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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. |
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. |
BTA bank, 2020-16 |
30 000 000 000 |
KZT |
|
01.09.2010 |
Liabilities were settled according to restructuring plan. |
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Total records found: 145 Records shown: from 1 to 50
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