Elite Naturel Organik Gıda Sanayi ve Ticaret A.Ş. (ELITE) Bilanço Tablosu

PRO üyemiz olmadığınız için ELITE bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92020/12
nakit ve nakit benzerleri
161.098.100168.696.46968.057.653112.692.20119.660.39429.000.56327.252.69046.354.94845.338.75842.041.95329.043.66933.483.81136.706.40418.588.32152.239.02394.129.32940.467.49147.557.007
finansal yatırımlar
10.3338.4965.9947.5185.9029089081.31100000031.46330.0990
ticari alacaklar
823.102.834798.653.992715.376.079853.042.097766.829.128649.223.605459.868.050555.951.115357.962.844328.627.423263.132.771363.560.939230.287.200206.360.176199.052.786177.199.786114.165.98778.162.940
diğer alacaklar
21.650.65318.496.63520.410.51719.670.77726.686.97546.063.45634.263.03020.282.8408.698.502012.072.2917.175.3436.313.6465.331.1304.606.9486.672.14927.102.46029.574.051
stoklar
470.809.202379.800.035472.228.661565.267.379393.450.099302.036.680259.487.801398.819.548168.805.728136.758.982138.762.342282.680.09997.690.97175.711.10585.120.66678.888.17867.534.62276.189.142
diğer dönen varlıklar
20.722.14612.489.5655.032.9342.839.5188.517.5446.023.4932.150.01478.756.4388.048.0713.720.6642.621.5847.777.60219.195.81513.538.8204.146.3078.481.8365.260.5664.690.844
ara toplam
1.564.890.6641.411.726.6361.305.830.572513.074.6281.239.092.161347.341.841287.962.5611.143.577.274636.027.463538.424.322457.175.591749.937.969407.007.349329.927.827348.339.344179.614.256258.549.286118.928.378
toplam dönen varlıklar
1.564.890.6641.411.726.6361.305.830.5721.601.846.2481.239.092.1611.072.351.138821.275.6761.143.577.274636.027.463538.424.322457.175.591749.937.969407.007.349329.927.827348.339.344370.289.872258.549.286239.640.465
yatırım amaçlı gayrimenkuller
19.693.96318.319.21917.281.18619.693.96313.564.94713.564.94712.513.22515.701.2356.600.0006.600.00010.875.013
toplam varlıklar
2.623.140.6292.297.226.9782.111.852.3812.518.487.8601.861.246.6291.671.384.1631.345.782.1611.774.403.590899.984.497791.154.219649.645.5831.135.639.076477.063.987398.218.963416.686.228434.677.068318.904.312300.477.794
maddi duran varlıklar
865.965.422815.113.643777.172.304882.423.460585.428.123562.599.632605.228.410242.747.947231.692.470183.702.271373.531.03966.572.95866.116.61965.306.26363.702.39959.124.56357.419.551
kullanım hakkı varlıkları
00349.080395.531284.5080
maddi olmayan duran varlıklar
1.426.1201.427.3881.528.6081.973.7392.203.1401.756.350716.995868.0567.837.487414.838260.557480.684296.345300.996740.05178.884151.6862.412.246
peşin ödenmiş giderler
12.259.65012.259.64924.718.73448.326.75811.175.71613.711.81138.227.30343.411.0746.251.54713.059.03511.534.39012.251.5201.380.259565.093491.0074.887.131872.1793.466.481
cari dönem vergisiyle ilgili duran varlıklar
158.904.8100
diğer duran varlıklar
009.690.63112.154.9199.386.2247.400.2859.025.921000
toplam duran varlıklar
1.058.249.965885.500.342806.021.809916.641.612622.154.468599.033.025524.506.485630.826.316263.957.034252.729.897192.469.992385.701.10770.056.63868.291.13668.346.88464.387.19660.355.02660.837.329
kısa vadeli borçlanmalar
38.66499.742.400100.698.697150.614.137158.640.55056.530.933105.030.853155.220.57662.195.74260.115.88944.109.24870.250.82232.831.85910.118.33444.550.699111.735.83334.815.22013.321
uzun vadeli borçlanmaların kısa vadeli kısımları
71.500.000013.356.77416.318.72213.356.77413.356.77412.974.95219.284.37716.552.04015.881.74500021.556.13371.396.037
toplam yükümlülükler
518.711.396434.332.794428.673.872582.625.434522.480.598466.754.434355.205.240607.009.064284.950.741248.570.312190.335.345353.615.759189.528.637152.871.045160.164.505198.302.572164.980.243167.380.153
diğer finansal yükümlülükler
855.093276.036434.625243.758559.779044.22245.719181.206
ticari borçlar
317.532.702214.346.318106.858.603173.042.229224.943.575174.885.374105.329.096175.934.249065.352.60870.064.511111.838.11685.615.15473.219.41274.813.48353.393.61937.053.32837.330.084
çalışanlara sağlanan faydalar kapsamında borçlar
15.107.81916.416.0527.985.22016.380.65013.176.34017.517.0167.308.9358.009.2945.681.1943.467.1833.938.0435.766.4161.941.1891.843.3151.451.5451.529.1061.131.3391.205.176
diğer borçlar
31.403.12630.938.38130.253.11082.490.9884.418.14111.202.11612.233.11642.144.97808.711.695130.440182.158207.2532.602.277150.59540.75921.1200
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
30.574.46625.846.83412.922.51216.596.72525.079.55312.974.13832.351.20014.132.925012.836.57019.921.74429.881.30811.592.31623.297.2532.452.1001.266.0912.154.885960.989
dönem karı vergi yükümlülüğü
35.973.04529.253.54040.086.20931.006.36221.474.86007.725.34589.482.35753.268.47730.305.58110.355.14951.233.59226.087.73414.213.6618.575.84310.835.6866.316.4977.544.790
kısa vadeli karşılıklar
6.902.5607.430.7061.194.3761.498.1011.194.3761.194.3762.050.4561.724.4282.091.7621.447.793216.0750
diğer kısa vadeli yükümlülükler
5.451.0225.212.18660.789.36824.692.0895.105.61259.681.1142.714.85016.202.6861.296.8884.012.6376.877.6462.365.991632.781489.601485.593813.162286.977477.981
toplam kısa vadeli yükümlülükler
515.338.497429.462.453374.144.869513.074.628467.389.781347.341.841287.962.561522.135.870247.703.129202.175.923155.658.575271.699.609158.908.286125.783.853132.479.858179.614.256103.335.499118.928.378
toplam kaynaklar
2.623.140.6292.297.226.9782.111.852.3812.518.487.8601.861.246.6291.671.384.1631.345.782.1611.774.403.590899.984.497791.154.219649.645.5831.135.639.076477.063.987398.218.963416.686.228434.677.068318.904.312300.477.794
uzun vadeli karşılıklar
3.372.8994.870.3411.690.7613.661.1183.217.4565.927.1297.143.4979.024.3335.421.5493.720.8531.956.8712.731.8136.125.9528.304.7981.011.8761.308.4601.742.085
ertelenmiş vergi yükümlülüğü
0052.838.24265.889.68851.873.36151.084.13258.463.17973.638.05926.367.33933.409.18820.007.50659.198.527454.948454.948454.948301.762295.008
toplam uzun vadeli yükümlülükler
3.372.8994.870.34154.529.00369.550.80655.090.817119.412.59367.242.67984.873.19437.247.61246.394.38934.676.77081.916.15030.620.35127.087.19227.684.64718.688.31661.644.74448.451.775
ana ortaklığa ait özkaynaklar
2.104.429.2331.862.894.1841.683.178.5091.935.862.4261.338.766.0311.204.629.729990.576.9211.167.394.526615.033.756542.583.907459.310.238782.023.317287.535.350245.347.918256.521.723236.374.496153.924.069133.097.641
toplam özkaynaklar
2.104.429.2331.862.894.1841.683.178.5091.935.862.4261.338.766.0311.204.629.729990.576.9211.167.394.526615.033.756542.583.907459.310.238782.023.317287.535.350245.347.918256.521.723236.374.496153.924.069133.097.641