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欧洲债券: Bombardier, 6.125% 15may2021, EUR (XS0552915943)

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状态
已偿还
总量
413.985.000 EUR
发行
***
到期 (选择权)
*** (-)
应计利息
风险所在国
加拿大
实时利率
-
-
收益率/久期
-
两次点击计算!收益率, 久期等分析指标
两次点击计算!收益率, 久期等分析指标
计算器 计算器是什么?
  • 发行量
    780.000.000 EUR
  • 发行量
    413.985.000 EUR
  • 最小申购数量
    100.000 EUR
  • ISIN RegS
    XS0552915943
  • Common Code RegS
    055291594
  • CFI RegS
    DBFNBR
  • FIGI RegS
    BBG0017YQKP5
  • SEDOL
    B5BSQ98
  • 代码
    BBDBCN 6.125 05/15/21 REGS

探索最全面的数据库

80 万

债券

超过 400

定价来源

8 万

股票

9 千

ETF

以最有效的方式跟踪您的投资组合
债券筛选器
观察列表
Excel 附加组件

发行文件

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交易时间表

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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
表格字段名称
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OTC报价是指示性价格

证券交易所和场外交易市场

信息提供者所提供的报价仅供参考。

发行信息

简介
Bombardier Inc. manufactures and sells transportation equipment worldwide. It operates in two segments, Bombardier Aerospace and Bombardier Transportation. The Bombardier Aerospace segment designs, manufactures, and supports aviation products comprising business aircrafts; commercial aircrafts, including regional jets, ...
Bombardier Inc. manufactures and sells transportation equipment worldwide. It operates in two segments, Bombardier Aerospace and Bombardier Transportation. The Bombardier Aerospace segment designs, manufactures, and supports aviation products comprising business aircrafts; commercial aircrafts, including regional jets, turboprops, and single-aisle mainline jets; and specialized and amphibious aircrafts. This segment also offers aircraft parts, maintenance, and training services; and online services, as well as Flexjet fractional ownership and flight entitlement programs. The Bombardier Transportation segment designs, manufactures, and supports rail equipment and systems, offering a range of passenger railcars, locomotives, light rail vehicles, and automated people movers. It also provides bogies, electric propulsion, control equipment, and maintenance services, as well as rail transportation systems and rail control solutions. Bombardier Inc. was founded in 1942 and is headquartered in Montreal, Canada.
发行量
  • 发行量
    780.000.000 EUR
  • 发行量
    413.985.000 EUR
票面价值
  • 最小申购数量
    100.000 EUR
  • 未偿还贷款本金
    *** EUR
  • 整数倍
    *** EUR
  • 票面价值
    1.000 EUR
名录
  • 名录
    ***

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
    ***
  • 到期日
    ***

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

***

探索最全面的数据库

80 万

债券

超过 400

定价来源

8 万

股票

9 千

ETF

以最有效的方式跟踪您的投资组合
债券筛选器
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Excel 附加组件

发行

  • 配售方式
    公开认购
  • 发行
    ***
  • 初始发行价 (收益率)
    (***%)
  • 地区分类
    ***
  • 投资人类型
    ***
  • 替代目的
    We estimate that the net proceeds from this offering of notes, after deducting the commissions payable to the initial purchasers and fees and expenses relating to our Refinancing Plan, will be approximately $1,049 million (using the noon rate published by the Bank of Canada on October 19, 2010, which was 31.00=$1.3825). The company intends to use the proceeds of this offering of notes, together with the proceeds of the termination and settlement of an interest rate swap related to our 8.00% Senior Notes due 2014, as part of our Refinancing Plan (i) to finance the repurchase and retirement of all of our outstanding Floating Rate Senior Notes due 2013 and all of our outstanding 8.00% Senior Notes due 2014 pursuant to the Tender Offers, (ii) to pay the fees and expenses related to the refinancing, and (iii) for general corporate purposes. See also “Summary—Our Refinancing Plan—Concurrent Debt Tender Offers.” It is estimated that the termination and settlement of the interest rate swap, after giving effect to the other elements of our Refinancing Plan, will result in $45 million to be used for general corporate purposes. The company intends to redeem any Floating Rate Senior Notes due 2013 and any 8.00% Senior Notes due 2014 not tendered and purchased by us in the Tender Offers on or around December 2, 2010 at a price of par in respect of the Floating Rate Senior Notes due 2013 and a price of $1,040.00 per $1,000.00 principal amount in respect of the 8.00% Senior Notes due 2014, in each case pursuant to the terms of the respective indenture governing such series of notes. For more information regarding the terms of our Floating Rate Senior Notes due 2013 and our 8.00% Senior Notes due 2014 see “Description of Other Indebtedness and Letter of Credit Facilities.” The following table sets out the estimated sources and uses of funds in connection with our Refinancing Plan.
发行参与者
  • 组织机构
    ***, ***, ***, ***, ***
  • 存管机构
    ***, ***

转换和共享

  • 转换条款
    ***

合同

请求认证
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附加信息

最近一次的发行

代码

  • ISIN RegS
    XS0552915943
  • ISIN 144A
    ***
  • CUSIP RegS
    ***
  • CUSIP 144A
    ***
  • 通用代码 RegS
    055291594
  • 通用代码 144A
    055320152
  • CFI RegS
    DBFNBR
  • CFI 144A
    DBFNBR
  • FIGI RegS
    BBG0017YQKP5
  • FIGI 144A
    BBG0017YRYQ3
  • WKN 码
    A1A21H
  • WKN 144A 码
    A1A228
  • SEDOL
    B5BSQ98
  • 代码
    BBDBCN 6.125 05/15/21 REGS
  • 证券按俄罗斯中央银行的分类类型
    ***

评级

债券分类

  • 记帐式债券
  • 息票债券
  • 排名: Undefined
  • Registered
  • 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
  • 担保的
  • 通货膨胀相关本金
  • 发行超主权债券
  • 通货膨胀挂钩息票
  • 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
  • 担保债券
  • 证券
  • 结构性产品
  • 商业债券
  • 次级
  • 伊斯兰债券
  • 追溯

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***

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