At the Annual General Meeting held on May 20, 2010, it was decided to distribute a gross cash dividend of TL 195,833,000 to the shares representing TL 178,030,000 capital and the dividend disbursement is to start on May 28,2010.

Accordingly,
  • A TL 1.10 gross and net cash dividend per share with a nominal value of TL 1 representing a ratio of %110 to institutional shareholders domiciled in Turkey and non-resident foreign institutions, which are tax payers in Turkey through their permanent representative offices or companies,
  • A TL 0.935 net cash dividend per one share with a nominal value of TL 1 to other shareholders, which will be calculated following the deduction of the withholding ratios under tax laws, which represents a ratio of %93.5.
     
It was resolved to distribute TL 195,833,000 as dividend to the shareholders from the following sources;
  • TL 31,500,000.00 current year net profit,
  • TL 164,333,000.00 extraordinary reserves, excluding inflation restatement differences,
It was determined that there is no need to set aside first order legal reserves as the first order legal reserves reached 20% of capital in accordance with Turkish Commercial Code.

In addition to TL 195,833,000 dividend payment, it was decided to set aside second order legal reserves amounting to TL 21,759,222.22.

The dividend payments for those shareholders (the shares they own are traded in the Stock Exchange) whose shareholdings are monitored by the Central Registration Agency in the framework of the regulations set by CMB in relation to the Registry System, are made by the intermediary institution to the dividend accounts of the shareholders.

As laid out in the General Letter of the Central Registration Institution (“MKK”) numbered 294, in accordance with the Capital Markets Board Legislation Temporary Article 6, the shareholders are not paid dividend accruing after December 31, 2007 unless they have their shares registered. The payment can take place subsequent to the registration. Consequently our shareholders whose shares are not monitored within the framework of the regulations on registration system and physically hold their share certificates should have their shares registered to be able to collect their dividend. The dividend distribution commenced on May 28, 2010, at the branches of Yapı Kredi Bankası A.Ş. and Yapı Kredi Yatırım Menkul Değerler A.Ş.

Place of Application:

YAPI KREDİ BANKASI A.Ş. branches

YAPI KREDİ YATIRIM MENKUL DEĞERLER A.Ş.
Yapı Kredi Plaza A Blok 9. Kat Levent 34330 İstanbul,

İMKB TAKAS ve SAKLAMA BANKASI A.Ş.
Mecidiyeköy Yolu Sok. No.286 Şişli 34381 İstanbul
At the Annual General Meeting held on July 30th, 2009, it was decided to distribute the dividend of the free reserves after setting aside the reserves required by law to the share certificates representing the capital of TRY 178,030,000 and to use TRY 2,492,420,000 from this source for the distribution of gross cash dividends.

Following this decision, resident taxpayers, non-resident taxpayers who get profits through an office or a permanent agency in Turkey and our company partners are to be paid a gross=net cash dividend of TRY 14.00 per share with a nominal worth of TRY 1.00 at the rate of 1.400 %, and other shareholders are to be paid a net cash dividend of TRY 11.90 per share with a nominal worth of TRY 1.00 at the rate of 1.190 % which is calculated according to the withholding tax rates stated in the tax law.

Dividends of the shareholders whose shares are monitored by Central Registry Agency under the registration system regulations of the Capital Markets Legislation (shareholders whose share certificates are traded on the Stock Exchange) are to be paid into shareholder accounts through intermediaries. As stated in the Central Registry Agency Circular numbered 294, in accordance with the Temporary Article 6 of the Capital Markets Law, investors with the right who don’t register their share certificates will not receive any disbursement of dividends of unregistered share certificates acquired after December 31st, 2007. Disbursement can only be made after registration. Therefore shareholders whose shares are not monitored according to the regulations of the registration system but hold their share certificates physically should register their share certificates in order to get their dividends. The paying out of dividends will start on August 04th, 2009 at the Yapı Kredi Bankası branches listed below as well as at Yapı Kredi Yatırım Menkul Değerler A.Ş.

Place of Application:
In Istanbul applications can be made at the following Yapı Kredi Bank branches;
Harbiye Branch, Kadıköy Altıyol Branch, Caddebostan Bağdat Caddesi Branch, Feneryolu Branch, Kartal Branch, Suadiye Branch, Ataşehir Bulvar Branch, Nuruosmaniye Branch, Etiler Nispetiye Caddesi Branch, Yeditepe Branch, Yeniköy Yalılar Branch, Beylikdüzü Branch, and Bakırköy Dikilitaş Branch.

In Ankara at the Ankara Branch, Bahçelievler Branch, and Çankaya Cinnah Branch,
In İzmir at the İzmir branch, Karşıyaka branch, and Bornova Hükümet Konağı branch,

In Bursa at the Fomara branch,
In Balıkesir at the 6 Eylül branch,
In Antalya at the Aspendos Bulvar Branch,
In Konya at the Selçuklu Branch,
In Denizli at the Denizli Branch,
In Eskişehir at the Porsuk Branch,
In Adana at the Çukurova Branch,
In Kocaeli at the Kocaeli Branch and the Gebze Çarşı Branch,
In Mersin at the Mersin Branch,
In Erzurum at the Cumhuriyet Branch,
In Kayseri at the 27 Mayıs Branch
and in Diyarbakır at the Dağkapı Branch.

YAPI KREDİ YATIRIM MENKUL DEĞERLER A.Ş.
Yapı Kredi Plaza A Blok 9. Kat Levent 34330 İstanbul,

İMKB TAKAS ve SAKLAMA BANKASI A.Ş.

Mecidiyeköy Yolu Sok. No.286 Şişli 34381 İstanbul  
At the Annual General Meeting held on April 29th, 2008, it was decided to distribute a gross cash dividend of TRY 105,494,954.71 to the shares representing TRY 178,030,000 capital and the dividend disbursement is to start on May 1st,2008.

Following this decision, resident taxpayers, non-resident taxpayers who get profits through an office or a permanent agency in Turkey and our company partners are to be paid YKr 9.25684 gross=net cash dividend per share at a nominal worth of TRY 1 at the rate of 59.25684 %, and our other shareholders are to be paid a Ykr 59.25684 gross cash dividend, Ykr 50.36832 net cash dividend per share at a nominal worth of TRY 1.00 at the rate of %59.25684. Along with the net dividend disbursement of TRY 105,494,954.71, all the 1st and 2nd issue reserves will be financed from the current year’s other income.

Dividends of the shareholders whose shares are monitored by the Central Registry Agency under the registration system regulations of Capital Markets Legislation (shareholders whose share certificates are traded on the Stock Exchange) are to be paid into shareholder accounts through intermediaries. As stated in the Central Registry Agency Circular numbered 294, in accordance with the Temporary Article 6 of the Capital Markets Law, investors with the right who don’t register their share certificates will not receive any disbursement of dividends of unregistered share certificates acquired after December 31st, 2007. Disbursement can only be made after registration. Thus, shareholders whose shares are not monitored according to the regulations of the registration system yet hold their share certificates physically should register their share certificates in order to get their dividends. The paying out of dividends will start on May 1st, 2008 at the Yapı Kredi Bankası branches listed below as well as at the Harbiye Branch of Yapı Kredi Yatırım Menkul Değerler A.Ş.

Place of Application:

In Istanbul applications can be made at the following Yapı Kredi Bank branches;

Caddebostan Bağdat Caddesi Branch, Suadiye Branch, Nakkaştepe Branch, Beylikdüzü Branch, Bakırköy Dikilitaş Branch, Kartal Branch, Nuruosmaniye Branch, Ataşehir Bulvar Branch, Ataköy Atrium Branch, Etiler Nispetiye Branch, Yeditepe Branch, Yeniköy Yalılar Branch, and Feneryolu Branch,

and in Ankara at Ankara Branch, Ankara Bahçelievler Branch, and Çankaya Cinnah Branch,
and in İzmir at İzmir Branch, Karşıyaka Yalı Branch, and Bornova Hükümet Konağı Branch,

in Bursa at the Fomara branch,
in Antalya at the Aspendos Bulvar Branch,
in Eskişehir at the Porsuk Branch,
in Adana at the Çukurova Branch,
in Kocaeli at the Kocaeli Branch
and in Mersin at the Mersin Branch.

Yapı Kredi Yatırım Menkul Değerler A.Ş.
Cumhuriyet Caddesi No.233 Harbiye / İstanbul İMKB Takas ve Saklama Bankası A.Ş.
Mecidiyeköy Yolu Sok. No.286 Şişli 34381 İstanbul
   
At the Annual General Meeting held on April 5th, 2007, it was decided to allot the gross cash dividend of TRY 40,000,000.00 to the shares representing TRY 176.266.866 capital and the dividend disbursement is to start on May 15th, 2007.

Following this decision resident taxpayers, foreign-based taxpayer company partners who get profits through a company or a permanent agency in Turkey are to be paid gross=net cash dividend per share with a nominal worth of YKr at the rate of 22.6929%, and our other shareholders are to be paid a gross cash dividend per share worth a nominal of YKr 1.00 at the rate of 22.6929% (net 19.2889%). Of the cash dividend TRY 40,000,000.00 that is to be distributed TRY 34,084314.68 will be financed from the current year’s other income with the remaining TRY 5,915,685.32 coming from extraordinary reserves corresponding to other income from the year 2003.

Dividends of the shareholders whose shares are monitored by Central Registry Agency under the registration system regulations of Capital Markets Legislation (shareholders whose share certificates are traded on the Stock Exchange) are to be paid into shareholder accounts through intermediaries. Payment of dividends to shareholders whose shares are not monitored according to the regulations of the registration system yet hold their share certificates physically will be made in exchange for 2006 year dividend coupons of the 11th, 12th and 13th issue presented share certificates. The paying out of dividends will start on May 15th, 2007 at the Yapı Kredi Bankası branches listed below as well as at the Harbiye branch of Yapı Kredi Yatırım Menkul Değerler A.Ş.

Place of Application:

In Istanbul applications can be made at the following Yapı Kredi Bank branches;

Caddebostan Bağdat Caddesi Branch, Nakkaştepe Branch, Beylikdüzü Branch, Bakırköy Dikilitaş Branch, Kartal Branch, Nuruosmaniye Branch, Ataşehir Bulvar Branch, Ataköy Atrium Branch, Etiler Nispetiye Branch, Yeditepe Branch, Yeniköy Yalılar Branch, and Feneryolu Branch,

and in Ankara at Ankara Branch, Ankara Bahçelievler Branch, and Çankaya Cinnah Branch,
In İzmir at İzmir Branch, Karşıyaka Yalı Branch, and Bornova Hükümet Konağı Branch,

In Bursa at the Fomara branch,
In Antalya at the Aspendos Bulvar Branch,
In Eskişehir at the Porsuk Branch,
In Adana at the Çukurova Branch,
In Kocaeli at the Kocaeli Branch
and in Mersin at the Mersin Branch.

Yapı Kredi Yatırım Menkul Değerler A.Ş.

Cumhuriyet Caddesi No.233 Harbiye / İstanbul

İMKB Takas ve Saklama Bankası A.Ş.

Mecidiyeköy Yolu Sok. No.286 Şişli 34381 İstanbul
   
At the Annual General Meeting held on April 8th, 2005, it was decided to pay out a gross cash dividend at the rate of 15% (TRY 0.15 gross dividend per TRY 1.00 share - net 14.73%) from the profit of year 2004 to the shares representing TRY 137,700,000 capital.

Dividend disbursement started on May 16th, 2005 at KOÇBANK A.Ş. branches as well as at Koç Yatırım Menkul Değerler A.Ş. in exchange for 2004 year dividend coupons.
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