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REG-Turkiye Garanti Bankasi A.S. Turkiye Garanti Bankasi A.S.: Brokerage Houses Warrants Redemption Prices

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Turkiye Garanti Bankasi A.S. (TGBD)
Turkiye Garanti Bankasi A.S.: Brokerage Houses Warrants Redemption Prices

28-Feb-2026 / 10:12 GMT/BST

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TO: Investment Community

      FROM : Garanti BBVA / Investor Relations

SUBJECT: Brokerage Houses Warrants Redemption Prices

DATE: February 27, 2026

 

The Redemption prices of the brokerage houses warrants issued by Türkiye Garanti Bankası A.Ş. with a
maturity date of February 27,2026 are given in the table below.

 

                                                                                   Underlying
 Short                                               Underlying Warrant            Benchmark  Maturity
 Code              Long Code                ISIN     asset type  type   Multiplier  maturity   Price
                                                                                   settlement
                                                                                     value
UDGEF.V USDC2702260046.00TGB0000001NA   TRWGRAN04460 USTTGB     Call             1      43,84     0,00
UDGEG.V USDC2702260046.50TGB0000001NA   TRWGRAN04478 USTTGB     Call             1      43,84     0,00
UDGEH.V USDC2702260047.00TGB0000001NA   TRWGRAN04486 USTTGB     Call             1      43,84     0,00
UDGEI.V USDC2702260047.50TGB0000001NA   TRWGRAN04494 USTTGB     Call             1      43,84     0,00
UDGEJ.V USDC2702260048.00TGB0000001NA   TRWGRAN04502 USTTGB     Call             1      43,84     0,00
UDGUD.V USDP2702260046.00TGB0000001NA   TRWGRAN04510 USTTGB     Put              1      43,84     2,16
UDGUE.V USDP2702260045.50TGB0000001NA   TRWGRAN04528 USTTGB     Put              1      43,84     1,66
UDGUF.V USDP2702260045.00TGB0000001NA   TRWGRAN04536 USTTGB     Put              1      43,84     1,16
UDGUG.V USDP2702260044.50TGB0000001NA   TRWGRAN04544 USTTGB     Put              1      43,84     0,66
UDGUH.V USDP2702260044.00TGB0000001NA   TRWGRAN04551 USTTGB     Put              1      43,84     0,16
EXGDZ.V EUUSXC2702260001.16TGB0000001NA TRWGRAN04767 EUSTGB     Call             1       1,18     0,89
EXGEA.V EUUSXC2702260001.17TGB0000001NA TRWGRAN04775 EUSTGB     Call             1       1,18     0,46
EXGEB.V EUUSXC2702260001.18TGB0000001NA TRWGRAN04783 EUSTGB     Call             1       1,18     0,02
EXGEC.V EUUSXC2702260001.19TGB0000001NA TRWGRAN04791 EUSTGB     Call             1       1,18     0,00
EXGED.V EUUSXC2702260001.20TGB0000001NA TRWGRAN04809 EUSTGB     Call             1       1,18     0,00
EXGUA.V EUUSXP2702260001.18TGB0000001NA TRWGRAN04817 EUSTGB     Put              1       1,18     0,00
EXGUB.V EUUSXP2702260001.17TGB0000001NA TRWGRAN04825 EUSTGB     Put              1       1,18     0,00
EXGUC.V EUUSXP2702260001.16TGB0000001NA TRWGRAN04833 EUSTGB     Put              1       1,18     0,00
EXGUD.V EUUSXP2702260001.15TGB0000001NA TRWGRAN04841 EUSTGB     Put              1       1,18     0,00
EXGUE.V EUUSXP2702260001.14TGB0000001NA TRWGRAN04858 EUSTGB     Put              1       1,18     0,00
AXGAO.V XAUSXC2702264000.00TGB00.0002NA TRWGRAN05145 XAUTGB     Call        0,0002   5.224,74    10,73
AXGAP.V XAUSXC2702264100.00TGB00.0002NA TRWGRAN05152 XAUTGB     Call        0,0002   5.224,74     9,85
AXGAR.V XAUSXC2702264200.00TGB00.0002NA TRWGRAN05160 XAUTGB     Call        0,0002   5.224,74     8,98
AXGAS.V XAUSXC2702264300.00TGB00.0002NA TRWGRAN05178 XAUTGB     Call        0,0002   5.224,74     8,10
AXGAT.V XAUSXC2702264500.00TGB00.0002NA TRWGRAN05186 XAUTGB     Call        0,0002   5.224,74     6,35
AXGAU.V XAUSXC2702264700.00TGB00.0002NA TRWGRAN05194 XAUTGB     Call        0,0002   5.224,74     4,60
AXGAV.V XAUSXC2702264900.00TGB00.0002NA TRWGRAN05202 XAUTGB     Call        0,0002   5.224,74     2,84
AXGPO.V XAUSXP2702264200.00TGB00.0002NA TRWGRAN05210 XAUTGB     Put         0,0002   5.224,74     0,00
AXGPP.V XAUSXP2702264100.00TGB00.0002NA TRWGRAN05228 XAUTGB     Put         0,0002   5.224,74     0,00
AXGPR.V XAUSXP2702264000.00TGB00.0002NA TRWGRAN05236 XAUTGB     Put         0,0002   5.224,74     0,00
AXGPS.V XAUSXP2702263900.00TGB00.0002NA TRWGRAN05244 XAUTGB     Put         0,0002   5.224,74     0,00
AXGPT.V XAUSXP2702263800.00TGB00.0002NA TRWGRAN05251 XAUTGB     Put         0,0002   5.224,74     0,00
AXGPU.V XAUSXP2702263700.00TGB00.0002NA TRWGRAN05269 XAUTGB     Put         0,0002   5.224,74     0,00
AXGPV.V XAUSXP2702263600.00TGB00.0002NA TRWGRAN05277 XAUTGB     Put         0,0002   5.224,74     0,00
AGGAO.V AGUSDC2702260046.00TGB0000.02NA TRWGRAN05525 AGUTGB     Call          0,02      91,74    40,07
AGGAP.V AGUSDC2702260048.00TGB0000.02NA TRWGRAN05533 AGUTGB     Call          0,02      91,74    38,32
AGGAR.V AGUSDC2702260050.00TGB0000.02NA TRWGRAN05541 AGUTGB     Call          0,02      91,74    36,57
AGGAS.V AGUSDC2702260052.00TGB0000.02NA TRWGRAN05558 AGUTGB     Call          0,02      91,74    34,81
AGGAT.V AGUSDC2702260054.00TGB0000.02NA TRWGRAN05566 AGUTGB     Call          0,02      91,74    33,06
AGGAU.V AGUSDC2702260056.00TGB0000.02NA TRWGRAN05574 AGUTGB     Call          0,02      91,74    31,31
AGGAV.V AGUSDC2702260060.00TGB0000.02NA TRWGRAN05582 AGUTGB     Call          0,02      91,74    27,81
AGGPK.V AGUSDP2702260048.00TGB0000.02NA TRWGRAN05590 AGUTGB     Put           0,02      91,74     0,00
AGGPL.V AGUSDP2702260046.00TGB0000.02NA TRWGRAN05608 AGUTGB     Put           0,02      91,74     0,00
AGGPM.V AGUSDP2702260044.00TGB0000.02NA TRWGRAN05616 AGUTGB     Put           0,02      91,74     0,00
AGGPN.V AGUSDP2702260042.00TGB0000.02NA TRWGRAN05624 AGUTGB     Put           0,02      91,74     0,00
AGGPO.V AGUSDP2702260040.00TGB0000.02NA TRWGRAN05632 AGUTGB     Put           0,02      91,74     0,00

 

Payment related to the warrants will be made by Merkezi Kayıt Kuruluşu A.Ş. (MKK) on March 4,2026

 

*In contradiction between  the Turkish and  English versions  of this public  disclosure, the  Turkish
version shall prevail.

 

We declare that our  above statements are in  conformity with the principles  included in the  Board’s
Communiqué, Serial  II  Nr.15.1, that  it  exactly reflects  the  information we  received;  that  the
information complies with our records, books and documents; that we did our best to obtain the correct
and complete information relative  to this subject  and that we are  responsible for the  declarations
made in this regard.

 

Yours sincerely,

Garanti BBVA

Contact Garanti BBVA Investor Relations:

Tel: +90 212 318 2352

      Fax: +90 212 216 5902

      E-mail:  1 investorrelations@garantibbva.com.tr

       2 www.garantibbvainvestorrelations.com

 

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Dissemination of a Regulatory Announcement, transmitted by  3 EQS Group.
The issuer is solely responsible for the content of this announcement.

View original content:  4 EQS News

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   ISIN:          US9001487019
   Category Code: MSCL
   TIDM:          TGBD
   LEI Code:      5493002XSS7K7RHN1V37
   Sequence No.:  419554
   EQS News ID:   2283316


    
   End of Announcement EQS News Service

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References

   Visible links
   1. mailto:investorrelations@garantibbva.com.tr
   2. https://eqs-cockpit.com/cgi-bin/fncls.ssp?fn=redirect&url=19979b7bae6aeeb49d76141fbe11774c&application_id=2283316&site_id=reuters~~~787b94c3-8286-43cc-98b3-26b1dc52d810&application_name=news
   3. https://eqs-cockpit.com/cgi-bin/fncls.ssp?fn=redirect&url=f5d50dc7e8798b6eb177f7955e598e60&application_id=2283316&site_id=reuters~~~787b94c3-8286-43cc-98b3-26b1dc52d810&application_name=news
   4. https://eqs-cockpit.com/cgi-bin/fncls.ssp?fn=redirect&url=53834250ab3d0cab29b68af5b109f195&application_id=2283316&site_id=reuters~~~787b94c3-8286-43cc-98b3-26b1dc52d810&application_name=news


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