February 20, 2020

There was something of a mysterious announcement from DBRS today:

DBRS Limited (DBRS Morningstar) assigned a provisional rating of BBB (low) with a Stable trend to Brookfield Renewable Partners L.P.’s (BEP) up to USD 200 million Class A Preferred Limited Partnership Units (U.S.), Series 17 (the Series 17 Preferred Units).

Series 17 units aren’t mentioned on the company’s website or on Globe Newswire. Is there an announcement planned for the near future?

HIMIPref™ Preferred Indices
These values reflect the December 2008 revision of the HIMIPref™ Indices

Values are provisional and are finalized monthly
Index Mean
Current
Yield
(at bid)
Median
YTW
Median
Average
Trading
Value
Median
Mod Dur
(YTW)
Issues Day’s Perf. Index Value
Ratchet 0.00 % 0.00 % 0 0.00 0 -1.0454 % 2,052.1
FixedFloater 0.00 % 0.00 % 0 0.00 0 -1.0454 % 3,765.5
Floater 5.96 % 6.13 % 49,812 13.63 4 -1.0454 % 2,170.1
OpRet 0.00 % 0.00 % 0 0.00 0 0.0459 % 3,491.3
SplitShare 4.75 % 3.98 % 42,079 3.65 6 0.0459 % 4,169.4
Interest-Bearing 0.00 % 0.00 % 0 0.00 0 0.0459 % 3,253.1
Perpetual-Premium 5.54 % 0.22 % 56,234 0.09 12 0.0459 % 3,075.9
Perpetual-Discount 5.17 % 5.20 % 69,206 14.97 24 -0.1743 % 3,377.5
FixedReset Disc 5.49 % 5.41 % 172,273 14.75 64 0.0008 % 2,184.0
Deemed-Retractible 5.08 % 5.18 % 73,718 14.93 27 0.0461 % 3,289.5
FloatingReset 5.98 % 6.06 % 58,901 13.80 3 0.2183 % 2,560.5
FixedReset Prem 5.07 % 3.40 % 135,089 1.42 22 0.0638 % 2,663.4
FixedReset Bank Non 1.93 % 3.44 % 77,807 1.89 3 -0.0949 % 2,752.4
FixedReset Ins Non 5.31 % 5.39 % 104,531 14.66 22 0.2776 % 2,208.1
Performance Highlights
Issue Index Change Notes
BAM.PR.K Floater -3.72 % YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 11.12
Evaluated at bid price : 11.12
Bid-YTW : 6.32 %
EMA.PR.E Perpetual-Discount -3.02 % YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 21.82
Evaluated at bid price : 21.82
Bid-YTW : 5.19 %
TRP.PR.B FixedReset Disc -1.80 % YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 11.44
Evaluated at bid price : 11.44
Bid-YTW : 5.89 %
BAM.PF.J FixedReset Prem -1.19 % YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 23.40
Evaluated at bid price : 25.00
Bid-YTW : 4.72 %
EMA.PR.C FixedReset Disc -1.09 % YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 18.20
Evaluated at bid price : 18.20
Bid-YTW : 5.78 %
HSE.PR.C FixedReset Disc -1.02 % YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 17.50
Evaluated at bid price : 17.50
Bid-YTW : 6.65 %
EMA.PR.F FixedReset Disc 1.07 % YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 17.93
Evaluated at bid price : 17.93
Bid-YTW : 5.71 %
BIK.PR.A FixedReset Prem 1.11 % YTW SCENARIO
Maturity Type : Call
Maturity Date : 2024-03-31
Maturity Price : 25.00
Evaluated at bid price : 26.42
Bid-YTW : 4.57 %
TRP.PR.E FixedReset Disc 1.22 % YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 16.58
Evaluated at bid price : 16.58
Bid-YTW : 5.70 %
MFC.PR.M FixedReset Ins Non 1.80 % YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 18.10
Evaluated at bid price : 18.10
Bid-YTW : 5.28 %
Volume Highlights
Issue Index Shares
Traded
Notes
TD.PF.E FixedReset Disc 84,967 YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 19.85
Evaluated at bid price : 19.85
Bid-YTW : 5.38 %
PVS.PR.D SplitShare 84,500 YTW SCENARIO
Maturity Type : Hard Maturity
Maturity Date : 2021-10-08
Maturity Price : 25.00
Evaluated at bid price : 25.33
Bid-YTW : 3.55 %
BNS.PR.Z FixedReset Bank Non 73,625 YTW SCENARIO
Maturity Type : Hard Maturity
Maturity Date : 2022-01-31
Maturity Price : 25.00
Evaluated at bid price : 24.51
Bid-YTW : 3.53 %
TD.PF.A FixedReset Disc 69,122 YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 17.45
Evaluated at bid price : 17.45
Bid-YTW : 5.25 %
IFC.PR.I Perpetual-Premium 65,240 YTW SCENARIO
Maturity Type : Call
Maturity Date : 2029-03-31
Maturity Price : 25.00
Evaluated at bid price : 25.17
Bid-YTW : 5.34 %
BIP.PR.F FixedReset Disc 59,615 YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 22.25
Evaluated at bid price : 22.83
Bid-YTW : 5.64 %
There were 30 other index-included issues trading in excess of 10,000 shares.
Wide Spread Highlights
Issue Index Quote Data and Yield Notes
MFC.PR.K FixedReset Ins Non Quote: 18.15 – 19.00
Spot Rate : 0.8500
Average : 0.4639

YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 18.15
Evaluated at bid price : 18.15
Bid-YTW : 5.29 %

MFC.PR.F FixedReset Ins Non Quote: 12.70 – 13.46
Spot Rate : 0.7600
Average : 0.4850

YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 12.70
Evaluated at bid price : 12.70
Bid-YTW : 5.49 %

BAM.PF.J FixedReset Prem Quote: 25.00 – 25.40
Spot Rate : 0.4000
Average : 0.2361

YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 23.40
Evaluated at bid price : 25.00
Bid-YTW : 4.72 %

BAM.PR.K Floater Quote: 11.12 – 11.61
Spot Rate : 0.4900
Average : 0.3423

YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 11.12
Evaluated at bid price : 11.12
Bid-YTW : 6.32 %

CU.PR.G Perpetual-Discount Quote: 22.00 – 22.50
Spot Rate : 0.5000
Average : 0.3562

YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 22.00
Evaluated at bid price : 22.00
Bid-YTW : 5.14 %

TRP.PR.B FixedReset Disc Quote: 11.44 – 12.00
Spot Rate : 0.5600
Average : 0.4262

YTW SCENARIO
Maturity Type : Limit Maturity
Maturity Date : 2050-02-20
Maturity Price : 11.44
Evaluated at bid price : 11.44
Bid-YTW : 5.89 %

2 Responses to “February 20, 2020”

  1. bob-from-uts says:

    RE: mysterious announcement from DBRS about BEP.

    It’s U.S. SEC registered:

    https://www.sec.gov/Archives/edgar/data/1533232/000119312520042076/0001193125-20-042076-index.htm

    Canadian backer, Bermudian partnership, US$ and US SEC registered. Assets all over the world. Simple.

  2. jiHymas says:

    It’s U.S. SEC registered:

    https://www.sec.gov/Archives/edgar/data/1533232/000119312520042076/0001193125-20-042076-index.htm

    Good catch. I still find it odd that I can’t find anything about it on the company website, on Global newswire or through a brute-force internet search.

Leave a Reply

You must be logged in to post a comment.