CreditMarket data 2026-09-04

← Issuer League  ·  Corporate Bonds

Yapı Kredi Yatırım Menkul Değerler A.Ş.#

Finansman Bonosu / Commercial Paper 11 · Özel Sektör Tahvili / Private Sector Bond 4

Outstanding Instruments
15
1 currency
Total Issue Amount
₺43.47B
nominal, all currencies
Traded Value (History)
₺817.43M
across 6 days
Refi Risk (12m)
1.00×
moderate · ₺43.47B maturing vs ₺43.47B issued

Rating Decision History#

Latest decision-grain evidence for this borrower hierarchy. Status and raw agency notation remain source-specific. Open all 28 matching decisions.

Latest rating decisions matching Yapı Kredi Yatırım Menkul Değerler A.Ş.
Decision dateBorrowerRoleAgencyRaw agency notationScaleAction / outlookStatusEvidence
2026-07-13Yapı Kredi Yatırım Menkul Değerler A.Ş.IssuerFitch RatingsNot structured from KAP proseUnclassifiedRating UpdateKAP event; not currentKAP event
2026-04-22Yapı Kredi Yatırım Menkul Değerler A.Ş.IssuerFitch RatingsNot structured from KAP proseUnclassifiedOutlook UpdateKAP event; not currentKAP event
2026-02-03Yapı Kredi Yatırım Menkul Değerler A.Ş.IssuerFitch RatingsNot structured from KAP proseUnclassifiedOutlook UpdateKAP event; not currentKAP event
2025-03-25Yapı Kredi Yatırım Menkul Değerler A.Ş.IssuerFitch RatingsNot structured from KAP proseUnclassifiedRating UpdateKAP event; not currentKAP event
2024-09-18Yapı Kredi Yatırım Menkul Değerler A.Ş.IssuerFitch RatingsNot structured from KAP proseUnclassifiedOutlook UpdateKAP event; not currentKAP event
2024-07-03Yapı Kredi Yatırım Menkul Değerler A.Ş.IssuerFitch RatingsNot structured from KAP proseUnclassifiedUpgradeKAP event; not currentKAP event
2024-03-18Yapı Kredi Yatırım Menkul Değerler A.Ş.IssuerFitch RatingsNot structured from KAP proseUnclassifiedOutlook UpdateKAP event; not currentKAP event
2023-09-26Yapı Kredi Yatırım Menkul Değerler A.Ş.IssuerFitch RatingsNot structured from KAP proseUnclassifiedAffirmationKAP event; not currentKAP event
2023-08-16Yapı Kredi Yatırım Menkul Değerler A.Ş.IssuerFitch RatingsNot structured from KAP proseUnclassifiedAffirmationKAP event; not currentKAP event
2023-04-26Yapı Kredi Yatırım Menkul Değerler A.Ş.IssuerFitch RatingsNot structured from KAP proseUnclassifiedOutlook UpdateKAP event; not currentKAP event
2022-07-27Yapı Kredi Yatırım Menkul Değerler A.Ş.IssuerFitch RatingsNot structured from KAP proseUnclassifiedOutlook UpdateKAP event; not currentKAP event
2022-05-16Yapı Kredi Yatırım Menkul Değerler A.Ş.IssuerFitch RatingsNot structured from KAP proseUnclassifiedAffirmationKAP event; not currentKAP event

Credit Curve vs Treasury & Sector Peers#

Each blue dot is one of this issuer's bonds; the dashed grey line is today's TRY Treasury curve. Distance above the Treasury = credit spread. The dotted orange line is the median yield of all Securities/Capital Markets-sector corporate bonds at each maturity — dots above it = this issuer trading rich (cheaper to borrow) vs peers; dots below = trading wide (more expensive).

Credit Curve — Yapı Kredi Yatırım Menkul Değerler A.Ş. bonds vs Treasury, 2026-06-12. Axes: Maturity · Yield (%).

Yield History — Last 4 Months#

Only 1 traded-yield prints exist across this issuer's bonds in the last 4 months — not enough per-ISIN to draw a time series. Single observations are visible on the Credit Curve scatter above.

All Outstanding Bonds#

Data table with 15 rows across 8 columns
ISINTypeYield TypeCCYMaturityDTMIssue AmountLast Auction Yld
TRFYKYM92619Finansman Bonosu / Commercial PaperSabit / FixedTRY2026-09-117₺4.12B42.30%
TRFYKYM92627Finansman Bonosu / Commercial PaperSabit / FixedTRY2026-09-1511₺350.00M42.05%
TRFYKYM92635Finansman Bonosu / Commercial PaperSabit / FixedTRY2026-09-1511₺1.10B42.05%
TRFYKYME2611Finansman Bonosu / Commercial PaperSabit / FixedTRY2026-10-0632₺9.91B39.00%
TRFYKYME2629Finansman Bonosu / Commercial PaperSabit / FixedTRY2026-10-0834₺2.09B38.50%
TRSYKYME2616Özel Sektör Tahvili / Private Sector Bondİskontolu / DiscountedTRY2026-10-1642₺1.50B40.00%
TRSYKYME2624Özel Sektör Tahvili / Private Sector Bondİskontolu / DiscountedTRY2026-10-2147₺1.50B40.00%
TRSYKYME2632Özel Sektör Tahvili / Private Sector Bondİskontolu / DiscountedTRY2026-10-2248₺1.50B40.00%
TRSYKYME2640Özel Sektör Tahvili / Private Sector Bondİskontolu / DiscountedTRY2026-10-2349₺1.50B40.00%
TRFYKYMK2662Finansman Bonosu / Commercial PaperSabit / FixedTRY2026-11-0966₺3.10B39.00%
TRFYKYMK2654Finansman Bonosu / Commercial PaperSabit / FixedTRY2026-11-1067₺7.14B39.00%
TRFYKYMK2670Finansman Bonosu / Commercial PaperSabit / FixedTRY2026-11-1269₺3.95B39.25%
TRFYKYMK2688Finansman Bonosu / Commercial PaperSabit / FixedTRY2026-11-1774₺2.23B38.75%
TRFYKYMK2613Finansman Bonosu / Commercial PaperSabit / FixedTRY2026-11-2077₺1.84B39.65%
TRFYKYMA2615Finansman Bonosu / Commercial PaperSabit / FixedTRY2026-12-0491₺1.62B39.55%

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).