TURKCELL ILETISIM HIZMETLERI A.S. - Form 6-K Summary
Business Context and Reporting Period
This Form 6-K filing by Turkcell Iletisim Hizmetleri A.S. covers the month of October 2025. The report serves to disclose the maturity and redemption of a specific Eurobond issuance originally dated October 15, 2015.
Key Financial Metrics
The filing does not provide comprehensive financial statements, revenue, profit, cash flow, or margin data. The only specific financial metric disclosed relates to the debt instrument:
- Instrument: 10-year Eurobond (RegS XS1298711729 / 144A US900111AA39).
- Coupon Rate: 5.75%.
- Reoffer Yield: 5.95%.
- Status: Maturity date reached on October 15, 2025.
- Payment Status: Principal and all scheduled coupon interest payments have been settled.
Material Changes
The primary material event is the successful redemption of the 10-year bond. The company confirmed that all 19 semi-annual coupon payments from April 2016 through April 2025, as well as the final principal payment on October 15, 2025, were settled as scheduled. There are no reported defaults or delays.
Guidance, Outlook, and Risks
The filing contains no forward-looking guidance, management commentary on future operations, or discussion of risks and contingencies beyond the confirmation of the bond's maturity. No unusual items were reported.
Investor Verification Checklist
- Verify the settlement of the principal amount for the 2015 Eurobond issuance.
- Confirm the cessation of interest payment obligations for this specific debt instrument.
- Review the company's broader debt maturity schedule to assess remaining liquidity requirements.
- Note that this filing does not contain updated operational or financial performance metrics for the period.