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Loans and Borrowings - Summary of Terms and Conditions of Outstanding Loans (Detail) - TRY (₺)
₺ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Loans and Borrowings    
Carrying amount ₺ 104,340,259 ₺ 121,399,748
EUR | Floating interest rate    
Loans and Borrowings    
Fixed interest rate 4.50% 2.10%
Carrying amount ₺ 33,076,990 ₺ 37,272,708
USD | Floating interest rate    
Loans and Borrowings    
Fixed interest rate 5.80% 3.90%
Carrying amount ₺ 5,900,103 ₺ 7,702,498
Unsecured bank loans | EUR | Floating interest rate    
Loans and Borrowings    
Currency EUR EUR
Interest rate type Floating Floating
Nominal interest rate basis Euribor+2%-Euribor+4.0% Euribor+2.0%-Euribor+4.0%
Carrying amount ₺ 31,951,968 ₺ 37,272,708
Unsecured bank loans | EUR | Floating interest rate | Minimum    
Loans and Borrowings    
Payment period 2025 2024
Unsecured bank loans | EUR | Floating interest rate | Maximum    
Loans and Borrowings    
Payment period 2030 2028
Unsecured bank loans | EUR | EURIBOR [member] | Minimum    
Loans and Borrowings    
Borrowings, adjustment to variable interest rate 2.00% 2.00%
Unsecured bank loans | EUR | EURIBOR [member] | Maximum    
Loans and Borrowings    
Borrowings, adjustment to variable interest rate 4.00% 4.00%
Unsecured bank loans | EUR | Fixed rate instruments [member]    
Loans and Borrowings    
Currency EUR EUR
Interest rate type Fixed Fixed
Payment period 2025 2024
Fixed interest rate 5.00% 6.00%
Carrying amount ₺ 370,134 ₺ 498,729
Unsecured bank loans | USD | Floating interest rate    
Loans and Borrowings    
Currency USD USD
Interest rate type Floating Floating
Nominal interest rate basis Sofr+ 2.2% Sofr 2.2%
Carrying amount ₺ 5,111,643 ₺ 6,472,710
Unsecured bank loans | USD | Floating interest rate | Minimum    
Loans and Borrowings    
Payment period 2026 2024
Unsecured bank loans | USD | Floating interest rate | Maximum    
Loans and Borrowings    
Payment period 2029 2028
Unsecured bank loans | USD | SOFR [member]    
Loans and Borrowings    
Borrowings, adjustment to variable interest rate 2.20% 2.20%
Unsecured bank loans | USD | Fixed rate instruments [member]    
Loans and Borrowings    
Currency USD USD
Interest rate type Fixed Fixed
Payment period 2026  
Fixed interest rate 2.56% 2.60%
Carrying amount ₺ 154,599 ₺ 289,293
Unsecured bank loans | USD | Fixed rate instruments [member] | Minimum    
Loans and Borrowings    
Payment period   2024
Unsecured bank loans | USD | Fixed rate instruments [member] | Maximum    
Loans and Borrowings    
Payment period   2026
Unsecured bank loans | TRY | Fixed rate instruments [member]    
Loans and Borrowings    
Currency TRY TRY
Interest rate type Fixed Fixed
Carrying amount ₺ 14,419,059 ₺ 17,241,862
Unsecured bank loans | TRY | Fixed rate instruments [member] | Minimum    
Loans and Borrowings    
Payment period 2025 2024
Fixed interest rate 24.40% 11.50%
Unsecured bank loans | TRY | Fixed rate instruments [member] | Maximum    
Loans and Borrowings    
Payment period 2027 2025
Fixed interest rate 67.30% 58.90%
Unsecured bank loans | CNY | Fixed rate instruments [member]    
Loans and Borrowings    
Currency CNY CNY
Interest rate type Fixed Fixed
Carrying amount ₺ 2,570,134 ₺ 3,265,249
Unsecured bank loans | CNY | Fixed rate instruments [member] | Minimum    
Loans and Borrowings    
Payment period 2026 2024
Fixed interest rate 5.20% 5.20%
Unsecured bank loans | CNY | Fixed rate instruments [member] | Maximum    
Loans and Borrowings    
Payment period 2028 2028
Fixed interest rate 5.50% 5.50%
Unsecured bank loans | BYN | Fixed rate instruments [member]    
Loans and Borrowings    
Currency   BYR
Interest rate type   Fixed
Payment period   2024
Fixed interest rate   14.00%
Carrying amount   ₺ 22,894
Secured bank loans | EUR | Floating interest rate    
Loans and Borrowings    
Currency EUR  
Interest rate type Floating  
Payment period 2036  
Nominal interest rate basis Euribor+0.7%  
Carrying amount ₺ 1,125,022  
Secured bank loans | EUR | EURIBOR [member]    
Loans and Borrowings    
Borrowings, adjustment to variable interest rate 0.70%  
Secured bank loans | USD | Floating interest rate    
Loans and Borrowings    
Currency USD USD
Interest rate type Floating Floating
Nominal interest rate basis Sofr+0.6% & Sofr+1.6% Sofr+0.6% & Libor+1.6%
Carrying amount ₺ 788,460 ₺ 1,229,788
Secured bank loans | USD | Floating interest rate | Minimum    
Loans and Borrowings    
Payment period 2026 2024
Secured bank loans | USD | Floating interest rate | Maximum    
Loans and Borrowings    
Payment period 2028 2028
Secured bank loans | USD | SOFR [member] | Minimum    
Loans and Borrowings    
Borrowings, adjustment to variable interest rate 0.60% 0.60%
Secured bank loans | USD | SOFR [member] | Maximum    
Loans and Borrowings    
Borrowings, adjustment to variable interest rate 1.60%  
Secured bank loans | USD | LIBOR [member] | Maximum    
Loans and Borrowings    
Borrowings, adjustment to variable interest rate   1.60%
Secured bank loans | USD | Fixed rate instruments [member]    
Loans and Borrowings    
Currency USD USD
Interest rate type Fixed Fixed
Carrying amount ₺ 4,142,583 ₺ 5,591,030
Secured bank loans | USD | Fixed rate instruments [member] | Minimum    
Loans and Borrowings    
Payment period 2029 2024
Fixed interest rate 1.50% 1.50%
Secured bank loans | USD | Fixed rate instruments [member] | Maximum    
Loans and Borrowings    
Payment period 2033 2033
Fixed interest rate 3.80% 3.80%
Secured bank loans | CNY | Fixed rate instruments [member]    
Loans and Borrowings    
Currency CNY  
Interest rate type Fixed  
Payment period 2034  
Fixed interest rate 4.00%  
Carrying amount ₺ 1,766,511  
Debt securities issued | USD | Fixed rate instruments [member]    
Loans and Borrowings    
Currency USD USD
Interest rate type Fixed Fixed
Fixed interest rate 5.80% 5.80%
Carrying amount ₺ 34,114,065 ₺ 41,047,910
Debt securities issued | USD | Fixed rate instruments [member] | Minimum    
Loans and Borrowings    
Payment period 2025 2024
Debt securities issued | USD | Fixed rate instruments [member] | Maximum    
Loans and Borrowings    
Payment period 2028 2028
Debt securities issued | TRY | Fixed rate instruments [member]    
Loans and Borrowings    
Currency TRY TRY
Interest rate type Fixed Fixed
Payment period 2025 2024
Carrying amount ₺ 3,003,557 ₺ 4,962,654
Debt securities issued | TRY | Fixed rate instruments [member] | Minimum    
Loans and Borrowings    
Fixed interest rate 42.00% 29.50%
Debt securities issued | TRY | Fixed rate instruments [member] | Maximum    
Loans and Borrowings    
Fixed interest rate 49.50% 45.00%
Lease liabilities | EUR | Fixed rate instruments [member]    
Loans and Borrowings    
Currency EUR EUR
Interest rate type Fixed Fixed
Carrying amount ₺ 350,365 ₺ 588,931
Lease liabilities | EUR | Fixed rate instruments [member] | Minimum    
Loans and Borrowings    
Payment period 2025 2024
Fixed interest rate 2.90% 1.00%
Lease liabilities | EUR | Fixed rate instruments [member] | Maximum    
Loans and Borrowings    
Payment period 2034 2034
Fixed interest rate 10.30% 11.00%
Lease liabilities | USD | Fixed rate instruments [member]    
Loans and Borrowings    
Currency USD USD
Interest rate type Fixed Fixed
Carrying amount ₺ 47,439 ₺ 49,559
Lease liabilities | USD | Fixed rate instruments [member] | Minimum    
Loans and Borrowings    
Payment period 2025 2024
Fixed interest rate 4.00% 3.90%
Lease liabilities | USD | Fixed rate instruments [member] | Maximum    
Loans and Borrowings    
Payment period 2037 2052
Fixed interest rate 11.60% 11.60%
Lease liabilities | TRY | Fixed rate instruments [member]    
Loans and Borrowings    
Currency TRY TRY
Interest rate type Fixed Fixed
Carrying amount ₺ 3,959,814 ₺ 2,266,451
Lease liabilities | TRY | Fixed rate instruments [member] | Minimum    
Loans and Borrowings    
Payment period 2025 2024
Fixed interest rate 7.50% 9.80%
Lease liabilities | TRY | Fixed rate instruments [member] | Maximum    
Loans and Borrowings    
Payment period 2069 2057
Fixed interest rate 62.30% 45.00%
Lease liabilities | BYN | Fixed rate instruments [member]    
Loans and Borrowings    
Currency BYN BYN
Interest rate type Fixed Fixed
Carrying amount ₺ 464,845 ₺ 599,980
Lease liabilities | BYN | Fixed rate instruments [member] | Minimum    
Loans and Borrowings    
Payment period 2025 2024
Fixed interest rate 10.80% 10.80%
Lease liabilities | BYN | Fixed rate instruments [member] | Maximum    
Loans and Borrowings    
Payment period 2037 2037
Fixed interest rate 20.00% 20.00%
Lease liabilities | GBP | Fixed rate instruments [member]    
Loans and Borrowings    
Currency GBP  
Interest rate type Fixed  
Payment period 2025  
Carrying amount ₺ 61  
Lease liabilities | GBP | Fixed rate instruments [member] | Minimum    
Loans and Borrowings    
Fixed interest rate 2.70%  
Lease liabilities | GBP | Fixed rate instruments [member] | Maximum    
Loans and Borrowings    
Fixed interest rate 5.90%