CreditMarket data 2026-09-04

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Opet Petrolcülük A.Ş.#

Özel Sektör Tahvili / Private Sector Bond 7 · Özel Sektör Tahvili (Yeşil Tahvil) / Private Sector Bond (Green Bond) 1

Outstanding Instruments
8
1 currency
Total Issue Amount
₺13.75B
nominal, all currencies
Traded Value (History)
₺3.02B
across 110 days
Refi Risk (12m)
0.57×
comfortable · ₺5.00B maturing vs ₺8.75B issued

Rating Decision History#

Latest decision-grain evidence for this borrower hierarchy. Status and raw agency notation remain source-specific. Open all 8 matching decisions.

Latest rating decisions matching Opet Petrolcülük A.Ş.
Decision dateBorrowerRoleAgencyRaw agency notationScaleAction / outlookStatusEvidence
2025-12-29Opet Petrolcülük A.Ş.IssuerJCRAA+ (tr)International · Türkiye NationalDurağanLatest; validity unverifiedDirect archive
2024-12-27Opet Petrolcülük A.Ş.IssuerJCRAA+ (tr)International · Türkiye NationalDurağanSupersededDirect archive
2023-12-28Opet Petrolcülük A.Ş.IssuerJCRAA+ (tr)International · Türkiye NationalDurağanSupersededDirect archive
2023-10-05Opet Petrolcülük A.Ş.IssuerJCRAA+ (tr)International · Türkiye NationalDurağanSupersededDirect archive
2021-05-24Opet Petrolcülük A.Ş.IssuerSaha RatingNot structured from KAP proseUnclassifiedOutlook UpdateKAP event; not currentKAP event
2020-05-04Opet Petrolcülük A.Ş.IssuerSaha RatingNot structured from KAP proseUnclassifiedAffirmationKAP event; not currentKAP event
2019-11-01Opet Petrolcülük A.Ş.IssuerSaha RatingNot structured from KAP proseUnclassifiedAffirmationKAP event; not currentKAP event
2018-11-01Opet Petrolcülük A.Ş.IssuerSaha RatingNot structured from KAP proseUnclassifiedOutlook UpdateKAP event; not currentKAP event

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#

Data table with 8 rows across 8 columns
ISINTypeYield TypeCCYMaturityDTMIssue AmountLast Auction Yld
TRSOPAS92619Özel Sektör Tahvili / Private Sector BondDeğişken / Variable-TLREF e Dayalı/Indexed to TLREFTRY2026-09-084₺2.00B
TRSOPAS22715Özel Sektör Tahvili / Private Sector BondDeğişken / Variable-TLREF e Dayalı/Indexed to TLREFTRY2027-02-01150₺1.00B
TRSOPAS82719Özel Sektör Tahvili / Private Sector BondDeğişken / Variable-TLREF e Dayalı/Indexed to TLREFTRY2027-08-13343₺2.00B0.00%
TRSOPASE2714Özel Sektör Tahvili / Private Sector BondSabit / FixedTRY2027-10-18409₺1.50B33.25%
TRSOPASE2722Özel Sektör Tahvili / Private Sector BondDeğişken / Variable-TLREF e Dayalı/Indexed to TLREFTRY2027-10-26417₺2.50B0.00%
TRSOPAS22814Özel Sektör Tahvili / Private Sector BondDeğişken / Variable-TLREF e Dayalı/Indexed to TLREFTRY2028-02-22536₺2.50B0.00%
TRSOPAS42812Özel Sektör Tahvili / Private Sector BondDeğişken / Variable-TLREF e Dayalı/Indexed to TLREFTRY2028-04-05579₺2.00B0.00%
TRSOPAS42820Özel Sektör Tahvili (Yeşil Tahvil) / Private Sector Bond (Green Bond)Değişken / Variable-TLREF e Dayalı/Indexed to TLREFTRY2028-04-25599₺250.00M0.00%

Maturity Wall#

Principal coming due per bucket, ₺-weighted by Toplam İhraç Tutarı. Useful for refinancing-pressure analysis.

Maturity Wall — Principal Due by Bucket. Axes: Bucket · Issue Amount (TRY).