FACTORING NEWS

28 Feb
2025
Kent Finance Factoring Bond Issuance

Kent Finance Factoring successfully completed its 100,000,000 TL bond issue intented for qualified investors on 28.02.2025. Bond issuance was carried out via Tacirler Yatırım with 182-days maturity and interest will be paid in 1 installments.

04 Feb
2025
Kent Finance Factoring Bond Issuance

Kent Finance Factoring successfully completed its 50,000,000 TL bond issue intented for qualified investors on 04.02.2025. Bond issuance was carried out via D Yatırım Bank with 182-days maturity and interest will be paid in 1 installments.

20 Jan
2025
Realization of Kent Finans Faktoring 2rd coupon interest payment

The second term coupon payment was made by our Company to qualified investors for the financing bond with a nominal amount of 50.000.000.-TL in Turkish Lira, 182 days maturity, TRFKNTF12515 ISIN Code, 2 coupon payments, maturity date 22.07.2024; redemption date 20.01.2025.

30 Dec
2024
Realization of Kent Finans Faktoring 3rd coupon interest payment

The third term coupon payment was made by our Company to qualified investors for the financing bond with a nominal amount of 43.475.000.-TL in Turkish Lira, 379 days maturity, TRSKNTF42515 ISIN Code, 4 coupon payments, maturity date 20.03.2024; redemption date 03.04.2025.

21 Oct
2024
Realization of Kent Finans Faktoring 1st coupon interest payment

The first term coupon payment was made by our Company to qualified investors for the financing bond with a nominal amount of 50.000.000.-TL in Turkish Lira, 182 days maturity, TRFKNTF12515 ISIN Code, 2 coupon payments, maturity date 22.07.2024; redemption date 20.01.2025.

14 Oct
2024
Kent Finance Factoring Bond Issuance

Kent Finance Factoring successfully completed its 50,000,000 TL bond issue intented for qualified investors on 14.10.2024. Bond issuance was carried out via D Yatırım Bank with 182-days maturity and interest will be paid in 1 installments.

30 Sep
2024
Realization of Kent Finans Faktoring 2nd coupon interest payment

The second term coupon payment was made by our Company to qualified investors for the financing bond with a nominal amount of TL 43,475,000 in Turkish Lira, 379 days maturity, TRSKNTF42515 ISIN Code, 4 coupon payments, maturity date 20.03.2024; redemption date 03.04.2025.