Announcement regarding structured note redemption
Announcement regarding structured note redemption
The 92-day maturity structured debt instruments which was issued with the purpose of selling to qualified investors on Dec.01, 2015 with bookbuilding on Nov.30, 2015 with TR0GRAN00485 ISIN code, and 30,665,447 TL nominal value, is redeemed today (on 02/03/2016).
In contradiction between the Turkish and English versions of this public disclosure, the Turkish version shall prevail.