Announcement regarding redemption of the debt instrument

Announcement regarding redemption of the debt instrument

The 728-day maturity fixed coupon bonds which was issued upon the approval of the Capital Markets Board dated Dec.25, 2014 by public offering on Jan.12, 2015 with bookbuilding on Jan.7-8-9 2015 with TRSGRAN11711 ISIN code, is redeemed today on 09/01/2017.

Announcement regarding redemption of the debt instrument

 

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