Doğan Burda Dergi Yayıncılık ve Pazarlama A.Ş. (DOBUR) Bilanço Tablosu

PRO üyemiz olmadığınız için DOBUR bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/12
nakit ve nakit benzerleri
63.321.99077.185.21327.837.57527.820.8503.633.8578.061.16526.432.8919.232.29846.330.94136.399.68364.409.10140.495.81135.989.24931.500.59531.014.14521.400.47620.991.02220.844.87018.965.27126.018.27322.137.82721.281.40021.796.77224.496.67824.276.28224.403.14421.803.397
ticari alacaklar
156.150.678128.439.441156.404.804109.856.213136.453.35893.641.916139.699.02972.964.85271.982.57442.473.09271.465.85636.456.42735.022.22925.418.50625.155.81622.054.08822.425.85022.367.49019.193.92916.168.14717.345.62319.825.90424.389.51322.458.71924.494.32625.618.90122.135.624
stoklar
4.564.7144.513.0935.440.3757.159.4796.960.3835.885.2186.565.1864.761.8163.532.3473.998.7415.467.8012.322.4062.261.1022.358.5912.214.4161.409.8981.261.5601.300.4701.093.4271.231.103998.0741.184.892942.9051.468.4971.201.8371.469.8471.714.525
peşin ödenmiş giderler
13.367.22919.612.5633.308.7594.475.1827.664.95213.072.2465.400.7723.362.9114.165.8464.879.6193.734.9032.862.4171.597.5491.491.6751.120.980680.426835.305945.687657.4371.000.2901.334.9671.277.861659.379577.5151.064.2821.043.839588.609
cari dönem vergisiyle ilgili varlıklar
5.200.4344.252.195080.92606.1416.14172.5940198.892198.892000741.491667.461
diğer dönen varlıklar
1.302.5181.736.5402.320.4431.685.0582.059.9714.303.4031.005.5101.076.0151.308.0192.188.383524.9633.132.3111.679.8362.021.3501.351.2432.004.6871.911.4961.746.3641.387.6631.796.4691.957.4941.558.729459.329574.565397.450389.832374.417
toplam dönen varlıklar
239.058.670235.807.199200.512.390155.248.977188.136.349158.887.528221.007.683130.063.200127.319.72790.020.444145.602.62485.269.37276.549.96562.790.71760.856.60047.555.71647.431.37447.277.47541.297.72746.214.28243.972.87745.327.67848.247.89849.575.97451.434.17753.667.05447.284.033
toplam varlıklar
352.389.719324.619.469275.717.381202.037.387226.542.058193.548.431266.397.079153.969.310147.433.876102.726.258168.298.14695.258.26886.820.71672.206.65770.947.54758.151.70358.131.52453.491.16349.080.67454.386.11053.503.38255.635.16259.425.22961.320.12463.863.75667.035.79952.090.046
diğer alacaklar
2.9672.9673.4622.9672.9672.9674.2842.9672.9672.9674.8902.9672.9672.9672.9672.9672.4842.4842.4842.4842.4842.48412.48412.48412.48412.16212.162
maddi duran varlıklar
12.600.6198.003.1346.718.3605.754.4155.632.2445.232.6066.697.7031.987.1652.064.2502.133.0545.851.7151.347.1931.286.187827.797710.514691.543601.526586.145582.562641.334619.912657.418708.464529.741577.913558.026596.797
kullanım hakkı varlıkları
43.406.04633.615.51918.886.5016.526.7496.091.6537.397.4078.953.5054.639.4075.289.7031.136.9713.086.1281.285.3841.795.1292.329.8694.004.4004.739.5295.156.199915.9511.885.7602.497.4103.336.9314.611.7505.863.8146.762.0917.784.1998.806.3060
maddi olmayan duran varlıklar
9.549.2927.148.5237.629.1316.230.571341.866389.635582.102203.856235.743267.629695.147242.888275.865198.436112.25585.16498.790112.417126.042138.765198.022257.279316.698278.542337.411396.339455.841
ertelenmiş vergi varlığı
47.772.12540.042.12741.967.53728.273.70826.336.97921.638.28829.151.80217.072.71512.521.4869.165.19313.057.6427.110.4646.910.6036.056.8715.260.8115.076.7844.841.1514.596.6915.186.0994.891.8355.373.1564.778.5534.275.8714.161.2923.717.5723.595.9123.741.213
toplam duran varlıklar
113.331.04988.812.27075.204.99146.788.41038.405.70934.660.90345.389.39623.906.11020.114.14912.705.81422.695.5229.988.89610.270.7519.415.94010.090.94710.595.98710.700.1506.213.6887.782.9478.171.8289.530.50510.307.48411.177.33111.744.15012.429.57913.368.7454.806.013
kısa vadeli borçlanmalar
30.512.31814.954.780014.638.19800000525.8201.127.3151.858.8132.796.0260
uzun vadeli borçlanmaların kısa vadeli kısımları
8.726.05412.147.7297.406.79904.479.8354.053.3343.951.5482.884.0032.983.257969.2541.822.9081.249.6811.710.0691.848.3262.799.7163.004.8582.899.532738.1561.755.4002.523.2173.450.6323.624.2183.905.9510
ticari borçlar
103.071.98782.747.59983.094.07461.896.03484.001.62073.312.615101.641.24553.411.95950.451.99738.530.17147.962.53524.194.54326.263.00119.629.15016.704.76313.824.40412.748.41914.675.92312.945.64412.899.87811.802.71812.268.37312.735.03913.868.24512.940.20414.643.82610.363.461
çalışanlara sağlanan faydalar kapsamında borçlar
10.322.91518.233.49423.793.98411.824.2829.459.6676.338.65819.579.4805.008.1204.532.7795.039.79412.121.0693.131.3023.081.4832.028.5793.183.4332.566.3838.576.3631.531.6011.696.2844.000.5702.800.090928.9162.924.0812.064.9981.966.6291.429.8421.573.850
toplam yükümlülükler
340.739.817301.546.518282.872.446189.726.598188.312.342182.710.417229.263.072128.011.548119.787.54686.028.448120.897.59465.522.21058.831.46447.887.36346.581.42837.617.93736.163.29333.505.35631.835.01335.140.34735.037.32635.185.74537.522.56438.145.52938.790.77641.464.24127.070.772
diğer borçlar
9.788.0664.523.8909.095.3592.600.8224.063.8611.534.9103.420.1411.618.6152.940.417557.2421.227.077976.964528.940455.446371.461233.782286.321247.299224.755490.753448.228278.938280.998152.846177.300723.168210.353
müşteri sözleşmelerinden doğan yükümlülükler
2.653.7931.913.420682.604514.328514.3281.075.4127.754.4778.412.6921.075.4124.637.9963.731.6571.2932.6362.950.4161.340.9852.218.72020.95525.9392.398.39922.25926.96734.6812.616.24238.03231.48122.2242.287.142
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
4.112.09016.016.1172.676.53002.339.2267.333.8671.337.057688.851502.6721.856.846526.7603.946.018185.758219.275232.432144.97578.16262.37432.524265.353426.9531.509.27766.850139.372260.074281.709205.131
dönem karı vergi yükümlülüğü
3.977.2242.231.2650356.0594.183.4612.489.3873.594.1461.279.0853.926.6851.588.2652.617.030636.3342.166.155588.8081.946.5570
kısa vadeli karşılıklar
37.592.82736.720.53938.307.65630.880.13224.521.64521.581.95123.241.61915.001.99711.763.60210.841.31013.361.5537.804.7938.068.0196.285.8175.954.2215.309.4775.123.8474.842.4654.506.8414.296.5294.161.5314.159.9143.940.4924.285.1864.548.1984.382.4044.121.010
diğer kısa vadeli yükümlülükler
49.45837.74028.7890
ara toplam
239.058.670235.807.199169.898.313155.248.977188.136.349158.887.528164.519.713130.063.200127.319.72790.020.444145.602.62485.269.37276.549.96562.790.71732.533.56847.555.71647.431.37447.277.47541.297.72746.214.28243.972.87745.327.67826.995.47349.575.97451.434.17753.667.05418.760.947
toplam kısa vadeli yükümlülükler
210.806.732189.526.573169.898.313133.200.484139.133.877134.742.931164.519.71388.305.32281.249.62664.020.87883.370.58950.809.49044.446.42134.005.81732.533.56827.302.59925.260.26524.896.94123.606.02427.255.37225.790.17625.280.51926.995.47323.620.45724.226.91026.779.12518.760.947
uzun vadeli borçlanmalar
32.196.00419.192.5029.108.273529.57701.632.0812.271.4382.117.3712.574.120214.726379.43861.44681.610426.9961.433.3271.887.4872.305.710196.643179.51033.658712.2831.728.5862.551.7646.685.5536.345.9636.246.8330
uzun vadeli karşılıklar
97.737.08192.313.115103.183.25655.482.20948.664.13745.259.99360.791.38236.418.02834.888.38821.792.84437.146.08214.649.98114.300.79712.608.3048.385.8338.016.9557.829.0588.507.9008.141.9597.937.4897.801.4878.186.4228.416.0598.282.231
toplam kaynaklar
352.389.719324.619.469275.717.381202.037.387226.542.058193.548.431266.397.079153.969.310147.433.876102.726.258168.298.14695.258.26886.820.71672.206.65770.947.54758.151.70358.131.52453.491.16349.080.67454.386.11053.503.38255.635.16259.425.22961.320.12463.863.75667.035.79952.090.046
toplam uzun vadeli yükümlülükler
129.933.085112.019.945112.974.13356.526.11449.178.46547.967.48664.743.35939.706.22638.537.92022.007.57037.527.00514.712.72014.385.04313.881.54614.047.86010.315.33810.903.0288.608.4158.228.9897.884.9759.247.1509.905.22610.527.09114.525.07214.563.86614.685.1168.309.825
ana ortaklığa ait özkaynaklar
11.649.90223.072.951-7.155.06512.310.78938.229.71610.838.01437.134.00725.957.76227.646.33016.697.81047.400.55229.736.05827.989.25224.319.29424.366.11920.533.76621.968.23119.985.80717.245.66119.245.76318.466.05620.449.41721.902.66523.174.59525.072.98025.571.55825.019.274
kontrol gücü olmayan paylar
000
toplam özkaynaklar
11.649.90223.072.951-7.155.06512.310.78938.229.71610.838.01437.134.00725.957.76227.646.33016.697.81047.400.55229.736.05827.989.25224.319.29424.366.11920.533.76621.968.23119.985.80717.245.66119.245.76318.466.05620.449.41721.902.66523.174.59525.072.98025.571.55825.019.274