Announcements 2011
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).
December 2011
- 29 December - The issuance of OTP_TBSZ2016II (tranche 010) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 29 December - The issuance of OTP_TBSZ2014II (tranche 010) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 29 December - The issuance of OTP_EURO_2013/XIII (tranche 001) 4 per cent fixed rate bonds by OTP Bank Nyrt.
- 29 December - The issuance of OTP_EURO_2012/XIII (tranche 001) 3.25 per cent fixed rate bonds by OTP Bank Nyrt.
- 29 December - The issuance of OTP 2012/XXV 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 23 December - Extraordinary announcement - Rating action
- 23 December - The issuance of OTP_OVK_2013/I (tranche 006) variable rated bonds by OTP Bank Nyrt.
- 22 December - The issuance of OTPX2016D index linked bonds by OTP Bank Nyrt.
- 21 December - The issuance of OTPRF2021E index linked bonds by OTP Bank Nyrt.
- 21 December - The issuance of OTPRF2021D index linked bonds by OTP Bank Nyrt.
- 21 December - The issuance of OTPRF2021C index linked bonds by OTP Bank Nyrt.
- 21 December - The issuance of OTPX2021D index linked bonds by OTP Bank Nyrt.
- 21 December - The issuance of OTPX2017E index linked bonds by OTP Bank Nyrt.
- 21 December - The issuance of OTPX2014G index linked bonds by OTP Bank Nyrt.
- 21 December - The issuance of OTP_OJK_2016/I fix rated annuity bonds by OTP Bank Nyrt.
- 20 December - Senior officer’s treasury share transaction
- 19 December - Rating affirmation
- 16 December - The issuance of OTP_EURO_2013/XII (tranche 001) 3.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 16 December - The issuance of OTP_EURO_2012/XII (tranche 001) 3 per cent fixed rate bonds by OTP Bank Nyrt.
- 16 December - The issuance of OTP_TBSZ2016II (tranche 009) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 16 December - The issuance of OTP_TBSZ2014II (tranche 009) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 16 December - The issuance of OTP 2012/XXV 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 14 December - Senior officer’s treasury share transaction
- 9 December - The issuance of OTP 2012/XXIV 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 8 December
- 5 December - Capital increase at OTP Flat Lease Ltd.
- 2 December - The issuance of OTP_EURO_2013/XI (tranche 001) 3,5 per cent fixed rate bonds by OTP Bank Nyrt.
- 2 December - The issuance of OTP_EURO_2012/XI (tranche 001) 3 per cent fixed rate bonds by OTP Bank Nyrt.
- 2 December - The issuance of OTP_TBSZ2016II (tranche 008) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 2 December - The issuance of OTP_TBSZ2014II (tranche 008) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 2 December - The issuance of OTP 2012/XXIV 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 1 December - Number of voting rights at OTP Bank Plc. as of 30 November 2011
- 1 December - OTP Bank’s treasury share transactions related to ETFBUXOTP Fund
November 2011
- 28 November - Rating action
- 25 November - The issuance of OTP_OJK_2016/I fix rated annuity bonds by OTP Bank Nyrt.
- 25 November - The issuance of OTP_EURO_2013/X (tranche 001) 3 per cent fixed rate bonds by OTP Bank Nyrt.
- 25 November - The issuance of OTP_EURO_2012/X (tranche 001) 2,75 per cent fixed rate bonds by OTP Bank Nyrt.
- 25 November - The issuance of OTP_TBSZ2016II (tranche 007) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 25 November - The issuance of OTP_TBSZ2014II (tranche 007) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 25 November - The issuance of OTP 2012/XXIII 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 25 November - Notification of voting rights
- 18 November - The issuance of OTP_EURO_2013/IX (tranche 001) 3 per cent fixed rate bonds by OTP Bank Nyrt.
- 18 November - The issuance of OTP_EURO_2012/IX (tranche 001) 2,75 per cent fixed rate bonds by OTP Bank Nyrt.
- 18 November - The issuance of OTP_OVK_2013/I (tranche 005) variable rated bonds by OTP Bank Nyrt.
- 18 November - The issuance of OTP 2012/XXIII 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 18 November - Interim Management Report - First nine months 2011 result
- 16 November - Treasury share transaction
- 16 November - Rating action – Credit Watch Negative
- 11 November - The issuance of OTP_OJK_2016/I fix rated annuity bonds by OTP Bank Nyrt.
- 11 November - The issuance of OTP_TBSZ2016II (tranche 006) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 11 November - The issuance of OTP_TBSZ2014II (tranche 006) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 11 November - The issuance of OTP 2012/XXII 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 10 November - Capital increase at OTP banka Srbija
- 9 November - Registration of Multipont Program Zrt.
- 5 November - The issuance of OTP_EURO_2013/VIII (tranche 001) 3 per cent fixed rate bonds by OTP Bank Plc.
- 5 November - The issuance of OTP_EURO_2012/VIII (tranche 001) 2,75 per cent fixed rate bonds by OTP Bank Plc.
- 5 November - The issuance of OTP 2012/XXII 5.5 per cent fixed rate bonds by OTP Bank Plc.
- 5 November - OTP share transaction of senior officer’s close relative
- 2 November - Number of voting rights at OTP Bank Plc. as of 31 October 2011
- 2 November - OTP Bank’s treasury share transactions related to ETFBUXOTP Fund
October 2011
- 28 October - The issuance of OTP 2012/XXI 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 28 October - OTP Bank Plc.’s unconsolidated and consolidated financial statements in accordance with international financial reporting standards for the six month period ended 30 June 2011 are available
- 21 October - OTP Bank Plc. announces the partial cancellation of EUR 125 million subordinated notes, ISIN-code: XS0214084252
- 21 October - The issuance of OTP_DC_USD_120113_8%_248 dual currency redemption fixed rate bonds by OTP Bank Nyrt.
- 21 October - The issuance of OTP_EURO_2013/VII (tranche 001) 3 per cent fixed rate bonds by OTP Bank Nyrt.
- 21 October - The issuance of OTP_EURO_2012/VII (tranche 001) 2,75 per cent fixed rate bonds by OTP Bank Nyrt.
- 21 October - The issuance of OTP_TBSZ2016II (tranche 005) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 21 October - The issuance of OTP_TBSZ2014II (tranche 005) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 21 October - The issuance of OTP 2012/XX 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 20 October - The issuance of OTPX2017D index linked bonds by OTP Bank Nyrt.
- 20 October - The issuance of OTPX2014F index linked bonds by OTP Bank Nyrt.
- 20 October - The issuance of OTPRF2021B index linked bonds by OTP Bank Nyrt.
- 14 October - The issuance of OTP_DNT_USD_2012A index linked bonds by OTP Bank Nyrt.
- 14 October - The issuance of OTP_DNT_HUF_2012A index linked bonds by OTP Bank Nyrt.
- 14 October - The issuance of OTP_DNT_EUR_2012A index linked bonds by OTP Bank Nyrt.
- 14 October - The issuance of OTP_DC_EUR_2012A dual currency redemption fixed rate bonds by OTP Bank Nyrt.
- 14 October - The issuance of OTP 2012/XX 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 14 October - The issuance of OTP_OVK_2013/I (tranche 004) variable rated bonds by OTP Bank Nyrt.
- 14 October - The issuance of OTP_OJK_2016/I fix rated annuity bonds by OTP Bank Nyrt.
- 11 October - OTP Bank Plc. covers losses of OTP Mortgage Bank due to mortgage loan prepayments at fixed foreign exchange rate
- 7 October - The issuance of OTP_TBSZ2016II (tranche 004) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 7 October - The issuance of OTP_TBSZ2014II (tranche 004) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 7 October - The issuance of OTP_EURO_2013/VI (tranche 001) 3 per cent fixed rate bonds by OTP Bank Nyrt.
- 7 October - The issuance of OTP_EURO_2012/VI (tranche 001) 2,75 per cent fixed rate bonds by OTP Bank Nyrt.
- 7 October - The issuance of OTP 2012/XX 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 6 October - Senior officer’s treasury share transaction
- 6 October - OTP Bank Plc. announces the 2011 update of its EMTN Programme
- 5 October - Rating action
- 3 October - Number of voting rights at OTP Bank Plc. as of 30 September 2011
- 3 October - OTP Bank’s treasury share transactions related to ETFBUXOTP Fund
September 2011
- 30 September - The issuance of OTP 2012/XIX 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 26 September - Senior officer’s treasury share transaction
- 26 September - Treasury share transaction
- 23 September - The issuance of OTP_OVK_2013/I (tranche 003) variable rated bonds by OTP Bank Nyrt.
- 23 September - The issuance of OTPRA2014B index linked bonds by OTP Bank Nyrt.
- 23 September - The issuance of OTP_EURO_2013/V (tranche 001) 3 per cent fixed rate bonds by OTP Bank Nyrt.
- 23 September - The issuance of OTP_EURO_2012/V (tranche 001) 2,75 per cent fixed rate bonds by OTP Bank Nyrt.
- 23 September - The issuance of OTP_TBSZ2016II (tranche 003) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 23 September - The issuance of OTP_TBSZ2014II (tranche 003) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 23 September - The issuance of OTP 2012/XIX 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 23 September - Treasury share transaction
- 21 September - Treasury share transaction
- 20 September - Treasury share transaction
- 19 September - The issuance of OTPX2021C index linked bonds by OTP Bank Nyrt.
- 19 September - The issuance of OTPX2017C index linked bonds by OTP Bank Nyrt.
- 19 September - Senior officer’s treasury share transaction
- 19 September - Extraordinary announcement - Notification of voting rights
- 16 September - The issuance of OTPRA2014B index linked bonds by OTP Bank Nyrt.
- 16 September - The issuance of OTP_OJK_2016/I fix rated annuity bonds by OTP Bank Nyrt.
- 16 September - The issuance of OTP 2012/XVIII 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 15 September - Treasury share transaction
- 14 September - The issuance of OTP_OVK_2013/I (tranche 002) variable rated bonds by OTP Bank Nyrt.
- 14 September - Extraordinary announcement
- 14 September - Capital increase at CRNOGORSKA KOMERCIJALNA BANKA
- 14 September - Treasury share transaction
- 12 September - Extraordinary announcement
- 9 September - The issuance of OTP_EURO_2013/IV (tranche 001) 3 per cent fixed rate bonds by OTP Bank Nyrt.
- 9 September - The issuance of OTP_EURO_2012/IV (tranche 001) 2,75 per cent fixed rate bonds by OTP Bank Nyrt.
- 9 September - The issuance of OTP_TBSZ2016II (tranche 002) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 9 September - The issuance of OTP_TBSZ2014II (tranche 002) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 9 September - The issuance of OTP 2012/XVIII 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 8 September - OTP Bank Plc. announces the partial cancellation of EUR 125 million subordinated notes, ISIN-code: XS0214084252
- 7 September - OTP Bank Plc. announces the partial cancellation of EUR 125 million subordinated notes, ISIN-code: XS0214084252
- 2 September - The issuance of OTP 2012/XVII 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 1 September - Number of voting rights at OTP Bank Plc. as of 31 August 2011
- 1 September - OTP Bank’s treasury share transactions related to ETFBUXOTP Fund OTP
August 2011
- 26 August - OTP Bank Plc. announces the partial cancellation of EUR 125 million subordinated notes, ISIN-code: XS0214084252
- 26 August - The issuance of OTP_OJK_2016/I (tranche 001) fix rated annuity bonds by OTP Bank Nyrt.
- 26 August - The issuance of OTP_OVK_2013/I (tranche 001) variable rated bonds by OTP Bank Nyrt.
- 26 August - The issuance of OTP_EURO_2013/III (tranche 001) 3 per cent fixed rate bonds by OTP Bank Nyrt.
- 26 August - The issuance of OTP_EURO_2012/III (tranche 001) 2,75 per cent fixed rate bonds by OTP Bank Nyrt.
- 26 August - The issuance of OTP_TBSZ2016II (tranche 001) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 26 August - The issuance of OTP_TBSZ2014II (tranche 001) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 26 August - The issuance of OTP 2012/XVII 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 22 August - Treasury share transaction
- 19 August - The issuance of OTP 2012/XVI 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 19 August - Half-year Financial Report - First half 2011 result
- 12 August - The issuance of OTP_EURO_2013/II (tranche 001) 3 per cent fixed rate bonds byOTP Bank Nyrt.
- 12 August - The issuance of OTP_EURO_2012/II (tranche 001) 2,75 per cent fixed rate bonds by OTP Bank Nyrt.
- 12 August - The issuance of OTP 2012/XVI 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 11 August - Capital increase in OTP Life Annuity Property Investment Ltd.
- 15 August - The issuance of OTP_EURO_2013/I (tranche 001) 3 per cent fixed rate bonds by OTP Bank Nyrt.
- 5 August - The issuance of OTP_EURO_2012/I (tranche 001) 2,75 per cent fixed rate bonds by OTP Bank Nyrt.
- 5 August - The issuance of OTP_TBSZ2014I (tranche 016) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 5 August - The issuance of OTP_TBSZ2014I (tranche 016) 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 5 August - The issuance of OTP 2012/XV 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 1 August
July 2011
- 29 July - The issuance of OTP 2012/XV 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 25 July - Extraordinary announcement - Treasury share transaction
- 22 July - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 22 July - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 22 July - The issuance of OTP 2012/XIV 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 21 July - Treasury share transaction
- 20 July - The issuance of OTP_DC_USD_2011A dual currency redemption fixed rate bonds by OTP Bank Nyrt.
- 15
July
- OTP Bank Plc. Capital Update - EU Wide Stress Test Results
- Results of the 2011 EBA EU-wide stress test
- Announcement of the Ministry for National Economy on the results of the stress tests conducted by the EBA
- Announcement of the Hungarian Financial Supervisory Authority on the results of the stress tests conducted by the EBA
- 15 July - The issuance of OTP 2012/XIV 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 8 July - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 8 July - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 8 July - The issuance of OTP 2012/XIII 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 7 July - Treasury share transaction
- 5 July - The issuance of OTPRF2021A index linked bonds by OTP Bank Nyrt.
- 5 July - Treasury share transaction
- 1 July - The issuance of OTP 2012/XIII 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 1 July - Number of voting rights at OTP Bank Plc. as of 30 June 2011
- 1 July - OTP Bank’s treasury share transactions related to ETFBUXOTP Fund
June 2011
- 27 June - The issuance of OTP_DC_HUF_2011A dual currency redemption fixed rate bonds by OTP Bank Nyrt.
- 27 June - The issuance of OTP_DC_EUR_2011A dual currency redemption fixed rate bonds by OTP Bank Nyrt.
- 27 June - The issuance of OTP_DNT_USD_2011C index linked bonds by OTP Bank Nyrt.
- 27 June - The issuance of OTP_DNT_HUF_2011C index linked bonds by OTP Bank Nyrt.
- 27 June - The issuance of OTP_DNT_EUR_2011C index linked bonds by OTP Bank Nyrt.
- 27 June - The issuance of OTP_DNT_CHF_2011B index linked bonds by OTP Bank Nyrt.
- 24 June - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 24 June - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 24 June - The issuance of OTP 2012/XII 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 17 June - The issuance of OTP 2012/XII 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 17 June - The issuance of OTPX2021B index linked bonds by OTP Bank Nyrt.
- 17 June - The issuance of OTPX2017B index linked bonds by OTP Bank Nyrt.
- 17 June - The issuance of OTPX2014E index linked bonds by OTP Bank Nyrt.
- 14 June - The governing body is authorized to take over the functions of the Audit Committee
- 10 June - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 10 June - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 10 June - The issuance of OTP 2012/XI 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 3 June - The issuance of OTP 2012/XI 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 1 June - Number of voting rights at OTP Bank Plc. as of 31 May 2011
- 1 June - OTP Bank’s treasury share transactions related to ETFBUXOTP Fund
May 2011
- 30 May - By-laws of the Company
- 27 May - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 27 May - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 27 May - The issuance of OTP 2012/X 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 27 May - Dividend payment of OTP Bank Plc. for the business year 2010
- 26 May - Extraordinary announcement
- 20 May - The issuance of OTP 2012/X 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 19 May - Interim Management Report - First quarter 2011 result
- 16 May - OTP Bank Plc. announces the redemption of EUR 500 million senior notes, ISIN-code: XS0364137272
- 13 May - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 13 May - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 13 May - The issuance of OTP 2012/IX 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 13 May - Public reference in line with Government decree No. 234/2007. (IX.4) on disclosure requirements
- 6 May - The issuance of OTP 2012/IX 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 2 May - Number of voting rights at OTP Bank Plc. as of 30 April 2011
- 2 May - OTP Bank’s treasury share transactions related to ETFBUXOTP Fund
April 2011
- 29 April - Corporate Governance Report
- 29 April
- 29 April - Resolutions made at OTP Bank’s AGM
- 29 April - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 29 April - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 29 April - The issuance of OTP 2012/VIII 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 22 April - The issuance of OTPX2016C index linked bonds by OTP Bank Nyrt.
- 22 April - The issuance of OTP 2012/VIII 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 15 April - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 15 April - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 15 April - The issuance of OTP 2012/VII 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 8 April - The issuance of OTP 2012/VII 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 8 April - Documentation for the company's Annual General Meeting
- 17 April - Main figures of the Financial Statements of OTP Bank Plc.
- 5 April - Rating action
- 1 April - The issuance of OTPX2021A index linked bonds by OTP Bank Nyrt.
- 1 April - The issuance of OTPX2017A index linked bonds by OTP Bank Nyrt.
- 1 April - The issuance of OTPX2014D index linked bonds by OTP Bank Nyrt.
- 1 April - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 1 April - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 1 April - The issuance of OTP 2012/VI 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 1 April - Number of voting rights at OTP Bank Plc. as of 31 March 2011
- 1 April - OTP Bank’s treasury share transactions related to ETFBUXOTP Fund
- 1 April - Notification of voting rights
March 2011
- 30 March
- 25 March - The issuance of OTPRA2014A index linked bonds by OTP Bank Nyrt.
- 25 March - The issuance of OTP_DNT_USD_2011B index linked bonds by OTP Bank Nyrt.
- 25 March - The issuance of OTP_DNT_HUF_2011B index linked bonds by OTP Bank Nyrt.
- 25 March - The issuance of OTP_DNT_EUR_2011B index linked bonds by OTP Bank Nyrt.
- 25 March - The issuance of OTP_DNT_CHF_2011A index linked bonds by OTP Bank Nyrt.
- 25 March - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 25 March - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 25 March - The issuance of OTP 2012/VI 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 24 March - Rating Upgrade
- 11 March - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 11 March - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 11 March - The issuance of OTP 2012/V 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 4 March - The issuance of OTP 2012/V 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 4 March - Summary of the full-year 2010 results
- 1 March - Number of voting rights at OTP Bank Plc. as of 28 February 2011
- 1 March - OTP Bank’s treasury share transactions related to ETFBUXOTP Fund
February 2011
- 25 February - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 25 February - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 25 February - The issuance of OTP 2012/IV 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 18 February - The issuance of OTP 2012/IV 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 11 February - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 11 February - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 11 February - The issuance of OTP 2012/III 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 4 February - The issuance of OTP 2012/III 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 2 February - Resignation of Board of Directors’ member
- 1 February - Number of voting rights at OTP Bank Plc. as of 31 January 2011
- 1 February - OTP Bank’s treasury share transactions related to ETFBUXOTP Fund
January 2011
- 28 January - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 28 January - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 28 January - The issuance of OTP 2012/II 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 21 January - The issuance of OTP 2012/II 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 14 January - The issuance of OTP_TBSZ2016I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 14 January - The issuance of OTP_TBSZ2014I 5.5 per cent fixed rate bonds by OTP Bank Nyrt.
- 14 January - The issuance of OTP 2012/I 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 14 January - Ownership structure of OTP Bank Plc. as at 31 December 2010
- 7 January - The issuance of OTP 2012/I 5.0 per cent fixed rate bonds by OTP Bank Nyrt.
- 3 January - Number of voting rights at OTP Bank Plc. as of 31 December 2010
- 3 January - OTP Bank’s treasury share transactions related to ETFBUXOTP Fund