Еврооблигации: Hungarian Development Bank, 6.5% 29jun2028, USD (FIGI RegS BBG01GS440R0, XS2630760796, WKN A3LJB3)
Senior Unsecured
Senior Unsecured
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The Hungarian Development Bank (Hungarian abbreviation: MFB) is a specialised financial institution, which performs its activities in conformity with relevant Hungarian legislation, and the support policy and competition rules of the European Union. Directive 2006/48/EC relating ...
The Hungarian Development Bank (Hungarian abbreviation: MFB) is a specialised financial institution, which performs its activities in conformity with relevant Hungarian legislation, and the support policy and competition rules of the European Union. Directive 2006/48/EC relating to the taking up and pursuit of the business of credit institutions is not applicable to the Bank, therefore part of the prudential rules pertaining to commercial banks are not to be applied to MFB, at the same time the scope of its activities is limited territorially and in some respect functionally as well.
The core function of the Bank is to promote economic development, provide funding for small- and medium-sized businesses, to increase the technological level and the rate of employment, to improve the conditions of the development of energy efficiency, environmental protection and infrastructure taking into account sustainability criteria and to reduce regional disparities. In order to ensure the efficient use of EU funding, MFB with its products helps businesses to improve their absorption capacity.
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Откройте глобальную базу данных
1 000 000
облигаций
80 234
акций
175 659
ETF & Funds
80 000
индексов
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Облигации Hungarian Development Bank серии (ISIN XS2630760796, FIGI BBG01GS440R0) — Hungarian Development Bank, 6.5% 29jun2028, USD выпуск компании «Magyar Fejlesztesi Bank Zrt, (English: MFB Hungarian Development Bank Plc, рус.: Венгерский Банк Развития)» объёмом 1 125 000 000,00 USD в обращении на Cbonds Estimation. Выпуск имеет номинал 200 000 USD USD и входит в Cbonds EM Corporate BBB Duration Index,Cbonds EM Corporate BBB G-spread Index,Cbonds EM Corporate BBB Index TR,Cbonds EM Corporate BBB Price Index,Cbonds EM Corporate BBB T-Spread Index,Cbonds EM Corporate BBB YTM Index,Cbonds EM Corporate IG USD Duration Index,Cbonds EM Corporate IG USD G-spread Index,Cbonds EM Corporate IG USD Index,Cbonds EM Corporate IG USD Price Index,Cbonds EM Corporate IG USD T-spread Index,Cbonds EM Corporate IG USD YTM Index,Cbonds EM Corporate USD Duration Index,Cbonds EM Corporate USD G-spread Index,Cbonds EM Corporate USD Index,Cbonds EM Corporate USD Price Index,Cbonds EM Corporate USD T-spread Index,Cbonds EM Corporate USD YTM Index.
Дата размещения — эмиссия прошла на Cbonds Estimation в формате *** через ***. Погашение запланировано на *** и предусмотрено условиями выпуска без амортизации номинала по графику.
Ставка купона облигации Hungarian Development Bank установлена на уровне ***% годовых и фиксируется по графику купонных периодов.
Купоны выплачиваются ***, дата ближайшей выплаты — . Всего по выпуску предусмотрено 10 купонных периодов, из них выплачено — 0, осталось — 10.
Эмитент — Magyar Fejlesztesi Bank Zrt, (English: MFB Hungarian Development Bank Plc, рус.: Венгерский Банк Развития)/Венгрия/Корпоративный, с рейтингом отMoody's Investors Service(06.12.2024),Fitch Ratings(27.02.2026)
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