The National Deposit Insurance Fund of Hungary hereby informs the bondholders that the floating interest rate of the OBA 2022/A bond for the period commencing on June 3, 2018 and ending on September 2, 2018 is 1.37% per annum.
The National Deposit Insurance Fund of Hungary hereby informs the bondholders that the floating interest rate of the OBA 2022/A bond for the period commencing on June 3, 2018 and ending on September 2, 2018 is 1.37% per annum.