Municipality Finance PlcStock exchange release 23 January 2025 at 10:00 am (EET) Municipality Finance issues EUR 9 million notes under its MTN programme Municipality Finance Plc issues EUR 9 million notes on 24 January 2025. The maturity date of the notes is 24 January 2037. The notes bear interest at a floating rate equal to…
Fri, 09 May 2025 03:00:00 GMT The maturity date of the notes is 14 May 2029. The notes bear interest at a floating rate equal to 3-month EURIBOR plus 22.5 bps per annum. The notes are issued under MuniFin’s EUR 50 billion ...
Mon, 05 May 2025 23:59:00 GMT The maturity date of the notes is 28 December 2027. The notes bear interest at a floating rate equal to 3-month Stibor plus 13 bps per annum. The notes are issued under MuniFin’s EUR 50 billion ...
Mon, 05 May 2025 00:00:00 GMT With the new tranche, the aggregate nominal amount of the benchmark is GBP 550 million. The maturity date of the benchmark is 2 October 2028. The benchmark bears interest at a fixed rate of 4.375 % ...
Tue, 15 Apr 2025 08:00:00 GMT Municipality Finance Plc issues EUR 20 million notes on 16 April 2025 ... The information contained herein is not for release, publication or distribution, in whole or in part, directly or indirectly, ...
Mon, 14 Apr 2025 20:00:00 GMT Municipality Finance Plc issues EUR 20 million notes on 16 April 2025. The maturity date of the notes is 16 April 2035. MuniFin has a right, but no obligation, to redeem the notes early on 16 ...