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Magyar Telekom Nyrt.
Magyar Telekom Plc.
Magyar Telekom 2027 HUF Bond

Magyar Telekom Plc.

  • Introduction
  • Trading data
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Full Name Magyar Telekom Telecommunications Public Limited Company
Short name Magyar Telekom Plc.
Sector Telecommunications
Contact
HU-1097 Budapest, Könyves Kálmán krt. 36.
Phone: +36-1-458-0000
Fax: +36-1-458-0405
Investor Relations
Diána Annamária Párkányi-Várkonyi
Phone: +36 1 481 7676
Fax: -
Auditor Deloitte Auditing and Consulting Ltd. (Auditor: Kornél Bodor)
Business activity Magyar Telekom the leading telecommunication service provider of Hungary was established in 1991. It provides a full range of telecommunications and infocommunications (ICT) services including fixed line and mobile telephony, data transmission and non-voice as well as IT and systems integration services. Residential, Small and Medium business customers as well as key business customers (large corporate and public sector customers) are served by the Telekom brand. Magyar Telekom is the majority owner of Makedonski Telekom, the integrated fixed line and mobile operator in North Macedonia. Magyar Telekom s majority shareholder is Deutsche Telekom Europe B.V., fully owned by Deutsche Telekom AG.
Listed securities of the issuer
Name Ticker ISIN
Magyar Telekom 2027 HUF Bond MT2027 HU0000360128
Magyar Telekom share MTELEKOM HU0000073507
Basic Information
Ticker MT2027
ISINHU0000360128
Date of listing21 Dec 2020
Currency of tradingHUF
Face Value50,000,000 HUF
Number of securities listed1,400
P/BV
P/BV* 0.0811
* Calculating based on the capitalisation of the actual series only
Performance
* annualized yield
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Name of securityMagyar Telekom 2027 HUF Bond
IssuerMagyar Telekom Telecommunications Public Limited Company
Type of securityRegistered
Form of securityDematerialised
Code of security (ISIN)HU0000360128
Ticker symbolMT2027
Face value50,000,000 HUF
Number of securities listed1,400
Listing date21 Dec 2020
First Trading Day21 Dec 2020
Trading Unit
Currency of trading%
Trading time
Listing price101.1913
Maturity7 years
Date of Issue26 Nov 2020
Maturity Date26 Nov 2027
Interest TypeFixed
Interest Rate1.45%
Interest Payment DatesAnnually, 26th of November
Capital repaymentAs specified in Information Documentum Chapter 3
Green productNo
Residual CapitalDownload in Excel format