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Derivative Financial Instruments - Summary of Financial Assets and Financial Liabilities Measured and Recognised at Fair Value (Detail)
₺ in Thousands, € in Thousands, ¥ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2021
TRY (₺)
Dec. 31, 2020
TRY (₺)
Dec. 31, 2021
EUR (€)
Dec. 31, 2021
USD ($)
Dec. 31, 2021
CNY (¥)
Dec. 31, 2020
EUR (€)
Dec. 31, 2020
USD ($)
Dec. 31, 2020
CNY (¥)
Disclosure of financial assets and liabilities measured at fair value [line items]                
Derivative Financial Asset Used for Hedging, Fair Value ₺ 999,577 ₺ 642,623            
Derivatives liabilities held for hedging, fair value (60,518) (66,851)            
Net derivative financial assets (liabilities) held for hedge accounting 939,059 575,772            
Derivative Financial Asset Held for Trading, Fair Value 1,181,740 360,047            
Derivative financial liabilities held for trading, fair value   (41,132)            
Participating cross currency swap contracts [member] | EUR                
Disclosure of financial assets and liabilities measured at fair value [line items]                
Derivative Assets Used For Trading Notional Amount | €     € 66,700     € 90,881    
Derivative Financial Asset Held for Trading, Fair Value ₺ 243,478 ₺ 230,033            
Maturity Date Trading Assets April 2026 April 2026            
Participating cross currency swap contracts [member] | USD                
Disclosure of financial assets and liabilities measured at fair value [line items]                
Derivative Assets Used For Hedging Notional Amount | $       $ 206,770     $ 216,054  
Derivative Financial Asset Used for Hedging, Fair Value ₺ 523,571 ₺ 270,315            
Maturity Date Hedging April 2026              
Hedge Ratio 1 1            
Change in intrinsic value of outstanding hedging instruments ₺ 533,782 ₺ 342,123            
Derivative Assets Used For Trading Notional Amount | $       36,000     32,008  
Derivative Financial Asset Held for Trading, Fair Value ₺ 58,890 ₺ 31,334            
Maturity Date Trading Assets November 2025 April 2026            
Derivative Liabilities Held For Trading Notional Amount | $             45,000  
Derivative financial liabilities held for trading, fair value   ₺ (9,701)            
Maturity Date Trading Liabilities November 2025            
Participating cross currency swap contracts one [member] | EUR                
Disclosure of financial assets and liabilities measured at fair value [line items]                
Derivative Assets Used For Hedging Notional Amount | €     300,200     366,800    
Derivative Financial Asset Used for Hedging, Fair Value ₺ 174,747 ₺ 221,937            
Maturity Date Hedging October 2025              
Hedge Ratio 1 1            
Change in intrinsic value of outstanding hedging instruments ₺ 963,374 ₺ 962,903            
Participating cross currency swap contracts two [member] | EUR                
Disclosure of financial assets and liabilities measured at fair value [line items]                
Derivative Assets Used For Hedging Notional Amount | €     63,365     65,158    
Derivative Financial Asset Used for Hedging, Fair Value ₺ 48,443 ₺ 53,142            
Maturity Date Hedging April 2026              
Hedge Ratio 1 1            
Change in intrinsic value of outstanding hedging instruments ₺ 78,593 ₺ 161,325            
Cross currency swap contracts [member] | EUR                
Disclosure of financial assets and liabilities measured at fair value [line items]                
Derivative Assets Used For Trading Notional Amount | €     24,000     7,200    
Derivative Financial Asset Held for Trading, Fair Value ₺ 168,900 ₺ 20,853            
Maturity Date Trading Assets December 2022 September 2021            
Derivative Liabilities Held For Trading Notional Amount | €           € 43,900    
Derivative financial liabilities held for trading, fair value   ₺ (13,684)            
Maturity Date Trading Liabilities December 2021-2022            
Cross currency swap contracts [member] | USD                
Disclosure of financial assets and liabilities measured at fair value [line items]                
Derivative Assets Used For Trading Notional Amount | $       36,572     34,286  
Derivative Financial Asset Held for Trading, Fair Value ₺ 284,868 ₺ 62,715            
Maturity Date Trading Assets March 2023-November 2025 March 2023            
Derivative Liabilities Held For Trading Notional Amount | $             20,000  
Derivative financial liabilities held for trading, fair value   ₺ (6,747)            
Maturity Date Trading Liabilities November 2025            
Cross currency swap contracts [member] | RMB                
Disclosure of financial assets and liabilities measured at fair value [line items]                
Derivative Assets Used For Hedging Notional Amount | ¥         ¥ 135,134     ¥ 162,121
Derivative Financial Asset Used for Hedging, Fair Value ₺ 235,617 ₺ 97,229            
Maturity Date Hedging April 2026              
Hedge Ratio 1 1            
Change in intrinsic value of outstanding hedging instruments ₺ 136,770 ₺ 46,858            
Derivative Assets Used For Trading Notional Amount | ¥         ¥ 32,342     ¥ 38,801
Derivative Financial Asset Held for Trading, Fair Value ₺ 50,842 ₺ 14,535            
Maturity Date Trading Assets April 2026 April 2026            
Interest rate swap contract [member] | EUR                
Disclosure of financial assets and liabilities measured at fair value [line items]                
Derivative Assets Used For Trading Notional Amount | €     € 35,000          
Derivative Financial Asset Held for Trading, Fair Value ₺ 11,780              
Maturity Date Trading Assets September 2028            
Interest rate swap contract [member] | USD                
Disclosure of financial assets and liabilities measured at fair value [line items]                
Derivative Liabilities Held For Hedging Notional Amount | $       150,075     180,045  
Derivatives liabilities held for hedging, fair value ₺ (43,319) ₺ (66,851)            
Maturity Date Hedging April 2026              
Hedge Ratio 1 1            
Derivative Assets Used For Trading Notional Amount | $             17,778  
Derivative Financial Asset Held for Trading, Fair Value   ₺ 258            
Maturity Date Trading Assets September 2028            
Derivative Liabilities Held For Trading Notional Amount | $             22,222  
Derivative financial liabilities held for trading, fair value   ₺ (1,141)            
Maturity Date Trading Liabilities September 2028            
FX swap contracts [member] | USD                
Disclosure of financial assets and liabilities measured at fair value [line items]                
Derivative Assets Used For Trading Notional Amount | $       200,000     10,000  
Derivative Financial Asset Held for Trading, Fair Value ₺ 193,504 ₺ 319            
Maturity Date Trading Assets January 2022 January 2021            
Derivative Liabilities Held For Trading Notional Amount | $             82,735  
Derivative financial liabilities held for trading, fair value   ₺ (7,046)            
Maturity Date Trading Liabilities January 2021            
Currency forward contracts [member] | USD                
Disclosure of financial assets and liabilities measured at fair value [line items]                
Derivative Assets Used For Trading Notional Amount | $       $ 175,000        
Derivative Financial Asset Held for Trading, Fair Value ₺ 169,478              
Maturity Date Trading Assets January 2022-March 2022            
Derivative Liabilities Held For Trading Notional Amount | $             $ 6,000  
Derivative financial liabilities held for trading, fair value   ₺ (2,813)            
Maturity Date Trading Liabilities January-December 2021