Sustainable Information

Official Close 52.7958
Official Close Date 26/02/26
Interest Rate
Opening 52.60
Last Volume 6,000
Total Quantity 99,000
Number Trades 6
Day Low 52.60
Day High 52.80
Year Low 49.70
Year High 53.27
Legenda
Gross yield to maturity 4.8
Net yield to maturity 4.52
Gross accrued interest 0.43562
Net accrued interest 0.38117
Modified Duration 17.95
Reference price 52.76
Reference price date 27/02/2026
Legenda Data provided by Skipper Informatica Srl
Number Trades: 6   Total Quantity: 99,000
17:02:21 52.80 +0.15%
15:31:30 52.80 +0.15%
15:22:11 52.62 -0.19%

Instrument Info

Isin Code XS2259191430
Issuer REPUBLIC OF HUNGARY
Guarantor -
Seniority N
Tipology Foreign Public Debt
Bond Structure Plain Vanilla
Outstanding 1,250,000,000
Lot Size 1,000
Negotiation Currency/ Settlement currency EUR/EUR
Market MOT
Clearing/Settlement CC&G/Euroclear and Clearstream Banking Lussemburgo
First Day of Trading 20/11/25
Denomination Hungary Tf 1,5% Nv50 Eur
Instrument ID 877177
Interest Commencement Date 20/11/17
First Coupon Date 20/11/17
Expiry Date 50/11/17
Coupon Frequency Annually
Trading Type Clean
Day Count Convention ACT/ACT (PERIODIC BASIS)
Periodic Coupon Rate 1.50
Annual Coupon Rate 1.50
Payout Description

Quotes, Book, Characteristics and Regulations for the Euro Obbligazione Hungary Tf 1,5% Nv50 Eur


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