Public Disclosure | 20/04/2016


About U.S. Securities and Exchange Commission (SEC)

The United States Securities and Exchange Commission("SEC") has issued a public notice indicating that an order exempting our Bank from all provisions of the Investment Company Act of 1940("ICA") in connection with our Bank's debt securities to be issued in the United States.  In case the SEC does not receive objections from the interested persons by 2 May 2016, our Bank will be exempt from the provisions of the ICA.

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