Asset Distribution as of September, 2011
| Financial Information 30.09.2011 |
Million TRY |
% |
| Liquid Assets |
154 |
8 % |
| Marketable Securities |
144 |
7 % |
| Loans & Leasing Receivables |
1.377 |
70 % |
| Other Assets |
297 |
15 % |
| Million TRY |
30.09.2011(*) |
31.12.2010(*) |
| Total Assets |
1.972 |
1.624 |
| Total Loans |
1.375 |
1.127 |
| Leasing Receivables,net |
2 |
7 |
| Total Marketable Securities |
144 |
115 |
| Total Liquid Assets (excluding marketable securities) |
154 |
164 |
| Paid-in Capital-nominal amount |
337 |
337 |
| Total Equity |
465 |
468 |
| Total Equity/Total Assets |
0 |
28.8 % |
| Liquidity Ratio |
0 |
17.2 % |
| Total Non-cash Loans |
471 |
502 |
| Capital Adequacy Ratio |
0 |
30.15 % |
(*)Unconsolidated Financials