Avrupa Yatırım Holding A.Ş. (AVHOL) Bilanço Tablosu

PRO üyemiz olmadığınız için AVHOL bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/62019/122019/62018/122017/122016/122015/12
nakit ve nakit benzerleri
34.930.06412.945.76129.853.1675.145.8319.714.53817.768.5557.381.9748.908.0885.881.43241.251.1471.977.1671.320.5221.469.2242.395.0632.682.7053.653.072589.3181.883.150438.949360.848918.453630.804217.236209.039197.085
finansal yatırımlar
1.120.183.282191.448.749005.114.9905.114.9904.864.99000245.552000
ticari alacaklar
221.671.092212.813.375539.777.607408.784.729166.166.176186.358.59169.168.80162.820.97261.120.43773.959.16046.335.36632.994.97613.555.051010.281.46310.107.96915.378.856010.925.36211.055.446013.589.16713.900.2507.977.4868.072.445
stoklar
76.482.82229.522.936133.948.798105.624.91622.790.54513.589.41929.702.36627.033.07121.196.08222.120.50116.845.45617.023.30613.280.1759.921.7907.737.1387.444.8193.411.0112.776.7212.849.7221.249.1003.920.9973.210.2891.356.7632.266.525168.219
peşin ödenmiş giderler
41.688.55956.634.92142.050.58619.667.762309.05021.272.663101.19331.929.275107.046015.646.79018.458.237004.658.7376.390.45141201.757.4411.332.9487.221.3184.347.79633.971364.66021.606
cari dönem vergisiyle ilgili varlıklar
220.623317.631163.520135.48081.414542.222264.341116.72686.029515.820179.88828.33730.243277.03958.23920.10674136.01917.09940.1105.427013.43325.060292.464
diğer dönen varlıklar
22.408.2197.940.87123.395.47213.144.49312.989.6128.537.99611.388.6925.822.5176.691.15512.465.4068.433.5487.862.7067.921.2458.270.6674.577.2373.733.2012.862.7682.611.3681.383.7761.260.1551.276.358343.980496.718482.723193.776
toplam dönen varlıklar
1.578.642.451563.366.593769.370.860552.575.422231.092.103250.715.731160.965.998142.328.928117.984.898181.977.09291.259.84379.312.37448.904.79042.100.26830.361.15331.718.95227.398.06225.135.26617.771.80515.565.92628.090.57222.993.54616.776.24611.536.35416.658.113
toplam varlıklar
2.554.565.0631.516.904.3261.269.982.310934.579.156631.112.988732.950.835351.915.914342.177.984303.128.633545.959.486154.611.891140.722.484114.706.270108.636.38276.252.87170.829.42061.330.32259.042.28951.760.42850.166.84864.640.34454.191.39048.357.35137.355.93943.483.035
iştirakler, iş ortaklıkları ve bağlı ortaklıklardaki yatırımlar
19.635.61819.606.69517.692.2951.861.66004.864.9905.114.990
diğer alacaklar
61.057.7907.623.943181.71072.2114.702.54206.040.77604.628.9414.740.8451.841.6281.624.2904.864.9904.317.490365.634369.334391.452365.356399.456267.319898.6622.0000210.8617.519.820
yatırım amaçlı gayrimenkuller
356.123.981356.123.9814.040.6013.709.71219.975.59325.064.84211.454.00011.454.00010.536.00017.360.4752.035.0002.035.0002.035.0002.035.0001.785.000010.793.67010.900.00014.329.84514.506.71614.748.45715.420.79615.671.325
maddi duran varlıklar
139.784.391134.235.849122.105.63880.105.40665.715.592117.410.04026.851.72840.775.49627.870.204107.271.72328.960.58527.493.08731.540.46133.839.94521.742.51918.648.83713.814.71113.819.3067.618.2658.021.6847.216.0816.530.1875.357.3475.567.9427.965.755
kullanım hakkı varlıkları
10.308.72111.063.74811.070.8959.951.86737.920.87431.990.29210.916.1955.926.9824.826.28720.770.8346.734.8826.035.1256.443.2815.529.0891.490.1181.653.9511.013.5261.171.8693.864.0753.762.9260
maddi olmayan duran varlıklar
442.238.599424.883.517315.322.878286.066.038276.099.776307.427.656136.761.810136.770.835136.689.208218.579.36220.484.07020.473.96720.456.73120.457.93217.757.96517.758.79017.759.61617.750.0009.036.1779.520.25814.283.8083.552.9723.592.2322.129.8592.173.274
toplam duran varlıklar
975.922.612953.537.733500.611.450382.003.734400.020.885482.235.104190.949.916199.849.056185.143.735363.982.39463.352.04861.410.11065.801.48066.536.11445.891.71839.110.46833.932.26033.907.02333.988.62334.600.92236.549.77231.197.84431.581.10525.819.58526.824.922
kısa vadeli borçlanmalar
109.010.25497.335.23322.089.2323.361.46813.078.6136.636.3539.057.58417.511.81923.186.4417.901.5296.126.0795.439.3363.537.7861.179.11500166.49258.876289.9143.989.3135.226.961
uzun vadeli borçlanmaların kısa vadeli kısımları
85.871.99664.185.8341.562.1451.497.7222.636.4592.610.5372.014.1784.204.429002.024.1781.262.641921.761499.013562.4753.249.2582.886.5173.573.0542.295.0243.433.8853.185.7902.729.205
ticari borçlar
113.844.88995.960.429460.014.556342.975.431115.250.183120.865.74331.391.27336.375.66016.077.58730.252.63420.738.84915.847.4558.531.6139.977.9684.365.7582.783.2373.048.56501.713.8851.800.1467.899.9237.729.6993.878.0448.078.5547.978.933
toplam yükümlülükler
857.387.562549.065.433696.272.344454.999.338182.124.877203.539.231104.820.273120.986.94590.674.990154.715.75457.906.36548.067.59326.386.62725.849.92441.151.69836.747.09127.663.81226.405.87722.573.01920.155.62325.424.39122.821.70538.605.72227.656.36329.109.457
çalışanlara sağlanan faydalar kapsamında borçlar
7.481.0636.371.1053.403.6933.005.0804.120.2054.426.2293.724.3851.862.0821.042.7192.701.9711.131.076857.384608.756521.36378.59085.37754.00280.84695.48960.988623.468320.380378.70890.832215.024
diğer borçlar
184.463.544171.782.88806.420.7387.192.50919.077.63614.394.958012.955.44217.604.1397.041.7055.468.2474.191.7203.821.36432.762.32030.330.28921.673.28721.096.0005.314.0173.554.098061.62322.030.782750.0001.546.729
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
8.021.4139.400.0612.726.8571.668.174522.2730595.8720773.50700016.14600061.90761.90761.907
dönem karı vergi yükümlülüğü
9.520.1092.857.46733.440.66023.882.285891.0021.878.33710.626.7584.018.2243.578.161653.2082.996.7641.758.5681.535.899330.756244.024244.024183.025377.462302.10923.94634.656118.001233.47940.226249.176
diğer kısa vadeli yükümlülükler
82.5471.8615.350.0081.147.3311.193.395396.5974.690.5096.507.7984.672.851659.0924.919.6315.701.7872.831.4223.285.8301.595.3661.390.5321.443.620967.395784.088698.6472.545.0701.993.4841.453.8222.492.9301.179.071
ara toplam
518.809.145563.366.593769.370.860552.575.422231.092.103156.645.48376.495.51785.480.081117.984.898181.977.09291.259.84379.312.37448.904.79042.100.26830.361.15331.718.95227.398.06225.583.61017.771.80515.565.92620.280.70022.993.54616.776.24611.536.35416.658.113
toplam kısa vadeli yükümlülükler
518.809.145447.894.878550.900.930383.958.229144.884.639156.645.48376.495.51785.480.08161.513.20160.546.08042.954.10435.072.77721.237.19621.156.72040.308.69935.755.22026.901.51225.583.61011.458.8469.024.34220.280.70012.667.21931.850.67318.717.77718.756.724
uzun vadeli borçlanmalar
91.097.58844.503.87152.089.4615.217.5715.952.55834.823.75421.377.68922.942.81216.059.85363.501.82713.857.38012.575.5094.889.5264.233.069388.325886.493685.528763.79911.011.41211.038.2614.235.7409.158.1776.157.5007.212.0788.578.884
uzun vadeli karşılıklar
1.975.6131.859.8411.125.7261.080.3031.328.4181.626.285456.927497.902566.521666.889464.372419.307251.956208.706203.243105.37876.77258.468102.76193.020381.871345.922172.389117.872141.301
toplam kaynaklar
2.554.565.0631.516.904.3261.269.982.310934.579.156631.112.988732.950.835351.915.914342.177.984303.128.633545.959.486154.611.891140.722.484114.706.270108.636.38276.252.87170.829.42061.330.32259.042.28951.760.42850.166.84864.640.34454.191.39048.357.35137.355.93943.483.035
ertelenmiş vergi yükümlülüğü
237.028.44346.559.25063.242.52664.743.23529.959.2629.955.7546.150.51311.961.83412.431.09928.962.0500000046.154023.912
diğer uzun vadeli yükümlülükler
455.360028.913.70100343.969239.899104.316104.3161.038.908630.50907.949251.429251.43100526.080650.387425.1600
toplam uzun vadeli yükümlülükler
338.578.417101.170.555145.371.41471.041.10937.240.23846.893.74828.324.75635.506.86429.161.78994.169.67414.952.26112.994.8165.149.4314.693.204842.999991.871762.300822.26711.114.17311.131.2815.143.69110.154.4866.755.0498.938.58610.352.733
ana ortaklığa ait özkaynaklar
1.357.303.408650.179.170573.709.966479.579.818436.234.025517.311.421226.347.729208.617.581203.515.666384.003.42487.208.63284.980.73980.942.22076.216.20034.607.53833.588.69433.666.51032.636.41229.187.40930.011.22539.215.95331.369.6859.751.6299.723.59814.381.757
kontrol gücü olmayan paylar
339.874.093317.659.7230012.754.08612.100.18320.747.91212.573.4588.937.9777.240.3089.496.8947.674.1527.377.4236.570.258493.635493.6350000-24.022-8.179
toplam özkaynaklar
1.697.177.501967.838.893573.709.966479.579.818448.988.111529.411.604247.095.641221.191.039212.453.643391.243.73296.705.52692.654.89188.319.64382.786.45835.101.17334.082.32933.666.51032.636.41229.187.40930.011.22539.215.95331.369.6859.751.6299.699.57614.373.578