/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
Select Other Security / Issuer
D250821 Discount Treasury Bill
D250917 Discount Treasury Bill
D251029 Discount Treasury BIll
D251223 Discount Treasury Bill
D260218 Discount Treasury Bill
D260429 Discount Treasury Bill
D260624 Discount Treasury Bill
Government Bond 2025/C
Government Bond 2026/D
Government Bond 2026/E
Government Bond 2026/F
Government Bond 2026/H
Government Bond 2027/A
Government Bond 2027/B
Government Bond 2028/A
Government Bond 2028/B
Government Bond 2029/A
Government Bond 2029/B
Government Bond 2030/A
Government Bond 2031/A
Government Bond 2031/B
Government Bond 2032/A
Government Bond 2032/B
Government Bond 2033/A
Government Bond 2034/A
Government Bond 2035/A
Government Bond 2038/A
Government Bond 2041/A
Green Hungarian Government Bond 2032/G
Green Hungarian Government Bond 2051/G
Hungary 0.125% Sep2028 Eur bond
Hungary 0.5% Nov30 Eur bond
Hungary 1.125% Apr26 Eur bond
Hungary 1.25% Oct25 Eur bond
Hungary 1.5% Nov50 Eur bond
Hungary 1.625% Apr32 Eur bond
Hungary 1.75% GRN Jun35 Eur bond
Hungary 1.75% Oct27 Eur bond
Hungary 4,000% Jul29 GRN Eur bond
Hungary 4,500% Jun34 Eur bond
Hungary 4,875% Mar40 GRN Eur bond
Hungary 4.25% Jun31 Eur bond
Hungary 5,000% Feb27 GRN Eur bond
Hungary 5.375% Sep33 Eur bond
Select Other Security / Issuer
Name of security D250319 Discount Treasury Bill
Issuer Hungarian State
Type of security Registered
Form of security Dematerialised
Code of security (ISIN) HU0000525050
Ticker symbol D250319
Face value 10,000 HUF
Number of securities listed 12,450,000
Listing date 20 Nov 2024
First Trading Day 20 Nov 2024
Trading Unit As specified in Part II, Chapter 6. Article 12.
Currency of trading %
Trading time As specified in Part II, Chapter 5.
Listing price 98.1815
Maturity 4 months
Date of Issue 20 Nov 2024
Maturity Date 19 Mar 2025
Capital repayment In a lump sum at expiry
Green product No