Issuer Issue date Serie ISIN Number of bonds Value of the issue Maturity date
GTC Real Estate Development Hungary Zrt 03/12/2020
Settlement date:
07/12/2020
GTC2030/A HU0000360102 792 39 600 000 000 HUF
(ca.109 500 000 EUR)
07/12/2030
10% - 07/12/2027
10% - 07/12/2028
10% - 07/12/2029
70% - 07/12/2030
GTC Real
Estate Development
Hungary Zrt
12/03/2021
Settlement date:
17/03/2021
GTC2031/A HU0000360284 396 19 800 000 000 HUF
(ca. 53 800 000 EUR)
17/03/2031
10% - 17/03/2028
10% - 17/03/2029
10% - 17/03/2030
70% - 17/03/2031
GTC Aurora Luxembourg S.A. 23/06/2021 XS2356039268 235603926 500 000 000 EUR 23/06/2026

Date Title Report
29 Dec 2023 Annual review of 2023 allocation report Download Annual review of 2023 allocation report Report
29 Dec 2023 2023 Allocation report Download 2023 Allocation report Report
27 Dec 2021 Allocation report Download Allocation report Report
07 Jun 2021 Green Bond Framework (version initially published in November 2020 and updated in June 2021) Download Green Bond Framework (version initially published in November 2020 and updated in June 2021) Report
07 Jun 2021 Green Bond Framework Second-Party Opinion (version initially published in November 2020 and updated in June 2021) Download Green Bond Framework Second-Party Opinion (version initially published in November 2020 and updated in June 2021) Report
http://www.gtcgroup.com/en/investors/bonds/green-bonds/module-holder/reports-under-green-bond-table

Key Highlights

€2Bn+

Book Value of Portfolio

46

Commercial Buildings

30

Nearly 30 Years' Experience

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