TURKIYE GARANTI BANKASI A.S. Distribution Results of  Subordinated Debt Securities to Qualified Investors

Transparency directive : regulatory news

14/02/2020 19:00

Turkiye Garanti Bankasi A.S. (TGBD)
Distribution Results of  Subordinated Debt Securities to Qualified Investors

14-Feb-2020 / 18:00 GMT/BST
Dissemination of a Regulatory Announcement, transmitted by EQS Group.
The issuer is solely responsible for the content of this announcement.


TO: Investment Community

FROM : Garanti BBVA / Investor Relations

SUBJECT: Distribution Results of  Subordinated Debt Securities to Qualified Investors

 

DATE: February 14, 2020

 

The issuance 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 ; to be sold to qualified investors has been realized as of (14.02.2020). The book-building started on Wednesday, February 12th, in the range of BIST TLREF + (200-300) spread as 500 million TL. As a result of more than double amount demand, the issuance was completed at 750 million TL nominal with BIST TLREF + 250 spread.
 

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

14.02.2030

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

40

Redemption Date

14.02.2030

Payment Date

14.02.2030

 

Was The Payment Made?                                                     No

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

 

 

 

 

 

 

2

14.08.2020

13.08.2020

14.08.2020

 

 

 

 

 

 

3

14.11.2020

13.11.2020

16.11.2020

 

 

 

 

 

 

4

14.02.2021

12.02.2021

15.02.2021

 

 

 

 

 

 

5

14.05.2021

13.05.2021

14.05.2021

 

 

 

 

 

 

6

14.08.2021

13.08.2021

16.08.2021

 

 

 

 

 

 

7

14.11.2021

12.11.2021

15.11.2021

 

 

 

 

 

 

8

14.02.2022

11.02.2022

14.02.2022

 

 

 

 

 

 

9

14.05.2022

13.05.2022

16.05.2022

 

 

 

 

 

 

10

14.08.2022

12.08.2022

15.08.2022

 

 

 

 

 

 

11

14.11.2022

11.11.2022

14.11.2022

 

 

 

 

 

 

12

14.02.2023

13.02.2023

14.02.2023

 

 

 

 

 

 

13

14.05.2023

12.05.2023

15.05.2023

 

 

 

 

 

 

14

14.08.2023

11.08.2023

14.08.2023

 

 

 

 

 

 

15

14.11.2023

13.11.2023

14.11.2023

 

 

 

 

 

 

16

14.02.2024

13.02.2024

14.02.2024

 

 

 

 

 

 

17

14.05.2024

13.05.2024

14.05.2024

 

 

 

 

 

 

18

14.08.2024

13.08.2024

14.08.2024

 

 

 

 

 

 

19

14.11.2024

13.11.2024

14.11.2024

 

 

 

 

 

 

20

14.02.2025

13.02.2025

14.02.2025

 

 

 

 

 

 

21

14.05.2025

13.05.2025

14.05.2025

 

 

 

 

 

 

22

14.08.2025

13.08.2025

14.08.2025

 

 

 

 

 

 

23

14.11.2025

13.11.2025

14.11.2025

 

 

 

 

 

 

24

14.02.2026

13.02.2026

16.02.2026

 

 

 

 

 

 

25

14.05.2026

13.05.2026

14.05.2026

 

 

 

 

 

 

26

14.08.2026

13.08.2026

14.08.2026

 

 

 

 

 

 

27

14.11.2026

13.11.2026

16.11.2026

 

 

 

 

 

 

28

14.02.2027

12.02.2027

14.02.2027

 

 

 

 

 

 

29

14.05.2027

13.05.2027

14.05.2027

 

 

 

 

 

 

30

14.08.2027

13.08.2027

16.08.2027

 

 

 

 

 

 

31

14.11.2027

12.11.2027

15.11.2027

 

 

 

 

 

 

32

14.02.2028

11.02.2028

14.02.2028

 

 

 

 

 

 

33

14.05.2028

12.05.2028

15.05.2028

 

 

 

 

 

 

34

14.08.2028

11.08.2028

14.08.2028

 

 

 

 

 

 

35

14.11.2028

13.11.2028

14.11.2028

 

 

 

 

 

 

36

14.02.2029

13.02.2029

14.02.2029

 

 

 

 

 

 

37

14.05.2029

11.05.2029

14.05.2029

 

 

 

 

 

 

38

14.08.2029

13.08.2029

14.08.2029

 

 

 

 

 

 

39

14.11.2029

13.11.2029

14.11.2029

 

 

 

 

 

 

40

14.02.2030

13.02.2030

14.02.2030

 

 

 

 

 

 

Principal/ Maturity Date Payment Amount

14.02.2030

13.02.2030

14.02.2030

 

 

 

750.000.000

 

 

 

 

*In contradiction between the Turkish and English versions of this public disclosure, the Turkish version shall prevail.

 

We declare that our above statements are in conformity with the principles included in the Board's Communiqué, Serial II Nr.15.1, that it exactly reflects the information we received; that the information complies with our records, books and documents; that we did our best to obtain the correct and complete information relative to this subject and that we are responsible for the declarations made in this regard.

 

Yours sincerely,

 

Garanti BBVA

Contact Garanti BBVA Investor Relations:

Tel: +90 212 318 2352
Fax: +90 212 216 5902
E-mail: investorrelations@garantibbva.com.tr
www.garantibbvainvestorrelations.com

 



ISIN: US9001487019
Category Code: MSCL
TIDM: TGBD
OAM Categories: 3.1. Additional regulated information required to be disclosed under the laws of a Member State
Sequence No.: 46804
EQS News ID: 975895

 
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