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Bond Issuance

2017 Bond Issuance

2014 Bond Public Offering

2012 Bond Public Offering

2011 Bond Public Offering

2010 Bond Public Offering

Akfen Holding issued its first bond in 2010 thanks to the stability in the Turkish economy, which made private sector issuances possible. With the TL100mn issue in 2010 Akfen Holding has realized the first and the biggest real sector bond issue in Turkey. So far Akfen Holding has realized 7 bond issues:

• Bonds with a nominal value of TL100mn (ISIN Code “TRSAKFH31213”), maturity of 2 years and coupon payments every 6 months, which were offered on 3-4-5 March 2010 to public, started to trade on 12.03.2010 and were paid back at their maturity on 02.03.2012.

• Bonds with a nominal value of TL80mn (ISIN Code “TRSAKFHA1313″), maturity of 2 years and coupon payments every 3 months, which were offered on 22-23 December 2011 to public, started to trade on 28.12.2011 and were paid back at their maturity on 24.12.2013.

• Bonds with a nominal value of TL200mn (ISIN Code “TRSAKFH31411”), maturity of 2 years and coupon payments every 6 months, which were offered on 6-8 March 2012 to public, started to trade on 13.03.2012 and were paid back at their maturity on 07.03.2014.

• Bonds with a nominal value of TL140mn (ISIN Code “TRSAKFH11710”), maturity of 3 years and coupon payments every 3 months, which were offered on 8-9 January 2014 to public, started to trade on 14.01.2014 and were paid back at their maturity on 09.01.2017. Afterwards, bonds with a nominal value of TL 60,000,000, remaining portion of this issue approved by the CMB, were offered on 8-9 December 2014, bonds with a maturity of 3 years and coupon payments every 3 months (ISIN Code “TRSAKFHA1719”) started to trade on 12.12.2014.

• Bonds with a nominal value of TL200mn (ISIN Code “TRSAKFH31718”), maturity of 3 years and coupon payments every 6 months, which were offered on 24-25-26 March 2014 to public, started to trade on 31.03.2014 and were paid back at their maturity on 23.03.2017.

• Bonds with a nominal value of TL300mn (ISIN Code “TRSAKFH12015”), maturity of 3 years and coupon payments every 3 months, which were sold on 5 January 2017 to qualified investors, started to trade on 10.01.2017.

• Bonds with a nominal value of TL150mn (ISIN Code “TRSAKFH32013”), maturity of 3 years and coupon payments every 3 months, which were sold on 20-21 March 2017 to qualified investors, started to trade on 27.03.2017.