Announcement regarding redemption of bank bonds

Announcement regarding redemption of bank bonds

The 384-day maturity discounted bond which was issued upon the approval of the Capital Markets Board dated May 9, 2014 by public offering on May  20, 2014 with bookbuilding on May 14-15-16, 2014 with TRSGRAN61518 ISIN code, and 220.799.231 TL nominal value, is redeemed today (on 08/06/2015).

Announcement regarding redemption of bank bonds

 

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