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CREDITWEST FAKTORİNG A.Ş.

Notice of Dividend Amount Feb 16, 2017

8767_rns_2017-02-16_f18eb620-f337-4e8c-b174-e9d135a43e9b.html

Notice of Dividend Amount

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Summary Info TRSTPFC51716 ISIN Kodlu Tahvilin 8.Kupon Faizi ilan edilmiştir.
Update Notification Flag Yes
Correction Notification Flag No
Postponed Notification Flag No
Board Decision Date 20.11.2014

Related Issue Limit Info

Currency Unit TRY
Limit 50.000.000
Issue Limit Security Type Dept Securities
Sale Type Sale To Qualified Investor
Domestic / Oversea Domestic

Capital Market Instrument To Be Issued Info

Intended Nominal Amount 50.000.000
Intended Maximum Nominal Amount 50.000.000
Type Bond
Maturity Date 18.05.2017
Maturity (Day) 727
Interest Rate Type Floating Rate
Interest Rate - Periodic (%) 3,06
Interest Rate - Yearly Simple (%) 12,24
Interest Rate - Yearly Compound (%) 12,85
Sale Type Sale To Qualified Investor
ISIN Code TRSTPFC51716
Title Of Intermediary Brokerage House İŞ YATIRIM MENKUL DEĞERLER A.Ş.
Approval Date of Tenor Issue Document 19.02.2015
Starting Date of Sale 21.05.2015
Ending Date of Sale 22.05.2015
Maturity Starting Date 22.05.2015
Nominal Value of Capital Market Instrument Sold 50.000.000
Issue Price 1
Coupon Number 8
Currency Unit TRY
Guaranty And Warrant Regarding Issue (If Available) TRSTPFC51716 ISIN kodlu tahvilin 7.kupon faizi açıklanmıştır.

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 21.08.2015 20.08.2015 21.08.2015 3,06 1.529.999,99 Yes
2 20.11.2015 19.11.2015 20.11.2015 3,33 1.664.999,99 Yes
3 19.02.2016 18.02.2016 19.02.2016 3,24 1.619.999,99 Yes
4 20.05.2016 18.05.2016 20.05.2016 3,43 1.714.999,98 Yes
5 19.08.2016 18.08.2016 19.08.2016 3,1 1.549.999,99 Yes
6 18.11.2016 17.11.2016 18.11.2016 2,93 1.464.999,98 Yes
7 17.02.2017 16.02.2017 17.02.2017 3,17
8 18.05.2017 17.05.2017 18.05.2017 3,44
Principal/Maturity Date Payment Amount 18.05.2017 17.05.2017 18.05.2017

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