Summary Info
The Coupon Payment of the Bond with the ISIN Code of XS2695038401
Update Notification Flag
Yes
Correction Notification Flag
No
Postponed Notification Flag
No
Subject of Notification
Coupon Payment
Board Decision Date
01.02.2023
Related Issue Limit Info
Currency Unit
USD
Limit
500.000.000
Issue Limit Security Type
Debt Securities
Sale Type
Oversea
Domestic / Oversea
Oversea
Capital Market Board Approval Date
20.07.2023
Capital Market Instrument To Be Issued Info
Type
Bond
Maturity Date
25.09.2028
Maturity (Day)
1.827
Sale Type
Oversea
The country where the issue takes place
İrlanda
Central Securities Depository
Euroclear/Clearstream
Nominal Value of Capital Market Instrument Sold
400.000.000
Maturity Starting Date
25.09.2023
Issue Exchange Rate
1
Interest Rate Type
Fixed Rate
Traded in the Stock Exchange
No
Payment Type
Foreign Exchange Payment
ISIN Code
XS2695038401
Coupon Number
10
Currency Unit
USD
Coupon Payment Frequency
Once Every Six Months
Redemption Plan of Capital Market Instrument Sold
Coupon Number
Payment Date
Was The Payment Made?
1
25.03.2024
Yes
2
25.09.2024
Yes
3
25.03.2025
Yes
4
25.09.2025
Yes
5
25.03.2026
6
25.09.2026
7
25.03.2027
8
27.09.2027
9
27.03.2028
10
25.09.2028
Principal/Maturity Date Payment Amount
25.09.2028
Rating
Does the issuer have a rating note?
Yes
Issuer Rating Note
Rating Company
Rating Note
Rating Date
Is it Investment Grade?
Fitch Ratings
AAA(tur)Uzun Vadeli Ulusal Kredi Notu
06.03.2024
Yes
Does the capital market instrument have a rating note?
Yes
Capital Market Instrument Rating Note
Rating Company
Rating Note
Rating Date
Is it Investment Grade?
Fitch Ratings
BB+ Yabancı Para Uzun Vadeli
18.03.2024
No
Additional Explanations
The coupon payment of our Company's bond with the ISIN code of XS2695038401 was completed on 25.09.2025. In case of a discrepancy between the Turkish and the English versions of this disclosure statement, the Turkish version shall prevail.