Boğaziçi Beton Sanayi ve Ticaret A.Ş. (BOBET) Bilanço Tablosu

PRO üyemiz olmadığınız için BOBET bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/12
nakit ve nakit benzerleri
40.059.66312.171.87210.891.73796.511.492637.815.0251.443.024.5571.976.079.167940.012.249524.456.946582.758.715370.007.292108.075.58293.697.879250.682.006216.902.498185.414.512226.059.30554.752.43636.793.656
finansal yatırımlar
2.373.962.1932.108.034.1411.277.679.7421.325.714.607714.065.956100.544.43600035.591.29819.998.15720.135.16000000
ticari alacaklar
1.793.797.5541.480.374.4011.124.762.0941.170.306.360925.778.0131.223.355.7851.384.727.3141.077.023.230977.263.967827.689.1671.218.935.468604.987.901455.047.979294.859.346248.815.924263.080.7210348.716209.412.239
stoklar
158.288.319142.371.738158.681.456132.746.842134.791.881124.486.768134.453.951104.381.56683.541.41272.706.444110.673.28354.474.16449.501.76843.701.66929.056.19227.956.38428.138.06740.875.79219.815.667
ara toplam
3.731.113.7373.070.007.2272.948.885.7491.995.125.9091.872.280.5942.141.358.8083.723.561.5201.571.800.4141.659.544.8071.567.927.2281.831.607.979798.209.363634.451.183620.716.161401.629.376495.864.847559.420.860436.597.995321.316.583
toplam dönen varlıklar
4.831.354.7454.273.901.9402.948.885.7492.874.709.9822.581.634.6693.139.326.8713.723.561.5202.173.704.5101.659.544.8071.567.927.2281.831.607.979798.209.363634.451.183620.716.161510.392.042495.864.847559.420.860436.597.995321.316.583
diğer alacaklar
6.153.17462.905.576543.25219.414.02448.823.623766.872189.461958.0215.535.692653.638974.088674.221584.064214.64464.749328.311100.14410.194.391100.144
maddi duran varlıklar
6.370.428.0366.211.456.1686.690.059.2374.963.757.6854.769.305.2934.379.608.1985.533.538.7551.869.249.7221.711.920.2221.439.597.7972.963.613.860902.253.815901.959.178925.082.976927.372.033677.296.316711.879.310675.402.068673.734.199
toplam varlıklar
11.542.156.02910.830.476.35310.016.308.3168.192.467.4727.706.663.3767.880.914.0519.741.872.3114.352.104.8243.664.086.7583.416.330.8855.001.576.5401.742.852.0301.571.446.1221.590.407.1431.486.179.1671.228.298.1541.326.507.8301.170.137.7451.053.981.738
kullanım hakkı varlıkları
326.142.396333.528.846370.972.912327.075.862325.886.780312.558.638416.354.76371.001.48153.058.14949.031.767174.548.56840.408.89832.111.26833.475.44234.382.67339.805.87741.718.60443.494.64541.630.821
maddi olmayan duran varlıklar
4.600.9214.978.6095.664.7564.447.4884.560.8124.377.9865.328.9991.350.785934.261843.8182.342.7641.603.7862.653.09410.983.16113.935.39813.972.38112.538.75114.047.81513.999.909
peşin ödenmiş giderler
531.254468.044.212306.057.273130.016.65725.089.34920.504.726227.515.13011.940.41768.746.79016.469.69729.283.267290.726206.65031.258.49615.044.8291.257.93457.099.475146.36286.938
ertelenmiş vergi varlığı
8.486.0925.580.440157.8140024.384.84332.632.449000
toplam duran varlıklar
6.710.801.2846.556.574.4137.067.422.5675.317.757.4905.125.028.7074.741.587.1806.018.310.7912.178.400.3142.004.541.9511.848.403.6573.169.968.561944.642.667936.994.939969.690.982975.787.125732.433.307767.086.970733.539.750732.665.155
kısa vadeli borçlanmalar
00000000000051.995.60479.368.624183.485.79932.564.479
uzun vadeli borçlanmaların kısa vadeli kısımları
1.889.486.0751.194.808.619458.414.186540.582.172656.281.092654.608.333816.475.281463.385.022340.644.472298.814.927119.265.28073.416.28599.778.964128.358.193122.327.59877.713.34910.793.151148.823.288179.113.778
ticari borçlar
1.148.758.9911.240.604.2181.104.622.647977.105.809756.565.141923.036.9761.267.512.581721.484.430473.721.286354.571.708687.369.367287.579.726250.312.650170.125.615112.270.126104.813.8380195.326.078218.996.845
çalışanlara sağlanan faydalar kapsamında borçlar
125.989.638151.452.144119.238.776104.266.395121.952.426117.978.363114.406.28372.053.46148.488.81840.482.96456.180.48018.531.73413.594.9429.957.10810.091.5217.744.1075.236.3076.364.0986.338.929
toplam yükümlülükler
5.087.987.6194.308.465.3842.903.373.8412.370.547.0302.271.985.6692.543.703.5133.170.838.6732.047.210.4501.621.175.2721.372.446.4321.624.364.576715.277.515654.098.923680.433.872541.455.090495.609.361580.879.640809.797.733683.001.215
diğer borçlar
40.100.10152.434.823385.785.66692.922.03438.238.35352.755.64686.737.91634.720.45885.567.73391.093.62453.661.12227.425.65817.032.18562.857.9074.032.5613.240.71806.046.05019.778.703
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
518.650.210422.308.679326.810.865274.111.524292.931.184316.673.485284.628.820174.382.535159.232.25297.374.002129.453.329162.183.461158.748.016184.124.349139.347.467131.984.6000113.895.73747.948.248
dönem karı vergi yükümlülüğü
000069.644.90635.435.347102.290.74454.318.28387.422.25089.450.17736.117.18113.358.2605.169.170863.5221.571.698654.4621.987.2921.332.829
kısa vadeli karşılıklar
8.128.7228.398.7448.418.7996.137.9756.312.3986.661.0995.590.6423.483.7642.248.9661.904.7022.625.5862.274.6921.763.9642.152.4101.909.0591.537.5351.575.1351.537.5351.399.518
diğer kısa vadeli yükümlülükler
00000000867.8932.860.1052.833.4915.480.01910.787.52200
toplam kısa vadeli yükümlülükler
3.731.113.7373.070.007.2272.403.290.9391.995.125.9091.872.280.5942.141.358.8082.610.786.8701.571.800.4141.164.221.810972.532.0701.140.865.446607.528.737557.422.472568.224.771401.629.376388.112.449363.660.582657.465.877507.473.329
uzun vadeli borçlanmalar
1.040.808.769923.722.556116.245.477210.626.037259.778.234319.363.820478.764.444347.214.864329.753.450261.801.07178.256.76833.517.87418.882.54731.353.03050.290.47464.810.709179.291.027117.588.269136.359.565
uzun vadeli karşılıklar
110.034.34897.894.30694.152.29988.634.35690.187.78582.980.88581.287.35952.127.77239.891.44141.226.79964.742.08327.129.29024.004.32223.396.67922.769.95418.902.96120.724.77917.984.71115.305.710
ertelenmiş vergi yükümlülüğü
206.030.765216.841.295289.685.12676.160.72849.739.056076.067.40087.308.57196.886.492340.500.27947.101.61453.789.58257.459.39266.765.28613.936.73417.203.25216.758.87623.862.611
toplam uzun vadeli yükümlülükler
1.356.873.8821.238.458.157500.082.902375.421.121399.705.075402.344.705560.051.803475.410.036456.953.462399.914.362483.499.130107.748.77896.676.451112.209.101139.825.714107.496.912217.219.058152.331.856175.527.886
toplam kaynaklar
11.542.156.02910.830.476.35310.016.308.3168.192.467.4727.706.663.3767.880.914.0519.741.872.3114.352.104.8243.664.086.7583.416.330.8855.001.576.5401.742.852.0301.571.446.1221.590.407.1431.486.179.1671.228.298.1541.326.507.8301.170.137.7451.053.981.738
ana ortaklığa ait özkaynaklar
6.454.168.4106.522.010.9697.112.934.4755.821.920.4425.434.677.7075.337.210.5386.571.033.6382.304.894.3742.042.911.4862.043.884.4533.377.211.9641.027.574.515917.347.199909.973.271944.724.077732.688.793745.628.190360.340.012370.980.523
toplam özkaynaklar
6.454.168.4106.522.010.9697.112.934.4755.821.920.4425.434.677.7075.337.210.5386.571.033.6382.304.894.3742.042.911.4862.043.884.4533.377.211.9641.027.574.515917.347.199909.973.271944.724.077732.688.793745.628.190360.340.012370.980.523