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Bermuda: obligacje

Bermuda’s public sector represents a relatively small percentage of GDP compared to the major developed economies. Total current account spending as a proportion of nominal GDP in 2012 was 19.5%, with capital expenditure of $59.5 million, or 1.1% of nominal GDP. Before the global economic and financial crisis in 2008 and 2009, the Government’s economic planning and budgetary measures helped the economy grow at an acceptable rate. Public debt was kept within the limits set by law and the Government’s stated policy. Subsequent to the financial crisis, net Government debt has increased and stood at $1.5 billion at the end of the 2012/2013 fiscal year. Bermuda is not unique in facing the economic challenges resulting from the global crisis. The former administration’s policy response during this difficult and challenging period was to protect vital sectors of the economy through tax concessions and relief, which was financed by borrowing. The former administration also tried to maintain the focus on sound social policy and programs and strived to preserve key delivery of Government services. The current administration considers the rise in debt as unsustainable and recognizes that it will take time and changes in policy to actually begin paying down the debt. Meanwhile, the Government will focus on growing the economy coupled with continuous cost containment to reduce the debt to more manageable levels. On February 22, 2013, the Government amended the Government Loans Act 1978 to increase Bermuda’s legal limit for loans (net of the Sinking Fund balance) from $1.45 billion to $2.5 billion. At March 31, 2013, the Government had total debt outstanding of $1.57 billion. The amount of total debt does not include the following obligations: (i) a guarantee by the Government of the Bermuda Hospital Board’s payment obligations related to the repayment of construction financing for the King Edward Memorial Hospital, estimated at $260 million over a term of 30 years; (ii) the guarantee by the Government in respect of $200 million in aggregate liquidation preference of preference shares issued on June 12, 2009 by the Bank of N.T. Butterfield & Son Limited, which guarantee is for a period of ten years from the date of the issuance of the preference shares; (iii) various other construction and education guarantees totaling $66.9 million. Further, this amount of total debt also does not reflect the estimated Sinking Fund balance of $97.1 million at March 31, 2013.

Emisje w obrocie

Waluta Emisje w obrocie Cumulative volume
Państwowy
USD 4 2 510 000 000
BMD 1 50 000 000
Korporacyjny
USD 52 15 250 861 000
CHF 3 860 000 000
NOK 3 3 050 000 000
GBP 3 655 060
EUR 1 500 000 000

Rating suwerenny

Agencja ratingowaRatingRating scaleDate
Organisation for Economic Co-operation and Development (OECD) *** Country Risk Classifications ***
Moody's Investors Service *** LT- foreign currency ***
Moody's Investors Service *** LT- local currency ***
S&P Global Ratings *** Foreign Currency LT ***
S&P Global Ratings *** Local Currency LT ***
Fitch Ratings *** LT Int. Scale (foreign curr.) ***
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Ostatnie emisje

emisja ISIN kupon kwota zakończenie przydziału data zapadalności
Start Ltd., 0% 15mar2044, USD (9098D, ABS) - Euroobligacje US85572H1014 0% 99 556 000  USD 12.04.2019 15.03.2044
Start Ltd., 5.095% 15mar2044, USD (ABS) - Euroobligacje US85573LAB71 5.095% 69 000 000  USD 12.04.2019 15.03.2044
Start Ltd., 6.413% 15mar2044, USD (ABS) - Euroobligacje US85573LAC54 6.413% 23 000 000  USD 12.04.2019 15.03.2044
BOWLINE RE, FRN 20mar2023, USD - Euroobligacje US10260PAC23 3M Treasury Bill Yields + 8.5% 150 000 000  USD 13.03.2019 20.03.2023
BOWLINE RE, FRN 20mar2023, USD - Euroobligacje US10260PAB40 3M Treasury Bill Yields + 4.75% 100 000 000  USD 13.03.2019 20.03.2023
Bermudy, 4.75% 15feb2029, USD - Euroobligacje USG10367AF01 4.75% 620 000 000  USD 15.11.2018 15.02.2029
Teekay LNG Partners, FRN 29aug2023, NOK - Obligacje krajowe NO0010830979 3M Nibor + 4.6% 850 000 000  NOK 29.08.2018 29.08.2023
Butterfield Bank, 5.25% 1jun2028, USD - Euroobligacje US064227AB75 5.25% 75 000 000  USD 21.05.2018 01.06.2028
Borr Drilling, 3.875% 23may2023, USD - Euroobligacje NO0010822935 3.875% 350 000 000  USD 16.05.2018 23.05.2023
Teekay LNG Partners, 7.125% 15aug2022, USD - Euroobligacje NO0010801707 7.125% 250 000 000  USD 01.08.2017 15.08.2022

Rynek walutowy

Indeksy dzienne

Typ: 19.04.2019 18.04.2019 17.04.2019 16.04.2019 15.04.2019 12.04.2019 11.04.2019
FOREX rates
[12687] USD/BMD 1.0000 1.0000 1.0000 1.0000 1.0000 1.0000 1.0000
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BIS

Indeksy kwartalne

Typ: III 2018 II 2018 I 2018 IV 2017 III 2017 II 2017 I 2017
BIS international bonds outstanding volume
[10267] Bermudian international bonds, USD bln 114.300 112.700 108.100 105.700 104.200 101.800 101.600
BIS new international bonds volume
[10587] International-bond net issue of Bermuda, USD bln 1.600 7.100 2.200 1.400 2.300 -0.100 2.200

International bonds outstanding volume

Indeksy miesięczne

Typ: Mar 2019 Feb 2019 Jan 2019 Dec 2018 Nov 2018 Oct 2018 Sep 2018
Latin America international bonds outstanding volume
[21407] Bermuda international bonds, USD bln 6.266 6.272 6.275 6.353 7.090 6.519 6.529
[21467] Bermuda corporate international bonds, USD bln 3.956 3.962 3.965 4.043 4.356 4.405 4.415
[21527] Bermuda sovereign international bonds, USD bln 2.310 2.310 2.310 2.310 2.734 2.114 2.114
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New international bonds volume

Indeksy miesięczne

Typ: Mar 2019 Feb 2019 Jan 2019 Dec 2018 Dec 2018 Nov 2018 Oct 2018
Latin America new international bonds volume
[18423] New issues of Bermuda international bonds, USD bln 0.250 0.000 0.000 0.000 0.000 0.620 0.000
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Indeksy roczne

Typ: 2018 2017 2016 2015 2014
Latin America new international bonds volume
[19219] Annual new issues of Bermudas sovereign international bonds, USD bln 0.620 0.000 0.665 0.000 0.000
[19279] Annual new issues of Bermudas corporate international bonds, USD bln 0.425 1.042 0.220 0.285 0.500
[19339] Annual new issues of Bermudas corporate international bonds, (financial sector) USD bln 0.075 0.166 0.110 0.150 0.000
[19399] Annual new issues of Bermudas corporate international bonds, (non-financial sector) USD bln 0.350 0.876 0.110 0.135 0.500

New international bonds number

Indeksy miesięczne

Typ: Mar 2019 Feb 2019 Jan 2019 Dec 2018 Dec 2018 Nov 2018 Oct 2018
Latin America new international bonds number
[18481] Number of Bermuda new international bond issues 2 0 0 0 0 1 0
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Notowania

papier wartościowy kwota data zapadalności ceny kupna (bid) ceny sprzedarzy (ask)
data cena kupna (bid) rentowność data cena sprzedarzy (ask) rentowność
Bermudy, 4.138% 3jan2023, USD   USD 03.01.2023 18.05.2016 ***.** *.** 18.05.2016 ***.* *.**
Bermudy, 4.854% 6feb2024, USD   USD 06.02.2024 18.05.2016 *** *.** 18.05.2016 *** *.**
Bermudy, 5.603% 20jul2020, USD   USD 20.07.2020 18.05.2016 ***.*** *.** 18.05.2016 ***.* *.**
Montpelier Re Holdings Ltd., 4.7% 15oct2022   USD 15.10.2022 18.05.2016 ***.*** *.** 18.05.2016 ***.*** *.**
PartnerRe, 5.50% 1jun2020, USD   USD 01.06.2020 18.05.2016 ***.*** *.** 18.05.2016 ***.*** *.**
PartnerRe, 6.875% 1jun2018, USD   USD 01.06.2018 18.05.2016 ***.*** *.** 18.05.2016 ***.*** *.**
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