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…
Thu, 13 Mar 2025 01:00:00 GMT With the new tranche, the aggregate nominal amount of the benchmark is USD 325 million. The maturity date of the benchmark is 2 February 2029. The benchmark bear interest at a floating rate equal to C ...
Wed, 05 Mar 2025 01:13:00 GMT On 6 March 2025 Municipality Finance Plc issues a new tranche in an amount ... The information contained herein is not for release, publication or distribution, in whole or in part, directly ...
Fri, 28 Feb 2025 01:59:00 GMT Municipality Finance Plc issues EUR 20 million notes on 3 March 2025 ... The information contained herein is not for release, publication or distribution, in whole or in part, directly or indirectly, ...
Fri, 28 Feb 2025 00:00:00 GMT Municipality Finance Plc issues EUR 25 million notes on 3 March 2025. The maturity date of the notes is 3 March 2034. MuniFin has a right, but no obligation, to redeem the notes early on 3 March 2028.
Thu, 27 Feb 2025 19:00:00 GMT Municipality Finance Plc issues EUR 25 million notes on 3 March 2025. The maturity date of the notes is 3 March 2034. MuniFin has a right, but no obligation, to redeem the notes early on 3 March 2028.