Related Parents
Related Issuers
by Chris Reich
Oct 07, 2025 1:24 PM ET
Turkiye Garanti Bankasi AS (GARAN), exp B1/B+ by Moody's/Fitch, US$700m 144A/Reg S 10.5nc5.5 fixed rate reset Tier 2 subordinated notes due 4/14/36. Standard call date: 4/14/31 at 100. Tax changes call, regulatory / capital disqualification call. BBVA (GC)/BofA (GC/B&D)/Citi (GC)/ADCB/ING/MASHBK/SMBC/SG joint books. Coupon: Fixed rate of % per annum until call date. From (and including) the Issuer Call Date to (but excluding) the Maturity Date the Notes will bear interest at a fixed rate per annum equal to the sum of the CMT Rate and the Reset Margin, payable semi-annually in arrear on each Interest Payment Date. Denoms: 200k x 1k. UOP: gcp. Pricing 10/7. Settle 10/14.
IPTs: 8.00% area.
FINAL PRICE GUIDANCE: 7.625%#.
LAUNCHED: $700m 10.5nc5.5 at 7.625%.
PRICED: $700m 7.625% 4/14/36 100.00 7.625%. Back-end reset: T+386.7.