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State of Israel - Issuer's card
INFORMATION
Country:Israel
Profile:Israel is a country in Western Asia located on the eastern shore of the Mediterranean Sea.
Area – 20 770 sq.km (151th).
Population – 7,4 mln. (96th)
The capital is Jerusalem.
Official languages – Hebrew, Arabic.
Local currency – Israeli new sheqel (ILS).
Government – Parliamentary republic.
 


ISRAEL BOND MARKET NEWS
26.04.12 Fitch Affirms Israel at 'A'; Outlook Stable
10.04.12 New bond issue: Teva Pharmaceutical Industries on April 2, 2012 placed CHF 450m in 2018 bonds with 1.50% coupon
04.04.12 New bond issue: Teva Pharmaceutical Industries on March 29, 2012 placed EUR 1000m in 2019 bonds with 2.875% coupon
09.02.12 Israel Electric switches on EM investors with super-tight $500m
02.02.12 Israel Electric Corp mandates for new deal
 View all news

SOVEREIGN RATING
Moody's Investors Service A1/Stable Int. Scale (foreign curr) 17.04.2008
Moody's Investors Service A1/Stable Int. Scale (loc. curr.) 17.04.2008
Standard & Poor's A+/Stable Int. Scale (foreign curr.) 09.09.2011
Fitch Ratings A/Stable Int. Scale (foreign curr.) 06.11.2009
Fitch Ratings A+/Stable Int.l Scale (local curr.) 11.02.2008
 sovereign rating

 Bonds 

Outstanding bond issues:

sovereign sector
6 issue(s) outstanding worth USD 5 500 000 000
2 issue(s) outstanding worth EUR 2 250 000 000
1 issue(s) outstanding worth JPY 20 000 000 000
1 issue(s) outstanding worth GBP 100 000 000

corporate sector
1 issue(s) outstanding worth CHF 450 000 000
1 issue(s) outstanding worth EUR 1 000 000 000
18 issue(s) outstanding worth USD 11 925 000 000



LATEST BOND ISSUES
Issues ISIN Coupon Volume End of placement Maturity date
Teva Pharmaceutical Industries, 2018, CHF CH0183365128  1.50%  450000000  02.04.2012  25.10.2018 
Teva Pharmaceutical Industries, 2019, EUR XS0765295828  2.875%  1000000000  29.03.2012  15.04.2019 
Israel Electric, 2017 US46507NAC48  6.70%  500000000  07.02.2012  10.02.2017 
Israel, 2022 US46513AGA25  4.0%  1500000000  23.01.2012  30.06.2022 
Teva Pharmaceutical Industries, 2013-2(FRN) US88165FAB85  3M LIBOR + 0.9%  1100000000  07.11.2011  08.11.2013 
Teva Pharmaceutical Industries, 2021-1 US88165FAF99  3.650%  875000000  07.11.2011  10.11.2021 
Teva Pharmaceutical Industries, 2016 US88165FAC68  2.40%  950000000  07.11.2011  10.11.2016 
Teva Pharmaceutical Industries, 2021-2   3.650%  875000000  07.11.2011  10.11.2021 
Teva Pharmaceutical Industries, 2014-3 US88166HAA59  1.70%  1000000000  07.11.2011  10.11.2014 
Teva Pharmaceutical Industries, 2013-1 (FRN)   3M LIBOR + 0.80%  200000000  07.11.2011  08.05.2013 



INDEXES


JP Morgan

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Type: 24.05.2012 23.05.2012 22.05.2012 21.05.2012 18.05.2012 17.05.2012 16.05.2012
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