Disclosures
20 July 2026 Monday
Completion of Redemption and Yield Payment Transactions for the Financing Bond with ISIN Code TRFAZEV72620
20 July 2026 Monday
Interest Rate Regarding the First and Single Coupon Period of Commercial Paper with ISIN Code TRFAZEV72620
10 July 2026 Friday
Completion of the Sale of the Financing Note with ISIN Code TRFAZEV82629 to Qualified Investors
10 July 2026 Friday
Regarding the Completion of Redemption and Interest Payment Procedures for the TRFAZEV72612 ISIN-Coded Financing Bond
10 July 2026 Friday
Interest Rate for the First and Only Coupon Period of the TRFAZEV72612 ISIN-Coded Financing Note
9 July 2026 Thursday
Registration of the 2025 Annual General Meeting
9 July 2026 Thursday
Application for Approval of the Issuance Document for Private Placement Capital Increase
30 June 2026 Tuesday
Appointment of the Information Security Officer
18 June 2026 Thursday
Regarding the Results of the 2025 Annual General Meeting
18 June 2026 Thursday
Regarding Our Application for a Capital Increase
18 June 2026 Thursday
Selection of an Independent Audit Firm
18 June 2026 Thursday
Board of Directors Responsibilities
16 June 2026 Tuesday
TRFAZEV62613 Finalized Interest Rate
16 June 2026 Tuesday
TRFAZEV72620 Completion of the Sale to Qualified Investors
16 June 2026 Tuesday
TRFAZEV62613 Completion of Redemption and Yield Payment Transactions
22 May 2026 Friday
Change in Articles of Association
22 May 2026 Friday
Determination of the Sustainability Assurance Audit Firm for the Year 2026
22 May 2026 Friday
Selection of an Independent Audit Firm
22 May 2026 Friday
Notification Regarding Dividend Payment
22 May 2026 Friday
Notification Regarding General Assembly Meeting