ESG Relevance
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01Ratings
Rating History
02Rating Actions
03Insights
04Sector Outlooks
05Securities and Obligations
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Entity Details
Debt Type & Identifiers
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Issuer: Hungary
Debt Level: senior unsecured
Issue: USD 1.65 bln 7.625% bond/note 29-Mar-2041
Debt Level: senior unsecured
Issue: USD 1.65 bln 7.625% bond/note 29-Mar-2041
06-Dec-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: Hungary
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
CUSIP: 445545AF3 (Public)
ISIN: US445545AF36 (Public)
CUSIP: 445545AF3 (Public)
ISIN: US445545AF36 (Public)
Maturity Date: 29-Mar-2041
Currency: USD
Amount: 1,650,000,000
Coupon Rate: 7.625%
Placement: Public
Currency: USD
Amount: 1,650,000,000
Coupon Rate: 7.625%
Placement: Public
Issuer: Hungary
Debt Level: senior unsecured
Issue: EUR 1 bln 1.75% bond/note 10-Oct-2027
Debt Level: senior unsecured
Issue: EUR 1 bln 1.75% bond/note 10-Oct-2027
06-Dec-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: Hungary
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
ISIN: XS1696445516 (Public)
ISIN: XS1696445516 (Public)
Maturity Date: 10-Oct-2027
Currency: EUR
Amount: 1,000,000,000
Coupon Rate: 1.75%
Placement: Public
Currency: EUR
Amount: 1,000,000,000
Coupon Rate: 1.75%
Placement: Public
Issuer: Hungary
Debt Level: senior unsecured
Issue: EUR 1 bln 1.62% bond/note 28-Apr-2032
Debt Level: senior unsecured
Issue: EUR 1 bln 1.62% bond/note 28-Apr-2032
06-Dec-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: Hungary
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
ISIN: XS2161992511 (Public)
ISIN: XS2161992511 (Public)
Maturity Date: 28-Apr-2032
Currency: EUR
Amount: 1,000,000,000
Coupon Rate: 1.625%
Placement: Public
Currency: EUR
Amount: 1,000,000,000
Coupon Rate: 1.625%
Placement: Public
Issuer: Hungary
Debt Level: senior unsecured
Issue: EUR 1 bln 1.12% bond/note 28-Apr-2026
Debt Level: senior unsecured
Issue: EUR 1 bln 1.12% bond/note 28-Apr-2026
06-Dec-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: Hungary
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
ISIN: XS2161992198 (Public)
ISIN: XS2161992198 (Public)
Maturity Date: 28-Apr-2026
Currency: EUR
Amount: 1,000,000,000
Coupon Rate: 1.125%
Placement: Public
Currency: EUR
Amount: 1,000,000,000
Coupon Rate: 1.125%
Placement: Public
Issuer: Hungary
Debt Level: senior unsecured
Issue: EUR 1.25 bln 1.5% bond/note 17-Nov-2050
Debt Level: senior unsecured
Issue: EUR 1.25 bln 1.5% bond/note 17-Nov-2050
06-Dec-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: Hungary
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
ISIN: XS2259191430 (Public)
ISIN: XS2259191430 (Public)
Maturity Date: 17-Nov-2050
Currency: EUR
Amount: 1,250,000,000
Coupon Rate: 1.5%
Placement: Public
Currency: EUR
Amount: 1,250,000,000
Coupon Rate: 1.5%
Placement: Public
Issuer: Hungary
Debt Level: senior unsecured
Issue: EUR 1.25 bln 0.5% bond/note 18-Nov-2030
Debt Level: senior unsecured
Issue: EUR 1.25 bln 0.5% bond/note 18-Nov-2030
06-Dec-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: Hungary
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
ISIN: XS2259191273 (Public)
ISIN: XS2259191273 (Public)
Maturity Date: 18-Nov-2030
Currency: EUR
Amount: 1,250,000,000
Coupon Rate: .5%
Placement: Public
Currency: EUR
Amount: 1,250,000,000
Coupon Rate: .5%
Placement: Public
Issuer: Hungary
Debt Level: senior unsecured
Issue: EUR 1.5 bln 1.75% bond/note 5-Jun-2035
Debt Level: senior unsecured
Issue: EUR 1.5 bln 1.75% bond/note 5-Jun-2035
06-Dec-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: Hungary
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
ISIN: XS2181689659 (Public)
ISIN: XS2181689659 (Public)
Maturity Date: 05-Jun-2035
Currency: EUR
Amount: 1,500,000,000
Coupon Rate: 1.75%
Placement: Public
Currency: EUR
Amount: 1,500,000,000
Coupon Rate: 1.75%
Placement: Public
Issuer: Hungary
Debt Level: senior unsecured
Issue: EUR 1 bln 1.25% bond/note 22-Oct-2025
Debt Level: senior unsecured
Issue: EUR 1 bln 1.25% bond/note 22-Oct-2025
06-Dec-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: Hungary
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
ISIN: XS1887498282 (Public)
ISIN: XS1887498282 (Public)
Maturity Date: 22-Oct-2025
Currency: EUR
Amount: 1,000,000,000
Coupon Rate: 1.25%
Placement: Public
Currency: EUR
Amount: 1,000,000,000
Coupon Rate: 1.25%
Placement: Public
Issuer: Hungary
Debt Level: senior unsecured
Issue: USD 1.25 bln 5.5% bond/note 16-Jun-2034
Debt Level: senior unsecured
Issue: USD 1.25 bln 5.5% bond/note 16-Jun-2034
06-Dec-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: Hungary
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
CUSIP: 445545AQ9 (144A)
ISIN: US445545AQ90 (144A)
ISIN: XS2010026487 (Reg S)
CUSIP: 445545AQ9 (144A)
ISIN: US445545AQ90 (144A)
ISIN: XS2010026487 (Reg S)
Maturity Date: 16-Jun-2034
Currency: USD
Amount: 1,250,000,000
Coupon Rate: 5.5%
Placement: 144A
Currency: USD
Amount: 1,250,000,000
Coupon Rate: 5.5%
Placement: 144A
Issuer: Hungary
Debt Level: senior unsecured
Issue: EUR 750 mln 4.25% bond/note 16-Jun-2031
Debt Level: senior unsecured
Issue: EUR 750 mln 4.25% bond/note 16-Jun-2031
06-Dec-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: Hungary
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
ISIN: XS2010026131 (144A)
ISIN: XS2010026214 (Reg S)
ISIN: XS2010026131 (144A)
ISIN: XS2010026214 (Reg S)
Maturity Date: 16-Jun-2031
Currency: EUR
Amount: 750,000,000
Coupon Rate: 4.25%
Placement: Reg S
Currency: EUR
Amount: 750,000,000
Coupon Rate: 4.25%
Placement: Reg S
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06Disclosures
Original Rating Date | |
---|---|
Long Term Issuer Default Rating | 25-Apr-1996 |
Short Term Issuer Default Rating | 25-Apr-1996 |
Country Ceiling | 29-Apr-2004 |
Local Currency Long Term Issuer Default Rating | 25-Apr-1996 |
Local Currency Short Term Issuer Default Rating | 22-Jul-2016 |
Endorsement Status | |
---|---|
EU Issued, UK Endorsed |
Country of 巴黎人娱乐城 Office | |
---|---|
GERMANY |
Solicitation Status | |
---|---|
Long Term Issuer Default Rating | Solicited - Sell Side |
Short Term Issuer Default Rating | Solicited - Sell Side |
Country Ceiling | Solicited - Sell Side |
Local Currency Long Term Issuer Default Rating | Solicited - Sell Side |
Local Currency Short Term Issuer Default Rating | Solicited - Sell Side |
Country of Analyst | |
---|---|
GERMANY |
07Identifiers
08Criteria
09Analysts
Malgorzata Krzywicka
Primary Rating Analyst
Erich Arispe Morales
Secondary Rating Analyst
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