Summary Info
Bond Redemption
Update Notification Flag
Yes
Correction Notification Flag
No
Postponed Notification Flag
No
Subject of Notification
Redemption
Board Decision Date
16.08.2023
Related Issue Limit Info
Currency Unit
TRY
Limit
5.476.000.000
Issue Limit Security Type
Debt Securities
Sale Type
Sale To Qualified Investor
Domestic / Oversea
Domestic
Capital Market Board Approval Date
15.11.2023
Capital Market Instrument To Be Issued Info
Type
Bill
Maturity Date
02.09.2024
Maturity (Day)
83
Sale Type
Sale To Qualified Investor
Intended Nominal Amount
379.700.000
Intended Maximum Nominal Amount
379.700.000
The country where the issue takes place
Türkiye
Title Of Intermediary Brokerage House
GARANTİ YATIRIM MENKUL KIYMETLER A.Ş.
Central Securities Depository
Merkezi Kayıt Kuruluşu A.Ş.
Starting Date of Sale
10.06.2024
Ending Date of Sale
10.06.2024
Nominal Value of Capital Market Instrument Sold
379.700.000
Maturity Starting Date
11.06.2024
Issue Price
0,89608
Interest Rate Type
Discounted
Interest Rate - Equivalent to Maturity (%)
11,5973
Interest Rate - Yearly Simple (%)
51
Interest Rate - Yearly Compound (%)
62,0170
Traded in the Stock Exchange
Yes
Payment Type
TL Payment
ISIN Code
TRFGRFA92425
Coupon Number
0
Principal/Maturity Date Payment Amount
379.700.000
Redemption Date
02.09.2024
Record Date
29.08.2024
Was The Payment Made?
Yes
Payment Date
02.09.2024
Currency Unit
TRY
Rating
Does the issuer have a rating note?
Yes
Issuer Rating Note
Rating Company
Rating Note
Rating Date
Is it Investment Grade?
Fitch Ratings Ltd
B+
15.03.2024
Yes
Does the capital market instrument have a rating note?
No
Does the originator have a rating note?
No
Additional Explanations
Redemption has been made by our company for a discounted debt instrument with a nominal value of 379,700,000-TL ( Three Hundred seventy-nine million seven hundred tousand turkish liras), with a maturity of 83 days, start date 11 June 2024 and maturity date 02 September 2024, sold only to qualified investors without being offered to the public.Regards