Marktnachrichten

Neue Anleihen

Anleihe Betrag, mio Ende der Platzierung Fälligkeit
Akbank, 0% 28nov2016, TRY (182D) 50 30.05.2016 28.11.2016
Finansbank, 0% 26aug2016, TRY (91D) 49 27.05.2016 26.08.2016
Finans Faktoring, 0% 22nov2016, TRY (179D) 90 27.05.2016 22.11.2016
Akbank, 0% 9sep2016, TRY (105D) 224 27.05.2016 09.09.2016
Vakifbank, 0% 23sep2016, TRY (119D) 186 27.05.2016 23.09.2016
Fibabanka, 0% 16nov2016, TRY (174D) 82 26.05.2016 16.11.2016
Ak Yatirim, 0% 28jun2016, TRY (35D) 2 24.05.2016 28.06.2016
AK Finansal Kiralama, 11.87% 23may2018, TRY 40 24.05.2016 23.05.2018
Is Yatirim, 0% 22aug2016, USD (90D) 47 24.05.2016 22.08.2016
Ak Yatirim, 0% 23jun2016, TRY (34D) 2 20.05.2016 23.06.2016

Ertragskurve

30.05.2016

Bookrunner Ranglisten

#Investment BankVolume, mln. USDMarket share, % Number of issuersNumber of issues
1JP Morgan22 30010,206092
2HSBC20 4779,3785130
3Citigroup20 2179,2569102
4Bank of America Merrill Lynch17 9398,214771
5Deutsche Bank11 1055,083551
6BNP Paribas7 1543,272838
7Barclays6 7003,072739
8Banco Santander6 3192,89616
9Goldman Sachs6 1342,811837
10UBS5 9962,742438
EM
CIS
DM

Bond Kalendar

Name Amount, m Date Type
Is Yatirim, 0% 31may2016, TRY (98D) 132 TRY 31.05.2016 Maturity
DenizBank, FRN 1jun2016, TRY 15 TRY 01.06.2016 Maturity
Eregli Tekstil Turizm, FRN 1jun2016, TRY 27 TRY 01.06.2016 Maturity
Yeditepe Faktoring, 0% 1jun2016, TRY (175D) 5 TRY 01.06.2016 Maturity
Burgan Bank A.S., 0% 1jun2016, TRY (90D) 75 TRY 01.06.2016 Maturity
Yapi Kredi Yatirim, 0% 2jun2016, TRY (92D) 100 TRY 02.06.2016 Maturity
Koc Fiat Kredi, 10.2028% 3jun2016, TRY 75 TRY 03.06.2016 Maturity
Varyap Varlibaslar, FRN 3jun2016, TRY 30 TRY 03.06.2016 Maturity
Yapi Kredi Bank, 0% 3jun2016, TRY (179D) 518 TRY 03.06.2016 Maturity
Fibabanka, 0% 3jun2016, TRY (178D) 76 TRY 03.06.2016 Maturity