Euro Kapital Yatırım Ortaklığı A.Ş. (EUKYO) Bilanço Tablosu

PRO üyemiz olmadığınız için EUKYO 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
8.700.22211.204.73511.603.93612.326.4099.159.1666.144.59612.696.63915.459.53415.658.23012.367.37039.207.94738.424.86238.771.09340.712.16835.296.11939.176.37441.962.11238.042.97031.131.47225.800.42427.478.89121.256.45421.883.00820.571.18020.191.96317.632.0467.367.445
finansal yatırımlar
57.682.47561.294.83566.192.77853.696.13254.217.52649.453.09963.100.81942.187.63836.705.39935.389.44339.937.6967.913.8937.101.7653.208.7257.158.7382.111.447729.7083.020.2598.787.81913.102.6389.303.8199.519.06511.636.99613.188.42712.554.00811.092.74319.663.442
ticari alacaklar
941.956173.942116.364000000001.054.6660709.98000
diğer alacaklar
99.144119.802110.788169.968257.0412.746.55720.734105.67720.6237.89961.6063.45316.9102.18910.68025.22648.82051.42541.55845.35034.17320.12211.1794.5072.0982.8481.847
peşin ödenmiş giderler
234.209344.627189.95777.328184.237266.840208.30255.87166.12398.91722.80512.19723.06333.9269769.53318.08926.6462.5646.60212.74322.3402.2775.6449.01212.2922.017
toplam dönen varlıklar
67.658.00673.137.94178.213.82366.269.83763.817.97058.611.09276.026.49457.808.72052.450.37547.863.62979.230.05446.354.40545.912.83145.011.67442.466.51341.322.58042.758.72941.141.30039.963.41338.955.01436.829.62631.527.96133.533.46033.769.75832.757.08128.739.92927.034.751
maddi duran varlıklar
6.804.2596.885.8397.820.9506.597.3946.454.8826.309.1388.392.244188.457150.130163.080318.432152.78687.13770.66085.30889.155104.338116.423131.457143.988158.938174.036190.124212.562237.950263.339285.676
kullanım hakkı varlıkları
4.820.2745.157.6204.809.2964.184.8714.123.1784.062.7214.329.0291.820.6791.820.6790
toplam varlıklar
79.408.86885.313.81190.998.47177.052.10274.396.03068.982.95188.747.76759.817.85654.421.18448.026.70979.548.48646.507.19145.999.96845.082.33442.551.82141.411.73542.863.06741.257.72340.094.87039.099.00236.988.56431.701.99733.723.58433.982.32032.995.03129.003.26927.320.477
maddi olmayan duran varlıklar
126.329132.411154.4020150
toplam duran varlıklar
11.750.86212.175.87012.784.64810.782.26510.578.06010.371.85912.721.2732.009.1361.970.809163.080318.432152.78687.13770.66085.30889.155104.338116.423131.457143.988158.938174.036190.124212.562237.950263.340285.726
kısa vadeli borçlanmalar
1.350.454985.903730.898214.371597.280583.207631.015333.475333.475028.44924.37022.702
ticari borçlar
57.86270.81276.61965.88762.55658.48578.89054.89484.78442.96665.21338.52638.19737.39543.73134.95235.55034.27933.33831.47731.05228.45529.81824.19222.702
diğer borçlar
0000349.986631.981004.4890177.04526.3409.1587.53112.83021.734101.07212.94611.95124.08048.22214.07715.28412.1087.79317.00314.179
kısa vadeli karşılıklar
567.162944.624986.618504.668453.816112.677412.239357.941263.494259.832355.28078.63667.70864.17580.939111.500116.010114.70986.24085.20785.77187.75470.67332.61137.02941.85230.551
diğer kısa vadeli yükümlülükler
101.891114.51385.960126.08254.97536.02260.51231.74416.33810.36249.728
ara toplam
2.226.1662.282.14878.213.82366.269.83763.817.9701.506.5281.278.640833.91252.450.37547.863.62979.230.05446.354.405133.662127.048151.52341.322.580265.87241.141.30039.963.41338.955.014176.08331.527.96133.533.46033.769.75878.08628.739.92976.654
toplam kısa vadeli yükümlülükler
2.226.1662.282.1481.995.227966.8661.611.1471.506.5281.278.640833.912847.090348.034695.258168.127133.662127.048151.523181.790265.872174.752143.249152.193176.083141.002126.14083.21978.08691.61876.654
toplam yükümlülükler
4.563.9455.044.2394.609.3983.398.1434.293.1954.327.3643.935.9992.573.0822.543.817683.8781.408.496581.974442.988433.506384.684396.257456.549366.151319.999319.588332.967303.959272.166204.832189.151255.918193.066
uzun vadeli borçlanmalar
1.328.0021.942.1661.914.8301.803.4171.961.8722.116.5792.297.7781.537.1151.537.115
çalışanlara sağlanan faydalar kapsamında borçlar
148.797819.925699.34155.85892.53484.15695.98455.858159.61234.874713.238413.847309.32617.947233.161214.46713.24012.81811.720167.39511.03810.71610.36510.0518.8948.5719.222
toplam uzun vadeli yükümlülükler
2.337.7792.762.0912.614.1712.431.2772.682.0482.820.8362.657.3591.739.1701.696.727335.844713.238413.847309.326306.458233.161214.467190.677191.399176.750167.395156.884162.957146.026121.613111.065164.300116.412
toplam kaynaklar
79.408.86885.313.81190.998.47177.052.10274.396.03068.982.95188.747.76759.817.85654.421.18448.026.70979.548.48646.507.19145.999.96845.082.33442.551.82141.411.73542.863.06741.257.72340.094.87039.099.00236.988.56431.701.99733.723.58433.982.32032.995.03129.003.26927.320.477
ana ortaklığa ait özkaynaklar
74.844.92380.269.57286.389.07373.653.95970.102.83564.655.58784.811.76857.244.77451.877.36747.342.83178.139.99045.925.21745.556.98044.648.82842.167.13741.015.47842.406.51840.891.57239.774.87138.779.41436.655.59731.398.03833.451.41833.777.48832.805.88028.747.35127.127.411
toplam özkaynaklar
74.844.92380.269.57286.389.07373.653.95970.102.83564.655.58784.811.76857.244.77451.877.36747.342.83178.139.99045.925.21745.556.98044.648.82842.167.13741.015.47842.406.51840.891.57239.774.87138.779.41436.655.59731.398.03833.451.41833.777.48832.805.88028.747.35127.127.411