Updated on Jan. 31, 2012

Durig's Cash Stock Reviews

Durig's Div. Stock Reviews

Bank CD’s
1.304% mat. 2-08-16

Government Bond
1.885% -/- mat. 6-12-20

Corporate Bond
5.614% Baa2/BBB+ mat. 3-15-17

High Yield Bond
17.748% -/- mat. 12-01-14

New Issue Bonds
(short term bonds)

Foreign/World Bonds:

Australia Bonds
3.640% Aaa/N.A. mat. 2014

Brazil Bonds
7.712% Aaa/AAA mat. 2016

New Zealand Bonds
3.260% Aaa/AAA mat. 2015

Municipal Bonds:

CA Muni Bond
7.308% Baa1/A- mat. 8-01-13

FL Muni Bond
6.654% Baa2/BBB mat. 7-01-18

OR Muni Bond
2.135% -/AA- mat. 7-01-18

WA Muni Bond
2.181% Baa2/- mat. 11-15-18

 

To learn more call:
(877) 359-5319
or e-mail: info@durig.com

 

Bond-Yields.com: Stocks

CYD16.53  chart+0.41
HCII10.17  chart0.00
KHDHF.PK7.01  chart-0.19
LOJN3.33  chart0.00
OIIM5.14  chart+0.15
OPWV2.10  chart-0.01
RSYS7.44  chart+0.05
TBBK8.90  chart+0.43
TSRA20.34  chart+0.74
SGI14.43  chart+0.53
SONS2.73  chart+0.05
MIL8.12  chart+0.16
TA5.55  chart-0.15
DGW0.00  chartN/A

AE38.49  chart-0.25
ELRC18.74  chart+0.77
NTE6.35  chart+0.26
PVD73.21  chart-0.79
TRST5.92  chart+0.18
QBEIF0.00  chartN/A
UVE4.23  chart+0.09
2012-02-03 16:02
*Durig's Stock Picks at Bond-Yields.com are at the top, and bond indexes follow. Read Stock Reviews. **KHD is now TTT & KHDHF.

Bond-Yields.com: Categories

Our low fee service is currently taking indications for these high yielding bonds:

6.3% Yield, US Dollar Yankee Convertible bond: Neo Material, mat. Dec 2017.

If you have interest in the above bonds! Call 877-359-5319 these high yielding bonds could go very quickly.

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New Issue Note Bonds

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Key Resources:
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Below you will find the latest news, a full sheet of this week’s rates and an investment calculator… Now, you have the tools you need to discover the right bond for your portfolio.

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We can help you secure the top rates available. Please contact us to speak with a highly experienced and registered Durig Advisor, who puts your interest first!


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New Issues Update
| InterNotes Prospectuses

Note Offerings News

Note Offering - Google News
©2012 Google

Medical Properties Trust Announces Pricing of $200 Million Aggregate Principal ... - MarketWatch (press release)
Medical Properties Trust Announces Public Offering of $200 Million of Senior ... - MarketWatch (press release)
NuStar sets pricing plan for planned note offering - San Antonio Business Journal
CIT Planning Bond Offering to Help Redeem $2.5 Billion of 'High-Cost Debt' - Bloomberg
Brookfield Renewable Announces $400 Million Medium-Term Note Offering - Marketwire (press release)
KB Home Announces Upsizing and Pricing of Senior Notes Due 2020 - MarketWatch (press release)
Pre-order a Samsung Galaxy Note from Best Buy, get a free flip cover - Android Community
Facebook slates stock offering - Sacramento Bee
CoStar's People of Note (Jan. 29-Feb. 4) - CoStar Group
Aurora Oil & Gas Limited announces pricing of senior notes offering ... - DigitalJournal.com (press release)

New Issue Note Bond Rates Sheet

These Note Bonds were updated on: June 20, 2011. The Disclaimer
Calculate Your Investment
click here.
A separate window will open.

Investment grade new issues closing June 27 include Ford Motr Credit, GE Capital, HSBC Finance, Rabobank Corpoates, Dow Chemical, Royal Bank of Scotland, Westpac Banking, Bank of America  and GE Capital.   Ford credit offers a non-investment grade 2 year 3.00% issue and a 5.75% 10yr closing on June 27. Please note that Ford Credit is rated Ba2/BB-/BB-. See offering docs linked below.

 

Ford Motor Credit Company Ford Credit Notes Ford Motor Credit Company Ford Credit Notes
Ford Credit Notes are rated Ba2/BB-/BB- and include the survivor’s option estate feature.
Cusip Maturity Coupon Payment Callable Yield* Ratings** Trade Date Pricing Supplement
34540TAG7
06/20/13 3.000% Semi NC 3.000% Ba2/BB-/BB- 06/27/11 View disclosure statement as PDF
34540TAH5
06/20/21 5.750% Semi 06/20/12 5.750% Ba2/BB-/BB- 06/27/11 View disclosure statement as PDF
Click To View Prospectus
General Electric Capital Corporation InterNotes General Electric Capital Corporation InterNotes
Cusip Maturity Coupon Payment Callable Yield* Ratings** Trade Date Pricing Supplement
36966TCL4
06/15/24 4.500% Semi NC 4.500% Aa2/AA+/NA 06/27/11 View disclosure statement as PDF
36966TCM2
06/15/34 5.250% Semi NC 5.250% Aa2/AA+/NA 06/27/11 View disclosure statement as PDF
Click To View Prospectus
HSBC Finance Corporation InterNotes HSBC Finance Corporation InterNotes
Cusip Maturity Coupon Payment Callable Yield* Ratings** Trade Date Pricing Supplement
40429XD52
06/15/14 1.850% Semi NC 1.850% A3/A/AA- 06/27/11 View disclosure statement as PDF
Click To View Prospectus
Rabobank Corporates Rabobank Corporates
Cusip Maturity Coupon Payment Callable Yield* Ratings** Trade Date Pricing Supplement
21685WCS4
06/15/16 2.150% Monthly NC 2.160% Aaa/AAA/NA 06/27/11 View disclosure statement as PDF
Click To View Prospectus
SG Structured Products Inc MTNs SG Structured Products Inc MTNs
Cusip Maturity Coupon Payment Callable Yield* Ratings** Trade Date Pricing Supplement
78423AX98
06/30/21 4.750% Monthly NC 4.797% NR/A+/NA 06/27/11 View disclosure statement as PDF
Click To View Prospectus
The Dow Chemical Company InterNotes The Dow Chemical Company InterNotes
Cusip Maturity Coupon Payment Callable Yield* Ratings** Trade Date Pricing Supplement
26054LMJ9
06/15/16 2.700% Semi 06/15/12 2.700% Baa3/BBB/BBB 06/27/11 View disclosure statement as PDF
26054LMK6
06/15/18 3.700% Semi 06/15/12 3.700% Baa3/BBB/BBB 06/27/11 View disclosure statement as PDF
26054LML4
06/15/21 4.400% Semi 06/15/12 4.400% Baa3/BBB/BBB 06/27/11 View disclosure statement as PDF
Click To View Prospectus
The Royal Bank of Scotland plc The Royal Bank of Scotland plc The Royal Bank of Scotland plc The Royal Bank of Scotland plc
Cusip Maturity Coupon Payment Callable Yield* Ratings** Trade Date Pricing Supplement
78011RCM3
12/15/14 2.500% Monthly NC 2.513% Aa3/A+/AA- 06/27/11 View disclosure statement as PDF
Click To View Prospectus
Westpac Banking Corporation Westpac Westpac Banking Corporation Westpac
Cusip Maturity Coupon Payment Callable Yield* Ratings** Trade Date Pricing Supplement
96121BAC1
06/15/16 2.600% Monthly NC 2.614% Aa2/AA/AA 06/27/11 View disclosure statement as PDF
Click To View Prospectus
New Issue Certificates of Deposit (CDs) View All CDs
Bank of America, National Association CDs
Cusip Structure Payment Coupon Maturity APY Restrictions Trade Date Disclosure Statement
06051VWX0
10NC1 STEP Semi STP1 06/28/21 3.800% 06/23/11 View disclosure statement as PDF
1) 2.000% beginning June 28, 2011, 2.500% beginning June 28, 2013, 3.000% beginning June 28, 2015, 4.000% beginning June 28, 2017, 5.000% beginning June 28, 2018, 6.000% beginning June 28, 2019, 8.000% beginning June 28, 2020
GE Capital Financial Inc. GE Capital Financial Inc.
Cusip Structure Payment Coupon Maturity APY Restrictions Trade Date Disclosure Statement
36160YET8
2.5YR Semi 1.050% 12/24/13 1.050% OH, TX 06/22/11 View disclosure statement as PDF

 

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