Atlantis Yatırım Holding A.Ş. (ATSYH) Bilanço Tablosu

PRO üyemiz olmadığınız için ATSYH bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/12
nakit ve nakit benzerleri
153.555300.800242.504161.940146.239184.024133.070127.47648.94969.69458.960112.53035.92837.01976.973147.98828.01835.242194.993141.899149.57950.6064.2184.2184.3544.354
ticari alacaklar
39.234.19257.949.86939.289.70247.211.15241.855.58243.550.32326.098.90521.046.76523.055.33729.020.36429.201.19817.593.10228.277.00615.856.16914.274.88214.976.01811.913.77610.412.5257.431.3228.001.97512.109.3307.459.2794.150.4613.503.7232.277.7911.930.972
diğer alacaklar
2.248.7162.475.0092.252.8442.279.9572.501.4453.558.7252.464.8532.504.0502.563.0505.070.9711.461.6301.025.6541.001.8251.001.825822.292805.469779.159806.163895.509888.2961.746.144851.29264.4571.014.662460.2626.458
stoklar
30.662.19625.863.71922.224.97223.721.81922.713.37519.299.86512.509.79611.790.93312.031.47821.276.9618.988.134165.244551.0551.382.290533.540587.6441.012.170774.184780.1811.314.4601.345.0171.965.488422.99400
peşin ödenmiş giderler
04.201.9553.853.0453.973.2763.945.47716.70511.5701.645.0261.915.9051.188.0193.4352.420.5422.420.5422.420.5421.274.6581.216.6931.214.7855.430286.863286.863980.510286.166363.195363.195145.982379.297
cari dönem vergisiyle ilgili varlıklar
12.77714.06312.77700099.61927.5900104.08153.521028.61821.8190
diğer dönen varlıklar
190.599192.016150.57858.96851.37461.91039.63036.93436.46160.54041.78543.43546.962138.946106.905136.292197.466183.378205.994284.419331.124318.59288.50976.07093.25085.775
ara toplam
76.424.79690.997.43168.026.42277.407.11245.548.13451.715.73743.311.03437.151.18439.651.18056.686.54932.995.01621.969.79033.444.21720.836.79117.089.25017.969.72318.580.52016.348.96310.696.86511.473.63916.661.70416.063.0125.122.4524.961.8683.520.1627.335.245
toplam dönen varlıklar
76.424.79690.997.43168.026.42277.407.11271.213.49271.617.87743.311.03437.151.18439.651.18056.686.54939.755.14221.360.50732.333.31820.836.79117.089.25017.969.72315.172.96413.306.49210.696.86511.473.63916.661.70411.351.7155.122.4524.961.8683.520.1622.435.635
toplam varlıklar
165.782.640182.763.575142.888.868149.162.022148.246.894157.627.90451.145.99045.068.91947.465.006116.383.32547.414.10029.132.33239.992.80328.751.00825.025.35225.916.05023.050.90621.184.00919.167.72819.820.00525.067.96619.625.39613.113.11812.997.73313.418.83010.655.842
yatırım amaçlı gayrimenkuller
19.703.36719.804.28717.018.27815.703.85114.559.36918.360.4012.010.7562.020.7482.030.74012.970.8632.050.7242.060.7162.070.7082.080.7002.090.6922.100.6842.118.7052.118.7052.107.1822.118.7052.151.6992.151.6992.168.00102.193.366
maddi duran varlıklar
579.765616.970594.088621.469683.910897.403107.106115.990106.760909.946117.846125.745128.793304.491343.891384.947444.055468.348433.182455.828530.161543.847341.764382.0923.431.785462.697
maddi olmayan duran varlıklar
61.870.86661.870.86552.897.49548.565.66344.800.25556.214.1685.001.5685.001.5685.001.56844.593.0775.001.5685.001.5685.001.5685.006.2605.006.4925.006.7245.007.1885.007.1885.007.3525.007.5165.008.1165.008.1165.001.5685.001.5685.764.7835.001.568
ertelenmiş vergi varlığı
7.203.8469.474.0224.352.5856.863.92716.989.86810.521.350703.956779.429674.7581.222.890488.820583.796458.416522.766495.027453.972307.994277.846636.284477.454283.853283.853479.333473.701556.118556.118
toplam duran varlıklar
89.357.84491.766.14474.862.44671.754.91077.033.40286.010.0277.834.9567.917.7357.813.82659.696.7767.658.9587.771.8257.659.4857.914.2177.936.1027.946.3277.877.9427.877.5178.470.8638.346.3668.406.2628.273.6817.990.6668.035.8659.898.6688.220.207
ticari borçlar
27.162.46444.314.01931.780.92533.264.83729.585.26529.200.05216.580.73312.017.11115.730.99921.545.95923.355.03015.051.51426.325.84015.638.60111.438.38514.148.30111.840.3459.992.4638.759.2749.158.82212.154.0938.564.6694.023.2833.062.4251.974.434421.792
diğer borçlar
7.910.3487.140.1975.867.5175.715.7225.456.4447.039.3499.289.0349.520.6179.191.323549.101412.091412.091412.0915.055.6616.152.984412.0914.277.6976.173.893412.091412.091410.000412.0912.0912.0914.282.8524.587.445
dönem karı vergi yükümlülüğü
338.8961.569.896597.754611.687272.7884.493.7451.603.859939.085727.2978.275.4533.558.082373.78582.748677.653000
toplam yükümlülükler
45.808.93463.748.71447.366.75149.670.83045.816.32451.930.55728.359.11723.240.06326.534.92838.378.51933.478.80022.440.07633.906.45022.859.05819.354.61421.528.78619.024.15216.786.34116.191.32516.506.18221.019.46516.696.45110.235.68210.175.2857.703.5918.245.888
kısa vadeli karşılıklar
151.268166.490151.268151.268151.268287.175122.716122.716151.268249.24966.86066.86066.86066.86066.86066.86028.55228.55232.33032.33032.33032.33032.33032.330032.330
diğer kısa vadeli yükümlülükler
5.856.7976.446.1535.908.8626.037.3506.171.6169.057.8566.899.0670002.170.0962.091.9831.985.9311.880.3951.403.4391.575.7191.229.9491.250.882987.6431.181.103
toplam kısa vadeli yükümlülükler
44.264.27362.520.64146.730.99649.329.17545.548.13451.715.73728.238.06523.140.38326.449.69437.784.85632.995.01621.969.79033.444.21722.393.37218.903.67521.071.37618.580.52016.348.96315.705.10516.010.16520.388.11716.063.01210.220.49810.161.6447.427.2287.335.245
çalışanlara sağlanan faydalar kapsamında borçlar
2.713.387757.0872.293.0961.807.2261.736.7581.531.730590.610489.741597.694181.807275.657206.358319.188198.991236.245190.277172.42191.759111.90696.738504.997217.161149.943104.34473.79219.616
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
131.113144.307131.57402.173.995051.11351.11351.113454.0530513.630755.606755.6061.009.20181.36681.36662.296122.70861.997126.12161.99798.47598.47598.46464.239
uzun vadeli karşılıklar
00366.582341.6550214.820121.05289.63775.19174.68661.65048.15240.09943.55228.80535.27615.24415.51425.245221.348221.34813.09311.5501.0871.087
ertelenmiş vergi yükümlülüğü
17.824470.986269.17300058.61558.6810
diğer uzun vadeli yükümlülükler
00000010.043
toplam kaynaklar
165.782.640182.763.575142.888.868149.162.022148.246.894157.627.90451.145.99045.068.91947.465.006116.383.32547.414.10029.132.33239.992.80328.751.00825.025.35225.916.05023.050.90621.184.00919.167.72819.820.00525.067.96619.625.39613.113.11812.997.73313.418.83010.655.842
toplam uzun vadeli yükümlülükler
1.544.6611.228.073635.755341.655268.190214.820121.05299.68085.234593.663483.784470.286462.233465.686450.939457.410443.632437.378486.220496.017631.348633.43915.18413.641276.363910.643
ana ortaklığa ait özkaynaklar
100.843.989100.377.09379.213.27981.574.45086.270.62089.401.10918.450.38317.684.01316.458.38166.581.98410.709.3005.022.1534.581.1934.476.1764.530.8793.450.7772.816.8743.295.9462.335.8212.363.0562.539.3012.369.9012.326.8672.299.6494.754.0971.873.184
kontrol gücü olmayan paylar
19.129.71718.637.76816.308.83817.916.74216.159.95016.296.2384.336.4904.144.8434.471.69711.422.8223.226.0001.670.1031.505.1601.415.7741.139.859936.4871.209.8801.101.722640.582950.7671.509.200559.044550.569522.799961.142536.770
toplam özkaynaklar
119.973.706119.014.86195.522.11799.491.192102.430.570105.697.34722.786.87321.828.85620.930.07878.004.80613.935.3006.692.2566.086.3535.891.9505.670.7384.387.2644.026.7544.397.6682.976.4033.313.8234.048.5012.928.9452.877.4362.822.4485.715.2392.409.954