AHLATCI DOĞAL GAZ DAĞITIM ENERJİ VE YATIRIM A.Ş. (AHGAZ) Bilanço Tablosu

PRO üyemiz olmadığınız için AHGAZ bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122021/12
nakit ve nakit benzerleri
15.326.530.00011.993.988.59215.664.052.29512.236.583.9943.692.023.2231.830.075.0718.477.793.18512.245.397.9737.908.084.1064.121.800.2104.391.905.0756.101.656.156269.886.357
finansal yatırımlar
5.000.0003.957.532.0001.250.0001.867.710.5313.199.357.9993.999.237.806726.417.003160.755.65515.0000
ticari alacaklar
1.861.218.6671.600.472.1383.497.729.0105.734.317.7911.450.420.5021.386.241.0952.089.197.8313.403.108.378859.119.0371.200.149.6161.845.248.8344.156.191.322835.903.327
finans sektörü faaliyetlerinden alacaklar
40.604.909.00035.324.063.00025.877.548.00028.891.227.99513.711.660.0005.806.806.6212.210.659.0350
türkiye cumhuriyet merkez bankası hesabı
11.797.382.0008.344.608.000408.266.0005.135.622.9101.103.174.000478.392.0001.683.456
diğer alacaklar
10.456.07360.958.27958.675.0484.029.1522.418.8446.227.222587.2641.434.47940.253.651515.71354.152.1951.342.5571.393.874
türev araçlar
456.428.00028.208.000118.351.00032.794.82024.181.0000
stoklar
216.375.739224.320.407257.346.664308.965.314165.398.661133.439.231128.759.319118.466.11987.134.64576.435.23881.661.452122.254.84722.000.649
peşin ödenmiş giderler
103.990.000149.196.157375.278.250269.285.59073.453.236100.123.14579.503.03093.604.98226.375.79738.388.37239.768.27546.061.42620.481.099
cari dönem vergisiyle ilgili varlıklar
102.393.86796.009.73183.471.380816.149.142329.205.09855.844.88116.420.97138.676.8556.790.7505.905.191922.41682.542.6591.365.020
diğer dönen varlıklar
1.136.672.8731.060.774.116965.788.1851.427.794.356842.797.932745.501.041312.619.801475.777.98888.061.63928.068.94016.645.826207.211.17243.912.946
ara toplam
77.569.812.81462.840.130.42049.354.637.83256.781.325.98024.128.364.17914.541.888.11314.413.430.42512.950.197.2805.710.500.5164.658.761.0985.421.590.8589.789.004.0691.625.478.320
toplam dönen varlıklar
76.869.713.91962.840.130.42049.354.637.83256.781.325.98024.641.697.79514.541.888.11314.413.430.42516.711.218.4399.015.819.6255.507.725.3326.430.304.07310.768.102.6681.625.478.320
toplam varlıklar
171.771.138.779150.387.234.459110.757.784.157126.191.467.24772.757.756.47858.112.151.31849.336.234.50161.973.224.61125.346.211.07820.477.694.49817.320.837.88629.546.314.3353.548.863.943
maddi duran varlıklar
89.016.826.86182.193.570.99056.915.037.69564.576.054.02845.108.654.98940.880.269.30632.739.573.44440.786.890.35115.304.836.60514.836.708.43610.723.249.07717.656.761.7401.370.648.672
kullanım hakkı varlıkları
532.391.783351.970.901299.190.577326.475.968430.860.678443.617.744205.294.732156.528.46312.884.50114.213.15316.055.81046.949.0128.529.693
maddi olmayan duran varlıklar
3.737.597.8753.465.328.0973.245.930.1423.727.152.2722.043.109.7251.851.406.5001.678.756.8662.097.734.165885.172.97595.172.70491.670.335286.038.55561.713.736
ertelenmiş vergi varlığı
1.501.172.0651.349.763.637699.225.380774.861.977529.764.447391.245.683297.341.7702.096.318.42948.143.28823.359.16059.053.141787.119.803481.099.648
toplam duran varlıklar
94.901.424.86087.547.104.03961.403.146.32569.410.141.26748.116.058.68343.570.263.20534.922.804.07645.262.006.17216.330.391.45314.969.969.16610.890.533.81318.778.211.6671.923.385.623
toplam yükümlülükler
102.028.638.47585.884.605.52064.935.151.65075.917.412.85736.933.002.48025.184.786.52019.780.051.87326.244.880.9768.585.126.7016.989.846.9606.970.605.43715.015.451.6263.892.986.681
kısa vadeli borçlanmalar
3.255.074.9833.534.669.8823.084.714.6623.038.377.8232.061.748.1751.162.163.5701.148.604.5781.551.987.776426.421.667517.483.232382.065.406753.470.8880
uzun vadeli borçlanmaların kısa vadeli kısımları
542.882.211511.409.966509.063.447560.346.274384.418.608304.977.292149.733.873193.165.456113.212.21730.137.50130.872.39346.167.717120.459.617
ticari borçlar
2.924.771.5682.388.971.3324.500.263.6116.258.783.7001.952.159.8901.521.632.7652.352.085.9043.807.022.0051.151.898.977844.284.7711.908.925.3924.312.109.385886.977.144
finans sektörü faaliyetlerinden borçlar
51.017.598.06043.524.935.000635.779.00028.543.346.52510.879.766.6282.723.111.0081.905.875.3750
çalışanlara sağlanan faydalar kapsamında borçlar
126.451.317122.405.51680.239.486191.715.66674.332.99789.833.51870.916.86865.346.21224.854.00117.189.09427.486.52451.370.31711.285.880
diğer borçlar
17.495.254.9412.842.4059.957.006.98711.028.405.9772.342.4052.342.4032.342.4039.995.7093.591.260.6062.355.4031.388.0009.453.5051.271.269.739
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
1.052.219.4298.271.412.2357.471.769.5468.526.974.864645.062.8785.576.741.8895.034.264.536604.848.198123.984.9681.102.932.96488.309.0644.017.541.82854.727.686
dönem karı vergi yükümlülüğü
656.970.125645.233.904528.961.395721.170.657249.952.045103.892.928228.657.269323.967.285252.757.19962.437.61781.136.441117.335.4035.170.049
kısa vadeli karşılıklar
300.844.180781.464.706544.918.468531.032.058247.115.580135.340.45273.209.21471.833.80326.110.88121.875.35020.802.22027.128.5117.881.319
toplam kısa vadeli yükümlülükler
77.569.812.81463.050.779.31847.996.765.45751.804.045.21524.128.364.17913.429.945.87011.755.669.94912.950.197.2805.710.500.5164.658.761.0985.421.590.8589.789.004.0692.383.892.937
toplam kaynaklar
171.771.138.779150.387.234.459110.757.784.157126.191.467.24772.757.756.47858.112.151.31849.336.234.50161.973.224.61125.346.211.07820.477.694.49817.320.837.88629.546.314.3353.548.863.943
uzun vadeli borçlanmalar
4.382.275.1814.057.703.8453.725.418.7234.225.408.6621.595.822.3301.369.338.129197.456.219242.540.239160.566.56642.544.68247.898.33084.874.310813.828.260
uzun vadeli karşılıklar
193.968.278185.069.987161.601.130160.801.869124.632.341121.358.31798.664.792115.683.37764.590.96643.210.77439.224.24246.322.05215.446.129
ertelenmiş vergi yükümlülüğü
10.173.813.1189.941.592.7304.941.475.3896.843.445.2122.045.485.3132.414.095.9122.691.653.9746.618.594.2391.324.546.8621.140.042.039471.530.3701.068.255.8623.780.290
toplam uzun vadeli yükümlülükler
24.458.825.66122.833.826.20216.938.386.19324.113.367.64212.804.638.30111.754.840.6508.024.381.92413.294.683.6962.874.626.1852.331.085.8621.549.014.5795.226.447.5571.509.093.744
ana ortaklığa ait özkaynaklar
44.990.532.25341.673.578.21930.022.953.56832.955.054.01823.106.077.37421.558.786.23419.417.165.75323.549.231.75512.243.431.82112.007.428.8219.302.472.89512.420.023.198-330.873.652
kontrol gücü olmayan paylar
24.751.968.05122.829.050.72015.799.678.93917.319.000.37212.718.676.62411.368.578.56410.139.016.87512.179.111.8804.517.652.5561.480.418.7171.047.759.5542.110.839.511-13.249.086
toplam özkaynaklar
69.742.500.30464.502.628.93945.822.632.50750.274.054.39035.824.753.99832.927.364.79829.556.182.62835.728.343.63516.761.084.37713.487.847.53810.350.232.44914.530.862.709-344.122.738