List of bonds issued by Raiffeisen Bank Zrt. Effective as from 21st June 2016.
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1 s d by Raiffeisen Bank Zrt. List of bonds d by Raiffeisen Bank Zrt. Effective as from 21st June Overview Programmes of Raiffeisen Bank Zrt List of Programmes Type of bonds d by Raiffeisen Bank Zrt Type of bonds bonds d by Raiffeisen Bank Zrt., as far as Modification regarding National Deposit Insurance Fund (NDIF) bonds bonds Long-Term (LT) and Variable bonds Discount bonds s with indexed... 9 Raiffeisen Bank Zrt Budapest, Akadémia utca 6. Raiffeisen Direkt: (06-40)
2 s d by Raiffeisen Bank Zrt. 1. Overview Programmes of Raiffeisen Bank Zrt. In the scope of its bond programs, Raiffeisen Bank sells registered, dematerialised bonds only, in the form of public offerings. The bonds d by Raiffeisen Bank, therefore it commits to pay back the and the capital as well. The purpose of the bond programmes is that the Bank raises funds from time to time to finance its business activities through bond issuances. The bonds sold in the scope of the bond programmes may be d in several series and in several instalments within each series. The bonds d by Raiffeisen Bank are denominated in or EUR or US dollars, and their tenor is minimum 30 days and maximum 15 years. s are d in the scope of subscription or auction procedures, in accordance with the Base Prospectus and the relevant Final Terms. In the case of bonds which are being circulated or under the procedure the exact terms & conditions,, dates, duration, etc. of the bond are regulated in the document Final Terms concerning the relevant bond. The Base Prospectus and the Final Terms connected to the different s are available in Raiffeisen Bank s website ( The obligation of the Bank to provide adequate information to the public on the Programmes (the public offerings connected to the procedures and the result of the s) are fulfilled in the way approved by Central Bank of Hungary (CBH; the Hungarian Financial Supervisory Authority) (via the website a capital market public disclosure system oped by CBH), as well as on the Bank s own website. The obligation of public disclosure as set out in Art. 52. (5) and Art. 54. (1) of Act CXX of 2001 on the Capital Market is fulfilled by the r via publication in its website. The Bank provides for the liquidity of the securities by bilateral quotation. Cuently the denomination of the bonds d by Raiffeisen Bank in forint may be 10,000, 100,000, or 1,000,000 therefore the of the investment must be a multiple of 10,000 forints, 100,000 forints or 1.000,000 forints. The denomination of the bonds d by Raiffeisen Bank in euro is cuently EUR 50, therefore the of the investment must be a multiple of 50 euros. You can give a buy or sell order for the secondary market at any branch of the Bank, and if you have a Direkt ID and password, you may as well give your order via the Raiffeisen Direkt telebanking service. Besides this if you have an acces to DirektNet, you may give your order via Internet. Purchase orders for the secondary market shall only be accepted if Raiffeisen Bank has available stocks. Cut-off times, fees and commisions related to bonds d by Raiffeisen Bank and execution order are listed in the List of terms and conditions for investment services of the relevant business line. If you need further information please browse on our web site or contact your account personal account manager List of Programmes billion Programmes billion Programmes billion Programmes billion Programmes Raiffeisen Bank Zrt Budapest, Akadémia utca 6. Raiffeisen Direkt: (06-40)
3 s d by Raiffeisen Bank Zrt billion Programmes billion Programmes 1.2. Type of bonds d by Raiffeisen Bank Zrt. bonds Long-Term fixed bonds Variable bonds Discount bonds autocallable (AUT) bonds range accrual (RAC) bonds 2. Type of bonds bonds d by Raiffeisen Bank Zrt., as far as As far as is concerned, the bonds d by the Bank may be fixed bonds, variable bonds, bonds with indexed s, or discount bonds. In the case of fixed bonds, the of the bond is determined in advance on annual level, and the calculated on this basis will be paid in aears, on or dates specified in the relevant Final Terms. The of variable bonds is calculated on the basis of a publicly available reference identified by the r in the relevant Final Terms. The so calculated is to be understood on annually. The calculated on the basis of the will be paid in aears, on or dates specified in the relevant Final Terms. The of bonds with indexed s will be calculated on the basis of some index and/or formula, or changes in the price or yield of some securities, cuency or standardised stock exchange product, or other factors, as provided in the relevant Final Terms. autocallable (AUT) bonds and the Raiffeisen Private Banking range accrual (RAC) bonds are part of bonds with indexed s. Discount bonds are d at a price lower than their face value, and are repaid at face value upon. No is paid on these securities. 3. Modification regarding National Deposit Insurance Fund (NDIF) In accordance with the provisions of Act CCXXXVII of 2013 on Credit Institutions and Financial Enterprises (the Banking Act ) in effect till 2nd July 2015, for the purposes of deposit insurance debt securities d by credit institutions before 2nd July 2015 qualify as deposits, hence as insured instruments until their by the National Deposit Insurance Fund (NDIF) Please be advised that in accordance with the modification of the Banking Act, effective as of 3rd July 2015, the insurance provided by the NDIF shall not cover the bonds / certificates of deposit d starting from that date. This modification shall not affect the bonds and certificates of deposit d before 2nd July 2015 which shall continue to insured until their. Raiffeisen Bank Zrt Budapest, Akadémia utca 6. Raiffeisen Direkt: (06-40)
4 s d by Raiffeisen Bank Zrt. 4. bonds bonds Long-Term (LT) fixed bonds Variable bonds 4.1. bonds Name ISIN Cuency Raiffeisen Fix 4,00% Raiffeisen Fix 2,10% EUR Raiffeisen Fix 1,80% EUR Raiffeisen Fix 2,10% EUR HU HU EUR EUR HU EUR EUR HU EUR EUR Interes t 4,00% 2,10% 1,80% 2,10% of 4,00% 2,10% 1,80% 2,10% Raiffeisen Bank Zrt Budapest, Akadémia utca 6. Raiffeisen Direkt: (06-40)
5 s d by Raiffeisen Bank Zrt. Name ISIN Cuency Raiffeisen Fix 2,00% EUR HU EUR EUR ,00% of 2,00% Raiffeisen Fix 1,40% EUR HU EUR EUR ,40% 1,40% Raiffeisen Fix 1,10% EUR HU EUR EUR ,10% 1,10% Raiffeisen Fix 1,00% EUR HU EUR EUR ,00% 1,00% Raiffeisen Bank Zrt Budapest, Akadémia utca 6. Raiffeisen Direkt: (06-40)
6 s d by Raiffeisen Bank Zrt Long-Term (LT) and Variable bonds Name ISIN Cuency Raiffeisen 8,40% LT Raiffeisen 9,50% LT Raiffeisen 9,50% LT Raiffeisen 8,25% LT Raiffeisen 10% LT Raiffeisen 5,00% LT Raiffeisen 7,00% LT Raiffeisen 5,00% LT EUR Raiffeisen 4,75% LT EUR Raiffeisen 3,50% LT EUR Raiffeisen 4,00% LT EUR Raiffeisen 3,25% LT EUR Raiffeisen 2,75% LT EUR HU HU HU HU HU HU HU Raiffeisen Bank Zrt Budapest, Akadémia utca 6. Raiffeisen Direkt: (06-40) HU EUR EUR HU EUR EUR HU EUR EUR HU EUR EUR HU EUR EUR HU EUR EUR ,40% 9,50% 9,50% 8,25% 10,0% 5,00% 7,00% 5,00% 4,75% 3,50% 4,00% 3,25% 2,75% of 7,20% 8,02% 7,92% 7,10% 8,19% 4,56% 6,03% 4,53% 4,33% 3,28% 3,65% 3,02% 2,59%
7 s d by Raiffeisen Bank Zrt. Name ISIN Cuency Raiffeisen Long-Term II HU ,35% of 7,05% Name ISIN Cuency Raiffeisen Variable EUR Raiffeisen Variable LT EUR HU EUR EUR HU EUR EUR months EURIBOR bp 6 months EURIBOR bp of - - Raiffeisen Bank Zrt Budapest, Akadémia utca 6. Raiffeisen Direkt: (06-40)
8 s d by Raiffeisen Bank Zrt. 5. Discount bonds Name ISIN Cuency Raiffeisen Bank Raiffeisen Bank Raiffeisen Bank Raiffeisen Bank Raiffeisen Bank Raiffeisen Bank to invest Min. sales price (compared to face value) HU ,4670% HU ,4000% HU ,1077% HU ,9370% HU ,7500% HU ,4294% of 5,76% 5,05% 5,20% 6,83% 6.01% 6,10% Raiffeisen Bank Zrt Budapest, Akadémia utca 6. Raiffeisen Direkt: (06-40)
9 s d by Raiffeisen Bank Zrt. 6. s with indexed autocallable (AUT) bonds range accrual (RAC) bonds Name ISIN Cuency 8% AUT % AUT HU HU Potential days of recall % 6% Condition EUR/ <306,75 EUR/ <307 Raiffeisen Bank Zrt Budapest, Akadémia utca 6. Raiffeisen Direkt: (06-40)
10 s d by Raiffeisen Bank Zrt. Name ISIN Cuency 8,00% RAC ,00% RAC ,1 % RAC ,25% RAC ,00% RAC ,00% RAC HU HU HU HU HU HU % 8% 5,1% 8.25% 6% 6% Condition EUR/: EUR/: EUR/: EUR/: 276, EUR/: 281, EUR/: Raiffeisen Bank Zrt Budapest, Akadémia utca 6. Raiffeisen Direkt: (06-40)
11 s d by Raiffeisen Bank Zrt. Name ISIN Cuency 8,00% RAC ,00% RAC ,5% RAC ,3% RAC ,60% RAC HU HU HU HU HU % 6% 5,5% 5,3% 6,60% Condition EUR/: EUR/: EUR/: EUR/: EUR/: Raiffeisen Bank Zrt Budapest, Akadémia utca 6. Raiffeisen Direkt: (06-40)
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