Turkıye Garantı Bankası A.s. Bılanco 29.04.2014 17:42:41
KAP:TURKIYE GARANTI BANKASI A.S. / GARAN [] BILANCO 29.04.2014 17:42:41
KAP : TURKIYE GARANTI BANKASI A.S./ GARAN [] BILANCO 29.04.2014 17: 42: 41
BILANCO
---------------------------------------------------------------------------------------------
BILANCO
DIPNOT REFERANSLARI CARI DONEM TOPLAM CARI DONEM TP CARI DONEM YP ONCEKI DONEM TOPLAM ONCEKI DONEM TP ONCEKI DONEM YP FINANSAL TABLO TURU KONSOLIDE KONSOLIDE DONEM 31.03.2014 31.12.2013 RAPORLAMA BIRIMI BIN TL BIN TL
AKTIF KALEMLER NAKIT DEGERLER VE MERKEZ BANKASI 5.1.1 21,967,572 1,678,701 20,288,871 22,642,842 2,751,743 19,891,099 GERCEGE UYGUN DEGER FARKI KAR/ZARARA YANSITILAN FV (NET) 5.1.2 2,248,062 1,458,048 790,014 2,136,243 1,331,384 804,859 ALIM SATIM AMACLI FINANSAL VARLIKLAR 2,054,502 1,264,488 790,014 1,937,465 1,132,606 804,859 DEVLET BORCLANMA SENETLERI 128,970 119,386 9,584 162,636 128,383 34,253 SERMAYEDE PAYI TEMSIL EDEN MENKUL DEGERLER 85,741 85,741 0 50,722 50,722 0 ALIM SATIM AMACLI TUREV FINANSAL VARLIKLAR 1,782,335 1,023,232 759,103 1,669,826 921,286 748,540 DIGER MENKUL DEGERLER 57,456 36,129 21,327 54,281 32,215 22,066 GERCEGE UYGUN DEGER FARKI KAR/ZARARA YANSITILAN OLARAK SINIFLANDIRILAN FV 193,560 193,560 0 198,778 198,778 0 DEVLET BORCLANMA SENETLERI 0 0 0 0 0 0 SERMAYEDE PAYI TEMSIL EDEN MENKUL DEGERLER 0 0 0 0 0 0 KREDILER 5.1.5 193,560 193,560 0 198,778 198,778 0 DIGER MENKUL DEGERLER 0 0 0 0 0 0 BANKALAR 5.1.3 11,874,955 1,452,193 10,422,762 13,124,427 2,194,272 10,930,155 PARA PIYASALARINDAN ALACAKLAR 152,534 9,567 142,967 199,033 8,231 190,802 BANKALARARASI PARA PIYASALARINDAN ALACAKLAR 0 0 0 0 0 0 IMKB TAKASBANK PIYASASINDAN ALACAKLAR 126,901 0 126,901 190,802 0 190,802 TERS REPO ISLEMLERINDEN ALACAKLAR 25,633 9,567 16,066 8,231 8,231 0 SATILMAYA HAZIR FINANSAL VARLIKLAR (NET) 5.1.4 23,932,252 20,136,153 3,796,099 24,836,227 19,748,440 5,087,787 SERMAYEDE PAYI TEMSIL EDEN MENKUL DEGERLER 91,771 36,712 55,059 49,681 41,468 8,213 DEVLET BORCLANMA SENETLERI 19,365,093 18,422,347 942,746 19,255,636 18,098,543 1,157,093 DIGER MENKUL DEGERLER 4,475,388 1,677,094 2,798,294 5,530,910 1,608,429 3,922,481 KREDILER VE ALACAKLAR 5.1.5 132,004,380 77,538,180 54,466,200 128,885,058 74,364,492 54,520,566 KREDILER VE ALACAKLAR 131,051,815 77,030,027 54,021,788 127,963,812 73,882,530 54,081,282 BANKANIN DAHIL OLDUGU RISK GRUBUNA KULLANDIRILAN KREDILER 5.7 925,711 128,374 797,337 580,038 117,448 462,590 DEVLET BORCLANMA SENETLERI 0 0 0 0 0 0 DIGER 130,126,104 76,901,653 53,224,451 127,383,774 73,765,082 53,618,692 TAKIPTEKI KREDILER 3,767,381 2,679,063 1,088,318 3,605,084 2,538,430 1,066,654 OZEL KARSILIKLAR (-) 2,814,816 2,170,910 643,906 2,683,838 2,056,468 627,370 FAKTORING ALACAKLARI 5.1.6 1,707,561 1,299,612 407,949 1,994,730 1,568,362 426,368 VADEYE KADAR ELDE TUTULACAK YATIRIMLAR (NET) 5.1.7 17,559,545 13,365,401 4,194,144 13,773,794 13,122,078 651,716 DEVLET BORCLANMA SENETLERI 16,303,130 13,355,969 2,947,161 13,581,843 13,112,752 469,091 DIGER MENKUL DEGERLER 1,256,415 9,432 1,246,983 191,951 9,326 182,625 ISTIRAKLER (NET) 5.1.8 37,261 37,258 3 37,261 37,258 3 OZKAYNAK YONTEMINE GORE MUHASEBELESTIRILENLER 0 0 0 0 0 0 KONSOLIDE EDILMEYENLER 37,261 37,258 3 37,261 37,258 3 MALI ISTIRAKLER 33,329 33,329 0 33,329 33,329 0 MALI OLMAYAN ISTIRAKLER 3,932 3,929 3 3,932 3,929 3 BAGLI ORTAKLIKLAR (NET) 5.1.9 115,771 114,085 1,686 115,319 114,085 1,234 KONSOLIDE EDILMEYEN MALI ORTAKLIKLAR 0 0 0 0 0 0 KONSOLIDE EDILMEYEN MALI OLMAYAN ORTAKLIKLAR 115,771 114,085 1,686 115,319 114,085 1,234 BIRLIKTE KONTROL EDILEN ORTAKLIKLAR (IS ORTAKLIKLARI) (NET) 5.1.10 0 0 0 0 0 0 OZKAYNAK YONTEMINE GORE MUHASEBELESTIRILENLER 0 0 0 0 0 0 KONSOLIDE EDILMEYENLER 0 0 0 0 0 0 MALI ORTAKLIKLAR 0 0 0 0 0 0 MALI OLMAYAN ORTAKLIKLAR 0 0 0 0 0 0 KIRALAMA ISLEMLERINDEN ALACAKLAR 5.1.11 3,853,757 1,159,930 2,693,827 3,771,255 1,097,434 2,673,821 FINANSAL KIRALAMA ALACAKLARI 4,422,010 1,368,540 3,053,470 4,302,147 1,292,846 3,009,301 FAALIYET KIRALAMASI ALACAKLARI 0 0 0 0 0 0 DIGER 0 0 0 0 0 0 KAZANILMAMIS GELIRLER (-) 568,253 208,610 359,643 530,892 195,412 335,480 RISKTEN KORUNMA AMACLI TUREV FINANSAL VARLIKLAR 5.1.12 213,158 161,979 51,179 114,984 103,975 11,009 GERCEGE UYGUN DEGER RISKINDEN KORUNMA AMACLILAR 93,904 93,445 459 65,943 65,943 0 NAKIT AKIS RISKINDEN KORUNMA AMACLILAR 119,254 68,534 50,720 49,041 38,032 11,009 YURTDISINDAKI NET YATIRIM RISKINDEN KORUNMA AMACLILAR 0 0 0 0 0 0 MADDI DURAN VARLIKLAR (NET) 5.1.13 1,416,647 1,258,263 158,384 1,577,265 1,412,741 164,524 MADDI OLMAYAN DURAN VARLIKLAR (NET) 5.1.14 230,610 209,004 21,606 104,030 88,370 15,660 SEREFIYE 6,388 6,388 0 6,388 6,388 0 DIGER 224,222 202,616 21,606 97,642 81,982 15,660 YATIRIM AMACLI GAYRIMENKULLER (NET) 5.1.15 125,218 125,218 0 121,671 121,671 0 VERGI VARLIGI 216,640 165,686 50,954 225,621 166,814 58,807 CARI VERGI VARLIGI 10,389 10 10,379 12,001 302 11,699 ERTELENMIS VERGI VARLIGI 5.1.16 206,251 165,676 40,575 213,620 166,512 47,108 SATIS AMACLI ELDE TUTULAN VE DURDURULAN FAALIYETLERE ILISKIN DURAN VARLIKLAR (NET) 5.1.17 157,943 153,043 4,900 149,742 147,510 2,232 SATIS AMACLI 157,943 153,043 4,900 149,742 147,510 2,232 DURDURULAN FAALIYETLERE ILISKIN 0 0 0 0 0 0 DIGER AKTIFLER 5.1.18 7,584,657 7,156,294 428,363 7,672,784 7,333,767 339,017
AKTIF TOPLAMI 225,398,523 127,478,615 97,919,908 221,482,286 125,712,627 95,769,659
PASIF KALEMLER MEVDUAT 5.2.1 121,834,552 56,751,561 65,082,991 119,209,227 59,531,562 59,677,665 BANKANIN DAHIL OLDUGU RISK GRUBUNUN MEVDUATI 5.7 600,912 232,655 368,257 676,236 239,123 437,113 DIGER 121,233,640 56,518,906 64,714,734 118,532,991 59,292,439 59,240,552 ALIM SATIM AMACLI TUREV FINANSAL BORCLAR 5.2.2 1,962,290 1,563,824 398,466 1,567,030 1,159,931 407,099 ALINAN KREDILER 5.2.3 33,464,994 5,924,930 27,540,064 33,985,980 6,557,375 27,428,605 PARA PIYASALARINA BORCLAR 15,869,719 10,168,643 5,701,076 16,007,738 11,430,918 4,576,820 BANKALARARASI PARA PIYASALARINA BORCLAR 0 0 0 0 0 0 IMKB TAKASBANK PIYASASINA BORCLAR 0 0 0 0 0 0 REPO ISLEMLERINDEN SAGLANAN FONLAR 5.2.4 15,869,719 10,168,643 5,701,076 16,007,738 11,430,918 4,576,820 IHRAC EDILEN MENKUL KIYMETLER (NET) 5.2.4 11,145,971 4,983,641 6,162,330 10,790,559 4,332,755 6,457,804 BONOLAR 2,240,727 2,240,727 0 1,616,171 1,616,171 0 VARLIGA DAYALI MENKUL KIYMETLER 0 0 0 0 0 0 TAHVILLER 8,905,244 2,742,914 6,162,330 9,174,388 2,716,584 6,457,804 FONLAR 0 0 0 0 0 0 MUSTAKRIZ FONLARI 0 0 0 0 0 0 DIGER 0 0 0 0 0 0 MUHTELIF BORCLAR 5.2.4 10,311,052 9,609,309 701,743 10,014,836 9,356,225 658,611 DIGER YABANCI KAYNAKLAR 2,668,095 1,992,798 675,297 2,986,870 2,300,052 686,818 FAKTORING BORCLARI 5.2.5 0 0 0 0 0 0 KIRALAMA ISLEMLERINDEN BORCLAR 5.2.6 0 0 0 61 0 61 FINANSAL KIRALAMA BORCLARI 0 0 0 486 0 486 FAALIYET KIRALAMASI BORCLARI 0 0 0 0 0 0 DIGER 0 0 0 0 0 0 ERTELENMIS FINANSAL KIRALAMA GIDERLERI (-) 0 0 0 425 0 425 RISKTEN KORUNMA AMACLI TUREV FINANSAL BORCLAR 5.2.7 48,131 20,186 27,945 39,105 0 39,105 GERCEGE UYGUN DEGER RISKINDEN KORUNMA AMACLILAR 48,131 20,186 27,945 39,105 0 39,105 NAKIT AKIS RISKINDEN KORUNMA AMACLILAR 0 0 0 0 0 0 YURT DISINDAKI NET YATIRIM RISKINDEN KORUNMA AMACLILAR 0 0 0 0 0 0 KARSILIKLAR 5.2.8 3,564,190 3,449,094 115,096 3,349,750 3,231,292 118,458 GENEL KARSILIKLAR 2,121,551 2,050,996 70,555 2,037,837 1,962,713 75,124 YENIDEN YAPILANMA KARSILIGI 0 0 0 0 0 0 CALISAN HAKLARI KARSILIGI