TO: Investment Community
FROM : Garanti BBVA / Investor Relations
SUBJECT: Coupon Rate of Subordinated Debt Securities to Qualified Investors
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DATE: April 6, 2020
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The second coupon rate of the subordinated Debt Securities that meet the criteria for the inclusion in Tier 2 Capital in the nominal value of TRY 252,880,000 with a maturity of 3651 days with 3 months coupon payments indexed to BIST TLREF index ; is determined as % 3,0351.
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Board Decision Date
|
30.07.2019
|
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|
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
|
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|
Capital Market Instrument To Be Issued Info
|
Type
|
Bond
|
Maturity Date
|
07.10.2029
|
Maturity (Day)
|
3651
|
Interest Rate Type
|
FRN
|
Sale Type
|
Sale To Qualified Investors
|
ISIN Code
|
TRSGRANE2915
|
Starting Date of Sale
|
03.10.2019
|
Ending Date of Sale
|
08.10.2019
|
Maturity Starting Date
|
09.10.2019
|
Nominal Value of Capital Market Instrument Sold
|
252,880,000
|
Coupon Number
|
40
|
Redemption Date
|
07.10.2029
|
Payment Date
|
08.10.2029
|
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|
Was The Payment Made?                                                    No
|
No
|
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Redemption Plan of Capital Market Instrument Sold
|
Coupon Number
|
Payment Date
|
Record Date
|
Payment Date
|
Interest Rate (%)
|
Interest Rate - Yearly Simple (%)
|
Interest Rate - Yearly Compound (%)
|
Payment Amount
|
Exchange Rate
|
Was The Payment Made?
|
1
|
07.01.2020
|
06.01.2020
|
07.01.2020
|
3,7162Â
|
Â
|
Â
|
9,397,526.56Â
|
Â
|
YesÂ
|
2
|
07.04.2020
|
06.04.2020
|
07.04.2020
|
 3,0351
|
Â
|
Â
|
Â
|
Â
|
Â
|
3
|
07.07.2020
|
06.07.2020
|
07.07.2020
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
4
|
07.10.2020
|
06.10.2020
|
07.10.2020
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
5
|
07.01.2021
|
06.01.2021
|
07.01.2021
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
6
|
07.04.2021
|
06.04.2021
|
07.04.2021
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
7
|
07.07.2021
|
06.07.2021
|
07.07.2021
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
8
|
07.10.2021
|
06.10.2021
|
07.10.2021
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
9
|
07.01.2022
|
06.01.2022
|
07.01.2022
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
10
|
07.04.2022
|
06.04.2022
|
07.04.2022
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
11
|
07.07.2022
|
06.07.2022
|
07.07.2022
|
Â
|
Â
|
Â
|
Â
|
Â
|
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|
12
|
07.10.2022
|
06.10.2022
|
07.10.2022
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
13
|
07.01.2023
|
06.01.2023
|
09.01.2023
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
14
|
07.04.2023
|
06.04.2023
|
07.04.2023
|
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|
Â
|
Â
|
Â
|
Â
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|
15
|
07.07.2023
|
06.07.2023
|
07.07.2023
|
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|
Â
|
Â
|
Â
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|
16
|
07.10.2023
|
06.10.2023
|
09.10.2023
|
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|
Â
|
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|
Â
|
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|
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|
17
|
07.01.2024
|
05.01.2024
|
08.01.2024
|
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|
Â
|
Â
|
Â
|
Â
|
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|
18
|
07.04.2024
|
05.04.2024
|
08.04.2024
|
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|
Â
|
Â
|
Â
|
Â
|
Â
|
19
|
07.07.2024
|
05.07.2024
|
08.07.2024
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
20
|
07.10.2024
|
04.10.2024
|
07.10.2024
|
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|
Â
|
Â
|
Â
|
Â
|
Â
|
21
|
07.01.2025
|
06.01.2025
|
07.01.2025
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
22
|
07.04.2025
|
04.04.2025
|
07.04.2025
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
23
|
07.07.2025
|
04.07.2025
|
07.07.2025
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
24
|
07.10.2025
|
06.10.2025
|
07.10.2025
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
25
|
07.01.2026
|
06.01.2026
|
07.01.2026
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
26
|
07.04.2026
|
06.04.2026
|
07.04.2026
|
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|
Â
|
Â
|
Â
|
Â
|
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|
27
|
07.07.2026
|
06.07.2026
|
07.07.2026
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
28
|
07.10.2026
|
06.10.2026
|
07.10.2026
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
29
|
07.01.2027
|
06.01.2027
|
07.01.2027
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
30
|
07.04.2027
|
06.04.2027
|
07.04.2027
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
31
|
07.07.2027
|
06.07.2027
|
07.07.2027
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
32
|
07.10.2027
|
06.10.2027
|
07.10.2027
|
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|
Â
|
Â
|
Â
|
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|
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|
33
|
07.01.2028
|
06.01.2028
|
07.01.2028
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
34
|
07.04.2028
|
06.04.2028
|
07.04.2028
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
35
|
07.07.2028
|
06.07.2028
|
07.07.2028
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
36
|
07.10.2028
|
06.10.2028
|
09.10.2028
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
37
|
07.01.2029
|
05.01.2029
|
08.01.2029
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
38
|
07.04.2029
|
06.04.2029
|
09.04.2029
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
39
|
07.07.2029
|
06.07.2029
|
09.07.2029
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
40
|
07.10.2029
|
05.10.2029
|
08.10.2029
|
Â
|
Â
|
Â
|
Â
|
Â
|
Â
|
Principal/Maturity Date Payment Amount
|
07.10.2029
|
05.10.2029
|
08.10.2029
|
Â
|
Â
|
Â
|
252,880,000
|
Â
|
Â
|
Â
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In contradiction between the Turkish and English versions of this public disclosure, the Turkish version shall prevail.
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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.
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Yours sincerely,
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Garanti BBVA
Contact Garanti BBVA Investor Relations:
Tel: 2
Fax: 2
E-mail:
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