MILLIRE ENG2024

As of December 31, 2024, 2023 the details of the Company’s held for trading assets are as follows. December 31, 2024 Cost Fair value Net book value Investment funds TL 989.976.416 1.197.829.527 1.197.829.527 Investment funds YP 573.285.998 571.764.574 571.764.574 Share 102.624.024 100.257.225 100.257.225 Total 1.665.886.438 1.869.851.326 1.869.851.326 December 31, 2023 Cost Fair value Net book value Investment funds TL 193.284.946 285.486.151 285.486.151 Derivatives (Currency protected deposits) 297.437.000 325.739.000 325.739.000 Total 490.721.946 611.225.151 611.225.151 Debt instruments presented above are traded in the capital markets. As of December 31, 2024, equity shares classified as available for sale financial assets with a carrying amount of TL 91.492 are not publicly traded (December 31, 2023: TL 91.492). There is no debt security issued during the period or issued before and paid during the period by the Company. Value increases in financial assets including equity shares classified as available for sale financial assets and subsidiaries for the last 3 years (including tax effects): Year Change in value increase Total increase in value 2024 288.405.326 1.864.706.704 2023 800.341.979 1.576.301.378 2022 747.941.217 775.959.399 149 2024 Annual Report Millî Reasürans Türk Anonim Şirketi (Currency: Turkish Lira (TL)) Notes to the Unconsolidated Financial Statements As of December 31, 2024 (Convenience Translation of Financial Statements and Related Disclosures and Footnotes Originally Issued in Turkish) GENERAL INFORMATION FINANCIAL RIGHTS PROVIDEDTOTHE MEMBERS OF THE GOVERNING BODY AND SENIOR EXECUTIVES RISKS AND ASSESSMENT OF THE GOVERNING BODY ACTIVITIES AND MAJOR DEVELOPMENTS RELATED TO ACTIVITIES RESEARCH & DEVELOPMENT ACTIVITIES FINANCIAL STATUS FINANCIAL INFORMATION

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