ฤฐล Yatฤฑrฤฑm Menkul Deฤerler’in (ISMEN) 30 Haziran 2026 dรถnemine ait bazฤฑ finansal verileri, ana ortaฤฤฑ Tรผrkiye ฤฐล Bankasฤฑ’nฤฑn konsolide finansal tablolarฤฑnda yer aldฤฑ.
ฤฐล Bankasฤฑ’nฤฑn 1 Ocak – 30 Haziran 2026 dรถnemine iliลkin sฤฑnฤฑrlฤฑ denetimden geรงmiล solo ve konsolide finansal tablolarฤฑ 3 Aฤustos 2026 tarihinde yayฤฑmlandฤฑ.
ฤฐล Yatฤฑrฤฑm’ฤฑn 30 Haziran 2026 verileri ลรถyle:
- Aktif toplamฤฑ: 168,9 milyar TL
- รzkaynaklar: 37,4 milyar TL
- Sabit varlฤฑk toplamฤฑ: 7,3 milyar TL
- Faiz gelirleri: 8 milyar TL
- Menkul deฤer gelirleri: 3,6 milyar TL
- Cari dรถnem karฤฑ: 6,5 milyar TL
- 30 Haziran 2025 dรถnemi karฤฑ: 8,4 milyar TL
Bu veriler denetimden geรงmemiล olup enflasyon muhasebesine tabi tutulmadฤฑ. ฤฐล Bankasฤฑ’nฤฑn finansal tablolarฤฑ Bankacฤฑlฤฑk Dรผzenleme ve Denetleme Kurumu’nun muhasebe ve finansal raporlama mevzuatฤฑna uygun ลekilde hazฤฑrlandฤฑ ve TMS 29 “Yรผksek Enflasyonlu Ekonomilerde Finansal Raporlama” hรผkรผmlerini iรงermiyor.
ฤฐล Yatฤฑrฤฑm’ฤฑn Sermaye Piyasasฤฑ Kurulu’nun finansal raporlama dรผzenlemelerine gรถre hazฤฑrlanacak ve TMS 29 hรผkรผmleri uygulanmฤฑล 30 Haziran 2026 tarihli konsolide finansal tablolarฤฑ yasal sรผre dahilinde yayฤฑmlanacak.
| รzel Durum Aรงฤฑklamasฤฑ (Genel) | |
| Yapฤฑlan Aรงฤฑklama Gรผncelleme mi? | Hayฤฑr (No) |
| Yapฤฑlan Aรงฤฑklama Dรผzeltme mi? | Hayฤฑr (No) |
| Konuya ฤฐliลkin Daha รnce Yapฤฑlan Aรงฤฑklamanฤฑn Tarihi | – |
| Yapฤฑlan Aรงฤฑklama Ertelenmiล Bir Aรงฤฑklama mฤฑ? | Hayฤฑr (No) |
| Bildirim ฤฐรงeriฤi | |
| Aรงฤฑklamalar | |
ลirketimizin ana ortaฤฤฑ Tรผrkiye ฤฐล Bankasฤฑ A.ล.'nin (Banka) 01.01.2026-30.06.2026 dรถnemine iliลkin sฤฑnฤฑrlฤฑ denetimden geรงmiล solo ve konsolide finansal tablolarฤฑ 03.08.2026 tarihinde Kamuyu Aydฤฑnlatma Platformu'nda (KAP, www.kap.org.tr) ve Banka'nฤฑn internet sitesinde (www.isbank.com.tr) yayฤฑmlanmฤฑลtฤฑr. ลirketimize iliลkin temel finansal bilgilerin de yer aldฤฑฤฤฑ Banka'nฤฑn finansal tablolarฤฑ, Bankacฤฑlฤฑk Dรผzenleme ve Denetleme Kurumu'nun muhasebe ve finansal raporlama mevzuatฤฑna uygun ลekilde hazฤฑrlanmakta olup TMS 29 "Yรผksek Enflasyonlu Ekonomilerde Finansal Raporlama" hรผkรผmlerini iรงermemektedir. Dolayฤฑsฤฑyla, Banka finansal tablolarฤฑnda yer alan ลirketimize iliลkin bilgilerin, Sermaye Piyasasฤฑ Kurulu'nun (SPK) finansal raporlama dรผzenlemelerine gรถre aรงฤฑklanacak ve TMS 29 hรผkรผmleri uygulanmฤฑล 30.06.2026 tarihli finansal tablolarฤฑmฤฑzdaki bilgilerden farklฤฑlaลmasฤฑ beklenmektedir. ลirketimiz tarafฤฑndan Banka'ya iletilen denetimden geรงmemiล ve enflasyon muhasebesine tabi tutulmamฤฑล 30.06.2026 tarihli Aktif Toplamฤฑ 168.930.584 Bin TL, รzkaynaklarฤฑ 37.373.154 Bin TL, Sabit Varlฤฑk Toplamฤฑ 7.264.392 Bin TL, Faiz Gelirleri 8.027.351 Bin TL, Menkul Deฤer Gelirleri 3.609.009 Bin TL, Cari Dรถnem Kar/Zararฤฑ 6.468.867 Bin TL, 30.06.2025 dรถnemi Kar/Zararฤฑ ise 8.356.846 Bin TL'dir. ลirketimizin SPK'nฤฑn finansal raporlama dรผzenlemelerine gรถre hazฤฑrlanacak 30.06.2026 tarihli konsolide finansal tablolarฤฑ yasal sรผre dahilinde KAP'ta ve ลirketimizin internet sitesinde (www.isyatirim.com.tr) yayฤฑmlanarak kamuya ilan edilecektir. ฤฐลbu รถzel durum aรงฤฑklamamฤฑz Sermaye Piyasasฤฑ Kurulu'nun 23.01.2025 tarih ve 4/156 sayฤฑlฤฑ kararฤฑ ile 25.01.2024 tarih ve 6/137 sayฤฑlฤฑ kararฤฑ uyarฤฑnca yapฤฑlmฤฑล olup aรงฤฑklamada yer alan bilgilerden doฤan sorumluluฤun kabul edildiฤini beyan ederiz. Fatih Mehmet Yฤฑlmaz Filiz Demirรถz Genel Mรผdรผr Yardฤฑmcฤฑsฤฑ Yรถnetim Kurulu รyesi ve Denetimden Sorumlu Komite Baลkanฤฑ The reviewed consolidated and non-consolidated financial statements of our main shareholder Tรผrkiye ฤฐล Bankasฤฑ A.ล (Bank) for the period 01.01.2026-30.06.2026 have been disclosed through the Public Disclosure Platform (KAP, www.kap.org.tr) and Bank's website (www.isbank.com.tr) on 03.08.2026. The financial statements of the Bank, which also include the main financial figures of ฤฐล Yatฤฑrฤฑm Menkul Deฤerler A.ล. (Company), are prepared in accordance with the accounting and financial reporting regulation of the Banking Regulation and Supervision Agency that do not cover the provisions of TAS 29 "Turkish Accounting Standards Financial Reporting in Hyperinflationary Economies". Therefore, the financial figures in the Bank's financial statements regarding the Company are expected to differ from the financial statements of the Company for the period ending 30.06.2026 which will be disclosed in accordance with the financial reporting regulation of the Capital Markets Board (CMB) and TAS 29 provisions. Regarding the Company's figures submitted to the Bank for the period ending 30.06.2026, which were unaudited and not prepared in accordance with the inflation accounting; the Total Assets is TL 168.930.584 thousand, Shareholders' Equity is TL 37.373.154 thousand, Total Fixed Assets is TL 7.264.392 thousand, Interest Income is TL 8.027.351 thousand, Securities Income is TL 3.609.009 thousand, net profit/loss of the current period is TL 6.468.867 thousand while net profit/loss of 30.06.2025 period is TL 8.356.846 thousand. The Company's consolidated financial statements prepared in accordance with the financial reporting regulation of the CMB for the period ending 30.06.2026 will be disclosed to public through KAP (www.kap.org.tr) and Company's website (www.isyatirim.com.tr) within the legal deadline. This disclosure has been made within scope of the CMB decision dated 23.01.2025 and numbered 4/156; and the CMB decision dated 25.01.2024 and numbered 6/137. It is declared that the responsibility arising from the shared information is accepted. Fatih Mehmet Yฤฑlmaz Filiz Demirรถz Deputy Chief Executive Board Member and Audit Committee Chair In the event of a contradiction between the Turkish and English versions of this public disclosure, the Turkish version shall prevail. | |







