Notification Regarding Issue of Capital Market Instrument (Debt Instrument)
The 2nd coupon payment was made as of January 31st,2025 for the TRFGVYO82511 ISIN code Bill, issued on 02.08.2024 by our company, which has a nominal value of TRL 200.000.000-, with 364 days maturity and quarterly coupon payments with floating interest rate.