Announcement regarding redemption of bank bonds
Announcement regarding redemption of bank bonds
The 369-day maturity discounted bond which was issued upon the approval of the Capital Markets Board dated 8 May 2013 by public offering on 16 May 2013 with bookbuilding on 13-14-15 May 2013, with TRSGRAN51410 ISIN code, and 186.374.545 TL nominal value , is redeemed today (on 20/05/2014) .