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欧洲债券: Banco Mercantil do Brasil, 9.625% 16jul2020, USD
USP1400AAA27

金融市场专业人士和投资者的数据平台
  • 全球债券市场筛选的高性能接口
  • 来自180个国家的近50万债券的完整信息
  • 全球欧洲债券100%覆盖
  • 超过300个价格来源
  • 所有国际和本地评级机构的评级
  • 全球100个交易大厅的股市数据
  • 直观、高速的用户界面
  • 通过网站、手机软件和 Microsoft Excel 加载项访问数据

交易时间表

选择证券交易所
选择证券交易所
跟多关于 Cbonds Estimation
债券交易停止,该债已偿还
数据显示法可以选择 图形 | 表格
数据显示法可以选择 图形 | 表格
图形中可变:报价、期间、发行比较
图形中可变:报价、期间、发行比较
以方便的格式下载图形
表格字段名称
找到 {{ graphTablePointsTotal }}
显示所有列
*所选项下没有可用数据
最新数据在

发行信息

简介
Banco Mercantil do Brasil S.A., together with its subsidiaries, provides various banking and financial products and services to individuals and businesses in Brazil. The company offers various deposit products, including checking accounts, saving accounts, and time ...
Banco Mercantil do Brasil S.A., together with its subsidiaries, provides various banking and financial products and services to individuals and businesses in Brazil. The company offers various deposit products, including checking accounts, saving accounts, and time deposits to individuals and companies. It also provides personal credit, revolving overdraft, working capital, vehicle financing, credit cards, pension plans, and insurance and securities to individuals. In addition, the company offers working capital, discount of receivables, revolving overdraft, vehicle financing, leasing, bid and performance bonds, trade finance, real estate, and insurance services to various companies. Further, it provides special services, such as collection, custody, and tax payment services to individuals and companies. Additionally, the company offers asset management, investment banking, foreign exchange and securities brokerage, payroll deductible loans, and real estate brokerage services. As of December 31, 2008, it operated 150 branches, 3 business platforms, and 29 services units in Brazil, as well as 1 international branch in the Grand Cayman Island. The company is headquartered in Belo Horizonte, Brazil.
交易额
  • Placement amount
    250.000.000 USD
  • 发行量
    134.540.000 USD
票面价值
  • 最低结算金额
    100.000 USD
  • 未偿还贷款本金
    *** USD
  • 面值 整倍数
    *** USD
  • 票面价值
    1.000 USD

现金流参数

  • 基准利率
    ***
  • 票面利率
    ***
  • 计息基准
    ***
  • 起息日
    ***
  • 定期支付息票
    *** 年度
  • 支付货币
    ***
  • 延期
    ***
  • 到期
    ***
  • 早赎日期
    ***

现金流

国际债券的计算是基于最低交易手数进行的

提前赎回条款

***

点击发行债券

金融市场专业人士和投资者的数据平台
  • 全球债券市场筛选的高性能接口
  • 来自180个国家的近50万债券的完整信息
  • 全球欧洲债券100%覆盖
  • 超过300个价格来源
  • 所有国际和本地评级机构的评级
  • 全球100个交易大厅的股市数据
  • 直观、高速的用户界面
  • 通过网站、手机软件和 Microsoft Excel 加载项访问数据

发行日期

  • 配售方式
    公开认购
  • 订单
    *** (***) - *** (***)
  • 标的息票(收入)
    ***% - ***% (*** - ***%)
  • 发行日发行人信用评级 (M/S&P/F)
    *** / - / -
  • 配售
    *** - ***
  • 初始发行价(收益率)
    (***%)
  • 请求
    *** USD
  • 竞拍数目
    ***
  • 地区分类
    ***
  • 投资人类型
    ***
  • 替代目的
    We estimate the net proceeds from the sale of the notes to be approximately U.S.$49,943,500 after deducting the estimated fees of the offering and excluding interest accrued on the notes from, and including July 16, 2010 to July 28, 2010. The company intends to use the net proceeds of the issuance of the notes to expand our credit portfolio for corporate clients and for other general corporate purposes. In addition, subject to the regulatory limits of the Central Bank as well as the Central Bank’s approval, The company intends in the future to treat the net proceeds from the issuance of the notes as Tier II capital. See “Management’s Discussion and Analysis of Financial Condition and Results of Operations—Capital Resources and Capital Adequacy.” - 41 - CAPITALIZATION The following table sets forth our capitalization (defined as non-current liabilities plus deferred income, minority interest and shareholders equity) as of March 31, 2010, on an actual basis and as adjusted to give effect to the issuances of the original notes and the notes as if the issuances had occurred on March 31, 2010, as derived from our unaudited interim consolidated financial statements, prepared in accordance with Brazilian GAAP. This table should be read in conjunction with “Summary Financial and Other Information,” “Management’s Discussion and Analysis of Financial Condition and Results of Operations” and our financial statements included elsewhere in this offering memorandum.
  • 名录
    ***
发行参与者
  • 组织机构
    ***, ***

转换和共享

  • 兑换日期
    ***
  • 原始奖励
    ***%
  • 可兑换直到
    ***
  • 锁定
    ***
  • 转换条款
    ***

附加信息

***

最近一次的发行

代码

  • 注册
    ***
  • 项目注册日期
    ***
  • ISIN RegS
    ***
  • ISIN 144A
    ***
  • ISIN 编码 时间/补充信息
    USP1400AAB00
  • CUSIP RegS
    ***
  • CUSIP 144A
    ***
  • 通用代码 RegS
    052709270
  • CFI RegS
    DBFUFR
  • CFI 144A
    DBFUFR
  • FIGI RegS
    BBG0000H86J9
  • FIGI 144A
    BBG0000FTM41
  • WKN 码
    A1AY7T
  • SEDOL
    B45K4W2
  • 股票代号
    BMEBMZ 9.625 07/16/20 REGS
  • 证券按俄罗斯中央银行的分类类型
    ***

评级



债券分类

  • 息票债券
  • Registered
  • 次级
  • 摊提
  • Callable
  • CDO
  • 可交换的
  • 双货币债券
  • 浮动利率
  • 为合格投资者(俄罗斯)
  • 外债
  • 绿色债券
  • 指数
  • 发行超主权债券
  • 抵押
  • 永续债券
  • 实物支付债券
  • 非流通证券
  • 赎回关联与
  • 重组
  • 零售债券
  • 担保
  • 证券
  • 结构性产品
  • 伊斯兰债券
  • 追溯

重组

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