Finansbank (FBKD) - Bond Issuance RNS Number : 1115R Finansbank 14 November 2012 November 14, 2012 Company Announcement Office London Stock Exchange Fax: 44 207 588 6057 Ref: D-MK-D-L-2012-015 Finansbank A.Ş. finalized the public offering of the TL bank bond in the total nominal amount of TL 750 million with a maturity of 176 days. Please see below for relevant details of the transaction. ISIN Code of Issued Borrowing Instrument TRQFNBK51310 Description of the Issued Borrowing Instrument Bond Form of Sale Public Offering Nominal Value of the Issuance 750.000.000.-TL. Nominal Value of the Amount Sold 750.000.000.-TL. Issuing Price 96,152 Maturity of the Issued Borrowing Instrument 176 days / 10.05.2013 Redemption Plan of the Issued Principal amount and interest will be paid Borrowing Instrument at maturity in a single payment Interest Rate of the Issued Borrowing Instrument %8,30 Yours Sincerely, Berk URAS Division Manager Financial Reporting This information is provided by RNS The company news service from the London Stock Exchange END IODFFEFFLFESELF -0- Nov/14/2012 11:43 GMT
Finansbank FBKD Bond Issuance
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