Default. Technical default

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Issuer:

Type of obligation:
Type of security:
Issue status:

Scheduled due date:

Restructuring:

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Found: 251

Summary data (amount) (amount):
issues - 251; issuers - 95;
Default - 218; Technical default - 11;
Technical default - 22; Delay in offer execution - 0;

Volume:
USD8,419,027,211
UAH5,765,948,932
EUR600,000,000
SEK0
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Redemption
**/**/****
Default
*** *** ***.**
No
*** *** ***.**
USD
XS**********
Announced date **.**.**** Reason: bankruptcy
Redemption
**/**/****
Default
*** *** ***.**
No
*** *** ***.**
USD
XS**********
Announced date **.**.**** Reason: bankruptcy
Redemption
**/**/****
Default
*** *** ***.**
No
*** *** ***.**
USD
XS**********
Announced date **.**.****
Redemption
**/**/****
Default
*** *** ***.**
No
*** *** ***.**
UAH
UA**********
Coupon
**/**/****
**/**/****
Default
** *** ***.**
Yes
*** *** ***.**
USD
USG****DAA**
Coupon
**/**/****
**/**/****
Default
* *** ***.**
Yes
*** *** ***.**
USD
USG****DAB**
Coupon
**/**/****
**/**/****
Default
** *** ***.**
Yes
*** *** ***.**
USD
XS**********
Redemption
**/**/****
Default
*** *** ***.**
Yes
*** *** ***.**
USD
XS**********
Announced date **.**.****
Redemption
**/**/****
**/**/****
Default
* *** *** ***.**
No
* *** *** ***.**
USD
XS**********
Redemption
**/**/****
Default
*** *** ***.**
No
*** *** ***.**
USD
XS**********
Coupon
**/**/****
**/**/****
Default
** *** ***.**
Yes
*** *** ***.**
USD
XS**********
Redemption
**/**/****
**/**/****
Default
*** *** ***.**
Yes
*** *** ***.**
EUR
XS**********
Coupon
**/**/****
**/**/****
Default
*** ***.**
No
*** *** ***.**
USD
XS**********
Redemption
**/**/****
**/**/****
Default
*** *** ***.**
Yes
*** *** ***.**
USD
XS**********
Coupon
**/**/****
**/**/****
Default
** *** ***.**
Yes
* *** *** ***.**
USD
XS**********
Redemption
**/**/****
**/**/****
Default
*** *** ***.**
Yes
*** *** ***.**
USD
XS**********
Covenant
**/**/****
Technical default
Yes
*** *** ***.**
USD
XS**********
Covenant
**/**/****
Technical default
*** *** ***.**
No
*** *** ***.**
USD
XS**********
Cross-default covenant triggered due to $*** m missed payment on march **, **** for its pre-export financing facility.
Covenant
**/**/****
Technical default
*** *** ***.**
No
*** *** ***.**
USD
XS**********
Cross-default covenant triggered due to $*** m missed payment on march **, **** for its pre-export financing facility.
Covenant
**/**/****
Technical default
*** *** ***.**
Yes
*** *** ***.**
USD
XS**********
Cross-default covenant triggered due to $*** m missed payment on march **, **** for its pre-export financing facility.
The section displays the up-to-date information on defaults (including technical defaults) and restructuring in the bond and international bond market. Issues can be searched by issuer’s country and region, type of obligation and scheduled performance date. Search results display scheduled and actual obligation performance dates, performance date under “technical default”, amount outstanding. The data can be saved as an Excel document or as a Csv file.