Avrasya Petrol ve Turistik Tesisler Yatırımlar A.Ş. (AVTUR) Bilanço Tablosu

PRO üyemiz olmadığınız için AVTUR bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/12
nakit ve nakit benzerleri
4.038.4641.912.042815.0911.877.5822.485.8292.654.7843.084.5341.678.6544.029.7324.009.3297.747.74315.528.5679.900.8057.764.5469.259.02210.053.58468.29442.8725.123184.85156.4321.42950.01948.276144.162174.92052.16021.302
finansal yatırımlar
1.600.00014.230.9481.647.29115.273.1501.600.00010.386.45810.813.77716.482.0749.798.5647.544.3181.607.4730
ticari alacaklar
2.782.5737.364.3975.830.6278.102.6652.563.9652.604.7824.231.6016.207.1003.443.8642.933.1362.226.9053.367.8791.660.7582.844.7212.713.6742.427.7892.108.8162.071.8891.961.6971.789.8021.881.6231.040.7761.002.401691.862537.010798.548668.574310.342
diğer alacaklar
21.052208.4543.312.65836.190124.17218.26728.8533.143.70217.40017.40017.53747.54217.40317.6752.48228.57910.148.87710.333.95110.165.99810.197.85028.57910.007.1969.941.19048.26148.26152.86410.021.41014.388.735
stoklar
232.002323.3981.243.613312.282110.94273.26173.180138.923153.79591.2880026.80666.89864.12929.29728.32238.67539.37432.146
peşin ödenmiş giderler
21.23363.411107.53822.94728.93028.6958.71752.323119.099217.797171.070349.39036.51035.822153.46711.06210.31714.97023.1708.44614.40013.77741.39265.93000066.283
cari dönem vergisiyle ilgili varlıklar
121.30054.09491.894109.68557.01932.901017.75906.2026.0138.811470
ara toplam
1.726.1812.335.78624.799.60526.688.46717.324.39115.799.1481.798.2542.427.80817.562.45414.813.2681.819.9663.342.67511.617.25210.671.08612.169.48612.515.23312.359.63512.485.3991.790.46512.187.15111.796.6723.814.91311.099.1784.507.74011.358.78811.464.61310.930.1283.036.612
satış amaçlı sınıflandırılan duran varlıklar
609.888.5490
toplam dönen varlıklar
639.769.62124.156.74424.799.60526.688.46717.324.39115.799.14818.229.20927.702.77617.562.45414.813.26811.770.72819.276.12811.617.25210.671.08612.169.48612.515.23312.359.63512.485.39912.170.20212.187.15111.796.67211.151.58111.099.17811.392.93811.358.78811.464.61310.930.12815.054.716
toplam varlıklar
1.272.999.7131.181.451.9281.118.065.4201.274.394.873925.815.384851.142.860788.384.447995.377.718253.885.854251.285.217248.422.891561.818.087141.289.593140.704.258140.500.709141.059.743105.608.753106.028.753106.007.554106.327.194103.900.260103.577.700103.835.341104.383.00396.577.24397.005.74396.812.376101.246.175
yatırım amaçlı gayrimenkuller
297.750.751843.630.026795.828.133906.941.685652.116.058598.713.553552.295.694693.003.665210.288.335210.288.335210.288.335346.498.398102.959.746102.959.746102.961.500102.950.00067.365.00067.365.00067.365.00067.365.00065.030.00065.030.00065.030.00065.030.00056.950.00056.950.00056.988.38356.988.383
maddi duran varlıklar
326.343.520305.112.772289.230.307331.278.529249.162.112229.874.613213.101.467268.695.53524.006.21224.154.76124.334.975191.885.93624.683.74225.044.57325.341.14425.565.93125.855.53926.149.13026.441.70926.741.42927.037.00427.356.56427.664.93327.894.88728.191.63228.501.09928.814.41629.117.981
maddi olmayan duran varlıklar
7.507.6766.923.5336.531.2317.443.1225.583.9705.126.6934.729.2245.934.0842.000.0002.000.0002.000.0004.110.0832.000.0002.000.000006452.0645.0358.00510.97613.94616.91719.88822.85926.58531.815
toplam duran varlıklar
633.230.0921.157.295.1841.093.265.8151.247.706.406908.490.993835.343.712770.155.238967.674.942236.323.400236.471.949236.652.163542.541.959129.672.341130.033.172128.331.223128.544.51093.249.11893.543.35493.837.35294.140.04392.103.58892.426.11992.736.16392.990.06585.218.45585.541.13085.882.24886.191.459
ticari borçlar
442.238543.836423.892616.917527.997675.070377.464179.832173.019229.001546.583183.378175.59345.66396.67686.191318.372270.121417.877454.799415.254326.152626.386619.175918.322651.349658.970
çalışanlara sağlanan faydalar kapsamında borçlar
526.491520.976552.875626.868445.225625.759553.959656.814400.267366.056378.034442.353152.667133.119186.894292.671106.69353.04237.04320.96913.84815.49684.24761.347118.077117.37697.52077.613
diğer borçlar
81.917104.26444.37211.34926.18611.006168.158191.871129.850129.850129.8501.907.6351.065.428595.188759.5021.065.9761.985.9041.308.8161.664.3541.664.3543.333.0273.092.3222.070.5550540.033772.000983.7511.825.044
toplam yükümlülükler
197.957.919181.394.072170.066.855196.853.171123.859.332110.116.870123.298.855141.463.61224.183.51223.655.52425.747.41254.735.16712.943.80613.083.01913.230.14413.921.44510.288.28711.124.18710.997.53611.246.24911.461.17211.063.26011.163.08811.821.43310.821.63011.714.21211.547.32716.111.696
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
154.560513.089921.1341.420.36801.869071.667158.34426.57142.21689.48323.9730433.517184.601
kısa vadeli karşılıklar
283.345286.905346.725693.851539.405500.089570.279524.175370.690216.124217.826278.042173.834138.973280.622148.108161.278164.641182.967177.506164.881151.146184.852160.363127.150145.825236.713204.539
diğer kısa vadeli yükümlülükler
237.630287.622241.539538.470183.868292.826171.681442.223175.864101.06055.08536.023
satış amaçlı sınıflandırılan varlık gruplarına ilişkin yükümlülükler
100.378.0610
toplam kısa vadeli yükümlülükler
102.104.2422.335.7862.569.6093.907.8231.722.6812.106.6191.798.2542.427.8081.825.6441.513.7901.819.9663.342.6752.074.3161.864.7351.628.0842.007.505834.6282.323.6331.790.4652.023.3134.246.3113.814.9133.859.4194.507.7403.803.1344.450.5544.064.0623.036.612
uzun vadeli karşılıklar
952.1401.584.404816.543788.662476.997671.597451.056357.580329.366303.209141.681107.971106.99788.405211.092182.093144.231117.73770.85262.326100.77252.57457.09553.44811.99310.202
ertelenmiş vergi yükümlülüğü
94.901.537178.177.771191.360.944121.320.108107.221.589121.023.604138.364.20721.776.96221.654.30423.468.23050.875.32510.461.25110.515.12510.735.56110.737.4037.256.6637.309.6457.374.5137.440.8457.144.0097.186.0217.202.8977.261.1196.421.3686.438.2106.487.5217.418.613
toplam uzun vadeli yükümlülükler
95.853.677179.058.286167.497.246192.945.348122.136.651108.010.251121.500.601139.035.80422.357.86822.141.73423.927.44651.392.49210.869.49011.218.28411.602.06011.913.9409.453.6598.800.5549.207.0719.222.9367.214.8617.248.3477.303.6697.313.6937.018.4967.263.6587.483.26513.075.084
toplam kaynaklar
1.272.999.7131.181.451.9281.118.065.4201.274.394.873925.815.384851.142.860788.384.447995.377.718253.885.854251.285.217248.422.891561.818.087141.289.593140.704.258140.500.709141.059.743105.608.753106.028.753106.007.554106.327.194103.900.260103.577.700103.835.341104.383.00396.577.24397.005.74396.812.376101.246.175
ana ortaklığa ait özkaynaklar
1.075.041.7941.000.057.856947.998.5651.077.541.702801.956.052741.025.990665.085.592853.914.106229.702.342227.629.693222.675.479507.082.920128.345.787127.621.239127.270.565127.138.29895.320.46694.904.56695.010.01895.080.94592.439.08892.514.44092.672.25392.561.57085.755.61385.291.53185.265.04985.134.479
toplam özkaynaklar
1.075.041.7941.000.057.856947.998.5651.077.541.702801.956.052741.025.990665.085.592853.914.106229.702.342227.629.693222.675.479507.082.920128.345.787127.621.239127.270.565127.138.29895.320.46694.904.56695.010.01895.080.94592.439.08892.514.44092.672.25392.561.57085.755.61385.291.53185.265.04985.134.479