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FİBABANKA A.Ş.

Capital/Financing Update May 10, 2017

8786_rns_2017-05-10_10a8b854-1d79-45e5-abcf-de080e12e1d5.html

Capital/Financing Update

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Summary Info Yurt dışı tahvil ihracı kupon faiz değişikliği
Update Notification Flag No
Correction Notification Flag Yes
Postponed Notification Flag No
Reason of Correction Faiz değişikliği

Related Issue Limit Info

Currency Unit USD
Limit 350.000.000
Issue Limit Security Type Dept Securities
Sale Type Oversea
Domestic / Oversea Oversea

Capital Market Instrument To Be Issued Info

Intended Nominal Amount 100.000.000
Type Bond
Maturity Date 24.11.2027
Maturity (Day) 4.262
Interest Rate Type Fixed Rate
Interest Rate - Yearly Simple (%) 7,75
ISIN Code XS1386178237
Ending Date of Sale 23.03.2016
Maturity Starting Date 24.03.2016
Nominal Value of Capital Market Instrument Sold 100.000.000
Issue Price 100
Coupon Number 24
Currency Unit USD

Redemption Plan of Capital Market Instrument Sold

Coupon Number Payment Date Record Date Payment Date Interest Rate (%) Payment Amount Exchange Rate Was The Payment Made?
1 24.09.2016 23.09.2016 26.09.2016 9,25 4.625.000 2,9474
2 24.03.2017 23.03.2017 24.03.2017 9,25 4.625.000 3,6134
3 24.09.2017 22.09.2017 25.09.2017 7,75 3.875.000
4 24.03.2018 23.03.2018 26.03.2018 7,75 3.875.000
5 24.09.2018 21.09.2018 24.09.2018 7,75 3.875.000
6 24.03.2019 22.03.2019 25.03.2019 7,75 3.875.000
7 24.09.2019 23.09.2019 24.09.2019 7,75 3.875.000
8 24.03.2020 23.03.2020 24.03.2020 7,75 3.875.000
9 24.09.2020 23.09.2020 24.09.2020 7,75 3.875.000
10 24.03.2021 23.03.2021 24.03.2021 7,75 3.875.000
11 24.09.2021 23.09.2021 24.09.2021 7,75 3.875.000
12 24.03.2022 23.03.2022 24.03.2022 7,75 3.875.000
13 24.09.2022 23.09.2022 26.09.2022 7,75 3.875.000
14 24.03.2023 23.03.2023 24.03.2023 7,75 3.875.000
15 24.09.2023 22.09.2023 25.09.2023 7,75 3.875.000
16 24.03.2024 22.03.2024 25.03.2024 7,75 3.875.000
17 24.09.2024 23.09.2024 24.09.2024 7,75 3.875.000
18 24.03.2025 21.03.2025 24.03.2025 7,75 3.875.000
19 24.09.2025 23.09.2025 24.09.2025 7,75 3.875.000
20 24.03.2026 26.12.2025 24.03.2026 7,75 3.875.000
21 24.09.2026 26.12.2025 24.09.2026 7,75 3.875.000
22 24.03.2027 26.12.2025 24.03.2027 7,75 3.875.000
23 24.09.2027 26.12.2025 24.09.2027 7,75 3.875.000
24 24.11.2027 26.12.2025 24.11.2027 7,75 3.875.000
Principal/Maturity Date Payment Amount 24.11.2027 26.12.2025 24.11.2027 100.000.000

Additional Explanations

03.05.2017 tarihli açıklamamıza istinaden 100 milyon ABD Doları mevcut sermaye benzeri tahvilin kupon oranı sabit %7.75 olarak değiştirilmiştir.

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