
Please find below the principles of trading, registration and settlement applicable in Borsa İstanbul Markets during the Feast of the Sacrifice (Eid Al-Adha) and Turkish Republic Day, which are official holidays.
- On the Equity Market and Emerging Companies Market, the first session will be held on October 3, 2014 and there will be no trading on October 6-7, 2014. For both Markets, the settlement of the trades realized on October 1, 2014 will be done on October 8, 2014, and the settlement of the trades realized on October 2 and 3, 2014 will be done on October 9, 2014.
On the said Markets, the first session will be held on October 28, 2014, and there will be no trading on October 29, 2014. For both Markets, the settlement of the trades realized on October 24, 2014 will be done on October 30, 2014, and the settlement of the trades realized on October 27 and 28, 2014 will be done on October 31, 2014.
- On October 3, 2014, same day and future day value trades on the Debt Securities Market; Outright Purchases and Sales Market, Repo Reverse Repo Market, Repo Market for Specified Securities, Interbank Repo-Reverse Repo, Equity Repo, International Bonds and Offering Market for Qualified Investors and Eurobond Neg Deals Platform will be done until 11:30, and registration until 09:30 hours. On October 3, 2014, notifications for securities will be made until 11:50 and the settlement of same day value trades will be realized until 12:30 hours. There will be no settlement for foreign currency paid (USD, EUR) Government Debt Securities (GDS) on October 3, 2014. There will be no trading, registration and settlement on October 6 and 7, 2014.
On October 28, 2014, both same day and future date value trades will be realized until 11:30, and registration until 9:30 hours. Notifications for securities will be made by 11:50 on October 28, 2014. Settlement of same day value trades will be done until 12:30. There will be no settlement for foreign currency paid (USD, EUR) securities on October 28, 2014. There will be no trading, registration and settlement on October 29, 2014.
- Trading sessions on the Precious Metals and Diamond Markets will continue on October 3, 6 and 7, 2014. Settlement of the trades with T+0 value will be realized on October 8, 2014. There will be no settlement on October 3, 2014. Settlement will be realized on October 8, 2014.
Trading sessions on the Precious Metals and Diamond Markets will continue on October 28 and 29, 2014. Settlement of the trades with T+0 value will be realized on October 30, 2014. There will be no settlement on October 28, 2014. Settlement will be realized on October 30, 2014.
- On the Derivatives Market (VIOP), the first session will be held on October 3, 2014 and there will be no trading on October 6-7, 2014. Settlement of the trades realized on October 2, 2014 will be done on October 3, 2014, and settlement of the trades realized on October 3, 2014 will be done on October 8, 2014.
The first session of the Derivatives Market (VIOP) will be held on October 28, 2014, and there will be no trading on October 29, 2014. Settlement of the trades realized on October 27, 2014 will be realized on October 28, 2014 and that of the trades realized on October 28, 2014 will be made on October 30, 2014.