Bizim Toptan Satig Magazalari A.g.BIST: BIZIM

2025 2Q Financial Statements and Footnotes

· Issued by Bizim Toptan Satig Magazalari A.g.
BİZİM TOPTAN SATIŞ MAĞAZALARI A.Ş. AND ITS SUBSIDIARIES CONVENIENCE TRANSLATION INTO ENGLISH OF CONDENSED CONSOLIDATED FINANCIAL STATEMENTS AND LIMITED AUDIT REVIEW REPORT FOR THE INTERIM PERIOD 1 JANUARY - 30 JUNE 2025 (ORIGINALLY ISSUED IN TURKISH) CONTENTS PAGE CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION 1-2 CONDENSED CONSOLIDATED STATEMENTS OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME.................................................................................................... 3 CONDENSED CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY ................. 4 CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS................................. 5 NOTES TO THE CONDENSED CONSOLIDATED FINANCIAL STATEMENTS 6-39

NOTE 1 ORGANIZATION AND OPERATIONS OF THE GROUP ......................................................................... 6

NOTE 2 BASIS OF PRESENTATION OF THE CONSOLIDATED FINANCIAL STATEMENTS 6-11

NOTE 3 CASH AND CASH EQUIVALENTS 11

NOTE 4 FINANCIAL LIABILITIES 12

NOTE 5 TRADE RECEIVABLES AND PAYABLES 13

NOTE 6 OTHER RECEIVABLES AND PAYABLES 13

NOTE 7 INVENTORIES 14

NOTE 8 PREPAID EXPENSES AND DEFERRED INCOME (EXCLUDING LIABILITIES ARISING

FROM CUSTOMER CONTRACTS) 14

NOTE 9 PROPERTY, PLANT AND EQUIPMENT AND RIGHT-OF-USE ASSETS 15-18

NOTE 10 INTANGIBLE ASSETS 19-20

NOTE 11 PROVISIONS, CONTINGENT ASSETS AND LIABILITIES, COMMITMENTS 21-23

NOTE 12 EMPLOYEE BENEFITS 23-24

NOTE 13 OTHER ASSETS AND LIABILITIES 24

NOTE 14 CAPITAL, RESERVES AND OTHER EQUITY ITEMS 25-26

NOTE 15 REVENUE AND COST OF SALES 26

NOTE 16 GENERAL ADMINISTRATIVE EXPENSES, MARKETING, SALES AND

DISTRIBUTION EXPENSES 26

NOTE 17 EXPENSES BY NATURE 27

NOTE 18 OTHER OPERATING INCOME AND EXPENSES 28

NOTE 19 INCOME AND EXPENSES FROM INVESTING ACTIVITIES 28

NOTE 20 FINANCE EXPENSES 29

NOTE 21 INCOME TAXES (INCLUDING DEFERRED TAX, ASSETS AND LIABILITIES) 29-30

NOTE 22 EARNINGS PER SHARE 31

NOTE 23 GAINS/(LOSSES) ON NET MONETARY POSITION 31

NOTE 24 RELATED PARTY DISCLOSURES 32-36

NOTE 25 NATURE AND LEVEL OF RISKS ARISING FROM FINANCIAL INSTRUMENTS 37-39

NOTE 26 EVENTS AFTER THE REPORTING PERIOD 39

OTHER INFORMATION

APPENDIX -1 OTHER COMPLEMENTARY INFORMATION 40

CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION AS OF 30 JUNE 2025

(Amounts expressed in thousands of Turkish Lira ("TL") in terms of the purchasing power of TL as at 30 June 2025, unless otherwise stated.)

Reviewed

Current Period

Audited

Prior Period

30 June

31 December

Assets

Notes

2025

2024

Current assets

5,771,558,322

6,895,006,274

Cash and cash equivalents

3

495,059,510

1,014,330,759

Trade receivables

1,557,372,249

1,666,379,670

Trade receivables from related parties

5, 24

46,690,061

63,567,286

Trade receivables from third parties

5

1,510,682,188

1,602,812,384

Other receivables

36,470,765

27,158,957

Other receivables from related parties

6, 24

17,375,871

10,781,015

Other receivables from third parties

6

19,094,894

16,377,942

Inventories

7

3,389,069,895

3,809,753,965

Prepaid expenses

8

138,273,615

130,440,460

Current tax assets

4,790,564

3,848,385

Other current assets

150,521,724

243,094,078

Non-current assets

6,334,175,742

6,626,779,156

Other receivables

23,935,356

19,395,875

Other receivables from third parties

6

23,935,356

19,395,875

Property, plant and equipment

9

2,567,266,159

2,849,987,716

Right of use assets

9

3,186,990,800

3,177,215,311

Intangible assets

10

493,567,841

522,565,225

Prepaid expenses

8

226,500

5,868,401

Deferred tax assets

21

62,189,086

51,746,628

Total assets

12,105,734,064

13,521,785,430

The accompanying notes form an integral part of these condensed consolidated financial statements.

1

CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION AS OF 30 JUNE 2025

(Amounts expressed in thousands of Turkish Lira ("TL") in terms of the purchasing power of TL as at 30 June 2025, unless otherwise stated.)

Reviewed

Current Period

Audited

Prior Period

Liabilities

Notes

30 June 2025

2024

Current liabilities

9,855,064,160

10,506,008,961

Short-term borrowings

654,609,459

628,836,377

Lease liabilities to related parties

4

11,025,060

8,538,734

Lease liabilities to third parties

4

643,584,399

620,297,643

Trade payables

8,495,308,519

9,172,703,879

Trade payables to related parties

5, 24

3,221,927,494

3,303,849,128

Trade payables to third parties

5

5,273,381,025

5,868,854,751

Other payables

5,544,848

6,774,904

Other payables to related parties

4,500,000

5,250,327

Other payables to third parties

1,044,848

1,524,577

Employee benefits payables

12

119,460,213

150,563,272

Deferred income (excluding liabilities arising from customer contracts)

8

77,281,954

55,120,332

Short-term provisions

472,331,735

433,387,342

Provisions for employee benefits

12

186,144,479

225,840,409

Other short-term provisions

11

286,187,256

207,546,933

Other current liabilities

13

30,527,432

58,622,855

Other current liabilities to third parties

30,527,432

58,622,855

Non-Current Liabilities

1,933,318,904

1,853,158,794

Long-term borrowings

1,111,323,124

1,133,625,408

Lease liabilities to related parties

4

38,460,395

30,072,482

Lease liabilities to third parties

4

1,072,862,729

1,103,552,926

Other payables

24,567,183

27,133,563

Other payables to related parties

24,567,183

27,133,563

Long-term provisions

264,042,437

243,762,234

Long-term provisions for employee benefits

12

264,042,437

243,762,234

Deferred tax liabilities

502,891,022

448,637,589

Deferred income (Excluding liabilities asiring from customer contracts)

8

30,495,138

-

Equity

317,351,000

1,162,617,675

Equity Attributable to Equity Holders of the Parent

351,431,525

1,170,117,984

Share capital

14

80,476,074

80,476,074

Share capital adjustment differences

1,019,983,195

1,019,983,195

Treasury shares

(137,596,703)

(137,596,703)

Share premiums

Accumulated other comprehensive expenses

1,343,495,610

1,343,495,610

not to be reclassified to profit or loss

(388,962,620)

(296,997,144)

Remeasurement losses of defined benefit plans

(388,962,620)

(296,997,144)

Restricted reserves appropriated from profit

14

232,822,586

232,822,586

Effect of mergers involving entities or businesses under common control

607,369,496

607,369,496

Prior years' profit

(1,679,435,130)

281,288,919

Net loss for the period (-)

14

(726,720,983)

(1,960,724,049)

Non-controlling interests

(34,080,525)

(7,500,309)

Total liabilities and equity

12,105,734,064

13,521,785,430

The accompanying notes form an integral part of these condensed consolidated financial statements.

(Amounts expressed in thousands of Turkish Lira ("TL") in terms of the purchasing power of TL as at 30 June 2025, unless otherwise stated.)

Reviewed

Current Period

Not Reviewed

Current Period

Reviewed

Prior Period

Not Reviewed

Prior Period

1 January-

1 April-

1 January-

1 April-

30 June

30 June

30 June

30 June

Profit or loss

Notes

2025

2025

2024

2024

Revenue

15

18,022,326,819

8,717,792,261

22,839,321,012

11,289,046,384

Cost of sales (-)

15

(15,072,461,254)

(7,291,612,551)

(20,018,731,510)

(9,956,979,998)

Gross profit

2,949,865,565

1,426,179,710

2,820,589,502

1,332,066,386

Marketing, sales and distribution expenses (-)

16, 17

(2,523,981,215)

(1,235,444,603)

(3,006,263,088)

(1,457,478,738)

General administrative expenses (-)

16, 17

(576,957,059)

(281,311,342)

(735,887,548)

(355,607,047)

Other operating income

18

588,719,070

211,472,719

773,905,375

170,430,161

Other operating expenses (-)

18

(1,620,203,586)

(775,288,280)

(1,801,083,575)

(713,267,507)

O perating loss (-)

(1,182,557,225)

(654,391,796)

(1,948,739,334)

(1,023,856,745)

Income from investment activities

19

90,386,479

31,785,675

251,371,480

116,449,141

Expenses from investment activities (-)

19

(18,246,142)

(17,531,296)

(17,715,065)

(17,662,875)

O perating loss before finance expense (-)

(1,110,416,888)

(640,137,417)

(1,715,082,919)

(925,070,479)

Finance expenses (-)

20

(800,718,531)

(387,773,574)

(845,702,536)

(407,272,187)

Monetary gain

1,237,177,026

529,251,846

1,588,264,715

613,756,692

(Loss) before tax from continuing operations

(673,958,393)

(498,659,145)

(972,520,740)

(718,585,974)

Tax expense from continuing operations (-)

(77,778,156)

34,425,219

137,719,455

213,336,605

Tax expense for the period (-)

21

-

-

-

-

Deferred tax income (-)

21

(77,778,156)

34,425,219

137,719,455

213,336,605

Net loss for the period (-)

(751,736,549)

(464,233,926)

(834,801,285)

(505,249,369)

Distribution of net loss for the period (-)

Non-controlling interests

(25,015,566)

(19,033,132)

(14,588,730)

(7,589,758)

Equity holders of the Parent

(770,769,683)

(445,200,794)

(820,212,555)

(497,659,611)

Loss per share (TL)

22

(9.030)

(5,532)

(10.192)

(6.184)

O ther comprehensive expense

(93,530,126)

(56,142,820)

(37,502,388)

(20,880,188)

Actuarial loss not to be reclassified to profit or loss

14

(127,497,308)

(77,647,564)

(50,397,595)

(28,175,869)

Deferred tax income related to other comprehensive income

21

33,967,182

21,504,744

12,895,207

7,295,681

Total other comprehensive expense (-)

(845,266,675)

(520,376,746)

(872,303,673)

(526,129,557)

Total other comprehensive expense (-)

Non-controlling interests

(26,580,216)

(19,730,742)

(14,588,730)

(6,084,691)

Equity holders of the Parent

(818,686,459)

(500,646,004)

(857,714,943)

(520,044,866)

The accompanying notes form an integral part of these condensed consolidated financial statements.

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