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Republic of Hungary - Issuer's card
INFORMATION
Country:Hungary
 


HUNGARY BOND MARKET NEWS
27.04.12 Commerzbank EM Country Briefing - Hungary: Master stroke by the government?
21.03.12 The Hungarian crisis
12.03.12 The Budapest Times: Alternatives to EU/IMF deal simply out of the question
25.01.12 Commerzbank EM Country Briefing - Hungary: Brief pause or end of tightening?
20.01.12 Hungary pins hopes on quick ˆ9bn comeback
 View all news

ANALYTICS
21.05.12: Central European Weekly
16.05.12: Emerging Markets Briefer
11.05.12: EMEA Bi-Weekly - Central banks on overdrive?
11.05.12: EMEA Weekly - Poland dominates EMEA agenda
08.05.12: Central European Weekly
All analytics

SOVEREIGN RATING
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
 sovereign rating

 Bonds 

Outstanding bond issues:

sovereign sector
9 issue(s) outstanding worth EUR 9 500 000 000
4 issue(s) outstanding worth USD 7 750 000 000
2 issue(s) outstanding worth CHF 350 000 000
3 issue(s) outstanding worth JPY 120 000 000 000
3 issue(s) outstanding worth GBP 1 500 000 000

corporate sector
12 issue(s) outstanding worth EUR 5 642 000 000



LATEST BOND ISSUES
Issues ISIN Coupon Volume End of placement Maturity date
OTP Bank, 2014-2, EUR (FRN, MBS) XS0704606291  3M Euribor+5.25%  750000000  14.11.2011  14.11.2014 
OTP Bank, 2014, EUR (FRN, CB) XS0659366156  3M EURIBOR + 3.00%  750000000  03.08.2011  10.08.2014 
Nitrogenmuvek, 2013, EUR (Step-up) XS0653648161  11.5% until 29/01/2012, credit-related step-up then applies  50000000  22.07.2011  29.01.2013 
Hungarian Development Bank, 2016, EUR XS0632248802  5.875%  500000000  24.05.2011  31.05.2016 
Hungary, 2019, EUR XS0625388136  6.0%  1000000000  04.05.2011  11.01.2019 
Hungary, 2041 US445545AF36  7.625%  1250000000  06.04.2011  29.03.2041 
Hungary, 2021 US445545AE60  6.375%  3000000000  24.03.2011  29.03.2021 
Magyar Telekom, 2016 XS0473176658  9.50%  425000000  23.03.2011  15.12.2016 
MOL, 2017 XS0503453275  5.875%  750000000  13.04.2010  20.04.2017 
Hungary, 2020-2 US445545AD87  6.250%  2000000000  26.01.2010  29.01.2020 



INDEXES


JP Morgan

Daily Indexes

Type: 24.05.2012 23.05.2012 22.05.2012 21.05.2012 18.05.2012 17.05.2012 16.05.2012
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