[CONSOLIDATION_METHOD_TITLE] [CONSOLIDATION_METHOD]
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English
oda_TenorIssueDocumentAbstract|
Tenor Issue Document
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Update Notification Flag
Hayır (No)
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Correction Notification Flag
Hayır (No)
oda_DateOfThePreviousNotificationAboutTheSameSubject|
Date Of The Previous Notification About The Same Subject
03.06.2025
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Announcement Content
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Explanations
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Reference : Public Disclosure dated 03.06.2025.

It was announced in the referenced disclosure, that the application regarding the issuance of covered bond had been sent to the Capital Markets Board to obtain tranche issuance certificate.

The issuance details for the issuance to be made under the Covered Bond Programme are given below. Capital Markets Board approved issuance certificate for the bond is attached.


ISIN:
XS3065229570
TYPE:
Covered Bond
SETTLEMENT DATE:
12.06.2025
MATURITY DATE:
12.06.2030
DAY:
1826
CURRENCY:
TL
NOMINAL AMOUNT:
3.915.283.500

In case of contradiction between the Turkish and English versions of this public disclosure, the Turkish version shall prevail.