Notification Regarding Issue of Capital Market Instrument (Debt Instrument)

The redemption and 4th Coupon Payment of our company's 200,000,000,-TRY nominal valued bills, issued on 02.08.2024 with 364 days maturity and quarterly coupon payments with floating interest rate to qualified investors, has been completed on 01.08.2025.

Why Should I Invest

Successful collection management and high performance in all segments.

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