Turkcell Iletisim Hizmetleri A.S. announced that Within the scope of the issue limit of TRY 8,000,000,000 approved by the Capital Markets Board; the book building of the financing bond issuance of its Company with a maturity date of February 8, 2024, an annual simple interest of 47.00%, and a nominal amount of TRY 250,000,000 to qualified investors within Turkey, without public placement was completed, and the securities will be transferred to the investor accounts on February 8, 2024. Related Issue Limit Info: Currency Unit: TRY,Limit: 8,000,000,000,Issue Limit Security Type: Debt Securities,Sale Type: Private Placement-Sale to Qualified Investor,Domestic /Overseas: Domestic,Capital Markets Board Approval Date: April 27, 2023,Capital Market Instrument To Be Issued Info:Type: Financing Bond,Maturity Date: 02.08.2024,Maturity (Day): 176,Sale Type: Sale to Qualified Investor,Intended Nominal Amount: 250,000,000,Intended Maximum Nominal Amount: 250,000,000,The country where the issue takes place: Türkiye,Central Securities Depository: Central Securities Depository of Türkiye,Starting Date of Sale: 07.02.2024,Ending Date of Sale: 07.02.2024,Nominal Value of Capital Market Instrument Sold: 250,000,000,Maturity Starting Date: 08.02.2024,Issue Price: 1,Interest Rate Type: Fixed Rate,Interest Rate - Yearly Simple (%): 47.00000,Interest Rate - Yearly Compound (%): 52.74956,Traded in the Stock Exchange: Yes,Payment Type: TRY Payment,ISIN Code: TRFTCEL82413,Coupon Number: 1,Currency Unit: TRY,Coupon Payment Frequency: Single Coupon.