94
              
            
            
              CONVENIENCE TRANSLATION OF PUBLICLY ANNOUNCED  UNCONSOLIDATED FINANCIAL
            
            
              STATEMENTS ORIGINALLY ISSUED IN TURKISH, SEE NOTE I OF SECTION THREE
            
            
              AUDITED
            
            
              AUDITED
            
            
              Footnotes CURRENT PERIOD PRIOR PERIOD
            
            
              (31/12/2013)
            
            
              (31/12/2012)
            
            
              A.
            
            
              CASH FLOWS FROM BANKING OPERATIONS
            
            
              1.1 Operating Profit Before Changes in Operating Assets and Liabilities
            
            
              50,800
            
            
              169,086
            
            
              1.1.1 Interests Received
            
            
              116,650
            
            
              129,240
            
            
              1.1.2 Interest Paid
            
            
              (20,600)
            
            
              (31,605)
            
            
              1.1.3 Dividend Received
            
            
              44
            
            
              54
            
            
              1.1.4 Fees and Commissions Received
            
            
              35,409
            
            
              39,780
            
            
              1.1.5 Other Income
            
            
              1,432
            
            
              1,315
            
            
              1.1.6 Collections From Previously Written-off Loans and Other Receivables
            
            
              43
            
            
              177
            
            
              1.1.7 Payments to Personnel and Service Suppliers
            
            
              (44,557)
            
            
              (43,976)
            
            
              1.1.8 Taxes Paid
            
            
              (9,136)
            
            
              (17,098)
            
            
              1.1.9 Others
            
            
              (3)
            
            
              (28,485)
            
            
              91,199
            
            
              1.2 Changes in Operating Assets and Liabilities
            
            
              (276,425)
            
            
              (299,030)
            
            
              1.2.1 Net Decrease in Financial Assets Held For Trading
            
            
              102,863
            
            
              (32,611)
            
            
              1.2.2 Net (Increase) Decrease in Financial Assets Valued at Fair Value Through
            
            
              Profit or Loss
            
            
              -
            
            
              -
            
            
              1.2.3 Net Decrease in Due From Banks and Other Financial Institutions
            
            
              (58,667)
            
            
              (65,352)
            
            
              1.2.4 Net (Increase) in Loans
            
            
              (691,828)
            
            
              129,671
            
            
              1.2.5 Net Decrease in Other Assets
            
            
              (3)
            
            
              (2,981)
            
            
              (5,685)
            
            
              1.2.6 Net Increase /(Decrease) in Bank Deposits
            
            
              1,350,670
            
            
              (925,480)
            
            
              1.2.7 Net Increase (Decrease) in Other Deposits
            
            
              194,482
            
            
              11,354
            
            
              1.2.8 Net Increase/ (Decrease) in Funds Borrowed
            
            
              (1,211,873)
            
            
              791,813
            
            
              1.2.9 Net Increase/ (Decrease) in Matured Payables
            
            
              -
            
            
              -
            
            
              1.2.10 Net Increase in Other Liabilities
            
            
              (3)
            
            
              40,909
            
            
              (202,740)
            
            
              I.
            
            
              Net Cash Flow From Banking Operations
            
            
              (225,625)
            
            
              (129,944)
            
            
              B.
            
            
              CASH FLOWS FROM INVESTING ACTIVITIES
            
            
              II.
            
            
              Net Cash Flow From Investing Activities
            
            
              (40,655)
            
            
              58,439
            
            
              2.1 Cash Paid For Purchase of Associates. Subsidiaries. and Joint-Ventures
            
            
              (15,492)
            
            
              -
            
            
              2.2 Cash Obtained From Sale of Associates. Subsidiaries and Joint-Ventures
            
            
              -
            
            
              -
            
            
              2.3 Purchases of Tangible Assets
            
            
              (533)
            
            
              (2,511)
            
            
              2.4 Sales of Tangible Assets
            
            
              340
            
            
              18
            
            
              2.5 Cash Paid For Purchase of Financial Assets Available-For-Sale
            
            
              -
            
            
              (54)
            
            
              2.6 Cash Obtained From Sale of Financial Assets Available-For-Sale
            
            
              -
            
            
              334
            
            
              2.7 Cash Paid For Purchase of Investments Held-to-Maturity
            
            
              (77,981)
            
            
              (83,489)
            
            
              2.8 Cash Obtained From Sale of Investments Held-to-Maturity
            
            
              54,556
            
            
              144,735
            
            
              2.9 Others
            
            
              (1,545)
            
            
              (594)
            
            
              C.
            
            
              CASH FLOWS FROM FINANCING ACTIVITIES
            
            
              III.
            
            
              Net Cash Flows From Financing Activities
            
            
              -
            
            
              -
            
            
              3.1 Cash Obtained From Funds Borrowed and Securities Issued
            
            
              -
            
            
              -
            
            
              3.2 Cash Used For Repayment of Funds Borrowed and Securities Issued
            
            
              -
            
            
              -
            
            
              3.3 Equity Instruments Issued
            
            
              -
            
            
              -
            
            
              3.4 Dividends Paid
            
            
              -
            
            
              -
            
            
              3.5 Payments For Financial Leases
            
            
              -
            
            
              -
            
            
              3.6 Others
            
            
              -
            
            
              -
            
            
              IV.
            
            
              Effect of Change in Foreign Exchange Rate On Cash and Cash
            
            
              Equivalents
            
            
              (3)
            
            
              114,389
            
            
              (94,078)
            
            
              V.
            
            
              Net (Decrease)/Increase in Cash and Cash Equivalents
            
            
              (151,891)
            
            
              (165,583)
            
            
              VI.
            
            
              Cash and Cash Equivalents at Beginning of Period
            
            
              (1)
            
            
              1,378,516
            
            
              1,544,099
            
            
              VII.
            
            
              Cash and Cash Equivalents at the End of Period
            
            
              (1)
            
            
              1,226,625
            
            
              1,378,516
            
            
              
                ARAP TÜRK BANKASI A.Ş.
              
            
            
              UNCONSOLIDATED STATEMENT OF CASH FLOW 
            
            
              FOR THE PERIOD ENDED 31 DECEMBER  2013 
            
            
              (Thousands of  Turkish Lira)
            
            
              The accompanying notes are an integral part of these unconsolidated financial statements.