.01
About Us
.02
Investor Relations
.03
Financial Highlights
.04
Human Resources
.01
Ownership Structure
and Subsidiaries
.02
Vision, Mission and Corporate Values
.03
Trade Registry Information
.04
Articles of Association
.05
Organization Structure
.06
Board of Directors
and Executives
.07
Corporate Governance Principles Compliance Report
.08
Frequently Asked Questions
.09
Useful Links
In the first 3 months of 2013, the value of transactions generated by IS Investment is 19,177 million USD in stocks with a market share of 8.2%; 1,444 million USD in the Outright Purchases and Sales market of...
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IS Investment, as a leading brokerage house in the Turkish capital markets, prepare and disclose the annual and interim financial reports in a way to...
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IS Investment pay attention to make investor presentations, which provide information on financial and market performance, on the same day that our financial reports are disclosed to...
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The invitations, agendas, proxy samples, and minutes of the General Meetings of shareholders are published on the Company’s website on same day that they are disclosed to...
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Material Event Statements, in line with IS Investment Information Policy, are published on the website on the same day that they are disclosed to...
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After rising 284% in 2009, ISMEN’s price has demonstrated a significant performance by increasing 55% and beat the ISE 100 by 24% in 2010...
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IS Investment is aware the importance of timely communication of necessary, accurate, complete, comprehensible and easily accessible information and...
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Last Update : 17/05/2013 09:20
Material Event Statements
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The information on this site is provided by “Is Yatirim Menkul Degerler A.S.” (Is Investment). Please refer to
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05/17/2013 / Operations on Exchange Traded Fund Participating Certificates Which is Named ’’IS Investment ISE 30 A Type ETF"
With subject to the operations on exchange traded fund participating certificates which is named ’’IS Investment ISE 30 A Type ETF’’ on 16th of May, 2013; 165,000 unit purchasing operations between TL 28.05-28.20 and 165,040 unit selling operations between TL 27.90-28.30 were realized by our Company. The participating certificates which we own with these operations hold 12.82% of the shares of ’’IS Investment ISE 30 A Type ETF’’ by 16th of May, 2013.
05/17/2013 / Market Maker Operations - ISUVT
The below table presents the market maker operations related to the operations on exchange traded fund participating certificates of IS Investment Long Term Bond Index B Type ETF which was disclosed 17th of May, 2013 at 08:51:07 am.
Date of Operation
Type of Operation
Nominal Amount of
Participating Certificates(TL)
Operation Amount (TL)
05/16/2013
Purchasing
100.00
1,856.00
05/16/2013
Selling
100.00
1,860.00
05/17/2013 / Operations on Exchange Traded Fund Participating Certificates Which is Named ’’IS Investment Long Term Bond Index B Type ETF’’
With subject to the operations on exchange traded fund participating certificates which is named ’’IS Investment Long Term Bond Index B Type ETF’ on 16th of May, 2013; 200 unit purchasing operations and 200 unit selling operations between TL 18.56-18.60 were realized by our Company. The participating certificates which we own with these operations hold 5.91% of the shares of ’’IS Investment Long Term Bond Index B Type ETF’ by 16th of May, 2013.
05/17/2013 / Operations on IS Investment Warrants
The purchasing and selling operations on IS Investment Warrants realized on 16th of May, 2013 by our Company as an issuer and the market maker are disclosed to the public via KAP (Public Disclosure Platform -
www.kap.gov.tr
).
05/16/2013 / Stock Dividend Distribution
In accordance with the resolution of the Board of Directors dated 15th of May 2013, it is decided to apply to Capital Markets Board to increase the issued capital from TL 286mn to TL 310.5mn as distributing stock dividend (8.56%) within the registered capital ceiling of TL 600mn. Total stock dividend TL 24.5mn will be supplied from the net profit of 2012.
05/16/2013 / Operations on Exchange Traded Fund Participating Certificates Which is Named ’’IS Investment ISE 30 A Type ETF"
With subject to the operations on exchange traded fund participating certificates which is named ’’IS Investment ISE 30 A Type ETF’’ on 15th of May, 2013; 300,303 unit purchasing operations between TL 27.90-28.20 and 300,304 unit selling operations between TL 27.90-28.30 were realized by our Company. The participating certificates which we own with these operations hold 12.82% of the shares of ’’IS Investment ISE 30 A Type ETF’’ by 15th of May, 2013.
05/16/2013 / Market Maker Operations - ISUVT
The below table presents the market maker operations related to the operations on exchange traded fund participating certificates of IS Investment Long Term Bond Index B Type ETF which was disclosed 16th of May, 2013 at 09:01 am.
Date of Operation
Type of Operation
Nominal Amount of
Participating Certificates(TL)
Operation Amount (TL)
05/15/2013
Purchasing
9,800.00
181,888.00
05/15/2013
Selling
9,800.00
182,084.00
Who We Are / Investor Relations
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