Corporate Name |
Türk Telekomünikasyon A.Ş. |
Business |
Telecommunication and Technology Services |
Issuer |
Türk Telekomünikasyon A.Ş. |
Listing |
Irish Stock Exchange |
ISIN Code |
XS1028951264 |
XS1955059420 |
XS2820499619 |
Type |
Eurobond |
Sustainable Eurobond |
Form of Sale |
Foreign sale |
Issue Amount |
500 mn USD |
500 mn USD |
500 mn USD |
Issue Price |
99.165 |
99.396 |
100.00 |
Maturity |
10 Year |
6 Year |
5 Year |
Redemption Date |
6/19/2024 |
2/28/2025 |
5/20/2029 |
Interest Payment Date |
Fixed and semi-annual in each year/ principal amount will be paid at the end of the expiry date |
Fixed and semi-annual in each year/ principal amount will be paid at the end of the expiry date |
Fixed and semi-annual in each year/ principal amount will be paid at the end of the expiry date |
Interest Rate |
4.982% (interest rate of coupon 4.875%) |
7.00% (interest rate of coupon 6.875%) |
7.375% (interest rate of coupon 7.375%) |