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AKBANK T.A.Ş. — Investor Relations & Filings

Ticker · AKBNK ISIN · TRAAKBNK91N6 LEI · 789000TUMN63Z28TJ497 IS Financial and insurance activities
Filings indexed 6,251 across all filing types
Latest filing 2024-10-22 Capital/Financing Update
Country TR Türkiye
Listing IS AKBNK

About AKBANK T.A.Ş.

https://www.akbank.com/en

Akbank T.A.Ş. is a commercial bank offering a comprehensive suite of financial products and services. Its core operations are segmented into retail banking, commercial banking, SME banking, and corporate and investment banking. The bank provides a wide range of services including various deposit accounts (TL, foreign currency, gold), credit and debit cards, and international money transfers. It also offers specialized services such as private banking, asset management, and dedicated programs for specific clienteles like Expat Banking for foreign nationals and Affluent Banking for high-net-worth individuals. For business clients, it delivers tailored solutions for both small and medium-sized enterprises and large corporations. Akbank emphasizes digital delivery of its services through its mobile and internet banking platforms, allowing customers to manage their finances remotely.

Recent filings

Filing Released Lang Actions
Issuance of Green/Sustainable Eurobond Abroad
Capital/Financing Update Classification · 99% confidence The document details the issuance of a 'Green/Sustainable Eurobond Abroad' with specific details regarding the currency (USD), limit (2.5 Billion), instrument type ('Sustainable Bond'), maturity date, and rating information. This content directly relates to the company raising capital through debt instruments, specifically themed bonds. This aligns perfectly with the definition of 'Capital/Financing Update' (Code: CAP), which covers fundraising and financing activities.
2024-10-22 English
Issuance of Eurobond Abroad
Capital/Financing Update Classification · 99% confidence The document details the 'Completion of the Sale' of an 'Issuance of Eurobond Abroad'. It specifies the instrument type as a 'Sustainable Bond', the nominal value, maturity date, interest rate type, and provides details about the associated rating. This content directly relates to the company's fundraising and capital structure activities, specifically the issuance of debt instruments (Eurobond). This aligns perfectly with the definition for Capital/Financing Update (CAP). It is not an earnings release, an annual report, or a simple announcement of a report's publication.
2024-10-11 English
Issuance of Green/Sustainable Eurobond Abroad
Capital/Financing Update Classification · 100% confidence The document details the issuance of a 'Green/Sustainable Eurobond Abroad' with specific details regarding the currency (USD), limit (2.5 Billion), instrument type ('Sustainable Bond'), maturity date, and associated ratings. This content directly relates to the company raising capital through debt instruments. This aligns perfectly with the definition of 'Capital/Financing Update' (Code: CAP), which covers fundraising and financing activities.
2024-10-09 English
Company General Info Form
Capital/Financing Update Classification · 98% confidence The document text details information about 'Issued Capital Market Instruments Other Than Shares,' specifically listing various types of debt instruments (Bonds, Subordinated Debt, Green/Sustainable Bonds, Structured Borrowing Instruments) along with their issue ceilings, monetary units (USD, TRY), and issuance dates. This content directly relates to the company's financing activities, debt structure, and capital raising efforts, which aligns best with the 'Capital/Financing Update' category. It is not an announcement of a report (RPA/RNS), nor is it a full annual/interim report, management discussion, or earnings release. Therefore, the appropriate code is CAP.
2024-10-08 English
CMB Approval Regarding for Green/Sustainable Debt Securities Issuance Outside of Turkey
Environmental & Social Information Classification · 97% confidence The document is titled "SECOND PARTY OPINION (SPO) AND FRAMEWORK EXTERNAL REVIEW" concerning Akbank's Sustainable Finance Framework. It details the scope of verification against standards like ICMA's Green Bond Principles and LMA's Green Loan Principles. This type of document, which assesses the sustainability framework and related criteria, aligns closely with reporting on Environmental, Social, and Governance (ESG) factors, even though it is an external review rather than the company's primary ESG report itself. Given the provided definitions, the closest fit for a report detailing performance on Environmental and Social factors (or the framework governing them) is 'Environmental & Social Information' (SR). It is not a standard financial filing (10-K, IR, ER), nor is it a presentation (IP) or a transcript (CT). Since it is a detailed assessment focused on sustainability quality, SR is the most appropriate classification over the general fallback RNS.
2024-10-08 Turkish
CMB Approval Regarding for Green/Sustainable Debt Securities Issuance Outside of Turkey
Environmental & Social Information Classification · 100% confidence The document is titled "Akbank Sustainable Finance Framework" and details the bank's approach to sustainability, eligible project categories (Green and Social), governance structure, and the criteria for including financing transactions under this framework. It explicitly references international standards like ICMA Green Bond Principles (GBP), Social Bond Principles (SBP), and LMA Green/Social Loan Principles. This document outlines the structure and principles governing the issuance of sustainable financial instruments (like green/social bonds or loans) rather than being a regulatory filing like a 10-K, an earnings release, or a proxy statement. It functions as a foundational document for their sustainable finance activities. Given the options, this best fits the description of a specialized report or framework document. Since there isn't a specific 'Sustainable Finance Framework' code, and it is a comprehensive document detailing internal policies and structure related to finance, it is closest to a specialized report. However, it is not an Audit Report (AR), Interim Report (IR), or Management Discussion & Analysis (MDA). It is a detailed framework document. In the context of the provided codes, it is a detailed document outlining financial strategy and structure, which is often presented as an Investor Presentation (IP) or a specialized report. Given its focus on defining financial instruments and criteria, 'Investor Presentation' (IP) is the most suitable fit among the choices for a detailed, non-periodic, strategic document provided to stakeholders, although 'Governance Information' (CGR) is also plausible due to the governance section. Since it is a 'Framework' detailing how they structure their sustainable finance products, which are often presented to investors, IP is chosen over CGR which usually covers board structure/rules.
2024-10-08 Turkish

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