ISIN Code | Settlement Date | Maturity Date | Maturity | Yield (%) | Yield Payment Period | Nominal (TRY) | Listed Market / Stock Exchange | Issue Type |
TRDTFVK12117 | 12.06.2020 | 08.01.2021 | 210 Day | - | monthly | 450.000.000 | Borsa Istanbul | Sale to Qualified Investors |
TRDTFVK32115 | 02.09.2020 | 31.03.2021 | 210 Day | - | monthly | 500.000.000 | Borsa Istanbul | Sale to Qualified Investors |
TRDTFVK42114 | 09.09.2020 | 09.04.2021 | 212 Day | - | at maturity | 450.000.000 | Borsa Istanbul | Sale to Qualified Investors |
TRDTFVK42122 | 09.10.2020 | 21.04.2021 | 194 Day | - | at maturity | 500.000.000 | Borsa Istanbul | Sale to Qualified Investors |
TRDTFVK52113 | 15.10.2020 | 25.05.2021 | 222 Day | 13.25 | at maturity | 800.000.000 | Borsa Istanbul | Public Offering |
TRDTFVK22116 | 04.12.2020 | 17.02.2021 | 75 Day | - | at maturity | 200.000.000 | Borsa Istanbul | Sale to Qualified Investors |
TRDTFVK32123 | 11.12.2020 | 17.03.2021 | 96 Day | - | at maturity | 400.000.000 | Borsa Istanbul | Sale to Qualified Investors |
TRDTFVK52121 | 16.12.2020 | 05.05.2021 | 140 Day | - | at maturity | 500.000.000 | Borsa Istanbul | Sale to Qualified Investors |