Capital/Financing Update • Jan 26, 2018
Capital/Financing Update
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| Summary Info | Principal redemption and the fourth coupon payment of the TRSAYGZ11810 bond |
| Update Notification Flag | Yes |
| Correction Notification Flag | No |
| Postponed Notification Flag | No |
| Board Decision Date | 16.02.2015 |
Related Issue Limit Info
| Currency Unit | TRY |
| Limit | 300.000.000 |
| Issue Limit Security Type | Debt Securities |
| Sale Type | Sale To Qualified Investor |
| Domestic / Oversea | Domestic |
Capital Market Instrument To Be Issued Info
| Intended Nominal Amount | 75.000.000 |
| Type | Bond |
| Maturity Date | 26.01.2018 |
| Maturity (Day) | 728 |
| Interest Rate Type | Fixed Rate |
| Sale Type | Sale To Qualified Investor |
| ISIN Code | TRSAYGZ11810 |
| Title Of Intermediary Brokerage House | YAPI KREDİ YATIRIM MENKUL DEĞERLER A.Ş. |
| Coupon Number | 4 |
| Currency Unit | TRY |
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 | 29.07.2016 | 28.07.2016 | 29.07.2016 | 6,33 | 4.747.500 | Yes | |
| 2 | 27.01.2017 | 26.01.2017 | 27.01.2017 | 6,33 | 4.747.500 | Yes | |
| 3 | 28.07.2017 | 27.07.2017 | 28.07.2017 | 6,33 | 4.747.500 | Yes | |
| 4 | 26.01.2018 | 25.01.2018 | 26.01.2018 | 6,33 | 4.747.500 | Yes | |
| Principal/Maturity Date Payment Amount | 26.01.2018 | 25.01.2018 | 26.01.2018 | 75.000.000 | Yes |
Additional Explanations
Principal redemption of 75.000.000 TL and the fourth coupon payment of 4.747.500 TL of the private sector bond that was issued by our Company with ISIN code TRSAYGZ11810 was completed on 26.01.2018
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