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DENİZBANK A.Ş. — Investor Relations & Filings

Ticker · DENIZ ISIN · TREDZBK00015 LEI · 3RV7W250LTUQH12INJ88 IS Financial and insurance activities
Filings indexed 5,362 across all filing types
Latest filing 2025-03-13 Capital/Financing Update
Country TR Türkiye
Listing IS DENIZ

About DENİZBANK A.Ş.

https://www.denizbank.com

DenizBank A.Ş. is a private financial institution providing a comprehensive suite of banking and financial services. The bank caters to a diverse clientele, including individual customers, small and medium-sized enterprises (SMEs), agricultural producers, and large corporations. Core services for individuals encompass retail banking, loans, credit cards, deposit accounts, insurance, and private pension plans, alongside specialized segments for affluent and private banking clients. For its business and corporate customers, the bank offers commercial and corporate banking, agricultural banking, leasing, factoring, and investment services. DenizBank places a strong emphasis on digital banking, offering advanced mobile and online platforms to manage financial transactions and services.

Recent filings

Filing Released Lang Actions
EMTN Programı kapsamında Yurtdışı Borçlanma Aracı 2. Kupon Ödemesi- XS2784406139
Capital/Financing Update Classification · 98% confidence The document title explicitly states it is a "TERTIP İHRAÇ BELGESİDİR" (Issue Document for a Tranche) related to the issuance of capital market instruments that do not grant partnership rights, either domestically without public offering or internationally. The content details the issuer (DENIZBANK A.S.), the authorizing body (Sermaye Piyasası Kurulu - Capital Markets Board), the type of instrument (Tahvil / Finansman Bott - Bond / Financing Note), the issuance type (Yurt disi satis - Foreign Sale), and the total nominal value. This structure is characteristic of official documentation required for debt or security issuance filings, which falls under Capital/Financing Update (CAP) or potentially a specific regulatory filing (RNS). Given the focus on the issuance terms, structure, and approval of a specific tranche of securities, 'CAP' (Capital/Financing Update) is the most precise fit, as it covers fundraising and capital structure changes via security issuance.
2025-03-13 Turkish
EMTN Programı kapsamında Yurtdışı Borçlanma Aracı 2. Kupon Ödemesi- XS2784406139
Capital/Financing Update Classification · 95% confidence The document details a specific financial transaction: the coupon payment for an outstanding debt instrument (EMTN Program bond with ISIN XS2784406139). It specifies payment dates, amounts, interest rates, and maturity details. This is a notification regarding debt financing and interest payments, not a general annual report (10-K), an earnings release (ER), or a general regulatory filing (RNS). The most fitting category is 'Capital/Financing Update' (CAP), as it directly relates to the servicing and terms of issued debt securities.
2025-03-13 English
EMTN Programı kapsamında Yurtdışı Borçlanma Aracı 2. Kupon Ödemesi ve İtfası- XS2782300151
Capital/Financing Update Classification · 98% confidence The document title explicitly states it is an "İLİŞKİN TERTİP İHRAÇ BELGESİDİR" (Base Prospectus/Issuance Document) related to the issuance of capital market instruments, either domestically without public offering or abroad. The content details the issuer (DENİZBANK A.Ş.), the approval by the Capital Markets Board (Sermaye Piyasası Kurulu), the type of instrument (Tahvil / Finansman Bonosu - Bond / Commercial Paper), the issuance amount (30,000,000 EUR), and the overall issuance ceiling. This clearly indicates a document related to a financing or capital raising activity, specifically detailing the terms of a debt issuance program. This aligns best with the 'Capital/Financing Update' category (CAP). It is not a general earnings release (ER), an annual report (10-K), or a simple announcement of a report (RPA).
2025-03-13 Turkish
EMTN Programı kapsamında Yurtdışı Borçlanma Aracı 2. Kupon Ödemesi ve İtfası- XS2782300151
Capital/Financing Update Classification · 95% confidence The document details specific information regarding a debt instrument under an EMTN Program, specifically concerning the 2nd Coupon Payment and Redemption ('2. Kupon Ödemesi ve İtfası'). It includes ISIN codes, maturity dates, coupon payment schedules, interest rate types, and rating information. This content relates directly to the terms and servicing of issued debt securities, which falls under financing activities or capital structure updates. Given the options, 'Capital/Financing Update' (CAP) is the most appropriate fit, as it concerns the servicing and redemption of debt instruments. It is not a general earnings release (ER), a full annual report (10-K), or a simple dividend notice (DIV). Since it is a detailed notification about a specific debt instrument's payment schedule and redemption, it is classified as CAP.
2025-03-13 English
EMTN Programı kapsamında Yurtdışı Borçlanma Aracı 2. Kupon Ödemesi ve İtfası- XS2782300235
Capital/Financing Update Classification · 99% confidence The document text is titled "YURT İÇİNDE HALKA ARZ EDİLMEKSİZİN VEYA YURT DIŞINDA İHRAÇ EDİLECEK ORTAKLIK HAKKI VERMEYEN SERMAYE PİYASASI ARAÇLARINA İLİŞKİN TERTİP İHRAC BELGESİDİR" (Issuance Document Regarding Capital Market Instruments to be Issued Domestically Without Public Offering or Abroad, Not Granting Equity Rights). This document explicitly details the terms, issuer (DENİZBANK A.Ş.), the type of instrument being issued (Kira Sertifikası - Sukuk/Lease Certificate), the issuance amount (30,000,000 USD/EUR), and references approval from the Capital Markets Board (Sermaye Piyasası Kurulu). This content directly relates to a company's fundraising or financing activities involving the issuance of debt-like instruments, which aligns perfectly with the definition of 'Capital/Financing Update' (CAP). It is not a general earnings release (ER), an annual report (10-K), or a simple announcement of a report (RPA).
2025-03-13 Turkish
EMTN Programı kapsamında Yurtdışı Borçlanma Aracı 2. Kupon Ödemesi ve İtfası- XS2782300235
Capital/Financing Update Classification · 95% confidence The document details the coupon payment and redemption (maturity) for an existing debt instrument (EMTN Program bond with ISIN XS2782300235). It specifies payment dates, amounts, interest rate type (Fixed Rate), and maturity date (13.03.2025). This is a specific update regarding the company's debt obligations and financing structure, specifically related to a bond redemption and coupon payment. This falls under Capital/Financing Update (CAP) as it directly concerns the status and servicing of issued debt, or potentially Interest Rate Update/Notice (IRAT) if the focus was purely on the rate, but since it covers redemption and payment, CAP is more appropriate as it relates to capital structure management. Given the options, 'CAP' (Capital/Financing Update) is the best fit for reporting on the servicing and maturity of issued debt securities.
2025-03-13 English

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