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30.09.2011
Reference: Isbank's public disclosures on 27/01/2011, 08/04/2011, 27/05/2011 and 22/07/2011.
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30.09.2011
Isbank started operations to obtain a securitization deal.
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26.09.2011
Isbank Board of Directors decided to authorize the Head Office on the Issuance of Borrowing Instruments.
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22.09.2011
Reference: Isbank's public disclosures on 25.08.2009 and 08.03.2011.
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14.09.2011
On 14.09.2011, Isbank signed an agreement, in London, for a syndicated loan with dual tranche for USD 359 million and EUR 603 million.
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29.08.2011
On 26 August 2011, Isbank authorized the consortium of international banks to secure a syndicated loan of two tranches, in EUR and in USD, with a term of one year.
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03.08.2011
Redemption of borrowing instrument
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01.08.2011
Regarding the result of the domestic issuance of bills by Türkiye İş Bankası A.Ş.
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22.07.2011
Reference: Isbank's public disclosures on 27/01/2011, 08/04/2011 and 27/05/2011.
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22.07.2011
Reference: Isbank's public disclosure on 14/07/2011.
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