Ata Gayrimenkul Yatırım Ortaklığı A.Ş. (ATAGY) Bilanço Tablosu

PRO üyemiz olmadığınız için ATAGY bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/12
nakit ve nakit benzerleri
40.435.83060.706.34664.310.89950.428.23245.331.61740.390.97856.111.9712.163.3746.781.24811.896.70133.210.2069.203.22922.752.7673.420.8053.141.9354.042.2267.247.834578.5713.458.55357.210.1818.931.48410.731.0034.370.5543.671.260366.3314.746.20412.737.019
ticari alacaklar
4.108.4403.479.0833.145.2992.647.3282.843.9252.029.0548.146.4683.530.275961.454675.612888.669834.75756.571563.744550.97251.10314.48018.24079.25865.13187.72693.1652.36039.02931.4172.3605.336
diğer alacaklar
1.113.09970.120122.221143.611139.70426.952135.052168.183064.793180.89815.3611.93218.08616.27616.67343.7322.23510.3514.48343627020323.39401.17416.900
peşin ödenmiş giderler
901.0671.177.149322.185644.6810640.25232.663623.508262.90152.934290.782118.300153.367193.588140.741162.933169.190176.973156.665219.802137.044262.717371.495211.432321.385451.157412.202
cari dönem vergisiyle ilgili varlıklar
0828.1551.230.157717.173349.107162.17984.81511.64411.6440
ara toplam
46.558.43666.260.85369.130.7612.693.50349.157.6713.529.13411.786.1929.371.48411.797.52416.065.38838.776.26912.001.40922.964.63752.409.2116.632.7214.250.5687.475.23651.261.96751.269.96257.395.9089.156.69011.087.15553.661.6843.945.11554.375.2155.200.89556.505.839
toplam dönen varlıklar
46.558.43666.260.85369.130.76154.581.02549.157.67143.373.57465.975.0329.371.48411.797.52416.065.38838.776.26912.001.40922.964.6374.196.2236.632.7214.250.5687.475.236769.2743.704.82757.395.9089.156.69011.087.1554.744.6123.945.115719.1335.200.89514.924.975
yatırım amaçlı gayrimenkuller
706.410.159637.756.500676.065.159526.221.813483.131.359445.668.891557.565.710292.909.771284.622.000223.271.883361.300.87489.558.62198.579.929109.490.398120.135.25081.819.86081.814.29181.743.78181.656.00074.526.00074.501.64974.501.60382.567.00083.232.48388.803.21987.345.88078.134.000
maddi duran varlıklar
231.994128.863114.47341.33838.42723.71262.46023.47426.43731.55392.80440.44621.58325.35628.83132.60636.55940.51229.98312.22713.84415.97012.89617.92722.95827.98933.083
kullanım hakkı varlıkları
343.686483.688679.941686.232756.595813.4081.165.542257.342284.915312.4871.209.815367.632395.204422.777450.3490
toplam varlıklar
753.580.114704.646.676746.010.920581.530.408533.084.052489.879.585624.801.407302.666.388296.762.655239.734.245401.670.544102.086.408122.060.953114.409.795127.537.46387.559.70990.802.01184.052.70486.955.492133.473.55085.221.38586.996.60590.263.70290.448.08293.871.75496.622.599100.529.319
maddi olmayan duran varlıklar
35.83916.77220.5860000
toplam duran varlıklar
707.021.678638.385.823676.880.159526.949.383483.926.381446.506.011558.826.375293.294.904284.965.131223.668.857362.894.27590.084.99999.096.316110.213.572120.904.74283.309.14183.326.77583.283.43083.250.66576.077.64276.064.69575.909.45085.519.09086.502.96793.152.62191.421.70485.604.344
uzun vadeli borçlanmaların kısa vadeli kısımları
83.300117.206160.823133.577129.446125.485175.569117.842266.784379.823223.383123.67397.80594.8450052.196.31652.934.72352.368.33454.864.828
ticari borçlar
1.974.2871.259.7651.396.0581.701.1031.717.3802.895.15310.356.3912.939.9562.458.0172.677.6834.029.3932.209.2401.681.3331.688.8521.791.7791.627.0341.459.9011.197.858973.9041.184.56901.213.7281.535.7891.275.9361.310.735583.8651.149.910
çalışanlara sağlanan faydalar kapsamında borçlar
555.062505.717379.603370.787314.232267.851356.290423.8681.229.4971.271.333255.874143.352102.33089.31069.44983.83371.46652.688260.17330.81418.640124.823124.517123.32399.15072.749110.119
diğer borçlar
1.079.684887.327566.984400.509501.602155.228819.0163.104.409245.8994.277.0121.304.5493.570.5801.861.51817.30313.9536.18711.4216.21210.1288.63526.59550.62050.82690.426267.272
dönem karı vergi yükümlülüğü
506.9490
kısa vadeli karşılıklar
263.892287.427180.3720
toplam yükümlülükler
92.850.91095.591.07890.079.5525.471.8365.676.8736.496.27814.969.59114.749.4167.399.1346.169.52511.765.96430.805.04657.147.03353.487.87176.903.31062.382.55062.150.60351.850.52251.780.741102.535.68552.458.85952.672.41154.032.60353.964.82954.688.55053.484.58856.773.153
toplam kısa vadeli yükümlülükler
4.588.2233.162.8562.808.8892.693.5032.755.2563.529.13411.786.19212.774.8655.956.8914.461.6998.942.10229.213.40055.768.38652.409.21175.815.83061.762.83061.537.55451.261.96751.269.962102.266.56452.192.66652.418.02453.661.68453.646.40154.375.21553.172.22956.505.839
uzun vadeli borçlanmalar
0014.32548.34983.300117.207216.739181.926212.7460178.764189.796296.314353.394379.1570
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
125.04961.490125.04994.821123.461135.24378.92664.4500000056.855113.710
uzun vadeli karşılıklar
281.508180.771190.8882.635.1632.714.8562.714.6942.821.9631.663.7252.645.0981.401.850725.266708.323619.720613.049588.555510.779269.121266.193254.387370.919318.428313.335312.359267.314
ertelenmiş vergi yükümlülüğü
87.939.49692.185.96186.961.2430
toplam uzun vadeli yükümlülükler
88.262.68792.428.22287.270.6632.778.3332.921.6172.967.1443.183.3991.974.5511.442.2431.707.8262.823.8621.591.6461.378.6471.078.6601.087.480619.720613.049588.555510.779269.121266.193254.387370.919318.428313.335312.359267.314
toplam kaynaklar
753.580.114704.646.676746.010.920581.530.408533.084.052489.879.585624.801.407302.666.388296.762.655239.734.245401.670.544102.086.408122.060.953114.409.795127.537.46387.559.70990.802.01184.052.70486.955.492133.473.55085.221.38586.996.60590.263.70290.448.08293.871.75496.622.599100.529.319
ana ortaklığa ait özkaynaklar
660.729.204609.055.598655.931.368576.058.572527.407.179483.383.307609.831.816287.916.972289.363.521233.564.720389.904.58071.281.36264.913.92060.921.92450.634.15325.177.15928.651.40832.202.18235.174.75130.937.86532.762.52634.324.19436.231.09936.483.25339.183.20443.138.01143.756.166
toplam özkaynaklar
660.729.204609.055.598655.931.368576.058.572527.407.179483.383.307609.831.816287.916.972289.363.521233.564.720389.904.58071.281.36264.913.92060.921.92450.634.15325.177.15928.651.40832.202.18235.174.75130.937.86532.762.52634.324.19436.231.09936.483.25339.183.20443.138.01143.756.166