2019 ANNUAL REPORT
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SIGNIFICANT EVENTS OCCURRING AFTER THE END OF THE ACTIVITY YEAR

A bond with a nominal value of TL 992,405,312, a maturity date of January 17, 2020 and maturity of 49 days with the ISIN code TRFTEBK32016 was issued.

A bond with an 87 days maturity, an ISIN code of TRFTEBK12026 and a nominal value of TL 103,313,150, issued on October 22, 2019, matured on January  17, 2020 and has been redeemed.

A bond with a nominal value of TL 339,313,428, with a maturity of 91 days, an ISIN code of TRFTEBK12018 which was issued through the book building method on 15 - 16 October 2019, matured on January 17, 2020 and has been redeemed.

A bond with a nominal value of TL 603,941,693, with a maturity of 63 days, an ISIN code of TRFTEBK12042 which was issued through the book building method on 11 - 13 November 2019, matured on January 17, 2020 and has been redeemed.

A bond with a nominal value of TL 658,349,527, with a maturity of 63 days, an ISIN code of TRFTEBK12067 which was issued on 26 November 2019, matured on January 28, 2020 and has been redeemed.

A bond with a nominal value of TL 664,985,616, with a maturity of 85 days and an ISIN code TRFTEBK42015, was issued on January 28, 2020.

A bond with a nominal value of TL 266,820,821, with a maturity of 90 days and an ISIN code TRFTEBK42023, was issued on January 30, 2020.

A bond with a nominal value of TL 224,671,841, with a maturity of 70 days and an ISIN code of TRFTEBK12059 and which was issued on 21 November 2019, matured on January 30, 2020 and has been redeemed.

A bond with a nominal value of TL 493,363,252, with a maturity of 56 days and an ISIN code of TRFTEBK32024, was issued on January 31, 2020.

A bond with a nominal value of TL 366,820,186, with a maturity of 91 days, and an ISIN code of TRFTEBK12034 which was issued through the book building method on 28-31 October 2019, matured on January 31, 2020 and has been redeemed.

A bond with a nominal value of TL 60,880,931, with a maturity of 91 days with an ISIN code TRFTEBK52014, was issued on February 3, 2020.

A bond with a nominal value of TL 37,074,877, with a maturity of 86 days with an ISIN code TRFTEBK42031 was issued on February 4, 2020.

A bond with a nominal value of TL 59,613,268, with a maturity of 98 days, and an ISIN code of TRFTEBK22017 which was issued on 01 November 2019, matured on  February 7, 2020 and redeemed.

A bond with a nominal value of TL 252,000,000, with a maturity of 69 days, and an ISIN code of TRFTEBK42056 was issued on February 12, 2020.

A bond with a nominal value of TL 243,726,772, with a maturity of 56 days, and an ISIN code of TRFTEBK42049 was issued on February 14, 2020.

A bond with a nominal value of TL 268,513,555, with a maturity of 90 days, and an ISIN code TRFTEBK52022 was issued on February 14, 2020.

A bond with a nominal value of TL 80,120,000, with a maturity of 70 days, and an ISIN code TRFTEBK42064 was issued on February 14, 2020.

A bond with a nominal value of TL 133,677,102, with a maturity of 70 days, and an ISIN code TRFTEBK42080 was issued on February 19, 2020.

A bond with a nominal value of TL 244,958,617, with a maturity of 56 days and an ISIN code of TRFTEBK42072 was issued on February 21, 2020.