TR0GRAN00GV7 ISIN- Redemption of the Structured Note

TR0GRAN00GV7 ISIN- Redemption of the Structured Note

The 95-day maturity structured notes, which were issued upon the approval of the Capital Markets Board dated Mar.10, 2017, by selling to qualified investors on August 10, 2017 with bookbuilding on August 11, 2017 with TR0GRAN00GV7 ISIN code and TRY 30,000,000 nominal value, is redeemed on 14.11.2017.

TR0GRAN00GV7 ISIN- Redemption of the Structured Note

 

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