1.620% Social Notes due 2020
1.620% Social Notes due 2020
1.500% Benchmark Notes due 2020
5.570% Notes due 2034
5.656% Notes due 2030
AMXCA 2024-1
AMXCA 2024-2
7.500% PerpNC5 Pfd
FRN due 2028
5.707% Notes due 2028
FRN due 2028
5.571% Notes due 2028
5.581% Notes due 2030
5.766% Notes due 2035
4.850% Notes due 2027
4.800% Notes due 2029
4.950% Notes due 2034
FRN due 2027
4.980% Notes due 2027
4.994% Notes due 2029
5.200% Notes due 2029
5.450% Notes due 2034
1.048% Notes due 2029
1.412% Notes due 2031
1.682% Notes due 2034
BMARK 2024-V6
SYNIT 2024-1
NRMLT 2024-NQM1
6.500% Notes due 2054
6.875% PerpNC5 Pfd
4.700% Notes due 2029
5.000% Notes due 2034
5.250% Notes due 2054
5.800% Notes due 2029
6.125% Notes due 2034
AART 2024-1 (A1)
AART 2024-1 (A2)
AART 2024-1 (A3)
AART 2024-1 (A4)
5.690% Notes due 2030
Tender Offer
3.050% Notes due 2032
2.750% Notes due 2027
3.350% Notes due 2032
4.100% Notes due 2052
2.750% 2/1/2032
3.450% 2/1/2052
FRN 5/10/2023
PG&E Energy Recovery Fund A-1 1.460% 7/15/2033
PG&E Energy Recovery Fund A-2 2.280% 1/15/2038
PG&E Energy Recovery Fund A-3 2.822% 7/15/2048
5.000% Perp NC5 (PFD)
3.250% 11/01/2051 (30yr Green Bond)
3.250% 1/15/2082
2.25% 6/15/2023
3.750% 9/15/2051
2.550% 4/15/2031
3.450% 4/15/2051
Multiple-Tranche Debt Offering
IPO
1.367% 3/10/2023
3.250% 6/1/2032
4.200% 6/1/2041
0.950% 3/15/2026
3.000% 3/1/2051
2.250% due 6/1/30
2.950% due 2/1/51
Multiple-Tranche Debt Offering
0.900% 9/15/2025
2.450% 6/01/2030
1.750% 1/15/2031
4.850% Notes due 2032
4.162% Notes due 2025
NRMLT 2022-NQM3 (Various Tranches)
FRN due 2026
4.488% Notes due 2026
4.751% Notes due 2033
CSMC 2022-NQM3 (Various Tranches)
4.210% Notes due 2028
3.908% Notes due 2026
FRN due 2026
4.611% Notes due 2053
Synchrony Card Issuance Trust SYNIT 2022-A1
FRN due 2025
3.700% Notes due 2025
3.500% Notes due 2025
3.650% Notes due 2027
3.850% Notes due 2029
3.900% Notes due 2032
4.350% Notes due 2042
4.400% Notes due 2052
4.500% Notes due 2027
3.218% Notes due 2025
FRN due 2025
CSMC 2022-NQM2 (Various Tranches)
3.785% Notes due 2033
NRMLT 2022-INV1 (Various Tranches)
FRN due 3/08/2024
2.350% Notes due 2024
2.800% Notes due 2027
3.200% Notes due 2032
NRMLT 2022-NQM2 (Various Tranches)
5.125% Notes due 2052
3.35% Notes due 2033
CSMC 2022-ATH1 (Various Tranches)
AMSR 2022-SFR1 (Various Tranches)
2.630% Notes due 2026
FRN due 2026
3.070% Notes due 2028
FRN due 2028
2.595% Notes due 2026
FRN due 2026
2.947% Notes due 2028
FRN due 2028
US Bancorp 4.50% $25 Par Perp NC5 Pfd (PFD)
1.746% Notes due 2026
2.203% Notes due 2028
2.623% Notes due 2033
NRMLT 2022-NQM1 (Various Tranches)
4.750% PFD
NRMLT 2022-NQM1 (Various Tranches)
CSMC 2022-NQM1 (Various Tranches)
NRMLT 2022-SFR1 (Various Tranches)
2.943% 1/21/2033 (11NC10)
FRN 1/25/2026
2.014% 1/25/2026
1.600% 1/21/2025
FRN 1/21/2025
2.050% 1/21/2027
FRN 1/21/2027
2.341% 1/19/2028 (6NC5)
2.852% 1/19/2033 (11NC10)
1.450% 1/14/2025
FRN 4/6/2024
2.746% 2/11/2033
3.179% 2/11/2043
1.200% 12/15/2023
FRN 12/01/2025
1.561% 12/01/2025
1.530% 12/06/2025 (4NC3)
2.100% 2/25/2032
3.250% 12/15/2051
NZES 2021-GNT1
3.300% 11/23/2026
CSMC 2021-INV2 (Various Tranches)
3.330% 11/24/42 (21NC20)
3.850% 12/22/2051
AMXCA 2021-1
1.100% 11/12/2024
1.700% 11/12/2026
0.962% 11/8/2023
FRN 11/8/2023
CSMC 2021-NQM7 (Various Tranches)
20,000,000 Units (IPO)
4.300% Notes due 2027
4.150% Notes due 2032
3.900% Notes due 2032
4.150% Notes due 2053
4.300% Notes due 2062
2.850% Notes due 2027
1.750% 9/01/2026
2.375% 3/15/2032
3.030% 3/15/2052
2.000% 9/16/2031 (10yr Sustainability Bond)
1.900% 9/01/2031
2.820% 9/01/2051
2.375% 5/20/2031
3.200% 5/20/2041
3.550% 5/20/2061
0.450% 5/04/2029 (Euro)
0.950% 5/04/2033 (Euro)
1.950% 2/01/2024
2.750% 2/01/2026
3.350% 9/01/2025
4.508% 5/01/2023
4.875% 5/01/2025
5.040% 5/01/2027
4.625% 6/01/2025
Multiple-Tranche Debt Offering
2.900% 12/01/2026
2.200% 9/01/2024
2.500% 9/01/2029
3.400% 9/01/2049
2.500% 9/01/2024
2.700% 2/01/2027
2.875% 6/01/2022
1.700% 6/10/2027
1.900% 12/10/2028
2.150% 12/10/2031
2.750% 12/10/2051
2.900% 12/10/2061
2.450% 12/14/2031
3.150% 12/14/2041
0.300% 11/10/2029 (8yr Euro)
1.950% 10/21/2031
2.625% 10/21/2041
2.750% 10/21/2051
Tender Offer
1.050% 9/17/2026 (5yr)
1.500% 9/22/2028 (7yr)
1.800% 9/22/2031 (10yr Sustainability Bond)
2.500% 9/22/2041 (20yr)
2.650% 9/22/2051 (30yr)
0.500% 9/14/2033 (12yr Euro Green Bond)
1.125% 9/14/2051 (30yr Euro)
1.375% 9/14/2061 (40yr Euro)
0.500% 9/14/2023 (22yr Sterling)
14,000,000 Shares
(Follow-On Offering)
2.250% 1/05/2032
2.875% 5/04/2041
4.125% 4/30/2028 (USD)
2.875% 4/30/2028 (EURO)
5.125% 4/30/2031 (USD)
0.250% 3/17/2028 (Euro)
0.750% 3/17/2033 (Euro)
1.375% 3/17/2028 (Euro)
1.500% 3/5/2028
2.000% 3/5/2031
3.000% 3/5/2051
Multiple-Tranche Debt Offering
2.443% 10/01/2050
0.400% 10/07/2023
IPO
1.000% 3/15/2028
1.375% 3/15/2031
2.500% 3/15/2051
2.250% 5/15/2050
2.500% 9/15/2060
2.415% 6/01/2050
2.815% 6/01/2070
3.950% 1/15/2050
4.000% Notes due 2029
4.200% Notes due 2032
6.375% Notes due 2062
4.400% Notes due 2033
5.250% Notes due 2053
5.500% Notes due 2063
2.000% 11/18/2031
Tender Offer
VZMT 2021-1 (Various Tranches)
28,500,000 Shares (IPO)
36,842,106 Shares (IPO)
1.400% 8/05/2028
1.700% 8/05/2031
2.700% 8/05/2051
2.850% 8/05/2061
0.625% 3NC1 7/15/2024
1.50% 7/15/2028
1.95% 7/15/2031
2.70% 7/15/2041
2.90% 7/15/2051
3.05% 7/15/2061
Follow-On Offering
4.500% 6/01/2033
4.500% 6/01/2033
Follow On
Convert PFD
Multiple-Trache Debt Exchange Offering
0.900% 3/25/2024
FRN 3/25/2024
1.700% 3/25/2026
SPAC IPO
2.625% 4/15/2026
3.375% 4/15/2029
3.500% 4/15/2031
0.375% 3/22/2029
0.750% 3/22/2032
1.125% 9/19/2035
Multiple-Tranche Debt Offering
Freddie Mac
K-Deal Multifamily Securitization
K-505
Federal Home Loan Bank
Global Notes
3130AWN63
Freddie Mac
Credit Risk Transfer (STACR)
2023-HQA2
Freddie Mac
Multifamily Small Balance Securitization
SB106
Freddie Mac
K-Deal Multifamily Securitization
KF157
Freddie Mac
Tax-Exempt Multifamily Sustainability Bonds
ML-16
Federal Home Loan Bank
Global Notes
3130AWER7
Freddie Mac
K-Deal Multifamily Securitization
KJ45
Freddie Mac
Multifamily Small Balance Securitization
SB105
Freddie Mac
Tax-Exempt Multifamily Sustainability Bonds
ML-15
Fannie Mae
CAS Tender Offer
CAS Tender 23-1
Freddie Mac
K-Deal Multifamily Securitization
K-156
Freddie Mac
Credit Risk Transfer (STACR)
2023-DNA2
Freddie Mac
K-Deal Multifamily Securitization
K-155
IBRD
Benchmark Notes
459058KT9
Federal Home Loan Banks
5-Tranche Floating-Rate Notes due 2023 and 2024
FHLB
Floating Rate Global
3130AVES7
FHLB
Floating Rate Global
3130AVER9
FHLB
Floating Rate Global
3130AVEQ1
FHLB
Floating Rate Global
3130AVEP3
K-G03 Green Multifamily Structured Certificates
GeMS 2020-M20 Green Multifamily Structured Certificates
K-G01 Green Multifamily Structured Certificates