(Convenience translation into English of independent auditor's review report and interim condensed consolidated financial statements originally issued in Turkish)

Polisan Holding A.Ş.

January 1 - June 30, 2023 interim condensed consolidated financial statements together with independent auditor's review report

(Convenience translation to English of auditor's review report originally issued in Turkish)

CONTENTS

PAGES

REVIEW REPORT ON THE INTERIM CONDENSED FINANCIAL INFORMATION

1-2

INTERIM CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION

3-4

INTERIM CONDENSED CONSOLIDATED STATEMENT OF PROFIT OR LOSS

5

INTERIM CONDENSED CONSOLIDATED STATEMENT OF OTHER COMPREHENSIVE INCOME

6

INTERIM CONDENSED CONSOLIDATED STATEMENT OF CHANGES IN SHAREHOLDERS' EQUITY

7

INTERIM CONDENSED CONSOLIDATED STATEMENT OF CASH FLOWS

8

NOTES TO THE INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

9-49

NOTE 1

GROUP'S ORGANISATION AND NATURE OF OPERATIONS

9-10

NOTE 2

BASIS OF PRESENTATION OF CONSOLİDATED FINANCIAL STATEMENTS

11-15

NOTE 3

SEGMENT REPORTING

15-19

NOTE 4

CASH AND CASH EQUIVALENTS

20

NOTE 5

FINANCIAL INVESTMENTS

20

NOTE 6

FINANCIAL BORROWINGS

21-22

NOTE 7

TRADE RECEIVABLES AND PAYABLES

22-23

NOTE 8

OTHER RECEIVABLES AND PAYABLES

24

NOTE 9

INVENTORIES

24

NOTE 10

PREPAID EXPENSES AND DEFERRED INCOME

25

NOTE 11

CURRENT INCOME TAX ASSETS

25

NOTE 12

INVESTMENTS ACCOUNTED USING THE EQUITY METHOD

26-27

NOTE 13

INVESTMENT PROPERTIES

28

NOTE 14

RIGHT OF USE ASSETS

28-29

NOTE 15

PROPERTY, PLANT AND EQUIPMENT

29

NOTE 16

INTANGIBLE ASSETS

30

NOTE 17

ASSETS HELD FOR SALE

30-31

NOTE 18

PROVISIONS FOR EMPLOYEE BENEFITS, CONTINGENT ASSETS AND LIABILITIES

31-33

NOTE 19

EMPLOYEE BENEFITS

33-34

NOTE 20

OTHER ASSETS AND LIABILITIES

35

NOTE 21

CAPITAL, RESERVES AND OTHER EQUITY ITEMS

35-36

NOTE 22

SALES AND COST OF SALES

37

NOTE 23

EXPENSES BY NATURE

38

NOTE 24

OTHER INCOME AND EXPENSES FROM OPERATIONS

38

NOTE 25

INCOME AND EXPENSES FROM INVESTMENT ACTIVITIES

39

NOTE 26

FINANCIAL INCOME AND EXPENSES

39

NOTE 27

TAXES ON INCOME

40-43

NOTE 28

EARNINGS PER SHARE

44

NOTE 29

RELATED PARTY DISCLOSURES

44-45

NOTE 30

NATURE AND LEVEL OF RISK DERIVED FROM FINANCIAL INSTRUMENTS

46-48

NOTE 31

FINANCIAL INSTRUMENTS

49

NOTE 32

OTHER MATTERS

49

NOTE 33

SUBSEQUENT EVENTS

49

(Convenience translation of a report and condensed consolidated financial statements originally issued in Turkish)

Polisan Holding A.Ş.

Interim condensed consolidated statement of financial position as of June 30, 2023

(Amounts expressed in Turkish Lira ("TL") unless otherwise indicated.)

Current period

Prior period

Reviewed

Audited

June 30,

December 31,

Assets

Notes

2023

2022

Current assets

2.016.128.824

1.949.989.723

Cash and cash equivalents

4

314.874.690

475.142.944

Financial investments

5

-

64.819.730

Trade receivables

7

1.003.771.476

765.114.968

- Trade receivables from related parties

28

42.552.508

33.411.027

- Trade receivables from third parties

961.218.968

731.703.941

Other receivables

8

64.530.674

26.769.069

- Other receivables from third parties

64.530.674

26.769.069

Inventories

9

516.448.982

534.728.068

Prepaid expenses

10

42.585.763

17.673.101

Current income tax assets

11

2.291.366

3.214.037

Other current assets

19

71.625.873

62.527.806

Non-current assets

4.103.990.141

3.882.341.288

Other receivables

8

1.014.390

932.996

- Other receivables from third parties

1.014.390

932.996

Investments accounted using the equity method

12

619.223.911

636.067.190

Investment properties

13

1.366.304.000

1.386.089.000

Property plant and equipment

15

1.581.466.219

1.432.302.104

Right of use assets

14

80.420.191

78.830.188

Intangible assets

16

3.970.768

3.070.587

Prepaid expenses

10

41.656.436

40.839.493

Deferred tax assets

26

409.934.226

304.209.730

Total assets

6.120.118.965

5.832.331.011

1

(Convenience translation of a report and condensed consolidated financial statements originally issued in Turkish)

Polisan Holding A.Ş.

Interim condensed consolidated statement of financial position as of June 30, 2023

(Amounts expressed in Turkish Lira ("TL") unless otherwise indicated.)

Current period

Prior period

Reviewed

Audited

June 30,

December 31,

Liabilities

Notes

2023

2022

Current liabilities

2.050.888.658

1.576.292.331

Short term borrowings

6

272.956.631

176.953.872

Short term portion of long-term borrowings

6

365.915.151

306.024.554

Derivative financial borrowing

24

474.667

-

Trade payables

7

1.278.047.273

965.516.336

- Trade payables to related parties

28

1.136.546

116.193

- Trade payables to third parties

1.276.910.727

965.400.143

Employee benefit obligations

18

19.494.058

14.158.752

Other payables

8

20.608.067

8.680.246

- Other payables to related parties

698.322

170.527

- Other payables to third parties

19.909.745

8.509.719

Deferred income

10

13.589.515

10.990.356

Current income tax liabilities

47.965.588

36.694.099

Provisions, contingent assets and liabilities

17

11.083.195

27.315.078

- Provisions for employee termination benefits

9.997.839

24.759.205

- Other short-term provisions

1.085.356

2.555.873

Other current liabilities

19

20.754.513

29.959.038

Non-current liabilities

354.704.867

330.487.043

Long term borrowings

6

240.452.277

265.453.381

Long term provisions

18

39.625.902

31.134.272

- Provisions for employee termination benefits

39.625.902

31.134.272

Deferred tax liabilities

26

74.626.688

33.899.390

Equity

3.714.525.440

3.925.551.637

Equity holders of the parent

3.714.525.440

3.925.551.637

Paid-in share capital

20

758.500.000

758.500.000

Adjustment to share capital

20

1.467.266

1.467.266

Share premium/discounts

34.167.703

34.167.703

Other comprehensive income/expense not to be

reclassified to profit or loss

695.072.959

715.506.254

- Revaluation and measurement gain

695.072.959

715.506.254

Defined benefit plans re-measurement loss

(70.144.082)

(49.710.787)

Tangible assets revaluation

765.217.041

765.217.041

Other comprehensive income or expense to be reclassified

to profit/(loss)

(28.007.287)

(33.477.120)

- Currency translation differences

(28.007.287)

(30.356.457)

-Cash flow hedging losses

-

(3.120.663)

Restricted reserves

85.815.261

62.528.345

Other reserves

20

(208.727.832)

(208.727.832)

Retained earnings

2.272.300.105

963.846.745

Profit for the period

103.937.265

1.631.740.276

Total liabilities and equity

6.120.118.965

5.832.331.011

2

(Convenience translation of a report and condensed consolidated financial statements originally issued in Turkish)

Polisan Holding A.Ş.

Interim condensed consolidated statement of profit or loss between the period January 1 - June 30, 2023

(Amounts expressed in Turkish Lira ("TL") unless otherwise indicated.)

Reviewed

Reviewed

January 1-

January 1-

April 1-

April 1-

Notes

June 30, 2023

June 30, 2022

June 30, 2023

June 30, 2022

Profit and loss

Sales

21

2.172.395.497

1.963.320.023

1.142.646.162

1.137.228.419

Cost of sales (-)

21

(1.823.170.144) (1.535.343.448)

(887.980.836)

(885.243.142)

Gross profit from commercial activities

349.225.353

427.976.575

254.665.326

251.985.277

General and administrative expenses (-)

(138.855.035)

(73.823.401)

(67.071.065)

(42.902.930)

Marketing expenses (-)

(19.325.574)

(9.888.441)

(9.887.923)

(5.073.795)

Research and development expenses (-)

(11.148.260)

(5.815.788)

(4.265.765)

(3.099.649)

Other operating income

23

74.780.799

70.599.364

52.580.674

37.482.818

Other operating expenses (-)

23

(135.883.744)

(80.908.826)

(123.239.495)

(44.225.742)

Profit/(loss) from investments accounted using the

12

(27.094.751)

38.759.998

(26.856.743)

16.767.879

equity method

Operating profit

91.698.788

366.899.481

75.925.009

210.933.858

Income from investment activities

24

44.218.495

48.983.489

20.549.088

34.388.750

Expense from investment activities (-)

24

(527.023)

(4.620)

(524.817)

-

Operating profit before financial income

135.390.260

415.878.350

95.949.280

245.322.608

Financial income

25

80.189.801

28.701.462

57.418.446

7.393.350

Financial expenses (-)

25

(135.809.128)

(91.443.150)

(91.965.165)

(47.206.525)

Pre-tax profit from continuing operations

79.770.933

353.136.662

61.402.561

205.509.433

Continuing operations tax income/expense

- Current tax expense

26

(37.368.277)

(30.462.733)

(29.252.034)

(15.210.800)

- Deferred tax income/expense

26

61.534.609

(5.637.780)

59.973.780

(4.489.062)

Profit of continuing operations for the period

103.937.265

317.036.149

92.124.307

185.809.571

Profit for the period

103.937.265

317.036.149

92.124.307

185.809.571

Attributable to:

Non-controlling interests

-

-

-

-

Equity holders of the parent

27

103.937.265

317.036.149

92.124.307

185.809.571

Earnings per share

27

0,137

0,418

0,121

0,245

-Earnings per share for continuing operations

0,137

0,418

0,121

0,245

3

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Disclaimer

Polisan Holding AS published this content on 04 August 2023 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 07 August 2023 07:56:09 UTC.