E-Data Teknoloji Pazarlama A.Ş. (EDATA) Bilanço Tablosu

PRO üyemiz olmadığınız için EDATA bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62020/12
nakit ve nakit benzerleri
35.638.12752.806.751122.642.02753.750.34248.967.22435.234.41079.678.14428.051.09351.721.65410.717.92063.945.195140.565.37926.014.71844.965.516115.972.42096.809.00929.220.54321.373.791
finansal yatırımlar
22.011.9608.417.726118.257.730116.229.513129.914.879149.197.182182.063.153199.871.95591.552.24970.387.64389.986.20077.575.05495.846.7500000
ticari alacaklar
634.389.494602.715.638416.619.672577.666.273212.663.044210.669.496183.245.701388.915.843347.591.396176.931.101122.868.081331.605.694103.914.69686.305.94354.075.06263.637.92934.695.12535.046.00444.836.170
diğer alacaklar
402.646535.783175.331105.883134.619109.968108.15692.862002.624139.795170.8202.633.122122.328076.91435.8241.217.830
stoklar
206.120.951211.613.998226.975.337174.436.883146.848.688220.683.847124.152.076157.586.502139.996.00297.632.07479.809.020106.418.05159.139.89071.778.69031.245.09318.826.56617.315.17216.439.27213.460.951
peşin ödenmiş giderler
185.064.555121.131.576129.550.27444.140.404565.544188.142027.040.02738.428.214063.708.6855.5876.648.28120.223.973347.322798.9221.803117.29892.006
cari dönem vergisiyle ilgili varlıklar
18.101.71407.955.4907.886.2210
diğer dönen varlıklar
274.181897.13229.585.523551.328481.6764.693.349260.999188.6264.608.6172.517.7882.844.2554.154.8567.959.8247.167.1992.032.2521.357.305288.30950.16256.968
ara toplam
1.102.003.628995.351.414973.970.618367.344.316103.569.597676.372.251548.849.334853.452.501650.227.571432.710.182369.936.785193.393.890318.398.890309.970.395214.562.64352.555.799149.325.27580.909.10334.162.952
toplam dönen varlıklar
1.102.003.628995.351.414973.970.6181.035.949.294603.196.333676.372.251548.849.334853.452.501650.227.571432.710.182369.936.785602.166.434318.398.890309.970.395214.562.643200.669.048149.325.27580.909.10381.037.716
toplam varlıklar
1.315.437.3511.204.725.7591.173.273.8761.261.404.523788.810.898840.431.633701.949.1601.048.342.235762.494.317465.534.450399.992.100677.114.231346.664.298337.348.849240.482.004222.655.665151.600.80583.114.48184.643.135
yatırım amaçlı gayrimenkuller
186.378.839180.965.354170.711.208194.545.686143.908.541134.000.114123.610.770155.103.50498.300.00018.898.76918.995.95951.676.885
maddi duran varlıklar
24.131.14124.219.84123.479.35525.045.41518.950.73717.968.78314.522.30319.835.7816.935.5865.732.2905.921.35212.966.44224.133.49623.337.14522.215.76920.380.085536.602568.5432.034.424
kullanım hakkı varlıkları
2.066.3373.860.9774.609.3935.354.8816.797.7386.929.0126.726.1689.369.3466.173.9836.454.4893.545.2498.104.0402.679.7022.679.7021.719.151222.183328.591435.000470.226
maddi olmayan duran varlıklar
633.968243.755292.369403.364677.192968.8751.078.5831.767.818679.024744.373861.2822.089.388858.385944.5661.042.2461.137.781100.218110.82645.158
toplam duran varlıklar
213.433.723209.374.345199.303.258225.455.229185.614.565164.059.382153.099.826194.889.734112.266.74632.824.26830.055.31574.947.79728.265.40827.378.45425.919.36121.986.6172.275.5302.205.3783.605.419
kısa vadeli borçlanmalar
2.437.2453.851.3715.091.8982.376.780947.434878.1583.431.79242.171.820151.140.5830121.9701.306.10418.000.0001.500.00000002.002.210
ticari borçlar
336.294.008318.103.171316.043.229289.515.43789.756.168143.917.95587.737.685194.489.604109.773.949106.679.61093.903.059163.770.73263.684.536108.167.11544.954.31834.120.03814.019.51318.897.04820.899.556
finans sektörü faaliyetlerinden borçlar
000
toplam yükümlülükler
446.778.397396.940.533411.423.237393.921.576111.514.648168.920.680128.230.947296.592.476331.525.506139.892.765123.018.445207.604.56498.201.651122.885.65556.272.96354.724.47321.400.50931.161.66837.444.375
çalışanlara sağlanan faydalar kapsamında borçlar
7.755.4213.283.8025.269.3133.176.9712.171.8903.694.2652.422.9072.427.6411.644.2431.189.6162.907.4851.176.793405.934294.497251.328483.144528.442462.490291.007
diğer borçlar
24.864.3757.844.9723.471.02935.802.3675.447.6249.751.39019.521.11427.953.5714.446.4065.125.9626.410.3687.542.4742.112.2491.575.9861.201.0731.905.420560.341987.7542.681.798
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
18.873.172039.627.68634.153.7052.728.4411.750.6351.172.1565.325.19921.351.0004.324.16410.528.56310.190.7731.122.1311.319.019591.3324.962.31304.578.6824.025.961
dönem karı vergi yükümlülüğü
13.950.1098.924.9088.623.1340007.870.91810.983.96713.194.93811.735.6501.928.7527.407.9076.642.6713.402.0933.246.4428.951.8671.596.0291.129.0842.192.759
kısa vadeli karşılıklar
3.326.8973.433.8002.684.5662.319.0562.518.0401.469.670982.0271.032.668543.760633.202423.882872.909262.764212.217309.618196.940231.694219.948108.649
toplam kısa vadeli yükümlülükler
407.501.227366.310.431380.810.855367.344.316103.569.597161.462.073123.138.599284.384.470303.018.792130.527.663117.307.879193.393.89093.949.835118.649.60652.697.84552.555.79918.974.54228.310.17034.162.952
uzun vadeli borçlanmalar
0004.125.4232.254.6942.476.85904.167.6046.103.0006.316.2343.431.7925.959.7792.526.6772.665.0861.983.772982.8841.430.5011.869.3302.512.029
uzun vadeli karşılıklar
7.267.19508.556.8275.690.3574.981.7485.092.3488.040.4022.877.3223.048.8682.278.7744.378.4711.725.1391.570.9631.591.3461.185.790995.466982.168769.394
ertelenmiş vergi yükümlülüğü
32.009.97521.811.86023.355.52713.895.0100019.526.3923.872.424
toplam uzun vadeli yükümlülükler
39.277.17030.630.10230.612.38226.577.2607.945.0517.458.6075.092.34812.208.00628.506.7149.365.1025.710.56614.210.6744.251.8164.236.0493.575.1182.168.6742.425.9672.851.4983.281.423
toplam kaynaklar
1.315.437.3511.204.725.7591.173.273.8761.261.404.523788.810.898840.431.633701.949.1601.048.342.235762.494.317465.534.450399.992.100677.114.231346.664.298337.348.849240.482.004222.655.665151.600.80583.114.48184.643.135
ana ortaklığa ait özkaynaklar
868.658.954807.785.226761.850.639867.482.947677.296.250671.510.953573.718.213751.749.759430.968.811325.641.685276.973.655469.509.667248.462.647214.463.194184.209.041167.931.192130.200.29651.952.81347.198.760
toplam özkaynaklar
868.658.954807.785.226761.850.639867.482.947677.296.250671.510.953573.718.213751.749.759430.968.811325.641.685276.973.655469.509.667248.462.647214.463.194184.209.041167.931.192130.200.29651.952.81347.198.760