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REG - Turkiye Garanti Bank - Distribution Results of Bank Bonds <Origin Href="QuoteRef">GARAN.IS</Origin>

RNS Number : 0529U
Turkiye Garanti Bankasi
19 October 2017

TO: Investment Community

FROM : Garanti Bank / Investor Relations

SUBJECT: Distribution Results of Bank Bonds to Qualified Investors

DATE: October 19, 2017

The issuance of the bank bonds in the nominal value of TRY 129,250,996 with a maturity of 82 days to be sold to qualified investors has been realized as of today (18.10.2017).

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

08.01.2018

Maturity (Day)

82

Interest Rate Type

Discounted

Sale Type

Sale To Qualified Investor

ISIN Code

TRFGRAN11817

Starting Date of Sale

17.10.2017

Ending Date of Sale

17.10.2017

Maturity Starting Date

18.10.2017

Coupon Number

0

Redemption Date

08.01.2018

Payment Date

08.01.2018

Nominal Value of Capital Market Instrument Sold

129,250,996

Was The Payment Made? No

In contradiction between the Turkish and English versions of this public disclosure, the Turkish version shall prevail.

We declare that our above statements are in conformity with the principles included in the Board's Communiqu, Serial II Nr.15.1, that it exactly reflects the information we received; that the information complies with our records, books and documents; that we did our best to obtain the correct and complete information relative to this subject and that we are responsible for the declarations made in this regard.

Yours sincerely,

Garanti Bank

Contact Garanti Bank Investor Relations:

Tel: +90 212 318 2352
Fax: +90 212 216 5902
E-mail: investorrelations@garanti.com.tr
www.garantiinvestorrelations.com


This information is provided by RNS
The company news service from the London Stock Exchange
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