CreditMarket data 2026-09-04

← Corporate Bonds  ·  Sector Spreads

Haver Farma İlaç Anoni̇m Şi̇rketi̇#

Fund User detail page — this entity is the credit-bearing borrower behind 2 sukuk across 1 SPV. See CONVENTIONS §14 on the SPV vs Fund User distinction.

Outstanding Sukuk
2
all ISINs where this entity is Fund User
Total Raised
₺319.00M
nominal across all SPVs
SPVs Used
1
Varlık Kiralama vehicle
Sector
Other
classification from KAP entity name
Refi Risk (12m)
1.00×
moderate · ₺319.00M maturing vs ₺319.00M issued
Latest Captured Rating (Fund User)
BBB-
Investment Grade · JCR Eurasia Rating A.Ş. · 2026-01-30 · validity unverified

Rating Decision History#

Latest decision-grain evidence for this borrower hierarchy. Status and raw agency notation remain source-specific. Open all 3 matching decisions.

Latest rating decisions matching HAVER FARMA İLAÇ ANONİM ŞİRKETİ
Decision dateBorrowerRoleAgencyRaw agency notationScaleAction / outlookStatusEvidence
2026-01-30HAVER FARMA İLAÇ ANONİM ŞİRKETİFund UserJCRBBBUnclassifiedKAP issuance observationKAP observation; not currentKAP issuance
2026-01-30HAVER FARMA İLAÇ ANONİM ŞİRKETİFund UserJCRBBB-UnclassifiedKAP issuance observationKAP observation; not currentKAP issuance
2025-01-30HAVER FARMA İLAÇ ANONİM ŞİRKETİFund UserJCRBBBUnclassifiedKAP issuance observationKAP observation; not currentKAP issuance

Credit Curve vs Treasury & Sector Peers#

Each diamond is a sukuk where this entity is the Fund User; the dashed grey line is today's TRY Treasury curve. Distance above Treasury = all-in credit spread.

Credit Curve — HAVER FARMA İLAÇ ANONİM ŞİRKETİ sukuk vs Treasury, 2026-08-11. Axes: Maturity · Yield (%).

Yield History — Last 4 Months#

How this Fund User's sukuk have re-marked over the past 4 months. Use this with the credit-curve snapshot above to answer: is the entity getting cheaper or richer, and is the move concentrated on specific maturities or whole-curve?

Yield History — HAVER FARMA İLAÇ ANONİM ŞİRKETİ's sukuk, last 4 months. Axes: Compound yield (%).

All Sukuk — Consolidated Across SPVs#

Data table with 2 rows across 9 columns
ISINSPV (issuer)TypeYield TypeCCYMaturityDTMIssue AmountLast Auction Yld
TRDHDFVE2623Hedef Varlık Kiralama A.Ş.Özel Kira Sertifikası / Private Lease Cert.Sabit / FixedTRY2026-10-2147₺150.00M49.50%
TRDHDFVA2627Hedef Varlık Kiralama A.Ş.Özel Kira Sertifikası / Private Lease Cert.Sabit / FixedTRY2026-12-1198₺169.00M49.50%

SPVs Used for Issuance#

Every Varlık Kiralama vehicle this Fund User has issued through. The credit risk is the same (this entity), but the legal wrapper changes.

Data table with 1 rows across 4 columns
SPV (Varlık Kiralama)IssuancesNotional RaisedLatest Disclosure
HEDEF VARLIK KİRALAMA A.Ş.9₺1.34B2026-08-07 16:36

Latest Issuance Disclosures#

Latest 15 sukuk sale-completion filings naming this entity as Fund User, ranked newest first. Public output omits source handles.

Data table with 9 rows across 7 columns
RankDisclosedISINSPVCompound%Tenor (days)Maturity
12026-08-07 16:36TRDHDFVA2627HEDEF VARLIK KİRALAMA A.Ş.57.93%126.02026-12-11
22026-06-26 18:13TRDHDFVE2623HEDEF VARLIK KİRALAMA A.Ş.58.32%117.02026-10-21
32026-06-26 10:18TRFHDFVE2613HEDEF VARLIK KİRALAMA A.Ş.58.32%117.02026-10-21
42026-04-08 09:47TRDHDFV82615HEDEF VARLIK KİRALAMA A.Ş.54.77%121.02026-08-07
52026-02-20 10:02TRDHDFV62625HEDEF VARLIK KİRALAMA A.Ş.51.94%126.02026-06-26
62025-12-10 14:06TRDHDFV42627HEDEF VARLIK KİRALAMA A.Ş.53.51%119.02026-04-08
72025-10-24 10:07TRDHDFV22629HEDEF VARLIK KİRALAMA A.Ş.53.51%119.02026-02-20
82025-08-13 10:04TRDHDFVA2510HEDEF VARLIK KİRALAMA A.Ş.57.55%119.02025-12-10
92025-06-27 10:23TRDHDFVE2516HEDEF VARLIK KİRALAMA A.Ş.61.66%119.02025-10-24