Page 66 - TURKRptJul19
P. 66
Eurobond issues
Issuer
ISIN
Coupon
Volume (USD mn)
End of placement
Maturity date
Treasury
US900123CV04
6.350%
2250
07/10/2019
08/10/2024
Vakifbank
150
06/25/2019
2024
Vakifbank
XS1970705528
8.125%
600
03/21/2019
03/28/2024
Sisecam
XS1961010987
6.95%
700
03/20/2019
03/14/2026
Treasury
US900123CT57
7.625%
1000
03/26/2019
04/26/2029
Yapi Kredi Bank
XS1958649854
8.25%
500
03/07/2019
10/15/2024
Koc Holding
XS1961766596
6.50%
750
03/05/2019
03/11/2025
QNB Finansbank
XS1959391019
6.875%
500
02/28/2019
09/07/2024
Yapi Kredi Bank
XS1957348441
FRN
321.6
02/25/2019
11/25/2027
Turk Telekom
XS1955059420
6.875%
500
02/21/2019
02/28/2025
Treasury (sukuk)
XS1816199373
5.80%
2000
02/21/2019
02/21/2022
Treasury
4.63%
EUR1.25bn
01/31/2019
03/31/2025
Eximbank
XS1917720911
8.25%
500
01/24/2019
01/24/2024
Treasury
7.625%
2000
01/16/2019
04/26/2029
source: cbonds, intellinews
66 TURKEY Country Report July 2019 www.intellinews.com