MUFG Securities
Home > Home > Home

MUFG Securities offers a comprehensive product suite to clients around the world through five key business lines in the primary and secondary markets: capital markets, credit, rates, equities and structured products.

In the primary market, the Capital Markets Group originates and underwrites debt and equity financing transactions through the business’s global platform. The Capital Markets Group focuses on debt, investment grade, high yield and equity capital markets, as well as convertible bonds, liability management, ratings advisory and derivative solutions. The Structured Products Group provides primary asset-backed securities and collateralized loan obligation services in the United States (US) and structured financing and products in the Europe, Middle East and Africa (EMEA) and Asia-Pacific (including Japan) regions.

With market experience around the globe, the trading desks, sales teams and research analysts support institutional clients with the distribution of primary products and trade execution. The business offers trading capabilities in three areas: credit, investment grade and high yield; rates, US treasuries and derivatives; and equities, convertibles and structured products.

Committed to a client first approach
Becton, Dickinson and Company
USD 9.7 billion
Notes due 2019, 2020, 2022, 2024, 2027, 2047
FRN due 2022
JPY 85 billion
Notes due 2024
Alimentation Couche-Tard
USD 2.5 billion
Notes due 2022, 2027, 2047
AES Southland Energy
USD 1.5 billion
Senior Secured Notes due 2040
Mexichem SAB de CV
USD 1 billion
Notes due 2027, 2048
EUR 3.5 billion
Hybrid Perp NC5.5
Hybrid Perp NC10
USD 3 billion
Notes due 2029, 2047
BHP Billiton
USD 2.9 billion
Bond Repurchase Plan
5x EUR, 1x GBP, 3x USD Notes
EUR 2 billion
Notes due 2023, 2029, 2037
London Stock Exchange
EUR 1 billion
Notes due 2024, 2029
Coca-Cola Icecek
USD 500 million
Notes due 2024
USD 2.1 billion; EUR 1 billion
USD Notes due 2022, 2027, 2047
EUR Notes due 2023
USD 2 billion
Notes due 2020, 2022
FRN due 2022
EUR 500 million
Notes due 2027
Rural Electrification Corp
USD 450 million
Notes due 2027