Disclosures 20 July 2026 MondayCompletion of Redemption and Yield Payment Transactions for the Financing Bond with ISIN Code TRFAZEV7262020 July 2026 MondayInterest Rate Regarding the First and Single Coupon Period of Commercial Paper with ISIN Code TRFAZEV7262010 July 2026 FridayCompletion of the Sale of the Financing Note with ISIN Code TRFAZEV82629 to Qualified Investors10 July 2026 FridayRegarding the Completion of Redemption and Interest Payment Procedures for the TRFAZEV72612 ISIN-Coded Financing Bond10 July 2026 FridayInterest Rate for the First and Only Coupon Period of the TRFAZEV72612 ISIN-Coded Financing Note9 July 2026 ThursdayRegistration of the 2025 Annual General Meeting9 July 2026 ThursdayApplication for Approval of the Issuance Document for Private Placement Capital Increase30 June 2026 TuesdayAppointment of the Information Security Officer18 June 2026 ThursdayRegarding the Results of the 2025 Annual General Meeting18 June 2026 ThursdayRegarding Our Application for a Capital Increase18 June 2026 ThursdaySelection of an Independent Audit Firm18 June 2026 ThursdayBoard of Directors Responsibilities16 June 2026 TuesdayTRFAZEV62613 Finalized Interest Rate16 June 2026 TuesdayTRFAZEV72620 Completion of the Sale to Qualified Investors16 June 2026 TuesdayTRFAZEV62613 Completion of Redemption and Yield Payment Transactions22 May 2026 FridayChange in Articles of Association22 May 2026 FridayDetermination of the Sustainability Assurance Audit Firm for the Year 202622 May 2026 FridaySelection of an Independent Audit Firm22 May 2026 FridayNotification Regarding Dividend Payment22 May 2026 FridayNotification Regarding General Assembly Meeting