In accordance with the article 3.3. of BIST-KYD Indices Ground Rules, periodic review for the BIST-KYD Corporate Eurobond Indices for the period of June 2017 (June 1, 2017–June 30, 2017) has been finalized. According to the results of the periodic review, the Eurobonds, whose issue information is given below, will be included in BIST-KYD Corporate Eurobond USD and BIST-KYD Corporate Eurobond USD (TRY) Indices effective from June 1, 2017.
ISIN | Issuer | Issue Date |
Maturity Date | Outstanding Amount (USD) | Annual Coupon Rate (%) |
XS1613091500 | QNB Finansbank A.Ş. | 18.05.2017 | 19.05.2022 | 750,000,000 | 4.875 |
XS1605397394 | T.C. Ziraat Bankası A.Ş. | 03.05.2017 | 03.05.2022 | 600,000,000 | 5.125 |
XS1578203462 | Türkiye İş Bankası A.Ş. | 25.04.2017 | 25.04.2024 | 750,000,000 | 6.125 |
XS1622626379 | Türkiye Vakıflar Bankası T.A.O. | 30.05.2017 | 30.05.2022 | 500,000,000 | 5.625 |