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Hungarian language is the official and registered language of MBH Bank Nyrt.’s („the Issuer”) disclosures pursuant to the relevant legal and stock-exchange rules. The English language translations have been prepared with the best care and intention of the Issuer to inform English speaking investors, however, in the event of any controversy between the Hungarian and English version, the authentic Hungarian version shall prevail.
Information related to the Euro Medium Term Note Programmes of MBH Bank Nyrt. (documents available only in English language)
- 2026.02.05. - First Supplement to the EUR 2.5 bn EMTN Programme Base Prospectus dated on 26 November 2025 (16 January 2026) and Final Terms of the MBH EUR500mn Senior Preferred Notes - XS3276127514 (January 2026)
- 2026.02.02. - MBH EUR500mn SP Notes - XS3276127514 - Final Terms (Jan 2026).pdf
- 2026.02.02. - Extraordinary information on the issue, credit rating and listing of Senior Preferred Notes of MBH Bank Plc. with an aggregate nominal value of EUR 500 million
- Extraordinary information on the approval of the EUR 2.5 billion Euro Medium Term Note („EMTN”) Programme of MBH Bank Plc.
- Fiscal Agency Agreement (2025.11.26.)
- Deed of Covenant (2025.11.26.)
- 2025.05.20. - Second Supplement of the EUR 1.5 bn EMTN Base Prospectus dated on 31 October 2024 (28 April 2025)
- 2025.05.20. - MBH EUR200mn Tier 2 Capital Notes - XS3061479435 – Amended and Restated Final Terms (May 2025)
- 2025.05.08. - Extraordinary information on the issue, credit rating and listing of Tier 2 Capital Notes of MBH Bank Plc. with an aggregate nominal value of EUR 200 million
- 2025.02.11. - Base Prospectus (MBH Bank Nyrt. EUR 1,500,000,000 Euro Medium Term Note Programme – 31 October 2024), First Supplement (17 January 2025) and Final Terms (MBH EUR750mn SP Notes, XS2978001324 – January 2025)
- 2025.01.29. - Extraordinary information on the issue, credit rating and listing of the Senior Preferred Notes of MBH Bank Plc. with an aggregate nominal value of EUR 750 million
- 2025.01.23. - Investor Presentation - senior preferred issuance January 2025
- 2025.01.22. - Extraordinary information on the pricing of MBH Bank Plc’s Senior Preferred Notes in total nominal value of EUR 750 million
- 2025.01.17. - First Supplement to the Base Prospectus dated 31 October 2024 of Euro Medium Term Note Programme (17 January 2025)
- 2023.10.19. - Extraordinary information on the issue, credit rating and listing of the (Senior Preferred) bonds of MBH Bank Nyrt. with a total nominal value of EUR 350 million classified as ordinary unsecured claims
- Final Terms
- 2023.10.12. - Extraordinaryinformationonthepricing of MBH Bank Plc's (SeniorPreferred) bonds of a totalnominalvalue of EUR 350 millioncategorisedasreceivableswithoutregularcollateralcoverage
- 2023.10.03. - Extraordinary information: Approval of the EUR 1.5 billion Euro Medium Term Note („EMTN”) Programme of MBH Bank Plc.
- Deed of Covenant
- Agency Agreement
- 2023.10.02. - Investor Presentation - senior unsecured issuance
- Base Prospectus
Tisztelt Ügyfelünk!
Ezúton tájékoztatjuk Önt, hogy az MKB Bank Nyrt. és a Takarékbank Zrt. – a Takarékbank Zrt. beolvadásával – 2023. április 30-án egyesült, és az így létrejött kereskedelmi bank, mint a Magyar Bankholding bankcsoport anyabankja 2023. május 1-jétől MBH Bank Nyrt. (a továbbiakban: MBH Bank) név alatt működik tovább.
Tisztelt Ügyfelünk!
Ezúton tájékoztatjuk Önt, hogy az MKB Bank Nyrt. és a Takarékbank Zrt. – a Takarékbank Zrt. beolvadásával – 2023. április 30-án egyesült, és az így létrejött kereskedelmi bank, mint a Magyar Bankholding bankcsoport anyabankja 2023. május 1-jétől MBH Bank Nyrt. (a továbbiakban: MBH Bank) név alatt működik tovább.
Tisztelt Ügyfelünk!
Ezúton tájékoztatjuk Önt, hogy az MKB Bank Nyrt. és a Takarékbank Zrt. – a Takarékbank Zrt. beolvadásával – 2023. április 30-án egyesült, és az így létrejött kereskedelmi bank, mint a Magyar Bankholding bankcsoport anyabankja 2023. május 1-jétől MBH Bank Nyrt. (a továbbiakban: MBH Bank) név alatt működik tovább.