ENSRI yeni halka arz olduğu için yeterince finansal verisi bulunmamaktadır.

Ensari Deri Gıda Sanayi ve Ticaret A.Ş. (ENSRI) Bilanço Tablosu

PRO üyemiz olmadığınız için ENSRI bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/12
nakit ve nakit benzerleri
13.184.70311.795.83530.924.03223.056.6233.291.84913.863.16225.267.98211.597.62621.754.53812.157.1352.230.95949.780.36262.597.78665.457.64865.675.6351.914.251
ticari alacaklar
120.851.400150.645.905154.717.914183.145.659112.835.02781.392.459113.900.896102.022.507144.188.993107.296.95961.389.81078.944.24776.680.61477.938.97538.975.33852.033.982
diğer alacaklar
3.412.5513.178.7873.526.1612.513.6283.008.2523.142.0942.457.9702.197.7673.560.9884.277.0781.536.6881.366.7136.143.2487.192.3095.063.977473.944
stoklar
690.073.370639.266.336586.363.237724.230.526563.146.051520.955.310480.633.817576.701.027250.677.182215.022.509191.579.044276.349.315123.185.184110.060.65987.231.88355.941.102
peşin ödenmiş giderler
19.504.66120.268.0516.396.2457.683.27922.829.38313.639.16214.986.9722.899.71612.694.1792.404.7041.854.25621.165.50018.791.8269.896.2832.284.159841.975
cari dönem vergisiyle ilgili varlıklar
2.8770153.032191.948153.03200221.7241.465.5272.780.134002.915.8682.915.868
diğer dönen varlıklar
206.234147.987106.2312.989.7137.560.7008.924.65912.395.23612.918.2525.866.0516.482.7267.669.1228.105.9581.493.8983.154.0033.316.5911.929.123
ara toplam
479.381.243825.302.901782.186.852943.811.376712.824.294641.916.846649.642.873455.548.100438.741.931347.862.835267.725.406312.747.075288.892.556273.699.877205.463.451148.907.894
toplam dönen varlıklar
847.235.796825.302.901782.186.852943.811.376712.824.294641.916.846649.642.873708.336.895438.741.931347.862.835267.725.406438.492.229288.892.556273.699.877205.463.451116.050.245
toplam varlıklar
2.159.271.0942.055.971.2961.953.386.6092.321.472.9841.474.142.6541.347.842.3911.305.205.6521.556.610.212656.906.886555.880.599477.240.207897.223.570468.621.261454.680.491376.655.026288.264.510
yatırım amaçlı gayrimenkuller
810.507.316753.927.533711.208.376843.119.137356.646.979327.440.767302.053.518402.109.953141.235.000141.235.000141.235.000232.717.147124.323.251124.323.251124.323.251124.323.251
maddi duran varlıklar
481.138.961457.287.014439.347.158508.356.136387.131.320360.816.925335.786.008422.113.19064.936.44358.831.56359.893.234210.693.82645.926.77446.668.77946.820.15947.838.163
maddi olmayan duran varlıklar
20.389.02119.453.84820.644.22326.186.33517.540.06117.667.85317.723.25324.050.1747.374.9967.880.7818.386.56715.320.3689.478.6809.988.58448.16552.851
toplam duran varlıklar
1.312.035.2981.230.668.3951.171.199.7571.377.661.608761.318.360705.925.545655.562.779848.273.317218.164.955208.017.764209.514.801458.731.341179.728.705180.980.614171.191.575172.214.265
kısa vadeli borçlanmalar
77.511.63646.919.08156.755.39277.513.65260.708.63262.788.014167.500.598222.577.233228.421.420182.838.18339.297.72087.560.028123.264.933122.748.68689.113.40575.590.511
uzun vadeli borçlanmaların kısa vadeli kısımları
255.224.308239.559.364200.020.770213.882.825179.516.442153.238.94991.804.066122.754.81369.356.56846.746.929109.707.44696.567.93913.469.20218.485.02719.368.10423.117.128
ticari borçlar
91.738.27582.037.29682.305.772135.690.562122.268.114108.653.587101.659.16293.575.15755.979.55366.478.43958.422.326116.159.57764.929.54066.417.82933.668.54439.937.727
çalışanlara sağlanan faydalar kapsamında borçlar
6.604.9136.953.5737.905.1529.355.8608.629.0527.814.5207.699.3177.229.3144.267.6734.350.4746.531.6263.902.8312.587.2442.110.9071.574.0281.070.460
diğer borçlar
169.13793.128181.705209.080167.3186.346.48619.452.27342.769157.490189.99868.492934.3040001.303.039
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
37.091.40397.458.430104.946.408110.361.58740.605.71226.755.28860.825.343803.006216.345692.7431.153.16064.42562.674279.161299.714540.110
toplam yükümlülükler
770.873.836761.687.699735.659.816886.323.862540.377.494493.366.523520.919.113600.148.183397.382.051325.744.658237.080.471375.810.376260.147.307266.837.438197.947.079194.283.732
kısa vadeli karşılıklar
11.041.5712.274.1611.851.34811.331.5082.263.3472.216.3805.143.7571.419.6151.052.942661.682562.2421.104.856756.799573.732237.85745.884
toplam kısa vadeli yükümlülükler
479.381.243480.896.110460.581.159558.345.074418.834.275371.895.246454.084.516455.548.100366.657.394304.668.799219.423.986312.747.075212.369.727218.121.559151.452.991148.907.894
uzun vadeli borçlanmalar
41.576.74544.983.98740.090.19667.794.94466.943.73362.588.42646.052.61739.019.14222.507.15612.904.5059.091.60819.117.15318.135.01719.907.61225.468.80323.082.188
uzun vadeli karşılıklar
8.823.1499.456.1116.245.0566.916.3665.881.4585.782.7674.757.7934.478.5702.616.2602.195.6272.053.9774.966.0474.340.5053.356.4972.737.1521.556.861
ertelenmiş vergi yükümlülüğü
236.856.092222.238.922223.687.260245.780.93043.887.67447.657.6499.986.76091.534.48300172.76029.247.97418.280.74718.111.66018.288.13319.433.750
diğer uzun vadeli yükümlülükler
4.236.6074.112.5695.056.1457.486.5484.830.3545.442.4356.037.4279.567.8885.601.2415.975.7276.338.1409.732.1277.021.3117.340.1100
toplam uzun vadeli yükümlülükler
291.492.593280.791.589275.078.657327.978.788121.543.219121.471.27766.834.597144.600.08330.724.65721.075.85917.656.48563.063.30147.777.58048.715.87946.494.08845.375.838
toplam kaynaklar
2.159.271.0942.055.971.2961.953.386.6092.321.472.9841.474.142.6541.347.842.3911.305.205.6521.556.610.212656.906.886555.880.599477.240.207897.223.570468.621.261454.680.491376.655.026288.264.510
ana ortaklığa ait özkaynaklar
1.388.397.2581.294.283.5971.217.726.7931.435.149.122933.765.160854.475.868784.286.539956.462.029259.524.835230.135.941240.159.736521.413.194208.473.954187.843.053178.707.94793.980.778
toplam özkaynaklar
1.388.397.2581.294.283.5971.217.726.7931.435.149.122933.765.160854.475.868784.286.539956.462.029259.524.835230.135.941240.159.736521.413.194208.473.954187.843.053178.707.94793.980.778