KUVEYT TÜRK KATILIM BANKASI A.Ş.

KTK

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)
2020/12
2021/12
2022/12
2023/12
Presentation Currency
TL
1000TL
1000TL
1000TL
Nature of Financial Statements
Consolidated
Consolidated
Consolidated
Consolidated
Financial Assets (Net)
61.428.638
129.486.279
177.842.104
279.516.714
Financial Assets At Amortised Cost (Net)
84.016.930
129.055.436
217.191.186
395.496.869
Non-Current Assets Or Disposal Groups Classified As Held For Sale From Discontinued Operations (Net)
519.087
240.891
117.719
428.585
Investments In Associates, Subsidiaries And Joint Ventures
84.991
112.938
167.017
437.664
Tangible Assets (Net)
924.082
1.084.542
1.651.454
3.532.242
Intangible Assets And Goodwill (Net)
273.145
362.184
535.400
1.225.475
Investment Property (Net)
77.457
63.598
165.730
41.605
Current Tax Assets
0
0
0
0
Deferred Tax Asset
835.522
1.882.944
1.258.112
6.050.556
Other Assets
10.037.261
5.005.382
5.051.789
5.127.727
Total Assets
158.197.113
267.294.194
403.980.511
691.857.437
Funds Collected
126.694.561
221.957.882
312.259.803
518.136.445
Loans Received
5.204.321
3.623.982
27.834.642
64.437.373
Money Market Funds
185.225
6.495.137
274.871
4.487.806
Marketable Securıtıes (Net)
5.159.273
3.632.174
2.294.758
3.380.842
Fınancıal Liabilıties At Fair Value Through Profıt Or Loss
0
0
0
0
Derivative Financial Liabilities
1.676.806
257.764
184.067
975.189
Lease Payables (Net)
349.294
409.453
575.362
940.433
Provisions
3.722.802
5.207.331
10.133.559
16.787.965
Current Tax Liabilities
389.870
1.282.020
2.053.914
3.603.049
Deferred Tax Liability
0
0
0
0
Liabilities Related To Assets Held For Sale And Discontinued Operations (Net)
0
0
0
0
Subordinated Debt
4.590.265
8.100.496
11.424.892
17.967.564
Other Liabilities
2.193.882
4.839.114
6.174.308
8.167.691
Equıty
8.030.814
11.488.841
30.770.335
52.973.080
Issued Capital
4.595.131
4.595.131
4.595.131
4.595.131
Total Equity And Liabilities
158.197.113
267.294.194
403.980.511
691.857.437

Statement of Profit or Loss and Other Comprehensive Income
2020/12
2021/12
2022/12
2023/12
Presentation Currency
TL
1000TL
1000TL
1000TL
Nature of Financial Statements
Consolidated
Consolidated
Consolidated
Consolidated
Net Profit Share income (Loss)
6.535.122
8.067.748
25.939.962
38.979.542
Net Fee And Commission income Or Expenses
261.839
508.093
847.472
3.050.244
Dividend income
68
6.042
3.111
5.302
Trading income Or Loss (Net)
847.844
3.056.725
5.539.737
11.089.651
Other Operating income
1.819.357
2.460.399
4.431.673
9.888.625
Gross Profit From Operating Activities
9.464.230
14.099.007
36.761.955
63.013.364
Net Operating income (Loss)
2.243.556
4.624.823
19.074.132
36.199.588
Profit (Loss) From Continuing Operations, Before Tax
2.264.486
4.652.770
19.128.211
36.370.235
Net Period Profit (Loss) From Continuing Operations
1.712.868
3.373.667
14.950.623
28.845.870
Net Period Profit (Loss) From Discontinued Operations
0
0
0
0
Net Profit (Loss) For The Period
1.712.868
3.373.667
14.950.623
28.845.870
Profit (Loss) Attributable to, Group
1.746.138
3.355.492
14.918.773
28.826.897
Profit (Loss), Attributable to, Non-controlling Interests
-33.270
18.175
31.850
18.973
Other Comprehensive Income (Loss)
-160.781
95.368
4.576.908
-5.319.819
Total Comprehensive Income (Loss)
1.552.087
3.469.035
19.527.531
23.526.051

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