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 December 3, 2017 and ending on March 2, 2018 is 1.28% per annum.
Continue ReadingThe current interest rate of the OBA 2022/A bond (June 3. – September 2. 2017.)
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, 2017 and ending on September 2, 2017 is 1.40% per annum.
Continue ReadingThe current interest rate of the OBA 2022/A bond (March 3. – June 2. 2017.)
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 March 3, 2017 and ending on June 2, 2017 is 1.48% per annum.
Continue ReadingThe current interest rate of the OBA 2022/A bond (December 3. 2016 – March 2. 2017.)
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 December 3, 2015 and ending on March 2, 2016 is 1.79% per annum.
Continue ReadingEFDI Publishes Deposit Guarantee Scheme Cooperation Agreement ‐ with EBA support
The European Forum of Deposit Insurers (EFDI) published today its model Cooperation Agreement and supporting Rule Book, which it recommends to European Union Deposit Guarantee Schemes (DGS), with support of the European Banking Authority (EBA). The Agreement is a milestone achievement of EFDI in its objectives of sharing this practice and experience to support depositor protection and financial stability, EFDI’s 40 members from across the European Union and the European Economic Area have contributed to this agreement. It reflects the high degree of effective cooperation and working collaboration between EU DGS. Under the Deposit Guarantee Scheme Directive, EU DGS are required to effect the payout of depositors in a cross-border… Read More
Continue ReadingThe current interest rate of the OBA 2022/A bond (September 3. – December 2. 2016.)
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 September 3, 2016 and ending on December 2, 2016 is 2.13% per annum.
Continue ReadingThe current interest rate of the OBA 2022/A bond (June 3. – September 2. 2016.)
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, 2016 and ending on September 2, 2016 is 2.28% per annum.
Continue ReadingThe current interest rate of the OBA 2022/A bond (March 3. – June 2. 2016.)
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 March 3, 2016 and ending on June 2, 2016 is 2.59% per annum.
Continue ReadingThe current interest rate of the OBA 2022/A bond (December 3. 2015 – March 2. 2016.)
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 December 3, 2015 and ending on March 2, 2016 is 2.60% per annum.
Continue ReadingThe current interest rate of the OBA 2022/A bond (September 3. – December 2. 2015.)
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 September 3, 2015 and ending on December 2, 2015 is 2.61% per annum.
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