Announcement regarding structured note redemption
Announcement regarding structured note redemption
The 63-day maturity structured debt instrument which was issued with the purpose of selling to qualified investors on June.10, 2016 with bookbuilding on June.8-9, 2016 with TR0GRAN006Z7 ISIN code, is redeemed on 12.08.2016.
In contradiction between the Turkish and English versions of this public disclosure, the Turkish version shall prevail.