KAP : AKBANK T.A.S. / AKBNK [] IHRAC BELGESI 30.03.2015 10:13:46
30.03.2015 10:13
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=426228
KAP : AKBANK T.A.S. / AKBNK [] IHRAC BELGESI 30.03.2015 10:13:46
IHRAC BELGESI
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ILGI: 25.03.2015 TARIHLI OZEL DURUM ACIKLAMASI
ILGIDE KAYITLI ACIKLAMIZDA BELIRTILEN BANKAMIZCA IHRAC EDILECEK KIYMETE ILISKIN BILGILER ASAGIDA LISTELENMIS OLUP, SOZ KONUSU KIYMETE ILISKIN SPK TARAFINDAN ONAYLANAN TERTIP IHRAC BELGESINE EKTE YER VERILMISTIR.
ISIN: US00971YAF79
TURU: TAHVIL
IHRAC TARIHI: 31.03.2015
VADE: 31.03.2025
GUN: 3653
DOVIZ: USD
NOMINAL TUTAR: 119.740.000
ISIN: XS1210422074
TURU: TAHVIL
IHRAC TARIHI: 31.03.2015
VADE: 31.03.2025
GUN: 3653
DOVIZ: USD
NOMINAL TUTAR: 380.260.000
ACIKLAMANIN INGILIZCE VERSIYONUNA ASAGIDA YER VERILMEKTEDIR./ ENGLISH VERSION OF THE DISCLOSURE IS STATED BELOW.
REFERENCE: MATERIAL EVENT DISCLOSURE DATED 25.03.2015.
WITH REGARD TO THE DISCLOSURE IN THE REFERENCE, THE ISSUANCES DETAILED BELOW WILL BE MADE. CMB APPROVED ISSUANCE CERTIFICATES FOR THESE NOTES ARE ATTACHED.
ISIN: US00971YAF79
TYPE: BOND
SETTLEMENT DATE: 31.03.2015
MATURITY DATE: 31.03.2025
DAY: 3653
CURRENCY: USD
NOMINAL AMOUNT: 119.740.000
ISIN: XS1210422074
TYPE: BOND
SETTLEMENT DATE: 31.03.2015
MATURITY DATE: 31.03.2025
DAY: 3653
CURRENCY: USD
NOMINAL AMOUNT: 380.260.000
IN CASE OF CONTRADICTION BETWEEN THE TURKISH AND ENGLISH VERSIONS OF THIS PUBLIC DISCLOSURE, THE TURKISH VERSION SHALL PREVAIL.
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