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‫‪COMFAR III Expert‬‬

‫ﺟﺮﻳﺎﻧﺎت ﻧﻘﺪي ﺑﻪ ﻣﻨﻈﻮر ﺑﺮﻧﺎﻣﻪ رﻳﺰي ﻣﺎﻟﻲ ‪ -‬ﻛﻞ‬


‫‪millon rial‬‬
‫ﺑﻬﺮه ﺑﺮداري‬ ‫ﺳﺎﺧﺖ‬ ‫ﺳﺎﺧﺖ‬ ‫ﺳﺎﺧﺖ‬
‫‪4‬‬ ‫‪3‬‬ ‫‪2‬‬ ‫‪1‬‬
‫‪147,164,664.00‬‬ ‫‪14,744,699.50‬‬ ‫‪25,999,494.00‬‬ ‫‪10,678,809.50‬‬ ‫ﻛﻞ ﺟﺮﻳﺎﻧﺎت ﻧﻘﺪي ورودي‬
‫‪12,971,000.00‬‬ ‫‪14,744,699.50‬‬ ‫‪25,999,494.00‬‬ ‫‪10,678,809.50‬‬ ‫ﺟﺮﻳﺎﻧﺎت ورودي وﺟﻮه‬
‫‪134,193,664.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺟﺮﻳﺎﻧﺎت ورودي ﻋﻤﻠﻴﺎﺗﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺳﺎﻳﺮ درآﻣﺪﻫﺎ‬
‫‪106,617,212.78‬‬ ‫‪14,744,699.50‬‬ ‫‪25,999,494.00‬‬ ‫‪10,678,809.50‬‬ ‫ﻛﻞ ﺟﺮﻳﺎﻧﺎت ﻧﻘﺪي ﺧﺮوﺟﻲ‬
‫‪0.00‬‬ ‫‪14,744,699.50‬‬ ‫‪25,999,494.00‬‬ ‫‪10,678,809.50‬‬ ‫اﻓﺰاﻳﺶ در داراﻳﻴﻬﺎي ﺛﺎﺑﺖ‬
‫‪13,677,598.68‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫اﻓﺰاﻳﺶ در داراﻳﻴﻬﺎي ﺟﺎري‬
‫‪77,374,414.10‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻫﺰﻳﻨﻪ ﻫﺎي ﻋﻤﻠﻴﺎﺗﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻫﺰﻳﻨﻪ ﻫﺎي ﺑﺎزارﻳﺎﺑﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻣﺎﻟﻴﺎت ﺑﺮ درآﻣﺪ)ﺷﺮﻛﺖ(‬
‫‪2,594,200.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻫﺰﻳﻨﻪ ﻫﺎي ﺗﺎﻣﻴﻦ ﻣﺎﻟﻲ‬
‫‪12,971,000.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺑﺎزﭘﺮداﺧﺖ وام‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺳﻮد ﺳﻬﺎم‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫اﺳﺘﺮداد ﺣﻘﻮق ﺻﺎﺣﺒﺎن ﺳﻬﺎم‬
‫‪40,547,451.22‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫وﺟﻮه اﺿﺎﻓﻲ )ﻛﺴﺮي(‬
‫‪40,547,451.22‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻣﺎﻧﺪه وﺟﻮه ﻧﻘﺪ ﺗﺠﻤﻌﻲ‬
‫‪73,392,000.00‬‬ ‫‪-10,055,040.00‬‬ ‫‪-16,758,400.00‬‬ ‫‪-6,703,360.00‬‬ ‫وﺟﻮه اﺿﺎﻓﻲ)ﻛﺴﺮي(ﺧﺎرﺟﻲ‬
‫‪-32,844,548.78‬‬ ‫‪10,055,040.00‬‬ ‫‪16,758,400.00‬‬ ‫‪6,703,360.00‬‬ ‫وﺟﻮه اﺿﺎﻓﻲ)ﻛﺴﺮي( داﺧﻠﻲ‬
‫‪39,875,200.00‬‬ ‫‪-33,516,800.00‬‬ ‫‪-23,461,760.00‬‬ ‫‪-6,703,360.00‬‬ ‫ﻣﺎﻧﺪه وﺟﻮه ﻧﻘﺪ ﺗﺠﻤﻌﻲ ﺧﺎرﺟﻲ‬
‫‪672,251.22‬‬ ‫‪33,516,800.00‬‬ ‫‪23,461,760.00‬‬ ‫‪6,703,360.00‬‬ ‫ﻣﺎﻧﺪه وﺟﻮه ﻧﻘﺪ ﺗﺠﻤﻌﻲ داﺧﻠﻲ‬
‫‪-2,594,200.00‬‬ ‫‪14,744,699.50‬‬ ‫‪25,999,494.00‬‬ ‫‪10,678,809.50‬‬ ‫ﺧﺎﻟﺺ ﮔﺮدش وﺟﻮه‬
‫‪COMFAR III Expert‬‬

‫ﺟﺮﻳﺎﻧﺎت ﻧﻘﺪي ﺑﻪ ﻣﻨﻈﻮر ﺑﺮﻧﺎﻣﻪ رﻳﺰي ﻣﺎﻟﻲ ‪ -‬ﻛﻞ‬


‫‪millon rial‬‬
‫ﺑﻬﺮه ﺑﺮداري‬ ‫ﺑﻬﺮه ﺑﺮداري‬ ‫ﺑﻬﺮه ﺑﺮداري‬ ‫ﺑﻬﺮه ﺑﺮداري‬
‫‪8‬‬ ‫‪7‬‬ ‫‪6‬‬ ‫‪5‬‬
‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫‪150,967,872.00‬‬ ‫ﻛﻞ ﺟﺮﻳﺎﻧﺎت ﻧﻘﺪي ورودي‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺟﺮﻳﺎﻧﺎت ورودي وﺟﻮه‬
‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫‪150,967,872.00‬‬ ‫ﺟﺮﻳﺎﻧﺎت ورودي ﻋﻤﻠﻴﺎﺗﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺳﺎﻳﺮ درآﻣﺪﻫﺎ‬
‫‪96,376,694.00‬‬ ‫‪96,336,729.12‬‬ ‫‪98,008,848.60‬‬ ‫‪88,227,954.47‬‬ ‫ﻛﻞ ﺟﺮﻳﺎﻧﺎت ﻧﻘﺪي ﺧﺮوﺟﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫اﻓﺰاﻳﺶ در داراﻳﻴﻬﺎي ﺛﺎﺑﺖ‬
‫‪0.00‬‬ ‫‪-39,964.88‬‬ ‫‪1,632,154.60‬‬ ‫‪1,352,400.42‬‬ ‫اﻓﺰاﻳﺶ در داراﻳﻴﻬﺎي ﺟﺎري‬
‫‪96,376,694.00‬‬ ‫‪96,376,694.00‬‬ ‫‪96,376,694.00‬‬ ‫‪86,875,554.05‬‬ ‫ﻫﺰﻳﻨﻪ ﻫﺎي ﻋﻤﻠﻴﺎﺗﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻫﺰﻳﻨﻪ ﻫﺎي ﺑﺎزارﻳﺎﺑﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻣﺎﻟﻴﺎت ﺑﺮ درآﻣﺪ)ﺷﺮﻛﺖ(‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻫﺰﻳﻨﻪ ﻫﺎي ﺗﺎﻣﻴﻦ ﻣﺎﻟﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺑﺎزﭘﺮداﺧﺖ وام‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺳﻮد ﺳﻬﺎم‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫اﺳﺘﺮداد ﺣﻘﻮق ﺻﺎﺣﺒﺎن ﺳﻬﺎم‬
‫‪71,365,386.00‬‬ ‫‪71,405,350.88‬‬ ‫‪69,733,231.40‬‬ ‫‪62,739,917.53‬‬ ‫وﺟﻮه اﺿﺎﻓﻲ )ﻛﺴﺮي(‬
‫‪315,791,337.04‬‬ ‫‪244,425,951.04‬‬ ‫‪173,020,600.16‬‬ ‫‪103,287,368.76‬‬ ‫ﻣﺎﻧﺪه وﺟﻮه ﻧﻘﺪ ﺗﺠﻤﻌﻲ‬
‫‪91,740,000.00‬‬ ‫‪91,740,000.00‬‬ ‫‪91,740,000.00‬‬ ‫‪82,566,000.00‬‬ ‫وﺟﻮه اﺿﺎﻓﻲ)ﻛﺴﺮي(ﺧﺎرﺟﻲ‬
‫‪-20,374,614.00‬‬ ‫‪-20,334,649.12‬‬ ‫‪-22,006,768.60‬‬ ‫‪-19,826,082.47‬‬ ‫وﺟﻮه اﺿﺎﻓﻲ)ﻛﺴﺮي( داﺧﻠﻲ‬
‫‪397,661,200.00‬‬ ‫‪305,921,200.00‬‬ ‫‪214,181,200.00‬‬ ‫‪122,441,200.00‬‬ ‫ﻣﺎﻧﺪه وﺟﻮه ﻧﻘﺪ ﺗﺠﻤﻌﻲ ﺧﺎرﺟﻲ‬
‫‪-81,869,862.96‬‬ ‫‪-61,495,248.96‬‬ ‫‪-41,160,599.84‬‬ ‫‪-19,153,831.24‬‬ ‫ﻣﺎﻧﺪه وﺟﻮه ﻧﻘﺪ ﺗﺠﻤﻌﻲ داﺧﻠﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺧﺎﻟﺺ ﮔﺮدش وﺟﻮه‬
‫‪COMFAR III Expert‬‬

‫ﺟﺮﻳﺎﻧﺎت ﻧﻘﺪي ﺑﻪ ﻣﻨﻈﻮر ﺑﺮﻧﺎﻣﻪ رﻳﺰي ﻣﺎﻟﻲ ‪ -‬ﻛﻞ‬


‫‪millon rial‬‬
‫ﺑﻬﺮه ﺑﺮداري‬ ‫ﺑﻬﺮه ﺑﺮداري‬ ‫ﺑﻬﺮه ﺑﺮداري‬ ‫ﺑﻬﺮه ﺑﺮداري‬
‫‪12‬‬ ‫‪11‬‬ ‫‪10‬‬ ‫‪9‬‬
‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫ﻛﻞ ﺟﺮﻳﺎﻧﺎت ﻧﻘﺪي ورودي‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺟﺮﻳﺎﻧﺎت ورودي وﺟﻮه‬
‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫ﺟﺮﻳﺎﻧﺎت ورودي ﻋﻤﻠﻴﺎﺗﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺳﺎﻳﺮ درآﻣﺪﻫﺎ‬
‫‪104,857,413.88‬‬ ‫‪104,857,413.88‬‬ ‫‪96,376,694.00‬‬ ‫‪96,376,694.00‬‬ ‫ﻛﻞ ﺟﺮﻳﺎﻧﺎت ﻧﻘﺪي ﺧﺮوﺟﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫اﻓﺰاﻳﺶ در داراﻳﻴﻬﺎي ﺛﺎﺑﺖ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫اﻓﺰاﻳﺶ در داراﻳﻴﻬﺎي ﺟﺎري‬
‫‪96,376,694.00‬‬ ‫‪96,376,694.00‬‬ ‫‪96,376,694.00‬‬ ‫‪96,376,694.00‬‬ ‫ﻫﺰﻳﻨﻪ ﻫﺎي ﻋﻤﻠﻴﺎﺗﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻫﺰﻳﻨﻪ ﻫﺎي ﺑﺎزارﻳﺎﺑﻲ‬
‫‪8,480,719.88‬‬ ‫‪8,480,719.88‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻣﺎﻟﻴﺎت ﺑﺮ درآﻣﺪ)ﺷﺮﻛﺖ(‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻫﺰﻳﻨﻪ ﻫﺎي ﺗﺎﻣﻴﻦ ﻣﺎﻟﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺑﺎزﭘﺮداﺧﺖ وام‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺳﻮد ﺳﻬﺎم‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫اﺳﺘﺮداد ﺣﻘﻮق ﺻﺎﺣﺒﺎن ﺳﻬﺎم‬
‫‪62,884,666.12‬‬ ‫‪62,884,666.12‬‬ ‫‪71,365,386.00‬‬ ‫‪71,365,386.00‬‬ ‫وﺟﻮه اﺿﺎﻓﻲ )ﻛﺴﺮي(‬
‫‪584,291,441.28‬‬ ‫‪521,406,775.16‬‬ ‫‪458,522,109.04‬‬ ‫‪387,156,723.04‬‬ ‫ﻣﺎﻧﺪه وﺟﻮه ﻧﻘﺪ ﺗﺠﻤﻌﻲ‬
‫‪91,740,000.00‬‬ ‫‪91,740,000.00‬‬ ‫‪91,740,000.00‬‬ ‫‪91,740,000.00‬‬ ‫وﺟﻮه اﺿﺎﻓﻲ)ﻛﺴﺮي(ﺧﺎرﺟﻲ‬
‫‪-28,855,333.88‬‬ ‫‪-28,855,333.88‬‬ ‫‪-20,374,614.00‬‬ ‫‪-20,374,614.00‬‬ ‫وﺟﻮه اﺿﺎﻓﻲ)ﻛﺴﺮي( داﺧﻠﻲ‬
‫‪764,621,200.00‬‬ ‫‪672,881,200.00‬‬ ‫‪581,141,200.00‬‬ ‫‪489,401,200.00‬‬ ‫ﻣﺎﻧﺪه وﺟﻮه ﻧﻘﺪ ﺗﺠﻤﻌﻲ ﺧﺎرﺟﻲ‬
‫‪-180,329,758.72‬‬ ‫‪-151,474,424.84‬‬ ‫‪-122,619,090.96‬‬ ‫‪-102,244,476.96‬‬ ‫ﻣﺎﻧﺪه وﺟﻮه ﻧﻘﺪ ﺗﺠﻤﻌﻲ داﺧﻠﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺧﺎﻟﺺ ﮔﺮدش وﺟﻮه‬
‫‪COMFAR III Expert‬‬

‫ﺟﺮﻳﺎﻧﺎت ﻧﻘﺪي ﺑﻪ ﻣﻨﻈﻮر ﺑﺮﻧﺎﻣﻪ رﻳﺰي ﻣﺎﻟﻲ ‪ -‬ﻛﻞ‬


‫‪millon rial‬‬
‫ارزش ﻗﺮاﺿﻪ‬ ‫ﺑﻬﺮه ﺑﺮداري‬ ‫ﺑﻬﺮه ﺑﺮداري‬ ‫ﺑﻬﺮه ﺑﺮداري‬
‫‪16‬‬ ‫‪15‬‬ ‫‪14‬‬ ‫‪13‬‬
‫‪25,327,062.31‬‬ ‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫ﻛﻞ ﺟﺮﻳﺎﻧﺎت ﻧﻘﺪي ورودي‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺟﺮﻳﺎﻧﺎت ورودي وﺟﻮه‬
‫‪0.00‬‬ ‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫‪167,742,080.00‬‬ ‫ﺟﺮﻳﺎﻧﺎت ورودي ﻋﻤﻠﻴﺎﺗﻲ‬
‫‪25,327,062.31‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺳﺎﻳﺮ درآﻣﺪﻫﺎ‬
‫‪0.00‬‬ ‫‪104,879,244.51‬‬ ‫‪104,879,244.51‬‬ ‫‪104,857,413.88‬‬ ‫ﻛﻞ ﺟﺮﻳﺎﻧﺎت ﻧﻘﺪي ﺧﺮوﺟﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫اﻓﺰاﻳﺶ در داراﻳﻴﻬﺎي ﺛﺎﺑﺖ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫اﻓﺰاﻳﺶ در داراﻳﻴﻬﺎي ﺟﺎري‬
‫‪0.00‬‬ ‫‪96,376,694.00‬‬ ‫‪96,376,694.00‬‬ ‫‪96,376,694.00‬‬ ‫ﻫﺰﻳﻨﻪ ﻫﺎي ﻋﻤﻠﻴﺎﺗﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻫﺰﻳﻨﻪ ﻫﺎي ﺑﺎزارﻳﺎﺑﻲ‬
‫‪0.00‬‬ ‫‪8,502,550.51‬‬ ‫‪8,502,550.51‬‬ ‫‪8,480,719.88‬‬ ‫ﻣﺎﻟﻴﺎت ﺑﺮ درآﻣﺪ)ﺷﺮﻛﺖ(‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﻫﺰﻳﻨﻪ ﻫﺎي ﺗﺎﻣﻴﻦ ﻣﺎﻟﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺑﺎزﭘﺮداﺧﺖ وام‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺳﻮد ﺳﻬﺎم‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫اﺳﺘﺮداد ﺣﻘﻮق ﺻﺎﺣﺒﺎن ﺳﻬﺎم‬
‫‪25,327,062.31‬‬ ‫‪62,862,835.49‬‬ ‫‪62,862,835.49‬‬ ‫‪62,884,666.12‬‬ ‫وﺟﻮه اﺿﺎﻓﻲ )ﻛﺴﺮي(‬
‫‪798,228,840.70‬‬ ‫‪772,901,778.39‬‬ ‫‪710,038,942.90‬‬ ‫‪647,176,107.40‬‬ ‫ﻣﺎﻧﺪه وﺟﻮه ﻧﻘﺪ ﺗﺠﻤﻌﻲ‬
‫‪0.00‬‬ ‫‪91,740,000.00‬‬ ‫‪91,740,000.00‬‬ ‫‪91,740,000.00‬‬ ‫وﺟﻮه اﺿﺎﻓﻲ)ﻛﺴﺮي(ﺧﺎرﺟﻲ‬
‫‪25,327,062.31‬‬ ‫‪-28,877,164.51‬‬ ‫‪-28,877,164.51‬‬ ‫‪-28,855,333.88‬‬ ‫وﺟﻮه اﺿﺎﻓﻲ)ﻛﺴﺮي( داﺧﻠﻲ‬
‫‪1,039,841,200.00‬‬ ‫‪1,039,841,200.00‬‬ ‫‪948,101,200.00‬‬ ‫‪856,361,200.00‬‬ ‫ﻣﺎﻧﺪه وﺟﻮه ﻧﻘﺪ ﺗﺠﻤﻌﻲ ﺧﺎرﺟﻲ‬
‫‪-241,612,359.30‬‬ ‫‪-266,939,421.61‬‬ ‫‪-238,062,257.10‬‬ ‫‪-209,185,092.60‬‬ ‫ﻣﺎﻧﺪه وﺟﻮه ﻧﻘﺪ ﺗﺠﻤﻌﻲ داﺧﻠﻲ‬
‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫‪0.00‬‬ ‫ﺧﺎﻟﺺ ﮔﺮدش وﺟﻮه‬

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