DOCO yeni halka arz olduğu için yeterince finansal verisi bulunmamaktadır.

DO & CO AKTIENGESELLSCHAFT (DOCO) Bilanço Tablosu

PRO üyemiz olmadığınız için DOCO bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/120/0
maddi olmayan duran varlıklar
964.778.282,26841.403.986,28864.550.469,06805.621.960,98945.867.410,57760.196.534,76684.203.818,52690.166.200,17860.899.584,78501.106.898,59463.861.156,31454.000.098,69552.741.258,88
maddi duran varlıklar
22.557.683.138,6720.098.311.391,1719.658.491.810,0318.093.120.753,9620.443.169.365,2915.626.781.347,0614.089.593.594,5311.402.434.742,3113.696.143.781,917.706.541.939,227.116.574.981,026.968.087.531,297.670.401.238,6
yatırım amaçlı gayrimenkuller
100.090.30591.532.823,586.689.104,1880.101.513,6287.333.890,5965.038.127,2759.513.772,9184.181.189,5275.578.124,874.198.498,869.633.526,4263.064.454,0311.763.919,06
özkaynak yöntemi ile değerlenen yatırımlar
225.797.542,83202.380.291,8204.100.132,74164.121.109,45175.223.676,19131.152.723,26106.890.494,3190.115.337,2588.418.106,2744.347.520,7542.781.787,0635.969.616,3934.080.634,84
diğer finansal varlıklar
530.501.754,13528.265.450,95634.832.874,39428.535.655,44806.491.270,65607.592.289,99704.412.749,95598.671.041,17722.483.551,62452.451.844,57399.415.127,65476.111.984,57364.419.962,12
ertelenmiş vergi varlığı
1.230.876.271,73809.718.577,62947.036.121,97959.457.463,03938.946.894,83676.347.097,25578.376.942,74555.249.461,69812.165.131,04347.481.758,67261.406.973,28285.421.990,8348.524.381,69
diğer duran varlıklar
662.882.132,03623.970.694,76675.281.832,57538.926.365,92658.272.666,59548.842.622,16519.610.193,12537.022.678,25678.954.491,01408.968.674,77394.554.029,87399.018.431,26499.143.784,93
duran varlıklar
26.294.193.971,2823.204.154.522,8523.070.982.344,9521.331.772.758,2624.055.305.174,7118.415.950.741,7416.632.650.370,2913.966.969.863,9116.934.642.771,439.535.097.135,388.748.227.581,618.573.641.103,359.481.075.180,13
stoklar
2.012.116.404,671.972.830.547,632.021.366.872,821.861.662.647,51.959.581.628,141.558.546.041,151.458.353.312,41.179.374.288,561.578.591.264,71846.545.759,66745.320.922,29626.620.108,72553.461.605,24
ticari alacaklar
11.136.562.890,0910.610.204.092,8910.214.333.039,879.854.042.377,719.396.744.746,517.285.437.129,086.374.702.219,925.936.404.910,455.480,73.133.221.872,673.027.365.884,812.604.137.471,271.927.188.130,33
cari dönem vergisiyle ilgili varlıklar
34.281.473,933.350.542,143.465.929,263.199.639,416.877.272,473.056.996,322.697.908,532.787.579,373.117.392,22.827.438,52.074.752,881.623.579,943.818.765,42
diğer finansal olmayan varlıklar
2.697.857.946,422.630.463.921,552.338.075.776,632.218.043.289,291.543.791.520,961.157.385.383,991.131.785.657,53961.602.732,011.269.793.752,41681.621.717,4976.062.572,38673.160.319,26721.559.369,42
nakit ve nakit benzerleri
7.128.613.038,279.958.624.851,7310.056.755.724,228.968.435.716,2911.325.443.508,588.857.485.732,617.294.365.235,586.457.866.347,588.195.221.608,263.998.385.609,053.708.312.236,643.382.240.521,264.331.801.782,75
dönen varlıklar
23.539.933.507,5125.703.739.406,8925.162.807.121,5123.333.919.325,6324.731.752.245,0119.175.138.624,1117.443.654.642,2615.655.361.419,5717.928,7610.127.219.975,819.528.233.046,258.223.085.853,798.648.446.461,68
toplam varlıklar
49.834.127.478,5848.907.893.929,6148.233.789.466,4444.665.692.084,1948.787.057.419,7837.591.089.365,7934.076.305.012,5629.622.331.283,4834.863,4119.662.317.111,1918.276.460.628,0316.796.726.957,1818.129.521.641,82
sermaye
899.090.494,63810.084.943,94837.982.927,31773.159.816,05897.248.267,18698.751.423,08616.528.699,1586.568.406,07693.486.178,6389.075.227,57352.424.182,12337.571.453,29406.584.465,14
sermaye yedekleri
7.016.019.386,115.887.499.288,566.090.255.009,435.606.253.842,226.467.071.463,064.490.647.558,443.957.965.690,073.143.489.790,852.969.219.500,331.407.650.185,581.275.048.962,791.221.312.705,621.470.997.527,6
dönüştürülebilir tahvil borçları (özkaynak oranı)
0434.196.918,18449.149.940,65414.641.426,04481.902.946,88385.313.486,15340.052.924,2335.147.861,87410.313.291,35235.066.950,97212.923.548,11203.949.998,96245.645.478,71
geçmiş yıllar karları
12.101.107.277,0810.188.300.835,539.477.410.077,237.849.158.594,228.366.203.976,416.553.638.543,855.280.139.287,264.927.230.501,775.493.892.169,252.982.041.973,292.496.367.733,692.206.051.124,022.587.137.032,44
diğer kapsamlı gelir
-3.637.574.001,62-3.349.741.470,94-3.825.638.503,62-3.433.678.918,51-4.067.748.577,8-3.359.860.600,12-2.811.550.733,26-2.969.338.077,38-3.456.566.234,82-1.899.512.301,32-1.581.304.651,08-1.560.714.461,07-2.256.039.642,17
ana ortaklığa ait özkaynaklar
16.378.643.156,1913.970.340.515,2713.029.159.45111.209.534.760,0212.144.678.075,738.617.057.931,867.252.684.500,855.897.634.627,725.958.603.993,913.029.492.591,312.680.362.980,52.342.398.600,832.380.983.943,73
azınlık payı
2.364.920.182,881.802.392.196,851.574.823.823,041.252.999.703,051.219.226.927,6875.771.452,38877.424.793,67671.114.821,91947.895.852,91539.702.801,56580.006.699,63545.568.075,56456.106.014,18
özkaynaklar
18.743.563.339,0715.772.732.712,1214.603.983.274,0412.462.534.463,0713.363.905.003,339.492.829.384,248.130.109.294,526.568.749.449,636.906.499.846,823.569.195.392,873.260.369.680,132.887.966.676,382.837.089.957,9
tahviller
0-0,3718.284.023,5133.491.616,9888.802.435,42769.187.090,91678.934.800,91.440.739.745,962.659.146.632,451.812.516.730,551.629.271.641,51.549.046.213,231.851.808.679,56
finansal yükümlülükler
4.428.029.433,185.510.591.794,95.500.075.206,3212.023.140.052,6
karşılıklar
980.787.928,95872.645.596
diğer ticari borçlar
440.415,71426.959,64
ertelenmiş vergi yükümlülüğü
612.826.963,91517.798.175,96433.069.658,01537.053.129,98585.087.246,82287.508.445,16284.773.866,69284.968.581,82351.327.912,87170.373.735,17162.380.972,45190.008.776,88118.844.514,57
uzun vadeli yükümlülükler
11.479.928.081,2312.194.396.611,6412.235.010.907,5211.739.033.694,4713.570.102.290,4814.932.811.038,2413.493.662.760,5713.598.421.500,0217.547.378.025,9710.476.788.198,729.538.183.339,999.284.445.389,5610.703.298.634,59
ticari borçlar
8.621.768.151,658.628.758.1328.353.601.745,346.657.572.041,697.828.485.909,175.284.795.276,815.178.052.035,673.986.735.357,244.608.579.540,682.864.612.107,662.872.898.053,582.223.008.838,892.116.439.967,72
cari dönem vergisiyle ilgili yükümlülükler
641.163.201,83916.854.142,871.026.343.594,26818.022.799,25665.139.154,4761.173.852,89413.850.989,15339.645.745,32393.131,9191.038.686,6107.222.513,71235.359,36301.575,82
diğer yükümlülükler
4.938.887.355,024.121.351.950,61
kısa vadeli yükümlülükler
19.610.636.070,6220.940.764.568,9321.394.795.281,7120.464.123.927,9721.853.052.805,3213.165.445.75312.452.525.965,819.455.157.141,0310.409,535.616.333.523,555.477.907.609,024.624.314.888,624.589.133.060,04
toplam yükümlülükler
49.834.127.490,9248.907.893.892,748.233.789.463,2844.665.692.085,5148.787.060.099,1337.591.086.175,4834.076.298.020,929.622.328.090,6834.863,4119.662.317.115,1418.276.460.629,1416.796.726.954,5718.129.521.652,53