Distribution Results of Bank Bonds to Qualified Investors
Distribution Results of Bank Bonds to Qualified Investors
The issuance of the bank bonds in the nominal value of TRY 35,903,214 with a maturity of 82 days to be sold to qualified investors has been realized as of today (23.08.2017).
Board Decision Date |
30.11.2016 |
Currency Unit |
TRY |
Limit |
20,000,000,000 |
Issue Limit Security Type |
Debt Securities |
Sale Type |
Public Offering-Sale To Qualified Investors |
Domestic / Overseas |
Domestic |
Type |
Bill |
Maturity Date |
13.11.2017 |
Maturity (Day) |
82 |
Interest Rate Type |
Discounted |
Sale Type |
Sale To Qualified Investors |
ISIN Code |
TRFGRANK1716 |
Starting Date of Sale |
22.08.2017 |
Ending Date of Sale |
22.08.2017 |
Maturity Starting Date |
23.08.2017 |
Coupon Number |
0 |
Redemption Date |
13.11.2017 |
Payment Date |
13.11.2017 |
Nominal Value of Capital Market Instrument Sold |
35,903,214 |
Was The Payment Made? |
No |