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            Summary Info
            
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            Disclosure of the Coupon Rate of the Bond with ISIN Code TRSKNTR32719
            
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            Update Notification Flag
            
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            No
            
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            Correction Notification Flag
            
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            Yes
            
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            Postponed Notification Flag
            
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            No
            
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            Subject of Notification
            
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            Coupon Rate Determination
            
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            Reason of Correction
            
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            Interest rate revision
            
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           Board Decision Date
           
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           29.11.2024
           
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           Currency Unit
           
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           TRY
           
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           Limit
           
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           9.500.000.000
           
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           Issue Limit Security Type
           
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           Debt Securities
           
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           Sale Type
           
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           Private Placement-Sale To Qualified Investor
           
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           Domestic / Oversea
           
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           Domestic
           
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           Capital Market Board Approval Date
           
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           16.01.2025
           
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        Capital Market Instrument To Be Issued Info
        
       
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           Type
           
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           Bond
           
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           Maturity Date
           
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           05.03.2027
           
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           Maturity (Day)
           
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           728
           
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           Sale Type
           
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           Sale To Qualified Investor
           
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           Intended Nominal Amount
           
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           100.000.000
           
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           Intended Maximum Nominal Amount
           
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           100.000.000
           
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           The country where the issue takes place
           
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           Türkiye
           
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           Approval Date of Tenor Issue Document
           
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           16.01.2025
           
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           Title Of Intermediary Brokerage House
           
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           OSMANLI YATIRIM MENKUL DEĞERLER A.Ş.
           
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           Central Securities Depository
           
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           Merkezi Kayıt Kuruluşu A.Ş.
           
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           Starting Date of Sale
           
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           06.03.2025
           
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           Ending Date of Sale
           
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           06.03.2025
           
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           Nominal Value of Capital Market Instrument Sold
           
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           100.000.000
           
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           Maturity Starting Date
           
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           07.03.2025
           
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           Issue Price
           
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           1
           
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           Interest Rate Type
           
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           Floating Rate
           
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           Floating Rate Reference
           
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           TLREF
           
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           Additional Return (%)
           
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           4,5
           
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           Traded in the Stock Exchange
           
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           Yes
           
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           Payment Type
           
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           TL Payment
           
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           ISIN Code
           
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           TRSKNTR32719
           
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           Coupon Number
           
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           8
           
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           Currency  Unit
           
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           TRY
           
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           Coupon Payment Frequency
           
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           Quarterly
           
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       Redemption Plan of Capital Market Instrument Sold
      
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           Coupon Number
           
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           Payment Date
           
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           Record Date
           
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           Payment Date
           
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           Interest Rate - Periodic (%)
           
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           Interest Rate - Yearly Simple (%)
           
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           Interest Rate - Yearly Compound (%)
           
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           Payment Amount
           
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           Exchange Rate
           
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           Was The Payment Made?
           
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           1
           
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           04.06.2025
           
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           03.06.2025
           
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           04.06.2025
           
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           13,2131
           
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           54,1884
           
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           66,3554
           
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           13.213.100
           
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           Yes
           
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           2
           
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           05.09.2025
           
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           04.09.2025
           
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           05.09.2025
           
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           13,2567
           
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           52,0289
           
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           62,9995
           
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           3
           
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           05.12.2025
           
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           04.12.2025
           
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           05.12.2025
           
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           4
           
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           06.03.2026
           
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           05.03.2026
           
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           06.03.2026
           
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           5
           
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           05.06.2026
           
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           04.06.2026
           
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           05.06.2026
           
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           6
           
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           04.09.2026
           
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           03.09.2026
           
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           04.09.2026
           
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           7
           
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           04.12.2026
           
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           03.12.2026
           
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           04.12.2026
           
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           8
           
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           05.03.2027
           
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           04.03.2027
           
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           05.03.2027
           
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           Principal/Maturity Date Payment Amount
           
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           05.03.2027
           
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           04.03.2027
           
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           05.03.2027
           
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           Does the issuer have a rating note?
           
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           Yes
           
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       Issuer Rating Note
      
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           Rating Company
           
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           Rating Note
           
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           Rating Date
           
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           Is it Investment Grade?
           
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           JCR AVRASYA DERECELENDİRME A.Ş.
           
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           A (tr)
           
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           11.03.2024
           
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           Yes
           
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           Does the capital market instrument have a rating note?
           
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           No
           
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           Does the originator have a rating note?
           
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           No
           
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       Disclosure of the Coupon Rate of the Bond with ISIN Code TRSKNTR32719
       
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