Skip to main content

AI assistant

Sign in to chat with this filing

The assistant answers questions, extracts KPIs, and summarises risk factors directly from the filing text.

AKSİGORTA A.Ş. Interim / Quarterly Report 2016

Oct 19, 2016

8666_rns_2016-10-19_98a671af-3c23-45bf-ba44-f4fe02eaa493.html

Interim / Quarterly Report

Open in viewer

Opens in your device viewer

Presentation Currency TL
Nature of Financial Statements Unconsolidated

Dipnot Referansı

Footnote Reference

Cari Dönem

30.09.2016

Current Period

30.09.2016

Önceki Dönem

31.12.2015

Previous Period

31.12.2015

kap-fr_BalanceSheetAbstract|

Bilanço Balance Sheet

ifrs-full_AssetsAbstract|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

VARLIKLAR ASSETS

ifrs-full_CurrentAssetsAbstract|http://www.xbrl.org/2003/role/terseLabel

CARİ VARLIKLAR CURRENT ASSETS

ifrs-full_CashAndCashEquivalents|http://www.xbrl.org/2003/role/verboseLabel

NAKİT VE NAKİT BENZERİ VARLIKLAR CASH AND CASH EQUIVALENTS

933.224.672

551.303.762

ifrs-full_Cash|

Kasa Cash

0

0

kap-fr_ChequesReceived|

Alınan Çekler Cheques Received

0

0

kap-fr_Banks|

Bankalar Banks

14

698.705.916

374.800.368

kap-fr_ChequesGivenAndPaymentOrders|http://www.xbrl.org/2009/role/negatedLabel

Verilen Çekler Ve Ödeme Emirleri (-) Cheques Given And Payment Orders (-)

0

0

kap-fr_BankGuaranteedCreditCardReceivablesWithMaturitiesLessThanThreeMonths|

Banka Garantili ve Üç Aydan Kısa Vadeli Kredi Kartı Alacakları Bank Guaranteed Credit Card Receivables With Maturities Less Than Three Months

14

234.518.756

176.503.394

ifrs-full_OtherCashAndCashEquivalents|

Diğer Nakit ve Nakit Benzeri Varlıklar Other cash and cash equivalents

0

0

kap-fr_FinancialAssetsAndFinancialInvestmentsWithRisksOnPolicyholders|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

FİNANSAL VARLIKLAR İLE RİSKİ SİGORTALILARA AİT FİNANSAL YATIRIMLAR FINANCIAL ASSETS AND FINANCIAL INVESTMENTS WITH RISKS ON POLICYHOLDERS

11.1

426.465.508

686.053.937

kap-fr_AvailableForSaleCurrentFinancialAssets|http://www.xbrl.org/2003/role/verboseLabel

Satılmaya Hazır Finansal Varlıklar Financial Assets Available For Sale

11.1

423.788.616

678.300.658

kap-fr_CurrentFinancialInvestmentsHeldToMaturity|http://www.xbrl.org/2003/role/verboseLabel

Vadeye Kadar Elde Tutulacak Finansal Varlıklar Financial Assets Held To Maturity

0

0

kap-fr_CurrentFinancialAssetsHeldForTrading|http://www.xbrl.org/2003/role/verboseLabel

Alım Satım Amaçlı Finansal Varlıklar Financial Assets Held For Trading

11.1

0

0

kap-fr_Loans|

Krediler Loans

0

0

kap-fr_ProvisionForLoans|http://www.xbrl.org/2009/role/negatedLabel

Krediler Karşılığı (-) Provision For Loans (-)

0

0

kap-fr_FinancialInvestmentsWithRisksOnPolicyholders|

Riski Hayat Poliçesi Sahiplerine Ait Finansal Yatırımlar Financial Investments With Risks On Policyholders

11.1

2.676.892

7.753.279

kap-fr_EquityShares|

Şirket Hissesi Equity Shares

0

0

kap-fr_ImpairmentInValueOfCurrentFinancialAssests|http://www.xbrl.org/2009/role/negatedTerseLabel

Finansal Varlıklar Değer Düşüklüğü Karşılığı (-) Impairment In Value of Financial Assests (-)

0

0

kap-fr_CurrentReceivablesFromMainOperations|http://www.xbrl.org/2003/role/terseLabel

ESAS FAALİYETLERDEN ALACAKLAR RECEIVABLES FROM MAIN OPERATIONS

12.1

347.027.820

397.936.342

kap-fr_CurrentReceivablesFromInsuranceOperations|http://www.xbrl.org/2003/role/terseLabel

Sigortacılık Faaliyetlerinden Alacaklar Receivables From Insurance Operations

12.1

345.809.808

396.437.558

kap-fr_ProvisionForCurrentReceivablesFromInsuranceOperations|http://www.xbrl.org/2009/role/negatedTerseLabel

Sigortacılık Faaliyetlerinden Alacaklar Karşılığı (-) Provision For Receivables From Insurance Operations (-)

12.1

-10.257.055

-9.860.324

kap-fr_CurrentReceivablesFromReinsuranceOperations|http://www.xbrl.org/2003/role/terseLabel

Reasürans Faaliyetlerinden Alacaklar Receivables From Reinsurance Operations

0

0

kap-fr_ProvisionForCurrentReceivablesFromReinsuranceOperations|http://www.xbrl.org/2009/role/negatedTerseLabel

Reasürans Faaliyetlerinden Alacaklar Karşılığı (-) Provision For Receivables From Reinsurance Operations (-)

12.1

0

0

kap-fr_CurrentCashDepositsOnInsuranceAndReinsuranceCompanies|http://www.xbrl.org/2003/role/terseLabel

Sigorta Ve Reasürans Şirketleri Nezdindeki Depolar Cash Deposits On Insurance And Reinsurance Companies

12.1

30.954

30.954

kap-fr_CurrentLoansToPolicyholders|http://www.xbrl.org/2003/role/terseLabel

Sigortalılara Krediler (İkrazlar) Loans To Policyholders

0

0

kap-fr_ProvisionForCurrentLoansToPolicyholders|http://www.xbrl.org/2009/role/negatedTerseLabel

Sigortalılara Krediler (İkrazlar) Karşılığı (-) Provision For Loans To Policyholders (-)

0

0

kap-fr_CurrentReceivablesFromPensionOperations|http://www.xbrl.org/2003/role/terseLabel

Emeklilik Faaliyetlerinden Alacaklar Receivables From Pension Operations

0

0

kap-fr_CurrentDoubtfulReceivablesFromMainOperations|http://www.xbrl.org/2003/role/terseLabel

Esas Faaliyetlerden Kaynaklanan Şüpheli Alacaklar Doubtful Receivables From Main Operations

12.1

82.559.374

71.388.831

kap-fr_ProvisionForCurrentDoubtfulReceivablesFromMainOperations|http://www.xbrl.org/2009/role/negatedTerseLabel

Esas Faaliyetlerden Kaynaklanan Şüpheli Alacaklar Karşılığı (-) Provision For Doubtful Receivables From Main Operations (-)

12.1

-71.115.261

-60.060.677

kap-fr_CurrentReceivablesFromRelatedParties|http://www.xbrl.org/2003/role/terseLabel

İLİŞKİLİ TARAFLARDAN ALACAKLAR RECEIVABLES FROM RELATED PARTIES

231.836

80.678

kap-fr_CurrentReceivablesFromShareholders|http://www.xbrl.org/2003/role/terseLabel

Ortaklardan Alacaklar Receivables From Shareholders

0

0

kap-fr_CurrentReceivablesFromAssociates|http://www.xbrl.org/2003/role/terseLabel

İştiraklerden Alacaklar Receivables From Associates

0

0

kap-fr_CurrentReceivablesFromSubsidiaries|http://www.xbrl.org/2003/role/terseLabel

Bağlı Ortaklıklardan Alacaklar Receivables From Subsidiaries

0

0

kap-fr_CurrentReceivablesFromJointlyControlledCompanies|http://www.xbrl.org/2003/role/terseLabel

Müşterek Yönetime Tabi Teşebbüslerden Alacaklar Receivables From Jointly-Controlled Companies

0

0

kap-fr_CurrentReceivablesFromPersonnel|http://www.xbrl.org/2003/role/terseLabel

Personelden Alacaklar Receivables From Personnel

0

0

kap-fr_CurrentReceivablesFromOtherRelatedParties|http://www.xbrl.org/2003/role/terseLabel

Diğer İlişkili Taraflardan Alacaklar Receivables From Other Related Parties

45

231.836

80.678

kap-fr_RediscountOnCurrentReceivablesFromRelatedParties|http://www.xbrl.org/2009/role/negatedTerseLabel

İlişkili Taraflardan Alacaklar Reeskontu (-) Rediscount On Receivables From Related Parties (-)

0

0

kap-fr_CurrentDoubtfulReceivablesFromRelatedParties|http://www.xbrl.org/2003/role/terseLabel

İlişkili Taraflardan Şüpheli Alacaklar Doubtful Receivables From Related Parties

0

0

kap-fr_ProvisionForCurrentDoubtfulReceivablesFromRelatedParties|http://www.xbrl.org/2009/role/negatedTerseLabel

İlişkili Taraflardan Şüpheli Alacaklar Karşılığı (-) Provision For Doubtful Receivables From Related Parties (-)

0

0

ifrs-full_OtherCurrentReceivables|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

DİĞER ALACAKLAR OTHER RECEIVABLES

16.150.287

7.315.908

kap-fr_CurrentFinancialLeasingReceivables|http://www.xbrl.org/2003/role/terseLabel

Finansal Kiralama Alacakları Financial Leasing Receivables

0

0

kap-fr_CurrentUnearnedFinancialLeasingInterestIncome|http://www.xbrl.org/2009/role/negatedTerseLabel

Kazanılmamış Finansal Kiralama Faiz Gelirleri (-) Unearned Financial Leasing Interest Income (-)

0

0

kap-fr_CurrentDepositsAndGuaranteesGiven|http://www.xbrl.org/2003/role/terseLabel

Verilen Depozito Ve Teminatlar Deposits And Guarantees Given

432.786

376.422

kap-fr_OtherCurrentMiscellaneousReceivables|http://www.xbrl.org/2003/role/terseLabel

Diğer Çeşitli Alacaklar Other Miscellaneous Receivables

47

15.717.501

6.939.486

kap-fr_RediscountOnOtherCurrentMiscellaneousReceivables|http://www.xbrl.org/2009/role/negatedTerseLabel

Diğer Çeşitli Alacaklar Reeskontu (-) Rediscount On Other Miscellaneous Receivables (-)

0

0

kap-fr_OtherCurrentDoubtfulReceivables|http://www.xbrl.org/2003/role/terseLabel

Şüpheli Diğer Alacaklar Other Doubtful Receivables

0

0

kap-fr_ProvisionForOtherCurrentDoubtfulReceivables|http://www.xbrl.org/2009/role/negatedTerseLabel

Şüpheli Diğer Alacaklar Karşılığı (-) Provision For Other Doubtful Receivables (-)

0

0

kap-fr_CurrentPrepaidExpensesAndIncomeAccruals|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

GELECEK AYLARA AİT GİDERLER VE GELİR TAHAKKUKLARI PREPAID EXPENSES AND INCOME ACCRUALS

4.2.2

144.843.030

123.513.895

kap-fr_CurrentDeferredInsuranceAcquisitionCosts|http://www.xbrl.org/2003/role/terseLabel

Ertelenmiş Üretim Giderleri Deferred Acquisition Costs

135.594.274

120.698.665

kap-fr_AccruedInterestAndRentIncome|

Tahakkuk Etmiş Faiz ve Kira Gelirleri Accrued Interest And Rent Income

0

0

kap-fr_CurrentIncomeAccruals|http://www.xbrl.org/2003/role/terseLabel

Gelir Tahakkukları Income Accruals

91.000

276.048

kap-fr_CurrentOtherPrepaidExpenses|http://www.xbrl.org/2003/role/terseLabel

Gelecek Aylara Ait Diğer Giderler Other Prepaid Expenses

47

9.157.756

2.539.182

ifrs-full_OtherCurrentAssets|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

DİĞER CARİ VARLIKLAR OTHER CURRENT ASSETS

4.2.2

7.964.312

5.458.704

kap-fr_InventoryForFutureMonths|

Gelecek Aylar İhtiyacı Stoklar Inventory For Future Months

22

22

kap-fr_CurrentPrepaidTaxesAndFunds|http://www.xbrl.org/2003/role/terseLabel

Peşin Ödenen Vergiler Ve Fonlar Prepaid Taxes And Funds

4.2.2

7.843.486

5.241.964

kap-fr_CurrentDeferredTaxAssets|http://www.xbrl.org/2003/role/terseLabel

Ertelenmiş Vergi Varlıkları Deferred Tax Assets

0

0

kap-fr_BusinessAdvances|

İş Avansları Business Advances

39.397

168.635

kap-fr_AdvancesGivenToPersonnel|

Personele Verilen Avanslar Advances Given To Personnel

81.407

48.083

kap-fr_InventoryCountDeficiency|

Sayım ve Tesellüm Noksanları Inventory Count Deficiency

0

0

kap-fr_OtherMiscellaneousCurrentAssets|

Diğer Çeşitli Cari Varlıklar Other Miscellaneous Current Assets

0

0

kap-fr_ProvisionForOtherMiscellaneousCurrentAssets|http://www.xbrl.org/2009/role/negatedTerseLabel

Diğer Cari Varlıklar Karşılığı ( -) Provision For Other Miscellaneous Current Assets ( -)

0

0

ifrs-full_CurrentAssets|http://www.mkk.com.tr/2015/role/alternativeTotalLabel

CARİ VARLIKLAR TOPLAMI TOTAL CURRENT ASSETS

1.875.907.465

1.771.663.226

ifrs-full_NoncurrentAssetsAbstract|http://www.xbrl.org/2003/role/terseLabel

CARİ OLMAYAN VARLIKLAR NON-CURRENT ASSETS

kap-fr_NoncurrentReceivablesFromMainOperations|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

ESAS FAALİYETLERDEN ALACAKLAR RECEIVABLES FROM MAIN OPERATIONS

0

0

kap-fr_NoncurrentReceivablesFromInsuranceOperations|http://www.xbrl.org/2003/role/terseLabel

Sigortacılık Faaliyetlerinden Alacaklar Receivables From Insurance Operations

0

0

kap-fr_ProvisionForNoncurrentReceivablesFromInsuranceOperations|http://www.xbrl.org/2009/role/negatedLabel

Sigortacılık Faaliyetlerinden Alacaklar Karşılığı (-) Provision For Receivables From Insurance Operations (-)

0

0

kap-fr_NoncurrentReceivablesFromReinsuranceOperations|http://www.xbrl.org/2003/role/terseLabel

Reasürans Faaliyetlerinden Alacaklar Receivables From Reinsurance Operations

0

0

kap-fr_ProvisionForNoncurrentReceivablesFromReinsuranceOperations|http://www.xbrl.org/2009/role/negatedLabel

Reasürans Faaliyetlerinden Alacaklar Karşılığı (-) Provision For Receivables From Reinsurance Operations (-)

0

0

kap-fr_NoncurrentCashDepositsOnInsuranceAndReinsuranceCompanies|http://www.xbrl.org/2003/role/terseLabel

Sigorta ve Reasürans Şirketleri Nezdindeki Depolar Cash Deposits on Insurance And Reinsurance Companies

0

0

kap-fr_NoncurrentLoansToPolicyholders|http://www.xbrl.org/2003/role/terseLabel

Sigortalılara Krediler (İkrazlar) Loans To Policyholders

0

0

kap-fr_ProvisionForNoncurrentLoansToPolicyholders|http://www.xbrl.org/2009/role/negatedLabel

Sigortalılara Krediler (İkrazlar) Karşılığı (-) Provision For Loans To Policyholders (-)

0

0

kap-fr_NoncurrentReceivablesFromPensionOperations|http://www.xbrl.org/2003/role/terseLabel

Emeklilik Faaliyetlerinden Alacaklar Receivables From Pension Operations

0

0

kap-fr_NoncurrentDoubtfulReceivablesFromMainOperations|http://www.xbrl.org/2003/role/terseLabel

Esas Faaliyetlerden Kaynaklanan Şüpheli Alacaklar Doubtful Receivables From Main Operations

0

0

kap-fr_ProvisionForNoncurrentDoubtfulReceivablesFromMainOperations|http://www.xbrl.org/2009/role/negatedLabel

Esas Faaliyetlerden Kaynaklanan Şüpheli Alacaklar Karşılığı (-) Provision For Doubtful Receivables From Main Operations (-)

0

0

kap-fr_NoncurrentReceivablesFromRelatedParties|http://www.xbrl.org/2003/role/terseLabel

İLİŞKİLİ TARAFLARDAN ALACAKLAR RECEIVABLES FROM RELATED PARTIES

0

0

kap-fr_NoncurrentReceivablesFromShareholders|http://www.xbrl.org/2003/role/terseLabel

Ortaklardan Alacaklar Receivables From Shareholders

0

0

kap-fr_NoncurrentReceivablesFromAssociates|http://www.xbrl.org/2003/role/terseLabel

İştiraklerden Alacaklar Receivables From Associates

0

0

kap-fr_NoncurrentReceivablesFromSubsidiaries|http://www.xbrl.org/2003/role/terseLabel

Bağlı Ortaklıklardan Alacaklar Receivables From Subsidiaries

0

0

kap-fr_NoncurrentReceivablesFromJointlyControlledCompanies|http://www.xbrl.org/2003/role/terseLabel

Müşterek Yönetime Tabi Teşebbüslerden Alacaklar Receivables From Jointly-Controlled Companies

0

0

kap-fr_NoncurrentReceivablesFromPersonnel|http://www.xbrl.org/2003/role/terseLabel

Personelden Alacaklar Receivables From Personnel

0

0

kap-fr_NoncurrentReceivablesFromOtherRelatedParties|http://www.xbrl.org/2003/role/terseLabel

Diğer İlişkili Taraflardan Alacaklar Receivables From Other Related Parties

0

0

kap-fr_RediscountOnNoncurrentReceivablesFromRelatedParties|http://www.xbrl.org/2009/role/negatedLabel

İlişkili Taraflardan Alacaklar Reeskontu (-) Rediscount On Receivables From Related Parties (-)

0

0

kap-fr_NoncurrentDoubtfulReceivablesFromRelatedParties|http://www.xbrl.org/2003/role/terseLabel

İlişkili Taraflardan Şüpheli Alacaklar Doubtful Receivables From Related Parties

0

0

kap-fr_ProvisionForNoncurrentDoubtfulReceivablesFromRelatedParties|http://www.xbrl.org/2009/role/negatedLabel

İlişkili Taraflardan Şüpheli Alacaklar Karşılığı (-) Provision For Doubtful Receivables From Related Parties (-)

0

0

ifrs-full_OtherNoncurrentReceivables|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

DİĞER ALACAKLAR OTHER RECEIVABLES

0

0

kap-fr_NoncurrentFinancialLeasingReceivables|http://www.xbrl.org/2003/role/terseLabel

Finansal Kiralama Alacakları Financial Leasing Receivables

0

0

kap-fr_NoncurrentUnearnedFinancialLeasingInterestIncome|http://www.xbrl.org/2009/role/negatedLabel

Kazanılmamış Finansal Kiralama Faiz Gelirleri (-) Unearned Financial Leasing Interest Income (-)

0

0

kap-fr_NoncurrentDepositsAndGuaranteesGiven|http://www.xbrl.org/2003/role/terseLabel

Verilen Depozito Ve Teminatlar Deposits and Guarantees Given

0

0

kap-fr_OtherNoncurrentMiscellaneousReceivables|http://www.xbrl.org/2003/role/terseLabel

Diğer Çeşitli Alacaklar Other Miscellaneous Receivables

0

0

kap-fr_RediscountOnOtherNoncurrentMiscellaneousReceivables|http://www.xbrl.org/2009/role/negatedLabel

Diğer Çeşitli Alacaklar Reeskontu (-) Rediscount On Other Miscellaneous Receivables (-)

0

0

kap-fr_OtherNoncurrentDoubtfulReceivables|http://www.xbrl.org/2003/role/terseLabel

Şüpheli Diğer Alacaklar Other Doubtful Receivables

0

0

kap-fr_ProvisionForOtherNoncurrentDoubtfulReceivables|http://www.xbrl.org/2009/role/negatedLabel

Şüpheli Diğer Alacaklar Karşılığı (-) Provision For Other Doubtful Receivables (-)

0

0

kap-fr_NoncurrentFinancialInvestments|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

FİNANSAL VARLIKLAR FINANCIAL ASSETS

7.961.251

7.961.251

kap-fr_LongTermSecurities|

Bağlı Menkul Kıymetler Long Term Securities

0

0

kap-fr_Associates|

İştirakler Associates

9, 11.4

30.116.653

30.116.653

kap-fr_CapitalCommitmentsToAssociates|http://www.mkk.com.tr/2015/role/negatedVerboseLabel

İştirakler Sermaye Taahhütleri (-) Capital Commitments to Associates (-)

0

0

kap-fr_Subsidiaries|

Bağlı Ortaklıklar Subsidiaries

0

0

kap-fr_CapitalCommitmentsToSubsidiaries|http://www.xbrl.org/2009/role/negatedLabel

Bağlı Ortaklıklar Sermaye Taahhütleri (-) Capital Commitments to Subsidiaries (-)

0

0

kap-fr_JointlyControlledCompanies|

Müşterek Yönetime Tabi Teşebbüsler Jointly-Controlled Companies

0

0

kap-fr_CapitalCommitmentsToJointlyControlledCompanies|http://www.mkk.com.tr/2015/role/negatedVerboseLabel

Müşterek Yönetime Tabi Teşebbüsler Sermaye Taahhütleri (-) Capital Commitments To Jointly-Controlled Companies (-)

0

0

kap-fr_FinancialAssetsAndFinancialInvestmentsWithRisksOnPolicyholdersClassifiedAsFinancialAssets|http://www.xbrl.org/2003/role/terseLabel

Finansal Varlıklar Ve Riski Sigortalılara Ait Finansal Yatırımlar Financial Assets And Financial Investments With Risks On Policyholders

0

0

ifrs-full_OtherFinancialAssets|

Diğer Finansal Varlıklar Other financial assets

0

0

kap-fr_ImpairmentInValueOfFinancialAssestsClassifiedAsFinancialAssets|http://www.xbrl.org/2009/role/negatedTerseLabel

Finansal Varlıklar Değer Düşüklüğü Karşılığı (-) Impairment in Value of Financial Assests (-)

4.2.2, 11.4

-22.155.402

-22.155.402

ifrs-full_PropertyPlantAndEquipment|http://www.xbrl.org/2003/role/terseLabel

MADDİ VARLIKLAR TANGIBLE ASSETS

27.132.403

26.619.443

kap-fr_InvestmentPropertyGrossOfImpairementProvision|http://www.xbrl.org/2003/role/terseLabel

Yatırım Amaçlı Gayrimenkuller Investment Property

7

80.126

80.126

kap-fr_ImpairmentInValueOfInvestmentProperties|http://www.xbrl.org/2009/role/negatedTerseLabel

Yatırım Amaçlı Gayrimenkuller Değer Düşüklüğü Karşılığı (-) Impairment In Value Of Investment Properties (-)

0

0

kap-fr_LandAndBuildingsHeldForUtilisation|

Kullanım Amaçlı Gayrimenkuller Land And Buildings Held For Utilisation

6

1.598.569

1.598.569

kap-fr_MachineryAndEquipments|http://www.xbrl.org/2003/role/verboseLabel

Makine ve Teçhizatlar Machinery And Equipments

0

0

kap-fr_FurnituresAndFixtures|

Demirbaş ve Tesisatlar Furnitures And Fixtures

6

19.836.525

16.510.365

ifrs-full_MotorVehicles|

Motorlu Taşıtlar Motor vehicles

6

0

0

kap-fr_OtherTangibleAssetsIncludingLeaseholdImprovements|

Diğer Maddi Varlıklar, Özel Maliyet Bedelleri Dahil Other Tangible Assets, Including Leasehold Improvements

6

20.215.641

20.034.606

kap-fr_TangibleAssetsAcquiredThroughFinanceLeases|

Kiralama Yoluyla Edinilmiş Maddi Varlıklar Tangible Assets Acquired Through Finance Leases

6

351.395

351.395

kap-fr_AccumulatedDepreciation|http://www.xbrl.org/2009/role/negatedTerseLabel

Birikmiş Amortismanlar (-) Accumulated Amortisations (-)

6, 7

-14.957.229

-11.962.994

kap-fr_AdvancesForTangibleAssetsIncludingConstructionInProgress|

Maddi Varlıklara İlişkin Avanslar, Yapılmakta Olan Yatırımlar Dahil Advances For Tangible Assets, Including Construction In Progress

7.376

7.376

ifrs-full_IntangibleAssetsAndGoodwill|http://www.xbrl.org/2003/role/terseLabel

MADDİ OLMAYAN VARLIKLAR INTANGIBLE ASSETS

35.489.482

33.994.538

kap-fr_RightsGrossOfAmortisation|http://www.xbrl.org/2003/role/terseLabel

Haklar Rights

8

61.215.894

52.085.155

kap-fr_GoodwillGrossOfAmortisation|http://www.xbrl.org/2003/role/terseLabel

Şerefiye Goodwill

0

0

kap-fr_StartUpCosts|

Faaliyet Öncesi Döneme Ait Giderler Start-Up Costs

0

0

kap-fr_ResearchAndDevelopmentCosts|

Araştırma ve Geliştirme Giderleri Research And Development Costs

0

0

kap-fr_OtherIntangibleAssetsGrossOfAmortisation|http://www.xbrl.org/2003/role/terseLabel

Diğer Maddi Olmayan Varlıklar Other Intangible Assets

0

0

kap-fr_AccumulatedAmortisations|http://www.xbrl.org/2009/role/negatedTerseLabel

Birikmiş İtfalar (Amortismanlar) (-) Accumulated Amortisations (-)

8

-27.476.168

-20.757.045

kap-fr_AdvancesForIntangibleAssets|

Maddi Olmayan Varlıklara İlişkin Avanslar Advances For Intangible Assets

8

1.749.756

2.666.428

kap-fr_NoncurrentPrepaidExpensesAndIncomeAccruals|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

GELECEK YILLARA AİT GİDERLER VE GELİR TAHAKKUKLARI PREPAID EXPENSES AND INCOME ACCRUALS

218.655

249.184

kap-fr_NoncurrentDeferredInsuranceAcquisitionCosts|http://www.xbrl.org/2003/role/terseLabel

Ertelenmiş Üretim Giderleri Deferred Acquisition Costs

0

0

kap-fr_NoncurrentIncomeAccruals|http://www.xbrl.org/2003/role/terseLabel

Gelir Tahakkukları Income Accruals

0

0

kap-fr_NoncurrentOtherPrepaidExpenses|http://www.xbrl.org/2003/role/terseLabel

Gelecek Yıllara Ait Diğer Giderler Other Prepaid Expenses

47

218.655

249.184

ifrs-full_OtherNoncurrentAssets|http://www.xbrl.org/2003/role/terseLabel

DİĞER CARİ OLMAYAN VARLIKLAR OTHER NON CURRENT ASSETS

36.620.555

39.211.885

kap-fr_EffectiveForeignCurrencyAccounts|

Efektif Yabancı Para Hesapları Effective Foreign Currency Accounts

0

0

kap-fr_ForeignCurrencyAccounts|

Döviz Hesapları Foreign Currency Accounts

0

0

kap-fr_InventoryForFutureYears|

Gelecek Yıllar İhtiyacı Stoklar Inventory For Future Years

0

0

kap-fr_NoncurrentPrepaidTaxesAndFunds|http://www.xbrl.org/2003/role/terseLabel

Peşin Ödenen Vergiler Ve Fonlar Prepaid Taxes And Funds

0

0

ifrs-full_DeferredTaxAssets|http://www.xbrl.org/2003/role/terseLabel

Ertelenmiş Vergi Varlıkları Deferred Tax Assets

35

36.620.555

39.211.885

kap-fr_OtherMiscellaneousNoncurrentAssets|

Diğer Çeşitli Cari Olmayan Varlıklar Other Miscellaneous Non-Current Assets

0

0

kap-fr_AmortisationOnOtherNoncurrentAssets|http://www.xbrl.org/2009/role/negatedLabel

Diğer Cari Olmayan Varlıklar Amortismanı (-) Amortisation On Other Non-Current Assets (-)

0

0

kap-fr_ProvisionForOtherNoncurrentAssets|http://www.xbrl.org/2009/role/negatedLabel

Diğer Cari Olmayan Varlıklar Karşılığı (-) Provision For Other Non-Current Assets (-)

0

0

ifrs-full_NoncurrentAssets|http://www.mkk.com.tr/2015/role/alternativeTotalLabel

CARİ OLMAYAN VARLIKLAR TOPLAMI TOTAL NON-CURRENT ASSETS

107.422.346

108.036.301

ifrs-full_Assets|http://www.xbrl.org/2003/role/totalLabel

TOPLAM VARLIKLAR Total assets

1.983.329.811

1.879.699.527

ifrs-full_EquityAndLiabilitiesAbstract|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

YÜKÜMLÜLÜKLER VE ÖZSERMAYE LIABILITIES AND EQUITY

ifrs-full_LiabilitiesAbstract|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

YÜKÜMLÜLÜKLER LIABILITIES

ifrs-full_CurrentLiabilitiesAbstract|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

KISA VADELİ YÜKÜMLÜLÜKLER CURRENT LIABILITIES

kap-fr_ShortTermFinancialLiabilities|http://www.xbrl.org/2003/role/terseLabel

FİNANSAL BORÇLAR FINANCIAL DEBTS

57.789.679

137.458.200

kap-fr_ShortTermBorrowingsFromFinancialInstitutions|http://www.xbrl.org/2003/role/terseLabel

Kredi Kuruluşlarına Borçlar Borrowings from Financial Institutions

0

0

kap-fr_ShortTermFinanceLeaseLiabilities|http://www.xbrl.org/2003/role/terseLabel

Finansal Kiralama İşlemlerinden Borçlar Finance Lease Liabilities

0

0

kap-fr_ShortTermDeferredFinanceLeaseCosts|http://www.xbrl.org/2009/role/negatedTerseLabel

Ertelenmiş Finansal Kiralama Borçlanma Maliyetleri (-) Deferred Finance Lease Costs (-)

0

0

kap-fr_CurrentPortionOfLongTermLoans|

Uzun Vadeli Kredilerin Ana Para Taksitleri ve Faizleri Current Portion Of Long Term Loans

0

0

kap-fr_PrincipalInstallmentsAndInterestsOnIssuedBillsBonds|

Çıkarılmış Tahviller (Bonolar) Anapara, Taksit ve Faizleri Principal Installments And Interests On Issued Bonds (Bills)

0

0

kap-fr_OtherShortTermFinancialAssetsIssued|http://www.xbrl.org/2003/role/terseLabel

Çıkarılmış Diğer Finansal Varlıklar Other Financial Assets Issued

0

0

kap-fr_ValuationDifferencesOfOtherShortTermFinancialAssetsIssued|http://www.xbrl.org/2009/role/negatedTerseLabel

Çıkarılmış Diğer Finansal Varlıklar İhraç Farkı (-) Valuation Differences Of Other Financial Assets Issued (-)

0

0

kap-fr_OtherShortTermFinancialLiabilities|http://www.xbrl.org/2003/role/terseLabel

Diğer Finansal Borçlar (Yükümlülükler) Other Financial Liabilities

13

57.789.679

137.458.200

kap-fr_ShortTermPayablesFromMainOperations|http://www.xbrl.org/2003/role/terseLabel

ESAS FAALİYETLERDEN BORÇLAR PAYABLES FROM MAIN OPERATIONS

19.1

205.560.997

175.054.091

kap-fr_ShortTermPayablesFromInsuranceOperations|http://www.xbrl.org/2003/role/terseLabel

Sigortacılık Faaliyetlerinden Borçlar Payables From Insurance Operations

19.1

205.560.997

175.054.091

kap-fr_ShortTermPayablesFromReinsuranceOperations|http://www.xbrl.org/2003/role/terseLabel

Reasürans Faaliyetlerinden Borçlar Payables From Reinsurance Operations

0

0

kap-fr_ShortTermDepositsReceivedFromInsuranceAndReinsuranceCompanies|http://www.xbrl.org/2003/role/terseLabel

Sigorta Ve Reasürans Şirketlerinden Alınan Depolar Deposits Received From Insurance and Reinsurance Companies

0

0

kap-fr_ShortTermPayablesFromPensionOperations|http://www.xbrl.org/2003/role/terseLabel

Emeklilik Faaliyetlerinden Borçlar Payables From Pension Operations

0

0

kap-fr_OtherShortTermPayablesFromMainOperations|http://www.xbrl.org/2003/role/terseLabel

Diğer Esas Faaliyetlerden Borçlar Other Payables From Main Operations

0

0

kap-fr_RediscountOnOtherShortTermPayablesFromMainOperations|http://www.xbrl.org/2009/role/negatedTerseLabel

Diğer Esas Faaliyetlerden Borçlar Borç Senetleri Reeskontu (-) Rediscount On Other Payables From Main Operations (-)

0

0

kap-fr_ShortTermPayablesToRelatedParties|http://www.xbrl.org/2003/role/terseLabel

İLİŞKİLİ TARAFLARA BORÇLAR PAYABLES TO RELATED PARTIES

2.578

42.777

kap-fr_ShortTermPayablesToShareholders|http://www.xbrl.org/2003/role/terseLabel

Ortaklara Borçlar Payables To Shareholders

1.143

1.143

kap-fr_ShortTermPayablesToAssociates|http://www.xbrl.org/2003/role/terseLabel

İştiraklere Borçlar Payables To Associates

0

0

kap-fr_ShortTermPayablesToSubsidiaries|http://www.xbrl.org/2003/role/terseLabel

Bağlı Ortaklıklara Borçlar Payables To Subsidiaries

0

0

kap-fr_ShortTermPayablesToJointlyControlledCompanies|http://www.xbrl.org/2003/role/terseLabel

Müşterek Yönetime Tabi Teşebbüslere Borçlar Payables To Jointly-controlled Companies

0

0

kap-fr_ShortTermPayablesToPersonnel|http://www.xbrl.org/2003/role/terseLabel

Personele Borçlar Payables To Personnel

1.435

41.634

kap-fr_ShortTermPayablesToOtherRelatedParties|http://www.xbrl.org/2003/role/terseLabel

Diğer İlişkili Taraflara Borçlar Payables To Other Related Parties

0

0

ifrs-full_OtherCurrentPayables|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

DİĞER BORÇLAR OTHER PAYABLES

19.1

29.025.678

37.639.614

kap-fr_ShortTermDepositsAndGuaranteesReceived|http://www.xbrl.org/2003/role/terseLabel

Alınan Depozito ve Teminatlar Deposits And Guarantees Received

0

0

kap-fr_ShortTermMedicalTreatmentPayablesToSocialSecurityInstitution|http://www.xbrl.org/2003/role/terseLabel

Tedavi Giderlerine İlişkin SGK'ya Borçlar Medical Treatment Payables To Social Security Institution

19.1

6.228.276

6.356.378

kap-fr_OtherShortTermMiscellaneousPayables|http://www.xbrl.org/2003/role/terseLabel

Diğer Çeşitli Borçlar Other Miscellaneous Payables

19.1

22.797.402

31.283.236

kap-fr_RediscountOnOtherShortTermMiscellaneousPayables|http://www.xbrl.org/2009/role/negatedLabel

Diğer Çeşitli Borçlar Reeskontu (-) Rediscount On Other Miscellaneous Payables (-)

0

0

kap-fr_ShortTermInsuranceTechnicalProvisions|http://www.xbrl.org/2003/role/terseLabel

SİGORTACILIK TEKNİK KARŞILIKLARI INSURANCE TECHNICAL PROVISIONS

1.182.327.866

1.054.437.950

kap-fr_ShortTermReservesForUnearnedPremiums|http://www.xbrl.org/2009/role/netLabel

Kazanılmamış Primler Karşılığı - Net Reserves for Unearned Premiums - Net

20

551.287.977

510.667.337

kap-fr_ShortTermReservesForUnexpiredRisks|http://www.xbrl.org/2009/role/netLabel

Devam Eden Riskler Karşılığı - Net Reserves for Unexpired Risks - Net

20

43.280.736

16.354.138

kap-fr_ShortTermMathematicalProvisions|http://www.xbrl.org/2009/role/netLabel

Matematik Karşılıklar - Net Mathematical Provisions - Net

0

0

kap-fr_ShortTermReservesForOutstandingClaims|http://www.xbrl.org/2009/role/netLabel

Muallak Tazminat Karşılığı - Net Reserves for Outstanding Claims - Net

4.1, 20

587.759.153

526.216.475

kap-fr_ShortTermProvisionsForBonusAndDiscounts|http://www.xbrl.org/2009/role/netLabel

İkramiye Ve İndirimler Karşılığı - Net Provisions For Bonus and Discounts - net

20

0

1.200.000

kap-fr_OtherShortTermTechnicalProvisions|http://www.xbrl.org/2009/role/netLabel

Diğer Teknik Karşılıklar - Net Other Technical Provisions- Net

0

0

kap-fr_ShortTermTaxesAndOtherLiabilitiesAndRelevantProvisions|http://www.xbrl.org/2003/role/terseLabel

ÖDENECEK VERGİ VE BENZERİ DİĞER YÜKÜMLÜLÜKLER İLE KARŞILIKLARI TAXES AND OTHER LIABILITIES AND RELEVANT PROVISIONS

10.595.439

13.187.297

kap-fr_TaxesAndDuesPayable|

Ödenecek Vergi ve Fonlar Taxes And Dues Payable

9.072.020

11.743.271

kap-fr_SocialSecurityPremiumsPayable|

Ödenecek Sosyal Güvenlik Kesintileri Social Security Premiums Payable

23.1

1.518.442

1.439.049

kap-fr_ShortTermOverdueDeferredOrByInstallmentTaxesAndOtherLiabilities|http://www.xbrl.org/2003/role/terseLabel

Vadesi Geçmiş, Ertelenmiş Veya Taksitlendirilmiş Vergi Ve Diğer Yükümlülükler Overdue, Deferred Or By Installment Taxes And Other Liabilities

0

0

kap-fr_OtherTaxesAndLiabilitiesPayable|

Ödenecek Diğer Vergi ve Benzeri Yükümlülükler Other Taxes And Liabilities Payable

4.977

4.977

kap-fr_CorporateTaxLiabilityProvisionOnPeriodProfit|

Dönem Karı Vergi ve Diğer Yasal Yükümlülük Karşılıkları Corporate Tax Liability Provision On Period Profit

35

0

0

kap-fr_PrepaidTaxesAndOtherLiabilitiesOnPeriodProfit|http://www.xbrl.org/2009/role/negatedLabel

Dönem Karının Peşin Ödenen Vergi ve Diğer Yükümlülükleri (-) Prepaid Taxes And Other Liabilities On Period Profit (-)

35

0

0

kap-fr_ProvisionsForOtherTaxesAndLiabilities|

Diğer Vergi ve Benzeri Yükümlülük Karşılıkları Provisions For Other Taxes And Liabilities

0

0

kap-fr_ShortTermProvisionsForOtherRisks|http://www.xbrl.org/2003/role/terseLabel

DİĞER RİSKLERE İLİŞKİN KARŞILIKLAR PROVISIONS FOR OTHER RISKS

24.877.982

20.687.893

kap-fr_ShortTermProvisionForEmployeeTerminationBenefits|http://www.xbrl.org/2003/role/terseLabel

Kıdem Tazminatı Karşılığı Provision For Employee Termination Benefits

0

0

kap-fr_ShortTermProvisionForPensionFundAssetDeficits|http://www.xbrl.org/2003/role/terseLabel

Sosyal Yardım Sandığı Varlık Açıkları Karşılığı Provision For Pension Fund Asset Deficits

0

0

kap-fr_ProvisionsForCosts|

Maliyet Giderleri Karşılığı Provisions For Costs

19.1, 23.4

24.877.982

20.687.893

kap-fr_ShortTermDeferredIncomeAndExpensesAccrued|http://www.xbrl.org/2003/role/terseLabel

GELECEK AYLARA AİT GELİRLER VE GİDER TAHAKKUKLARI DEFERRED INCOME AND EXPENSES ACCRUED

19.1

51.614.409

35.555.383

kap-fr_ShortTermDeferredAcquisitionIncome|http://www.xbrl.org/2003/role/terseLabel

Ertelenmiş Üretim Gelirleri Deferred Acquisition Income

19.1

51.539.639

35.555.383

kap-fr_ShortTermPrepaidExpenses|http://www.xbrl.org/2003/role/terseLabel

Gider Tahahkkukları Prepaid Expenses

0

0

kap-fr_OtherShortTermDeferredIncome|http://www.xbrl.org/2003/role/terseLabel

Gelecek Aylara Ait Diğer Gelirler Other Deferred Income

74.770

0

kap-fr_OtherShortTermLiabilities|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

DİĞER KISA VADELİ YÜKÜMLÜLÜKLER OTHER SHORT TERM LIABILITIES

235

235

kap-fr_ShortTermDeferredTaxLiabilities|http://www.xbrl.org/2003/role/terseLabel

Ertelenmiş Vergi Yükümlülüğü Deferred Tax Liabilities

0

0

kap-fr_InventoryCountSurplus|

Sayım ve Tesellüm Fazlalıkları Inventory Count Surplus

0

0

kap-fr_OtherMiscellaneousShortTermLiabilities|

Diğer Çeşitli Kısa Vadeli Yükümlülükler Other Miscellaneous Short Term Liabilities

235

235

ifrs-full_CurrentLiabilities|http://www.mkk.com.tr/2015/role/alternativeTotalLabel

KISA VADELİ YÜKÜMLÜLÜKLER TOPLAMI TOTAL SHORT TERM LIABILITIES

1.561.794.863

1.474.063.440

ifrs-full_NoncurrentLiabilitiesAbstract|http://www.xbrl.org/2003/role/terseLabel

UZUN VADELİ YÜKÜMLÜLÜKLER LONG TERM LIABILITIES

kap-fr_LongTermFinancialLiabilities|http://www.xbrl.org/2003/role/terseLabel

FİNANSAL BORÇLAR FINANCIAL DEBTS

0

0

kap-fr_LongTermBorrowingsFromFinancialInstitutions|http://www.xbrl.org/2003/role/terseLabel

Kredi Kuruluşlarına Borçlar Borrowings From Financial Institutions

0

kap-fr_LongTermFinanceLeaseLiabilities|http://www.xbrl.org/2003/role/terseLabel

Finansal Kiralama İşlemlerinden Borçlar Finance Lease Liabilities

0

0

kap-fr_LongTermDeferredFinanceLeaseCosts|http://www.xbrl.org/2009/role/negatedLabel

Ertelenmiş Finansal Kiralama Borçlanma Maliyetleri (-) Deferred Finance Lease Costs (-)

0

0

ifrs-full_BondsIssued|http://www.xbrl.org/2003/role/terseLabel

Çıkarılmış Tahviller Bonds Issued

0

0

kap-fr_OtherLongTermFinancialAssetsIssued|http://www.xbrl.org/2003/role/terseLabel

Çıkarılmış Diğer Finansal Varlıklar Other Financial Assets Issued

0

0

kap-fr_ValuationDifferencesOfOtherLongTermFinancialAssetsIssued|http://www.xbrl.org/2009/role/negatedLabel

Çıkarılmış Diğer Finansal Varlıklar İhraç Farkı (-) Valuation Differences Of Other Financial Assets Issued (-)

0

0

kap-fr_OtherLongTermFinancialLiabilities|http://www.xbrl.org/2003/role/terseLabel

Diğer Finansal Borçlar (Yükümlülükler) Other Financial Liabilities

0

0

kap-fr_LongTermPayablesFromMainOperations|http://www.xbrl.org/2003/role/terseLabel

ESAS FAALİYETLERDEN BORÇLAR PAYABLES FROM MAIN OPERATIONS

0

0

kap-fr_LongTermPayablesFromInsuranceOperations|http://www.xbrl.org/2003/role/terseLabel

Sigortacılık Faaliyetlerinden Borçlar Payables From Insurance Operations

0

0

kap-fr_LongTermPayablesFromReinsuranceOperations|http://www.xbrl.org/2003/role/terseLabel

Reasürans Faaliyetlerinden Borçlar Payables From Reinsurance Operations

0

0

kap-fr_LongTermDepositsReceivedFromInsuranceAndReinsuranceCompanies|http://www.xbrl.org/2003/role/terseLabel

Sigorta Ve Reasürans Şirketlerinden Alınan Depolar Deposits Received From Insurance and Reinsurance Companies

0

0

kap-fr_LongTermPayablesFromPensionOperations|http://www.xbrl.org/2003/role/terseLabel

Emeklilik Faaliyetlerinden Borçlar Payables From Pension Operations

0

0

kap-fr_OtherLongTermPayablesFromMainOperations|http://www.xbrl.org/2003/role/terseLabel

Diğer Esas Faaliyetlerden Borçlar Other Payables From Main Operations

0

0

kap-fr_RediscountOnOtherLongTermPayablesFromMainOperations|http://www.xbrl.org/2009/role/negatedLabel

Diğer Esas Faaliyetlerden Borçlar Borç Senetleri Reeskontu (-) Rediscount On Other Payables From Main Operations (-)

0

0

kap-fr_LongTermPayablesToRelatedParties|http://www.xbrl.org/2003/role/terseLabel

İLİŞKİLİ TARAFLARA BORÇLAR PAYABLES TO RELATED PARTIES

0

0

kap-fr_LongTermPayablesToShareholders|http://www.xbrl.org/2003/role/terseLabel

Ortaklara Borçlar Payables To Shareholders

0

0

kap-fr_LongTermPayablesToAssociates|http://www.xbrl.org/2003/role/terseLabel

İştiraklere Borçlar Payables To Associates

0

0

kap-fr_LongTermPayablesToSubsidiaries|http://www.xbrl.org/2003/role/terseLabel

Bağlı Ortaklıklara Borçlar Payables To Subsidiaries

0

0

kap-fr_LongTermPayablesToJointlyControlledCompanies|http://www.xbrl.org/2003/role/terseLabel

Müşterek Yönetime Tabi Teşebbüslere Borçlar Payables to Jointly-controlled Companies

0

0

kap-fr_LongTermPayablesToPersonnel|http://www.xbrl.org/2003/role/terseLabel

Personele Borçlar Payables To Personnel

0

0

kap-fr_LongTermPayablesToOtherRelatedParties|http://www.xbrl.org/2003/role/terseLabel

Diğer İlişkili Taraflara Borçlar Payables To Other Related Parties

0

0

ifrs-full_OtherNoncurrentPayables|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

DİĞER BORÇLAR OTHER PAYABLES

0

0

kap-fr_LongTermDepositsAndGuaranteesReceived|http://www.xbrl.org/2003/role/terseLabel

Alınan Depozito ve Teminatlar Deposits And Guarantees Received

0

0

kap-fr_LongTermMedicalTreatmentPayablesToSocialSecurityInstitution|http://www.xbrl.org/2003/role/terseLabel

Tedavi Giderlerine İlişkin SGK'ya Borçlar Medical Treatment Payables To Social Security Institution

0

0

kap-fr_OtherLongTermMiscellaneousPayables|http://www.xbrl.org/2003/role/terseLabel

Diğer Çeşitli Borçlar Other Miscellaneous Payables

0

0

kap-fr_RediscountOnOtherLongTermMiscellaneousPayables|http://www.xbrl.org/2009/role/negatedLabel

Diğer Çeşitli Borçlar Reeskontu (-) Rediscount On Other Miscellaneous Payables (-)

0

0

kap-fr_LongTermInsuranceTechnicalProvisions|http://www.xbrl.org/2003/role/terseLabel

SİGORTACILIK TEKNİK KARŞILIKLARI INSURANCE TECHNICAL PROVISIONS

57.934.588

50.522.208

kap-fr_LongTermReservesForUnearnedPremiums|http://www.xbrl.org/2009/role/netLabel

Kazanılmamış Primler Karşılığı - Net Reserves for Unearned Premiums - Net

0

kap-fr_LongTermReservesForUnexpiredRisks|http://www.xbrl.org/2009/role/netLabel

Devam Eden Riskler Karşılığı - Net Reserves for Unexpired Risks - Net

0

kap-fr_LongTermMathematicalProvisions|http://www.xbrl.org/2009/role/netLabel

Matematik Karşılıklar - Net Mathematical Provisions - Net

17.2, 20

1.572.540

1.910.495

kap-fr_LongTermReservesForOutstandingClaims|http://www.xbrl.org/2009/role/netLabel

Muallak Tazminat Karşılığı - Net Reserves for Outstanding Claims - Net

0

kap-fr_LongTermProvisionsForBonusAndDiscounts|http://www.xbrl.org/2009/role/netLabel

İkramiye Ve İndirimler Karşılığı - Net Provisions For Bonus and Discounts - net

0

kap-fr_OtherLongTermTechnicalProvisions|http://www.xbrl.org/2009/role/netLabel

Diğer Teknik Karşılıklar - Net Other Technical Provisions - Net

20

56.362.048

48.611.713

kap-fr_OtherLongTermLiabilitiesAndRelevantProvisions|http://www.xbrl.org/2003/role/terseLabel

DİĞER YÜKÜMLÜLÜKLER VE KARŞILIKLARI OTHER LIABILITIES AND RELEVANT PROVISIONS

0

0

ifrs-full_OtherNoncurrentLiabilities|http://www.xbrl.org/2003/role/terseLabel

Ödenecek Diğer Yükümlülükler Other Non-current Liabilities

0

0

kap-fr_LongTermOverdueDeferredOrByInstallmentTaxesAndOtherLiabilities|http://www.xbrl.org/2003/role/terseLabel

Vadesi Geçmiş, Ertelenmiş Veya Taksitlendirilmiş Vergi Ve Diğer Yükümlülükler Overdue, Deferred or By Installment Taxes and Other Liabilities

0

0

kap-fr_OtherLiabilitiesAndExpenseProvisions|

Diğer Borç ve Gider Karşılıkları Other Liabilities And Expense Provisions

0

0

kap-fr_LongTermProvisionsForOtherRisks|http://www.xbrl.org/2003/role/terseLabel

DİĞER RİSKLERE İLİŞKİN KARŞILIKLAR PROVISIONS FOR OTHER RISKS

6.064.059

6.474.170

kap-fr_LongTermProvisionForEmployeeTerminationBenefits|http://www.xbrl.org/2003/role/terseLabel

Kıdem Tazminatı Karşılığı Provision for Employee Termination Benefits

22

6.064.059

6.474.170

kap-fr_LongTermProvisionForPensionFundAssetDeficits|http://www.xbrl.org/2003/role/terseLabel

Sosyal Yardım Sandığı Varlık Açıkları Karşılığı Provision For Pension Fund Asset Deficits

kap-fr_LongTermDeferredIncomeAndExpensesAccrued|http://www.xbrl.org/2003/role/terseLabel

GELECEK YILLARA AİT GELİRLER VE GİDER TAHAKKUKLARI DEFERRED INCOME AND EXPENSES ACCRUED

0

0

kap-fr_LongTermDeferredAcquisitionIncome|http://www.xbrl.org/2003/role/terseLabel

Ertelenmiş Üretim Gelirleri Deferred Acquisition Income

0

0

kap-fr_LongTermPrepaidExpenses|http://www.xbrl.org/2003/role/terseLabel

Gider Tahakkukları Prepaid Expenses

0

0

kap-fr_OtherLongTermDeferredIncome|http://www.xbrl.org/2003/role/terseLabel

Gelecek Yıllara Ait Diğer Gelirler Other Deferred Income

0

0

kap-fr_OtherLongTermLiabilities|http://www.xbrl.org/2003/role/terseLabel

DİĞER UZUN VADELİ YÜKÜMLÜLÜKLER OTHER LONG TERM LIABILITIES

0

0

ifrs-full_DeferredTaxLiabilities|http://www.xbrl.org/2003/role/terseLabel

Ertelenmiş Vergi Yükümlülüğü Deferred Tax Liabilities

0

0

kap-fr_OtherMiscellaneousLongTermLiabilities|

Diğer Çeşitli Uzun Vadeli Yükümlülükler Other Miscellaneous Long Term Liabilities

0

0

ifrs-full_NoncurrentLiabilities|http://www.mkk.com.tr/2015/role/alternativeTotalLabel

UZUN VADELİ YÜKÜMLÜLÜKLER TOPLAMI TOTAL LONG TERM LIABILITIES

63.998.647

56.996.378

ifrs-full_EquityAbstract|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

ÖZSERMAYE EQUITY

ifrs-full_IssuedCapital|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

ÖDENMİŞ SERMAYE PAID IN CAPITAL

306.000.000

306.000.000

kap-fr_NominalCapital|

(Nominal) Sermaye (Nominal) Capital

15

306.000.000

306.000.000

kap-fr_UnpaidCapital|http://www.xbrl.org/2009/role/negatedLabel

Ödenmemiş Sermaye (-) Unpaid Capital (-)

0

0

kap-fr_PositiveInflationAdjustmentOnCapital|

Sermaye Düzeltmesi Olumlu Farkları Positive Inflation Adjustment On Capital

0

0

kap-fr_NegativeInflationAdjustmentOnCapital|http://www.xbrl.org/2009/role/negatedLabel

Sermaye Düzeltmesi Olumsuz Farkları (-) Negative Inflation Adjustment on Capital (-)

0

0

kap-fr_RegisterInProgressCapital|

Tescili Beklenen Sermaye Register In Progress Capital

0

0

kap-fr_CapitalReserves|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

SERMAYE YEDEKLERİ CAPITAL RESERVES

95.377.201

95.377.201

ifrs-full_SharePremium|http://www.xbrl.org/2003/role/terseLabel

Hisse Senedi İhraç Primleri Equity Share Premiums

0

0

kap-fr_ProfitOnEquitySharesCancelled|

Hisse Senedi İptal Karları Profit On Equity Shares Cancelled

0

0

kap-fr_SalesProfitTransferrableToCapital|

Sermayeye Eklenecek Satış Karları Sales Profit Transferrable To Capital

95.377.201

95.377.201

kap-fr_ForeignCurrencyTranslationDifferences|

Yabancı Para Çevrim Farkları Foreign Currency Translation Differences

0

0

kap-fr_OtherCapitalReserves|

Diğer Sermaye Yedekleri Other Capital Reserves

0

0

kap-fr_ProfitReserves|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

KAR YEDEKLERİ PROFIT RESERVES

86.911.633

83.194.917

kap-fr_LegalReserves|

Yasal Yedekler Legal Reserves

83.064.172

83.064.172

kap-fr_StatutoryReserves|

Statü Yedekleri Statutory Reserves

62

62

kap-fr_ExtraordinaryReserves|

Olağanüstü Yedekler Extraordinary Reserves

26.666

26.666

kap-fr_SpecialFundsReserves|

Özel Fonlar, Yedekler Special Funds, Reserves

22, 34.5

6.711.763

6.050.009

kap-fr_RevaluationOfFinancialAssets|

Finansal Varlıkların Değerlemesi Revaluation Of Financial Assets

11.6, 16.1

-2.891.030

-5.945.992

kap-fr_OtherProfitReserves|

Diğer Kar Yedekleri Other Profit Reserves

0

0

kap-fr_PriorYearsProfits|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

GEÇMİŞ YILLAR KARLARI PRIOR YEARS' PROFITS

13.151

13.151

kap-fr_PriorYearsLosses|http://www.mkk.com.tr/2015/role/negatedVerboseLabel

GEÇMİŞ YILLAR ZARARLARI (-) PRIOR YEARS' LOSSES (-)

-135.945.560

kap-fr_CurrentPeriodNetProfitOrLossClassifiedInEquity|http://www.xbrl.org/2003/role/terseLabel

NET DÖNEM KARI/ZARARI NET PROFIT/ LOSS FOR THE YEAR

5.179.876

-135.945.560

kap-fr_NetProfitForThePeriod|

Dönem Net Karı Net Profit For The Period

5.179.876

kap-fr_NetLossForThePeriod|http://www.mkk.com.tr/2015/role/negatedVerboseLabel

Dönem Net Zararı ( -) Net Loss For The Period (-)

0

-135.945.560

kap-fr_NonDistributableProfits|

Dağıtıma Konu Olmayan Dönem Karı Non Distributable Profits

ifrs-full_NoncontrollingInterests|http://www.xbrl.org/2003/role/verboseLabel

AZINLIK PAYLARI MINORY INTERESTS

0

0

ifrs-full_Equity|http://www.mkk.com.tr/2015/role/alternativeTotalLabel

ÖZSERMAYE TOPLAMI TOTAL EQUITY

357.536.301

348.639.709

ifrs-full_EquityAndLiabilities|http://www.mkk.com.tr/2015/role/alternativeTotalLabel

TOPLAM YÜKÜMLÜLÜKLER VE ÖZSERMAYE TOTAL LIABILITIES AND EQUITY

1.983.329.811

1.879.699.527

Presentation Currency TL
Nature of Financial Statements Unconsolidated

Dipnot Referansı

Footnote Reference

Cari Dönem

01.01.2016 - 30.09.2016

Current Period

01.01.2016 - 30.09.2016

Önceki Dönem

01.01.2015 - 30.09.2015

Previous Period

01.01.2015 - 30.09.2015

Cari Dönem 3 Aylık

01.07.2016 - 30.09.2016

Current Period 3 Months

01.07.2016 - 30.09.2016

Önceki Dönem 3 Aylık

01.07.2015 - 30.09.2015

Previous Period 3 Months

01.07.2015 - 30.09.2015

kap-fr_IncomeStatementInsuranceAbstract|

Gelir Tablosu Income Statement

kap-fr_TechnicalPartAbstract|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

I-TEKNİK BÖLÜM I-TECHNICAL PART

kap-fr_NonlifeTechnicalIncome|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

HAYAT DIŞI TEKNİK GELİR NON-LIFE TECHNICAL INCOME

847.686.038

991.412.779

309.729.262

335.150.314

kap-fr_EarnedPremiumsClassifiedAsNonlifeTechnicalIncomeNetOfReinsurerShare|http://www.xbrl.org/2003/role/terseLabel

Kazanılmış Primler (Reasürör Payı Düşülmüş Olarak) Earned Premiums (Net of Reinsurer Share)

752.703.085

890.414.289

276.004.090

284.350.356

kap-fr_WrittenPremiumsClassifiedAsNonlifeTechnicalIncomeNetOfReinsurerShare|http://www.xbrl.org/2003/role/terseLabel

Yazılan Primler (Reasürör Payı Düşülmüş Olarak) Written Premiums (Net of Reinsurer Share)

24

822.952.742

830.345.180

270.696.665

237.679.937

kap-fr_GrossWrittenPremiumsClassifiedAsNonlifeTechnicalIncome|http://www.xbrl.org/2003/role/terseLabel

Brüt Yazılan Primler (+) Gross Written Premiums (+)

1.377.672.153

1.235.535.645

407.340.630

350.846.164

kap-fr_CededPremiumsToReinsurerClassifiedAsNonlifeTechnicalIncome|http://www.xbrl.org/2009/role/negatedTerseLabel

Reasüröre Devredilen Primler (-) Ceded Premiums to Reinsurer (-)

17.16

-539.589.412

-399.660.540

-130.415.955

-112.364.154

kap-fr_TransferredPremiumsToSocialSecurityInstitution|http://www.xbrl.org/2009/role/negatedLabel

SGK'ya Aktarılan Primler (-) Transferred Premiums to SSI (-)

17.16

-15.129.999

-5.529.925

-6.228.010

-802.073

kap-fr_ChangeInUnearnedPremiumsProvisionClassifiedAsNonlifeTechnicalIncomeNetOfReinsurerShareAndProvisionCarriedForward|http://www.xbrl.org/2009/role/negatedTerseLabel

Kazanılmamış Primler Karşılığında Değişim (Reasürör Payı ve Devreden Kısım Düşülmüş Olarak) (+/-) Change In Unearned Premiums Provision (Net of Reinsurer Share and Provision Carried Forward) (+/-)

-43.323.060

67.581.162

339.977

42.019.688

kap-fr_UnearnedPremiumsProvisionClassifiedAsNonlifeTechnicalIncome|http://www.xbrl.org/2009/role/negatedTerseLabel

Kazanılmamış Primler Karşılığı (-) Unearned Premiums Provision (-)

-109.508.524

-6.711.881

40.207.338

53.003.380

kap-fr_ReinsurerShareOfUnearnedPremiumsProvisionClassifiedAsNonlifeTechnicalIncome|http://www.xbrl.org/2003/role/terseLabel

Kazanılmamış Primler Karşılığında Reasürör Payı (+) Reinsurer Share of Unearned Premiums Provision (+)

17.16

58.360.466

81.190.246

-42.450.552

-8.444.729

kap-fr_SocialSecurityInstitutionShareOfUnearnedPremiumsProvision|http://www.xbrl.org/2003/role/terseLabel

Kazanılmamış Primler Karşılığında SGK Payı (+/-) Social Security Institution Share of Unearned Premiums Provision (+/-)

17.16

7.824.998

-6.897.203

2.583.191

-2.538.963

kap-fr_ChangeInUnexpiredRiskProvisionClassifiedAsNonlifeTechnicalIncomeNetOfReinsurerShareAndProvisionCarriedForward|http://www.xbrl.org/2009/role/negatedTerseLabel

Devam Eden Riskler Karşılığında Değişim (Reasürör Payı ve Devreden Kısım Düşülmüş Olarak) (+/-) Change In Unexpired Risk Provision (Net of Reinsurer Share and Provision Carried Forward) (+/-)

-26.926.597

-7.512.053

4.967.448

4.650.731

kap-fr_UnexpiredRiskProvisionClassifiedAsNonlifeTechnicalIncome|http://www.xbrl.org/2009/role/negatedLabel

Devam Eden Riskler Karşılığı (-) Unexpired Risk Provision (-)

-31.422.023

-9.186.854

-662.304

3.964.994

kap-fr_ReinsurerShareOfUnexpiredRiskProvisionClassifiedAsNonlifeTechnicalIncome|http://www.xbrl.org/2003/role/terseLabel

Devam Eden Riskler Karşılığında Reasürör Payı (+) Reinsurer Share of Unexpired Risk Provision (+)

17.16

4.495.426

1.674.801

5.629.752

685.737

kap-fr_InvestmentIncomeTransferredFromNontechnicalPart|

Teknik Olmayan Bölümden Aktarılan Yatırım Gelirleri Investment Income Transferred from Non Technical Part

81.510.845

92.357.898

29.725.077

46.346.328

kap-fr_OtherTechnicalIncomeClassifiedAsNonlifeTechnicalIncomeNetOfReinsurerShare|http://www.xbrl.org/2003/role/terseLabel

Diğer Teknik Gelirler (Reasürör Payı Düşülmüş Olarak) (+/-) Other Technical Income (Net of Reinsurer Share) (+/-)

1.199.494

1.979.367

378.504

763.841

kap-fr_GrossOtherTechnicalIncomeClassifiedAsNonlifeTechnicalIncome|http://www.xbrl.org/2003/role/terseLabel

Brüt Diğer Teknik Gelirler (+/-) Gross Other Technical Income (+/-)

1.199.494

1.979.367

378.504

763.841

kap-fr_ReinsurerShareOfGrossOtherTechnicalIncomeClassifiedAsNonlifeTechnicalIncome|http://www.xbrl.org/2009/role/negatedTerseLabel

Brüt Diğer Teknik Gelirlerde Reasürör Payı (+/-) Reinsurer Share of Gross Other Technical Income (+/-)

0

kap-fr_AccruedSubrogationAndSalvageIncome|http://www.xbrl.org/2003/role/terseLabel

Tahakkuk Eden Rücu ve Sovtaj Gelirleri (+) Accrued Subrogation and Salvage Income (+)

12.272.614

6.661.225

3.621.591

3.689.789

kap-fr_NonlifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

HAYAT DIŞI TEKNİK GİDER (-) NON-LIFE TECHNICAL EXPENSE (-)

-811.755.785

-1.103.557.739

-276.488.290

-291.234.484

kap-fr_IncurredLossesClassifiedAsNonlifeTechnicalExpenseNetOfReinsurerShare|http://www.xbrl.org/2009/role/negatedTerseLabel

Gerçekleşen Tazminatlar (Reasürör Payı Düşülmüş Olarak) (+/-) Incurred Losses (Net of Reinsurer Share) (+/-)

-542.210.085

-807.626.357

-185.861.483

-204.117.957

kap-fr_ClaimsPaidClassifiedAsNonlifeTechnicalExpenseNetOfReinsurerShare|http://www.xbrl.org/2009/role/negatedTerseLabel

Ödenen Tazminatlar (Reasürör Payı Düşülmüş Olarak) Claims Paid (Net of Reinsurer Share)

-480.217.644

-593.421.057

-136.926.015

-190.419.654

kap-fr_GrossClaimsPaidClassifiedAsNonlifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

Brüt Ödenen Tazminatlar (-) Gross Claims Paid (-)

-608.377.252

-673.613.363

-180.637.301

-214.174.135

kap-fr_ReinsurerShareOfClaimsPaidClassifiedAsNonlifeTechnicalExpense|http://www.xbrl.org/2003/role/terseLabel

Ödenen Tazminatlarda Reasürör Payı (+) Reinsurer Share of Claims Paid (+)

17.16

128.159.608

80.192.306

43.711.286

23.754.481

kap-fr_ChangeInProvisionForOutstandingClaimsClassifiedAsNonlifeTechnicalExpenseNetOfReinsurerShareAndProvisionCarriedForward|http://www.xbrl.org/2009/role/negatedTerseLabel

Muallak Tazminatlar Karşılığında Değişim (Reasürör Payı ve Devreden Kısım Düşülmüş Olarak) (+/-) Change In Provision For Outstanding Claims (Net of Reinsurer Share and Provision Carried Forward) (+/-)

29

-61.992.441

-214.205.300

-48.935.468

-13.698.303

kap-fr_ProvisionForOutstandingClaimsClassifiedAsNonlifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

Muallak Tazminatlar Karşılığı (-) Provisions for Outstanding Claims (-)

-134.284.239

-281.689.727

-74.334.522

-37.109.595

kap-fr_ReinsurerShareOfProvisionForOutstandingClaimsClassifiedAsNonlifeTechnicalExpense|http://www.xbrl.org/2003/role/terseLabel

Muallak Tazminatlar Karşılığında Reasürör Payı (+) Reinsurer Share of Provision for Outstanding Claims (+)

17.16

72.291.798

67.484.427

25.399.054

23.411.292

kap-fr_ChangeInProvisionForBonusAndRebatesClassifiedAsNonlifeTechnicalExpenseNetOfReinsurerShareAndProvisionCarriedForward|http://www.xbrl.org/2009/role/negatedTerseLabel

İkramiye ve İndirimler Karşılığında Değişim (Reasürör Payı ve Devreden Kısım Düşülmüş Olarak) (+/-) Change In Provision for Bonus and Rebates (Net of Reinsurer Share and Provision Carried Forward) (+/-)

1.200.000

0

1.200.000

0

kap-fr_ProvisionForBonusAndRebatesClassifiedAsNonlifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

İkramiye ve İndirimler Karşılığı (-) Provision for Bonus and Rebates (-)

20

1.187.723

-31.637

1.187.723

kap-fr_ReinsurerShareOfProvisionForBonusAndRebatesClassifiedAsNonlifeTechnicalExpense|http://www.xbrl.org/2003/role/terseLabel

İkramiye ve İndirimler Karşılığında Reasürör Payı (+) Reinsurer Share of Provision For Bonus and Rebates (+)

20

12.277

31.637

12.277

kap-fr_ChangeInOtherTechnicalProvisionsClassifiedAsNonlifeTechnicalExpenseNetOfReinsurerShareAndProvisionCarriedForward|http://www.xbrl.org/2009/role/negatedTerseLabel

Diğer Teknik Karşılıklarda Değişim (Reasürör Payı ve Devreden Kısım Düşülmüş Olarak) (+/-) Change In Other Technical Provisions (Net of Reinsurer Share and Provision Carried Forward) (+/-)

-7.750.336

-8.872.751

-2.204.827

-2.176.661

kap-fr_OperatingExpensesClassifiedAsNonlifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

Faaliyet Giderleri (-) Operating Expenses (-)

32

-228.159.713

-256.270.940

-77.290.346

-74.129.818

kap-fr_ChangeInMathematicalProvisionsClassifiedAsNonlifeTechnicalExpenseNetOfReinsurerShareAndProvisionCarriedForward|http://www.xbrl.org/2009/role/negatedTerseLabel

Matematik Karşılıklarda Değişim (Reasürör Payı ve Devreden Kısım Düşülmüş Olarak (+/-) Change In Mathematical Provisions (Net of Reinsurer Share and Provision Carried Forward) (+/-)

0

kap-fr_MathematicalProvisionsClassifiedAsNonlifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

Matematik Karşılıklar (-) Mathematical Provisions (-)

kap-fr_ReinsurerShareOfMathematicalProvisionsClassifiedAsNonlifeTechnicalExpense|http://www.xbrl.org/2003/role/terseLabel

Matematik Karşılıklarda Reasürör Payı (+) Reinsurer Share of Mathematical Provisions (+)

kap-fr_OtherTechnicalExpensesClassifiedAsNonlifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

Diğer Teknik Giderler (-) Other Technical Expenses (-)

-34.835.651

-30.787.691

-12.331.634

-10.810.048

kap-fr_GrossOtherTechnicalExpenses|http://www.xbrl.org/2009/role/negatedLabel

Brüt Diğer Teknik Giderler (-) Gross Other Technical Expenses (-)

-34.835.651

-30.787.691

-12.331.634

-10.810.048

kap-fr_ReinsurerShareOfOtherTechnicalExpenses|http://www.xbrl.org/2003/role/terseLabel

Brüt Diğer Teknik Giderlerde Reasürör Payı (+) Reinsurer Share of Other Technical Expenses (+)

0

kap-fr_TechnicalPartBalanceNonlife|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

TEKNİK BÖLÜM DENGESİ - HAYAT DIŞI TECHNICAL PART BALANCE - NON LIFE

35.930.253

-112.144.960

33.240.972

43.915.830

kap-fr_LifeTechnicalIncome|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

HAYAT TEKNİK GELİR LIFE TECHNICAL INCOME

121.094

190.976

37.048

64.364

kap-fr_EarnedPremiumsClassifiedAsLifeTechnicalIncomeNetOfReinsurerShare|http://www.xbrl.org/2003/role/terseLabel

Kazanılmış Primler (Reasürör Payı Düşülmüş Olarak) Earned Premiums (Net of Reinsurer Share)

6.121

9.836

1.500

3.781

kap-fr_WrittenPremiumsClassifiedAsLifeTechnicalIncomeNetOfReinsurerShare|http://www.xbrl.org/2003/role/terseLabel

Yazılan Primler (Reasürör Payı Düşülmüş Olarak) Written Premiums (Net of Reinsurer Share)

24

5.980

10.195

1.500

3.800

kap-fr_GrossWrittenPremiumsClassifiedAsLifeTechnicalIncome|http://www.xbrl.org/2003/role/terseLabel

Brüt Yazılan Primler (+) Gross Written Premiums (+)

5.980

12.798

1.500

4.590

kap-fr_CededPremiumsToReinsurerClassifiedAsLifeTechnicalIncome|http://www.xbrl.org/2009/role/negatedTerseLabel

Reasüröre Devredilen Primler (-) Ceded Premiums to Reinsurer (-)

17.16

-2.603

-790

kap-fr_ChangeInUnearnedPremiumsProvisionClassifiedAsLifeTechnicalIncomeNetOfReinsurerShareAndProvisionCarriedForward|http://www.xbrl.org/2009/role/negatedTerseLabel

Kazanılmamış Primler Karşılığında Değişim (Reasürör Payı ve Devreden Kısım Düşülmüş Olarak) (+/-) Change In Unearned Premiums Provision (Net of Reinsurer Share and Provision Carried Forward) (+/-)

141

-359

-19

kap-fr_UnearnedPremiumsProvisionClassifiedAsLifeTechnicalIncome|http://www.xbrl.org/2009/role/negatedLabel

Kazanılmamış Primler Karşılığı (-) Unearned Premiums Provision (-)

141

-186

-19

kap-fr_ReinsurerShareOfUnearnedPremiumsProvisionClassifiedAsLifeTechnicalIncome|http://www.xbrl.org/2003/role/terseLabel

Kazanılmamış Primler Karşılığında Reasürör Payı (+) Reinsurer Share of Unearned Premiums Provision (+)

17.16

-173

0

kap-fr_ChangeInUnexpiredRiskProvisionClassifiedAsLifeTechnicalIncomeNetOfReinsurerShareAndProvisionCarriedForward|http://www.xbrl.org/2009/role/negatedTerseLabel

Devam Eden Riskler Karşılığında Değişim (Reasürör Payı ve Devreden Kısım Düşülmüş Olarak) (+/-) Change In Unexpired Risk Provision (Net of Reinsurer Share and Provision Carried Forward) (+/-)

0

kap-fr_UnexpiredRiskProvisionClassifiedAsLifeTechnicalIncome|http://www.xbrl.org/2009/role/negatedLabel

Devam Eden Riskler Karşılığı (-) Unexpired Risk Provision (-)

kap-fr_ReinsurerShareOfUnexpiredRiskProvisionClassifiedAsLifeTechnicalIncome|http://www.xbrl.org/2003/role/terseLabel

Devam Eden Riskler Karşılığında Reasürör Payı (+) Reinsurer Share of Unexpired Risk Provision (+)

kap-fr_LifeBusinessInvestmentIncome|

Hayat Branşı Yatırım Geliri Life Business Investment Income

114.973

184.453

35.548

63.595

kap-fr_UnrealizedGainsOnInvestments|

Yatırımlardaki Gerçekleşmemiş Karlar Unrealized Gains on Investments

kap-fr_OtherTechnicalIncomeClassifiedAsLifeTechnicalIncomeNetOfReinsurerShare|http://www.xbrl.org/2003/role/terseLabel

Diğer Teknik Gelirler (Reasürör Payı Düşülmüş Olarak) (+/-) Other Technical Income (Net of Reinsurer Share) (+/-)

-3.313

-3.012

kap-fr_GrossOtherTechnicalIncomeClassifiedAsLifeTechnicalIncome|http://www.xbrl.org/2003/role/terseLabel

Brüt Diğer Teknik Gelirler (+/-) Gross Other Technical Income (+/-)

-3.313

-3.012

kap-fr_ReinsurerShareOfGrossOtherTechnicalIncomeClassifiedAsLifeTechnicalIncome|http://www.xbrl.org/2009/role/negatedTerseLabel

Brüt Diğer Teknik Gelirlerde Reasürör Payı (+/-) Reinsurer Share of Gross Other Technical Income (+/-)

kap-fr_AccruedSubrogationIncome|http://www.xbrl.org/2003/role/terseLabel

Tahakkuk Eden Rücu Gelirleri (+) Accrued Subrogation Income (+)

kap-fr_LifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedLabel

HAYAT TEKNİK GİDER LIFE TECHNICAL EXPENSE

-264.775

-346.577

-48.483

-98.072

kap-fr_IncurredLossesClassifiedAsLifeTechnicalExpenseNetOfReinsurerShare|http://www.xbrl.org/2009/role/negatedTerseLabel

Gerçekleşen Tazminatlar (Reasürör Payı Düşülmüş Olarak) (+/-) Incurred Losses (Net of Reinsurer Share) (+/-)

-538.947

-203.063

-55.949

-55.893

kap-fr_ClaimsPaidClassifiedAsLifeTechnicalExpenseNetOfReinsurerShare|http://www.xbrl.org/2009/role/negatedTerseLabel

Ödenen Tazminatlar (Reasürör Payı Düşülmüş Olarak) (-) Claims Paid (Net of Reinsurer Share) (-)

-971.680

-408.831

-35.405

-52.018

kap-fr_GrossClaimsPaidClassifiedAsLifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

Brüt Ödenen Tazminatlar (-) Gross Claims Paid (-)

-971.680

-408.831

-35.405

-52.018

kap-fr_ReinsurerShareOfGrossClaimsPaidClassifiedAsLifeTechnicalExpense|http://www.xbrl.org/2003/role/terseLabel

Brüt Ödenen Tazminatlarda Reasürör Payı (+) Reinsurer Share of Gross Claims Paid (+)

0

kap-fr_ChangeInProvisionForOutstandingClaimsClassifiedAsLifeTechnicalExpenseNetOfReinsurerShareAndProvisionCarriedForward|http://www.xbrl.org/2009/role/negatedTerseLabel

Muallak Tazminatlar Karşılığında Değişim (Reasürör Payı ve Devreden Kısım Düşülmüş Olarak) (+/-) Change In Provision For Outstanding Claims (Net of Reinsurer Share and Provision Carried Forward) (+/-)

29

432.733

205.768

-20.544

-3.875

kap-fr_ProvisionForOutstandingClaimsClassifiedAsLifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

Muallak Tazminatlar Karşılığı (-) Provision for Outstanding Claims (-)

432.733

205.768

-20.544

-3.875

kap-fr_ReinsurerShareOfProvisionForOutstandingClaimsClassifiedAsLifeTechnicalExpense|http://www.xbrl.org/2003/role/terseLabel

Muallak Tazminatlar Karşılığında Reasürör Payı (+) Reinsurer Share of Provision for Outstanding Claims (+)

17.16

0

kap-fr_ChangeInProvisionForBonusAndRebatesClassifiedAsLifeTechnicalExpenseNetOfReinsurerShareAndProvisionCarriedForward|http://www.xbrl.org/2009/role/negatedTerseLabel

İkramiye ve İndirimler Karşılığında Değişim (Reasürör Payı ve Devreden Kısım Düşülmüş Olarak) (+/-) Change In Provision for Bonus And Rebates (Net of Reinsurer Share and Provision Carried Forward) (+/-)

0

kap-fr_ProvisionForBonusAndRebatesClassifiedAsLifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

İkramiye ve İndirimler Karşılığı (-) Provision For Bonus and Rebates (-)

kap-fr_ReinsurerShareOfProvisionForBonusAndRebatesClassifiedAsLifeTechnicalExpense|http://www.xbrl.org/2003/role/terseLabel

İkramiye ve İndirimler Karşılığında Reasürans Payı (+) Reinsurer Share of Provision for Bonus and Rebates (+)

kap-fr_ChangeInMathematicalProvisionsClassifiedAsLifeTechnicalExpenseNetOfReinsurerShareAndProvisionCarriedForward|http://www.xbrl.org/2009/role/negatedTerseLabel

Matematik Karşılıklarda Değişim (Reasürör Payı ve Devreden Kısım Düşülmüş Olarak) (+/-) Change In Mathematical Provisions (Net of Reinsurer Share and Provision Carried Forward) (+/-)

337.744

59.682

7.559

13.555

kap-fr_MathematicalProvisionsClassifiedAsLifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

Matematik Karşılıklar (-) Mathematical Provisions (-)

337.955

59.322

7.559

13.536

kap-fr_ActuarialMathematicalProvisions|http://www.xbrl.org/2009/role/negatedTerseLabel

Aktüeryal Matematik Karşılık (+/-) Actuarial Mathematical Provisions (+/-)

296.943

261.085

6.803

14.170

kap-fr_ProvisionForProfitShareProvisionForInvestmentsForTheBenefitOfLifeAssurancePolicyholdersWhoBearTheInvestmentRisk|http://www.xbrl.org/2009/role/negatedLabel

Kar Payı Karşılığı, Yatırım Riski Poliçe Sahiplerine Ait Poliçeler İçin Ayrılan Karşılıklar Provision for Profit Share, Provision for Investments for the Benefit of Life-Assurance Policyholders who Bear the Investment Risk

41.012

-201.763

756

-634

kap-fr_ReinsurerShareOfMathematicalProvisionsClassifiedAsLifeTechnicalExpense|http://www.xbrl.org/2003/role/terseLabel

Matematik Karşılığında Reasürör Payı (+) Reinsurer Share of Mathematical Provisions (+)

-211

360

19

kap-fr_ReinsurerShareOfActuarialMathematicalProvisions|http://www.xbrl.org/2003/role/terseLabel

Aktüeryal Matematik Karşılıklar Reasürör Payı (+) Reinsurer Share of Actuarial Mathematical Provisions (+)

-211

360

19

kap-fr_ReinsurerShareOfProvisionForProfitShareProvisionForInvestmentsForTheBenefitOfLifeAssurancePolicyholdersWhoBearTheInvestmentRisk|http://www.xbrl.org/2003/role/terseLabel

Kar Payı Karşılığı Reasürör Payı (Yatırım Riski Poliçe Sahiplerine Ait Poliçeler İçin Ayrılan Karşılıklar) (+) Reinsurer Share of Provision for Profit Share (Provision for Investments for the Benefit of Life-Assurance Policyholders who Bear the Investment Risk) (+)

kap-fr_ChangeInOtherTechnicalProvisionsClassifiedAsLifeTechnicalExpenseNetOfReinsurerShareAndProvisionCarriedForward|http://www.xbrl.org/2009/role/negatedTerseLabel

Diğer Teknik Karşılıklarda Değişim (Reasürör Payı ve Devreden Kısım Düşülmüş Olarak) (+/-) Change In Other Technical Provisions (Net of Reinsurer Share and Provision Carried Forward) (+/-)

kap-fr_OperatingExpensesClassifiedAsLifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

Faaliyet Giderleri (-) Operating Expenses (-)

32

-63.572

-203.167

-93

-55.720

kap-fr_InvestmentExpensesClassifiedAsLifeTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

Yatırım Giderleri (-) Investment Expenses (-)

kap-fr_UnrealizedLossesOnInvestments|http://www.xbrl.org/2009/role/negatedLabel

Yatırımlardaki Gerçekleşmemiş Zararlar (-) Unrealized Losses On Investments (-)

kap-fr_InvestmentIncomeTransferredToNontechnicalPart|http://www.xbrl.org/2009/role/negatedLabel

Teknik Olmayan Bölüme Aktarılan Yatırım Gelirleri (-) Investment Income Transferred To Non Technical Part (-)

-29

-14

kap-fr_TechnicalPartBalanceLife|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

TEKNİK BÖLÜM DENGESİ - HAYAT TECHNICAL PART BALANCE - LIFE

-143.681

-155.601

-11.435

-33.708

kap-fr_PensionBusinessTechnicalIncome|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

EMEKLİLİK TEKNİK GELİR PENSION BUSINESS TECHNICAL INCOME

0

0

kap-fr_FundManagementIncome|

Fon İşletim Gelirleri Fund Management Income

0

0

kap-fr_CompanyManagementCharges|

Yönetim Gideri Kesintisi Company Management Charges

0

0

kap-fr_EntranceFees|

Giriş Aidatı Gelirleri Entrance Fees

0

0

kap-fr_CompanyManagementChargesInCaseOfTemporarySuspension|

Ara Verme Halinde Yönetim Gideri Kesintisi Company Management Charges In Case Of Temporary Suspension

0

0

kap-fr_SpecialServiceCharge|

Özel Hizmet Gideri Kesintisi Special Service Charge

0

0

kap-fr_IncreaseInMarketValueOfCapitalCommitmentAdvances|

Sermaye Tahsis Avansı Değer Artış Gelirleri Increase In Market Value of Capital Commitment Advances

0

0

kap-fr_OtherTechnicalIncomeClassifiedAsPensionBusinessTechnicalIncome|http://www.xbrl.org/2003/role/terseLabel

Diğer Teknik Gelirler Other Technical Income

0

0

kap-fr_PensionBusinessTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

EMEKLİLİK TEKNİK GİDERİ PENSION BUSINESS TECHNICAL EXPENSE

0

0

kap-fr_FundManagementExpenses|http://www.xbrl.org/2009/role/negatedLabel

Toplam Fon Giderleri (-) Fund Management Expenses (-)

0

0

kap-fr_DecreaseInMarketValueOfCapitalCommitmentAdvances|http://www.xbrl.org/2009/role/negatedLabel

Sermaye Tahsis Avansları Değer Azalış Giderleri (-) Decrease In Market Value of Capital Commitment Advances (-)

0

0

kap-fr_OperatingExpensesClassifiedAsPensionBusinessTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

Faaliyet Giderleri (-) Operating Expenses (-)

0

0

kap-fr_OtherTechnicalExpensesClassifiedAsPensionBusinessTechnicalExpense|http://www.xbrl.org/2009/role/negatedTerseLabel

Diğer Teknik Giderler (-) Other Technical Expenses (-)

0

0

kap-fr_Fines|http://www.xbrl.org/2009/role/negatedLabel

Ceza Ödemeleri (-) Fines (-)

0

0

kap-fr_TechnicalPartBalancePensionBusiness|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

TEKNİK BÖLÜM DENGESİ - EMEKLİLİK TECHNICAL PART BALANCE - PENSION BUSINESS

0

0

kap-fr_NonTechnicalPartAbstract|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

II-TEKNİK OLMAYAN BÖLÜM II- NON TECHNICAL PART

kap-fr_TechnicalPartBalanceNonlife|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

TEKNİK BÖLÜM DENGESİ - HAYAT DIŞI TECHNICAL PART BALANCE - NON LIFE

35.930.253

-112.144.960

33.240.972

43.915.830

kap-fr_TechnicalPartBalanceLife|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

TEKNİK BÖLÜM DENGESİ - HAYAT TECHNICAL PART BALANCE - LIFE

-143.681

-155.601

-11.435

-33.708

kap-fr_TechnicalPartBalancePensionBusiness|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

TEKNİK BÖLÜM DENGESİ - EMEKLİLİK TECHNICAL PART BALANCE - PENSION BUSINESS

0

0

kap-fr_TechnicalPartBalance|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

GENEL TEKNİK BÖLÜM DENGESİ TECHNICAL PART BALANCE

35.786.572

-112.300.561

33.229.537

43.882.122

ifrs-full_InvestmentIncome|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

YATIRIM GELİRLERİ INVESTMENT INCOME

122.914.329

177.126.138

43.543.734

90.346.327

kap-fr_IncomeFromFinancialInvestments|

Finansal Yatırımlardan Elde Edilen Gelirler Income from Financial Investments

26

56.248.368

36.586.096

10.986.902

8.446.007

kap-fr_IncomeFromSalesOfFinancialInvestments|

Finansal Yatırımların Nakde Çevrilmesinden Elde Edilen Karlar Income from Sales of Financial Investments

26

3.170.622

3.596.797

2.143.345

2.772.512

kap-fr_ValuationOfFinancialInvestments|

Finansal Yatırımların Değerlemesi Valuation of Financial Investments

26

17.995.413

5.279.229

12.507.792

-201.552

kap-fr_ForeignExchangeGains|http://www.xbrl.org/2003/role/terseLabel

Kambiyo Karları Foreign Exchange Gains

36

42.843.261

123.176.837

16.611.978

85.805.273

kap-fr_IncomeFromAssociates|

İştiraklerden Gelirler Income from Associates

0

kap-fr_IncomeFromSubsidiariesandJointlyControlledCompanies|

Bağlı Ortaklıklar ve Müşterek Yönetime Tabi Teşebbüslerden Gelirler Income from Subsidiaries and Jointly Controlled Companies

0

kap-fr_IncomeFromLandAndBuilding|

Arazi, Arsa ile Binalardan Elde Edilen Gelirler Income from Land and Building

26

0

kap-fr_IncomeFromDerivatives|

Türev Ürünlerden Elde Edilen Gelirler Income from Derivatives

13

2.656.665

8.487.150

1.293.717

-6.475.929

kap-fr_OtherInvestments|

Diğer Yatırımlar Other Investments

0

kap-fr_InvestmentIncomeTransferredFromLifeTechnicalPart|

Hayat Teknik Bölümünden Aktarılan Yatırım Gelirleri Investment Income Transferred from Life Technical Part

29

16

kap-fr_InvestmentExpenses|http://www.xbrl.org/2009/role/negatedLabel

YATIRIM GİDERLERİ (-) INVESTMENT EXPENSES (-)

-132.709.216

-182.346.230

-47.310.804

-102.640.578

kap-fr_InvestmentManagementExpensesIncludingInterest|http://www.xbrl.org/2009/role/negatedLabel

Yatırım Yönetim Giderleri-Faiz Dahil (-) Investment Management Expenses (including interest) (-)

0

kap-fr_DiminutionInValueOfInvestments|http://www.xbrl.org/2009/role/negatedLabel

Yatırımlar Değer Azalışları (-) Diminution In Value of Investments (-)

0

kap-fr_LossesFromRealizationOfInvestments|http://www.xbrl.org/2009/role/negatedLabel

Yatırımların Nakte Çevrilmesi Sonucunda Oluşan Zararlar (-) Losses from Realization of Investment (-)

0

kap-fr_InvestmentIncomeTransferredToNonlifeTechnicalPart|http://www.xbrl.org/2009/role/negatedLabel

Hayat Dışı Teknik Bölümüne Aktarılan Yatırım Gelirleri (-) Investment Income Transferred to Non-Life Technical Part (-)

-81.510.845

-92.357.898

-29.725.077

-46.346.328

kap-fr_LossesFromDerivatives|http://www.xbrl.org/2009/role/negatedLabel

Türev Ürünler Sonucunda Oluşan Zararlar (-) Losses from Derivatives (-)

0

kap-fr_ForeignExchangeLosses|http://www.mkk.com.tr/2015/role/negatedVerboseLabel

Kambiyo Zararları (-) Foreign Exchange Losses (-)

36

-41.403.483

-81.911.781

-13.818.656

-53.075.969

kap-fr_DepreciationExpenses|http://www.xbrl.org/2009/role/negatedLabel

Amortisman Giderleri (-) Depreciation Expenses (-)

5

-9.794.888

-8.076.551

-3.767.071

-3.218.281

kap-fr_OtherInvestmentExpenses|http://www.xbrl.org/2009/role/negatedLabel

Diğer Yatırım Giderleri (-) Other Investment Expenses (-)

0

kap-fr_IncomeAndExpensesFromOtherAndExtraordinaryOperations|http://www.xbrl.org/2003/role/verboseLabel

DİĞER FAALİYETLERDEN VE OLAĞANDIŞI FAALİYETLERDEN GELİR VE KARLAR İLE GİDER VE ZARARLAR (+/-) INCOME AND EXPENSES FROM OTHER AND EXTRAORDINARY OPERATIONS (+/-)

47

-20.811.809

8.079.191

-11.401.840

-11.485.620

kap-fr_ProvisionsAccount|http://www.xbrl.org/2009/role/negatedTerseLabel

Karşılıklar Hesabı (+/-) Provisions Account (+/-)

47

-14.881.462

-14.039.312

-4.254.387

-5.196.424

kap-fr_Rediscount|http://www.xbrl.org/2009/role/negatedLabel

Reeskont Hesabı (+/-) Rediscount

47

0

kap-fr_SpecifiedInsuranceAccounts|http://www.xbrl.org/2003/role/terseLabel

Özellikli Sigortalar Hesabı (+/-) Specified Insurance Accounts (+/-)

47

469.218

544.029

18.296

31.005

kap-fr_InflationAdjustmentAccount|http://www.xbrl.org/2003/role/terseLabel

Enflasyon Düzeltmesi Hesabı (+/-) Inflation Adjustment Account (+/-)

0

kap-fr_DeferredTaxAssetAccount|http://www.xbrl.org/2003/role/terseLabel

Ertelenmiş Vergi Varlığı Hesabı (+/-) Deferred Tax Asset Account (+/-)

35

-1.662.152

23.191.676

-4.563.755

-6.663.859

kap-fr_DeferredTaxExpenseAccount|http://www.xbrl.org/2009/role/negatedLabel

Ertelenmiş Vergi Yükümlülüğü Gideri (-) Deferred Tax Expense Account (-)

0

kap-fr_OtherIncomeAndRevenues|

Diğer Gelir ve Karlar Other Income and Revenues

47

-158.059

429.251

-672.559

302.218

kap-fr_OtherExpensesAndLosses|http://www.xbrl.org/2009/role/negatedLabel

Diğer Gider ve Zararlar (-) Other Expenses and Losses (-)

47

-4.579.354

-2.940.797

-1.929.435

-852.904

kap-fr_PriorPeriodIncome|

Önceki Yıl Gelir ve Karları Prior Period Income

47

894.344

894.344

kap-fr_PriorPeriodLosses|http://www.xbrl.org/2009/role/negatedLabel

Önceki Yıl Gider ve Zararları (-) Prior Period Losses (-)

0

ifrs-full_ProfitLoss|http://www.mkk.com.tr/2015/role/alternativeNetlLabel

DÖNEM NET KARI VEYA ZARARI NET PROFIT OR LOSS FOR THE PERIOD

5.179.876

-109.441.462

18.060.627

20.102.251

ifrs-full_ProfitLossBeforeTax|http://www.xbrl.org/2003/role/terseLabel

Dönem Karı veya Zararı Profit or Loss Before Tax

5.179.876

-109.441.462

18.060.627

20.102.251

kap-fr_CorporateTaxLiabilityProvision|http://www.mkk.com.tr/2015/role/negatedVerboseLabel

Dönem Karı Vergi ve Diğer Yasal Yükümlülük Karşılıkları (-) Corporate Tax Liability Provision (-)

ifrs-full_ProfitLossAttributableToAbstract|

Dönem Karının (Zararının) Dağılımı Profit (loss), attributable to [abstract]

ifrs-full_ProfitLossAttributableToOwnersOfParent|http://www.xbrl.org/2003/role/verboseLabel

Ana Ortaklık Payları Owners of Parent

5.179.876

-109.441.462

18.060.627

20.102.251

ifrs-full_ProfitLossAttributableToNoncontrollingInterests|http://www.mkk.com.tr/2015/role/capslockLabel

Azınlık Payları Minority Interests

0

0

0

0

Presentation Currency TL
Nature of Financial Statements Unconsolidated

Dipnot Referansı

Footnote Reference

Cari Dönem

01.01.2016 - 30.09.2016

Current Period

01.01.2016 - 30.09.2016

Önceki Dönem

01.01.2015 - 30.09.2015

Previous Period

01.01.2015 - 30.09.2015

kap-fr_CashFlowsStatementAbstract|

Nakit Akım Tablosu Cash Flow Statement

ifrs-full_CashFlowsFromUsedInOperatingActivitiesAbstract|http://www.xbrl.org/2003/role/terseLabel

ESAS FAALİYETLERDEN KAYNAKLANAN NAKİT AKIMLARI CASH FLOWS FROM OPERATING ACTIVITIES

kap-fr_CashInflowsFromInsuranceOperations|

Sigortacılık Faaliyetlerinden Elde Edilen Nakit Girişleri Cash Inflows from Insurance Operations

1.067.118.247

1.048.646.954

kap-fr_CashInflowsFromReinsuranceOperations|

Reasürans Faaliyetlerinden Elde Edilen Nakit Girişleri Cash Inflows from Reinsurance Operations

kap-fr_CashInflowsFromPensionOperations|

Emeklilik Faaliyetlerinden Elde Edilen Nakit Girişleri Cash Inflows from Pension Operations

kap-fr_CashOutflowsDueToInsuranceOperations|http://www.xbrl.org/2009/role/negatedLabel

Sigortacılık Faaliyetleri Nedeniyle Yapılan Nakit Çıkışı (-) Cash Outflows due to Insurance Operations (-)

-814.497.987

-942.313.631

kap-fr_CashOutflowsDueToReinsuranceOperations|http://www.xbrl.org/2009/role/negatedLabel

Reasürans Faaliyetleri Nedeniyle Nakit Çıkışı (-) Cash Outflows due to Reinsurance Operations (-)

kap-fr_CashOutflowsDueToPensionOperations|http://www.xbrl.org/2009/role/negatedLabel

Emeklilik Faaliyetleri Nedeniyle Nakit Çıkışı (-) Cash Outflows due to Pension Operations (-)

ifrs-full_CashFlowsFromUsedInOperations|http://www.xbrl.org/2003/role/verboseLabel

Esas Faaliyetler Sonucu Oluşan Nakit Cash Generated from Operating Activities

252.620.260

106.333.323

ifrs-full_InterestPaidClassifiedAsOperatingActivities|http://www.xbrl.org/2009/role/negatedLabel

Faiz Ödemeleri (-) Interest Payments (-)

ifrs-full_IncomeTaxesPaidRefundClassifiedAsOperatingActivities|http://www.mkk.com.tr/2015/role/negatedVerboseLabel

Gelir Vergisi Ödemeleri (-) Income Tax Payments (-)

-7.843.486

-4.203.884

kap-fr_OtherCashInflowsClassifiedAsOperatingActivities|http://www.xbrl.org/2003/role/terseLabel

Diğer Nakit Girişleri Other Cash Inflows

17.228.946

158.809.581

kap-fr_OtherCashOutflowsClassifiedAsOperatingActivities|http://www.xbrl.org/2009/role/negatedTerseLabel

Diğer Nakit Çıkışları (-) Other Cash Outflows (-)

-131.587.040

-61.756.124

ifrs-full_CashFlowsFromUsedInOperatingActivities|http://www.mkk.com.tr/2015/role/netVerboseLabel

Esas Faaliyetlerden Kaynaklanan Net Nakit Net Cash Generated from Operating Activities

39

130.418.680

199.182.896

ifrs-full_CashFlowsFromUsedInInvestingActivitiesAbstract|http://www.xbrl.org/2003/role/verboseLabel

YATIRIM FAALİYETLERİNDEN KAYNAKLANAN NAKİT AKIMLARI CASH FLOWS FROM INVESTING ACTIVITIES

kap-fr_ProceedsFromSalesOfTangibleAssets|

Maddi Varlıkların Satışı Proceeds from Sales of Tangible Assets

kap-fr_PurchaseOfTangibleAssets|http://www.xbrl.org/2009/role/negatedTerseLabel

Maddi Varlıkların İktisabı (-) Purchase of Tangible Assets (-)

-3.507.195

-1.858.719

kap-fr_AcquisitionOfFinancialAssets|http://www.xbrl.org/2009/role/negatedTerseLabel

Mali Varlık İktisabı (-) Acquisition of Financial Assets (-)

249.024.421

-57.468.650

kap-fr_ProceedsFromSalesOfFinancialAssets|

Mali Varlıkların Satışı Proceeds from Sales of Financial Assets

5.076.387

-235.578

ifrs-full_InterestReceivedClassifiedAsInvestingActivities|http://www.xbrl.org/2003/role/terseLabel

Alınan Faiz Interest received

82.902.024

58.538.218

ifrs-full_DividendsReceivedClassifiedAsInvestingActivities|http://www.xbrl.org/2003/role/terseLabel

Alınan Temettüler Dividends received

kap-fr_OtherCashInflowsClassifiedAsInvestingActivities|http://www.xbrl.org/2003/role/terseLabel

Diğer Nakit Girişleri Other Cash Inflows

23.804.188

48.812.182

kap-fr_OtherCashOutflowsClassifiedAsInvestingActivities|http://www.xbrl.org/2009/role/negatedTerseLabel

Diğer Nakit Çıkışları (-) Other Cash Outflows (-)

-107.237.374

-144.949.586

ifrs-full_CashFlowsFromUsedInInvestingActivities|http://www.mkk.com.tr/2015/role/netVerboseLabel

Yatırım Faaliyetlerden Kaynaklanan Net Nakit Net Cash Generated from Investing Activities

39

250.062.451

-97.162.133

ifrs-full_CashFlowsFromUsedInFinancingActivitiesAbstract|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

FİNANSMAN FAALİYETLERİNDEN KAYNAKLANAN NAKİT AKIMLARI CASH FLOWS FROM FINANCING ACTIVITIES

ifrs-full_ProceedsFromIssuingShares|http://www.xbrl.org/2003/role/terseLabel

Hisse Senedi İhracı Issue of Shares

kap-fr_CashInflowsFromLoansToPolicyholders|

Kredilerle İlgili Nakit Girişleri Cash Inflows from Loans to Policyholders

ifrs-full_PaymentsOfFinanceLeaseLiabilitiesClassifiedAsFinancingActivities|http://www.mkk.com.tr/2015/role/negatedVerboseLabel

Finansal Kiralama Borçları Ödemeleri (-) Payments of Financial Leases (-)

ifrs-full_DividendsPaidClassifiedAsFinancingActivities|http://www.mkk.com.tr/2015/role/negatedVerboseLabel

Ödenen Temettüler (-) Dividends Paid (-)

-23.959.800

kap-fr_OtherCashInflowsClassifiedAsFinancingActivities|http://www.xbrl.org/2003/role/terseLabel

Diğer Nakit Girişleri Other Cash Inflows

kap-fr_OtherCashOutflowsClassifiedAsFinancingActivities|http://www.xbrl.org/2009/role/negatedTerseLabel

Diğer Nakit Çıkışları (-) Other Cash Outflows (-)

ifrs-full_CashFlowsFromUsedInFinancingActivities|http://www.mkk.com.tr/2015/role/netVerboseLabel

Finansman Faaliyetlerinden Kaynaklanan Net Nakit Net Cash Generated from Financing Activities

39

0

-23.959.800

ifrs-full_EffectOfExchangeRateChangesOnCashAndCashEquivalents|http://www.xbrl.org/2003/role/terseLabel

KUR FARKLARININ NAKİT VE NAKİT BENZERLERİNE OLAN ETKİSİ EFFECTS OF EXCHANGE RATE DIFFERENCES ON CASH AND CASH EQUIVALENTS

1.439.778

41.265.056

ifrs-full_IncreaseDecreaseInCashAndCashEquivalents|http://www.mkk.com.tr/2015/role/standartCapitalsLabel

Nakit ve Nakit Benzerlerinde Meydana Gelen Net Artış Net Increase In Cash and Cash Equivalents

381.920.909

119.326.019

kap-fr_CashAndCashEquivalentsForCashFlowStatement|http://www.mkk.com.tr/2015/role/mkkperiodstartLabel

Dönem Başındaki Nakit ve Nakit Benzerleri Mevcudu Cash and Cash Equivalents at Beginning of the Period

14

540.914.788

816.206.332

kap-fr_CashAndCashEquivalentsForCashFlowStatement|http://www.mkk.com.tr/2015/role/mkkperiodendLabel

Dönem Sonundaki Nakit ve Nakit Benzerleri Mevcudu Cash and Cash Equivalents at End of the Period

14

922.835.697

935.532.351

Presentation Currency TL
Nature of Financial Statements Unconsolidated

Dipnot Referansı

Footnote Reference

Sermaye

Issued Capital

İşletmenin Kendi Hisse Senetleri (-)

Entity's Own Shares (-)

Varlıklarda Değer Artışı

Increase in Value of Assets

Özsermaye Enflasyon Düzeltmesi Farkları

Inflation Adjustments to Equity

Yabancı Para Çevrim Farkları

Reserve of Exchange Differences on Translation

Yasal Yedekler

Legal Reserves

Statü Yedekleri

Statutory Reserves

Diğer Yedekler ve Dağıtılmamış Karlar

Other Reserves and Undistributed Profits

Net Dönem Karı (Zararı)

Net Profit (Loss)

Geçmiş Yıllar Karları (Zararları)

Prior Years' Profits (Losses)

Ana Ortaklığa Ait Özkaynaklar

Equity Attributable to Owners of Parent

Azınlık Payları

Non-controlling Interests

Toplam

Total

Önceki Dönem

01.01.2015 - 30.09.2015

Previous Period

01.01.2015 - 30.09.2015

kap-fr_ChangesInEquityTableAbstract|

Özsermaye Değişim Tablosu Statement of Changes in Equity

ifrs-full_StatementOfChangesInEquityLineItems|

Özkaynaklar Değişim Tablosu Statement of changes in equity [line items]

ifrs-full_Equity|http://www.mkk.com.tr/2015/role/mkkperiodstartLabel

Önceki Dönem Sonu Bakiyesi Equity at End of Prior Period

306.000.000

0

-838.117

0

0

80.665.151

62

91.533.170

30.607.482

13.151

0

0

507.980.899

kap-fr_FinancialEffectOfChangesInAccountingPolicy|http://www.xbrl.org/2003/role/verboseLabel

Muhasebe Politikasında Değişiklikler Changes In Accounting Policy

0

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_RestatedBalances|http://www.mkk.com.tr/2015/role/capslockLabel

Yeni Bakiye Restated Balance

306.000.000

0

-838.117

0

0

80.665.151

62

91.533.170

30.607.482

13.151

0

0

507.980.899

ifrs-full_IssueOfEquity|

Sermaye Arttırımı Issue of equity

0

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_CapitalIncreaseInCash|http://www.xbrl.org/2003/role/terseLabel

Nakit Cash Capital Increase

0

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_CapitalIncreaseTroughInternalReserves|http://www.xbrl.org/2003/role/terseLabel

İç Kaynaklardan Capital Increase Through Internal Reserves

0

0

0

0

0

0

0

0

0

0

0

0

0

ifrs-full_IncreaseDecreaseThroughTreasuryShareTransactions|http://www.xbrl.org/2003/role/terseLabel

İşletmenin Aldığı Kendi Hisse Senetleri Treasury Share Transactions

0

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_GainsLossesThatWillNotBeReclassifiedToProfitOrLoss|

Gelir Tablosunda Yer Almayan Kazanç ve Kayıplar Gains (Losses) That Will Not Be Reclassified To Profit Or Loss

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_IncreaseInValueOfAsssets|

Varlıklarda Değer Artışı Increase in Value of Assets

0

0

-7.904.045

0

0

0

0

0

0

0

0

0

-7.904.045

kap-fr_ExchangeDifferencesOnTranslation|

Yabancı Para Çevrim Farkları Exchange Differences on Translation

0

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_OtherGainsLossses|

Diğer Kazanç ve Kayıplar Other Gains (Losses)

0

0

0

0

0

0

0

7.886.030

0

0

0

0

7.886.030

kap-fr_InflationAdjustments|

Enflasyon Düzeltme Farkları Inflation Adjustments

0

0

0

0

0

0

0

0

0

0

0

0

0

ifrs-full_ProfitLoss|http://www.xbrl.org/2003/role/verboseLabel

Dönem Net Karı (Zararı) Profit (loss) for the Period

0

0

0

0

0

0

0

0

-109.441.462

0

0

0

-109.441.462

ifrs-full_DividendsPaid|http://www.xbrl.org/2003/role/terseLabel

Dağıtılan Temettü Dividends Paid

0

0

0

0

0

0

0

0

0

-23.959.800

0

0

-23.959.800

kap-fr_TransfersToReserves|http://www.xbrl.org/2003/role/terseLabel

Yedeklere Transfer Transfers To Reserves

0

0

0

0

0

2.399.021

0

4.248.661

-30.607.482

23.959.800

0

0

0

ifrs-full_Equity|http://www.mkk.com.tr/2015/role/mkkperiodendLabel

Dönem Sonu Bakiyesi Equity at the End

306.000.000

0

-8.742.162

0

0

83.064.172

62

103.667.861

-109.441.462

13.151

0

0

374.561.622

Cari Dönem

01.01.2016 - 30.09.2016

Current Period

01.01.2016 - 30.09.2016

kap-fr_ChangesInEquityTableAbstract|

Özsermaye Değişim Tablosu Statement of Changes in Equity

ifrs-full_StatementOfChangesInEquityLineItems|

Özkaynaklar Değişim Tablosu Statement of changes in equity [line items]

ifrs-full_Equity|http://www.mkk.com.tr/2015/role/mkkperiodstartLabel

Önceki Dönem Sonu Bakiyesi Equity at End of Prior Period

306.000.000

0

-5.945.992

0

0

83.064.172

62

101.453.876

-135.945.560

13.151

0

0

348.639.709

kap-fr_FinancialEffectOfChangesInAccountingPolicy|http://www.xbrl.org/2003/role/verboseLabel

Muhasebe Politikasında Değişiklikler Changes In Accounting Policy

0

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_RestatedBalances|http://www.mkk.com.tr/2015/role/capslockLabel

Yeni Bakiye Restated Balance

306.000.000

0

-5.945.992

0

0

83.064.172

62

101.453.876

-135.945.560

13.151

0

0

348.639.709

ifrs-full_IssueOfEquity|

Sermaye Arttırımı Issue of equity

0

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_CapitalIncreaseInCash|http://www.xbrl.org/2003/role/terseLabel

Nakit Cash Capital Increase

0

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_CapitalIncreaseTroughInternalReserves|http://www.xbrl.org/2003/role/terseLabel

İç Kaynaklardan Capital Increase Through Internal Reserves

0

0

0

0

0

0

0

0

0

0

0

0

0

ifrs-full_IncreaseDecreaseThroughTreasuryShareTransactions|http://www.xbrl.org/2003/role/terseLabel

İşletmenin Aldığı Kendi Hisse Senetleri Treasury Share Transactions

0

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_GainsLossesThatWillNotBeReclassifiedToProfitOrLoss|

Gelir Tablosunda Yer Almayan Kazanç ve Kayıplar Gains (Losses) That Will Not Be Reclassified To Profit Or Loss

0

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_IncreaseInValueOfAsssets|

Varlıklarda Değer Artışı Increase in Value of Assets

0

0

3.054.962

0

0

0

0

0

0

0

0

0

3.054.962

kap-fr_ExchangeDifferencesOnTranslation|

Yabancı Para Çevrim Farkları Exchange Differences on Translation

0

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_OtherGainsLossses|

Diğer Kazanç ve Kayıplar Other Gains (Losses)

0

0

0

0

0

0

0

661.754

0

0

0

0

661.754

kap-fr_InflationAdjustments|

Enflasyon Düzeltme Farkları Inflation Adjustments

0

0

0

0

0

0

0

0

0

0

0

0

0

ifrs-full_ProfitLoss|http://www.xbrl.org/2003/role/verboseLabel

Dönem Net Karı (Zararı) Profit (loss) for the Period

0

0

0

0

0

0

0

0

5.179.876

0

0

0

5.179.876

ifrs-full_DividendsPaid|http://www.xbrl.org/2003/role/terseLabel

Dağıtılan Temettü Dividends Paid

0

0

0

0

0

0

0

0

0

0

0

0

0

kap-fr_TransfersToReserves|http://www.xbrl.org/2003/role/terseLabel

Yedeklere Transfer Transfers To Reserves

0

0

0

0

0

0

0

0

135.945.560

-135.945.560

0

0

0

ifrs-full_Equity|http://www.mkk.com.tr/2015/role/mkkperiodendLabel

Dönem Sonu Bakiyesi Equity at the End

306.000.000

0

-2.891.030

0

0

83.064.172

62

102.115.630

5.179.876

-135.932.409

0

0

357.536.301