Yapi Kredi has priced a syndicated USD denominated Global market bond which matures in 2030.
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Issuer Details | |
Issuer | Yapi ve Kredi Bankasi A.S |
LEI | B85ZYWEZ5IZCZ2WNIO12 |
Industry | Bank - Savings |
Country | Turkey |
Issuer Description | Yapi ve Kredi Bankasi AS offers retail and corporate banking, factoring, leasing, asset and wealth management, capital markets, securities brokerage, insurance services and pension products. The Group has interests in publishing, real estate and telecommunications companies. |
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Trade Details | |
Security Type | MTN |
Amount | USD [Login to see full details] |
Total Amount including taps | USD [Login to see full details] |
Total Amount Outstanding | USD [Login to see full details] |
Total Order Book | USD [Login to see full details] |
Structure | Fixed Rate |
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A Global Distribution bond is a bond issued in a form that allows it to be traded in both the relevant local (onshore) and the offshore international, also called eurobond, market. To allow for this Global Market bonds typically have two ISINs, one for clearing in the local onshore market and one for clearing in the offshore international eurobond market. It can be denominated in any freely tradeable currency.
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