Page 115 - BKT Annual Report 2024 EN
P. 115

Notes to the Consolidated Financial Statements for the year ended 31 December 2024  Notes to the Consolidated Financial Statements for the year ended 31 December 2024
 (amounts in USD, unless otherwise stated)                                                (amounts in USD, unless otherwise stated)




 9. INVESTMENT SECURITIES   Available-for-sale securities as of 31 December 2023 comprise as follows:
 Investment securities as of 31 December 2024 and 31 December 2023 are presented as follows:
                                                                                                            Fair
          Type                       Nominal      Unamortized         Accrued  Marked to market gain/      Value
                                       value
                                                     discount
                                                                       interest
                                                                                            (loss)
  31 December 2024   31 December 2023  ALL denominated   90,808,477   94,032   1,576,503    9,525      92,488,537
          USD denominated         254,900,180         (350,644)       2,940,936         (16,106,364)  241,384,108
 Investment securities - measured at FVOCI (Treasury bills available-for-sale)  18,681,649                   6,835,007   EUR denominated  765,569,533    (4,407,528)  7,856,203    (44,193,312)  724,824,896
          TRY denominated            991,000                         -       15,779        (50,535)      956,244
 Investment securities - measured at FVOCI (Available-for-sale securities)  1,346,295,724           1,096,805,550   CAD denominated  6,558,536                      -                             -       2,811,937   9,370,473
          GBP denominated          25,135,883         274,825          305,628            (844,631)    24,871,705
 Investment securities - measured at FVTPL (Treasury bills available-for-sale)  1,051,843  -
          CHF denominated           2,983,287          32,566            9,086            (115,352)     2,909,587
 Investment securities - measured at FVTPL (Held-for-trading securities)  36,912,772                 11,759,570   1,146,946,896    (4,356,749)           12,704,135    (58,488,732)  1,096,805,550
 Investment securities - measured at amortised cost (Treasury bills held to   161,513,803               130,029,841
 maturity)  c) Investment securities - measured at FVTPL (Treasury bills available-for-sale)
 Investment securities - measured at amortised cost (Held-to-maturity   2,090,794,340           2,170,817,396   Treasury bills held for trading by original maturity as of 31 December 2024 are presented as follows, while there have not been any
 securities)  investment as of 31 December 2023:
 Total   3,655,250,131           3,416,247,364
                                                              31 December 2024

          Type                       Purchase Value  Amortized discount  Marked to market gain (loss)   Fair Value
 a) Investment securities - measured at FVOCI (Treasury bills available-for-sale)
 Treasury bills available-for-sale by original maturity as of 31 December 2024 and 31 December 2023 are presented as follows:  12 months   1,021,767    27,733    2,343    1,051,843
                                          1,021,767             27,733                   2,343          1,051,843
 31 December 2024
 Purchase  Amortized  Marked to market gain   Fair  d) Investment securities - measured at FVTPL (Held-for-trading securities)
 Value  discount  (loss)  Value  Held for trading securities as of 31 December 2024 comprise as follows:
  18,431,857    245,117    4,675    18,681,649
 12 months  Type                Nominal value  Unamortizeddiscount  Accrued interest  Marked to market   Fair Value
  18,431,857    245,117    4,675    18,681,649
          ALL denominated          11,192,446             113,654          235,938         281,188     11,823,226
          USD denominated          15,150,000            (260,766)          229,378       (413,484)    14,705,128
 31 December 2023
                                                               -
                                                                                             7,023
 Purchase  Amortized  Marked to market gain   Fair  EUR denominated     10,412,688    (147,112)   (35,293)   (125,273)   10,384,418
                                   36,755,134
                                                                           430,023
                                                                                                       36,912,772
 Value  discount  (loss)  Value
 6,661,745              170,272                  2,990           6,835,007
 12 months  Held for trading securities as of 31 December 2023 comprise as follows:
 6,661,745              170,272                  2,990           6,835,007
          Type                  Nominal value Unamortized discount  Accrued interest  Marked to market   Net Value
 b) Investment securities - measured at FVOCI (Available-for-sale securities)  ALL denominated  11,190,121   218,586   231,263                   119,600   11,759,570
 Available-for-sale securities as of 31 December 2024 comprise as follows:  11,190,121   218,586   231,263                   119,600   11,759,570

 Fair
 Type  Nominal  Unamortized   Accrued Marked to market gain/   Value  e) Investment securities - measured at amortised cost (Treasury bills held to maturity)
 value
 discount
 (loss)
 interest
          Held-to-maturity treasury bills as of 31 December 2024 comprise as follows:
 ALL denominated    234,449,395    1,517,631    4,367,591    5,857,490    246,192,107
                                                              31 December 2024
 USD denominated    329,263,034    (3,540,888)   5,324,020    (26,237,992)   304,808,174
                                          Purchase     Amortized discount        Impairment            Net Value
 EUR denominated    783,950,390    (8,513,600)   7,765,719    (29,483,353)   753,719,156        156,938,270                 4,662,696                  (87,163)       161,513,803
          12 months
 TRY denominated    832,347    -      19,172    (51,123)   800,396     156,938,270               4,662,696                (87,163)    161,513,803
 CAD denominated    6,048,242    -      -      46,535    6,094,777
          Held-to-maturity treasury bills as of 31 December 2023 comprise as follows:
 GBP denominated    32,592,404    (963,618)   590,917    (307,648)   31,912,055
                                                              31 December 2023
 CHF denominated   2,765,489    12,870    8,424    (17,724)   2,769,059   Purchase  Amortized discount  Impairment  Net Value
  1,389,901,301    (11,487,605)   18,075,843    (50,193,815)   1,346,295,724   126,532,469   3,851,392         (354,020)       130,029,841
          12 months
                                        126,532,469           3,851,392               (354,020)        130,029,841


            ANNUAL REPORT 2024                                                                                60
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