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İŞ YATIRIM MENKUL DEĞERLER A.Ş.

Capital/Financing Update Dec 16, 2025

8808_rns_2025-12-16_a2fcebc6-4ebf-4189-aee3-e31ec870c1c4.pdf

Capital/Financing Update

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Regarding the redemption of IS Investment Warrants:

The settlement values of warrants with a maturity date of 15 December 2025 issued by İş Yatırım Menkul Değerler A. Ş. are given in the table below.

Short Code Long Code Underlying's
Settlement Price
Warrant's
Settlement
Price
SPIGV SP500C1512256400.00IYM00.0002NA 6.816,51 3,55
SPIGW SP500C1512256500.00IYM00.0002NA 6.816,51 2,70
SPIGX SP500C1512256800.00IYM00.0002NA 6.816,51 0,14
SPIGY SP500C1512257000.00IYM00.0002NA 6.816,51 0,00
SPIXC SP500P1512256600.00IYM00.0002NA 6.816,51 0,00
SPIXD SP500P1512256300.00IYM00.0002NA 6.816,51 0,00
SPIXE SP500P1512256200.00IYM00.0002NA 6.816,51 0,00
SPIXF SP500P1512256000.00IYM00.0002NA 6.816,51 0,00
NAIFO NASDQC15122523000.0IYM0.00005NA 25.067,27 4,41
NAIFP NASDQC15122524000.0IYM0.00005NA 25.067,27 2,27
NAIFQ NASDQC15122525000.0IYM0.00005NA 25.067,27 0,14
NAIFR NASDQC15122526000.0IYM0.00005NA 25.067,27 0,00
NAIUO NASDQP15122524000.0IYM0.00005NA 25.067,27 0,00
NAIUP NASDQP15122523000.0IYM0.00005NA 25.067,27 0,00
NAIUQ NASDQP15122522000.0IYM0.00005NA 25.067,27 0,00
NAIUR NASDQP15122521000.0IYM0.00005NA 25.067,27 0,00

Payments related to warrants will be made by Merkezi Kayıt Kuruluşu A.Ş. (MKK) on 18 December 2025.

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