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KUZEY BORU A.Ş.

Quarterly Report Feb 29, 2024

9001_rns_2024-03-01_b2cc0ef8-3bbe-48e9-8093-08756df62898.pdf

Quarterly Report

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1 January - 31 December 2023 Financial Statements for the Accounting Period

Statement of Financial Position

As of 31 December 2023 (Amounts expressed in Turkish lira ("TL") unless otherwise indicated.)

Current Period Prior Period
Audited Audited
ASSETS Notes 31 December 2023 31 December 2022
Cash and cash equivalents 3 703,075,646 24,434,646
Trade receivables
-
Receivables from third parties
5 448,438,992 218,860,455
Other receivables
-
Receivables from third parties
7 128,028 22,327
Stocks 8 390,174,381 222,404,290
Prepaid expenses 9 36,104,658 15,332,572
Other current assets 14 158,575 255,120
Total current assets 1,578,080,280 481,309,410
Other receivables
-
Receivables from third parties
7 6,475 43,123
Tangible assets 10 985,888,201 616,105,804
Intangible assets 11 706,425 880,074
Prepaid expenses 9 83,960 -
Deferred tax asset 22 - 544,393
Total non-current assets 986,685,061 617,573,394
TOTAL ASSETS 2,564,765,341 1,098,882,804

Statement of Financial Position

As of 31 December 2023

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

Current Period Prior Period
Audited Audited
LIABILITIES Notes 31 December 2023 31 December 2022
Current borrowings 6 37,852,083 143,991,310
Current portions of non-current borrowings 6 343,539,217 159,046,677
Current leasing borrowings 6 17,903,422 12,250,692
Other financial liabilities 6 751,895 783,037
Trade payables
-
Payables to third parties
5 135,417,529 34,721,610
Other payables
-
Payables to third parties
7 556,077 -
Payables for employee benefits 13 7,362,685 3,389,224
Deferred income 9 225,414,991 70,201,723
Current provisions
-
Current provisions for employee benefits
13 2,666,747 1,633,288
-
Other provisions for employee benefits
13 3,529,381 32,955
Other Current liabilities 14 7,551,766 27,813,224
Total current liabilities 782,545,793 453,863,740
Non-current borrowings 6 34,117,606 44,983,078
Non-current leasing borrowings 6 38,785,531 18,029,375
Trade payables
-Payables to third parties 5 - 380,126
Non-current provisions
-
Non-Current provisions for employee
1,976,366 2,249,814
benefits 13
Deferred tax liability 22 34,037,956 -
Total non-current liabilities 108,917,459 65,642,393
Paid-in capital 15 274,273,161 243,373,105
Other refills 20,000,000 -
Premiums (discounts) related to shares 664,376,184 -
Other Accumulated Comprehensive Income
and Expenses Not to be Reclassified to Profit
and Loss
-
Fixed assets revaluation increases/decreases
15 219,033,177 43,422,586
-
Remeasurement gains/losses of defined
(940,988) (609,994)
benefit plans 15
Restricted reserves separated from profit 15 4,937,014 1,035,043
Previous years' profits 272,400,654 90,153,115
Net profit for the period 219,222,887 202,002,816
EQUITY 1,673,302,089 579,376,671
TOTAL LIABILITIES 2,564,765,341 1,098,882,804

Statement of Profit or Loss and Other Comprehensive Income

For The Year Ended 31 December 2023

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

Current Period Prior Period
Audited Audited
1
January
1 January
Notes 31 December
2023
31 December
2022
Revenues 16 2,046,897,241 1,479,305,667
Cost of sales (-) 16 (1,409,264,011) (1,139,816,002)
Gross profit 637,633,230 339,489,665
General and administrative expenses (-) 17 (64,795,203) (36,876,830)
Marketing, sales,
and distribution expenses (-)
18 (126,310,590) (91,057,797)
Other income from main operations 19 20,164,151 27,114,051
Other operating expenses (-) 19 (14,768,700) (35,005,471)
Operating profit 451,922,888 203,663,618
Expenses from investment activities (-) 20 1,401,753 -
Operating profit before financing expense 453,324,641 203,663,618
Financing revenues 21 17,150,922 5,084,901
Financial expenses (-) 21 (148,989,908) (77,641,459)
Net monetary (loss) / gain (120,443,634) 65,855,130
Profit before tax 201,042,021 196,962,190
Period tax expense 22 (4,915,671) (34,500,353)
Deferred tax (expense) 22 23,096,537 39,540,979
Period profit 219,222,887 202,002,816
OTHER COMPREHENSIVE INCOME 175,279,597 43,422,586
Items that will not be reclassified
subsequently to profit or loss:
Property, plant,
and equipment revaluation
increases 10 216,136,112 45,497,371
Deferred tax (expense) 22 (40,525,521) (2,074,785)
Loss
on remeasurement of defined benefit plans
13 (441,325) (762,494)
Deferred tax revenue 22 110,331 152,499
TOTAL COMPREHENSIVE INCOME 394,502,484 245,425,402

Statement of Changes in Equity For The Year Ended 31 December 2023

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

Other accumulated comprehensive
income or expenses that will not be
reclassified to profit or loss
Premiums Other Restricted Defined benefit
(discounts) reserves reserves Fixed assets plan Net profit/
related to separated revaluation remeasurement Previous years' (loss) for the
Paid in capital shares from profit increases differences profits period Equity total
1 January 2022 243,373,105 - - 481,230 - - 81,174,102 9,532,826 334,561,263
Transfers - - - 553,813 - - 8,979,013 (9,532,826) -
Other comprehensive
income/expense - - - - 43,422,586 (609,994) - - 42,812,592
Pursuant to Law No. 7326 - - - - - - - - -
Capital increase - - - - - - - - -
Net profit for the period - - - - - - - 202,002,816 202,002,816
31 December 2022 243,373,105 - - 1,035,043 43,422,586 (609,994) 90,153,115 202,002,816 579,376,671
1 January 2023 243,373,105 - - 1,035,043 43,422,586 (609,994) 90,153,115 202,002,816 579,376,671
Transfers 15,853,306 - - 3,901,971 - - 182,247,539 (202,002,816) -
Other comprehensive
income/expense - - - - 175,610,591 (330,994) - - 175,279,597
Share and equity-based
transactions - 664,376,184 20,000,000 - - - - - 684,376,184
Capital increase 15,046,750 - - - - - - - 15,046,750
Net profit for the period - - - - - - - 219,222,887 219,222,887
31 December 2023 274,273,161 664,376,184 20,000,000 4,937,014 219,033,177 (940,988) 272,400,654 219,222,887 1,673,302,089

Statement of Cash Flow

For The Year Ended 31 December 2023

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

Current Period Prior Period
1 January – 1 January –
31 December
Notes 2023 31 December 2022
A. CASH FLOWS FROM BUSINESS ACTIVITIES
Profit for the Period 219,222,887 202,002,816
Adjustments to Reconcile Profit for the Period
Adjustments related to depreciation and amortization expenses 10,11 39,618,836 32,948,550
Adjustments for losses/(gains) on disposal of fixed assets 20
Adjustments to litigation provisions 13 3,509,381 825,313
Fixes for permission provisions 13 1,675,512 1,202,578
Interest expense-related fixes (16,272,575) (1,039,505)
Adjustments to severance pay expense 13 1,993,547 -
Adjustments regarding foreign currency translation differences (40,654,742) (28,131,493)
Adjustments for impairment of trade and other receivables 6,646 (682,346)
Monetary loss (2,286,720) (921,454)
Adjustments to tax expense/income 22 (5,832,841) (33,042,713)
Operating Profit Before Changes in Working Capital 200,979,931 187,940,312
Adjustments for increase/decrease in trade receivables (228,801,235) (63,817,755)
Adjustments for increase/decrease in stocks (167,770,091) (129,478,097)
Adjustments for increase/decrease in other operating receivables (105,701) 38,544
Adjustments for increase/decrease in prepaid expenses (20,856,046) 112,803,772
Adjustments for increase/decrease in other assets 96,545 199,243
Adjustments for increase/decrease in trade payables 100,315,793 (5,860,218)
Adjustments for increase/decrease in other operating liabilities 556,077 (962,403)
Adjustments for increase/decrease in deferred revenues 155,213,268 (153,012,257)
Adjustments for increase/decrease in other liabilities (20,261,458) 18,945,328
Adjustments for increase/decrease in employee benefits 3,973,461 1,295,126
Interests received 16,272,575 1,039,505
Severance payments paid 13 (1,823,908) (308,053)
Cash Flows from Operations 37,789,211 (45,266,527)
B. CASH FLOWS FROM INVESTING ACTIVITIES
Cash outflows from the sale of tangible and intangible assets 10,11 (193,139,635) (119,456,719)
Cash inflows from the sale of tangible and intangible assets 10,11 48,163 429,120
Capital increase 15,046,750 -
Cash Flows from Investment Activities (178,044,722) (119,027,599)
C. CASH FLOWS FROM FINANCE ACTIVITIES
Cash inflows/outflows arising from other receivables from related
parties/other payables to related parties 684,376,184 -
Cash inflows from financial borrowings 6 935,590,315 560,609,885
Cash outflows from financial debt payments 6 (707,840,177) (359,496,963)
Interest paid 21 (93,229,811) (63,907,167)
Cash flows from financing activities 818,896,511 137,205,754
NET INCREASE/(DECREASE) IN CASH AND CASH
EQUIVALENTS (A+B+C)
678,641,000 (27,088,372)
D. CASH AND CASH EQUIVALENTS AT THE BEGINNING OF
THE PERIOD 24,434,646 51,523,018
Balance at the end of the period 3 703,075,646 24,434,646

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