Turkey’s 6 Major Bond Auctions: Diversified Interest Rates and Dollar Hedge Strategies
724FinanceKerem Tufan
Key Highlights
İstanbul Finansal Arenaya Yeni Rüzgar: 6 İhale, 7 Yeniden İhraç ## Hazine’nin Yeniden İhraç Takvimi: 7 Kişisel Tahvil Çekilişi Hazine ve Maliye Baka

A New Breeze in Istanbul’s Financial Arena: 6 Auctions, 7 New Issuances
Treasury’s Re‑Issue Calendar: 7 Personal Bond Draws
The Ministry of Finance will conduct 4 re‑issues and 2 direct sales next week, introducing a fresh wave of 6 distinct bonds and lease certificates to the markets.
Interest Rate Diversity: TLREF, CPI, Fixed and Dollar
Quantity and Maturity Spectrum: 1–9 Years
Investor Attraction Strategies: Dollar and Inflation Hedge
Macroeconomic Environment: Inflation, Exchange Rate, Financial Stability
Looking Ahead: Short, Medium, Long‑Term Impacts
Kerem Tufan: Turkey’s borrowing strategy in this period aims to preserve short‑term liquidity while offering diversified interest and maturity structures to hedge against inflation and currency risk, thereby sustaining market stability. The tightening of credit in the banking sector may increase demand for government bonds, but investors are expected to restructure portfolios according to risk tolerance.
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