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Bond Issues: Eurobonds Turkey, 2009-2

Issue information:

• Issuer, issue number: Turkey, 2009-2
• Income calculation:
Enter issue price %
• Type of debt instrument: Eurobonds
• Type of bonds: Coupon bonds
• Issue status: redeemed
• Par, minimum denomination: EUR, 1 000.0
• Par, integral multiple: EUR, 1 000.0
• Amount: 600 000 000
• Outstanding amount: 600 000 000
• ISIN RegS: XS0201333761
• Common Code RegS: 020133376
• CFI RegS: DBFXFB
• End of placement: Sep 21 2004
• Coupon: 5.500%
• Coupon frequency: 1 time(s) per year
• Settlement Date: Sep 21 2004
• Maturity date: Sep 21 2009
• Issue price: 98.94
• Yield at Pricing: 5.75%
• Issue Managers: ABN Amro, JP Morgan
• Listing: Luxembourg Stock Exchange
• Files: Prospectus

Borrower:

• Issuer:Turkey
• Full issuer name:Republic of Turkey
• Country:Turkey
• Region:Eastern Europe
• Web site:http://www.treasury.gov.tr
• Other issues of the issuer (including related companies issues):  Turkey, 2022-2 - Eurobonds
 Turkey, 2020-2 - Eurobonds
 Turkey, 2017-2 - Eurobonds
 Turkey, 2021, JPY - Eurobonds
 Turkey, 2004-1 - Eurobonds
All issues of the issuer
• Issuer profile:Turkey is a Eurasian country that stretches across the Anatolian peninsula in western Asia and Thrace in the Balkan region of southeastern Europe.
Area – 783 562 sq.km (37th).
Population – ...
Issuer ratings: » rating history

Moody's Investors Service Ba2/Positive Int. Scale (foreign curr) 05.10.2010
Moody's Investors Service Ba2/Stable Int. Scale (loc. curr.) 25.10.2010
Standard & Poor's BB/Positive Int. Scale (foreign curr.) 19.02.2010
Fitch Ratings BB+/Stable Int. Scale (foreign curr.) 23.11.2011
Fitch Ratings BB+/Stable Int.l Scale (local curr.) 23.11.2011

Complete profile

Payment schedule:

# Date Coupon, % p.a. Coupon size, EUR Par redemption, EUR
1 21.09.2005 5.5 55
2 21.09.2006 5.5 55
3 21.09.2007 5.5 55
4 21.09.2008 5.5 55
5 21.09.2009 5.5 55 1 000.0




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