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Hungary: obligacje

The Hungarian government securities market is now a developed and mature market. Hungarian government bonds are issued for five benchmark maturities, namely two years, three years, five years, 10 years and 15 years, by the Government Debt Management Agency. In Hungary, the Government Debt Management Agency (ÁKK Zrt.) is responsible for debt management.
The Hungarian government bond is an interest-bearing government security with a maturity longer than 1 year. Currently, it is issued for four benchmark maturities, namely 3 years, 5 years, 10 years and 15 years.
Corporate bonds are a well-known and growing feature of the Hungarian capital markets, although market volatility can open or close the windows of access. Commercial paper is another option in the Hungarian fixed income market.

Emisje w obrocie

Waluta Emisje w obrocie Cumulative volume
Państwowy
HUF 193 22 509 054 404 825
USD 6 12 250 000 000
EUR 4 3 196 849 552
CNY 3 4 000 000 000
JPY 1 30 000 000 000
Municypalny
CHF 82 682 218 669
EUR 13 46 992 000
HUF 7 17 325 000 000
Korporacyjny
HUF 111 1 702 459 293 856
EUR 22 3 320 752 900
USD 18 1 789 268 700
CHF 3 21 124 434

Rating suwerenny

Agencja ratingowaRatingRating scaleDate
Dagong Global *** International scale rating (foreign curr.) ***
Dagong Global *** International scale rating (local curr.) ***
Organisation for Economic Co-operation and Development (OECD) *** Country Risk Classifications ***
Scope Ratings *** Issuer Rating ***
Scope Ratings *** Issuer Rating (foreign currency) ***
Scope Ratings *** Senior Unsecured Debt Rating ***
Scope Ratings *** Senior Unsecured Debt Rating (foreign currency) ***
Moody's Investors Service *** LT- foreign currency ***
Moody's Investors Service *** LT- local currency ***
S&P Global Ratings *** Foreign Currency LT ***
S&P Global Ratings *** Local Currency LT ***
Fitch Ratings *** LT Int. Scale (foreign curr.) ***
Fitch Ratings *** LT Int. Scale (local curr.) ***
Japan Credit Rating Agency *** Foreign Currency Long-term Issuer Rating ***
Japan Credit Rating Agency *** Local Currency Long-term Issuer Rating ***
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Ostatnie emisje

emisja ISIN kupon kwota zakończenie przydziału data zapadalności
Wegry, 4.3% 19dec2021, CNY - Euroobligacje CND10001T5K2 4.3% 2 000 000 000  CNY 17.12.2018 19.12.2021
Wegry, 1.25% 22oct2025, EUR - Euroobligacje XS1887498282 1.25% 1 000 000 000  EUR 25.09.2018 22.10.2025
Nitrogenmuvek, 7% 14may2025, EUR - Euroobligacje XS1811852521 7% 200 000 000  EUR 07.05.2018 14.05.2025
Wegry, 0.37% 22mar2021, JPY - Euroobligacje JP534800AJ31 0.37% 30 000 000 000  JPY 14.03.2018 22.03.2021
Promstar KFT, 7% 16mar2027, EUR - Euroobligacje XS1574800220 7% 105 000 000  EUR 18.10.2017 16.03.2027
Wegry, 1.75% 10oct2027, EUR - Euroobligacje XS1696445516 1.75% 1 000 000 000  EUR 04.10.2017 10.10.2027
Wegry, 4.85% 27jul2020, CNY - Euroobligacje CND10000HRG5 4.85% 1 000 000 000  CNY 26.07.2017 27.07.2020
MOL Hungarian Oil and Gas, 2.625% 28apr2023, EUR - Euroobligacje XS1401114811 2.625% 750 000 000  EUR 21.04.2016 28.04.2023
Wegry, 6.25% 25apr2019, CNY - Euroobligacje XS1398547130 6.25% 1 000 000 000  CNY 14.04.2016 25.04.2019
Intellect Lending Group, 6% 8dec2020, EUR - Euroobligacje XS1332327375 6% 40 000 000  EUR 08.12.2015 08.12.2020

BIS

Indeksy kwartalne

Typ: III 2018 II 2018 I 2018 IV 2017 III 2017 II 2017 I 2017
BIS international bonds outstanding volume
[10355] Magyar international bonds, USD bln 25.700 25.800 28.900 30.600 29.400 30.700 31.400
BIS new international bonds volume
[10543] International-bond net issue of Hungary, USD bln 0.000 -2.600 -2.000 0.900 -1.600 -1.500 0.000

Interest rates

Indeksy dzienne

Typ: 18.04.2019 17.04.2019 05.04.2019 26.03.2019 25.03.2019 14.03.2019 13.03.2019
BUBOR
[18917] 12M BUBOR 0.460 0.460 0.460 0.480 0.480 0.500 0.500
[18935] 3M BUBOR 0.160 0.160 0.170 0.130 0.130 0.140 0.140
[18973] 6M BUBOR 0.250 0.260 0.250 0.260 0.260 0.270 0.270
[19743] 1M BUBOR 0.100 0.100 0.110 0.060 0.060 0.060 0.060
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Stock exchanges and market participants indices (archive)

Indeksy dzienne

Typ: 30.10.2013 29.10.2013 28.10.2013 25.10.2013 24.10.2013 23.10.2013 22.10.2013
JP Morgan
[3081] EMBI Global Hungary 296 305 303 295 292 286 294
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International bonds outstanding volume

Indeksy miesięczne

Typ: Mar 2019 Feb 2019 Jan 2019 Dec 2018 Nov 2018 Oct 2018 Sep 2018
Eastern Europe international bonds outstanding volume
[21127] International bonds of Hungary, USD bln 20.016 20.165 21.097 22.235 22.134 22.266 23.396
[21161] Corporate international bonds of Hungary, USD bln 4.122 4.156 5.063 5.063 5.025 5.151 6.166
[21195] Sovereign international bonds of Hungary, USD bln 15.894 16.009 16.034 17.172 17.109 17.115 17.230
pokaż inne indeksy

Historical yields (monthly)

Indeksy miesięczne

Typ: Mar 2019 Feb 2019 Jan 2019 Dec 2018 Nov 2018 Oct 2018 Sep 2018
Yields for Eastern Europe long-term domestic bonds
[4303] Hungary, %   3.03 2.68 2.85 3.15 3.47 3.74 3.57
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New international bonds volume

Indeksy roczne

Typ: 2018 2017 2016 2015 2014
Eastern Europe new international bonds volume
[19607] Annual new issues of Hungary sovereign international bonds, USD bln 1.749 1.177 0.154 0.000 3.000
[19641] Annual new issues of Hungary corporate international bonds, USD bln 0.238 0.116 0.847 1.924 0.500
[19675] Annual new issues of Hungary corporate international bonds, (financial sector) USD bln 0.000 0.000 0.000 1.924 0.500
[19709] Annual new issues of Hungary corporate international bonds, (non-financial sector) USD bln 0.238 0.116 0.847 0.000 0.000

Notowania

papier wartościowy kwota data zapadalności ceny kupna (bid) ceny sprzedarzy (ask)
data cena kupna (bid) rentowność data cena sprzedarzy (ask) rentowność
Wegry, 2.110% 26oct2017, JPY   JPY 26.10.2017 18.05.2016 **.** *.** 18.05.2016 ***.* *.**
Wegry, 3.50% 18jul2016, EUR   EUR 18.07.2016 18.05.2016 ***.**** *.** 18.05.2016 ***.** *.**
Wegry, 3.875% 24feb2020, EUR   EUR 24.02.2020 18.05.2016 ***.* *.** 18.05.2016 ***.*** *.**
Wegry, 4% 25mar2019, USD   USD 25.03.2019 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Wegry, 4.0% 20may2016, CHF   CHF 20.05.2016 18.05.2016 *** *.** 18.05.2016 ***.** *.**
Wegry, 4.125% 19feb2018, USD   USD 19.02.2018 18.05.2016 ***.* *.** 18.05.2016 ***.* *.**
Wegry, 4.375% 4jul2017, EUR   EUR 04.07.2017 18.05.2016 ***.*** *.** 18.05.2016 ***.**** *.**
Wegry, 5.0% 9may2017, GBP   GBP 09.05.2017 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Wegry, 5.375% 21feb2023, USD   USD 21.02.2023 18.05.2016 ***.*** *.** 18.05.2016 ***.* *.**
Wegry, 5.375% 25mar2024, USD   USD 25.03.2024 18.05.2016 ***.**** *.** 18.05.2016 ***.** *.**
Wegry, 5.75% 22nov2023, USD   USD 22.11.2023 18.05.2016 ***.**** *.** 18.05.2016 ***.** *.**
Wegry, 5.750% 11jun2018, EUR   EUR 11.06.2018 18.05.2016 ***.*** *.** 18.05.2016 ***.*** *.**
Wegry, 6.0% 11jan2019, EUR   EUR 11.01.2019 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Wegry, 6.25% 25apr2019, CNY   CNY 25.04.2019 18.05.2016 ***.* *.** 18.05.2016 ***.** *.**
Wegry, 6.25% 29jan2020, USD   USD 29.01.2020 18.05.2016 ***.** *.** 18.05.2016 ***.* *.**
Wegry, 6.375% 29mar2021, USD   USD 29.03.2021 18.05.2016 ***.* *.** 18.05.2016 ***.** *.**
Wegry, 7.625% 29mar2041, USD   USD 29.03.2041 18.05.2016 ***.**** *.** 18.05.2016 ***.* *.**
Bank of China (Hungarian Branch), FRN 2018, EUR   EUR 30.06.2018 18.05.2016 ***.** * 18.05.2016 ***.* *
Gedeon Richter, 3.375% 2apr2019, EUR (Conv.)   EUR 02.04.2019 18.05.2016 ***.** -*.** 18.05.2016 ***.** -*.**
Hungarian Development Bank, 2.375% 8dec2021, EUR   EUR 08.12.2021 18.05.2016 ***.* *.** 18.05.2016 ***.** *.**
Hungarian Development Bank, 5.875% 31may2016, EUR   EUR 31.05.2016 18.05.2016 ***.** *.** 18.05.2016 ***.** -*.**
Hungarian Development Bank, 6.25% 21oct2020, USD   USD 21.10.2020 18.05.2016 ***.*** *.** 18.05.2016 ***.* *.**
Magyar Export-Import Bank, 2.125% 13feb2019, EUR   EUR 13.02.2019 18.05.2016 ***.** *.** 18.05.2016 ***.** -*.**
Magyar Export-Import Bank, 2.125% 15feb2019, EUR   EUR 15.02.2019 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
Magyar Export-Import Bank, 4% 30jan2020, USD   USD 30.01.2020 18.05.2016 ***.*** *.** 18.05.2016 ***.*** *.**
Magyar Export-Import Bank, 5.5% 12feb2018, USD   USD 12.02.2018 18.05.2016 ***.** *.** 18.05.2016 ***.** *.**
MOL Hungarian Oil and Gas, 2.625% 28apr2023, EUR   EUR 28.04.2023 18.05.2016 **.** *.** 18.05.2016 **.*** *.*
MOL Hungarian Oil and Gas, 5.875% 20apr2017, EUR   EUR 20.04.2017 18.05.2016 ***.* *.** 18.05.2016 ***.* *.**
MOL Hungarian Oil and Gas, 6.250% 26sep2019, USD   USD 26.09.2019 18.05.2016 ***.*** *.** 18.05.2016 ***.* *.**
Nitrogenmuvek, 7.875% 21may2020, USD   USD 21.05.2020 18.05.2016 ***.* *.** 18.05.2016 ***.*** *.**
OTP Bank, 5.27% 19sep2016, EUR   EUR 19.09.2016 18.05.2016 ***.* *.** 18.05.2016 ***.** *.**
OTP Bank, 5.875% perp., EUR   EUR 18.05.2016 **.** * 18.05.2016 **.* *
OTP Mortgage Bank, FRN 25oct2016, EUR   EUR 25.10.2016 18.05.2016 ***.**** * 18.05.2016 ***.**** *
OTP Mortgage Bank, FRN 28jul2017, EUR   EUR 28.07.2017 18.05.2016 **.**** * 18.05.2016 **.**** *
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