CreditMarket data 2026-09-04
← Issuer League · Corporate Bonds
İş Finansal Kiralama A.Ş.#
Finansman Bonosu / Commercial Paper 13 · Özel Sektör Tahvili / Private Sector Bond 3
Outstanding Instruments
16
1 currency
Total Issue Amount
₺11.90B
nominal, all currencies
Traded Value (History)
₺4.00B
across 30 days
Refi Risk (12m)
0.98×
moderate · ₺10.90B maturing vs ₺11.10B issued
Yield History — Last 4 Months#
No published compound-yield prints in the activity feed for this issuer's bonds. This is normal for issuers whose outstanding stock is entirely floating-rate (TLREF-linked) sukuk — BIST publishes prices but not yields for floaters, since YTM isn't well-defined without a forward TLREF curve. Implied current-reset yields appear on the Corporate Bonds page where the source column shows Floater (current reset).
All Outstanding Bonds#
| ISIN | Type | Yield Type | CCY | Maturity | DTM | Issue Amount | Last Auction Yld |
|---|---|---|---|---|---|---|---|
| TRFISFN92620 | Finansman Bonosu / Commercial Paper | Sabit / Fixed | TRY | 2026-09-16 | 12 | ₺500.00M | 41.00% |
| TRFISFNE2615 | Finansman Bonosu / Commercial Paper | Sabit / Fixed | TRY | 2026-10-22 | 48 | ₺500.00M | 40.00% |
| TRFISFNK2617 | Finansman Bonosu / Commercial Paper | Sabit / Fixed | TRY | 2026-11-05 | 62 | ₺1.00B | 39.50% |
| TRFISFNK2625 | Finansman Bonosu / Commercial Paper | Sabit / Fixed | TRY | 2026-11-12 | 69 | ₺300.00M | 39.50% |
| TRFISFNK2633 | Finansman Bonosu / Commercial Paper | Sabit / Fixed | TRY | 2026-11-26 | 83 | ₺1.00B | 39.65% |
| TRFISFNA2619 | Finansman Bonosu / Commercial Paper | Sabit / Fixed | TRY | 2026-12-03 | 90 | ₺1.00B | 42.75% |
| TRFISFN22718 | Finansman Bonosu / Commercial Paper | Sabit / Fixed | TRY | 2027-02-11 | 160 | ₺1.30B | 37.75% |
| TRSISFN32710 | Özel Sektör Tahvili / Private Sector Bond | Değişken / Variable-TLREF e Dayalı/Indexed to TLREF | TRY | 2027-03-03 | 180 | ₺500.00M | — |
| TRSISFN42719 | Özel Sektör Tahvili / Private Sector Bond | Değişken / Variable-TLREF e Dayalı/Indexed to TLREF | TRY | 2027-04-30 | 238 | ₺300.00M | 0.00% |
| TRFISFN52715 | Finansman Bonosu / Commercial Paper | Değişken / Variable-TLREF e Dayalı/Indexed to TLREF | TRY | 2027-05-04 | 242 | ₺500.00M | 0.00% |
| TRFISFN52723 | Finansman Bonosu / Commercial Paper | Değişken / Variable-TLREF e Dayalı/Indexed to TLREF | TRY | 2027-05-13 | 251 | ₺500.00M | 0.00% |
| TRFISFN62714 | Finansman Bonosu / Commercial Paper | Sabit / Fixed | TRY | 2027-06-16 | 285 | ₺1.00B | 44.00% |
| TRFISFN62722 | Finansman Bonosu / Commercial Paper | Sabit / Fixed | TRY | 2027-06-23 | 292 | ₺1.00B | 43.75% |
| TRFISFN72713 | Finansman Bonosu / Commercial Paper | Sabit / Fixed | TRY | 2027-07-26 | 325 | ₺1.00B | 44.00% |
| TRFISFN82712 | Finansman Bonosu / Commercial Paper | Sabit / Fixed | TRY | 2027-08-25 | 355 | ₺500.00M | 42.00% |
| TRSISFNK2711 | Özel Sektör Tahvili / Private Sector Bond | Değişken / Variable-TLREF e Dayalı/Indexed to TLREF | TRY | 2027-11-19 | 441 | ₺1.00B | 0.00% |
Maturity Wall#
Principal coming due per bucket, ₺-weighted by Toplam İhraç Tutarı. Useful for refinancing-pressure analysis.