[CONSOLIDATION_METHOD_TITLE] [CONSOLIDATION_METHOD]
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English
oda_MaterialEventDisclosureGeneralAbstract|
Material Event Disclosure General
oda_UpdateAnnouncementFlag|
Update Notification Flag
Hayır (No)
oda_CorrectionAnnouncementFlag|
Correction Notification Flag
Hayır (No)
oda_DateOfThePreviousNotificationAboutTheSameSubject|
Date Of The Previous Notification About The Same Subject
30.03.2014, 01.04.2014
oda_DelayedAnnouncementFlag|
Postponed Notification Flag
Hayır (No)
oda_AnnouncementContentSection|
Announcement Content
oda_ExplanationSection|
Explanations
oda_ExplanationTextBlock|

Reference: Public disclosure dated 30.03.2014,

Public disclosure dated 01.04.2014.


The information regarding the bond mentioned in disclosures in the reference is given below and the redemption of the bond in has been completed.

ISIN
US00971YAF79
TYPE
BOND
SETTLEMENT DATE
31.03.2015
MATURITY DATE
31.03.2025
DAY
3653
CURRENCY
USD
NOMINAL AMOUNT
119.740.000


ISIN
XS1210422074
TYPE
BOND
SETTLEMENT DATE
31.03.2015
MATURITY DATE
31.03.2025
DAY
3653
CURRENCY
USD
NOMINAL AMOUNT
380.260.000