KAP : AKBANK T.A.S. / AKBNK [] IHRAC BELGESI 13.02.2015 11:45:58

13.02.2015 11:46
KAP : AKBANK T.A.S. / AKBNK [] IHRAC BELGESI 13.02.2015 11:45:58



BU HABERIN KAP `IN SITESINDEKI ORJINAL HALI VE EKLI DOSYALARINI GOREBILMEK ICIN ASAGIDAKI LINK`I TIKLAYINIZ!
HTTP://WWW.KAP.GOV.TR/YAY/BILDIRIM/BILDIRIM.ASPX?ID=413204

KAP : AKBANK T.A.S. / AKBNK [] IHRAC BELGESI 13.02.2015 11:45:58

IHRAC BELGESI
---------------------------------------------------------------------------------------------
ILGI: 24.12.2013 TARIHLI OZEL DURUM ACIKLAMASI.

ILGIDE YER ALAN ACIKLAMAMIZDA, TAHVIL IHRAC PROGRAMININ (GLOBAL MEDIUM TERM NOTE PROGRAMI), YURTDISINDA FARKLI PARA BIRIMLERINDE VE FARKLI VADELERDE IHRACLAR YAPMAYA HAZIR HALE GETIRILDIGI DUYURULMUSTU.

PROGRAM KAPSAMINDA, BANKAMIZCA IHRAC EDILECEK KIYMETLERE ILISKIN BILGILER ASAGIDA LISTELENMIS OLUP, SOZ KONUSU KIYMETLERE ILISKIN SPK TARAFINDAN ONAYLANAN TERTIP IHRAC BELGELERINE EKTE YER VERILMISTIR.

ISIN: XS1190709375
TURU: BONO
IHRAC TARIHI: 17.02.2015
VADE: 14.08.2015
GUN: 178
DOVIZ: USD
NOMINAL TUTAR: 44.800.000

ISIN: XS1190722550
TURU: TAHVIL
IHRAC TARIHI: 17.02.2015
VADE: 18.02.2016
GUN: 366
DOVIZ: USD
NOMINAL TUTAR: 14.900.000

ISIN: XS1190708567
TURU: BONO
IHRAC TARIHI: 18.02.2015
VADE: 13.08.2015
GUN: 176
DOVIZ: USD
NOMINAL TUTAR: 9.000.000

ACIKLAMANIN INGILIZCE VERSIYONUNA ASAGIDA YER VERILMEKTEDIR./ ENGLISH VERSION OF THE DISCLOSURE IS STATED BELOW.

REFERENCE: MATERIAL EVENT DISCLOSURE DATED 24.12.2013.

IT WAS ANNOUNCED ON DECEMBER 24, 2013 THAT A GMTN (GLOBAL MEDIUM TERM NOTES) PROGRAMME HAD BEEN ESTABLISHED BY OUR BANK TO ISSUE NOTES IN DIFFERENT CURRENCIES AND DIFFERENT MATURITIES.

UNDER THE GMTN PROGRAMME, THE ISSUANCES DETAILED BELOW WILL BE MADE. CMB APPROVED ISSUANCE CERTIFICATES FOR THESE NOTES ARE ATTACHED.

ISIN: XS1190709375
TYPE: NOTE
SETTLEMENT DATE: 17.02.2015
MATURITY DATE: 14.08.2015
DAY: 178
CURRENCY: USD
NOMINAL AMOUNT: 44.800.000

ISIN: XS1190722550
TYPE: BOND
SETTLEMENT DATE: 17.02.2015
MATURITY DATE: 18.02.2016
DAY: 366
CURRENCY: USD
NOMINAL AMOUNT: 14.900.000

ISIN: XS1190708567
TYPE: NOTE
SETTLEMENT DATE: 18.02.2015
MATURITY DATE: 13.08.2015
DAY: 176
CURRENCY: USD
NOMINAL AMOUNT: 9.000.000

IN CASE OF CONTRADICTION BETWEEN THE TURKISH AND ENGLISH VERSIONS OF THIS PUBLIC DISCLOSURE, THE TURKISH VERSION SHALL PREVAIL.

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-KAP-




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