Friday, 24 Mar 2017 03:27

Hungary 3,875% 24/02/2020

XS0212993678

TypeBond, Fixed rate
ISIN codeXS0212993678
Trading codeXS0212993678
Listing24/02/2005
Final maturity24/02/2020
Amount issued1 000 000 000 EUR
Redemption price100%
Issuer(s)HUNGARY (REPUBLIC OF)
 GOVERNMENT DEBT MANAGEMENT AGENCY LTD CSALOGANY UTCA 9-11 H-1027 BUDAPEST
 HUNGARY
Prospectus23/02/2005
Close on 23/03/2017110.696 i %
Month Low110.69
Month High111.139
Year Low110.69
Year High111.764

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