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Derivative Financial Instruments - Cash Flow Sensitivity (Detail)
₺ in Thousands
Dec. 31, 2022
TRY (₺)
Dec. 31, 2021
TRY (₺)
Cash flow sensitivity analysis for variable rate instruments [line items]    
Change in interest rate for sensitivity analysis 0.0100  
Change in foreign exchange for sensitivity analysis 10.00%  
Interest rate risk and currency risk [member] | Derivative financial instruments    
Cash flow sensitivity analysis for variable rate instruments [line items]    
Increase (decrease) in profit (loss) due to potential increase in interest rate ₺ 27,250 ₺ 2,233,510
Increase (decrease) in profit (loss) due to potential decrease in interest rate 211,272 3,608,413
Increase (decrease) in equity due to potential increase in interest rate 992,251 (1,381,763)
Increase (decrease) in equity due to potential decrease in interest rate 993,327 (2,680,663)
Interest rate risk and currency risk [member] | Participating cross currency swap contracts [member]    
Cash flow sensitivity analysis for variable rate instruments [line items]    
Increase (decrease) in profit (loss) due to potential increase in interest rate (37,531) 1,971,140
Increase (decrease) in profit (loss) due to potential decrease in interest rate (25,064) 3,664,033
Increase (decrease) in equity due to potential increase in interest rate 755,812 (1,019,230)
Increase (decrease) in equity due to potential decrease in interest rate 787,206 (2,374,118)
Interest rate risk and currency risk [member] | Cross currency swap contracts [member]    
Cash flow sensitivity analysis for variable rate instruments [line items]    
Increase (decrease) in profit (loss) due to potential increase in interest rate 64,781 262,370
Increase (decrease) in profit (loss) due to potential decrease in interest rate 236,336 (55,620)
Increase (decrease) in equity due to potential increase in interest rate 236,439 (362,533)
Increase (decrease) in equity due to potential decrease in interest rate ₺ 206,121 ₺ (306,545)