Announcement
on the issue of HUF denominated domestic public bonds
As of 1st December 2021 MFB Hungarian Development Bank Private Limited Company (MFB Zrt.) issued the following bonds:
|
MFB202301/1 Bond (Tranche No. 2) |
MFB202810/1 Bond (Tranche No. 2) |
ISIN |
HU0000360888 |
HU0000360912 |
Auction date |
29 November 2021 |
29 November 2021 |
Settlement date |
01 December 2021 |
01 December 2021 |
Next coupon date |
25 January 2023 |
22 October 2022 |
Maturity date |
25 January 2023 |
22 October 2028 |
Coupon |
2.0 per cent fixed |
3.90 per cent fixed |
Average yield |
4.02 per cent p.a. |
4.76 per cent p.a. |
Coupon frequency |
annually |
annually |
Issue size |
HUF 23,956,000,000.00 |
HUF 23,495,000,000.00 |
Listing |
Budapest Stock Exchange |
Budapest Stock Exchange |
Dealers |
· Erste Bank Hungary Ltd.; · ING Bank N.V. Hungary Branch; · MKB Bank Plc.; · MTB Bank of Hungarian Savings Cooperatives Co. Ltd.; · OTP Bank Plc.; · Raiffeisen Bank Hungary; · UniCredit Bank Hungary Ltd. |
· Erste Bank Hungary Ltd.; · ING Bank N.V. Hungary Branch; · MKB Bank Plc.; · MTB Bank of Hungarian Savings Cooperatives Co. Ltd.; · OTP Bank Plc.; · Raiffeisen Bank Hungary; · UniCredit Bank Hungary Ltd. |
The current disclosure is made on the basis of the stipulations concerning extraordinary disclosure of information of the Hungarian Act No CXX of 2001 on the Capital Market.
Budapest, 1 December 2021
MFB Hungarian Development Bank Private Limited Company