Summary Info
Redemption of Eurobond Abroad (XS3017356182)
Update Notification Flag
No
Correction Notification Flag
Yes
Postponed Notification Flag
No
Subject of Notification
Redemption
Reason of Correction
Rating Notu Güncellemesi
Board Decision Date
22.08.2024
Related Issue Limit Info
Currency Unit
USD
Limit
2.500.000.000
Issue Limit Security Type
Green/Sustainability-Themed Capital Market Instruments
Sale Type
Oversea
Domestic / Oversea
Oversea
Capital Market Board Approval Date
03.10.2024
Capital Market Instrument To Be Issued Info
Type
Sustainable Bond
Maturity Date
06.05.2026
Maturity (Day)
426
Sale Type
Oversea
The country where the issue takes place
İngiltere
Is The Issued Capital Market Instrument Green/Sustainability-Themed?
Yes
Central Securities Depository
Euroclear/Clearstream
Nominal Value of Capital Market Instrument Sold
30.000.000
Maturity Starting Date
06.03.2025
Issue Exchange Rate
1,0511
Interest Rate Type
Fixed Rate
Traded in the Stock Exchange
No
Payment Type
Foreign Exchange Payment
ISIN Code
XS3017356182
Coupon Number
1
Currency Unit
EUR
Coupon Payment Frequency
Single Coupon
Redemption Plan of Capital Market Instrument Sold
Coupon Number
Payment Date
Was The Payment Made?
1
06.05.2026
Yes
Principal/Maturity Date Payment Amount
06.05.2026
Yes
Rating
Does the issuer have a rating note?
Yes
Issuer Rating Note
Rating Company
Rating Note
Rating Date
Is it Investment Grade?
Fitch Rating
AA-(tur)- Ulusal Uzun Vadeli Notu
14.04.2026
Yes
Does the capital market instrument have a rating note?
No
Does the originator have a rating note?
No
Additional Explanations
Reference: Public disclosure dated 06.03.2025 Public disclosure dated 06.03.2025. With regard to the disclosure in the reference, the bond has been redemeed on 06.05.2026. In case of contradiction between the Turkish and English versions of this public disclosure, the Turkish version shall prevail.