Arzum Elektrikli Ev Aletleri Sanayi ve Ticaret A.Ş. (ARZUM) Bilanço Tablosu

PRO üyemiz olmadığınız için ARZUM bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122019/12
nakit ve nakit benzerleri
246.799.508170.581.065120.294.841258.834.465367.205.441342.803.195246.425.815165.016.050156.874.711521.185.766208.388.43877.796.62964.724.73394.541.78951.163.28435.015.24039.756.05529.735.8468.202.150
ticari alacaklar
1.959.344.1411.658.094.8121.351.033.3561.378.712.38815.725.0001.553.144.0841.130.0001.000.263.763737.518.886863.188.7621.718.0002.650.0002.837.838316.405.596303.098.1322.630.000314.380.094290.277.157221.802.324
diğer alacaklar
86.563.8955.067.4415.452.0485.197.5303.331.1685.209.4422.202.1562.049.9861.073.8521.740.625693.436585.5123.835.201139.5840114.5004.426.401168.831136.041
stoklar
813.587.403972.893.298890.542.892756.257.620562.420.346596.738.960448.359.536200.279.194238.706.002421.046.284339.617.921265.850.028255.235.801216.502.935219.605.411187.167.133163.624.719134.708.04345.778.365
peşin ödenmiş giderler
118.745161.790.281113.837.792163.275.321258.369.158205.568.16214.370.27179.448.08945.120.3823.402.1223.103.89536.945.181698.372307.89820.071.6571.411.221934.9758.337.0849.363.829
cari dönem vergisiyle ilgili varlıklar
1.159.76579.254.59526.988.9060018.586.6140016.820.82610.127.464004.312.8263.578.046
diğer dönen varlıklar
10.125.48661.314.41111.291.6774.858.43411.728.9281.420.95737.994.2832.622.0972.777.84410.600.97336.854.2472.748.3084.519.6638.091.85211.381.18512.418.04210.910.94610.149.2760
ara toplam
3.222.071.1473.108.995.9032.519.441.5122.567.135.7582.485.513.1812.445.997.4431.770.378.2341.462.904.0201.199.238.9621.894.056.9341.106.065.191851.596.008762.269.638537.392.474605.535.920587.517.676547.407.422477.689.063288.860.755
toplam dönen varlıklar
3.222.071.1473.108.995.9032.519.441.5122.567.135.7582.485.513.1812.723.505.9961.921.281.3251.462.904.0201.199.238.9621.894.056.9341.106.065.191851.596.008762.269.638666.823.194605.535.920587.517.676547.407.422477.689.063288.860.755
toplam varlıklar
3.731.408.2863.598.261.5802.913.500.0422.947.634.1412.849.851.9073.190.274.2702.128.274.4461.603.947.3421.316.623.2732.149.606.9831.208.283.558948.326.347844.846.552743.950.897671.535.309647.847.203605.792.053531.176.242318.157.891
yatırım amaçlı gayrimenkuller
841.469824.159709.561659.183588.410769.779122.650127.843133.033638.138139.392142.160144.817150.400152.000152.800160.000153.600480.034
maddi duran varlıklar
227.537.396238.757.538215.992.816191.170.490178.688.127232.355.35263.349.73756.660.68161.220.544172.454.22750.512.65146.502.14640.114.34940.197.78231.835.65229.501.99627.935.14929.168.63918.422.215
kullanım hakkı varlıkları
117.923.90974.019.33368.288.84469.070.55454.242.37080.093.24950.459.63122.010.2803.227.40916.352.3265.456.9216.659.3316.686.2308.007.2826.309.2457.132.5697.572.7366.776.7363.704.726
maddi olmayan duran varlıklar
72.776.12074.097.75644.225.92840.684.12436.410.26447.555.83917.604.60615.984.25613.768.70532.620.74111.152.38911.154.14310.767.6509.220.6266.658.0125.877.1725.353.3064.930.1343.598.454
ertelenmiş vergi varlığı
90.139.500101.436.19759.026.33862.518.17977.268.66374.803.19059.956.22636.636.00125.369.77820.253.79030.135.11927.776.70021.327.65815.440.71517.235.93413.623.76910.518.4659.819.3342.564.345
toplam duran varlıklar
509.337.139489.265.677394.058.530380.498.383364.338.726466.768.274206.993.121141.043.322117.384.311255.550.049102.218.36796.730.33982.576.91477.127.70365.999.38960.329.52758.384.63153.487.17929.297.136
kısa vadeli borçlanmalar
1.972.183.6571.940.387.2751.577.967.0101.435.323.8191.221.934.5531.309.615.878736.739.258506.480.410523.898.1901.047.099.709560.335.703293.292.239280.194.602237.283.547227.180.704181.853.906145.946.530113.026.17565.830.099
uzun vadeli borçlanmaların kısa vadeli kısımları
70.669.387000020.009.39120.004.98315.013.77600
ticari borçlar
1.307.937.8481.228.959.387834.206.931901.408.5401.012.873.1011.057.738.304772.760.233492.932.022378.504.479558.406.192329.827.333300.465.343216.405.482227.053.2200237.207.176221.055.402217.039.371119.251.935
toplam yükümlülükler
3.510.300.8413.299.572.9832.580.351.9662.512.749.9122.364.768.8042.512.189.0381.820.270.4941.277.550.7251.093.740.4721.714.453.8191.008.597.752742.773.539634.487.259568.316.653518.034.717487.223.275447.346.735399.399.562219.436.510
çalışanlara sağlanan faydalar kapsamında borçlar
22.628.3264.855.7184.532.3774.446.59410.908.6924.270.9423.103.3064.843.8333.368.6232.427.4401.314.8621.078.3141.475.379701.789665.029602.0685.553.7944.068.631879.597
diğer borçlar
0330.241000682.3490171.00764.841231.17000060.79000024.605236.031
kısa vadeli karşılıklar
41.857.88124.041.41923.203.42737.745.41929.321.47551.820.45727.502.26521.454.89815.572.39845.870.85418.105.04716.047.44711.743.27913.861.12912.905.84510.666.8018.399.48316.262.4596.286.248
diğer kısa vadeli yükümlülükler
30.804.05819.373.33242.939.65626.098.0954.766.29821.869.5138.407.64621.356.28612.571.20029.346.0884.202.7047.535.8017.135.9743.177.1382.413.357198.7041.632.2701.502.1111.446.960
toplam kısa vadeli yükümlülükler
3.446.081.1573.217.947.3722.495.546.0552.430.640.8072.322.439.8442.445.997.4431.770.378.2341.248.855.7451.081.320.7381.689.657.685997.059.852724.383.877613.343.080537.392.474487.196.390476.082.147426.356.753389.831.204213.046.796
uzun vadeli borçlanmalar
34.940.80053.767.82461.595.48354.902.11322.691.87439.333.37134.997.41113.575.989267.8961.400.4501.576.6637.503.69312.699.05823.927.71523.315.4754.046.86913.931.0994.215.6571.887.616
uzun vadeli karşılıklar
29.278.88427.857.78723.210.42827.206.99219.637.08626.858.22414.894.84915.118.99112.151.83823.395.6849.961.23710.885.9698.445.1216.996.4647.522.8527.094.2597.058.8835.352.7014.502.098
toplam uzun vadeli yükümlülükler
64.219.68481.625.61184.805.91182.109.10542.328.96066.191.59549.892.26028.694.98012.419.73424.796.13411.537.90018.389.66221.144.17930.924.17930.838.32711.141.12820.989.9829.568.3586.389.714
toplam kaynaklar
3.731.408.2863.598.261.5802.913.500.0422.947.634.1412.849.851.9073.190.274.2702.128.274.4461.603.947.3421.316.623.2732.149.606.9831.208.283.558948.326.347844.846.552743.950.897671.535.309647.847.203605.792.053531.176.242318.157.891
ana ortaklığa ait özkaynaklar
221.107.445298.688.597333.148.076434.884.229485.083.103678.085.232308.003.952326.396.617222.882.801435.153.164199.685.806205.552.808210.359.293175.634.244153.500.592160.623.928158.445.318131.776.68098.721.381
toplam özkaynaklar
221.107.445298.688.597333.148.076434.884.229485.083.103678.085.232308.003.952326.396.617222.882.801435.153.164199.685.806205.552.808210.359.293175.634.244153.500.592160.623.928158.445.318131.776.68098.721.381