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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 2023-09-18 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. İkinci Varlık Finansmanı Fonu Tertip İhraç Belgeleri
Capital/Financing Update Classification · 95% confidence The document is titled 'ORTAKLIK HAKKI VERMEYEN SPA – TERTİP İHRAÇ BELGESİ' which translates to 'Non-Equity Partnership SPA – Series Issuance Certificate'. It details the issuance of non-equity capital market instruments (VDMK - Asset-Backed Securities) by Fibabanka A.Ş. It includes information about the issuance approval by the Capital Markets Board (Sermaye Piyasası Kurulu), the terms of the issuance, the portfolio of assets backing the securities, risk retention rules, and payment priorities. The document is a formal issuance certificate for a capital market instrument, not a report or announcement of financial results, management changes, or voting results. It is a detailed issuance document related to capital market instruments and financing activities. Therefore, it fits best under the category 'Capital/Financing Update' (CAP). The document length is substantial (15,000 characters), indicating it is the actual issuance document, not just an announcement or summary.
2023-09-18 Turkish
Fibabanka A.Ş. İkinci Varlık Finansmanı Fonu Tertip İhraç Belgeleri
Capital/Financing Update Classification · 95% confidence The document is titled 'ORTAKLIK HAKKI VERMEYEN SPA – TERTİP İHRAÇ BELGESİ' which translates to 'Non-Equity Partnership SPA – Series Issuance Certificate'. It references the approval by the Turkish Capital Markets Board (Sermaye Piyasası Kurulu) and details the issuance of non-equity capital market instruments, specifically asset-backed securities (VDMK). The document includes detailed information about the issuance, the issuer, the terms, the portfolio of assets backing the securities, risk retention rules, and payment priorities. It is a formal issuance certificate for capital market instruments, not a financial report, earnings release, or management discussion. It is not an announcement of a report but the actual issuance document approved by the regulator. Therefore, it fits the category of Capital/Financing Update (CAP), which covers updates on company fundraising and financing activities including issuance of securities.
2023-09-18 Turkish
Fibabanka A.Ş. İkinci Varlık Finansmanı Fonu Tertip İhraç Belgeleri
Capital/Financing Update Classification · 99% confidence The document text is very short (1815 characters) and appears to be a notification regarding a financial issuance. The key Turkish phrases are 'Tertip İhraç Belgesi' (Tenor Issue Document) and the content mentions an application made to the 'Sermaye Piyasası Kurulu' (Capital Markets Board - SPK) for the issuance of Asset-Backed Securities (VDMK) for Fibabanka A.Ş. Second Asset Financing Fund, which has been approved. Since this is an announcement confirming the approval and receipt of the issuance documents for a financing activity, it relates directly to capital/financing activities. Given the options, 'Capital/Financing Update' (CAP) is the most appropriate fit, as it concerns the successful completion of a planned issuance/fundraising step. It is not a full report, but a notification about a financing event.
2023-09-18 Turkish
İlave Ana Sermayeye Dahil Edilecek Borçlanma Aracına İlişkin 19. Kupon Faiz Oranı Bildirimi
Interest Rate Update/Notice Classification · 98% confidence The document text is a notification regarding the '19. Kupon Faiz Oranı Bildirimi' (19th Coupon Interest Rate Notification) for a subordinated debt security ('İlave Ana Sermayeye Dahil Edilecek Borçlanma Aracına İlişkin'). It details the interest rate, redemption plan, and maturity information for a specific capital market instrument. This type of specific financial instrument update, especially concerning debt instruments, interest rates, and redemption schedules, fits best under 'Capital/Financing Update' (CAP) or potentially 'Interest Rate Update/Notice' (IRAT). Since the core subject is the determination of a coupon rate for a debt issuance, IRAT is highly specific. However, given the context of debt issuance details (Subordinated Debt Securities, Sale To Qualified Investor, Redemption Plan), CAP is a broader fit for financing activities. Looking at the definitions, IRAT is specifically for 'Updates on interest rate changes affecting the company's debt or financial instruments.' This document is exactly that: an update on the coupon rate (interest rate) for existing debt. Therefore, IRAT is the most precise classification.
2023-09-14 English
İlave Ana Sermayeye Dahil Edilecek Borçlanma Aracına İlişkin 18. Kupon Faiz Ödemesi
Capital/Financing Update Classification · 95% confidence The document text is a structured notification, likely from a Turkish regulatory filing system (indicated by Turkish text like 'İlave Ana Sermayeye Dahil Edilecek Borçlanma Aracına İlişkin 18. Kupon Faiz Ödemesi' and currency TRY). The core subject is the '18. Kupon Faiz Ödemesi' (18th Coupon Interest Payment) for a debt instrument ('Subordinated Debt Securities'). This is a specific announcement regarding the servicing of debt, including details about interest rates, payment dates, and redemption schedules. This type of specific financial instrument event notification (coupon payment, debt servicing) does not fit neatly into standard SEC forms like 10-K, ER, or IR. It is a specific financial update related to capital structure/financing. Among the provided codes, 'CAP' (Capital/Financing Update) is the most appropriate category as it deals directly with debt securities and their payments, although 'RNS' (Regulatory Filings) is a possibility for miscellaneous regulatory announcements. Given the high specificity of the content detailing debt instrument coupon payments, 'CAP' is a better fit than the general 'RNS' fallback, as it directly relates to capital/financing activities.
2023-09-13 English
İlave Ana Sermayeye Dahil Edilecek Borçlanma Aracına İlişkin 19. Kupon Faiz Oranı Bildirimi
Capital/Financing Update Classification · 95% confidence The document text is titled 'İlave Ana Sermayeye Dahil Edilecek Borçlanma Aracına İlişkin 19. Kupon Faiz Oranı Bildirimi' (Notification of the 19th Coupon Interest Rate Regarding the Additional Tier 1 Capital Debt Instrument). It details the coupon payment information, including interest rates, payment dates, and redemption schedules for a specific debt security (Subordinated Debt Securities). This content relates directly to the terms and servicing of capital market instruments, specifically debt financing and interest payments. This aligns best with the 'Capital/Financing Update' category (CAP), as it is a specific notification about the terms of a previously issued capital instrument, rather than a general regulatory filing (RNS) or a full financial report (10-K/IR).
2023-09-13 English

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