Hungarian State
- Introduction
- Trading data
- Publications
- Product features
| Full Name | Hungarian State |
| Short name | Hungarian State |
| Sector | |
| Contact |
HU-1051 Budapest, József nádor tér 2-4.
Phone: +36-1-795-1400
Fax: +36-1-318-2570
Web: www.ngm.gov.hu
|
| Investor Relations | |
| Auditor | |
| Business activity | |
| Listed securities of the issuer |
| Basic Information | |
|---|---|
| Ticker | B270222K22 |
| ISIN | XS2558594391 |
| Date of listing | 16 Dec 2022 |
| Currency of trading | EUR |
| Face Value | 1,000 EUR |
| Number of securities listed | 1,000,000 |
| P/BV | |
|---|---|
| P/BV* | N/A |
* Calculating based on the capitalisation of the actual series only
| Performance | |
|---|---|
* annualized yield
Note: Publications of this issuer are available in Hungarian only.
| Name of security | Hungary 5,000% Feb27 GRN Eur bond |
| Issuer | Hungarian State |
| Type of security | Registered |
| Form of security | Dematerialised |
| Code of security (ISIN) | XS2558594391 |
| Ticker symbol | B270222K22 |
| Face value | 1,000 EUR |
| Number of securities listed | 1,000,000 |
| Listing date | 16 Dec 2022 |
| First Trading Day | 16 Dec 2022 |
| Trading Unit | |
| Currency of trading | % |
| Trading time | |
| Listing price | 98.774 |
| Maturity | 4 years, 3 months |
| Date of Issue | 21 Nov 2022 |
| Maturity Date | 22 Feb 2027 |
| Interest Type | Fixed |
| Interest Rate | 5% |
| Interest Payment Dates | 22.02.2024., 22.02.2025., 22.02.2026., 22.02.2027. |
| Capital repayment | In a lump sum at expiry |
| Green product | Yes |
| Greenbond-standard | Green Bond Principles (GBP) |
| Issuer of the certification | CICERO Shades of Green |
| Start date | 21 Nov 2022 |
| End date | 22 Feb 2027 |