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Bond Issues: Eurobonds Hungary, 2004 (DE0003088258)

Issue information:

• Issuer, issue number: Hungary, 2004
• Income calculation:
Enter issue price %
• Type of debt instrument: Eurobonds
• Type of bonds: Coupon bonds
• Issue status: redeemed
• Type of placement: public
• Par, minimum denomination: USD, 100 000.0
• Par, integral multiple: USD, 1 000.0
• Amount: 500 000 000
• ISIN RegS: DE0003088258
• Bloomberg code (BBGID): BBG000M1WLB8
• End of placement: Jun 21 1999
• Coupon: 4.250%
• Coupon frequency: 2 time(s) per year
• Settlement Date: Jun 21 1999
• Maturity date: Jun 21 2004
• Issue Managers: Deutsche Bk
• Listing: SIX Swiss Exchange

Borrower:

• Issuer:Hungary
• Full issuer name:Republic of Hungary
• Country:Hungary
• Region:Eastern Europe
• Web site:http://www.akk.hu
• Other issues of the issuer (including related companies issues):  Hungary, 2041 - Eurobonds
 Hungary, 2017-2 - Eurobonds
 Hungary, 2018 - Eurobonds
 Hungary, 2014-3 - Eurobonds
 Hungary, 2019, EUR - Eurobonds
All issues of the issuer
Issuer ratings: » rating history

Moody's Investors Service Ba1/Stable Int. Scale (foreign curr) 24.11.2011
Moody's Investors Service Ba1/Negative Int. Scale (loc. curr.) 24.11.2011
Standard & Poor's BB+/Negative Int. Scale (foreign curr.) 21.12.2011
Standard & Poor's BB+/Negative Int. Scale (loc. curr.) 21.12.2011
Fitch Ratings BB+/Negative Int. Scale (foreign curr.) 06.01.2012

Complete profile

Payment schedule:

# Date Coupon, % p.a. Coupon size, USD Par redemption, USD
1 21.12.1999 4.25 2125
2 21.06.2000 4.25 2125
3 21.12.2000 4.25 2125
4 21.06.2001 4.25 2125
5 21.12.2001 4.25 2125
6 21.06.2002 4.25 2125
7 21.12.2002 4.25 2125
8 21.06.2003 4.25 2125
9 21.12.2003 4.25 2125
10 21.06.2004 4.25 2125 100 000.0

COMMENTS:

29.07.04 Commerzbank AG: Hungary: Value zone - short duration HUF bonds (Hungary) EURO|BONDS





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