Recent issuer and market updates.
Updates(58)
- 2026-01-06 — Sequans Communications S.A. — Disclosure terms — Jul 2028 secured convertible; 3-year maturity; conversion price set at USD 21 per share.Source
- 2025-11-21 — H100 Group AB — Converted SEK 122.5M — Partial conversion SEK 122.5M of Tranche 7; SEK 219.8m remains outstanding.Source
- 2025-11-04 — Sequans Communications S.A. — Redemption 50% of convertible debt — Redeemed USD 94.5M of outstanding convertibles using proceeds from sale of 970 BTC.Source
- 2025-10-03 — Nakamoto Inc. — Redemption USD 200M — Aug 2028 convertible; full issuer-initiated redemption.Source
- 2025-10-03 — Nakamoto Inc. — Issued USD 203M — Secured loan.Source
- 2025-08-15 — H100 Group AB — Tranches 1–5 fully converted — Company confirms all remaining balances in Tranches 1–5 converted to equity.Source
- 2025-08-15 — Nakamoto Inc. — Issued USD 200M — Aug 2028 convertible; 3-year maturity; conversion price USD 2.80; coupon 0.0% first 2 years, 6% in year 3.Source
- 2025-08-08 — MARA Holdings Inc. — Issued USD 75M — Aug 2032 convertible purchasers' option; 7-year maturity; conversion price USD 20.26; 0.0% coupon.Source
- 2025-08-04 — Capital B SA — Issued EUR 6.5M — A-05 convertible; 5-year maturity; conversion price EUR 3.66; 0.0% coupon.Source
- 2025-07-28 — MARA Holdings Inc. — Issued USD 950M — Aug 2032 convertible; 7-year maturity; conversion price USD 20.26; 0.0% coupon.Source
- 2025-07-09 — H100 Group AB — Issued SEK 342.3M — Tranche 7 convertible; 5-year maturity; conversion price SEK 8.48; 0.0%.Source
- 2025-07-07 — Sequans Communications S.A. — Issued USD 189M — Jul 2028 secured convertible; conversion terms not disclosed.Source
- 2025-07-01 — Capital B SA — Issued EUR 5M — B-04 convertible; 5-year maturity; conversion price EUR 5.174; 0.0% coupon; Bitcoin denominated.Source
- 2025-07-01 — Capital B SA — Issued EUR 5M — A-04 convertible; 5-year maturity; conversion price EUR 5.174; 0.0% coupon.Source
- 2025-06-30 — Metaplanet Inc. — Issued JPY 30B — 19th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-06-19 — H100 Group AB — Issued SEK 90.36M — Tranche 5 convertible; 5-year maturity; conversion price SEK 5.00; 0.0% coupon.Source
- 2025-06-16 — Metaplanet Inc. — Issued USD 210M — 18th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-06-12 — H100 Group AB — Issued SEK 127.1M — Tranches 2–4 triggered; all Tranches 1–4 converted at SEK 1.75–3.84.Source
- 2025-06-12 — Capital B SA — Issued EUR 2.4M — B-02 convertible-c; 5-year maturity; conversion price EUR 0.707; 0.0% coupon; Bitcoin denominated.Source
- 2025-06-12 — Capital B SA — Issued EUR 6M — A-03 convertible; 5-year maturity; conversion price EUR 6.24; 0.0% coupon; subscription date was 06-10.Source
- 2025-06-11 — H100 Group AB — Issued SEK 31.35M — Tranche 1 convertible; 5-year maturity; conversion price SEK 1.75; 0.0% coupon.Source
- 2025-05-29 — Metaplanet Inc. — Issued USD 21M — 17th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-05-28 — Metaplanet Inc. — Issued USD 50M — 16th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-05-26 — Capital B SA — Issued EUR 58.3M — B-02 convertible-b; 5-year maturity; conversion price EUR 0.707; 0.0% coupon; Bitcoin denominated.Source
- 2025-05-26 — Capital B SA — Issued EUR 4.6M — B-03 convertible; 5-year maturity; conversion price EUR 3.809; 0.0% coupon; Bitcoin denominated; Half-year report updates principal.Source
- 2025-05-26 — Capital B SA — Issued EUR 1.5M — A-02 convertible-b; 5-year maturity; conversion price EUR 0.707; 0.0% coupon; exact maturity date uncertain.Source
- 2025-05-25 — H100 Group AB — Issued SEK 21M — Jun 2028 convertible: 3-year maturity; conversion price SEK 1.30; 0.0% coupon.Source
- 2025-05-13 — Metaplanet Inc. — Issued USD 15M — 15th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-05-12 — Capital B SA — Issued EUR 12.1M — B-02 convertible-a; 5-year maturity; conversion price EUR 0.707; 0.0% coupon; Bitcoin denominated.Source
- 2025-05-09 — Metaplanet Inc. — Issued USD 21.25M — 14th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-05-07 — Metaplanet Inc. — Issued USD 25M — 13th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-05-02 — Metaplanet Inc. — Issued JPY 3.6B — 12th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-04-16 — Metaplanet Inc. — Issued USD 10M — 11th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-03-31 — Metaplanet Inc. — Issued JPY 2B — 10th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-03-18 — Metaplanet Inc. — Issued JPY 2B — 9th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-03-12 — Metaplanet Inc. — Issued JPY 2B — 8th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-03-06 — Capital B SA — Issued EUR 47.6M — B-01 convertible; 5-year maturity; conversion price EUR 0.544; 0.0% coupon; Bitcoin denominated.Source
- 2025-03-06 — Capital B SA — Issued EUR 1M — A-01 convertible; 5-year maturity; conversion price EUR 0.544; 0.0% coupon.Source
- 2025-02-27 — Metaplanet Inc. — Issued JPY 2B — 7th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2025-02-24 — Strategy Inc. — Issued USD 2B — Mar 2030 convertible-b; 5-year maturity; conversion price USD 433.43; 0.0% coupon.Source
- 2025-02-10 — Metaplanet Inc. — Issued JPY 4B — 6th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2024-12-20 — Metaplanet Inc. — Issued JPY 5B — 5th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2024-12-17 — Metaplanet Inc. — Issued JPY 4.5B — 4th series Ordinary bonds; 6-month maturity; 0.0% coupon.Source
- 2024-12-10 — MARA Holdings Inc. — Issued USD 75M — Jun 2031 convertible purchasers' option; 6.5-year maturity; conversion price USD 34.58; 0.0% coupon.Source
- 2024-12-04 — MARA Holdings Inc. — Issued USD 850M — Jun 2031 convertible; 6.5-year maturity; conversion price USD 34.58; 0.0% coupon.Source
- 2024-11-21 — Strategy Inc. — Issued USD 3B — Dec 2029 convertible; 5-year maturity; conversion price USD 672.40; 0.0% coupon.Source
- 2024-11-21 — MARA Holdings Inc. — Issued USD 1.0B — Mar 2030 convertible; 6-year maturity; conversion price USD 25.91; 0.0% coupon.Source
- 2024-11-18 — Metaplanet Inc. — Issued JPY 1.75B — 3rd series Ordinary bonds; 1-year maturity; 0.36% coupon.Source
- 2024-09-20 — Strategy Inc. — Issued USD 1.01B — Sep 2028 convertible; 4-year maturity; conversion price USD 183.19; 0.625% coupon.Source
- 2024-08-14 — MARA Holdings Inc. — Issued USD 300M — Sep 2031 convertible; 7-year maturity; conversion price USD 18.89; 2.125% coupon.Source
- 2024-06-24 — Metaplanet Inc. — Issued JPY 1B — 2nd series ordinary bonds; 1-year maturity; 0.5% coupon.Source
- 2024-06-20 — Strategy Inc. — Issued USD 800M — Jun 2032 convertible; 8-year maturity; conversion price USD 204.33; 2.25% coupon.Source
- 2024-03-19 — Strategy Inc. — Issued USD 603.7M — Mar 2031 convertible; 7-year maturity; conversion price USD 232.70; 0.875% coupon.Source
- 2024-03-11 — Strategy Inc. — Issued USD 800M — Mar 2030 convertible-a; 6-year maturity; conversion price USD 149.77; 0.625% coupon.Source
- 2021-11-24 — MARA Holdings Inc. — Issued USD 97.5M — Dec 2026 convertible purchasers' option; 5-year maturity; conversion price USD 76.17; 1.0% coupon.Source
- 2021-11-15 — MARA Holdings Inc. — Issued USD 650M — Dec 2026 convertible; 5-year maturity; conversion price USD 76.17; 1.0% coupon.Source
- 2021-02-19 — Strategy Inc. — Issued USD 1.05B — Feb 2027 convertible; 6-year maturity; conversion price USD 143.25; 0.0% coupon.Source
- 2020-12-11 — Strategy Inc. — Issued USD 650M — Dec 2025 convertible; 5-year maturity; conversion price USD 39.80; 0.75% coupon.Source