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Last Update Status ISIN Securities Name Type
15/08/12 executed HU0000624127 MNB120711 Redemption
15/08/12 executed HU0000518873 D120711 Redemption
15/08/12 executed HU0000624119 MNB120704 Redemption
15/08/12 executed HU0000518857 D120704 Redemption
15/08/12 executed HU0000518857 D120704 Redemption
15/08/12 executed HU0000624119 MNB120704 Redemption
15/08/12 executed HU0000518873 D120711 Redemption
15/08/12 executed HU0000624127 MNB120711 Redemption
15/08/12 executed HU0000346085 FK15NF01 Interest Payment
15/08/12 executed HU0000344668 MKB V. bond Interest Payment
25/06/12 executed HU0000099486 Finext Dividend for Equities
25/06/12 executed HU0000053947 EGIS Dividend for Equities
25/06/12 executed HU0000086897 TC Holding Dividend for Equities
25/06/12 executed HU0000074539 ÉMÁSZ Dividend for Equities
25/06/12 executed HU0000074513 ELMŰ Dividend for Equities
25/06/12 executed HU0000099387 Kulcs-Soft Dividend for Equities
25/06/12 executed HU0000093000 Optisofit Dividend for Equities
25/06/12 executed HU0000073507 Magyar Telekom Dividend for Equities
25/06/12 executed HU0000093257 Állami Nyomda Dividend for Equities
25/06/12 executed HU0000099486 Finext Dividend for Equities
25/06/12 executed HU0000063078 BÉT Dividend for Equities
25/06/12 executed HU0000083696 Graphisoft Park SE Dividend for Equities
15/08/12 executed HU0000061726 OTP Bank Dividend for Equities
15/08/12 executed HU0000067624 Richter Gedeon Dividend for Equities
15/08/12 executed HU0000068952 MOL Dividend for Equities

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