MENU
VakıfBank
Internet Banking
Retail
Commercial
Get Password
TR
TR
VakıfBank Expat Banking
International Banking
Investor Relations
Corporate Information
Corporate Governance
Financials
Earnings Presentations
Share Information
Press Release
Sustainability
Ratings
General Assembly
Wholesale Funding
Contact Us
Private Banking
Recent News
Contact Details
VakıfBank Expat Banking
Bank with us
Delivery Channels
Exclusive Services
Insurance
Contact Us
International Banking
Nostro Accounts
Terms And Conditions
VakıfBank Abroad
Contact Us
ATM/Branch Locations
Investor Relations
Corporate Information
Corporate Governance
Financials
Earnings Presentations
Share Information
Press Release
Sustainability
Ratings
General Assembly
Wholesale Funding
Contact Us
Private Banking
About Us
Private Banking Products
Private Banking Cards
Insurance and Pension
Private Banking Branches
Recent News
Contact Details
About Us
History
Mission,Vision and Core Values
Subsidiaries
Anti Money Laundering
Anti Money Laundering Questionnaire
Wolfsberg Questionnaire
USA Patriot Act Certification
VakıfBank in Brief
Privacy and Data Protection
Home Page
Investor Relations
Financials
IFRS Reports
Investor Relations
Corporate Information
Ownership Structure
Board of Directors
Executive Vice Presidents
Corporate Governance
Corporate Governance Principles Compliance Report
Committees
Corporate Governance Approach
Policies
Disclosure Policy
Ethical Principles
Profit Distribution Policy
Anti-Bribery and Corruption Policy
Anti-Money Laundering Policy
Donation and Aid Policy
Human Rights and Employee Rights Policy
Occupational Health and Safety Policy
Remuneration Policy
Indemnity Policy
Environmental Policy
Sustainability Policy
Customer Satisfaction Policy
Supplier Selection and Compliance Policy
VakıfBank Articles of Incorporation
VakıfBank Law
Financials
TAS-Bank Only
TAS-Consolidated
IFRS Reports
Annual Reports
Earnings Presentations
Share Information
Share Information
Historical Performance
Interactive Share Chart
Privileged Shares Information
Capital Increases and Dividend Payout Ratio
Analyst Coverage
Press Release
Sustainability
Milestones
Governance Structure
Investor Presentations
Value Creation Model
Sustainability Rating and Indices
Stakeholder Engagement
Material Topics
Environmental Management
Sustainable and Responsible Finance
World Bank Emergency Firm Support Project
Human Capital
Corporate Social Responsibility
Reports and Certificates
Sustainability Reports
CDP
Audit Reports
Certificates
Ratings
General Assembly
Wholesale Funding
Debt Ratings
Wholesale Funding Profile
Funding Programs
GMTN
Base Prospectuses
Base Prospectus dated May 7, 2020 relating to US$ 7,000,000,000 Global Medium Note Programme
Base Prospectus dated May 8, 2019 relating to US$ 7,000,000,000 Global Medium Note Programme
Base Prospectus dated May 2, 2018 relating to US$ 7,000,000,000 Global Medium Note Programme
Base Prospectus dated April 21, 2017 relating to US$ 7,000,000,000 Global Medium Note Programme
Base Prospectus dated April 18, 2016 relating to the US$ 7,000,000,000 Global Medium Note Programme
Supplement
Third Supplement dated November 23, 2020 to the Base Prospectus dated May 7, 2020
Second Supplement dated October 1, 2020 to the Base Prospectus dated May 7, 2020.pdf
First Supplement dated June 18, 2020 to the Base Prospectus dated May 7, 2020
First Supplement dated December 19, 2019 to the Base Prospectus dated May 8, 2019
First Supplement dated March 06, 2019 to the Base Prospectus dated May 02, 2018
Fifth Supplement dated March 28, 2018 to the Base Prospectus dated April 21, 2017
Fourth Supplement dated January 24, 2018 to the Base Prospectus dated April 21, 2017
Third Supplement dated November 27, 2017 to the Base Prospectus dated April 21, 2017
Second Supplement dated August 21, 2017 to the Base Prospectus dated April 21, 2017
First Supplement dated May 22, 2017 to the Base Prospectus dated April 21, 2017
Seventh Supplement dated March 13, 2017 to the Base Prospectus dated April 18, 2016
Sixth Supplement dated February 14, 2017 to the Base Prospectus dated April 18, 2016
Fifth Supplement dated November 24, 2016 to the Base Prospectus dated April 18, 2016
Fourth Supplement dated October 20, 2016 to the Base Prospectus dated April 18, 2016
Third Supplement dated August 17, 2016 to the Base Prospectus dated April 18, 2016
Second Supplement dated July 29, 2016 to the Base Prospectus dated April 18, 2016
First Supplement dated June 13, 2016 to the Base Prospectus dated April 18, 2016
Fifth Supplement dated March 14, 2016 to the Base Prospectus dated April 17, 2015
Fourth Supplement dated December 1, 2015 to the Base Prospectus dated April 17, 2015
Third Supplement dated November 16, 2015 to the Base Prospectus dated April 17, 2015
Second Supplement dated September 29, 2015 to the Base Prospectus dated April 17, 2015
First Supplement dated June 8, 2015 to the Base Prospectus dated April 17, 2015
Final Terms
Final Terms of Issue of US$ 750,000,000 6.50% Notes due January 2026
Final Terms of Issue US$ 750,000,000 5.250% Notes due to February 2025
Final Terms of Issue US$ 600,000,000 8.125% Notes due to March 2024
Final Terms of Issue US$ 650,000,000 5.75% Notes due to January 2023
Final Terms of Issue US$ 500,000,000 5.625% Notes due to May 2022
Final Terms of Issue US$ 500,000,000 5.5% Notes due October 2021
Documents
Sustainable Finance
Covered Bond
Base Prospectus
2019- Base Prospectus
2018- Base Prospectus
2017- Base Prospectus
2016- Base Prospectus
2015- Base Prospectus
Supplements
Second Supplement dated February 5, 2018 to the Base Prospectus dated November 6, 2017
First Supplement dated December 8, 2017 to the Base Prospectus dated November 6, 2017
First Supplement dated August 22, 2017 to the Base Prospectus dated November 3, 2016
First Supplement dated October 2, 2015 to the Covered Bond Base Prospectus dated July 29, 2015
Second Supplement dated December 9, 2015 to the Covered Bond Base Prospectus dated July 29, 2015
Third Supplement dated March 14, 2016 to the Covered Bond Base Prospectus dated July 29, 2015
Fourth Supplement dated April 6, 2016 to the Covered Bond Base Prospectus dated July 29, 2015
Fifth Supplement dated June 22, 2016 to the Covered Bond Base Prospectus dated July 29, 2015
Investor Reports
2021– Investor Reports
January 2021 – Investor Report
2020– Investor Reports
January 2020 – Investor Report
February 2020 – Investor Report
March 2020 – Investor Report
April 2020 – Investor Report
May 2020 – Investor Report
June 2020 – Investor Report
July 2020 – Investor Report
August 2020 – Investor Report
September 2020 – Investor Report
October 2020 – Investor Report
November 2020 – Investor Report
December 2020 – Investor Report
2019 – Investor Reports
January 2019 – Investor Report
February 2019 – Investor Report
March 2019 – Investor Report
April 2019 – Investor Report
May 2019 – Investor Report
June 2019- Investor Report
July 2019- Investor Report
August 2019- Investor Report
September 2019- Investor Report
October 2019- Investor Report
November 2019- Investor Report
December 2019- Investor Report
2018 – Investor Reports
January 2018– Investor Report
February 2018– Investor Report
March 2018- Investor Report
April 2018 - Investor Report
May 2018 - Investor Report
June 2018– Investor Report
July 2018 -Investor Report
August 2018 – Investor Report
September 2018– Investor Report
October 2018– Investor Report
November 2018 – Investor Report
December 2018– Investor Report
2017 – Investor Reports
January 2017– Investor Report
February 2017 – Investor Report
March 2017 – Investor Report
April 2017 – Investor Report
May 2017 – Investor Report
June 2017 – Investor Report
July 2017 – Investor Report
August 2017 – Investor Report
September 2017 Investor Report
October 2017 – Investor Report
November 2017 – Investor Report
December 2017– Investor Report
2016 – Investor Reports
April 2016 – Investor Report
May 2016 – Investor Report
June 2016 – Investor Report
July 2016 – Investor Report
August 2016 – Investor Report
September 2016 Investor Report
October 2016 – Investor Report
November 2016 – Investor Report
December 2016– Investor Report
Exchange
Drawdown Prospectus relating to US$ 227,605,000 Fixed Rate Resettable Tier II Notes due 2027
Final Results Announcement
Reset Margin Announcement
Sub-Debt
Offering Circular dated December 11, 2012 relating to US$ 400,000,000 6.000% Subordinated Notes due 2022
Offering Circular dated October 30, 2012 relating to US$ 500,000,000 6.000% Subordinated Notes due to 2022
Securitization
Syndication
RNS Announcement
Contact Us
IFRS Reports
2020
IFRS Financial Statements 30.06.2020
2019
IFRS Financial Statements 31.12.2019
IFRS Financial Statements 30.06.2019
2018
IFRS Financial Statements 31.12.2018
IFRS Financial Statements 30.06.2018
2017
IFRS Financial Statement 31.12.2017
IFRS Financial Statements 30.06.2017
2016
IFRS Financial Statements 31.12.2016
IFRS Financial Statements 30.06.2016
2015
IFRS Financial Statements 31.12.2015
IFRS Financial Statements 30.06.2015
2014
IFRS Financial Statements 31.12.2014
IFRS Financial Statements 30.06.2014
2013
IFRS Financial Statements 31.12.2013
IFRS Financial Statements 30.06.2013
2012
IFRS Financial Statements 31.12.2012
IFRS Financial Statements 30.06.2012
2011
IFRS Financial Statements 31.12.2011
IFRS Financial Statements 30.06.2011
2010
IFRS Financial Statements 31.12.2010
IFRS Financial Statements 30.06.2010
2009
IFRS Financial Statements 31.12.2009
IFRS Financial Statements 30.06.2009
2008
IFRS Financial Statements 31.12.2008
IFRS Financial Statements 30.06.2008
2007
IFRS Financial Statements 31.12.2007
IFRS Financial Statements 30.06.2007
2006
IFRS Financial Statements 31.12.2006
IFRS Financial Statements 30.06.2006
2005
IFRS Financial Statements 31.12.2005
IFRS Financial Statements 30.06.2005
2004
IFRS Financial Statements 31.12.2004
IFRS Financial Statements 30.06.2004
2003
IFRS Financial Statements 31.12.2003
IFRS Financial Statements 30.06.2003
2002
IFRS Financial Statements 2002
2001
IFRS Financial Statements 2001