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.
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.
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.
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.
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.
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.
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.