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Organization referenced in documents
EFTA01388680
.90% Payment Basis 30/360 Payment Dates Semi-Annually on 30th May and 30th of November. Following. Listing Luxembourg Business Days Istanbul, London & New York ISIN Format of the Notes Bearer Governing Law English Settlement Euroclear / Clearstream Denomination TRY 500,000 minimum size, with TRY 50,00
EFTA01388691
nnually, Unadjusted) Coupon Payment Dates Semi-Annually on 30th May and 30th of November. Following. Listing Luxembourg Business Days Istanbul. London & New York ISIN Format of the Notes Bearer Governing Law English Documentation Issuer's Debt issuance programme Calculation Agent Deutsche Bank AG, Londo