Birlik Mensucat Ticaret ve Sanayi İşletmesi A.Ş. (BRMEN) Bilanço Tablosu

PRO üyemiz olmadığınız için BRMEN 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
2.675.27113.291.95680.1681.218.650237.99016.610.29015.611.61618.311.34820.665.5105.390.79545.6989.87410.16812.078208.64556.61937.830103.37368.05322.71549.83976.46991.407639.99527.01126.631.890
ticari alacaklar
20.642.98516.220.2911.913.781975.240994.9432.256.6432.397.1911.314.0401.191.1931.830.5911.062.8501.455.6062.408.0212.015.9191.460.7752.332.3291.241.8291.131.7781.094.7541.222.7001.502.8201.581.8101.271.519868.0871.111.0852.027.663
finans sektörü faaliyetlerinden alacaklar
00000
türev araçlar
00000
stoklar
52.808.91346.659.11532.644.86831.898.50727.804.84624.331.13310.256.7426.101.3672.238.1951.965.4291.170.760131.131138.70679.281129.367113.324120.52369.933154.133106.243148.10685.629107.18972.57039.07145.771
cari dönem vergisiyle ilgili varlıklar
191.29852.3355.2714.12443.05562.16243.05543.05535.19600001.3731.3731.3731.3731.3731.3461.3461.3461.3461.203399188188
diğer dönen varlıklar
22.18014.43530.39725.92314.1121.220.013433.504619.90417.11328.46118.31314.00016.95322.67822.63222.15522.17115018.74221.4971.23707.018-6.229188
toplam dönen varlıklar
87.129.63278.801.76747.888.01046.501.02845.364.54774.639.87933.267.24128.733.80626.066.0579.574.7672.336.8381.955.0932.590.9412.156.9962.017.4052.531.1061.491.5751.374.5031.413.25350.874.7581.780.0851.826.8941.544.4151.644.2202.486.23828.877.551
toplam varlıklar
105.684.39996.359.88268.426.80165.490.94558.975.02186.248.27739.898.08034.330.27831.390.17315.559.9477.476.2207.078.4906.446.7596.063.6215.810.1996.370.6845.523.9545.298.87257.226.52557.227.96252.709.26689.960.51479.552.00879.730.02880.118.791106.524.184
finansal yatırımlar
00000000000159.117159.117159.117159.117195.475195.475
diğer alacaklar
73.66018.23616.5687.860.9666.067.5936.832.7202.917.66318.727548.93015.7139.1154.5522.4657.7432.4651.1817.7439.0272.1517.7417.7432.1517.7437.7421.194.7212.151
müşteri sözleşmelerinden doğan varlıklar
00000
maddi duran varlıklar
5.189.2285.293.1344.498.1814.232.7382.766.3013.499.441617.22944.9608.8331.542.04328.17029.79014.72916.4025.3886.92925.51210.7239.328.960197.8529.339.31714.810.76114.370.07714.376.40914.382.98314.384.269
kullanım hakkı varlıkları
661.937963.6013.431.6793.255.250418.102690.376341.074630.058758.2391.314.788946.3621.051.12126.35067.31455.57783.366305.679164.729305.679305.679362.145250.1000
maddi olmayan duran varlıklar
109.562116.174104.978101.57098.483129.58148.02612.77213.312107.17315.63517.08719.10521.99225.81530.19135.33140.74546.23451.72357.21262.701298.987347.50479.16884.657
peşin ödenmiş giderler
10.715.3252.506.214608.0184.517.61810.202.00823.326.9181.607.4701.290.8751.369.920100.52130.102335.3677.97717.924186.8714.12560.10666.71568.48242.51668.99473.89758.33655.427120.391164.295
diğer duran varlıklar
12.577.47111.166.9707.825.1486.910.7535.262.0015.149.1982.395.3371.626.5411.140.7921.512.475836.695695.806652.629648.929647.360652.011634.527670.280712.360689.277695.446675.807677.873701.239705.221712.526
toplam duran varlıklar
18.554.76717.558.11520.538.79118.989.91713.610.47411.608.3986.630.8395.596.4725.324.1165.985.1805.139.3825.123.3973.855.8183.906.6253.792.7943.839.5784.032.3793.924.36955.813.2726.353.20450.929.18188.133.62078.007.59378.085.80877.632.55377.646.633
toplam yükümlülükler
96.053.70178.655.32051.035.11346.927.46239.367.48853.351.19721.074.95320.262.59316.017.24618.685.51712.676.68611.029.5919.234.28619.668.07018.591.74818.297.35816.186.31815.819.77670.289.27067.956.68560.647.40465.602.80055.678.15352.774.82149.841.39271.916.382
kısa vadeli borçlanmalar
426.488511.1171.580.134916.826297.440143.43261.12580.59885.919637.00799.80386.18194.93490.46985.40783.41484.33979.38267.06746.47436.34054.96034.93789.27584.73510.535.853
uzun vadeli borçlanmaların kısa vadeli kısımları
297.812609.178000299.368265.405428.926497.787082.551172.77029.880111.12298.195147.279156.386137.980140.166140.166164.904126.16745.84073.901027.330.884
diğer finansal yükümlülükler
00000
ticari borçlar
53.012.02436.314.91414.338.09521.702.72425.403.97031.054.7244.979.9054.398.0262.404.2520899.868535.019328.030519.866345.072547.398238.032462.535649.185446.017398.718479.027905.118930.701594.756199.475
çalışanlara sağlanan faydalar kapsamında borçlar
596.261236.477911.272644.688248.484223.272140.577358.029489.025251.126473.026300.363234.722248.051184.929167.352139.820206.902245.563188.804129.229106.765122.94598.986129.68490.617
diğer borçlar
36.932.99535.963.79827.134.22615.779.2827.238.13117.966.20211.321.20510.516.2607.771.68205.531.7954.127.7403.921.34414.229.08613.336.51413.021.24811.998.780062.836.96960.831.73358.548.24755.804.12354.089.84551.074.69448.745.69933.524.074
müşteri sözleşmelerinden doğan yükümlülükler
00000
kısa vadeli karşılıklar
2.739.9272.916.666178.857208.605147.43396.80667.05067.050101.792253.832250.699307.060249.929186.787185.526168.535187.933154.937151.870146.02497.956175.946102.420101.605172.45663.299
diğer kısa vadeli yükümlülükler
0000000000000000000072.153072.23372.23381.992
ara toplam
94.059.21778.801.76745.039.36846.501.02845.364.54751.075.69933.267.24128.733.80626.066.0579.574.7672.336.8381.955.0932.590.9412.156.99615.270.7452.531.1061.491.57512.575.6681.413.2531.424.7581.780.08557.635.37855.377.00352.453.06449.744.66628.877.551
toplam kısa vadeli yükümlülükler
94.059.21777.528.61545.039.36840.132.89534.219.20751.075.69917.719.88816.729.46212.231.21016.240.4708.233.3156.411.1465.782.54116.263.98415.270.74515.017.74212.888.84312.575.66865.039.11662.724.04260.327.11257.635.37855.377.00352.453.06449.744.66671.841.314
toplam kaynaklar
105.684.39996.359.88268.426.80165.490.94558.975.02186.248.27739.898.08034.330.27831.390.17315.559.9477.476.2207.078.4906.446.7596.063.6215.810.1996.370.6845.523.9545.298.87257.226.52557.227.96252.709.26689.960.51479.552.00879.730.02880.118.791106.524.184
uzun vadeli borçlanmalar
665.053609.3521.148.3922.199.253090.241111.279256.901330.752662.507918.226918.226000062.45135.604139.025139.025197.240103.807189.659214.2620
finans sektörü faaliyetlerinden borçlar
00000
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
53.710976.465896.784880.770883.7491.291.895884.621880.573880.7531.477.773895.573882.013923.70201.035.102882.51683.5530948.296924.824879.565888.3903.66511.66917.33615.120
uzun vadeli karşılıklar
382.616330.750185.116134.624103.48872.49333.34012.81671.071289.552220.177375.178311.205254.563264.814221.562206.159179.639166.151148.640123.052123.217111.491107.49596.72675.068
ertelenmiş vergi yükümlülüğü
946.815186.6034.662.2374.460.6905.044.7932.112.7643.210.4463.263.4143.384.2131.492.9883.304.9683.325.0413.140.5403.149.5233.056.1893.058.0543.028.8653.028.8654.944.9784.944.9787.740.398
diğer uzun vadeli yükümlülükler
00000
toplam uzun vadeli yükümlülükler
1.994.4841.126.7055.995.7456.794.5675.148.2812.275.4983.355.0653.533.1313.786.0362.445.0474.443.3714.618.4453.451.7453.404.0863.321.0033.279.6163.297.4753.244.1085.250.1545.232.643320.2927.967.422301.150321.75796.72675.068
ana ortaklığa ait özkaynaklar
9.625.60017.698.86717.386.48118.558.24019.602.22732.889.35318.817.75314.062.39615.367.507-3.134.542-5.206.069-3.956.782-2.793.284-13.610.276-12.787.441-11.932.632-10.668.385-10.526.985-13.068.884-10.734.911-7.944.10124.351.70123.867.84226.949.23530.271.42734.601.668
kontrol gücü olmayan paylar
5.0985.6955.2075.2435.3067.7275.3745.2895.4208.9725.6035.6815.7575.8275.8925.9586.0216.0816.1396.1885.9636.0136.0135.9725.9726.134
toplam özkaynaklar
9.630.69817.704.56217.391.68818.563.48319.607.53332.897.08018.823.12714.067.68515.372.927-3.125.570-5.200.466-3.951.101-2.787.527-13.604.449-12.781.549-11.926.674-10.662.364-10.520.904-13.062.745-10.728.723-7.938.13824.357.71423.873.85526.955.20730.277.39934.607.802