Gezinomi Seyahat Turizm Ticaret A.Ş. (GZNMI) Bilanço Tablosu

PRO üyemiz olmadığınız için GZNMI 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
137.089.989373.438.983315.919.147342.041.79041.440.61680.779.42764.980.82697.564.44321.981.6604.826.3011.131.97713.818.39951.944.78267.089.09856.729.8217.875.850
ticari alacaklar
353.376325.873.414291.838.065201.162.773318.164.090309.577.858164.082.686178.961.164125.544.18559.762.45323.762.36138.989.14428.558.62826.713.09226.377.72014.797.570
diğer alacaklar
357.639.001305.930.390353.376423.499.760312.752.029607.674561.451273.38992.465.352159.365.78995.582.451112.30833.249.80357.490.67219.115.4332.657.379
stoklar
83.257.9899.836.4132.638.4771.031.99122.879.19118.320.401134.97105.250.0005.250.0000
peşin ödenmiş giderler
1.558.982.82765.38694.229406.9161.256.638.1421.122.105.157240.4391.095.204531.486.670288.432505.454.641642.902175.872.287166.192.79632.873112.587.933
cari dönem vergisiyle ilgili varlıklar
24.24012.85810.401.82801.179.330634.290122.252262.22038.65915.5227.5440147.216142.39441.20516.589
diğer dönen varlıklar
155.551.70295.420.71629.578.27130.747.95914.707.8577.905.23811.194.66610.660.34713.827.5594.223.6521.430.369926.158419.1961.000.688787.22077.416
ara toplam
3.125.809.4482.487.040.7272.531.048.4022.457.874.0512.085.797.8371.921.027.8921.908.893.1791.036.783.7621.087.241.459707.621.745557.180.6431.401.179.630564.506.029485.358.472344.052.393118.563.796
toplam dönen varlıklar
3.125.809.4482.680.838.1432.531.048.4022.457.874.0512.085.797.8371.921.027.8921.908.893.1791.668.710.3781.087.241.4591.217.047.0201.011.805.6311.401.179.630564.506.029485.358.472344.052.393142.804.775
toplam varlıklar
5.171.463.6274.184.571.7393.618.326.0513.713.965.0693.001.360.8882.872.994.6032.353.422.6782.198.813.2301.371.407.6931.311.564.3301.097.788.6091.449.407.741602.230.997496.323.793352.905.854151.020.619
finansal yatırımlar
514.931.736478.986.741361.296.72041.449.355118.036.582120.632.791121.403.091384.956.24660.000.000476.839.736379.186.288785.916.628274.314.117166.729.73275.009.311903.031
özkaynak yöntemiyle değerlenen yatırımlar
69.171.74764.342.67660.697.40169.171.74755.655.67051.858.87047.862.78059.145.51738.062.5000
maddi duran varlıklar
574.025.445253.997.39974.774.83889.384.99372.922.97166.964.70459.454.50163.971.13434.392.40524.453.0214.081.08210.057.5794.632.9394.709.8822.355.8702.004.890
kullanım hakkı varlıkları
881.998.694702.955.901586.919.123681.089.680420.583.233489.474.48813.457.15117.268.1893.380.8273.623.3103.137.60814.633.4161.386.6341.763.3182.135.9082.099.128
maddi olmayan duran varlıklar
4.594.9683.032.1173.141.9623.901.6203.171.8772.692.9682.380.1343.393.1731.111.6261.211.5461.406.0741.164.330457.227468.310479.27369.131
toplam duran varlıklar
2.045.654.1791.503.733.5961.087.277.6491.256.091.018915.563.051951.966.711444.529.499530.102.852284.166.23494.517.31085.982.97848.228.11137.724.96810.965.3218.853.4618.215.844
kısa vadeli borçlanmalar
1.159.219.294721.899.343480.153.218516.841.00924.055.15623.057.0774.623.3712.971.81678.933.23632.037.7502.293.3584.508.4811.373.2261.557.0571.608.0481.666.031
toplam yükümlülükler
3.761.308.8642.958.193.7272.406.804.7312.288.264.6851.893.778.5591.935.132.6231.500.496.0161.042.118.468786.683.540711.681.577560.361.084513.926.121277.813.000253.040.335183.595.016119.613.487
uzun vadeli borçlanmaların kısa vadeli kısımları
210.832.54738.659.36838.392.1111.905.4542.736.177
diğer finansal yükümlülükler
4.510.0534.853.4593.053.9603.881.3773.360.2563.511.5311.283.8081.803.4841.326.468873.717294.504365.334985.046369.884
ticari borçlar
1.157.056.350612.476.949646.963.759536.668.439771.524.071565.783.861531.429.620215.236.506234.034.25777.105.97486.021.81486.028.26894.120.49965.234.47659.324.12946.543.290
çalışanlara sağlanan faydalar kapsamında borçlar
14.432.09313.809.44414.232.14912.882.7789.303.0839.513.5689.441.9565.708.3663.739.0269.606.6282.365.5182.169.5911.427.5741.567.643914.920606.456
diğer borçlar
6.824.45645.048.65012.202.003717.35920.690.376588.6798.005.803865.201568.749559.643527.517830.1141.414.0681.424.5471.396.2499.275.377
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
627.736.3141.018.966.661871.054.834712.194.152716.103.262954.650.963921.189.598802.471.033433.924.439582.185.452462.613.526412.381.426162.999.484179.906.437117.332.82255.885.980
dönem karı vergi yükümlülüğü
8.926.351013.014.7430358.097517.016852.772852.7721.464.0655.574.2191.076.2753.766.956
kısa vadeli karşılıklar
9.556.54910.230.7439.109.6858.523.9454.307.6424.497.8885.236.7695.109.8381.701.6961.332.4351.071.8151.182.012855.963725.633536.956420.894
diğer kısa vadeli yükümlülükler
35.273.25521.096.110300.4527.439.4557.084.647564.6381.152.128392.45512.836.692232.153960.627126.012987.86789.055105.94128.928
toplam kısa vadeli yükümlülükler
3.234.367.2622.487.040.7272.034.016.1001.836.713.2081.569.964.3571.562.016.9301.481.437.3421.036.783.762767.874.675707.621.745557.180.643509.563.686269.047.404251.946.457182.204.111118.563.796
toplam kaynaklar
5.171.463.6274.184.571.7393.618.326.0513.713.965.0693.001.360.8882.872.994.6032.353.422.6782.198.813.2301.371.407.6931.311.564.3301.097.788.6091.449.407.741602.230.997496.323.793352.905.854151.020.619
uzun vadeli borçlanmalar
431.049.177394.879.242300.938.348387.903.125313.296.048318.992.384891.79103.332.2743.281.9962.315.0323.391.592431.339735.4781.058.789869.021
uzun vadeli karşılıklar
5.925.6175.053.2653.496.2354.825.4462.712.4963.980.3422.572.096976.591777.836830.737970.843334.257358.400332.116180.670
ertelenmiş vergi yükümlülüğü
89.966.80871.220.49368.354.04858.822.9067.805.65850.142.96715.295.6422.762.610034.6720
toplam uzun vadeli yükümlülükler
526.941.602471.153.000372.788.631451.551.477323.814.202373.115.69319.058.6745.334.70618.808.8654.059.8323.180.4414.362.4358.765.5961.093.8781.390.9051.049.691
ana ortaklığa ait özkaynaklar
1.410.154.7631.226.378.0121.211.521.3201.425.700.3841.107.582.329937.861.980852.926.6621.156.694.762567.935.739582.950.200521.995.079910.167.148319.012.343238.217.700169.310.83831.407.132
toplam özkaynaklar
1.410.154.7631.226.378.0121.211.521.3201.425.700.3841.107.582.329937.861.980852.926.6621.156.694.762584.724.153599.882.753537.427.525935.481.620324.417.997243.283.458169.310.83831.407.132