Dagi Yatırım Holding A.Ş. (DAGHL) Bilanço Tablosu

PRO üyemiz olmadığınız için DAGHL 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
322.9563.729.305728.145734.199368.1482.732.881622.743651.4381.592.7872.425.238549.76553.46921.269.422280.0981.034.60627.98823.33231.88525.59474.74615.97910.5536.83038.1276.38218.981
ticari alacaklar
102.610.84229.150.1161.499.09424.25510.506.3344.960.293948.489001.074.0191.007.255000000000
stoklar
122.192.640140.740.26592.246.93670.686.94084.821.170117.771.63271.849.28073.698.80984.425.302137.665.34585.545.13352.866.863
peşin ödenmiş giderler
4.486.84013.753.0714.281.0611.476.8500798.6322.995.2063.574.9834.306.77514.485.441023.15922.0212.93126.94432.31034.88246.22225.56430.04231.28621.8274.9288.44910.51516
cari dönem vergisiyle ilgili varlıklar
9.714.82411.351.955062.35439.4687667491.661.7291.534.413433374.15100000257
diğer dönen varlıklar
11.16938.6086.804.9474.126.4886.174.39812.707.0975.355.7846.339.1836.498.66010.106.2487.147.988063.6705.137.239148.758150.483148.615116.450117.355116.083116.109114.570107.459106.197106.353122.087
ara toplam
239.725.667198.994.195105.894.95577.527.079103.652.746128.914.119111.474.499127.842.255147.453.067178.190.40398.850.74136.514.61932.564.48493.555.1951.831.457463.31717.855.109609.548390.285466.913274.522292.253211.014220.035192.587827.557
toplam dönen varlıklar
239.725.667198.994.195105.894.95577.527.079103.652.746139.405.599146.457.297127.842.255147.453.067245.380.73098.850.74136.514.61932.564.48493.555.1951.831.457463.317546.250519.816390.285438.177274.522293.161211.014220.035192.587228.437
diğer alacaklar
9.246230.875334.772478.347277.57724.503205.31316.971710.74227.964200.38436.437.55810.802.72317.220291.64572.53561.919070.26259.67953.88046.79943.25929.09929.09921.763
toplam varlıklar
296.994.818264.920.503139.588.148110.309.885133.040.549180.375.241155.500.902137.123.041157.370.016274.742.825129.334.83958.572.88251.367.008115.908.89255.236.17855.112.77769.014.59038.430.79623.365.99922.671.92219.841.55920.533.66619.864.79219.593.64519.750.22116.295.805
maddi duran varlıklar
19.609.91021.681.07119.636.52019.293.47417.332.07325.118.7855.768.5246.082.0486.397.32717.474.3624.960.293004.876.98800000000147
kullanım hakkı varlıkları
20.071.88213.696.92812.361.07811.946.19910.949.59214.337.1473.062.1092.968.3792.968.37911.064.3412.988.1073.045.591
maddi olmayan duran varlıklar
1.930.8412.108.8411.685.2481.532.7861.095.7911.489.207196.001213.388231.526795.428251.84900300.7420000
ertelenmiş vergi varlığı
15.647.27228.429.29200302.747268.183023.70935.6160
toplam duran varlıklar
57.269.15165.926.30833.693.19332.782.80629.387.80340.969.6429.043.6059.280.7869.916.94929.362.09530.484.09822.058.26318.802.52422.353.69753.404.72154.649.46068.468.34037.910.98022.975.71422.233.74519.567.03720.240.50519.653.77819.373.61019.557.63416.067.368
uzun vadeli borçlanmaların kısa vadeli kısımları
1.201.4991.726.2650002.113.4461.499.2591.499.30200843.82700952.3350
ticari borçlar
139.960.590132.173.56192.616.73636.958.81643.789.47149.337.22731.951.688087.523.07459.263.080022.5152.61420.941.0142.38717.4732.4750417.020378.175274.262160.0829.2077.9583986.729
çalışanlara sağlanan faydalar kapsamında borçlar
12.629.42210.611.5006.653.27411.543.15110.391.99812.455.1355.533.3086.706.6466.512.7916.594.43160.22439.94938.5941.375.99327.08829.30628.26015.88421.1224.55925.09428.74733.10433.98817.34815.983
diğer borçlar
4.607.5982.657.1951.007.1941.289.7551.095.5051.659.1756.737.1531.092.93501.074.085211.4741310329.28619.441.97117.904.60617.811.257053.85058.58780.25875.43977.0263.102117.661796.278
toplam yükümlülükler
241.094.292214.580.013110.398.25079.260.196101.081.312136.782.855116.112.784115.475.086121.246.679196.194.778115.319.7351.028.9231.045.29064.772.67225.433.20124.254.89226.429.9076.213.7662.797.9052.610.1921.928.9701.990.6571.739.3701.625.8021.704.1171.981.318
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
62.795.70955.854.924017.197.858059.092.51962.948.14543.012.33415.739.05275.102.49200015.635.64300064.09800
kısa vadeli karşılıklar
3.857.1902.973.7972.301.4642.448.0773.178.7682.406.5881.670.4121.508.5611.497.2242.550.466816.20517.18133.085656.7932.94617.64213.1172.9463.6589.8408.97912.46819.49819.9731.9928.567
toplam kısa vadeli yükümlülükler
225.052.008205.997.242104.074.51670.864.27591.935.056128.914.119111.474.499109.319.456113.680.873178.190.403111.167.503534.132450.91761.261.67419.474.39217.969.02717.855.109609.548511.402466.913388.593292.253179.385126.209212.163827.557
uzun vadeli borçlanmalar
7.212.543465.858843.6701.244.6181.477.4682.615.8542.130.6582.724.7852.724.7854.605.1542.722.769003.117.8510
uzun vadeli karşılıklar
8.829.7418.116.9132.132.7642.045.1172.520.5681.804.8361.484.478004.561.396030.03833.70109.63323.04116.96342.63849.94451.73056.13135.4105.49015.283
toplam uzun vadeli yükümlülükler
16.042.2848.582.7716.323.7348.395.9219.146.2567.868.7364.638.2856.155.6307.565.80618.004.3754.152.232494.791594.3733.510.9985.958.8096.285.8658.574.7985.604.2182.286.5032.143.2791.540.3771.698.4041.559.9851.499.5931.491.9541.153.761
toplam kaynaklar
296.994.818264.920.503139.588.148110.309.885133.040.549180.375.241155.500.902137.123.041157.370.016274.742.825129.334.83958.572.88251.367.008115.908.89255.236.17855.112.77769.014.59038.430.79623.365.99922.671.92219.841.55920.533.66619.864.79219.593.64519.750.22116.295.805
ana ortaklığa ait özkaynaklar
55.900.52650.340.49029.189.89831.049.68931.959.23743.592.38639.388.11821.647.95536.123.33778.548.04714.015.10457.543.95950.321.71851.136.22029.802.97730.857.88542.584.68332.217.03020.568.09420.061.73017.912.58918.543.00918.125.42217.967.84318.046.10414.314.487
toplam özkaynaklar
55.900.52650.340.49029.189.89831.049.68931.959.23743.592.38639.388.11821.647.95536.123.33778.548.04714.015.10457.543.95950.321.71851.136.22029.802.97730.857.88542.584.68332.217.03020.568.09420.061.73017.912.58918.543.00918.125.42217.967.84318.046.10414.314.487