Capital/Financing Update • Feb 20, 2023
Capital/Financing Update
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Türkçe
Turkish
İngilizce
English
oda_TenorIssueDocumentAbstract|
| Tertip İhraç Belgesi | Tenor Issue Document |
oda_UpdateAnnouncementFlag|
| Yapılan Açıklama Güncelleme mi? | Update Notification Flag |
Hayır (No)
Hayır (No)
oda_CorrectionAnnouncementFlag|
| Yapılan Açıklama Düzeltme mi? | Correction Notification Flag |
Hayır (No)
Hayır (No)
oda_DateOfThePreviousNotificationAboutTheSameSubject|
| Konuya İlişkin Daha Önce Yapılan Açıklamanın Tarihi | Date Of The Previous Notification About The Same Subject |
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oda_AnnouncementContentSection|
| Bildirim İçeriği | Announcement Content |
oda_ExplanationSection|
| Açıklamalar | Explanations |
oda_ExplanationTextBlock|
İlgi: a) 03.04.2013 tarihli özel durum açıklamamız
b)17.04.2015 tarihli özel durum açıklamamız
İlgi "a" da kayıtlı açıklamamız ile Bankamızca GMTN (Global Medium Term Notes) programı kurulduğu ve program kapsamında farklı para birimlerinde ve farklı vadelerde ihraç yapmaya hazır hale getirildiği,
İlgi "b" de kayıtlı açıklamamız ile GMTN Programı sözleşmesel boyutunun 7 milyar ABD Dolarına arttırıldığı duyurulmuştu.
Program kapsamında SPK tarafından tertip ihraç belgesi düzenlenen işlemler aşağıda listelenmiş olup, SPK onaylı tertip ihraç belgelerine de ekte yer verilmiştir.
ISIN: XS2590220880
İHRAÇ TARİHİ: 20.02.2023
VADE: 27.02.2024
DÖVİZ: EUR
NOMİNAL TUTAR: 100.000.000
ISIN: XS2590220963
İHRAÇ TARİHİ: 22.02.2023
VADE: 29.02.2024
DÖVİZ: EUR
NOMİNAL TUTAR: 100.000.000
ISIN: XS2590221185
İHRAÇ TARİHİ: 23.02.2023
VADE: 01.03.2024
DÖVİZ: EUR
NOMİNAL TUTAR: 100.000.000
ISIN: --
İHRAÇ TARİHİ: 21.02.2023
VADE: 15.03.2028
DÖVİZ: USD
NOMİNAL TUTAR: 116.000.000
Reference: a) VakıfBank Public Disclosure dated April 3rd, 2013
b) VakıfBank Public Disclosure dated April 17th, 2015
It was announced with the referred disclosure "a", that a Global Medium Term Note (GMTN) program has been established and the Bank was authorized to make issuances in different currencies and maturities.
It was announced with the referred disclosure "b", the contractual size of our Bank's GMTN programme has been increased to USD 7 billion.
Transactions that have CMB issuance certificate under the GMTN programme are listed below and issuance certificates approved by CMB are enclosed herewith. Please be informed that the enclosed documents are in Turkish only.
ISIN CODE: XS2590220880
ISSUE DATE: 20.02.2023
MATURITY: 27.02.2024
CURRENCY: EUR
NOMINAL AMOUNT: 100,000,000
ISIN CODE: XS2590220963
ISSUE DATE: 22.02.2023
MATURITY: 29.02.2024
CURRENCY: EUR
NOMINAL AMOUNT: 100,000,000
ISIN CODE: XS2590221185
ISSUE DATE: 23.02.2023
MATURITY: 01.03.2024
CURRENCY: EUR
NOMINAL AMOUNT: 100,000,000
ISIN CODE: --
ISSUE DATE: 21.02.2023
MATURITY: 15.03.2028
CURRENCY: USD
NOMINAL AMOUNT: 116,000,000
According to CMB legislation, in case of a contradiction between the Turkish and English versions of this public disclosure, the Turkish version shall prevail.
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