Our comprehensive fixed income product suite facilitates the execution of primary market transactions - from origination to settlement work flows – allowing efficient collaboration between issuers, banks and investors. Our data offerings provide superior intelligence for successful engagement in the secondary markets.
Issuer View gives issuers direct access to the live orderbook during deal execution.
- Complements the FI product suite being used by syndicate, including IssueBook and IssueNet
- Allows issuers and underwriting banks to discuss deal progress with reference to the same information, and avoids the banks having to send regular updated excel spreadsheets and order updates