Sustainable Information

Official Close 72.696
Official Close Date 24/12/19
Interest Rate
Opening
Last Volume
Total Quantity
Number Trades
Day Low
Day High
Year Low 68.46
Year High 75.25
Legenda
Gross yield to maturity 6.26
Net yield to maturity 5.91
Gross accrued interest 1.1589
Net accrued interest 1.01404
Modified Duration 7.84
Reference price 71.91
Reference price date 20/12/2024
Legenda Data provided by Skipper Informatica Srl
Number Trades: 0   Total Quantity: 0

Instrument Info

Isin Code HU0000404892
Issuer REPUBLIC OF HUNGARY
Guarantor -
Seniority N
Tipology Foreign Public Debt
Bond Structure Plain Vanilla
Outstanding 406,964,520,000
Lot Size 500,000
Negotiation Currency/ Settlement currency HUF/HUF
Market MOT
Clearing/Settlement -/Euroclear and Clearstream Banking Lussemburgo
First Day of Trading 23/04/24
Denomination Hungary Tf 2,25% Gn34 Huf
Instrument ID 981758
Interest Commencement Date 21/01/20
First Coupon Date 21/01/20
Expiry Date 34/06/22
Coupon Frequency Annually
Trading Type Clean
Day Count Convention ACT/ACT (PERIODIC BASIS)
Periodic Coupon Rate 2.25
Annual Coupon Rate 2.25
Payout Description

Quotes, Book, Characteristics and Regulations for the Euro-Bonds Hungary Tf 2,25% Gn34 Huf


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