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 April-June 2021 (April 1, 2021 – June 30, 2021) has been finalized. According to the results of the periodic review, the Eurobonds whose issue information are given below, will be included in BIST-KYD Corporate Eurobond USD and BIST-KYD Corporate Eurobond USD (TRY) Indices.
ISIN |
Issuer |
Issue Date |
Maturity Date |
Outstanding Amount (USD) |
Annual Coupon Rate (%) |
XS2274089288 |
TC Ziraat Bankasi AS |
02.02.2021 |
03.02.2026 |
600,000,000 |
5.375 |
XS2281369301 |
Turkiye Sinai Kalkinma Bankasi AS |
01.14.2021 |
01.14.2026 |
350,000,000 |
5.875 |