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Dow Jones News
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Turkiye Garanti Bankasi A.S.: Distribution Results of Bank Bonds to Qualified Investors

Dow Jones received a payment from EQS/DGAP to publish this press release.

Turkiye Garanti Bankasi A.S. (TGBD) 
Distribution Results of Bank Bonds to Qualified Investors 
 
14-Feb-2019 / 15:28 GMT/BST 
Dissemination of a Regulatory Announcement, transmitted by EQS Group. 
The issuer is solely responsible for the content of this announcement. 
 
1918/040 
 
    I??SEL BILGILERE ILISKIN ÖZEL DURUM A??IKLAMA FORMU 
 
Ortakligin Unvani /Ortaklarin Adi: T.GARANTI BANKASI A.S. 
 
Adresi: Levent Nispetiye Mah. Aytar Cad. No:2 
 
34340 Besiktas/ISTANBUL 
 
Telefon ve Faks No: 0(212) 318-1818 - 0(212) 318-1888 
 
Ortakligin yatirimci/pay sahipleri ile 
 
iliskiler biriminin telefon ve faks no.su: 0(212)318-1945/1957 - 0(212) 
216-6422 
 
Tarih: 14.02.2019 
 
Konu: Nitelikli Yatirimci Finansman Bonosu Dagitim Sonucu 
 
Borsa Istanbul A.S. Baskanligi'na 
 
34467 Emirgan, ISTANBUL 
 
          Açiklanacak Özel Durum: 
 
         55 gün vadeli 140.067.739 TRY nominal degerdeki bonolarin nitelikli 
          yatirimcilara ihraci (14.02.2019) itibariyle gerçeklestirilmistir. 
 
Yönetim Kurulu Karar Tarihi  04.10.2018 
 
Ilgili Ihraç Tavani Bilgileri 
Para Birimi             TRY 
Tutar                   20.000.000.000 
Ihraç Tavani Kiymet     Borçlanma Araci 
Türü                    -Yapilandirilmis Borçlanma 
                        Araci 
Satis Türü              Halka Arz -Tahsisli- Nitelikli 
                        Yatirimciya Satis 
Yurt Içi / Yurt Disi    Yurt Içi 
 
Ihraç Edilecek Sermaye Piyasasi Araci Bilgileri 
Türü                       Bono 
Vadesi                     10.04.2019 
Vade (Gün Sayisi)          55 
Faiz Orani Türü            Iskontolu 
Satis Sekli                Nitelikli Yatirimciya Satis 
ISIN Kodu                  TRFGRAN41939 
Satisa Baslanma Tarihi     13.02.2019 
Satisin Tamamlanma Tarihi  13.02.2019 
Vade Baslangiç Tarihi      14.02.2019 
Satisi Gerçeklestirilen    140.067.739 
Nominal Tutar 
Kupon Sayisi               0 
 
Itfa Tarihi                        10.04.2019 
Yatirimci Hesaplarina Ödenme  10.04.2019 
Tarihi 
Ödeme Gerçeklestirildi mi?    Hayir 
 
      *Açiklamanin Ingilizce versiyonuna asagida yer verilmektedir./ English 
         version of the disclosure is stated below. 
 
Distribution Results of Bank Bonds to Qualified Investors 
 
The issuance of the bank bonds in the nominal value of TRY 140,067,739 with 
a maturity of 55 days to be sold to qualified investors has been realized as 
of (14.02.2019). 
 
Board Decision Date  04.10.2018 
 
Related Issue Limit Info 
Currency Unit              TRY 
Limit                      20,000,000,000 
Issue Limit Security Type  Debt Securities- Structured 
                           Debt Securities 
Sale Type                  Public Offering- Private 
                           Placement-Sale To Qualified 
                           Investors 
Domestic / Oversea         Domestic 
 
Capital Market Instrument To Be Issued Info 
Type                       Bill 
Maturity Date              10.04.2019 
Maturity (Day)             55 
Interest Rate Type         Discounted 
Sale Type                  Sale To Qualified Investors 
ISIN Code                  TRFGRAN41939 
Starting Date of Sale      13.02.2019 
Ending Date of Sale        13.02.2019 
Maturity Starting Date     14.02.2019 
Nominal Value of Capital   140,067,739 
Market Instrument Sold 
Coupon Number              0 
Redemption Date            10.04.2019 
Payment Date               10.04.2019 
 
Was The Payment Made? No                                No 
 
   *In contradiction between the Turkish and English versions of this public 
         disclosure, the Turkish version shall prevail. 
 
     Yukaridaki açiklamalarimizin, Sermaye Piyasasi Kurulunun II.15.1 sayili 
   Özel Durumlar Tebliginde yer alan esaslara uygun oldugunu, bu konuda 
     tarafimiza ulasan bilgileri tam olarak yansittigini; bilgilerin defter, 
kayit ve belgelerimize uygun oldugunu, konuyla ilgili bilgileri tam ve dogru 
    olarak elde etmek için gerekli tüm çabalari gösterdigimizi ve yapilan bu 
          açiklamalardan sorumlu oldugumuzu beyan ederiz. 
 
         Saygilarimizla, 
 
T.GARANTI BANKASI A.S. 
 
GENEL MÜDÜRLÜK 
 
Ömer ??IRKIN Aydin GÜLER 
 
Direktör Genel Müdür Yardimcisi 
 
14.02.2019 Saat: 14.02.2019 Saat: 
 
ISIN:           US9001487019 
Category Code:  MSCL 
TIDM:           TGBD 
OAM Categories: 3.1. Additional regulated information required to be 
                disclosed under the laws of a Member State 
Sequence No.:   7504 
EQS News ID:    776285 
 
End of Announcement EQS News Service 
 
 

(END) Dow Jones Newswires

February 14, 2019 10:29 ET (15:29 GMT)

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