İş Gayrimenkul Yatırım Ortaklığı Anonim Şirketi Condensed Statement of Financial Position (Balance Sheet) For the Interim Period Ended June 30, 2022

(Amounts expressed in Turkish Lira ("TL") unless otherwise indicated.)

Reviewed

Audited

June 30,

December 31,

Notes

2022

2021

ASSETS

Current assets

711.149.847

492.261.589

Cash and cash equivalents

5

360.328.321

138.562.954

Trade receivables

8

120.605.898

109.092.484

Trade receivables from related parties

24

2.967.553

2.369.667

Trade receivables from third parties

117.638.345

106.722.817

Other receivables

9

6.891.868

5.560.768

Other receivables from third parties

6.891.868

5.560.768

Derivatives

6

14.055.683

28.049.500

Inventories

11

126.263.559

139.873.007

Prepaid expenses

16

65.269.994

68.485.450

Prepaid expenses to related parties

24

2.738.075

229.092

Prepaid expenses to third parties

62.531.919

68.256.358

Other current assets

16

17.734.524

2.637.426

Non-current assets

6.649.550.093

6.184.059.709

Financial investments

6

270.766.098

272.785.497

Trade receivables

8

1.072.328

3.528.353

Other trade receivables from third parties

1.072.328

3.528.353

Inventories

11

693.951.506

381.236.548

Equity accounted investees

3

8.115.879

5.768.402

Investment properties

10

4.986.975.888

4.979.646.022

Investment properties under development

10

621.206.462

474.465.000

Tangible assets

12

54.822.198

55.492.519

Intangible assets

13

1.704.611

1.249.812

Prepaid expenses

16

10.935.123

9.887.556

Prepaid expenses to third parties

10.935.123

9.887.556

TOTAL ASSETS

7.360.699.940

6.676.321.298

The accompanying notes form an integral part of these financial statements

1

İş Gayrimenkul Yatırım Ortaklığı Anonim Şirketi Condensed Statement of Financial Position (Balance Sheet) For the Interim Period Ended June 30, 2022

(Amounts expressed in Turkish Lira ("TL") unless otherwise indicated.)

Reviewed

Audited

June 30,

December 31,

Notes

2022

2021

LIABILITIES

Short-term liabilities

1.630.560.765

1.000.398.213

Short term loans and borrowings

7

1.240.850.220

840.482.361

Loans and borrowings to related parties

24

632.420.707

442.594.531

Loans and borrowings to third parties

608.429.513

397.887.830

Current portion of long term borrowings

7

188.530.716

5.645.663

Loans and borrowings to related parties

24

5.580.020

5.645.663

Loans and borrowings to third parties

182.950.696

--

Trade payables

8

13.515.305

10.550.029

Trade payables to related parties

24

6.259.831

4.310.834

Trade payables to third parties

8

7.255.474

6.239.195

Other payables

9

21.706.580

16.137.729

Other payables to third parties

9

21.706.580

16.137.729

Liabilities from contracts with customers

112.105.810

98.315.105

Contractual obligations from sales of goods and services

17

112.105.810

98.315.105

Deferred income (Excluding liabilities from contracts with

customers)

16

31.163.150

18.673.511

Deferred income from related parties

24

202.971

56.771

Deferred income from third parties

30.960.179

18.616.740

Short-term provisions

5.768.526

6.517.479

Provisions for employee benefits

15

1.009.030

496.510

Other short-term provisions

14

4.759.496

6.020.969

Other short-term liabilities

16

7.363.486

4.076.336

Derivatives

6

9.556.972

--

Long-term liabilities

121.293.668

200.260.206

Long-term loans and borrowings

7

117.000.002

197.107.317

Loans and borrowings to related parties

24

117.000.002

117.000.002

Loans and borrowings to third parties

--

80.107.315

Long-term provisions

4.293.666

3.152.889

Provisions for employee benefits

15

4.293.666

3.152.889

EQUITY

5.608.845.507

5.475.662.879

Share capital

18

958.750.000

958.750.000

Inflation restatement difference on share capital

18

240.146.090

240.146.090

Share premium

18

423.981

423.981

Other comprehensive income that will never be reclassified to

profit or loss

55.581.064

55.581.064

Revaluation and classification of gains / losses

56.043.574

56.043.574

Other earnings/ losses

(462.510)

(462.510)

Restricted reserves

18

77.792.818

71.190.580

Prior years' profits

18

4.142.968.926

2.819.651.274

Net profit for the period

133.182.628

1.329.919.890

TOTAL EQUITY AND LIABILITIES

7.360.699.940

6.676.321.298

The accompanying notes form an integral part of these financial statements

2

İş Gayrimenkul Yatırım Ortaklığı Anonim Şirketi Condensed Statement of Profit or Loss

For the Interim Period Ended June 30, 2022

(Amounts expressed in Turkish Lira ("TL") unless otherwise indicated.)

Reviewed

Reviewed

Reviewed

Reviewed

1 January-

1 April-

1 January-

1 April-

Notes

30 June,

30 June,

30 June,

30 June,

2022

2022

2021

2021

Revenue

19

311.235.233

171.753.868

165.916.171

93.884.211

Cost of revenue (-)

19

(87.677.782)

(43.816.633)

(66.289.974)

(39.720.170)

Gross profit

223.557.451

127.937.235

99.626.197

54.164.041

General administrative expense (-)

20

(23.299.503)

(13.464.901)

(18.034.870)

(10.312.204)

Marketing expenses (-)

20

(11.425.522)

(6.949.883)

(3.140.588)

(1.602.229)

Other operating income

21

21.301.072

13.404.120

6.767.334

2.237.735

Other operating expense (-)

21

(2.118.118)

(1.034.746)

(1.996.630)

(620.855)

Operating profit

208.015.380

119.891.825

83.221.443

43.866.488

Share of profit of equity-accounted

investees

3

2.847.477

1.442.145

672.319

371.099

Operating Profit Before Finance

210.862.857

121.333.970

83.893.762

44.237.587

Expense

Financial income

22

--

(2.905.962)

22.899.293

(3.152.570)

Financial expenses (-)

22

(77.680.229)

(51.352.996)

(111.407.338)

(49.297.663)

Operating Profit before Tax From

133.182.628

67.075.012

(4.614.283)

(8.212.646)

Continuing Operations

Tax Expense From Continuing

Operations

- Corporate tax charge

--

--

--

--

- Deferred tax benefit

--

--

--

--

Net profit for the period

133.182.628

67.075.012

(4.614.283)

(8.212.646)

Earnings per share

23

0,0014

0,0007

(0,00005)

(0,00009)

The accompanying notes form an integral part of these financial statements

3

İş Gayrimenkul Yatırım Ortaklığı Anonim Şirketi Condensed Statement of Other Comprehensive Income For the Interim Period Ended June 30, 2022

(Amounts expressed in Turkish Lira ("TL") unless otherwise indicated.)

Reviewed

Reviewed

Reviewed

Reviewed

1 January-

1 April-

1 January-

1 April-

30 June,

30 June,

30 June,

30 June,

Notes

2022

2022

2021

2021

Net profit for the period

133.182.628

67.075.012

(4.614.283)

(8.212.646)

Other comprehensive income

Other comprehensive income that

will never be reclassified to profit

or loss

Revaluation and classification of

--

--

gains / losses

--

--

Actuarial gain/(loss) arising from

--

--

defined benefit plans

--

--

Other comprehensive income

--

--

--

--

TOTAL

COMPREHENSIVE

133.182.628

67.075.012

(4.614.283)

(8.212.646)

INCOME

The accompanying notes form an integral part of these financial statements

4

İş Gayrimenkul Yatırım Ortaklığı Anonim Şirketi Condensed Statement of Changes in Equity

For the Interim Period Ended June 30, 2022

(Amounts expressed in Turkish Lira ("TL") unless otherwise indicated.)

Other comprehensive income that will

never be reclassified to profit or loss

Inflation

restatement

Revaluation and

difference on

Share

Other

classification of

Prior years'

Net profit for

Notes

Share capital

share capital

premium

earnings/losses

gains/losses

Legal reserves

profits

the period

Total

Balances at January 1, 2021

958.750.000

240.146.090

423.981

(302.888)

41.094.769

70.941.969

2.553.397.882

266.502.003

4.130.953.806

Transfers

--

--

--

--

--

248.611

266.253.392

(266.502.003)

--

Total comprehensive income

--

--

--

--

--

--

--

(4.614.283)

(4.614.283)

Balances at June 30, 2021

18

958.750.000

240.146.090

423.981

(302.888)

41.094.769

71.190.580

2.819.651.274

(4.614.283)

4.126.339.523

Balances at January 1, 2022

958.750.000

240.146.090

423.981

(462.510)

56.043.574

71.190.580

2.819.651.274

1.329.919.890

5.475.662.879

Transfers

--

--

--

--

--

6.602.238

1.323.317.652

(1.329.919.890)

--

Total comprehensive income

--

--

--

--

--

--

--

133.182.628

133.182.628

Balances at June 30, 2022

18

958.750.000

240.146.090

423.981

(462.510)

56.043.574

77.792.818

4.142.968.926

133.182.628

5.608.845.507

The accompanying notes form an integral part of these financial statements

5

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Is Gayrimenkul Yatirim Ortakligi AS published this content on 29 July 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 29 July 2022 16:41:30 UTC.