XS2161992511 · Govt · EUR

Hungary (republic Of) Regs 1.63% 2032/04

Hungary (republic Of) RegsHungaryEURO NON-DOLLARSenior Unsecured
MID PRICE
par = 100
YIELD TO MAT.
semi-annual
COUPON
1.630%
semi-annual · fixed
MATURITY
2032-04-28
bullet · 5.98y
OUTSTANDING
not disclosed
AS OF

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Risk analytics

SEMI-ANNUAL · BULLET · PAR 100
Modified duration
Convexity
Years to maturity
5.98 y
YTM source
Market signals · funds disclosing this bond
SignalCategoryExposureLast moveWeightAs of
Vanguard Total International Bond
Vanguard
International Aggregate ex-USD$12.3M0.01%2026-03-31
iShares International Aggregate Bond
iShares
Intl Aggregate$443K▼ $2K0.00%2026-05-04
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Price history

No price history yet. Daily ingestion will accumulate history as new snapshots arrive.

Sherpa Signal

AS OF 2026-05-04

Institutional footprint · signal-level holdings

22/ 100Early footprint
Interpretation. Minimal institutional footprint, holding
HOLDERS
2
unchanged in 7d
AGGREGATE EXPOSURE
$12.7M
USD across all
TOP CONCENTRATION
96.5%
largest holder
FLOW
▼ $10K
unchanged in 7d

Sherpa Signal is derived from a panel of tracked institutional portfolios. Names of individual holders are not disclosed.

100K PAR NOTIONAL · MARKET VALUE
No price available yet

RFQ routing · coming soon

Security details

VIA OPENFIGI
Canonical
REPHUN 1 5/8 04/28/32
FIGI
BBG00TFS2BT0
ISIN
XS2161992511
Type
Govt
Issued
2020-04-28
Face value
100 EUR
Ticker
REPHUN 1.625 04/28/32 12Y
Sec. type
EURO NON-DOLLAR
Seniority
Senior Unsecured

Issuer curve

REPHUN · 2 PTS

Yield (%) plotted against years-to-maturity. This bond highlighted in amber.