Skip to main content

KAP Disclosures

Diğer Equity-Based Circuit Breaker Announcement 2 September 2025
Diğer Company General Info Form 26 August 2025

Company Management

Board Members

Name-SurnamePerson Who Behaves On Behalf Of Legal Person Board MemberGenderTitleProfessionThe First Election Date To BoardWhether Executive Director or NotPositions Held in the Company in the Last 5 YearsCurrent Positions Held Outside the CompanyWhether the Director has at Least 5 Years'' Experience on Audit, Accounting and/or Finance or notShare in Capital (%)The Share Group that the Board Member RepresentingIndependent Board Member or notLink To PDP Notification That Includes The Independency DeclarationWhether the Independent Director Considered By The Nomination CommitteeWhether She/He is the Director Who Ceased to Satisfy The Independence or NotCommittees Charged and Task
GÖKHAN EYİGÜNMaleChairman of the BoardManaging Director / Chief Executive30.04.2025Non-Executive-H.Ö. Sabancı Holding Strateji ve İş Geliştirme Grup BaşkanıYesDependent MemberNot ConsideredNo
MUSTAFA KEREM TEZCANMaleDeputy Chairman of the BoardManaging Director / Chief Executive30.04.2025Non-ExecutiveH.Ö. Sabancı Holding Yatırımcı İlişkileri DirektörüYesDependent MemberNot ConsideredNo
SEÇKİN YELMENMaleMember of the BoardManaging Director / Chief Executive26.08.2025Non-ExecutiveH.Ö. Sabancı Holding Yatırımlar ve M&A DirektörüNoDependent MemberNot ConsideredNo
MEHMET FIRATMaleMember of the BoardManaging Director / Chief Executive13.10.2023Non-ExecutiveEnerjisa Enerji BT ve Dijital İş Yönetimi Bölüm BaşkanıNoDependent MemberNot ConsideredNo
KAMURAN UÇARFemaleMember of the BoardManaging Director / Chief Executive19.04.2024Non-ExecutiveBonaLiva Kurucu ve CEONoIndependent Memberhttps://www.kap.org.tr/tr/Bildirim/1261685ConsideredNoKurumsal Yönetim Komitesi Başkanı; Riskin Erken Saptanması Komitesi Başkanı; Denetim Komitesi Üyesi;
NEVGÜL BİLSEL SAFKANFemaleMember of the BoardManaging Director / Chief Executive22.03.2022Non-ExecutiveHacı Ömer Sabancı Vakfı Genel MüdürüYesIndependent Memberhttps://www.kap.org.tr/tr/Bildirim/1003241ConsideredNoDenetim Komitesi Başkanı ;Kurumsal Yönetim Komitesi Üyesi; Riskin Erken Saptanması Komitesi Üyesi;
Özel Durum Açıklaması Material Event Disclosure (General) 26 August 2025
Related Companies
[]
Related Funds
[]

Material Event Disclosure General

Update Notification Flag

Correction Notification Flag

Date Of The Previous Notification About The Same Subject

Postponed Notification Flag

Announcement Content

Explanations

Şirketimizde istifa nedeniyle boşalan Yönetim Kurulu üyeliğine, Türk Ticaret Kanunu'nun 363. maddesi uyarınca, ilk olağan Genel Kurul toplantısında Genel Kurul'un onayına sunulmak üzere Seçkin Yelmen'in seçilmesine karar verilmiştir. Kamuoyunun ve yatırımcılarımızın bilgisine saygıyla sunarız.
It has been resolved that Seçkin Yelmen be appointed as a member of the Board of Directors to fill the vacancy arising from a resignation, pursuant to Article 363 of the Turkish Commercial Code, to be submitted for the approval of the General Assembly at the first Ordinary General Assembly meeting. Respectfully presented for the information of the public and our investors. In case of a discrepancy between the Turkish and English versions of this public disclosure statement, Turkish version shall prevail.
Diğer Katılım Finansı İlkeleri Bilgi Formu 20 August 2025

ÖZET BİLGİLER

Sunum Para Birimi
TL
Verilerin Ait Olduğu Finansal Tablo Yılı / Dönemi
2025 / 6 Aylık
Finansal Tablo Niteliği
Konsolide
1) Şirketin kendisi, tüzel kişi ortakları veya iştiraklerinin esas sözleşmesinde yer alan faaliyet alanları arasında Katılım Finansı İlkelerine uygun olmayan faaliyet yer alıyor mu?
HAYIR
2) Şirket esas sözleşmesinde Katılım Finansı İlkelerine uygun olmayan imtiyaz bulunuyor mu?
HAYIR
3) Şirketin Standart madde 1.5 ve Rehber madde 1.D'de tanımlanan eylemleri desteklediğine ilişkin bir açıklama ve/veya karar bulunuyor mu?
HAYIR
4) Şirketin doğrudan Katılım Finansı İlkelerine aykırı kabul edilen faaliyetleri ve/veya geliri bulunuyor mu?
HAYIR
5) Şirketin Katılım Finansı İlkelerine Uygun Olmayan Gelirlerinin Oranı (%) [ (4B+4C-4D) / 4E ] * 100
4,46
6) Şirketin Katılım Finansı İlkelerine Uygun Olmayan Varlıklarının Oranı (%) [ 5F-5G) / 5H ] * 100
4,71
7) Şirketin Katılım Finansı İlkelerine Uygun Olmayan Borçlarının Oranı (%) [ (6I-6J) / 5H ] * 100
1,64

1) Katılım Finansı İlkelerine Uygun Olmayan Faaliyetlere İlişkin Esas Sözleşme Bilgileri

EVET / HAYIR
İLGİLİ ESAS SÖZLEŞME MADDESİNİN NUMARASI
1) Şirketin kendisinin, tüzel kişi ortaklarının veya iştiraklerinin esas sözleşmelerinde Standart madde 1.2'de sayılan faaliyetlerden herhangi birinin yapılabileceği yazıyor mu?
HAYIR
2) Şirketin kendisinin, tüzel kişi ortaklarının veya iştiraklerinin esas sözleşmelerinde, faaliyetleri arasında Standart madde 1.2'de sayılan faaliyetlerden herhangi biri olan şirketlere ortak olunabileceği yazıyor mu?
HAYIR

2)\tİmtiyazlı Pay ve İntifa Senedi Bilgileri

EVET / HAYIR
İLGİLİ ESAS SÖZLEŞME MADDESİNİN NUMARASI
1) Şirketin pay grupları arasında veya varsa intifa senetlerinde kâr payı imtiyazı bulunuyor mu?
HAYIR
2) Şirketin pay grupları arasında veya varsa intifa senetlerinde tasfiye payı imtiyazı bulunuyor mu?
HAYIR

3) Standart Madde 1.5 ve Rehber Madde 1.D'ye İlişkin Beyan

EVET / HAYIR
AÇIKLAMA
1) Şirketin, Standart madde 1.5 ve Rehber madde 1.D'de tanımlanan eylemleri desteklediğine ilişkin olarak şirket yetkili organ veya yetkilileri aracılığıyla kamuoyuna yapılmış bir açıklama bulunuyor mu?
HAYIR
2) Şirketin, Standart madde 1.5 ve Rehber madde 1.D'de tanımlanan eylemleri desteklediğine ilişkin olarak kamu kurumları veya ulusal ya da uluslararası mahkemelerce alınmış herhangi bir karar bulunuyor mu?
HAYIR

4) Katılım Finansı İlkelerine Uygun Olmayan Gelirler

A) REHBER MADDE 3.1 UYARINCA ŞİRKETİ DOĞRUDAN KATILIM FİNANSI İLKELERİNE AYKIRI HALE GETİREN FAALİYETLER

EVET / HAYIR

1) Şirketin kendisinin, tüzel kişi ortaklarının veya iştiraklerinin, Rehber madde 3.1.1 kapsamına girecek şekilde alkollü içki/gıda üretim ve ticaretine yönelik faaliyeti ve/veya geliri bulunuyor mu?
HAYIR
2) Şirketin kendisinin, tüzel kişi ortaklarının veya iştiraklerinin, Rehber madde 3.1.2 kapsamına girecek şekilde domuz mamullerinin üretim ve ticaretine yönelik faaliyeti ve/veya geliri bulunuyor mu?
HAYIR
3) Şirketin kendisinin, tüzel kişi ortaklarının veya iştiraklerinin, Rehber madde 3.1.3 kapsamına girecek şekilde içime yönelik tütün mamulleri üretim ve toptan ticaretine yönelik faaliyeti ve/veya geliri bulunuyor mu?
HAYIR
4) Şirketin kendisinin, tüzel kişi ortaklarının veya iştiraklerinin, Rehber madde 3.1.4 kapsamına girecek şekilde kumar veya kumar hükmünde faaliyeti ve/veya geliri bulunuyor mu?
HAYIR
5) Şirketin kendisinin, tüzel kişi ortaklarının veya iştiraklerinin katılım esaslı olanlar hariç finans sektörü faaliyeti ve/veya geliri bulunuyor mu?
HAYIR
6) Şirketin kendisinin, tüzel kişi ortaklarının veya iştiraklerinin, Rehber madde 3.1.5 kapsamına girecek şekilde ahlaka ve islami değerlere aykırı yayıncılık faaliyeti ve/veya geliri bulunuyor mu?
HAYIR
7) Şirketin kendisinin, tüzel kişi ortaklarının veya iştiraklerinin, Rehber madde 3.1.6 kapsamına girecek şekilde islami değerlerle bağdaşmayan otel işletmeciliği, turizm sektörü faaliyetleri, çeşitli eğlence ve organizasyon faaliyetleri ve/veya geliri bulunuyor mu?
HAYIR

B) KATILIM FİNANSI İLKELERİNE UYGUN OLMAYAN ANCAK REHBER MADDE 3.2 UYARINCA %5'E KADAR İZİN VERİLEN FAALİYETLERDEN ELDE EDİLEN GELİRLER

KALEM ADI
TUTAR

TL

2025 / 6 Aylık

Konsolide

1) Rehber madde 3.2.2 kapsamına girecek şekilde, sağlığa zararlı tütün ürünlerinin perakende satışı ve sunumundan elde edilen gelirlerin toplamı
0
2) Rehber madde 3.2.3 kapsamına girecek şekilde, katılım finansı ilkelerine uygun faaliyet göstermeyen şirketlere sunulan iş ve hizmetlerden elde edilen gelirlerin toplamı
0
3) Rehber madde 3.2.4 kapsamına girecek şekilde, katılım finansı ilkelerine uygun faaliyet göstermeyen şirketlerden elde edilen kira gelirlerinin toplamı
0
4) Rehber madde 3.2.5 kapsamına girecek şekilde, reklam, marka, sponsorluk ve aracılık faaliyetlerinden elde edilen gelirlerin toplamı
0
TOPLAM
0

C) İLGİLİ FİNANSAL TABLO KALEMLERİ

KALEM ADI
TUTAR

TL

2025 / 6 Aylık

Konsolide

1) Esas Faaliyetlerden Diğer Gelirler
195.485.927
2) Finansman Gelirleri
269.939.862
3) Yatırım Faaliyetlerinden Gelirler
56.698.839
4) Finans Sektörü Faaliyetleri Hasılatı
0
5) Özkaynak Yöntemiyle Değerlenen Yatırımların Karlarından (Zararlarından) Paylar
0
TOPLAM
522.124.628

D) C TABLOSUNDA SAYILAN FİNANSAL TABLO KALEMLERİNİN İÇİNDE YER ALAN VE KATILIM FİNANSI İLKELERİNE UYGUN OLDUĞU VARSAYILAN GELİRLER

KALEM ADI
TUTAR

TL

2025 / 6 Aylık

Konsolide

1) Fiyat farkı gelirleri (C tablosunda sayılan kalemlerde muhasebeleştirilmiş kısmı)
0
2) Kur farkı gelirleri (C tablosunda sayılan kalemlerde muhasebeleştirilmiş kısmı)
110.296.844
3) Vade farkı gelirleri (C tablosunda sayılan kalemlerde muhasebeleştirilmiş kısmı)
19.312.551
4) Kur Korumalı Katılım hesapları dahil katılım esaslı kıymetlerden ve fonlardan elde edilen gelirler
0
5) SGK prim gelirleri
0
6) Katılım bankalarından alınan promosyon gelirleri
0
7) Müşteri peşinatları irad kaydı (C tablosunda sayılan kalemlerde muhasebeleştirilmiş kısmı)
0
8) Konusu kalmayan karşılıklar
0
9) Hizmet gelirleri (C tablosunda sayılan kalemlerde muhasebeleştirilmiş kısmı)
0
10) Kira ve bakım onarım gelirleri (C tablosunda sayılan kalemlerde muhasebeleştirilmiş kısmı)
5.625.156
11) Ardiye gelirleri (C tablosunda sayılan kalemlerde muhasebeleştirilmiş kısmı)
0
12) Tazminat ve gecikme ceza gelirleri
0
13) Sigorta hasar tazminat gelirleri
4.117.480
14) Dava gelirleri
0
15) Katılım Finansı İlkelerine uygun faaliyet gösteren şirketlerden elde edilen temettü gelirleri
0
16) Yukarıdaki kalemlerde yer verilmeyen ancak Katılım Finansı İlkelerine uygun sayılan diğer gelirlerin toplamı (C tablosunda sayılan kalemlerde muhasebeleştirilmiş kısmı)
0
TOPLAM
139.352.031
Yukarıdaki 16 numaralı madde için açıklama
Şirketin esas faaliyetleri ile ilgili ve finansal tabloda esas faaliyetlerden diğer gelirler tutarı mağaza dekorasyon gelirleri, maddi duran varlık satış karları, satış destek primleri ve diğer gelirlerden oluşmaktadır.

E) TOPLAM GELİRLER

KALEM ADI
TUTAR

TL

2025 / 6 Aylık

Konsolide

1) Hasılat
8.065.185.291
2) Esas Faaliyetlerden Diğer Gelirler
195.485.927
3) Finansman Gelirleri
269.939.862
4) Yatırım Faaliyetlerinden Gelirler
56.698.839
5) Finans Sektörü Faaliyetleri Hasılatı
0
6) Özkaynak Yöntemiyle Değerlenen Yatırımların Karlarından Paylar
0
TOPLAM
8.587.309.919

5)\tKatılım Finansı İlkelerine Uygun Olmayan Varlıklar (F-G)

F) İLGİLİ FİNANSAL TABLO KALEMLERİ

KALEM ADI
TUTAR

TL

2025 / 6 Aylık

Konsolide

1) Nakit ve Nakit Benzerleri
578.711.376
2) Finansal Yatırımlar (Dönen ve Duran Varlıklarda Sınıflandırılanların Toplamı)
258.121.189
3) Türev Araçlar (Dönen ve Duran Varlıklarda Sınıflandırılanların Toplamı)
0
4) Finans Sektörü Faaliyetlerinden Alacaklar (Dönen ve Duran Varlıklarda Sınıflandırılanların Toplamı)
0
5) Özkaynak Yöntemiyle Değerlenen Yatırımlar
0
6) İştirakler, İş Ortaklıkları ve Bağlı Ortaklıklardaki Yatırımlar
0
TOPLAM
836.832.565

G) F TABLOSUNDA SAYILAN FİNANSAL TABLO KALEMLERİNİN İÇİNDE YER ALAN VE KATILIM FİNANSI İLKELERİNE UYGUN OLDUĞU VARSAYILAN VARLIKLAR

KALEM ADI
TUTAR

TL

2025 / 6 Aylık

Konsolide

1) Çekler
0
2) Kasa
830.463
3) Vadesiz mevduat hesapları
156.278.203
4) Katılım esaslı yatırım araçlarındaki (kira sertifikası, sukuk, kur korumalı dahil katılım bankalarında tutulan hesaplar) tutarlar
0
5) Katılım Finansı İlkelerine uygun faaliyet gösteren iştirakler ve bağlı ortaklıklardaki şirket payları
0
6) Kredi kartı alacakları
43.121.928
7) Yukarıdaki kalemlerde yer verilmeyen ancak Katılım Finansı İlkelerine uygun sayılan diğer varlıkların toplamı (F tablosunda sayılan mali tablo kalemlerinde muhasebeleştirilmiş kısmı)
0
TOPLAM
200.230.594
Yukarıdaki 7 numaralı madde için açıklama
0

H) TOPLAM VARLIKLAR

KALEM ADI
TUTAR

TL

2025 / 6 Aylık

Konsolide

Toplam Varlıklar
13.522.071.089

6)\tKatılım Finansı İlkelerine Uygun Olmayan Borçlar (I-J)

I) İLGİLİ FİNANSAL TABLO KALEMLERİ

KALEM ADI
TUTAR

TL

2025 / 6 Aylık

Konsolide

1) Kısa Vadeli Borçlanmalar
362.302.473
2) Uzun Vadeli Borçlanmaların Kısa Vadeli Kısımları
634.230.902
3) Uzun Vadeli Borçlanmalar
1.026.249.934
4) Türev Araçlar (Kısa ve Uzun Vadeli Yükümlülüklerde Sınıflandırılanların Toplamı)
0
5) Finans Sektörü Faaliyetlerinden Borçlar (Kısa ve Uzun Vadeli Yükümlülüklerde Sınıflandırılanların Toplamı)
0
6) Diğer Borçlar (Kısa ve Uzun Vadeli Yükümlülüklerde Sınıflandırılanların Toplamı)
28.908.431
TOPLAM
2.051.691.740

J) I TABLOSUNDA SAYILAN FİNANSAL TABLO KALEMLERİNİN İÇİNDE YER ALAN VE KATILIM FİNANSI İLKELERİNE UYGUN OLDUĞU VARSAYILAN BORÇLAR

KALEM ADI
TUTAR

TL

2025 / 6 Aylık

Konsolide

1) Kiralama işlemlerinden borçlar (Kısa ve Uzun Vadeli Yükümlülüklerde Sınıflandırılanların Toplamı)
1.580.471.615
2) Katılım bankalarından alınmış krediler
250.000.000
3) Kira sertifikası, sukuk vb. faizsiz finansal araçlarda yapılmış ihraçlar
0
4) Yukarıdaki kalemlerde yer verilmeyen ancak Katılım Finansı İlkelerine uygun sayılan diğer borçların toplamı (I tablosunda sayılan mali tablo kalemlerinde muhasebeleştirilmiş kısmı)
0
TOPLAM
1.830.471.615

Yukarıdaki 4 numaralı madde için açıklama

Diğer Company General Info Form 6 August 2025

Markets, Indices and Capital Market Instruments

Information About Issued Capital Market Instruments Other Than Shares

Type of Capital Market InstrumentIssue CeilingMonetary UnitDomestic/ForeignBeginning Date of Issue CeilingEnding Date of Issue CeilingType of SaleFund User
Finansman Bonosu1000000000TRYDomestic12.01.202312.01.2024Sale To Qualified Investor
Finansman Bonosu1000000000TRYDomestic04.07.202404.07.2025Sale To Qualified Investor
Finansman Bonosu2000000000TRYDomestic19.06.202519.06.2026Sale To Qualified Investor
Diğer Participation Finance Principles Information Form 6 August 2025

SUMMARY INFORMATION

Presentation Currency
1.000 TL
Financial Statement Year / Period
2025 / 6 Months
Nature of Financial Statements
Unconsolidated
1) Are there any activities of the company itself, partners or subsidiaries that do not comply with the Participation Finance Principles written in the article of association?
YES
2) Are there any share privileges that do not comply with the Participation Finance Principles written in the article of association?
NO
3) Does the company engage in the actions and/or transactions defined in Article 1.5 of the Standard and Article 1.D of the Guidelines?
NO
4) Does the company have activities and/or income that are directly contrary to the principles of participation finance?
NO
5) The ratio of the company's total income that do not comply with the Participation Finance Principles (%) [ (4B+4C-4D) / 4E ] * 100
0,28
6) The ratio of the company's assets that do not comply with the Participation Finance Principles (%) [ 5F-5G) / 5H ] * 100
3,41
7) The ratio of the company's liabilities that do not comply with the Participation Finance Principles (%) [ (6I-6J) / 5H ] * 100
5,03

1)/tActivities Written In Article Of Association That Do Not Comply With The Participation Finance Principles

YES / NO
SECTION NUMBER
1) Does the company's, its partners' or subsidiaries' article of association include any of the activities listed in article 1.2 of the Standard?YES4. Madde 21. Fıkra
2) Does the company's, its partners' or subsidiaries' article of association allow to become a partner in companies whose activities include any of the activities listed in article 1.2 of the Standard?YES4. Madde 21. Fıkra

2)/tPreferred Shares and Usufruct Shares Information

YES / NO
SECTION NUMBER
1) Are there any dividend privileges among the share groups of the company or, if any, in the usufruct shares?
NO
2) Are there any liquidation privileges among the share groups of the company or, if any, in the usufruct shares?
NO

3)/tStatement on Standard Article 1.5 and Guideline Article 1.D

YES / NO
NOTE
1) Is there a disclosure to the public made by the company's authorized body or officials regarding the company's support for the actions described in Standard's article 1.5 and Guideline's article 1.D?
NO
2) Are there any decisions made by public authorities or national or international courts regarding the company's support for the acts described in Standard's article 1.5 and Guideline's article 1.D?
NO

4)/tIncomes That Do Not Comply With The Participation Finance Principles

A) ACTIVITIES THAT RENDER THE COMPANY DIRECTLY CONTRARY TO THE PRINCIPLES OF PARTICIPATION FINANCE PURSUANT TO GUDELINE ARTICLE 3.1

YES / NO

1) Does the company itself, its shareholders or subsidiaries have activities and/or income for the production and trade of alcoholic beverages/foods in accordance with the Guideline's article 3.1.1?
NO
2) Does the company itself, its partners or subsidiaries have activities and/or income for the production and trade of pork products in accordance with the Guideline's article 3.1.2?
NO
3) Does the company itself, its partners or subsidiaries have activities and/or income for the production and wholesale trade of tobacco products for smoking in accordance with the Guideline's article 3.1.3?
NO
4) Does the company itself, its partners or subsidiaries have gambling or gambling-like activities and/or income in accordance with the Guideline's article 3.1.4?
NO
5) Does the company itself, its partners or subsidiaries have any financial sector activities and/or income, excluding those based on participation finance?
NO
6) Does the company itself, its partners or subsidiaries have any publishing activities and/or revenue that are contrary to morality and Islamic values in accordance with the Guideline's article 3.1.5?
NO
7) Does the company itself, its partners or subsidiaries have hotel management, tourism sector activities, various entertainment and organization activities and/or income that are incompatible with Islamic values in accordance with the Guideline's article 3.1.6?
NO

B) INCOME FROM ACTIVITIES THAT ARE NOT IN COMPLIANCE WITH THE PRINCIPLES OF PARTICIPATION FINANCE BUT ARE PERMITTED UP TO 5% IN ACCORDANCE WITH GUIDELINE ARTICLE 3.2

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) In accordance with the Guideline's article 3.2.2, total revenue from the retail sale of tobacco products damaging to health
0
2) In accordance with the Guideline's article 3.2.3, total income from business and services provided to companies that do not operate in accordance with the principles of participation finance
0
3) In accordance with the Guideline's article 3.2.4, total rental income from companies that do not operate in accordance with the principles of participation finance
0
4) In accordance with the Guideline's article 3.2.5, total revenue from advertising, branding, sponsorship and brokerage activities
0
TOTAL
0

C) RELATED FINANCIAL STATEMENT ITEMS

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Other Operating Income
431.018
2) Finance Income
101.348
3) Investment Activity Income
0
4) Revenue from Finance Sector Operations
0
5) Share of Profit (Loss) of Associated and Joint Ventures Accounted for Using Equity Method
0
TOTAL
532.366

D) INCOME THAT COMPLY WITH THE PARTICIPATION FINANCE PRIINCIPLES THAT IS IN THE FINANCIAL STATEMENT ITEMS LISTED IN TABLE C

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Price difference income (The portion accounted for in the items listed in table C)
0
2) Foreign exchange gains (The portion accounted for in the items listed in table C)
294.915
3) Term sales income (The portion accounted for in the items listed in table C)
92.045
4) Income from participation-based assets and funds included currency protected deposit
0
5) Social security contribution income
0
6) Promotion income from participation banks
0
7) Customer prepayments recorded as revenue (The portion accounted for in the items listed in table C)
0
8) Provisions no longer required
0
9) Service revenue (The portion accounted for in the items listed in table C)
0
10) Rent and maintenance-repair income (The portion accounted for in the items listed in table C)
0
11) Warehousing income (The portion accounted for in the items listed in table C)
0
12) Compensation and penalty income
0
13) Insurance damage compensation income
0
14) Lawsuit income
0
15) Dividend income from companies whose activities comply with the participation finance principles
0
16) Total of other income that comply with the participation finance principles not listed above (The portion accounted for in the items listed in table C)
45.954
TOTAL
432.914

Explanation for the article 16 above

E) TOTAL INCOME

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Revenue
35.163.477
2) Other Operating Income
431.018
3) Finance Income
101.348
4) Investment Activity Income
0
5) Revenue from Finance Sector Operations
0
6) Share of Profit (Loss) of Associates and Joint Ventures Accounted for Using Equity Method
0
TOTAL
35.695.843

5)/tAssets That Do Not Comply With The Participation Finance Principles (F-G)

F) RELATED FINANCIAL STATEMENT ITEMS

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Cash and cash equivalents
1.326.038
2) Financial Investments (Total of Those Classified in Current and Noncurrent Assets)
0
3) Derivative Financial Assets (Total of Current and Noncurrent Assets)
0
4) Receivables From Financial Sector Operations (Total of Current and Noncurrent Assets)
0
5) Investments Accounted For Using Equity Method
0
6) Investments In Subsidiaries Joint Ventures And Associates
0
TOTAL
1.326.038

G) ASSETS THAT COMPLY WITH THE PARTICIPATION FINANCE PRINCIPLES THAT IS IN THE FINANCIAL STATEMENT ITEMS LISTED IN TABLE F

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Checks
0
2) Cash
8.298
3) Demand deposits
461.279
4) Total invested amount in participation-based financial instruments (Lease certificates, sukuk, profit share deposit included currency protected deposit)
0
5) Shares in subsidiaries joint ventures and associates complying with the participation finance principles
0
6) Credit card receivables
198.582
7) Total of other assets that are considered as compliying with the participation finance principles not listed above (The portion accounted for in the items listed in table F)
0
TOTAL
668.159

Explanation for the article 7 above

H) TOTAL ASSETS

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

TOTAL ASSETS
19.309.004

6)/tLiabilities That Do Not Comply With The Participation Finance Principles (I-J)

I) RELATED FINANCIAL STATEMENT ITEMS

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Current Borowings
948.000
2) Current Portion Of Noncurrent Borrowings
540.990
3) Noncurrent Borrowings
796.944
4) Derivative Financial Liabilities (Total of Those Classified in Current and Noncurrent Liabilities)
4.536
5) Payables On Financial Sector Operations (Total of Those Classified in Current and Noncurrent Liabilities)
0
6) Other Payables (Total of Those Classified in Current and Noncurrent Liabilities)
19.061
TOTAL
2.309.531

J) LIABILITES THAT COMPLY WITH THE PARTICIPATION FINANCE PRINCIPLES AND LISTED IN THE TABLE I

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Lease Liabilities (Total of Those Classified in Current and Noncurrent Liabilities)
1.337.934
2) Bank Loans From Participation Banks
0
3) Issued Debt Instruments in interest-free instruments e.g.lease certificates, sukuk
0
4) Total of other debts that are considered as complying with the participation finance principles not listed above (The portion accounted for in the items listed in table I)
0
TOTAL
1.337.934

Explanation for the article 4 above

SUMMARY INFORMATION

Presentation Currency
1.000 TL
Financial Statement Year / Period
2025 / 6 Months
Nature of Financial Statements
Unconsolidated
1) Are there any activities of the company itself, partners or subsidiaries that do not comply with the Participation Finance Principles written in the article of association?
YES
2) Are there any share privileges that do not comply with the Participation Finance Principles written in the article of association?
NO
3) Does the company engage in the actions and/or transactions defined in Article 1.5 of the Standard and Article 1.D of the Guidelines?
NO
4) Does the company have activities and/or income that are directly contrary to the principles of participation finance?
NO
5) The ratio of the company's total income that do not comply with the Participation Finance Principles (%) [ (4B+4C-4D) / 4E ] * 100
0,28
6) The ratio of the company's assets that do not comply with the Participation Finance Principles (%) [ 5F-5G) / 5H ] * 100
3,41
7) The ratio of the company's liabilities that do not comply with the Participation Finance Principles (%) [ (6I-6J) / 5H ] * 100
5,03

1) Activities Written In Article Of Association That Do Not Comply With The Participation Finance Principles

YES / NO
SECTION NUMBER
1) Does the company's, its partners' or subsidiaries' article of association include any of the activities listed in article 1.2 of the Standard?YES4. Madde 21. Fıkra
2) Does the company's, its partners' or subsidiaries' article of association allow to become a partner in companies whose activities include any of the activities listed in article 1.2 of the Standard?YES4. Madde 21. Fıkra

2) Preferred Shares and Usufruct Shares Information

YES / NO
SECTION NUMBER
1) Are there any dividend privileges among the share groups of the company or, if any, in the usufruct shares?
NO
2) Are there any liquidation privileges among the share groups of the company or, if any, in the usufruct shares?
NO

3) Statement on Standard Article 1.5 and Guideline Article 1.D

YES / NO
NOTE
1) Is there a disclosure to the public made by the company's authorized body or officials regarding the company's support for the actions described in Standard's article 1.5 and Guideline's article 1.D?
NO
2) Are there any decisions made by public authorities or national or international courts regarding the company's support for the acts described in Standard's article 1.5 and Guideline's article 1.D?
NO

4) Incomes That Do Not Comply With The Participation Finance Principles

A) ACTIVITIES THAT RENDER THE COMPANY DIRECTLY CONTRARY TO THE PRINCIPLES OF PARTICIPATION FINANCE PURSUANT TO GUDELINE ARTICLE 3.1

YES / NO

1) Does the company itself, its shareholders or subsidiaries have activities and/or income for the production and trade of alcoholic beverages/foods in accordance with the Guideline's article 3.1.1?
NO
2) Does the company itself, its partners or subsidiaries have activities and/or income for the production and trade of pork products in accordance with the Guideline's article 3.1.2?
NO
3) Does the company itself, its partners or subsidiaries have activities and/or income for the production and wholesale trade of tobacco products for smoking in accordance with the Guideline's article 3.1.3?
NO
4) Does the company itself, its partners or subsidiaries have gambling or gambling-like activities and/or income in accordance with the Guideline's article 3.1.4?
NO
5) Does the company itself, its partners or subsidiaries have any financial sector activities and/or income, excluding those based on participation finance?
NO
6) Does the company itself, its partners or subsidiaries have any publishing activities and/or revenue that are contrary to morality and Islamic values in accordance with the Guideline's article 3.1.5?
NO
7) Does the company itself, its partners or subsidiaries have hotel management, tourism sector activities, various entertainment and organization activities and/or income that are incompatible with Islamic values in accordance with the Guideline's article 3.1.6?
NO

B) INCOME FROM ACTIVITIES THAT ARE NOT IN COMPLIANCE WITH THE PRINCIPLES OF PARTICIPATION FINANCE BUT ARE PERMITTED UP TO 5% IN ACCORDANCE WITH GUIDELINE ARTICLE 3.2

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) In accordance with the Guideline's article 3.2.2, total revenue from the retail sale of tobacco products damaging to health
0
2) In accordance with the Guideline's article 3.2.3, total income from business and services provided to companies that do not operate in accordance with the principles of participation finance
0
3) In accordance with the Guideline's article 3.2.4, total rental income from companies that do not operate in accordance with the principles of participation finance
0
4) In accordance with the Guideline's article 3.2.5, total revenue from advertising, branding, sponsorship and brokerage activities
0
TOTAL
0

C) RELATED FINANCIAL STATEMENT ITEMS

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Other Operating Income
431.018
2) Finance Income
101.348
3) Investment Activity Income
0
4) Revenue from Finance Sector Operations
0
5) Share of Profit (Loss) of Associated and Joint Ventures Accounted for Using Equity Method
0
TOTAL
532.366

D) INCOME THAT COMPLY WITH THE PARTICIPATION FINANCE PRIINCIPLES THAT IS IN THE FINANCIAL STATEMENT ITEMS LISTED IN TABLE C

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Price difference income (The portion accounted for in the items listed in table C)
0
2) Foreign exchange gains (The portion accounted for in the items listed in table C)
294.915
3) Term sales income (The portion accounted for in the items listed in table C)
92.045
4) Income from participation-based assets and funds included currency protected deposit
0
5) Social security contribution income
0
6) Promotion income from participation banks
0
7) Customer prepayments recorded as revenue (The portion accounted for in the items listed in table C)
0
8) Provisions no longer required
0
9) Service revenue (The portion accounted for in the items listed in table C)
0
10) Rent and maintenance-repair income (The portion accounted for in the items listed in table C)
0
11) Warehousing income (The portion accounted for in the items listed in table C)
0
12) Compensation and penalty income
0
13) Insurance damage compensation income
0
14) Lawsuit income
0
15) Dividend income from companies whose activities comply with the participation finance principles
0
16) Total of other income that comply with the participation finance principles not listed above (The portion accounted for in the items listed in table C)
45.954
TOTAL
432.914

Explanation for the article 16 above

E) TOTAL INCOME

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Revenue
35.163.477
2) Other Operating Income
431.018
3) Finance Income
101.348
4) Investment Activity Income
0
5) Revenue from Finance Sector Operations
0
6) Share of Profit (Loss) of Associates and Joint Ventures Accounted for Using Equity Method
0
TOTAL
35.695.843

5) Assets That Do Not Comply With The Participation Finance Principles (F-G)

F) RELATED FINANCIAL STATEMENT ITEMS

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Cash and cash equivalents
1.326.038
2) Financial Investments (Total of Those Classified in Current and Noncurrent Assets)
0
3) Derivative Financial Assets (Total of Current and Noncurrent Assets)
0
4) Receivables From Financial Sector Operations (Total of Current and Noncurrent Assets)
0
5) Investments Accounted For Using Equity Method
0
6) Investments In Subsidiaries Joint Ventures And Associates
0
TOTAL
1.326.038

G) ASSETS THAT COMPLY WITH THE PARTICIPATION FINANCE PRINCIPLES THAT IS IN THE FINANCIAL STATEMENT ITEMS LISTED IN TABLE F

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Checks
0
2) Cash
8.298
3) Demand deposits
461.279
4) Total invested amount in participation-based financial instruments (Lease certificates, sukuk, profit share deposit included currency protected deposit)
0
5) Shares in subsidiaries joint ventures and associates complying with the participation finance principles
0
6) Credit card receivables
198.582
7) Total of other assets that are considered as compliying with the participation finance principles not listed above (The portion accounted for in the items listed in table F)
0
TOTAL
668.159

Explanation for the article 7 above

H) TOTAL ASSETS

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

TOTAL ASSETS
19.309.004

6) Liabilities That Do Not Comply With The Participation Finance Principles (I-J)

I) RELATED FINANCIAL STATEMENT ITEMS

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Current Borowings
948.000
2) Current Portion Of Noncurrent Borrowings
540.990
3) Noncurrent Borrowings
796.944
4) Derivative Financial Liabilities (Total of Those Classified in Current and Noncurrent Liabilities)
4.536
5) Payables On Financial Sector Operations (Total of Those Classified in Current and Noncurrent Liabilities)
0
6) Other Payables (Total of Those Classified in Current and Noncurrent Liabilities)
19.061
TOTAL
2.309.531

J) LIABILITES THAT COMPLY WITH THE PARTICIPATION FINANCE PRINCIPLES AND LISTED IN THE TABLE I

ITEM NAME
AMOUNT

1.000 TL

2025 / 6 Months

Unconsolidated

1) Lease Liabilities (Total of Those Classified in Current and Noncurrent Liabilities)
1.337.934
2) Bank Loans From Participation Banks
0
3) Issued Debt Instruments in interest-free instruments e.g.lease certificates, sukuk
0
4) Total of other debts that are considered as complying with the participation finance principles not listed above (The portion accounted for in the items listed in table I)
0
TOTAL
1.337.934

Explanation for the article 4 above

Özel Durum Açıklaması Material Event Disclosure (General) 6 August 2025
Related Companies
[]
Related Funds
[]

Material Event Disclosure General

Update Notification Flag

Correction Notification Flag

Date Of The Previous Notification About The Same Subject

Postponed Notification Flag

Announcement Content

Explanations

Şirketimizin 2025 yılı 1. yarıyıl finansal sonuçlarına ilişkin bilgilendirme notu ekte yer almaktadır.
Our company's earnings release regarding the first half of 2025 financials results is attached.
PDF ekleri
Document
Document
Sürdürülebilirlik Sustainability Report 6 August 2025
Related Companies
[]
Related Funds
[]

Sustainability Report

Update Notification Flag

Correction Notification Flag

Date Of The Previous Notification About The Same Subject

Announcement Content

Explanations

The 2024 TSRS Report of our company, Teknosa İç ve Dış Ticaret A.Ş., has been prepared in accordance with the Türkiye Sustainability Reporting Standards (TSRS) issued by the Public Oversight, Accounting and Auditing Standards Authority (KGK) of the Republic of Türkiye. The report has been subjected to a sustainability assurance audit by DRT Bağımsız Denetim ve Serbest Muhasebeci Mali Müşavirlik A.Ş. and is hereby presented to the public's attention in the attached document. Respectfully announced to the public.
Şirketimiz Teknosa İç ve Dış Ticaret A.Ş. tarafından, T.C. Kamu Gözetimi, Muhasebe ve Denetim Standartları Kurumu (KGK) düzenlemeleri doğrultusunda Türkiye Sürdürülebilirlik Raporlama Standartları'na (TSRS) uygun olarak hazırlanan 2024 TSRS Raporu, DRT Bağımsız Denetim ve Serbest Muhasebeci Mali Müşavirlik A.Ş. tarafından sürdürülebilirlik güvence denetimine tabi tutulmuş ve ekte kamuoyunun bilgisine sunulmuştur. Kamuoyuna saygıyla duyurulur.
PDF ekleri
Document
Finansal Rapor Representation Letter (Unconsolidated) 6 August 2025
Finansal Tablo Niteliği
Konsolide Olmayan
Related Companies
[]
Related Funds
[]

Representation Letter

Correction Notification Flag

Date Of The Previous Notification About The Same Subject

http://www.xbrl.org/2003/role/verboseLabel
Board Decision Date and Number for Approval of Financial Statements and Operating Review Report

Board Decision Date

Board Decision Number

http://www.xbrl.org/2003/role/terseLabel
Representation Letter Prepared According to Item 9, Section 2 of "Principles About Financial Reporting in Capital Market" Communiqué of CMB

Şirketimizce, Sermaye Piyasası Kurulu (SPK)'nun II-14.1 sayılı Sermaye Piyasasında Finansal Raporlamaya İlişkin Esaslar Tebliği (Tebliğ) uyarınca Türkiye Muhasebe Standartları/Türkiye Finansal Raporlama Standartları (TMS/TFRS) ve SPK tarafından belirlenen finansal raporlama formatları ile uyumlu olarak hazırlanan 01.01.2025 - 30.06.2025 dönemine ait dipnotları ile birlikte özet finansal durum tablosu, gelir tablosu, kapsamlı gelir tablosu, nakit akış tablosu ve özkaynak değişim tablosu (Hep birlikte "Finansal Tablolar") ile Faaliyet Raporu incelememize sunulmuş olup, Tebliğ'in 9'uncu maddesi uyarınca; a) Finansal Tablolar ile Faaliyet Raporu'nun tarafımızca incelenmiş olduğunu, b) İşletmedeki görev ve sorumluluk alanımızda sahip olduğumuz bilgiler çerçevesinde, Finansal Tablolar ile Faaliyet Raporu'nun önemli konularda gerçeğe aykırı bir açıklama veya açıklamanın yapıldığı tarih itibarıyla yanıltıcı olması sonucunu doğurabilecek herhangi bir eksiklik içermediğini, c) İşletmedeki görev ve sorumluluk alanımızda sahip olduğumuz bilgiler çerçevesinde; · Tebliğ uyarınca TMS/TFRS'ye uygun olarak hazırlanmış Finansal Tablolar'ın, Şirketimizin aktifleri, pasifleri, finansal durumu ve kâr ve zararı ile ilgili gerçeği dürüst bir biçimde yansıttığını, · Tebliğ uyarınca hazırlanmış Faaliyet Raporu'nun, Şirketimizin gelişimi ve performansı ile finansal durumunu, karşı karşıya olunan önemli riskler ve belirsizliklerle birlikte dürüstçe yansıttığını, kamuoyunun bilgisine sunar, yapılan açıklamalardan dolayı sorumlu olduğumuzu beyan ederiz. Saygılarımızla, Denetim Komitesi Başkanı Denetim Komitesi Üyesi Nevgül BİLSEL SAFKAN Kamuran UÇAR Genel Müdür Finans Genel Müdür Yardımcısı Sitare SEZGİN Ümit KOCAGİL

Faaliyet Raporu Operating Review (Unconsolidated) 6 August 2025
Finansal Tablo Niteliği
Konsolide Olmayan
Related Companies
[]
Related Funds
[]

Operating Review Report

Correction Notification Flag

Date Of The Previous Notification About The Same Subject

Explanations

01.01.2025 - 30.06.2025 dönemine ait faaliyet raporumuz ilişikte pdf dosya olarak yer almaktadır.

PDF ekleri
Document