BMSTL yeni halka arz olduğu için yeterince finansal verisi bulunmamaktadır.

BMS Birleşik Metal Sanayi ve Ticaret A.Ş. (BMSTL) Bilanço Tablosu

PRO üyemiz olmadığınız için BMSTL bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/12
nakit ve nakit benzerleri
143.081.303130.677.88991.420.73698.490.101119.469.871101.586.52781.926.776114.951.83475.447.58434.938.846131.614.62353.151.29543.982.34010.962.55736.470.877
finansal yatırımlar
115.094530.947101.514307.3901.089.4690050.684.75468.459.548015.011.0780
ticari alacaklar
267.989.163267.287.319171.242.087153.268.981168.812.4100206.381.418259.188.004263.038.383141.196.542153.900.247167.260.584197.668.636159.085.00897.664.201
stoklar
332.914.096331.492.878416.031.731332.673.844307.810.357287.997.617276.889.822338.823.293297.913.770224.408.944216.091.972223.056.907222.383.713168.534.875132.568.355
cari dönem vergisiyle ilgili varlıklar
376.9576.938.0696.839.8376.733.3204.660.82852.2707.419.6924.351.390800.155793.52517.129.86817.120.17812.875.9865.931.18311.258.773
diğer dönen varlıklar
437.2466.845.54410.642.65010.108.605232.4765.052.7942.374.4263.772.18117.1982.835.3312.767.8162.876.9345.777.99212.473.2717.741.754
toplam dönen varlıklar
843.712.154816.590.539780.104.232670.576.922693.083.851775.641.784641.878.903791.113.233751.301.686517.910.749551.920.901489.744.347519.897.726391.343.378318.659.387
toplam varlıklar
2.287.951.9832.185.539.9672.082.086.1591.913.026.5351.847.526.3731.875.079.9991.639.197.0341.588.677.7031.482.347.0131.044.996.8961.048.739.000889.904.273877.375.454707.156.935604.434.233
diğer alacaklar
40.588.675474.147443.003429.09151.140.95447.223.402366.682341.4426.06815.999.9876.0777.126.48029.559.33828.340.3996.073
yatırım amaçlı gayrimenkuller
14.013.46613.316.43312.420.00010.407.69510.021.8579.856.7518.987.5007.113.7536.710.0604.975.0364.858.7024.266.8153.843.7263.377.1952.992.500
maddi duran varlıklar
1.262.676.5371.220.731.2131.158.594.5471.085.875.9981.000.502.332984.230.620878.569.095680.623.856646.491.431462.928.761436.075.825365.678.498324.733.773287.702.051258.301.708
kullanım hakkı varlıkları
5.613.8536.014.8526.415.8194.224.7734.473.2924.721.8044.930.6338.640.3608.426.1816.278.8556.196.5986.177.4385.598.0844.954.4104.431.920
maddi olmayan duran varlıklar
744.852855.731998.1931.224.9901.327.5891.493.2321.172.0531.322.9791.357.7781.211.1761.387.6951.345.8731.189.1831.112.071626.618
peşin ödenmiş giderler
58.209.62038.398.24939.585.31830.102.25339.867.486100.747.65535.155.30546.644.17440.571.7832.498.60616.274.6834.140.8912.054.204659.940569.842
ertelenmiş vergi varlığı
82.397.44155.362.85963.115.751100.178.78399.932.14469.667.41494.337.01565.779.51849.187.64448.155.93821.224.46920.052.69018.001.81218.846.185
toplam duran varlıklar
1.444.239.8291.368.949.4281.301.981.9271.242.449.6131.154.442.5221.099.438.215997.318.131797.564.470731.045.327527.086.147496.818.099400.159.926357.477.728315.813.557285.774.846
kısa vadeli borçlanmalar
535.924.634536.138.019447.774.686280.386.534318.852.041271.564.219170.991.729270.340.231228.728.418191.685.425187.693.21890.497.811140.464.179197.075.262109.678.952
uzun vadeli borçlanmaların kısa vadeli kısımları
134.753.324119.182.757110.335.93286.943.13674.873.96975.754.52887.967.37384.736.361152.128.58160.172.94978.670.124111.785.19496.016.67373.529.03476.621.833
toplam yükümlülükler
1.040.305.3291.017.107.595938.754.133819.903.942782.335.026832.718.583696.442.446634.100.043598.158.926428.530.388447.250.683386.449.708445.576.472460.167.049414.447.403
ticari borçlar
091.977.364122.070.468174.507117.328.685159.748177.319.937199.877193.82865.314.66565.677.125695.63290.045.288632.962105.355.239
çalışanlara sağlanan faydalar kapsamında borçlar
15.802.41315.205.56314.262.83014.213.68911.123.28912.595.1158.011.9017.665.3675.358.8096.431.9653.494.3953.798.2382.905.6232.954.3071.517.070
diğer borçlar
6.405.0838.359.4536.609.51112.836.76011.809.22614.194.2769.229.3478.640.22311.738.2005.636.8897.446.3135.707.2759.317.50416.353.6325.463.891
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
419.998419.99112.792.43318.019.59914.435.22312.343.19311.702.6565.684.03312.990.5178.596.4208.142.3248.291.7196.788.6504.217.49210.817.642
kısa vadeli karşılıklar
4.063.2243.246.6332.909.9022.832.7432.416.7961.879.2361.376.6482.572.4242.233.7762.206.232927.1731.377.5711.765.830890.655789.200
ara toplam
843.712.154816.590.539716.755.762670.576.922693.083.851598.591.287475.496.301791.113.233751.301.686517.910.749551.920.901311.257.203359.692.800375.553.795321.502.600
toplam kısa vadeli yükümlülükler
820.243.474796.301.196716.755.762598.179.105557.368.215598.591.287475.496.301529.402.370483.274.692340.838.070367.057.433311.257.203359.692.800375.553.795321.502.600
uzun vadeli borçlanmalar
121.716.822133.998.429143.170.703154.020.324161.861.232169.732.257166.779.65068.029.18489.797.79068.660.17961.694.53563.704.47675.769.25675.621.50985.046.541
toplam kaynaklar
2.287.951.9832.185.539.9672.082.086.1591.913.026.5351.847.526.3731.875.079.9991.639.197.0341.588.677.7031.482.347.0131.044.996.8961.048.739.000889.904.273877.375.454707.156.935604.434.233
uzun vadeli karşılıklar
14.441.03715.445.26213.526.48712.563.08510.550.50512.484.2487.232.4366.541.1705.755.0654.859.5234.787.7373.246.8062.645.7042.335.9032.073.013
ertelenmiş vergi yükümlülüğü
83.483.99870.942.71765.216.85654.966.92152.393.83251.751.04346.784.54229.927.44219.137.55114.029.38513.573.7327.545.5916.022.8805.255.394
toplam uzun vadeli yükümlülükler
220.061.855220.806.399221.998.371221.724.837224.966.811234.127.296220.946.145104.697.673114.884.23487.692.31880.193.25075.192.50585.883.67284.613.25492.944.803
ana ortaklığa ait özkaynaklar
1.247.646.6541.168.432.3721.143.332.0261.093.122.5931.065.191.3471.042.361.416942.754.588954.577.660884.188.087616.466.508601.488.317503.454.565431.798.982246.989.886189.986.830
toplam özkaynaklar
1.247.646.6541.168.432.3721.143.332.0261.093.122.5931.065.191.3471.042.361.416942.754.588954.577.660884.188.087616.466.508601.488.317503.454.565431.798.982246.989.886189.986.830