Hedef Holding A.Ş. (HEDEF) Bilanço Tablosu

PRO üyemiz olmadığınız için HEDEF bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92020/12
nakit ve nakit benzerleri
801.1852.609.856994.842695.483462.4062.236.3504.276.7999.145.1175.130.2294.093.8042.929.3634.660.8381.251.5903.484.2531.037.073497.556135.8961.470.867
finansal yatırımlar
32.949.67362.842.2532.943.094.0443.860.335.9262.743.472.48110.779.6372.940.965.8494.194.025.501172.279.0122.033.729.1483.521.54127.442.27789.956.35148.379.763790.968.912130.899.83557.983.842382.771.117
ticari alacaklar
75.575.7907.844.4375.968.6219.711356.372796.551595.755546.347138.44175.1870399.1951.090.228881.12523.600
diğer alacaklar
7.3639.0338.52135.8347.742295.026820131.34631.21112.2183.89822.95341.006.16867.224.11698.926.90814.001.17683.010
peşin ödenmiş giderler
1.729.20761.194.3563.385.72448.469.12851.426.31049.279.798175.432.6763.041.80942.914.01432.307.31319.874.34031.826.76130.851.8276.071.211138.6973.134.51458.3211.904
cari dönem vergisiyle ilgili varlıklar
98.38679.85357.33066.61646.94734.835304.268425.3894.224088.565156.754
diğer dönen varlıklar
4.388.8104.321.1435.880.5847.087.5804.583.1265.800.4872.171.9042.308.253636.121437.780246.02986.014482.283416.331314.983250.176
ara toplam
115.550.414139.043.93817.359.24972.505.89819.056.93425.212.463188.067.955168.318.618221.129.0283.246.04526.575.17164.038.843163.465.1311.130.757148.818.191609.36358.493.042301.102
toplam dönen varlıklar
115.550.414139.043.93817.359.24930.422.20219.056.93425.212.463188.067.955168.318.618221.129.028180.239.13626.575.17164.038.843163.465.131126.338.136148.818.191149.129.76658.493.04246.183.765
toplam varlıklar
5.267.596.7284.060.057.1823.050.056.2474.001.485.7312.843.321.6902.998.046.9533.174.917.1794.434.530.4773.025.542.2362.220.253.9972.030.757.9274.016.013.5991.545.762.3701.028.691.804943.289.011826.020.327687.043.457430.097.616
yatırım amaçlı gayrimenkuller
12.407.49511.541.38510.887.40912.407.4955.821.6175.344.8784.285.0006.186.630700.000700.0004.742.625700.000700.000700.000700.000700.000
maddi duran varlıklar
4.013.0084.457.3394.553.1575.668.9372.064.4442.098.1771.875.5082.355.9081.542.582806.884810.6912.578.3751.520.6921.422.8331.444.2332.123.90835.344724.367
kullanım hakkı varlıkları
38.198.23537.929.28331.308.49543.913.70821.436.28437.215.4596.091.72310.152.7894.456.5834.752.6954.978.2824.966.0421.100.998497.797443.008459.673476.337418.367
maddi olmayan duran varlıklar
304.867318.183314.367215.44535.87845.55652.78080.97636.01826.13482.75674.878757.867836.267914.6670
diğer duran varlıklar
043.179
toplam duran varlıklar
5.152.046.3143.921.013.2443.032.696.9983.971.063.5292.824.264.7562.972.834.4902.986.849.2244.266.211.8592.804.413.2082.040.014.8612.004.182.7563.951.974.7561.382.297.239902.353.668794.470.820676.890.561628.550.415383.913.851
kısa vadeli borçlanmalar
8.311.434113.253.1755.549.2788.804.7496.066.3847.976.0161.876.2512.269
ticari borçlar
1.501.0891.197.3982.883.7352.409.23212.961.70612.927.011694.1506.922.421316.18272.12194.130193.50138.55430.0461.942.615298.353221.55156.068
toplam yükümlülükler
833.413.5941.099.199.996430.818.694641.514.525237.391.013321.497.732345.171.273562.412.353535.111.113332.599.617323.524.257522.444.540233.903.647129.622.848114.363.23089.588.15482.847.39080.213.207
çalışanlara sağlanan faydalar kapsamında borçlar
450.234414.339658.167676.566395.0301.283.353589.036668.679180.190141.489111.673799.94893.04366.24051.24703.9601.450
diğer borçlar
208.513.665550.048.08849.871.80359.937.710808.6851.848.807636.3592.245.750280.0451.688.559134.621573.443147.546285.281187.03894.85020.1195.803
kısa vadeli karşılıklar
1.384.7251.029.4991.176.987677.641410.804389.1701.258.527470.080236.38044.7679.52124.6623.79227.7150
toplam kısa vadeli yükümlülükler
220.161.147665.942.49960.139.97072.505.89820.647.75224.424.3574.953.96612.183.1812.388.0093.246.0451.800.6492.781.35813.709.3091.130.7572.719.330609.363443.943301.102
uzun vadeli borçlanmalar
10.044.28510.543.8697.350.95511.345.25811.216.30427.846.8493.122.5114.532.1363.616.4243.616.4243.845.7842.810.1791.040.173528.078419.538303.541321.445290.137
uzun vadeli karşılıklar
881.252695.023837.198578.001364.642377.424324.931217.980125.192153.73550.30941.97921.54522.74342.16230.865
ertelenmiş vergi yükümlülüğü
602.326.910422.018.605362.490.571557.085.368205.162.315268.849.102336.769.865545.479.056528.981.488325.583.413317.827.515516.811.024219.132.620127.964.013111.201.61988.675.25082.039.84079.591.103
toplam uzun vadeli yükümlülükler
613.252.447433.257.497370.678.724569.008.627216.743.261297.073.375340.217.307550.229.172532.723.104329.353.572321.723.608519.663.182220.194.338128.492.091111.643.90088.978.79182.403.44779.912.105
toplam kaynaklar
5.267.596.7284.060.057.1823.050.056.2474.001.485.7312.843.321.6902.998.046.9533.174.917.1794.434.530.4773.025.542.2362.220.253.9972.030.757.9274.016.013.5991.545.762.3701.028.691.804943.289.011826.020.327687.043.457430.097.616
ana ortaklığa ait özkaynaklar
4.434.183.1342.960.857.1862.619.237.5533.359.971.2062.605.930.6772.676.549.2212.829.745.9063.872.118.1242.490.431.1231.887.654.3801.707.233.6703.493.569.0591.311.858.723899.068.956828.925.781736.432.173604.196.067349.884.409
toplam özkaynaklar
4.434.183.1342.960.857.1862.619.237.5533.359.971.2062.605.930.6772.676.549.2212.829.745.9063.872.118.1242.490.431.1231.887.654.3801.707.233.6703.493.569.0591.311.858.723899.068.956828.925.781736.432.173604.196.067349.884.409