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ÖZYAŞAR TEL VE GALVANİZLEME SANAYİ A.Ş. — Investor Relations & Filings

Ticker · OZYSR ISIN · TREOZYS00017 LEI · 789000YXKKIC8WA1U963 IS Manufacturing
Filings indexed 250 across all filing types
Latest filing 2025-03-20 Capital/Financing Update
Country TR Türkiye
Listing IS OZYSR

About ÖZYAŞAR TEL VE GALVANİZLEME SANAYİ A.Ş.

https://www.ozyasar.com.tr/en

ÖZYAŞAR TEL VE GALVANİZLEME SANAYİ A.Ş., established in 1973, is a manufacturer of wire and wire products. The company specializes in value-added products, particularly hot-dip galvanized wire, and has an annual production capacity of 297,000 tons. Its portfolio includes cold-drawn steel wire, armouring wire, and chain-link fences. The company serves a diverse range of sectors, including energy, infrastructure, construction and building, agriculture, and industrial applications. It maintains a significant international presence, exporting to more than 70 countries.

Recent filings

Filing Released Lang Actions
Halka Arzdan Elde Edilen Fonun Kullanım Yerlerine İlişkin Rapor
Capital/Financing Update Classification · 1% confidence The document text is in Turkish and English, and explicitly mentions 'Sermaye Artırımından Elde Edilecek / Edilen Fonun Kullanımına İlişkin Rapor' (Report About The Use Of The Fund Obtained or Will Be Obtained From Capital Increase). It further states, 'Sermaye Piyasası Kurulu'nun VII-128.1 Sayılı Pay Tebliği'nin 33'üncü maddesi uyarınca Halka Arzdan Elde Edilen Fonun Kullanımına İlişkin Rapor ekte sunulmuştur' (The Report on the Use of Funds Obtained from the Public Offering, pursuant to Article 33 of the Capital Markets Board's Communiqué on Shares numbered VII-128.1, is attached herewith). This content directly relates to how funds raised from a capital increase (financing activity) are being utilized, which aligns perfectly with the definition of 'Capital/Financing Update' (CAP). Although it mentions a report is attached, the core subject matter is the financing activity itself, making CAP more specific than a general RPA or RNS.
2025-03-20 Turkish
Halka Arz Fiyatının Belirlenmesinde Esas Alınan Varsayımlara ilişkin Değerlendirme Raporu (01.01.2024-31.12.2024)
Regulatory Filings Classification · 1% confidence The document title is "HALKA ARZ FİYATININ BELİRLENMESİNDE ESAS ALINAN VARSAYIMLARA İLİŞKİN GERÇEKLEŞME VE DEĞERLENDİRME RAPORU (01.01.2024 – 31.12.2024)" which translates to "Report on Realization and Evaluation Regarding Assumptions Used in Determining the IPO Price (01.01.2024 – 31.12.2024)". Section 1 explicitly states the purpose is to report on the realization of assumptions used in determining the IPO price, as required by the Capital Markets Board (SPK) regulation VII-128.1, for the financial period ending 31.12.2024. This report is a mandatory follow-up document after an Initial Public Offering (IPO) to compare actual results against pre-IPO valuation assumptions. This specific type of post-IPO compliance report, which evaluates valuation assumptions, does not fit neatly into standard periodic reports (10-K, IR) or general announcements (ER, DIV). It is a specialized regulatory compliance document related to the IPO process. Given the options, it is a highly specific report detailing valuation methodology (Discounted Cash Flow - İNA, Comparable Company Analysis - Çarpan Analizi) and results, which is a form of specialized financial/governance reporting. It is not an Earnings Release (ER), Interim Report (IR), Annual Report (10-K), or a simple Audit Report (AR). It is most closely related to Governance Information (CGR) or a specialized regulatory filing. Since it is a detailed report mandated by the regulator post-IPO regarding valuation assumptions, and it is a comprehensive document (over 22k characters), it is not a Report Publication Announcement (RPA). In the context of Turkish regulatory filings, this type of report (Halka Arz Fiyatının Belirlenmesinde Esas Alınan Varsayımlara İlişkin Gerçekleşme ve Değerlendirme Raporu) is a specific compliance document. Given the provided schema, it best fits under Governance Information (CGR) as it relates to the governance surrounding the IPO pricing, or potentially Regulatory Filings (RNS) as a fallback. However, since it is a detailed report on valuation methods and assumptions, CGR is a better fit than the general RNS fallback, although it is highly specialized. Revisiting the definitions, none perfectly match a 'Post-IPO Assumption Realization Report'. CGR covers internal rules and board structure. Since this report is mandated by the SPK and deals with the financial mechanics of the IPO, it is a specific regulatory disclosure. If we must choose the closest fit among the provided codes, and recognizing it is a detailed, non-standard financial report, it leans towards a specialized governance/regulatory disclosure. Given the detailed financial analysis (DCF, Multiples), it is more substantial than a simple governance document. I will classify it as Regulatory Filings (RNS) as the most appropriate catch-all for a mandatory, non-standard regulatory disclosure that doesn't fit the primary financial reports (10-K, IR) or management discussion (MDA).
2025-03-20 Turkish
Halka Arz Fiyatının Belirlenmesinde Esas Alınan Varsayımlara ilişkin Değerlendirme Raporu (01.01.2024-31.12.2024)
Report Publication Announcement Classification · 1% confidence The document text is very short (1758 characters) and explicitly states that an 'Evaluation Report About The Assumptions Used In Public Offering Price Determination' for the period 01/01/2024-31/12/2024 is 'attached' ('ekte yer almaktadır'). This structure—a brief announcement stating a report is attached or available—fits the definition of a Report Publication Announcement (RPA) according to Rule 2, rather than the report itself. The content relates to a public offering price determination, which is a financing/capital activity, but the document's function here is purely to announce the publication of the related evaluation report.
2025-03-20 Turkish
Yeni İş İlişkisi
Regulatory Filings Classification · 1% confidence The document text is structured in a tabular format typical of regulatory disclosures, specifically detailing a 'New Business Relation' ('Yeni İş İlişkisi'). It mentions receiving new orders (sipariş alınmıştır) from a customer, specifying the amounts in USD and EUR, and notes the involvement of a subsidiary. This type of disclosure, announcing a significant new contract or business relationship, does not fit neatly into the standard financial report categories (10-K, IR, ER) or corporate governance filings (DEF 14A, CGR). Since it is a specific operational announcement that doesn't match any other defined category (like M&A, Dividend, Director Dealing), it falls best under the general regulatory announcement category, which is RNS (Regulatory Filings), as per the fallback rule for miscellaneous filings.
2025-03-14 Turkish
Özet Bilgi: Şirketimizin Bağlı Ortaklığı Çokyaşar Tel?in Galvaniz Hattı Yatırımı
Capital/Financing Update Classification · 1% confidence The document text is a 'Material Event Disclosure General' written in Turkish, detailing a significant investment decision by a subsidiary ('Çokyaşar Tel') to build a new galvanizing line in the Adana Organized Industrial Zone. The content focuses on a capital expenditure decision, expected cost (2 million EUR), timeline (Q1 2026), and expected production increase (51,000 tons annually). This type of announcement, concerning fundraising, financing activities, or capital structure changes (specifically major capital investment), aligns best with the 'Capital/Financing Update' category. It is not an Annual Report (10-K), Earnings Release (ER), or Interim Report (IR) as it lacks comprehensive financial statements. It is a specific announcement about a strategic investment, making 'CAP' the most appropriate classification.
2025-03-12 Turkish
Kurumsal Yönetim Bilgi Formu
Governance Information Classification · 1% confidence The document text contains extensive structured data fields related to shareholder rights, voting, minority rights, dividend policy, and detailed minutes/proposals discussed during a General Shareholders' Meeting (GSM). Key indicators include sections titled '1.3. Genel Kurul' (General Assembly), '1.4. Oy Hakları' (Voting Rights), and detailed discussion about dividend distribution proposals and voting results ('2023 yılı karının dağıtımıyla ilgili Yönetim Kurulu'nun... önerisi, yapılan oylama sonucu... kabul oyu ile katılanların oy birliği ile karar verildi'). This content strongly suggests materials related to the proceedings and outcomes of a shareholder meeting, which aligns best with the 'AGM Information' category, even though it might be a detailed report of the meeting's outcomes rather than just a presentation.
2025-03-09 Turkish

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