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YAPI KREDİ YATIRIM MENKUL DEĞERLER A.Ş.

Capital/Financing Update Nov 4, 2025

9071_rns_2025-11-04_3c337e8e-1036-4bd7-957a-8613278547e6.html

Capital/Financing Update

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Summary Info Borçlanma Aracı İtfası
Update Notification Flag Yes
Correction Notification Flag No
Postponed Notification Flag No
Subject of Notification Redemption
Board Decision Date 12.06.2025

Related Issue Limit Info

Currency Unit TRY
Limit 24.000.000.000
Issue Limit Security Type Debt Securities
Sale Type Sale To Qualified Investor
Domestic / Oversea Domestic
Capital Market Board Approval Date 17.07.2025

Capital Market Instrument To Be Issued Info

Type Bill
Maturity Date 04.11.2025
Maturity (Day) 95
Sale Type Sale To Qualified Investor
The country where the issue takes place Türkiye
Title Of Intermediary Brokerage House YAPI KREDİ YATIRIM MENKUL DEĞERLER A.Ş.
Central Securities Depository Merkezi Kayıt Kuruluşu A.Ş.
Starting Date of Sale 31.07.2025
Ending Date of Sale 31.07.2025
Nominal Value of Capital Market Instrument Sold 100.000.000
Maturity Starting Date 01.08.2025
Issue Price 0,90146
Interest Rate Type Discounted
Interest Rate - Equivalent to Maturity (%) 10,9315
Interest Rate - Yearly Simple (%) 42
Interest Rate - Yearly Compound (%) 48,97
Traded in the Stock Exchange Yes
Payment Type TL Payment
ISIN Code TRFYKYMK2514
Coupon Number 0
Principal/Maturity Date Payment Amount 100.000.000
Redemption Date 04.11.2025
Record Date 03.11.2025
Was The Payment Made? Yes
Payment Date 04.11.2025
Currency Unit TRY

Rating

Does the issuer have a rating note? Yes

Issuer Rating Note

Rating Company Rating Note Rating Date Is it Investment Grade?
Fitch Ratings Uzun Vadeli Ulusal Kredi Notunu "AA-" 25.03.2025 Yes
Does the capital market instrument have a rating note? No
Does the originator have a rating note? No

Additional Explanations

Kurumumuzca ihraç edilen 95 gün vadeli TRFYKYMK2514 ISIN kodlu borçlanma aracının 04 Kasım 2025 tarihinde vadesi gelmiş olup, itfa işlemi gerçekleştirilmiştir.

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