RE-PIE PORTFÖY YÖNETİMİ A.Ş. TRAKYA GAYRİMENKUL YATIRIM FONU

RG3

SUMMARY FINANCIALS

(*) The information on this page is updated with a delay. The home page or search functions on the site should be used for instant data tracking.

(**) The following data includes some selected items from the companys/funds financial statements. It is necessary to use the search functions on the site for complete financial statements.

(***) The table below contains the data in the "current period" column of financial statements published lastly on the KAP system for the relevant year and period, and the adjustments/corrections made in the "previous period" information are not taken into account when publishing the tables for the relevant current year and period. To reach the data containing this detail, the financial report notification of the company should be used.

Statement of Financial Position (Balance Sheet)
2021/12
2022/12
2023/12
Presentation Currency
TL
TL
TL
Nature of Financial Statements
Unconsolidated
Unconsolidated
Unconsolidated
Assets
74.064
47.128.697
74.008.932
Liabilities (Excluding Total Value, Net Asset Value)
25.898
40.896
86.217
Net Asset Value
48.166
47.087.801
73.922.715

Statement of Profit or Loss and Other Comprehensive Income
2021/12
2022/12
2023/12
Presentation Currency
TL
TL
TL
Nature of Financial Statements
Unconsolidated
Unconsolidated
Unconsolidated
Operating Income
218.777
20.204.533
27.507.720
Operating Expenses
-40.545
-1.099.262
-672.806
Profit (Loss) from Operating Activities
178.232
19.105.271
26.834.914
Net Profit (Loss)
178.232
19.105.271
26.834.914

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