Turkcell Financing Bond Issuance
2026-10-09SEC Filing 6-K (0001104659-26-114886)
Turkcell ฤฐletiลim Hizmetleri A.ล. has announced the completion of its financing bond issuance, with a total nominal amount of TRY 500,000,000 maturing on January 8, 2027. The annual simple interest rate is set at 37.00%. This issuance was conducted within the approved TRY 15,000,000,000 limit by the Capital Markets Board and was targeted towards qualified investors in Tรผrkiye through a private placement. The book building process has been finalized, and the securities are scheduled to be transferred to investor accounts on October 9, 2026. The company
Ticker mentioned:TKC
Source:Original SEC Document โ