23
|
11/16/2012 | IGLMPF | 1st Source to redeem $30 million of 7.66% fixed-rate trust preferreds
|
11/16/2012 | LMMU | Pennsylvania State University calls $100 million of series 2002 bonds
|
11/16/2012 | HYLM | Sealed Air cancels tender for 7 7/8% notes, amends other offer terms
|
11/16/2012 | EMLM | Philippines wraps cash tender for bond series due 2014 through 2032
|
11/16/2012 | LMMU | Harris County, Texas, defeases $258.36 million of its toll road bonds
|
11/16/2012 | CVLM | Calloway REIT calls C99.48 million 6.65% convertible debentures at par
|
11/16/2012 | IGLMPF | Capital One announces redemption of trust preferred capital securities
|
11/16/2012 | LMMU | Salt River Project calls $207.04 million 2002 B electric system bonds
|
11/16/2012 | IGLM | AT&T to issue new notes due 2042, 2045 in exchange for 17 note series
|
11/15/2012 | IGLM | Verizon Communications to redeem $700 million 8.75% notes Dec. 17
|
11/15/2012 | HYLM | Metals USA announces call on 11 1/8% senior secured notes due 2015
|
11/15/2012 | LMMU | New York Power Authority calls $268.02 million 2002A revenue bonds
|
11/15/2012 | EMHYLM | China's Lonking buys back $56.2 million of 81/2% notes due 2016
|
11/15/2012 | LMMU | Indiana Health defeases $55.9 million Community Foundation bonds
|
11/15/2012 | HYLM | Primus Telecommunications exchanges 10% secured notes for new notes
|
11/15/2012 | LMMU | Pennsylvania Commonwealth calls $153.11 million of 2003 G.O. bonds
|
11/15/2012 | EMLM | Uruguay sets yield, pricing for new bonds due 2045 in exchange offers
|
11/15/2012 | LMMU | Massachusetts Development Finance to redeem $62.85 million of bonds
|
11/15/2012 | AGLM | FFCB to redeem $240 million of its consolidated systemwide bonds
|
11/15/2012 | HYLM | TPC Group begins cash tender for $350 million 81/4% notes due 2017
|
11/15/2012 | LMMU | Texas Municipal Gas Acquisition & Supply calls portion of 2008D bonds
|
11/15/2012 | EMLM | China Cablecom completes redemption of all of its outstanding notes
|
11/15/2012 | LMMU | Massachusetts HEFA calls $66.1 million of Civic Investments bonds
|
11/15/2012 | CALM | EnerCare to redeem all C$240 million of 5.25% notes due 2013
|
11/15/2012 | HYLM | Towergate Finance redeems £19 million of 81/2% series A, B senior notes
|
11/15/2012 | HYIGLM | Ibercaja Banco offers to buy securities, preference shares, debentures
|
11/15/2012 | LMMU | Metropolitan Transportation calls $137.25 million of Berkshire bonds
|
11/15/2012 | CVLM | Premier Oil to redeem $4.68 million 2.875% convertible bonds in full
|
11/15/2012 | IGLM | PPL Energy offers to issue new bonds in exchange for Ironwood bonds
|
11/15/2012 | HYLM | Intcomex calls $4 million of second priority senior secured notes
|
11/15/2012 | LMMU | Michigan Strategic Fund calls two series of limited obligation bonds
|
11/15/2012 | EMHYLM | Mexico's Posadas lifts tender payment for 91/4% notes; offer extended
|
11/14/2012 | DDHYLMPF | Spanish Broadcasting holders may put back series B preferreds in 2013; company looks to refinance
|
11/14/2012 | LMMU | Texas Water Development Board to redeem $1.42 million of 2000A bonds
|
11/14/2012 | IGLM | Lockheed Martin offers new notes due 2042 in exchange for nine series
|
11/14/2012 | HYLM | ViaSat completes redemption of all remaining 8 7/8% notes due 2016
|
11/14/2012 | EMHYLM | Russia's Evraz seeks OK to lift leverage ratio covenant from 81/4% notes
|
11/14/2012 | LMPF | Citigroup Capital XX 7.875% trust preferreds to be redeemed Dec. 17
|
11/14/2012 | IGLM | New South Wales to buy back A$35.9 million exchangeables on Nov. 19
|
11/14/2012 | HYLM | iStar Financial plans to redeem $404.9 million of 8 5/8% on Dec. 13
|
11/14/2012 | EMLM | Uruguay begins tender, exchange offers for dollar and euro bond series
|
11/14/2012 | LMMU | Metropolitan St. Louis Sewer defeases $159.09 million of 2004A bonds
|
11/14/2012 | IGLM | CoBank starts Dutch auction tender for 7.875% subordinated notes
|
11/14/2012 | EMLM | HSBC Middle East repurchases $500,000 of its notes on Nov. 13
|
11/14/2012 | LMMU | Michigan State Hospital Finance calls $95.08 million Crittenton bonds
|
11/14/2012 | IGLM | Fund American calls $294.88 million of 5.875% senior notes in full
|
11/14/2012 | HYLM | NXP announces early tender offer results for 93/4% senior secured notes
|
11/14/2012 | AGLM | FFCB to redeem $496 million of consolidated systemwide bonds at par
|
11/14/2012 | LMMU | New Jersey calls all $2.1 billion tax and revenue anticipation notes
|
11/14/2012 | IGLM | General Electric Capital calls $825 million of public income notes
|
11/14/2012 | HYLM | Neiman Marcus tenders for any and all $500 million 10 3/8% notes
|
11/13/2012 | CVLM | United Rentals calls all $5 million 1.875% convertible senior notes
|
11/13/2012 | IGLM | American Express begins two exchange offers for 8.125%, 8.15% notes
|
11/13/2012 | LMMU | Seattle, Wash., calls $9.14 million of municipal light and power bonds
|
11/13/2012 | CALM | Postmedia redeems C$23.187 million of senior secured notes due 2017
|
11/13/2012 | HYLM | Hornbach-Baumarkt plans redemption of €250 million of corporate bonds
|
11/13/2012 | LMMU | Connecticut calls $1 million special tax obligation bonds due 2013
|
11/13/2012 | LM | Maribor starts tender, exchange for two series of perpetual notes
|
11/13/2012 | EMHYLM | China Oriental accepts for repurchase $147.06 million 7%, 8% notes
|
11/13/2012 | IGLM | Aon launches exchange offer for up to $300 million 8.205% debentures
|
11/13/2012 | LMMUPF | DWS municipal funds extend tender offers for preferreds till Friday
|
11/13/2012 | CVLM | Clarke again seeks approval to push out maturity of 6% convertibles
|
11/13/2012 | HYLM | Laureate extends tender offers, lifts pricing for toggle, 10% notes
|
11/13/2012 | LMMU | Illinois to redeem all $32.35 million of 5% bonds due 2027 on Dec. 1
|
11/13/2012 | HYLM | Catalent redeems $304.1 million notes after $45.9 million tendered
|
11/13/2012 | IGLM | Bank of Scotland solicits consents to update covered bond program
|
11/13/2012 | EMHYLM | Sifco scraps tender offer for $75 million 111/2% senior notes due 2016
|
11/13/2012 | LMPF | New America fund redeems $85.5 million of auction-term preferreds
|
11/13/2012 | CVLM | Fufeng begins tender offer for 4.5% dollar-settled convertible bonds
|
11/13/2012 | HYLM | Sealed Air begins tender offer for any and all 5 5/8%, 7 7/8% notes
|
11/13/2012 | LMMU | Massachusetts Water Resources calls $3.82 million of revenue bonds
|
11/13/2012 | HYLM | Cincinnati Bell reaches offer cap in early tender of 8 3/8%, 81/4% notes
|
11/13/2012 | IGLM | Macy's increases tender offer for four series of notes to $700 million
|
11/13/2012 | EMLM | Uruguay plans global bond exchange offer, $500 million tender offer
|
11/13/2012 | LMPF | Western Financial to redeem all series 4 first preferred shares Jan. 1
|
11/13/2012 | CVLM | Mission NewEnergy launches exchange offer for convertible notes
|
11/13/2012 | HYLM | Sprint seeks consents to stop change-of-control offer under note terms
|
11/13/2012 | LMMU | Miami-Dade County, Fla., to redeem series 1997A, B, C bonds
|
11/13/2012 | ABLM | Prominent CMBS Funding calls four series of notes due 2032 in full
|
11/13/2012 | HYLM | Dematic announces €450 million redemption of bonds as part of buyout
|
11/13/2012 | IGLM | Macy's ups offer for four note series to $700 million, sets pricing
|
11/13/2012 | EMLM | Kazakhstan's Doszhan buys back portion of infrastructure bonds
|
11/13/2012 | CVLM | Royal Host improves terms, pushes back meeting for 6.25% convertibles
|
11/13/2012 | IGLM | Abbott Laboratories tallies tenders in offer for four series of notes
|
11/13/2012 | LMMU | New Jersey Economic Development calls $55 million 2002A & B bonds
|
11/13/2012 | AGLM | FFCB to redeem $330 million of its consolidated systemwide bonds
|
11/13/2012 | HYLM | Guitar Center expects to repay $129.8 million of PIK notes in April
|
11/13/2012 | IGLM | Verizon holders tender 71.73% of $1.25 billion 8.95% notes in offer
|
11/13/2012 | LM | Finnair plans cash tender offer for €120 million hybrid bonds at 102
|
11/9/2012 | HYLM | Sprint Nextel to redeem Nextel Communications' 5.95%, 7 3/8% notes
|
11/9/2012 | HYLM | Deluxe begins tender offer, consent bid for 7 3/8% notes due 2015
|
11/9/2012 | LMMU | Massachusetts Water Resources calls $180.95 million series 2008 bonds
|
11/9/2012 | CVLM | Two Advent Claymore convertible funds begin tender offer for AMPS
|
11/9/2012 | HYLM | William Lyon Homes calls all $18.25 million of 12% notes due 2017
|
11/9/2012 | HYLM | FTI Consulting tenders, solicits consents for $215 million 73/4% notes
|
11/9/2012 | LMPF | BB&T calls $5.16 million of BBX Capital Trust preferred securities
|
11/9/2012 | EMHYLM | Sappi unit begins tender offer for €31 million 113/4% notes due 2014
|
11/9/2012 | IGLM | Abbott extends tender offer for four note series, gives early results
|
11/9/2012 | HYLM | Nexstar gets needed consents to amend two 7% notes series
|
11/9/2012 | EMIGLM | Singapore's DBS Bank calls $33.46 million zero-coupon notes due 2041
|
11/9/2012 | LMPF | Invesco Van Kampen Senior trust calls $75 million of TH bonds
|
11/9/2012 | IGLM | Corning gives early results, pricing in tender for three notes series
|
11/9/2012 | ABLM | SC Germany Consumer to redeem class A and B floaters due 2018 in full
|
11/9/2012 | HYLM | Northern Tier settles early tendered 101/2% notes, calls remaining notes
|
11/9/2012 | LM | Bank of Ireland buys back £22.95 million of 10% subordinated notes
|
11/9/2012 | IGLM | OneBeacon sets Dec. 10 redemption date for all 5.875% senior notes
|
11/9/2012 | AGLM | FFCB to redeem $748 million of consolidated systemwide bonds at par
|
11/9/2012 | HYLM | PVH obtains needed consents to incur more debt under 7 3/8% notes
|
11/9/2012 | HYLM | Cricket Communications redeems all of its 10% senior notes due 2015
|
11/9/2012 | IGLM | Verizon Communications prices offer for $1.25 billion 8.95% notes
|
11/9/2012 | CAHYLM | Ainsworth Lumber announces tender offer for 11% notes due 2015
|
11/8/2012 | EMLM | GFH Sukuk announces $65 million repurchase of floating-rate notes
|
11/8/2012 | LMMU | Ellensburg, Wash., calls $2.64 million limited tax G.O. bonds in full
|
11/8/2012 | IGLM | Sotheby's calls outstanding $80 million 7.75% senior notes in full
|
11/8/2012 | HYLM | Virgin Media completes tender offers for 91/2%, 8 3/8%, 8 7/8% notes
|
11/8/2012 | EMLM | Indonesia's Lippo Karawaci holders exchange $276.38 million notes
|
11/8/2012 | LMMU | Florida Municipal Loan Council defeases $38.83 million revenue bonds
|
11/8/2012 | CVDDEMLM | GTL gets consents to restructure $228.3 million convertibles due 2012
|
11/8/2012 | IGLM | Verizon calls 4.35% notes, subsidiary's series A debentures in full
|
11/8/2012 | IGLM | Abbott Laboratories prices tender offer for nine series of notes
|
11/8/2012 | EMLM | Philippines starts cash tender for bond series due 2014 through 2032
|
11/8/2012 | LMMU | Mississippi Business calls $135 million 2011B Denbury revenue bonds
|
11/8/2012 | CVLM | Energy XXI issues shares in exchange for 5.625% convertible preferreds
|
11/8/2012 | IGLMPF | Public Storage calls $362.5 million from three series of preferreds
|
11/8/2012 | IGLM | American Electric calls subordinated debentures, senior notes in full
|
11/8/2012 | LM | Xenon Capital buys back €30 million 5.18% notes due 2032 in full
|
11/8/2012 | CVLM | GMX Resources to retire all of its 5% convertibles due February 2013
|
11/8/2012 | LMMU | Children's Trust, Puerto Rico, calls $1.7 million Cede tobacco bonds
|
11/8/2012 | IGLM | Georgia Power to redeem 6.05% series 2007F notes via offering proceeds
|
11/8/2012 | HYLM | Frontier Communications repurchases $154.7 million of two note series
|
11/8/2012 | CVLM | GTL gets consents to restructure $228.3 million convertibles due 2012
|
11/8/2012 | LMMU | Cook County, Ill., calls all $68.28 million of 5.5% series 2002C bonds
|
11/8/2012 | IGLM | National Australia Bank receives overall tenders for $1.66 billion of 3.375% notes, floaters
|
11/8/2012 | HYLM | Service Corp. to redeem $181 million series A 7 3/8% senior notes
|
11/7/2012 | HYLM | MBIA seeks consents to amend definitions for five note series
|
11/7/2012 | LMSP | UBS sets effective time for Etracs tied to UBS Bloomberg commodity
|
11/7/2012 | CVLM | National Retail to redeem all $38.1 million of its 3.95% convertibles
|
11/7/2012 | IGLM | Union Pacific calls all $450 million of 5.45% notes for redemption
|
11/7/2012 | HYLM | PulteGroup gives early results in tender offers for $1 billion notes
|
11/7/2012 | EMLM | China's Global Bio-Chem seeks tenders, consents for 7% bonds due 2014
|
11/7/2012 | LMMU | Colorado's Catholic Health Initiatives bonds have mandatory tender
|
11/7/2012 | HYLM | Terex tenders, solicits consents for $800 million 8% notes due 2017
|
11/7/2012 | EMLM | Indonesia's Indosat redeems Rp. 200 billion 2002 series IIB bonds
|
11/7/2012 | LMMU | Education Loans extends deadline for its tender and exchange offer
|
11/7/2012 | HYLM | iStar Financial to redeem 61/2%, 8 5/8% notes via new offer proceeds
|
11/7/2012 | EMLM | Development Bank of Kazakhstan to buy back five-year eurobonds
|
11/7/2012 | LMMU | Kansas Department of Transportation defeases $173.77 million of bonds
|
11/7/2012 | AGLM | FFCB to redeem $517 million of consolidated systemwide bonds at par
|
11/7/2012 | IGLM | National Australia Bank prices tender offer for 3.375% notes, floaters
|
11/7/2012 | LM | Intesa Sanpaolo completes exchange offer for four series of notes
|
11/7/2012 | LMMU | Massachusetts School authority calls $987.33 million sales tax bonds
|
11/7/2012 | CVHYLM | James River buys back $61.4 million of notes, convertibles at discount
|
11/7/2012 | IGLM | Reed Elsevier accepts for exchange $78.23 million 7.75% notes, $220.91 million 8.625% notes
|
11/6/2012 | HYLM | Reynolds American announces call to redeem $625 million 71/4% notes
|
11/6/2012 | LMMU | Louisiana defeases $49.33 million of Franciscan Missionaries bonds
|
11/6/2012 | HYLM | Stone Energy gets tenders for 68% of 63/4% notes by consent deadline
|
11/6/2012 | AGLM | FFCB to redeem $321.06 million of its consolidated systemwide bonds
|
11/6/2012 | LMMU | Massachusetts Water Resources Authority calls $11.63 million of bonds
|
11/6/2012 | IGLM | OneBeacon U.S. Holdings plans to redeem 5.875% senior notes due 2013
|
11/6/2012 | CVDDLM | Gold Reserve extends convertibles restructuring offer to Nov. 16
|
11/6/2012 | LMMU | North Carolina calls $9.45 million of University Health Systems bonds
|
11/6/2012 | LMMU | Chicago Transit Authority calls $10.02 million from two bond series
|
11/6/2012 | HYLM | DriveTime again extends offer, consent solicitation for 12 5/8% notes
|
11/6/2012 | LMMU | Delaware River Bay Authority defeases $43.47 million of 2003 bonds
|
11/6/2012 | HYLM | Northern Tier announces early tender offer results for 101/2% notes
|
11/6/2012 | LMMU | Florida Educational Loan Marketing calls $7.2 million of revenue bonds
|
11/5/2012 | CVHYLM | Interpublic to redeem 4.75% convertibles, 10% notes via note proceeds
|
11/5/2012 | LMPF | Congaree buys back $954,000 preferreds at auction via Sandler O'Neill
|
11/5/2012 | IGLM | Invesco to redeem senior notes due 2013, 2014 via new notes proceeds
|
11/5/2012 | EMIGLM | Abu Dhabi's Mubadala seeks consents to amend five series of notes
|
11/5/2012 | LMMU | Colorado Authority calls $24.12 million of Covenant Retirement bonds
|
11/5/2012 | EMLM | Philippines' Metrobank redeems PHP 8.5 billion 7% notes due 2017
|
11/5/2012 | LMMU | East Bay Municipal, Calif., calls $386.82 million water system bonds
|
11/5/2012 | LM | National Asset Management redeems €17 million of senior notes due 2013
|
11/5/2012 | LMMU | North Carolina power agency calls $64.89 million 2003D revenue bonds
|
11/5/2012 | HYLM | E*Trade plans to redeem 7 7/8%, 121/2% notes via new offering proceeds
|
11/5/2012 | CAIGLM | Encana seeks consents to amend 8.125%, 7.375% and 7.2% notes
|
11/5/2012 | LMMU | Sacramento to redeem $7.36 million of its 5.125% 1993 revenue bonds
|
11/5/2012 | HYLM | Service to redeem 7 3/8% notes with note offering proceeds, loan
|
11/2/2012 | HYLM | Clear Channel Outdoor unit tenders for 91/4% series A, series B notes
|
11/2/2012 | LMMU | North Carolina Eastern Municipal calls $95.25 million of 2003C bonds
|
11/2/2012 | ABLM | Katonah III announces redemption of $84.11 million notes on Nov. 19
|
11/2/2012 | LMMU | California Infrastructure calls $91.8 million of clean water bonds
|
11/2/2012 | HYLM | Michaels announces full $180 million redemption of 13% discount notes
|
11/2/2012 | LMMU | University System of Maryland defeases two series of revenue bonds
|
11/2/2012 | AGLM | FFCB to redeem $262 million of consolidated systemwide bonds at par
|
11/2/2012 | LMMU | California calls $253.1 million, defeases $329.66 million of G.O.s
|
11/2/2012 | IGLM | Discover Bank gets tenders for $620.05 million of 8.7% notes in oversubscribed exchange offer
|
11/2/2012 | LMMU | University of Michigan calls $3.59 million of hospital revenue bonds
|
11/2/2012 | DDHYLM | LBI Media again pushes back exchange offers, updates tenders so far
|
11/2/2012 | LMMU | Education Loans extends deadline for its tender and exchange offer
|
11/2/2012 | IGLM | Genworth starts Dutch tender offer for some 5.75% notes due 2014
|
11/2/2012 | LMMUPF | DWS muni funds again extend tender offers for preferreds, citing Sandy
|
11/2/2012 | EMHYLM | Kazakhstan's Zhaikmunai gets early tenders for $348 million 101/2% notes
|
11/2/2012 | LMMU | Houston calls $481.5 million water and sewer system junior lien bonds
|
11/2/2012 | IGLM | Post Apartment to fund $130 million notes redemption with proceeds
|
11/2/2012 | HYLM | BWAY gets needed consents to amend 10 1/8%/10 7/8% senior PIK notes
|
11/2/2012 | LMMU | Kansas Development Finance calls $1.76 million Sister of Charity bonds
|
11/2/2012 | IGLM | Verizon Communications tenders for $1.25 billion 8.95% notes due 2039
|
11/1/2012 | IGLM | General Dynamics to redeem three series of notes via new offering
|
11/1/2012 | EMLM | L&T Finance announces debenture repurchases in October and November
|
11/1/2012 | LMMU | District of Columbia Anacostia Waterfront calls $3.36 million bonds
|
11/1/2012 | IGLM | Santander USA completes tender offer for 7.908% capital securities
|
11/1/2012 | LM | Sparekassen Faaborg to pay down Kr. 100 million on bond loan in 2013
|
11/1/2012 | LMMU | Indiana Finance Authority calls $4.44 million of Trinity Health bonds
|
11/1/2012 | LMMU | Allegheny County, Pa., calls University of Pittsburgh Medical bonds
|
11/1/2012 | HYLM | Owens Corning sets pricing in $350 million tender offer for notes
|
11/1/2012 | AGLM | FFCB to redeem $20 million of its consolidated systemwide bonds
|
11/1/2012 | LMMU | Louisiana environmental authority calls all $55 million of BRCC bonds
|
11/1/2012 | LMMU | Central Bradford, Pa., calls $1.5 million Robert Packer Hospital bonds
|
11/1/2012 | HYLM | SunGard Data marks early tenders for $489.84 million of 101/4% notes
|
11/1/2012 | CVLM | Human Genome sets 'increase period' for conversion of 3% notes
|
11/1/2012 | LMMU | Port Authority of New York, New Jersey calls portion of Continental, Eastern airlines bonds
|
11/1/2012 | LMMU | Cincinnati schools call $77.69 million school improvement bonds
|
11/1/2012 | IGLM | Discover Bank prices exchange offer for $500 million 8.7% notes
|
11/1/2012 | EMIGLM | Brazil's Odebrecht gets tenders for 76% of 7% notes by offer's end, 54% of 6% notes by early date
|
11/1/2012 | LMPF | Regions Financial calls $345 million of trust's 8.875% preferreds
|
11/1/2012 | LMMU | Dallas-Fort Worth International Airport calls two revenue bond series
|
10/31/2012 | LMMU | California defeases $68.9 million of Department of Corrections bonds
|
10/31/2012 | CVLM | Spain's Abengoa seeks approval to convert 6 7/8%, 41/2% convertibles
|
10/31/2012 | HYLM | Virgin Media calls all outstanding 91/2% senior notes following tender
|
10/31/2012 | LMMU | San Antonio calls, defeases $221.57 million hotel occupancy tax bonds
|
10/31/2012 | HYLM | Cheniere unit Sabine completes tender offer, accepts 97% of 71/4% notes
|
10/31/2012 | LMMU | Dallas Area Rapid Transit calls all $83.96 million series 2002 bonds
|
10/31/2012 | EMHYLM | Hong Kong's Melco unit gets required consents to amend 101/4% notes
|
10/31/2012 | HYLM | WMG companies get needed consents for 111/2% notes, 133/4% notes
|
10/31/2012 | LMMU | South Jersey Port calls $77.34 million 2002K, L marine terminal bonds
|
10/31/2012 | HYLM | ITC DeltaCom calls $32.5 million of 101/2% senior secured notes at 103
|
10/31/2012 | LMMU | Dallas defeases $239.25 million of series 2004, 2005, 2006 G.O. bonds
|
10/31/2012 | LM | Bank of Ireland announces buybacks from four note series in October
|
10/31/2012 | HYLM | WMG gets majority consents for 91/2% notes; solicitation extended
|
10/31/2012 | HYLM | Lamar Media to redeem rest of series C notes via new note proceeds
|
10/31/2012 | LMMU | Mclean and Woodford Counties, Ill., calls $50.95 million of G.O. bonds
|
10/31/2012 | HYLM | American Pacific redeems 9% senior notes via credit facility funds
|
10/31/2012 | IGLM | National Australia Bank tenders for any and all 3.375%, floating notes
|
10/31/2012 | AGLM | FFCB to redeem $327 million of consolidated systemwide bonds at par
|
10/31/2012 | HYLM | Northern Tier gets needed consents, extends offer for 101/2% notes
|
10/31/2012 | LMMU | Middletown, Ohio, calls $2.48 million of Atrium Medical Center bonds
|
10/31/2012 | HYLM | Bristow Group to redeem all $11.87 million 71/2% senior notes due 2017
|
10/31/2012 | IGLM | Standard Chartered buys back portions of upper tier 2 floaters
|
10/31/2012 | CVLM | Aberdeen Asset Management calls £80.2 million convertibles in full
|
10/31/2012 | HYLM | United Rentals to redeem all $500 million of 10 7/8% notes due 2016
|
10/31/2012 | LMMU | Orlando-Orange County, Fla., defeases $77.57 million of 2003A bonds
|
10/31/2012 | HYLM | Charter Communications units calls $468.28 million of 131/2% notes
|
10/29/2012 | EMHYLM | Hong Kong's Melco unit extends consent solicitation for 101/4% notes
|
10/29/2012 | CVLM | Energy XXI issues stock in exchange for 5.625% convertible preferreds
|
10/29/2012 | LMMU | Massachusetts Water calls $22.12 million 1993C general revenue bonds
|
10/29/2012 | IGLM | Macy's begins tender offer for $500 million of notes from four series
|
10/29/2012 | EMLM | Kazakhstan's Doszhan buys back portion of infrastructure bonds
|
10/29/2012 | CVLM | India's Welspun accepts $44.1 million convertibles in tender offer
|
10/29/2012 | LMMU | New York State Energy wins bid on $65 million 2005A auction rate-bonds
|
10/29/2012 | LMMU | Des Moines defeases $39.76 million of series 2006 water revenue bonds
|
10/29/2012 | HYIGLM | Owens Corning pushes out all tender offer dates due to hurricane
|
10/29/2012 | CVLM | RF Micro Devices buys back $32 million convertibles in fiscal 2013 Q2
|
10/29/2012 | LMMUPF | DWS municipal funds extend tender offers for outstanding preferreds
|
10/29/2012 | AGLM | FFCB plans to redeem $200 million of consolidated systemwide bonds
|
10/29/2012 | LMMU | Hawaii Budget and Finance calls $3.22 million of 15 Craigside bonds
|
10/29/2012 | HYLM | Cincinnati Bell tenders for $100 million of 8 3/8% notes, 81/4% notes
|
10/29/2012 | EMHYLM | China Lumena calls all $250 million 12% senior notes due 2014
|
10/29/2012 | CVDDLM | Gold Reserve again extends restructuring offer to rest of noteholders
|
10/29/2012 | LMMU | Illinois Educational calls $3.27 million Northwestern University bonds
|
10/29/2012 | HYLM | Intertape unit calls $55 million of 81/2% senior subordinated notes
|
10/29/2012 | EMHYLM | China Oriental lifts tender offer cap for 7%, 8% notes, sets pricing
|
10/29/2012 | CVLM | CapitaMall buys back, cancels S$35.5 million of 1% convertibles
|
10/29/2012 | LMMU | Indiana Health Facility calls $43.33 million Community Hospitals bonds
|
10/29/2012 | HYLM | Tenet extends expiration of tender offer for 7 3/8% notes to Oct. 31
|
10/26/2012 | HYLM | Lender Processing Services completes tender offer for 8 1/8% notes
|
10/26/2012 | EMHYLM | Hong Kong's Melco unit amends consent solicitation for 101/4% notes
|
10/26/2012 | LMPF | BNY Mellon calls E and F trust preferreds securities for redemption
|
10/26/2012 | HYLM | Virgin Media cuts tender cap after note pricing, tallies early results
|
10/26/2012 | HYLM | Bristow buys $338.13 million 71/2% notes due 2017 as tender offer ends
|
10/26/2012 | LMPF | Invesco Van Kampen Senior Income Trust to redeem $125 million of ARPS
|
10/26/2012 | CALM | Homburg Invest holders vote to amend three note series at meetings
|
10/26/2012 | IGLM | Abbott Laboratories launches tender offer for nine series of notes
|
10/26/2012 | HYLM | Grohe holders tender €51.6 million of 8 5/8% senior notes due 2014
|
10/26/2012 | CVLM | Alpha Natural wraps tender offer for Appalachia's 3.25% convertibles
|
10/26/2012 | IGLM | Corning tenders for up to $75 million notes, issues make-whole call
|
10/26/2012 | HYLM | LBI Media again pushes back exchange offers, updates tenders so far
|
10/26/2012 | CVLM | Premier Oil extends exchange offer for 2.875% convertibles by one day; holders tender 98% of bonds
|
10/26/2012 | IGLM | Nicor Gas gets consents to remove SEC filing condition under bonds
|
10/26/2012 | HYLM | Laureate lifts tender cap for toggle notes, begins offer for 10% notes
|
10/26/2012 | DDHYLM | Eitzen OK'd to waive default, allow in-kind interest under 12% notes
|
10/26/2012 | LMMU | San Jose, Calif., calls $48.78 million of 2002A airport revenue bonds
|
10/25/2012 | IGLM | Equity One calls all $250 million of 6.25% senior notes due 2014
|
10/25/2012 | HYLM | International Wire to redeem $49.17 million of 93/4% notes on Nov. 5
|
10/25/2012 | BKHYLM | New Issue: Clear Channel to issue $2 billion of 9% notes in term loan exchange
|
10/25/2012 | LMPF | Invesco Van Kampen Senior Income Trust to call auction-rate preferreds
|
10/25/2012 | LMMU | Highlands County, Fla., authority calls $215.55 million hospital bonds
|
10/25/2012 | HYLM | Lamar to redeem $137.2 million series B, C notes via notes proceeds
|
10/25/2012 | EMIGLM | Brazil's Odebrecht cuts minimum denomination in tender for 7% notes
|
10/25/2012 | LMMU | Municipal Electric Authority of Georgia refunds two revenue bonds
|
10/25/2012 | HYLM | REA plans up to $50 million 71/2% notes issue in exchange, placement
|
10/25/2012 | LM | Standard Chartered accepts £119.49 million floaters in tender offer
|
10/25/2012 | LMMU | Nashville, Davidson County, Tenn., calls $68 million Vanderbilt bonds
|
10/25/2012 | HYLM | United Rentals North America to redeem notes via offering proceeds
|
10/25/2012 | LM | Yorkshire Building Society prices, wraps tender offers for notes
|
10/25/2012 | LMMU | New York Metropolitan Transit calls $34.85 million Berkshire bonds
|
10/25/2012 | HYLM | William Lyon Homes tenders, solicits consents for 12% senior notes
|
10/25/2012 | HYLM | First Industrial announces $4.2 million third-quarter note buyback
|
10/25/2012 | LMMU | Virginia Commonwealth University calls $65.46 million bonds in full
|
10/24/2012 | HYLM | Ryland Group redeemed all of 6.9% senior notes during third quarter
|
10/24/2012 | HYLM | NXP to spend up to $500 million in offer for 93/4% senior secured notes
|
10/24/2012 | EMLM | KazStroyService plans to buy back up to KZT 3 billion of 8% bonds
|
10/24/2012 | HYLM | Virgin Media extends early deadline for 91/2%, 8 3/8%, 8 7/8% notes
|
10/24/2012 | HYLM | Nexstar tenders, solicits consents for two series of 7% notes due 2014
|
10/24/2012 | LM | Raiffeisen Bank takes offers to exchange 48.4% of fixed-to-floaters
|
10/24/2012 | IGLM | Reed Elsevier accepts for exchange $77.17 million of 7.75% notes
|
10/24/2012 | ABLM | PREPS seeks approval of extraordinary resolution for two note series
|
10/24/2012 | HYLM | PulteGroup begins two tender offers for $1 billion of six notes series
|
10/24/2012 | HYLM | Elster may issue make-whole call for €250 million 61/4% notes due 2018
|
10/24/2012 | LMMU | Battery Park City Authority, N.Y., calls some 2003C-3 revenue bonds
|
10/24/2012 | CVLM | Lion Diversified gets bondholder approval to amend 6% exchangeables
|
10/24/2012 | HYLM | Realogy calls $105.3 million in full redemption of two bonds series
|
10/24/2012 | HYLM | MRC Global calls all $861.32 million McJunkin 91/2% senior secured notes
|
10/24/2012 | LMMU | New York Metropolitan Transit calls $26.64 million Berkshire bonds
|
10/24/2012 | CVLM | Malaysia's DutaLand buys back, cancels some six-year convertibles
|
10/24/2012 | HYLM | Reynolds American to redeem, buy back 71/4% notes via offer proceeds
|
10/24/2012 | HYLM | Metals USA to refinance 11 1/8% senior secured notes due 2015 via loan
|
10/24/2012 | LMMU | Ohio State University calls $77.14 million of general receipts bonds
|
10/24/2012 | CVLM | Realogy calls $184.61 million from three convertible bonds series
|
10/23/2012 | IGLM | Westfield Group units wrap tender offer for 5.125% notes, 7.5% notes
|
10/23/2012 | EMIGLM | Brazil's Odebrecht tenders for 7% notes due 2020, 6% notes due 2023
|
10/23/2012 | LMMU | Illinois Finance defeases its series 2004, 2009A OSF Healthcare bonds
|
10/23/2012 | HYLM | CVR unit has needed consents to amend 9% notes, accepts tenders so far
|
10/23/2012 | HYLM | DriveTime extends tender offer, consent solicitation for 12 5/8% notes
|
10/23/2012 | HYLM | Elan gets no more tenders after consent deadline for 83/4% notes
|
10/23/2012 | AGLM | FFCB to redeem $25 million of consolidated systemwide bonds in full
|
10/23/2012 | IGLM | Reed Elsevier prices exchange offer for 7.75% notes, 8.625% notes
|
10/23/2012 | CVLM | North Coast calls all 10% series A cumulative convertible preferreds
|
10/22/2012 | CVLM | Shun Tak's Joyous King redeems HK$716.2 million of 3.3% convertibles
|
10/22/2012 | IGLM | H&R Block plans to fund senior note redemption with offering proceeds
|
10/22/2012 | HYLM | Nielsen announces the redemption all 111/2% senior notes due 2016
|
10/22/2012 | EMLM | Kazakhstan's CenterCredit buys back $48 million of its 8 5/8% notes
|
10/22/2012 | LMMU | Ohio calls $4.2 million FSA program bonds, higher education G.O.s
|
10/22/2012 | DDHYLM | Fairstar lacks quorum at meeting to waive put option, covenant default
|
10/22/2012 | LMMU | Connecticut calls $132.48 million special tax obligation bonds in full
|
10/22/2012 | HYLM | Stone Energy begins tender offer for $200 million 63/4% notes due 2014
|
10/22/2012 | LM | BBVA purchases 99.3% Unnim Banc preferreds, 82.0% subordinated debt
|
10/22/2012 | LMMU | United Methodist Village Retirement, Ill., accepts $13.6 million bonds
|
10/22/2012 | EMHYLM | Hong Kong's Melco Crown unit solicits consents to amend 101/4% notes
|
10/22/2012 | LMMU | Denver calls $1.97 million of Syncora, Department of Aviation bonds
|
10/22/2012 | HYLM | Targa to use note offering proceeds to redeem 81/4 senior notes due 2016
|
10/22/2012 | HYLM | Endeavour announces redemption of $25.1 million 12% notes due 2014
|
10/22/2012 | LMPF | Urstadt Biddle calls all $61.85 million of its 81/2% series C preferreds
|
10/22/2012 | EMIGLM | Brazil's Odebrecht to tender for 7% notes due 2020, 6% notes due 2023
|
10/22/2012 | LMMU | Denver to redeem $1.97 million of its airport system revenue bonds
|
10/22/2012 | HYLM | WMG companies solicit consents for two note series to allow more debt
|
10/22/2012 | CVLM | Boston Private buys back $9 million of convertible trust preferreds
|
10/22/2012 | HYLM | Jacobs Entertainment extends deadline of tender offer for 93/4% notes
|
10/22/2012 | EMLM | Sifco tenders for any and all $75 million 111/2% secured notes due 2016
|
10/22/2012 | LMMU | Georgia calls all $1 million of series 2002E, 2002F FSA program G.O.s
|
10/22/2012 | IGLM | Equity One to redeem $250 million senior notes via offering proceeds
|
10/22/2012 | CVLM | National Bank of Abu Dhabi buys back AED 10 million of convertibles
|
10/22/2012 | HYLM | Melrose subsidiary Elster gets no tenders, will redeem 61/4% notes
|
10/22/2012 | EMLM | Indonesia's Lippo Karawaci sets coupon for new notes in exchange offer
|
10/22/2012 | LMMU | New York Metropolitan Transportation calls $81.02 million of bonds
|
10/19/2012 | EMLM | HSBC Bank Middle East repurchases $500,000 of $149.8 million notes
|
10/19/2012 | CAHYLM | Teck Resources to redeem all outstanding $521.3 million 103/4% notes
|
10/19/2012 | LMMU | Guam Power Authority calls $356.05 million revenue bonds series in full
|
10/19/2012 | HYLM | SunGard Data begins tender offer for $1 billion 101/4% notes due 2015
|
10/19/2012 | LM | Pohjola Bank calls €150 million, £100 million of upper tier 2 notes
|
10/19/2012 | CVLM | Malaysia's DutaLand buys back, cancels some six-year convertibles
|
10/19/2012 | LMMU | Indiana and Michigan Trinity Health Credit bonds have mandatory tender
|
10/19/2012 | HYLM | Targa Resources Partners call $209.08 million 81/4% senior notes in full
|
10/19/2012 | HYIGLM | Delta Air Lines calls remaining $66.27 million 113/4% second-lien notes
|
10/19/2012 | CVLM | Premier Oil offers new 2.5% notes in exchange for 2.875% convertibles
|
10/19/2012 | LMMU | New Orleans calls all $109.16 million taxable pension revenue bonds
|
10/19/2012 | ABLM | Unipol wraps tender offers for asset-backed floaters issued by Atlante
|
10/19/2012 | IGLM | Discover Bank offers cash, notes in swap for $500 million 8.7% notes
|
10/19/2012 | HYIGLM | Owens Corning lifts pricing in tender offer for $350 million of notes
|
10/19/2012 | CVLM | Zions holders convert $4.3 million of 2014, 2015 notes into preferreds
|
10/19/2012 | AGLM | FFCB to redeem $405 million of consolidated systemwide bonds at par
|
10/19/2012 | LMMU | Dasny calls $141.16 million of Long Island College Hospital bonds
|
10/19/2012 | HYLM | Noreco gets waiver, amendments to bonds; shareholder OK still needed
|
10/19/2012 | EMHYLM | Kazakhstan's Zhaikmunai launches cash tender offer for 101/2% notes
|
10/19/2012 | CAHYLM | Garda gives holders until Monday to submit consents for Canadian notes
|
10/19/2012 | LMMU | Dasny calls $87.58 million of mental health services facilities bonds
|
10/19/2012 | HYLM | Reynolds Group calls all $347.51 million of 73/4% senior secured notes
|
10/18/2012 | CVDDEMLM | GTL seeks consents to restructure $228.3 million convertibles due 2012
|
10/18/2012 | IGLM | Nicor Gas seeks consents to remove SEC filing condition under bonds
|
10/18/2012 | DDHYLMPF | Southpaw abandons tender for Syncora preferreds after company warns
|
10/18/2012 | IGLM | Santander USA gets early tenders for 68.4% of 7.908% securities
|
10/18/2012 | EMLM | Oversea-Chinese Banking calls S$225 million 3.78% subordinated notes
|
10/18/2012 | HYLM | Intelsat Jackson completes tender offer for 111/4% notes due 2016
|
10/18/2012 | HYLM | International Wire settles tenders for $574 more 93/4% notes in offer
|
10/18/2012 | ABLM | Claris buys back $31 million of Sonoma Valley floating-rate notes
|
10/18/2012 | HYLM | SunGard Data to buy back 101/4% notes via $500 million notes proceeds
|
10/17/2012 | EMLM | Kazakhstan's Doszhan arranges to buy back some infrastructure bonds
|
10/17/2012 | LMMU | Municipal Electric Authority of Georgia calls $113.78 million of bonds
|
10/17/2012 | AGLM | FFCB plans to redeem $305 million of consolidated systemwide bonds
|
10/17/2012 | HYLM | Edgen calls $26.69 million 121/4% notes remaining after tender offer
|
10/17/2012 | LM | Beazley tenders for £25 million fixed-to-floaters by Dutch auction
|
10/17/2012 | LMMU | New York City Transitional to redeem 1998 series B future tax bonds
|
10/17/2012 | CALM | Penn West Petroleum to pay down credit facilities via dispositions
|
10/17/2012 | HYLM | Eitzen asks 12% noteholders to waive default, allow in-kind interest
|
10/17/2012 | LM | Kalvebod announces call of DKK 340 million secured notes due 2014
|
10/17/2012 | LMMU | Salem, Ore., defeases $39.55 million of 2004 water and sewer bonds
|
10/17/2012 | CVDDLM | Gold Reserve gives 5.5% noteholders more time in restructuring offer
|
10/17/2012 | HYLM | Northern Tier Energy tenders for 101/2% senior secured notes due 2017
|
10/17/2012 | LM | NYSE Euronext holders tender €300,000 more 5.375% notes by offer's end
|
10/17/2012 | LMMU | University of Alabama defeases, sets redemption date for 2004A bonds
|
10/17/2012 | CVLM | Euronet Worldwide buys $167.8 million convertibles put back to company
|
10/17/2012 | HYLM | WMG begins separate cash tender offers for two series of 91/2% notes
|
10/17/2012 | HYIGLM | Owens Corning tenders for up to $350 million of 61/2% notes, 9% notes
|
10/17/2012 | DDHYLM | Syncora evaluating unsolicited tender offer for fixed/floating preferreds
|
10/17/2012 | LMMU | California authority calls $164.86 million of Republic Services bonds
|
10/17/2012 | HYLM | BWAY tenders, seeks consents for 10 1/8%/10 7/8% PIK notes due 2015
|
10/16/2012 | AGLM | FFCB to redeem $165 million of its consolidated systemwide bonds
|
10/16/2012 | LMMU | Denver announces mandatory tender for Department of Aviation bonds
|
10/16/2012 | HYLM | Cheniere Energy unit Sabine gets tenders for 97% of 71/4% notes so far
|
10/16/2012 | EMHYLM | Singapore's Altus redeems, cancels all $184.98 million 12 7/8% notes
|
10/16/2012 | LMMU | South Carolina authority calls $29.15 million industrial revenue bonds
|
10/16/2012 | CAHYLM | Garda amends indenture for one note series, extends deadline for other
|
10/16/2012 | LMMU | Denver calls $10.05 million series 1998A Department of Aviation bonds
|
10/16/2012 | HYLM | Neenah Paper announces redemption of $58 million of notes due 2014
|
10/16/2012 | EMLM | Malaysia's LBS Bina Group redeems tranche 1 and tranche 3 sukuk
|
10/16/2012 | LMMU | Utah Transit Authority calls $145.65 million sales tax revenue bonds
|
10/16/2012 | CALM | Bank of Canada buys back C$500 million of bonds in repurchase auction
|
10/16/2012 | LMMU | Maryland Health and Higher Education redeems series 1998 revenue bonds
|
10/16/2012 | HYLM | Tenet gets tenders for $160.79 million 7 3/8% notes by early deadline
|
10/16/2012 | LM | Yorkshire Building Society launches separate tender offers for notes
|
10/16/2012 | LMMU | Wisconsin HEFA calls $600,000 series 2003 SynergyHealth revenue bonds
|
10/16/2012 | CVLM | Forest City to issue stock, pay cash in exchange for $133.7 million convertible preferreds
|
10/16/2012 | LMMU | Massachusetts HEFA calls $35,000 of Catholic Health East revenue bonds
|
10/16/2012 | HYLM | TransUnion Holding solicits consents for 9 5/8%/10 3/8% toggle notes
|
10/16/2012 | HYIGLM | Delta Air Lines reports early tender results for 91/2% notes, 113/4% notes
|
10/16/2012 | LMPF | Urstadt Biddle to redeem preferred stock via series F sale proceeds
|
10/16/2012 | CVLM | India's Welspun plans tender offer for 4.5% convertibles due 2014
|
10/16/2012 | LMMU | Metropolitan Transportation Authority, N.Y., calls $1.74 billion bonds
|
10/16/2012 | LMMU | Battery Park City Authority, N.Y., calls $1.38 million 2003C-2 bonds
|
10/16/2012 | HYLM | Basic Energy gets tenders, consents for $217.3 million of 7 1/8% notes; remainder called
|
10/16/2012 | LMSP | UBS seeks consents to amend Etracs on UBS Bloomberg commodity
|
10/16/2012 | CVLM | Swiber holders put $64.4 million of 5% convertible bonds due 2014
|
10/16/2012 | LMMU | Oregon Department of Transportation calls $139.8 million revenue bonds
|
10/15/2012 | EMLM | Indonesia's Lippo Karawaci begins offers to amend, exchange 2015 notes
|
10/15/2012 | BKHYLM | Lions Gate gets holder consents to lift borrowing cap under revolver
|
10/15/2012 | LMMU | New York City Transitional calls $203.83 million future tax bonds
|
10/15/2012 | IGLM | ADM accepts all tendered notes in oversubscribed exchange offers
|
10/15/2012 | HYLM | BWAY unit secures OK to waive change-of-control offer under 10% notes
|
10/15/2012 | CVLM | CapitaCommercial wraps clean-up call for remaining 2% convertibles
|
10/15/2012 | LMMU | Pennsylvania calls $15.7 million of Allegheny Delaware Valley bonds
|
10/15/2012 | IGLM | BVPS II Funding calls $12.09 million from bond issues due June 2017
|
10/15/2012 | HYLM | Edgen marks early tenders and consents for 94.26% of 121/4% notes
|
10/15/2012 | LMMU | Regional Airports calls $69.09 million of Los Angeles Airport bonds
|
10/15/2012 | CVLM | Fufeng buys back RMB 96 million of 4.5% convertible bonds due 2015
|
10/15/2012 | IGLM | Santander USA corrects early tender date for 7.908% securities
|
10/15/2012 | HYLM | Gray Television to redeem all $142.4 million of 101/2% notes due 2015
|
10/15/2012 | LMMU | Texas calls $1.21 million series 2011A variable-rate veterans bonds
|
10/15/2012 | EMHYLM | China Oriental offers to repurchase up to $100 million 7%, 8% notes
|
10/15/2012 | AGIGLM | Tennessee Valley Authority calls its 2008 5.25% electronotes due 2028
|
10/15/2012 | LMMU | Colorado Health Facilities calls $2 million of Christian Living bonds
|
10/15/2012 | HYLM | Reynolds Group units accept tenders for 69.11% of 73/4% secured notes
|
10/15/2012 | LMMU | Wisconsin HEFA calls $7.75 million Froedtert & Community Health bonds
|
10/15/2012 | EMIGLM | Gazprom repurchases $1.5 million 7.201% asset-backed notes due 2020
|
10/15/2012 | AGLM | FFCB plans to redeem $70 million of consolidated systemwide bonds
|
10/15/2012 | LMMU | Las Vegas Valley Water calls $81.99 million of 2003A G.O. bonds
|
10/15/2012 | HYLM | Vantage unit gets consents to amend 111/2% notes in oversubscribed offer
|
10/12/2012 | HYLM | Melrose subsidiary amends, offers make-whole price for 61/4% notes
|
10/12/2012 | HYLM | Berry Plastics calls $454.56 million of 11% senior subordinated notes
|
10/12/2012 | CALM | Postmedia to redeem senior secured notes due 2017 via property sale
|
10/12/2012 | LMMU | Massachusetts HEFA calls $6.22 million of O-1 pool loan program bonds
|
10/12/2012 | HYLM | Oceanteam to exercise call option on its OPU01 RET bond loan Nov. 23
|
10/12/2012 | HYLM | Bristow gets tenders for $337.93 million 71/2% notes due 2017 to date
|
10/12/2012 | CVDDLM | Everest Kanto decides to repay 0% convertibles at original maturity
|
10/12/2012 | LMMU | Metropolitan Water Reclamation District of Greater Chicago calls bonds
|
10/12/2012 | HYLM | ViaSat gets tenders for $262.1 million 8 7/8% notes, amends indenture
|
10/12/2012 | HYLM | Cablevision wraps offer, gets no more tenders since early deadline
|
10/12/2012 | CVLM | Alpha Natural gets tenders for 18.58% of Appalachia 3.25% convertibles
|
10/12/2012 | LMMU | South Carolina Jobs calls $67.48 million of Bon Secours Health bonds
|
10/12/2012 | LMMU | Clark County School District, Nev., defeases four G.O. bond series
|
10/12/2012 | HYLM | International Power unit holders tender 95.9% of 71/4% notes due 2017
|
10/12/2012 | CVLM | Network Equipment holders tender $8.12 million 3.75% convertibles
|
10/12/2012 | LMMU | Denver's $104.66 million of 2009C airport bonds have mandatory tender
|
10/12/2012 | HYLM | LBI updates payout, extends exchange offers; tenders still unchanged
|
10/12/2012 | CVLM | Realogy Group calls outstanding 11% convertible note series in full
|
10/12/2012 | AGLM | FFCB to redeem $320 million of consolidated systemwide bonds at par
|
10/12/2012 | LMMU | Illinois Educational announces mandatory tender on $10.7 million bonds
|
10/11/2012 | LMMU | Mission, Texas, bonds for Republic Services have mandatory tender
|
10/11/2012 | HYLM | Pep Boys to redeem all of its 71/2% senior subordinated notes due 2014
|
10/11/2012 | CVLM | New Gold stock price allows redemption of 5% convertibles Nov. 20
|
10/11/2012 | LMMU | Nebraska Public Power calls $70.82 million of general revenue bonds
|
10/11/2012 | HYLM | SandRidge announces $20.1 million redemption of floaters due 2014
|
10/11/2012 | CVLM | Royal Host to seek approval to amend terms of 6.25% convertibles
|
10/11/2012 | LMMU | New York City Transitional revises outstanding bond amount on call
|
10/11/2012 | IGLM | Alltel Georgia calls $10 million of 6.5% debentures due 2013 at par
|
10/11/2012 | CVLM | Steinhoff buys back another ZAR 203.8 million 5.7% convertible bonds
|
10/11/2012 | AGLM | FFCB to redeem $330 million of its consolidated systemwide bonds
|
10/11/2012 | LMMU | North Carolina calls $86.99 million Wake Forest University Health bonds
|
10/11/2012 | LMMU | Bay Area Infrastructure calls $121 million payment acceleration notes
|
10/11/2012 | EMIGLM | Bancolombia accepts for exchange $200.49 million of 6.875% notes
|
10/11/2012 | LMPF | Servis First calls 8.5% trust preferred securities
|
10/11/2012 | CVDDLM | Suzlon Energy fails to garner support for extension of convertibles
|
10/11/2012 | LMMU | Kentucky Asset/Liability Commission to redeem $5.81 million of notes
|
10/11/2012 | LM | BBVA begins tender offer for lower tier 2 securities via Dutch action
|
10/11/2012 | CVLM | Citycon buys back €1.45 million of convertible capital bonds due 2013
|
10/10/2012 | LMMU | Western Minnesota Municipal Power defeases $56.98 million of bonds
|
10/10/2012 | LMMU | Idaho Health calls $150 million of 2009A & B St. Luke's Health bonds
|
10/10/2012 | HYLM | SGS International extends tender offer for 12% notes by another week
|
10/10/2012 | CAHYLM | Brookfield Asset Management sets 109.974 price to redeem 8.95% notes
|
10/10/2012 | LMPF | Genie Energy holders tender 7.5% of class B shares in exchange offer
|
10/10/2012 | LMMU | New York Municipal to redeem all $330.52 million 2003 series C bonds
|
10/10/2012 | HYLM | Virgin Media begins tender offers for 91/2%, 8 3/8%, 8 7/8% notes
|
10/10/2012 | EMLM | Thailand's G Steel repurchases $47.18 million of 3% notes due 2015
|
10/10/2012 | LMPF | New America fund calls all series A, B, C, D auction term preferreds
|
10/10/2012 | LMMU | Omaha Public Power defeases $232.92 million of electric system bonds
|
10/10/2012 | IGLM | Montpelier Re to redeem $228.01 million of 6.125% notes on Nov. 5
|
10/10/2012 | HYLM | Endeavour to redeem 12% notes due 2014 using new offer proceeds
|
10/10/2012 | LMMU | Regional Transportation District, Colo., calls $93.73 million of bonds
|
10/10/2012 | IGLM | National Rural accepts $339.73 million of 8% notes in Dutch exchange
|
10/10/2012 | HYLM | HD Supply discloses redemption amount and price for 131/2% notes
|
10/10/2012 | LMMU | South Jersey Transportation calls $87.8 million system revenue bonds
|
10/10/2012 | IGLM | Reed Elsevier launches exchange offer for 7.75% notes, 8.625% notes
|
10/10/2012 | HYLM | Novelis to redeem all $74 million of its 71/4% senior notes due 2015
|
10/9/2012 | LMPF | Royce trusts call 5.9%, 6% cumulative preferred stock in full
|
10/9/2012 | HYLM | Lakeland Bancorp redeems $25.77 million of 7.535% securities due 2034
|
10/9/2012 | LMMU | Massachusetts plans to redeem all $19.46 million of its 5.25% bonds
|
10/9/2012 | HYLM | Casella Waste Systems gets enough tenders, consents to amend 11% notes
|
10/9/2012 | CVLM | Majority of Massey Energy 3.25% convertible noteholders dispute Alpha Natural tender offer
|
10/9/2012 | IGLM | Argo Group calls $15.46 million junior subordinated debt securities
|
10/9/2012 | ABLM | Banco Santander Totta accepts €6.55 million floaters for exchange
|
10/9/2012 | HYLM | Lamar Media calls $66.1 million of series B, C subordinated notes
|
10/9/2012 | LMMU | Michigan hospital authority calls $2.38 million McLaren Health bonds
|
10/9/2012 | HYLM | Elan units get tenders, consents to amend two series of 83/4% notes
|
10/9/2012 | DDHYLM | Fairstar seeks OK to waive put option, covenant defaults; meeting set
|
10/9/2012 | IGLMPF | CBL to redeem 7.75% series C cumulative preferreds Nov. 5
|
10/9/2012 | ABLM | Metrix Funding calls six classes of floating-rate notes due 2019
|
10/9/2012 | HYLM | Manitowoc calls $150 million 7 1/8% senior notes for full redemption
|
10/9/2012 | LMMU | New York Transitional Finance defeases $9.61 million of 2004 C bonds
|
10/9/2012 | HYLM | Gray Television accepts tenders for $222.6 million 101/2% notes so far
|
10/9/2012 | EMHYLM | Singapore's Altus accepts tenders; holders vote to amend 12 7/8% notes
|
10/9/2012 | LMMU | Birmingham, Ala., to redeem $61.3 million of series 2002B G.O. bonds
|
10/9/2012 | AGLM | FFCB to redeem $613 million of its consolidated systemwide bonds
|
10/9/2012 | HYLM | Rentokil Initial announces repurchase of £75 million floaters due 2033
|
10/9/2012 | LMMU | Texas calls $1.42 million of 2000A water financial assistance bonds
|
10/9/2012 | HYLM | HD Supply plans to redeem some 131/2% notes with note offering proceeds
|
10/9/2012 | LM | Standard Chartered begins tender offer for £150 million floaters
|
10/9/2012 | LMMU | Connecticut to redeem $71.38 million of series 2002C G.O. bonds
|
10/9/2012 | CVDDLM | Everest Kanto explores alternatives for bonds after meeting adjourned
|
10/9/2012 | HYLM | Ryerson gives early tender results for floaters, 12% and 141/2% notes
|
10/9/2012 | LMMU | United Methodist Village Retirement, Ill., again extends tender offer
|
10/9/2012 | HYLM | International Wire calls $149.17 million of 93/4% and 111/2% notes
|
10/9/2012 | HYLM | CVR tenders, seeks consents for Coffeyville's $447.05 million 9% notes
|
10/9/2012 | LMMU | Jacksonville, Fla., announces mandatory tender on $1.31 million bonds
|
10/9/2012 | CVLM | ASM International calls all €150 million of 6.5% convertibles at par
|
10/9/2012 | IGLM | Alabama Power to redeem 6% senior insured monthly notes via offering
|
10/5/2012 | LMMU | Connecticut announces plans to redeem all 2002 D bonds on Nov. 15
|
10/5/2012 | HYIGLMPF | Entertainment Properties calls remaining 7.375% series D preferreds
|
10/5/2012 | HYLM | BWAY unit seeks OK to waive change-of-control offer under 10% notes
|
10/5/2012 | HYLM | Biomet calls $908.48 million of 10%, 11 5/8% notes following tender
|
10/5/2012 | HYLM | LBI once more extends exchange offers; tenders unchanged
|
10/5/2012 | AGLM | FFCB to redeem $102 million of consolidated systemwide bonds at par
|
10/5/2012 | IGLM | Westfield Group units price tender offer for 5.125% notes, 7.5% notes
|
10/5/2012 | BKHYLM | Lions Gate asks noteholders to allow it to borrow more under revolver
|
10/4/2012 | ABLM | Unipol Banca launches Dutch auction tender for asset-backed floaters
|
10/4/2012 | LMMU | California defeases, plans redemptions for general obligation bonds
|
10/4/2012 | HYLM | Manitowoc to redeem $150 million 7 1/8% senior notes via new offering
|
10/4/2012 | LMMU | San Francisco Bay Area Rapid Transit defeases sales tax revenue bonds
|
10/4/2012 | EMLM | Philippines' BDO Unibank to redeem all series 1 tier 2 notes Nov. 21
|
10/4/2012 | LMMU | Connecticut to redeem $71.38 million of 2002 series E bonds on Nov. 15
|
10/4/2012 | AGLM | FFCB to redeem $841.03 million of consolidated systemwide bonds
|
10/4/2012 | IGLM | Westfield Group units get tenders for $286.94 million of notes so far
|
10/4/2012 | LMMU | Suffolk County Water, N.Y., calls all $70 million variable-rate notes
|
10/4/2012 | LM | Statoil Fuel & Retail repurchases NOK 100 million floating-rate notes
|
10/4/2012 | LMMU | Florida defeases $44.77 million series 2001I board of education bonds
|
10/4/2012 | CAHYLM | Garda seeks to amend 'change-of-control' definition under 93/4% notes
|
10/4/2012 | IGLMPF | Bank of America to redeem $5.13 billion trust securities in November
|
10/4/2012 | LMMU | Texas Water Development calls $2.15 million state revolving fund bonds
|
10/4/2012 | HYLM | American Axle announces full $111.41 million redemption of notes
|
10/4/2012 | LMMU | Louisiana Public Facilities defeases Franciscan Missionaries bonds
|
10/4/2012 | CAHYLM | Quebecor Media announces call for $320 million of 73/4% notes due 2016
|
10/4/2012 | IGLMPF | Entertainment Properties to redeem 7.375% preferreds via new offering
|
10/4/2012 | HYLM | Glatfelter calls all $47.72 million 7 1/8% senior notes due 2016
|
10/4/2012 | LMMU | North Carolina Eastern Municipal defeases two power system bond series
|
10/4/2012 | CVLM | Energy XXI issues common shares in exchange for 5.625% convertibles
|
10/4/2012 | IGLMPF | Gabelli Equity announces redemption of outstanding series F preferreds
|
10/4/2012 | HYLM | MRC Global to redeem all 91/2% senior notes via new credit facility
|
10/4/2012 | LMMU | Port of Seattle industrial development calls $64.3 million of bonds
|
10/4/2012 | EMHYLM | China's Lonking holders tender only $13.44 million of 81/2% notes
|
10/3/2012 | AGLM | FFCB to redeem $489 million of consolidated systemwide bonds at par
|
10/3/2012 | LMMU | California authorities call $260 million of series A & B Kaiser bonds
|
10/3/2012 | HYLM | Intelsat Jackson gets enough tenders to amend 111/4% note indenture
|
10/3/2012 | CVLM | Student Transportation to redeem C$20.63 million of 7.5% convertibles
|
10/3/2012 | LMMU | Columbus, Ohio, calls $56.4 two series of various unlimited tax bonds
|
10/3/2012 | HYLM | TriMas gets tenders for 88.3% of notes, enough to release collateral
|
10/3/2012 | CVLM | Suzlon Energy offers incentive fee for extension of convertibles
|
10/3/2012 | LMMU | North Carolina Medical announces full redemption of FirstHealth bonds
|
10/3/2012 | HYLM | Universal City calls full $406.25 million of 8 7/8%, 10 7/8% notes
|
10/3/2012 | DDLM | Noreco seeks waiver and consent from holders of four bond series
|
10/3/2012 | LMMU | Philadelphia calls all $65.01 million water, wastewater revenue bonds
|
10/3/2012 | IGLM | Nelnet to redeem in full Student Loan Trust 2003-1 notes on Oct. 25
|
10/3/2012 | HYLM | General Cable to redeem $200 million 7 1/8% senior notes at 103.563
|
10/3/2012 | LMMU | Port of Oakland, Calif., calls $177.79 million of revenue bonds
|
10/3/2012 | IGLMPF | Willis Lease Finance calls all 9% series A preferreds for redemption
|
10/3/2012 | HYLM | Glatfelter gets enough tenders, 76%, to amend 7 1/8% notes due 2016
|
10/2/2012 | LM | Bank of Ireland announces €760 million buyback from two note series
|
10/2/2012 | LMMU | Minnesota calls $46.03 million various purpose and trunk highway bonds
|
10/2/2012 | IGLM | Montpelier to redeem 6.125% notes with funds from new senior notes
|
10/2/2012 | HYIGLM | CenturyLink subsidiary Qwest cancels tender offer for 7.125% notes
|
10/2/2012 | LMMU | New Jersey Economic Development calls $16.84 million 2005A, B bonds
|
10/2/2012 | AGLM | FFCB to redeem $575.41 million of its consolidated systemwide bonds
|
10/2/2012 | LMMU | California defeases $32.81 million of its 2003B health facility bonds
|
10/2/2012 | HYLM | CNO gets no more tenders in offer, issues make-whole call for 9% notes
|
10/2/2012 | LMMU | Omaha Public Power District calls $110.7 million 2002B revenue bonds
|
10/2/2012 | CVLM | CapitaMall buys back, cancels S$105.75 million of 1% convertibles
|
10/2/2012 | LMMU | Colorado Springs, Colo., defeases four series of its hospital bonds
|
10/2/2012 | HYLM | Hovnanian extends tender offer for 10 5/8% notes, gets wanted consents
|
10/2/2012 | LMMU | Port of Seattle calls $30.81 million 2001D revenue refunding bonds
|
10/2/2012 | CVLM | tw to use note proceeds to settle conversions of or redeem convertibles
|
10/2/2012 | LMMU | Jacksonville Port Authority, Fla., revenue bonds have mandatory tender
|
10/2/2012 | HYLM | TriMas sets price it will pay for 93/4% notes due 2017 in tender offer
|
10/2/2012 | LMMU | Sacramento City Financing calls $9.86 million revenue refunding bonds
|
10/2/2012 | IGLM | NYSE Euronext gives pricing, early results of offer for 5.375% notes
|
10/2/2012 | LMMU | Massachusetts HEFA calls $1.9 million Amherst College revenue bonds
|
10/2/2012 | HYLM | Vantage Drilling subsidiary tenders for $1 billion 111/2% notes due 2015
|
10/1/2012 | HYLM | Elan to redeem all $624.5 million of senior notes due 2016 on Oct 31
|
10/1/2012 | HYIGLM | CenturyLink subsidiary Qwest tenders for $800 million 7.125% notes
|
10/1/2012 | LMMU | United Methodist Village Retirement, Ill., extends tender offer
|
10/1/2012 | LMMU | Colorado Springs, Colo., calls $3.53 million utilities system bonds
|
10/1/2012 | HYLM | SGS International gets early tenders for 68.18% of 12% notes due 2013
|
10/1/2012 | HYLM | Basic Energy tenders, seeks consents for $225 million of 7 1/8% notes
|
10/1/2012 | AGLM | FFCB to redeem $120 million of consolidated systemwide bonds at par
|
10/1/2012 | LMMU | Dallas-Forth Worth International Airport calls bonds from two series
|
10/1/2012 | IGLM | DTE Energy to redeem $6.04 million of secured bonds due 2024
|
10/1/2012 | HYLM | CVR Refining to buy back Coffeyville 10 7/8% notes via stock proceeds
|
10/1/2012 | CVDDHYLM | Orco Property to issue €73.05 million of new notes in exchange offer
|
10/1/2012 | LMMU | Delaware authority calls $14.78 million 2007B Peninsula United bonds
|
10/1/2012 | IGLMPF | Argo Group calls $103.09 million 8.85% PXRE Capital Trust I securities
|
10/1/2012 | HYLM | Cheniere Energy announces tender offer for Sabine Pass LNG's 71/4% notes
|
10/1/2012 | CVLM | Weingarten Realty plans to retire 3.95% convertibles via note proceeds
|
10/1/2012 | LMMU | New York City Transitional calls $99.85 million of future tax bonds
|
10/1/2012 | IGLMPF | Central Maine Power owner begins tender offer for 6% preferreds
|
10/1/2012 | HYLM | Edgen tenders for 121/4% notes in refinancing, seeks OK to amend terms
|
10/1/2012 | EMLM | Thailand's G Steel buys back $18.87 million of 3% bonds due 2015
|
10/1/2012 | LMMU | South Carolina authority calls $29.15 million Electronic & Gas bonds
|
10/1/2012 | LMMU | Chicago calls $10.2 million second-lien water revenue refunding bonds
|
9/28/2012 | EMLM | Kazakhstan's Doszhan buys no infrastructure bonds at Friday auction
|
9/28/2012 | LMMU | Port of Oakland to defease $463.82 million from three bond series
|
9/28/2012 | LMMU | California public works defeases $114 million UCLA Replacement bonds
|
9/28/2012 | HYLM | Tesoro gets needed consents to amend 6 5/8% notes and 61/2% notes
|
9/28/2012 | LM | BBVA to tender for Unnim Banc preferreds, subordinated debt at 95
|
9/28/2012 | ABLM | Dryden V Leveraged Loan calls $321 million of notes due December 2015
|
9/28/2012 | LMMU | Fauquier County, Va., plans to redeem some 2002 hospital revenue bonds
|
9/28/2012 | IGLM | ADM holders tender $566.64 million notes for exchange; pricing set
|
9/28/2012 | HYLM | LBI further extends exchange offers; tenders unchanged
|
9/28/2012 | AGLM | FFCB to redeem $637 million of consolidated systemwide bonds at par
|
9/28/2012 | LMMU | Missouri calls fourth state building, water pollution control bonds
|
9/28/2012 | IGLM | Black Hills to redeem $225 million of 6.5% senior unsecured notes
|
9/28/2012 | HYLM | Prime Group accepts owner's offer to buy remainder of 9% preferreds
|
9/28/2012 | CALM | Toronto-Dominion Bank calls all C$2.5 billion 5.382% debentures
|
9/28/2012 | LMMU | Ohio calls $103.79 million of series 2002B higher education G.O. bonds
|
9/28/2012 | IGLM | NYSE Euronext prices offer for 4.8% notes, gets tenders for 44.7%
|
9/28/2012 | HYLM | Reynolds Group units get tenders for $777.49 million 73/4% notes so far
|
9/28/2012 | CVLM | CapLease holders put back $15.8 million 7.5% convertibles due 2027
|
9/28/2012 | LMMU | Port Authority of New York and New Jersey calls $250 million of bonds
|
9/28/2012 | LMMU | California State University calls $137.19 million of systemwide bonds
|
9/28/2012 | HYLM | SGS International again extends consent date for 12% notes due 2013
|
9/27/2012 | HYLM | Lender Processing Services begins tender offer for 8 1/8% notes
|
9/27/2012 | EMLM | Israel's Alon units buy back NIS 1.15 million series C debentures
|
9/27/2012 | LMMUPF | DWS municipal funds announce tender offers for outstanding preferreds
|
9/27/2012 | LMMU | Colorado Springs, Colo., defeases $130.26 million utilities system bonds
|
9/27/2012 | HYLM | Penske redeems $57.3 million 73/4% senior subordinated notes due 2016
|
9/27/2012 | LM | Finmeccanica announces buyback of €12 million 8.125% notes due 2013
|
9/27/2012 | LMMU | Episcopal Communities mulls California Health Facilities redemption
|
9/27/2012 | AGLM | FFCB to redeem $100 million of its consolidated systemwide bonds
|
9/27/2012 | HYLM | Qwest Communications calls $550 million 8% senior notes in full at 104
|
9/27/2012 | LM | Statoil holders exercise put option on NOK 1.36 billion of bonds
|
9/27/2012 | LMMU | Kansas Development Finance calls water pollution control revenue bonds
|
9/27/2012 | CVHYLM | Tempur-Pedic to assume outstanding Sealy debt in merger agreement
|
9/27/2012 | HYLM | ViaSat begins tender offer for $275 million 8 7/8% notes due 2016
|
9/27/2012 | HYLM | Bristow tenders, seeks consents for $350 million 71/2% notes due 2017
|
9/27/2012 | LMMU | Minnesota calls $138.25 million in full G.O. bond series redemption
|
9/27/2012 | CVLM | Alpha Natural tenders for some Alpha Appalachia 3.25% convertibles
|
9/27/2012 | IGLM | NBCUniversal Media subsidiaries call 8.875% notes and 10.875% notes
|
9/27/2012 | HYLM | Cablevision gives early tender results for 81/2% notes due 2015, 2014
|
9/27/2012 | LMMU | San Francisco Public Utilities calls 129.3 million water revenue bonds
|
9/27/2012 | CVLM | Lion Diversified arranges bondholder meeting to amend 6% exchangeables
|
9/27/2012 | IGLMPF | CBL to redeem all series C preferreds, may pay down lines of credit
|
9/26/2012 | HYLM | International Power Finance prices tender offer for 71/4% notes due 2017
|
9/26/2012 | LMPPPV | Taylor Capital unit to prepay all outstanding 10% subordinated notes
|
9/26/2012 | HYLM | Phoenix Life Insurance buys back $48.3 million of 7.15% surplus notes
|
9/26/2012 | HYLM | Simmons Bedding gets early tenders for $260.1 million 111/4% notes
|
9/26/2012 | AGLM | FFCB to redeem $310 million of consolidated systemwide bonds at par
|
9/26/2012 | IGLM | Lloyds, Bank of Scotland report tender results for seven dollar series
|
9/26/2012 | CALM | Scotiabank Subordinated Notes Trust calls all 5.25% series A notes
|
9/26/2012 | IGLM | Lloyds, Bank of Scotland give results in offers for 25 series of notes
|
9/26/2012 | EMLM | Russia's LSR Group buys back RUB 239.87 million interest-bearing bonds
|
9/26/2012 | LMMU | Jacksonville Port Authority defeases $65.02 million of revenue bonds
|
9/25/2012 | CVHYLM | General Cable to redeem 7 1/8% notes, may tender for 7/8% convertibles
|
9/25/2012 | LMMU | Connecticut HEFA adds to full series E university system bond call
|
9/25/2012 | HYLM | Ryerson tenders and solicits consents for three note series
|
9/25/2012 | CVLM | Energy XXI issues common stock in exchange for convertible preferreds
|
9/25/2012 | LMMU | Philadelphia calls $182.5 million of water & wastewater revenue bonds
|
9/25/2012 | HYLM | Ryerson to repay 141/2%, 12% notes, floaters with new note proceeds
|
9/25/2012 | CVLM | Extendicare plans to redeem all 7.25% convertibles due 2013 on Oct. 29
|
9/25/2012 | HYLM | SGS extends consent date for 12% notes, meets minimum tender condition
|
9/25/2012 | CVLM | Gome Electrical holders put RMB 2.36 billion 3% convertible bonds
|
9/25/2012 | AGLM | FFCB to redeem $563 million of its consolidated systemwide bonds
|
9/25/2012 | IGLM | Lloyds, Bank of Scotland price tender offer for seven series of notes
|
9/25/2012 | EMLM | Korea's Busan Bank calls $250 million 6% lower tier 2 notes due 2017
|
9/25/2012 | CVDDLM | SkyePharma gets holder approval to amend convertibles, delay put dates
|
9/25/2012 | IGLM | National Rural sets reference yield for exchange offer for 8% notes
|
9/25/2012 | HYLM | PDC Energy to redeem 12% senior notes with funds from new offering
|
9/24/2012 | HYLM | NRG Energy calls remaining 7 3/8% notes due 2017 for full redemption
|
9/24/2012 | LMMU | Reno, Nev., defeases 2007A Catholic Healthcare West revenue bonds
|
9/24/2012 | LM | Suncorp-Metway announces planned redemption of £325 million notes
|
9/24/2012 | IGLM | Westfield Group units tender for $300 million of two note series
|
9/24/2012 | AGLM | FFCB to redeem $547 million of consolidated systemwide bonds at par
|
9/24/2012 | HYLM | Obrascon Huarte Lain holders of three note series approve resolutions
|
9/24/2012 | LMMU | San Francisco Bay Area Rapid Transit calls series 2001 bonds in full
|
9/24/2012 | HYLM | Casella Waste Systems tenders and solicits consents for 11% notes
|
9/24/2012 | IGLMPF | Torchmark to redeem all $120 million 7.1% trust preferreds on Oct. 24
|
9/24/2012 | CAHYLM | Sherritt sets redemption price for C$225 million of 81/4% series B notes
|
9/24/2012 | HYLM | Ply Gem Industries to redeem 13 1/8% senior subordinated notes
|
9/24/2012 | LMMU | United Methodist Village Retirement, Ill., extends tender offer
|
9/24/2012 | HYLM | Elan subsidiaries tender, seek consents for two series of 83/4% notes
|
9/24/2012 | LMMU | Connecticut HEFA calls all series E university system bonds at par
|
9/24/2012 | CVLM | JA Solar Holdings buys back $89.2 million of 4.5% convertibles
|
9/24/2012 | HYLM | Tesoro redeems outstanding $299 million 61/4% notes via notes proceeds
|
9/24/2012 | HYLM | Gray Television tenders for up to $268.5 million 101/2% notes due 2015
|
9/24/2012 | LMMU | Dallas calls four series of FSA program water and sewer bonds in full
|
9/24/2012 | EMIGLM | Bancolombia extends early participation deadline of exchange offer
|
9/24/2012 | IGLM | Kraft Foods redeems its $800 million floating-rate notes due 2013
|
9/24/2012 | HYLM | Jacobs Entertainment tenders for $210 million 93/4% notes due 2014
|
9/24/2012 | LMMU | Michigan State Hospital calls $2.51 million Henry Ford bonds in full
|
9/24/2012 | LM | Bank of Ireland buys back another €250 million of series 703 notes
|
9/24/2012 | IGLM | National Rural ups exchange cap in offer for 8% notes due 2032
|
9/24/2012 | ABLM | UniCredit extends Dutch auction tender offer for four series of bonds
|
9/21/2012 | HYLM | NRG Energy gets enough consents to amend 7 3/8% notes due 2017
|
9/21/2012 | LMMU | Minneapolis calls $200.06 million Allina Health System revenue bonds
|
9/21/2012 | AGLM | FFCB to redeem $285 million of consolidated systemwide bonds at par
|
9/21/2012 | LMMU | New Jersey Turnpike defeases $1.36 billion of six revenue bonds series
|
9/21/2012 | CVDDLM | Lakeview Hotel REIT gets holder consents to amend 8.5% convertibles
|
9/21/2012 | LMMU | North Carolina Medical defeases $128.42 million of Cape Fear bonds
|
9/21/2012 | LM | Bank of Ireland buys back portions of series 703,705 Euribor notes
|
9/21/2012 | LMMU | Seminole Tribe of Florida calls $74 million capital trust agency bonds
|
9/21/2012 | HYLM | LBI extends private exchange offers once more; tenders unchanged
|
9/20/2012 | EMHYLM | China's Lonking gets tenders for $13.44 million of 81/2% notes so far
|
9/20/2012 | LMMU | USF Financing calls $158.1 million master lease program COPs in full
|
9/20/2012 | IGLM | National Grid sets pricing in tender for up to $300 million 6.3% notes
|
9/20/2012 | EMLM | India's Tata Capital says holders consent to new coupon, call terms
|
9/20/2012 | LMMU | Anaheim Public Financing, Calif., calls $96.21 million of 2002A bonds
|
9/20/2012 | LM | Banco de Sabadell announces €25.3 million preferred share repurchase
|
9/20/2012 | AGLM | FFCB to redeem $547 million of its consolidated systemwide bonds
|
9/20/2012 | LMMU | Dallas Waterworks and Sewer defeases $179.11 million of revenue bonds
|
9/20/2012 | HYLM | Calpine plans to redeem 10% of existing notes via offering proceeds
|
9/20/2012 | CVLM | PMC calls remaining $68.3 million of 2.25% convertible notes at par
|
9/20/2012 | LMMU | Nassau County, N.Y., calls $1.78 million Amsterdam at Harborside bonds
|
9/20/2012 | IGLM | British Telecom announces £2 million buyback of fixed notes due 2016
|
9/20/2012 | CVLM | Steinhoff accepts ZAR 1.26 billion 5.7% convertibles in buyback offer
|
9/20/2012 | LMMU | New Jersey Turnpike calls $458.5 million of three revenue bonds series
|
9/20/2012 | IGLM | Credit Agricole announces $1.07 billion redemption of bonds series
|
9/19/2012 | HYLM | Intelsat Jackson begins tender offer for $603.22 million of 111/4% notes
|
9/19/2012 | LMMU | System Energy note proceeds to fund pollution control bond redemption
|
9/19/2012 | HYLM | Boise Cascade plans to redeem $75 million of its 7 1/8% notes due 2014
|
9/19/2012 | CVLM | Artis to redeem C$10 million of 5% convertible debentures in put option
|
9/19/2012 | LMMU | Lehigh County, Pa., calls all $52.76 million Muhlenberg College bonds
|
9/19/2012 | HYLM | International Wire begins tender offer for $106.03 million 93/4% notes
|
9/19/2012 | LMPF | Genie Energy again extends exchange offer for class B common stock
|
9/19/2012 | HYLM | Cheniere Energy to redeem 71/4% Sabine notes via common unit proceeds
|
9/19/2012 | CVLM | Energy XXI holder agrees to convert $20,500 of 5.625% convertibles
|
9/19/2012 | LMMU | Louisiana Stadium shortens auction period, plans to bid on 2006C bonds
|
9/19/2012 | ABLM | Opera Finance completes redemption of €67.2 million of its notes
|
9/19/2012 | HYLM | TriMas tenders, seeks consents for $200 million of 93/4% notes due 2017
|
9/19/2012 | HYLM | CompuCom tenders for 121/2% senior subordinated notes due 2015
|
9/19/2012 | DDHYLM | Cecon gets approval to make interest payment on 8% bonds in kind
|
9/19/2012 | LMMU | Maricopa County Pollution Control, Ariz., calls $90 million of bonds
|
9/19/2012 | AGLM | FFCB to redeem $785 million of consolidated systemwide bonds at par
|
9/19/2012 | IGLM | Franklin Resources to fund 2% notes redemption with note proceeds
|
9/19/2012 | HYLM | Forest Oil calls $300 million of 81/2% notes for Oct. 19 redemption
|
9/19/2012 | LMMU | Michigan Strategic Fund rescinds $220 million 2008 Van Andel bond call
|
9/19/2012 | EMLM | Jamaica's Digicel marks early tenders for 82% of 9 1/8%/9 7/8% toggle notes, 91% of 8 7/8% notes
|
9/19/2012 | CAHYLM | Sherritt to redeem C$225 million 81/4% debentures with note proceeds
|
9/19/2012 | LMMU | Dasny calls $67.81 million of Kaleida Health hospital revenue bonds
|
9/19/2012 | HYLM | Glatfelter tenders, solicits consents for $200 million of 7 1/8% notes
|
9/19/2012 | LMMU | New York announces expected mandatory tender for five bonds series
|
9/19/2012 | HYLM | Biomet amends 11 5/8% notes tender offer, lifts cap to $800 million
|
9/19/2012 | CVLM | AAR Corp. repurchases $13 million of convertibles during first quarter
|
9/19/2012 | LMMU | King County, Wash., defeases $124.73 million of sewer revenue bonds
|
9/18/2012 | HYLM | American Axle unit accepts tenders for $137.8 million of 51/4% notes
|
9/18/2012 | LMMU | Palm Beach County School Board, Fla., defeases $71.28 million COPs
|
9/18/2012 | IGLM | Lloyds, Bank of Scotland begin tender offers for 25 series of notes
|
9/18/2012 | CVLM | Firstsource may redeem, extend maturity of or exchange convertibles
|
9/18/2012 | HYLM | Hovnanian begins tender offer, consent solicitation for 10 5/8% notes
|
9/18/2012 | AGLM | FFCB to redeem $27 million of consolidated systemwide bonds
|
9/18/2012 | HYLM | Biomet offers to buy back 10% notes, up to $500 million 11 5/8% notes
|
9/18/2012 | LMMU | Southern California transmission project bonds have mandatory tender
|
9/18/2012 | LMMU | Allegheny County, Pa., calls $53.05 million of series C-54 G.O. bonds
|
9/18/2012 | CVLM | International Power receives conversion notices for 4.75% convertibles in response to call
|
9/18/2012 | HYLM | Hub gets enough consents for 9% notes, 101/4% notes to amend indentures
|
9/18/2012 | CAHYLM | Angiotech plans to redeem $40 million, $22,000 of floaters due 2013
|
9/18/2012 | HYLM | CNO gets tenders for 99.6% of 9% notes so far, enough to amend terms
|
9/18/2012 | LMMU | California authority Saint Mary's College bonds have mandatory tender
|
9/18/2012 | CVLM | Sound Global redeems some 6% convertibles with 11 7/8% notes proceeds
|
9/18/2012 | HYLM | Nielsen to fund redemption of 111/2% notes with note offering proceeds
|
9/18/2012 | CVDDLM | Gold Reserve extends restructuring offer to remaining 5.5% noteholders
|
9/18/2012 | HYLM | DCP to pay 1.25% of par for consents received from 103/4% noteholders
|
9/18/2012 | LMMU | Chicago calls $503.35 million of O'Hare International Airport bonds
|
9/18/2012 | EMIGLM | Odebrecht Finance calls $112.84 million of 7.5% senior notes in full
|
9/18/2012 | HYLM | Sotheby's to fund 73/4% senior notes redemption via offering proceeds
|
9/18/2012 | CVDDLM | Suzlon Energy seeks another extension of convertibles' maturity date
|
9/18/2012 | HYLM | Dixons purchases some 6 1/8% notes, 83/4% notes under tender offer
|
9/18/2012 | EMLM | China's Road King to redeem 7 5/8% guaranteed notes in full Sept. 28
|
9/18/2012 | LMMU | Florida Municipal Power Agency calls series 2002 Stanton II bonds
|
9/18/2012 | IGLM | Barclays accepts tenders for $1.45 billion 6.75% notes, 5.125% notes
|
9/18/2012 | CVHYLM | GMX issues $51.5 million of new 9% notes in exchange for convertibles
|
9/18/2012 | HYLM | HanesBrands to redeem remaining $147.06 million of floaters due 2014
|
9/17/2012 | LMMU | Harris County, Texas, calls $9.77 million of Texas Children's bonds
|
9/17/2012 | HYLM | Primus Telecommunications buys back $119.04 million of 10% notes
|
9/17/2012 | CVHYLM | General Cable to refinance 7 1/8% notes and 7/8% convertibles
|
9/17/2012 | LMMU | Illinois Finance to redeem $165.98 million of Hospital Sisters bonds
|
9/17/2012 | IGLM | Barclays sets tender offer pricing for 6.75% notes and 5.125% notes
|
9/17/2012 | CVLM | Everest Kanto seeks bondholder approval for maturity date extension
|
9/17/2012 | LMMU | Massachusetts HEFA calls $84.72 million South Shore Hospital bonds
|
9/17/2012 | IGLM | Citigroup accepts $1.65 billion of notes for purchase in tender offers
|
9/17/2012 | DDHYLM | PagesJaunes Groupe gets holder consent for €350 million 8 7/8% notes
|
9/17/2012 | AGLM | FFCB to redeem $312 million of consolidated systemwide bonds at par
|
9/17/2012 | LMMU | Michigan State Building calls all $149.37 million of series III bonds
|
9/17/2012 | IGLM | RBS wraps tenders for dollar notes, prices offers for remaining series
|
9/17/2012 | EMLM | Russia's LSR plans to purchase 500,000 series 02 bonds via put option
|
9/17/2012 | CVDDEMHYLM | Mexico's Cemex to issue loans, notes in exchange offer with creditors
|
9/17/2012 | LMMU | Tarrant County Cultural Education, Texas, calls $3.9 million of bonds
|
9/17/2012 | LMMU | Colorado Health authority calls $87.51 million hospital revenue bonds
|
9/17/2012 | HYLM | Melrose subsidiary Elster offers to repurchase 61/4% notes due 2018
|
9/17/2012 | CVDDLM | Moser Baer again delays meeting for zero-coupon convertible holders
|
9/17/2012 | LMPF | Torchmark to redeem 7.1% trust originated preferreds via new offering
|
9/14/2012 | LMMU | Harris County Industrial Development calls $54 million Baytank bonds
|
9/14/2012 | CVLM | CapitaCommercial issues cleanup call for remaining 2% convertibles
|
9/14/2012 | IGLM | ADM starts private exchange offer for up to $600 million of debentures
|
9/14/2012 | HYLM | Cablevision subsidiary lifts tender cap for 81/2% notes due 2015, 2014
|
9/14/2012 | LMMU | Jefferson County School District, Colo., defeases $66.8 million bonds
|
9/14/2012 | CVLM | Golden Star Resources redeems $6.13 million of 4% convertibles
|
9/14/2012 | IGLM | NYSE Euronext tenders for 4.8% notes, up to €250 million 5.375% notes
|
9/14/2012 | HYLM | Mediacom Broadband calls remaining $425 million of 81/2% notes due 2015
|
9/14/2012 | LMPF | Cedar Realty calls $15.75 million more 8.875% series A preferreds
|
9/14/2012 | CVLM | Host Hotels & Resorts calls $2 million of 2.625% exchangeables due 2027
|
9/14/2012 | IGLM | RBS prices tender offer for $13.25 billion of dollar-denominated notes
|
9/14/2012 | HYLM | Reynolds Group subsidiaries begin tender for 73/4% notes due 2016
|
9/14/2012 | DDEMHYLM | Brazil's Banco Cruzeiro do Sul to liquidate after tender offer fails
|
9/14/2012 | LMMU | Atlanta calls $8.17 million series 2006 Atlanta Station Project bonds
|
9/14/2012 | AGLM | FFCB to redeem $108 million of its consolidated systemwide bonds
|
9/14/2012 | HYLM | Royal Caribbean Cruises offers to buy back €300 million 5 5/8% notes
|
9/14/2012 | EMHYLM | Mexico's Mexichem gets tenders and consents for 76.32% of 83/4% notes
|
9/14/2012 | LMMU | California Municipal Finance's $127.05 million Republic Services bonds have mandatory tender
|
9/14/2012 | CALM | Great-West to redeem C$350 million series A trust securities Dec. 31
|
9/14/2012 | HYLMPF | Equity LifeStyle calls remaining series A preferreds following tender
|
9/14/2012 | LM | Spar Nord Bank announces Kr. 1.25 billion early redemption of floaters
|
9/13/2012 | HYLM | Tesoro tenders for 6 5/8% notes due 2015, 61/2% notes due 2017
|
9/13/2012 | CVLM | McMoRan Exploration exchanges more than 99% of 5.25% convertibles
|
9/13/2012 | LMMU | North Carolina power agency may redeem bonds via proposed bond sale
|
9/13/2012 | DDEMHYLM | Brazil's Banco Cruzeiro do Sul noteholders get one more day to tender
|
9/13/2012 | ABLM | Fastnet Securities 2 seeks consents to amend mortgage-backed notes
|
9/13/2012 | LMMU | Passaic County, N.J., refunds $53.97 million Preakness Center bonds
|
9/13/2012 | HYLM | Cablevision tenders for 81/2% notes due 2015 and 81/2% notes due 2014
|
9/13/2012 | AGLM | FFCB to redeem $538 million of consolidated systemwide bonds at par
|
9/13/2012 | IGLM | Computer Sciences to redeem $1 billion notes with loan, note proceeds
|
9/13/2012 | CAHYLM | Brookfield Asset Management calls C$350 million of 8.95% notes
|
9/13/2012 | HYLM | L-3 Communications calls all $250 million 6 3/8% notes due 2015
|
9/13/2012 | CVLM | Isis Pharmaceuticals redeems all $162.5 million convertibles due 2027
|
9/12/2012 | LMMU | Osceola County, Fla., calls $60.7 million tourist development bonds
|
9/12/2012 | HYLM | Simmons Bedding tenders for 111/4% notes in connection with merger
|
9/12/2012 | BKHYLM | Forest Oil to draw on credit facility for senior notes buyback
|
9/12/2012 | LMMUPF | MFS funds wrap tenders for auction-rate preferreds, amends bylaws
|
9/12/2012 | IGLM | Infinity Property to redeem 5.5% senior notes via offering proceeds
|
9/12/2012 | CVLM | Golden Ocean Group announces $5.9 million buyback of convertibles
|
9/12/2012 | IGLM | National Rural begins exchange offer for up to $300 million 8% notes
|
9/12/2012 | LM | International Power tenders, seeks consents for 71/4% notes due 2017
|
9/12/2012 | LMMU | East Bay Municipal, Calif., 2009 A-1 bonds have mandatory tender
|
9/12/2012 | HYLM | Mediacom units accepts $23.3 million more 81/2% notes in tender offer
|
9/12/2012 | ABLM | UniCredit tenders for 22 floater series via unmodified Dutch auction
|
9/12/2012 | LMMU | Miami-Dade County, Fla., rescinds call of $50.08 million Airis bonds
|
9/12/2012 | HYLM | SGS tenders for any and all $159.5 million 12% subordinated notes
|
9/12/2012 | AGLM | FFCB to redeem $315 million of its consolidated systemwide bonds
|
9/11/2012 | HYLM | NRG Energy begins tender offer for $1.09 billion 7 3/8% notes due 2017
|
9/11/2012 | EMIGLM | Bancolombia begins exchange offer for subordinated notes due 2017
|
9/11/2012 | IGLM | Astoria Financial calls 5.75% notes for full redemption Sept. 13
|
9/11/2012 | LM | Lloyds TSB Bank executes early repurchase of €60 million, £3,000 notes
|
9/11/2012 | LMMU | Illinois Finance calls $30.95 million from OSF Healthcare bond series
|
9/11/2012 | HYLM | Belden gets no more tenders since consent date, calls remaining notes
|
9/11/2012 | CVLM | CapitaCommercial Trust intends to settle S$126 million tendered 2% convertible bonds Sept. 14
|
9/11/2012 | LMPF | Cedar Realty Trust calls series A cumulative preferred stock at par
|
9/11/2012 | HYLM | DJO Global subsidiary begins tender offer for 10 7/8% notes due 2014
|
9/11/2012 | CVLM | Flexium Interconnect announces cleanup call for 0% convertible bonds
|
9/11/2012 | HYLM | Georgia Gulf calls $50 million of 9% senior secured notes due 2017
|
9/11/2012 | CVLM | GMX lowers minimum condition, extends exchange offer for convertibles
|
9/10/2012 | HYLM | Dixons tenders for £80 million of 6 1/8% notes, £50 million 83/4% notes
|
9/10/2012 | CAHYLM | Resolute Forest to redeem $85 million of 101/4% senior notes due 2018
|
9/10/2012 | LMMU | New Jersey Environmental defeases $81.28 million infrastructure bonds
|
9/10/2012 | HYLM | MRC Global announces $86.7 million third-quarter buyback of 91/2% notes
|
9/10/2012 | CVDDEMHYLM | Mexico's Cemex meets minimum acceptance condition of exchange offer
|
9/10/2012 | LMMU | New York State Energy wins bid on $65 million auction-rate bonds
|
9/10/2012 | HYLM | NRG Energy to repurchase up to $1.09 billion of 7 3/8% notes due 2017
|
9/10/2012 | CVLM | Theolia announces conversion of 200,240 Oceane bonds in August
|
9/10/2012 | ABLM | Bank of Ireland announces full €350 million buy back of series 33 notes
|
9/10/2012 | HYLMPF | Equity LifeStyle holders tender 68% of 8.034% preferreds for exchange
|
9/10/2012 | LM | New South Wales to buy back A$144.23 million exchangeable bonds
|
9/10/2012 | AGLM | FFCB to redeem $60 million of consolidated systemwide bonds at par
|
9/10/2012 | IGLM | Barclays begins tender offers for four series of outstanding notes
|
9/10/2012 | HYLM | Charter Communications calls $678 million of 131/2% notes at 108.522
|
9/10/2012 | BKHYLM | Jacobs to refinance notes and credit facility with new loans, revolver
|
9/10/2012 | IGLMPF | Public Storage calls $247.33 million of series F preferreds at par
|
9/7/2012 | EMLM | Malaysia's Perdana redeems remaining RM 70 million of secured bonds
|
9/7/2012 | CVLM | Energy XXI issues shares in exchange for 5.625% convertible preferreds
|
9/7/2012 | LMMU | North Texas Tollway series 2009D revenue bonds have mandatory tender
|
9/7/2012 | EMLM | Philippines' Metrobank gets OK to call lower tier 2 notes at par
|
9/7/2012 | CVLM | GMX extends exchange offers for 5% and 4.5% convertibles till Monday
|
9/7/2012 | LMMUPF | MFS funds wrap tenders for auction-rate preferreds; others extended
|
9/7/2012 | HYLM | NXP to redeem $199.78 million, €1.44 million of 10% notes due 2013
|
9/7/2012 | CVLM | Human Genome sets 'increase period' for conversion of 3% notes
|
9/7/2012 | HYLM | PHH gets tenders for 82% of 7 1/8% notes, to redeem remainder Sept. 24
|
9/7/2012 | EMHYLM | Mexico's Mexichem tenders, seeks consents for $350 million 83/4% notes
|
9/7/2012 | IGLMPF | BB&T announces redemption of $50 million of trust preferred securities
|
9/7/2012 | EMHYLM | China's Lonking offers to repurchase up to $80 million of 81/2% notes
|
9/7/2012 | AGLM | FFCB to redeem $515 million of consolidated systemwide bonds at par
|
9/7/2012 | LMMU | New Jersey Environmental defeases part of infrastructure bond series
|
9/6/2012 | EMHYLM | Jamaica's Digicel drops tender offer cap for 8 7/8% notes due 2015
|
9/6/2012 | AGLM | FFCB to redeem $175 million of consolidated systemwide bonds
|
9/6/2012 | LMMU | Berks County, Pa., calls all 2008A-1 Reading Hospital revenue bonds
|
9/6/2012 | HYLM | Alliant Techsystems to redeem 63/4% senior subordinated notes due 2016
|
9/6/2012 | CVDDHYLM | Orco Property to issue new notes in exchange offer for six note series
|
9/6/2012 | LMMU | Frederick County, Md., to redeem $53.8 million G.O. bonds in 2015
|
9/6/2012 | HYLM | HealthSouth to redeem 71/4%, 73/4% notes using note offering proceeds
|
9/6/2012 | CVLM | Annaly Capital repurchases $280.7 million of 4% convertibles due 2015
|
9/6/2012 | LMMU | Metropolitan Washington Airports calls revenue bonds from three series
|
9/6/2012 | IGLM | Ameren Missouri holders tender $249.14 million of notes so far
|
9/6/2012 | CVLM | ON Semiconductor holders exchange $99.88 million 2.625% convertibles
|
9/6/2012 | LMMU | Wyandotte County and Kansas City, Kan., defease utility system bonds
|
9/6/2012 | IGLM | National Grid tenders for up to $300 million of 6.3% notes due 2016
|
9/6/2012 | CVLM | conwert Immobilien gets tenders for €71.8 million 1.5% convertibles
|
9/6/2012 | LMMU | Alabama Power calls all $200 million 6% senior insured monthly notes
|
9/5/2012 | DDEMHYLM | Imcopa's consent solicitation payments upheld by English High Court
|
9/5/2012 | AGLM | FFCB to redeem $572 million of consolidated systemwide bonds at par
|
9/5/2012 | IGLMPF | PS Business parks calls all $132.3 million of 6.7% preferred stock
|
9/5/2012 | EMHYLM | Jamaica's Digicel tenders for toggles notes, $245 million 8 7/8% notes
|
9/5/2012 | CVEMHYLM | Central European to repay 3.5% convertibles and floaters due 2015
|
9/5/2012 | IGLMPF | State Street to redeem perpetual preferreds, capital securities on Oct. 4
|
9/5/2012 | EMHYLM | Singapore's Altus Capital tenders, solicits consents for 12 7/8% notes
|
9/5/2012 | CVLM | CapitaCommercial gets tenders to issue cleanup call for convertibles
|
9/5/2012 | LMMU | Connecticut calls all $118.4 million of its 2002 series F G.O. bonds
|
9/5/2012 | HYLM | Catalent Pharma lifts tender offer cap for 91/2%/101/4% PIK-election notes
|
9/5/2012 | CVLM | Extendicare plans to call $91.79 million 7.25% convertibles in full
|
9/5/2012 | LMMU | Montgomery County, Tenn., authority calls $22.5 million of bonds
|
9/5/2012 | HYLM | GEO redeems Municipal Corrections' 8.47% bonds in make-whole call
|
9/5/2012 | CVLM | Lion Diversified unit may solicit consents to amend 6% exchangeables
|
9/5/2012 | ABLM | Bank of Ireland Mortgage Bank buys back €50 million floaters due 2018
|
9/5/2012 | LMPF | Genie Energy extends exchange offer, waives minimum for preferreds
|
9/5/2012 | IGLM | RBS begins separate tender offers for dollar, euro and sterling notes
|
9/4/2012 | HYLM | Smurfit Kappa to repay all 73/4% notes with proceeds from new offering
|
9/4/2012 | HYLM | American Axle tenders for $250 million 51/4% notes, to call 91/4% notes
|
9/4/2012 | LMMU | Massachusetts calls $1.02 million Northeastern University bonds
|
9/4/2012 | CVLM | CNO to buy back $200 million of 7% convertibles under recapitalization
|
9/4/2012 | HYLM | VWR gets tenders for $102.72 million of 101/4%/111/4% PIK notes so far
|
9/4/2012 | HYLM | CNO starts tender offer for any and all $275 million of 9% notes
|
9/4/2012 | LMMU | Michigan calls $8.01 million Genesys Regional Medical revenue bonds
|
9/4/2012 | CVLM | Medicis to repurchase convertibles with funds from Valeant debt issue
|
9/4/2012 | IGLM | Altria wraps $2 billion tender offer, accepting only 9.7%, 9.25% notes
|
9/4/2012 | HYLM | Catalent Pharma begins tender offer for 91/2%/101/4% PIK-election notes
|
9/4/2012 | LMMU | Virgin Islands authority calls $7.4 million 1999A of revenue bonds
|
9/4/2012 | DDHYLM | Cecon seeks to make interest payment on 8% bonds due 2016 in kind
|
9/4/2012 | LMMU | Agua Caliente Band of Cahuilla Indians, Calif., calls 2007 bonds
|
9/4/2012 | ABLM | Talos Capital redeems $15.1 million of variable-rate notes due 2029
|
9/4/2012 | HYLM | Hub begins tender offer, consent solicitation for 9% notes, 101/4% notes
|
9/4/2012 | LMMU | Washington state calls $34.55 million of motor vehicle fuel tax G.O.s
|
9/4/2012 | EMLM | Russia's LSR Group announces put option for its series 02 bonds
|
9/4/2012 | LMMU | Alaska calls some series 2002B international airports system bonds
|
9/4/2012 | CVLM | BTS Group holders convert 1.12 billion baht of convertibles due 2016
|
9/4/2012 | HYLM | Nationstar Mortgage units get consents needed to amend 10 7/8% notes
|
9/4/2012 | HYLM | AMC Entertainment to redeem all outstanding 8% senior notes due 2014
|
9/4/2012 | LMMU | Fresno, Calif., authority calls $1.55 million of lease revenue bonds
|
9/4/2012 | CVLM | BofI Holding announces mandatory conversion of series B 6% preferreds
|
8/31/2012 | LMMU | Renton School District, Wash., defeases $72.65 million of 2003 G.O.s
|
8/31/2012 | LMMU | Gulf Coast Industrial's Citgo Petroleum bonds have mandatory tender
|
8/31/2012 | LM | Banco Santander wraps tender for euro, pound notes by Dutch auction
|
8/31/2012 | LMMU | Rhode Island Student Loan accepts $115.25 million bonds in cash offer
|
8/31/2012 | LMMU | Hillsborough, Fla., calls $147.09 million of Tampa Electric bonds
|
8/31/2012 | HYLM | Steel Dynamics redeems $89.54 million 73/4% notes following tender offer
|
8/31/2012 | LMMU | South Carolina Transportation calls $253.63 million of revenue bonds
|
8/31/2012 | LMMU | JEA, Fla., calls $91.88 million of St. Johns River Power Park bonds
|
8/31/2012 | IGLM | Citigroup holders tender $3.03 billion of notes through early deadline
|
8/31/2012 | LMMU | Michigan Municipal Bond calls state clean water, drinking water bonds
|
8/31/2012 | IGLM | MetLife enters remarketing agreement with Deutsche for two tranches
|
8/31/2012 | LMMU | Michigan Strategic Fund calls $220 million series 2008 Van Andel bonds
|
8/31/2012 | IGLMPF | BB&T to redeem $25 million BankAtlantic floating-rate preferreds
|
8/31/2012 | EMLM | Poland to redeem $297.01 million Brady Bonds in full on Oct. 27
|
8/30/2012 | HYLM | LBI Media again extends private exchange offers, gets no more tenders
|
8/30/2012 | CALM | Master Asset Vehicle II gets approval for early redemption option
|
8/30/2012 | LMMU | California plans to redeem $263.96 million of G.O.s at par on Oct 1
|
8/30/2012 | CVDDHYLM | Seat Pagine: Lighthouse gets tenders from 98.37% of 8% noteholders
|
8/30/2012 | LMMU | Maryland authority announces defeasance of Goucher College bonds
|
8/30/2012 | CVLM | United Auto Group calls all $57.29 million of convertibles due 2016
|
8/30/2012 | LMMU | Southern California water district bonds enter new tender period
|
8/30/2012 | CVLM | conwert Immobilien Invest begins tender offer for 1.5% convertibles
|
8/30/2012 | CALM | Brookfield Asset Management calls class A preferreds for redemption
|
8/30/2012 | LMPF | First Community buys back $3.78 million preferreds, exits TARP
|
8/30/2012 | EMLM | Partner Communications buys back NIS 650,000 of series E notes
|
8/30/2012 | CALM | CIBC to redeem all series 18 non-cumulative class A preferreds
|
8/29/2012 | DDEMHYLM | Brazil's Banco Cruzeiro do Sul gets consents needed to amend notes
|
8/29/2012 | LMMU | Orange County, Fla. calls $107.41 million of Adventist/Sunbelt bonds
|
8/29/2012 | HYLM | Terex calls $300 million senior notes due 2016 for full redemption
|
8/29/2012 | LMMU | West Virginia authority calls remaining 2009 hospital revenue bonds
|
8/29/2012 | IGLM | Citi increases, extends, prices tender offers for seven note series
|
8/29/2012 | LMPF | Lakeland Bancorp to redeem trust preferreds with stock sale proceeds
|
8/29/2012 | IGLM | Citigroup increases, extends tender offer for seven series of notes
|
8/29/2012 | AGLM | FFCB to redeem $262 million of its consolidated systemwide bonds
|
8/29/2012 | LMMU | Lower Colorado River Authority calls $6.18 million of refunding bonds
|
8/29/2012 | CALM | Scotiabank to redeem ING Bank of Canada subordinated debt after buyout
|
8/29/2012 | LMMU | Mississippi calls all $102.98 million of its 5.9% System Energy bonds
|
8/28/2012 | EMHYLM | Energisa to redeem all $200 million of its 9.5% senior perpetual notes
|
8/28/2012 | LMMU | Philadelphia calls all $10.29 million of Cargo Acquisition bonds
|
8/28/2012 | IGLM | Pfizer lacks needed consents from holders of two Pharmacia note series
|
8/28/2012 | LM | Atlas Copco begins €275 million tender offer for 4.75% notes due 2014
|
8/28/2012 | LMMU | Philadelphia defeases $14.51 million of its gas works revenue bonds
|
8/28/2012 | LMMU | Houston Industrial Development calls Cargo Acquisition bonds in full
|
8/28/2012 | HYLM | Belden CDT calls remaining $57.48 million 7% senior subordinated notes
|
8/28/2012 | LMMU | Wisconsin HEFA calls $3.4 million of St. John's Communities bonds
|
8/28/2012 | LMMU | Milwaukee, Wis., calls $10.44 million of Cargo Acquisition Cos. bonds
|
8/28/2012 | HYLM | Mediacom units accept $51.5 million of 81/2% notes for early settlement
|
8/28/2012 | LMMU | NYC Industrial Development calls $140.45 million of JFK airport bonds
|
8/28/2012 | HYLM | Penske gets consents for 85% of 73/4% notes due 2016, modifies indenture
|
8/28/2012 | AGLM | FFCB to redeem $583 million of consolidated systemwide bonds at par
|
8/28/2012 | LMMU | Norfolk Airport Authority, Va., calls $4.45 million revenue bonds
|
8/28/2012 | IGLM | Fidelity National to repay all $236.5 million of 5.25% notes due 2013
|
8/27/2012 | LMMU | Dallas Waterworks and Sewer System calls $105.29 million of its bonds
|
8/27/2012 | HYLM | CPM extends offer for 10 5/8% notes; no more tenders since early date
|
8/27/2012 | LMMU | Kentucky authority calls $21.94 million of Catholic Healthcare bonds
|
8/27/2012 | HYLM | Unisys calls remaining $26.10 million of 121/2% senior secured notes
|
8/27/2012 | ABLM | FFCB calls $455 million of its consolidated systemwide bonds at par
|
8/27/2012 | LMMU | Louisiana Public Facilities calls $2.6 million Willis Knighton bonds
|
8/27/2012 | IGLM | Ameren Illinois holders tender $280.59 million of 9.75%, 6.25% notes
|
8/27/2012 | BKDDEMHYLM | Hong Kong's Melco Crown may finance projects with notes, loans
|
8/27/2012 | LMMU | West Virginia Hospital Finance calls $1.62 million of Pallottine bonds
|
8/27/2012 | IGLM | American Financial Group calls $115 million 7.125% debentures in full
|
8/27/2012 | CVLM | Network Equipment offers to buy 3.75% convertibles after Sonus deal; notes also convertible
|
8/27/2012 | IGLM | Caterpillar exchanges $1.32 billion of debentures in exchange offers
|
8/27/2012 | HYLM | Belden gets consents for majority of 7%, 91/4% notes by early expiration
|
8/24/2012 | LMMU | Lakeland, Fla., calls $100 million variable-rate energy system bonds
|
8/24/2012 | IGLM | Wilshire State Bank calls $10 million floating-rate debentures at par
|
8/24/2012 | HYLM | Nationstar Mortgage solicits consents from holders of 10 7/8% notes
|
8/24/2012 | LMMU | North Texas Tollway series 2009D revenue bonds have mandatory tender
|
8/24/2012 | IGLMPF | CoBank calls series A, B perpetual preferreds for October redemption
|
8/24/2012 | HYLM | PHH to redeem $78.48 million of its 7 1/8% notes due 2013 on Sept. 24
|
8/24/2012 | CVDDLM | Moser Baer to hold off on meetings for holders of A, B convertibles
|
8/24/2012 | LMMU | Charleston County, S.C., calls $49.2 million CareAlliance Health bonds
|
8/24/2012 | HYLM | Primus Guaranty issues mandatory redemption of all 7% notes due 2036
|
8/24/2012 | CVLM | Callaway to give 3.75% convertibles, stock in swap for 7.5% preferreds
|
8/24/2012 | LMMU | Contra Costa Water District, Calif., calls $78.3 million revenue bonds
|
8/24/2012 | IGLM | Brunswick calls $71.48 million senior notes due August 2013 in full
|
8/24/2012 | CVLM | Lonking holders put $125.66 million zero-coupon convertibles due 2014
|
8/24/2012 | LMMU | JEA, Fla., calls $80.26 million of 2007A electric system revenue bonds
|
8/24/2012 | IGLM | CenterPoint Energy Houston sets redemption prices for 5.75%, 7% bonds
|
8/24/2012 | HYLM | BBC Capital calls $50 million fixed-to-floating securities due 2033
|
8/23/2012 | LMMU | Hesperia School District, Calif., rescinds $48.55 million COP call
|
8/23/2012 | HYLM | PHH gets needed tenders to amend 7 1/8% notes, issues make-whole call
|
8/23/2012 | CVLM | First Capital Realty plans issuer bid for six series of convertibles
|
8/23/2012 | LMMU | Illinois Development Finance calls all $51.1 million AmerenCIPS bonds
|
8/23/2012 | LMMU | Alachua County Health, Fla., calls $72.56 million of Oak Hammock bonds
|
8/23/2012 | CVLM | ON Semiconductor to exchange $99.92 million of 2.625% convertibles
|
8/23/2012 | LMMU | California State University calls $311.39 million of revenue bonds
|
8/23/2012 | CVLM | RadiSys repurchases $4.1 million of its 2.75% convertibles at 99.25
|
8/23/2012 | AGLM | FFCB to redeem $55 million of consolidated systemwide bonds at par
|
8/23/2012 | LMMU | Connecticut Development calls $123.8 million of power project bonds
|
8/23/2012 | LM | National Asset Management redeems €24 million of its senior notes
|
8/23/2012 | CALM | Master Asset Vehicle II noteholder meeting adjourned to Aug. 30
|
8/23/2012 | LMMU | Dasny defeases $53.41 million of 2003 Lutheran Medical Center bonds
|
8/23/2012 | HYIGLMPF | SL Green Realty calls $100 million of its 7.625% series C preferreds
|
8/23/2012 | CVDDLM | SkyePharma seeks consents to push back put dates for convertible notes
|
8/22/2012 | LMMU | Arizona accepts tenders for $255 million of Phoenix Children's bonds
|
8/22/2012 | HYLM | OSI Restaurant settles early tenders for 10% notes, calls remainder
|
8/22/2012 | EMHYLM | Chile's Pampa Calichera receives needed consents to amend 73/4% notes
|
8/22/2012 | LMMU | Harris Health Facilities, Texas, calls $356.02 million Baylor bonds
|
8/22/2012 | HYLM | Universal Hospital calls $87.13 million 81/2%/91/4% toggle notes in full
|
8/22/2012 | EMLM | Hong Kong's Noble Group buys back $41.47 million of 63/4% notes
|
8/22/2012 | LMPF | Pulaski Financial buys back $7.1 million of series A preferred stock
|
8/22/2012 | IGLM | Boston Properties calls remaining $225 million of 6.25% notes due 2013
|
8/22/2012 | LM | Banco Santander launches Dutch auction tender for euro, pound notes
|
8/22/2012 | CVLM | Harvest Natural agrees to issue stock for 8.25% convertible notes
|
8/22/2012 | IGLM | Schwab holders tender $256 million of 4.95% notes for exchange so far
|
8/22/2012 | HYLM | H&E Equipment calls all $91.25 million of 8 3/8% senior notes due 2016
|
8/22/2012 | CVLM | International Power exercises call option on 4.75% convertibles
|
8/22/2012 | IGLM | Schwab prices exchange offer, gets enough early tenders to proceed
|
8/22/2012 | HYLM | Isle of Capri Casinos accepts tenders for $338.23 million of 7% notes
|
8/22/2012 | DDEMLM | Argentina's TGN issues $200.08 million of notes under exchange offer
|
8/21/2012 | LMMU | Illinois calls $192 million of 2002 G.O. bonds for October redemption
|
8/21/2012 | HYLM | Sirius XM calls all $681.52 million of its 13% senior notes due 2013
|
8/21/2012 | CVLM | Energy XXI agrees to exchange convertible preferreds for common stock
|
8/21/2012 | LMPF | Beam to redeem remaining convertible preferreds, expects conversions
|
8/21/2012 | ABLM | Betsen announces full repurchase of remaining €80 million of notes
|
8/21/2012 | IGLM | American Financial to redeem 7.125% debentures with offering proceeds
|
8/21/2012 | CVLM | Gaylord Entertainment $360 million 3.75% notes convertible to Sept. 30
|
8/21/2012 | LMPF | Simmons First National calls all $10 million of preferreds due 2033
|
8/21/2012 | AGLM | FFCB to redeem $127 million of its consolidated systemwide bonds
|
8/21/2012 | IGLMPF | Associated Banc-Corp calls 7.625% trust preferreds, capital securities
|
8/21/2012 | DDHYLM | Seat Pagine: Lighthouse gets tenders from 91.83% of 8% noteholders
|
8/21/2012 | CVDDEMHYLM | Mexico's Cemex extends exchange offer and consent solicitation
|
8/21/2012 | LMMU | Central Utah Water Conservancy calls $700,000 of water revenue bonds
|
8/21/2012 | LM | Sylph announces repurchase of all ¥500 million of notes on Aug. 22
|
8/21/2012 | CVLM | Artis announces Sept. 21 put option for 5% convertibles due 2014
|
8/21/2012 | LMMU | Chicago calls $63.6 million of O'Hare International Airport bonds
|
8/21/2012 | HYLM | PHH sets pricing in tender, solicitation for 7 1/8% notes due 2013
|
8/21/2012 | CVLM | Beam to redeem remaining convertible preferreds, expects conversions
|
8/20/2012 | HYLM | Ashtead calls all $534.05 million of 9% fixed-rate notes due 2016
|
8/20/2012 | LMMU | Yosemite Community College defeases $57.15 million of tax-exempt G.O.s
|
8/20/2012 | CVLM | BTS Group holders convert 213 million baht of convertibles due 2016
|
8/20/2012 | LMMU | California Infrastructure's RAND Corp. bonds have mandatory tender
|
8/20/2012 | HYLM | SandRidge gets tenders, consents for 94.26% of floaters by early date
|
8/20/2012 | HYLM | Bausch + Lomb gets tenders for $74.69 million 9 7/8% notes due 2015
|
8/20/2012 | CVLM | Champion gets applications to convert HK$2.34 billion 1% convertibles
|
8/20/2012 | LMMU | Highlands County, Fla., authority calls $264.92 million hospital bonds
|
8/20/2012 | HYLM | VWR begins tender offer, consent bid for 101/4%/111/4% PIK notes due 2015
|
8/20/2012 | HYLM | CIT Group calls remaining $681 million of 7% series C notes
|
8/20/2012 | CVLM | Clarke calls off meeting for 6% convertibles, fails to reach threshold
|
8/20/2012 | LMMU | Michigan Finance calls all $76 million of 2012A local government bonds
|
8/20/2012 | IGLM | Altria's $2 billion tender offer oversubscribed at early deadline
|
8/20/2012 | HYLM | CKE Restaurants gets no tenders in offer for 11 3/8% notes due 2018
|
8/20/2012 | CVLM | Cominar calls all C$80.5 million of its 5.7% series B convertibles
|
8/20/2012 | LMMU | Missouri plans $155.96 million redemption from two G.O bond series
|
8/20/2012 | IGLM | Caterpillar issues $801.65 million of 3.803% in exchange offers so far
|
8/20/2012 | HYLM | IPS announces redemption of $50 million 111/4% senior notes due 2014
|
8/20/2012 | CVLM | Harvest to issue stock in exchange for 8.25% convertibles; holders forgo make-whole premium
|
8/20/2012 | LMMU | Pennsylvania authority calls $76.45 million UPMC Health System bonds
|
8/20/2012 | AGLM | FFCB to redeem $100 million of consolidated systemwide bonds at par
|
8/20/2012 | IGLMPF | Old Mutual Capital's $750 million perpetual preferreds to be redeemed
|
8/20/2012 | HYLM | Mediacom units lift tender offer cap for 81/2% notes to $350 million
|
8/17/2012 | HYLM | Tesoro announces full $299.22 million redemption of 61/4% senior notes
|
8/17/2012 | ABLM | Permanent TSB repurchases €14.25 million CMS-linked notes due 2035
|
8/17/2012 | LMMU | Southern California Public Power calls Mead-Adelanto revenue bonds
|
8/17/2012 | LMMU | Acadia Healthcare, Tenn., cancels partial redemption of notes due 2018
|
8/17/2012 | AGLM | FFCB to redeem $223 million of consolidated systemwide bonds at par
|
8/17/2012 | LMMU | Virginia authority calls full $76.4 million children's hospital bonds
|
8/17/2012 | LMMU | Highlands County, Fla., authority calls hospital revenue bond series
|
8/17/2012 | CVLM | Harvest Operations calls C$106.8 million of 6.4% convertible notes
|
8/17/2012 | LMPF | Huntington trusts to redeem $36 million of preferreds in October
|
8/17/2012 | LMMU | Milwaukee redevelopment authority calls some UWM-Kenilworth bonds
|
8/17/2012 | HYLM | Bank of Ireland buys back €1.28 billion of notes in two transactions
|
8/17/2012 | LMPV | M*Modal retires senior subordinated notes after One Equity buyout
|
8/17/2012 | LMMU | Missouri HEFA calls $93.43 million Washington University bonds in full
|
8/17/2012 | HYLM | Pantry settles tenders for 90.2% of 73/4% notes; $21.72 million called
|
8/17/2012 | LMMU | Sacramento Municipal Utility, Calif., defeases electric revenue bonds
|
8/16/2012 | IGLMPF | BB&T calls $175 million of trust preferred securities in seven series
|
8/16/2012 | HYLM | HollyFrontier announces $199.99 million redemption of 8.5% notes
|
8/16/2012 | LMMU | Nashville & Davidson County, Tenn., calls energy revenue bonds in full
|
8/16/2012 | LMMU | California authority calls $98.17 million Children's Hospital COPs
|
8/16/2012 | HYLM | Steel Dynamics receives enough tenders, 82.09%, to amend 73/4% notes
|
8/16/2012 | AGLM | FFCB to redeem $415 million of consolidated systemwide bonds at par
|
8/16/2012 | LMMU | Texas Municipal calls $17.61 million gas supply revenue bonds due 2017
|
8/16/2012 | LMMU | Chicago O'Hare International Airport calls $220.11 million of bonds
|
8/16/2012 | HYLM | Unisys to redeem all 123/4% secured notes with offering proceeds
|
8/16/2012 | CALM | Master Asset Vehicle II noteholder meeting adjourned to Aug. 23
|
8/16/2012 | LMMU | University of Vermont calls $120.04 million of two G.O. bond series
|
8/16/2012 | LMMU | George Washington University, D.C., calls $4 million taxable bonds
|
8/16/2012 | HYLMPV | Vitruvian calls all $130 million of 12% senior secured notes due 2015
|
8/16/2012 | CVLM | First Capital Realty plans to redeem 6.25% convertibles due 2016
|
8/16/2012 | LMMU | Wayne County, Mich., calls $35.84 million of federally taxable G.O.s
|
8/16/2012 | LMMU | Indianapolis Airport's tender offer expires; no bonds to be purchased
|
8/16/2012 | IGLM | Norfolk Southern wraps exchange offers; tender limit met by early date
|
8/16/2012 | HYLM | Biomet calls all $227.28 million 10 3/8%/11 1/8% notes due 2017
|
8/16/2012 | LMPF | Gabelli Equity announces redemption of $53 million series F preferreds
|
8/16/2012 | LMMU | Massachusetts School authority calls $808.22 million sales tax bonds
|
8/15/2012 | IGLMPF | Protective Life plans to redeem $125 million of 7.25% capital securities
|
8/15/2012 | HYLMPV | Friendfinder cuts principal on 14% first-lien, cash-pay second-lien notes
|
8/15/2012 | LMMU | Prince George's County, Md., calls public improvement bonds in full
|
8/15/2012 | AGLM | FFCB to redeem $946 million of its consolidated systemwide bonds
|
8/15/2012 | LMMU | Central Puget Sound Regional Transit, Wash., defeases $350.65 million series 2005A bonds
|
8/15/2012 | IGLM | Norfolk Southern prices private exchange offers for six note series
|
8/15/2012 | CVLM | McMoRan Exploration offers to swap out $68.2 million 5.25% convertibles
|
8/15/2012 | LMMU | Illinois calls $1 million of Presbyterian Home Lake Forest bonds
|
8/15/2012 | IGLM | Pfizer solicits consents to amend five series of Pharmacia debentures
|
8/15/2012 | HYLM | Pinafore to redeem all $115 million of 9% second-lien notes due 2018
|
8/15/2012 | LMMU | Indiana Finance's Republic Services bonds have mandatory tender
|
8/15/2012 | IGLM | Schwab extends early date in exchange offer for 4.95% notes due 2014
|
8/15/2012 | HYLM | Scientific Games to redeem subordinated notes using offer proceeds
|
8/15/2012 | LMMU | Iowa Finance announces mandatory tender on Iowa Health System bonds
|
8/15/2012 | IGLMPF | Kimco Realty calls all $460 million 7.75% class G preferred stock
|
8/15/2012 | HYLM | Select Medical to redeem $275 million of subordinated notes due 2015
|
8/15/2012 | LMMU | Maryland defeases state, local facilities loan bonds from five series
|
8/14/2012 | HYLM | Sprint Nextel announces $1.47 billion redemption of 6 7/8, 7 3/8 notes
|
8/14/2012 | HYLM | LBI Media reports 4.6% of 81/2% notes tendered so far, extends deadline
|
8/14/2012 | CVDDLM | Lakeview seeks holder consent to extend, amend 8.5% convertibles
|
8/14/2012 | IGLMPF | Regency Centers calls all $75 million of 6.7% series 5 preferreds
|
8/14/2012 | HYLM | Lennar holders tender $5,000 more of 5.95% notes since early deadline
|
8/14/2012 | CVLM | RadiSys buys back $6 million of convertibles senior notes at 99.25
|
8/14/2012 | IGLMPF | State Street to redeem series A preferreds with new issue proceeds
|
8/14/2012 | HYLM | Mediacom units begin tender offer for up to $300 million 81/2% notes
|
8/14/2012 | EMHYLM | Chile's Pampa Calichera lifts consent fee, extends bid for 73/4% notes
|
8/14/2012 | LMMU | Chicago O'Hare International calls series 2002A general airport bonds
|
8/14/2012 | HYLM | Novae Group agrees to repurchase £200,000 of 8 3/8% notes due 2017
|
8/14/2012 | LM | Santander UK redeems €765.43 million bonds in five series on July 16
|
8/14/2012 | LMMU | Los Angeles MTA invites bondowners to sell 2003-A & B prop A bonds
|
8/14/2012 | HYLM | Penske tenders, solicits consents for $375 million 73/4% notes due 2016
|
8/14/2012 | HYLM | CPM holders deliver needed consents to amend 10 5/8% notes due 2014
|
8/14/2012 | AGLM | FFCB to redeem $313 million of consolidated systemwide bonds at par
|
8/14/2012 | LMMU | Vermont Municipal Bond Bank defeases $28.72 million of 2004 bonds
|
8/13/2012 | LMMU | Chicago O'Hare International Airport calls $16.27 million of bonds
|
8/13/2012 | EMHYLM | Mexico's Petrotemex gets total tenders for 56.06% of 91/2% senior notes
|
8/13/2012 | IGLM | Ameren Illinois sets pricing in tender offer for 9.75%, 6.25% notes
|
8/13/2012 | CVLM | Amylin announces change-of-control put option for 3% convertibles
|
8/13/2012 | HYLM | Freescale Semiconductor calls $100 million of 8 7/8% notes due 2014
|
8/13/2012 | EMLM | Kuwait's National Industries gets consents to amend trust certificates
|
8/13/2012 | LMMU | Colorado Springs, Colo., utilities system bonds have mandatory tender
|
8/13/2012 | IGLM | Weatherford gets consents to extend filing period for several notes
|
8/13/2012 | CVLM | CapitaCommercial tenders for S$146.75 million 2% convertibles
|
8/13/2012 | HYLM | OSI Restaurant fails to get majority consents so far, waives condition
|
8/13/2012 | EMLM | Philippines' San Miguel to redeem preferreds, declares dividends
|
8/13/2012 | LMMU | Illinois Health authority calls $1.4 million of Centegra Health bonds
|
8/13/2012 | IGLMPF | BB&T to redeem all $55.38 million of its 8.5% preferreds on Sept. 12
|
8/13/2012 | CVLM | Champion unit offers incentive to holders who convert 1% convertibles
|
8/13/2012 | HYLM | Springleaf records $414.9 million debt reduction in last six months
|
8/13/2012 | HYLM | Belden begins tender offers, consent bids for 7% notes and 91/4% notes
|
8/13/2012 | LMMU | Miami Beach Health calls $142.81 million 1998, 2001A Mount Sinai bonds
|
8/13/2012 | IGLMPF | Regency Centers to redeem series 5 preferreds with offering proceeds
|
8/13/2012 | CVLM | Citycon buys back $20 million of convertibles from Gazit-Globe
|
8/13/2012 | HYLM | Superior Energy unit calls all $150 million of 6 7/8% notes due 2014
|
8/13/2012 | HYLM | Clean Harbors collects tenders for $10,000 more 7 5/8% notes in offer
|
8/13/2012 | LMMU | Virginia Resources defeases $18.48 million of infrastructure bonds
|
8/13/2012 | IGLMPF | Susquehanna calls all 11% trust preferreds, 9.375% capital securities
|
8/13/2012 | CVLM | Isis Pharmaceuticals calls $162.5 million all convertibles due 2027
|
8/13/2012 | IGLM | AT&T to redeem all $1 billion of 4.85% global notes due Feb. 15, 2014
|
8/13/2012 | BKHYLM | Ruby Tuesday amends loan to authorize prepayment of up to $15 million of 7 5/8% notes
|
8/13/2012 | HYLM | Elan to ask holders of 83/4% notes due 2016 to approve Neotope spinoff
|
8/10/2012 | IGLMPF | Hospitality Properties calls $150 million preferreds, $285 million notes
|
8/10/2012 | HYLM | American Pacific calls $40 million of its 9% senior notes due 2015
|
8/10/2012 | AGLM | FFCB to redeem $337 million of its consolidated systemwide bonds
|
8/10/2012 | LMMU | North Central Texas Health calls $175.25 million Children's bonds
|
8/10/2012 | LMMU | Allegheny County, Pa., calls $575,000 of Longwood at Oakmont bonds
|
8/10/2012 | HYLM | Iron Mountain calls all remaining 6 5/8%, 83/4% notes due 2016, 2018
|
8/10/2012 | CAHYLM | Angiotech wraps oversubscribed offer to exchange $225 million floaters
|
8/10/2012 | LMMU | Orange County notifies series 2000 COP holders of mandatory tender
|
8/10/2012 | LMMU | Harris County, Texas' senior-lien revenue bonds have mandatory tender
|
8/10/2012 | IGLM | Caterpillar gives early results for exchange offers for debentures, notes
|
8/10/2012 | CVLM | Bank of Queensland calls A$45 million tranche of convertibles in full
|
8/10/2012 | LMMU | University of California defeases $525.56 million of two bonds series
|
8/10/2012 | LMMU | Irvine Ranch Water District calls $246.6 million of taxable bonds
|
8/10/2012 | IGLM | Citigroup offers to purchase up to $675 million of seven note series
|
8/10/2012 | EMHYLM | Central European gets consents for waiver under 9 1/8%, 8 7/8% notes
|
8/10/2012 | LMMU | Washington Health Care calls Fred Hutchinson cancer research bonds
|
8/10/2012 | LMMU | Los Angeles Unified School District calls all $68.89 million of COPs
|
8/10/2012 | IGLM | Tyco International sets redemption prices for notes due 2013 and 2014
|
8/10/2012 | EMLM | Mexico completes exchange offer for 15 series of notes due 2013-2040
|
8/10/2012 | LMMU | Metropolitan Transportation Authority, N.Y., calls 2002A, 200B bonds
|
8/9/2012 | HYLM | Radian buys back $24.1 million of 5 5/8% notes after first quarter
|
8/9/2012 | LM | New South Wales to buy back A$75.69 million notes on Aug. 10
|
8/9/2012 | DDEMLM | Argentina's TGN gets tenders for 88% of two series in exchange offer
|
8/9/2012 | HYLM | ServiceMaster calls $396 million of 103/4%/111/2% senior toggle notes
|
8/9/2012 | ABLM | GS Real Estate Mezzanine calls $5.73 million of floaters due 2016
|
8/9/2012 | HYLM | CKE nixes IPO, had planned to claw back 11 3/8% notes with proceeds
|
8/9/2012 | EMLM | Mexico prices Dutch auction offer for 15 note series, sets benchmark rate and exchange ratios
|
8/9/2012 | HYLMPF | Equity LifeStyle begins exchange offer for 8.034% perpetual preferreds
|
8/9/2012 | AGLM | FFCB to redeem $167 million of consolidated systemwide bonds at par
|
8/9/2012 | HYLM | Isle of Capri calls all $357.28 million 7% senior subordinated notes
|
8/9/2012 | LM | Citi prices tenders for five note series, lifts cap to $570.41 million
|
8/9/2012 | LMMU | Sikeston, Mo., calls $85.76 million Missouri Electric System bonds
|
8/9/2012 | CVLM | GMX offers 9%/12% notes in swap for 5% and 4.5% convertibles
|
8/9/2012 | HYLM | Isle of Capri calls all remaining $19.06 million of 7% senior notes
|
8/9/2012 | LM | Citigroup gets tenders for $570 million notes, sets clearing spreads
|
8/9/2012 | LMMU | University of California defeases $70.6 million of seven bond series
|
8/9/2012 | CVLM | Nektar Therapeutics repurchased $42.5 million of convertibles July 11
|
8/9/2012 | HYLM | PHH launches tender, consent solicitation for 7 1/8% notes due 2013
|
8/9/2012 | LM | Merrill Lynch completes repurchase of €3.75 million notes on Aug. 8
|
8/9/2012 | LMMUPF | MFS funds begin tendering for auction-rate preferreds at 95% of par
|
8/9/2012 | CVLM | RF Micro Devices repurchases $15.4 million convertibles in Q1
|
8/8/2012 | LMPF | Taubman Centers plans to its redeem series G, H preferreds on Sept. 4
|
8/8/2012 | HYLM | Capmark Financial calls $88.35 million first-lien floaters in full
|
8/8/2012 | AGLM | FFCB to redeem $591 million of its consolidated systemwide bonds
|
8/8/2012 | HYLM | Cenveo announces $74.9 million of note buybacks from three series
|
8/8/2012 | DDEMLM | Argentina's TGN's exchange offer achieves 88.014% acceptance level
|
8/8/2012 | HYLM | Essential Power to settle early tenders for 10 7/8% notes on Wednesday
|
8/8/2012 | EMLM | Mexico sets benchmark spread in exchange offer for 15 series of notes
|
8/8/2012 | HYLM | KB Home completes tender offer for 53/4%, 5 7/8% and 61/4% notes
|
8/8/2012 | LM | Ericsson wraps early buyback of €441.31 million notes on June 20
|
8/8/2012 | IGLMPF | Susquehanna to redeem $196.02 million of notes with offering proceeds
|
8/8/2012 | LM | Lloyds TSB Bank completes early repurchase of €2 million of notes
|
8/7/2012 | HYLM | Universal Hospital Services: 78.48% of toggle notes tendered so far
|
8/7/2012 | LM | BBVA holders exercise put option on $10 million putable floaters
|
8/7/2012 | IGLM | American States Water subsidiary calls $8 million 7.55% notes due 2025
|
8/7/2012 | HYIGLMPF | SL Green to use proceeds of new issue to redeem series C preferreds
|
8/7/2012 | IGLM | Georgia Power to redeem 6% series 2007E notes with offering proceeds
|
8/7/2012 | HYLM | CenterPoint to redeem U, M, M2 general mortgage bonds with offering
|
8/7/2012 | LMMU | Missouri HEFA calls $140 million of health facilities bonds in full
|
8/7/2012 | HYLM | Gaylord likely to tender for 63/4% notes due 2014 after Marriott sale
|
8/7/2012 | AGLM | FFCB calls $25 million consolidated systemwide bonds due 2027 in full
|
8/7/2012 | LMMU | Puerto Rico Industrial calls $50.41 million of Inter American bonds
|
8/7/2012 | HYLM | Isle of Capri holders deliver consents for $338.22 million of 7% notes
|
8/7/2012 | EMHYLM | EOAL Cyprus gets bondholder approval to reduce insurance, sell vessel
|
8/7/2012 | LMMU | Tampa, Fla., calls $29.52 million of occupational license tax bonds
|
8/6/2012 | HYLM | SandRidge tenders, seeks consents for $350 million floaters due 2014
|
8/6/2012 | HYLM | CIT Group to redeem additional $3.29 billion of its 7% notes Sept. 5
|
8/6/2012 | LMMU | California authority calls $6 million Jewish Home of the Aging bonds
|
8/6/2012 | AGLM | FFCB calls $25 million consolidated systemwide bonds due 2025 in full
|
8/6/2012 | HYLM | Suddenlink gets consents for 8 5/8% notes in connection with merger
|
8/6/2012 | HYLM | H&E Equipment tenders, seeks consents for $250 million of 8 3/8% notes
|
8/6/2012 | LMMU | San Bernardino, Calif., calls $3.92 million of series B taxable COPs
|
8/6/2012 | CVLM | Isis Pharma may buy back 2.625% convertibles using offer proceeds
|
8/6/2012 | IGLM | Altria tenders for $2 billion notes; 2018, 2019 due dates get priority
|
8/6/2012 | HYLM | Interval Acquisition calls $300 million 91/2% notes due 2016 in full
|
8/6/2012 | LMMU | Tallahassee, Fla., announces $5.38 million defeasance of capital bonds
|
8/6/2012 | DDEMHYLM | Ruric voters reject offer to convert SEK 682.77 million 10%, 13% bonds
|
8/6/2012 | IGLM | Astoria Financial calls $350 million 5.75% senior notes for redemption
|
8/6/2012 | HYLM | Level 3 to redeem 83/4% notes; offering proceeds to fund redemption
|
8/6/2012 | HYLM | Bausch + Lomb extends early tender date for 9 7/8% notes due 2015
|
8/6/2012 | IGLMPF | Huntington Bancshares to redeem all $114.29 million 6.65% preferreds
|
8/6/2012 | HYLM | Media General buys back $200,000 113/4% notes through tender offer
|
8/6/2012 | HYLM | Burger King repurchases $95.9 million 9 7/8% notes, 11% discount notes
|
8/6/2012 | IGLMPF | Kilroy Realty to redeem all series A preferreds with offering proceeds
|
8/3/2012 | IGLM | NextEra Energy Capital calls $350 million series E debentures in full
|
8/3/2012 | EMLM | Mexico begins exchange offer for $29.05 billion of notes in 15 series
|
8/3/2012 | IGLM | Stanley Black & Decker calls remaining notes from three series
|
8/3/2012 | HYLM | American Railcar calls $100 million of 71/2% senior notes due 2014
|
8/3/2012 | LMMU | Hesperia Unified School District, Calif., calls $48.55 million COPs
|
8/3/2012 | HYLM | Ashland gets tenders for 88% of $650 million 9 1/8% notes due 2017
|
8/3/2012 | LMMU | Houston calls $249.08 million of 2010B combined utility system bonds
|
8/3/2012 | HYLM | Pantry marks early tenders for 90.2% of 73/4% notes due 2014
|
8/3/2012 | LMMU | Municipal Corrections Finance calls $77.9 million 8.47% revenue bonds
|
8/3/2012 | HYLMPF | Glimcher Realty Trust calls $90 million of 83/4%, 8 1/8% preferreds
|
8/3/2012 | CVLM | Energy XXI issues 484 shares in 5.625% convertible preferreds exchange
|
8/3/2012 | LMMU | Wisconsin defeases 2004 series 1, 2006 series 2 clean water bonds
|
8/2/2012 | LMMU | Kansas DOT calls $40.3 million series 2002 highway revenue bonds
|
8/2/2012 | DDHYLM | Seat Pagine: Lighthouse seeks consents for 8% notes in restructuring
|
8/2/2012 | LMMU | California authority calls all $51 million Children's Hospital bonds
|
8/2/2012 | HYLM | Suburban issues 71/2%, 7 3/8% notes in exchange offers; deadline coincides with Inergy acquisition
|
8/2/2012 | LMMU | University of Illinois calls $7.12 million utility infrastructure COPs
|
8/2/2012 | LMMU | Pittsburg, Calif., redevelopment agency calls some Los Medanos bonds
|
8/2/2012 | EMHYLM | Central European Distribution solicits consents for two notes series
|
8/2/2012 | LMMU | Corona, Calif., defeases $5.89 million of Clearwater, Recycled COPs
|
8/2/2012 | IGLM | Estee Lauder calls all $230.15 million 7.75% senior notes due 2013
|
8/2/2012 | LMMU | Virginia College Building calls $86.85 million of 2002 revenue bonds
|
8/2/2012 | LMMU | Port of Portland, Ore., calls two international airport bond series
|
8/2/2012 | HYLM | Cequel amends, extends consent solicitation for 8 5/8% notes due 2017
|
8/2/2012 | LMMU | Dasny calls $50.37 million St. John's University revenue bonds in full
|
8/2/2012 | IGLM | Norfolk Southern begins private exchange offers for six note series
|
8/2/2012 | LMPF | Genie Energy to issue new series of preferreds through exchange offer
|
8/2/2012 | LMMU | Port of Seattle calls series A and B subordinate-lien revenue bonds
|
8/2/2012 | HYLM | Host Hotels to redeem rest of its 6 3/8% notes with offering proceeds
|
8/2/2012 | LMMU | Harris County education authority, Texas, calls $1.02 million of bonds
|
8/2/2012 | AGLM | FFCB calls $30 million consolidated systemwide bonds due 2018 in full
|
8/2/2012 | IGLM | Weatherford seeks consents to extend filing period under several notes
|
8/2/2012 | LMPF | Taubman to redeem series G, H preferreds using series J proceeds
|
8/2/2012 | LMMU | San Mateo Community College, Calif., calls $53.34 million G.O. bonds
|
8/2/2012 | HYLM | Smithfield Foods calls $133.12 million of 10% senior secured notes
|
8/2/2012 | LMMU | JEA, Fla., calls $112.64 million of electric system revenue bonds
|
8/2/2012 | CVLM | Energy XXI issues 286 shares in 5.625% convertible preferreds exchange
|
8/2/2012 | IGLMPF | CVB Financial to redeem remaining $20.62 million securities Sept. 17
|
8/2/2012 | HYLM | Steel Dynamics tenders for $210 million 7 3/8% notes, all 73/4% notes
|
8/2/2012 | LMMU | South Carolina Jobs calls portion of 2004 MUFC Central Energy bonds
|
8/1/2012 | LM | Citi announces tender offer for £2.18 billion, CHF 400 million notes
|
8/1/2012 | ABLM | Callidus Debt Partners to redeem series A, B and C floaters due 2015
|
8/1/2012 | LMMU | East Side Union High, Calif., calls all $102.6 million of G.O. bonds
|
8/1/2012 | HYLM | Good Sam purchases $4,000 of 111/2% notes in excess cash flow offer
|
8/1/2012 | HYLM | Amscan Holdings calls all $59.21 million 83/4% senior subordinated notes
|
8/1/2012 | AGLM | FFCB to redeem $70 million of its consolidated systemwide bonds
|
8/1/2012 | LMMU | King County, Wash., announces defeasance of G.O. sewer revenue bonds
|
8/1/2012 | HYLM | Smithfield gets early tenders for 65% of 73/4% notes, 77% of 10% notes
|
8/1/2012 | HYLM | Burger King announces $64.1 million of note buybacks in early 2012
|
8/1/2012 | CAIGLM | Bank of Montreal subsidiaries wrap tender offers for three note series
|
8/1/2012 | LMMU | New Jersey Health Care authority calls $81.07 million Englewood bonds
|
8/1/2012 | HYLMPF | Gray Television buys back $12.28 million series D perpetual preferreds
|
8/1/2012 | HYLM | CPM starts tender offer, consent solicitation for 10 5/8% senior notes
|
8/1/2012 | EMLM | Malaysia's LBS Bina redeems all RM 20 million of tranche 4 sukuk
|
8/1/2012 | IGLM | Charles Schwab offers new notes, cash in exchange for 4.95% notes
|
8/1/2012 | HYLM | Capmark to redeem all remaining floating-rate first-lien notes
|
8/1/2012 | LM | BBVA Senior Finance Unipersonal gets put for all €58 million floaters
|
8/1/2012 | LMMU | Dasny to redeem $50.37 million St. John's University revenue bonds
|
8/1/2012 | HYLM | Community Health unit gets no more tenders in offer since consent date
|
7/31/2012 | CVLM | Anritsu calls remaining ¥3.16 billion of 0% convertibles due 2015
|
7/31/2012 | IGLM | Stanley Black & Decker wraps tender offer; remainder to be redeemed
|
7/31/2012 | CVLM | Cable & Wireless cuts conversion price on 5.75% notes; put option triggered on change of control
|
7/31/2012 | IGLMPF | Charles Schwab calls Schwab Capital Trust I's trust preferreds in full
|
7/31/2012 | CVLM | euNetworks: Holders of 98.08% of convertibles accept exchange offer
|
7/31/2012 | LMMU | Austin, Texas calls $107.64 million of 2004 water and wastewater bonds
|
7/31/2012 | EMHYLM | Russia's AK Bars 101/4% loan participation noteholders grant waiver
|
7/31/2012 | ABLM | Carlyle High Yield calls $138.44 million of A-1, A-3, B, C notes
|
7/31/2012 | LMMU | California authority defeases Lucile Salter Packard hospital bonds
|
7/31/2012 | HYLM | Essential Power gets consents to amend 10 7/8% notes before deadline
|
7/31/2012 | CAIGLM | Bank of Montreal subsidiaries price tender offer for three note series
|
7/31/2012 | LMMU | Texas to redeem $7.88 million of water financial assistance bonds
|
7/31/2012 | IGLM | PPG Industries to redeem portions of 5.75% notes via offering proceeds
|
7/30/2012 | HYLM | Lamar Media calls all $122.76 million 6 5/8% senior subordinated notes
|
7/30/2012 | CALM | Lifeco Split to redeem preferreds at C$36.84 per share on July 31
|
7/30/2012 | LMMU | Los Angeles to redeem $104.88 million of series 2002-A G.O. bonds
|
7/30/2012 | IGLM | Estee Lauder to redeem all 7.75% senior notes with offering proceeds
|
7/30/2012 | HYLM | Lennar gets tenders for $204.7 million of 5.95% notes due 2013 so far
|
7/30/2012 | LMMU | Missouri Development calls $48 million Nelson Gallery Foundation bonds
|
7/30/2012 | CVLM | Sonic Automotive holders tender near all 5% convertibles for exchange
|
7/30/2012 | IGLM | Stanley Black & Decker prices tender for 6.15%, 8.95%, 4.75% notes
|
7/30/2012 | HYLM | Sparc 2 announces July 24 redemption of €3 million of its notes
|
7/30/2012 | LMMU | New Orleans calls $81.37 million of two G.O. refunding bond series
|
7/30/2012 | EMHYLM | Mexico's Petrotemex gets enough consents to amend 91/2% notes due 2014
|
7/30/2012 | CAIGLM | Glencore nixes meeting to amend Viterra 6.406% notes after final offer
|
7/30/2012 | LMMU | Baltimore Country, Md., calls $10.78 million of metropolitan bonds
|
7/30/2012 | IGLM | Ameren Illinois begins tender offer for 9.75% notes, 6.25% notes
|
7/30/2012 | EMHYLM | EOAL Cyprus seeks bondholder approval to reduce insurance, sell vessel
|
7/30/2012 | CAIGLM | Teck Resources to use note offering proceeds to redeem 10.25% notes
|
7/30/2012 | LMMU | Houston Convention & Entertainment Facilities calls hotel tax bonds
|
7/30/2012 | IGLM | BMO Harris Bank calls all $5 million of fixed/floating-rate debentures
|
7/30/2012 | HYLM | CKE to redeem $82.1 million 11 3/8% notes via stock offering proceeds
|
7/30/2012 | CALM | First Capital Realty to redeem C$97 million 5.34% debentures due 2013
|
7/30/2012 | LMMU | Los Angeles County MTA offers to buy some 2003 Proposition A bonds
|
7/30/2012 | IGLM | CenterPoint Energy Houston calls $800 million 5.75% and 7% bonds
|
7/27/2012 | HYLM | Ashland launches tender offer for $650 million 9.125% notes due 2017
|
7/27/2012 | EMLM | Russia's Mobile TeleSystems buys back series 05 bonds due 2016
|
7/27/2012 | CALM | Pacific Rubiales to redeem PetroMagdalena's C$23 million 9% notes
|
7/27/2012 | LMMU | Michigan calls $54.59 million of state trunk line fund refunding bonds
|
7/27/2012 | HYLM | Clean Harbors gets consents for 69.2% of $490 million 7 5/8% notes
|
7/27/2012 | LM | Credit Suisse International redeems £62.92 million of 10.25% notes
|
7/27/2012 | CVLM | Charming Shoppes holders tender nearly all 1.125% convertibles
|
7/27/2012 | LMMU | West Virginia Hospital Finance calls $50 million of revenue bonds
|
7/27/2012 | HYLM | SBA Communications to redeem 8% senior notes via securities proceeds
|
7/27/2012 | LM | Intesa completes tender offers for subordinated notes, senior notes
|
7/27/2012 | CVLM | Sonic Automotive sets pricing in exchange for 5% convertible notes
|
7/27/2012 | HYLM | Suburban pushes back exchange offers to coincide with Inergy purchase
|
7/27/2012 | LM | Old Mutual prices tender offer to buy £387.72 million of 7.125% notes
|
7/27/2012 | CVLM | TransForce enlists National Bank for purchase plan under issuer bid
|
7/27/2012 | AGLM | FFCB to redeem $25 million of its consolidated systemwide bonds
|
7/27/2012 | IGLM | Atmos Energy to redeem all $250 million of its senior notes due 2013
|
7/27/2012 | HYLM | Amscan gets early tenders for $115.8 million of 83/4% notes due 2014
|
7/27/2012 | CVLM | Vodafone gets tenders for £222.9 million Cable & Wireless convertibles
|
7/27/2012 | CAHYLM | Angiotech extends floating-rate notes exchange offer, increases cap
|
7/27/2012 | IGLM | Caterpillar begins seven exchange offers for debentures, senior notes
|
7/26/2012 | IGLMPF | Vornado announces redemption of $225 million of 7%, 6.75% preferreds
|
7/26/2012 | EMLM | Consol Glass calls all €379.6 million of 7 5/8% first priority notes
|
7/26/2012 | CAIGLM | Glencore ups payout in solicitation for Viterra 6.406% unsecured notes
|
7/26/2012 | LMMU | Illinois Finance Authority 2008 revenue bonds have mandatory tender
|
7/26/2012 | HYLM | Brunswick calls remaining $71.5 million of 111/4% senior notes due 2013
|
7/26/2012 | CVLM | CFS Retail holders put A$198.6 million of convertible notes due 2014
|
7/26/2012 | LMMU | Irvine, Calif., public facilities authority calls series B and C bonds
|
7/26/2012 | HYLM | Host Hotels to redeem $400 million of its 6 3/8% notes on Aug. 27
|
7/26/2012 | EMHYLM | Chile's Pampa Calichera seeks consents to amend $250 million 73/4% notes
|
7/26/2012 | LMMU | Scottsdale, Ariz., defeases $77.63 million of series 2004 G.O. bonds
|
7/26/2012 | HYLM | Toys 'R' Us plans to redeem $400 million 7 7/8% senior notes in full
|
7/26/2012 | EMHYLM | Chile's Pampa Calichera seeks consents to amend $250 million 73/4% notes
|
7/26/2012 | ABLM | Caravela SME announces redemption of class A to H notes due 2038
|
7/26/2012 | IGLM | ConocoPhillips calls $1.1 billion 4.75% notes, $400 million 4.4% notes
|
7/26/2012 | EMLM | Philippines' Metrobank plans to redeem lower tier 2 notes on Oct. 22
|
7/26/2012 | AGLM | FFCB to redeem $87 million of its consolidated systemwide bonds
|
7/25/2012 | LMMU | Alamo Community College, Texas, defeases $77.95 million of tax bonds
|
7/25/2012 | HYLM | Biomet starts tender for 10 3/8-11 1/8% toggle notes due 2017
|
7/25/2012 | ABLM | Bank of Ireland redeems securities from four series in July
|
7/25/2012 | LMMU | Fairfax County, Va., industrial development calls $95 million bonds
|
7/25/2012 | HYLM | CPM Holdings mulls refinancing options for high-yield bonds
|
7/25/2012 | AGLM | FFCB to redeem $942 million of consolidated systemwide bonds at par
|
7/25/2012 | LMMU | Fairfax County, Va.'s $57.79 million bonds have mandatory tender
|
7/25/2012 | HYLM | Essential Power extends consent date in tender offer for 10 7/8% notes
|
7/25/2012 | CVDDEMHYLM | Mexico's Cemex to issue at least $421 million notes in exchange offer
|
7/25/2012 | LMPF | CommonWealth REIT calls outstanding 7 1/8% series C preferreds
|
7/25/2012 | HYLM | OSI Restaurant tenders, seeks consents for 10% senior notes due 2015
|
7/25/2012 | DDEMHYLM | Argentina's Transportadora de Gas del Norte extends early tender date
|
7/25/2012 | HYLM | SiriusXM calls all $186.11 million of 93/4% senior notes due 2015
|
7/25/2012 | EMHYLM | Vietnam's Hoang Anh Gia Lai gets needed consents to amend 9 7/8% notes
|
7/24/2012 | LMMU | Arizona defeases $123.01 million multipurpose stadium facility bonds
|
7/24/2012 | HYLM | Lear to redeem parts of 7 7/8% notes, 8 1/8% notes at 103 on Aug. 24
|
7/24/2012 | EMHYLM | Vietnam's Hoang Anh Gia Lai solicits consents to amend 9 7/8% notes
|
7/24/2012 | LMMU | Jersey City, N.J., calls $4.18 million of qualified fiscal year bonds
|
7/24/2012 | HYLM | Unisys calls $84.5 million 121/2% notes due 2016 for redemption
|
7/24/2012 | HYLM | Corrections to redeem $50 million of 63/4% senior notes due 2014
|
7/24/2012 | LMMU | Kansas Turnpike Authority calls $59.53 million of 2002 turnpike bonds
|
7/24/2012 | AGLM | FFCB to redeem $396 million of its consolidated systemwide bonds
|
7/24/2012 | HYLM | Universal Hospital Services begins tender offer for toggle notes
|
7/24/2012 | HYLM | Isle of Capri begins tender offer, consent solicitation for 7% notes
|
7/24/2012 | LMMU | Los Angeles defeases $243.69 million of 2004-A, 2005-A G.O. bonds
|
7/24/2012 | CAHYLM | Great Canadian Gaming to redeem 71/4% notes with 6 5/8% note proceeds
|
7/24/2012 | IGLM | Stanley Black & Decker tenders for 6.15%, 8.95%, 4.75% notes
|
7/24/2012 | HYLM | KB Home gets tenders for $243.4 million of three note series so far
|
7/24/2012 | LMMU | Washington Health Care calls $1.5 million 5.25% revenue bonds in full
|
7/24/2012 | CALM | Bank of Canada buys back C$500 million of bonds in repurchase action
|
7/24/2012 | LMMU | Arizona Health offers to purchase Phoenix Children's Hospital bonds
|
7/24/2012 | HYLM | KB Home increases tender offer; holders tender $243.4 million so far
|
7/24/2012 | LMPF | Equity LifeStyle may redeem, replace 8.034% perpetual preferreds
|
7/24/2012 | CVLM | Clarke puts off meeting for 6% convertibles; votes now due Aug. 20
|
7/23/2012 | LMMU | Missouri HEFA calls $183.27 million of SSM Health Care revenue bonds
|
7/23/2012 | CAIGLM | Glencore adjourns noteholder meeting due to voting discrepancies
|
7/23/2012 | LMMU | Washington Health calls five series of Swedish Health bonds in full
|
7/23/2012 | EMIGLM | Brazil's Odebrecht holders deliver consents to amend 7% notes
|
7/23/2012 | HYLM | Acadia Healthcare calls $52.5 million of senior notes due 2018
|
7/23/2012 | ABLM | Annington Finance bought back £1.45 million of its notes on July 19
|
7/23/2012 | HYLM | Mall Funding announces redemption of £80.1 million of notes due 2017
|
7/23/2012 | ABLM | Ocean Finance to buy back $10 million notes due March 2013 in full
|
7/23/2012 | HYLMPF | DRA CRT Acquisition announces tender offer for 81/2% series A preferreds
|
7/23/2012 | AGLM | FFCB to redeem $1.24 billion of consolidated systemwide bonds at par
|
7/20/2012 | HYLM | Pantry launches tender offer, consent bid for 73/4% notes due 2014
|
7/20/2012 | EMHYLM | Brazil's Vigor announces call for all $100 million 91/4% step-up notes
|
7/20/2012 | CVLM | Boston Private buys back $5.75 million of convertible trust preferreds
|
7/20/2012 | LMMU | Washington authority calls Swedish Health System bonds from six series
|
7/20/2012 | HYLM | Tomkins accepts $475 million 9% notes in oversubscribed tender offer
|
7/20/2012 | EMLM | Argentina's Loma de la Lata to buy back $24.26 million of 111/4% notes
|
7/20/2012 | CVLM | CapitalSource redeems remaining 7.25% convertibles after tender offer
|
7/20/2012 | LMPF | Invesco Van Kampen Senior Income Trust to redeem $75 million of ARPS
|
7/20/2012 | LMMU | Massachusetts Health calls $2.8 million of demand revenue bonds
|
7/20/2012 | EMLM | Kuwait's National Industries solicits consents for trust certificates
|
7/20/2012 | CVLM | First Uranium to redeem 7%, 11% secured convertibles due March 2013
|
7/20/2012 | ABLM | Globaldrive calls A, B, C and D asset-backed fixed-rate notes in full
|
7/20/2012 | LMMU | Massachusetts Water Resources Authority calls $37.61 million of bonds
|
7/20/2012 | HYLM | B/E Aerospace gets consents needed to amend 81/2% notes, sets pricing
|
7/20/2012 | CVLM | Publicis Groupe exercises call on 3.125% convertibles due 2014
|
7/20/2012 | CAIGLM | Glencore gets consents for one series of Viterra notes; one more to go
|
7/20/2012 | LMMU | Missouri HEFA calls $64.6 million of 2005A-1 SSM Health Care bonds
|
7/20/2012 | HYLM | CIT Group calls additional $600 million of 7% series C notes due 2016
|
7/20/2012 | EMHYLM | Argentina's YPF to buy back $79.02 million 10% notes due 2028 in offer
|
7/20/2012 | CVLM | AV Homes to issue non-putable notes in exchange for $37.5 million of 7.5% convertibles due 2016
|
7/20/2012 | LMMU | North Little Rock, Ark., defeases $39.93 million electric system bonds
|
7/19/2012 | LMMU | Palm Beach, Fla., defeases $105.35 million Biomedical Research bonds
|
7/19/2012 | LMMU | JEA, Fla., calls $145.34 million water and sewer system revenue bonds
|
7/19/2012 | CVLM | Sound Global may refinance 6% convertibles with proceeds of new notes
|
7/19/2012 | LMMU | West Virginia's 2011A Appalachian Power bonds have mandatory tender
|
7/19/2012 | LMMU | Long Island Power to redeem $276.81 million of electric system bonds
|
7/19/2012 | HYLM | CHS/Community Health calls $294.63 million of 8 7/8% notes due 2015
|
7/19/2012 | LMPF | Genie Energy plans to offer to issue new preferreds for class B shares
|
7/19/2012 | LMMU | Massachusetts Port Authority defeases some 2003-A and 2003-C bonds
|
7/19/2012 | HYLM | Primus unit holders take pass on asset-sale tender offer for 10% notes
|
7/19/2012 | AGLM | FFCB to redeem $474 million of its consolidated systemwide bonds
|
7/19/2012 | LMMU | Medical University Hospital, S.C., calls all 2002A facilities bonds
|
7/19/2012 | IGLM | Chevron Phillips Chemical calls $400 million 8.25% notes in full
|
7/19/2012 | CAHYLM | Baytex Energy calls 9.15% series A senior debentures for redemption
|
7/19/2012 | LMMU | North Carolina Medical defeases $76.19 million Rowan Medical bonds
|
7/19/2012 | LMMU | Gainesville, Fla., calls $43.5 million utilities system revenue bonds
|
7/19/2012 | CVLM | Lincare merger to cause fundamental change for 2.75% convertible notes
|
7/18/2012 | CVLM | Primaris plans to redeem all C$93.48 million of 5.85% convertibles
|
7/18/2012 | LMMU | San Ramon Valley, Calif., school district defeases G.O. bond series
|
7/18/2012 | HYLMPF | DDR to redeem 7.5% class I preferreds on Aug. 20
|
7/18/2012 | HYLM | CKE begins tender offer for $29.88 million 11 3/8% notes due 2018
|
7/18/2012 | DDHYLM | Horizon Lines gets consents to amend 13%-15% second-lien notes
|
7/18/2012 | LMMU | Seattle calls two series of drainage and wastewater bonds in full
|
7/18/2012 | AGLM | FFCB to redeem $722 million of consolidated systemwide bonds at par
|
7/18/2012 | LMMU | Allegheny County, Pa., calls UPMC Children's Hospital bonds in full
|
7/18/2012 | HYLM | Community Health unit gets tenders for 68.5% of 8 7/8% notes so far
|
7/18/2012 | EMLM | China's SPG Land receives consents to amend 131/2% senior notes due 2016
|
7/18/2012 | LMMU | Washington calls $77.87 million of series 1999S-1, 2000S-4 G.O. bonds
|
7/18/2012 | CAHYLM | Great Canadian Gaming receives tenders for 86.3% of 71/4% notes due 2015
|
7/18/2012 | LMMU | Georgia defeases $146.35 million of series 2004B, 2005A G.O. bonds
|
7/18/2012 | HYLM | Forest City Enterprises calls $125 million of 7 5/8% notes due 2015
|
7/18/2012 | EMLM | Kazakhstan's Doszhan buys no infrastructure bonds at Wednesday auction
|
7/18/2012 | CAIGLM | Bank of Montreal subsidiaries begin tender offer for three note series
|
7/18/2012 | LMMU | Katy ISD, Texas, calls $152.8 million of tax school building bonds
|
7/18/2012 | HYLM | Smithfield Foods begins tender offer for 73/4% notes and 10% notes
|
7/18/2012 | LM | Intesa begins tenders for up to €1 billion of subordinated notes, €500 million of senior notes
|
7/18/2012 | CVLM | Lions Gate says all 3.625% notes due 2025 converted or redeemed
|
7/18/2012 | LMMU | Miami-Dade County, Fla., school board defeases series 2003D COPs
|
7/18/2012 | HYLM | TrollDrilling gets holder support to amend 133/4% bonds; board balks
|
7/18/2012 | HYLM | Beazer Homes announces planned redemption of 12% senior secured notes
|
7/17/2012 | CVLM | Detour Gold gets enough consents to amend 5.5% convertibles
|
7/17/2012 | LMMU | Wisconsin authority calls $1.1 million of 2008A ProHealth Care bonds
|
7/17/2012 | IGLM | Barclays Bank calls all $500 million floating-rate notes due 2017
|
7/17/2012 | CVLM | Headwaters buys back $5 million of 2.5% convertibles for $4.7 million
|
7/17/2012 | IGLM | Kraft Foods accepts tenders for $3.6 billion notes in exchange offers
|
7/17/2012 | EMHYLM | Vietnam's Hoang Anh Gia Lai buys back $8.8 million of 9 7/8% notes
|
7/17/2012 | LMMU | California Pollution Control revenue bonds have mandatory tender
|
7/17/2012 | EMLM | Argentina's Loma de la Lata offers to buy back $25 million 2015 notes
|
7/17/2012 | AGLM | FFCB to redeem $582 million of consolidated systemwide bonds
|
7/17/2012 | LMMU | New Jersey announces redemptions, defeasances of 2002A, 2004B bonds
|
7/17/2012 | HYLM | LBI Media starts exchange offers for 81/2% notes, Holdings' 11% notes
|
7/17/2012 | CVLM | Clarke adds reason to extend 6% notes by five years: good governance
|
7/17/2012 | LMMU | Sacramento Municipal Utility calls $15.95 million of electric bonds
|
7/17/2012 | HYLM | Lennar begins tender offer for 5.95% notes contingent on new issue
|
7/16/2012 | CVLM | Royal Host completes issuer bid for 6%, 5.9% and 6.25% convertibles
|
7/16/2012 | ABLM | Bruntwood redeems £7.46 million mortgage-backed floaters due 2017
|
7/16/2012 | LMMU | Rhode Island Health to redeem $70.67 million of hospital bonds Aug. 15
|
7/16/2012 | LMMU | Illinois Finance Authority calls $1.63 million Swedish Covenant bonds
|
7/16/2012 | EMIGLM | Brazil's Odebrecht launches consent solicitation for 7% notes due 2020
|
7/16/2012 | ABLM | CSAM Funding I calls preferreds, eight classes of notes for redemption
|
7/16/2012 | LMMU | Virginia Public Building Authority calls 5% bonds due 2016 and 2019
|
7/16/2012 | LMMU | Indiana Health calls $3.32 million Columbus Regional Hospital bonds
|
7/16/2012 | HYLM | Ashtead terminates tender for 9% notes; Aug. 17 redemption planned
|
7/16/2012 | AGLM | FFCB to redeem $585 million of consolidated systemwide bonds at par
|
7/16/2012 | LMPV | Otter Tail prepays in full $50 million Cascade note with premium
|
7/16/2012 | LMMU | New Hampshire Municipal Bond Bank calls $54.69 million bonds
|
7/16/2012 | HYLM | Clean Harbors tenders, seeks consents for $490 million of 7 5/8% notes
|
7/16/2012 | CVLM | Penske redeems all $63.3 million 3.5% convertibles due 2026 with cash
|
7/16/2012 | LMMU | North Carolina calls $1.81 million of Alamance Health Service bonds
|
7/16/2012 | IGLMPF | Kimco Realty calls $175 million 6.65% class F preferred stock in full
|
7/16/2012 | CVLM | Renewable Energy gets consent to kill REC unit under 6.5% convertibles
|
7/16/2012 | ABLM | Armstrong Loan Funding to prepay class B, C, D, E, F notes on July 30
|
7/16/2012 | LMMU | Oklahoma Development Finance Authority calls some health system bonds
|
7/16/2012 | LMMU | Atlanta Rapid Transit's 2000A, B bonds have mandatory tender
|
7/13/2012 | LM | Egg Banking announces £44.5 million repurchase of 7.5% tier II notes
|
7/13/2012 | AGLM | FFCB to redeem $354 million of its consolidated systemwide bonds
|
7/13/2012 | IGLMPF | Santander wraps offers for 7.95% securities, 8.963% trust preferreds
|
7/13/2012 | LM | Santander accepts tenders for £1.88 billion of notes in upsized offer
|
7/13/2012 | CVDDLM | Orco convertible holders reject proposal to move up conversion date
|
7/13/2012 | LMMU | Bridgeport, Conn., calls outstanding series 2001C, 2002A G.O. bonds
|
7/13/2012 | HYLM | Amscan Holdings tenders for 83/4% subordinated notes due 2014
|
7/13/2012 | CVLM | Yanlord Land holders put S$305 million 5.85% convertibles due 2014
|
7/13/2012 | LMMU | Harris County, Texas, calls all $176.8 million revenue refunding bonds
|
7/13/2012 | HYLM | Appleton terminates consent solicitations for 101/2% notes, 111/4% notes
|
7/13/2012 | DDEMHYLM | MetroGas gets legal agreement majorities on reorganization proposal
|
7/13/2012 | LMMU | Tulalip Tribes, Wash., to redeem $69.8 million bonds in full Aug. 2
|
7/13/2012 | HYLM | Hovnanian Enterprises to exchange $15 million of notes for stock
|
7/13/2012 | EMHYLM | Mexico's Petrotemex launches tender offer, consent bid for 91/2% notes
|
7/13/2012 | ABLM | Genfinance II buys back £50 million of 6.064% secured bonds due 2039
|
7/13/2012 | HYLM | Suburban gets needed consents to amend Inergy notes in sweetened deal
|
7/12/2012 | IGLM | Hancock's Whitney Bank prices tender offer for 5.875% notes due 2017
|
7/12/2012 | EMIGLM | Singapore's DBS Bank calls two series of zero-coupon notes due 2040
|
7/12/2012 | LMMU | El Dorado Irrigation District, Calif., defeases $53.72 million of COPs
|
7/12/2012 | IGLM | Harleysville Group to redeem $100 million 5.75% senior notes in full
|
7/12/2012 | HYLM | Fifth & Pacific redeems all remaining €52.9 million of its 5% notes
|
7/12/2012 | LMMU | Louisiana plans redemption dates for series 2004, 2006 G.O. bonds
|
7/12/2012 | IGLM | PPL announces planned redemption of all 6.85% notes due 2047
|
7/12/2012 | HYLM | Morris Publishing issues call for redemption of all of its public debt
|
7/12/2012 | LMMU | Municipal Corrections Finance, Del., calls $15.8 million of bonds
|
7/12/2012 | IGLM | Tyco sets pricing, gives early results for simultaneous tender offers
|
7/12/2012 | IGLM | Bank of America to redeem all $127.69 million of its 6% InterNotes
|
7/12/2012 | AGLM | FFCB to redeem $251 million of consolidated systemwide bonds at par
|
7/12/2012 | LMMU | Richmond County, Ga., authority calls $3.34 million MCG Health bonds
|
7/12/2012 | IGLMPF | Citigroup Capital XIX 7.25% trust preferreds to be redeemed Aug. 15
|
7/12/2012 | IGLM | Exelon holders tender $442.1 million 7.6% Constellation notes
|
7/12/2012 | DDEMHYLM | Argentina's Transportadora de Gas del Norte starts exchange offer
|
7/12/2012 | LMMU | County of Riverside Asset Leasing, Calif., calls $63.94 million bonds
|
7/11/2012 | AGLM | FFCB to redeem $1.3 billion of its consolidated systemwide bonds
|
7/11/2012 | LMMU | Massachusetts Water authority calls some series 7 pool program bonds
|
7/11/2012 | HYLM | KB Home tenders for up to $150 million 53/4%, 5 7/8% and 61/4% notes
|
7/11/2012 | LMMU | Michigan Finance Authority calls $122.23 million clean water bonds
|
7/11/2012 | IGLM | Markel announces full $150 million redemption of 7.5% debentures
|
7/11/2012 | LMMU | West Contra Costa school district, Calif., calls $83.58 million bonds
|
7/11/2012 | LMMU | District of Columbia calls $2.8 million of Freedom Forum 2002 bonds
|
7/11/2012 | ABLM | Aphex Capital buys back all €80 million floating-rate notes due 2014
|
7/11/2012 | LMMU | Leander ISD, Texas, calls $197.93 million of school building bonds
|
7/11/2012 | ABLM | Signum Finance announces €130,000 repurchase of €11.8 million notes
|
7/11/2012 | LMMU | Louisiana calls $8.36 million of series 2011-B G.O. refunding bonds
|
7/10/2012 | LMMU | JEA, Fla., calls some St. John's River power park system revenue bonds
|
7/10/2012 | CVLM | Bank of Iwate calls remaining ¥10.45 billion of step-up convertibles
|
7/10/2012 | LMMU | Louisiana defeases some of its series 2012-C, 2012-D G.O. bonds
|
7/10/2012 | CVLM | Detour Gold again extends consent solicitation for 5.5% convertibles
|
7/10/2012 | LMMU | Texas Water Development calls $17.4 million subordinate-lien bonds
|
7/10/2012 | EMHYLM | Brazil's Fibria to accept $514.38 million of 71/2% notes for purchase
|
7/10/2012 | EMHYLM | Vietnam's Hoang Anh Gia Lai buys back $6.2 million of 9 7/8% notes
|
7/10/2012 | HYLM | Front Exploration 11% bondholders consent to extension of maturity
|
7/9/2012 | HYLM | Hovnanian issues shares for $3 million each of 71/2%, 8 5/8% notes
|
7/9/2012 | EMLM | China's SPG Land seeks consents to amend 131/2% senior notes due 2016
|
7/9/2012 | IGLM | Gamco announces final results of tender offer for 0% notes due 2015
|
7/9/2012 | EMLM | HSBC Bank Middle East repurchases $250,000 of $19.1 million notes
|
7/9/2012 | IGLM | Lloyds accepts $4.92 billion of notes for purchase in tender offer
|
7/9/2012 | LM | Lloyds announces preliminary results of tender for six series of notes
|
7/9/2012 | CAIGLM | Glencore solicits consents for Viterra's 5.95% notes, 6.406% notes
|
7/9/2012 | IGLMPF | Corporate Office calls 8% series G cumulative redeemable preferreds
|
7/9/2012 | HYLM | Appleton Papers extends consent solicitations for 101/2%, 111/4% notes
|
7/9/2012 | CVDDLM | Subex to issue $127.72 million new 5.7% convertibles in exchange offer
|
7/9/2012 | IGLMPF | Fifth Third announces plan to redeem $862.5 million trust preferreds
|
7/9/2012 | HYLM | B/E Aerospace tenders, seeks consents for $600 million of 81/2% notes
|
7/9/2012 | CVLM | Lonking buys back $5.19 million of zero-coupon convertibles due 2014
|
7/9/2012 | LMMU | Arizona Board of Regents defeases some University of Arizona COPs
|
7/6/2012 | HYLM | Suburban lifts coupons and premium in exchange offer for Inergy notes
|
7/6/2012 | LMMUPF | MFS funds plan tender offers for auction-rate preferreds at 95% of par
|
7/6/2012 | IGLM | Detroit Edison to redeem all $225 million of its 5.2% notes on July 23
|
7/6/2012 | LMPF | Faircourt Split Trust to redeem C$5.08 million of its 6.25% preferreds
|
7/6/2012 | IGLM | Lloyds TSB Bank sets pricing in tender for dollar-denominated notes
|
7/6/2012 | AGLM | FFCB to redeem $106 million of consolidated systemwide bonds
|
7/6/2012 | LMMU | Illinois Health's $60.91 million of 1985A bonds have mandatory tender
|
7/6/2012 | CVLM | BioSante issues stock for $2.47 million of 3.125% convertible notes
|
7/6/2012 | LMMU | Massachusetts Water Pollution Abatement Trust calls series 5 bonds
|
7/6/2012 | EMLM | Russia's Acron completes early redemption of series 02, 04, 05 bonds
|
7/6/2012 | LMMU | North Texas Higher Education calls $477.52 million variable-rate bonds
|
7/5/2012 | CVDDLM | Subex receives holder approval to extend maturity of 2% convertibles
|
7/5/2012 | ABLM | Northern Rock, Bradford & Bingley complete Dutch auction tenders
|
7/5/2012 | LMMU | Kaweah Delta Health Care, Calif., calls $66.92 million revenue bonds
|
7/5/2012 | LM | Anglian Water Services calls all £275 million of fixed-to-floaters
|
7/5/2012 | CVLM | BBVA cuts principal amount of bonds by 50% with mandatory conversion
|
7/5/2012 | ABLM | Prometheus Capital buys back all €25 million class 2007-IEB floaters
|
7/5/2012 | LMMU | Philadelphia School District calls $188.89 million of G.O. bonds
|
7/5/2012 | HYLM | Bon-Ton to issue $330 million new notes in exchange for 10 5/8% notes
|
7/5/2012 | EMHYLM | NTS Communications buys back NIS 1.34 million of series A bonds
|
7/5/2012 | AGLM | FFCB to redeem $120.36 million of its consolidated systemwide bonds
|
7/5/2012 | HYLM | Cengage Learning exchanges $710 million 12% notes for 101/2% notes
|
7/5/2012 | EMHYLM | Sappi Papier announces early tender results, issues redemption notice
|
7/5/2012 | CAHYLM | Great Canadian tenders for 7.25% subordinated notes due 2015
|
7/5/2012 | HYLM | Tomkins companies get tenders for $869.87 million of 9% notes so far
|
7/5/2012 | EMLM | Argentina's Banco Hipotecario buys back $11.57 million of 2016 notes
|
7/5/2012 | CVDDEMHYLM | Mexico's Cemex launches exchange offer and consent solicitation
|
7/5/2012 | IGLMPF | Santander appoints another dealer manager for $2 billion tender offer
|
7/5/2012 | EMLM | Georgian Railway settles tender offer for 9 7/8% notes due 2015
|
7/3/2012 | HYLM | Manchester United to redeem 8 3/8%, 83/4% notes with proceeds from IPO
|
7/3/2012 | CVLM | Orckit cuts conversion price on series A, B notes under arrangement
|
7/3/2012 | LMMU | Los Angeles harbor department calls $18.1 million 2002A bonds in full
|
7/3/2012 | HYLM | Mobile Mini to redeem $150 million 6 7/8% senior notes due 2015 Aug. 2
|
7/3/2012 | CVLM | Renewable Energy holders reject bid to amend, extend 6.5% convertibles
|
7/3/2012 | LMMU | Massachusetts Water Pollution Abatement calls series 8 pool bonds
|
7/3/2012 | IGLM | Gamco announces preliminary results of tender offer for 0% debentures
|
7/3/2012 | LM | Santander launches tender offer for eight series of subordinated notes
|
7/3/2012 | LMMU | Pennsylvania redeems $2.87 million series 2008 demand revenue bonds
|
7/3/2012 | IGLMPF | Santander offers to purchase 7.95% securities, 8.963% trust preferreds
|
7/3/2012 | HYIGLM | Newfield Exploration gets needed consents for 6 5/8% notes due 2016
|
7/3/2012 | AGLM | FFCB calls $9.45 million of consolidated systemwide bonds in full
|
7/3/2012 | LMMU | South Carolina calls $1.07 million of 2003 A hospital revenue bonds
|
7/3/2012 | LMMU | Arkansas calls series 2002 highway grant anticipation and tax bonds
|
7/3/2012 | HYLM | Community Health unit tenders for $934 million 8 7/8% notes due 2015
|
7/3/2012 | LMMU | West Virginia University calls two United Hospital Center bond series
|
7/3/2012 | CAHYLM | Angiotech begins exchange offer for up to $200 million of floaters
|
7/3/2012 | LMMU | Illinois to redeem $3.88 million series 2008 A, 2008 B revenue bonds
|
7/2/2012 | LMMU | New Jersey calls $211.32 million of various bonds for redemption
|
7/2/2012 | HYLM | Good Sam Enterprises begins excess cash flow offer for 111/2% notes
|
7/2/2012 | LMMU | Massachusetts Water Pollution Abatement calls some MWRA bonds
|
7/2/2012 | AGLM | FFCB calls $388.06 million of consolidated systemwide bonds at par
|
7/2/2012 | LMMU | Boston calls all series 2002 Boston City Hospital refunding bonds
|
7/2/2012 | LMMU | San Francisco calls $1.38 million taxable tax allocation revenue bonds
|
7/2/2012 | HYLM | Solutia to redeem all outstanding 83/4%, 7 7/8% senior notes in August
|
7/2/2012 | LMMU | New York City Transitional Finance calls all 2003 C future tax bonds
|
7/2/2012 | LMMU | Massachusetts Water authority calls five series of pool program bonds
|
7/2/2012 | CVLM | BBVA sets conversion price of bonds for mandatory partial conversion
|
7/2/2012 | LMMU | California authority calls 2007A Ridgecrest Regional Hospital bonds
|
7/2/2012 | LMMU | Southern California water district calls $82.33 million revenue bonds
|
7/2/2012 | HYLM | Troll Drilling seeks consents to amend 133/4% bonds, issue more of them
|
7/2/2012 | LMMU | New York State Urban Development calls state income tax revenue bonds
|
7/2/2012 | LMMU | Miami-Dade County calls $1.28 million of 2006B hospital revenue bonds
|
7/2/2012 | CVLM | Oil States holders put back no 2.375% convertibles ahead of redemption
|
7/2/2012 | LMMU | Kentucky may redeem $62.57 million series 2006 A gas supply bonds
|
7/2/2012 | LMMU | Virginia calls $11.62 million 2002A public facilities revenue bonds
|
7/2/2012 | IGLM | Kraft Foods amends sublimits for new notes in exchange offers
|
7/2/2012 | LMMU | Omaha calls $8.85 million 1993 series C electric system revenue bonds
|
7/2/2012 | LMMU | Minnesota calls $89.78 million general obligation trunk highway bonds
|
7/2/2012 | EMHYLM | Korea's C&M to redeem remaining 8.1% senior notes due 2016 at 102.7
|
7/2/2012 | LMMU | Los Angeles County, Calif., transportation authority calls some proposition C bonds
|
7/2/2012 | IGLM | Whitney Bank gets tenders for $51.78 million of 5.875% notes to date
|
7/2/2012 | LMMU | Puerto Rico Public Finance calls commonwealth appropriation bonds
|
7/2/2012 | LMMU | Missouri calls $20 million Kauffman Center 2007A variable-rate bonds
|
7/2/2012 | HYLM | Essential Power begins tender offer, consent bid for 10 7/8% notes
|
7/2/2012 | LMMU | Massachusetts Water Pollution Abatement calls some pool program bonds
|
7/2/2012 | IGLMPF | Fifth Third to redeem $575 million 7.25% trust preferreds due 2067
|
7/2/2012 | LMMU | San Antonio, Texas calls some Bexar Metropolitan Water District bonds
|
6/29/2012 | HYLM | Retail Holdings agrees to extend SVP notes; SVP prepays $5 million
|
6/29/2012 | EMLM | Kazakhstan's Doszhan buys no infrastructure bonds at Friday auction
|
6/29/2012 | ABLMPF | Holders of Union Square CDO's notes, preferreds exercise put option
|
6/29/2012 | LMMU | Connecticut refunds 2002, 2003, 2004 bonds, to redeem two series in July
|
6/29/2012 | ABLM | BBVA takes in tenders for €638.22 million of asset-backed securities
|
6/29/2012 | HYLM | Suburban holders may deliver consents by next Friday in exchange offer
|
6/29/2012 | HYLM | Altra to redeem $21 million of 8 1/8% notes due 2016 at 103 on July 31
|
6/29/2012 | CALM | Sun Life Assurance redeems all C$800 million 6.15% debentures at par
|
6/29/2012 | LMMU | Louisiana authority calls some Franciscan Missionaries hospital bonds
|
6/29/2012 | ABLM | Banco Comercial Portugues gives results in tender for nine series
|
6/29/2012 | HYLM | Westlake Chemical calls $250 million of 6 5/8% notes due 2016 at 102.2
|
6/29/2012 | HYLM | Ashtead launches tender offer for any and all 9% secured notes
|
6/29/2012 | CVDDLM | Moser Baer to hold Aug. 31 meetings for holders of A, B convertibles
|
6/29/2012 | LMMU | Richmond County, Ga., authority calls portion of 2008 MCG Health bonds
|
6/29/2012 | ABLM | E-Carat redeemed €403.1 million of notes due 2017 on June 18
|
6/29/2012 | IGLMPF | AAG Holding calls 7.5% notes due 2033, 7.25% notes due 2034 at par
|
6/29/2012 | HYLM | Media General offers par for up to $45.21 million of 113/4% notes
|
6/29/2012 | CVLM | TransGlobe REIT defeases all 5.4% convertibles, offers to buy at 101
|
6/29/2012 | LMMUPF | BlackRock New Jersey, New York trusts to redeem all shares, liquidate
|
6/29/2012 | ABLM | Magellan Mortgages redeems four series of notes at par at month-end
|
6/29/2012 | IGLMPF | Public Storage calls $132.5 million of 6.5% series W preferreds at par
|
6/29/2012 | HYLM | Petrolia to buy back 12% bonds in three parts, offer aimed at no votes
|
6/29/2012 | EMLM | Alon Blue Square units buy back NIS 200,995 series C debentures
|
6/29/2012 | LMPF | Miller Energy Resources to pay off series A preferreds with new loan
|
6/29/2012 | ABLM | Omega Capital repurchases €46 million Waypoint secured notes
|
6/29/2012 | LMMU | Chicago defeases portion of 2004A G.O. project and refunding bonds
|
6/28/2012 | LMPF | MetroCorp buys back $43.74 million preferreds through Treasury auction
|
6/28/2012 | CVDDLM | Gold Reserve shareholders OK restructuring of notes with 99% of vote
|
6/28/2012 | IGLMPF | U.S. Bancorp to redeem $500 million of its trust preferreds on July 28
|
6/28/2012 | HYLM | Interline gets majority of consents for $300 million 7% notes
|
6/28/2012 | CVLM | Charming Shoppes starts tender for any and all 1.125% convertibles
|
6/28/2012 | LMMU | California calls $110.7 million of series D emergency shelter bonds
|
6/28/2012 | IGLM | Exelon subsidiary exchanges Constellation 7.6% notes tendered so far
|
6/28/2012 | CVLM | Energy XXI issues shares for $25,750 of 5.625% convertible preferreds
|
6/28/2012 | LMMU | Long Island Power, N.Y., calls $149 million electric system bonds
|
6/28/2012 | IGLM | Lloyds TSB Bank tenders for up to £1.25 billion of six notes series
|
6/28/2012 | CVLM | National Bank of Abu Dhabi buys back AED 1 million convertibles
|
6/28/2012 | LMMU | Minnesota calls all $89.78 million of 2002 general obligation bonds
|
6/28/2012 | IGLMPF | First Citizens BancShares calls 8.05% debentures, trust preferreds
|
6/28/2012 | CVLM | Superior Plus to redeem remaining C$49.94 million 5.75% convertibles
|
6/28/2012 | LMMU | Nassau County, N.Y., to redeem Amsterdam at Harborside bonds July 5
|
6/28/2012 | ABLM | Magellan Mortgages to redeem €1.53 billion of notes from five series
|
6/28/2012 | IGLMPF | PNC to redeem $967.5 million of trust preferreds from two series
|
6/28/2012 | EMIGLM | Mexico's America Movil solicits consents for three Telmex note series
|
6/27/2012 | EMLM | Alon Blue Square-Israel unit buys back NIS 225,000 series C debentures
|
6/27/2012 | ABLM | Caixa Economica Montepio wraps offer for Pelican mortgage-backed notes
|
6/27/2012 | LMMU | Dasny defeases some series 2003A Columbia University revenue bonds
|
6/27/2012 | HYLM | Suburban extends consent date till Friday in offer for Inergy notes
|
6/27/2012 | LM | Egg Banking announces €44.5 million 7.5% perpetual notes buyback
|
6/27/2012 | AGLM | FFCB to redeem $290 million of consolidated systemwide bonds at par
|
6/27/2012 | LMMU | North Carolina State University at Raleigh bonds have mandatory tender
|
6/27/2012 | IGLM | Exelon holders tender $440.91 million of Constellation notes so far
|
6/27/2012 | HYLM | Appleton solicits consents for 101/2%, 111/4% notes related to acquisition
|
6/27/2012 | CVLM | Detour Gold extends consent solicitation for 5.5% convertibles
|
6/27/2012 | LMMU | Tempe, Ariz., calls all $53.67 million variable-rate revenue bonds
|
6/27/2012 | IGLM | Tyco tenders for $2.6 billion of notes in connection with ADT spinoff
|
6/27/2012 | HYLM | Forest City to redeem some 7 5/8% senior notes via offering proceeds
|
6/27/2012 | CVLM | Gome Electrical redeems remaining RMB 75 million of 3% convertibles
|
6/27/2012 | LMMU | Washington calls $77.87 million series 1999S-1, 2000S-4 G.O. bonds
|
6/27/2012 | IGLMPF | Wells Fargo buys back notes on prorated basis in oversubscribed offer
|
6/27/2012 | HYLM | NBT seeks holder approval to waive equity ratio for 14% bonds due 2013
|
6/27/2012 | CVLM | Seair holders vote to extend maturity of 8% convertibles, lift coupon
|
6/27/2012 | LMMU | Anaheim Union High School District, Calif., calls 2002 A G.O. bonds
|
6/27/2012 | HYLM | Stratus purchases 4,995 units in excess cash flow tender offer
|
6/26/2012 | CVLM | RadiSys to issue $18 million new 4.5% convertibles through exchange
|
6/26/2012 | HYLM | L-3 Communications to redeem $250 million 6 3/8% notes due 2015
|
6/26/2012 | DDHYLM | Rubicon Offshore holders vote to waive payments, amend bond terms
|
6/26/2012 | IGLM | Exelon subsidiary prices exchange offer for Constellation's 7.6% notes
|
6/26/2012 | EMLM | Alon Blue Square-Israel unit buys back NIS 230,000 series C debentures
|
6/26/2012 | LMMU | Phoenix announces defeasance of various G.O. bonds from three series
|
6/26/2012 | EMLM | China Liansu buys back $9.82 million of 7 7/8% notes due 2016
|
6/26/2012 | AGLM | FFCB calls all $50 million consolidated systemwide bonds due 2016
|
6/26/2012 | LMMU | Waterbury, Conn., defeases 2004 B G.O. tax revenue refunding bonds
|
6/26/2012 | EMLM | Georgian Railway holders tender $222.48 million 9 7/8% notes due 2015
|
6/26/2012 | CVLM | Fifth & Pacific issues shares for $15 million of 6% convertibles
|
6/26/2012 | LMPF | Aimco announces full redemption of class U cumulative preferred stock
|
6/26/2012 | HYLM | ITV accepts £275 million of notes for purchase in tender offers
|
6/25/2012 | LMMU | Salt Lake County, Utah, announces defeasance of sales tax bond series
|
6/25/2012 | CVLM | Flotek Industries to buy back $15 million of convertible notes at 102
|
6/25/2012 | LMMU | San Diego calls $211.43 million public facilities water revenue bonds
|
6/25/2012 | CVLM | Sonic Automotive offers cash, shares in exchange for 5% convertibles
|
6/25/2012 | LMMU | Washington authority defeases some Seattle Children's Hospital bonds
|
6/25/2012 | EMHYLM | Brazil's Fibria holders tender $509.22 million 71/2% notes by early date
|
6/25/2012 | ABLM | Lanark Master Issuer calls all class 3Al and 3A2 notes in full at par
|
6/25/2012 | EMLM | Alon Blue Square-Israel unit buys back NIS 958,643 series C debentures
|
6/25/2012 | AGLM | FFCB to redeem $100 million of consolidated systemwide bonds at par
|
6/25/2012 | IGLMPF | TCF Financial calls $115 million 10.75% series I capital securities
|
6/25/2012 | CAHYLM | New Flyer to redeem 14% notes on Aug. 20 at 105, amends loan terms
|
6/22/2012 | IGLMPF | Bank of America trusts call trust preferreds for full redemption
|
6/22/2012 | HYLM | Sanmina-SCI to redeem $150 million of 8 1/8% notes due 2016
|
6/22/2012 | CALM | Viterra calls all C$208.5 million 81/2% senior unsecured notes due 2017
|
6/22/2012 | LMMU | Alameda Corridor Transportation, Calif., calls $83.71 million of bonds
|
6/22/2012 | HYLM | Suburban again extends consent date in exchange offer for Inergy notes
|
6/22/2012 | CVLM | Pengrowth seals change-of-control tender offers for NAL Energy buyout
|
6/22/2012 | LMMU | Ohio defeases five series of G.O. bonds, sets redemption prices at par
|
6/22/2012 | HYLM | Tomkins companies tender for up to $475 million 9% notes due 2018
|
6/22/2012 | CVLM | Renewable Energy solicits consents to amend, extend 6.5% convertibles
|
6/22/2012 | IGLM | Comcast calls all $575 million of its 6.625% senior notes due 2056
|
6/22/2012 | HYLM | AMC holders agree to waive change-of-control offer for 83/4%, 93/4% notes
|
6/22/2012 | ABLM | Langton Securities issuers buy back floating-rate notes due 2054
|
6/22/2012 | IGLM | Georgia Power calls all $300 million 6.375% series 2007D senior notes
|
6/22/2012 | HYLM | Renewable Energy gets go-ahead to shutter REC unit under three notes
|
6/22/2012 | AGLM | FFCB calls $50 million consolidated systemwide bonds due 2015 in full
|
6/21/2012 | LMMU | Mesquite ISD, Texas, defeases $38.56 million of unlimited tax bonds
|
6/21/2012 | HYLM | Interline solicits merger-related consents for $300 million 7% notes
|
6/21/2012 | CVDDLM | Gold Reserve accepts tenders for $18.04 million of 5.5% convertibles
|
6/21/2012 | LMMU | New York City Transitional Finance rescinds building bond redemption
|
6/21/2012 | IGLM | Packaging Corp. to redeem all $400 million of notes with new offering
|
6/21/2012 | DDHYLM | Camo holders push through extension of 101/2% notes to 2013
|
6/21/2012 | LMMU | North Orange County Community College, Calif., calls 2002 G.O. bonds
|
6/21/2012 | IGLM | Societe Generale gets tenders for €1.7 billion of tier 2 hybrids
|
6/21/2012 | EMHYLM | Sappi Papier unit lifts offer cap for 12%, 113/4% notes to $700 million
|
6/21/2012 | LMMU | Ohio defeases $204.41 million series 2009A University Hospitals bonds
|
6/21/2012 | ABLM | Bank of Ireland Mortgage Bank buys back €15 million of 4.625% notes
|
6/21/2012 | LMMU | Dasny $50 million North Shore revenue bonds have mandatory tender
|
6/21/2012 | EMLM | Alon Blue Square subsidiaries buy back NIS 1.48 million debentures
|
6/21/2012 | ABLM | Signum Finance buys back COP 65 million of 2007-01 notes due 2037
|
6/21/2012 | LMMU | Manchester, N.H., calls three series of airport revenue bonds in full
|
6/21/2012 | HYLM | Callon Petroleum repurchases $10 million of 13% senior notes due 2016
|
6/21/2012 | AGLM | FFCB to redeem $270 million of consolidated systemwide bonds at par
|
6/20/2012 | LMPF | Aimco to redeem class U cumulative preferreds with stock proceeds
|
6/20/2012 | LMMU | Hospital for Special Surgery, N.Y., calls $2.38 million of 3.5% bonds
|
6/20/2012 | EMHYLM | Sappi Papier unit offers to buy $300 million of 12%, 113/4% notes
|
6/20/2012 | LMPF | MHI Hospitality announces $12.33 million redemption of preferreds
|
6/20/2012 | LMMU | Indianapolis Airport begins tender offer for series 1995A 6.5% bonds
|
6/20/2012 | EMLM | Alon Holdings Blue Square-Israel unit buys NIS 429,916 debentures
|
6/20/2012 | LMPF | Webster calls all $136.06 million of 7.65% Capital Trust IV preferreds
|
6/20/2012 | LMMU | Puerto Rico Government Development Bank calls $253.3 million of notes
|
6/20/2012 | LM | Statoil Fuel & Retail 5.25%, floating-rate bondholders have put option
|
6/20/2012 | ABLM | BBVA begins tender offer for senior, mezzanine asset-backed securities
|
6/20/2012 | LMMU | Richmond County, Ga., authority cancels call for MCG Health bonds
|
6/20/2012 | HYLM | Primus tenders for $183.3 million 10% notes due 2017 after asset sale
|
6/20/2012 | ABLM | Banco Comercial Portugues tenders for €300 million of nine note series
|
6/20/2012 | LMMU | San Diego Convention Center authority defeases $150.72 million bonds
|
6/20/2012 | LMMU | Clark County, Nev., defeases $53.98 million of G.O. limited-tax bonds
|
6/20/2012 | AGLM | FFCB to redeem $684 million of consolidated systemwide bonds
|
6/19/2012 | LMMU | New York State Environmental calls all $4.72 million 2002J bonds
|
6/19/2012 | HYLM | Intertape Polymer to redeem $25 million 81/2% notes due 2014 on Aug. 1
|
6/19/2012 | EMLM | Brazil's Oi to redeem outstanding fifth issue debentures on June 26
|
6/19/2012 | LMMU | San Diego calls $211.43 million of subordinated water revenue bonds
|
6/19/2012 | IGLM | Gamco expands tender offer for 0% notes due 2015, extends deadline
|
6/19/2012 | EMLM | Georgian Railway tenders for $250 million 9 7/8% notes due 2015
|
6/19/2012 | ABLM | Northern Rock, Bradford & Bingley begin Dutch auction tender offers
|
6/19/2012 | LMPF | DNP, Duff & Phelps wrap tender offers for five series of preferreds
|
6/19/2012 | IGLM | IBM to exchange $909.4 million 7.125% debentures, 8% notes, 5.6% notes
|
6/19/2012 | LM | Landshypotek announces redemption of SEK 329 million notes on June 19
|
6/19/2012 | AGLM | FFCB to redeem $80 million of consolidated systemwide bonds
|
6/19/2012 | IGLMMU | Detroit Edison to repay notes, tax-exempt bonds with sale proceeds
|
6/19/2012 | HYIGLM | Newfield Exploration tenders, seeks consents for 6 5/8% notes due 2016
|
6/19/2012 | CVLM | Clarke seeks OK to extend 6% notes to 2018, revoke conversion terms
|
6/19/2012 | LMMU | Delmarva, Del., to redeem $31 million 2002B pollution control bonds
|
6/19/2012 | HYLM | Frontier Communications purchases $500 million of two note series
|
6/19/2012 | EMLM | Alon Holdings Blue Square-Israel unit buys NIS 1.15 million of notes
|
6/18/2012 | LMMU | Texas Public Finance calls $83.41 million of 2.6% term bond due 2020
|
6/18/2012 | HYLM | Reader's Digest buys back $60.6 million of floaters in tender offer
|
6/18/2012 | LMMU | George Washington University, D.C., to redeem $167.73 million of bonds
|
6/18/2012 | HYLM | Bon-Ton unit gets tenders, consents for 71% of 10 5/8% notes due 2017
|
6/18/2012 | ABLM | Brooklands announces €1.24 million buyback of 2002-1 linked notes
|
6/18/2012 | IGLMPF | Georgia Power calls all 6.375% series 2007D senior notes due 2047
|
6/18/2012 | LMPF | Webster Financial calls all 7.65% Webster Capital Trust IV preferreds
|
6/18/2012 | HYLM | Zayo gets initial tenders, consents for 99% of $347 million 101/4% notes
|
6/18/2012 | LMMU | Houston calls all $225 million 2004B-1 combined utility system bonds
|
6/18/2012 | HYLM | Greektown explores options for refinancing 13% secured notes due 2015
|
6/18/2012 | CALM | Canadian Utilities to redeem all C$150 million of series W preferreds
|
6/18/2012 | LMMU | Arizona calls $35.87 million of Dignity Health variable-rate bonds
|
6/18/2012 | IGLM | Bank of America calls $318.92 million 5.5%, 6.5% subordinated notes
|
6/18/2012 | LMMU | Indiana Finance calls some 2009A, 2009B community health network bonds
|
6/18/2012 | HYLM | ITV tenders for 10% notes at 117.5, two other series via Dutch auction
|
6/18/2012 | CVLM | Gome Electrical board OKs buyback of 3% convertible bonds due 2014
|
6/18/2012 | LMMU | California Earthquake calls $31.5 million of series 2006 revenue bonds
|
6/18/2012 | IGLM | Kraft Foods offers new notes in exchange for eight series of old notes
|
6/18/2012 | LMMU | Massachusetts calls $115.05 million of Boston Medical revenue bonds
|
6/18/2012 | HYLM | MRC Global announces $102 million second-quarter buyback of 91/2% notes
|
6/18/2012 | EMLM | Hong Kong's Hang Seng to redeem all $300 million floaters due 2017
|
6/18/2012 | LMMU | California calls $137.33 million of Catholic Healthcare West bonds
|
6/18/2012 | IGLM | TCF Financial to redeem all of 10.75% notes with preferred offering
|
6/18/2012 | LMMU | Nassau County, N.Y., authority calls $3.43 million series 2007C bonds
|
6/18/2012 | HYLM | Nuplex to redeem NZ$52.6 million of capital notes with loan proceeds
|
6/18/2012 | EMLM | Israel's Alon Blue units, chairman buy NIS 1.72 million debentures
|
6/18/2012 | LMMU | Cuyahoga, Ohio, defeases $95.34 million Cleveland Clinic Health bonds
|
6/18/2012 | ABLM | Arran Residential Mortgages redeems 12 series of its notes due 2056
|
6/18/2012 | IGLMPF | BB&T affiliates to redeem $3.08 billion of trust preferred securities
|
6/15/2012 | LMMU | New York City Transitional Finance calls $5.3 million building bonds
|
6/15/2012 | DDEMHYLM | EOAL Cypress holders approve new bond issue to avoid insolvency
|
6/15/2012 | LMMU | Berkeley County, S.C. calls $59.22 million of its school district bonds
|
6/15/2012 | HYLM | Suburban further extends consent date, sweetens offer for Inergy notes
|
6/15/2012 | LMMU | Port Authority of New York and New Jersey calls $300 million bonds
|
6/15/2012 | LM | Ericsson completes tender offers for 5% notes, floaters due 2014
|
6/15/2012 | LMMU | Connecticut plans to redeem all $100 million 2001A G.O. bonds June 29
|
6/15/2012 | ABEMIGLM | Russia's Gazprom buys back $11.06 million of 7.201% notes due 2020
|
6/15/2012 | HYLM | Wendy's to redeem all of its 10% senior notes due 2016 on July 15
|
6/15/2012 | HYLM | DDR calls all outstanding $223.47 million 5 3/8% notes for redemption
|
6/15/2012 | LMMU | University of Hawaii calls outstanding $123.49 million 2002A bonds
|
6/15/2012 | LMMU | Dasny to redeem some Fordham University series 2008A revenue bonds
|
6/15/2012 | AGIGLM | Tennessee Valley Authority calls all $27.7 million 4.875% electronotes
|
6/15/2012 | IGLM | Health & Retirement Properties Trust calls $190.98 million 6.5% bonds
|
6/15/2012 | HYLM | Dollar General to redeem all $450.7 million of toggle notes due 2017
|
6/15/2012 | LMMUPF | BlackRock Advisors announces details on preferred shares redemption
|
6/15/2012 | LMMU | Fremont, Calif., school district to redeem $70.22 million G.O. bonds
|
6/15/2012 | AGLM | FFCB to redeem $829 million of its consolidated systemwide bonds
|
6/15/2012 | IGLM | Oncor Electric Delivery calls all $533.7 million 5.95% notes due 2013
|
6/15/2012 | HYLM | Oxford Industries announces redemption of $105 million 11 3/8% notes
|
6/15/2012 | LMMU | Tsasc calls all $370.79 million series 2002-1 tobacco settlement bonds
|
6/15/2012 | LMMU | NYC cultural resources trust's Juilliard bonds have mandatory tender
|
6/15/2012 | CVLM | TransGlobe REIT falls short in bid to add call to 5.4% convertibles
|
6/15/2012 | LMMU | Anderson Regional Joint Water, S.C., calls $49.12 million of bonds
|
6/15/2012 | HYLM | Prospect Medical Holdings calls all $53,000 123/4% senior secured notes
|
6/14/2012 | HYLM | HanesBrands calls $150 million of floating-rate notes due 2014 at par
|
6/14/2012 | AGLM | FFCB calls $232 million consolidated systemwide bonds in full at par
|
6/14/2012 | LMMU | Washington authority calls Southwest Washington Medical bonds in full
|
6/14/2012 | LMMU | California authority's Republic Services bonds have mandatory tender
|
6/14/2012 | HYLM | Polarcus exercises call option on 13% limited senior secured bond
|
6/14/2012 | CAHYLM | Telesat Canada completes redemption of $454.14 million 11% notes
|
6/14/2012 | LMMU | Elizabethton, Tenn., calls $64.2 million Mountain States Health bonds
|
6/14/2012 | IGLM | Exelon subsidiary begins exchange offer for Constellation's 7.6% notes
|
6/14/2012 | CVLM | Health Care REIT calls all $168.09 million of 4.75% convertibles
|
6/14/2012 | LMMU | Johnson City, Tenn., calls $111.5 million Mountain States Health bonds
|
6/14/2012 | IGLMPF | AAG Holding plans to redeem all 7.5%, 7.25% senior debentures
|
6/14/2012 | EMLM | Argentina's Mastellone Hermanos buys back $360,000 of series A bonds
|
6/14/2012 | LMMU | Maricopa County Pollution Control, Ariz., rescinds bond redemption
|
6/14/2012 | IGLMPF | Qwest to redeem $484 million 7.5% notes with 7% notes sale proceeds
|
6/14/2012 | HYLM | CKE Restaurants to redeem $60 million of 11 3/8% notes due 2018
|
6/14/2012 | LMMU | Philadelphia Industrial calls $51.93 million Fox Chase Cancer bonds
|
6/14/2012 | LMMU | Burke County, Ga., authority calls all series 2005 Georgia Power bonds
|
6/13/2012 | EMLM | Russia's LSR holders may put non-convertible bonds through June 26
|
6/13/2012 | CVLM | Pharming Group redeems final tranche of €8.4 million convertible bond
|
6/13/2012 | LMMU | Apache, Ariz., Industrial Development calls all Tucson Electric bonds
|
6/13/2012 | HYIGLM | Tyson completes tender, solicitation for 10.5% notes; remainder called
|
6/13/2012 | CVLM | UNS Energy redeems all $34.7 million of 4.5% convertibles due 2035
|
6/13/2012 | LMMU | District of Columbia authority defeases public utility bonds in full
|
6/13/2012 | HYLM | AMC seeks consents to amend 83/4%, 93/4% notes relating to Wanda buyout, plans to redeem 8% notes
|
6/13/2012 | DDHYLM | Camo seeks holder approval to extend maturity of 101/2% notes to 2013
|
6/13/2012 | LMMU | Educational Funding of the South calls $835.48 million student bonds
|
6/13/2012 | AGLM | FFCB to redeem $255 million of its consolidated systemwide bonds
|
6/13/2012 | HYLM | Fairstar holders may put bonds due 2013 or opt for offer by Dockwise
|
6/13/2012 | EMLM | Alon Holdings Blue Square-Israel unit buys NIS 1.13 million debentures
|
6/13/2012 | CALM | Financial Preferred to redeem its outstanding preferreds on June 14
|
6/13/2012 | LMMU | Lancaster County Hospital, Pa., calls remaining revenue bonds due 2041
|
6/13/2012 | IGLM | Exelon subsidiary plans exchange offer for Constellation's 7.6% notes
|
6/13/2012 | EMLM | Marfin Popular Bank repurchases €181.92 million of notes on June 12
|
6/13/2012 | CVDDLM | Subex seeks holder approval to extend maturity of 2% convertibles
|
6/13/2012 | LMMU | Massachusetts Water Pollution trust calls $100 million BANs due 2013
|
6/13/2012 | IGLMPF | Wells Fargo ups tender cap in oversubscribed offer, details pricing
|
6/12/2012 | IGLMPF | KeyCorp to redeem $707.19 million of trust preferreds from two trusts
|
6/12/2012 | EMIGLM | Venezuela's CAF to issue new notes in 8 1/8%, 53/4% notes exchange
|
6/12/2012 | CVLM | China Nickel issues HK$1.3 billion new notes, convertibles in exchange
|
6/12/2012 | LMMU | Seattle calls $44.32 million of series 2001 water system revenue bonds
|
6/12/2012 | IGLMPF | Wells Fargo prices tender offer for $2 billion of notes in nine series
|
6/12/2012 | EMLM | Nomura Bank announces PHP 548.5 million buy back of notes due 2020
|
6/12/2012 | CVLM | Lions Gate Entertainment calls remaining $42.28 million convertibles
|
6/12/2012 | LMMU | St. Petersburg, Fla., authority hospital bonds have June 28 tender
|
6/12/2012 | LMMU | Detroit Sewer Disposal System extends tender for floaters due 2032
|
6/12/2012 | LM | Abbey National Treasury buys back floating-rate notes from two series
|
6/12/2012 | DDHYLM | Ambac Assurance announces $289 million redemption of surplus notes
|
6/12/2012 | LMMU | Indiana Finance Authority calls all $16.53 million Marquette bonds
|
6/12/2012 | LM | Swedbank announces SEK 725 million buy back of floating-rate notes
|
6/12/2012 | EMHYLM | Brazil's Fibria offers to buy $500 million 71/2% notes via Dutch auction
|
6/12/2012 | AGLM | FFCB calls $40 million consolidated systemwide bonds in full at par
|
6/12/2012 | LMMU | Massachusetts calls $89.68 million of Harvard University revenue bonds
|
6/12/2012 | HYLM | United Maritime Group calls $147.13 million 113/4% senior notes due 2015
|
6/12/2012 | EMHYLM | Mexico's Controladora Mabe holders exchange $130.89 million 61/2% notes
|
6/12/2012 | CVLM | Alesco to redeem remaining $100,000 of 7.625% convertible senior notes
|
6/12/2012 | LMMU | Puerto Rico Public Buildings calls $45.15 million government bonds
|
6/11/2012 | LMMU | Houston Airport System calls $310.51 million of 2002A, B revenue bonds
|
6/11/2012 | IGLMPF | Citigroup Capital XII, XXI to redeem all of 8.5%, 8.3% preferreds
|
6/11/2012 | CVLM | Newell to repay all $421.2 million 51/4% convertibles with note proceeds
|
6/11/2012 | LMMU | Michigan calls all $61.53 million of its McLaren Health Care bonds
|
6/11/2012 | IGLMPF | Citigroup Capital XII to redeem all 8.5% trust preferreds on July 18
|
6/11/2012 | LM | Vestjysk Bank redeems all Kr 400 million floating-rate bonds due 2013
|
6/11/2012 | LMMU | North Carolina Eastern Municipal defeases bonds from three series
|
6/11/2012 | IGLMPF | JPMorgan announces the redemption of $9 billion of capital securities
|
6/11/2012 | HYLM | American Casino pulls tender offer for 11% notes, postpones new issue
|
6/11/2012 | AGLM | FFCB to redeem $322 million of its consolidated systemwide bonds
|
6/11/2012 | LMMU | Winchester, Va., authority calls $15 million Winchester Medical bonds
|
6/11/2012 | IGLMPF | Public Storage calls all $110.63 million of series C preferred shares
|
6/11/2012 | IGLM | CBS calls $738.2 million of senior notes due 2012 and 2014 in full
|
6/11/2012 | CVDDLM | Gold Reserve withdraws option for some 5.5% convertible holders
|
6/11/2012 | IGLMPF | SL Green Realty calls all $100 million of 7.875% series D preferreds
|
6/11/2012 | IGLM | Motorola Solutions sets redemption price for $400 million 5.375% notes
|
6/11/2012 | CVLM | Headwaters exchanges 2.5% convertibles for new 8.75% notes due 2016
|
6/8/2012 | LMMU | Kansas Turnpike defeases $10.53 million of series 2003A revenue bonds
|
6/8/2012 | IGLM | CommonWealth REIT to redeem all $190.98 million of 6.5% senior notes
|
6/8/2012 | EMHYLM | China's Texhong Textile buys back $3 million of 7 5/8% notes due 2016
|
6/8/2012 | LMMU | Metropolitan Pier and Exposition, Ill., calls $722.78 million bonds
|
6/8/2012 | IGLMPF | SunTrust calls all $1.19 billion SunTrust Capital VIII, IX preferreds
|
6/8/2012 | EMIGLM | Singapore's DBS Bank calls seven series of 0% notes due 2030, 2040
|
6/8/2012 | LMMU | Montgomery County, Tenn., calls some of its 1999, 2008 revenue bonds
|
6/8/2012 | LMMU | Chatham County Hospital Authority defeases $50 million Memorial bonds
|
6/8/2012 | HYLM | Renewable Energy calls second meeting related to floaters due 2016
|
6/8/2012 | LMMU | Eastern Municipal Water, Calif.'s 2008G COPs have mandatory tender
|
6/8/2012 | HYLM | Suburban says Inergy holders have another week to deliver consents
|
6/8/2012 | ABLM | AIG-FP Ireland completes repurchase of €332,300 of variable-rate notes
|
6/8/2012 | LMMU | Harris County, Texas, calls $2.55 million of Christus Health bonds
|
6/8/2012 | HYLMPV | Realogy parent Domus to repay some debt, redeem 11% convertible notes using IPO proceeds
|
6/8/2012 | AGLM | FFCB to redeem $298 million of its consolidated systemwide bonds
|
6/7/2012 | LMMU | Maryland health and education authority calls Johns Hopkins bonds
|
6/7/2012 | LMMU | Greater Cleveland Regional Transit defeases, plans call for G.O. bonds
|
6/7/2012 | LM | Vestjysk Bank redeems Kr 1.4 billion of its bonds on June 6
|
6/7/2012 | AGLM | FFCB to redeem $293 million of its consolidated systemwide bonds
|
6/7/2012 | LMMU | Pennsylvania Economic Development calls $100 million revenue bonds
|
6/7/2012 | LMMU | Harris County, Texas, calls $2.55 million of Christus Health bonds
|
6/7/2012 | HYLM | Petrolia holders give needed consents to extend 12% bonds due 2012
|
6/7/2012 | CVLM | Royal Host begins issuer bid for 6%, 5.9% and 6.25% convertible notes
|
6/7/2012 | LMMU | South Central Connecticut authority defeases three water bond series
|
6/7/2012 | LMMU | Indianapolis bond bank calls all $456.61 million 2002A waterworks bonds
|
6/7/2012 | HYLM | Renewable Energy falls short of quorum for 11% bonds due 2014
|
6/7/2012 | CVLM | Vishay to pay cash to settle conversions, redemptions of 2.25% notes
|
6/7/2012 | LMPF | Wilshire to redeem TARP preferreds sold by Treasury to third parties
|
6/7/2012 | LMMU | Los Angeles Water & Power calls all $67.09 million of Berkshire bonds
|
6/7/2012 | IGLM | American Financial to redeem 71/4%, 71/2% notes with new bond offering
|
6/7/2012 | EMIGLM | Venezuela's CAF offers new notes in exchange for 8 1/8%, 53/4% notes
|
6/7/2012 | LMMU | Louisiana defeases $587.77 million of gas and fuels tax revenue bonds
|
6/7/2012 | LMMU | Coastal Bend Health, Texas, calls $2.15 million Christus Health bonds
|
6/7/2012 | LM | Ericsson tenders for €500 million 5% notes due 2013, floaters due 2014
|
6/6/2012 | LMMU | Sacramento, Calif., calls $60.24 million airport system revenue bonds
|
6/6/2012 | HYIGLM | Tyson Foods begins tender offer, consent solicitation for 10.5% notes
|
6/6/2012 | LMMU | Montgomery County authority, Tenn., calls bonds from four series
|
6/6/2012 | LMMU | Dasny calls $5.95 million of its 2003A, 2003C University of Rochester bonds
|
6/6/2012 | HYLM | Fifth & Pacific to repurchase, redeem 5% euro notes via notes proceeds
|
6/6/2012 | LMMU | MultiCare Health System of Washington to convert $100 million bonds
|
6/6/2012 | ABLM | Avery Point to redeem eight note series and some preferreds June 18
|
6/6/2012 | LMMU | Dasny calls $6.71 million of 2000A, 2000B, 2004A, 2004B Cornell bonds
|
6/6/2012 | HYLM | REA to resell $9 million 71/2% notes under supplemental rights agreement
|
6/6/2012 | LMMU | New York Metropolitan Transportation calls two series of contract bonds
|
6/6/2012 | AGLM | FFCB to redeem $1.6 billion of consolidated systemwide bonds at par
|
6/6/2012 | LMMU | Dasny calls New York Public Library revenue bonds from two series
|
6/6/2012 | HYLM | TASC announces redemption of $35 million of 12 3/8% notes due 2016
|
6/6/2012 | LMMU | North Carolina Medical calls $1.13 million of Wake Forest bonds
|
6/6/2012 | CVLM | West Pharmaceutical accepts tenders for 98.06% of 4% convertibles
|
6/6/2012 | LMMU | Houston defeases public improvement bonds, certificates of obligation
|
6/6/2012 | IGLM | IBM posts early exchange results in offers for three series of notes
|
6/6/2012 | LMMU | Pennsylvania Industrial calls $189.78 million series 2002 revenue bonds
|
6/6/2012 | EMLM | Kazakhstan's Doszhan arranges to buy back some infrastructure bonds
|
6/6/2012 | LMMU | Maryland Health calls $1.32 million of Johns Hopkins revenue bonds
|
6/6/2012 | LMMU | Dasny calls $3.25 million from two St. John's University bond series
|
6/5/2012 | LMMU | South Jersey Transportation calls $29.29 million of its 1999 bonds
|
6/5/2012 | HYLM | Amscan to redeem 83/4% notes due 2014 as part of Thomas H. Lee purchase
|
6/5/2012 | HYLM | Louisiana-Pacific purchases $236.3 million 13% notes in tender offer
|
6/5/2012 | LMMU | Arizona redeems $53.05 million of multipurpose stadium facility bonds
|
6/5/2012 | LMMU | Illinois Finance calls $1.38 million Northwest Community revenue bonds
|
6/5/2012 | CVLM | Lions Gate Entertainment calls $21.13 million of 3.625% convertibles
|
6/5/2012 | LMMU | Pittsburgh Water and Sewer calls $89.83 million revenue bonds in full
|
6/5/2012 | EMHYLM | Indosat gets consents for 7 3/8% notes to allow tower transaction
|
6/4/2012 | LMMU | Louisiana Stadium calls $6.08 million of series 2006 tax-exempt bonds
|
6/4/2012 | LMPF | Duff & Phelps funds extend offers to purchase some preferreds
|
6/4/2012 | HYLM | Zayo begins tender offer, consent bid for $350 million of 101/4% notes
|
6/4/2012 | LMMU | San Antonio calls $104.92 million of airport revenue improvement bonds
|
6/4/2012 | CALM | Western Financial to redeem all its series 3 first preferred shares
|
6/4/2012 | LMMU | Houston to redeem $55.95 million 2002B airport system bonds in full
|
6/4/2012 | LMMU | Philadelphia authority calls $103.2 million Temple University bonds
|
6/4/2012 | LMMU | Energy Northwest to redeem $220.4 million of Columbia Generating bonds
|
6/4/2012 | LMMU | Massachusetts Bay Transportation calls 2002 A senior sales tax bonds
|
6/4/2012 | LMPV | Conn's announces plans to redeem $103.7 million notes in April 2013
|
6/4/2012 | IGLM | Dollar General plans to repurchase subordinated notes in July
|
6/4/2012 | LMMU | South Carolina calls $41.71 million 2002B school facilities bonds
|
6/4/2012 | EMLM | Malaysia's Public Bank to redeem all $400 million 5% notes due 2017
|
6/4/2012 | LMMU | Indiana commission calls $61.59 million New Castle Correctional bonds
|
6/4/2012 | LMMU | Phoenix calls all series 2002 Civic Improvement water system bonds
|
6/4/2012 | LMMU | Fresno State University, Calif., calls $56.27 million revenue bonds
|
6/4/2012 | LMMU | Massachusetts HEFA calls UMass, Caritas Christi, South Shore bonds
|
6/4/2012 | LMPV | Thirty-Eight Hundred Fund to redeem $194.2 million floaters in full
|
6/4/2012 | LMMU | Arizona State University to redeem portions of various bonds on July 1
|
6/4/2012 | LMMU | Johnson City, Tenn., calls portion of 2011A hospital revenue bonds
|
6/4/2012 | LMMU | Tempe, Ariz. calls $2.37 million of transit excise tax revenue bonds
|
6/4/2012 | HYLM | AerCap Holdings repays $170 of secured loans with senior note offering
|
6/4/2012 | LMMU | Port of Portland, Ore., calls $5.82 million of airport revenue bonds
|
6/4/2012 | LMMU | Georgia World Congress calls portion of domed stadium project bonds
|
6/4/2012 | LMMU | New Hampshire Health and Educational Facilities calls university bonds
|
6/4/2012 | LMSP | Morgan Stanley redeems $12 million contingent income notes on Amazon
|
6/4/2012 | LMMU | Arizona Transportation calls three series of highway revenue bonds
|
6/4/2012 | LMMU | Lehigh County, Pa., calls part of Lehigh Valley Health hospital bonds
|
6/4/2012 | LMMU | Virginia Port Authority calls all series 2002 port fund revenue bonds
|
6/4/2012 | HYLM | Bon-Ton unit offers 10 5/8% notes due 2017 in exchange for 101/4% notes
|
6/4/2012 | LMMU | Puerto Rico Public Buildings Authority calls $335.58 million of bonds
|
6/4/2012 | AGLM | FFCB to redeem $178.88 million of its consolidated systemwide bonds
|
6/4/2012 | LMMU | Hawaii Budget and Finance calls $12.94 million Queens Health bonds
|
6/4/2012 | LMMU | New Jersey Health Care Facilities calls $145 million of hospital bonds
|
6/4/2012 | LMMU | California Health calls $22.03 million of Catholic Healthcare bonds
|
6/4/2012 | LMMU | Los Angeles department of water and power calls series 2003 A bonds
|
6/4/2012 | LMPF | BlackRock Investment Quality calls all $4.58 million preferreds
|
6/4/2012 | HYLM | HSN calls all $250 million 111/4% notes due 2016 for August redemption
|
6/4/2012 | LMMU | Puerto Rico authority calls $149.97 million of bonds from four series
|
6/4/2012 | BKHYLM | Ace Hardware redeems 9 1/8% notes using revolver, term loan
|
6/4/2012 | LMMU | Hillsborough County, Fla., school board calls COPs from three series
|
6/4/2012 | LMMU | Pennsylvania Economic Development calls $2.12 million revenue bonds
|
6/4/2012 | LMMU | Colorado authority calls $57.94 million student housing revenue bonds
|
6/1/2012 | LMMU | Intermountain Power of Utah calls $40.86 million 1986F, 1996A bonds
|
6/1/2012 | CVLM | Petrominerales holders tender $250 million of 2.625% convertibles
|
6/1/2012 | LMMU | Florida Department of Environmental Protection calls two bond series
|
6/1/2012 | HYLM | Suburban extends consent date by one week in offer for Inergy notes
|
6/1/2012 | LMMU | Santa Clara, Calif., calls $3.35 million 2008B electric revenue bonds
|
6/1/2012 | LMMU | New York Local Government redeems $125.9 million refunding bonds
|
6/1/2012 | CVLM | West Pharmaceutical sets purchase price for convertibles tender offer
|
6/1/2012 | LMMU | Florida Transportation calls $200.9 million of its construction bonds
|
6/1/2012 | HYLM | Viasystems Group redeems outstanding $220 million 12% senior notes
|
6/1/2012 | LMMU | Tigard-Tualatin School District, Ore., calls $57.14 million G.O. bonds
|
6/1/2012 | LMMU | North Carolina Eastern Municipal calls 1986, 1993 power system bonds
|
6/1/2012 | LM | Depfa holders exercise put option on $4.69 million putable floaters
|
6/1/2012 | LMMU | Fredericksburg, Va., Economic Development calls student housing bonds
|
6/1/2012 | AGLM | FFCB to redeem $402 million of consolidated systemwide bonds at par
|
6/1/2012 | IGLM | ABB's Thomas & Betts gets consents to amend $250 million 5.625% bonds
|
6/1/2012 | LMMU | Washington to redeem all $236.55 million of series 2003A, B G.O.s
|
6/1/2012 | HYLM | Borgestad gets OK to call 10% bonds, refinance with new bonds due 2015
|
6/1/2012 | LMMU | Puerto Rico Highways and Transportation Authority calls revenue bonds
|
6/1/2012 | LMMU | Houston calls $2.1 million of airport system revenue bonds due 2020
|
6/1/2012 | CVDDLM | Gold Reserve offers alternative to put option to convertibles holders
|
6/1/2012 | LMMU | Broward County calls airport system bonds for June 29 redemption
|
6/1/2012 | HYLM | Frontier Communications accepts tenders for $400 million of 81/4% notes
|
6/1/2012 | LMMU | Richmond County, Ga., authority calls $3.34 million MCG Health bonds
|
6/1/2012 | LMMU | Illinois Finance calls $2.6 million of University of Chicago bonds
|
6/1/2012 | CVLM | Pengrowth begins change-of-control tender offers for NAL convertibles
|
6/1/2012 | LMMU | Energy Northwest to redeem $350.44 million of 2002-A, 2002-B bonds
|
6/1/2012 | HYLM | Rite Aid receives no additional 9 3/8% notes, wraps tender offer
|
6/1/2012 | LMMU | San Antonio calls airport system revenue improvement bonds in full
|
5/31/2012 | HYLM | Atrium European launches cash tender offers for 6% notes, floaters
|
5/31/2012 | CVLM | CompuCredit holders put back $83.49 million of 3.625% convertibles
|
5/31/2012 | LMMU | Utah to redeem all series 2002A general obligation bonds on July 1
|
5/31/2012 | ABLM | Cordusio redeems all €3.28 billion of its mortgage-backed floaters
|
5/31/2012 | LMMU | Puerto Rico Industrial Development calls $20.79 million of 1997A bonds
|
5/31/2012 | HYLM | Nextel Communications to redeem $1 billion of 6 7/8% bonds due 2013
|
5/31/2012 | CVLM | Detour Gold begins consent solicitation for 5.5% convertibles
|
5/31/2012 | LMPF | Sumitomo Mitsui Trust Holdings to redeem all ¥27.5 billion preferreds
|
5/31/2012 | AGLM | FFCB to redeem $215 million of its consolidated systemwide bonds
|
5/31/2012 | LMMU | Puerto Rico Public Buildings calls $358.48 million of government bonds
|
5/31/2012 | LMMU | Chicago calls all $100.47 million special transportation revenue bonds
|
5/31/2012 | CVLM | Golden Star issues $77.49 million 5% convertibles in swap for 4% notes
|
5/31/2012 | CVLM | American Equity posts mandatory redemption notice for 8% convertibles
|
5/31/2012 | LMMU | Sacramento defeases some of its 2002 series T electric revenue bonds
|
5/31/2012 | LMMU | Houston Airport System calls $2.13 million of 2002D-1 revenue bonds
|
5/31/2012 | EMLM | Singapore's Cache unit gets go-ahead to redeem 31/2% notes on June 6
|
5/31/2012 | CVLM | China Nickel holders exchange HK$1.3 billion of 10% convertibles
|
5/31/2012 | LMMU | Texas calls some water financial assistance bonds from three series
|
5/31/2012 | LMMU | Los Angeles Unified School District calls $367.82 million G.O. bonds
|
5/31/2012 | HYLM | American Casino begins cash tender offer for 11% senior secured notes
|
5/31/2012 | CVLM | Colombia's Petrominerales begins tender offer for 2.625% convertibles
|
5/31/2012 | LMMU | Tulalip Tribes, Wash., renews call for full $69.8 million redemption
|
5/31/2012 | LMMU | Maricopa County Pollution Control, Ariz., calls $59.24 million bonds
|
5/30/2012 | LMMU | Colorado Educational calls nature conservancy project revenue bonds
|
5/30/2012 | HYLM | Havila holders vote to amend bonds in connection with acquisition
|
5/30/2012 | CALM | Canadian Utilities to redeem all C$150 million of series X preferreds
|
5/30/2012 | LMMU | Johnson City Medical Center, Tenn., calls $80.26 million 1998C bonds
|
5/30/2012 | IGLM | Dexus prices tender offer for 7.125% notes, ups cap to $175.46 million
|
5/30/2012 | CVLM | H&R REIT announces call of all 6.65% and 6.75% convertible debentures
|
5/30/2012 | LMMU | New York City Municipal Water bonds have mandatory purchase June 7
|
5/30/2012 | IGLM | Starwood Hotels & Resorts calls all $494.87 million 6.25% notes
|
5/30/2012 | DDHYLM | Eitzen amends 12% notes to allow tap issues, in-kind interest payment
|
5/30/2012 | LMMU | North Carolina Medical Care to redeem two series of Wake Forest bonds
|
5/30/2012 | IGLMPF | Wells Fargo begins tender offer for $2 billion of nine note series
|
5/30/2012 | LM | ARC Funding to redeem remaining €35.53 million of A-2E, A-2E2 notes
|
5/30/2012 | LMPF | First Republic Preferred Capital calls all 7.25% series D preferreds
|
5/30/2012 | LMMU | California Statewide calls all $65 million of Rady Children's bonds
|
5/30/2012 | LM | Landshypotek buys back SEK 250 million of its 3.15% notes due 2013
|
5/30/2012 | LMPF | Source Capital to redeem preferred stock on June 29 for $54.15 million
|
5/30/2012 | AGLM | FFCB to redeem $622 million of its consolidated systemwide bonds
|
5/29/2012 | CAHYLM | Telesat wraps tender offer, receives no tenders after consent date
|
5/29/2012 | LMMU | Tucson, Ariz., calls $39.42 million of series 2002 water system bonds
|
5/29/2012 | LMMU | Hospital Authority of Savannah, Ga., to redeem $1.52 million of bonds
|
5/29/2012 | HYLM | Petrolia asks holders to extend 12% bonds due 2012, redo denomination
|
5/29/2012 | CALM | Financial Preferred Securities gets holder approval to call preferreds
|
5/29/2012 | LMMU | Two series of Oklahoma Water Resources bonds subject to purchase
|
5/29/2012 | LMMU | Illinois Health calls $78.21 million of University of Chicago bonds
|
5/29/2012 | IGLM | AT&T plans to call $4.8 billion of notes in three series on June 29
|
5/29/2012 | CVLM | Artis REIT calls all C$7.35 million of its 7.5% series E convertibles
|
5/29/2012 | LMMU | Washington Health Care calls all $45.01 million Group Health bonds
|
5/29/2012 | LMMU | Partners Healthcare, Mass., to make $15 million of bids on F-2 bonds
|
5/29/2012 | LMMU | Charlotte, N.C., calls all $4.07 million of its water and sewer bonds
|
5/29/2012 | CVLM | Central European Media gets tenders for $109.01 million convertibles
|
5/29/2012 | LMPF | Cedar Realty Trust to redeem $9 million of series A preferred stock
|
5/29/2012 | LMMU | Seattle defeases $219.47 million of water system and refunding bonds
|
5/29/2012 | LMMU | Detroit defeases $9.61 million of water supply system revenue bonds
|
5/29/2012 | EMLM | UAE's Jebel Ali gets consents for 89% of AED 7.5 billion certificates
|
5/29/2012 | LMPP | China Automotive redeems all remaining five-year convertibles due 2013
|
5/29/2012 | LMMU | Tampa, Fla., calls $93.42 million 1998A-2, 3 Catholic Health East bonds
|
5/29/2012 | LMMU | District of Columbia defeases $140.09 million of series 2004A G.O.s
|
5/29/2012 | HYLM | Hexcel to redeem remaining $73.5 million of its 63/4% notes due 2015
|
5/25/2012 | CVLM | UNS Energy calls all 4.5% convertible notes due 2035
|
5/25/2012 | LMMU | Metropolitan Atlanta Rapid Transit defeases $20.13 million 2003A bonds
|
5/25/2012 | LMMU | Connecticut HEFA calls $61.26 million of University of Hartford bonds
|
5/25/2012 | EMHYLM | Central European Media extends tenders for floaters, 11 5/8% notes
|
5/25/2012 | LMMU | San Diego County Regional Transportation calls 2008 sales tax bonds
|
5/25/2012 | LMMU | Connecticut calls $67.37 million of its special tax obligation bonds
|
5/25/2012 | EMHYLM | Korea's Hynix to redeem all 7 7/8% senior notes due 2017 at 103.938
|
5/25/2012 | LMMU | School Board of Broward County, Fla., defeases series 2003A COPs
|
5/25/2012 | LMMU | Fairfax County Economic Development, Va., defeases route 28 bonds
|
5/25/2012 | HYLM | Capmark to redeem $125 million of its floating-rate first-lien notes
|
5/25/2012 | LMMU | St. Charles Parish, La., Valero Project bonds have mandatory tender
|
5/25/2012 | LMMU | Hospital Authority of Fort Wayne, Ind., calls Parkview Health bonds
|
5/25/2012 | IGLM | Gamco amends minimum denomination of tenders for 0% notes due 2015
|
5/25/2012 | LMMU | Tulalip Tribes, Wash., rescinds full redemption of $69.8 million bonds
|
5/25/2012 | CVLM | Penske to redeem all $63.32 million of its 3.5% convertibles due 2026
|
5/25/2012 | LMMU | Lorain County, Ohio, calls $405.84 million Catholic HealthCare bonds
|
5/25/2012 | LMMU | Clear Creek Independent School District, Texas, defeases 2005 bonds
|
5/24/2012 | LM | HSBC to redeem all €600 million 8.03% step-up perpetual preferreds
|
5/24/2012 | LMMU | Hillsborough County, Fla., defeases community investment tax bonds
|
5/24/2012 | HYLM | Suburban again extends consent date, sweetens offer for Inergy notes
|
5/24/2012 | HYLM | Morris Publishing redeems $2.49 million of secured floaters due 2014
|
5/24/2012 | ABLM | ELAN repurchases all $19.4 million of series 2011-01 floaters due 2016
|
5/24/2012 | LMMU | Maryland Transportation calls $10.8 million airport facilities bonds
|
5/24/2012 | HYLM | Tekni-Plex to pay down loan, call 83/4% notes via $485 million proceeds
|
5/24/2012 | HYLM | Mueller Industries calls all $148.2 million of 6% subordinated notes
|
5/24/2012 | ABLM | Magnolia Finance VI buys back €4.69 million of variable-rate notes
|
5/24/2012 | LMPF | Neuberger Berman Real Estate to redeem all auction market preferreds
|
5/24/2012 | LMMU | Alameda Corridor, Calif., plans to redeem $83.71 million 1999A bonds
|
5/24/2012 | HYLM | Nob Hill to redeem subordinated securities from six series on June 12
|
5/24/2012 | AGLM | FFCB calls $39 million consolidated systemwide bonds in full at par
|
5/24/2012 | LMPV | 3i Group buys back €150 million of private placement notes due 2013
|
5/24/2012 | LMMU | Berks County, Pa., calls $55.14 million of health care revenue bonds
|
5/24/2012 | HYLM | Ryland Group calls 6 7/8% senior notes due 2013 for redemption in full
|
5/24/2012 | LM | HSBC bank repurchases £350 million of its notes on May 24
|
5/24/2012 | LMMU | District of Columbia calls $61.25 million of its Gallery Place bonds
|
5/24/2012 | HYLM | Stratus Technologies begins excess cash flow tender offer for units
|
5/23/2012 | ABLM | Natinium Financial repurchases all €400 million of notes due 2013
|
5/23/2012 | LMMU | New Hampshire Municipal defeases $53.66 million from four bond series
|
5/23/2012 | DDHYLM | Blom's restructuring of 2009 bonds to settle soon; 2011 bonds amended
|
5/23/2012 | CVLM | Cominar calls C$14.08 million 6.3% convertibles for redemption June 29
|
5/23/2012 | HYLM | Roofing Supply gets tenders for 99.82% of 8 5/8% notes due 2017
|
5/23/2012 | CVLM | Paladin Energy accepts $191 million of 5% convertibles for purchase
|
5/23/2012 | IGLM | Zurich Holding calls all $500 million fixed/floating-rate debentures
|
5/23/2012 | CVLM | Paladin wraps, sets update timeline for 5% convertibles tender offer
|
5/23/2012 | IGLMPF | Bank of America accepts tenders for $2.91 billion of notes in offers
|
5/23/2012 | CVLM | Take-Two to settle any conversion of 4.375% notes to June 30 in stock
|
5/23/2012 | LMMU | New Albany Floyd County School, Ind., calls all first mortgage bonds
|
5/23/2012 | CVLM | TransGlobe holder snubs bid for 5.4% convertibles, makes counteroffer
|
5/22/2012 | HYLM | Norse Energy to prepay $35 million of its NEC 02/04/05/06 bond issues
|
5/22/2012 | EMHYLM | Kazakhstan's CenterCredit buys back $6.86 million of its 8 5/8% notes
|
5/22/2012 | HYLM | Renewable Energy seeks consents for three notes to shutter REC unit
|
5/22/2012 | EMLM | HSBC Bank Middle East repurchases €300,000 of €9.3 million notes
|
5/22/2012 | ABLM | Fosse Master Issuer calls all series 2007-1 asset-backed notes at par
|
5/22/2012 | IGLM | Covidien International Finance to redeem all 5.45% of notes due 2012
|
5/22/2012 | LM | Landshypotek buys back SEK 350 million of floaters due 2012
|
5/22/2012 | AGLM | FFCB to redeem $35 million of its consolidated systemwide bonds
|
5/22/2012 | LMMU | Nashville, Davidson County, Tenn., calls some Belmont University bonds
|
5/22/2012 | HYLM | Acco Brands redeems all $13.42 million of its 10 5/8% notes due 2015
|
5/22/2012 | CVLM | Liberty Interactive pays distribution to holders of 3.5% exchangeables
|
5/22/2012 | LMMU | New Jersey Turnpike calls all $154.27 million turnpike revenue bonds
|
5/22/2012 | HYLM | Levi Strauss accepts $278.23 million of 8 7/8% notes in tender offer
|
5/22/2012 | DDHYLM | B+H Ocean asks bondholders, other creditors to extend standstill
|
5/21/2012 | AGLM | FFCB to redeem $69 million of consolidated systemwide bonds at par
|
5/21/2012 | LMMU | Puerto Rico Government Development Bank calls $394.22 million notes
|
5/21/2012 | LMMU | Delaware Regional Finance calls $65 million government revenue bonds
|
5/21/2012 | HYLM | RailAmerica to redeem remaining $74 million of 91/4% notes due 2017
|
5/21/2012 | CVDDHYLM | Penson fails to launch exchange offer; support agreement terminated
|
5/21/2012 | LMMU | Virginia Resources defeases $6.94 million of its infrastructure bonds
|
5/21/2012 | LMMU | Michigan Municipal Bond Authority calls $141.1 million bonds in full
|
5/21/2012 | HYLM | Suburban again extends consent date in exchange offer for Inergy notes
|
5/21/2012 | CVLM | Vodafone tenders for 5.75% convertibles issued by Cable & Wireless
|
5/21/2012 | LMMU | New Jersey Economic calls all $481.63 million school facilities bonds
|
5/21/2012 | IGLM | Gamco tenders for $50 million of 0% notes due 2015 via Dutch auction
|
5/21/2012 | EMHYLM | Indosat solicits consents for 7 3/8% notes to allow tower transaction
|
5/21/2012 | LMMU | Ohio defeases $18.98 million building authority state facilities bonds
|
5/21/2012 | IGLM | IBM begins exchange offers for 7.125% debentures, 8% notes, 5.6% notes
|
5/21/2012 | LM | Bank of Ireland Mortgage Bank bought back €50 million notes due 2015
|
5/21/2012 | LMMU | Puerto Rico Electric Power calls $515.31 million power revenue bonds
|
5/21/2012 | LMMU | Baltimore announces redemption of $2.12 million of its bonds
|
5/21/2012 | HYLM | Louisiana-Pacific gets consents for 95.9% of $243.75 million 13% notes
|
5/18/2012 | EMLM | HBME Sukuk announces $9.5 million repurchase of trust certificates
|
5/18/2012 | LMMU | Fort Lauderdale, Fla., defeases $68.94 million water and sewer bonds
|
5/18/2012 | CVLM | BTS Group holders convert 35 million baht of convertibles due 2016
|
5/18/2012 | IGLM | Pitney Bowes announces redemption of all of 4.625% notes on June 30
|
5/18/2012 | LM | Beazley settles tenders for £30 million fixed-to-floating notes at 85
|
5/18/2012 | LMMU | Handmaker extends tender offer for Pima, Ariz., facilities bonds
|
5/18/2012 | CVLM | Gome Electrical holders put back RMB 74.4 million of 2014 convertibles
|
5/18/2012 | LMMU | Charlotte, N.C., calls all $73 million of its 2002A, 2002C G.O. bonds
|
5/18/2012 | ABLM | Langton Securities gets written consents to amend floating-rate notes
|
5/18/2012 | HYLM | Grohe Holding calls €300 million floaters, €75 million 8 5/8% notes
|
5/18/2012 | LMMU | Pittsburgh Water and Sewer calls $89.2 million of series 2002 bonds
|
5/18/2012 | CVLM | Institutional Financial holders put back 99% of 7.625% convertibles
|
5/18/2012 | LMMU | Chatham County Hospital Authority calls $82.2 million Memorial bonds
|
5/18/2012 | ABLM | Signum Finance II announces repurchase of A$7.15 million of its notes
|
5/18/2012 | HYLM | Libbey settles early tendered notes; $40 million to be redeemed at 103
|
5/18/2012 | CVLM | Oil States International calls all 2.375% contingent convertible notes
|
5/18/2012 | LMMU | Union County, N.C., announces $27 million defeasance of G.O. bonds
|
5/18/2012 | LMMU | Dasny calls all $55 million 2002A1 Rockefeller University bonds
|
5/18/2012 | AGLM | FFCB to redeem $75 million of its consolidated systemwide bonds
|
5/18/2012 | HYLM | Rite Aid sets June 15 redemption for remaining $108.73 million notes
|
5/18/2012 | EMLM | Brazil's Net Servicos repays all R$580 million of simple debentures
|
5/18/2012 | LMMU | Wisconsin Health calls all $65 million Mercy Alliance revenue bonds
|
5/18/2012 | LMMU | District of Columbia defeases portions of 2004A and 2005A G.O. bonds
|
5/18/2012 | CAHYLM | Telesat Canada calls all remaining $454.14 million 11% notes due 2015
|
5/18/2012 | IGLM | Bank of America to redeem all $138.75 million of its 5.875% InterNotes
|
5/17/2012 | CVLM | Oil States International notifies convertible holders of put option
|
5/17/2012 | LMMU | Irvine Ranch Water District, Calif., calls $1.2 million of bonds
|
5/17/2012 | ABLM | Motif Capital repurchases all €50 million of its series 2006-1 notes
|
5/17/2012 | IGLMPF | Westar Energy announces redemption of three series of preferred stock
|
5/17/2012 | HYLM | Media General plans to pay down notes using asset sale proceeds
|
5/17/2012 | LMPF | BlackRock municipal trusts call $81.28 million auction-rate preferreds
|
5/17/2012 | EMLM | Kazakhstan's Bank CenterCredit buys back $144.68 million 8 5/8% notes
|
5/17/2012 | LMMU | Marion County Convention, Ind., defeases 2003A revenue refunding bonds
|
5/17/2012 | CVLM | GMX holders exchange $2.68 million of 5% convertibles for stock, cash
|
5/17/2012 | LMMU | California County Tobacco calls $2.32 million of Gold Country bonds
|
5/17/2012 | HYLM | Momentive cancels tender offer, consent solicitation for 121/2% notes
|
5/17/2012 | LM | BBVA Subordinated Capital redeems all €500 million floaters due 2017
|
5/17/2012 | LMMU | New York City Municipal calls portions of water and sewer system bonds
|
5/17/2012 | CVLM | Gold Reserve plans restructuring related to put option for 5.5% notes
|
5/17/2012 | LMMU | Connecticut Health and Educational defeases series E revenue bonds
|
5/17/2012 | HYLM | Reader's Digest begins asset sale tender offer for floating-rate notes
|
5/17/2012 | HYLM | Bakkavor Finance wraps consent solicitation for £350 million 81/4% notes
|
5/17/2012 | LMMU | South Carolina Tobacco Settlement calls $71.7 million 5% bonds in full
|
5/17/2012 | CVLM | Golden Star to issue 5% convertibles in exchange for 4% convertibles
|
5/17/2012 | LMMU | Houston to redeem series 2002A, B Texas airport system bonds July 1
|
5/17/2012 | HYLM | Suburban pushes back consent date in exchange offer for Inergy notes
|
5/17/2012 | HYLM | CKE to repay some toggle, 11 3/8% notes with common stock proceeds
|
5/17/2012 | LMMU | UCDHSC defeases $57.6 million series 2005B participation certificates
|
5/17/2012 | CVLM | International Power spells out conversion, redemption terms for notes
|
5/17/2012 | LMMU | Illinois Finance calls $59.78 million Resurrection Health Care bonds
|
5/17/2012 | IGLMPF | Southern California Edison to redeem $75 million series A preferreds
|
5/17/2012 | HYLM | Frontier Communications tenders for $500 million of two note series
|
5/17/2012 | LMMUPF | Seven Invesco Advisers funds plan to redeem preferred shares at par
|
5/16/2012 | ABLM | GenFinance II gets approval to double denomination of bonds due 2039
|
5/16/2012 | IGLM | MeadWestvaco to redeem $15 million of 7.5% sinking fund debentures
|
5/16/2012 | HYLM | Actuant announces call for all $21.34 million of 6 7/8% senior notes
|
5/16/2012 | LMMU | Lake Hospital System, Ohio, to redeem $147.96 million of bonds
|
5/16/2012 | CVLM | Pinetree Capital to bid on up to C$3.75 million of 8% convertibles
|
5/16/2012 | AGLM | FFCB to redeem $200 million of its consolidated systemwide bonds
|
5/16/2012 | LM | Sylph announces planned redemption of ¥800 million of notes May 17
|
5/16/2012 | HYLM | Borgestad seeks approval to call 10% bonds, refinance with new issue
|
5/16/2012 | LMMU | Michigan Tobacco Settlement Finance calls portion of its 2007A bonds
|
5/16/2012 | DDHYLM | Sea Production gets votes for bond loan changes to liquidate entities
|
5/16/2012 | CALM | Scotiabank Capital Trust to redeem all series 2002-1 trust securities
|
5/16/2012 | LMMU | Akron, Bath, Copley district, Ohio, calls Children's Hospital bonds
|
5/16/2012 | HYLM | Momentive begins tender offer, consent solicitation for 121/2% notes
|
5/16/2012 | LMMU | Pennsylvania Higher Educational Facilities calls $95.15 million bonds
|
5/16/2012 | EMLM | Cloverie redeems all Ps. 251.28 million of its series 2008-002 notes
|
5/16/2012 | CALM | Sociabank Capital Trust to redeem all series 2002-1 trust securities
|
5/16/2012 | LMMU | Anchorage calls all $60.58 million 2002 B G.O. refunding bonds
|
5/16/2012 | HYLM | NGPL PipeCo extends tender offer for 6.514% notes due 2012 to May 22
|
5/16/2012 | LMMU | Seattle defeases $53.56 million G.O. improvement and refunding bonds
|
5/16/2012 | LM | ELM repurchases €50 million of its series 120 notes on May 15
|
5/16/2012 | LMMU | Broward County, Fla., calls all $51.93 million of 2001 B certificates
|
5/16/2012 | CVLM | First Resources calls remaining 5.625% bonds following conversion
|
5/16/2012 | IGLM | Liberty Mutual wraps Dutch auction, waterfall tender offers for notes
|
5/16/2012 | LMPPPV | Legg Mason to repurchase $1.25 billion convertibles held by KKR fund
|
5/16/2012 | LM | Sylph announces planned redemption of ¥800 million of notes May 17
|
5/16/2012 | LMMU | Hawaii to redeem $66.45 million of 2002 series CX G.O. bonds in July
|
5/16/2012 | CVLM | Paladin extends revocation deadline for 5% convertibles tender offer
|
5/15/2012 | HYLM | Plains Exploration to redeem all $79.3 million of 73/4% notes due 2015
|
5/15/2012 | HYLM | Arch Coal subsidiary gets needed consents to amend 63/4% senior notes
|
5/15/2012 | IGLMPF | Protective Life to redeem trust preferreds, capital securities
|
5/15/2012 | IGLM | Harley Davidson to redeem $93.96 million of motorcycle trust bonds
|
5/15/2012 | CAHYLM | New Flyer to redeem all C$60 million of 14% notes with new offering
|
5/15/2012 | HYLM | Rite Aid settles tenders for 73.2% of 9 3/8% notes, calls remainder
|
5/15/2012 | HYLM | Corrections calls $60 million of 63/4% notes for June redemption
|
5/15/2012 | LMMU | Colorado Department of Transportation calls $110.96 million of notes
|
5/15/2012 | IGLM | Ingersoll-Rand to redeem $7.5 million of its 7.2% bonds on June 1
|
5/15/2012 | CVLM | Aberdeen Asset Management to redeem preferreds underlying convertibles
|
5/15/2012 | HYLM | TriMas to redeem $50 million of its 93/4% senior secured notes due 2017
|
5/15/2012 | HYLM | ELM announces buybacks of €440 million of fixed-to-floating-rate notes
|
5/15/2012 | LMMU | Indiana Finance Authority series 2010 bonds have mandatory tender
|
5/15/2012 | IGLM | Motorola Solutions to redeem all $400 million of its 5.375% notes
|
5/15/2012 | CVLM | Solar Applied Materials buys back $2 million more 0% convertibles
|
5/15/2012 | HYLM | Wendy's wraps tenders for 22% of 10% notes due 2016 under tender offer
|
5/15/2012 | ABLM | Liffey Emerald announces May 11 repurchases from four bond issues
|
5/15/2012 | HYLM | Lyondell Chemical calls all 8% and 11% senior secured notes due 2017
|
5/15/2012 | LMMU | PSE&G calls $73 million Salem, N.J., Pollution Control bonds in full
|
5/15/2012 | IGLMPF | BB&T affiliates to redeem $82 million of trust preferred securities
|
5/15/2012 | CVLM | TransGlobe REIT solicits consents to be able to redeem 5.4% debentures
|
5/15/2012 | IGLM | Dexus begins tender offer for $100 million of 7.125% notes due 2014
|
5/15/2012 | LMMU | Tobacco Settlement calls $29.69 million of its asset-backed bonds
|
5/15/2012 | HYLM | Orion Engineered Carbons calls €35.5 million, $35 million of notes
|
5/15/2012 | LMMUPF | Invesco announces auction-rate preferred redemptions by four funds
|
5/15/2012 | IGLMPF | GB&T Bancshares to redeem $10.3 million common and capital securities
|
5/15/2012 | EMLM | Argentina's Mastellone Hermanos buys back $357,000 of series A bonds
|
5/15/2012 | IGLM | Gulf Power to redeem some or all series F, H notes with note proceeds
|
5/15/2012 | CAHYLM | Cascades announces $3 million buyback of 63/4% notes in first quarter
|
5/14/2012 | HYLM | Cadmus calls all $18,000 of its 8 3/8% senior subordinated notes
|
5/14/2012 | LMMU | New York City Municipal Water Finance calls three bond series in full
|
5/14/2012 | AGLM | FFCB to redeem $140 million of consolidated systemwide bonds at par
|
5/14/2012 | LMMU | Golden State Tobacco, Calif., calls $129.51 million of 6.25% bonds
|
5/14/2012 | LMMU | Boston defeases $65.25 million Boston City Hospital refunding bonds
|
5/14/2012 | HYLM | Intelsat Jackson to redeem all 91/2% notes, portion of 111/4% notes
|
5/14/2012 | LMMU | South Carolina defeases $13.79 million of its series 2005C G.O bonds
|
5/14/2012 | CAHYLM | Telesat waives consent condition, gets tenders for 34.5% of 11% notes
|
5/14/2012 | LMMU | Houston calls $8.71 million of Texas airport system revenue bonds
|
5/14/2012 | LMMU | California Statewide calls all $50.7 million of John Muir Health bonds
|
5/14/2012 | HYLM | Levi Strauss announces buyback of ¥5.1 billion 41/4% eurobonds due 2016
|
5/14/2012 | LMPF | PS Business Parks calls 7%, 6.875% preferreds for June 15 redemption
|
5/14/2012 | CVLM | General Donlee to redeem C$20 million of 7% convertible debentures
|
5/14/2012 | LMMU | Michigan State Hospital defeases all $126.92 million of Trinity bonds
|
5/14/2012 | LMMU | Dallas and Fort Worth International Airport calls 2001 bonds in full
|
5/14/2012 | HYLM | Select Medical cancels note offering, tender offer for 7 5/8% notes
|
5/14/2012 | EMHYLM | Mexico's Controladora Mabe begins private exchange offer for 61/2% notes
|
5/14/2012 | LMMU | Nevada defeases $69.97 million of highway improvement revenue bonds
|
5/14/2012 | ABLM | Classic I (Cayman) reports full £19 million buyback of notes due 2037
|
5/14/2012 | LMMU | Delaware Transportation Authority calls transportation revenue bonds
|
5/14/2012 | IGLM | Republic Services to redeem Allied Waste's 6 7/8% notes in full
|
5/14/2012 | EMLM | Argentina Credit-Linked Trust buys back $800,000 of notes on May 11
|
5/14/2012 | LMMU | New Jersey Economic Development revenue bonds have mandatory tender
|
5/14/2012 | LMMU | Tobacco Settlement calls $36 million of its asset-backed bonds
|
5/14/2012 | LMMU | Educational Enhancement Funding calls $11.82 million of tobacco bonds
|
5/14/2012 | IGLM | Westar to retire 6.1% first mortgage bonds with bond offering proceeds
|
5/11/2012 | HYLM | Libbey Glass gets consents to release collateral securing 10% notes
|
5/11/2012 | CALM | Manulife Financial Capital Trust calls C$1 billion capital securities
|
5/11/2012 | HYLM | Reader's Digest gets consents to make required tender at 95% of par
|
5/11/2012 | CVLM | Headwaters calls all $9.4 million of 2.875%, 16% convertibles due 2016
|
5/11/2012 | IGLM | MidAmerican calls $275 million 5.125% notes for optional redemption
|
5/11/2012 | LM | KommuneKredit plans to redeem all $60 million of its notes on June 6
|
5/11/2012 | HYLM | American Casino continues to redeem its 11% senior notes due 2014
|
5/11/2012 | HYLM | Aptalis Pharma announces full redemption of 123/4% senior notes due 2016
|
5/10/2012 | LMPF | Cedar Realty to redeem its 8 7/8% preferreds with offering proceeds
|
5/10/2012 | IGLM | First Potomac Realty begins prepayment of 6.41% notes, 6.55% notes
|
5/10/2012 | DDHYLM | Ability Drilling to make NOK 55 million early bond redemption June 1
|
5/10/2012 | ABLM | Argon Capital buys back all €30 million floating-rate notes due 2013
|
5/10/2012 | LMMU | New Jersey calls all $248.23 million series 2004 cigarette tax bonds
|
5/10/2012 | DDHYLM | Ambac Assurance gets board OK to call $940 million of surplus notes
|
5/10/2012 | AGLM | FFCB to redeem $87 million of consolidated systemwide bonds at par
|
5/10/2012 | LMMU | Port Authority of New York and New Jersey calls $220.31 million bonds
|
5/10/2012 | HYLM | Intelsat completes tender offers for 91/2% notes and 111/4% notes
|
5/10/2012 | CALM | Sun Life Assurance Co., Canada, to redeem all 6.15% debentures
|
5/10/2012 | LMMU | School Board of Lee County, Fla., defeases series 2004A COPs
|
5/10/2012 | HYLMPF | Aimco to use stock sale proceeds to redeem class T, V, Y preferreds
|
5/10/2012 | CVLM | BTS Group holders opt to convert portion of convertibles due 2016
|
5/10/2012 | LMMUPF | Invesco announces auction-rate preferred redemptions from three funds
|
5/10/2012 | HYLMPF | Penford announces $20 million redemption of series A 15% preferreds
|
5/10/2012 | CVLM | TransGlobe Apartment to solicit consents to redeem 5.4% convertibles
|
5/9/2012 | CVLM | Headwaters to exchange $49.79 million 2.5% convertibles for new notes
|
5/9/2012 | LMMUPF | Invesco Advisers funds to redeem auction-rate preferreds in full
|
5/9/2012 | IGLMPF | Bank of America raises tender cap; both set of offers oversubscribed
|
5/9/2012 | EMLM | Credit Suisse repurchases SHS 17.1 million of participation notes
|
5/9/2012 | CVLM | Misys convertibles offer extended after acquisition hearing adjourned
|
5/9/2012 | ABLM | Langton Securities solicits consents for numerous series of floaters
|
5/9/2012 | LMMU | Colorado Springs defeases subordinate lien improvement revenue bonds
|
5/9/2012 | HYLM | Bakkavor Finance extends consent deadline for £350 million 81/4% notes
|
5/9/2012 | CVLM | Parker Drilling gets tenders for $122.85 million 2.125% convertibles
|
5/9/2012 | ABLM | SC Germany Auto to redeem class A and B floaters due 2016 in full
|
5/9/2012 | LMMU | Dasny calls $42.32 million of North Shore University Hospital bonds
|
5/9/2012 | HYLM | Reichhold completes exchange offer for nearly all 9% notes due 2014
|
5/9/2012 | CVLM | Savient holders exchange $108 million of 4.75% convertible notes
|
5/9/2012 | AGLM | FFCB to redeem $706 million of its consolidated systemwide bonds
|
5/9/2012 | LMMU | Educational Funding of the South calls $968 million student loan bonds
|
5/9/2012 | HYLM | Roofing Supply tenders for 8 5/8% notes in connection with merger
|
5/9/2012 | CVLM | Shire holders do not exercise put on $1.1 billion 2.75% convertibles
|
5/9/2012 | CVLM | Atos calls meeting for holders of 2.5% Oceanes due 2016 on May 25
|
5/9/2012 | LMMU | University of Missouri announces defeasance of 2006A revenue bonds
|
5/9/2012 | HYLM | Verso Paper gets consents to amend 11 3/8% notes, floaters in offers
|
5/9/2012 | EMLM | Brazil's Net Servicos de Comunicacao calls R$580 million of its bonds
|
5/8/2012 | HYLM | NGPL PipeCo receives tenders, consents for 97.01% of 6.514% notes
|
5/8/2012 | LMMUPF | Invesco Van Kampen for Investment Grade Municipals calls ARPS
|
5/8/2012 | EMLM | Brazil Credit-Linked Trust repurchases $1 million of notes on May 1
|
5/8/2012 | CVDDHYLM | Orco gets approval from large majority for restructuring transaction
|
5/8/2012 | LMMU | Colorado State University defeases $26.94 million of revenue bonds
|
5/8/2012 | HYLM | Unitymedia completes note exchange offer, calls remaining old notes
|
5/8/2012 | LM | Cheyne Capital buys back €1 million of credit-linked notes due 2018
|
5/8/2012 | CVLM | China Nickel offers notes, new convertibles for 10% convertibles
|
5/8/2012 | LMMU | Fresno, Calif., calls $1.09 million of 7.8% pension obligation bonds
|
5/8/2012 | ABLM | Colombia Credit-Linked Trust announces $2.54 million buyback of notes
|
5/8/2012 | HYLM | Wendy's waives requirement to receive consents in tender for 10% notes
|
5/8/2012 | LM | HSBC Middle East repurchases €1.5 million of its notes on April 4
|
5/8/2012 | LMMU | Massachusetts to make $15 million of bids on series F-2 revenue bonds
|
5/8/2012 | CVLM | SOCO Finance announces $920,000 buyback of 4.5% convertibles due 2013
|
5/8/2012 | ABLM | ELAN repurchases $9.7 million of series 2011-01 floaters due 2016
|
5/8/2012 | IGLM | Georgia Power to redeem $300 million senior notes with sale proceeds
|
5/8/2012 | HYLM | Interval Leisure Group intends to call senior notes for redemption
|
5/8/2012 | LMMU | Virgin Islands calls all $1 million of its 5.3% water and power bonds
|
5/8/2012 | CVLM | West Pharmaceutical starts cash tender for 4% convertible debentures
|
5/8/2012 | ABLM | First-To-Default Trust announces buyback of $1.4 million of notes
|
5/8/2012 | IGLM | Motorola intends to repay 5.375% notes with new senior note offering
|
5/8/2012 | HYLM | Levi Strauss accepts 79.5% of 8 7/8% notes by early tender deadline
|
5/8/2012 | LMMU | Wisconsin calls $6.01 million series 2002 clean water revenue bonds
|
5/8/2012 | EMLM | AIG completes repurchase of Ps. 189.44 million of fixed-rate notes
|
5/8/2012 | ABLM | Mound Financing No. 6 to redeem class A asset-backed floaters in full
|
5/8/2012 | IGLM | NextEra to remarket $350 million series C debentures due 2014
|
5/7/2012 | LMMU | North Carolina defeases $157.46 million of Eastern Carolina bonds
|
5/7/2012 | LMMU | Charleston, S.C., to redeem all $80.67 million of series 2003A bonds
|
5/7/2012 | HYLM | Louisiana-Pacific tenders for any and all $243.75 million 13% notes
|
5/7/2012 | AGLM | FFCB to redeem $436 million of consolidated systemwide bonds at par
|
5/7/2012 | LMMU | Winston-Salem, N.C., calls $1.77 million water and sewer system bonds
|
5/7/2012 | LMMU | Connecticut calls portions of 2002B general obligation bonds at par
|
5/7/2012 | HYLM | Select Medical tenders for $345 million 7 5/8% notes due 2015
|
5/7/2012 | CVLM | Pinetree to bid on purchase of up to $3.75 million of convertibles
|
5/7/2012 | LMMU | Illinois Health calls $35.53 million of Rockford Health Systems bonds
|
5/7/2012 | HYLM | Solo Cup calls all $300 million of 101/2%, $325 million of 81/2% notes
|
5/7/2012 | EMHYLM | Kazakhstan's CenterCredit tenders for 8 5/8% notes in Dutch auction
|
5/7/2012 | LMMU | Inland Empire Tobacco Securitization, Calif., calls series 2007A bonds
|
5/7/2012 | HYLM | Verso Paper adds covenant terms for notes to be issued in swap offers
|
5/7/2012 | EMLM | Singapore's Cache unit seeks consents for redemption of 31/2% notes
|
5/7/2012 | LMMU | New Mexico State Highway calls $14.75 million 2002C fund revenue bonds
|
5/7/2012 | IGLM | Discover gets tenders for $321.52 million 10.25% notes in exchange
|
5/7/2012 | HYLM | CIT Group to redeem $2 billion of 7% series C senior notes due 2017
|
5/4/2012 | LMMU | Wyandotte County and Kansas City, Kan., calls $23.08 million of bonds
|
5/4/2012 | LMMU | Foothill-De Anza Community College District, Calif., defeases bonds
|
5/4/2012 | CVLM | Providence Resources buys back 62.4% of convertibles, to redeem rest
|
5/4/2012 | LMMU | Milwaukee defeases five series of G.O. corporate purpose bonds
|
5/4/2012 | DDEMHYLM | Barbados' Columbus fails to get needed consents for 111/2% notes
|
5/4/2012 | LMMU | New York to redeem $378.47 million of series 2002 D G.O. bonds in full
|
5/4/2012 | HYLM | Evertec lifts consent fee for $210.5 million 11% senior notes due 2018
|
5/4/2012 | ABLM | Alcazar Finance redeems $70.2 million of class 2 notes due 2016
|
5/4/2012 | LMMU | San Francisco to redeem $250.73 million of seven series of G.O.s
|
5/4/2012 | HYLM | Evertec obtains required consents in solicitation for 11% notes
|
5/4/2012 | AGLM | FFCB to redeem $232 million of its consolidated systemwide bonds
|
5/4/2012 | LMMU | School Board of Orange County, Fla., defeases $161.54 million COPs
|
5/4/2012 | HYLM | Hornbeck Offshore redeems remaining $47.8 million of 6 1/8% notes
|
5/4/2012 | CALM | Bank of Montreal to redeem C$1.2 billion of 5.2% series D notes
|
5/3/2012 | LMMU | Tobacco Settlement of N.Y. calls $219.7 million of asset-backed bonds
|
5/3/2012 | LMMU | Ohio calls $162.45 million of water pollution control loan fund bonds
|
5/3/2012 | IGLM | BBVA Compass wraps oversubscribed tender offer for 5.9%, 5.5% notes
|
5/3/2012 | LMMU | Warren County, Ky., calls $2.36 million of WKU Student Life bonds
|
5/3/2012 | LMMU | Ohio calls $72.45 million water development revenue bonds in full
|
5/3/2012 | IGLMPF | Public Storage to redeem $172.5 million 7% series N preferreds in full
|
5/3/2012 | LMPF | Aimco may accelerate property sales in order to redeem preferreds
|
5/3/2012 | LMMU | Osceola County School Board, Fla., calls $57.62 million certificates
|
5/3/2012 | LMMU | Alameda County, Calif., calls $81.16 million of refunding certificates
|
5/3/2012 | CVLM | Man Industries buys back $200,000 of 0% foreign currency convertibles
|
5/3/2012 | LMMU | San Diego Public Facilities calls $211.43 million water revenue bonds
|
5/3/2012 | LMMU | Dasny calls various 1998 North Shore Health System bonds at par
|
5/3/2012 | HYLM | Allied Waste North America calls all $750 million of 6 7/8% notes
|
5/3/2012 | LMMU | Texas Water Development Board calls $2.44 million of series 2007A bonds
|
5/3/2012 | LMMU | NYC Trust for Cultural Resources defeases Museum of Modern Art bonds
|
5/3/2012 | HYLM | Rite Aid begins tender, consent bid for $405 million of 9 3/8% notes
|
5/2/2012 | LMMU | Oakland-Alameda County, Calif., to redeem all Oakland Coliseum bonds
|
5/2/2012 | HYLM | Prospect Medical gets tenders for 99.31% of 123/4% notes by early date
|
5/2/2012 | LMMU | Huntsville Health Care Authority, Ala., calls $64.57 million of bonds
|
5/2/2012 | EMLM | Malaysia's Hong Leong Industries redeems medium-term notes due 2015
|
5/2/2012 | LMMU | Chicago calls $1.29 million of 2002 Lakeshore East Project bonds
|
5/2/2012 | LMMU | Salt River Project, Ariz., defeases 2002 electric system revenue bonds
|
5/2/2012 | HYLM | Republic Services announces redemption of all 6 7/8% senior notes
|
5/2/2012 | LMMU | Los Angeles, Calif., calls some series 2008 wastewater system bonds
|
5/2/2012 | EMLM | UAE's Jebel Ali solicits consents for AED 7.5 million certificates
|
5/2/2012 | LMMU | Children's Trust, Puerto Rico, calls $6.39 million Cede tobacco bonds
|
5/2/2012 | LMMU | Whittier, Calif., calls all 2002 Presbyterian Intercommunity bonds
|
5/2/2012 | HYLM | Unitymedia reports exchange offer results for four notes series
|
5/2/2012 | LMMU | Matagorda County Navigation, Texas, bonds have full mandatory tender
|
5/2/2012 | HYLM | Chaparral gets needed consents for 8 7/8% notes, calls remainder
|
5/2/2012 | LMMU | District of Columbia Anacostia Waterfront calls $3.36 million bonds
|
5/2/2012 | IGLM | Gamco Investors might repurchase some zero-coupon debentures due 2015
|
5/2/2012 | LMMU | Mesa, Ariz., defeases $68.83 million of 2002 utility systems bonds
|
5/2/2012 | HYLM | Indiantown calls $16.41 million of 9.77% first mortgage bonds due 2020
|
5/2/2012 | LMMU | East Bay Municipal Utility, Calif., calls $12.36 million 2011A bonds
|
5/2/2012 | LMMU | Badger Tobacco Asset Securitization, Wis., calls asset-backed bonds
|
5/2/2012 | LMMU | New Jersey Health defeases $50.28 million Atlantic City Medical bonds
|
5/2/2012 | HYLM | Kansas City Southern calls all $100.32 million of 8% notes due 2015
|
5/2/2012 | LMMU | Grand Strand Water and Sewer calls $66.71 million of revenue bonds
|
5/2/2012 | AGLM | FFCB to redeem $200 million of consolidated systemwide bonds at par
|
5/2/2012 | LMMU | Birmingham to redeem $53.58 million of health care revenue bonds
|
5/1/2012 | HYLM | CIT Group plans to refinance 7% series C notes with offering proceeds
|
5/1/2012 | LMMU | Greenville Hospital, S.C., calls $101.08 million revenue bonds
|
5/1/2012 | LMMU | California County Tobacco Security calls $1.85 million of 2002B bonds
|
5/1/2012 | ABLM | ARLO VII repurchases $1.36 million of credit-linked notes on May 1
|
5/1/2012 | HYLM | Ruby Tuesday plans to redeem series B notes with new offering proceeds
|
5/1/2012 | LMMU | Portland, Ore., to redeem $5.15 million of limited tax pension bonds
|
5/1/2012 | HYLM | Headwaters buys back $7.5 million 2.5% notes, logs $2 million gain
|
5/1/2012 | LMMU | Greenville, S.C., defeases $15.28 million of waterworks system bonds
|
5/1/2012 | ABLM | Race Point II CLO companies to redeem 10 classes of joint-issue notes
|
5/1/2012 | LMMU | California Statewide's Kaiser Permanente bonds have mandatory tender
|
5/1/2012 | HYLM | TRW Automotive Holdings retires $48 million of notes in first quarter
|
5/1/2012 | LMMU | Tobacco Settlement Financing, R.I., calls $15.74 million A bonds
|
5/1/2012 | HYLM | Host Hotels to redeem all $250 million of its 6 7/8% notes on May 29
|
5/1/2012 | LMMU | Louisiana calls $221.91 million gasoline and fuels tax revenue bonds
|
5/1/2012 | AGLM | FFCB to redeem $47 million of its consolidated systemwide bonds
|
5/1/2012 | LMMU | Capital Projects Finance, Fla., calls continuing care bonds in full
|
5/1/2012 | HYLM | Wendy's gets tenders for only 16.9% of 10% notes so far, amends offer
|
5/1/2012 | LMMU | Virginia announces $35.46 million redemption of series 2002 G.O. bonds
|
5/1/2012 | HYLM | Kansas City Southern unit calls all $100.3 million 8% notes due 2015
|
5/1/2012 | LMMU | New Hampshire HEFA calls series 2003, 2007 Dartmouth College bonds
|
5/1/2012 | HYLM | ACCO satisfies all conditions for 7 5/8% subordinated note redemption
|
5/1/2012 | LMMU | District of Columbia calls $14.03 million of G.O. refunding bonds
|
5/1/2012 | IGLM | Consumers Energy to redeem 5 3/8% first mortgage bonds with offering
|
5/1/2012 | LMMU | Wisconsin defeases some transportation, calls some water revenue bonds
|
5/1/2012 | HYLM | Libbey Glass begins tender offer, consent solicitation for 10% notes
|
5/1/2012 | LMMU | Ohio Water Development Authority calls $2.09 million fresh water bonds
|
5/1/2012 | HYLM | Arch Coal subsidiary begins tender offer, consent bid for 63/4% notes
|
5/1/2012 | LMMU | East Bay Municipal Utility, Calif., calls 2009A-2 water system bonds
|
5/1/2012 | IGLMPF | Wells Fargo to redeem $1.8 billion of trust preferred securities
|
5/1/2012 | HYLM | Reichhold extends exchange offer for 9% notes due 2014 for third time
|
5/1/2012 | LMMU | Palm Beach County, Fla., calls $1.08 million of revenue bonds due 2037
|
4/30/2012 | AGLM | FFCB to redeem $25 million of consolidated systemwide bonds at par
|
4/30/2012 | LMMU | California County Tobacco calls $410.06 million San Diego County bonds
|
4/30/2012 | HYLM | Evertec solicits consents for $210.5 million 11% senior notes due 2018
|
4/30/2012 | DDHYLM | Orco gets votes to restructure floaters due 2011; court OK needed
|
4/30/2012 | LMMU | South Carolina Transportation calls series 2001A, defeases 2002A bonds
|
4/30/2012 | CAHYLM | Telesat begins tender offer, consent solicitation for 11% notes
|
4/30/2012 | LMMU | Delaware Economic Development calls $1.18 million of revenue bonds
|
4/30/2012 | HYLM | Great Wolf gets OK to kill change-of-control offer for 10 7/8% notes
|
4/30/2012 | EMHYLM | Central European Media tenders for $170 million of two note series
|
4/30/2012 | LMMU | Suffolk County Water, N.Y., calls $2.83 million of revenue bonds
|
4/30/2012 | CVHYLM | Actuant accepts $228.66 million of 6 7/8% notes, redeems convertibles
|
4/30/2012 | LMMU | Hawaii Budget and Finance calls $3.71 million of 15 Craigside bonds
|
4/30/2012 | IGLMPF | KeyCorp completes consent solicitation for 5.7% trust preferreds
|
4/30/2012 | EMIGLM | Singapore's DBS calls all outstanding floaters, 5.125% notes due 2017
|
4/30/2012 | LMMU | Tobacco Settlement Finance, W.Va., calls $6.54 million 7.467% bonds
|
4/30/2012 | CVLM | Central European tenders, seeks consents to amend 3.5% convertibles
|
4/30/2012 | LMMU | Indiana Health defeases $7.62 million of Sisters of St. Francis bonds
|
4/30/2012 | LMMU | Anchorage calls $10.74 million of series A 2002 G.O. bonds
|
4/30/2012 | EMLM | Indosat plans to redeem Rp. 200 billion 2002 series IIB bonds at 101
|
4/30/2012 | LMMU | Tobacco Settlement of New York calls $39.84 million of 2001B bonds
|
4/30/2012 | CVLM | Hologic exchanges $500 million of 2% convertibles, extending put date
|
4/30/2012 | LMMU | Los Angeles, Calif., calls some series 2002-A wastewater system bonds
|
4/30/2012 | ABLM | Magnolia Finance II redeems six series of ABS portfolio notes due 2038
|
4/30/2012 | LMMU | Buffalo, N.Y., to redeem $14.56 million of its refunding serial bonds
|
4/30/2012 | HYLM | Entravision calls $20 million of its 83/4% first-lien notes due 2017
|
4/30/2012 | LMPF | Lexington Realty Trust to redeem 8.05% series B preferreds on May 31
|
4/30/2012 | CVLM | Taiwan's TPK buys back portion of zero-coupon convertibles due 2014
|
4/30/2012 | LMMU | Reno, Nev., calls $114.25 million of Transportation Rail Access bonds
|
4/27/2012 | LMMU | Arizona State University defeases $82.13 million system revenue bonds
|
4/27/2012 | HYLM | Plains Exploration to redeem all $76.9 million of 7% notes due 2017
|
4/27/2012 | LMMU | ConocoPhillips to buy Oklahoma Development bonds on redemption date
|
4/27/2012 | DDHYLM | Reichhold again extends exchange for 9% notes to finalize loan terms
|
4/27/2012 | LMMU | Capital Project Finance calls Glenridge on Palmer Ranch revenue bonds
|
4/27/2012 | ABLM | Banco Santander releases weighted average prices paid in tender offer
|
4/27/2012 | HYLM | iStar repurchases $124.1 million maturing notes, buys back further $96.3 million
|
4/27/2012 | LMMU | Olin to repay Bradley County, Tenn., revenue bonds with credit facility
|
4/27/2012 | LM | Australia and New Zealand Banking to buy back hybrid securities
|
4/27/2012 | ABLM | ELAN repurchases $10 million of series 2011-01 floaters due 2016
|
4/27/2012 | IGLM | Rowan to redeem remaining Title XI notes in second, third quarters
|
4/27/2012 | LMMU | Pinellas County Health, Fla., calls all $97.21 million Baycare bonds
|
4/27/2012 | LM | Bank of America announces €150 million buy back of floating-rate notes
|
4/27/2012 | AGLM | FFCB to redeem $60 million of consolidated systemwide bonds at par
|
4/27/2012 | IGLMPF | KeyCorp's 5.7% trust preferred holders give consents to cut covenant
|
4/27/2012 | LMMU | Tobacco Settlement Financing, N.J., says bonds have mandatory tender
|
4/27/2012 | LM | Man Group gets tenders for €165 million of 6% notes due 2015
|
4/27/2012 | CVDDHYLM | Orco gets approval of restructuring from holders of three series; May 15 meeting set for 2012 bonds
|
4/27/2012 | IGLMPF | UDR to redeem all $81.61 million of its 6.75% preferreds on May 31
|
4/27/2012 | HYLM | Interoil Exploration secures votes to delay tax refund call of bonds
|
4/27/2012 | CVLM | Mylan says holders may convert $575 million of convertibles due 2015
|
4/26/2012 | ABLM | Arran Residential Mortgages calls 13 series of its notes due 2056
|
4/26/2012 | LMMU | Municipal Energy, Neb., defeases $60.14 million of power supply bonds
|
4/26/2012 | HYLM | Allison Transmission redeemed $200 million of 11% notes in February
|
4/26/2012 | CVLM | Tenet buys back $299 million of mandatory convertible preferreds
|
4/26/2012 | ABLM | Corsair Finance buys back €100 million of its notes on April 24
|
4/26/2012 | HYLM | First Industrial unit accepts tenders for $10,000 more 7.6% notes
|
4/26/2012 | DDEMHYLM | EOAL holders approve standstill agreement for 15% bonds due 2014
|
4/26/2012 | AGLM | FFCB to redeem $576 million of its consolidated systemwide bonds
|
4/26/2012 | HYLM | Martin Midstream announces $25 million redemption of 8 7/8% notes
|
4/26/2012 | EMLM | Korea's National Agricultural Cooperative redeems its 5 3/8% notes
|
4/26/2012 | CVDDLM | 3i Infotech updates results of exchange offer for convertible bonds
|
4/26/2012 | HYLM | Suburban offers new notes in exchange for $1.2 billion of Inergy notes
|
4/26/2012 | LM | Hammerson buys €219.95 million bonds in offer, pricing set at 107.355
|
4/26/2012 | CVLM | GMX holders exchange $4.7 million of 5% convertibles for stock, cash
|
4/26/2012 | ABLM | Annington Finance buys back £1.19 million of its notes on April 24
|
4/26/2012 | LMMU | Garden State Preservation Trust, N.J. defeases $279.3 million of bonds
|
4/26/2012 | LM | Michelin buys back €500 million of subordinated notes due 2033
|
4/26/2012 | CVLM | SL Green repays $102.2 million 3% exchangeables due to scheduled put
|
4/25/2012 | CVLM | Keppel Land cancels portion of 1.875% bonds following conversion
|
4/25/2012 | IGLMPF | National City to redeem all $500 million of 6.625% trust preferreds
|
4/25/2012 | AGLM | FFCB to redeem $240 million of consolidated systemwide bonds at par
|
4/25/2012 | HYLM | Verso Paper to issue 113/4% notes in swap for 11 3/8% notes, sweetens existing exchange offer
|
4/25/2012 | LM | Sampo Bank completes early repurchase of €42.2 million of its notes
|
4/25/2012 | LMMU | Metropolitan Pier may purchase some of its McCormick expansion bonds
|
4/25/2012 | CAHYLM | 407 International calls all 5.1% senior notes due 2014 for redemption
|
4/25/2012 | IGLM | Mack-Cali announces full redemption of 6.15% and 5.82% notes
|
4/25/2012 | LM | Stadshypotek buys back SEK 1.28 billion of floaters due in August
|
4/25/2012 | LMMU | New Jersey defeases $1.02 billion of series 2004 cigarette tax bonds
|
4/25/2012 | CAHYLM | Russel Metals calls 6 3/8% senior notes due 2014 for May 25 redemption
|
4/25/2012 | IGLMPF | Bank of America starts cash tender offers for notes, capital securities
|
4/25/2012 | HYLM | ACCO Brands gets tenders for 96.84% of 10 5/8% notes by early deadline
|
4/25/2012 | LMMU | Sonoma County, Calif., calls $12.36 million pension obligation bonds
|
4/25/2012 | CVDDLM | 3i Infotech obtains tenders for $63.93 million, €20 million convertibles
|
4/25/2012 | IGLMPF | CVB Financial to redeem $20.62 million securities on June 17
|
4/25/2012 | ABLM | Banco Santander accepts tenders for €450.24 million of securities
|
4/25/2012 | HYLM | HSN may call $240 million 111/4% notes with $600 million loan proceeds
|
4/25/2012 | CVHYLM | Host redeems $250 million of 6 7/8%, $386 million of 2 5/8% notes
|
4/25/2012 | IGLMPF | Huntington Bancshares to redeem $80 million of preferreds on May 24
|
4/25/2012 | ABLM | Pendeford announces redemption of floaters due 2022, 2059, 2040
|
4/25/2012 | HYLM | Intelsat receives tenders for 6.84% of 91/2% notes, 0.96% of 111/4% notes
|
4/24/2012 | HYLM | Unifi announces full redemption of $123.72 million 111/2% notes due 2014
|
4/24/2012 | HYLM | Bakkavor Finance seeks consents for £350 million 81/4% notes due 2018
|
4/24/2012 | CVLM | Malaysia's Olympia Industries buys back RM 53.02 million convertibles
|
4/24/2012 | LMMU | Puerto Rico government development bank calls 6% senior notes in full
|
4/24/2012 | IGLM | Discover accepts $307.53 million of tendered 10.25% notes for exchange
|
4/24/2012 | HYLM | Levi Strauss tenders for $350 million of 8 7/8% notes due 2016
|
4/24/2012 | CVLM | Pembina launches tender offer for Provident's 5.75% convertibles
|
4/24/2012 | LMMU | Regional Transportation Authority, Ill., calls $99.63 million bonds
|
4/24/2012 | ABLM | Kion Mortgage to redeem all €585 million class A, B floaters due 2053
|
4/24/2012 | IGLM | ERAC USA gets consents for $4.13 billion notes issued in six series
|
4/24/2012 | HYLM | Meritage accepts tenders for $259.2 million of $285 million 61/4% notes
|
4/24/2012 | DDEMLM | Kuwait's Global Investment House bondholders confirm extension, waiver
|
4/24/2012 | LMMU | San Antonio calls improvement bonds, certificates of obligation at par
|
4/24/2012 | ABLM | Lehmans Finance companies repurchase seven series of notes in full
|
4/24/2012 | IGLMPF | Zions plans to redeem series E and D preferred stock, senior floaters
|
4/24/2012 | HYLM | Plains Exploration to redeem 7% notes due 2017 with offering proceeds
|
4/24/2012 | DDHYLM | Blom bondholders approve restructuring proposal at Tuesday meeting
|
4/24/2012 | AGLM | FFCB to redeem $232 million of its consolidated systemwide bonds
|
4/24/2012 | LMMU | California announces defeasance of $491.61 million of G.O. bonds
|
4/24/2012 | HYLM | Seacor purchases $5.5 million of 5 7/8% notes in first quarter
|
4/24/2012 | LM | Bawag announces redemption of €91.37 million of notes on March 29
|
4/24/2012 | CAHYLM | Axcan Intermediate calls remaining $37.56 million of 123/4% notes
|
4/24/2012 | LMMU | Charlotte-Mecklenburg Hospital, N.C., calls $88.54 million 5% bonds
|
4/23/2012 | LMMU | Massachusetts Water Resources defeases four series of revenue bonds
|
4/23/2012 | AGLM | FFCB to redeem $709 million of consolidated systemwide bonds at par
|
4/23/2012 | HYLM | Mall Funding announces redemption of £8.7 million of notes due 2017
|
4/23/2012 | LM | Landshypotek buys back SEK 500 million of floaters due 2012
|
4/23/2012 | LMMU | Puerto Rico calls all outstanding 5% 1998 public improvement bonds
|
4/23/2012 | CVDDHYLM | Orco Property amends meeting notices to restructure five note series
|
4/23/2012 | IGLMPF | First Interstate BancSystem to redeem $41.24 million of debentures
|
4/23/2012 | ABLM | Annington Finance buys back £15.79 million of class B secured floaters
|
4/23/2012 | HYLM | Atlantic Broadband Finance calls all $150 million of 9 3/8% notes
|
4/23/2012 | CVLM | Central European Distribution plans to retire 3% convertibles due 2013
|
4/23/2012 | LMMU | District of Columbia Tobacco calls $5.93 million 6.25% bonds due 2024
|
4/23/2012 | ABLM | Calculus announces full redemption of $40 million medium-term notes
|
4/23/2012 | HYLM | Coventry Building announces redemption of £50 million of its notes
|
4/23/2012 | CVLM | L-1 Identity calls all $90.99 million of 3.75% convertibles due 2027
|
4/23/2012 | LMMU | Hawaiian Electric plans $267 million redemption of revenue bonds
|
4/23/2012 | ABLM | Misthosis Funding redeems €689.4 million of its class A, B, C floaters
|
4/23/2012 | HYLM | GenCorp to redeem all $74.96 million of its 91/2% notes due 2013
|
4/23/2012 | CVLM | Paladin Energy tenders for $200 million of 5% convertibles due 2013
|
4/23/2012 | LMMU | Illinois Health calls $69.69 million of its Northwestern Medical bonds
|
4/23/2012 | ABLM | Orpington Structured Finance buys back $2.52 million of notes in full
|
4/23/2012 | HYLM | Lyondell announces completion of tender offer for three note series
|
4/23/2012 | CVLM | Rocky Mountain gets consents to call 7% convertibles at offer price
|
4/20/2012 | HYLM | Chaparral Energy to hold tender offer for or redeem 8 7/8% notes
|
4/20/2012 | LMMU | Pasadena, Calif., to redeem $35.67 million of electric revenue bonds
|
4/20/2012 | LMMU | Dasny defeases all $54.06 million of Menorah Home and Hospital bonds
|
4/20/2012 | HYLM | MGM Resorts gets needed consents to amend 10 3/8%, 11 1/8% notes
|
4/20/2012 | LMMU | Evergreen School District No. 114, Wash., calls all 2002 G. O. bonds
|
4/20/2012 | HYLM | Morris Publishing Group announces $1.22 million redemption of floaters
|
4/20/2012 | AGLM | FFCB to redeem $296 million of its consolidated systemwide bonds
|
4/20/2012 | LMMU | Highline Public School District No. 401 calls all series 2002 bonds
|
4/20/2012 | HYLM | Pinnacle Foods Finance redeems all $199 million of 10 5/8% notes
|
4/20/2012 | DDHYLM | Reichhold extends exchange for 9% notes to finalize loan amendment
|
4/20/2012 | LMMU | Montefiore Medical Center calls $2.15 million GNMA revenue bonds
|
4/20/2012 | IGLM | Discover prices private exchange offers for 10.25% notes, 6.45% notes
|
4/20/2012 | EMLM | Greece's Alpha Bank begins tender offers for preferreds and notes
|
4/20/2012 | LMMU | NorthShore School District, Wash., calls $61.2 million of G.O. bonds
|
4/20/2012 | IGLM | ERAC USA increases consent fees offered for four series of notes
|
4/19/2012 | DDHYLM | Dex One accepts tenders for $98 million of 12%/14% notes due 2017
|
4/19/2012 | LMMU | Pennsylvania Commonwealth to redeem $233.74 million G.O.s in May
|
4/19/2012 | IGLMPF | PPL Electric Utilities to redeem all shares of 6.25% preferred stock
|
4/19/2012 | EMHYLM | JBS, U.S. unit seek consents to allow restricted payments under notes
|
4/19/2012 | LMPF | LaSalle Hotel Properties to redeem series E and D preferred shares
|
4/19/2012 | LMMU | Erie County Industrial defeases all 2004 school facility revenue bonds
|
4/19/2012 | EMLM | Brazil buys R$1.67 billion 121/2 bonds in oversubscribed tender offer
|
4/19/2012 | LMMU | Florida Board of Education calls eight series of capital outlay bonds
|
4/19/2012 | LM | Hammerson tenders for up to €200 million 4.875% bonds due 2015
|
4/19/2012 | AGLM | FFCB to redeem $117 million of consolidated systemwide bonds at par
|
4/19/2012 | LMMU | Lower Colorado River Authority, Texas, calls all 2003B revenue bonds
|
4/19/2012 | HYLM | Landry's extends tender offer for 11 5/8% notes due 2015
|
4/19/2012 | DDEMHYLM | Barbados' Columbus amends, extends consent solicitation for 111/2% notes
|
4/19/2012 | LMMU | Oklahoma Development cancels call for redemption of revenue bonds
|
4/19/2012 | HYLM | Realogy redeems $10.81 million of 11% senior toggle notes due 2014
|
4/18/2012 | IGLM | Liberty Mutual starts $700 million Dutch, waterfall offers for notes
|
4/18/2012 | HYIGLM | Qwest Communications International calls $500 million of 7.5% notes
|
4/18/2012 | AGLM | FFCB to redeem $155 million of its consolidated systemwide bonds
|
4/18/2012 | IGLM | Qwest accepts $883.61 million of 8.375%, 7.625% notes in tender offer
|
4/18/2012 | HYLM | Aptalis gets needed consents for 123/4% notes; remainder to be called
|
4/18/2012 | CVLM | CMS Energy issues shares in exchange for $81.48 million 2.875% notes
|
4/18/2012 | IGLMPF | U.S. Bancorp to redeem $1.3 billion of its trust preferreds on May 18
|
4/18/2012 | HYLM | CNG tenders, seeks consents for outstanding 121/4% notes, 133/4% notes
|
4/18/2012 | CVLM | Crombie REIT to redeem all C29.54 million of 7% convertible debentures
|
4/18/2012 | HYLM | Mueller Water to redeem $22.5 million of its 83/4% senior notes due 2020
|
4/18/2012 | CVLM | Malaysia's DutaLand buys back some convertibles, loan stocks due 2013
|
4/18/2012 | HYLM | Prospect Medical begins tender offer for 123/4% notes, solicits consents
|
4/18/2012 | EMLM | Brazil to buy R$1.5 billion 121/2 bonds due 2016, 2022 in tender offer
|
4/17/2012 | ABLM | Premium Green buys back €50 million series 2007-2 notes due 2022
|
4/17/2012 | LMPF | Tortoise Energy Capital to redeem $50 million of series B preferreds
|
4/17/2012 | LMMU | Glendale, Ariz., defeases $2.2 million of 2003 water and sewer bonds
|
4/17/2012 | HYLM | NGPL PipeCo begins tender offer, consent solicitation for 6.514% notes
|
4/17/2012 | AGLM | FFCB to redeem $275 million of consolidated systemwide bonds at par
|
4/17/2012 | ABLM | Banco BPI offers to purchase mortgage-backed floaters issued by Sagres
|
4/17/2012 | LMMU | Illinois Development Finance calls $51 million Peoples Gas Light bonds
|
4/17/2012 | HYLM | Pregis plans to redeem remaining €13.89 million floaters due 2013
|
4/17/2012 | CVLM | UniSource Energy holders convert $39.3 million of 4.5% notes
|
4/17/2012 | ABLM | Green Lane plans to redeem all senior, income notes from five series
|
4/17/2012 | LMMU | Illinois Health defeases $60.91 million revolving fund pooled bonds
|
4/17/2012 | HYLM | Unites States Steel redeems $300 million 5.65% senior notes in full
|
4/17/2012 | EMLM | Brazil begins tender offer for R$6.4 billion 121/2 bonds due 2016, 2022
|
4/17/2012 | ABLM | Mound Financing (No. 4) completes purchase offer for £250 million asset-backed floaters
|
4/17/2012 | LMMU | Missouri Higher Education wraps tender offer for auction-rate bonds
|
4/17/2012 | HYLM | Wendy's begins tender offer, consent solicitation for 10% notes
|
4/17/2012 | EMLM | IADB plans to repurchase Ps. 1 million of its 8.67% notes on April 27
|
4/17/2012 | ABLM | Pendeford ends purchase offer for £300 million mortgage-backed notes
|
4/17/2012 | LMMU | St. Anthony's Medical Center, Mo., buys no bonds in latest auctions
|
4/17/2012 | LMMU | Fresno, Calif., calls $11.43 million of 7.8% pension obligation bonds
|
4/17/2012 | LM | Aria redeems in full two classes of floating-rate notes due Oct. 10
|
4/16/2012 | EMHYLM | Brazil's Braskem gets needed consents for four series of notes
|
4/16/2012 | IGLMPF | Central Hudson Gas to redeem series D and E cumulative preferred stock
|
4/16/2012 | LMPF | Central Vermont to redeem all preferred stock as part of merger deal
|
4/16/2012 | HYLM | NXP announces March redemption of all 8 5/8% senior notes due 2015
|
4/16/2012 | LMMU | Illinois Health calls $48.5 million Condell Medical revenue bonds
|
4/16/2012 | HYLM | ACCO Brands tenders, seeks consents for $425.1 million 10 5/8% notes
|
4/16/2012 | EMLM | Argentina's Mastellone Hermanos buys back $357,000 series A bonds
|
4/16/2012 | IGLMPF | KeyCorp seeks 5.7% trust preferred holders' consents to cut covenant
|
4/16/2012 | HYLM | Viasystems to redeem all $220 million 12% notes with offering proceeds
|
4/16/2012 | LMMU | Illinois calls $1.4 million of Evanston Northwestern Healthcare bonds
|
4/16/2012 | HYLM | Actuant gets needed consents for $250 million 6 7/8% notes due 2017
|
4/16/2012 | EMLM | Signum Finance buys back UAH 100 million of variable-rate notes
|
4/16/2012 | LMMU | Austin, Texas, series 2005 airport system bonds have mandatory tender
|
4/16/2012 | ABLM | Newport Waves repurchases all £10 million of notes on April 13
|
4/16/2012 | IGLM | BVPS II Funding calls 8.68% and 8.89% bonds due 2017 for redemption
|
4/16/2012 | LMMU | North Mississippi Health, hospital authority call $6.82 million bonds
|
4/16/2012 | HYLM | Anglian Water Services announces £7.1 million buyback of 7.882% notes
|
4/16/2012 | LM | Banco Santander tenders for up to €750 million of 33 note series
|
4/16/2012 | LMMU | Austin, Texas, to redeem $4.5 million of water and wastewater bonds
|
4/16/2012 | AGLM | FFCB to redeem $398 million of its consolidated systemwide bonds
|
4/16/2012 | IGLM | Mississippi Power calls all $90 million of its series E 5.625% notes
|
4/16/2012 | LMMU | Reno, Nev., calls all $65.36 million 2002 capital improvement bonds
|
4/16/2012 | HYLM | Beaver Valley II, CTC Beaver Valley call lease obligation bonds
|
4/16/2012 | LM | Bank of Ireland Mortgage Bank buys back €215 million of its notes
|
4/16/2012 | LMMU | Huntsville, Ala., Healthcare Authority calls some series 1998-A bonds
|
4/16/2012 | CVLM | International Power holders may convert, redeem bonds due to merger
|
4/16/2012 | IGLM | Rowan extends consent bid for 5% notes, 7.875% notes until Thursday
|
4/16/2012 | LMMU | San Antonio calls 1992, 2002 water system revenue and refunding bonds
|
4/16/2012 | HYLM | Great Wolf pushes back consent bid for 10 7/8% notes until Thursday
|
4/16/2012 | LM | Bank of Ireland bought back £2.7 billion notes due 2012 through 2014
|
4/16/2012 | LMMU | Illinois Finance calls $52 million Children's Memorial Hospital bonds
|
4/13/2012 | HYLM | Freedom Group units get needed consents to amend PIK, 101/4% notes
|
4/13/2012 | LMMU | South Dakota Health and Educational calls all 2008A Avera Health bonds
|
4/13/2012 | ABLM | Gracechurch Mortgage to redeem all series 2007 step-up notes in May
|
4/13/2012 | LMMU | Commonwealth Transportation, Va., calls $88.94 million revenue bonds
|
4/13/2012 | HYLM | Inn of the Mountain Gods to redeem $5 million of 83/4% notes due 2020
|
4/13/2012 | CALM | Capital Desjardins calls all C$300 million of 6.322% series C notes
|
4/13/2012 | LMMU | University of Colorado calls $74.46 million enterprise revenue bonds
|
4/13/2012 | LMMU | Dasny defeases $425 million of 2010A mental health services bonds
|
4/13/2012 | HYLM | Interoil Exploration to hold meeting for 15% callable bonds due 2014
|
4/13/2012 | CVLM | Pasdec redeems portion of series 2 rainbow exchangeable bonds
|
4/13/2012 | LMMU | Massachusetts HEFA calls $81.64 million of New England Medical bonds
|
4/13/2012 | IGLM | DirecTV redeems all $1.5 billion 7 5/8% senior notes due 2016
|
4/13/2012 | EMLM | Malaysia's Maybank redeems RM 1.5 billion subordinated bonds in full
|
4/13/2012 | LMMU | Norfolk, Va.'s 2009A Sentara Healthcare bonds have mandatory tender
|
4/13/2012 | IGLM | Hartford Financial accepts all consents from holders of 6.1% notes
|
4/13/2012 | HYLM | AutoNation to redeem all $14.68 million of 7% senior notes due 2014
|
4/13/2012 | LMMU | Oregon Health and Science University calls $75.81 million of bonds
|
4/13/2012 | LMMU | California Pollution Control 2010 revenue bonds have mandatory tender
|
4/12/2012 | HYLM | Nexstar Broadcasting calls $34 million of 7% senior subordinated notes
|
4/12/2012 | LM | Merrill Lynch announces plan to repurchase €146,000 of bonds Friday
|
4/12/2012 | CAHYLM | Russel Metals to redeem all $138.9 million notes with notes proceeds
|
4/12/2012 | LMMU | Ohio Public Facilities 2006 G.O. bonds subject to mandatory tender
|
4/12/2012 | HYLM | Skilled Healthcare Group calls all $130 million of 11% notes due 2014
|
4/12/2012 | LM | Vestjysk Bank to redeem all Kr 1 billion floating-rate bonds due 2013
|
4/12/2012 | CVLM | Hutchinson gets tenders for $51.68 million 8.5% convertibles
|
4/12/2012 | LMMU | Port Authority of New York and New Jersey calls $198.42 million bonds
|
4/12/2012 | HYLM | USG settles tenders for $118.2 million of 93/4% notes due 2014 in offer
|
4/12/2012 | HYLM | Alon Krotz Springs purchases no notes under tender offer, consent bid
|
4/12/2012 | DDEMHYLM | EOAL summons bondholders' meeting to vote on standstill for 15% bonds
|
4/12/2012 | LMMU | State of Oregon calls all $124.09 million of veteran's welfare bonds
|
4/12/2012 | IGLM | ERAC launches solicitation for $4.13 billion notes from six series
|
4/12/2012 | HYLM | First Industrial unit gets tenders for $86.92 million of notes so far
|
4/12/2012 | EMHYLM | Brazil's Braskem ups consent fee offered for four series of notes
|
4/12/2012 | LMMU | Utah Associated Municipal to defease $77.96 million Payson Power bonds
|
4/12/2012 | ABLM | Bishopsgate Asset Finance buys back £204.71 million 5.105% notes
|
4/12/2012 | IGLM | Hartford Financial gets needed consents from holders of 6.1% notes
|
4/12/2012 | HYLM | Intelsat unit tenders for 91/2% notes, up to $470 million of 111/4% notes
|
4/12/2012 | EMLM | Cavitex: 89.47% of 12% Manila Cavite notes tendered by expiration date
|
4/12/2012 | LMMU | Wisconsin HEFA ups redemption price on $149.84 million Ministry bonds
|
4/12/2012 | AGLM | FFCB to redeem $32 million of consolidated systemwide bonds at par
|
4/12/2012 | LMMU | Illinois Educational Facilities calls $100.52 million revenue bonds
|
4/11/2012 | LMMU | Brevard County, Fla., calls $20.56 million of Health First bonds
|
4/11/2012 | HYLM | Verso Paper units amend exchange offer for floating-rate notes
|
4/11/2012 | CVLM | Parker Drilling tenders for $125 million 2.125% convertibles due 2012
|
4/11/2012 | LMMU | Broward County, Fla., defeases 2003, 2003B, 2005 water and sewer bonds
|
4/11/2012 | IGLM | Hartford Financial extends consent bid for 6.1% notes to Wednesday
|
4/11/2012 | LM | Prometheus Capital to buy remaining €10 million of its FX-linked notes
|
4/11/2012 | LMMU | DeSoto Parish, La., calls all $50.11 million of Cleco Utility bonds
|
4/11/2012 | IGLM | Hartford ups consent fee for 6.1% notes, extends offer until Friday
|
4/11/2012 | LM | Xenon Capital buys back €2.73 million of variable-rate notes due 2030
|
4/11/2012 | LMMU | Maryland Health defeases series 2001 Greater Baltimore Medical bonds
|
4/11/2012 | IGLM | Prudential gets OK to scrap replacement covenants under 6.625% notes
|
4/11/2012 | HYLM | Huntingdon Capital starts issuer bid to buy C$4.53 million debentures
|
4/11/2012 | AGLM | FFCB to redeem $370 million of consolidated systemwide bonds at par
|
4/11/2012 | IGLM | Westar Energy calls all $150 million of its 6.1% first mortgage bonds
|
4/11/2012 | HYLM | MGM Resorts seeks OK to pull put option under 10 3/8%, 11 1/8% notes
|
4/11/2012 | CVDDHYLM | Orco Property Group bondholders to vote on restructuring on April 27
|
4/10/2012 | LMMU | New York State Thruway to redeem $25 million highway and bridge bonds
|
4/10/2012 | LMMU | Houston calls $171.84 million of 1998 airport system revenue bonds
|
4/10/2012 | CVLM | Rocky Mountain extends offer for convertibles, picks new meeting date
|
4/10/2012 | LMMU | Oklahoma Development Finance calls all series 2003 revenue bonds
|
4/10/2012 | LMMU | Illinois Finance calls $2.49 million of Osf Healthcare System bonds
|
4/10/2012 | HYLM | Meritage gets needed consents for 61/4% notes; $259 million tendered
|
4/10/2012 | LMMU | Philadelphia Gas calls portion of 7% series 12 revenue bonds due 2020
|
4/10/2012 | LMMU | Indiana Finance calls all $75 million of Sisters of St. Francis bonds
|
4/10/2012 | IGLMPF | PNC Financial to redeem all $500 million of 6.625% trust preferreds
|
4/10/2012 | LMMU | St. Anthony's Medical Center, Mo., to bid 1.65% for 2005, 2006 bonds
|
4/10/2012 | AGLM | FFCB to redeem $165 million of its consolidated systemwide bonds
|
4/10/2012 | LMMU | Indianapolis Bond Bank calls $20 million airport authority bonds
|
4/10/2012 | LMMU | California calls $12.58 million of 5% G.O. bonds due 2026
|
4/10/2012 | CALM | Brick to pay C$90.72 million to buy back more than 70% of 12% notes
|
4/10/2012 | LMMU | Massachusetts to make $15 million of bids on series F-2 revenue bonds
|
4/10/2012 | LMMU | Connecticut calls $10 million of 1997B variable-rate demand G.O. bonds
|
4/10/2012 | CVLM | Digital Realty plans to convert 4.375% convertibles into common stock
|
4/9/2012 | AGLM | FFCB to redeem $20 million of consolidated systemwide bonds at par
|
4/9/2012 | LMMU | Norfolk, Va., to defease some of five series of water revenue bonds
|
4/9/2012 | HYLM | Medco Health Solutions calls all 71/4% senior notes due 2013
|
4/9/2012 | HYLM | Cimarex Energy to redeem all remaining 7 1/8% senior notes due 2017
|
4/9/2012 | CVLM | Malaysia's Olympia Industries buys back RM 41.15 million convertibles
|
4/9/2012 | LMMU | Raleigh, N.C., calls $33.41 million of combined enterprise bonds
|
4/9/2012 | HYLM | Poindexter calls all remaining $94.89 million of 83/4% notes due 2014
|
4/9/2012 | HYLM | Great Wolf extends consent solicitation for 10 7/8% notes until Friday
|
4/9/2012 | CVLM | Micron Technology to redeem all of its 4.25% convertibles due 2013
|
4/9/2012 | LMMU | Salt Lake City calls some 1991 IHC Hospitals revenue refunding bonds
|
4/9/2012 | HYLM | Tenneco wraps tender offer for 8 1/8% senior notes, redeems remainder
|
4/9/2012 | HYLM | Interface redeems all $11.5 million remaining 91/2% notes due 2014
|
4/9/2012 | EMLM | Land Bank of the Philippines redeems $150 million 71/4% notes due 2016
|
4/9/2012 | IGLM | Discover begins private exchange offers for 10.25% notes, 6.45% notes
|
4/9/2012 | HYLM | Landry's gets needed two-thirds consents for 11 5/8% notes due 2015
|
4/9/2012 | HYLM | AMC Entertainment completes repurchase of 8% subordinated notes
|
4/9/2012 | LMMU | Indianapolis Airport Authority calls $20 million of revenue bonds
|
4/9/2012 | HYLM | Lyondell holders tender 97.95%, 97.50%, 96.97% of three note series
|
4/9/2012 | HYLM | Bloomin' Brands to redeem all 10% notes with common stock proceeds
|
4/5/2012 | HYLM | Aptalis Pharma launches cash tender offer for any and all 123/4% notes
|
4/5/2012 | LMMU | Norfolk, Va., calls $117.71 million of series 1993, 1995 water bonds
|
4/5/2012 | DDEMHYLM | Barbados' Columbus solicits consents, default waiver for 111/2% notes
|
4/5/2012 | LMMU | DuPage County, Ill., defeases $32.44 million of G.O. limited tax bonds
|
4/5/2012 | HYLM | Cimarex gets consents for 86% of 7 1/8% notes; redemption to follow
|
4/5/2012 | LMMU | Office Facilities, La., defeases $115 million of lease revenue bonds
|
4/5/2012 | EMHYLM | Brazil's Braskem solicits consents to amend 71/4%, 7%, 53/4%, 7 3/8% notes
|
4/5/2012 | ABLM | Bank of Ireland buys back all €35 million series 1 floaters due 2016
|
4/5/2012 | LMMU | Higher Education Loan Authority of Missouri extends tender offer
|
4/5/2012 | HYLM | Community Health unit wraps oversubscribed tender offer for notes
|
4/5/2012 | LMMU | Wisconsin calls four series of G.O. refunding bonds for redemption
|
4/5/2012 | LM | Armoin Residential redeems all €1.501 billion mortgage-backed notes
|
4/5/2012 | ABLM | RBS prices exchange offer for £300 million notes issued by Bishopsgate
|
4/5/2012 | LMMU | Houston calls some Texas airport system revenue bonds for redemption
|
4/5/2012 | HYLM | LyondellBasell gets needed majority consents to amend 8%, 11% notes
|
4/5/2012 | LMPP | Chase Packaging convertible holders waive liquidation right until 2016
|
4/5/2012 | LM | CELF Low Levered redeems all €81 million of class D, class F notes
|
4/5/2012 | ABLM | RMAC gets needed consents from holders of numerous series of bonds
|
4/5/2012 | LMMU | Houston defeases series 2002A, B Texas airport system revenue bonds
|
4/5/2012 | HYLM | Tube City to redeem all $223 million of 93/4% senior subordinated notes
|
4/5/2012 | LMPP | Deer Valley buys back all series C and series E convertible preferreds
|
4/5/2012 | HYLM | ACCO Brands plans full $246.32 million redemption of 7 5/8% notes
|
4/5/2012 | LMMU | Louisville/Jefferson, Ky., defeases $330 million of Jewish Hospital, St. Mary's project bonds
|
4/5/2012 | AGLM | FFCB to redeem $142 million of its consolidated systemwide bonds
|
4/5/2012 | LMMU | Connecticut HEFA defeases some Connecticut College, Connecticut State University revenue bonds
|
4/4/2012 | HYLM | Crown Castle International terminates tender offer for 9% notes
|
4/4/2012 | LMMU | Oregon defeases, calls $200.05 million certificates of participation
|
4/4/2012 | HYLM | Verso Paper wraps cash offer; no 111/2% notes tendered after early date
|
4/4/2012 | IGLMPF | Premier Capital Trust I calls all $1.15 million of 9% preferreds
|
4/4/2012 | CVLM | Liz Claiborne converts holder's $22.6 million notes into stock
|
4/4/2012 | LMMU | Abraham Joshua Heschel School, N.Y., calls $17 million revenue bonds
|
4/4/2012 | DDHYLM | Blom bondholders vote in favor of resolution to extend maturity
|
4/4/2012 | LMMU | Baton Rouge, La., defeases $53.77 million 2002 A, B refunding bonds
|
4/4/2012 | LM | Delhaize accepts tenders for €191.07 million 5.625% notes due 2014
|
4/4/2012 | LMMU | Lamar Consolidated ISD, Texas, redeems, defeases $76.48 million bonds
|
4/3/2012 | HYLM | United Surgical buys all 8 7/8%, toggle notes tendered by consent date
|
4/3/2012 | LMMU | Partners Healthcare, Mass., to bid $15 million on series F-2 bonds
|
4/3/2012 | HYLM | Berry Petroleum wraps oversubscribed tender offer for 101/4% notes
|
4/3/2012 | IGLMPF | Brandywine Realty to redeem all remaining 7.5% series C preferreds
|
4/3/2012 | CVLM | Clarke resumes issuer bid for C$6.32 million 6% convertibles due 2013
|
4/3/2012 | HYLM | Wendy's to use credit facility to redeem notes, refinance existing loan
|
4/3/2012 | LMMU | San Antonio calls $10.42 million of water system bonds, series 2001-A
|
4/3/2012 | HYLM | Crown Castle International begins tender offer for 9% notes due 2015
|
4/3/2012 | LMMU | Jacksonville, Fla., defeases series 2003, 2004 sales tax revenue bonds
|
4/3/2012 | CVLM | REXLot holders convert HK$427.9 million of 6% convertibles due 2016
|
4/3/2012 | IGLM | Prudential Financial begins consent solicitation for 6.625% notes
|
4/3/2012 | HYLM | Hornbeck Offshore settles tenders for $252.21 million of 6 1/8% notes
|
4/3/2012 | LMMU | New Hampshire defeases $27.08 million of University System bonds
|
4/3/2012 | LM | Landshypotek announces redemption of SEK 56 million of notes
|
4/3/2012 | IGLM | Qwest offer cap in tender for 8.375%, 7.625% notes tops $1 billion
|
4/3/2012 | ABLM | Swedbank Mortgage buys back SEK 100 million of floating-rate notes
|
4/3/2012 | HYLM | Hovnanian to repurchase three series of notes with stock offering
|
4/3/2012 | LMMU | New Jersey Economic calls all $60 million of water facilities bonds
|
4/3/2012 | LM | Nomura Holdings announces redemption of CHF 338,000 of notes in March
|
4/3/2012 | IGLM | Sara Lee accepts $470 million of 6.125%, 4.1% notes for purchase
|
4/3/2012 | CVDDLM | 3i Infotech falls short of quorum for convertibles; April 24 meeting set
|
4/3/2012 | HYLM | PetroProd redeems all 10.85% callable bonds, floating-rate bonds
|
4/3/2012 | LMMU | Ohio defeases all series 2004D infrastructure improvement G.O. bonds
|
4/3/2012 | HYLM | Alon Krotz Springs gets tenders for $159.98 million of 131/2% notes
|
4/3/2012 | IGLM | Vivendi launches tender offer for $700 million 5.75% notes due 2013
|
4/3/2012 | CVLM | Chaoda Modern Agriculture redeems in full remaining convertibles
|
4/2/2012 | IGLM | Barclays Bank redeems all $27 million of 5% notes due 2025 at par
|
4/2/2012 | LMMU | State of California calls $130.44 million of bonds due 2013 to 2021
|
4/2/2012 | CVLM | LabCorp's zero-coupon notes now convertible through June 29
|
4/2/2012 | HYLM | CIT Group announces $500 million redemption of 7% series C notes
|
4/2/2012 | LMMU | Nevada defeases $7.1 million general obligation bonds due 2014, 2022
|
4/2/2012 | IGLMPP | Hartford Financial to buy back Allianz 10% debentures and warrants
|
4/2/2012 | EMHYLM | Singapore's Altus Capital buys back $8.05 million of 12 7/8% notes
|
4/2/2012 | IGLM | CenturyLink's Embarq buys back $1.14 billion 7.082%, 6.738% notes
|
4/2/2012 | LMMU | Wisconsin calls $149.84 million of Ministry Health Care revenue bonds
|
4/2/2012 | CVLM | Liquor Stores to redeem 6.75% convertibles due 2012 with debenture sale
|
4/2/2012 | HYLM | Great Wolf amends, extends consent solicitation for 10 7/8% notes
|
4/2/2012 | LMMU | Northern California Transmission calls 2002A revenue refunding bonds
|
4/2/2012 | EMLM | Argentina's Autopistas del Sol to buy back some step-up notes due 2020
|
4/2/2012 | LMMU | Georgia Finance and Investment Commission calls $266.41 million G.O.s
|
4/2/2012 | IGLM | DTE Energy Center calls $5.98 million of 7.458% senior bonds due 2024
|
4/2/2012 | LMPF | Arch Capital calls all of its 8% series A, 7.875% series B preferreds
|
4/2/2012 | CVLM | Pembina acquires Provident, plans tender for 5.75% convertibles
|
4/2/2012 | HYLM | Newfield Exploration calls all $325 million of 6 5/8% notes due 2014
|
4/2/2012 | LMMU | Ohio calls $32 million of series H highway capital improvement G.O.s
|
4/2/2012 | EMLM | Cavitex extends tender offer for 12% notes issued by Manila Cavite
|
4/2/2012 | LMMU | Georgia to redeem all $2 million of 5% bonds due 2020
|
4/2/2012 | IGLM | Hartford Financial Services begins consent solicitation for 6.1% notes
|
4/2/2012 | CVLM | SM Energy receives puts for $14,000 3.5% convertibles, calls remainder
|
4/2/2012 | HYLM | Poindexter scraps consent bid, some conditions in offer for 83/4% notes
|
4/2/2012 | LMMU | Raleigh Durham Airport Authority calls $1.52 million of 2008C bonds
|
4/2/2012 | LM | Barclays Bank announces full redemption of €1.5 billion floaters
|
4/2/2012 | LMMU | Jacksonville, Fla., announces redemption of $371.05 million of bonds
|
4/2/2012 | IGLMPF | BB&T calls $94.75 million of preferred, capital securities
|
4/2/2012 | CVLM | UniSource Energy to redeem $40 million 4.5% convertibles due 2035
|
4/2/2012 | HYLM | USG receives early tenders for $118.2 million of 93/4% notes due 2014
|
4/2/2012 | LMMU | San Diego Water calls $62.11 million of 2002 A revenue certificates
|
4/2/2012 | CAHYLM | Former Quadra FNX starts change-of-control tender offer for 73/4% notes
|
4/2/2012 | HYLM | Actuant tenders, seeks consents for $250 million 6 7/8% notes due 2017
|
4/2/2012 | LMMU | Jacksonville Transportation, Fla., calls $84.11 million 1997 bonds
|
4/2/2012 | IGLMPF | Bank One Capital to redeem $17 million of 7.2% preferred securities
|
4/2/2012 | CVLM | Verenium repurchases remaining $34.9 million of 5.5% convertibles
|
3/30/2012 | LM | ING to issue €1.65 billion notes in exchange offer for three series
|
3/30/2012 | CVLM | Avis Budget buys back $100 million of convertibles for $115 million
|
3/30/2012 | LMMU | Holt Public Schools, Mich., calls portion of 2002 refunding bonds
|
3/30/2012 | HYLM | Omega Healthcare redeems remaining $6 million 7% notes at 102.333
|
3/30/2012 | HYLM | Cenveo buys back $23.2 million 8 3/8% notes, $165 million 101/2% notes
|
3/30/2012 | CVLM | Clarke to redeem 6% convertibles May 3; bonds convertible up to May 2
|
3/30/2012 | LMMU | Montgomery County, Ohio, calls $94.24 million Kettering Health bonds
|
3/30/2012 | HYLM | TASC announces redemption of $70 million of 12 3/8% notes due 2016
|
3/30/2012 | HYLM | Freedom Group units tender, seek consents for toggle notes, 101/4% notes
|
3/30/2012 | CVLM | Gayatri Projects buys back all ¥100 million of its 0% convertibles
|
3/30/2012 | LMMU | Philadelphia redevelopment authority to redeem 2002A revenue bonds
|
3/30/2012 | HYLM | Thermon Industries calls $21 million of 91/2% notes due 2017 at 103
|
3/30/2012 | HYLM | Hovnanian holders exchange $4.1 million of 8 5/8% notes for stock
|
3/30/2012 | EMLM | Brazil's TAM gets OK to call debentures, picks April 9 redemption date
|
3/30/2012 | LMMU | San Francisco Airport Commission to redeem International Airport bonds
|
3/30/2012 | IGLM | AT&T redeems all $1 billion 5.875% notes due August 2012 at 102.039
|
3/30/2012 | HYLM | Michaels Stores to redeem 13%, 11 3/8% notes using proceeds from IPO
|
3/30/2012 | LM | Bank of Ireland buys back €50 million of €1.9 billion bonds last week
|
3/30/2012 | CVHYLM | Sealy spots opportunities to delever by redeeming bonds due 2014, 2016
|
3/30/2012 | LMMU | California calls $3.75 billion power bonds, $842.92 million of G.O.s
|
3/30/2012 | HYLM | Norwegian Air gets OK to replace existing floaters with new floaters
|
3/29/2012 | HYLM | Spectrum holders tender $87,856 more 12% notes since early deadline
|
3/29/2012 | LM | Sylph announces repurchase ¥5.5 billion of notes from 13 issues
|
3/29/2012 | LMMU | Nueces, Texas, defeases $26.72 million of certificates of obligation
|
3/29/2012 | CVLM | Actuant announces redemption of all $117.59 million of 2% convertibles
|
3/29/2012 | HYLM | Verso Paper units offer to issue 93/4% notes in exchange for floaters
|
3/29/2012 | ABLM | Ocean Finance redeems €156 million portion of its notes on March 27
|
3/29/2012 | HYLM | First Industrial unit tenders for $100 million of four note series
|
3/29/2012 | LMMU | Potomac Electric Power to redeem 5 3/8% bonds with offer proceeds
|
3/29/2012 | CVLM | Gayatri Projects buys back ¥320 million foreign currency convertibles
|
3/29/2012 | LMMU | Detroit School District calls $194.69 million of 2001A G.O. bonds
|
3/29/2012 | ABLM | Pendeford offer extended for £300 million mortgage-backed notes
|
3/29/2012 | HYLM | Lawson terminates change-of-control tender offer for 111/2% notes
|
3/29/2012 | LMMU | Sonoma-Marin Area Rail Transit's 2011A bonds have mandatory tender
|
3/29/2012 | CVLM | Omnicare to exchange $256.95 million 3.75% convertibles for new notes
|
3/29/2012 | LMMU | Hawaii calls four series of Hawaiian Electric special purpose bonds
|
3/29/2012 | AGLM | FFCB to redeem $98 million of its consolidated systemwide bonds
|
3/29/2012 | HYLM | RSC Holdings plans to redeem 91/2% notes due 2014, 10% notes due 2017
|
3/29/2012 | LMMU | West Virginia Parkways calls portion of 2008 revenue refunding bonds
|
3/29/2012 | DDEMHYLM | Nexus Floating Production asks bondholders to further extend maturity
|
3/29/2012 | LMMU | Kansas Development to redeem 2006 Sisters of Charity bonds on April 4
|
3/29/2012 | CAHYLM | Quebecor Media gets no more tenders for 73/4% notes in concluded offer
|
3/29/2012 | HYLM | Skilled Healthcare to redeem 11% senior notes with term loan increase
|
3/29/2012 | EMLM | Trees announces redemption of SEK 1 million of class A & C notes
|
3/29/2012 | LMMU | Memphis defeases $85.96 million of its series 2004 and 2006A bonds
|
3/29/2012 | CAHYLM | Quebecor Media plans to redeem C$81.48 million of 73/4% notes due 2016
|
3/28/2012 | LMMU | South Broward Hospital, Fla., calls $120 million revenue bonds at 101
|
3/28/2012 | HYLM | USG extends early tender deadline, scraps consent bid for 93/4% notes
|
3/28/2012 | CVLM | UniSource holders convert $39.63 million 4.5% notes ahead of call date
|
3/28/2012 | LMMU | Delaware River Port, N.J., calls portions of series 1999, 2001 bonds
|
3/28/2012 | EMLM | Philippines' Aboitiz Power to redeem fixed-rate bonds due 2014 at 102
|
3/28/2012 | LMMU | Delta County, Mich., calls all MeadWestvaco-Escanaba 2002A, B bonds
|
3/28/2012 | HYLM | Great Wolf Resorts again pushes back consent bid for 10 7/8% notes
|
3/28/2012 | AGLM | FFCB calls $175 million 0.84% consolidated systemwide bonds due 2013
|
3/28/2012 | LMMU | Detroit school district calls $83.07 million series 1998B G.O. bonds
|
3/28/2012 | HYLM | Lawson gets consents to kill change-of-control offer for 111/2% notes
|
3/28/2012 | CVLM | Equinix elects to settle conversion of 2.5% notes in cash and stock
|
3/28/2012 | LMMU | King County, Wash., defeases $82.3 million of 2011B limited tax G.O.s
|
3/28/2012 | HYLM | NCO gets needed consents to amend 11 7/8% notes and floaters
|
3/28/2012 | CVLM | Hutchinson holders tender $64.36 million of 3.25% convertibles
|
3/27/2012 | HYLM | Virgin Media unit wraps oversubscribed tender offer for 91/2% notes
|
3/27/2012 | EMLM | Malaysia's Maxtral Industry buys back, cancels RM 30 million of sukuk
|
3/27/2012 | IGLMPF | JPMorgan announces redemption of $425 million of 7.2% preferreds
|
3/27/2012 | HYLM | Alvogen Lux Holdings to redeem all 18% senior secured notes due 2015
|
3/27/2012 | LMMU | Texas to redeem $6.78 million of series 2000A water financial bonds
|
3/27/2012 | HYLM | Holly Energy wraps tender offer and will redeem remaining 61/4% notes
|
3/27/2012 | CAHYLM | New Gold to redeem 10% senior notes due 2017 with new note offering
|
3/27/2012 | HYLM | Meritage begins tender offer, consent solicitation for 61/4% notes
|
3/27/2012 | CVLM | Annaly opts to convert all 6% series B preferreds into common stock
|
3/27/2012 | HYLM | R.R. Donnelley buys back $441.76 million of 4.95% notes, 51/2% notes
|
3/27/2012 | EMHYLM | Mexico's GEO settles $195.22 million early tenders for 8 7/8% notes
|
3/26/2012 | HYLM | Landry's begins tender offer, consent solicitation for 11 5/8% notes
|
3/26/2012 | LM | SBAB Bank to repurchase SEK 250 million of notes on March 27
|
3/26/2012 | IGLMPF | Arch Capital to redeem 8% series A, 7.875% series B preferreds
|
3/26/2012 | CVLM | National Bank of Abu Dhabi buys back AED 11.3 million convertibles
|
3/26/2012 | ABLM | Brooklands redeems €225 million floaters from eight series on March 20
|
3/26/2012 | HYLM | Lyondell begins tender offer, consent solicitation for 8%, 11% notes
|
3/26/2012 | HYLM | Banco Comercial Portugues accepts €918.65 million bonds for repurchase
|
3/26/2012 | LMMU | Rancho Santiago Community College, Calif., defeases $216.13 million of series 2003A, B G.O.s
|
3/26/2012 | CVLM | Rolta India begins tender offer for zero-coupon convertibles
|
3/26/2012 | ABLM | Santander Totta accepts €778.85 million of floaters in tender offer
|
3/26/2012 | HYLM | Norse Energy revises NEC03 redemption date to April 10 from April 4
|
3/26/2012 | HYLM | Great Wolf Resorts extends consent solicitation for 10 7/8% notes
|
3/26/2012 | EMHYLM | Mexico's Cemex tallies tenders in offers for 43/4%, perpetual notes
|
3/26/2012 | CVLM | GMX holders exchange $4.12 million of 5% convertibles for stock, cash
|
3/26/2012 | HYLM | Obrascon Huarte Lain holders tender €176.25 million of 7 3/8% notes
|
3/26/2012 | HYLM | HD Supply to refinance 12% notes due 2014 with note proceeds, loan
|
3/26/2012 | EMLM | AIG completes repurchase of Ps. 202.52 million of 7.98% notes
|
3/26/2012 | HYLM | Rockwood Specialties to redeem all $199.98 million notes due 2014
|
3/26/2012 | CVLM | Health Care REIT calls all $125.56 million of its 4.75% convertibles
|
3/26/2012 | HYLM | I.M. Skaugen to repurchase NOK 55.5 million of floating-rate bonds
|
3/26/2012 | LM | Credit Agricole to redeem all 7.047% trust preferreds on April 26
|
3/26/2012 | IGLM | Wyndham accepts $442.88 million of 6% notes, no 7.375% notes
|
3/26/2012 | CVLM | Interpublic Group redeems all remaining 4.25% convertibles due 2023
|
3/23/2012 | LMMUPF | BlackRock Advisors announces details on preferred shares redemption
|
3/23/2012 | LMMU | Greenwood County, S.C., calls $66.09 million of Self Memorial bonds
|
3/23/2012 | LM | SBAB Bank completes repurchase of SEK 372 million of notes
|
3/23/2012 | AGLM | FFCB to redeem $295 million of its consolidated systemwide bonds
|
3/23/2012 | LMMU | Massachusetts calls $79.06 million of Harvard Vanguard Medical bonds
|
3/23/2012 | HYLM | Ball repurchases $392.7 million 6 5/8% notes through tender offer
|
3/23/2012 | CVLM | Anglo American to redeem all $1.7 billion of 4% convertibles due 2014
|
3/23/2012 | LMMU | Mission Economic, Texas, calls all $56.8 million Allied Waste bonds
|
3/23/2012 | HYLM | Pregis to redeem $150 million notes, €25 million floaters due 2013
|
3/23/2012 | CVLM | Pengrowth plans to make offer for NAL convertibles post-combination
|
3/23/2012 | LMMU | New York Industrial calls $63.3 million of NYU civic facility bonds
|
3/23/2012 | HYLM | WCA Waste wraps tender offer for 71/2% notes in connection with merger
|
3/23/2012 | CVLM | Vornado Realty calls $510.22 million of 3.875%, 2.85% convertibles
|
3/23/2012 | LMMU | Tooele County, Utah, calls $99.89 million of Union Pacific bonds
|
3/23/2012 | IGLM | Commonwealth Bank of Australia to repurchase all $50 million of notes
|
3/23/2012 | LM | CELF Low Levered Partners solicits consents for three series of notes
|
3/22/2012 | LMMU | San Francisco Unified School District defeases $137.39 million bonds
|
3/22/2012 | HYLM | I.M. Skaugen redeems NOK 278.5 million bonds with new issue proceeds
|
3/22/2012 | LMMU | Kansas City, Mo., defeases $93.52 million of 2004F, 2003F G.O. bonds
|
3/22/2012 | CVLM | Rocky Mountain to extend tender offer for 7% convertibles, up price
|
3/22/2012 | HYLM | Verso Paper accepts all $270.57 million notes tendered by early date
|
3/22/2012 | HYLM | Lawson prolongs consent solicitation for 111/2% notes to March 27
|
3/22/2012 | LMMU | Maryland calls $201.18 million of Baltimore/Washington airport bonds
|
3/22/2012 | CVLM | euNetworks gets commitments in exchange offer for 0% convertibles
|
3/22/2012 | IGLM | Bank of Tokyo-Mitsubishi calls $500 million of subsidiary's notes
|
3/22/2012 | HYLM | Reichhold launches exchange offer, consent solicitation for 9% notes
|
3/22/2012 | LMMU | New York State Thruway calls 2002C highway and bridge bonds
|
3/22/2012 | LM | Delhaize begins tender offer for €300 million of 5 5/8% notes due 2014
|
3/22/2012 | IGLMPF | HCP to redeem 7.25%, 7.1% series E, F preferreds for $295.5 million
|
3/22/2012 | HYLM | Solo Cup may tender for 101/2%, 81/2% notes with stock purchase deal
|
3/22/2012 | LMMU | New York State Thruway defeases highway/bridge trust fund bonds
|
3/22/2012 | HYLM | Cimarex tenders, seeks consents for $350 million 7 1/8% notes due 2017
|
3/22/2012 | IGLMPF | PNC Financial Services to redeem $306 million of capital securities
|
3/22/2012 | HYLM | Tenneco holders deliver needed consents to amend 8 1/8% senior notes
|
3/22/2012 | LMMU | San Diego Community College District defeases $290.68 million of bonds
|
3/22/2012 | HYLM | Hovnanian issues class A stock in exchange for $3.3 million of notes
|
3/22/2012 | CVDDLM | 3i Infotech offers to exchange convertibles, calls second meeting
|
3/22/2012 | LMMU | Dasny calls $93.01 million of New York University bonds, 2001 series 2
|
3/22/2012 | HYLM | Vantage Drilling unit seeks holder consents to issue more 111/2% notes
|
3/21/2012 | HYLM | Polyus Gold redeems all $200 million outstanding of notes due 2013
|
3/21/2012 | LM | Groupe BPCE buys back €822 million of note series due 2012 to 2013
|
3/21/2012 | DDHYLM | Sea Production gets holder approval to extend bonds to February 2014
|
3/21/2012 | LMMU | Minneapolis calls $72.55 million Fairview Health System revenue bonds
|
3/21/2012 | IGLM | Qwest tenders for up to $500 million 8.375% notes, 7.625% notes
|
3/21/2012 | LM | Xenon Capital completes early repurchase of €20 million of notes
|
3/21/2012 | EMLM | Korea's Hana Bank calls all 5 3/8% subordinated notes due 2017
|
3/21/2012 | LMMU | Pennsylvania calls $113.37 million of series 2002 G.O. bonds on May 1
|
3/21/2012 | LMMU | Allen County, Ohio, 2010C revenue bonds subject to mandatory purchase
|
3/21/2012 | HYLM | Cenveo caps offer for 7 7/8% notes, ends solicitation, extends deadline
|
3/21/2012 | EMLM | Pasdec redeems portion of series 2 rainbow exchangeable bonds
|
3/21/2012 | LMMU | Thompson School District, Colo., defeases general obligations bonds
|
3/21/2012 | AGLM | FFCB to redeem $404 million of consolidated systemwide bonds at par
|
3/21/2012 | LMMU | Charleston County School District, S.C., defeases 2004A G.O. bonds
|
3/21/2012 | HYLM | Community Health accepts tenders equal to offer cap by early deadline
|
3/21/2012 | LM | BBVA Subordinated Capital redeems €750 million floaters due 2017
|
3/21/2012 | LMMU | Zionsville Community Schools, Ind., defeases first mortgage bonds
|
3/21/2012 | CVLM | Mercator Singapore buys back all $16 million of series B convertibles
|
3/21/2012 | LMMU | Columbus, Ohio, defeases $109.78 million of various purpose G.O.s
|
3/21/2012 | HYLM | I.M. Skaugen may redeem some bonds due 2013 with new issue proceeds
|
3/21/2012 | LM | GS Real Estate Mezzanine Partners Offshore calls $10.2 million notes
|
3/21/2012 | DDHYLM | Blom asks to extend bond maturity by a quarter, pay interest in kind
|
3/21/2012 | LMMU | Maryland defeases $140.66 million of state and local facilities loans
|
3/20/2012 | CVLM | Bill Barrett receives tenders for 85.31% of 5% convertibles due 2028
|
3/20/2012 | LMMU | Nassau County Industrial, N.Y., calls $5.69 million Amsterdam bonds
|
3/20/2012 | IGLMPF | AXIS Capital plans to redeem $150 million of 7.25% series A preferreds
|
3/20/2012 | HYLM | Berry Petroleum gets early tenders for 52% of 101/4% notes due 2014
|
3/20/2012 | LMMU | New York State Thruway to redeem all 5.5% highway and bridge bonds
|
3/20/2012 | CVLM | Hutchinson Technology extends exchange, tender offers for convertibles
|
3/20/2012 | LMMU | California calls all $124.61 million 2004C-11 economic recovery bonds
|
3/20/2012 | HYLM | Morris Publishing to offer to buy back floaters following asset sale
|
3/20/2012 | LMMU | Stowers Institute, Mo., to continue bids on 2000, 2002 research bonds
|
3/20/2012 | CVLM | iStar Financial agrees to buy back $109 million of convertible notes
|
3/20/2012 | LMMU | Indiana Health defeases portion of 2001A Parkview Health System bonds
|
3/20/2012 | HYLM | Spectrum Brands accepts all 12% notes tendered by early deadline
|
3/20/2012 | DDHYLM | Dex One begins tender offer for portion of 12%/14% notes due 2017
|
3/20/2012 | LMMU | Metropolitan Water District, Calif., defeases 2003B-1, B-3 water bonds
|
3/20/2012 | IGLM | Sara Lee gets tenders for $888.61 million, nixes series-specific caps
|
3/20/2012 | EMHYLM | Mexico's GEO gets tenders for $195.22 million of 8 7/8% notes so far
|
3/20/2012 | AGLM | FFCB to redeem $40 million of its consolidated systemwide bonds
|
3/20/2012 | LMMU | Miami Beach Health to redeem 1998 and 2001A hospital revenue bonds
|
3/20/2012 | IGLM | Sara Lee nixes caps for 6.125%, 4.1% notes, will accept no 2.75% notes
|
3/20/2012 | EMLM | Colombia's TGI International calls all 91/2% notes for redemption
|
3/19/2012 | ABLM | Caixa Geral accepts tenders for €903.8 million covered bonds in offer
|
3/19/2012 | IGLM | Comcast to redeem all $562.5 million of its 7% senior notes due 2055
|
3/19/2012 | LM | Fermat completes repurchase of €166.22 million of notes on Feb. 28
|
3/19/2012 | ABLM | Mound Financing (No. 4) to redeem £250 million asset-backed floaters
|
3/19/2012 | IGLMPF | Kilroy Realty to redeem $126.5 million of series E and F preferreds
|
3/19/2012 | HYLM | Novae Group to issue £59.94 million of 6.5% notes in exchange offer
|
3/19/2012 | ABLM | Signum Finance announces A$6.09 million repurchase of notes
|
3/19/2012 | LMMU | Knoxville, Tenn., calls $54.79 million of bonds from three 2004 series
|
3/19/2012 | HYLM | Omega Healthcare gets needed consents to amend 7% notes due 2016
|
3/19/2012 | CVLM | SM Energy extends tender offer for 3.5% senior convertibles due 2027
|
3/19/2012 | ABLM | Bankia tenders for €1 billion asset-backed securities by Dutch auction
|
3/19/2012 | LMMU | Wisconsin calls $2.58 million of series 2009A, 2009B Froedtert bonds
|
3/19/2012 | HYLM | Poindexter tenders, seeks consents for $159.32 million of 83/4% notes
|
3/19/2012 | EMLM | Cavitex gives early results of tender for Manila Cavite notes, extends early tender date
|
3/19/2012 | ABLM | Bishopsgate completes repurchase of £15.66 million of notes on March 16
|
3/19/2012 | HYLM | Regency Energy to use common unit offering to redeem notes due 2016
|
3/19/2012 | EMLM | Central China Real Estate obtains needed consents for 121/4% notes
|
3/16/2012 | EMLM | Standard Chartered (Hong Kong) calls $300 million floaters due 2017
|
3/16/2012 | LMMU | Murray City, Utah, calls $1 million of 2005A hospital revenue bonds
|
3/16/2012 | IGLM | Rowan launches consent solicitation for 5% notes, 7.875% notes
|
3/16/2012 | LM | Viso completes early repurchase of €25 million of notes on March 15
|
3/16/2012 | LMMU | Norkfolk, Va., to redeem $61.7 million of series 1998 water bonds
|
3/16/2012 | IGLM | Sara Lee plans to redeem all $500 million of its 3.875% notes due 2013
|
3/16/2012 | HYLM | Alon Krotz Springs launches tender offer for $216.5 million 131/2% notes
|
3/16/2012 | LMMU | University Health Systems of Eastern Carolina plans to defease bonds
|
3/16/2012 | AGLM | FFCB to redeem $15 million of its consolidated systemwide bonds
|
3/16/2012 | LMMU | Jackson, N.J., board of education calls $66.37 million of school bonds
|
3/16/2012 | HYLM | Norwegian Air seeks OK to replace existing floaters with new floaters
|
3/16/2012 | BKCAHYLM | Angiotech loosens loan terms, may now buy back floating-rate notes
|
3/16/2012 | LMMU | Long Beach Bond Finance, Calif., calls $111.2 million of revenue bonds
|
3/16/2012 | HYLM | Spectrum Brands holders tender 94.45% of 12% notes by early deadline
|
3/16/2012 | CAHYLM | Quebecor Media gets early tenders for 14.96% of 73/4% notes in offer
|
3/16/2012 | LMMU | Massachusetts Health calls $1.07 million of pool loan revenue bonds
|
3/16/2012 | IGLM | CenturyLink's Embarq gets early tenders for $1.14 billion notes
|
3/15/2012 | HYLM | Hornbeck Offshore Services gets enough consents to amend 6 1/8% notes
|
3/15/2012 | LM | UBI Banca holders tender 24.04% of three series tier 1 instruments
|
3/15/2012 | LMPF | Kilroy Realty to use stock offering proceeds to redeem 7.8% preferreds
|
3/15/2012 | ABLM | Santander Totta tenders for mortgage-backed floaters by Dutch auction
|
3/15/2012 | LMMU | Louisiana Citizens Property defeases $54.24 million of revenue bonds
|
3/15/2012 | HYLM | Morris Publishing redeems $2.38 million of secured floaters due 2014
|
3/15/2012 | HYLM | AIB Mortgage Bank to buy back all €2.25 billion of series 6 floaters
|
3/15/2012 | LMPF | Kilroy to use preferred offering proceeds to redeem 7.8% preferreds
|
3/15/2012 | CVLM | Clearwire Communications to buy back $100 million 8.25% exchangeables
|
3/15/2012 | LMMU | Maryland Health and Higher Educational to redeem Johns Hopkins bonds
|
3/15/2012 | HYLM | Obrascon Huarte Lain tenders for €300 million 7 3/8% notes at 105.5
|
3/15/2012 | HYLM | AmeriGas launches cash tender for up to $200 million 61/2% notes
|
3/15/2012 | CVLM | euNetworks plans to offer stock in exchange for 0% convertibles
|
3/15/2012 | LMMU | New York State Thruway to redeem various highway and bridge bonds
|
3/15/2012 | HYLM | Quebecor Media to redeem $100 million of 73/4% senior notes due 2016
|
3/15/2012 | HYLM | Banco Comercial Portugues starts repurchase offer for covered bonds
|
3/15/2012 | EMLM | Brazil's TAM seeks holder support to amend bonds to allow redemption
|
3/15/2012 | LMMU | Trumbull, Conn. defeases $26.2 million of G.O. bonds from three issues
|
3/15/2012 | LMMU | California Department of Water Resources redeems Central Valley bonds
|
3/15/2012 | HYLM | CIT Group announces $1.6 billion redemption of 7% series C notes
|
3/15/2012 | LM | Prometheus Capital to buy €24 million FX-linked notes due 2012, 2017
|
3/15/2012 | LMMU | University of California cancels tender offer for series Y-1 bonds
|
3/15/2012 | LMMU | Cherry Creek School District, Colo., defeases $49.49 million of bonds
|
3/14/2012 | IGLMPF | Comerica plans to redeem remaining $25 million of trust preferreds
|
3/14/2012 | EMLM | National Bank of Dubai buys back $100,000 of floating-rate notes
|
3/14/2012 | HYLM | USG begins tender, consent bid for $300 million 93/4% notes due 2014
|
3/14/2012 | HYLM | Host Hotels & Resorts plans to call $150 million of 6 7/8% notes
|
3/14/2012 | IGLMPF | Fifth Third announces plan to redeem $1.4 billion of trust preferreds
|
3/14/2012 | LM | Host Hoteleiendom to redeem NOK 22.5 million of secured bonds
|
3/14/2012 | HYLM | United Surgical tenders, seeks consents for 8 7/8% and 91/4%/10% notes
|
3/14/2012 | HYLM | NCO begins tender offers, consent bids for 11 7/8% notes, floaters
|
3/14/2012 | IGLMPF | Wells Fargo to redeem $875 million of 6.375% trust preferreds in April
|
3/14/2012 | LM | Ionia Capital buys back €13 million of floating-, fixed-rate notes
|
3/14/2012 | AGLM | FFCB to redeem $20 million of consolidated systemwide bonds at par
|
3/14/2012 | HYLM | Videotron to settle early tenders for 32.88% of 6 7/8% notes Wednesday
|
3/14/2012 | HYLM | NewMarket to redeem all $150 million of 7 1/8% senior notes due 2016
|
3/14/2012 | LMMU | AK Steel redeems $73.3 million of variable-rate tax-exempt bonds
|
3/14/2012 | LM | Sylph announces repurchase ¥1.85 billion of notes from nine issues
|
3/14/2012 | EMHYLM | TGI receives consents needed to amend $750 million 91/2% notes due 2017
|
3/14/2012 | HYLM | Yankee Candle to redeem $315 million of 81/2% senior notes due 2015
|
3/14/2012 | HYLM | Rite Aid gets no more tenders for 8 5/8% notes since early deadline
|
3/14/2012 | LMMU | Apache County, Ariz., calls $91.59 million Tucson Electric bonds
|
3/14/2012 | HYLM | AmeriGas to buy back $200 million notes via common unit proceeds
|
3/14/2012 | IGLMPF | BB&T announces intention to redeem $3.2 billion of trust preferreds
|
3/14/2012 | EMHYLM | Turkey's Vestel Elektronik buys back $12.76 million of 83/4% notes
|
3/14/2012 | HYLM | Spectrum Brands gets needed consents to amend 12% notes due 2019
|
3/14/2012 | LMMU | Wayne County, Mich., calls $59.88 million of school district bonds
|
3/14/2012 | HYLM | Catalent to redeem $5.27 million of 91/2%/101/4% senior PIK notes
|
3/13/2012 | CVLM | Level 3 agrees to exchange $100.06 million of convertibles for stock
|
3/13/2012 | CALM | RBC calls all C$1 billion of 4.58% trust subordinated notes due 2017
|
3/13/2012 | LMMU | Kansas Development calls $76.03 million of Sisters of Charity bonds
|
3/13/2012 | ABLM | Dorset Street gets votes to amend two note series at adjourned meeting
|
3/13/2012 | HYLM | Virgin Media tender offer for 91/2% notes oversubscribed by early date
|
3/13/2012 | CVLM | UniSource Energy to redeem $40 million 4.5% convertibles due 2035
|
3/13/2012 | CVDDHYLMPF | Penson reaches preliminary agreement to reduce debt via exchange offer
|
3/13/2012 | LMMU | Massachusetts to make $15 million of bids on series F-2 revenue bonds
|
3/13/2012 | ABLM | Pembridge Square holders reject proposal to amend series A1 floaters
|
3/13/2012 | HYLMPF | Great Wolf Resorts trust exchanges $28.13 million capital securities
|
3/13/2012 | DDHYLM | Sea Production seeks holder approval to further extend bond maturity
|
3/13/2012 | CVLM | Beazer to issue 24.8 million shares in offers for convertibles, units
|
3/13/2012 | ABLM | Signum Finance III repurchases €1.65 million, $475,000 of its notes
|
3/13/2012 | LMMU | California announces defeasance of $996.1 million of G.O. bonds
|
3/13/2012 | HYLM | Great Wolf wants to skip change-of-control offer for 10 7/8% notes
|
3/13/2012 | CVLM | Central European Distribution might get $100 million to repay 3% notes
|
3/13/2012 | ABLM | Sydney Street collects votes to amend credit-linked class F floaters
|
3/13/2012 | LMMU | California authority's Republic Services bonds have mandatory tender
|
3/13/2012 | HYLM | Kverneland sets put option for bonds following change of control
|
3/13/2012 | ABLM | Baker Street holders pass proposals to amend three more floater series
|
3/13/2012 | CVLM | GMX Resources to issue stock in exchange for $5 million convertibles
|
3/13/2012 | AGLM | FFCB to redeem $55 million of its consolidated systemwide bonds
|
3/13/2012 | LMMU | El Paso, Texas, defeases $58.09 million of water and sewer bonds
|
3/13/2012 | ABLM | Clifton Street gets votes to amend credit-linked floaters for G series
|
3/13/2012 | HYLM | R.R. Donnelley accepts $440.53 million of notes after early deadline
|
3/12/2012 | DDEMLM | Greece exchanges €177.25 billion of bonds governed by Greek law
|
3/12/2012 | HYLM | Unites States Steel to redeem $300 million notes via offering proceeds
|
3/12/2012 | CALM | Brick tenders for C$110.14 million 12% notes with key holder support
|
3/12/2012 | HYLM | Corrections Corp. to redeem all $40 million of 61/4% notes due 2013
|
3/12/2012 | LM | Sylph buys back ¥2.65 billion, €400 million notes in 10 transactions
|
3/12/2012 | DDHYLMPF | Scottish Re holders tender $20.09 million noncumulative preferreds
|
3/12/2012 | IGLM | Hospitality Properties to redeem $100.83 million 6.85% senior notes
|
3/12/2012 | CVLM | Headwaters buys back $4.3 million of 14.75% convertibles due 2014
|
3/12/2012 | HYLM | GulfMark Offshore gets enough consents to amend 73/4% notes due 2014
|
3/12/2012 | LM | Viso announces €3 million buy back of medium-term notes in February
|
3/12/2012 | EMHYLM | Mexico's Cemex extends early tender date for 43/4%, perpetual notes
|
3/12/2012 | IGLMPF | AXIS Capital begins tender offer for 7.5% series B preferred shares
|
3/12/2012 | CVLM | Hospitality Properties to buy back tendered 3.8% convertibles
|
3/12/2012 | HYLM | Holly Energy gets consents needed to amend 61/4% notes due 2015
|
3/12/2012 | HYLM | CCM Merger to use note proceeds to retire 8% senior notes due 2013
|
3/12/2012 | EMIGLM | Brazil's Tele Norte Leste Participacoes calls outstanding debentures
|
3/12/2012 | LMMU | Water Infrastructure Finance, Ariz., defeases $213.05 million of bonds
|
3/12/2012 | CVLM | Hutchinson Technology amends exchange, tender offers for convertibles
|
3/12/2012 | HYLM | Novae to issue 6.5% notes in exchange offer for fixed-to-floaters
|
3/12/2012 | AGIGLM | Tennessee Valley to redeem $38.6 million of electronotes on April 15
|
3/12/2012 | HYLM | CIT Group to use note proceeds to refinance 7% series C notes
|
3/12/2012 | EMLM | Emirates NBD buys back $100,000 of medium-term notes on March 5
|
3/12/2012 | CVLM | ON Semiconductor to redeem all $96.2 million of series B convertibles
|
3/12/2012 | HYLM | Office Depot to settle early tenders Wednesday in oversubscribed offer
|
3/12/2012 | AGLM | FFCB to redeem $550 million of its consolidated systemwide bonds
|
3/12/2012 | HYLM | Cenveo ups total payout in tender offer for $165 million 101/2% notes
|
3/12/2012 | EMLM | Kazakhstan's South-Oil to buy back 9% bonds due 2014 starting April 12
|
3/9/2012 | LM | ING offers to exchange three note series to prepare for asset sales
|
3/9/2012 | CVDDLM | ICSA (India) announces restructuring of all $21 million convertibles
|
3/9/2012 | HYLM | Stora Enso buys back €336.82 million of 5 1/8% notes in tender offer
|
3/9/2012 | HYIGLM | Freeport-McMoRan announces redemption price for senior notes due 2017
|
3/9/2012 | CVLM | Harvest Natural Resources to exchange $15.98 million 8.25% convertibles
|
3/9/2012 | IGLM | Wyndham prices tender offers for 9.875%, 6%, 7.375% senior notes
|
3/9/2012 | HYLM | Ball gets consents needed to amend 6 5/8% notes due 2018
|
3/9/2012 | DDEMLM | Greece gets tenders for €172 billion of bonds, extends offer for bonds issued outside Greek laws
|
3/9/2012 | LMMU | Orlando-Orange Expressway, Fla., to amend call date for 2007A bonds
|
3/9/2012 | AGLM | FFCB to redeem $302 million of consolidated systemwide bonds at par
|
3/9/2012 | HYLM | Lawson tenders, solicits consents for 111/2% notes in unlinked offers
|
3/9/2012 | EMHYLM | Mexico's GEO tenders, seeks consents for 8 7/8% senior notes due 2014
|
3/9/2012 | CVDDHYLM | Norse Energy gets holder approval to refinance three series of bonds
|
3/9/2012 | HYLM | Sanmina-SCI to redeem $100 million of 8 1/8% notes due 2016
|
3/9/2012 | EMLM | Slovenia's Abanka Vipa wraps Dutch auction tender offer for floaters
|
3/9/2012 | CVDDLM | 3i Infotech seeks waiver and holder approval to amend convertibles
|
3/9/2012 | HYLM | Silgan Holdings calls all $250 million of 71/4% notes due 2016
|
3/8/2012 | HYLM | Tenneco begins tender offer, solicits consents for 8 1/8% senior notes
|
3/8/2012 | HYLM | Anglian Water Services announces £29.4 million buyback of 7.882% notes
|
3/8/2012 | CVLM | GMX holders exchange $4.26 million of 5% convertibles due 2013
|
3/8/2012 | LMMU | Virginia Public School Authority defeases some school financing bonds
|
3/8/2012 | HYLM | WCA Waste extends tender offer for 71/2% notes due 2019 to March 22
|
3/8/2012 | HYLM | Community Health unit now tendering for $850 million of 8 7/8% notes
|
3/8/2012 | CVLM | Nexans buys back €126.83 million Oceanes via standing repurchase order
|
3/8/2012 | LMMU | Virginia defeases $103.13 million of 2002, 2003A, 2004A, 2005A G.O.s
|
3/8/2012 | ABLM | Arkle defeases €1.07 billion, £1.2 billion of notes due 2052
|
3/8/2012 | IGLM | Dominion Resources holders tender $84.07 million notes due 2066 so far
|
3/8/2012 | HYLM | Noranda prices oversubscribed tender offer for notes by Dutch auction
|
3/8/2012 | LM | BAC Capital Trust VII to repurchase £13.65 million of notes due 2035
|
3/8/2012 | AGLM | FFCB to redeem $140 million of its consolidated systemwide bonds
|
3/8/2012 | IGLMPF | Alexandria Real Estate calls all of its 8.375% series C preferreds
|
3/8/2012 | HYLM | Norwegian Car Carriers holders pass measure to redeem floaters Monday
|
3/8/2012 | LM | BPCE tenders for four note series, aiming to push out debt maturities
|
3/8/2012 | CALM | CIBC plans to redeem all series 32 non-cumulative class A preferreds
|
3/8/2012 | LMMU | Metropolitan Water District, Calif., bonds commence new tender period
|
3/8/2012 | HYLM | Radian ups offer cap, extends early deadline in Dutch auction tender
|
3/8/2012 | LM | Signum Finance makes full repurchase of €90.5 million notes due 2022
|
3/8/2012 | CVLM | Energy XXI exchanges $7.42 million of 5.625% convertible preferreds
|
3/8/2012 | LMMU | University of California's series Y-1, Y-2 bonds have mandatory tender
|
3/7/2012 | LMMU | New York City Industrial Development calls 7 World Trade Center bonds
|
3/7/2012 | HYLM | SBA Communications to redeem 8%, 81/4% notes with common stock proceeds
|
3/7/2012 | EMIGLM | Kazakhstan's Kazatomprom obtains needed consents for 6.25% notes
|
3/7/2012 | LMMU | Pima County, Ariz., cancels redemption of $113.22 million of bonds
|
3/7/2012 | AGLM | FFCB to redeem $280 million of consolidated systemwide bonds at par
|
3/7/2012 | HYLM | Synovus holders tender 71% of 4 7/8% notes due 2013 by offer deadline
|
3/7/2012 | HYLM | AMC Entertainment gets tenders for $10,000 more 8% notes by expiration
|
3/7/2012 | BKDDHYLM | Mohegan refinancing draws to close with term loan package, new issues
|
3/7/2012 | HYLM | Verso Paper subsidiary tenders for any, all $315 million 111/2% notes
|
3/7/2012 | HYLM | Bon-Ton repurchased $46 million of 101/4% notes in November, January
|
3/7/2012 | CVLM | CMS Energy to use note proceeds to redeem 2 7/8% convertibles
|
3/7/2012 | IGLMPF | Consolidated Edison to redeem all outstanding preferred stock on May 1
|
3/7/2012 | HYLM | Community Health unit tenders for $700 million of 8⅞% notes due 2015
|
3/7/2012 | CVLM | Helix Energy to use offering proceeds to repurchase 3.25% convertibles
|
3/7/2012 | LMMU | Maryland defeases $70.5 million of transportation facilities bonds
|
3/7/2012 | HYLM | Pinnacle scraps 71/2% note tender, issues call at 103.75 for March 20
|
3/7/2012 | DDHYLMPF | Scottish Re announces deadline for tender offer, will skip dividend
|
3/6/2012 | EMLM | Cavitex tenders, solicits consents for Manila Cavite Toll Road notes
|
3/6/2012 | LMMU | South Carolina calls $2.19 million 2009-1 student loan revenue bonds
|
3/6/2012 | CVLM | Far East Consortium redeems HK$649.5 million of 3.625% convertibles
|
3/6/2012 | LMMU | California Statewide calls $1.66 million Bentley School 2010B bonds
|
3/6/2012 | HYLM | Berry Petroleum tenders for $150 million 101/4% notes by Dutch auction
|
3/6/2012 | EMLM | Central China Real Estate seeks consents for $300 million 121/4% notes
|
3/6/2012 | CVLM | Frontline unit buys $10 million of Frontline's 4.5% convertibles
|
3/6/2012 | LMMU | California Veterans Affairs calls $3.07 million home purchase bonds
|
3/6/2012 | HYLM | Domtar gives early results in $250 million cash tender for notes
|
3/6/2012 | LM | BAC Capital Trust VII to repurchase £10 million of notes due 2035
|
3/6/2012 | CVLM | Hutchinson Technology extends exchange, tender offer for convertibles
|
3/6/2012 | LMMU | New York State Local Government Assistance calls $1.8 million bonds
|
3/6/2012 | AGLM | FFCB to redeem $14 million of its consolidated systemwide bonds
|
3/6/2012 | HYLM | Office Depot tender for 61/4% notes oversubscribed at early deadline
|
3/6/2012 | LM | Nationwide Building Society redeemed all £2 billion notes on March 1
|
3/6/2012 | DDEMLM | Greece to declare changes binding on all bondholders, pending consent
|
3/6/2012 | LMMU | Ohio defeases $53.83 million of water pollution bonds, series 2005B
|
3/6/2012 | CVDDLM | Subex gets holder approval to extend maturity of 2% convertibles
|
3/6/2012 | IGLM | Sara Lee tenders for three series, calls remaining 3.875% notes
|
3/6/2012 | LM | SEB buys back all 50 million kronor of index-linked notes due 2012
|
3/6/2012 | DDEMLM | Greece's consent solicitation spurs 2 1/8% bondholders to form group
|
3/6/2012 | LMMU | Partners Healthcare System, Mass., to make $15 million bid on bonds
|
3/6/2012 | CVLM | Affymetrix settles tenders for 96% of its 3.5% convertibles in offer
|
3/6/2012 | LMMU | California Department of Veterans Affairs calls $220.44 million bonds
|
3/6/2012 | HYLM | Banco CAM receives tenders for €167.25 million of CAM's floaters
|
3/5/2012 | IGLM | CenturyLink's Embarq begins tender offer for 7.082%, 6.738% notes
|
3/5/2012 | CVLMPP | First Uranium seeks OK to amend 4.25% convertibles due 2012
|
3/5/2012 | HYLM | I.M. Skaugen begins tender, exchange offer for floating-rate bonds
|
3/5/2012 | CALM | Brookfield Asset Management to redeem all series 10 class A preferreds
|
3/5/2012 | LMMU | Kentucky to redeem $9.71 million of Pooled Hospital Loan Program bonds
|
3/5/2012 | LM | Sydbank to redeem all €100 million of floating-rate notes due 2015
|
3/5/2012 | IGLM | Koninklijke Philips to redeem 4.625% notes with proceeds from offer
|
3/5/2012 | DDEMHYLM | Nexus gets holder approval to push out maturity at meeting on Monday
|
3/5/2012 | HYLM | Janus reports early results for 6.119%, 6.7% notes tender offer
|
3/5/2012 | CVDDLM | Verenium lacks capital to cover upcoming put, looking at alternatives
|
3/5/2012 | LMMU | Wisconsin Health calls $102.34 million Marshfield Clinic revenue bonds
|
3/5/2012 | HYIGLM | Toll Brothers holders tender $117.6 million notes in exchange offer
|
3/5/2012 | IGLMPF | Credit Suisse begins tender offer for some tier 1, tier 2 securities
|
3/5/2012 | DDHYLM | Mohegan wraps private exchange offers for notes after lowering floor
|
3/5/2012 | HYLM | Omega Healthcare tenders, seeks consents for $175 million of 7% notes
|
3/5/2012 | CVLM | Huafeng seeks to extend convertibles, cut coupon and conversion price
|
3/5/2012 | HYLM | CDW gets tenders for $120.74 million of 11% notes, 111/2%/121/4% notes
|
3/5/2012 | IGLMPF | Public Storage calls all $476.63 million of series M preferred shares
|
3/5/2012 | LM | Banco Santander to redeem €1 billion of covered bonds
|
3/5/2012 | HYLM | Pinnacle Entertainment begins tender offer for $385 million 71/2% notes
|
3/5/2012 | CVLM | Philippines' San Miguel issues shares for $600 million exchangeables
|
3/5/2012 | HYLM | DJO Finance plans to buy back $210 million of 10 7/8% notes due 2014
|
3/5/2012 | ABLM | Corsair Finance noteholders put all $14.7 million notes for repurchase
|
3/5/2012 | LMMU | California to redeem $108.2 million of J. Paul Getty Trust bonds
|
3/5/2012 | LM | Commerzbank holders tender €965 million securities in exchange offer
|
3/5/2012 | HYLM | Quality Distribution may use stock offering proceeds to redeem notes
|
3/5/2012 | CVLM | TowneBank announces mandatory conversion of 8% capital notes due 2019
|
3/5/2012 | HYLM | Hovnanian exchanges $4.8 million of notes for new class A common stock
|
3/5/2012 | AGLM | FFCB to redeem $280 million of consolidated systemwide bonds at par
|
3/5/2012 | LMMU | Connecticut to redeem some 2002A general obligation bonds April 15
|
3/5/2012 | LM | Egg Banking repurchases £133.52 million, £8.35 million of notes
|
3/2/2012 | HYLM | Radian boosts bid price cap in Dutch auction tender for 5 5/8% notes
|
3/2/2012 | LMMU | Homer City Funding to redeem $19.6 million of senior secured bonds
|
3/2/2012 | HYLM | TMS could use refinancing proceeds to repay 93/4% notes due 2015
|
3/2/2012 | AGLM | FFCB to redeem $439 million of consolidated systemwide bonds at par
|
3/2/2012 | LMMU | Louisville/Jefferson County, Ky., bonds subject to mandatory tender
|
3/2/2012 | HYLM | Yankee Candle to redeem $180 million of 81/2% senior notes due 2015
|
3/2/2012 | EMLM | Kazakhstan's Zhaikmunai collects consents to amend 101/2% notes due 2015
|
3/2/2012 | LMMU | Texas Department of Transportation calls some mobility fund bonds
|
3/2/2012 | IGLM | ArcelorMittal accepts tenders for $298.61 million 5.375% notes
|
3/2/2012 | LM | Bank of America buys back €19.8 million of 4% floating-rate notes
|
3/2/2012 | LMMU | Dallas and Fort Worth International Airport calls joint revenue bonds
|
3/2/2012 | HYLM | Hornbeck begins tender, consent bid for $300 million of 6 1/8% notes
|
3/2/2012 | LMMU | Fulton County, Ga., calls $94.29 million Georgia Tech revenue bonds
|
3/1/2012 | CAHYLM | Quebecor Media starts cash tender offer for $260 million 73/4% notes
|
3/1/2012 | LMMU | University of Michigan calls $5.68 million of 2002 revenue bonds
|
3/1/2012 | HYLM | DineEquity repurchased $59.3 million 91/2% senior notes during 2011
|
3/1/2012 | CALMPF | Brookfield Office Properties calls all series I class AAA preferreds
|
3/1/2012 | HYLM | Spectrum Brands tenders, seeks consents for $245.03 million 12% notes
|
3/1/2012 | CVLM | Extra Space will redeem any exchangeables not put back or exchanged
|
3/1/2012 | IGLM | Empire District Electric calls three series of first-mortgage bonds
|
3/1/2012 | EMHYLM | TGI starts cash tender offer, consent bid for $750 million 91/2% notes
|
3/1/2012 | LMMU | Dallas Fort Worth International Airport calls $313.42 million bonds
|
3/1/2012 | LM | Bank of Ireland Mortgage Bank bought back €30 million notes due 2015
|
3/1/2012 | AGLM | FFCB to redeem $53 million of consolidated systemwide bonds at par
|
3/1/2012 | LMMU | Shelby County, Tenn., calls and defeases some of its G.O. bonds
|
3/1/2012 | LM | Bank of Ireland buys back €50 million of Euribor floating-rate notes
|
2/29/2012 | EMLM | India's Tata Capital plans to redeem debentures due 2014, lower coupon
|
2/29/2012 | IGLM | South Jersey Gas calls all $35 million of 7.7% first mortgage bonds
|
2/29/2012 | HYLM | Insight Communications calls all $495 million of 9 3/8% notes due 2018
|
2/29/2012 | EMLM | Slovenia's Abanka Vipa begins Dutch auction tender offer for floaters
|
2/29/2012 | BKHYLM | Mac-Gray to repay credit facility, redeem notes using new revolver
|
2/29/2012 | LMMU | Nashville and Davidson County, Tenn., to redeem six series of bonds
|
2/29/2012 | HYLM | Stora Enso to buy back some 5 1/8% notes due 2014 via tender offer
|
2/29/2012 | LM | SBAB Bank plans to buy back SEK 372 million of notes by Feb. 29
|
2/29/2012 | CVLM | Hologic to issue new notes in exchange for 2% convertibles due 2037
|
2/29/2012 | LMMU | San Antonio defeases $265.89 million water revenue refunding bonds
|
2/29/2012 | HYLM | Thermadyne Holdings gets needed consents to amend 9% secured notes
|
2/29/2012 | HYLM | ACCO Brands to use financing to redeem part of its 7 5/8% notes
|
2/29/2012 | CVLM | Minefinders to increase conversion rate of 4.5% notes, hold change-of-control tender offer
|
2/29/2012 | LMPF | Health Care REIT calls all 4 million shares of 7 7/8% preferred stock
|
2/29/2012 | HYLM | Videotron tenders for 6 7/8% senior notes due 2014; to call remainder
|
2/29/2012 | HYLM | Cenveo begins tender offers for 7 7/8% notes, 8 3/8% notes, 101/2% notes
|
2/29/2012 | DDHYLM | Mohegan lowers minimum tender condition, extends offers until Friday
|
2/29/2012 | IGLM | AT&T announces redemption of all of its 5.875% notes due August 2012
|
2/29/2012 | HYLM | Freescale Semiconductor to redeem $500 million of 10 1/8% notes
|
2/28/2012 | HYLM | Hertz to redeem 8 7/8%, 7 7/8% notes with $250 million issue proceeds
|
2/28/2012 | EMHYLM | Indonesia's Listrindo Capital wraps up tender offer for 91/4% notes
|
2/28/2012 | LMMU | PacifiCorp of Oregon to redeem $84 million of tax-exempt bonds
|
2/28/2012 | CVDDHYLM | Norse Energy announces refinancing plans for three series of bonds
|
2/28/2012 | LMMU | Adams-Arapahoe School District, Colo., defeases 2006, 2008 G.O. bonds
|
2/28/2012 | HYLM | R.R. Donnelley offers to buy back $350 million of 4.95%, 51/2% notes
|
2/28/2012 | EMHYLM | Singapore's Altus Capital buys back $10.75 million of 12 7/8% notes
|
2/28/2012 | CVLM | Beazer amends exchange offers for 7.5% convertibles, 7.25% units
|
2/28/2012 | LMMU | Douglas County School District, Colo., defeases $70.1 million bonds
|
2/28/2012 | HYLM | TransUnion subsidiaries get noteholder consent to amend 11 3/8% notes
|
2/28/2012 | HYLM | CSC Holdings announces $86.34 million buyback of 63/4% notes due 2012
|
2/28/2012 | CVLM | Ocwen Financial calls $56.44 million of 3.25% contingent convertibles
|
2/28/2012 | LMMU | Nassau County Interim Finance, N.Y., bonds have mandatory tender
|
2/28/2012 | HYLM | Virgin Media starts tender offer for up to $500 million 91/2% notes
|
2/28/2012 | ABLM | Bank of Ireland buys back €8 million of 3.25% securities due June 2015
|
2/28/2012 | HYLM | Caribbean Restaurant calls all $149 million of 14.25% notes due 2012
|
2/28/2012 | CVLM | PHH bought back $48 million of its convertible notes due April 2012
|
2/28/2012 | LMMU | Nebraska Public Power defeases $167.21 million of 2003A revenue bonds
|
2/28/2012 | HYLM | iStar Financial buys back $37.76 million of notes in fourth quarter
|
2/28/2012 | ABLM | Skye CLO noteholders put for redemption €215 million of notes due 2019
|
2/28/2012 | HYLM | Goodyear to redeem all $650 million of 101/2% senior notes due 2016
|
2/28/2012 | DDHYLM | Mohegan exchange offer, consent solicitation drag on for one more day
|
2/28/2012 | LMMU | New York State Thruway to redeem various highway and bridge bonds
|
2/28/2012 | IGLM | Macy's Retail Holdings to redeem $172.82 million of 8% debentures
|
2/28/2012 | AGLM | FFCB to redeem $144 million of its consolidated systemwide bonds
|
2/27/2012 | IGLM | Dominion Resources tenders for up to $150 million of notes due 2066
|
2/27/2012 | HYLM | GulfMark begins tender offer, consent solicitation for 73/4% notes
|
2/27/2012 | CVDDLM | Q-Cells gets bondholder OK to extend 1.375% convertibles to April 30
|
2/27/2012 | IGLM | Wyndham offers to purchase all 9.875% notes, some 6%, 7.375% notes
|
2/27/2012 | HYLM | Holly Energy begins tender offer for $185 million 61/4% notes due 2015
|
2/27/2012 | CVDDLM | Subex gets regulatory OK to push back maturity of 5% convertibles
|
2/27/2012 | LMMU | Cleveland to redeem $249.45 million of airport revenue bonds
|
2/27/2012 | HYLM | Lamar accepts $583.12 million total 6 5/8% notes in tender offer
|
2/27/2012 | CVLM | Fung Choi redeems RMB 18 million bonds, gets more time to redeem rest
|
2/27/2012 | HYLM | Las Vegas Sands to redeem all $189.7 million of 6 3/8% notes due 2015
|
2/27/2012 | DDEMHYLM | Nexus asks bondholders to push out maturity at meeting on March 5
|
2/27/2012 | ABLM | RMAC gets consents from some bondholders, adjourns some meetings
|
2/27/2012 | HYLM | Rite Aid gets consents needed to amend 8 5/8% notes due 2015
|
2/27/2012 | EMHYLM | Mexico's Cemex begins exchange offers for 4.75%, perpetual notes
|
2/27/2012 | AGLM | FFCB to redeem $85 million of consolidated systemwide bonds at par
|
2/24/2012 | AGLM | FFCB to redeem $210 million of consolidated systemwide bonds at par
|
2/24/2012 | LMMU | San Francisco Airport Commission updates redemption date of bonds
|
2/24/2012 | HYLM | Unisys calls all remaining 141/4% notes due 2015, 121/2% notes due 2016
|
2/24/2012 | LM | Banco CAM tenders for two floating series at purchase price of 75
|
2/24/2012 | CVLM | Energy XXI exchanges $26.07 million of 5.625% convertible preferreds
|
2/24/2012 | LMMU | Texas Small Business calls $13.5 million of 1986 floating-rate bonds
|
2/24/2012 | IGLM | CBS to redeem all $700 million of 6.75% notes via offering proceeds
|
2/24/2012 | LM | Lothian Mortgages to redeem £406.41 million of notes on April 24
|
2/24/2012 | CVLM | Interpublic to redeem all $400 million of 4.25% senior convertibles
|
2/24/2012 | LMMU | University of Colorado defeases portions of enterprise revenue bonds
|
2/24/2012 | LMMU | Durham, N.C. calls $55.99 million of Durham Capital Financing COPs
|
2/24/2012 | HYLM | Ball tenders, seeks consents for $450 million 6 5/8% notes due 2018
|
2/24/2012 | CVLM | LSB Industries calls all noncumulative convertible preferreds
|
2/24/2012 | LMMU | Virginia defeases and calls Route 58, Transportation District bonds
|
2/24/2012 | LMMU | Municipal Electric Authority, Ga., bonds subject to mandatory tender
|
2/24/2012 | HYLM | Metallkraft senior secured bondholders approve restructuring sale
|
2/24/2012 | DDEMLM | Greece announces terms of planned exchange, consent solicitation
|
2/24/2012 | LMMU | New York Local Government Assistance calls $49.31 million of bonds
|
2/24/2012 | HYLM | Pregis announces redemption of €200 million of floating-rate notes
|
2/24/2012 | EMLM | First Bank of Nigeria unit calls all $174 million notes due 2017
|
2/23/2012 | ABLM | RMAC meetings adjourned after lack of quorum as issuer seeks waiver
|
2/23/2012 | ABLM | Baker Street holders pass proposals to amend nine series of floaters
|
2/23/2012 | HYLM | First Industrial bought back $17.7 million of notes in fourth quarter
|
2/23/2012 | DDHYLM | Mohegan extends exchange offer, still unable to meet minimum condition
|
2/23/2012 | ABLM | Sydney Street gets OK to amend eight credit-linked floaters; meeting for one series now March 5
|
2/23/2012 | ABLM | Clifton Street gets votes to amend eight credit-linked floaters; meeting reset for one series
|
2/23/2012 | HYLM | Goodyear to use note proceeds, cash to redeem all 101/2% senior notes
|
2/23/2012 | LM | BAC Capital repurchases £10.4 million of 5.25% bonds due August 2035
|
2/23/2012 | CVDDLM | China Essence borrows funds to make payment on redeemed convertibles
|
2/23/2012 | HYLM | Radian to spend $100 million in Dutch auction tender for 5 5/8% notes
|
2/23/2012 | ABLM | Dorset Street holders vote to amend seven series of floaters; meeting moved for two series
|
2/23/2012 | LM | Bank of America to buy back €15.7 million of 4.625% and 4% notes Friday
|
2/23/2012 | CVLM | School Specialty repurchases all $42.5 million convertibles due 2026
|
2/23/2012 | IGLM | ArcelorMittal begins cash tender offer for 5.375% notes due 2013
|
2/23/2012 | ABLM | Hanover Street holders vote to amend 10 credit-linked floater series
|
2/23/2012 | LM | SBAB Bank buys back €10 million of 3.5% notes due October 2014
|
2/23/2012 | CVLM | Shire: Holders unlikely to put $1.1 billion 2.75% convertibles in May
|
2/23/2012 | IGLMPF | Goldman to issue Commerzbank shares in exchange offer for seven series
|
2/23/2012 | ABLM | Newcourt Street holders pass proposals for nine credit-linked floaters
|
2/23/2012 | HYLM | Anglian Water Services repurchases £27.3 million of 7.882% notes
|
2/23/2012 | CVLM | Trina Solar bought back $9.9 million of convertibles in fourth quarter
|
2/22/2012 | CVLM | Toreador buys back all 8%/7% convertibles in connection with merger
|
2/22/2012 | AGLM | FFCB to redeem $184 million of consolidated systemwide bonds at par
|
2/22/2012 | HYLM | Synovus holders tender 70% of 4 7/8% notes due 2013 by early deadline
|
2/22/2012 | LM | Banca Popolare di Vicenza to exchange €586.89 million notes in offer
|
2/22/2012 | CACVDDLM | Lakeview REIT 6.5% convertibles holders approve maturity extension
|
2/22/2012 | LMMU | North Carolina Medical's Duke health bonds have mandatory tender
|
2/22/2012 | HYLM | AMC Entertainment records tenders for 36.32% of 8% notes by early date
|
2/22/2012 | CAHYLM | Axcan calls $40 million of 123/4% notes for March 19 redemption
|
2/22/2012 | LMMU | San Francisco Airport Commission to redeem $263.99 million bonds
|
2/22/2012 | HYLM | Domtar starts $250 million cash tender offer for four notes series
|
2/22/2012 | CVLM | Boston Properties redeems all $333.46 million of 2.875% exchangeables
|
2/22/2012 | LMMU | University of Connecticut to redeem series 2002A G.O. bonds
|
2/22/2012 | HYLM | Good Sam Enterprises accepts $7.43 million of 111/2% notes in offer
|
2/22/2012 | CVLM | Central European Media mulls options to restructure 3.5% convertibles
|
2/22/2012 | LMMU | Waterbury, Conn., calls $51.27 million of series 2002A G.O. bonds
|
2/22/2012 | HYLM | Interface to redeem all $11.5 million of 91/2% notes due 2014
|
2/21/2012 | CAIGLM | Export Development Canada to redeem all $540 million zero-coupon notes
|
2/21/2012 | HYLM | Janus Capital tenders for up to $100 million of 6.119%, 6.7% notes
|
2/21/2012 | ABLM | Signum Finance II announces repurchase of A$5.53 million of its notes
|
2/21/2012 | LM | BAC Capital Trust VII to repurchase £5.55 million of notes due 2035
|
2/21/2012 | HYLM | Sparc 2 to repurchase all remaining ¥1.5 billion of notes on Feb. 24
|
2/21/2012 | CVLM | Rocky Mountain details conditions in offer for 7% convertibles
|
2/21/2012 | CVDDLM | China Essence to redeem portion of convertibles, but payment held up
|
2/21/2012 | HYLM | Metallkraft senior secured bondholders to vote on restructuring sale
|
2/21/2012 | AGIGLM | Tennessee Valley Authority to redeem $70 million electronotes March 15
|
2/21/2012 | LM | Neon Capital repurchases ¥2 billion of notes
|
2/21/2012 | HYLM | SunGard Data Systems to redeem all 10 5/8% senior notes due 2015
|
2/21/2012 | CVLM | Transpacific Industries to buy back $18.08 million 6.75% convertibles
|
2/21/2012 | CVLM | Energy XXI exchanges $25.45 million of 5.625% convertible preferreds
|
2/21/2012 | HYLM | Morris Publishing redeems $3.68 million of secured floaters due 2014
|
2/21/2012 | AGLM | FFCB to redeem $62 million of 3% consolidated systemwide bonds
|
2/21/2012 | LM | SBAB Bank repurchases €202 million of series 578 notes due 2014
|
2/21/2012 | HYLM | WCA Waste gives early results of tender offer for 71/2% notes due 2019
|
2/21/2012 | DDHYLM | Mohegan moves early date of exchange offer to coincide with expiration
|
2/21/2012 | CVLM | JSW Steel to buy back or redeem convertibles with borrowing proceeds
|
2/21/2012 | HYLM | Noranda tenders for portion of floaters in modified Dutch auction
|
2/21/2012 | BKCVIGLM | Health Care REIT to repay credit lines, other debt with stock proceeds
|
2/21/2012 | LM | Sampo gets tenders for €249.93 million of 6.339% notes in cash offer
|
2/21/2012 | LMMU | Hovensa gets tenders for 99.94% of refinery facilities revenue bonds
|
2/21/2012 | EMLM | Kazakhstan's Zhaikmunai solicits consents to amend 101/2% notes due 2015
|
2/21/2012 | HYLM | Norwegian Car Carriers wants to redeem notes, needs holder approval
|
2/21/2012 | CVLM | Petroleum Geo-Services calls $52.9 million 2.7% convertibles due 2012
|
2/21/2012 | CAHYLM | Frontera Copper to redeem all C$80.28 million of series 1A 10% notes
|
2/21/2012 | LM | Sylph announces repurchase of ¥150 million of notes from three issues
|
2/21/2012 | LMMU | New Hampshire calls $45.87 million of turnpike system revenue bonds
|
2/21/2012 | EMLM | South Africa's Savcio Holdings calls all €70.82 million of 8% notes
|
2/21/2012 | HYLM | Rockwood Holdings to redeem all senior subordinated notes due 2014
|
2/21/2012 | CVLM | Petroleum Geo-Services to repurchase $440 million of convertibles
|
2/17/2012 | CAIGLM | Teck Resources calls all 93/4% notes due 2014, some 103/4% notes due 2019
|
2/17/2012 | HYLM | Office Depot tenders for up to $250 million of 61/4% notes due 2013
|
2/17/2012 | CVLM | Magma Design converts $3.25 million 6% convertibles into common stock
|
2/17/2012 | HYLM | R.E.A. unit plans meeting to approve land settlement under 91/2% notes
|
2/17/2012 | CVLM | SonoSite holders may put back, convert 3.75% convertibles post-merger
|
2/17/2012 | HYLM | TransUnion subsidiaries solicit consents for 11 3/8% notes due 2018
|
2/17/2012 | LM | UBI Banca accepts €98.93 million of trust preferreds for purchase
|
2/17/2012 | IGLM | Energy Transfer gets needed consents to amend 7.5% notes due 2020
|
2/17/2012 | HYIGLM | Toll Brothers extends early premium to all notes under exchange offer
|
2/17/2012 | ABLM | Bank of Ireland buys back HK$10 million of 5.36% series 501 notes
|
2/17/2012 | IGLMPF | Barclays extends tender offer for floating-rate notes, preferreds
|
2/17/2012 | HYLM | CDW units settle early tenders for 93.49% of two note series due 2015
|
2/16/2012 | LM | BAC Capital Trust VII to repurchase £22.25 million of notes due 2035
|
2/16/2012 | IGLMPF | Zions holders to convert $29.8 million of 2015 notes into preferreds
|
2/16/2012 | CAIGLM | Teck to use note offering proceeds to redeem notes due 2014, 2019
|
2/16/2012 | HYLM | Pactiv announces redemption of all $249.3 million of 5 7/8% notes
|
2/16/2012 | LM | National Grid buys back all £25 million of RPI-linked debt due 2056
|
2/16/2012 | LMMU | Dasny defeases $310.55 million Memorial Sloan-Kettering Cancer bonds
|
2/16/2012 | CVLM | BioSante exchanges common stock for $4 million of 3.125% convertibles
|
2/16/2012 | HYLM | WCA Waste obtains needed consents to amend 71/2% notes due 2019
|
2/16/2012 | LM | Ursus 2 redeems floating- and variable-rate notes due November 2019
|
2/16/2012 | LMMU | Orange County, Fla., calls 2002 tourist development revenue bonds
|
2/16/2012 | CVLM | Zions holders to convert $29.8 million of 2015 notes into preferreds
|
2/16/2012 | IGLM | Bank of America gets tenders for $3.65 billion of 19 series of notes
|
2/16/2012 | LM | Wesfarmers won't call €500 million 3.875% notes due 2015
|
2/16/2012 | LMMU | School District No. 1, Colo., defeases $135.4 million of G.O. bonds
|
2/16/2012 | DDHYLM | Mohegan extends for fourth time early deadline for exchange offer
|
2/16/2012 | IGLM | Johnson Controls plans remarketing of 11.5% subordinated notes
|
2/16/2012 | HYLM | Charter wraps tender offers for three note series, calls 10 7/8% notes
|
2/16/2012 | DDHYLM | Selvaag Bolig seeks waiver, amendment from holders of callable bonds
|
2/16/2012 | IGLMPF | Public Storage calls all $8.77 million of series Y preferred shares
|
2/16/2012 | AGLM | FFCB to redeem $775 million of consolidated systemwide bonds at par
|
2/16/2012 | HYLM | KB Home releases results of tender offers for three series of notes
|
2/15/2012 | CVLM | Conceptus redeems all $36.21 million of 2.25% convertibles due 2027
|
2/15/2012 | LMMU | FirstEnergy gets consents to amend covenants of 15 revenue bond series
|
2/15/2012 | DDHYLM | Mohegan further extends early deadline of exchange offer for notes
|
2/15/2012 | LMMU | New York State Thruway to redeem series 2002A revenue bonds at par
|
2/15/2012 | EMLM | Middle East Jackup 15% callable bonds subject to mandatory redemption
|
2/15/2012 | LMMU | Omaha Convention Hotel calls $98.85 million first-tier revenue bonds
|
2/15/2012 | IGLM | Egg Banking tenders for 6.875% subordinated notes, 7.5% callables
|
2/15/2012 | CALM | Allbanc Split to redeem preferred shares; holders put capital shares
|
2/15/2012 | LMMU | Washington defeases $1.07 billion of various purpose, motor vehicle G.Os
|
2/15/2012 | LMMU | Adams 12 Five Star Schools, Colo., defeases $95 million of 2005 bonds
|
2/15/2012 | CVLM | ConMed holders exercise put for all 2.5% convertible notes
|
2/15/2012 | LMMU | Connecticut Health and Educational defeases Sacred Heart revenue bonds
|
2/14/2012 | DDHYLM | B+H Ocean Carriers gets bondholder support for standstill agreement
|
2/14/2012 | LMMU | New York State Urban Development calls all $150.88 million 2002A bonds
|
2/14/2012 | HYLM | Thermadyne seeks consents to amend 9% notes to make restricted payment
|
2/14/2012 | DDHYLM | Mohegan extends early deadline in exchange offer for notes by one day
|
2/14/2012 | LMMU | Texas State University calls $83.96 million refunding taxable bonds
|
2/14/2012 | ABLM | Alexandria Capital buys back all $50 million of series 2007-2 notes
|
2/14/2012 | IGLM | Alabama Power to redeem all $250 million series 2007B senior notes
|
2/14/2012 | EMHYLM | Indonesia's Listrindo opts to settle tender offer for 91/4% notes early
|
2/14/2012 | LMMU | Wayne County, Texas, calls $38.4 million of G.O. limited tax notes
|
2/14/2012 | AGLM | FFCB to redeem $168 million of consolidated systemwide bonds
|
2/14/2012 | IGLM | MeadWestvaco calls $15 million of 7.65% sinking fund notes due 2027
|
2/14/2012 | LM | Swedbank repurchases SEK 600 million of its notes due June 2012
|
2/14/2012 | CALM | Export Development Canada to redeem all $270 million of callable notes
|
2/14/2012 | IGLMPF | National Retail to redeem all 3.68 million shares of 7.375% preferreds
|
2/14/2012 | HYLM | RailAmerica gets $513 million of early tenders in offer for up to $444 million 91/4% notes
|
2/14/2012 | CVDDLM | Chaoda Modern holders put back 97.7% of convertibles post-suspension
|
2/14/2012 | LMMU | Alaska defeases series 2003A general obligation bonds due 2014 to 2023
|
2/14/2012 | HYLM | Rite Aid begins tender offer for 8 5/8% notes, plans to call remainder
|
2/13/2012 | EMHYLM | NTS adopts buyback plan to repurchase NIS 5 million series A bonds
|
2/13/2012 | CVLM | PDL BioPharma stockpiles cash, eyes purchase of revenue-generating assets as patents expire
|
2/13/2012 | LMMU | Port of Seattle calls all series 2001 A, B, and C revenue bonds at par
|
2/13/2012 | HYIGLM | Freeport-McMoRan plans to redeem all 8 3/8% senior notes due 2017
|
2/13/2012 | EMIGLM | Kazatomprom solicits consents from holders of 6.25% notes due 2015
|
2/13/2012 | CVLM | Solar Applied Materials buys back $2.1 million more 0% convertibles
|
2/13/2012 | HYLM | Circus and Eldorado terminates tender for 10 1/8% mortgage notes
|
2/13/2012 | EMLM | Slovak Republic buys back €186.83 million bonds at 99.8 cut-off price
|
2/13/2012 | CVLM | Subex seeks holder approval to push back maturity of 5% convertibles
|
2/13/2012 | AGLM | FFCB to redeem $175 million of consolidated systemwide bonds at par
|
2/13/2012 | HYLM | Liffey Emerald repurchases €4.18 million of notes on Feb. 9
|
2/13/2012 | LM | BAC Capital repurchases £1.9 million of 5.25% bonds due August 2035
|
2/13/2012 | DDHYLM | Mohegan further extends early deadline of exchange offer for notes
|
2/13/2012 | CVLM | Artis REIT to redeem all C$29.92 million 6.25% convertibles due 2013
|
2/13/2012 | HYLM | NXP to use $475 million loan offering to refinance notes due 2015
|
2/13/2012 | LM | National Asset Management redeems €136 million of senior notes
|
2/13/2012 | EMHYLM | Indonesia's Listrindo gets needed consents to amend 91/4% senior notes
|
2/13/2012 | CVLM | Beazer Homes begins exchange offers for 7.5% convertibles, 7.25% units
|
2/13/2012 | LMMU | Pima County, Ariz., calls $113.22 million of Global Water bonds
|
2/13/2012 | LM | Sampo launches cash tender offer for 6.339% notes due 2012
|
2/10/2012 | LM | UBS Australia redeems $30 million of medium-term notes on Jan. 31
|
2/10/2012 | ABLM | ELAN redeems all €5.5 million of series 2007-1 class B secured notes
|
2/10/2012 | LMMU | Texas Water Development calls $1.86 million of 2007A revenue bonds
|
2/10/2012 | HYLM | Block receives no further tenders for 81/4% notes, to call remainder
|
2/10/2012 | AGLM | FFCB to redeem $508 million of its consolidated systemwide bonds
|
2/10/2012 | LMPP | Specialty Foods to buy back or exchange nearly all exchangeables
|
2/10/2012 | HYLM | Petrolia short of consents to amend 12% bonds, evaluates bond issue
|
2/10/2012 | DDHYLMPF | Scottish Re begins cash tender offer to purchase perpetual preferreds
|
2/10/2012 | LMMU | Corporate Finance calls $2.83 million of Central Utah Medical notes
|
2/10/2012 | EMLM | Kazakhstan's CenterCredit buys back $1.9 million of 9 1/8% notes
|
2/10/2012 | LMMU | Illinois defeases $157.24 million of University of Chicago bonds
|
2/10/2012 | EMLM | National Bank of Dubai buys back $15.55 million of floaters due 2016
|
2/10/2012 | ABLM | Bishopsgate Asset Finance buys back £1.71 million of notes due 2037
|
2/10/2012 | LMMU | Richland County School District No. 1, S.C., calls 2001A G.O. bonds
|
2/9/2012 | DDHYLM | Mohegan fails to reach tender threshold, extends early deadline of exchange offer by two days
|
2/9/2012 | AGLM | FFCB to redeem $190 million of consolidated systemwide bonds at par
|
2/9/2012 | LMMU | Fremont, Calif., school district defeases $85 million of G.O. bonds
|
2/9/2012 | LM | EFG Hellas starts cash offer for tier one, lower tier II securities
|
2/9/2012 | CVLM | Hong Kong's Cosway announces tender offer for convertibles due 2019
|
2/9/2012 | LMMU | Little Company of Mary considers buyback of Illinois Finance bonds
|
2/9/2012 | LM | Lloyds accepts tenders for €231.53 million HBOS perpetual preferreds
|
2/9/2012 | CVLM | Inland Real Estate buys back all $81 million of 4.625% convertibles
|
2/9/2012 | LMMU | Northern California Power calls $88.36 million 1998A revenue bonds
|
2/9/2012 | HYLM | Lamar buys back $483.7 million of 6 5/8% notes in tender offer so far
|
2/9/2012 | CVLM | Petroleum Geo-Services buys back $130.1 million convertibles at 100.79
|
2/9/2012 | LMMU | Wake County, N.C., refunds $124 million of series 2004 school bonds
|
2/9/2012 | HYLM | Reynolds Group to refinance notes via proceeds from $750 million notes
|
2/9/2012 | CVLM | Pharming Group redeems second tranche of €8.4 million convertible bond
|
2/9/2012 | IGLM | International Speedway calls all $87.04 million of 5.4% notes due 2014
|
2/8/2012 | CVLM | Petroleum Geo-Services buys back $800,000 of 2.7% convertibles
|
2/8/2012 | IGLM | New York State Electric & Gas calls all $100 million of 5.5% notes
|
2/8/2012 | CVLM | Rocky Mountain Dealerships tenders for all 7% convertible debentures
|
2/8/2012 | LMMU | Illinois Finance calls $80 million of Alexian Brothers Health bonds
|
2/8/2012 | EMLM | Philippines' San Miguel gets consents to amend three series of notes
|
2/8/2012 | LMMU | Indiana Finance's 2010 Republic Services bonds have mandatory tender
|
2/8/2012 | HYLM | Freeport-McMoRan to use note proceeds to redeem 8 3/8% notes due 2017
|
2/8/2012 | BKIGLM | International Speedway to draw on credit facility to redeem 5.4% notes
|
2/8/2012 | LMMU | Lower Alabama Gas District calls all $160.47 million of 2007A bonds
|
2/8/2012 | HYLM | Liz Claiborne purchases €100 million of its 5% notes due July 2013
|
2/8/2012 | CVLM | BioSante to issue stock in exchange for $5 million 3.125% convertibles
|
2/8/2012 | LMMU | Southeast Alabama Gas calls $480.3 million of supply project bonds
|
2/8/2012 | IGLM | Energy Transfer solicits consents to amend 7.5% notes due 2020
|
2/7/2012 | HYLM | Pantry purchases $15.4 million of 73/4% senior notes due 2014
|
2/7/2012 | LMMU | Nashville, Davidson County, Tenn., defeases $187.42 million G.O. bonds
|
2/7/2012 | LM | Depfa to repurchase all €140 million of floating-rate notes due 2019
|
2/7/2012 | IGLM | Webster Bank holders tender $74.9 million of 5.875% notes due 2013
|
2/7/2012 | CVLM | Skyworks announces full redemption of 1.5% convertibles due 2012
|
2/7/2012 | HYLM | Rocksource offers to buy back NOK 41 million of floaters due 2012
|
2/7/2012 | LMMU | Niagara Frontier Transportation calls $2.85 million of airport bonds
|
2/7/2012 | LM | UBI Banca begins tender offer for three series of trust preferreds
|
2/7/2012 | IGLMPF | Regency Centers to redeem preferreds, repurchase partnership units
|
2/7/2012 | DDEMHYLM | Argentina's MetroGas submits final proposal for unsecured creditors
|
2/7/2012 | HYLM | Superior Energy to redeem Complete Production's 8% notes in buyout
|
2/7/2012 | ABLM | Bank of Ireland buys back €5 million of mortgage-covered securities
|
2/7/2012 | LMMU | Partners Healthcare, Mass., to make $15 million of bids on F-2 bonds
|
2/7/2012 | HYLM | AMC Entertainment offers to buy back up to $160 million of 8% notes
|
2/7/2012 | LMMU | Illinois Finance calls $3.33 million Art Institute of Chicago bonds
|
2/7/2012 | DDHYLM | Mohegan extends early deadline of exchange offer for five note series
|
2/7/2012 | HYLM | Synovus tenders for any and all $206.75 million 4 7/8% notes due 2013
|
2/7/2012 | ABLM | Lunar announces mandatory redemption of notes with no payment
|
2/7/2012 | HYLM | CIT Group calls $4 billion of 7% second-priority notes due 2016, 2017
|
2/7/2012 | LMMU | Iowa Finance Authority calls $1.61 million Iowa Health System bonds
|
2/7/2012 | DDHYLM | Sea Production gets votes to extend due date of floating-rate bonds
|
2/7/2012 | HYLM | WCA Waste begins tender offer, solicits consents to amend 71/2% notes
|
2/7/2012 | AGLM | FFCB to redeem $511 million of its consolidated systemwide bonds
|
2/7/2012 | HYLM | Kansas City Southern unit gets consents needed to amend 8% notes
|
2/7/2012 | LMMU | Milwaukee to redeem $11.04 million of series W G.O corporate bonds
|
2/7/2012 | EMIGLM | Korea's National Agricultural gets needed consents for reorganization
|
2/7/2012 | IGLM | Goldman Sachs gets needed consents to amend two series of normal APEX
|
2/7/2012 | CVLM | Pantry buys back $33.9 million convertibles in fiscal second quarter
|
2/6/2012 | CVLM | Hutchinson Technology begins exchange, tender offers for convertibles
|
2/6/2012 | LMMU | Indiana Finance calls some Indiana University hospital revenue bonds
|
2/6/2012 | IGLMPF | BofA completes remarketing of two series of junior subordinated notes
|
2/6/2012 | HYLM | Circus and Eldorado announces tender for 10 1/8% mortgage notes
|
2/6/2012 | DDHYLM | B+H Ocean Carriers seeks standstill from bondholders, other creditors
|
2/6/2012 | LMMU | Iowa Finance Authority calls $1.61 million Iowa Health System bonds
|
2/6/2012 | IGLMPF | Credit Agricole completes buyback offers for several series of notes
|
2/6/2012 | HYLM | Lamar again lifts tender cap in offer for three 6 5/8% notes series
|
2/6/2012 | EMHYLM | Mexico's Industrias Unidas clarifies use of future asset sale proceeds
|
2/6/2012 | LMMU | Clarksville, Tenn., Public Building calls some Nashville & Davidson County revenue bonds
|
2/6/2012 | HYLM | Principality Building Society buys back £3 million of notes due 2016
|
2/6/2012 | EMLM | Russia's Renaissance Consumer Funding redeems $15 million of notes
|
2/6/2012 | LMMU | Grand Junction, Colo., defeases $49.34 million of 2004 revenue bonds
|
2/6/2012 | HYLM | Rock-Tenn to redeem all $300 million of 91/4% senior notes due 2016
|
2/6/2012 | LM | SpareBank 1 calls all NOK 450 million of tier 2 notes due 2017 at par
|
2/6/2012 | LMMU | Illinois Finance calls $3.33 million Art Institute of Chicago bonds
|
2/6/2012 | HYLM | ServiceMaster to redeem another $100 million of 103/4% notes due 2015
|
2/6/2012 | LM | Sumitomo calls ¥2 billion 1.2% floating-rate callable notes due 2021
|
2/3/2012 | LMMU | Fairfax County, Va., defeases four series of public improvement bonds
|
2/3/2012 | CVLM | Affymetrix begins tender offer for $95.47 million 3.5% convertibles
|
2/3/2012 | LMMU | J. Paul Getty Trust, Calif., calls all series 2004A and 2004B bonds
|
2/3/2012 | LM | Citigroup offers to purchase three series of eurobonds via Citibank
|
2/3/2012 | LMMU | Matagorda County, Texas, calls all $100 million of series 1999A bonds
|
2/3/2012 | LM | SBAB Bank plans to buy back SEK 298 million of notes on Feb. 7
|
2/3/2012 | LMMU | O'Fallon, Mo., calls $55.76 million certificates of participation
|
2/3/2012 | HYIGLM | Toll Brothers begins exchange offer for 6 7/8% notes, 5.95% notes
|
2/3/2012 | ABLM | Claris redeems, delists all series 29 credit-linked floaters due 2046
|
2/3/2012 | LMMU | Public Energy of Kentucky calls $267.02 million of gas supply bonds
|
2/3/2012 | HYLM | Cenveo gets lender OK to use proceeds of asset sale to buy back notes
|
2/3/2012 | CALM | Split Yield sets redemption price for preferreds; settlement Feb. 16
|
2/2/2012 | IGLMPF | Duke Realty calls all 6.95% series M cumulative redeemable preferreds
|
2/2/2012 | LM | Swedbank Mortgage repurchases SEK 600 million of its notes due 2012
|
2/2/2012 | CVLM | PDL BioPharma exchanges another $10.03 million of 2.875% convertibles
|
2/2/2012 | LMMU | Colorado calls $105.98 million of Catholic Health Initiatives bonds
|
2/2/2012 | LM | Swedbank repurchases €40 million of its notes on Feb. 1
|
2/2/2012 | EMHYLM | Singapore's Altus Capital buys back $3 million of 12 7/8% notes
|
2/2/2012 | LMMU | Florida Transportation calls $152.43 million of construction bonds
|
2/2/2012 | HYLM | CDW launches tender offer, solicits consents for 11%, 111/2%/121/4% notes
|
2/2/2012 | LM | British Telecom completes repurchase of £1 million of notes due 2016
|
2/2/2012 | LMMU | Massachusetts calls $55.65 million of Southcoast Health System bonds
|
2/2/2012 | HYLM | CEVA Group to redeem all 81/2% notes due 2014 and 10% notes due 2016
|
2/2/2012 | LM | Lloyds TSB offers to issue new notes in swap for €415 million perpetual preferreds issued by HBOS
|
2/2/2012 | IGLM | Bank of America gets tenders for $3.59 billion of notes so far; offer cap now $3.5 billion
|
2/2/2012 | LM | SEB buys back all Kr 50 million of index-linked instrument due 2012
|
2/2/2012 | AGLM | FFCB to redeem $460 million of consolidated systemwide bonds at par
|
2/1/2012 | HYLM | KB Home upsizes and amends tender offers for three series of notes
|
2/1/2012 | AGLM | FFCB to redeem $665 million of its consolidated systemwide bonds
|
2/1/2012 | HYLM | RailAmerica tenders for up to $444 million of 91/4% secured notes
|
2/1/2012 | CVLM | Best Buy calls all $3.85 million of 2.25% convertibles due 2022
|
2/1/2012 | LMMU | Illinois calls $1 million of Presbyterian Home Lake Forest bonds
|
2/1/2012 | DDEMHYLM | Indonesia's Arpeni updates results of exchange offer for 83/4% notes
|
2/1/2012 | LMMU | Louisville, Jefferson County, Ky., calls part of drainage system bonds
|
2/1/2012 | LM | Michelin buys back €500 million of 6.375% subordinated notes due 2033
|
2/1/2012 | LMMU | School District of Georgetown, S.C., calls $61.7 million of G.O. bonds
|
2/1/2012 | HYLM | Charter extends tender offers for three series of notes, raises size
|
1/31/2012 | LMMU | New Jersey Sports and Exposition calls $10.58 million of 2007 bonds
|
1/31/2012 | CVLM | Philippine Long Distance to exchange 78.38% of Digitel Capital bonds
|
1/31/2012 | LMMU | Colorado Health Facilities calls $1.3 million Catholic Health bonds
|
1/31/2012 | LMMU | Washington calls $1.5 million of Catholic Health Initiatives bonds
|
1/31/2012 | HYLM | Leucadia National to redeem notes due 2017 and debentures due 2027
|
1/31/2012 | LMMU | New York City calls $11.76 million 2004 G.O. bonds from four series
|
1/31/2012 | EMLM | National Bank of Dubai buys back $5.26 million of floating-rate notes
|
1/31/2012 | LMMU | El Paso, Texas, to redeem all $19.75 million of series 2001-A bonds
|
1/31/2012 | HYLM | Petrolia seeks holder approval to redeem, extend 12% bonds due 2012
|
1/31/2012 | LMMU | Oklahoma City to redeem all $36.94 million of series 2002 G.O. bonds
|
1/31/2012 | EMLM | Premium Green buys back Ps. 200 million series 2008-2 notes due 2014
|
1/31/2012 | ABLM | Lehman's Prudential note-backed certificates to be redeemed in part
|
1/31/2012 | LMMU | Georgia Finance calls $1.51 million of series 2006C G.O. bonds
|
1/31/2012 | IGLMPF | Credit Agricole begins tender offers for up to €2.1 billion of notes
|
1/31/2012 | LMMU | Orlando Expressway tenders for $91.71 million series 2003D bonds
|
1/31/2012 | LM | Lloyds TSB Bank buys back £5 billion of floating-rate covered bonds
|
1/31/2012 | LMMU | Houston Area Water calls $111.34 million of water purification bonds
|
1/31/2012 | AGLM | FFCB to redeem $742 million of its consolidated systemwide bonds
|
1/31/2012 | IGLMPF | Realty Income to redeem $127.5 million 7.375% class D preferreds
|
1/31/2012 | LMMU | Pittsburgh to redeem all $110.73 million of series 2002A G.O. bonds
|
1/31/2012 | LM | Marfin Popular Bank buys back €13.7 million of variable-rate notes
|
1/31/2012 | LMMU | Missouri calls $3 million of Washington University revenue bonds
|
1/31/2012 | CVLM | BNP Paribas gets tenders for more than half of Fortis Bank's Cashes
|
1/31/2012 | LMMU | Atlantic County Utilities, N.J., calls $5.85 million series 1992 bonds
|
1/31/2012 | LMMU | Raleigh, N.C., calls $1.42 million of combined enterprise bonds
|
1/31/2012 | HYLM | Archer subsidiary Allis-Chalmers to redeem all 9%, 81/2% senior notes
|
1/30/2012 | EMHYLM | Indonesia's Listrindo begins cash tender offer for 91/4% senior notes
|
1/30/2012 | AGLM | FFCB to redeem $999 million of consolidated systemwide bonds at par
|
1/30/2012 | LMMU | Connecticut announces $9 million redemption of notes set for April 30
|
1/30/2012 | HYLM | Liffey Emerald repurchases $5.97 million, €835,000 of bonds on Jan. 26
|
1/30/2012 | EMLM | Panama to buy back or exchange $508.61 million 71/4% bonds due 2015
|
1/30/2012 | BKIGLMPF | Realty Income to redeem all class D preferreds, pay down facility
|
1/30/2012 | LMMU | Puerto Rico Government Development Bank calls $288.61 million of notes
|
1/30/2012 | HYLM | Sanmina-SCI calls for redemption $150 million of 8 1/8% senior notes
|
1/30/2012 | LM | ING to redeem all €175 million of series 710 notes due 2015 on Feb. 10
|
1/30/2012 | CVLM | Emmis buys back 6.25% preferreds, has control of 61.3% voting shares
|
1/30/2012 | IGLM | Severn Trent Utilities buys back portions of 5.25% bonds due 2014
|
1/30/2012 | LM | SBAB Bank to repurchase SEK 198 million of notes on Feb. 1 and 2
|
1/30/2012 | CVLM | Norse Energy holders, Pioneer convert $18.5 million of NEC02 bonds
|
1/30/2012 | IGLM | Webster Bank launches cash tender offer for 5.875% notes due 2013
|
1/30/2012 | HYLM | Block Communications accepts early tenders for 70.46% of 81/4% notes
|
1/30/2012 | DDHYLM | Aquilex wraps exchange offer for 11 1/8% notes after securing waiver
|
1/30/2012 | ABLM | Annington Finance buys back portions of class A, B zero coupon notes
|
1/30/2012 | LMMU | Columbus Regional Airport, Ohio, calls $1.03 million of revenue bonds
|
1/30/2012 | HYLM | ELM buys back A$1.98 million of zero-coupon secured notes due 2013
|
1/27/2012 | DDHYLM | Sea Production discusses restructuring, seeks consent to extend bonds
|
1/27/2012 | IGLM | Comcast calls $562.5 million of 7% senior notes due Sept. 15, 2055
|
1/27/2012 | EMIGLM | Colombia delivers final results of tender offers for eight series
|
1/27/2012 | IGLMPF | First Republic to redeem all 10.5% noncumulative series A preferreds
|
1/27/2012 | HYLM | D.R. Horton retired $10.8 million 6.5% notes due 2016 last quarter
|
1/27/2012 | LMMU | New Jersey Economic Development revenue bonds have mandatory tender
|
1/27/2012 | HYLM | Lamar lifts cap on cash tender offer for three series of 6 5/8% notes
|
1/27/2012 | AGLM | FFCB to redeem $356 million of its consolidated systemwide bonds
|
1/27/2012 | LMMU | Ohio calls some common schools G.O. bonds, series 2002A and 2005A
|
1/27/2012 | HYLM | WCA Waste seeks consents to amend 71/2% notes related to company buyout
|
1/27/2012 | CVLM | EDAP wraps exchange; holders get new 9% notes, warrants, ADRs, cash
|
1/27/2012 | IGLM | Barclays Bank calls all $1.5 billion of floating-rate notes due 2017
|
1/26/2012 | CVLM | Norse Energy makes two-part conversion offer for NEC02 bonds
|
1/26/2012 | ABLM | RMAC holder meetings adjourned as issuer seeks waiver post-downgrade
|
1/26/2012 | LMMU | JEA, Fla., calls $328.1 million water and sewer system revenue bonds
|
1/26/2012 | HYLM | Charter units report early results in tender offers for three series
|
1/26/2012 | CVLM | PetroBakken sets price in tender for $450 million 3.125% convertibles
|
1/26/2012 | AGLM | FFCB to redeem $1.81 billion of consolidated systemwide bonds at par
|
1/26/2012 | LMMU | Puerto Rico Public Finance calls Commonwealth Appropriation bonds
|
1/26/2012 | HYLM | Lamar unit launches cash tender offer for three series of 6 5/8% notes
|
1/26/2012 | DDHYLM | Marine Subsea makes final payment on series I exchange bonds due 2019
|
1/26/2012 | BKDDHYLM | Aquilex extends exchange offer for 11 1/8% notes, gets commitment for $50 million revolver
|
1/26/2012 | LMMU | Virginia Port Authority defeases $105.18 million of revenue bonds
|
1/26/2012 | HYLM | Steel Dynamics gets $279.72 million total tenders for 7 3/8% notes
|
1/26/2012 | EMLM | HSBC Middle East repurchases $375,000 of medium-term notes on Jan. 24
|
1/26/2012 | CVLM | BNP tenders for Fortis' €3 billion of convertible hybrid securities
|
1/26/2012 | ABLM | AURA Ireland buys back €2 million of floating-rate notes due 2012
|
1/26/2012 | IGLM | Credit Agricole tenders for deeply subordinated fixed-to-floaters
|
1/26/2012 | EMLM | Middle East Jackup sale triggers mandatory redemption of 15% bonds
|
1/26/2012 | CVLM | EDAP uses exchange offer of debentures, warrants to restructure debt
|
1/26/2012 | ABLM | Premium Green buys back Ps. 200 million of secured floaters due 2014
|
1/26/2012 | LMMU | County of Union, N.J., calls $48.19 million general improvement bonds
|
1/26/2012 | LM | Svenska Handelsbanken calls all €600 million of floating-rate notes
|
1/25/2012 | CVLM | Textron announces $384 million convertible buyback in fourth quarter
|
1/25/2012 | ABLM | Magnolia Finance buys back $43 million of credit-linked notes
|
1/25/2012 | LM | UniCredit begins tender offers for 10 series of notes at 50 to 87
|
1/25/2012 | DDEMHYLM | Arpeni receives tenders for 92.5% of notes, $41 million of debt
|
1/25/2012 | ABLM | Oxford, others seek holder consent to change portfolio credit swap
|
1/25/2012 | HYLM | Belden redeems $600,000 of 7% notes following asset sale offer
|
1/25/2012 | DDHYLM | Mohegan Tribal Gaming begins exchange offer for five series of notes
|
1/25/2012 | AGLM | FFCB to redeem $25 million of its consolidated systemwide bonds
|
1/25/2012 | HYLM | Kansas City Southern unit tenders for $275 million 8% notes due 2015
|
1/25/2012 | EMLM | Bank Hapoalim acquires 16.95 million shekel of three Poalim series
|
1/25/2012 | CVLM | Affymetrix to tender for $95.5 million 3.5% convertibles in settlement
|
1/25/2012 | EMLM | Panama announces preliminary results of offers for 71/4% bonds due 2015
|
1/25/2012 | CVLM | Crown Castle to exercise conversion on 6.25% convertible preferreds
|
1/25/2012 | LM | Severn Trent buys back £150.58 million 5.25% notes at 110.515 in offer
|
1/24/2012 | CVLM | Norway's Petroleum Geo-Services buys back $2 million of convertibles
|
1/24/2012 | HYLM | Prosafe repurchases 121 million kroner of notes due Oct. 14, 2013
|
1/24/2012 | CVLM | PetroBakken to repurchase at least $450 million of 3.125% convertibles
|
1/24/2012 | LMMU | California Department of Veterans Affairs calls $7.54 million of bonds
|
1/24/2012 | EMLM | Panama prices exchange offer, tender offer for 71/4% bonds due 2015
|
1/24/2012 | LMMU | Fairfax County Water, Va., defeases some series 2002 revenue bonds
|
1/24/2012 | LM | SBAB Bank buys back SEK 950 million of floating-rate notes due 2013
|
1/24/2012 | LMMU | Missouri Highways to redeem all $9.08 million of custodial receipts
|
1/24/2012 | LM | Swedbank Mortgage buys back SEK 300 million of floating-rate notes
|
1/24/2012 | CVLM | Headwaters buys back $7.7 million of its 14.75% convertibles due 2014
|
1/24/2012 | LMMU | Partners Healthcare, Mass., plans to make $15 million of bids on bonds
|
1/24/2012 | LM | Ultegra Finance buys back £1.15 billion of secured notes due 2012
|
1/23/2012 | AGLM | FFCB to redeem $84 million of its consolidated systemwide bonds
|
1/23/2012 | LMMU | Hovensa begins tender offer for $355.68 million of revenue bonds
|
1/23/2012 | LM | Aphex Capital buys back €255 million of floating-rate notes due 2012
|
1/23/2012 | CALM | Pacific Northern Gas to redeem all of its 63/4% preferreds due 2012
|
1/23/2012 | LMMU | Massachusetts defeases $10.37 million of Partners HealthCare bonds
|
1/23/2012 | LM | SEB buys back instrument Jan. 11; Swedbank buys back notes Jan. 19
|
1/23/2012 | EMIGLM | Korea's National Agricultural seeks OK to reorganize under 10 series
|
1/23/2012 | LMMU | Puerto Rico industrial authority calls $53.12 million Abbott Lab bonds
|
1/23/2012 | LM | Sylph announces repurchase of ¥250 million of notes from three issues
|
1/23/2012 | EMLM | India's Ashok Leyland announces repurchase of $1 million of notes
|
1/23/2012 | LMMU | Wisconsin Health and Education calls $234.54 million of revenue bonds
|
1/23/2012 | HYLM | CEVA to redeem 81/2%, 10% notes, exchange €964 million securities
|
1/23/2012 | EMLM | Kazakhstan's CenterCredit buys back $6 million of 9 1/8% notes
|
1/23/2012 | ABLM | Signum Finance II announces repurchase of A$4.55 million of its notes
|
1/23/2012 | IGLM | Energy Transfer sets pricing in tender for four series of notes
|
1/23/2012 | LM | Annington Finance buys back £23.47 million of its medium-term notes
|
1/20/2012 | ABLM | RMAC seeks holder consent, waiver in connection with rating downgrade
|
1/20/2012 | IGLM | Genworth hits minimum tender condition of offer for RLIII securities
|
1/20/2012 | HYLM | KB Home tenders for up to $250 million of three series of notes
|
1/20/2012 | AGLM | FFCB to redeem $670 million of its consolidated systemwide bonds
|
1/20/2012 | LMMU | California Health Facilities calls $175 million of Sutter Health bonds
|
1/20/2012 | HYLM | LIN Television redeems 61/2% senior subordinated notes due 2013
|
1/20/2012 | CVLM | Algonquin Power & Utilities to redeem all 6.35% convertibles due 2016
|
1/20/2012 | LMMU | Los Angeles Water and Power's 2001B bonds have mandatory tender
|
1/20/2012 | HYLM | Morris Publishing redeems $1.37 million of secured floaters due 2014
|
1/20/2012 | CVLM | BRE Properties to redeem all of its 4.125% convertible notes due 2026
|
1/20/2012 | LMMU | Virginia College Building Authority calls 2006B, 2006C revenue bonds
|
1/20/2012 | HYLM | Windstream subsidiary to redeem $150 million of 91/2% senior notes
|
1/20/2012 | LM | SBAB Bank repurchases SEK 50 million of series 553 notes due 2012
|
1/20/2012 | ABLM | Barclays begins tender offer for ACA CLO 2005-1 bonds, preferreds
|
1/20/2012 | IGLM | Cloverie noteholder puts $10 million of floating-rate notes due 2014
|
1/20/2012 | HYLM | Good Sam Enterprises begins excess cash flow offer for 111/2% notes
|
1/19/2012 | EMHYLM | Singapore's Altus Capital buys back $5 million of 12 7/8% notes
|
1/19/2012 | IGLM | Bank of America, Merrill tender for 19 series of subordinated notes
|
1/19/2012 | IGLM | Energy Transfer holders tender $291.95 million of 5.65% notes in offer
|
1/19/2012 | AGLM | FFCB to redeem $498 million consolidated systemwide bonds at par
|
1/19/2012 | LMMU | Public Energy of Kentucky calls $56.9 million gas supply revenue bonds
|
1/19/2012 | CAIGLMPF | Bank of Montreal calls all $300 million class B series 10 preferreds
|
1/19/2012 | CVLM | Subex seeks written OK from holders of 5% convertibles to incur debt
|
1/18/2012 | CVLM | FTI Consulting says $150 million 3.75% notes convertible for quarter
|
1/18/2012 | LMMU | Katy I.S.D., Texas, calls $90.48 million school building bonds
|
1/18/2012 | CVLM | Malaysia's Olympia Industries buys back RM 11.08 million convertibles
|
1/18/2012 | LMMU | New York City Health and Hospitals calls $137.76 million health bonds
|
1/18/2012 | CVLM | PetroBakken tenders for 3.125% convertibles by modified Dutch auction
|
1/18/2012 | CVLM | RealDolmen buys back €7.4 million of 2% convertibles due July 2012
|
1/18/2012 | AGLM | FFCB to redeem $1.89 billion of consolidated systemwide bonds at par
|
1/18/2012 | IGLMPF | U.S. Bancorp to redeem preferreds with depositary shares proceeds
|
1/18/2012 | CVLM | Best Buy holders put $383.97 million of 2.25% convertibles due 2022
|
1/18/2012 | IGLMPV | Ralcorp amends 7.29% notes due 2018, senior notes due 2020, floaters
|
1/17/2012 | EMLM | Panama begins exchange offer, tender offer for 71/4% bonds due 2015
|
1/17/2012 | CACVDDLM | Lakeview REIT short on cash, seeks to extend convertibles' maturity
|
1/17/2012 | LMMU | Partners Healthcare System, Mass., to make $15 million bid on bonds
|
1/17/2012 | LMMU | California Statewide plans to prepay $86.42 million of certificates
|
1/17/2012 | LM | Valeo buys back 22.22% of €400 million bonds due 2013
|
1/17/2012 | CVDDLM | Holloway to issue 714.22 million trust units in convertible redemption
|
1/17/2012 | LMMU | Wisconsin Health and Education calls $207.36 million of bonds
|
1/17/2012 | LMMU | FirstEnergy begins consent solicitations for 15 revenue bond series
|
1/17/2012 | HYLM | AIB Mortgage Bank to buy back €200 million of its series 11 floaters
|
1/17/2012 | CVLM | Pembina to tender for Provident's 5.75% convertibles after acquisition
|
1/17/2012 | LMPV | MCG Capital repays 8.96% series 2007-A notes in full ahead of maturity
|
1/17/2012 | LMMU | Illinois calls $1.35 million Friendship Village of Schaumburg bonds
|
1/17/2012 | ABLM | Aphex Capital buys back €390 million of floating-rate notes due 2012
|
1/17/2012 | HYLM | Irish Life & Permanent buys back €89.97 million of 4%, 3 1/8% bonds
|
1/17/2012 | DDEMLMPF | National Bank of Greece holders tender €753.29 million, $47.51 million of bonds, preferreds
|
1/17/2012 | ABLM | Banco BPI gets tenders for €290.7 million mortgage-backed floaters
|
1/17/2012 | LMMU | Nassau County, N.Y.'s series 2008 bonds have mandatory tender
|
1/17/2012 | LMMU | California Health Facilities calls $106.77 million of revenue bonds
|
1/17/2012 | EMLM | Globe Telecom calls for redemption PHP 3.03 billion of bonds due 2014
|
1/17/2012 | AGLM | FFCB to redeem $276 million of its consolidated systemwide bonds
|
1/17/2012 | LMMU | New York calls $530,000 of fiscal series 2009B G.O. taxable bonds
|
1/17/2012 | LMMU | California Pollution Control revenue bonds have mandatory tender
|
1/13/2012 | IGLMPF | Bank of America to repurchase junior subordinated notes in remarketing
|
1/13/2012 | CVLM | Life Technologies calls all $450 million of its 1.5% convertibles
|
1/13/2012 | LMMU | Texas Tech plans to redeem all $81.99 million of series 2001 bonds
|
1/13/2012 | IGLMPF | Public Storage calls all $141.25 million of series E preferred shares
|
1/13/2012 | CVLM | UniSource redeems $1.54 million of 4.5% senior notes, holders convert $33.46 million of notes
|
1/13/2012 | LMPP | Power Efficiency solicits consents for convertible preferred stock
|
1/13/2012 | LMMU | Collier County, Fla., defeases $70.57 million improvement bonds
|
1/13/2012 | EMLM | HSBC Middle East announces buy back of €1 million medium-term notes
|
1/13/2012 | LMMU | JEA, Fla., to redeem electric system revenue bonds from eight series
|
1/13/2012 | HYLM | Level 3 calls 91/4% senior notes due 2014 using proceeds from new deal
|
1/13/2012 | AGLM | FFCB to redeem $230 million of consolidated systemwide bonds at par
|
1/13/2012 | LMMU | New York City Transitional calls $140.36 million of future tax bonds
|
1/13/2012 | IGLM | AT&T to redeem all of its 6.375% senior notes due 2056
|
1/13/2012 | CVLM | Hutchinson to launch exchange, tender offers for 3.25%, 8.5% notes
|
1/13/2012 | LMMU | Northside ISD of Texas calls $85.04 million of series 2002-A bonds
|
1/12/2012 | EMIGLM | Colombia buys back $578.37 million of four bond series under offer
|
1/12/2012 | ABLM | Global Asset buys back $20 million of credit-linked notes due 2013
|
1/12/2012 | IGLMPF | PS Business parks calls all $79.55 million of 7.2% preferred stock
|
1/12/2012 | EMLM | TFB Finance repurchases $16.82 million of notes due Feb. 2, 2012
|
1/12/2012 | ABLM | Orpington makes early repurchase of all £2.37 billion mid-term notes
|
1/12/2012 | LMMU | Dallas calls $100.37 million of series 2003 general obligation bonds
|
1/12/2012 | LM | SBAB Bank plans to buy back floating-rate notes due 2012 and 2013
|
1/12/2012 | AGLM | FFCB to redeem $473 million of its consolidated systemwide bonds
|
1/12/2012 | LMPP | Specialty Foods offers to buy back, exchange exchangeable debentures
|
1/12/2012 | HYLM | Block Communications starts cash tender for $150 million 81/4% notes
|
1/12/2012 | CVLM | Fung Choi redeems RMB 18 million convertibles, plans to call remainder
|
1/12/2012 | HYLM | ServiceMaster intends to redeem $400 million 103/4% notes due 2015
|
1/12/2012 | DDEMHYLM | Arpeni again extends reverse Dutch auction, exchange offers for notes
|
1/12/2012 | IGLMPF | Hospitality Properties to redeem all of its 8.875% preferred shares
|
1/11/2012 | EMHYLM | Chinese Future calls $225 million 12% senior notes due 2015 in full
|
1/11/2012 | HYLMPF | Five Mile accepts tenders for 65.3% of Prime Group's 9% preferreds
|
1/11/2012 | EMLM | Philippines' San Miguel moves up closing of consent solicitation
|
1/11/2012 | IGLM | Portugal Telecom holders exercise put option on $50 million notes
|
1/11/2012 | EMLM | RHC holders OK prepayment waiver, redeeming Rs. 450 million of bonds
|
1/11/2012 | LMMU | California Health calls $65.07 million of Sutter Health revenue bonds
|
1/11/2012 | HYLM | Capmark to redeem $263.9 million of floating-rate first-lien notes
|
1/11/2012 | AGLM | FFCB to redeem $385 million of consolidated systemwide bonds at par
|
1/11/2012 | LMMU | Tennessee Energy wraps successful solicitation for series 2006 bonds
|
1/11/2012 | HYLM | Charter units to spend $843 million to purchase notes in tender offers
|
1/11/2012 | CVLM | Petroleum Geo-Services buys back another $3 million of convertibles
|
1/11/2012 | LMPV | Federal Signal to repay private placement notes with new facilities
|
1/11/2012 | HYLM | Steel Dynamics accepts $278.47 million early tenders for 7 3/8% notes
|
1/10/2012 | LMMU | City of Hoover, Ala., calls $50.66 million of G.O warrants on March 1
|
1/10/2012 | LMMU | Orleans Parish School Board, La., calls $16.18 million of school bonds
|
1/10/2012 | AGLM | FFCB to redeem $622 million of its consolidated systemwide bonds
|
1/10/2012 | LMMU | Pennsylvania Economic Development calls 2009 A, B revenue bonds
|
1/10/2012 | CVLM | Boston Properties to call 2.875% exchangeables following put option
|
1/10/2012 | HYLM | Lanesborough REIT begins issuer bid for C$2.53 million of 91/2% notes
|
1/10/2012 | LMMU | Atlanta Downtown Development to redeem $11.4 million revenue bonds
|
1/9/2012 | HYLM | Corrections Corp. wraps tender for 61/4% notes, calls $277.47 million
|
1/9/2012 | LMMU | Texas Public Finance redeems $84.69 million of unemployment bonds
|
1/9/2012 | IGLM | Energy Transfer Partners begins tender offers for five series of notes
|
1/9/2012 | IGLM | Goldman Sachs solicits consents to amend two series of normal APEX
|
1/9/2012 | IGLMPF | PS Business parks calls all $84.6 million of 7.375% preferred stock
|
1/9/2012 | LMMU | County of Wake, N.C., to redeem $124 million school bonds on Feb. 8
|
1/9/2012 | LM | Starts (Cayman) repurchases Kr 40 million of medium-term notes
|
1/9/2012 | LMMU | Irving Independent School District, Texas, calls $147.27 million bonds
|
1/6/2012 | LM | Spar Nord Bank exercises call option on subordinated bond issue
|
1/6/2012 | CAHYLM | Mercer group buys back C$9.3 million of unsecured notes due 2017
|
1/6/2012 | IGLM | Genworth increases prices, extends tender offer for RLIII securities
|
1/6/2012 | CVLM | First Capital Realty to redeem remaining 5.5% convertibles due 2017
|
1/6/2012 | LMMU | Collier County School Board, Fla., calls $135.69 million of Master Lease Program certificates
|
1/6/2012 | CVLM | Pharming Group redeems part of its €8.4 million convertible bond
|
1/6/2012 | LMMUPF | Invesco Insured to redeem $10.85 million of auction-rate preferreds
|
1/6/2012 | CVLM | Transocean announces redemption of all 1.5% convertibles due 2037
|
1/6/2012 | ABLM | Mound Financing (No. 5) to redeem series 3 asset-backed notes due 2042
|
1/6/2012 | LM | HSBC Middle East repurchased €600,000 medium-term notes Jan. 2
|
1/6/2012 | AGLM | FFCB to redeem $124 million of its consolidated systemwide bonds
|
1/5/2012 | IGLMPF | Barclays gives results of £2.5 billion tender for capital securities
|
1/5/2012 | LM | Liffey Emerald repurchased €1.24 million of its notes on Dec. 30
|
1/5/2012 | CVLM | PDL accepts $168.97 million of 2.875% convertibles for exchange
|
1/5/2012 | IGLMPF | Public Storage calls all $206.67 million of series L preferred shares
|
1/5/2012 | ABLM | Banco BPI tenders for 10 series of mortgage-backed floaters at 35-65
|
1/5/2012 | LM | Man Group repurchased €5.76 million of medium-term notes in December
|
1/5/2012 | CVLM | United Microelectronics buys back $4 million of convertibles due 2016
|
1/5/2012 | LMMU | Massachusetts calls $72.87 million of Partners Healthcare system bonds
|
1/5/2012 | ABLM | Ducato calls €498.65 million of asset-backed notes, series A, B, C
|
1/5/2012 | LM | SBAB announces SEK 3.84 billion redemption from two series of notes
|
1/5/2012 | EMIGLM | UAE's TAQA plans to repurchase $589.15 million of 5.62% bonds Dec. 8
|
1/5/2012 | LMMU | San Antonio Electric & Gas calls $153.97 million of 1992, 2002 bonds
|
1/5/2012 | AGLM | FFCB to redeem $247 million of consolidated systemwide bonds
|
1/5/2012 | LM | Standard Chartered to redeem €750 million of notes due 2017
|
1/5/2012 | LM | Anthracite Rated redeems in full €45 million of medium-term notes
|
1/5/2012 | CVDDLM | Emmis accepts 6.3% of outstanding 6.25% convertibles in tender offer
|
1/5/2012 | HYLM | MuniMae buys back $20 million of junior notes, gets consents to extend reduced interest period
|
1/5/2012 | LM | Finmeccanica Finance buys back €32 million of 8.125% bonds due 2013
|
1/5/2012 | CVLM | Norway's Petroleum Geo-Services buys back $3 million of convertibles
|
1/4/2012 | LMMU | Washington state calls all $257.55 million of its series 2003A bonds
|
1/4/2012 | CALM | First Asset CanBanc Split to buy preferreds using normal course bid
|
1/4/2012 | CVLM | Blue Coat holders may convert $80 million zero-coupon notes due 2013
|
1/4/2012 | EMLM | Gazit-Globe adds debentures to purchase plan, extends termination date
|
1/4/2012 | LMMU | Aurora, Colo., defeases $45.6 million of G.O., first-lien water bonds
|
1/4/2012 | AGLM | FFCB to redeem $1.23 billion of consolidated systemwide bonds at par
|
1/4/2012 | LMMU | Kentucky calls $145.51 million project 74 property and building bonds
|
1/4/2012 | CAEMHYLM | Pacific Rubiales holders tender 80% of 83/4% notes in swap for new notes
|
1/3/2012 | LM | Lloyd's repurchases £2.5 million of perpetual capital securities
|
1/3/2012 | EMLM | India's Mercator Lines buys back Rs. 112.5 million 101/2% debentures
|
1/3/2012 | CVDDLM | Emmis to accept tenders for 6.3% of 6.25% convertible preferreds
|
1/3/2012 | LMMU | Philadelphia School District calls $145.51 million of its G.O. bonds
|
1/3/2012 | LM | Sampo announces €19.4 million buyback of its 6.339% notes due 2012
|
1/3/2012 | LM | Bank of Ireland buys back €700 million of mortgage-covered floaters
|
1/3/2012 | CVLM | First Capital issues 6.5 million shares for $106.8 million notes
|
1/3/2012 | LMMU | Puerto Rico Public Finance calls commonwealth appropriation bonds
|
1/3/2012 | HYLM | NXP announces December redemption of $80 million floaters due 2013
|
1/3/2012 | LM | British Telecom buys back £1 million of floating-rate notes due 2016
|
1/3/2012 | CVLM | LSB may call preferreds, which would then no longer be convertible
|
1/3/2012 | LMMU | Waco Education, Texas, calls $2.08 million of Baylor University bonds
|
1/3/2012 | HYLM | Planet Hollywood announces redemption of 9% PIK notes in December
|
1/3/2012 | LM | Caixa Penedes buys back €8 million of floating-rate notes due 2099
|
1/3/2012 | CVLM | LabCorp says 0% notes convertible for another quarter through March
|
1/3/2012 | LMMU | Business Finance Authority, N.H., to redeem $71 million revenue bonds
|
1/3/2012 | LM | ITV redeems £35 million of its medium-term notes on Dec. 22
|
1/3/2012 | CVLM | PDL reveals preliminary results of 2.875% convertibles exchange offer
|
1/3/2012 | AGLM | FFCB calls $100 million consolidated systemwide bonds on Jan. 10
|
1/3/2012 | LMMU | Miami calls $102.31 million of series 2002 Homeland Defense tax bonds
|
12/30/2011 | LMMU | Pennsylvania to redeem $177.73 million of its G.O. bonds on Feb. 1
|
12/30/2011 | CVLM | Textron's 4.5% senior notes due 2013 convertible through March 31
|
12/30/2011 | HYLM | Barrington Broadcasting wraps tender for 101/2% notes, calls remainder
|
12/30/2011 | AGLM | FFCB plans to redeem $114 million of consolidated systemwide bonds
|
12/30/2011 | LM | Banco Santander gets tenders for 98.88% of series X preference shares
|
12/30/2011 | LMMU | California Educational issues mandatory tender for St. Mary's bonds
|
12/30/2011 | EMLM | Argentina's Mastellone Hermanos buys $2.75 million tranche A loan debt
|
12/30/2011 | HYLM | ServiceMaster buys back, plans to cancel $65 million of 103/4% notes
|
12/30/2011 | LMMU | Salt River Project, Ariz., redeems 2002 electric system revenue bonds
|
12/30/2011 | CVLM | UniSource Energy to redeem $35 million of 4.5% convertibles due 2035
|
12/30/2011 | HYLM | Charter subsidiaries complete tender offer for three notes series
|
12/30/2011 | CVLM | Cherating gives notice of cancellation of exchangeable certificates
|
12/30/2011 | LM | Bank of America repurchases €217.2 million of series 150, 162 notes
|
12/30/2011 | LMMU | Garland Independent School District, Texas, defeases $52.46 million of series 2003 bonds
|
12/30/2011 | EMLM | Brazil's TAM gets OK from 90% of holders to waive acceleration clause
|
12/30/2011 | HYLM | Steel Dynamics tenders for $350 million 7 3/8% senior notes due 2012
|
12/30/2011 | LMMU | University of Houston calls $78.2 million of series A revenue bonds
|
12/30/2011 | DDEMHYLM | Nexus bondholders do not agree to termination of bonds at meetings
|
12/30/2011 | HYLM | FBL Financial calls all $100 million of 5 7/8% senior notes due 2017
|
12/30/2011 | LMMU | Grant County, Wash., utility district calls $55.53 million of bonds
|
12/30/2011 | CVLM | Flotek to buy back all 5.25% senior secured convertibles due 2028
|
12/30/2011 | LM | National Asset Management redeems €71 million senior notes due 2012
|
12/30/2011 | EMLM | Philippines' San Miguel begins soliciting consents to amend bonds
|
12/30/2011 | HYLMPF | Colonial Realty repurchases all remaining 7.25% preferred units
|
12/30/2011 | LMMUPF | BlackRock announces redemption of preferred shares from three funds
|
12/30/2011 | EMHYLM | China Liansu buys back $31.3 million of 7 7/8% senior notes due 2016
|
12/30/2011 | HYLM | Inergy settles oversubscribed tender for $150 million of 6 7/8% notes
|
12/30/2011 | LMMU | Los Angeles Water and Power's 2001B bonds have mandatory tender
|
12/30/2011 | CVLM | Hertz says $474.75 million 5.25% notes are convertible till March 31
|
12/30/2011 | LM | SBAB Bank repurchases SEK 518 million of series 002, 548 notes
|
12/30/2011 | EMLM | Singapore's Otto Marine amends 4.845% notes following holder approval
|
12/30/2011 | IGLM | PSEG Power calls all $600 million of its 6.95% senior notes due 2012
|
12/30/2011 | LMPV | Eagle Materials repurchases $88.1 million series 2005A, 2007A notes
|
12/30/2011 | EMHYLM | Hong Kong's Fantasia gets needed consents to amend 14% notes due 2015
|
12/30/2011 | HYLM | NBT gets votes to amend equity ratio for 14% notes at Friday's meeting
|
12/30/2011 | LMMU | New Hampshire Municipal Bond Bank defeases $44.26 million of bonds
|
12/30/2011 | CVLM | Taylor Capital to forcibly convert series C, E convertible preferreds
|
12/30/2011 | LM | SpareBank 1 plans to redeem ¥13 billion of its 2.7% notes at par
|
12/30/2011 | EMLM | Tata Coffee redeems portions of its 7% non-convertible debentures
|
12/30/2011 | IGLMPF | Huntington holders exchange $35.5 million trust preferreds in offer
|
12/30/2011 | EMLM | Argentina's Autopistas del Sol buys back $3.2 million notes at 76.25
|
12/30/2011 | HYLM | NPC tallies total tenders for 97.41% of 91/2% senior notes due 2014
|