Summary Info
|
Completion of Bond Issuance
|
Update Notification Flag
|
No
|
Correction Notification Flag
|
No
|
Postponed Notification Flag
|
No
|
Subject of Notification
|
Other
|
|
Board Decision Date
|
02.06.2025
|
|
|
Currency Unit
|
TRY
|
Limit
|
10.000.000.000
|
Issue Limit Security Type
|
Debt Securities
|
Sale Type
|
Private Placement-Sale To Qualified Investor
|
Domestic / Oversea
|
Domestic
|
Capital Market Board Approval Date
|
31.07.2025
|
|
Capital Market Instrument To Be Issued Info
|
Type
|
Bill
|
Maturity Date
|
30.03.2026
|
Maturity (Day)
|
180
|
Sale Type
|
Private Placement
|
Intended Nominal Amount
|
1.000.000.000
|
The country where the issue takes place
|
Türkiye
|
Title Of Intermediary Brokerage House
|
İŞ YATIRIM MENKUL DEĞERLER A.Ş.
|
Central Securities Depository
|
Merkezi Kayıt Kuruluşu A.Ş.
|
Starting Date of Sale
|
29.09.2025
|
Ending Date of Sale
|
29.09.2025
|
Nominal Value of Capital Market Instrument Sold
|
1.000.000.000
|
Maturity Starting Date
|
01.10.2025
|
Structured Debt Securities Underlying Assets
|
-
|
Guaranty And Warrant Regarding Issue (If Available)
|
-
|
|
|
Does the issuer have a rating note?
|
Yes
|
|
Issuer Rating Note
|
Rating Company
|
Rating Note
|
Rating Date
|
Is it Investment Grade?
|
JCR Eurasia Rating
|
AAA (Tr)
|
18.06.2025
|
Yes
|
|
|
Does the capital market instrument have a rating note?
|
No
|
|
Does the originator have a rating note?
|
No
|
|
Other Developments Regarding Issue
|
-
|
|
Within the scope of our Company's debt instrument issuance limit of TL 10.000.000.000 approved by the Capital Markets Board's decision dated 31.07.2025 (No. 43/1355), a nominal TL 1.000.000.000 has been issued with redemption date of 30.03.2026. İş Yatırım Menkul Kıymetler A.Ş. acted as an intermediary in this transaction.
|
|