Turkiye Garanti Bankasi A.S. (TGBD) Turkiye Garanti Bankasi A.S.: Early Redemption of Subordinated Debt Securities to Qualified Investors
15-Feb-2025 / 12:37 GMT/BST
TO: Investment CommunityFROM : Garanti BBVA / Investor RelationsSUBJECT: Early Redemption of Subordinated Debt Securities to Qualified Investors DATE: February 14, 2025 Reference: Our Bank's Public Disclosures dated 17.12.2024 and 14.01.2025 It was announced with our Bank’s public disclosure dated 14.01.2025 stated in the reference that our Bank’s application regarding the early redemption of the subordinated Debt Securities that meet the criteria for the inclusion in Tier 2 Capital in the nominal value of TRY 750,000,000 with a maturity of 3653 days with 3 months coupon payments indexed to BIST TLREF index has been approved by the Banking Regulation and Supervision Agency (BRSA) and the early redemption will be conducted on 14.02.2025. The coupon and principal payments in terms of early redemption of these bonds; are made on 14.02.2025. Board Decision Date | 30.07.2019 |
| Related Issue Limit Info | Currency Unit | TRY | TRY | Limit | 7,000,000,000 | 20.000.000.000 | Issue Limit Security Type | Subordinated Debt Securities | Dept Securities | Sale Type | Sale To Qualified Investors | Public Offering-Sale To Qualified Investor | Domestic / Oversea | Domestic | Domestic |
| Capital Market Instrument To Be Issued Info | Type | Bond | Maturity Date | 14.02.2025 | Maturity (Day) | 3653 | Interest Rate Type | FRN | Sale Type | Sale To Qualified Investors | ISIN Code | TRSGRAN23013 | Starting Date of Sale | 12.02.2020 | Ending Date of Sale | 13.02.2020 | Maturity Starting Date | 14.02.2020 | Nominal Value of Capital Market Instrument Sold | 750,000,000 | Coupon Number | 20 | Redemption Date | 14.02.2025 | Payment Date | 14.02.2025 |
| Was The Payment Made? Yes | No |
Redemption Plan of Capital Market Instrument Sold | Coupon Number | Payment Day | Record Date | Payment Date | Interest Rate (%) | Interest Rate– Yearly Simple (%) | Interest Rate – Yearly Compound (%) | Payment Amount | Exchange Rate | Was the Payment Made? | 1 | 14.05.2020 | 13.05.2020 | 14.05.2020 | 3,0534 | 12,3833 | 12,9703 | 22.900.500 | TL | Yes | 2 | 14.08.2020 | 13.08.2020 | 14.08.2020 | 2,7622 | 10,9588 | 11,364 | 20.716.500 | TL | Yes | 3 | 14.11.2020 | 13.11.2020 | 16.11.2020 | 3,6749 | 14,5798 | 15,2998 | 27.561.749,99 | TL | Yes | 4 | 14.02.2021 | 12.02.2021 | 15.02.2021 | 4,8372 | 19,1911 | 20,617 | 36,279,000 | TL | Yes | 5 | 14.05.2021 | 13.05.2021 | 14.05.2021 | 5,1841 | 21,2605 | 23,0164 | 38,880,749,99 | TL | Yes | 6 | 14.08.2021 | 13.08.2021 | 16.08.2021 | 5,5352 | 21,9604 | 23,836 | 41,513,999.98 | TL | Yes | 7 | 14.11.2021 | 12.11.2021 | 15.11.2021 | 5,2597 | 20,8673 | 22,5578 | 39,447,750.00 | TL | Yes | 8 | 14.02.2022 | 11.02.2022 | 14.02.2022 | 4,4319 | 17,583 | 18,7767 | 33,239,249.99 | TL | Yes | 9 | 14.05.2022 | 13.05.2022 | 16.05.2022 | 4,0987 | 16,8094 | 17,899 | 30,740,249.99 | TL | Yes | 10 | 14.08.2022 | 12.08.2022 | 15.08.2022 | 4,2870 | 17,0084 | 18,1242 | 32,152,500.00 | TL | Yes | 11 | 14.11.2022 | 11.11.2022 | 14.11.2022 | 3,7672 | 14,9458 | 15,8045 | 28,254,000.00 | TL | Yes | 12 | 14.02.2023 | 13.02.2023 | 14.02.2023 | 3,0958 | 12,2822 | 12,7919 | 23,218,500.00 | TL | Yes | 13 | 14.05.2023 | 12.05.2023 | 15.05.2023 | 2,9016 | 11,9000 | 12,4417 | 21,762,000.00 | TL | Yes | 14 | 14.08.2023 | 11.08.2023 | 14.08.2023 | 4,0574 | 16,0973 | 17,0953 | 30,430,500.00 | TL | Yes | 15 | 14.11.2023 | 13.11.2023 | 14.11.2023 | 7,9596 | 31,5788 | 35,0195 | 59,697,000.00 | TL | Yes | 16 | 14.02.2024 | 13.02.2024 | 14.02.2024 | 11,6611 |
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