Broker | Symbol | Type | Quantity | Price | Amount | Available | Cost | P/L |
---|
Symbol | Type | Quantity | Price | Amount | Available | Cost | P/L |
---|
Symbol | Type | Quantity | Price | Amount | Available | Cost | P/L |
---|
TÜRKİYE VAKIFLAR BANKASI T.A.O.
Items | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
CashAndCashBalancesAtCentralBanks |
794.138.779.000
(+34.2%)
|
645.760.633.000
(+28.6%)
|
768.495.924.000
(+99.2%)
|
696.842.711.000
(+108.0%)
|
591.936.669.000
(+158.0%)
|
502.241.467.000
(+135.8%)
|
Banks |
85.707.857.000
(+28.5%)
|
87.788.447.000
(+36.9%)
|
71.767.639.000
(+35.0%)
|
71.109.478.000
(+35.4%)
|
66.702.694.000
(+5.5%)
|
64.108.453.000
(+37.1%)
|
ReceivablesFromMoneyMarkets |
3.866.945.000
(-12.5%)
|
55.399.417.000
(+998.2%)
|
129.664.820.000
(+59.3%)
|
3.715.850.000
(-57.8%)
|
4.419.787.000
(+164449.0%)
|
5.044.755.000
(+374140.0%)
|
AllowanceForExpectedCreditLossesForCashAndCashEquivalents |
333.920.000
(-28.8%)
|
420.615.000
(-18.8%)
|
358.558.000
(+19.2%)
|
537.473.000
(+2632.5%)
|
468.708.000
(+2551.7%)
|
518.026.000
(+3300.7%)
|
PublicSectorDebtSecuritiesAtFairValueThroughProfitOrLoss |
228.389.000
(-93.0%)
|
7.062.000
(-99.9%)
|
6.047.000
(-100.0%)
|
22.964.000
(-99.9%)
|
3.276.712.000
(-86.6%)
|
12.907.103.000
(-31.8%)
|
EquityInstrumentsAtFairValueThroughProfitOrLoss |
1.677.397.000
(+36.3%)
|
1.639.995.000
(+38.2%)
|
1.398.228.000
(+45.3%)
|
1.215.728.000
(+50.5%)
|
1.230.358.000
(+65.9%)
|
1.186.994.000
(+116.2%)
|
OtherFinancialAssetsAtFairValueThroughProfitOrLoss |
6.707.167.000
(+313.2%)
|
3.925.082.000
(+51.9%)
|
1.206.897.000
(-58.6%)
|
1.183.538.000
(-71.4%)
|
1.623.274.000
(-63.5%)
|
2.583.489.000
(-28.4%)
|
PublicSectorDebtSecuritiesAtFairValueThroughOtherComprehensiveIncome |
569.205.368.000
(+38.4%)
|
613.079.860.000
(+70.4%)
|
537.189.326.000
(+87.5%)
|
469.698.788.000
(+97.3%)
|
411.350.669.000
(+108.4%)
|
359.793.208.000
(+105.0%)
|
EquityInstrumentsAtFairValueThroughOtherComprehensiveIncome |
407.629.000
(+58.5%)
|
306.607.000
(+63.2%)
|
301.719.000
(+62.1%)
|
299.641.000
(+75.3%)
|
257.192.000
(+51.2%)
|
187.879.000
(+16.4%)
|
OtherFinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
7.262.294.000
(+12.0%)
|
9.135.190.000
(+39.5%)
|
6.733.844.000
(+9.6%)
|
7.011.749.000
(+20.3%)
|
6.485.031.000
(+18.1%)
|
6.549.752.000
(+39.4%)
|
DerivativeFinancialAssetsAtFairValueThroughProfitOrLoss |
30.035.665.000
(+14.3%)
|
34.384.230.000
(-1.3%)
|
26.447.481.000
(-9.6%)
|
33.841.137.000
(+17.2%)
|
26.268.412.000
(-38.4%)
|
34.849.395.000
(+101.0%)
|
Loans |
2.516.285.771.000
(+46.6%)
|
2.299.518.496.000
(+42.4%)
|
2.039.257.657.000
(+35.5%)
|
1.878.263.148.000
(+34.9%)
|
1.716.389.674.000
(+34.4%)
|
1.614.626.618.000
(+47.4%)
|
ReceivablesFromLeasingTransactions |
26.850.914.000
(+25.8%)
|
24.135.197.000
(+20.0%)
|
24.475.288.000
(+23.9%)
|
22.765.675.000
(+43.9%)
|
21.343.208.000
(+63.5%)
|
20.107.802.000
(+111.5%)
|
FactoringReceivables |
31.937.028.000
(-18.5%)
|
20.959.210.000
(-37.3%)
|
32.521.941.000
(-13.4%)
|
27.056.777.000
(+7.5%)
|
39.177.194.000
(+56.2%)
|
33.415.794.000
(+50.9%)
|
PublicSectorDebtSecuritiesMeasuredAtAmortisedCost |
504.936.975.000
(+52.2%)
|
395.253.969.000
(+12.2%)
|
381.887.197.000
(+11.0%)
|
344.596.187.000
(+10.3%)
|
331.700.596.000
(+32.1%)
|
352.138.726.000
(+68.6%)
|
OtherFinancialAssetsMeasuredAtAmortisedCost |
440.781.000
(-33.1%)
|
419.565.000
(-1.3%)
|
709.898.000
(+82.9%)
|
686.590.000
(+88.9%)
|
659.045.000
(+89.2%)
|
425.025.000
(+56.4%)
|
AllowanceForExpectedCreditLosses |
85.308.147.000
(+46.9%)
|
76.511.893.000
(+33.1%)
|
69.874.111.000
(+11.3%)
|
61.547.221.000
(+15.2%)
|
58.077.446.000
(+22.5%)
|
57.483.459.000
(+30.6%)
|
NonCurrentAssetsClassifiedAsHeldForSale |
2.777.103.000
(+731.2%)
|
882.324.000
(+219.3%)
|
1.076.195.000
(+309.6%)
|
371.598.000
(+108.3%)
|
334.099.000
(+54.8%)
|
276.343.000
(+29.1%)
|
AssociatesAccountedforUsingEquityMethod |
3.799.261.000
(+52.2%)
|
3.316.815.000
(+53.6%)
|
3.036.820.000
(+52.4%)
|
2.739.926.000
(+55.1%)
|
2.495.505.000
(+60.5%)
|
2.159.045.000
(+61.6%)
|
UnconsolidatedAssociatesAccountedForUsingEquityMethod |
5.308.248.000
(+30.4%)
|
5.351.945.000
(+30.6%)
|
5.351.945.000
(+30.6%)
|
4.070.792.000
(+35.0%)
|
4.069.364.000
(+34.9%)
|
4.096.998.000
(+35.5%)
|
UnconsolidatedNonfinancialSubsidiaries |
3.341.368.000
(+72.4%)
|
3.335.390.000
(+72.1%)
|
2.841.845.000
(+46.6%)
|
1.938.038.000
(+78.0%)
|
1.938.038.000
(+118.0%)
|
1.938.038.000
(+118.0%)
|
TangibleAssets |
43.450.797.000
(+48.1%)
|
41.843.332.000
(+52.7%)
|
40.190.663.000
(+51.2%)
|
31.360.213.000
(+121.1%)
|
29.348.654.000
(+114.8%)
|
27.395.384.000
(+112.3%)
|
Goodwill |
3.288.000
(-6.1%)
|
3.288.000
(-17.7%)
|
3.288.000
(-66.2%)
|
3.364.000
(-77.0%)
|
3.501.000
(-76.1%)
|
3.996.000
(-72.7%)
|
IntangibleAssetsOtherThanGoodwill |
1.604.634.000
(+45.6%)
|
1.357.012.000
(+39.7%)
|
1.346.207.000
(+47.8%)
|
1.302.893.000
(+54.6%)
|
1.102.296.000
(+67.1%)
|
971.640.000
(+98.7%)
|
InvestmentProperty |
21.660.020.000
(+66.5%)
|
18.888.800.000
(+112.2%)
|
18.803.793.000
(+112.0%)
|
15.439.669.000
(+726.9%)
|
13.010.115.000
(+942.0%)
|
8.900.648.000
(+571.4%)
|
CurrentTaxAssets |
2.194.898.000
(+101515.6%)
|
3.893.000
-
|
884.331.000
(+14300.4%)
|
8.130.103.000
(+1361726.3%)
|
2.160.000
-
|
-
-
|
DeferredTaxAssets |
13.826.038.000
(-19.3%)
|
7.865.121.000
(-19.2%)
|
4.898.661.000
(-56.0%)
|
5.359.261.000
(+448.2%)
|
17.122.141.000
(+317.3%)
|
9.738.187.000
(+101.3%)
|
OtherAssets |
70.920.522.000
(+0.3%)
|
73.232.294.000
(-7.8%)
|
63.310.496.000
(-23.6%)
|
65.115.980.000
(-14.3%)
|
70.739.927.000
(-37.8%)
|
79.432.581.000
(+59.5%)
|
Assets |
4.662.933.069.000
(+41.1%)
|
4.270.860.666.000
(+38.3%)
|
4.093.575.481.000
(+43.2%)
|
3.632.057.104.000
(+45.7%)
|
3.304.440.161.000
(+48.4%)
|
3.087.077.835.000
(+67.1%)
|
Deposits |
2.954.911.656.000
(+36.0%)
|
2.657.118.964.000
(+31.4%)
|
2.559.710.531.000
(+29.3%)
|
2.323.029.322.000
(+35.6%)
|
2.172.719.690.000
(+54.0%)
|
2.022.370.176.000
(+60.5%)
|
LoansReceived |
427.600.324.000
(+44.7%)
|
360.784.014.000
(+26.3%)
|
296.153.191.000
(+23.3%)
|
305.836.783.000
(+44.5%)
|
295.515.312.000
(+46.0%)
|
285.766.764.000
(+67.2%)
|
MoneyMarketFunds |
435.847.096.000
(+63.7%)
|
494.426.605.000
(+112.7%)
|
508.558.313.000
(+270.2%)
|
329.735.987.000
(+132.7%)
|
266.170.146.000
(+40.4%)
|
232.497.374.000
(+157.1%)
|
BillsIssued |
2.461.054.000
(-57.5%)
|
7.512.499.000
(+18.3%)
|
11.870.405.000
(+187.9%)
|
3.467.890.000
(+8.5%)
|
5.786.693.000
(+145.9%)
|
6.348.978.000
(+107.1%)
|
BondsIssued |
243.371.895.000
(+77.7%)
|
201.411.356.000
(+62.6%)
|
201.830.877.000
(+72.3%)
|
179.573.539.000
(+69.9%)
|
136.923.315.000
(+60.8%)
|
123.874.943.000
(+95.7%)
|
OtherFunds |
3.005.000
(0.0%)
|
3.005.000
(0.0%)
|
3.005.000
(0.0%)
|
3.005.000
(0.0%)
|
3.005.000
(0.0%)
|
3.005.000
(0.0%)
|
DerivativeFinancialLiabilitiesAtFairValueThroughProfitOrLoss |
10.064.567.000
(+24.3%)
|
4.704.990.000
(-30.4%)
|
6.810.170.000
(+18.1%)
|
6.322.053.000
(-17.2%)
|
8.094.436.000
(-12.6%)
|
6.764.374.000
(+48.9%)
|
FactoringPayables |
10.000
(-99.5%)
|
10.249.000
(+72.9%)
|
376.000
(+317.8%)
|
-
(-100.0%)
|
2.142.000
(+9.6%)
|
5.929.000
(+5339.4%)
|
LeasePayables |
7.059.652.000
(+65.5%)
|
6.093.594.000
(+70.0%)
|
5.432.049.000
(+89.1%)
|
5.089.417.000
(+91.0%)
|
4.264.925.000
(+112.7%)
|
3.583.917.000
(+119.4%)
|
ReservesForEmployeeBenefits |
11.699.199.000
(+47.5%)
|
12.243.569.000
(+45.8%)
|
10.809.848.000
(+49.7%)
|
9.048.351.000
(+96.7%)
|
7.931.751.000
(+68.7%)
|
8.399.735.000
(+113.1%)
|
OtherProvisions |
7.150.648.000
(-36.6%)
|
6.978.374.000
(-54.3%)
|
17.638.993.000
(+15.7%)
|
11.090.436.000
(+22.0%)
|
11.283.338.000
(+42.4%)
|
15.274.594.000
(+97.0%)
|
CurrentTaxLiabilities |
27.396.476.000
(+107.6%)
|
15.005.942.000
(+0.0%)
|
11.014.330.000
(-8.9%)
|
8.435.858.000
(+152.6%)
|
13.193.796.000
(+361.4%)
|
15.005.655.000
(+124.0%)
|
DeferredTaxLiabilities |
2.406.594.000
(+2700.0%)
|
2.168.851.000
(+2284.1%)
|
2.165.638.000
(+1732.6%)
|
152.667.000
(+28.3%)
|
85.950.000
(-14.8%)
|
90.970.000
(+34.9%)
|
SubordinatedOtherDebtInstruments |
97.271.468.000
(+78.5%)
|
92.388.234.000
(+152.8%)
|
84.921.106.000
(+146.6%)
|
82.742.651.000
(+167.7%)
|
54.488.038.000
(+81.7%)
|
36.551.174.000
(+46.6%)
|
OtherLiabilities |
166.545.703.000
(+36.9%)
|
158.363.117.000
(+16.4%)
|
140.457.922.000
(+14.8%)
|
147.003.702.000
(+40.9%)
|
121.699.233.000
(-12.2%)
|
136.080.866.000
(+105.9%)
|
IssuedCapital |
9.915.922.000
(0.0%)
|
9.915.922.000
(0.0%)
|
9.915.922.000
(0.0%)
|
9.915.922.000
(0.0%)
|
9.915.922.000
(0.0%)
|
9.915.922.000
(0.0%)
|
SharePremium |
45.601.562.000
(+0.0%)
|
45.601.513.000
(+0.0%)
|
45.601.513.000
(+0.0%)
|
45.601.513.000
(+0.6%)
|
45.601.513.000
(+0.0%)
|
45.589.989.000
(-0.0%)
|
OtherCapitalReserves |
452.845.000
(+220.5%)
|
519.868.000
(+224.2%)
|
518.792.000
(+221.5%)
|
518.792.000
(+221.7%)
|
-375.866.000
(+9.6%)
|
-418.650.000
(-47.7%)
|
OtherAccumulatedComprehensiveIncomeThatWillNotBeReclassifiedInProfitOrLoss |
21.778.313.000
(+39.7%)
|
21.544.276.000
(+39.6%)
|
21.373.077.000
(+40.3%)
|
14.785.488.000
(+153.7%)
|
15.590.477.000
(+169.8%)
|
15.428.349.000
(+167.0%)
|
OtherAccumulatedComprehensiveIncomeThatWillBeReclassifiedInProfitOrLoss |
-79.545.000
(-101.3%)
|
-3.458.284.000
(-140.3%)
|
2.884.205.000
(-62.3%)
|
8.587.398.000
(-9.8%)
|
6.289.295.000
(-3.2%)
|
8.587.779.000
(-29.9%)
|
LegalReserves |
14.026.439.000
(+45.9%)
|
9.670.262.000
(+39.7%)
|
9.670.483.000
(+39.7%)
|
9.670.483.000
(+40.2%)
|
9.610.972.000
(+117.8%)
|
6.922.605.000
(+62.2%)
|
StatutoryReserves |
6.337.000
(0.0%)
|
6.337.000
(0.0%)
|
6.337.000
(0.0%)
|
6.337.000
(0.0%)
|
6.337.000
(0.0%)
|
6.337.000
(0.0%)
|
ExtraordinaryReserves |
116.535.865.000
(+49.2%)
|
78.882.682.000
(+47.1%)
|
78.033.601.000
(+46.0%)
|
78.033.601.000
(+46.2%)
|
78.121.503.000
(+145.2%)
|
53.613.047.000
(+67.6%)
|
OtherProfitReserves |
1.763.115.000
(-3.0%)
|
1.742.833.000
(+0.2%)
|
1.743.719.000
(+1.4%)
|
1.744.605.000
(+1.6%)
|
1.817.139.000
(+5.9%)
|
1.739.523.000
(+10.7%)
|
PriorYearsProfitsOrLosses |
12.918.813.000
(+85.0%)
|
55.143.666.000
(+61.0%)
|
7.161.319.000
(+100.4%)
|
7.104.271.000
(+279.7%)
|
6.982.736.000
(-72.8%)
|
34.246.396.000
(+32.6%)
|
CurrentPeriodNetProfitOrLossClassifiedInEquity |
34.486.747.000
(+42.1%)
|
21.745.041.000
(+65.1%)
|
49.192.844.000
(+55.4%)
|
34.877.744.000
(+90.7%)
|
24.266.438.000
(+207.6%)
|
13.172.228.000
(+146.7%)
|
NoncontrollingInterests |
11.737.309.000
(+38.9%)
|
10.333.187.000
(+82.7%)
|
10.096.915.000
(+80.1%)
|
9.679.289.000
(+253.1%)
|
8.451.925.000
(+238.1%)
|
5.655.856.000
(+188.6%)
|
EquityAndLiabilities |
4.662.933.069.000
(+41.1%)
|
4.270.860.666.000
(+38.3%)
|
4.093.575.481.000
(+43.2%)
|
3.632.057.104.000
(+45.7%)
|
3.304.440.161.000
(+48.4%)
|
3.087.077.835.000
(+67.1%)
|
Items | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
InterestIncomeOnLoans |
307.677.105.000
(+43.8%)
|
147.462.140.000
(+49.3%)
|
481.363.855.000
(+137.6%)
|
342.216.137.000
(+190.7%)
|
213.904.702.000
(+229.5%)
|
98.793.948.000
(+241.1%)
|
InterestIncomeOnReserveDeposits |
43.756.009.000
(+243.3%)
|
20.059.089.000
(+443.3%)
|
47.282.353.000
(+4005.0%)
|
26.590.033.000
(+2820.6%)
|
12.746.897.000
(+1817.6%)
|
3.691.947.000
(+1038.1%)
|
InterestIncomeOnBanks |
794.423.000
(-9.8%)
|
428.009.000
(+3.2%)
|
1.848.214.000
(+35.3%)
|
1.365.601.000
(+35.6%)
|
881.056.000
(+30.0%)
|
414.660.000
(-6.6%)
|
InterestIncomeOnMoneyMarketPlacements |
9.390.831.000
(+11.0%)
|
7.968.447.000
(+124.4%)
|
18.947.985.000
(+1366.0%)
|
9.195.503.000
(+6378.1%)
|
8.463.518.000
(+7112.9%)
|
3.551.505.000
(+6391.9%)
|
InterestIncomeOnFinancialAssetsAtFairValueThroughProfitAndLoss |
32.498.000
(-84.6%)
|
3.329.000
(-97.8%)
|
212.988.000
(-65.6%)
|
212.017.000
(-49.7%)
|
210.969.000
(-19.4%)
|
149.494.000
(+29.7%)
|
InterestIncomeOnFinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
63.226.983.000
(+99.6%)
|
29.206.037.000
(+114.0%)
|
84.981.226.000
(+140.7%)
|
53.134.086.000
(+154.2%)
|
31.678.255.000
(+192.6%)
|
13.645.653.000
(+165.3%)
|
InterestIncomeOnFinancialAssetsMeasuredAtAmortisedCost |
44.061.913.000
(+11.9%)
|
18.900.289.000
(-0.2%)
|
102.831.241.000
(+39.8%)
|
63.455.959.000
(+47.7%)
|
39.360.789.000
(+107.4%)
|
18.937.211.000
(+114.8%)
|
FinanceLeaseIncome |
2.856.009.000
(-15.1%)
|
1.449.296.000
(-8.8%)
|
6.631.373.000
(+74.1%)
|
5.250.189.000
(+120.5%)
|
3.365.682.000
(+162.4%)
|
1.588.467.000
(+221.9%)
|
OtherInterestIncome |
1.754.936.000
(+204.6%)
|
738.320.000
(+124.2%)
|
1.247.584.000
(-16.1%)
|
805.952.000
(-38.0%)
|
576.121.000
(-21.0%)
|
329.335.000
(+111.5%)
|
InterestExpensesOnDeposits |
349.552.832.000
(+45.4%)
|
171.457.016.000
(+58.7%)
|
555.572.727.000
(+147.7%)
|
389.016.652.000
(+190.6%)
|
240.338.048.000
(+233.6%)
|
108.054.991.000
(+258.5%)
|
InterestExpensesOnFundsBorrowed |
13.104.790.000
(+11.7%)
|
6.301.133.000
(+14.1%)
|
25.089.393.000
(+53.2%)
|
18.829.499.000
(+78.9%)
|
11.734.024.000
(+90.2%)
|
5.523.767.000
(+125.2%)
|
InterestExpensesOnMoneyMarketFunds |
44.155.439.000
(+347.3%)
|
18.772.609.000
(+399.3%)
|
36.442.472.000
(+235.4%)
|
17.580.561.000
(+120.0%)
|
9.871.937.000
(+116.5%)
|
3.759.914.000
(+108.5%)
|
InterestExpensesOnSecuritiesIssued |
12.460.382.000
(+69.3%)
|
6.088.250.000
(+74.0%)
|
18.650.766.000
(+82.4%)
|
12.470.773.000
(+85.0%)
|
7.361.880.000
(+79.1%)
|
3.499.669.000
(+88.6%)
|
LeaseInterestExpenses |
542.380.000
(+68.6%)
|
246.443.000
(+75.2%)
|
739.527.000
(+18.0%)
|
530.710.000
(+19.5%)
|
321.656.000
(+20.0%)
|
140.631.000
(+18.5%)
|
OtherInterestExpense |
204.713.000
(-84.7%)
|
141.006.000
(-80.6%)
|
1.496.132.000
(+17.2%)
|
1.479.352.000
(+76.0%)
|
1.340.792.000
(+88.2%)
|
727.123.000
(+19.5%)
|
InterestIncomeOrExpense |
53.530.171.000
(+33.1%)
|
23.208.499.000
(+19.7%)
|
107.355.802.000
(+86.8%)
|
62.317.930.000
(+128.0%)
|
40.219.652.000
(+279.5%)
|
19.396.125.000
(+157.5%)
|
FeesAndCommissionsReceivedFromNoncashLoans |
3.211.105.000
(+27.5%)
|
1.499.045.000
(+25.6%)
|
5.230.184.000
(+53.4%)
|
3.859.270.000
(+70.1%)
|
2.519.191.000
(+84.2%)
|
1.193.910.000
(+92.4%)
|
OtherFeesAndCommissionsReceived |
41.985.064.000
(+60.6%)
|
19.403.478.000
(+55.6%)
|
58.772.813.000
(+105.4%)
|
41.633.520.000
(+134.2%)
|
26.149.289.000
(+166.6%)
|
12.467.680.000
(+200.7%)
|
FeesAndCommissionsPaidForNoncashLoans |
23.242.000
(-63.1%)
|
9.909.000
(-70.1%)
|
99.256.000
(-3.6%)
|
85.527.000
(+27.7%)
|
63.052.000
(+111.9%)
|
33.165.000
(+192.1%)
|
OtherFeesAndCommissionsPaid |
12.821.208.000
(+55.0%)
|
5.698.711.000
(+64.7%)
|
18.613.550.000
(+165.5%)
|
13.260.487.000
(+208.1%)
|
8.271.018.000
(+264.8%)
|
3.460.613.000
(+263.3%)
|
DividendIncome |
252.020.000
(+106.9%)
|
1.912.000
(+28.3%)
|
132.869.000
(+135.7%)
|
123.283.000
(+139.2%)
|
121.821.000
(+912.9%)
|
1.490.000
(-34.7%)
|
GainsOrLossesArisingFromCapitalMarketsTransactions |
4.936.974.000
(+125.0%)
|
465.619.000
(-64.6%)
|
3.125.112.000
(-35.4%)
|
2.631.631.000
(-41.5%)
|
2.194.089.000
(+31.5%)
|
1.315.270.000
(+24.5%)
|
GainsOrLossesArisingFromFinancialTransactions |
-1.053.476.000
(+95.0%)
|
2.173.678.000
(+120.9%)
|
-26.072.229.000
(-556.6%)
|
-23.996.993.000
(-767.2%)
|
-20.992.850.000
(-888.0%)
|
-10.422.532.000
(-13003.7%)
|
ForeignExchangeGainsOrLosses |
6.769.102.000
(-18.6%)
|
3.591.931.000
(-36.7%)
|
14.059.134.000
(-3.4%)
|
11.535.189.000
(+7.3%)
|
8.311.494.000
(-1.0%)
|
5.673.279.000
(+317.9%)
|
OtherOperatingIncome |
49.491.303.000
(+16.8%)
|
34.204.674.000
(+39.0%)
|
60.070.182.000
(+30.8%)
|
51.309.424.000
(+44.7%)
|
42.365.332.000
(+35.9%)
|
24.600.491.000
(-1.9%)
|
GrossProfitLossFromOperatingActivitiesForBankingSector |
146.277.813.000
(+58.0%)
|
78.840.216.000
(+55.4%)
|
203.961.061.000
(+41.9%)
|
136.067.240.000
(+39.8%)
|
92.553.948.000
(+46.0%)
|
50.731.935.000
(+30.9%)
|
AllowanceExpensesForExpectedCreditLosses |
47.959.686.000
(+94.2%)
|
28.686.684.000
(+62.3%)
|
45.915.789.000
(-8.7%)
|
33.838.471.000
(+1.5%)
|
24.696.114.000
(+11.4%)
|
17.669.712.000
(+31.6%)
|
OtherAllowanceExpenses |
346.885.000
(-77.4%)
|
148.188.000
(-6.1%)
|
7.200.041.000
(+65.4%)
|
645.221.000
(+780.0%)
|
1.534.585.000
(+2084.1%)
|
157.824.000
(+69.5%)
|
PersonnelExpenses |
21.411.223.000
(+62.5%)
|
9.534.051.000
(+61.3%)
|
30.915.150.000
(+97.4%)
|
21.370.912.000
(+98.0%)
|
13.179.364.000
(+99.7%)
|
5.910.425.000
(+95.0%)
|
OtherOperatingExpenses |
32.446.259.000
(+49.7%)
|
15.450.733.000
(+56.9%)
|
46.990.306.000
(+24.4%)
|
33.164.001.000
(+11.7%)
|
21.675.525.000
(-7.5%)
|
9.844.749.000
(-42.4%)
|
ProfitLossFromOperatingActivities |
44.113.760.000
(+40.2%)
|
25.020.560.000
(+45.9%)
|
72.939.775.000
(+104.3%)
|
47.048.635.000
(+100.7%)
|
31.468.360.000
(+183.1%)
|
17.149.225.000
(+234.9%)
|
ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod |
599.691.000
(+52.1%)
|
283.529.000
(+60.8%)
|
917.635.000
(+49.2%)
|
638.840.000
(+43.2%)
|
394.372.000
(+39.8%)
|
176.368.000
(+39.2%)
|
ProfitLossBeforeTax |
44.713.451.000
(+40.3%)
|
25.304.089.000
(+46.1%)
|
73.857.410.000
(+103.4%)
|
47.687.475.000
(+99.7%)
|
31.862.732.000
(+179.5%)
|
17.325.593.000
(+230.2%)
|
CurrentPeriodTaxExpenseContinuingOperations |
15.228.926.000
(+56.3%)
|
3.342.844.000
(+41.9%)
|
10.550.627.000
(+1.6%)
|
2.638.551.000
(+16.8%)
|
9.743.477.000
(+485.0%)
|
2.355.153.000
(+82.1%)
|
ExpenseEffectOfDeferredTax |
13.930.145.000
(+248.3%)
|
8.747.941.000
(+360.5%)
|
30.449.345.000
(+136.5%)
|
17.920.903.000
(+41.5%)
|
3.999.575.000
(-47.3%)
|
1.899.807.000
(+274.4%)
|
IncomeEffectOfDeferredTax |
20.581.664.000
(+136.3%)
|
8.766.476.000
(+3457.0%)
|
20.459.363.000
(-2.7%)
|
11.539.843.000
(+16.1%)
|
8.709.261.000
(+40.3%)
|
246.454.000
(-87.9%)
|
ProfitLossFromContinuingOperations |
36.136.044.000
(+34.7%)
|
21.979.780.000
(+65.0%)
|
53.316.801.000
(+56.4%)
|
38.667.864.000
(+104.6%)
|
26.828.941.000
(+221.3%)
|
13.317.087.000
(+142.8%)
|
ProfitLossAttributableToOwnersOfParent |
34.486.747.000
(+42.1%)
|
21.745.041.000
(+65.1%)
|
49.192.844.000
(+55.4%)
|
34.877.744.000
(+90.7%)
|
24.266.438.000
(+207.6%)
|
13.172.228.000
(+146.7%)
|
ProfitLossAttributableToNoncontrollingInterests |
1.649.297.000
(-35.6%)
|
234.739.000
(+62.0%)
|
4.123.957.000
(+69.6%)
|
3.790.120.000
(+519.9%)
|
2.562.503.000
(+457.7%)
|
144.859.000
(-0.3%)
|
ClassesOfShares |
3,644
(+34.7%)
|
2,224
(+65.6%)
|
5,377
(+52.8%)
|
3,9
(+96.2%)
|
2,706
(+193.1%)
|
1,343
(+111.7%)
|
Items | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
InterestReceivedClassifiedAsBankingActivities |
441.444.533.000
(+57.7%)
|
213.383.994.000
(+78.6%)
|
675.187.204.000
(+129.4%)
|
451.236.543.000
(+156.0%)
|
279.841.201.000
(+184.3%)
|
119.498.838.000
(+173.3%)
|
InterestPaidClassifiedAsBankingActivities |
418.730.154.000
(+55.4%)
|
201.239.976.000
(+67.2%)
|
631.463.683.000
(+142.9%)
|
436.280.572.000
(+174.1%)
|
269.369.896.000
(+209.8%)
|
120.367.866.000
(+231.0%)
|
DividendsReceivedClassifiedAsBankingActivities |
252.020.000
(+106.9%)
|
1.912.000
(+28.3%)
|
132.869.000
(+135.7%)
|
123.283.000
(+139.2%)
|
121.821.000
(+912.9%)
|
1.490.000
(-34.7%)
|
CashInflowsFromFeesAndCommissionsReceived |
31.275.060.000
(+60.4%)
|
9.087.890.000
(+97.8%)
|
53.074.127.000
(+121.5%)
|
35.394.820.000
(+185.4%)
|
19.495.655.000
(+290.4%)
|
4.595.608.000
(+14.4%)
|
CashInflowsFromOtherGains |
49.425.921.000
(+290.9%)
|
9.865.094.000
(+23.4%)
|
18.485.359.000
(+57.1%)
|
15.792.719.000
(+238.7%)
|
12.643.753.000
(+369.5%)
|
7.994.486.000
(+517.7%)
|
CollectionsFromPreviouslyWrittenOffLoansAndOtherReceivables |
9.181.827.000
(+192.9%)
|
3.527.449.000
(+134.0%)
|
13.545.384.000
(+132.9%)
|
5.749.742.000
(+46.5%)
|
3.134.870.000
(+48.2%)
|
1.507.324.000
(+42.5%)
|
CashPaymentsToPersonnelAndServiceSuppliers |
23.652.243.000
(+62.7%)
|
10.479.573.000
(+61.4%)
|
34.189.789.000
(+96.7%)
|
23.545.688.000
(+97.4%)
|
14.534.877.000
(+100.5%)
|
6.491.423.000
(+100.3%)
|
TaxesPaidClassifiedAsBankingActivities |
7.650.857.000
(+98.9%)
|
2.361.534.000
(+172.9%)
|
13.764.039.000
(+497.3%)
|
11.915.120.000
(+707.4%)
|
3.845.689.000
(+351.8%)
|
865.310.000
(+1479.4%)
|
OtherCashFlowsClassifiedAsBankingOperations |
22.792.852.000
(+314.8%)
|
14.595.803.000
(+10148.4%)
|
-666.850.000
(-102.4%)
|
-87.158.000
(-100.3%)
|
-10.610.866.000
(-146.7%)
|
142.420.000
(-99.0%)
|
IncreaseDecreaseInFinancialAssetsAtFairValueThroughProfitOrLoss |
-5.722.439.000
(-119.6%)
|
-2.757.649.000
(-114.9%)
|
32.848.286.000
(+290.6%)
|
32.864.597.000
(+334.1%)
|
29.145.823.000
(+545.1%)
|
18.557.095.000
(+417.1%)
|
IncreaseDecreaseInDueFromBanks |
-91.855.663.000
(-63.1%)
|
-19.084.737.000
(+72.4%)
|
-81.031.255.000
(-2669.7%)
|
-65.534.479.000
(-275.5%)
|
-56.321.286.000
(-308.3%)
|
-69.203.187.000
(-194.4%)
|
IncreaseDecreaseInLoans |
-484.250.730.000
(-232.4%)
|
-248.279.413.000
(-200.5%)
|
-621.410.173.000
(-41.3%)
|
-275.503.690.000
(+15.2%)
|
-145.689.714.000
(+35.5%)
|
-82.614.619.000
(+47.3%)
|
IncreaseDecreaseInOtherAssets |
-132.104.478.000
(-84.9%)
|
-79.306.933.000
(-11.7%)
|
54.027.663.000
(+331.5%)
|
-74.953.322.000
(-315.6%)
|
-71.461.310.000
(-487.9%)
|
-70.985.146.000
(-4754.4%)
|
IncreaseDecreaseInBankDeposits |
67.815.787.000
(+1047.8%)
|
-21.562.450.000
(-285.1%)
|
16.836.815.000
(+193.3%)
|
-31.327.335.000
(-190.1%)
|
-7.154.930.000
(+65.5%)
|
11.647.384.000
(+130.5%)
|
IncreaseDecreaseInOtherDeposits |
330.565.444.000
(+102.4%)
|
110.518.138.000
(+616.8%)
|
538.185.650.000
(-24.3%)
|
341.435.170.000
(-29.9%)
|
163.321.230.000
(-13.1%)
|
15.417.240.000
(-90.4%)
|
IncreaseDecreaseInFundsBorrowed |
116.496.204.000
(+240.8%)
|
38.193.932.000
(+1806.7%)
|
21.560.400.000
(-28.3%)
|
32.355.810.000
(+72.7%)
|
34.181.764.000
(+156.3%)
|
2.003.171.000
(-93.5%)
|
IncreaseDecreaseInOtherLiabilities |
-63.192.307.000
(-157.8%)
|
-46.552.203.000
(-148.4%)
|
269.839.773.000
(+514.5%)
|
150.400.957.000
(+356.3%)
|
109.401.216.000
(+53.2%)
|
96.278.133.000
(+321.0%)
|
CashFlowsFromUsedInBankingOperations |
-157.909.223.000
(-318.4%)
|
-232.450.256.000
(-218.9%)
|
311.197.741.000
(-15.1%)
|
146.206.277.000
(-45.1%)
|
72.298.765.000
(+2.8%)
|
-72.884.362.000
(-269.3%)
|
CashPaidForPurchaseOfAssociatesSubsidiariesAndJointlyControlledEntitiesJointVentures |
493.545.000
-
|
493.545.000
-
|
-
(-100.0%)
|
-
(-100.0%)
|
-
(-100.0%)
|
-
(-100.0%)
|
CashObtainedFromSaleOfAssociatesSubsidiariesJointlyControlledEntitiesJointVentures |
25.395.000
-
|
-
-
|
6.178.000
-
|
6.178.000
-
|
-
-
|
-
-
|
CashPaidForPurchaseOfTangibleAndIntangibleAssetPurchases |
8.387.911.000
(+81.5%)
|
2.096.450.000
(+25.5%)
|
9.936.281.000
(-67.5%)
|
8.566.124.000
(+1.1%)
|
4.622.028.000
(+77.1%)
|
1.670.731.000
(+44.2%)
|
CashObtainedFromTangibleAndIntangibleAssetSales |
1.132.547.000
(+60.9%)
|
762.555.000
(+148.5%)
|
2.496.649.000
(-74.1%)
|
1.242.038.000
(-75.5%)
|
703.758.000
(-4.1%)
|
306.858.000
(-12.1%)
|
CashPaidForPurchaseOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
55.764.217.000
(-18.0%)
|
48.167.006.000
(+42.4%)
|
121.869.700.000
(+22.5%)
|
108.970.573.000
(+35.3%)
|
67.990.230.000
(+210.5%)
|
33.835.813.000
(+347.5%)
|
CashObtainedFromSaleOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
79.521.491.000
(+339.3%)
|
78.308.628.000
(+347.8%)
|
21.365.026.000
(+51.1%)
|
20.461.052.000
(+142.9%)
|
18.102.340.000
(+193.4%)
|
17.488.171.000
(+1309.4%)
|
CashPaidForPurchaseOfFinancialAssetsAtAmortisedCost |
96.756.654.000
(+7352.3%)
|
2.041.737.000
(+385.0%)
|
2.005.545.000
(-98.4%)
|
1.298.353.000
(-99.0%)
|
1.298.353.000
(-98.4%)
|
421.004.000
(-99.1%)
|
CashObtainedFromSaleOfFinancialAssetsAtAmortisedCost |
6.987.149.000
(-77.1%)
|
3.814.508.000
(+6.8%)
|
32.620.257.000
(+116.5%)
|
31.837.437.000
(+117.3%)
|
30.468.235.000
(+118.7%)
|
3.572.998.000
(-0.1%)
|
OtherInflowsOutflowsOfCashClassifiedAsInvestingActivities |
-360.278.000
(-45.9%)
|
-59.939.000
(+29.0%)
|
-567.000.000
(-3.5%)
|
-489.366.000
(-7.7%)
|
-246.873.000
(+0.2%)
|
-84.427.000
(-61.7%)
|
CashObtainedFromLoansAndSecuritiesIssued |
53.352.807.000
(+12.0%)
|
8.183.452.000
(-88.8%)
|
146.873.348.000
(+120.8%)
|
116.052.646.000
(+109.8%)
|
47.644.459.000
(+61.1%)
|
73.032.706.000
(+2266.4%)
|
CashOutflowArisedFromLoansAndSecuritiesIssued |
8.231.492.000
(+32.6%)
|
6.017.811.000
(+64.4%)
|
9.012.085.000
(-17.5%)
|
8.150.144.000
(-17.5%)
|
6.208.624.000
(-27.1%)
|
3.660.382.000
(-43.5%)
|
PaymentsOfLeaseLiabilitiesClassifiedAsFinancingActivities |
1.335.908.000
(+75.0%)
|
611.191.000
(+75.6%)
|
1.860.405.000
(+123.2%)
|
1.274.375.000
(+117.2%)
|
763.550.000
(+111.1%)
|
348.089.000
(+112.5%)
|
EffectOfExchangeRateChangesOnCashAndCashEquivalents |
2.285.751.000
(+527.0%)
|
191.615.000
(-79.0%)
|
-965.947.000
(-199.7%)
|
53.232.000
(-92.6%)
|
-535.262.000
(-110.2%)
|
913.980.000
(+46.6%)
|
IncreaseDecreaseInCashAndCashEquivalents |
-185.934.088.000
(-312.4%)
|
-200.677.177.000
(-1040.9%)
|
368.342.236.000
(+77.9%)
|
187.109.925.000
(+51.0%)
|
87.552.637.000
(+786.9%)
|
-17.590.095.000
(-176.0%)
|
CashAndCashEquivalentsForCashFlowStatement |
519.091.137.000
(+22.4%)
|
504.348.048.000
(+58.1%)
|
705.025.225.000
(+109.4%)
|
523.792.914.000
(+106.6%)
|
424.235.626.000
(+204.0%)
|
319.092.894.000
(+108.8%)
|