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LDR TURİZM A.Ş.

Share Issue/Capital Change Dec 12, 2023

8824_rns_2023-12-12_d54d2763-39e8-44fd-9d68-8756332f37b4.html

Share Issue/Capital Change

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Summary Info Bedelsiz Sermaye Artırımına İlişkin Esas Sözleşme'nin Tescili
Update Notification Flag Yes
Correction Notification Flag No
Postponed Notification Flag No
Board Decision Date 11.09.2023
Authorized Capital (TL) 265.000.000
Paid-in Capital (TL) 66.000.000
Target Capital (TL) 165.000.000

Bonus Issue

Share Group Info Paid-in Capital (TL) Amount of Bonus Issue From Internal Resources (TL) Rate of Bonus Issue From Internal Resources (%) Amount of Bonus Issue From Dividend (TL) Rate of Bonus Issue From Dividend (%) Share Group Issued New Shares'' ISIN Nevi
A Grubu, İşlem Görmüyor, TRELDRT00012 10.600.000 15.900.000,000 150,00000 A Grubu A Grubu, İşlem Görmüyor, TRELDRT00012 Registered
B Grubu, LIDER, TRELDRT00020 55.400.000 83.100.000,000 150,00000 B Grubu B Grubu, LIDER, TRELDRT00020 Bearer
Paid-in Capital (TL) Amount of Bonus Issue From Internal Resources (TL) Rate of Bonus Issue From Internal Resources (%) Amount of Bonus Issue From Dividend (TL) Rate of Bonus Issue From Dividend (%)
TOTAL 66.000.000 99.000.000,000 150,00000
Bonus Issue Ex-Date 08.12.2023

Details of Internal Resources :

Premium on Issued Shares (TL) 39.000.000
Previous Years'' Profits (TL) 60.000.000

Other Aspects To Be Notified

Number of Articles of Association Item To Be Amended 6
Capital Market Board Application Date Regarding Articles of Association 22.09.2023
Capital Market Board Application Result Regarding Articles of Association APPROVAL
Capital Market Board Approval Date Regarding Articles of Association 01.12.2023
Capital Market Board Application Date 22.09.2023
Capital Market Board Application Result Approval
Capital Market Board Approval Date 01.12.2023
Property of Increased Capital Shares Dematerialized Share
Payment Date 12.12.2023
Record Date 11.12.2023
Date Of Registry 12.12.2023

Additional Explanations

Şirketimizin, 265.000.000 TL tutarındaki kayıtlı sermaye tavanı içerisinde, 66.000.000 TL olan çıkarılmış sermayesinin; VUK kayıtlarına göre hazırlanan mali tablolara göre 60.000.000 TL Olağanüstü Yedekler ve 39.000.000 TL Paylara İlişkin Primler kalemlerinden, TFRS'ye uygun olarak hazırlanan finansal tablolara göre ise 60.000.000 TL Geçmiş Yıllar Karı ve 39.000.000 TL Paylara İlişkin Primler kalemlerinden karşılanmak suretiyle, 99.000.000 TL tutarında artırılarak 165.000.000 TL'ye yükseltilmesine ilişkin olarak Şirketimiz Esas Sözleşmesi'nin "SERMAYE, PAYLAR ve PAYLARIN DEVRİ" başlıklı 6. maddesinin tadili 12.12.2023 tarihinde İstanbul Ticaret Sicili Müdürlüğü tarafından tescil edilmiştir.

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Supplementary Documents

Appendix: 1 Ldr Turizm A.Ş. Tadil Metni_Onaylı.pdf
Appendix: 2 Ldr Turizm A.Ş. İhraç Belgesi_Onaylı.pdf

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