Euro Trend Yatırım Ortaklığı A.Ş. (ETYAT) Bilanço Tablosu

PRO üyemiz olmadığınız için ETYAT 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
8.529.91812.694.65810.150.89911.722.0848.397.6384.423.82512.197.63011.791.95712.765.9858.576.71133.473.65835.463.88035.802.78437.859.03532.522.42536.649.83939.667.67835.844.15429.380.78824.875.06022.214.06720.110.61321.617.40318.254.50517.938.94016.512.3906.624.625
finansal yatırımlar
55.685.10057.733.65866.451.38753.414.03554.659.17250.890.45763.734.69641.678.36635.999.04835.844.61340.529.5117.913.8937.087.1433.208.7247.177.8182.128.907678.1222.966.7418.380.89311.999.5848.995.0628.916.2769.473.92512.649.90612.164.7659.821.71818.157.623
ticari alacaklar
942.4460116.3610268.766000000001.054.577002.556.063710.5680
diğer alacaklar
53.307245.76639.587195.5892.739.61724.34295.27433.75719.04951.66213.61723.69213.07716.86622.38658.84364.17555.29747.69634.16119.9089.1013.0261.5472.2961.195
peşin ödenmiş giderler
479.458737.26888.579205.435473.945517.53097.80981.871120.407193.886231.15341.84082.400152.961120.8299.16317.49925.8965.8129.59615.48522.5543.4156.95511.05414.4821.188
toplam dönen varlıklar
65.690.22971.411.35076.846.81365.537.14363.799.52158.571.42976.054.47753.647.46848.919.19744.634.25974.285.98443.433.23042.996.01942.288.37439.837.93838.810.29540.422.14238.900.96637.822.79036.931.93633.814.83829.779.91931.103.84430.914.39230.116.30626.350.88624.784.631
maddi duran varlıklar
500.723516.554581.672392.979393.068415.432473.496207.959156.903167.837316.601106.99343.35631.37034.32425.65518.09319.70810.9386.0748.23410.39313.07120.45164.67677.58387.080
kullanım hakkı varlıkları
5.284.6705.383.3966.842.6676.124.3356.025.6916.057.2655.936.0571.719.5302.134.2990
maddi olmayan duran varlıklar
180.399183.268208.1530000088177265354442531619708
toplam varlıklar
71.656.02177.494.56884.479.30572.054.45770.218.28065.044.12682.464.03055.574.95751.210.39944.802.09674.602.58543.540.22343.039.37542.319.74439.872.26238.835.95040.440.23538.920.67437.833.72836.938.09833.823.24929.790.57731.117.26930.935.28530.181.51326.429.08824.872.419
toplam duran varlıklar
5.965.7926.083.2187.632.4926.517.3146.418.7596.472.6976.409.5531.927.4892.291.202167.837316.601106.99343.35631.37034.32425.65518.09319.70810.9386.1628.41110.65813.42520.89365.20778.20287.788
kısa vadeli borçlanmalar
1.352.9311.295.7561.595.6011.335.3641.254.0851.224.523365.576343.580451.093000000
ticari borçlar
52.67762.70470.43859.30458.02053.81971.61251.15079.76540.05461.08136.14735.85435.13241.53932.85733.56332.37431.49429.85829.29226.65227.75125.88122.33122.04720.667
diğer borçlar
02.18000349.986632.2210000177.04530.4439.4678.29743.90812.24794.4709.27711.10311.98841.723726.76812.3579.4968.2258.33310.142
kısa vadeli karşılıklar
983.499719.698774.281430.488506.314535.492449.464298.441267.070225.824341.60963.83941.09423.45654.390117.212117.524115.36985.31882.94285.23983.82570.94639.19139.19142.24534.317
diğer kısa vadeli yükümlülükler
143.056252.833287.54193.88564.775127.288150.22839.96226.15315.379119.381
ara toplam
2.730.14971.411.35076.846.81365.537.14363.799.52158.571.42976.054.47753.647.46848.919.19744.634.259753.19643.433.230105.20242.288.374154.99038.810.295259.68138.900.966140.073136.48633.814.83829.779.919121.98830.914.39230.116.30626.350.88624.784.631
toplam kısa vadeli yükümlülükler
2.730.1492.333.1712.727.8612.056.8922.329.3542.573.3431.038.936800.7981.006.672315.482753.196161.543105.20286.191154.990176.869259.681170.603140.073136.486167.589848.299121.98885.73979.47282.08175.803
toplam yükümlülükler
5.824.6444.683.7316.430.0295.451.3725.772.6746.289.4125.705.9372.697.3243.268.866789.5371.630.681639.677396.811394.089392.005394.228452.480354.795301.549283.421303.4281.002.456242.372203.232193.773215.466193.930
uzun vadeli borçlanmalar
1.783.6411.763.9002.358.9492.376.0032.637.7262.962.5633.652.1251.447.3361.742.093
çalışanlara sağlanan faydalar kapsamında borçlar
197.986586.6601.343.219137.85196.17402.05667.665182.59134.225877.48531.11418.78719.306237.01514.55314.12413.583161.47611.69811.33511.054120.38411.1719.7259.45610.677
toplam uzun vadeli yükümlülükler
3.094.4952.350.5603.702.1683.394.4803.443.3203.716.0694.667.0011.896.5262.262.194474.055877.485478.134291.609307.898237.015217.359192.799184.192161.476146.935135.839154.157120.384117.493114.301133.385118.127
toplam kaynaklar
71.656.02177.494.56884.479.30572.054.45770.218.28065.044.12682.464.03055.574.95751.210.39944.802.09674.602.58543.540.22343.039.37542.319.74439.872.26238.835.95040.440.23538.920.67437.833.72836.938.09833.823.24929.790.57731.117.26930.935.28530.181.51326.429.08824.872.419
ana ortaklığa ait özkaynaklar
65.831.37772.810.83778.049.27666.603.08564.445.60658.754.71476.758.09352.877.63347.941.53344.012.55972.971.90442.900.54642.642.56441.925.65539.480.25738.441.72239.987.75538.565.87937.532.17936.654.67733.519.82128.788.12130.874.89730.732.05329.987.74026.213.62224.678.489
toplam özkaynaklar
65.831.37772.810.83778.049.27666.603.08564.445.60658.754.71476.758.09352.877.63347.941.53344.012.55972.971.90442.900.54642.642.56441.925.65539.480.25738.441.72239.987.75538.565.87937.532.17936.654.67733.519.82128.788.12130.874.89730.732.05329.987.74026.213.62224.678.489