RNS Number : 7608J
MFB Magyar Fejlesztési Bank
22 May 2025
Announcement
on issue of EUR denominated public bonds
MFB Hungarian Development Bank Private Limited Company is pleased to inform its investors that it has issued the following EUR denominated public bonds.
Issuer
MFB Hungarian Development Bank Private Limited Company ("MFB")
Rating
Baa2 (negative) / BBB (stable) (Moody's / Fitch)
Surety
The Issuer's obligations under the Notes have the benefit of a statutory first demand absolute direct suretyship in respect of the Issuer's funding activities in accordance with the underlying legislation (MFB Act)
Format
Reg S only Category 1 Registered Form
Status
Senior Unsecured
Settlement
28 May 2025 (T+5)
Maturity
27 June 2030
Amount
EUR 1 billion
Reoffer spread
MS+215 bps
Reoffer Yield
4.435%
Reoffer Price
99.724%
Bund reference
OBL 2.4 4/2030 (@100.96) +224.7bps
Coupon
4.375% p.a., FXD, Ann, ACT/ACT, long first coupon
Listing
London Stock Exchange (Main Market)
Denominations
€100k + €1k
ISIN
XS3081701362
Law
English Law (except for the suretyship under the laws of Hungary)
Clearing
Euroclear / Clearstream, Luxembourg
Bookrunners
BNP Paribas (B&D), Erste Group, ING, J.P. Morgan, Morgan Stanley, Raiffeisen Bank International
Budapest, 22 May 2025
MFB Hungarian Development Bank Private Limited Company
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