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Bond Issues: Eurobonds Turkey, 2014-1 (US900123AS92)

Issue information:

• Issuer, issue number: Turkey, 2014-1
• Income calculation:

Date of trades
Price %
• Type of debt instrument: Eurobonds
• Type of bonds: Coupon bonds
• Issue status: outstanding
• Type of placement: public
• Par, minimum denomination: USD, 100 000.0
• Par, integral multiple: USD, 1 000.0
• Amount: 1 750 000 000
• ISIN RegS: US900123AS92
• Common Code RegS: 017712217
• Day Count Fraction: 30/360 (30/360 ISDA)
• End of placement: Sep 24 2003
• Coupon: 9.50%
• Coupon frequency: 2 time(s) per year
• Settlement Date: Sep 24 2003
• Maturity date: Jan 15 2014
• Issue price: 99.06
• Issue Managers: Book running managers: Merrill Lynch, Morgan Stanley.
Book running managers of the tap issue: Citigroup, HSBC
• Listing: Luxembourg Stock Exchange
Berlin Exchange
• Additional information: Initial issue - USD 1,25 billion. Tap issue: 19.07.2006, amount USD 500 mln., issue price 108.62%
• Files: Prospectus
Tap 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, 2022, JPY - Eurobonds
 Turkey, 2011-1 - 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/Stable Int. Scale (foreign curr.) 01.05.2012
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

Trading info:

OTC MARKET

Quote bid/offer: ***
YTM bid/offer: ***
Weighted average price (May 25 2012): ***
YTM: ***
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SIX

Legal close price (May 25 2012): ***
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FRANKFURT S.E.

Quote bid/offer: ***
YTM bid/offer: ***
Weighted average price (May 25 2012): ***
YTM: ***
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BERLIN EXCHANGE

Last price (May 25 2012): ***
YTM (last): ***
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LUXEMBOURG S.E.

Weighted average price (May 22 2012): ***
YTM: ***
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Payment schedule:

# Date Coupon, % p.a. Coupon size, USD Par redemption, USD
1 15.01.2004 9.5 2929.17
2 15.07.2004 9.5 4750
3 15.01.2005 9.5 4750
4 15.07.2005 9.5 4750
5 15.01.2006 9.5 4750
6 15.07.2006 9.5 4750
7 15.01.2007 9.5 4750
8 15.07.2007 9.5 4750
9 15.01.2008 9.5 4750
10 15.07.2008 9.5 4750
11 15.01.2009 9.5 4750
12 15.07.2009 9.5 4750
13 15.01.2010 9.5 4750
14 15.07.2010 9.5 4750
15 15.01.2011 9.5 4750
16 15.07.2011 9.5 4750
17 15.01.2012 9.5 4750
18 15.07.2012 9.5 4750
19 15.01.2013 9.5 4750
20 15.07.2013 9.5 4750
21 15.01.2014 9.5 4750 100 000.0

COMMENTS:

17.02.12 Commerzbank AG: EM Country Briefing - Turkey: Inflation outlook to improve because of lira () EURO|BONDS|MM|CURR




Bid prices

Ask prices

Company Date and time Bid price Yield Amount Terms Company Date and time Ask price Yield Amount Terms
VTB Capital 25.05.2012

Daily indicative quotes Turkiye Garanti Bankasi 25.05.2012

Turkiye Garanti Bankasi 25.05.2012

VTB Capital 25.05.2012

Daily indicative quotes
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