 |
LATEST BOND ISSUES |
|
|
| 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 |
Daily Indexes
| Show other indexes |
| Show other indexes |
Viewing the following indexes is possible for Cbonds subscribers after the proprietor’s authorization (JP Morgan). You are welcome to request authorization here.
|
Ñêîðîñòü: 0.034554004669189
|
|