TÜRKİYE HALK BANKASI A.Ş. BANK ONLY BALANCE SHEET (FINANCIAL POSITION TABLE)

TURKISH LIRA

ASSETS

31.12.2022

TRY

FC

TOTAL

I.

FINANCIAL ASSETS (NET)

129.001.375.256,90

173.538.836.796,85

302.540.212.053,75

1.1

Cash and Cash Equivalents

33.526.578.827,05

132.587.288.089,21

166.113.866.916,26

1.1.1

Cash and Balances with Central Bank

31.834.643.960,20

127.159.631.326,63

158.994.275.286,83

1.1.2

Banks

1.749.472.959,97

5.427.656.762,58

7.177.129.722,55

1.1.3

Money Markets

-

-

-

1.1.4

Expected Loss Provision (-)

57.538.093,12

57.538.093,12

1.2

Financial Assets at Fair Value Through Profit or Loss

33.996.978.945,00

133.750.555,00

34.130.729.500,00

1.2.1

Government Debt Securities

33.948.807.134,00

922.762,00

33.949.729.896,00

1.2.2

Equity Instruments

-

-

-

1.2.3

Other Financial Assets

48.171.811,00

132.827.793,00

180.999.604,00

1.3

Financial Assets at Fair Value Through Other Comprehensive Income

61.158.143.478,97

37.902.281.676,15

99.060.425.155,12

1.3.1

Government Debt Securities

59.787.086.013,00

37.459.799.506,00

97.246.885.519,00

1.3.2

Equity Instruments

843.654.312,97

442.482.170,15

1.286.136.483,12

1.3.3

Other Financial Assets

527.403.153,00

-

527.403.153,00

1.4

Derivative Financial Assets

319.674.005,88

2.915.516.476,49

3.235.190.482,37

1.4.1

Derivative Financial Assets at Fair Value Through Profit or Loss

319.674.005,88

2.915.516.476,49

3.235.190.482,37

1.4.2

Derivative Financial Assets at Fair Value Through Other Comprehensive Income

-

-

-

II.

FINANCIAL ASSETS MEASURED AT AMORTISED COST(Net)

779.661.282.499,96

250.604.260.739,33

1.030.265.543.239,29

2.1

Loans

666.016.810.709,09

176.600.716.796,33

842.617.527.505,42

2.2

Lease Receivables

-

-

-

2.3

Factoring Receivables

-

-

-

2.4

Other Financial Assets Measured at Amortised Cost

166.986.452.406,00

74.003.543.943,00

240.989.996.349,00

2.4.1

Government Debt Securities

164.526.640.435,00

74.003.543.943,00

238.530.184.378,00

2.4.2

Other Financial Assets

2.459.811.971,00

-

2.459.811.971,00

2.5

Expected Credit Loss (-)

53.341.980.615,13

-

53.341.980.615,13

III.

NON CURRENT ASSETS HELD FOR SALE AND DISCONTINUED OPERATIONS (NET)

-

-

-

3.1

Held for Sale

-

-

-

3.2

Discontinued Operations

-

-

-

IV.

EQUITY INVESTMENTS

10.492.662.118,64

9.214.094.919,06

19.706.757.037,70

4.1

Investments in Associates (Net)

152.016.266,43

1.612.920.600,00

1.764.936.866,43

4.1.1

Associates Valued Based on Equity Method

-

-

-

4.1.2

Unconsolidated Associates

152.016.266,43

1.612.920.600,00

1.764.936.866,43

4.2

Subsidiaries (Net)

10.340.645.852,21

7.601.174.319,06

17.941.820.171,27

4.2.1

Unconsolidated Financial Subsidiaries

10.240.301.177,95

7.601.174.319,06

17.841.475.497,01

4.2.2

Unconsolidated Non- Financial Subsidiaries

100.344.674,26

-

100.344.674,26

4.3

Joint Ventures (Net)

-

-

-

4.3.1

Joint Ventures Valued Based on Equity Method

-

-

-

4.3.2

Unconsolidated Joint Ventures

-

-

-

V.

PROPERTY AND EQUIPMENT (Net)

12.067.835.043,98

608.710,07

12.068.443.754,05

VI.

INTANGIBLE ASSETS (Net)

574.468.302,11

-

574.468.302,11

6.1

Goodwill

-

-

-

6.2

Other

574.468.302,11

-

574.468.302,11

VII.

INVESTMENT PROPERTIES (Net)

360.055.755,87

-

360.055.755,87

VIII.

CURRENT TAX ASSET

-

-

-

IX.

DEFERRED TAX ASSET

8.437.719.008,22

-

8.437.719.008,22

X.

OTHER ASSETS (Net)

17.299.340.508,36

887.634.490,42

18.186.974.998,78

TOTAL ASSETS

957.894.738.494,04

434.245.435.655,73

1.392.140.174.149,77

TÜRKİYE HALK BANKASI A.Ş. BANK ONLY BALANCE SHEET (FINANCIAL POSITION TABLE)

TURKISH LIRA

LIABILITIES

31.12.2022

TRY

FC

TOTAL

I.

DEPOSITS

567.603.074.604,11

493.319.456.130,10

1.060.922.530.734,21

II.

FUNDS BORROWED

180.267.469,56

13.241.795.535,89

13.422.063.005,45

III.

MONEY MARKETS

94.101.599.856,27

8.057.568.449,41

102.159.168.305,68

IV.

SECURITIES ISSUED (Net)

8.976.076.610,01

-

8.976.076.610,01

4.1

Bills

7.107.043.838,95

-

7.107.043.838,95

4.2

Assets Backed Securities

1.011.621.849,92

-

1.011.621.849,92

4.3

Bonds

857.410.921,14

-

857.410.921,14

V.

FUNDS

237.541.723,91

-

237.541.723,91

5.1

Borrower Funds

-

-

-

5.2

Other

237.541.723,91

-

237.541.723,91

VI.

FINANCIAL LIABILITIES AT FAIR VALUE THROUGH PROFIT OR LOSS

-

-

-

VII.

DERIVATIVE FINANCIAL LIABILITIES

-

823.543.453,72

823.543.453,72

7.1

Derivative Financial Liabilities at Fair Value Through Profit or Loss

-

823.543.453,72

823.543.453,72

7.2

Derivative Financial Liabilities at Fair Value Through Other Comprehensive Income

-

-

-

VIII.

FACTORING LIABILITIES

-

-

-

IX.

LEASE LIABILITIES

1.275.326.035,52

3.163.136,17

1.278.489.171,69

X.

PROVISIONS

8.717.352.974,60

-

8.717.352.974,60

10.1

Restructuring Provisions

-

-

-

10.2

Reserve for Employee Benefits

5.285.505.929,73

-

5.285.505.929,73

10.3

Insurance for Technical Provision (Net)

-

-

-

10.4

Other Provisions

3.431.847.044,87

-

3.431.847.044,87

XI.

CURRENT TAX LIABILITY

9.468.573.109,84

526.870,96

9.469.099.980,80

XII.

DEFERRED TAX LIABILITIES

-

-

-

XIII.

NON CURRENT LIABILITIES HELD FOR SALE AND DISCONTINUED OPERATIONS (Net)

-

-

-

13.1

Held for Sale

-

-

-

13.2

Discontinued Operations

-

-

-

XIV.

SUBORDINATED DEBT INSTRUMENTS

6.041.809.118,03

21.173.452.016,63

27.215.261.134,66

14.1

Loans

-

21.173.452.016,63

21.173.452.016,63

14.2

Other Debt Instruments

6.041.809.118,03

-

6.041.809.118,03

XV.

OTHER LIABILITIES

64.721.368.107,27

4.354.060.914,59

69.075.429.021,86

XVI.

SHAREHOLDERS' EQUITY

88.073.481.040,66

1.770.136.992,52

89.843.618.033,18

16.1

Paid-in Capital

4.969.120.730,29

-

4.969.120.730,29

16.2

Capital Reserves

17.683.890.498,36

395.076.000,74

18.078.966.499,10

16.2.1

Share Premium

16.680.879.269,71

-

16.680.879.269,71

16.2.2

Share Cancellation Profits

-

-

-

16.2.3

Other Capital Reserves

1.003.011.228,65

395.076.000,74

1.398.087.229,39

16.3

Accumulated Other Comprehensive Income or Loss Not Reclassified Through Profit or Loss

12.580.025.601,73

1.833.570.421,63

14.413.596.023,36

16.4

Accumulated Other Comprehensive Income or Loss Reclassified Through Profit or Loss

8.556.841.017,25

-

458.509.429,85

8.098.331.587,40

16.5

Profit Reserves

29.529.707.666,47

-

29.529.707.666,47

16.5.1

Legal Reserves

2.696.610.980,57

-

2.696.610.980,57

16.5.2

Status Reserves

-

-

-

16.5.3

Extraordinary Reserves

26.785.915.685,90

-

26.785.915.685,90

16.5.4

Other Profit Reserves

47.181.000,00

-

47.181.000,00

16.6

Income or (Loss)

14.753.895.526,56

-

14.753.895.526,56

16.6.1

Prior Periods' Income or (Loss)

-

-

16.6.2

Current Period Income or (Loss)

14.753.895.526,56

14.753.895.526,56

16.7

Minority Shares

-

TOTAL LIABILITIES

849.396.470.649,78

542.743.703.499,99

1.392.140.174.149,77

TÜRKİYE HALK BANKASI A.Ş. BANK ONLY OFF BALANCE SHEET COMMITMENTS

TURKISH LIRA

OFF-BALANCE SHEET

31.12.2022

TRY

FC

TOTAL

A.

COMMITMENTS AND CONTINGENCIES (I+II+III)

415.654.378.745,49

358.192.812.376,66

773.847.191.122,15

I.

GUARANTEES AND WARRANTIES

203.985.739.504,72

111.200.707.311,07

315.186.446.815,79

1.1.

Letters of guarantee

168.666.023.906,16

100.393.231.697,82

269.059.255.603,98

1.1.1.

Guarantees subject to public procurement law

6.914.094.867,99

13.846.313.667,68

20.760.408.535,67

1.1.2.

Guarantees given for foreign trade operations

260.007.846,43

26.715.103.783,24

26.975.111.629,67

1.1.3.

Other letters of guarantee

161.491.921.191,74

59.831.814.246,90

221.323.735.438,64

1.2.

Bank loans

18.466.649.564,47

5.161.611.105,28

23.628.260.669,75

1.2.1.

Import acceptances

-

486.033.147,89

486.033.147,89

1.2.2.

Other bank acceptances

18.466.649.564,47

4.675.577.957,39

23.142.227.521,86

1.3.

Letters of credit

53.359.792,90

5.625.245.312,28

5.678.605.105,18

1.3.1.

Documentary letters of credit

53.359.792,90

5.625.245.312,28

5.678.605.105,18

1.3.2.

Other letters of credit

-

-

-

1.4.

Guaranteed refinancing

-

-

-

1.5.

Endorsements

-

-

-

1.5.1.

Endorsements to Central Bank of the Republic of Turkey

-

-

-

1.5.2.

Other Endorsements

-

-

-

1.6.

Purchase guarantees on marketable security issuance

-

-

-

1.7.

Factoring guarantees

-

-

-

1.8.

Other guarantees

16.799.706.241,19

20.619.195,69

16.820.325.436,88

1.9.

Other sureties

-

-

-

II.

COMMITMENTS

85.805.724.848,19

23.652.090.987,27

109.457.815.835,46

2.1.

Irrevocable commitments

82.028.145.035,98

17.738.854.248,95

99.766.999.284,93

2.1.1.

Forward asset purchase commitments

13.574.405.720,00

16.245.409.248,95

29.819.814.968,95

2.1.2.

Forward deposit purchase and sale commitments

-

-

-

2.1.3.

Capital commitments to subsidiaries and associates

-

-

-

2.1.4.

Loan granting commitments

16.557.370.347,01

1.493.445.000,00

18.050.815.347,01

2.1.5.

Securities underwriting commitments

-

-

-

2.1.6.

Payment commitments for reserve deposits

-

-

-

2.1.7.

Payment commitments for Cheques

9.705.676.578,07

-

9.705.676.578,07

2.1.8.

Tax and fund liabilities from export commitments

163.349.267,61

-

163.349.267,61

2.1.9.

Commitments for credit card expenditure limits

34.608.888.839,24

-

34.608.888.839,24

2.1.10.

Commitments for credit cards and banking services promotions

24.390.948,79

-

24.390.948,79

2.1.11.

Receivables from short sale commitments

-

-

-

2.1.12.

Payables for short sale commitments

-

-

-

2.1.13.

Other irrevocable commitments

7.394.063.335,26

-

7.394.063.335,26

2.2.

Revocable commitments

3.777.579.812,21

5.913.236.738,32

9.690.816.550,53

2.2.1.

Revocable loan granting commitments

-

-

-

2.2.2.

Other revocable commitments

3.777.579.812,21

5.913.236.738,32

9.690.816.550,53

III.

DERIVATIVE FINANCIAL INSTRUMENTS

125.862.914.392,58

223.340.014.078,32

349.202.928.470,90

3.1.

Derivative financial instruments held for risk management

-

-

-

3.1.1.

Fair value risk hedging transactions

-

-

-

3.1.2.

Cash flow risk hedging transactions

-

-

-

3.1.3.

Net foreign investment risk hedging transactions

-

-

-

3.2.

Transactions for trading

125.862.914.392,58

223.340.014.078,32

349.202.928.470,90

3.2.1.

Forward foreign currency buy/sell transactions

540.243.250,00

10.809.668.818,93

11.349.912.068,93

3.2.1.1.

Forward foreign currency transactions-buy

481.250.000,00

7.277.955.282,83

7.759.205.282,83

3.2.1.2.

Forward foreign currency transactions-sell

58.993.250,00

3.531.713.536,10

3.590.706.786,10

3.2.2.

Currency and interest rate swaps

113.069.406.252,81

168.543.714.578,87

281.613.120.831,68

3.2.2.1.

Currency swap-buy

-

100.374.575.468,68

100.374.575.468,68

3.2.2.2.

Currency swap-sell

112.749.406.252,81

9.861.251.643,93

122.610.657.896,74

3.2.2.3.

Interest rate swap-buy

160.000.000,00

29.153.943.733,13

29.313.943.733,13

3.2.2.4.

Interest Rate swap-sell

160.000.000,00

29.153.943.733,13

29.313.943.733,13

3.2.3.

Currency, interest rate and marketable securities options

11.743.834.678,27

13.195.106.493,31

24.938.941.171,58

3.2.3.1.

Currency call options

6.189.963.172,15

6.289.150.270,07

12.479.113.442,22

3.2.3.2.

Currency put options

5.553.871.506,12

6.905.956.223,24

12.459.827.729,36

3.2.3.3.

Interest rate call options

-

-

-

3.2.3.4.

Interest rate put options

-

-

-

3.2.3.5.

Marketable securities call options

-

-

-

3.2.3.6.

Marketable securities put options

-

-

-

3.2.4.

Currency futures

509.430.211,50

408.321.120,00

917.751.331,50

3.2.4.1.

Currency futures-buy

37.953.937,90

372.896.000,00

410.849.937,90

3.2.4.2.

Currency futures-sell

471.476.273,60

35.425.120,00

506.901.393,60

3.2.5.

Interest rate buy/sell futures

-

-

-

3.2.5.1.

Interest rate futures-buy

-

-

-

3.2.5.2.

Interest rate futures-sell

-

-

-

3.2.6.

Other

-

30.383.203.067,21

30.383.203.067,21

B.

CUSTODY AND PLEDGED ASSETS (IV+V+VI)

3.548.608.487.782,84

1.157.275.339.081,85

4.705.883.826.864,69

IV.

CUSTODIES

1.368.688.541.552,33

147.968.760.969,66

1.516.657.302.521,99

4.1.

Assets under management

4.2.

Custody marketable securities

169.310.139.602,42

12.803.462.433,08

182.113.602.035,50

4.3.

Cheques in collection process

80.276.996.870,41

88.845.313.731,77

169.122.310.602,18

4.4.

Commercial notes in collection process

1.068.266.794.510,91

24.536.791.205,79

1.092.803.585.716,70

4.5.

Other assets in collection process

-

-

-

4.6.

Underwritten securities

-

-

-

4.7.

Other custodies

709.081.074,67

14.737.062,61

723.818.137,28

4.8.

Custodians

50.125.529.493,92

21.768.456.536,41

71.893.986.030,33

V.

PLEDGED ASSETS

2.179.919.946.230,51

1.009.306.578.112,19

3.189.226.524.342,70

5.1.

Marketable securities

10.316.834.001,16

2.202.425.179,28

12.519.259.180,44

5.2.

Collateral notes

40.176.583.927,52

1.945.380.262,18

42.121.964.189,70

5.3.

Commodity

25.812.475,57

-

25.812.475,57

5.4.

Warranty

-

-

-

5.5.

Land and buildings

1.733.386.898.646,31

734.152.394.188,73

2.467.539.292.835,04

5.6.

Other pledged assets

269.193.018.485,11

182.899.221.542,52

452.092.240.027,63

5.7.

Pledges

126.820.798.694,84

88.107.156.939,48

214.927.955.634,32

VI.

ACCEPTED BILL GUARANTEES AND SURETIES

-

-

-

TOTAL OFF-BALANCE SHEET ACCOUNTS (A+B)

3.964.262.866.528,33

1.515.468.151.458,51

5.479.731.017.986,84

TÜRKİYE HALK BANKASI A.Ş. BANK ONLY INCOME STATEMENT

INCOME AND EXPENSES

TURKISH LIRA

31.12.2022

I.

INTEREST INCOME

153.973.729.457,84

1.1

Interest on Loans

85.604.042.292,25

1.2

Interest on Reserve Requirements

5.154.259,67

1.3

Interest on Banks

535.284.136,65

1.4

Interest on Money Market Transactions

-

1.5

Interest on Marketable Securities Portfolio

67.542.320.143,42

1.5.1

Fair Value Through Profit or Loss

12.589.380,15

1.5.2

Fair Value Through Other Comprehensive Income

14.217.542.505,17

1.5.3

Measured at Amortized Cost

53.312.188.258,10

1.6

Financial Lease Interest Income

-

1.7

Other Interest Income

286.928.625,85

II.

INTEREST EXPENSE (-)

85.728.561.339,22

2.1

Interest on Deposits

64.459.526.504,29

2.2

Interest on Funds Borrowed

358.199.332,53

2.3

Interest Expense on Money Market Transactions

15.784.596.984,42

2.4

Interest on Securities Issued

3.700.719.028,63

2.5

Interest on Leases

148.958.479,78

2.6

Other Interest Expenses

1.276.561.009,57

III.

NET INTEREST INCOME (I - II)

68.245.168.118,62

IV.

NET FEES AND COMMISSIONS INCOME

8.461.948.558,21

4.1

Fees and Commissions Received

11.691.781.515,85

4.1.1

Non - cash Loans

2.653.563.972,69

4.1.2

Other

9.038.217.543,16

4.2

Fees and Commissions Paid (-)

3.229.832.957,64

4.2.1

Non - cash Loans

169.402,99

4.2.2

Other

3.229.663.554,65

V.

DIVIDEND INCOME

426.209.137,14

VI.

TRADING INCOME / LOSS (Net)

-

5.875.999.734,75

6.1

Trading Gains / (Losses) on Securities

205.160.468,47

6.2

Gains / (Losses) on Derivate Financial Transactions

7.832.809.292,73

6.3

Foreign Exchange Gains / (Losses)

-

13.913.969.495,95

VII.

OTHER OPERATING INCOME

3.573.124.403,36

VIII.

GROSS OPERATING INCOME (III+IV+V+VI+VII+VIII)

74.830.450.482,58

IX.

EXPECTED LOSS PROVISIONS (-)

36.785.104.493,60

X.

OTHER PROVISION EXPENSES (-)

185.113.432,01

XI.

PERSONNEL EXPENSE (-)

8.220.695.324,15

XII.

OTHER OPERATING EXPENSES (-)

9.495.283.507,80

XIII.

NET OPERATING INCOME /LOSS (IX-X-XI)

20.144.253.725,02

XIV.

INCOME AFTER MERGER

-

XV.

INCOME /( LOSS ) FROM INVESTMENTS IN SUBSIDIARIES CONSOLIDATED BASED ON EQUITY METHOD

-

XVI.

INCOME / (LOSS) ON NET MONETARY POSITION

-

XVII.

PROFIT / LOSS BEFORE TAX FROM CONTINUED OPERATIONS (XIII+...+XVI)

20.144.253.725,02

XVIII.

TAX PROVISIONS FOR CONTINUED OPERATIONS (±)

-

5.390.358.198,46

18.1

Current Tax Provision

16.734.654.003,63

18.2

Deferred Tax Income Effect (+)

5.594.165.314,28

18.3

Deferred Tax Expense Effect (-)

16.938.461.119,45

XIX.

CURRENT PERIOD PROFIT / LOSS FROM CONTINUED OPERATIONS (XVII±XVIII)

14.753.895.526,56

XX.

INCOME FROM DISCONTUNIUED OPERATIONS

-

20.1

Income from Non-Current Assets Held for Sale

-

20.2

Profit from Sales of Associates, Subsidiaries and Joint Ventures

-

20.3

Income from Other Discontinued Operations

-

XXI.

EXPENSES FOR DISCONTINUED OPERATIONS (-)

-

21.1

Expenses for Non-current Assets Held for Sale

-

21.2

Loss from Sales of Associates, Subsidiaries and Joint Ventures

-

21.3

Expenses for Other Discontinued Operations

-

XXII.

PROFIT/LOSS BEFORE TAX FROM DISCONTINUED OPERATIONS (IXX-XX)

-

XXIII.

TAX PROVISION FOR DISCONTINUED OPERATIONS (±)

-

23.1

Current Tax Provision

-

23.2

Deferred Tax Expense Effect (+)

-

23.3

Deferred Tax Income Effect (-)

-

XXIV.

PROFIT/LOSS BEFORE TAX FROM DISCONTINUED OPERATIONS (XIX±XXII)

-

XXV.

NET PROFIT/(LOSS) (XVIII+XXIII)

14.753.895.526,56

25.1

Profit / (Loss) of Group

14.753.895.526,56

25.2

Profit / (Loss) of Minority Shares (-)

-

Profit / (Loss) Per Share (full TRY)

3,29556919

TÜRKİYE HALK BANKASI A.Ş. BANK ONLY STATEMENT OF CHANGES IN SHAREHOLDERS' EQUITY

Accumulated Other Comprehensive Income

Accumulated Other Comprehensive Income

or Expense Not Reclassified through Profit or Loss

or Expense Reclassified through Profit or Loss

Share

Total Equity Expect

Other Capital

Other(Shares of Investments Valued

Accumulated

Other (Cash Flow Hedge Gain/Loss,

Profit

Prior Period

Current Period

Minority

Total

TURKISH LIRA

Cancellation

Minority

Paid in Capital

Share Premiums

Reserves

by Equity Method in Other

Shares of Investments Valued by

Reserves

Profit or (Loss)

Profit or (Loss)

Shares

Equity

31.12.2022

Profits

Revaluation and/or

Shares

Comprehensive Income Not

Foreign

Equity Method in Other

Accumulated

Accumulated

Remeasurement

Classified Through Profit or Loss and

Currency

Comprehensive Income Classified

Revaluation

Remeasurement Gain/Loss

Gain/Loss of the

Other Accumulated Amounts of Other

Translation

Through Profit or Loss and Other

Increase/Decrease of

of Defined Benefit Pension

Financial Assets at Fair

Comprehensive Income Items Not

Differences

Accumulated Amounts of Other

Fixed Assets

Plan

Value Through Other

Reclassified Through Other Profit or

Comprehensive Income Items

Comprehensive Income

Loss)

Reclassified Through Other Profit or

Loss)

I.

Prior Period End Balance

2.473.776.223,78

5.776.223.776,22

-

1.481.518.819,59

1.948.954.504,55

-

471.745.970,40

4.683.913.735,57

-

136.454.472,23

-

1.785.539.161,11

-

28.021.978.651,17

-

1.507.729.015,30

43.500.355.122,44

-

43.500.355.122,44

II.

Corrections and Accounting Policy Changes Made According to TAS 8

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

2.1

Effects of Corrections

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

2.2

Effects of the Changes in Accounting Policies

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

III.

Adjusted Beginning Balance (I+II)

2.473.776.223,78

5.776.223.776,22

-

1.481.518.819,59

1.948.954.504,55

-

471.745.970,40

4.683.913.735,57

-

136.454.472,23

-

1.785.539.161,11

-

28.021.978.651,17

-

1.507.729.015,30

43.500.355.122,44

-

43.500.355.122,44

IV.

Total Comprehensive Income

-

-

-

-

2.161.093.993,89

-

938.534.306,85

7.029.914.066,60

141.173.323,76

9.879.151.896,98

-

-

-

14.753.895.526,56

33.026.694.500,94

-

33.026.694.500,94

V.

Capital Increase by Cash

2.495.344.506,51

10.904.655.493,49

-

-

-

-

-

-

-

-

-

-

-

13.400.000.000,00

-

13.400.000.000,00

VI.

Capital Increase by Internal Sources

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

VII.

Paid in Capital Inflation Adjustment Difference

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

VIII.

Convertible Bonds to Share

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

IX.

Subordinated Debt Instruments

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

X.

Increase / Decrease by Other Changes

-

-

-

-

83.431.590,20

-

-

-

-

-

-

-

1.507.729.015,30

-

1.507.729.015,30

-

83.431.590,20

-

-

83.431.590,20

XI.

Profit Distribution

-

-

-

-

-

-

-

-

-

-

1.507.729.015,30

-

1.507.729.015,30

-

-

-

-

11.1

Dividends Paid

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

11.2

Transfers to Reserves

-

-

-

-

-

-

-

-

-

-

1.507.729.015,30

-

1.507.729.015,30

-

-

-

-

11.3

Other

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Period End Balance (III+IV+…...+X+XI)

4.969.120.730,29

16.680.879.269,71

-

1.398.087.229,39

4.110.048.498,44

-

1.410.280.277,25

11.713.827.802,17

4.718.851,53

8.093.612.735,87

-

29.529.707.666,47

-

14.753.895.526,56

89.843.618.033,18

-

89.843.618.033,18

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Türkiye Halk Bankasi AS published this content on 07 July 2023 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 07 July 2023 15:42:11 UTC.