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FİBABANKA A.Ş. — Investor Relations & Filings

Ticker · FBB ISIN · TRSFIBA10016 LEI · 789000VTPKJYEVGSWM35 IS Financial and insurance activities
Filings indexed 2,966 across all filing types
Latest filing 2024-06-12 Capital/Financing Update
Country TR Türkiye
Listing IS FBB

About FİBABANKA A.Ş.

https://www.fibabanka.com.tr

Fibabanka A.Ş. is a universal bank offering a comprehensive suite of financial services to a diverse client base that includes retail, SME, commercial, corporate, agricultural, and private banking segments. The bank provides a wide array of products, including deposits, various types of loans, investment services, and foreign trade financing. For individual customers, key offerings encompass high-yield savings accounts, consumer loans, and specialized shopping credit with flexible terms. For its business clients, particularly small and medium-sized enterprises, Fibabanka delivers tailored credit solutions and commercial banking services. The institution places a strong emphasis on digital innovation and agility, providing fast and convenient access to its services through advanced mobile and online banking platforms.

Recent filings

Filing Released Lang Actions
Fibabanka A.Ş. Arena Bilgisayar Birinci Varlık Finansmanı Fonu tarafından gerçekleştirilen Varlığa Dayalı Menkul Kıymet 1. ihraç B Grubu 2.tertip bilgileri
Capital/Financing Update Classification · 98% confidence The document details the completion of a sale for Asset Backed Securities (ABS) issued by a Turkish fund (Fibabanka A.Ş. Arena Bilgisayar Birinci Varlık Finansmanı Fonu). It specifies the nominal amount, maturity date, interest rate type, intermediary broker, and includes rating information. This content directly relates to the structure, issuance, and financing activities of capital market instruments, specifically Asset Backed Securities, which falls under the category of Capital/Financing Update (CAP). It is not a general earnings release (ER), a full annual report (10-K), or a simple dividend notice (DIV).
2024-06-12 English
Fibabanka A.Ş. Arena Bilgisayar Birinci Varlık Finansmanı Fonu tarafından gerçekleştirilen Varlığa Dayalı Menkul Kıymet 1. ihraç A Grubu 1.tertip bilgileri
Capital/Financing Update Classification · 95% confidence The document is titled 'ORTAKLIK HAKKI VERMEYEN SPA - TERTİP İHRAC BELGESİ' which translates to 'Non-Equity Partnership SPA - Series Issuance Certificate'. It references approval by the Turkish Capital Markets Board (Sermaye Piyasası Kurulu) and details about issuance of non-equity capital market instruments such as bonds or financing notes. The document includes detailed issuance information, approval dates, issuer details, and issuance limits. This is a formal issuance certificate related to capital market instruments, indicating a financing or capital raising activity. It is not a financial report, earnings release, or management discussion. It is not a regulatory announcement or a report publication announcement but a formal certificate of issuance. Therefore, the document fits best under the category of Capital/Financing Update (CAP).
2024-06-12 Turkish
Fibabanka A.Ş. Arena Bilgisayar Birinci Varlık Finansmanı Fonu tarafından gerçekleştirilen Varlığa Dayalı Menkul Kıymet 1. ihraç A Grubu 1.tertip bilgileri
Capital/Financing Update Classification · 98% confidence The document details the completion of a sale related to Asset Backed Securities (ABS) issued by a fund associated with Fibabanka A.Ş. and Arena Bilgisayar. It specifies the nominal amount sold (306,000,000 TRY), issue price, interest rates, maturity dates, and includes details about the intermediary, originator, and issuer fund. This content directly relates to a specific financing activity, the issuance and sale of debt instruments (Asset Backed Securities). This aligns best with the 'Capital/Financing Update' category (CAP), as it reports on the finalization of a capital market instrument issuance.
2024-06-12 English
KREDİ DERECELENDİRME BİLDİRİMİ
Audit Report / Information Classification · 95% confidence The document is a credit rating report issued by JCR Eurasia Rating for Fibabanka A.S. Arena Bilgisayar First Asset Financing Fund. It includes detailed credit rating scores, risk factors, and explanatory notes about the rating methodology and validity. The content focuses on creditworthiness assessment and risk evaluation of a financial instrument issuance, which aligns with an Audit Report / Information type, as it is a standalone report providing an independent evaluation related to financial instruments and credit risk. The document is 4410 characters long, which is relatively short but contains substantive content, not just an announcement or certification. Therefore, it is not a Report Publication Announcement or Regulatory Filing. It is not an Annual Report, Earnings Release, or any other category related to corporate governance or management changes. Hence, the best fit is Audit Report / Information (AR). FY 2024
2024-06-11 Turkish
KREDİ DERECELENDİRME BİLDİRİMİ
Report Publication Announcement Classification · 98% confidence The document text is very short (1725 characters) and appears to be a standardized notification template, likely from a Turkish regulatory system (indicated by Turkish text like 'İlgili Şirketler', 'Türkçe', and 'Fibabanka A.Ş.'). The key sentence is: 'Ayrıntılı bilgilere ekteki PDF dosyasından ulaşabilirsiniz.' (Detailed information can be found in the attached PDF file.). This structure—a brief announcement stating that the detailed information is in an attached document—perfectly matches the definition of a Report Publication Announcement (RPA), which serves to announce the release of another document. It is not a full report (like 10-K or IR), nor is it a specific financial event like a dividend (DIV) or earnings release (ER). It is an announcement about the publication of a document (likely a credit rating abstract, given the 'Kredi Derecelendirmesi' header). Therefore, RPA is the most appropriate classification based on the 'MENU VS MEAL' rule.
2024-06-11 Turkish
İlave Ana Sermayeye Dahil Edilecek Borçlanma Aracına İlişkin 22. Kupon Faiz Oranı Bildirimi
Capital/Financing Update Classification · 98% confidence The document text is a formal notification titled 'İlave Ana Sermayeye Dahil Edilecek Borçlanma Aracına İlişkin 22. Kupon Faiz Oranı Bildirimi' (Notification of the 22nd Coupon Interest Rate Regarding Debt Instrument to be Included in Additional Tier 1 Capital). It details the terms, coupon rate, redemption plan, and ISIN code for a specific debt security ('Subordinated Debt Securities'). This content relates directly to the structure, terms, and financing activities of the company's capital instruments, specifically detailing an interest rate update for a bond/debt issuance. This aligns best with the 'Capital/Financing Update' category (CAP), as it is a specific announcement regarding the terms of a financing instrument, rather than a general regulatory filing (RNS) or a general earnings report.
2024-06-11 Turkish

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