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Related Issue Limit Info
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Capital Market Instrument To Be Issued Info
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Additional Explanations
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The 140-day maturity bank bonds, which were issued upon the approval of the Capital Markets Board dated March 10, 2017 by sale to qualified investors on December 25, 2017 with bookbuilding on December 22, 2017 with TRFGRAN51813 ISIN code and TRY 9,994,565 nominal value, is redeemed today on 14.05.2018. In contradiction between the Turkish and English versions of this public disclosure, the Turkish version shall prevail.
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We proclaim that our above disclosure is in conformity with the principles set down in “Material Events Communiqué” of Capital Markets Board, and it fully reflects all information coming to our knowledge on the subject matter thereof, and it is in conformity with our books, records and documents, and all reasonable efforts have been shown by our Company in order to obtain all information fully and accurately about the subject matter thereof, and we’re personally liable for the disclosures.