Ekiz Kimya Sanayi ve Ticaret A.Ş. (EKIZ) Bilanço Tablosu

PRO üyemiz olmadığınız için EKIZ 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
42.77441.79148.92755.18721.71118.77826.24117.34717.33117.6661.465.199879.972864.901864.9432.701.3244.6776.9504.3343.7243.7899346866052.128800.1401.6631.762
ticari alacaklar
18.900.32216.885.09914.905.08112.326.8829.763.7888.322.3869.477.9076.072.3205.054.7193.441.4313.941.4091.495.9851.039.0601.027.5012.036.4241.393.3851.406.0751.356.5391.352.8121.367.4762.471.3348.017.856814.40319.217.0878.358.5726.718.335411.484
diğer alacaklar
55.521501.8832.19736.5387.734.4004.824.4085.056.6485.052.6155.696.5355.412.2345.370.9625.513.0326.691.6067.056.2388.456.2918.842.7758.914.2389.071.3389.116.8568.981.0469.009.602
peşin ödenmiş giderler
7.07282.8624.79439.84447.01465.07366.86282.92592.70180.48015.31018.74023.699621.17746.033616.295613.25255.70164.38852.89533.54544.80880.792116.725678.481642.235
diğer dönen varlıklar
904.377752.213749.450572.860472.253372.995359.523185.00082.80643.639349172.84921.111
toplam dönen varlıklar
19.910.06618.263.84815.710.44912.995.99210.304.7668.779.2329.863.6716.341.5295.274.3193.595.43713.221.8377.215.6756.979.3496.968.75810.777.2017.030.8976.831.4887.432.2868.380.7428.620.62111.110.18417.023.5929.902.78428.500.07518.521.02316.508.25510.193.813
yatırım amaçlı gayrimenkuller
364.320.604343.677.619364.320.604293.832.115281.852.702260.000.000173.254.800120.000.000120.000.000123.255.000203.090.861123.255.00087.255.00071.751.27571.751.27546.710.47046.710.47040.710.47040.710.47037.410.47018.700.00017.488.00017.488.00011.221.44011.221.44011.221.44011.221.440
maddi duran varlıklar
41.10037.91647.95346.05450.97541.00860.28545.22627.530100.323580.309130.506145.141159.833200.116218.977232.617311.254339.323361.53017.708.68017.750.75019.210.29619.391.68919.516.77219.661.90119.801.419
toplam varlıklar
389.389.149363.864.800382.327.323306.913.616293.993.929270.594.758186.326.448126.404.814125.320.944126.966.014216.948.970130.609.63794.388.39578.889.22083.352.18953.966.47554.393.02449.068.08049.992.78446.394.54747.519.28452.262.76246.601.50059.113.62449.259.65547.392.01641.217.092
ertelenmiş vergi varlığı
5.117.3791.877.4002.238.9631.733.0721.741.1023.095.532
diğer duran varlıklar
8.0179.35439.45536.22433.41641.9298.0178.0178.01729.041
toplam duran varlıklar
369.479.083345.600.952366.616.874293.917.624283.689.163261.815.526176.462.777120.063.285120.046.625123.370.577203.727.133123.393.96287.409.04671.920.46272.574.98846.935.57847.561.53641.635.79441.612.04237.773.92636.409.10035.239.17036.698.71630.613.54930.738.63230.883.76131.023.279
ticari borçlar
2.815.878247.991261.071339.267411.282402.019233.127686.270742.144775.9231.200.092723.237605.436619.6287.300.1057.450.2267.140.1717.248.2157.553.5957.284.3348.878.52214.539.4417.716.57930.117.39919.141.08315.892.7348.207.369
çalışanlara sağlanan faydalar kapsamında borçlar
953.472619.9431.122.610713.201695.442715.977854.6922.078.5671.899.9921.870.454700.267492.389269.911205.341811.494876.619856.560873.104940.2791.065.3821.415.0031.518.5831.506.1531.754.1821.728.5821.621.1941.553.922
diğer borçlar
29.441.82628.144.83029.218.66427.617.38325.031.70423.002.53127.014.80718.453.32017.176.0135.687.09912.325.1336.031.3924.956.9863.985.9853.628.4234.499.0462.015.3062.355.1663.851.8835.897.6455.846.8705.716.7624.827.8514.655.7274.460.7864.822.1674.666.022
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
100.32798.178373.40058.64835.67635.67635.67635.67665.67697.426105.67670.00095.00195.0014.377.022127.687133.715133.715133.715
kısa vadeli karşılıklar
7.099.1231.568.7301.578.4831.316.2501.350.505384.875991.473170.185118.454162.047164.232780.523770.973697.602659.683690.022661.996654.887634.331907.321900.843905.0521.014.1531.012.9201.013.6421.021.7901.010.089
diğer kısa vadeli yükümlülükler
6.438.6197.253.5887.823.3491.002.9043.919.256680.000680.000680.0001.120.456
ara toplam
19.910.06618.263.84840.104.50412.995.99210.304.7668.779.2329.863.67122.068.34220.616.6033.595.43743.501.5917.215.6756.979.3496.968.75831.048.90723.318.3286.831.4887.432.28624.583.01526.075.67111.110.18417.023.59231.560.84547.804.03138.411.30716.508.25527.380.113
toplam kısa vadeli yükümlülükler
46.748.91837.835.08240.104.50429.986.10127.488.93325.508.30633.111.53322.068.34220.616.60323.104.52743.501.59119.092.43417.170.14412.259.04231.048.90723.318.32820.389.54317.946.05424.583.01526.075.67126.115.56330.980.76431.560.84547.804.03138.411.30734.204.87627.380.113
toplam yükümlülükler
47.778.71638.906.15641.126.89936.702.45128.244.02326.227.78033.789.34925.615.51825.149.90456.318.71189.699.24948.245.18345.326.45842.122.73758.368.17741.551.40540.356.41839.979.10639.119.86938.899.34437.829.04842.546.81637.315.80354.369.58945.352.50642.138.21835.001.181
uzun vadeli karşılıklar
1.029.7981.071.0741.022.395898.557755.090719.474677.816263.7741.171.1601.128.478880.191514.769438.659342.982452.201402.201238.399223.627178.994173.477163.214157.227132.576122.788115.943143.315189.549
toplam uzun vadeli yükümlülükler
1.029.7981.071.0741.022.3956.716.350755.090719.474677.8163.547.1764.533.30133.214.18446.197.65829.152.74928.156.31429.863.69527.319.27018.233.07719.966.87522.033.05214.536.85412.823.67311.713.48511.566.0525.754.9586.565.5586.941.1997.933.3427.621.068
toplam kaynaklar
389.389.149363.864.800382.327.323306.913.616293.993.929270.594.758186.326.448126.404.814125.320.944126.966.014216.948.970130.609.63794.388.39578.889.22083.352.18953.966.47554.393.02449.068.08049.992.78446.394.54747.519.28452.262.76246.601.50059.113.62449.259.65547.392.01641.217.092
ana ortaklığa ait özkaynaklar
341.610.433324.958.644341.200.424270.211.165265.749.906244.366.978152.537.099100.789.296100.171.04070.647.303127.249.72182.364.45449.061.93736.766.48324.984.01212.415.07014.036.6069.088.97410.872.9157.495.2039.690.2369.715.9469.285.6974.744.0353.907.1495.253.7986.215.911
toplam özkaynaklar
341.610.433324.958.644341.200.424270.211.165265.749.906244.366.978152.537.099100.789.296100.171.04070.647.303127.249.72182.364.45449.061.93736.766.48324.984.01212.415.07014.036.6069.088.97410.872.9157.495.2039.690.2369.715.9469.285.6974.744.0353.907.1495.253.7986.215.911