Asset & Offering Listings

Verified records for investors and market directories

Placing assets onto directories, to list a bond on Bloomberg, Refinitiv or other directories makes them visible to serious investors. This page explains exactly what data to publish, how we verify it, and how we coordinate your cross-posting to Bloomberg and Refinitiv so your listings are consistent, compliant, and discoverable.

What’s included in each listing?

  • Issuer legal name and jurisdiction

  • Instrument type (bond/note), currency, size, coupon, tenor

  • Series/tranche info and use of proceeds (if disclosed)

  • Identifiers: CUSIP/ISIN/LEI

  • Key dates (issue, settlement, maturity, call/put)

  • Listing references (Bloomberg, Refinitiv)

  • Eligibility: DTC, Euroclear, Clearstream, CREST

  • Primary agents (trustee, paying/transfer, placement)

  • Document links (term sheet, offering docs, supplements)

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How we verify and format data

  • We structure the record to meet directory expectations and investor workflows:

  1. Identifier check: We align CUSIP/ISIN against official registries and sync the LEI to the issuer record.
  2. Directory mapping: Fields are normalized to Bloomberg FI and Refinitiv directory schemas.
  3. Clearing eligibility: We confirm DTC/ICSD status before publishing.
  4. Audit trail: All terms reference source documents to avoid drift.

Why list on Bloomberg and Refinitiv

  • Discovery: Portfolio managers screen for new paper by ID, currency, tenor, and yield.
  • Credibility: A coherent entry reduces friction in diligence.
  • Distribution: Directories feed downstream terminals, OMS/EMS, and data vendors.

Listing statuses you’ll see here

  • Active: Currently open or recently issued, live for investor engagement.
  • Closed: Allocations completed; record retained for reference.
  • Archived: Historical entries maintained for traceability.

Let us simplify drafting your investment prospectus

Our simple friendly approach to planning and client comunications makes drafting your investment prospectus and associated docuements quicker and easier.

Sample listing layout (table)

FieldExample
IssuerExample Capital Ltd (UK)
InstrumentSenior Secured Note
Size / CcyUSD 100,000,000
Coupon / Tenor7.25% fixed, 5y
IDsCUSIP, ISIN, LEI
EligibilityDTC, Euroclear
DirectoriesBloomberg: FI , Refinitiv:
DocsTerm Sheet, Offering Circular

What we need from you to publish

  • Final or near-final terms (coupon, tenor, size, currency)
  • Confirmed CUSIP/ISIN and LEI (or engage us to obtain them)
  • Clearance path (DTC/ICSD) and agent details
  • Publicly shareable term sheet or offering document

Compliance & confidentiality

We publish public, non-MNPI fields only. Sensitive data is redacted or omitted. Disclosures follow the private placement rules for the issuing jurisdiction.

Key takeaways

  • Clean identifiers + directory mapping = faster investor discovery.
  • This page is the centralized, verified index of your offerings.
  • If you are looking to list a bond on Bloomberg, we’ll structure and work with with you to publish it correctly, then mirror to other directories, like Refinitiv.

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