VAKIF KATILIM BANKASI A.Ş.

VKF

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
1000TL
1000TL
1000TL
1000TL
Nature of Financial Statements
Consolidated
Consolidated
Consolidated
Consolidated
Financial Assets (Net)
22.469.155
42.101.269
61.446.306
105.405.331
Financial Assets At Amortised Cost (Net)
29.339.159
56.978.691
123.265.613
203.162.460
Non-Current Assets Or Disposal Groups Classified As Held For Sale From Discontinued Operations (Net)
0
15.995
6.121
196.303
Investments In Associates, Subsidiaries And Joint Ventures
7.474
7.474
0
22.500
Tangible Assets (Net)
478.296
508.711
1.991.582
3.607.963
Intangible Assets And Goodwill (Net)
24.965
22.129
62.388
168.544
Investment Property (Net)
0
0
0
0
Current Tax Assets
0
0
0
0
Deferred Tax Asset
123.564
198.073
0
1.415.806
Other Assets
367.038
561.373
1.265.175
1.144.358
Total Assets
52.809.651
100.393.715
188.037.185
315.123.265
Funds Collected
39.564.184
73.622.958
138.612.312
254.189.499
Loans Received
2.755.998
6.376.883
9.293.638
11.958.274
Money Market Funds
537.043
4.676.059
6.147.681
0
Marketable Securıtıes (Net)
2.705.583
3.374.830
4.463.024
6.191.201
Fınancıal Liabilıties At Fair Value Through Profıt Or Loss
0
0
0
0
Derivative Financial Liabilities
392.551
476.789
213.117
450.188
Lease Payables (Net)
174.051
187.200
309.766
509.030
Provisions
302.518
387.971
2.227.591
3.998.978
Current Tax Liabilities
130.530
375.557
1.282.442
1.358.640
Deferred Tax Liability
0
0
91.099
0
Liabilities Related To Assets Held For Sale And Discontinued Operations (Net)
0
0
0
0
Subordinated Debt
764.430
1.345.278
1.867.822
3.206.968
Other Liabilities
683.135
948.226
4.611.650
4.050.296
Equıty
4.799.628
8.621.964
18.917.043
29.210.191
Issued Capital
3.220.000
5.720.000
9.635.000
14.635.000
Total Equity And Liabilities
52.809.651
100.393.715
188.037.185
315.123.265

Statement of Profit or Loss and Other Comprehensive Income
2020/12
2021/12
2022/12
2023/12
Presentation Currency
1000TL
1000TL
1000TL
1000TL
Nature of Financial Statements
Consolidated
Consolidated
Consolidated
Consolidated
Net Profit Share income (Loss)
1.686.317
2.192.235
8.993.335
11.037.027
Net Fee And Commission income Or Expenses
74.429
67.056
228.580
2.199.863
Dividend income
0
0
774
714
Trading income Or Loss (Net)
314.013
937.085
1.482.647
5.205.265
Other Operating income
207.696
413.503
722.461
1.089.024
Gross Profit From Operating Activities
2.282.455
3.609.879
11.427.797
19.531.893
Net Operating income (Loss)
842.499
1.666.835
6.681.019
10.280.351
Profit (Loss) From Continuing Operations, Before Tax
842.499
1.666.835
6.681.019
10.280.351
Net Period Profit (Loss) From Continuing Operations
666.941
1.240.505
4.737.019
8.085.629
Net Period Profit (Loss) From Discontinued Operations
0
0
0
0
Net Profit (Loss) For The Period
666.941
1.240.505
4.737.019
8.085.629
Profit (Loss) Attributable to, Group
666.941
1.240.505
4.737.019
8.085.629
Profit (Loss), Attributable to, Non-controlling Interests
0
0
0
0
Other Comprehensive Income (Loss)
-29.719
81.831
2.307.254
-1.842.481
Total Comprehensive Income (Loss)
637.222
1.322.336
7.044.273
6.243.148

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