Hub Girişim Sermayesi Yatırım Ortaklığı A.Ş. (HUBVC) Bilanço Tablosu

PRO üyemiz olmadığınız için HUBVC 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
429.330208.369224.4427.257.531792.016253.04921.946.75018.172.47920.561.89820.139.18637.312.689989.9002.489.1932.258.9213.738.9612.437.3515.245.7554.272.1095.052.1723.524.0334.053.9314.841.334424.453293.104494.5632.681.3923.364.263
ticari alacaklar
17.024.95916.178.74417.634.14914.617.43614.062.74413.831.06518.208.0762.741.8312.586.2351.918.2313.085.657927.342835.336734.868649.861000
peşin ödenmiş giderler
908230.858148.769403.68022.210489.7144.03473.863106.1694.3848.46521.07143.39533.38260.4231.781.446968.42565.348124.669139.75966.97065.774131.000235.045241.373243.344933.907
diğer dönen varlıklar
1.766.6841.325.9551.406.704812.707608.572109.5880613.000000
toplam dönen varlıklar
604.143.11719.289.773705.546.74923.107.81520.704.70333.524.05940.453.48621.039.73923.303.09122.116.85240.425.7551.996.2553.424.2243.096.4154.503.0214.878.1706.251.3074.369.8685.209.9255.113.9135.620.0746.734.8752.204.29011.950.5938.402.7198.371.2169.750.481
finansal yatırımlar
584.641.5181.345.84700560.083.80018.758.080782.888.005310.285.0325.113309.574.641517.778.350203.071.364203.071.364201.673.648196.653.78982.029.93881.605.92880.161.00080.161.00052.288.34952.375.2500034.148.77634.148.77633.559.20032.156.000
toplam varlıklar
606.827.070609.238.406708.663.756585.788.411582.769.053580.703.642823.693.084331.538.028333.762.824331.792.054558.667.439205.258.385206.723.112205.013.276201.418.37187.111.38788.035.06684.742.63785.618.00657.652.44158.262.54358.528.44552.240.54046.099.36942.551.49541.930.41641.906.554
diğer alacaklar
17.3120008.7508.75012.63310.65513.5118.7502.85753.5498.75042.7198.7508.750008.7501.427.9148.7501.538.7851.301.9938.916.0177.165.6344.946.3444.946.344
maddi duran varlıklar
2.484.3292.521.5822.883.9192.041.902189.322135.807313.26051.52658.57865.630313.68779.73686.78893.84082.48189.35941.54944.17546.80249.42835.46200
maddi olmayan duran varlıklar
198.716192.291208.967447.6981.778.71837.69221.66617.27019.53321.79739.64526.32428.58730.85133.11545.01437.64139.90442.1687.6587.9415.57000073
toplam duran varlıklar
2.683.953589.948.6333.117.007562.680.596562.064.350547.179.583783.239.598310.498.289310.459.733309.675.202518.241.684203.262.130203.298.888201.916.861196.915.35082.233.21781.783.75980.372.76980.408.08152.538.52852.642.46951.793.57050.036.25034.148.77634.148.77633.559.20032.156.073
ticari borçlar
737.611458.72446.694450.5892.179.41742.02838.473263.509309.1564341.182.65342.975693.6462388.3644.9499.2972887.5181.14373.49126.4759.41510.54321.6865.5893.275
çalışanlara sağlanan faydalar kapsamında borçlar
103.401130.142384.455203.56982.583386.335389.256243.658119.226239.642269.178151.514116.21969.559122.307108.633110.81389.903304.82092.94395.91234.8832.2601.1531.5392.2841.585
diğer borçlar
20.265.46015.279.6008.913.7442.683.067591.0452.067.435567.555227.405219.371145.186275.076737.25958.64221.815314.80326.84044.32410.14120.274206.997157.31201.789.028167.265152.3451.7129.282
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
049.973000
kısa vadeli karşılıklar
137.000147.213919.9421.063.527937.170681.078516.108341.707293.386359.31164.30664.30664.30664.30681.55171.40853.68653.6861.3831.3831.3831.383001.3001.580
toplam yükümlülükler
21.406.18716.177.90010.575.9274.727.5433.482.3283.761.4022.132.4691.579.1491.247.7371.601.7312.418.8641.220.2771.115.6081.005.161704.514342.553383.600325.927581.170523.597572.134193.1801.803.692179.649175.57010.88515.722
ara toplam
604.143.11716.065.65210.264.83523.107.81520.704.7033.432.9681.676.36221.039.739989.46022.116.85240.425.7551.996.2553.424.2243.096.415629.2684.878.1706.251.3074.369.8685.209.9255.113.9135.620.0746.734.8751.802.08611.950.5938.402.71910.88515.722
toplam kısa vadeli yükümlülükler
21.243.47216.065.65210.264.8354.400.7522.853.0453.432.9681.676.3621.250.680989.4601.362.0892.149.6861.070.3831.026.508935.602629.268287.998334.632281.571510.739425.294446.180173.0651.802.086178.961175.57010.88515.722
uzun vadeli karşılıklar
162.715112.248311.092326.791629.283328.434456.10743.07854.55548.96844.35636.18930.58925.52020.1151.60668800
toplam uzun vadeli yükümlülükler
162.715112.248311.092326.791629.283328.434456.107328.469258.277239.642269.178149.89489.10069.55975.24654.55548.96844.35670.43198.303125.95420.1151.606688000
toplam kaynaklar
606.827.070609.238.406708.663.756585.788.411582.769.053580.703.642823.693.084331.538.028333.762.824331.792.054558.667.439205.258.385206.723.112205.013.276201.418.37187.111.38788.035.06684.742.63785.618.00657.652.44158.262.54358.528.44552.240.54046.099.36942.551.49541.930.41641.906.554
ana ortaklığa ait özkaynaklar
585.420.883593.060.506698.087.829581.060.868579.286.725576.942.240821.560.615329.958.879332.515.087330.190.323556.248.575204.038.108205.607.504204.008.115200.713.85786.768.83487.651.46684.416.71085.036.83657.128.84457.690.40958.335.26550.436.84845.919.72042.375.92541.919.53141.890.832
kontrol gücü olmayan paylar
0000000
toplam özkaynaklar
585.420.883593.060.506698.087.829581.060.868579.286.725576.942.240821.560.615329.958.879332.515.087330.190.323556.248.575204.038.108205.607.504204.008.115200.713.85786.768.83487.651.46684.416.71085.036.83657.128.84457.690.40958.335.26550.436.84845.919.72042.375.92541.919.53141.890.832