5,375% Ungarn Anleihe (2033) Logo
XS2680932907
A3LM5S

5,375% Ungarn Anleihe (2033)

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Security information

Metric Value
Time to maturity 6 years, 11 months
Duration 10 years
Maturity 09/11/2033
First trading day 09/11/2023
Yield 4.55%
Coupon rate 5.38%
Interest type Fixed rate
Interest period Annually
Interest payment date
09/11/2027
Currency Euro
Issue volume 2B
Category Government bond
Country Hungary
Issuer Ungarn
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