Balance Sheet

GLCVY - Financial Information Table - Balance Sheet
Assets (mn TL)20242025
FINANCIAL ASSETS (NET) 320.916 450.371
 Cash and cash equivalents 77.111 138.868
  Cash and balances with the Central Bank - -
  Banks 78.210 140.827
  Receivables from Money Markets - -
  Expected Loss Provisions (-) -1.099 -1.959
 Financial assets at fair value through profit or loss 216.987 311.503
  Government debt securities - -
  Equity instruments - -
  Other financial assets 216.987 311.503
 Financial assets at fair value through other comprehensive income - -
  Government debt securities - -
  Equity instruments - -
  Other financial assets - -
 Derivative financial assets 26.818 -
 Derivative financial assets at fair value through profit or loss 26.818 -
 Derivative financial assets at fair value through other comprehensive income - -
FINANCIAL ASSETS MEASURED AT AMORTIZED COST (Net) 5.087.893 8.782.485
 Loans 7.316.096 12.799.030
 Receivables from leasing transactions - -
 Factoring receivables - -
 Financial assets measured at amortized cost - -
 Government debt securities - -
 Other financial assets - -
 Allowance for expected credit losses (-) -2.228.203 -4.016.545
NON-CURRENTS ASSETS HELD FOR SALE PURPOSE AND RELATED TO DISCONTINUED OPERATIONS (Net) 376.782 423.610
 Held for sale purpose 376.782 423.610
 Related to discontinued operations - -
INVESTMENTS IN ASSOCIATES, SUBSIDIARIES AND JOINT VENTURES - -
 Investments in associates (Net) - -
  Associates accounted by using equity method - -
  Non-consolidated associates - -
 Investments in subsidiaries (Net) - -
  Non-consolidated financial subsidiaries - -
  Non-consolidated non-financial subsidiaries - -
 Jointly Controlled Partnerships (Joint Ventures) (Net) - -
 Jointly controlled partnerships accounted by using equity method - -
 Non-consolidated jointly controlled partnerships - -
TANGIBLE ASSETS (Net) 109.361 158.079
INTANGIBLE ASSETS (Net) 10.689 22.426
 Goodwill - -
 Other 10.689 22.426
INVESTMENT PROPERTIES (Net) - -
CURRENT TAX ASSETS - -
DEFERRED TAX ASSETS - -
OTHER ASSETS (Net) 136.924 168.453
     
TOTAL ASSETS 6.042.565 10.005.424
     
LIABILITIES 2024 2025
DEPOSITS - -
FUNDS BORROWED 1.717.098 4.435.298 
MONEY MARKET FUNDS -
MARKETABLE SECURITIES (Net) 596.643
 Bills 596.643
 Asset backed securities -
 Bonds -
FUNDS -
 Borrower funds -
 Other -
FINANCIAL LIABILITIES AT FAIR VALUE THROUGH PROFIT OR LOSS -
DERIVATIVE FINANCIAL LIABILITIES -
 Derivative financial liabilities at fair value through profit or loss -
 Derivative financial liabilities at fair value through other comprehensive income -
FACTORING PAYABLES -
LEASE PAYABLES (Net) 82.749 123.625 
PROVISIONS 113.093 167.290 
 Provision for restructuring -
 Reserves for employee benefits 110.967 164.742 
 Insurance technical reserves (Net) -
 Other provisions 2.126 2.548 
CURRENT TAX LIABILITIES 60.430 70.550 
DEFERRED TAX LIABILITIES 496.147 1.203.227 
LIABILITIES FOR NON-CURRENT ASSETS "HELD FOR SALE" AND RELATED TO "DISCONTINUED OPERATIONS" (Net) -
 Held for sale purpose -
 Related to discontinued operations -
SUBORDINATED DEBT -
 Loans -
 Other debt instruments -
OTHER LIABILITIES 280.426 158.729 
SHAREHOLDERS` EQUITY 2.695.979 3.846.705 
 Paid-in capital 139.700 139.700 
 Capital reserves 314.602 358.742 
  Equity share premiums 169.676 169.676 
  Share cancellation profits -
  Other capital reserves 144.926 189.066 
 A accumulated other comprehensive income or expense that will not be reclassified in profit or loss -10.556 -8.203 
 A accumulated other comprehensive income or expense that will be reclassified in profit or loss -
 Profit reserves 941.343 1.729.230 
  Legal reserves 941.343 1.729.230 
  Statutory reserves -
  Extraordinary reserves -
  Other profit reserves -
 Income or loss 1.310.890 1.627.236 
  Prior years' income or losses 128.863 128.863 
  Current period net income or loss 1.182.027 1.498.373 
 Minority shares -
TOTAL LIABILITIES AND EQUITY 6.042.565 10.005.424 
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