13.June.2025
Renewal of the Corporate Governance Rating Agreement
13.June.2025
Signing of the Contract for the Awarded Tender
04.June.2025
5th Coupon Payment for the Bond with ISIN Code TRSKNTR32610
04.June.2025
1st Coupon Payment for the Bond with ISIN Code TRSKNTR32719
04.June.2025
1st Coupon Payment for the Financing Bond with ISIN Code TRFKNTR32617
04.June.2025
1st Coupon Payment for the Financing Bond with ISIN Code TRFKNTR92512
04.June.2025
Board of Directors' Decision and Capital Markets Board Application Regarding the Issuance of Foreign Debt Securities
03.June.2025
Announcement of the Coupon Rate for the 728-Day Maturity Bond with Variable Interest and ISIN Code TRSKNTR32610
03.June.2025
Announcement of the Coupon Rate for the 728-Day Maturity Bond with Variable Interest and ISIN Code TRSKNTR32719
03.June.2025
Announcement of the coupon rate for the 182-day variable rate bond with ISIN code TRFKNTR92512