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Commentary & Deal Flow

UPDATE: Republic of Türkiye US$ bmk 6yr Sr Unsec; Yield set at 6.75%

IGC US Market: Deal Flow - SSAEM CEEMEA: Deal Flow - SSA

Issuer

Term

Maturity

Size

Ranking

Type

IPT

Yield Set

Republic of Türkiye

6yr

02-Jul-32

bmk

Sr Unsec

Fixed

7.125%a

6.75%


Books > US$6.75bn (excl. JLM)

Yield set at: 6yr: 6.75% - Books > US$6.75bn (excl. JLM)
Book Update: Orderbooks in excess of $4.5bn (excl. JLMs)
IPTs: 6yr: 7.125%a


  • Issuer: Hazine Müsteşarlığı Varlık Kiralama Anonim Şirketi
  • Obligor: The Republic of Türkiye
  • Issuer LEI: 6354003QFJP7RDXEOZ20
  • Expected Issue Ratings: Ba3/BB- (Moody's/Fitch)
  • Sukuk Structure: Sukuk Al-Ijara
  • Status: Senior unsecured
  • Format: Regulation S, Category 2 and Rule 144A/Section 3(c)(7)
  • Issue Size: US$ Benchmark
  • Tenor: 6-year
  • Maturity: 02-Jul-32
  • Settlement: 02-Jul-26 (T+5)
  • IPTs: 7.125% area
  • Profit Rate: Fixed, 30/360, S/A
  • Listing: International Securities Market (“ISM”) of the London Stock Exchange plc
  • Governing Law of the Certificates: English Law
  • Denominations: 200k x 1k
  • ISINs/ Common Codes:
    • Reg S: XS3410791282 / 341079128
    • 144A: US421790AP11 / 341529816
  • Target Market: UK MiFIR Professional investors/ECPs - only
  • Index Eligibility: EMBI Global (expected)
  • Documentation: Preliminary Offering Circular dated 25-Jun-26
  • Joint Lead Managers: Dubai Islamic Bank, Emirates NBD Capital Limited, HSBC (B&D), KFH Capital, Mashreqbank psc (acting through its Islamic Banking Division), Standard Chartered Bank
  • Timing: Books open, today’s business
  • Books Subject: Books subject at 2.30pm UKT / 5.30pm DXB / 9.30am NYT
  • Stabilisation: ICMA/FCA stabilisation applies