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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 825 across all filing types
Latest filing 2019-12-17 AGM Information
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
18.12.2019 Genel Kurul Bildirimi
AGM Information Classification · 99% confidence The document text contains headers like "Genel Kurul İşlemlerine İlişkin Bildirim" (Notification Regarding General Assembly) and specifies details such as the 'Type of General Assembly' as 'Olağanüstü (Extraordinary)', the 'Decision Date' (16/12/2019), and the 'Date' (18/12/2019) for the meeting. It also lists a detailed 'Agenda' (Gündem) related to authorizing the Board of Directors for debt instrument issuance. This content directly relates to the proceedings and announcements surrounding a General Meeting. Therefore, the appropriate classification is AGM Information (AGM-R).
2019-12-17 Turkish
TRFSUVY62010 ısın kodlu bono ihracı
Capital/Financing Update Classification · 99% confidence The document details the issuance of a specific debt instrument (a bill/bond with ISIN TRFSUVY62010) to qualified investors, including terms like maturity date (05.06.2020), interest rate (19.85%), nominal value sold (10,892,100 TRY), and sale dates. This information directly relates to the company's fundraising and capital structure activities, specifically debt financing. This aligns perfectly with the definition of 'Capital/Financing Update' (CAP). It is not an earnings release, annual report, or management discussion.
2019-12-05 English
TRFSUVYA1919 Tahvil itfası
Capital/Financing Update Classification · 99% confidence The document details the redemption (itfa) of a specific debt instrument (TRFSUVYA1919, a Bill) sold to qualified investors, including details like maturity date, issue price, nominal value sold, and confirmation that payment was made. This information pertains directly to the company's debt structure and financing activities, specifically the conclusion of a debt issuance. This aligns best with the 'Capital/Financing Update' category, as it documents the final settlement of a capital market instrument issuance/redemption. It is not an earnings release, annual report, or management discussion, but a specific financial transaction update. Therefore, the code CAP is appropriate.
2019-12-05 English
JCR Eurasia Rating, Uluslararası YP ve TP derecelendirme notlarının yeniden uyumlulaştırılması
Regulatory Filings Classification · 95% confidence The document is a press release from JCR Eurasia Rating regarding the re-alignment of international foreign currency and local currency ratings for Sümer Varlık Yönetim A.Ş. It discusses rating methodologies, updated rating scores, and provides contact information for analysts. The document is short (3233 characters) and serves as an announcement of rating updates rather than a detailed financial report or audit. It does not contain financial statements or detailed analysis typical of Annual Reports, Interim Reports, or Audit Reports. It is not a regulatory filing or certification letter. The content fits best as a Regulatory Filing (RNS) because it is a general regulatory announcement about rating updates without detailed financial data or report attachments.
2019-11-21 Turkish
JCR Eurasia Rating, Uluslararası YP ve TP derecelendirme notlarının yeniden uyumlulaştırılması
Report Publication Announcement Classification · 95% confidence The document text is very short (2020 characters) and appears to be a formal notification in Turkish and English regarding a credit rating update. It explicitly mentions a 'kredi derecelendirme raporu' (credit rating report) from 'JCR Eurasia Rating' dated 22/10/2019 and states that the ratings have been 'yeniden belirlenerek, teyit edilen diğer notlarıyla birlikte ekte sunulmuştur' (re-determined and presented attached along with other confirmed ratings). This structure—a brief announcement stating that a specific report (in this case, a credit rating report) is attached or being provided—fits the definition of a Report Publication Announcement (RPA) or potentially a Regulatory Filing (RNS) if the rating itself is the primary subject. Since there is a specific category for 'Audit Report / Information' (AR) which covers stress tests and applied accounting principles, and no specific category for 'Credit Rating Report', I must evaluate the closest fit. The document is an announcement *about* a rating report, not the rating report itself. Given the context of financial filings, announcements about specific reports often fall under RPA or RNS. Since this is a specific, non-standard regulatory announcement (not a 10-K, ER, or IR), and it announces the publication of a rating report, RPA is the most appropriate classification based on the 'MENU VS MEAL' rule, as it is announcing the availability of the report rather than being the full report content.
2019-11-21 Turkish
TRSSUVYK1917 Bono İtfası
Capital/Financing Update Classification · 99% confidence The document details the issuance and redemption information for a specific financial instrument identified by an ISIN code (TRSSUVYK1917), specifically mentioning 'Bono İtfası' (Bond Redemption) and providing details like maturity date, interest rate type ('Discounted'), sale type ('Sale To Qualified Investor'), and the nominal value sold. This content strongly relates to the structure, issuance, or repayment of debt/capital market instruments. Given the specific details about the instrument type ('Bill'), maturity, and redemption payment confirmation, this falls under Capital/Financing Update (CAP) as it documents a specific financing activity outcome (redemption payment confirmation). It is not a general earnings release (ER), a full annual report (10-K), or a management discussion (MDA).
2019-11-21 English

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