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Related Companies
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[]
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Related Funds
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[]
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English
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oda_NotificationRegardingGreenSustainabilityThemedCapitalMarketInstrumentsAbstract|
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oda_UpdateAnnouncementFlag|
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Evet (Yes)
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oda_CorrectionAnnouncementFlag|
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Hayır (No)
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oda_DateOfThePreviousNotificationAboutTheSameSubject|
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20.09.2023
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oda_AnnouncementContentSection|
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oda_ExplanationSection|
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oda_ExplanationTextBlock|
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The Turkish translation of Allocation and Impact Report for sustainable eurobond issuance with ISIN codes XS2678232781 and US90015YAE95, amounting to USD 300 million and redemption date of 19.10.2028, issued by our Bank on 19.09.2023, is attached.
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