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FORD OTOMOTİV SANAYİ A.Ş.

Capital/Financing Update Apr 25, 2024

5914_rns_2024-04-25_1a73b08d-1075-46a3-9a27-0238696f4631.html

Capital/Financing Update

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Summary Info Developments on the Issuance of Eurobond-Completion of Issuance
Update Notification Flag No
Correction Notification Flag Yes
Postponed Notification Flag No
Subject of Notification Completion of the Sale
Reason of Correction With the completion of the issuance related information has been added and finalized payment dates have been entered in the redemption plan.
Board Decision Date 07.08.2023

Related Issue Limit Info

Currency Unit EUR
Limit 500.000.000
Issue Limit Security Type Debt Securities
Sale Type Oversea
Domestic / Oversea Oversea
Capital Market Board Approval Date 20.09.2023

Capital Market Instrument To Be Issued Info

Type Bond
Maturity Date 25.04.2029
Maturity (Day) 1.825
Sale Type Oversea
The country where the issue takes place İrlanda
Central Securities Depository Euroclear/Clearstream
Ending Date of Sale 25.04.2024
Nominal Value of Capital Market Instrument Sold 500.000.000
Maturity Starting Date 25.04.2024
Issue Exchange Rate 1
Interest Rate Type Fixed Rate
Traded in the Stock Exchange Yes
Payment Type Foreign Exchange Payment
ISIN Code XS2782775345
Coupon Number 10
Currency Unit USD
Coupon Payment Frequency Once Every Six Months

Redemption Plan of Capital Market Instrument Sold

Coupon Number Payment Date Was The Payment Made?
1 25.10.2024
2 25.04.2025
3 27.10.2025
4 27.04.2026
5 26.10.2026
6 26.04.2027
7 25.10.2027
8 25.04.2028
9 25.10.2028
10 25.04.2029
Principal/Maturity Date Payment Amount 25.04.2029

Rating

Does the issuer have a rating note? Yes

Issuer Rating Note

Rating Company Rating Note Rating Date Is it Investment Grade?
Fitch Ratings, S&P Ratings BB+ (Fitch), BB- (S&P) 11.04.2024 No
Does the capital market instrument have a rating note? Yes

Capital Market Instrument Rating Note

Rating Company Rating Note Rating Date Is it Investment Grade?
Fitch Ratings, S&P Ratings BB+ (Fitch), BB- (S&P) 18.04.2024 No

Additional Explanations

Ref: Our public disclosures dated 22.09.2023, 11.04.2024, 19.04.2024 and 22.04.2024. The sale of a debt instrument to non-resident investors that approved by the Capital Markets Board on September 20, 2023, and quoted on the Euronext Dublin Stock Exchange, was completed on April 25, 2024. The amounts related to a debt instrument issued & sold abroad with a nominal value of USD 500 million, maturity of 5 years, redemption date April 25, 2029, priced at 7.125% repayment yield and coupon rate has been determined as 7.125%, transferred to our Company's accounts. This statement has been translated into English for informational purposes. In case of a discrepancy between the Turkish and the English versions of this disclosure statement, the Turkish version shall prevail.

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