2017 ANNUAL REPORT
PDF BNP PARIBAS GROUP CONTACT TÜRKÇE

MATERIAL EVENTS THAT TOOK PLACE AFTER THE END OF THE OPERATING YEAR

On 26-27-28 February 2018, the Bank offered to the public 110-day maturity commercial papers with a nominal value of TL 100 million through book-building. In case of oversubscription, total amount of the public offering may be increased to a nominal amount of TL 150 million.

The Bank carried out the issuance of the 118-day maturity bond coded TRFTEBK61817 ISIN with a nominal value of TL 72,879,757 on 9 February 2018.