SQX-logo
SQXlogo
  • My Dashboard
  • Bond Academy
  • Tools
    • Bond Screener
    • Issuer Directory
    • Portfolio Builder
    • Discussion Board
  • Data Partners
‌
‌
  • Home
  • My Dashboard
  • Bond Academy
  • Tools
  • Data Partners
  • LoginCreate a free account
SQX-logo
SQX-white-logo© SQX BONDS. All rights reserved | Privacy Policy | Terms and Conditions | Represent a financial institution? | Customer Support
Visit SQXBonds on linkedinVisit SQXBonds on LinkedInVisit SQXBonds on facebookVisit SQXBonds on LinkedInVisit SQXBonds on instagramVisit SQXBonds on LinkedInVisit SQXBonds on twitterVisit SQXBonds on LinkedInVisit SQXBonds on iplVisit SQXBonds on LinkedIn
  1. Screener
  2. Issuers index
  3. S
  4. Sanders Re III Ltd

Sanders Re III Ltd Bonds

Sanders Re III Ltd, founded in London, serves as a prominent reinsurance entity focused on providing risk management solutions across various sectors. The company specializes in offering life and non-life reinsurance products designed to support insurers in mitigating exposure and enhancing capital efficiency.

Bond NameCountryMaturityCoupon(%)
SANDRE 11.03% 2027-04-07 USDSanders Re III LtdBermuda2027-04-0711.03110.93
SANDRE 11.11% 2027-04-07 USDSanders Re III LtdBermuda2027-04-0711.11310.93
SANDRE 11.15% 2028-04-07 USDSanders Re III LtdBermuda2028-04-0711.1489.96
SANDRE 11.82% 2026-06-05 USDSanders Re III LtdBermuda2026-06-0511.8238.70
SANDRE 12.74% 2025-06-07 USDSanders Re III LtdBermuda2025-06-0712.74312.31
SANDRE 14.75% 2029-04-09 USDSanders Re III LtdBermuda2029-04-0914.75120.02
SANDRE 15.50% 2027-04-07 USDSanders Re III LtdBermuda2027-04-0715.50023.10
SANDRE 15.74% 2029-04-09 USDSanders Re III LtdBermuda2029-04-0915.74320.02
SANDRE 7.49% 2026-04-07 USDSanders Re III LtdBermuda2026-04-077.49320.01
Showing results 1 - 9 of 9
Per page

Company overview and issue history are AI generated, and should not be cited or relied on without verification.

Sanders Re III Ltd issue history

Since its inception, Sanders Re III Ltd has been an active player in the bond market, with its first bond issuance taking place in 2015. Notably, in the wake of significant corporate restructuring in 2020, the firm issued a landmark $500 million bond to strengthen its capital base, which quickly attracted investor interest due to competitive yields of 4.2% amid a challenging environment. The company's bonds are characterized by their callable features, allowing for flexibility in financial management, and they continue to perform well compared to industry averages, reflecting investor confidence in Sanders Re III Ltd's strategic positioning and financial stability.