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Issue Details
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Paper Amount Currency Debt restructuring agent Planned date of meeting liabilities Additional information
 Agrika Foods, 01 1 000 000 000 RUR 16.03.2009
 Alfa-Bank Ukraine, 2009 (LPN) 345 000 000 USD 14.07.2009
 Alfa-Bank Ukraine, 2010 (LPN) 450 000 000 USD HSBC
UBS
02.07.2009 Closed Joint-Stock Company "ALFA-BANK" announces that it has commenced an Exchange Offer and Consent Solicitation for any and all of the (i) US$345,000,000 9.75% Loan Participation Notes due 2009 issued by Emerging Markets Structured Products B.V. (the "2009 Notes"); (ii) US$450,000,000 9.25% Loan Participation Notes due 2010 issued by Ukraine Issuance plc (the "2010 Notes"); and (iii) US$250,000,000 12.00% Loan Participation Notes due 2011 issued by Ukraine Issuance plc , for US$ Denominated 13.00% Amortising Loan Participation Notes due 2012 to be issued by Ukraine Issuance plc under the Bank's US$2,000,000,000 Loan Participation Note Programme and cash, as further described below.
 Alfa-Bank Ukraine, 2011 (LPN) 250 000 000 USD HSBC
UBS
02.07.2009 Closed Joint-Stock Company "ALFA-BANK" announces that it has commenced an Exchange Offer and Consent Solicitation for any and all of the (i) US$345,000,000 9.75% Loan Participation Notes due 2009 issued by Emerging Markets Structured Products B.V. (the "2009 Notes"); (ii) US$450,000,000 9.25% Loan Participation Notes due 2010 issued by Ukraine Issuance plc (the "2010 Notes"); and (iii) US$250,000,000 12.00% Loan Participation Notes due 2011 issued by Ukraine Issuance plc , for US$ Denominated 13.00% Amortising Loan Participation Notes due 2012 to be issued by Ukraine Issuance plc under the Bank's US$2,000,000,000 Loan Participation Note Programme and cash, as further described below.
 Alliance Bank, 2010 200 000 000 USD 18.09.2009
 Alliance Bank, 2010-13 5 000 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2011 250 000 000 USD 18.09.2009
 Alliance Bank, 2011, GBP 250 000 000 GBP 18.09.2009
 Alliance Bank, 2011-3 3 000 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2012, EUR 750 000 000 EUR 18.09.2009
 Alliance Bank, 2013 350 000 000 USD 18.09.2009
 Alliance Bank, 2015-12 7 000 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2015-15 10 500 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2016-16 10 500 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2017-17 10 500 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2018-14 15 000 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2018-18 10 500 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2019-19 10 500 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2020-20 10 500 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2021-21 10 500 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2022-22 10 500 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2023-23 10 500 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, 2024-24 10 500 000 000 KZT 01.04.2010 Liabilities were settled according to restructuring plan.
 Alliance Bank, HT1 150 000 000 USD 18.09.2009
 Alliance Russian Textile, 03 1 200 000 000 RUR 11.02.2009 The issuer announced its liquidation. Creditors can file their claims during 2 months from the notification about liquidation.
 Almatytemir, 01 2 000 000 000 KZT 20.04.2012 the bonds circulation term has been increased from five to 17 years

the bonds national identification number was changed from KZ2C0Y05C788 to KZ2C0Y17C783

the interest rate has been changed and makes up 8.00 % APR till November 1, 2020, further - 10.00 % APR, on the coupon interest accrued from May 1, 2011 to May 1, 2015 with the partial capitalization
 Amstor, 1-A 50 000 000 UAH 11.03.2009
 Amstor, 1-B 50 000 000 UAH 11.06.2009 30% of the issue is repaid, the remaining part is swapped for Series E bonds due December 9, 2011.
 Amurmetal, 01 1 500 000 000 RUR Raiffeisen Bank April 2009 Agent on restructuring: Raiffeisenbank
The issuer has been declared bankrupt.
 Amurmetal, 02 2 000 000 000 RUR Raiffeisen Bank April 2009 Agent on restructuring: Raiffeisenbank
The issuer has been declared bankrupt.
 Amurmetal, 03 3 000 000 000 RUR Raiffeisen Bank April 2009 Agent on restructuring: Raiffeisenbank
The issuer has been declared bankrupt.
 APC Arkada, 02 700 000 000 RUR 10.04.2009
 APC Arkada, 03 1 200 000 000 RUR January 2009 The issuer intends to buy back bonds by 10.03.10
 Asia-Electric, 2010-1 1 000 000 000 KZT
 Astana-finance, 2010 340 000 000 EUR 19.05.2009
 Astana-finance, 2011 175 000 000 USD 15.09.2011
 Bank Finance and Credit, 2014 (Restruct. LPN ex-2010) 100 000 000 USD Morgan Stanley 30.12.2009 30.12.2009 noteholders agreed to debt restructuring.
On 15.12.2009 the issuer approached noteholders with a debt restructuring offer on 95% of the issue suggesting postponing the maturity date till 25.01.2014 from 25.01.2010 and hiking the interest rate from 10.375% to 10.5%

On 22.01.2010 the issuer repaid 5% of the principal. Thus outstanding issue amount was reduced to $95m.
 Beliy Fregat, 01 1 000 000 000 RUR KIT Finance Investment Bank 05.02.2009 Agent on debt restructuring: KIT Finance
Debt restructuring scheme:
16.12.08 – 10%
28.04.09 – 15%
11.06.09 – 10%
10.09.09 – 20%
17.12.09 – 45%
The issuer filed bankruptcy in June 2009
 Bogdan Motors, 1-А 130 000 000 UAH 30.06.2009 10% of principal is redeemed in the framework of put option. Maturity is extended for one more year.
 BTA bank, 2014-4 14 000 000 000 KZT 01.09.2010 Liabilities were settled according to restructuring plan.
 BTA bank, 2015-10 5 000 000 000 KZT 01.09.2010 Liabilities were settled according to restructuring plan.
 BTA bank, 2015-11 30 000 000 000 KZT 01.09.2010 Liabilities were settled according to restructuring plan.
 BTA bank, 2015-21 34 500 000 000 KZT 01.09.2010 Liabilities were settled according to restructuring plan.
 BTA bank, 2016-12 30 000 000 000 KZT 01.09.2010 Liabilities were settled according to restructuring plan.
 BTA bank, 2017-23 34 500 000 000 KZT 01.09.2010 Liabilities were settled according to restructuring plan.
 BTA bank, 2018-14 30 000 000 000 KZT 01.09.2010 Liabilities were settled according to restructuring plan.
 BTA bank, 2018-24 34 500 000 000 KZT 01.09.2010 Liabilities were settled according to restructuring plan.
 BTA bank, 2018-9 100 000 000 000 KZT 01.09.2010 Liabilities were settled according to restructuring plan.
 BTA bank, 2019-15 30 000 000 000 KZT 01.09.2010 Liabilities were settled according to restructuring plan.
 BTA bank, 2019-25 34 500 000 000 KZT 01.09.2010 Liabilities were settled according to restructuring plan.
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Total records found: 148 Records shown: from 1 to 50




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