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GTC Magyarország Zrt.
GTC Hungary Ltd.
GTC 2031/A Bond

GTC Hungary Ltd.

  • Introduction
  • Trading data
  • Publications
  • Product features
Full Name GTC Hungary Real Estate Development Private Company Limited by Shares
Short name GTC Hungary Ltd.
Sector
Contact
HU-1138 Budapest, Népfürdő utca 22. A torony ép. 15. em.
Phone: +36 1 412 36 80
Fax: -
Investor Relations
Malgorzata Czaplicka
Phone: +48 660 460 172
Fax: -
Auditor
Business activity
Listed securities of the issuer
Name Ticker ISIN
GTC 2030/A Bond GTC2030A HU0000360102
GTC 2031/A Bond GTC2031A HU0000360284
Basic Information
Ticker GTC2031A
ISINHU0000360284
Date of listing11 Jun 2021
Currency of tradingHUF
Face Value50,000,000 HUF
Number of securities listed396
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
14 May 2026 15:54 GTC Hungary Ltd. - 2025 Annual Report
30 Apr 2026 12:42 Change of reporting date of consolidated annual report of GTC Hungary Real Estate Development Pltd for the financial year ended 31 December 2025. The Management Board of GTC Real Estate Development Hungary Zrt. (“GTC Hungary”) hereby announces the change in the publication date of consolidated annual report for the financial year ended 31 December 2025 to be delayed due to technical reasons. The revised publication date is expected to occur by 15 May 2026.
15 Apr 2026 12:26 GTC Magyarország Zrt. (registered office: 1138 Budapest, Népfürdő utca 22, A Tower, 15th floor, company registration number: 01-10-043913), as the issuer of the GTC 2031/A bonds bearing the ISIN code HU0000360284 hereby declares that the annual interest payment due in 2026 pursuant to the bonds was made on March 17, 2026. This notice was issued to comply with the provisions set forth in XBond’s General Terms and Conditions in effect on the date of this notice.
09 Oct 2025 12:00 Tender Offer Results Announcement
03 Oct 2025 15:23 Pricing of the EUR 455,000,000 6.50% senior secured notes offering due in 2030
01 Oct 2025 12:24 Refinancing the EUR 500 million notes issued by GTC Aurora Luxembourg S.A.
30 Sep 2025 21:40 GTC Magyarország Zrt. - Half-yearly Report
23 Sep 2025 14:40 Meeting minutes of the Bondholders' meeting and current report of the resolutions of the Bondholders meeting GTC 2031/A
23 Sep 2025 14:40 Meeting minutes of the Bondholders' meeting and current report of the resolutions of the Bondholders meeting GTC 2030/A
22 Sep 2025 14:50 NOTICE OF BONDHOLDERS’ MEETING GTC 2031/A
Publication Report
14 May 2026 15:54 GTC Hungary Ltd. - 2025 Annual Report
30 Sep 2025 21:40 GTC Magyarország Zrt. - Half-yearly Report
Publication Green framework
13 Oct 2023 16:31 Green Bond Framework and Opinion
Publication Voting rights, registered capital
01 Jul 2021 17:14 Decision on capital increase of GTC Hungary Real Estate Development Pltd.
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Name of securityGTC 2031/A Bond
IssuerGTC Hungary Real Estate Development Private Company Limited by Shares
Type of securityRegistered
Form of securityDematerialised
Code of security (ISIN)HU0000360284
Ticker symbolGTC2031A
Face value50,000,000 HUF
Number of securities listed396
Listing date11 Jun 2021
First Trading Day11 Jun 2021
Trading Unit
Currency of trading%
Trading time
Listing price99.3206
Maturity10 years
Date of Issue17 Mar 2021
Maturity Date17 Mar 2031
Interest TypeFixed
Interest Rate2.60%
Interest Payment DatesAnnually, 17th of March
Capital repaymentAs specified in Information Document
Green productYes
Greenbond-standardGreen Bond Principles (GBP)
Issuer of the certificationSustainalytics
Start date17 Mar 2021
End date17 Mar 2031
Residual CapitalDownload in Excel format