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Tuesday,07.02.2012
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Best bid and ask prices of Primary Dealers
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Best bid and ask prices of Primary Dealers
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Best bid and ask prices of Primary Dealers
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Best bid and ask prices of Primary Dealers
1. Latest Data
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Date
Settle Date
Security
ISIN Code
Maturity
Bid Price(%)
Bid Yield (%)
Dealer
Ask Price(%)
Ask Yield (%)
Dealer
Acc. Interest (%)
07.02.2012
09.02.2012
A120612B06
HU0000402367
12/06/2012
99.7616
7.80
CIBBANK
99.9264
7.30
CIBBANK
4.7937
07.02.2012
09.02.2012
D120627
HU0000518378
27/06/2012
97.1857
7.50
GOLDMAN
97.2952
7.20
GOLDMAN
0.0000
07.02.2012
09.02.2012
D120822
HU0000518543
22/08/2012
96.0461
7.60
CIBBANK
96.1962
7.30
CIBBANK
0.0000
07.02.2012
09.02.2012
D121017
HU0000518626
17/10/2012
94.7795
7.90
CITIBANK
95.0937
7.40
CITIBANK
0.0000
07.02.2012
09.02.2012
A121024C07
HU0000402417
24/10/2012
98.8291
7.70
RBHU
99.1265
7.25
GOLDMAN
1.7705
07.02.2012
09.02.2012
D121212
HU0000518709
12/12/2012
93.6883
7.90
BNPPAR
94.0640
7.40
BNPPAR
0.0000
07.02.2012
09.02.2012
D121227
HU0000518782
27/12/2012
93.4393
7.85
CITIBANK
93.6741
7.55
CITIBANK
0.0000
07.02.2012
09.02.2012
A130212D02
HU0000402045
12/02/2013
98.8313
8.00
MKBBANK
99.2948
7.50
MKBBANK
6.6945
07.02.2012
09.02.2012
A131024E09
HU0000402466
24/10/2013
98.7893
8.25
CIBBANK
99.5566
7.75
CIBBANK
2.2131
07.02.2012
09.02.2012
A140212C03
HU0000402193
12/02/2014
94.6647
8.50
GOLDMAN
95.3505
8.10
NOMURAUK
5.4548
07.02.2012
09.02.2012
A140822D11
HU0000402516
22/08/2014
96.1954
8.45
GOLDMAN
96.7341
8.20
BNPPAR
3.1537
07.02.2012
09.02.2012
A150212A04
HU0000402268
12/02/2015
98.4387
8.61
RBS
99.6881
8.12
CIBBANK
7.9342
07.02.2012
09.02.2012
A151222B10
HU0000402482
22/12/2015
94.0000
0.00
BNPPAR
94.9000
0.00
TAKARÉKBANK
0.9718
07.02.2012
09.02.2012
A160212C05
HU0000402318
12/02/2016
90.0013
8.55
MKBBANK
91.3908
8.10
BNPPAR
5.4548
07.02.2012
09.02.2012
A170224B06
HU0000402375
24/02/2017
92.2940
8.70
DEUTSCHEBANK
94.1918
8.20
DEUTSCHEBANK
6.4726
07.02.2012
09.02.2012
A171124A01
HU0000402037
24/11/2017
91.7848
8.60
INGBANK
92.6262
8.40
OTPBANK
1.4201
07.02.2012
09.02.2012
A190624A08
HU0000402433
24/06/2019
87.8350
8.80
ERSTE
90.3009
8.30
ERSTE
4.0847
07.02.2012
09.02.2012
A201112A04
HU0000402235
12/11/2020
92.2279
8.80
DEUTSCHEBANK
95.1016
8.30
DEUTSCHEBANK
1.8238
07.02.2012
09.02.2012
A220624A11
HU0000402524
24/06/2022
88.9251
8.65
BNPPAR
90.4872
8.40
CITIBANK
4.3989
07.02.2012
09.02.2012
A231124A07
HU0000402383
24/11/2023
80.5311
8.70
NOMURAUK
83.5299
8.23
INGBANK
1.2623
07.02.2012
09.02.2012
A281022A11
HU0000402532
22/10/2028
83.8543
8.60
BNPPAR
85.7238
8.36
CITIBANK
2.0287
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Best bid and ask prices of Primary Dealers
Government Debt Management Agency Private Company Limited by Shares H-1027 Budapest, Csalogány utca 9-11.