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Financial assets - Nominal and fairvalue of financial assets (Details)
₺ in Thousands, € in Thousands, $ in Thousands
Dec. 31, 2022
USD ($)
Dec. 31, 2021
USD ($)
Dec. 31, 2022
TRY (₺)
Dec. 31, 2022
EUR (€)
Dec. 31, 2021
TRY (₺)
Dec. 31, 2021
EUR (€)
Listed debt securities            
Financial assets            
Financial assets, at fair value     ₺ 1,850,830   ₺ 2,345,458  
Currency protected time deposits            
Financial assets            
Financial assets, at fair value     4,034,897      
16 February 2026 | EUR | Listed debt securities            
Financial assets            
Notional amount | €       € 24,000   € 3,277
Financial assets, at fair value     472,022   51,494  
Fair Value Maturity Date 16 February 2026 16 February 2026        
8 July 2027 | EUR | Listed debt securities            
Financial assets            
Notional amount | €       15,000   € 24,951
Financial assets, at fair value     279,082   356,258  
Fair Value Maturity Date 8 July 2027 8 July 2027        
11 April 2023 | EUR | Listed debt securities            
Financial assets            
Notional amount | €       € 5,000    
Financial assets, at fair value     99,975      
Fair Value Maturity Date 11 April 2023          
31 March 2025 | USD | Listed debt securities            
Financial assets            
Notional amount | $ $ 3,700          
Financial assets, at fair value     73,314      
Fair Value Maturity Date 31 March 2025          
14 July 2023 | USD | Listed debt securities            
Financial assets            
Notional amount | $ $ 21,000 $ 34,497        
Financial assets, at fair value     391,211   469,839  
Fair Value Maturity Date 14 July 2023 14 July 2023        
25 March 2027 | USD | Listed debt securities            
Financial assets            
Notional amount | $ $ 18,000 $ 30,341        
Financial assets, at fair value     308,358   378,645  
Fair Value Maturity Date 25 March 2027 25 March 2027        
13 November 2025 | USD | Listed debt securities            
Financial assets            
Notional amount | $ $ 5,000          
Financial assets, at fair value     97,785      
Fair Value Maturity Date 13 November 2025          
25 January 2023 | USD | Listed debt securities            
Financial assets            
Notional amount | $ $ 3,000          
Financial assets, at fair value     55,835      
Fair Value Maturity Date 25 January 2023          
10 August 2024 | USD | Listed debt securities            
Financial assets            
Notional amount | $ $ 1,000 $ 1,636        
Financial assets, at fair value     18,540   22,142  
Fair Value Maturity Date 10 August 2024 10 August 2024        
Indefinite | USD | Listed debt securities            
Financial assets            
Notional amount | $ $ 50,000          
Financial assets, at fair value     54,708      
Fair Value Maturity Date Indefinite          
2 March 2022 | TL | Listed debt securities            
Financial assets            
Notional amount         39,937  
Financial assets, at fair value         42,025  
Fair Value Maturity Date   2 March 2022        
2 March 2022 | TL | Listed debt securities            
Financial assets            
Notional amount         39,602  
Financial assets, at fair value         42,025  
Fair Value Maturity Date   2 March 2022        
14 October 2025 | USD | Listed debt securities            
Financial assets            
Notional amount | $   $ 32,565        
Financial assets, at fair value         412,244  
Fair Value Maturity Date   14 October 2025        
26 January 2026 | USD | Listed debt securities            
Financial assets            
Notional amount | $   $ 3,561        
Financial assets, at fair value         45,330  
Fair Value Maturity Date   26 January 2026        
22 June 2026 | USD | Listed debt securities            
Financial assets            
Notional amount | $   $ 41,067        
Financial assets, at fair value         ₺ 525,456  
Fair Value Maturity Date   22 June 2026        
10 May 2023 | TL | Currency protected time deposits            
Financial assets            
Notional amount     949,475      
Financial assets, at fair value     1,236,256      
Fair Value Maturity Date 10 May 2023          
27 February 2023 | TL | Currency protected time deposits            
Financial assets            
Notional amount     704,109      
Financial assets, at fair value     950,130      
Fair Value Maturity Date 27 February 2023          
15 August 2023 | TL | Currency protected time deposits            
Financial assets            
Notional amount     701,033      
Financial assets, at fair value     820,390      
Fair Value Maturity Date 15 August 2023          
16 August 2023 | TL | Currency protected time deposits            
Financial assets            
Notional amount     436,793      
Financial assets, at fair value     511,377      
Fair Value Maturity Date 16 August 2023          
11 May 2023 | TL | Currency protected time deposits            
Financial assets            
Notional amount     230,364      
Financial assets, at fair value     299,793      
Fair Value Maturity Date 11 May 2023          
2 October 2023 | TL | Currency protected time deposits            
Financial assets            
Notional amount     185,454      
Financial assets, at fair value     ₺ 216,951      
Fair Value Maturity Date 2 October 2023