Announcements 2025
OTP Bank Plc. fulfils its disclosure obligations related to corporate events as prescribed in Act CXX of 2001 and Decree No. 24/2008 (VIII.15.) of the Minister of Finance on its own website, on the website of the Budapest Stock Exchange (www.bet.hu) and on the capital market publications website (www.kozzetetelek.mnb.hu) operated by the central bank of Hungary (MNB).
2025 February
- 21 February - OTP Group Disclosure excel 2Q 2024 - ESG tables correction
- 21 February - OTP Group Disclosure excel 2023 - ESG tables correction
- 17 February - OTP Bank Plc. announces the redemption of €650,000,000 7.350 per cent. Senior Preferred Fixed-to-Floating Callable Notes due 2026 (ISIN: XS2560693181) (the Notes)
- 11 February - Extraordinary announcement
- 11 February - Treasury share transaction
- 10 February - Treasury share transaction
- 7 February - OTP Bank Plc. redeemed the EUR 500,000,000 Fixed to Floating Rate Perpetual Subordinated Notes (ISIN: XS0274147296)
- 7 February - Treasury share transaction
- 6 February - Treasury share transaction
- 5 February - Treasury share transaction
- 4 February - Treasury share transaction
- 3 February - Number of voting rights at OTP Bank Plc. as of 31 January 2025
- 3 February
- 3 February - Treasury share transaction
2025 January
- 31 January - Treasury share transaction
- 30 January - OTP Bank Plc. announces the issuance of Tier 2 Notes in the aggregate nominal amount of USD 750 million, the ratings of the Notes and their listing on stock exchange
- 30 January - Treasury share transaction
- 29 January - Treasury share transaction
- 27 January - Treasury share transaction
- 24 January - Extraordinary announcement
- 22 January - OTP Bank Plc. announces the pricing of Tier 2 Notes in the aggregate nominal amount of USD 750 million
- 21 January
- 20 January - OTP Bank Plc. announces the increase of the programme limit of its EMTN Programme
- 20 January
- 16 January - OTP Bank Plc. announces the redemption of EUR 500,000,000 Fixed to Floating Rate Perpetual Subordinated Notes (ISIN: XS0274147296)
- 15 January - Ownership structure of OTP Bank Plc. as at 31 December 2024
- 14 January - OTP Bank’s consolidated MREL requirement
- 14 January - Extraordinary announcement
- 14 January
- 14 January - Treasury share transaction
- 13 January - Treasury share transaction
- 10 January - Treasury share transaction
- 9 January - Treasury share transaction
- 8 January - Treasury share transaction
- 7 January - Treasury share transaction
- 6 January - Treasury share transaction
- 3 January - Treasury share transaction
- 3 January - Treasury share transaction
- 2 January - Number of voting rights at OTP Bank Plc. as of 31 December 2024
- 2 January - Treasury share transaction
- 2 January