DAP Gayrimenkul Geliştirme A.Ş. (DAPGM) Bilanço Tablosu

PRO üyemiz olmadığınız için DAPGM bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122020/12
nakit ve nakit benzerleri
1.890.084.4871.318.249.1251.027.278.0992.097.300.0111.622.277.0591.449.226.0761.303.182.7261.927.961.345735.572.407455.374.085325.738.431198.940.140144.065.240155.409.077138.366.361138.971.94684.108.697
diğer alacaklar
419.941.624402.043.064438.953.749576.376.947340.610.442303.799.780306.081.970436.289.027469.546.159239.429.820204.218.439500.487.308304.166.134159.700.155397.839.673338.705.14219.926
müşteri sözleşmelerinden doğan varlıklar
5.085.451.8695.084.755.5395.284.634.21415.832.150.6585.640.782.5554.915.606.5284.664.649.12010.969.796.3371.550.800.5581.549.552.9411.502.137.2457.519.574.935313.805.186313.805.186313.805.186313.805.186480.636.421
stoklar
1.702.718.9481.501.841.119468.377.987419.111.904481.680.014420.864.694333.250.434406.725.871173.596.551150.367.936160.356.058207.282.30243.047.22033.651.184128.363.77285.253.37624.963.425
cari dönem vergisiyle ilgili varlıklar
11.483.2814.189.7323.419.56339.638.51426.454.21115.483.4727.045.81310.807.7134.071.2261.562.664446.8728.372.8573.413.7971.049.153331.8631.503.308325.359
diğer dönen varlıklar
624.930.584546.904.153452.233.903400.469.140220.220.72254.158.18069.772.8586.9953.48919.55085.937.133171.372.440114.058.5665.101.2635.830.4028.322.99317.386.994
ara toplam
12.338.297.2685.054.105.5154.667.775.6235.998.944.2634.592.570.2028.293.495.4237.540.636.0479.900.341.8413.140.362.0152.983.734.0472.760.309.3443.080.133.0031.108.800.467983.863.278552.604.778515.890.155561.831.897
toplam dönen varlıklar
12.338.297.26810.801.538.2459.192.088.75811.505.635.9419.173.046.5778.293.495.4237.540.636.0479.900.341.8413.140.362.0152.983.734.0472.760.309.3443.487.513.0101.108.800.467983.863.2781.266.511.426817.802.186561.831.897
toplam varlıklar
30.406.108.33027.032.789.06824.381.260.81828.740.098.82121.514.871.44119.189.408.79017.261.944.13122.125.583.19012.504.602.26310.115.047.3858.579.173.66712.050.055.5045.181.421.4413.965.989.2302.951.923.2432.633.607.6231.081.608.069
yatırım amaçlı gayrimenkuller
280.553.266261.652.473247.470.912282.757.08922.548.73521.091.75219.815.81325.315.2630
maddi duran varlıklar
54.855.64554.557.43855.111.18567.303.229226.773.074210.914.830197.044.348252.078.412101.955.056102.111.580102.204.727167.728.12612.966.3647.703.9346.860.3095.665.0611.152.019
kullanım hakkı varlıkları
23.794.37026.308.98828.757.21429.251.71124.812.21725.412.50025.870.31335.508.09810.319.36411.113.16111.906.95925.820.7345.968.7486.319.8500
maddi olmayan duran varlıklar
24.939.88025.846.91920.756.72725.145.61619.994.24215.472.25810.148.58014.451.0573.598.8023.613.7803.046.9639.521.9763.093.2422.268.9102.295.3942.263.9422.046.921
peşin ödenmiş giderler
24.199.15421.002.38719.688.5131.431.035.074851.046.4641.134.356.693854.401.118854.790.3783.750.684583.044.8424.001.9109.096.963364.648.0892.347.5431.287.6501.287.6503.496.078
ertelenmiş vergi varlığı
311.840.956391.467.599373.913.253399.180.549144.943.477125.691.773159.463.123228.540.472230.880.942170.095.949104.825.290122.019.74976.405.14558.673.98447.839.55137.039.15811.412.078
toplam duran varlıklar
18.067.811.06216.231.250.82315.189.172.06017.234.462.88012.341.824.86410.895.913.3679.721.308.08412.225.241.3499.364.240.2487.131.313.3385.818.864.3238.562.542.4944.072.620.9742.982.125.9521.685.411.8171.815.805.437519.776.172
kısa vadeli borçlanmalar
9.396.3099.017.1398.653.3146.545.9435.005.0004.799.9754.603.3807.023.0694.203.2365.144.4365.123.5389.197.3084.217.8714.024.6782.858.9332.725.76625.816.396
uzun vadeli borçlanmaların kısa vadeli kısımları
1.497.931.5211.421.131.0501.007.463.6631.375.565.160997.630.741915.386.056631.481.381817.111.691500.213.495615.111.955419.011.697508.790.644240.591.205212.796.948170.769.882165.647.87118.798.125
toplam yükümlülükler
16.331.594.05414.275.632.39612.900.459.91315.665.096.14411.675.002.19110.389.446.0969.507.409.45612.521.821.1268.679.735.9477.237.547.2815.996.734.3948.035.423.1333.576.730.6272.878.521.3202.211.519.3551.895.234.167845.880.375
ticari borçlar
56.854.97167.295.80157.695.00060.218.416059.048.92351.091.85586.059.94248.420.258081.853.76497.506.51357.581.92853.609.70669.630.36829.125.41089.181.631
çalışanlara sağlanan faydalar kapsamında borçlar
9.478.6579.796.7073.151.2899.916.1857.880.6197.132.0866.210.85811.938.3499.590.0296.527.97011.144.6119.241.6946.040.3044.546.5503.453.3302.485.433442.782
diğer borçlar
160.059.463162.646.173157.833.297191.715.4926.404.2086.382.158154.336.670254.325.300157.920.85130.908.55639.624.807263.187.04820.455.462106.061.75691.178.19499.279.769108.024.930
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
3.443.171.0403.285.562.5443.310.411.1015.082.098.3823.250.555.4092.896.824.5592.650.912.7943.792.949.7703.208.694.8572.571.063.9502.122.005.9621.785.529.0331.802.968.080216.621.782204.473.320201.829.434192.388.511
kısa vadeli karşılıklar
98.656.10198.656.101122.567.959177.621.002103.701.742103.914.242242.456.249359.615.898365.477.352185.888.918209.157.278327.614.21662.348.59334.767.93110.240.75114.480.1992.243.912
toplam kısa vadeli yükümlülükler
5.275.548.0625.054.105.5154.667.775.6235.998.944.2634.592.570.2024.146.621.2883.893.943.6385.329.189.1452.405.057.6622.334.707.2362.177.556.3153.080.133.003715.044.819633.493.417552.604.778515.890.155436.932.702
uzun vadeli borçlanmalar
1.462.937.2371.499.868.9231.045.201.9421.546.685.5371.358.196.6461.465.789.1421.462.086.4842.110.255.3251.654.553.5851.300.817.186997.576.4771.150.597.874588.129.990501.242.755326.367.619323.893.4607.234.978
toplam kaynaklar
30.406.108.33027.032.789.06824.381.260.81828.740.098.82121.514.871.44119.189.408.79017.261.944.13122.125.583.19012.504.602.26310.115.047.3858.579.173.66712.050.055.5045.181.421.4413.965.989.2302.951.923.2432.633.607.6231.081.608.069
uzun vadeli karşılıklar
7.141.8685.784.0536.194.5706.114.2314.011.0354.406.6494.529.7694.316.8913.323.7322.751.0064.384.5585.210.4764.395.4561.972.3741.250.683605.338503.435
ertelenmiş vergi yükümlülüğü
3.337.731.4153.027.126.1132.785.068.3113.025.038.1082.037.548.7021.575.597.3761.485.587.2741.731.150.5091.384.131.963997.299.347655.586.275959.714.247445.736.820298.517.405194.850.479185.161.49587.839.363
toplam uzun vadeli yükümlülükler
11.056.045.9929.221.526.8818.232.684.2909.666.151.8817.082.431.9896.242.824.8085.613.465.8187.192.631.9816.274.678.2854.902.840.0453.819.178.0794.955.290.1302.861.685.8082.245.027.9031.658.914.5771.379.344.012408.947.673
ana ortaklığa ait özkaynaklar
14.074.514.27612.757.156.67211.480.800.90513.075.002.6779.839.869.2508.799.962.6947.754.534.6759.603.762.0643.824.866.3162.877.500.1042.582.439.2734.014.632.3711.604.690.8141.086.741.044739.902.659737.892.545235.576.212
toplam özkaynaklar
14.074.514.27612.757.156.67211.480.800.90513.075.002.6779.839.869.2508.799.962.6947.754.534.6759.603.762.0643.824.866.3162.877.500.1042.582.439.2734.014.632.3711.604.690.8141.087.467.910740.403.888738.373.456235.727.694