About us
Website
Documents
- Prospectus
- Previous Prospectuses
- Announcements
- PREVIOUS ANNOUNCEMENTS
- Financial Statements
- Warrants without Quotes
Product groups
Announcements
Goldman Sachs International – Issuer Information Note regarding Warrants and Certificates
The Issuer Information Note and its Annex, which has been approved by the Capital Markets Board of Turkey on 09/01/2025 and with the number 2/21 with respect to the public offering of 100.000.000.000 investment institution warrants and certificates with a domestic total nominal value of TRY 1.000.000.000, which will be issued within a period of one year by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this website as "PDF" file.
The Issuer Information Note and its Annex have been published on the website of Public Disclosure Platform at the address of www.kap.org.tr; the Capital Market Instrument Note and the Summary, which are required to be examined together with such Issuer Information Note, is published on this website, the website of the market maker Unlu Menkul Degerler A.S. at the address of www.unlumenkul.com and the website of Public Disclosure Platform at the address of www.kap.org.tr on 20/01/2025.
PDP announcement can be found here: Link
Goldman Sachs International - The dates at which the series of warrants issued will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Resolution of the technical problem experienced with respect to warrant quotations
The technical problem, which has been experienced with respect to the submission of the quotations for warrants based on BMW and VOLKSWAGEN shares, and EUROSTOXX 50 and DAX indices, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. acts as the market maker, to the warrant market of Borsa Istanbul A.S., has been resolved, and the submission of the quotations has returned to its normal functioning as of 11:44.
PDP announcement can be found here: Link
Goldman Sachs International - Technical problem experienced in respect of the warrant quotations
Due to a technical problem being experienced, quotations cannot be submitted to the warrants market at Borsa Istanbul A.S., for warrants based on BMW and VOLKSWAGEN shares, and EUROSTOXX 50 and DAX indices, which are issued by Goldman Sachs and for which Unlu Menkul Degerler A.S. act as the market maker. Our warrants continue to be traded on the market in accordance with the practices of Borsa Istanbul A.S., and we shall ensure that further information will be provided in respect of the placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on international shares and indices with the maturity date of 31/12/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indices, with the maturity date of 31 December 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 06/01/2025.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators, foreign currencies, and commodities with the maturity date of 31/12/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators, foreign currencies, and commodities, with the maturity date of 31 December 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link).
As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators will be announced on 02/01/2025.
The payment transactions of the warrants on foreign currencies will be conducted on 03/01/2025, of the warrants on domestic shares/indicators and commodities will be conducted on 06/01/2025 by Merkezi Kayit Kurulusu (MKK).
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on international shares and indices with the maturity date of 30/12/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indices, with the maturity date of 30 December 2024, as per the provision in section 4.1.13 of the Capital Market Instrument Note which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 03/01/2025.
PDP announcement can be found here: Link
Goldman Sachs International - The dates at which the series of warrants issued will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Sale prices of the investment institution warrants issued on 25/12/2024
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 26/12/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.Our company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International – Temporary delisting of warrants issued based on BMW / VOLKSWAGEN shares and EUROSTOXX 50 / DAX indices
Due to a technical problem being experienced, quotations cannot be submitted to the warrants market for warrants based on BMW / VOLKSWAGEN shares, and EUROSTOXX 50 / DAX indices, which are issued by Goldman Sachs International. Warrants based on BMW / VOLKSWAGEN shares, and EUROSTOXX 50 / DAX indices are temporarily delisted in accordance with the provisions as prescribed in Article 15 of the “Procedures and Principles Regarding the Trading of Warrants on the Exchange” section of the Equity Market Procedure of Borsa Istanbul A.S. dated 01/03/2016 and Article 6.3 of the Capital Market Instrument Note for the purpose of preventing the investors to suffer any aggrievance. Please kindly find the list (Link) of the series of warrants that are temporarily delisted.
PDP announcement can be found here: Link
Goldman Sachs International - Technical problem experienced in respect of the warrant quotations
Due to a technical problem being experienced, quotations cannot be submitted to the warrants market at Borsa Istanbul A.S., for warrants based on BMW and VOLKSWAGEN shares, and EUROSTOXX 50 and DAX indices, which are issued by Goldman Sachs and for which Unlu Menkul Degerler A.S. act as the market maker. Our warrants continue to be traded at the market in accordance with the practices of Borsa Istanbul A.S., and we shall ensure that further information will be provided in respect of the placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 23/12/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 23 December 2024, as per the provision in section 4.1.13 of the Capital Market Instrument Note which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 26/12/2024.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 25/12/2024
The Summary with respect to the investment institution warrants to be issued on 25/12/2024 in accordance with the letter of the Capital Markets Board dated 19/12/2024 numbered E-29833736-105.02.02.02-64710 , as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 25/12/2024
The Capital Market Instrument Note (pages between 100-198) with respect to the investment institution warrants to be issued on 25/12/2024 in accordance with the letter of the Capital Markets Board dated 19/12/2024 numbered E-29833736-105.02.02.02-64710 , as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 25/12/2024
The Capital Market Instrument Note (pages between 1-99) with respect to the investment institution warrants to be issued on 25/12/2024 in accordance with the letter of the Capital Markets Board dated 19/12/2024 numbered E-29833736-105.02.02.02-64710, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - The dates at which the series of warrants issued will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Sale prices of the investment institution warrants issued on 10/12/2024
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 11/12/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.
Our company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 10/12/2024
The Summary with respect to the investment institution warrants to be issued on 10/12/2024 in accordance with the letter of the Capital Markets Board dated 28/11/2024 numbered E-29833736-105.02.02.02-63527, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 10/12/2024
The Capital Market Instrument Note (pages between 1-79) with respect to the investment institution warrants to be issued on 10/12/2024 in accordance with the letter of the Capital Markets Board dated 28/11/2024 numbered E-29833736-105.02.02.02-63527, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 10/12/2024
The Capital Market Instrument Note (pages between 80-158) with respect to the investment institution warrants to be issued on 10/12/2024 in accordance with the letter of the Capital Markets Board dated 28/11/2024 numbered E-29833736-105.02.02.02-63527, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Sale prices of the investment institution warrants issued on 04/12/2024
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 05/12/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.
Our company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 04/12/2024
The Summary with respect to the investment institution warrants to be issued on 04/12/2024 in accordance with the letter of the Capital Markets Board dated 22/11/2024 numbered 29833736-105.02.02.02-63205, dated 28/11/2024 numbered E-29833736-105.02.02.02-63535, and dated 29/11/2024 numbered E-29833736-105.02.02.02-63613, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 04/12/2024
The Capital Market Instrument Note (pages between 80-158) with respect to the investment institution warrants to be issued on 04/12/2024 in accordance with the letter of the Capital Markets Board dated 22/11/2024 numbered 29833736-105.02.02.02-63205, dated 28/11/2024 numbered E-29833736-105.02.02.02-63535, and dated 29/11/2024 numbered E-29833736-105.02.02.02-63613, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 04/12/2024
The Capital Market Instrument Note (pages between 1-79) with respect to the investment institution warrants to be issued on 04/12/2024 in accordance with the letter of the Capital Markets Board dated 22/11/2024 numbered 29833736-105.02.02.02-63205, dated 28/11/2024 numbered E-29833736-105.02.02.02-63535, and dated 29/11/2024 numbered E-29833736-105.02.02.02-63613, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on international shares/indicators with the maturity date of 29/11/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 29 November 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 04/12/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators, foreign currencies, and commodities with the maturity date of 29/11/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators, foreign currencies, and commodities, with the maturity date of 29 November 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link).
As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators will be announced on 02/12/2024.
The payment transactions of the warrants on foreign currencies will be conducted on 03/12/2024, of the warrants on domestic shares/indicators and commodities will be conducted on 04/12/2024 by Merkezi Kayit Kurulusu (MKK).
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on SAUDI ARAMCO share with the maturity date of 28/11/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on SAUDI ARAMCO share, with the maturity date of 28 November 2024, as per the provision in section 4.1.13 of the Capital Market Instrument Note which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 03/12/2024.
PDP announcement can be found here: Link
Goldman Sachs International - The dates at which the series of warrants issued will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 26/11/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 26 November 2024, as per the provision in section 4.1.13 of the Capital Market Instrument Note which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 29/11/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Change at the exercise prices and warrant conversion ratios of the warrants issued with Eregli Demir Celik Fabrikalari T.A.S. (EREGL) share as underlying
The table, which contains the changes in the strike prices and the warrant conversion ratios of the warrants issued with the Eregli Demir Celik Fabrikalari T.A.S. (EREGL) share as underlying by the issuer Goldman Sachs International, as per the "Communique Regarding the Warrants and Investment Institution Certificates", numbered VII-128.3 and promulgated by the Capital Markets Board, due to the capital increase by bonus issue to be made on 27/11/2024 by Eregli Demir Celik Fabrikalari T.A.S. (EREGL) , is given as attached hereto (Link).
PDP announcement can be found here: Link
Goldman Sachs International - Disclosure of Goldman Sachs International’s financial statements for the period ended on 30/09/2024
Goldman Sachs International’s financial reports for the period ended on 30/09/2024 can be found on this web site as "PDF" file.
You may access the originals of the financial reports through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi.
Turkish translation of Goldman Sachs International’s management report, financial statements, and notes to the financial statements for the accounting period ended on 30 September 2024, that is present in this website, is prepared for information purposes only. The translation is neither reviewed nor approved by the auditors or directors of Goldman Sachs International, and prepared in accordance with the English version of the management report, financial statements, and notes to the financial statements for the period ended on 30/09/2024, to which the prospective investors may access through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi and is only valid together with the English version. In case of any contradiction between the English and Turkish versions, the English version shall prevail.
PDP announcement can be found here: Link
Goldman Sachs International - Resolution of the technical problem experienced with respect to warrant quotations
The technical problem, which has been experienced with respect to the submission of the quotations for some warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. acts as the market maker, to the warrant market of Borsa Istanbul A.S., has been resolved, and the submission of the quotations has returned to its normal functioning as of 12:58.
PDP announcement can be found here: Link
Goldman Sachs International - Technical problem experienced in respect of the warrant quotations
Due to a technical problem being experienced, quotations cannot be submitted to the warrants market at Borsa Istanbul A.S., for some warrants, which are issued by Goldman Sachs and for which Unlu Menkul Degerler A.S. act as the market maker. Our warrants continue to be traded at the market in accordance with the practices of Borsa Istanbul A.S., and we shall ensure that further information will be provided in respect of the placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on international shares/indicators with the maturity date of 31/10/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 31 October 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/11/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators, foreign currencies, and commodities with the maturity date of 31/10/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators, foreign currencies, and commodities, with the maturity date of 31 October 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link).
As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators will be announced on 01/11/2024.
The payment transactions of the warrants on foreign currencies will be conducted on 04/11/2024, of the warrants on domestic shares/indicators and commodities will be conducted on 05/11/2024 by Merkezi Kayit Kurulusu (MKK).
PDP announcement can be found here: Link
Goldman Sachs International – Financial statements for the period ending on 30/09/2024
Financial statements of Goldman Sachs International for the period ending on 30/09/2024 will be published in English by 15/11/2024 at the address of https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi within the framework of governing regulations. Depending on the date of announcement of financial statements by Goldman Sachs International for the period ending on 30/09/2024, the Turkish translation of the financial statements for the period ending on 30/09/2024 will be published in the Public Disclosure Platform on 15/11/2024 at the latest.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 28/10/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 28 October 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 01/11/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Sale prices of the investment institution warrants issued on 24/10/2024
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 25/10/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.
Our company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 24/10/2024
The Capital Market Instrument Note (pages between 1-78) with respect to the investment institution warrants to be issued on 24/10/2024 in accordance with the letter of the Capital Markets Board dated 15/10/2024 and numbered E-29833736-105.02.02.02-61590, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 24/10/2024
The Capital Market Instrument Note (pages between 79-156) with respect to the investment institution warrants to be issued on 24/10/2024 in accordance with the letter of the Capital Markets Board dated 15/10/2024 and numbered E-29833736-105.02.02.02-61590, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 24/10/2024
The Summary with respect to the investment institution warrants to be issued on 24/10/2024 in accordance with the letter of the Capital Markets Board dated 15/10/2024 and numbered E-29833736-105.02.02.02-61590, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Issuer Information Note which has not been approved yet by the Capital Markets Board in accordance with Article 28 of the Communique on Prospectus and Issue Document No. II-5.1 issued by the Capital Markets Board
Issuer Information Note, which has not been approved yet by the Capital Markets Board, with respect to the public offering of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found as a "PDF" file attached hereto: Link
PDP announcement can be found here: Link
Capital Market Instrument Note which has not been approved yet by the Capital Markets Board in accordance with Article 28 of the Communique on Prospectus and Issue Document No. II-5.1 issued by the Capital Markets Board
Capital Market Instrument Note, which has not been approved yet by the Capital Markets Board, with respect to the public offering of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found as a "PDF" file attached hereto: Link
PDP announcement can be found here: Link
Summary which has not been approved yet by the Capital Markets Board in accordance with Article 28 of the Communique on Prospectus and Issue Document No. II-5.1 issued by the Capital Markets Board
Summary, which has not been approved yet by the Capital Markets Board, with respect to the public offering of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found as a "PDF" file attached hereto: Link
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on international shares/indicators with the maturity date of 30/09/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 30 September 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 03/10/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators, foreign currencies, and commodities with the maturity date of 30/09/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators, foreign currencies, and commodities, with the maturity date of 30 September 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link).
As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators will be announced on 01/10/2024.
The payment transactions of the warrants on foreign currencies will be conducted on 02/10/2024, of the warrants on domestic shares/indicators and commodities will be conducted on 03/10/2024 by Merkezi Kayit Kurulusu (MKK).
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 25/09/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 25 September 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 30/09/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Sale prices of the investment institution warrants issued on 24/09/2024
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 25/09/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.
Our company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 24/09/2024
The Summary with respect to the investment institution warrants to be issued on 24/09/2024 in accordance with the letter of the Capital Markets Board dated 19/09/2024 and numbered E-29833736-105.02.02.02-59950, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 24/09/2024
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 24/09/2024 in accordance with the letter of the Capital Markets Board dated 19/09/2024 and numbered E-29833736-105.02.02.02-59950, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Change at the exercise prices and warrant conversion ratios of the warrants issued with Hektas Ticaret T.A.S. (HEKTS) share as underlying
The table, which contains the changes in the strike prices and the warrant conversion ratios of the warrants issued with the Hektas Ticaret T.A.S. (HEKTS) share as underlying by the issuer Goldman Sachs International, as per the "Communique Regarding the Warrants and Investment Institution Certificates", numbered VII-128.3 and promulgated by the Capital Markets Board, due to the paid capital increase to be made on 18/09/2024 by Hektas Ticaret T.A.S. (HEKTS), is given as attached hereto (Link).
PDP announcement can be found here: Link
Goldman Sachs International - Disclosure of Goldman Sachs International’s financial statements for the period ended on 30/06/2024 - Post-Translation
Goldman Sachs International’s financial reports for the period ended on 30/06/2024 can be found on this web site as "PDF" file.
You may access the originals of the financial reports through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi.
Turkish translation of Goldman Sachs International’s management report, financial statements, and notes to the financial statements for the accounting period ended on 30 June 2024, that is present in this website, is prepared for information purposes only. The translation is neither reviewed nor approved by the auditors or directors of Goldman Sachs International, and prepared in accordance with the English version of the management report, financial statements, and notes to the financial statements for the period ended on 30/06/2024, to which the prospective investors may access through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi and is only valid together with the English version. In case of any contradiction between the English and Turkish versions, the English version shall prevail.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on international shares/indicators with the maturity date of 29/08/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 29 August 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 04/09/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators, foreign currencies, and commodities with the maturity date of 29/08/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators, foreign currencies, and commodities, with the maturity date of 29 August 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link).
As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators will be announced on 02/09/2024.
The payment transactions of the warrants on foreign currencies will be conducted on 03/09/2024, of the warrants on domestic shares/indicators and commodities will be conducted on 04/09/2024 by Merkezi Kayit Kurulusu (MKK).
PDP announcement can be found here: Link
Goldman Sachs International - The dates at which the series of warrants issued will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 27/08/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 27 August 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 02/09/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Sale prices of the investment institution warrants issued on 22/08/2024
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 23/08/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.
Our company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 22/08/2024
The Summary with respect to the investment institution warrants to be issued on 22/08/2024 in accordance with the letter of the Capital Markets Board dated 14/08/2024 and numbered E-29833736-105.02.02.02-58559, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 22/08/2024
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 22/08/2024 in accordance with the letter of the Capital Markets Board dated 14/08/2024 and numbered E-29833736-105.02.02.02-58559, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Disclosure of Goldman Sachs International’s financial statements for the period ended on 30/06/2024 - Pre-Translation
Certain sections of Goldman Sachs International’s financial statements for the period ended on 30/06/2024 can be found on this web site as "PDF" file.
You may access the originals of the financial statements through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi.
Turkish translation of certain sections of Goldman Sachs International’s financial statements for the accounting period ended on 30 June 2024, that is present in this website, is prepared for information purposes only. It is mandatory to read the financial reports in their entirety to acquire a complete and accurate understanding of the information contained therein. The translation is neither reviewed nor approved by the auditors or directors of Goldman Sachs International, and prepared in accordance with the English version of the financial statements for the period ended on 30/06/2024, to which the prospective investors may access through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi and is only valid together with the English version. In case of any contradiction between the English and Turkish versions, the English version shall prevail.
Turkish translation of Goldman Sachs International’s directors’ report, financial statements, and the notes to the financial statements for the period ended on 30/06/2024 will be published on Public Disclosure Platform on 02/09/2024 at the latest.
PDP announcement can be found here: Link
Goldman Sachs International – Change at the exercise prices and warrant conversion ratios of the warrants issued with SASA Polyester Sanayi A.S. (SASA) share as underlying – Correction
The final version of the table, which contains the changes in the strike prices and the warrant conversion ratios of the warrants issued with the SASA Polyester Sanayi A.S. (SASA) share as underlying by the issuer Goldman Sachs International, as per the "Communique Regarding the Warrants and Investment Institution Certificates", numbered VII-128.3 and promulgated by the Capital Markets Board, due to the capital increase by bonus issue to be made on 12/08/2024 by SASA Polyester Sanayi A.S. (SASA), is given as attached hereto (Link).
PDP announcement can be found here: Link
Goldman Sachs International - Change at the exercise prices and warrant conversion ratios of the warrants issued with SASA Polyester Sanayi A.S. (SASA) share as underlying
The table, which contains the changes in the strike prices and the warrant conversion ratios of the warrants issued with the SASA Polyester Sanayi A.S. (SASA) share as underlying by the issuer Goldman Sachs International, as per the "Communique Regarding the Warrants and Investment Institution Certificates", numbered VII-128.3 and promulgated by the Capital Markets Board, due to the capital increase by bonus issue to be made on 09/08/2024 by SASA Polyester Sanayi A.S. (SASA), is given as attached hereto (Link).
PDP announcement can be found here: Link
Goldman Sachs International – Financial statements for the period ending on 30/06/2024
Financial statements of Goldman Sachs International for the period ending on 30/06/2024 will be published in English by 16/08/2024 at the address of https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi within the framework of governing regulations. Depending on the date of announcement of financial statements by Goldman Sachs International for the period ending on 30/06/2024, the Turkish translation of certain sections of the financial statements for the period ending on 30/06/2024 will be published in the Public Disclosure Platform on 16/08/2024 at the latest.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on international shares/indicators with the maturity date of 31/07/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 31 July 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/08/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators, foreign currencies, and commodities with the maturity date of 31/07/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators, foreign currencies, and commodities, with the maturity date of 31 July 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link).
As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators will be announced on 01/08/2024.
The payment transactions of the warrants on foreign currencies will be conducted on 02/08/2024, of the warrants on domestic shares/indicators and commodities will be conducted on 05/08/2024 by Merkezi Kayit Kurulusu (MKK).
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 26/07/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 26 July 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 31/07/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Sale prices of the investment institution warrants issued on 19/07/2024
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 22/07/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.
Our company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International – Last trading date of the warrants on foreign currencies issued on 19/07/2024
With respect to investment institution warrants and certificates which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, in accordance with the letter of the Capital Markets Board dated 08/07/2024 and numbered E-29833736-105.02.02.02-56606, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, last trading date of warrants based on foreign currencies issued on 19/07/2024 and to be offered to public on 22/07/2024 was being stated as 29/09/2024 (Sunday) erroneously, the last trading date of the warrants shall be considered as 27/09/2024 (Friday).
As per the provision in section 4.1.12 of the Capital Market Instrument Note, titled Principle of Clearence which is read as “The clearing transactions of the investment institution warrants/certificates are realized within the framework of Borsa Istanbul regulations. The clearing of the transactions realized on the last Trading Date is required to be completed to create records for the right holders at CRA (Last Trading Day+2 business days). Thus, the last right holders of the investment institution warrants/certificates are determined at the end of the (Last Trading Day+2 business days) and the rights are exercised at the end of the (Last Trading Day+3 business days).”, expiry payments of warrants on foreign currencies which of last trading date is 29/09/2024 and of expiry date is 30/09/2024, will be rendered on 02/10/2024. The table regarding the aforesaid investment institution warrants is attached as a “PDF” file (Link).
PDP announcement can be found here: Link
Goldman Sachs International - Change of multiplier of the warrants on KOZAL, ENKAI, GARAN, SAHOL, TCELL, BIMAS, and KCHOL shares to be issued
There has been a change in the multipliers of the investment institution warrants on KOZAL, ENKAI, GARAN, SAHOL, TCELL, BIMAS, and KCHOL shares which will be issued by Goldman Sachs International on 19/07/2024 with the maturity date of September 2024, and for the investment institution warrants on KOZAL, ENKAI, GARAN, SAHOL, TCELL, BIMAS, and KCHOL shares to be issued after the date thereof.
However, the multipliers to be used for the investment institution warrants on the aforesaid share issued before 19/07/2024 and currently being traded at Borsa Istanbul A.S., are not changed.
In accordance with the above information, please kindly find the PDF file (Link) regarding the multipliers of the warrants on KOZAL, ENKAI, GARAN, SAHOL, TCELL, BIMAS, and KCHOL shares, which will be issued by Goldman Sachs International on 19/07/2024 and of the warrants issued before 19/07/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 19/07/2024
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 19/07/2024 in accordance with the letter of the Capital Markets Board dated 08/07/2024 and numbered E-29833736-105.02.02.02-56606, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 19/07/2024
The Summary with respect to the investment institution warrants to be issued on 19/07/2024 in accordance with the letter of the Capital Markets Board dated 08/07/2024 and numbered E-29833736-105.02.02.02-56606, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - The dates at which the series of warrants issued will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Resolution of the technical problem experienced with respect to Warrant quotations
The technical problem, which has been experienced with respect to the submission of the quotations for some warrants on ALIBABA GROUP (BABA.N) share, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. acts as the market maker, to the warrant market of Borsa Istanbul A.S., has been resolved, and the submission of the quotations has returned to its normal functioning as of 15:43.
PDP announcement can be found here: Link
Goldman Sachs International - Amendment to the Issuer Information Note and post-amendment final version of the Issuer Information Note
The Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735 in respect of the public offering of investment institution warrants and certificates to be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, has been announced on 27/12/2023, and the Issuer Information Note amendment text was announced on 06/05/2024 on the Public Disclosure Platform, on this website and also on the website of the market maker.
This time, the Issuer Information Note is required to be amended due to the changes at the sections with the subheadings; “10.2.1 Information on the members of the board of directors of the issuer, 13.3. Information on any lawsuit, legal proceeding or arbitration that had a major effect on the issuer’s and/or group’s financial status or profitability during the past 12 months or that may have an effect thereon during the following periods”, and amendment text of the Issuer Information Note has been approved by the letter of Capital Markets Board dated 28/06/2024 and numbered E-29833736-105.02.02.02-56055.
Based on the approval granted by Capital Markets Board, Issuer Information Note amendment text, given on comparative basis with respect to pre and post amendment, and the final version of the amended Issuer Information Note are accessible through this website as “PDF” files. The amendment text and final version of the Issuer Information Note have been published at the website (www.kap.org.tr) of Public Disclosure Platform.
PDP announcement can be found here: Link
Goldman Sachs International – Technical problem experienced in respect of the Warrant quotations
Due to a technical problem being experienced, quotations cannot be submitted to the Warrants market at the Borsa Istanbul A.S., for some warrants on ALIBABA GROUP (BABA.N) share, which are issued by Goldman Sachs and for which Unlu Menkul Degerler A.S. act as the market maker. Our Warrants continue to be traded at the market in accordance with the practices of Borsa Istanbul A.S., and we shall ensure that further information will be provided in respect of the placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Goldman Sachs International – Redemption prices of the warrants on international shares/indicators with the maturity date of 28/06/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 28 June 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 03/07/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators, foreign currencies, and commodities with the maturity date of 28/06/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators, foreign currencies, and commodities, with the maturity date of 28 June 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link).
As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators will be announced on 01/07/2024.
The payment transactions of the warrants on foreign currencies will be conducted on 02/07/2024, of the warrants on domestic shares/indicators and commodities will be conducted on 03/07/2024 by Merkezi Kayit Kurulusu (MKK).
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on SAUDI ARAMCO share with the maturity date of 27/06/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on SAUDI ARAMCO share with the maturity date of 27 June 2024, as per the provision in section 4.1.13 of the Capital Market Instrument Note which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of the said warrants will be conducted on 02/07/2024 by Merkezi Kayit Kurulusu (MKK).
PDP announcement can be found here: Link
Goldman Sachs International - Sale prices of the investment institution warrants issued on 26/06/2024
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 27/06/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.
Our company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 25/06/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 25 June 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 28/06/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 26/06/2024
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 26/06/2024 in accordance with the letter of the Capital Markets Board dated 11/06/2024 and numbered E-29833736-105.02.02.02-55398, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 26/06/2024
The Summary with respect to the investment institution warrants to be issued on 26/06/2024 in accordance with the letter of the Capital Markets Board dated 11/06/2024 and numbered E-29833736-105.02.02.02-55398, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Change at the exercise prices and warrant conversion ratios of the warrants issued with NVIDIA CORP (NVDA.OQ) share as underlying
The table, which contains the changes in the strike prices and the warrant conversion ratios of the warrants issued with the Nvidia Corporation (NVDA.OQ) share as underlying by the issuer Goldman Sachs International, as per the "Communique Regarding the Warrants and Investment Institution Certificates", numbered VII-128.3 and promulgated by the Capital Markets Board, due to the share split to be implemented on 10/06/2024 by Nvidia Corporation (NVDA.OQ), is given as attached hereto (Link).
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on international shares/indicators with the maturity date of 31/05/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 31 May 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/06/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators, foreign currencies, and commodities with the maturity date of 31/05/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators, foreign currencies, and commodities, with the maturity date of 31 May 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link).
As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators will be announced on 03/06/2024.
The payment transactions of the warrants on foreign currencies will be conducted on 04/06/2024, of the warrants on domestic shares/indicators and commodities will be conducted on 05/06/2024 by Merkezi Kayit Kurulusu (MKK).
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on SAUDI ARAMCO share with the maturity date of 30/05/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on SAUDI ARAMCO share with the maturity date of 30 May 2024, as per the provision in section 4.1.13 of the Capital Market Instrument Note which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of the said warrants will be conducted on 04/06/2024 by Merkezi Kayit Kurulusu (MKK).
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 28/05/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 28 May 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 31/05/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Disclosure of financial statements for the period ended on 31/03/2024
Turkish and English versions of the Goldman Sachs International’s financial statements for the period ended on 31 March 2024 can be found on this web site as "PDF" files.
You may access the originals of the financial statements through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html.
The Turkish translation of Goldman Sachs International’s directors’ report, financial statements and notes to the financial statements for the accounting period ended on 31 March 2024, that is present in this website, is prepared for information purposes only. The translation is neither reviewed nor approved by the auditors or directors of Goldman Sachs International, and prepared in accordance with the English version of the directors’ report, financial statements and notes to the financial statements for the period 31 March 2024, to which the prospective investors may access through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html and is only valid together with the English version. In case of any contradiction between the English and Turkish versions, the English versions shall prevail.
PDP announcement can be found here: Link
Goldman Sachs International - The dates at which the series of warrants issued will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Sale prices of the investment institution warrants issued on 23/05/2024
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 24/05/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.
Our company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International - Change of multiplier of the warrants on PGSUS share to be issued
There has been a change in the multipliers of the investment institution warrants on PGSUS share which will be issued by Goldman Sachs International on 23/05/2024 with the maturity date of July 2024, and for the investment institution warrants on PGSUS share to be issued after the date thereof.
However, the multipliers to be used for the investment institution warrants on the aforesaid share issued before 23/05/2024 and currently being traded at Borsa Istanbul A.S., are not changed.
In accordance with the above information, please kindly find the PDF file (Link) regarding the multipliers of the warrants on PGSUS share, which will be issued by Goldman Sachs International on 23/05/2024 and of the warrants issued before 23/05/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 23/05/2024
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 23/05/2024 in accordance with the letter of the Capital Markets Board dated 16/05/2024 and numbered E-29833736-105.02.02.02-54056, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 23/05/2024
The Summary with respect to the investment institution warrants to be issued on 23/05/2024 in accordance with the letter of the Capital Markets Board dated 16/05/2024 and numbered E-29833736-105.02.02.02-54056, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Resolution of the technical problem experienced with respect to Warrant quotations
The technical problem, which has been experienced with respect to the submission of the quotations for warrants on Pegasus Hava Tasimaciligi A.S. (PGSUS) share, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. acts as the market maker, to the warrant market of Borsa Istanbul A.S., has been resolved, and the submission of the quotations has returned to its normal functioning as of 11:04.
PDP announcement can be found here: Link
Goldman Sachs International - Technical problem experienced in respect of the Warrant quotations
Due to a technical problem being experienced, quotations cannot be submitted to the Warrants market at the Borsa Istanbul A.S., for the warrants on Pegasus Hava Tasimaciligi A.S. (PGSUS) share, which are issued by Goldman Sachs and for which Unlu Menkul Degerler A.S. act as the market maker. Our Warrants continue to be traded at the market in accordance with the practices of Borsa Istanbul A.S., and we shall ensure that further information will be provided in respect of the placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Goldman Sachs International - Change at the Exercise Prices and Warrant Conversion Ratios of the warrants issued with Pegasus Hava Tasimaciligi A.S. (PGSUS) share as underlying
The table, which contains the changes in the strike prices and the warrant conversion ratios of the warrants issued with the Pegasus Hava Tasimaciligi A.S. (PGSUS) share as underlying by the issuer Goldman Sachs International, as per the "Communique Regarding the Warrants and Investment Institution Certificates", numbered VII-128.3 and promulgated by the Capital Markets Board, due to the capital increase by bonus issue to be made on 14/05/2024 by Pegasus Hava Tasimaciligi A.S. (PGSUS), is given as attached hereto (Link).
PDP announcement can be found here: Link
Goldman Sachs International - Amendment to the Issuer Information Note and post-amendment final version of the Issuer Information Note
The Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735 in respect of the public offering of investment institution warrants and certificates to be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, has been announced on 27/12/2023 on the Public Disclosure Platform, on this website and also on the website of the market maker.
This time, the Issuer Information Note is required to be amended due to the changes at the sections with the subheadings; “4.3. Information on risk management policy of the issuer, 6.2.1.Information on the sectors/markets in which the company operates and the issuer’s position, advantages and disadvantages in such sectors/markets, 7.1. Brief information on the group of the issuer, the field of activities of the group companies, their relationship with the issuer and the position of the issuer within the group, 10.2.1. Information on the members of the board of directors of the issuer, 11.1. Name and surname of issuer’s each committee member who are responsible for auditing and other committee members and duty description of these committees, 13.3. Information on any lawsuit, legal proceeding or arbitration that had a major effect on the issuer’s and/or group’s financial status or profitability during the past 12 months or that may have an effect thereon during the following periods”, and amendment text of the Issuer Information Note has been approved by the letter of Capital Markets Board dated 02/05/2024 and numbered E-29833736-105.02.02.02-53310.
Based on the approval granted by Capital Markets Board, Issuer Information Note amendment text, given on comparative basis with respect to pre and post amendment, and the final version of the amended Issuer Information Note are accessible through this website. The amendment text and final version of the Issuer Information Note have been published at the website (www.kap.org.tr) of Public Disclosure Platform.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on international shares/indicators with the maturity date of 30/04/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 30 April 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 06/05/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators, foreign currencies, and commodities with the maturity date of 30/04/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators, foreign currencies, and commodities, with the maturity date of 30 April 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators will be announced on 02/05/2024. The payment transactions of the warrants on foreign currencies will be conducted on 03/05/2024, of the warrants on domestic shares/indicators and commodities will be conducted on 06/05/2024 by Merkezi Kayit Kurulusu (MKK).
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 25/04/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 25 April 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 30/04/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Sale prices of the investment institution warrants issued on 24/04/2024
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 25/04/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.
Our company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International - Disclosure of Goldman Sachs International’s financial statements for the period ended on 31/12/2023 – Post-Translation
Turkish and English versions of the financial statements of Goldman Sachs International’s financial statements for the period ended on 31/12/2023 can be found on this web site as "PDF" file.
You may access the originals of the financial statements through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html.
The Turkish translation of Goldman Sachs International’s directors’ report, independent auditors’ report, financial statements and notes to the financial statements for the accounting period ended on 31 December 2023, that is present in this website, is prepared for information purposes only. The translation is neither reviewed nor approved by the auditors or directors of Goldman Sachs International, and prepared in accordance with the English version of the directors’ report, independent auditors’ report, financial statements and notes to the financial statements for the period ending on 31 December 2023, to which the prospective investors may access through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html and is only valid together with the English version. In case of any contradiction between the English and Turkish versions, the English versions shall prevail.
PDP announcement can be found here: Link
Goldman Sachs International - Change of multiplier of the warrants to be issued
There has been a change in the multipliers of the warrants on EKGYO, AKBNK, EREGL, KRDMD, YKBNK, KCHOL, TUPRS, THYAO, TOASO, ASTOR, FROTO, and PGSUS shares which will be issued by Goldman Sachs International on 24/04/2024 with the maturity dates of June 2024, and for the warrants on EKGYO, AKBNK, EREGL, KRDMD, YKBNK, KCHOL, TUPRS, THYAO, TOASO, ASTOR, FROTO, and PGSUS shares to be issued after the date thereof.
However, the multipliers to be used for the investment institution warrants on the aforesaid shares issued before 24/04/2024 and currently being traded at Borsa Istanbul A.S., are not changed.
In accordance with the above information, please kindly find the PDF file (Link) regarding the multipliers of the warrants on EKGYO, AKBNK, EREGL, KRDMD, YKBNK, KCHOL, TUPRS, THYAO, TOASO, ASTOR, FROTO, and PGSUS shares, which will be issued by Goldman Sachs International on 24/04/2024 and of the warrants issued before 24/04/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 24/04/2024
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 24/04/2024 in accordance with the letter of the Capital Markets Board dated 18/04/2024 and numbered E-29833736-105.02.02.02-52656, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 24/04/2024
The Summary with respect to the investment institution warrants to be issued on 24/04/2024 in accordance with the letter of the Capital Markets Board dated 18/04/2024 and numbered E-29833736-105.02.02.02-52656, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Resolution of the technical problem experienced with respect to Warrant quotations
The technical problem, which has been experienced with respect to the submission of the quotations for warrants on T. Garanti Bankasi A.S. (GARAN) share, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. acts as the market maker, to the warrant market of Borsa Istanbul A.S., has been resolved, and the submission of the quotations has returned to its normal functioning as of 11:11.
PDP announcement can be found here: Link
Goldman Sachs International - Technical problem experienced in respect of the Warrant quotations
Due to a technical problem being experienced, quotations cannot be submitted to the Warrants market at the Borsa Istanbul A.S., for the warrants on T. Garanti Bankasi A.S. (GARAN) share, which are issued by Goldman Sachs and for which Unlu Menkul Degerler A.S. act as the market maker. Our Warrants continue to be traded at the market in accordance with the practices of Borsa Istanbul A.S., and we shall ensure that further information will be provided in respect of the placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Goldman Sachs International -Resolution of the technical problem experienced with respect to Warrant quotations
The technical problem, which has been experienced with respect to the submission of the quotations for warrants on Saudi Arabian Oil Co. (ARAMCO) share, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. acts as the market maker, to the warrant market of Borsa Istanbul A.S., has been resolved, and the submission of the quotations has returned to its normal functioning as of 13:06.
PDP announcement can be found here: Link
Goldman Sachs International - Technical problem experienced in respect of the Warrant quotations
Due to a technical problem being experienced, quotations cannot be submitted to the Warrants market at the Borsa Istanbul A.S., for the warrants on Saudi Arabian Oil Co. (ARAMCO) share, which are issued by Goldman Sachs and for which Unlu Menkul Degerler A.S. act as the market maker. Our Warrants continue to be traded at the market in accordance with the practices of Borsa Istanbul A.S., and we shall ensure that further information will be provided in respect of the placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Goldman Sachs International - Disclosure of Goldman Sachs International’s financial statements for the period ended on 31/12/2023 - Pre-Translation
Certain sections of Goldman Sachs International’s financial statements for the period ended on 31/12/2023 can be found on this web site as "PDF" file.
You may access the originals of the financial statements through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html.
Turkish translation of certain sections of Goldman Sachs International’s financial statements for the accounting period ended on 31 December 2023, that is present in this website, is prepared for information purposes only. It is mandatory to read the financial reports in their entirety to acquire a complete and accurate understanding of the information contained therein. The translation is neither reviewed nor approved by the auditors or directors of Goldman Sachs International, and prepared in accordance with the English version of the financial statements for the period ended on 31/12/2023, to which the prospective investors may access through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html and is only valid together with the English version. In case of any contradiction between the English and Turkish versions, the English version shall prevail.
Turkish translation of Goldman Sachs International’s directors’ report,independent auditors’ report, financial statements, and the notes to the financial statements for the period ended on 31/12/2023 will be published on Public Disclosure Platform on 24/04/2024 at the latest.
PDP announcement can be found here: Link
Goldman Sachs International - Resolution of the technical problem experienced with respect to Warrant quotations
The technical problem, which has been experienced with respect to the submission of the quotations for certain Warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. acts as the market maker, to the warrant market of Borsa Istanbul A.S., has been resolved, and the submission of the quotations has returned to its normal functioning as of 11:01.
PDP announcement can be found here: Link
Goldman Sachs International - Technical problem experienced in respect of the Warrant quotations
Due to a technical problem being experienced, quotations cannot be submitted for certain Warrants to the Warrants market at the Borsa Istanbul A.S., of the Warrants which are issued by Goldman Sachs and for which Unlu Menkul Degerler A.S. act as the market maker. Our Warrants continue to be traded at the market in accordance with the practices of Borsa Istanbul A.S., and we shall ensure that further information will be provided in respect of the placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on Domestic Shares/Indicators with the maturity date of 29/03/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares and indicators with the maturity date of 29 March 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 03/04/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on International Shares/Indicators with the maturity date of 28/03/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 28 March 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 02/04/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on foreign currencies and commodities with the maturity date of 28/03/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic foreign currencies and commodities, with the maturity date of 28 March 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators will be announced on 29/03/2024 and the payment transactions of warrants on foreign currencies will be conducted on 01/04/2024 and warrants on commodities will be conducted on 02/04/2024 by Merkezi Kayit Kurulusu (MKK).
PDP announcement can be found here: Link
The dates at which the series of warrants issued by Goldman Sachs International, will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Sale prices of the investment institution warrants issued on 27/03/2024 by Goldman Sachs International
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 28/03/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.
Our Company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 27/03/2024
The Summary with respect to the investment institution warrants to be issued on 27/03/2024 in accordance with the letter of the Capital Markets Board dated 17/03/2024 and numbered E-29833736-105.02.02.02-51414, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 27/03/2024
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 27/03/2024 in accordance with the letter of the Capital Markets Board dated 17/03/2024 and numbered E-29833736-105.02.02.02-51414, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 25/03/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 25 March 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 28/03/2024.
PDP announcement can be found here: Link
Regarding the Price Effect of the Special Dividend Payment by Saudi Arabian Oil Co. (ARAMCO) on Thursday 28 March 2024, on the Warrants on Saudi Arabian Oil Co. issued by Goldman Sachs International
The company Saudi Arabian Oil Co. (ARAMCO) is due to pay a Special Dividend of Saudi riyal (SAR) 0.167 to shareholders on Thursday, 28 March 2024. Per the CMI Note wording, Warrant holders are not entitled to dividend payments on underlying shares to which a warrant is linked. However, payment of dividends, particularly special dividends, can impact the share price of the underlying share, and therefore quotation prices offered for warrants on the underlier.
In the price calculation of warrants on shares or share indices, certain variables are also utilized in addition to the underlier’s price, such as strike, term until maturity, volatility, interest rate, and dividend expectation. Investors shall be informed about the effect of dividend payments to warrants on shares and share indices, especially during the periods in which dividend payments for shares are being made.
It is anticipated that the payment of the special dividend will have an impact on the Saudi Arabian Oil Co. share price. As with other periods of market volatility, a change in the underlier share price may impact the quotation prices offered by Goldman Sachs International for Warrants linked to Saudi Arabian Oil Co. as underlying (Link). Investors should be aware of this market event and the impact it may have on Warrants they hold, and understand the risk involved, including potential loss of capital.
For detailed information, please contact Unlu Menkul Degerler A.S. through the e-mail address at varantdestek@unlumenkul.com or the warrant hotline at 444 6096.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on International Shares/Indicators with the maturity date of 29/02/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 29 February 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/03/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators and commodities with the maturity date of 29/02/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators and commodities, with the maturity date of 29 February 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators and commodities will be announced on 01/03/2024 and the payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/03/2024.
PDP announcement can be found here: Link
Goldman Sachs International – Re. financial statements for the period ending on 31/12/2023
Financial Statements of Goldman Sachs International for the period ending on 31/12/2023 will be published in English by 05/04/2024 at the address of https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html within the framework of governing regulations. Depending on the date of announcement of Financial Statements by Goldman Sachs International for the period ending on 31/12/2023, the Turkish translation of certain sections of the financial statements for the period ending on 31/12/2023 will be published in the Public Disclosure Platform on 05/04/2024 at the latest.
PDP announcement can be found here: Link
Goldman Sachs International - change at the Exercise Prices and Warrant Conversion Ratios of the warrants issued with T. Is Bankasi A.S. (ISCTR) share as underlying
The table, which contains the changes in the strike prices and the warrant conversion ratios of the warrants issued with the T. Is Bankasi A.S. (ISCTR) share as underlying by the issuer Goldman Sachs International, as per the "Communique Regarding the Warrants and Investment Institution Certificates", numbered VII-128.3 and promulgated by the Capital Markets Board, due to the capital increase by bonus issue to be made on 27/02/2024 by T. Is Bankasi A.S. (ISCTR), is given as attached hereto (Link).
PDP announcement can be found here: Link
Sale prices of the investment institution warrants issued on 21/02/2024 by Goldman Sachs International
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 22/02/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.
Our Company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 21/02/2024
The Summary with respect to the investment institution warrants to be issued on 21/02/2024 in accordance with the letter of the Capital Markets Board dated 14/02/2024 and numbered E-29833736-105.02.02.02-49659, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 21/02/2024
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 21/02/2024 in accordance with the letter of the Capital Markets Board dated 14/02/2024 and numbered E-29833736-105.02.02.02-49659, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
The dates at which the series of warrants issued by Goldman Sachs International, will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on International Shares/Indicators with the maturity date of 31/01/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 31 January 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/02/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators and commodities with the maturity date of 31/01/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators and commodities, with the maturity date of 31 January 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators and commodities will be announced on 01/02/2024 and the payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/02/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 26/01/2024
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 26 January 2024, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 31/01/2024.
PDP announcement can be found here: Link
Sale prices of the investment institution warrants issued on 24/01/2024 by Goldman Sachs International
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 25/01/2024, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not continue to be traded at the opening price during the session.
Our Company shall not assume any liability in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Change of multiplier of the warrants to be issued by Goldman Sachs International
There has been a change in the multipliers of the warrants on META PLATFORMS INC, NETFLIX, NVIDIA CORP shares, BRENT, and WTI Oil, which will be issued by Goldman Sachs International on 24/01/2024 with the maturity dates of March 2024, and for the warrants on META PLATFORMS INC, NETFLIX, NVIDIA CORP shares, BRENT, and WTI Oil to be issued after the date thereof.
However, the multipliers to be used for the investment institution warrants on the aforesaid shares and commodities issued before 24/01/2024 and currently being traded at Borsa Istanbul A.S., are not changed.
In accordance with the above information, please kindly find the PDF file (Link) regarding the multipliers of the warrants on META PLATFORMS INC, NETFLIX, NVIDIA CORP shares, BRENT, and WTI Oil, which will be issued by Goldman Sachs International on 24/01/2024 and of the warrants issued before 24/01/2024.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 24/01/2024
The Summary with respect to the investment institution warrants to be issued on 24/01/2024 in accordance with the letter of the Capital Markets Board dated 16/01/2024 and numbered E-29833736-105.02.02.02-48140, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 24/01/2024
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 24/01/2024 in accordance with the letter of the Capital Markets Board dated 16/01/2024 and numbered E-29833736-105.02.02.02-48140, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International – Cancellation of Warrant Sale
With respect to the warrants with Copper Futures Contracts (COPPER) as the underlier, among the investment institution warrants which will be issued on 24/01/2024 and which will be started to be traded on 25/01/2024 in accordance with the letter of the Capital Markets Board dated 16/01/2024 and numbered E-29833736-105.02.02.02-48140, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board, dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker; it is detected that interruptions may be encountered in the continuous quotation pricing of such warrants and that the said warrants will cause problems for both the Issuer and investors due to the time constraint to eliminate these interruptions in the continuous quotation pricing, accordingly, the sale of warrants which will be issued on 24/01/2024 and which will be started to be traded on 25/01/2024 with Copper Futures Contracts (COPPER) as its underlier has been withdrawn.
In this regard, the required notification to the Capital Markets Board pursuant to Article 8/6 of the Communiqué on Warrants and Investment Institution Certificates No. VII-128.3 of Capital Markets Board and the application to Borsa Istanbul A.S. regarding the suspension of trading of such warrants has been conducted.
PDP announcement can be found here: Link
The dates at which the series of warrants issued by Goldman Sachs International, will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Resolution of the technical problem experienced with respect to the Index-based (NASDAQ-100 / DOW JONES / S&P 500 and EURO STOXX 50) Warrant Quotations of Goldman Sachs International (the Issuer)
The technical problem, which has been experienced with respect to the submission of the quotations for the Index-based (NASDAQ-100 / DOW JONES / S&P 500 and EURO STOXX 50) Warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. acts as the market maker, to the warrant market of Borsa Istanbul A.S., has been resolved, and the submission of the quotations has returned to its normal functioning as of 15:51.
PDP announcement can be found here: Link
Technical problem experienced in respect of the Warrant Quotations of Goldman Sachs International (the Issuer)
Due to a technical problem being experienced, quotations cannot be submitted to the market at the Borsa Istanbul A.S., for the Warrants on NASDAQ-100, DOW JONES, S&P 500, and EURO STOXX 50 indices which are issued by Goldman Sachs and for which Unlu Menkul Degerler A.S. act as the market maker. Our Warrants continue to be traded at the market in accordance with the practices of Borsa Istanbul A.S., and you can follow up on the current prices of our warrants on this website. We shall ensure that further information will be provided in respect of the placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on International Shares/Indicators with the maturity date of 29/12/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 29 December 2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 04/01/2024.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators and commodities with the maturity date of 29/12/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators and commodities, with the maturity date of 29 December 2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators and commodities will be announced on 02/01/2024 and the payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 04/01/2024.
PDP announcement can be found here: Link
The dates at which the series of warrants issued by Goldman Sachs International, will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
The dates at which the series of warrants issued by Goldman Sachs International, will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Sale prices of the investment institution warrants issued on 28/12/2023 by Goldman Sachs International
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 29/12/2023, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not definitely continue to be traded at the opening price during the session.
Our Company shall not assume any liability whatsoever in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Change of multiplier of the warrants to be issued by Goldman Sachs International
There has been a change in the multipliers of the warrants on APPLE, AKBNK, AMAZON, ASELS, ALIBABA GROUP, BIMAS, BAYERISCHE MOTOREN WERKE AG (BMW), ALPHABET, META PLATFORMS INC, NETFLIX, NVIDIA CORP, TESLA, VOLKSWAGEN, YKBNK shares; DAX, DOW JONES INDUSTRIAL AVERAGE, NASDAQ-100, S&P 500, EURO STOXX 50 indices; and OUNCE Platinum, OUNCE Silver and OUNCE Gold which will be issued by Goldman Sachs International on 28/12/2023 with the maturity dates of February 2024, and for the warrants on APPLE, AKBNK, AMAZON, ASELS, ALIBABA GROUP, BIMAS, BAYERISCHE MOTOREN WERKE AG (BMW), ALPHABET, META PLATFORMS INC, NETFLIX, NVIDIA CORP, TESLA, VOLKSWAGEN, YKBNK shares; DAX, DOW JONES INDUSTRIAL AVERAGE, NASDAQ-100, S&P 500, EURO STOXX 50 indices; and OUNCE Platinum, OUNCE Silver and OUNCE Gold to be issued after the date thereof.
However, the multipliers to be used for the investment institution warrants on the aforesaid shares and index issued before 28/12/2023 and currently being traded at Borsa Istanbul A.S., are not changed.
In accordance with the above information, please kindly find the PDF file Link regarding the multipliers of the warrants on APPLE, AKBNK, AMAZON, ASELS, ALIBABA GROUP, BIMAS, BAYERISCHE MOTOREN WERKE AG (BMW), ALPHABET, META PLATFORMS INC, NETFLIX, NVIDIA CORP, TESLA, VOLKSWAGEN, YKBNK shares; DAX, DOW JONES INDUSTRIAL AVERAGE, NASDAQ-100, S&P 500, EURO STOXX 50 indices; and OUNCE Platinum, OUNCE Silver and OUNCE Gold, which will be issued by Goldman Sachs International on 28/12/2023 and of the warrants issued before 28/12/2023.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 28/12/2023
The Summary with respect to the investment institution warrants to be issued on 28/12/2023 in accordance with the letter of the Capital Markets Board dated 26/12/2023 and numbered E-29833736-105.02.02.02-47343, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 28/12/2023
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 28/12/2023 in accordance with the letter of the Capital Markets Board dated 26/12/2023 and numbered E-29833736-105.02.02.02-47343, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 21/12/2023 and numbered 80/1735, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International – Issuer Information Note regarding Warrants and Certificates
The Issuer Information Note and its Annex, which has been approved by the Capital Markets Board of Turkey on 21/12/2023 and with the number 80/1735 with respect to the public offering of 50.000.000.000 investment institution warrants and certificates with a domestic total nominal value of TRY 500.000.000, which will be issued within a period of one year by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this website as "PDF" file.
The Issuer Information Note and its Annex have been published on the website of Public Disclosure Platform at the address of www.kap.org.tr; the Capital Market Instrument Note and the Summary, which are required to be examined together with such Issuer Information Note, is published on this website, the website of the market maker Unlu Menkul Degerler A.S. at the address of www.unlumenkul.com and the website of Public Disclosure Platform at the address of www.kap.org.tr on 27/12/2023.
PDP announcement can be found here: Link
The dates at which the series of warrants issued by Goldman Sachs International, will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 21/12/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 21 December 2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 26/12/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Disclosure of Goldman Sachs International’s financial statements for the period ended on 30/09/2023
Turkish and English versions of Goldman Sachs International’s financial statements for the period ended on 30 September 2023 can be found on this website as a "PDF" file.
You may access the originals of the financial statements through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html.
The Turkish translation of Goldman Sachs International’s management report, financial statements, and notes to the financial statements for the accounting period ended on 30 September 2023, which is present on this website, is prepared for information purposes only. The translation is neither reviewed nor approved by the auditors or directors of Goldman Sachs International and prepared in accordance with the English version of the directors’ report, financial statements, and notes to the financial statements for the period 30 September 2023, to which the prospective investors may access through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html and is only valid together with the English version. In case of any contradiction between the English and Turkish versions, the English versions shall prevail.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on International Shares/Indicators with the maturity date of 30/11/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 30 November 2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/12/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators and commodities with the maturity date of 30/11/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators and commodities, with the maturity date of 30 November 2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators and commodities will be announced on 01/12/2023 and the payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/12/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with the maturity date of 27/11/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 27 November 2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 30/11/2023.
PDP announcement can be found here: Link
Goldman Sachs International – Re. financial statements for the period ending on 30 September 2023
Due to the change in the publication date of Goldman Sachs International’s Financial Statements for the period ending on 30 September 2023 in English at the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html within the framework of governing regulations, Turkish translations of the financial statements for the period ending on 30 September 2023 will be published in Public Disclosure Platform on 1 December 2023 at the latest.
PDP announcement can be found here: Link
The dates at which the series of warrants issued by Goldman Sachs International, will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Sale prices of the investment institution warrants issued on 21/11/2023 by Goldman Sachs International
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 22/11/2023, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not definitely continue to be traded at the opening price during the session.
Our Company shall not assume any liability whatsoever in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Change of multiplier of the warrants on AKBNK, ISCTR, KOZAL, KRDMD, PETKM, GARAN, SAHOL, SISE, TUPRS, ARCLK, BIMAS, THYAO, TOASO, FROTO shares and BIST30 index to be issued by Goldman Sachs International
There has been a change in the multipliers of the warrants on AKBNK, ISCTR, KOZAL, KRDMD, PETKM, GARAN, SAHOL, SISE, TUPRS, ARCLK, BIMAS, THYAO, TOASO, FROTO shares and BIST30 index which will be issued by Goldman Sachs International on 21/11/2023 with the maturity dates of January 2024, and for the warrants on AKBNK, ISCTR, KOZAL, KRDMD, PETKM, GARAN, SAHOL, SISE, TUPRS, ARCLK, BIMAS, THYAO, TOASO, FROTO shares and BIST30 index to be issued after the date thereof.
However, the multipliers to be used for the investment institution warrants on the aforesaid shares and index issued before 21/11/2023 and currently being traded at Borsa Istanbul A.S., are not changed.
In accordance with the above information, please kindly find the PDF file Link regarding the multipliers of the warrants on AKBNK, ISCTR, KOZAL, KRDMD, PETKM, GARAN, SAHOL, SISE, TUPRS, ARCLK, BIMAS, THYAO, TOASO, FROTO shares and BIST30 index, which will be issued by Goldman Sachs International on 21/11/2023 and of the warrants issued before 21/11/2023.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 21/11/2023
The Summary with respect to the investment institution warrants to be issued on 21/11/2023 in accordance with the letter of the Capital Markets Board dated 13/11/2023 and numbered E-29833736-105.02.02.02-45100, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 21/11/2023
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 21/11/2023 in accordance with the letter of the Capital Markets Board dated 13/11/2023 and numbered E-29833736-105.02.02.02-45100, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Resolution of the technical problem experienced with respect to the Commodity-based (OUNCE Gold / Silver / Platinum / Palladium) Warrant Quotations of Goldman Sachs International (the Issuer)
The technical problem, which has been experienced with respect to the submission of the quotations for the Commodity-based (OUNCE Gold / Silver / Platinum / Palladium) Warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. acts as the market maker, to the warrant market of Borsa Istanbul A.S., has been resolved, and the submission of the quotations has returned to its normal functioning as of 10:53.
PDP announcement can be found here: Link
Technical problem experienced in respect of the Commodity-based Warrant (OUNCE Gold / Silver / Platinum / Palladium) Quotations of Goldman Sachs International (the Issuer)
Due to a technical problem being experienced, quotations cannot be submitted to the Commodity-based Warrants (OUNCE Gold / Silver / Platinum / Palladium)market at the Borsa Istanbul A.S. for the warrants which are issued by Goldman Sachs International and for which Ünlü Menkul Değerler A.Ş. acts as the market maker. Our Warrants continue to be traded at the market in accordance with the practices of Borsa Istanbul A.S., and we shall ensure that further information will be provided with respect to the placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on International Shares/Indicators with maturity date of 31/10/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 31 October 2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 03/11/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators and commodities with maturity date of 31/10/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators and commodities, with the maturity date of 31 October 2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published following the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators and commodities will be announced on 01/11/2023 and the payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 03/11/2023.
PDP announcement can be found here: Link
Goldman Sachs International – Re. financial statements for the period ending on 30/09/2023
Financial Statements of Goldman Sachs International for the period ending on 30/09/2023 will be published in English by 24/11/2023 at the address of https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html within the framework of governing regulations. Depending on the date of announcement of Financial Statements by Goldman Sachs International for the period ending on 30/09/2023, Turkish translations of the financial statements for the period ending on 30/09/2023 will be published in Public Disclosure Platform on 24/11/2023 at the latest.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with maturity date of 26/10/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 26 October 2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 31/10/2023.
PDP announcement can be found here: Link
Technical problem experienced in respect of the Warrant Quotations of Goldman Sachs International (the Issuer)
Due to a technical problem being experienced, quotations cannot be submitted to the Warrant market at the Borsa Istanbul A.S. for the warrants for which we act as the market maker. Our Warrants continue to be traded at the market in accordance with the practices of Borsa Istanbul A.S., and you can follow up the current prices of our warrants on this website. We shall ensure that further information will be provided in respect of placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Sale prices of the investment institution warrants issued on 19/10/2023 by Goldman Sachs International
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 20/10/2023, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not definitely continue to be traded at the opening price during the session.
Our Company shall not assume any liability whatsoever in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 19/10/2023
The Summary with respect to the investment institution warrants to be issued on 19/10/2023 in accordance with the letter of the Capital Markets Board dated 10/10/2023 and numbered E-29833736-105.02.02.02-43261, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 19/10/2023
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 19/10/2023 in accordance with the letter of the Capital Markets Board dated 10/10/2023 and numbered E-29833736-105.02.02.02-43261, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Issuer Information Note which has not been approved yet by the Capital Markets Board in accordance with Article 28 of the Communique on Prospectus and Issue Document No. II-5.1 issued by the Capital Markets Board
Issuer Information Note, which has not been approved yet by the Capital Markets Board, with respect to the public offering of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found as a "PDF" file attached hereto: Link
PDP announcement can be found here: Link
Capital Market Instrument Note which has not been approved yet by the Capital Markets Board in accordance with Article 28 of the Communique on Prospectus and Issue Document No. II-5.1 issued by the Capital Markets Board
Capital Market Instrument Note, which has not been approved yet by the Capital Markets Board, with respect to the public offering of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found as a "PDF" file attached hereto: Link
PDP announcement can be found here: Link
Summary which has not been approved yet by the Capital Markets Board in accordance with Article 28 of the Communique on Prospectus and Issue Document No. II-5.1 issued by the Capital Markets Board
Capital Market Instrument Note, which has not been approved yet by the Capital Markets Board, with respect to the public offering of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found as a "PDF" file attached hereto: Link
PDP announcement can be found here: Link
The dates at which the series of the warrants issued by Goldman Sachs International, will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in the Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on International Shares/Indicators with maturity date of 29/09/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 29/09/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 04/10/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators and commodities with maturity date of 29/09/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators and commodities, with the maturity date of 29/09/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published following the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators and commodities will be announced on 02/10/2023 and the payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 04/10/2023.
PDP announcement can be found here: Link
Goldman Sachs International – Redemption prices of the warrants on WTI/Brent Oil with maturity date of 26/09/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 26/09/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 29/09/2023.
PDP announcement can be found here: Link
Sale prices of the investment institution warrants issued on 26/09/2023 by Goldman Sachs International
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 27/09/2023, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not definitely continue to be traded at the opening price during the session.
Our Company shall not assume any liability whatsoever in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 26/09/2023
The Summary with respect to the investment institution warrants to be issued on 26/09/2023 in accordance with the letter of the Capital Markets Board dated 15/09/2023 and numbered E-29833736-105.02.02.02-42198, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 26/09/2023
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 26/09/2023 in accordance with the letter of the Capital Markets Board dated 15/09/2023 and numbered E-29833736-105.02.02.02-42198, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Disclosure of Goldman Sachs International’s financial statements for the period ended on 30/06/2023
Turkish and English versions of Goldman Sachs International’s financial statements for the period ended on 30 June 2023 can be found on this web site as "PDF" file.
You may access the originals of the financial statements through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html.
The Turkish translation of Goldman Sachs International’s management report, financial statements and notes to the financial statements for the accounting period ended on 30 June 2023, that is present in this website, is prepared for information purposes only. The translation is not reviewed or nor approved by the auditors or directors of Goldman Sachs International, and prepared in accordance with the English version of the directors’ report, financial statements and notes to the financial statements for the period 30 June 2023, to which the prospective investors may access through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html and is only valid together with the English version. In case of any contradiction between the English and Turkish versions, the English versions shall prevail.
PDP announcement can be found here: Link
The dates at which the series of the warrants issued by Goldman Sachs International, will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in the Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on International Shares/Indicators with maturity date of 31/08/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators with the maturity date of 31/08/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/09/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators and commodities with maturity date of 31/08/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators and commodities, with the maturity date of 31/08/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published following the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators and commodities will be announced on 01/09/2023 and the payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/08/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with maturity date of 25/08/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 25/08/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 31/08/2023.
PDP announcement can be found here: Link
Change at the Exercise Prices and Warrant Conversion Ratios of the Warrants Issued with ASELSAN Share as Underlying by Goldman Sachs International
The table, which contains the changes at the strike prices and the warrant conversion ratios of the warrants issued with the ASELSAN – Aselsan Elektronik Sanayi ve Ticaret A.Ş (ASELS) share as underlying by the issuer Goldman Sachs International, as per the "Communique Regarding the Warrants and Investment Institution Certificates", numbered VII-128.3 and promulgated by the Capital Markets Board, due to the capital increase by bonus issue to be made on 25/08/2023 by ASELSAN – Aselsan Elektronik Sanayi ve Ticaret A.Ş, is given as attached hereto (Link).
PDP announcement can be found here: Link
Sale prices of the investment institution warrants issued on 23/08/2023 by Goldman Sachs International
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 24/08/2023, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not definitely continue to be traded at the opening price during the session.
Goldman Sachs International shall not assume any liability whatsoever in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Change of multiplier of the warrants on APPLE, META shares, EURO STOXX 50, S&P 500 indices and OUNCE GOLD to be issued by Goldman Sachs International
There has been a change in the multipliers of the warrants on APPLE, META shares, EURO STOXX 50, S&P 500 indices and OUNCE GOLD which will be issued by Goldman Sachs International on 23/08/2023 with the maturity dates of 31/10/2023, and for the warrants on APPLE, META shares, EURO STOXX 50, S&P 500 indices and OUNCE GOLD to be issued after the date thereof.
However, the multipliers to be used for the investment institution warrants on the aforesaid shares/indices and commodities issued before 23/08/2023 and currently being traded at Borsa Istanbul A.S., are not changed.
In accordance with the above, please kindly find the PDF file (Link) regarding the multipliers of the warrants on APPLE, META shares, EURO STOXX 50, S&P 500 indices and OUNCE GOLD, which will be issued by Goldman Sachs International on 23/08/2023 and of the warrants issued before 23/08/2023.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 23/08/2023
The Summary with respect to the investment institution warrants to be issued on 23/08/2023 in accordance with the letter of the Capital Markets Board dated 11/08/2023 and numbered E-29833736-105.02.02.02-40843, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 23/08/2023
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 23/08/2023 in accordance with the letter of the Capital Markets Board dated 11/08/2023 and numbered E-29833736-105.02.02.02-40843, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International – Re. financial statements for the period ending on 30 June 2023
Due to the change in the publication date of Goldman Sachs International’s Financial Statements for the period ending on 30 June 2023 in English at the address of https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html within the framework of governing regulations, and depending on the date of announcement of Financial Statements by Goldman Sachs International for the period ending on 30 June 2023, Turkish translations of certain sections of the financial statements for the period ending on 30 June 2023 will be published in Public Disclosure Platform on 2 October 2023 at the latest.
PDP announcement can be found here: Link
Resolution of the technical problem experienced in respect of the Warrant Quotations on ALIBABA share of Goldman Sachs International (the Issuer)
The technical problem, which has been experienced in respect of submission of the quotations for warrants on ALIBABA share, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. acts as the market maker, to the warrant market of Borsa Istanbul A.S., has been resolved, and the submission of the quotations will return to its normal functioning as of 16:50.
PDP announcement can be found here: Link
Technical problem experienced re. Goldman Sachs International (the Issuer) Warrant Quotations on ALIBABA share
Due to a technical problem being experienced, quotations for warrants on ALIBABA share cannot be submitted to the Warrant market at Borsa Istanbul A.S. for the warrants for which Goldman Sachs International is the issuer and Unlu Menkul Degerler A.S. acts as the market maker. Our Warrants are temporarily delisted in accordance with the practices of Borsa Istanbul A.S., and you may find the “PDF” file which includes the warrants that were temporarily delisted. We shall ensure that further information will be provided in respect of placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Goldman Sachs International – Re. Goldman Sachs International’s financial statements for the period ended on 30/06/2023
Financial statements of Goldman Sachs International, for which we act as the market maker, for the period 30/06/2023 shall be published in English by 16/08/2023 at the address of https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html within the framework of governing regulations. Subject to the publication date of the financial statements for the period ended on 30/06/2023 by Goldman Sachs International, Turkish translation of the certain sections of financial statements for the period ended on 30/06/2023 will be published in Public Disclosure Platform on 16/08/2023 at the latest.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on International Shares/Indicators with maturity date of 31/07/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares/indicators, with the maturity date of 31/07/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 03/08/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators and commodities with maturity date of 31/07/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators and commodities, with the maturity date of 31/07/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published following the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators and commodities will be announced on 01/08/2023 and the payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 03/08/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with maturity date of 26/07/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 26/07/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 31/07/2023.
PDP announcement can be found here: Link
The dates at which the series of the warrants issued by Goldman Sachs International, will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in the Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on International Shares/Indicators and Commodities with maturity date of 26/06/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares/indicators and commodities (WTI/Brent Oil), with the maturity date of 26/06/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/07/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares/indicators and commodities with maturity date of 26/06/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares/indicators and commodities, with the maturity date of 26/06/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published following the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares/indicators and commodities will be announced on 27/06/2023 and the payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/07/2023.
PDP announcement can be found here: Link
The dates at which the series of the warrants issued by Goldman Sachs International, will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in the Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on international shares and indicators with maturity date of 31/05/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators, with the maturity date of 31/05/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/06/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on domestic shares, indicators and commodities with maturity date of 31/05/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares, indicators and commodities, with the maturity date of 31/05/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published following the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares and indicators will be announced on 01/06/2023 and the payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 05/06/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on WTI/Brent Oil with maturity date of 25/05/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on WTI/Brent Oil, with the maturity date of 25/05/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 30/05/2023.
PDP announcement can be found here: Link
The dates at which the series of the warrants issued by Goldman Sachs International, will be temporarily delisted due to an international public holiday
Please kindly find the table (Link) which includes the dates at which the series of the warrants for which Unlu Menkul Degerler A.S. acts as the market maker, will be temporarily delisted in accordance with the provision as prescribed in the Article 6.3 of the Capital Market Instrument Note that reads as "the Warrants may be delisted or excluded from the market temporarily, if the markets where the Underlying Asset/Indicator is traded is closed or there are national holidays in the countries which the Issuer operates in" for the purpose of preventing the investors to suffer any aggrievance and due to the fact that the markets at the countries, where Goldman Sachs International (the Issuer) operates are closed.
PDP announcement can be found here: Link
Resolution of the technical problem experienced in respect of the Warrant Quotations on BIST30 Index of Goldman Sachs International (the Issuer)
The technical problem, which has been experienced in respect of submission of the quotations for warrants on BIST30 Index, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. acts as the market maker, to the warrant market of Borsa Istanbul A.S., has been resolved, and the submission of the quotations has returned to its normal functioning as of 14:06.
PDP announcement can be found here: Link
Technical problem experienced in respect of the Warrant Quotations on BIST30 Index of Goldman Sachs International (the Issuer)
Due to a technical problem being experienced, quotations for warrants on BIST30 Index cannot be submitted to the Warrant market at the Borsa Istanbul A.S. for the warrants for which Goldman Sachs International is the issuer and Unlu Menkul Degerler A.S. acts as the market maker. Our Warrants continue to be traded at the market in accordance with the practices of Borsa Istanbul A.S., and you can follow up the current prices of our warrants on this website. We shall ensure that further information will be provided in respect of placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Sale prices of the investment institution warrants issued on 22/05/2023 by Goldman Sachs International
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 23/05/2023, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not definitely continue to be traded at the opening price during the session.
Goldman Sachs International shall not assume any liability whatsoever in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 22/05/2023
The Summary with respect to the investment institution warrants to be issued on 22/05/2023 in accordance with the letter of the Capital Markets Board dated 15/05/2023 and numbered E-29833736-105.02.02.02-37385, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 22/05/2023
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 22/05/2023 in accordance with the letter of the Capital Markets Board dated 15/05/2023 and numbered E-29833736-105.02.02.02-37385, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Disclosure of Goldman Sachs International’s financial statements for the period ended on 31/03/2023
Turkish and English versions of the financial statements of Goldman Sachs International’s financial statements for the period ended on 31 March 2023 can be found on this web site as "PDF" file.
You may access the originals of the financial statements through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html.
The Turkish translation of Goldman Sachs International’s directors’ report, financial statements and notes to the financial statements for the accounting period ended on 31 March 2023, that is present in this website, is prepared for information purposes only. The translation is not reviewed or nor approved by the auditors or directors of Goldman Sachs International, and prepared in accordance with the English version of the directors’ report, financial statements and notes to the financial statements for the period 31 March 2023, to which the prospective investors may access through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html and is only valid together with the English version. In case of any contradiction between the English and Turkish versions, the English versions shall prevail.
PDP announcement can be found here: Link
Resolution of the technical problem experienced in respect of the Warrant Quotations of Goldman Sachs International (the Issuer)
The technical problem, which has been experienced in respect of submission of the quotations for certain warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. acts as the market maker, to the warrant market of Borsa Istanbul A.S., has been resolved, and the submission of the quotations has returned to its normal functioning as of 12:20.
PDP announcement can be found here: Link
Technical problem experienced in respect of the Warrant Quotations of Goldman Sachs International (the Issuer)
Due to a technical problem being experienced, quotations for certain warrants cannot be submitted to the Warrant market at the Borsa Istanbul A.S. for the warrants for which Unlu Menkul Degerler A.S. acts as the market maker. Our Warrants continue to be traded at the market in accordance with the practices of Borsa Istanbul A.S., and you can follow up the current prices of our warrants on this website. We shall ensure that further information will be provided in respect of placement of quotations to the market following the resolution of such technical problem.
PDP announcement can be found here: Link
Goldman Sachs International – Re. financial statements for the period ending on 31 March 2023
Financial Statements of Goldman Sachs International for the period ending on 31 March 2023 will be published in English by 16 May 2023 at the address of https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html within the framework of governing regulations. Depending on the date of announcement of Financial Statements by Goldman Sachs International for the period ending on 31 March 2023, Turkish translations of certain sections of the financial statements for the period ending on 31 March 2023 will be published in Public Disclosure Platform on 16 May 2023 at the latest.
PDP announcement can be found here: Link
Amendment to the Issuer Information Note of Goldman Sachs International, the Issuer, and also the final version of the Issuer Information Note following the amendment
The Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903 in respect of the public offering of the investment institution warrants and certificates to be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, has been announced on the Public Disclosure Platform on 03/01/2023, and the Issuer Information Note amendment texts were announced on the Public Disclosure Platform on 24/02/2023 and on 15/03/2023 and they have also been published on this website and also the website of the market maker.
Now, the Issuer Information Note is required to be amended due to the changes at the sections with the subtitles "4.3. Information on risk management policy of the issuer, 10.2.1. Information on the members of the board of directors of the issuer, 11.2. Explanation on evaluation of the position of the issuer against the corporate governance principles applicable in the country of its incorporation, and 13.3. Information on any lawsuit, legal proceeding or arbitration that had a major effect on the issuer’s and/or group’s financial status or profitability during the past 12 months or that may have an effect thereon during the following periods", and the amendment text of the Issuer Information Note has been approved by means of the letter of the Capital Markets Board dated 02/05/2023 and numbered E-29833736-105.02.02.02-36726.
As based on the approval granted by the Capital Markets Board, the Issuer Information Note amendment text, given on comparative basis with respect to before and after such amendment, and also the final version of such amended Issuer Information Document may be accessed through this website. Such amendment text and the final version of the Issuer Information Note have also been published on the website of Public Disclosure Platform, namely www.kap.org.tr.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the warrants on international shares and indicators with maturity date of 28/04/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on international shares and indicators, with the maturity date of 28/04/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). The payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 04/05/2023.
PDP announcement can be found here: Link
Goldman Sachs International - Redemption prices of the investment institution warrants on domestic shares and indicators with maturity date of 28/04/2023
Please kindly find the table, containing the redemption prices at the end of maturity, of the warrants on domestic shares and indicators, with the maturity date of 28/04/2023, which are issued by Goldman Sachs International and traded at Borsa Istanbul A.S., as attached hereto (Link). As per the provision in section 4.1.13 of the Capital Market Instrument Note, which is read as “At the end of the term, after the closure of the exchange, the Issuer discloses and announces the Underlying Asset/Indicator Settlement value to the investors. For international Underlying Assets/Indicators, the Underlying Asset/Indicator Settlement value may be published following the day after the end of maturity because of the time zone differences.”, redemption prices of the warrants on international shares and indicators will be announced on 02/05/2023 and the payment transactions of such warrants will be conducted by Merkezi Kayit Kurulusu (MKK) on 04/05/2023.
PDP announcement can be found here: Link
Sale prices of the investment institution warrants issued on 25/04/2023 by Goldman Sachs International
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 26/04/2023, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not definitely continue to be traded at the opening price during the session.
Goldman Sachs International shall not assume any liability whatsoever in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Goldman Sachs International - Disclosure of Goldman Sachs International’s financial statements for the period ended on 31/12/2022 – Post-Translation
Turkish and English versions of the financial statements of Goldman Sachs International’s financial statements for the period ended on 31/12/2022 can be found on this web site as "PDF" file.
You may access the originals of the financial statements through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html.
The Turkish translation of Goldman Sachs International’s directors’ report, independent auditors’ report, financial statements and notes to the financial statements for the accounting period ended on 31 December 2022, that is present in this website, is prepared for information purposes only. The translation is not reviewed or nor approved by the auditors or directors of Goldman Sachs International, and prepared in accordance with the English version of the directors’ report, independent auditors’ report, financial statements and notes to the financial statements for the period 31 December 2022, to which the prospective investors may access through the address https://www.goldmansachs.com/investor-relations/financials/subsidiary-financial-info/gsi/index.html and is only valid together with the English version. In case of any contradiction between the English and Turkish versions, the English versions shall prevail.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 25/04/2023
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 25/04/2023 in accordance with the letter of the Capital Markets Board dated 17/04/2023 and numbered E-29833736-105.02.02.02-36253, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 25/04/2023
The Summary with respect to the investment institution warrants to be issued on 25/04/2023 in accordance with the letter of the Capital Markets Board dated 17/04/2023 and numbered E-29833736-105.02.02.02-36253, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Sale prices of the investment institution warrants issued on 17/04/2023 by Goldman Sachs International
Please kindly find the table with respect to the sale prices of the investment institution warrants, which are issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker and which will be started to be traded at the BIST Structured Products and Fund Market on 18/04/2023, as attached hereto (Link). Such prices are the prices that will be applicable only at the initial opening of the session, the sale prices may vary as of the starting of trading of the investment institution Warrants at Borsa Istanbul A.S., and such warrants will not definitely continue to be traded at the opening price during the session.
Goldman Sachs International shall not assume any liability whatsoever in respect of placing quotations or trading at the opening prices during the session.
PDP announcement can be found here: Link
Change of multiplier of the warrants with AKBNK, BIMAS, EKGYO, GARAN, PETKM, SAHOL, TAVHL, THYAO, TOASO, ISCTR and BIST30, Dow Jones Index as the underlying to be issued by Goldman Sachs International
There has been a change in the multipliers of the warrants with AKBNK, BIMAS, EKGYO, GARAN, PETKM, SAHOL, TAVHL, THYAO, TOASO, ISCTR and BIST30, Dow Jones Index as the underlying which will be issued by Goldman Sachs International on 17/04/2023 with the maturity dates of 26/06/2023 and 31/07/2023, and for the warrants with AKBNK, BIMAS, EKGYO, GARAN, PETKM, SAHOL, TAVHL, THYAO, TOASO, ISCTR and BIST30, Dow Jones Index as the underlying to be issued after the date thereof.
However, the multiplier to be used for the investment institution warrants with the aforesaid shares as the underlying issued before 17/04/2023 and currently being traded at Borsa Istanbul A.S., was not changed.
In accordance with the above, please kindly find the PDF file (Link) regarding the multipliers of the warrants with AKBNK, BIMAS, EKGYO, GARAN, PETKM, SAHOL, TAVHL, THYAO, TOASO, ISCTR and BIST30, Dow Jones Index as the underlying which will be issued by Goldman Sachs International on 17/04/2023 and of the warrants issued before 17/04/2023.
PDP announcement can be found here: Link
Goldman Sachs International – Summary regarding the Investment Institution Warrants to be issued on 17/04/2023
The Summary with respect to the investment institution warrants to be issued on 17/04/2023 in accordance with the letter of the Capital Markets Board dated 11/04/2023 and numbered E-29833736-105.02.02.02-35934, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link
Goldman Sachs International - Capital Market Instrument Note regarding the Investment Institution Warrants to be issued on 17/04/2023
The Capital Market Instrument Note with respect to the investment institution warrants to be issued on 17/04/2023 in accordance with the letter of the Capital Markets Board dated 11/04/2023 and numbered E-29833736-105.02.02.02-35934, as well as the Issuer Information Note, which has been approved at the meeting of the Capital Markets Board dated 29/12/2022 and numbered 77/1903, in respect of the investment institution warrants and certificates which will be issued by Goldman Sachs International and for which Unlu Menkul Degerler A.S. will act as the market maker, can be found on this web site as "PDF" file.
PDP announcement can be found here: Link