Bond Hungary 2.25% ( HU0000404892 ) in HUF

Issuer Hungary
Market price refresh price now   98.08 %  ▲ 
Country  Hungary
ISIN code  HU0000404892 ( in HUF )
Interest rate 2.25% per year ( payment 1 time a year)
Maturity 21/06/2034



Prospectus brochure in PDF format

Minimal amount 10 000 HUF
Total amount 15 000 000 000 HUF
Next Coupon 22/06/2027 ( In 258 days )
Detailed description Hungary is a landlocked Central European country with a rich history, vibrant culture influenced by its diverse past, and a burgeoning economy focused on manufacturing and services.

The Bond issued by Hungary ( Hungary ) , in HUF, with the ISIN code HU0000404892, pays a coupon of 2.25% per year.
The coupons are paid 1 time per year and the Bond maturity is 21/06/2034
DateClean price
07/08/2024100.00%
18/11/202366.42%
06/08/202356.07%
13/07/202356.07%
19/06/202356.07%
26/05/202356.07%
02/05/202356.07%
08/04/202356.07%
15/03/202356.07%
21/02/202355.07%
31/01/202357.66%
08/01/202359.58%
17/12/202256.73%
25/11/202257.02%
03/11/202247.20%
14/10/202262.81%
23/09/202262.81%
02/09/202262.81%
12/08/202262.81%
22/07/202262.81%
01/07/202262.81%
10/06/202262.81%
20/05/202262.81%
29/04/202262.81%
08/04/202262.81%
23/03/202266.20%
08/03/202269.48%
21/02/202276.38%
03/02/202275.57%
18/01/202275.24%
30/12/202178.78%
14/12/202177.44%
27/11/202180.33%
12/11/202182.41%
30/10/202181.68%
16/10/202183.65%
02/10/202186.32%
14/09/202189.01%
29/08/202190.14%
17/08/202192.20%
05/08/202192.09%
24/07/202191.67%
12/07/202191.25%
28/06/202191.33%
14/06/202192.42%
27/05/202191.08%
09/05/202192.17%
19/04/202193.80%
02/04/202191.71%
16/03/202192.72%
28/02/202193.01%
12/02/202196.32%
30/01/202198.08%