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SÜMER VARLIK YÖNETİM A.Ş. — Investor Relations & Filings

Ticker · SMRVA ISIN · TRESUVY00013 LEI · 789000PSYE85W3069S58 IS Financial and insurance activities
Filings indexed 826 across all filing types
Latest filing 2024-12-20 M&A Activity
Country TR Türkiye
Listing IS SMRVA

About SÜMER VARLIK YÖNETİM A.Ş.

https://www.sumervarlik.com.tr

Sümer Varlık Yönetim A.Ş. is an asset management company that specializes in debt management and recovery. The company's primary business involves acquiring portfolios of non-performing receivables and other assets from banks and financial institutions. It then manages the collection of these debts by offering solution-oriented and flexible repayment options to debtors, including discounts and installment plans. The firm emphasizes a customer-centric approach, utilizing an expert team and efficient processes to achieve financial resolutions while maintaining confidentiality. It aims to provide value to its stakeholders through effective debt collection strategies and a commitment to high customer satisfaction, as evidenced by its ISO 10002 certification.

Recent filings

Filing Released Lang Actions
Tahsili Gecikmiş Alacak Portföyü Alımı-İhaleye Konu Alacakların Devrine Yönelik Sözleşmenin İmza Sürecinin Tamamlanması
M&A Activity Classification · 99% confidence The document text is very short (1981 characters) and appears to be a formal disclosure in Turkish, structured with metadata fields typical of regulatory filings (e.g., 'Material Event Disclosure General', 'Update Notification Flag', 'Correction Notification Flag'). The content explicitly announces that the company won a portfolio tender from Türkiye Garanti Bankası A.Ş. for 77,200,000 TL, with signing processes completed. This type of announcement, detailing a specific business transaction or event that is not a standard periodic report (like 10-K or IR) or a general earnings release, fits best under the general regulatory announcement category, as it is a specific material event disclosure that doesn't map perfectly to the other specialized codes (like CAP for financing or TAR for M&A). Given the nature of mandatory disclosures for material events that don't fit elsewhere, the most appropriate classification is Regulatory Filings (RNS).
2024-12-20 Turkish
Borçlanma Aracı İtfası
Capital/Financing Update Classification · 98% confidence The document text is a structured notification detailing the 'Redemption' (İtfası) of a debt instrument (Borçlanma Aracı) with ISIN TRFSUVYA2412. It includes details about the maturity date, nominal amount, sale type, and payment confirmation. This content relates directly to the company's debt structure and financing activities, specifically the repayment of debt. This aligns best with the 'Capital/Financing Update' category, which covers financing activities and capital structure changes.
2024-12-19 English
Kupon Ödemesi.
Capital/Financing Update Classification · 95% confidence The document details a 'Kupon Ödemesi' (Coupon Payment) for a debt security (Bill) with a specific ISIN (TRFSUVY92512). It outlines the payment date, interest rate details, and redemption plan. This is a specific announcement related to the servicing of debt instruments, which falls under financing activities or debt updates. Since it is a specific notification about a coupon payment and redemption schedule for a debt instrument, it aligns best with 'Capital/Financing Update' (CAP) or potentially 'Interest Rate Update/Notice' (IRAT). Given the focus on the payment schedule and details of the debt instrument itself (maturity, nominal amount, interest rate type), 'CAP' is the most appropriate category as it covers financing activities and capital structure changes related to debt issuance/servicing. It is not a general regulatory filing (RNS) because it is highly specific to a financial instrument's lifecycle event.
2024-12-11 English
Kupon Ödemesi.
Capital/Financing Update Classification · 95% confidence The document details a 'Kupon Ödemesi' (Coupon Payment) for a specific debt security (Bill) with an ISIN code (TRFSUVY32518). It includes specific dates, interest rates, redemption plans, and confirmation that the first coupon payment was made. This is a highly specific financial event notification related to debt instruments, not a general annual report (10-K), earnings release (ER), or management discussion (MDA). Since it relates to the servicing of capital market instruments (debt), it falls under Capital/Financing Update (CAP) or potentially a Regulatory Filing (RNS) if no other specific category fits. Given the detailed nature of the debt instrument servicing (coupon payment schedule, interest rates, redemption plan), it is most closely related to financing activities. However, none of the provided codes explicitly cover 'Debt Servicing Notification' or 'Bond Coupon Payment'. The closest fit among the options that deal with financing structure changes or updates is 'Capital/Financing Update' (CAP), as coupon payments are a direct consequence of prior financing decisions. Alternatively, as a specific, non-standard regulatory disclosure, it could be RNS. Given the focus on the mechanics of a debt instrument payment, CAP is a reasonable classification, though RNS is a strong secondary candidate if CAP is interpreted strictly as fundraising/issuance. Since this is a payment *after* issuance, and it's a highly specific financial event, I will classify it as RNS (Regulatory Filings) as the best general fit for specific, non-core reporting events, as CAP usually implies raising capital or changing structure, not servicing existing debt.
2024-12-11 English
Kupon Oran Belirlenmesi.
Capital/Financing Update Classification · 99% confidence The document details the 'Kupon Oran Belirlenmesi' (Coupon Rate Determination) for a debt security ('Bill') issued in TRY, including maturity dates, nominal amounts, interest rate types (Floating Rate based on TLREF), and redemption schedules. This information pertains to the structure and servicing of a debt instrument, specifically related to financing activities and capital structure. This aligns best with the 'Capital/Financing Update' category (CAP), as it is a specific announcement regarding the terms of an issued debt security, rather than a general regulatory filing (RNS) or a full annual/interim report.
2024-12-10 English
TRFSUVYA2511 Nolu Borçlanma Aracı İhracı Gerçekleşmiştir.
Capital/Financing Update Classification · 98% confidence The document details the completion of the sale and issuance of a debt instrument (Bill) with a specific ISIN code (TRFSUVYA2511) in Turkish Lira (TRY). It includes specifics about the nominal amount (160,000,000 TRY), maturity date, interest rate type (Floating Rate based on TLREF), coupon payment frequency, and redemption plan. This content directly relates to a financing activity, specifically the issuance of debt securities, which aligns perfectly with the 'Capital/Financing Update' category. It is not an Annual Report (10-K), Interim Report (IR), Earnings Release (ER), or a general regulatory announcement (RNS), as it is highly specific to a capital market transaction.
2024-12-10 English

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