Cayman Islands: obligacje

The Cayman Islands’ economy is primarily driven by the financial services industry, tourism and the legal and accounting industries. The financial services industry generated approximately 50% of the Cayman Islands’ GDP in 2006 and 2007 and provided approximately 36.1%, 37.6% and 39.8% of our revenues through annual fees relating to licenses and work permits in 2006, 2007 and 2008, respectively. For the three-month period ended September 30, 2009, the financial services industry provided US$26.0 million or 24.9% of our revenues. The first fiscal quarter results reflect the effect of seasonality since we derive the majority of revenues in the second quarter of the fiscal year and also the effects of the global financial crisis. As of March 31, 2009, the Cayman Islands was the world’s sixth largest banking center in terms of assets and the world’s fourth largest banking center in terms of liabilities, according to the Bank for International Settlements. As of August 31,2009, the Cayman Islands was also the world’s second largest offshore insurance center and a leader in the offshore mutual funds industry, according to the AMB Country Risk Report. The financial services industry also stimulates other areas of the Cayman Islands’ economy, particularly its legal and accounting industries. We are focused on further enhancing the integrity of the Cayman Islands’ financial sector through domestic regulation and international regulatory cooperation.
The Cayman Islands public sector debt consists of U.S. dollar-denominated debt and a small amount of Euro-denominated debt. The Legislative Assembly must appropriate any incurrence of liabilities. The 2009 Constitution, which came into effect on November 6, 2009, limits Government borrowing to 10% of Government revenue, as determined by a United Kingdom Secretary of State. The Legislative Assembly may provide for a higher percentage for urgent or extremely important matters.
Total debt increased from US$208.5 million as of June 30, 2006, to US$505.5 million as of June 30,2009, and US$570.3 million as of October 31, 2009. This change amounted to an increase of debt as a percentage of nominal GDP from 7.3% in fiscal year 2005/2006 to 16.5% in fiscal year 2008/2009 and 18.6% for the four-month period ended October 31, 2009, on an annualized basis. Government estimates that this borrowing balance will total approximately US$599.7 million as of June 30, 2010. Debt service ratio (ratio of interest expense to GDP) was 3.9%, 3.3% and 5.3% in fiscal year 2006/2007, 2007/2008 and 2008/2009,respectively.

Emisje w obrocie

Waluta Emisje w obrocie Cumulative volume
Państwowy
USD 3 9 312 000 000
Korporacyjny
USD 331 184 933 296 000
HKD 76 28 533 000 000
EUR 52 21 233 512 000
CNY 10 4 694 040 000
GBP 9 3 045 000 000
AUD 6 869 000 000
JPY 6 37 900 000 000
CHF 5 505 000 000
SGD 3 1 578 000 000
ZAR 3 130 000 000
NOK 2 1 300 000 000
SAR 1 250 000 000
MYR 1 400 000 000
ITL 1 275 000 000 000
PEN 1 212 316 000
BRL 1 500 000 000

Rating suwerenny

Agencja ratingowaRatingRating scaleDate
Dagong Credit *** International scale rating (foreign curr.) ***
Dagong Credit *** International scale rating (local curr.) ***
Moody's Investors Service *** LT- foreign currency ***
Moody's Investors Service *** LT- local currency ***
S&P Global Ratings *** Foreign Currency LT ***
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Ostatnie emisje

emisja ISIN kupon kwota zakończenie przydziału data zapadalności
Sparc EM SPC Panama Metro Line 2, 0% 5dec2022, USD (1945D) - Euroobligacje USG83113AC73 0% 618 708 000  USD 31.07.2017 05.12.2022
Peters International (Cayman), 5.25% 6jul2020, EUR - Euroobligacje XS1641471005 5.25% 30 000 000  EUR 06.07.2017 06.07.2020
Signum Sapphire J, 0.4% 28nov2026, JPY - Euroobligacje XS1639792503 0.4% 22 000 000 000  JPY 29.06.2017 28.11.2026
Goncius I, 0% 11jul2018, USD (386D) - Euroobligacje XS1626533696 0% 240 000 000  USD 29.05.2017 11.07.2018
Caelus Re V, FRN 5jun2020, USD - Euroobligacje 3M US Treasury Bill+3.25% 75 000 000  USD 27.04.2017 05.06.2020
Caelus Re V, FRN 5jun2020, USD - Euroobligacje 3M US Treasury Bill+6.5% 75 000 000  USD 27.04.2017 05.06.2020
Caelus Re V, FRN 5jun2020, USD - Euroobligacje US12765KAB17 3M US Treasury Bill+4.5% 150 000 000  USD 27.04.2017 05.06.2020
Caelus Re V, FRN 5jun2020, USD - Euroobligacje US12765KAD72 3M US Treasury Bill+9.25% 75 000 000  USD 27.04.2017 05.06.2020
Ironshore Pharmaceuticals & Development, 13% 28feb2024, USD - Euroobligacje USG49479AA90 13% 200 000 000  USD 18.01.2017 28.02.2024
Cni Capital Ltd (Cayman Islands), 4.3% 11nov2019, CNY - Euroobligacje HK0000312634 4.3% 1 500 000 000  CNY 11.11.2016 11.11.2019

Statystyki rynków obligacji świata

Indeksy kwartalne

Typ I 2017 IV 2016 III 2016 II 2016 I 2016 IV 2015 III 2015
BIS volume of international-bond market of emerging countries
Caymanian international bonds, USD bln 360.000 352.000 356.400 361.300 1.343 1.334 1.340
BIS net issues of international-bond market of emerging countries
International-bond net issue of Cayman Islands, USD bln 1.800 8.900 5.200 19.200 2.000 -3.200 8.000

Nowe emisje euroobligacji rynków wschodzących

Indeksy miesięczne

Typ Aug 2017 Jul 2017 Jun 2017 May 2017 Apr 2017 Mar 2017 Feb 2017
Rynki euroobligacji (Ameryka Łacińska)
New issues of Cayman islands international bonds, USD bln 0.000 0.653 0.196 0.240 0.375 0.000 0.000
Number of Cayman islands new international bond issues 0 2 1 1 4 0 0
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Euroobligacje rynków wschodzących

Indeksy miesięczne

Typ Aug 2017 Jul 2017 Jun 2017 May 2017 Apr 2017 Mar 2017 Feb 2017
Rynki euroobligacji Ameryki Łacińskiej
Cayman Islands international bonds, USD bln 14.416 14.201 13.274 12.928 13.452 12.916 12.867
Cayman Islands corporate international bonds, USD bln 14.104 13.889 12.962 12.616 13.140 12.604 12.555
Cayman Islands sovereign international bonds, USD bln 0.312 0.312 0.312 0.312 0.312 0.312 0.312
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Rynek walutowy

Indeksy dzienne

Typ: 22.09.2017 21.09.2017 20.09.2017 19.09.2017 18.09.2017 15.09.2017 14.09.2017
Kursy walut rynków wschodzących
USD/KYD 0.8200 0.8200 0.8190 0.8190 0.8200 0.8200 0.8200
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Wskaźniki makroekonomiczne (Europa)

Indeksy kwartalne

Typ I 2017 IV 2016 III 2016
Inflation Rate (World), % to the same period of the previous year
Inflation Rate (Cayman Islands) 1.70 0.60 0.50

Indeksy roczne

Typ 2016 2015 2014
Government Debt to GDP (World), %
Government Debt to GDP(Cayman Islands) 16.50 18.50 19.30

Notowania

papier wartościowy kwota data zapadalności ceny kupna (bid) ceny sprzedarzy (ask)
data cena kupna (bid) rentowność data cena sprzedarzy (ask) rentowność
Kajmany, 5.950% 24nov2019, USD   USD 24.11.2019 18.05.2016 *** *.** 18.05.2016 *** *.**
Apus Rated Limited, 1.55% 30jun2020, EUR   EUR 30.06.2020 18.05.2016 ***.** -*.* 18.05.2016 ***.** -*.*
Arkab Rated Limited, 1.55% 30jun2020, EUR   EUR 30.06.2020 18.05.2016 ***.** -*.* 18.05.2016 ***.** -*.**
Asterope Rated Ltd., 1.55% 30jun2020, EUR   EUR 30.06.2020 18.05.2016 ***.** -*.* 18.05.2016 ***.** -*.**
Dyphda Rated Ltd., 1.55% 30jun2020, EUR   EUR 30.06.2020 18.05.2016 ***.** -*.* 18.05.2016 ***.** -*.**
Euterpe Rated Ltd., 1.55% 30jun2025, EUR   EUR 30.06.2025 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Evander Rated Ltd., 1.55% 30jun2030, EUR   EUR 30.06.2030 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Evander Rated Ltd., 1.55% 30jun2030, EUR   EUR 30.06.2030 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Gesher Rated Ltd., 1.55% 30jun2035, EUR   EUR 30.06.2035 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Gesher Rated Ltd., 1.55% 30jun2035, EUR   EUR 30.06.2035 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Kithalpa Rated Ltd., 1.55% 30jun2020, EUR   EUR 30.06.2020 18.05.2016 ***.** -*.* 18.05.2016 ***.** -*.**
Liber Rated Ltd., 1.55% 28jun2030, EUR   EUR 28.06.2030 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
NSA Bondco, 12% 31aug2020, USD   USD 31.08.2020 18.05.2016 ** **.** 18.05.2016 ** **.**
Overture Rated Ltd., 1.55% 30jun2040, EUR   EUR 30.06.2040 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Overture Rated Ltd., 1.55% 30jun2040, EUR   EUR 30.06.2040 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Polyhymnia Rated Ltd., 1.55% 30jun2025, EUR   EUR 30.06.2025 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Signum Momentum Ltd., 0% 30jun2050, EUR (15006D)   EUR 30.06.2050 18.05.2016 ***.** -*.** 18.05.2016 ***.** -*.**
Urania Rated Ltd., 1.55% 30jun2025, EUR   EUR 30.06.2025 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Urania Rated Ltd., 1.55% 30jun2025, EUR   EUR 30.06.2025 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
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