Ugrás a tartalomhoz

MK32NV01

Senior Unsecured Bond with a variable interest rate maturing in 2032

Ticker code: MK32NV01
ISIN-code: HU0000366737
Total volume: HUF 40,000,000,000
Specified denomination: HUF 10,000
Issue date: 27.05.2026.
Maturity: 21.06.2032
Day Count Fraction: Actual/360
Interest (coupon): floater
Ticker code:
ISIN-code:
MK32NV01
HU0000366737
Ticker code:
Total volume:
MK32NV01
HUF 40,000,000,000
Ticker code:
Specified denomination:
MK32NV01
HUF 10,000
Ticker code:
Issue date:
MK32NV01
27.05.2026.
Ticker code:
Maturity:
MK32NV01
21.06.2032
Ticker code:
Day Count Fraction:
MK32NV01
Actual/360
Ticker code:
Interest (coupon):
MK32NV01
floater

Cash flow per HUF 10,000

Interest period Principal Interest Sum
27.05.2026. – 21.06.2026. 0 8.27 HUF 57
21.06.2026. – 21.09.2026. 0 8.09 HUF 207
21.09.2026. – 21.12.2026. 0
21.12.2026. – 21.03.2027. 0
21.03.2027. – 21.06.2027. 0
21.06.2027. – 21.09.2027. 0
21.09.2027. – 21.12.2027. 0
21.12.2027. – 21.03.2028. 0
21.03.2028. – 21.06.2028. 0
21.06.2028. – 21.09.2028. 0
21.09.2028. – 21.12.2028. 0
21.12.2028. – 21.03.2029. 0
21.03.2029. – 21.06.2029. 0
21.06.2029. – 21.09.2029. 0
21.09.2029. – 21.12.2029. 0
21.12.2029. – 21.03.2030. 0
21.03.2030. – 21.06.2030. 0
21.06.2030. – 21.09.2030. 0
21.09.2030. – 21.12.2030. 0
21.12.2030. – 21.03.2031. 0
21.03.2031. – 21.06.2031. 0
21.06.2031. – 21.09.2031. 0
21.09.2031. – 21.12.2031. 0
21.12.2031. – 21.03.2032. 0
21.03.2032. – 21.06.2032. 100
Interest period
27.05.2026. – 21.06.2026.
Principal
0
Interest
8.27
Sum
HUF 57
Interest period
21.06.2026. – 21.09.2026.
Principal
0
Interest
8.09
Sum
HUF 207
Interest period
21.09.2026. – 21.12.2026.
Principal
0
Interest
Sum
Interest period
21.12.2026. – 21.03.2027.
Principal
0
Interest
Sum
Interest period
21.03.2027. – 21.06.2027.
Principal
0
Interest
Sum
Interest period
21.06.2027. – 21.09.2027.
Principal
0
Interest
Sum
Interest period
21.09.2027. – 21.12.2027.
Principal
0
Interest
Sum
Interest period
21.12.2027. – 21.03.2028.
Principal
0
Interest
Sum
Interest period
21.03.2028. – 21.06.2028.
Principal
0
Interest
Sum
Interest period
21.06.2028. – 21.09.2028.
Principal
0
Interest
Sum
Interest period
21.09.2028. – 21.12.2028.
Principal
0
Interest
Sum
Interest period
21.12.2028. – 21.03.2029.
Principal
0
Interest
Sum
Interest period
21.03.2029. – 21.06.2029.
Principal
0
Interest
Sum
Interest period
21.06.2029. – 21.09.2029.
Principal
0
Interest
Sum
Interest period
21.09.2029. – 21.12.2029.
Principal
0
Interest
Sum
Interest period
21.12.2029. – 21.03.2030.
Principal
0
Interest
Sum
Interest period
21.03.2030. – 21.06.2030.
Principal
0
Interest
Sum
Interest period
21.06.2030. – 21.09.2030.
Principal
0
Interest
Sum
Interest period
21.09.2030. – 21.12.2030.
Principal
0
Interest
Sum
Interest period
21.12.2030. – 21.03.2031.
Principal
0
Interest
Sum
Interest period
21.03.2031. – 21.06.2031.
Principal
0
Interest
Sum
Interest period
21.06.2031. – 21.09.2031.
Principal
0
Interest
Sum
Interest period
21.09.2031. – 21.12.2031.
Principal
0
Interest
Sum
Interest period
21.12.2031. – 21.03.2032.
Principal
0
Interest
Sum
Interest period
21.03.2032. – 21.06.2032.
Principal
100
Interest
Sum


The accrued interest on the interest payment date is zero.

On the payment dates on secondary market the security is traded with zero accrued interest.