AgeSA Hayat ve Emeklilik Anonim Şirketi

CONSOLIDATED BALANCE SHEET AS OF 30 SEPTEMBER 2022 (Amounts expressed in Turkish Lira (TL) unless otherwise stated).

ASSETS

Reviewed

Audited

Current Period

Previous Period

I- CURRENT ASSETS

Notes

30 September 2022

31 December 2021

A- Cash and Cash Equivalents

2.12, 14

849.678.694

1.045.560.488

1- Cash

-

-

2- Cheques Received

-

-

3- Banks

2.12, 14

204.608.391

593.618.085

4- Cheques Given and Payment Orders (-)

2.12, 14

(400.708)

(271.671)

5- Bank Guaranteed Credit Card Receivables with Maturities Less Than Three Months

-

-

6- Other Cash and Cash Equivalents

2.12, 14

645.471.011

452.214.074

B- Financial Assets and Investments with Risks on Policyholders

4,11.4

8.718.980.758

5.011.546.379

1- Financial Assets Available for Sale

4, 11.4

815.322.199

369.357.135

2- Financial Assets Held to Maturity

4, 11.4

362.418.636

-

3- Financial Assets Held for Trading

4, 11.4

716.878.208

383.891.491

4- Loans

-

-

5- Provision for Loans (-)

-

-

6- Investments with Risks on Policyholders

4, 11.4

6.824.361.715

4.258.297.753

7- Equity Shares

-

-

8- Impairment on Financial Assets (-)

-

-

C- Receivables From Main Operations

12.1

133.330.185

91.957.332

1- Receivables From Insurance Operations

12.1

60.878.475

48.414.125

2- Provision for Receivables From Insurance Operations (-)

-

-

3- Receivables From Reinsurance Operations

-

-

4- Provision for Receivables From Reinsurance Operations (-)

-

-

5- Cash Deposited With Insurance & Reinsurance Companies

-

-

6- Loans to Policyholders

-

-

7- Provision for Loans to Policyholders (-)

-

-

8- Receivables from Pension Operation

12.1

72.451.710

43.543.207

9- Doubtful Receivables From Main Operations

-

-

10- Provisions for Doubtful Receivables From Main Operations (-)

-

-

D- Due from Related Parties

12.1

4.863.720

321.063

1- Due from Shareholders

-

-

2- Due from Affiliates

-

-

3- Due from Subsidiaries

-

-

4- Due from Entities Under Common Control

-

-

5- Due from Personnel

354.641

271.153

6- Due from Other Related Parties

45

4.509.079

49.910

7- Discount on Receivables Due from Related Parties (-)

-

-

8- Doubtful Receivables Due from Related Parties

-

-

9- Provisions for Doubtful Receivables Due from Related Parties (-)

-

-

E- Other Receivables

12.1

283.551

244.210

1- Leasing Receivables

-

-

2- Unearned Leasing Interest Income (-)

-

-

3- Deposits and Guarantees Given

23.285

44.685

4- Other Receivables

61.741

1.000

5- Discount on Other Receivables (-)

-

-

6- Other Doubtful Receivables

198.525

198.525

7- Provisions for Other Doubtful Receivables (-)

-

-

F- Prepaid Expenses and Income Accruals

158.044.762

36.569.876

1- Deferred Commission Expenses

2.20

116.572.030

26.487.439

2- Accrued Interest and Rent Income

-

-

3- Income Accruals

12.319.110

-

4- Other Prepaid Expenses

47.1

29.153.622

10.082.437

G- Other Current Assets

47.1

5.288.238

3.637.016

1- Stock to be used in following months

-

-

2- Prepaid Taxes and Funds

35, 47.1

1.120.590

-

3- Deferred Tax Assets

-

-

4- Business Advances

47.1

2.223.634

2.163.478

5- Advances Given to Personnel

47.1

1.944.014

1.473.538

6- Stock Count Differences

-

-

7- Other Current Assets

-

-

8- Provision for Other Current Assets (-)

-

-

I- Total Current Asset

9.870.469.908

6.189.836.364

1

AgeSA Hayat ve Emeklilik Anonim Şirketi

CONSOLIDATED BALANCE SHEET AS OF 30 SEPTEMBER 2022 (Amounts expressed in Turkish Lira (TL) unless otherwise stated).

ASSETS

Reviewed

Audited

Current Period

Previous Period

II- NON CURRENT ASSETS

Notes

30 September 2022

31 December 2021

A- Receivables From Main Operations

12.1

60.918.908.314

43.743.106.415

1- Receivables From Insurance Operations

-

-

2- Provision for Receivables From Insurance Operations (-)

-

-

3- Receivables From Reinsurance Operations

-

-

4- Provision for Receivables From Reinsurance Operations (-)

-

-

5- Cash Deposited with Insurance & Reinsurance Companies

-

-

6- Loans to Policyholders

2.20,12.1, 17.2,

377.849.298

297.737.441

17.15

7- Provision for Loans to Policyholders (-)

-

-

8- Receivables From Pension Operations

12.1,17.15

60.541.059.016

43.445.368.974

9- Doubtful Receivables from Main Operations

-

-

10- Provision for Doubtful Receivables from Main Operations

-

-

B- Due from Related Parties

-

-

1- Due from Shareholders

-

-

2- Due from Affiliates

-

-

3- Due from Subsidiaries

-

-

4- Due from Entities Under Common Control

-

-

5- Due from Personnel

-

-

6- Due from Other Related Parties

-

-

7- Discount on Receivables Due from Related Parties (-)

-

-

8- Doubtful Receivables Due from Related Parties

-

-

9- Provisions for Doubtful Receivables Due from Related Parties (-)

-

-

C- Other Receivables

12.1

45.025

42.507

1- Leasing Receivables

-

-

2- Unearned Leasing Interest Income (-)

-

-

3- Deposits and Guarantees Given

12.1

45.025

42.507

4- Other Receivables

-

-

5- Discount on Other Receivables (-)

-

-

6- Other Doubtful Receivables

-

-

7- Provisions for Other Doubtful Receivables (-)

-

-

D- Financial Assets

45.2

897.700

897.700

1- Long-term Investments

-

-

2- Affiliates

-

-

3- Capital Commitments to Affiliates (-)

-

-

4- Subsidiaries

-

-

5- Capital Commitments to Subsidiaries (-)

-

-

6- Entities Under Common Control

-

-

7- Capital Commitments to Entities Under Common Control (-)

-

-

8- Financial Assets and Investments with Risks on Policyholders

-

-

9- Other Financial Assets

45.2

897.700

897.700

10- Impairment on Financial Assets (-)

-

-

E- Tangible Assets

6.3

89.882.623

79.851.392

1- Investment Properties

-

-

2- Impairment on Investment Properties (-)

-

-

3- Owner Occupied Property

-

-

4- Machinery and Equipments

6.3

57.385.700

31.906.268

5- Furnitures and Fixtures

6.3

28.520.803

26.670.272

6- Vehicles

6.3

5.870.700

6.172.480

7- Other Tangible Assets (Including Leasehold Improvements)

6.3

32.410.926

28.794.218

8- Leased Tangible Fixed Assets

6.3

37.123.823

37.585.917

9- Accumulated Depreciation (-)

6.3

(71.429.329)

(51.277.763)

10- Advances Paid for Tangible Fixed Assets (Including Construction In Progresses)

-

-

F- Intangible Assets

8

266.198.681

176.377.445

1- Rights

-

-

2- Goodwill

-

-

3- Establishment Costs

-

-

4- Research and Development Expenses

-

-

5- Other Intangible Assets

8

364.550.752

254.426.560

6- Accumulated Amortizations (-)

8

(161.143.311)

(115.209.407)

7- Advances Regarding Intangible Assets

8

62.791.240

37.160.292

G- Prepaid Expenses and Income Accruals

3.842.316

3.047.713

1- Deferred Expenses

-

-

2- Income Accruals

-

-

3- Other Prepaid Expenses and Income Accruals

3.842.316

3.047.713

H- Other Non-current Assets

21, 35

122.199.107

43.035.551

1- Cash Foreign Currency Accounts

-

-

2- Foreign Currency Accounts

-

-

3- Stock to be used in following months

-

-

4- Prepaid Taxes and Funds

-

-

5- Deferred Tax Assets

21, 35

122.199.107

43.035.551

6- Other Non-current Assets

-

-

7- Other Non-current Assets Amortization (-)

-

-

8- Provision for Other Non-current Assets (-)

-

-

II- Total Non-current Assets

61.401.973.766

44.046.358.723

Total Assets (I+II)

71.272.443.674

50.236.195.087

2

AgeSA Hayat ve Emeklilik Anonim Şirketi

CONSOLIDATED BALANCE SHEET AS OF 30 SEPTEMBER 2022 (Amounts expressed in Turkish Lira (TL) unless otherwise stated).

LIABILITIES

Reviewed

Audited

Current Period

Previous Period

III- SHORT TERM LIABILITIES

Note

30 September 2022

31 December 2021

A- Borrowings

20

8.783.151

6.188.823

1- Borrowings from Financial Institutions

-

-

2- Finance Lease Payables

20

13.562.083

11.928.814

3- Deferred Finance Lease Costs (-)

20

(4.778.932)

(5.739.991)

4- Current Portion of Long Term Borrowings

-

-

5- Principal, Installments and Interests on Issued Bills (Bonds)

-

-

6- Other Financial Instruments Issued

-

-

7- In Excess of Par of Financial Instruments (-)

-

-

8- Other Financial Borrowings (Liabilities)

-

-

B- Payables From Main Operations

4, 19

660.189.656

465.695.343

1- Payables From Insurance Operations

4, 19

122.953.778

64.984.683

2- Payables From Reinsurance Operations

-

-

3- Cash Deposited by Insurance & Reinsurance Companies

-

-

4- Payables From Pension Operations

4,19

537.235.878

400.552.327

5- Payables From Other Operations

4,19

-

158.333

6- Discount on Other Payables From Main Operations, Notes Payable (-)

-

-

C- Due to Related Parties

4, 19

26.282.001

27.787.155

1- Due to Shareholders

19

1.393.806

694.425

2- Due to Affiliates

-

-

3- Due to Subsidiaries

-

-

4- Due to Entities Under Common Control

-

-

5- Due to Personnel

19

1.252.098

1.082.982

6- Due to Other Related Parties

19, 45

23.636.097

26.009.748

D- Other Payables

4, 19, 47.1

48.049.455

42.140.234

1- Guarantees and Deposits Received

12.245

8.813

2- Medical Treatment Payables to Social Security Institution

-

-

3- Other Payables

48.037.210

42.131.421

4- Discount on Other Payables (-)

-

-

E- Insurance Technical Reserves

296.945.696

191.925.200

1- Unearned Premiums Reserve - Net

17.15

138.805.328

71.659.980

2- Unexpired Risk Reserves - Net

-

-

3- Life Mathematical Reserves - Net

17.15

47.684.653

37.878.326

4- Outstanding Claims Reserve - Net

2.20, 17.15

110.455.715

82.386.894

5- Provision for Bonus and Discounts - Net

-

-

6- Provision for Investment Risk Life Insurance Policyholders' Policies - Net

-

-

7- Other Technical Reserves - Net

-

-

F- Taxes and Other Liabilities and Provisions

139.747.138

89.127.409

1- Taxes and Dues Payable

48.053.973

45.831.090

2- Social Security Premiums Payable

11.663.263

6.198.303

3- Overdue, Deferred or By Installment Taxes and Other Liabilities

-

-

4- Other Taxes and Liabilities

-

-

5- Corporate Tax Provision on Period Profit

35

232.693.785

169.773.460

6- Advance Taxes and Other Liabilities on Period Profit (-)

35

(152.663.883)

(132.675.444)

7- Provisions for Other Taxes and Liabilities

-

-

G- Provisions for Other Risks

23.2

105.100.309

59.556.984

1- Provision for Employee Termination Benefits

-

-

2- Pension Fund Deficit Provision

-

-

3- Provisions for Costs

23.2

105.100.309

59.556.984

H- Deferred Income and Expense Accruals

19

115.136.579

24.968.148

1- Deferred Income

2.20, 19

2.960.329

1.818.460

2- Expense Accruals

19

112.174.195

23.147.633

3- Other Deferred Income and Expense Accruals

19

2.055

2.055

I- Other Short Term Liabilities

23.2

9.530.061

6.675.369

1- Deferred Tax Liability

-

-

2- Inventory Count Differences

-

-

3- Other Short Term Liabilities

23.2

9.530.061

6.675.369

III - Total Short Term Liabilities

1.409.764.046

914.064.665

3

AgeSA Hayat ve Emeklilik Anonim Şirketi

CONSOLIDATED BALANCE SHEET AS OF 30 SEPTEMBER 2022 (Amounts expressed in Turkish Lira (TL) unless otherwise stated).

LIABILITIES

Reviewed

Audited

Current Period

Previous Period

IV- LONG TERM LIABILITIES

Notes

30 September 2022

31 December 2021

A- Borrowings

20

20.015.156

26.704.181

1- Borrowings From Financial Institutions

-

-

2- Finance Lease Payables

20

37.015.378

47.108.822

3- Deferred Finance Lease Costs (-)

20

(17.000.222)

(20.404.641)

4- Bonds Issued

-

-

5- Other Financial Instruments Issued

-

-

6- In Excess of Par of Financial Instruments (-)

-

-

7- Other Borrowings (Financial Liabilities)

-

-

B- Payables From Main Operations

4, 17.5,17.6,

60.540.566.516

43.444.431.495

19

1- Payables From Insurance Operations

-

-

2- Payables From Reinsurance Operations

-

-

3- Cash Deposited by Insurance & Reinsurance Companies

-

-

4- Payables From Pension Operations

4, 17.5, 17.6,

60.540.566.516

43.444.431.495

19

5- Payables From Other Operations

-

-

6- Discount on Other Payables From Main Operations (-)

-

-

C- Due to Related Parties

-

-

1- Due to Shareholders

-

-

2- Due to Affiliates

-

-

3- Due to Subsidiaries

-

-

4- Due to Entities Under Common Control

-

-

5- Due to Personnel

-

-

6- Due to Other Related Parties

-

-

D- Other Payables

-

-

1- Guarantees and Deposits Received

-

-

2- Medical Treatment Payables to Social Security Institution

-

-

3- Other Payables

-

-

4- Discount on Other Payables (-)

-

-

E- Insurance Technical Reserves

17.15

7.790.096.179

4.913.859.936

1- Unearned Premiums Reserve - Net

-

-

2- Unexpired Risk Reserves - Net

-

-

3- Life Mathematical Reserves - Net

17.15

7.730.948.653

4.861.842.787

4- Outstanding Claims Reserve - Net

-

-

5- Provision for Bonus and Discounts - Net

-

-

6- Provision for Investment Risk Life Insurance Policyholders' Policies - Net

-

-

7- Other Technical Reserves - Net

2.20,17.15

59.147.526

52.017.149

F- Other Liabilities and Provisions

14.177.062

13.129.475

1- Other Liabilities

-

-

2- Overdue, Deferred or By Installment Other Liabilities

-

-

3- Other Liabilities and Expense Accruals

14.177.062

13.129.475

G- Provisions for Other Risks

22

62.183.605

30.976.095

1- Provision for Employee Termination Benefits

22

62.183.605

30.976.095

2- Provisions for Employee Pension Fund Deficits

-

-

H- Deferred Income and Expense Accruals

-

-

1- Deferred Income

-

-

2- Expense Accruals

-

-

3- Other Deferred Income and Expense Accruals

-

-

I- Other Long Term Liabilities

-

-

1- Deferred Tax Liability

-

-

2- Other Long Term Liabilities

-

-

IV- Total Long Term Liabilities

68.427.038.518

48.429.101.182

4

AgeSA Hayat ve Emeklilik Anonim Şirketi

CONSOLIDATED BALANCE SHEET AS OF 30 SEPTEMBER 2022 (Amounts expressed in Turkish Lira (TL) unless otherwise stated).

SHAREHOLDERS' EQUITY

Reviewed

Audited

Current Period

Previous Period

V- SHAREHOLDERS' EQUITY

Notes

30 September 2022

31 December 2021

A- Paid in Capital

2.13,15.3

180.000.000

180.000.000

1- (Nominal) Capital

2.13,15.3

180.000.000

180.000.000

2- Unpaid Capital (-)

-

-

3- Positive Capital Restatement Differences

-

-

4- Negative Capital Restatement Differences (-)

-

-

5-Capital to be registered

-

-

B- Capital Reserves

15.2

837.095

837.095

1- Equity Share Premiums

-

-

2- Cancellation Profits of Equity Shares

-

-

3- Gain on Sale of Assets to be Transferred to Capital

-

-

4- Translation Reserves

-

-

5- Other Capital Reserves

15.2

837.095

837.095

C- Profit Reserves

586.063.207

260.378.594

1- Legal Reserves

15.2

95.539.901

95.539.901

2- Statutory Reserves

15.2

11.494

11.494

3- Extraordinary Reserves

15.2

681.581.497

229.767.946

4- Special Funds (Reserves)

-

-

5- Valuation of Financial Assets

15.2

(147.428.492)

(44.638.573)

6- Other Profit Reserves

15.2

(43.641.193)

(20.302.174)

D- Retained Earning

-

-

1- Retained Earnings

-

-

E- Previous Years' Losses (-)

-

-

1- Previous Years' Losses

-

-

F- Net Profit of the Period

668.740.808

451.813.551

1- Net Profit of the Period

668.740.808

451.813.551

2- Net Loss of the Period

-

-

3- Net Profit of the Period not Subject to Distribution

-

-

Total Shareholders' Equity

1.435.641.110

893.029.240

Total Liabilities and Shareholders' Equity (III+IV+V)

71.272.443.674

50.236.195.087

5

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Agesa Hayat ve Emeklilik AS published this content on 30 October 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 31 October 2022 09:29:07 UTC.