CONSE yeni halka arz olduğu için yeterince finansal verisi bulunmamaktadır.

Consus Enerji İşletmeciliği ve Hizmetleri A.Ş. (CONSE) Bilanço Tablosu

PRO üyemiz olmadığınız için CONSE bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/12
nakit ve nakit benzerleri
2.757.216.4693.195.172.87424.510.10733.814.54310.561.84930.831.23835.206.805117.540.548101.416.38686.651.36720.994.88892.004.90957.783.51939.271.87819.658.61248.011.596
ticari alacaklar
206.300.767192.279.096181.480.777212.749.088119.347.0490106.978.014115.221.77583.507.36689.341.36155.299.581102.093.98254.965.189043.638.66042.065.146
diğer alacaklar
8.726.3968.790.7355.593.6355.295.37720.232.968020.066.49429.493.76720.729.91711.931.1724.280.7163.715.6473.282.8451.0001.714.662609.577
müşteri sözleşmelerinden doğan varlıklar
146.497.157111.416.06796.523.46761.634.94061.904.11964.117.84957.511.99366.409.87043.583.65439.423.30424.323.16639.542.59918.337.10311.500.43914.643.62910.226.587
stoklar
137.560.615143.903.038200.175.947307.175.591300.213.940248.261.626287.732.200432.842.499140.434.784114.359.433166.053.363275.378.68654.919.87861.241.15967.181.48272.073.756
peşin ödenmiş giderler
92.968.078140.435.77252.970.027105.889.548223.868.9125.241.2065.069.5905.012.3434.696.8384.501.5042.465.0164.606.69359.293.4742.333.7831.970.6661.775.691
diğer dönen varlıklar
49.909.1936.225.46511.399.23329.894.65716.688.34518.554.14540.180.25473.560.29731.452.37427.582.54136.971.96352.657.25213.768.78916.704.06514.449.25413.251.024
ara toplam
1.888.205.6443.798.223.047572.653.193756.453.744752.817.182703.567.0791.845.588.2612.439.741.963487.183.985424.934.582369.137.105637.232.598262.350.797289.699.253410.673.580406.409.846
toplam dönen varlıklar
3.399.178.6753.798.223.047572.653.193756.453.744752.817.182703.567.079639.421.387917.491.430487.183.985424.934.582369.137.105637.232.598262.350.797289.699.253180.498.036207.186.687
toplam varlıklar
7.736.795.9367.689.380.5714.200.624.5935.157.818.6154.297.217.2304.177.282.8124.007.819.2115.289.618.7702.812.838.5502.536.679.3981.967.167.4943.393.450.2921.727.565.8871.595.454.6901.350.843.2641.279.066.366
türev araçlar
00352.2985.128.9101.323.8531.425.25910.988.45817.930.1252.462.4788.472.8901.420.93520.382.929966.761017.263.36116.665.141
maddi duran varlıklar
3.967.520.2543.526.439.8693.285.715.8184.004.779.7903.196.103.5783.112.233.8593.058.474.6063.958.596.9712.245.535.8392.027.837.9311.533.222.4362.667.206.2411.412.567.3661.256.644.3361.122.312.3621.029.938.391
kullanım hakkı varlıkları
43.281.15542.421.38041.901.06248.349.09537.965.06236.348.37634.896.30843.495.57032.418.283
maddi olmayan duran varlıklar
53.854.09654.291.73952.036.78761.986.00449.081.97747.964.71547.257.12363.044.67338.721.19037.250.44128.269.60648.998.28128.365.03726.094.17123.436.12319.895.129
ertelenmiş vergi varlığı
263.769.442261.753.209243.625.665280.774.457249.220.599270.502.318222.071.836300.133.69534.238.22033.682.05032.652.396518.96520.899.38320.682.14721.015.73119.660.891
toplam duran varlıklar
4.337.617.2613.891.157.5243.627.971.4004.401.364.8713.544.400.0483.473.715.7333.368.397.8244.372.127.3402.325.654.5652.111.744.8161.598.030.3892.756.217.6941.465.215.0901.305.755.4371.170.345.2281.071.879.679
kısa vadeli borçlanmalar
1.091.967.8141.039.205.764805.074.924906.951.678664.902.841949.841.821982.058.2961.288.205.863641.603.038475.180.119307.557.523449.397.254129.868.920168.387.029209.398.010228.454.326
uzun vadeli borçlanmaların kısa vadeli kısımları
135.602.763185.476.899351.799.049375.333.714348.277.481383.975.940278.602.445358.589.459241.211.747275.634.057176.926.103270.880.911141.300.41585.680.495114.716.774104.728.513
diğer finansal yükümlülükler
218.775.320209.517.86826.500.00025.085.9180001.949.1135.300.00016.250.000032.130.7190860.0007.157.00010.603.600
ticari borçlar
194.612.344108.035.118117.834.850238.235.148146.462.93088.625.615110.935.592174.356.84697.207.52452.668.77981.133.376118.430.71379.930.20629.987.06240.743.87639.054.263
toplam yükümlülükler
5.865.756.9095.831.397.6192.319.807.6702.867.005.5222.639.776.0782.866.655.1232.669.939.8683.444.116.6431.751.336.5261.526.243.7361.110.237.5851.803.295.887850.153.970805.585.774856.463.681823.175.273
çalışanlara sağlanan faydalar kapsamında borçlar
20.739.16520.501.4896.548.42722.529.15316.666.42815.936.06217.136.87820.133.99211.623.07711.493.20711.691.5699.416.7856.421.1294.366.2394.209.6831.314.353
diğer borçlar
202.348.188282.891.614155.094.106355.573.08740.044.195090.570.560116.635.220121.790408.986664.43316.041.42813.290.5054.589.4685.582.99415.661.698
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
12.259.66512.261.665320.396478.9857.760.994098.4131.641.2910016.12678.15301.771.6285.184.5504.614.202
kısa vadeli karşılıklar
11.900.38512.818.24913.302.74712.149.495386.424.329371.689.773366.186.077478.230.1796.068.9834.675.5084.508.0384.496.0792.757.8572.228.7892.199.0391.978.891
toplam kısa vadeli yükümlülükler
1.888.205.6441.870.708.6661.476.474.4991.936.337.1781.610.539.1981.913.754.1541.845.588.2612.439.741.9631.083.827.504899.034.811597.410.366900.872.042373.569.032306.332.877410.673.580406.409.846
uzun vadeli borçlanmalar
3.873.758.2983.873.577.252758.119.948832.111.418750.884.350674.447.034597.532.944705.167.002485.150.011454.553.149375.751.484581.845.751356.831.320388.043.671349.871.747331.451.359
müşteri sözleşmelerinden doğan yükümlülükler
13.363.77811.322.39211.322.39211.702.1039.369.1708.411.0278.080.88010.349.9256.174.9015.781.0344.119.8246.268.6113.288.4263.085.7362.753.1802.372.811
uzun vadeli karşılıklar
22.530.72021.764.91320.268.27422.509.38919.023.06018.615.60614.755.43717.257.86610.883.4348.693.2937.830.31911.422.3675.196.5163.597.0073.245.2242.324.451
toplam kaynaklar
7.736.795.9367.689.380.5714.200.624.5935.157.818.6154.297.217.2304.177.282.8124.007.819.2115.289.618.7702.812.838.5502.536.679.3981.967.167.4943.393.450.2921.727.565.8871.595.454.6901.350.843.2641.279.066.366
ertelenmiş vergi yükümlülüğü
67.898.46954.024.39651.799.37059.216.524242.312.973242.770.482192.993.888253.669.762151.688.590143.508.768112.741.141279.950.77795.729.60085.986.77567.073.59556.068.586
toplam uzun vadeli yükümlülükler
3.977.551.2653.960.688.953843.333.171930.668.3441.029.236.880952.900.969824.351.6071.004.374.680667.509.022627.208.925512.827.219902.423.845476.584.938499.252.897445.790.101416.765.427
ana ortaklığa ait özkaynaklar
1.872.097.5031.860.348.5661.880.816.9232.290.813.0931.657.441.1521.310.627.6891.337.879.3431.845.502.1271.061.502.0241.010.435.662856.929.9091.590.154.405877.411.917789.868.916494.379.583455.891.093
kontrol gücü olmayan paylar
-1.058.476-2.365.6140
toplam özkaynaklar
1.871.039.0271.857.982.9521.880.816.9232.290.813.0931.657.441.1521.310.627.6891.337.879.3431.845.502.1271.061.502.0241.010.435.662856.929.9091.590.154.405877.411.917789.868.916494.379.583455.891.093