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Loans and borrowings
12 Months Ended
Dec. 31, 2024
Loans and Borrowings  
Loans and borrowings

28.Loans and borrowings

31 December

31 December

Long-term borrowings

    

2024

    

2023

Unsecured bank loans

 

25,595,454

 

36,809,354

Secured bank loans

 

6,600,324

 

5,703,670

Lease liabilities

 

3,777,631

 

2,390,599

Debt securities issued

 

16,461,755

 

38,759,036

52,435,164

 

83,662,659

31 December

31 December

Short-term borrowings

 

2024

    

2023

Unsecured bank loans

 

28,982,083

 

28,254,091

Secured bank loans

 

1,222,252

 

1,117,148

Lease liabilities

 

1,044,893

 

1,114,322

Debt securities issued

 

20,655,867

 

7,251,528

51,905,095

 

37,737,089

28.Loans and borrowings (continued)

The Company has obtained approval from CMB on 28 June 2024 for issuance of debt securities to 8,000,000 TL, the Company has issued debt securities up on 10 October 2024, amounting 1,870,000 TL with the maturity of 30 January 2025.

Turkcell Superonline obtained approval from the CMB on 21 December 2023, for the issuance of sukuk up to 3,000,000 TL. In the fourth quarter of 2024, two lease certificates, each worth TL 300,000, were issued in November and December 2024, with maturities in April and May 2025, respectively.

Turkcell Finansman A.Ş. has redeemed corporate bonds on 11 November 2024, with a nominal value of TRY 160,300. The Company’s issuance limit amounting to TRY 1,000,000, which was obtained for one year on 1 December 2023, has expired and no new issuance limit application has been made as of 31 December 2024.

Turkcell Ödeme obtained approval from CMB on 21 November 2024 for the issuance of sukuk up to TL 1,500,000. During December 2024, Turkcell Ödeme issued several sukuks, each with in 2025 maturity for a total amount of TL 300,000. As of 31 December 2024, the outstanding issuance limit is TL 300,000.

Terms and conditions of outstanding loans are as follows:

31 December 2024

31 December 2023

Interest

Payment

Nominal

Carrying

Payment

Nominal

Carrying

    

Currency

    

rate type

    

period

    

interest rate

    

amount

    

period

    

interest rate

    

amount

Unsecured Bank Loans

 

EUR

 

Floating

2025-2030

Euribor+2%-Euribor+4.0%

 

31,951,968

 

2024-2028

Euribor+2.0%-Euribor+4.0%

 

37,272,708

Unsecured Bank Loans

 

TRY

 

Fixed

2025-2027

24.4%-67.3%

14,419,059

 

2024-2025

11.5%-58.9%

 

17,241,862

Unsecured Bank Loans

 

USD

 

Floating

2026-2029

Sofr+ 2.2%

 

5,111,643

 

2024-2028

Sofr 2.2%

 

6,472,710

Unsecured Bank Loans

 

CNY

 

Fixed

2026-2028

5.2%-5.5%

 

2,570,134

 

2024-2028

5.2%-5.5%

 

3,265,249

Unsecured Bank Loans

 

EUR

 

Fixed

2025

5.0%

 

370,134

 

2024

6.0%

 

498,729

Unsecured Bank Loans

 

USD

 

Fixed

2026

2.56%

 

154,599

 

2024-2026

2.6%

 

289,293

Unsecured Bank Loans

 

BYR

 

Fixed

-

-

 

-

 

2024

14%

 

22,894

Secured bank loans

USD

Fixed

2029-2033

1.5%-3.8%

4,142,583

2024-2033

1.5%-3.8%

5,591,030

Secured bank loans

 

USD

 

Floating

2026-2028

Sofr+0.6% & Sofr+1.6%

 

788,460

 

2024-2028

Sofr+0.6% & Libor+1.6%

 

1,229,788

Secured bank loans

 

EUR

 

Floating

2036

Euribor+0.7%

 

1,125,022

 

-

-

 

-

Secured bank loans

 

CNY

 

Fixed

2034

4.0%

 

1,766,511

 

-

-

 

-

Debt securities issued

 

USD

 

Fixed

2025-2028

5.8%

 

34,114,065

 

2024-2028

5.8%

 

41,047,910

Debt securities issued

TRY

Fixed

2025

42.0%-49.5%

3,003,557

2024

29.5%-45.0%

4,962,654

Lease liabilities

TRY

Fixed

2025-2069

7.5%-62.3%

3,959,814

2024-2057

9.8%-45.0%

2,266,451

Lease liabilities

GBP

Fixed

2025

2.7%-5.9%

61

-

-

-

Lease liabilities

EUR

Fixed

2025-2034

2.9%-10.3%

350,365

2024-2034

1.0%-11.0%

588,931

Lease liabilities

 

BYN

 

Fixed

2025-2037

10.8%-20.0%

 

464,845

 

2024-2037

10.8%-20.0%

 

599,980

Lease liabilities

USD

Fixed

2025-2037

4.0 %-11.6%

47,439

2024-2052

3.9%-11.6%

49,559

104,340,259

 

121,399,748