Fade Gıda Yatırım Sanayi Ticaret A.Ş. (FADE) Bilanço Tablosu

PRO üyemiz olmadığınız için FADE bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62019/12
nakit ve nakit benzerleri
7.747.57911.646.64221.637.08423.838.01113.029.1565.514.12126.429.19819.346.79612.306.1285.355.92210.885.0645.184.92718.665.2431.295.303550.4971.791.961774.519805.202674.96215.298.5475.721.058388.178
ticari alacaklar
080.561.595107.275.6210100.298.0140060.359.915008.04829.708.63226.938.04410.58013.42514.41535.81034.27218.279.94716.876.38311.890.6888.649.992
finans sektörü faaliyetlerinden alacaklar
00000000000000
türev araçlar
00000000000000
stoklar
63.123.469173.988.552178.008.196156.544.82628.431.77676.111.54483.215.37039.106.3752.454.28533.297.654136.158.49559.139.92039.420.80755.569.16559.506.95952.110.85542.203.69648.284.26744.274.19542.327.07326.260.51840.700.596
canlı varlıklar
3.492.18720.495.9933.539.51818.142.4762.676.7809.848.10012.386.9771.441.3865.603.000894.3342.893.9465.769.025812.1544.175.528426.263403.3502.116.1302.174.9302.181.0250
diğer dönen varlıklar
7.880.5938.981.99410.068.6459.088.4529.002.36611.290.16615.617.26410.724.4439.652.7878.189.24213.329.0177.930.3307.242.8046.980.8736.555.0856.239.5425.802.3516.065.2315.184.3324.569.3214.153.2345.629.643
toplam dönen varlıklar
366.596.071389.084.793393.607.777363.256.132265.505.755233.503.199284.204.670210.574.535161.081.309163.745.980332.540.892150.459.669114.772.903103.515.05198.194.140101.053.18693.327.58694.330.63176.829.27081.929.22154.885.31157.292.514
toplam varlıklar
2.043.859.2551.974.174.8672.071.858.6691.789.781.3511.574.267.4701.440.632.5291.802.429.553918.159.790863.242.594753.831.3681.123.651.365531.787.905492.473.224334.046.958326.825.478326.142.869292.941.927293.260.585273.222.802261.850.451233.402.942243.254.697
finansal yatırımlar
8.398.20012.709.5180015.667.08015.261.8560025.448.22427.445.465100.006.62430.320.7288.266.86312.986.7869.726.18916.455.22721.754.10819.466.4895.781.4530
diğer alacaklar
1.500.11202.301.2531.972.3802.062.284002.027.8374.097.8790002.053.0021.432.5781.722.3141.912.0651.948.2101.859.8131.900.1321.766.3731.703.8801.097.361
müşteri sözleşmelerinden doğan varlıklar
00000000000000
yatırım amaçlı gayrimenkuller
1.152.799.3561.087.045.9201.152.341.742997.926.201916.207.556845.142.3141.060.462.076608.976.305608.580.000515.750.000523.310.818317.071.400317.000.000172.779.500172.550.000172.550.000147.032.716147.032.716147.000.000133.697.229133.279.268141.775.000
maddi duran varlıklar
502.941.060477.419.273503.999.371410.317.087381.371.995351.996.025445.277.50293.148.72087.933.88573.393.054264.135.73758.426.29456.097.54253.566.29953.306.81150.724.30850.429.68549.688.03647.195.88346.224.00145.238.36344.116.782
maddi olmayan duran varlıklar
118.489128.888154.770139.455141.468142.89198.32840.80044.40048.00094.46855.20000
peşin ödenmiş giderler
112.397.04096.222.20354.233.65974.462.49094.338.29963.855.91550.077.23841.947.56137.114.5850014.628.92211.373.986003.738.3662.032.7021.461.912004.702.00970.401
diğer duran varlıklar
00000000000000
toplam duran varlıklar
1.677.263.1841.585.090.0741.678.250.8921.426.525.2191.308.761.7151.207.129.3301.518.224.883707.585.255702.161.285590.085.388791.110.473381.328.236377.700.321230.531.907228.631.338225.089.683199.614.341198.929.954196.393.532179.921.230178.517.631185.962.183
toplam yükümlülükler
443.676.906458.253.274488.643.423365.037.746300.517.642310.442.445399.034.118264.746.856224.268.546185.948.678280.112.120135.382.096124.790.13880.596.30480.193.46677.263.05460.920.41667.921.04759.058.86661.011.80976.988.44184.718.406
kısa vadeli borçlanmalar
94.114.30971.952.51986.191.27579.499.30073.479.18052.864.483100.012.90555.694.07852.544.14142.860.73763.108.42841.769.58743.812.74924.379.78921.988.41319.475.6039.653.41911.110.8569.124.1754.665.86412.760.62726.780.477
uzun vadeli borçlanmaların kısa vadeli kısımları
6.129.1673.966.6674.628.0663.966.6673.966.6673.966.6678.373.9696.488.9127.163.6484.655.2669.008.0585.733.4517.950.1379.378.7739.919.8287.316.6457.971.0148.202.3098.056.3177.928.45113.202.7076.039.084
diğer finansal yükümlülükler
00000000000000
ticari borçlar
059.007.11078.057.6750023.215.560027.488.871018.530.222013.974.51605.257.0387.937.2539.570.4705.106.2217.624.2552.714.4228.030.8863.454.7666.237.983
çalışanlara sağlanan faydalar kapsamında borçlar
5.233.9807.063.1606.943.3334.958.1134.969.4304.655.7424.963.3623.207.3182.182.7872.088.8201.707.367728.908419.053284.297218.541221.823252.220235.007183.087204.043153.948206.715
diğer borçlar
200.2679.010.899744.220183.162240.4122.848.767209.579136.2951.282.970100.90311.272.5331.004.85590.35262.9771.406.55438.02637.43235.802279.06633.57429.4263.146.317
müşteri sözleşmelerinden doğan yükümlülükler
00000000000000
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
0046.231.6620050.748.896031.450.35013.224.5360666.081003.394.046569.610344.993512.5491.519.815237.748440.01478.3274.554.217
dönem karı vergi yükümlülüğü
5.431.26004.977.859002.387.9312.720.8672.667.7333.153.0521.817.3092.130.9211.560.790724.537713.8430471.532249.059712.757647.6611.787.7401.256.026458.774
kısa vadeli karşılıklar
673.215337.992463.514385.608473.224367.364579.670347.60898.837452.309225.413406.836237.21889.52490.12971.35983.39082.893148.29736.25343.07276.536
diğer kısa vadeli yükümlülükler
0000000000062.0000
ara toplam
366.596.071389.084.793393.607.777363.256.132265.505.755233.503.199178.227.801128.064.01589.821.702163.745.980106.273.65766.900.84261.109.934103.515.05198.194.140101.053.18693.327.58694.330.63121.390.77381.929.22131.076.55947.500.103
toplam kaynaklar
2.043.859.2551.974.174.8672.071.858.6691.789.781.3511.574.267.4701.440.632.5291.802.429.553918.159.790863.242.594753.831.3681.123.651.365531.787.905492.473.224334.046.958326.825.478326.142.869292.941.927293.260.585273.222.802261.850.451233.402.942243.254.697
toplam kısa vadeli yükümlülükler
212.032.005217.339.673228.237.604199.772.162143.336.543141.055.410178.227.801128.064.01589.821.70280.055.461106.273.65766.900.84261.109.93443.584.09142.130.32837.730.08924.030.68029.803.83821.390.77323.278.13631.076.55947.500.103
uzun vadeli borçlanmalar
4.325.00012.616.66714.720.36112.616.66712.616.6677.933.33311.454.0498.266.6678.766.6678.833.33315.378.805001.128.4453.455.9473.620.4244.975.1546.714.6228.788.88310.814.89519.688.2339.418.791
finans sektörü faaliyetlerinden borçlar
00000000000000
uzun vadeli karşılıklar
6.545.0717.086.6916.591.7034.669.1155.318.2924.931.0384.419.8892.653.4541.863.3242.008.3302.006.0761.039.966797.267774.655619.720595.543699.259576.479494.143589.659384.226323.976
ertelenmiş vergi yükümlülüğü
220.574.563221.018.476238.874.367147.796.640139.005.728156.365.262204.722.800125.626.425123.685.31494.950.651156.290.49367.343.14762.792.58535.046.13633.931.66835.278.97231.177.89130.790.30628.353.50326.295.54525.809.99727.449.994
diğer uzun vadeli yükümlülükler
00000000000000
toplam uzun vadeli yükümlülükler
231.644.901240.913.601260.405.819165.265.584157.181.099169.387.035220.806.317136.682.841134.446.844105.893.217173.838.46368.481.25463.680.20437.012.21338.063.13839.532.96536.889.73638.117.20937.668.09337.733.67345.911.88237.218.303
ana ortaklığa ait özkaynaklar
1.600.182.3491.515.921.5931.583.215.2461.424.743.6051.273.749.8281.130.190.0841.403.395.435653.412.934638.974.048567.882.690843.539.245396.405.809367.683.086253.450.654246.632.012248.879.815232.021.511225.339.538214.163.936200.838.642156.414.501158.386.786
toplam özkaynaklar
1.600.182.3491.515.921.5931.583.215.2461.424.743.6051.273.749.8281.130.190.0841.403.395.435653.412.934638.974.048567.882.690843.539.245396.405.809367.683.086253.450.654246.632.012248.879.815232.021.511225.339.538214.163.936200.838.642156.414.501158.536.291