In accordance with the resolution of our Company's Board of Directors dated 11.08.2026 and numbered 42, the early redemption/cancellation transactions for the entirety of the financing bond with a maturity date of 27.08.2026, ISIN code TRFAZEV82629, and a nominal value of TRY 30,577,000, which was repurchased on 11.08.2026, have been completed as of 17.08.2026, and our company has no outstanding financing bonds remaining in circulation.