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Rambler's Top100







Bond Issues: Eurobonds Turkey, 2038

Issue information:

• Issuer, issue number: Turkey, 2038
• Income calculation:
Date of trades
Price %
• Type of bond: Eurobonds
• (State)Bond's type:
• Issue status:outstanding
• Par, currency of issue:USD, 2000
• Amount:1 000 000 000
• ISIN:US900123BB58
• End of placement:Mar 05 2008
• Issue price:96.457
• Coupon:7.25%
• Coupon frequency:2 time(s) per year
• Settlement Date:Mar 05 2008
• Maturity date:Mar 05 2038
• Issue Managers:CITIGROUP, HSBC
• Trading floor, listing category: Luxembourg S.E.
• Files: Prospectus
• Investment banks:

Borrower:

• Issuer: Turkey
• Full issuer name: Republic of Turkey
• Country:Turkey
• Web site:http://www.treasury.gov.tr
• Other issues of the issuer:  Turkey, 2017-2 - Eurobonds
 Turkey, 2021 - Eurobonds
 Turkey, 2019-3 - Eurobonds
 Turkey, 2019-2 - Eurobonds
 Turkey, 2011-2 - 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

Standard&Poor's BB/Positive Int. Scale (foreign curr.) 19.02.2010
Moody's Investors Service Ba2/Stable Int. Scale (foreign curr) 08.01.2010
Fitch Ratings BB+/Stable Int. Scale (foreign curr.) 03.12.2009

Complete profile

Trading info:

OTC MARKET

Quote bid/offer: ***
Weighted average price (Mar 17 2010): ***
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Trading info, archive >>>

Payment schedule:

Date Coupon, % p.a. Coupon size, USD Par redemption, USD Notes
05.09.2008 7.25 72.5
05.03.2009 7.25 72.5
05.09.2009 7.25 72.5
05.03.2010 7.25 72.5
05.09.2010 7.25 72.5
05.03.2011 7.25 72.5
05.09.2011 7.25 72.5
05.03.2012 7.25 72.5
05.09.2012 7.25 72.5
05.03.2013 7.25 72.5
05.09.2013 7.25 72.5
05.03.2014 7.25 72.5
05.09.2014 7.25 72.5
05.03.2015 7.25 72.5
05.09.2015 7.25 72.5
05.03.2016 7.25 72.5
05.09.2016 7.25 72.5
05.03.2017 7.25 72.5
05.09.2017 7.25 72.5
05.03.2018 7.25 72.5
05.09.2018 7.25 72.5
05.03.2019 7.25 72.5
05.09.2019 7.25 72.5
05.03.2020 7.25 72.5
05.09.2020 7.25 72.5
05.03.2021 7.25 72.5
05.09.2021 7.25 72.5
05.03.2022 7.25 72.5
05.09.2022 7.25 72.5
05.03.2023 7.25 72.5
05.09.2023 7.25 72.5
05.03.2024 7.25 72.5
05.09.2024 7.25 72.5
05.03.2025 7.25 72.5
05.09.2025 7.25 72.5
05.03.2026 7.25 72.5
05.09.2026 7.25 72.5
05.03.2027 7.25 72.5
05.09.2027 7.25 72.5
05.03.2028 7.25 72.5
05.09.2028 7.25 72.5
05.03.2029 7.25 72.5
05.09.2029 7.25 72.5
05.03.2030 7.25 72.5
05.09.2030 7.25 72.5
05.03.2031 7.25 72.5
05.09.2031 7.25 72.5
05.03.2032 7.25 72.5
05.09.2032 7.25 72.5
05.03.2033 7.25 72.5
05.09.2033 7.25 72.5
05.03.2034 7.25 72.5
05.09.2034 7.25 72.5
05.03.2035 7.25 72.5
05.09.2035 7.25 72.5
05.03.2036 7.25 72.5
05.09.2036 7.25 72.5
05.03.2037 7.25 72.5
05.09.2037 7.25 72.5
05.03.2038 7.25 72.5 2000

COMMENTS:

15.06.04  Commerzbank AG: Турция: покупать внутренние облигации для избежания внешних рисков EURO|BONDS





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