Erciyas Çelik Boru Sanayi A.Ş. (ERCB) Bilanço Tablosu

PRO üyemiz olmadığınız için ERCB bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122020/12
nakit ve nakit benzerleri
116.315.669428.688.272231.302.832175.524.81077.575.456250.090.256175.909.314330.412.607166.302.769118.117.96555.738.479123.817.19984.755.186167.838.74776.517.026
ticari alacaklar
54.745.1651.641.348.71847.197.09443.962.9151.656.464.338743.110.07335.664.06533.096.84824.305.062581.068.503721.522.09827.156.28524.228.47421.959.215162.645.307
stoklar
734.883.114811.651.206734.022.028944.214.0971.404.737.0441.327.471.383847.689.209651.377.756404.331.814576.248.959524.486.307511.829.813333.099.828274.607.702166.956.847
cari dönem vergisiyle ilgili varlıklar
541.7481.213.6894.858.6431.262.1671.363.8972.130.295715.408915.2486.689.8806.583.335417.0942.707.696360.887292.746193.204
diğer dönen varlıklar
378.167.762296.085.440350.785.623356.940.216356.998.555328.630.166251.673.811174.550.702145.487.410135.083.662163.928.791147.256.746137.086.065112.064.61973.163.287
toplam dönen varlıklar
9.805.769.7258.678.951.2007.856.435.9097.575.339.6937.412.884.1356.042.989.5035.478.304.4575.082.886.5573.382.796.8622.869.545.8302.895.492.2602.465.981.8901.953.523.3401.540.545.360985.765.200
toplam varlıklar
14.137.340.53612.771.489.07011.827.779.84611.438.617.84711.151.412.3539.769.179.7138.723.358.6658.203.056.2515.703.240.1565.147.204.5395.163.070.9384.529.269.0373.991.159.2323.179.721.0381.912.740.247
finansal yatırımlar
1.228.4021.211.329935.464900.784216.700658.356643.079656.036563.869374.022349.999462.431406.304360.022719.993
diğer alacaklar
5.837.508.96940.75340.7384.210.696.3103.777.825.1993.316.791.4852.805.532.13041.75618.2841.327.646.5021.375.063.67518.286938.130.2313.07668.002
yatırım amaçlı gayrimenkuller
276.439.320257.830.000226.407.235218.013.763214.422.064404.534.858361.116.167340.623.190252.547.974246.642.500230.572.108207.709.036182.498.349161.710.00082.014.335
maddi duran varlıklar
3.657.831.8653.474.311.6603.410.884.2913.331.079.3823.330.068.3493.059.676.6862.809.787.2642.708.303.2292.012.734.4311.970.878.3811.978.450.8141.804.088.6541.596.212.7451.433.101.717713.509.997
kullanım hakkı varlıkları
3.749.7844.440.2141.853.3032.106.3262.359.3201.729.7592.081.0402.432.3042.783.6183.185.9292.049.3701.372.6421.296.9591.498.0191.298.573
maddi olmayan duran varlıklar
59.426.47553.696.44150.827.06548.697.04447.147.50042.413.91135.339.32334.687.24127.060.53526.056.51126.043.96922.479.813232.796.52916.839.370114.677.687
peşin ödenmiş giderler
559.096.709251.088.62581.530.871120.319.085137.702.94674.107.489131.917.257329.090429.5211.64553.985.817050.421.0223.704.25910.064.698
toplam duran varlıklar
4.331.570.8114.092.537.8703.971.343.9373.863.278.1543.738.528.2183.726.190.2103.245.054.2083.120.169.6942.320.443.2942.277.658.7092.267.578.6782.063.287.1472.037.635.8921.639.175.678926.975.047
toplam yükümlülükler
10.394.196.7069.217.767.9068.360.716.4638.111.507.7157.874.265.1326.782.637.8526.025.618.5415.588.570.2523.801.727.4643.296.514.9293.420.599.9432.999.018.1552.466.882.5012.019.480.4511.262.364.288
kısa vadeli borçlanmalar
3.097.743.0912.570.552.9682.941.823.2423.034.996.9392.851.683.3412.448.158.7531.974.105.8031.694.272.2611.244.295.8021.299.684.279946.461.802830.332.997538.937.320720.007.026229.888.525
uzun vadeli borçlanmaların kısa vadeli kısımları
951.073.991918.425.815747.445.102842.895.276707.922.353584.108.496337.175.817171.992.537356.932.005171.119.774285.104.478189.933.120357.770.942144.003.116149.262.885
ticari borçlar
606.912.4902.982.096.724344.865.5531.872.004.6901.909.044.581364.067.283326.096.3032.216.711.895763.528.8290891.122.025755.563.714526.311.528384.168.819278.900.421
çalışanlara sağlanan faydalar kapsamında borçlar
51.513.78961.793.15165.375.07545.416.55846.086.2798.325.71220.853.35311.772.36430.038.0453.196.4008.086.8826.243.8746.122.6181.767.0421.411.452
diğer borçlar
107.192.67119.029.91659.083.97040.344.25357.549.4681.127.7191.744.77195.695.83824.826.5611.471.762127.403.012151.289.145115.742.43224.031.29362.558.791
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
678.475.054292.736.549584.583.127477.051.052585.732.090520.639.589449.625.750423.493.081615.267.33652.791.527272.006.4340160.036.10755.573.00328.293.155
dönem karı vergi yükümlülüğü
24.250.04713.413.7021.9436.626.82200203.628003.326.3542.776.6222.611.9172.172.797296.204
kısa vadeli karşılıklar
32.019.488264.471.929133.487.508115.419.05394.107.97082.402.79241.318.55828.574.08642.434.44854.781.88791.571.97654.820.52421.373.75839.707.59433.669.975
diğer kısa vadeli yükümlülükler
30.289.67332.549.92236.896.52715.440.55814.459.5013.690.60810.892.1496.402.2448.260.2555.431.4459.108.9405.263.9545.607.8623.055.8252.283.700
ara toplam
9.805.769.7257.155.070.6767.856.435.9097.575.339.6937.412.884.1356.042.989.5035.478.304.4574.648.914.3063.085.583.2812.869.545.8302.895.492.2602.465.981.8901.734.514.4841.374.486.515985.765.200
toplam kısa vadeli yükümlülükler
8.346.893.4697.155.070.6766.514.436.9036.450.195.2016.266.585.5835.227.191.8664.483.539.0474.648.914.3063.085.583.2812.593.409.0172.634.191.9032.183.346.5941.734.514.4841.374.486.515803.324.394
toplam kaynaklar
14.137.340.53612.771.489.07011.827.779.84611.438.617.84711.151.412.3539.769.179.7138.723.358.6658.203.056.2515.703.240.1565.147.204.5395.163.070.9384.529.269.0373.991.159.2323.179.721.0381.912.740.247
uzun vadeli borçlanmalar
726.779.938762.145.739898.463.359699.091.539671.539.645676.040.874601.444.827508.222.778389.901.187398.609.855369.286.720442.757.594419.589.750380.688.578303.544.294
uzun vadeli karşılıklar
66.176.88763.241.21674.136.98969.383.62361.036.00134.034.41632.396.19127.006.10835.401.77726.596.59324.768.52118.889.69416.793.48912.684.8969.678.118
ertelenmiş vergi yükümlülüğü
647.433.922591.877.504528.813.659561.076.210545.178.238481.303.413582.142.173404.427.060290.841.219277.899.464392.352.799354.024.273295.984.778251.620.462117.524.327
toplam uzun vadeli yükümlülükler
2.047.303.2372.062.697.2301.846.279.5601.661.312.5141.607.679.5491.555.445.9861.542.079.494939.655.946716.144.183703.105.912786.408.040815.671.561732.368.017644.993.936459.039.894
ana ortaklığa ait özkaynaklar
3.771.710.0313.584.320.6313.478.360.7073.361.783.6923.294.731.5932.986.651.3122.697.579.9702.614.661.3891.901.512.6921.850.689.6101.742.470.9951.530.250.8821.524.276.7311.160.240.587650.375.959
kontrol gücü olmayan paylar
-28.566.201-30.599.467-11.297.324-34.673.560-17.584.372-109.451160.154-175.3900
toplam özkaynaklar
3.743.143.8303.553.721.1643.467.063.3833.327.110.1323.277.147.2212.986.541.8612.697.740.1242.614.485.9991.901.512.6921.850.689.6101.742.470.9951.530.250.8821.524.276.7311.160.240.587650.375.959