Company profile - Bet site
To generate a new password, please provide the email address with which you have registered to our portal before.

After clicking the “Send” button, we will send the information about generating a new password to the specified email address.
E-mail:
Please check your inbox! We have sent the information necessary for generating a new password to the specified email address.
An error has occured. There is no user in the system with the specified e-mail address.
Please provide the email address with which you have registered to our portal before.
E-mail:
Two-factor reset email successfully sent.
Failed to send the reset email.
false
MVM Zrt.
MVM Ltd.
MVM 2031/I HUF Bond

MVM Ltd.

  • Introduction
  • Trading data
  • Publications
  • Product features
Full Name MVM Energy Private Limited Liability Company
Short name MVM Ltd.
Sector Utilities
Contact
HU-1031 Budapest, Szentendrei út 207-209.
Phone: +36 1 304-2000
Fax: +36 1 202-1246
Investor Relations
Balázs Szegner
Phone: +36 20 984 5274
Fax: -
Auditor Deloitte Auditing and Consulting Ltd. (Tamás Horvath registered auditor)
Business activity MVM Group is the 2nd largest company in Hungary, and the 4th in Central Europe. It is a dynamic, innovative fully state-owned company group continually gaining dominance also on regional level, acting also as the largest domestic energy knowledge centre, and through its professional competences offering significant contribution to the security of supply in Hungary and Central-Eastern Europe. MVM Group practically embraces all segments connected to the energy sector: generation, storage, trade, distribution, provision of services, planning and design, construction, transmission, data transfer, incubation.
Listed securities of the issuer
Name Ticker ISIN
MVM 2031/I HUF Bond MVM2031 HU0000360730
MVMKP2027/A Bonds Bond MVMKP2027A HU0000365705
MVMKP2027/B Bonds Bond MVMKP2027B HU0000365887
MVMKP2027/C Bonds MVMKP2027C HU0000366331
MVMKP2028/A Bonds Bond MVMKP2028A HU0000365770
Basic Information
Ticker MVM2031
ISINHU0000360730
Date of listing16 Nov 2021
Currency of tradingHUF
Face Value50,000,000 HUF
Number of securities listed1,100
P/BV
P/BV* N/A
* Calculating based on the capitalisation of the actual series only
Performance
* annualized yield
Note: Publications of this issuer are available in Hungarian only.
Publication News
05 May 2026 13:29 Tájékoztatás Árjegyzői megállapodások megkötéséről
30 Apr 2026 11:08 MVM Group Investor Presentation on FY 2025 Results
30 Apr 2026 08:40 MVM consolidated and standalone financial statements 2025
29 Apr 2026 18:07 BASE PROSPECTUS "HUF 250,000,000,000 Bond Programme"
29 Apr 2026 17:53 Extraordinary announcement on the approval of the HUF 250,000,000,000 Bond Programme
23 Apr 2026 14:12 Announcement on FY 2025 results Investor Call
14 Apr 2026 16:41 MVM Zrt. - Articles of Association - 10 April 2026
10 Mar 2026 12:26 Extension of the HUF Bond Programme
06 Mar 2026 13:20 Extraordinary announcement - Closing announcement on the repayment and the last interest payment of the MVMKP2026/A Bonds
05 Mar 2026 14:08 Resolution No. 108/2026 of the Budapest Stock Exchange Plc. introducing into exchange trading the bond issued by MVM Energy, as of March 9, 2026.
Publication Report
30 Apr 2026 08:40 MVM consolidated and standalone financial statements 2025
15 Sep 2025 08:36 Consolidated half-year report of MVM Group H1 2025
Publication Green framework
30 May 2023 10:00 Az MVM Zrt. zöld finanszírozási keretrendszert állított fel
/pfile/file?path=/site/Angol/Documents/ker_ido_EN_02032015.pdf
/pfile/file?path=/site/Angol/Documents/link_6_fejezetEN.pdf
/pfile/file?path=/site/Angol/Documents/BSE_Release_certificates.pdf
/pfile/file?path=/site/Magyar/Dokumentumok/Kereskedesi_adatok/Links/xtend_ausz_hatalyos_2018_12_04_10fejezet
Name of securityMVM 2031/I HUF Bond
IssuerMVM Energy Private Limited Liability Company
Type of securityRegistered
Form of securityDematerialised
Code of security (ISIN)HU0000360730
Ticker symbolMVM2031
Face value50,000,000 HUF
Number of securities listed1,100
Listing date16 Nov 2021
First Trading Day16 Nov 2021
Trading Unit
Currency of trading%
Trading time
Listing price98.199
Maturity10 years
Date of Issue03 Sep 2021
Maturity Date03 Sep 2031
Interest TypeFixed
Interest Rate3.25%
Interest Payment DatesAnnually, 3rd of September
Capital repaymentAs specified in Information Document
Green productNo
Residual CapitalDownload in Excel format