Hun Yenilenebilir Enerji Üretim A.Ş. (HUNER) Bilanço Tablosu

PRO üyemiz olmadığınız için HUNER bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122020/12
nakit ve nakit benzerleri
50.479.705154.433.50343.602.93668.475.21226.386.82650.006.68315.879.47553.627.58842.919.29782.509.25656.549.90966.019.94265.219.4457.158.5293.115.802
finansal yatırımlar
14.171.96433.798.522200.948.748125.239.347
ticari alacaklar
103.429.89185.419.035101.918.629144.829.34755.215.43144.178.49053.912.67932.864.00315.790.29230.019.66724.269.30941.520.89523.244.87133.327.78510.519.089
stoklar
92.489.45863.257.95331.628.18933.874.90129.207.97725.849.62319.928.73921.520.46721.205.6169.123.1307.985.8827.246.4705.082.4372.180.895532.293
peşin ödenmiş giderler
45.743.86189.952.68118.832.80047.736.09048.351.94211.233.21420.670.07273.072.51248.687.02644.622.006240.155.81824.087.337561.85217.704.9916.209.187
diğer dönen varlıklar
22.500.95231.110.608139.652158.57611.211.7932.394.2005.854.5854.442.0336.387.5473.920.7973.493.6513.432.8676.646.5973.463.4816.828.059
toplam dönen varlıklar
458.239.105511.720.421452.448.228483.362.881238.169.338246.499.602276.523.107310.554.244148.573.700175.923.957400.196.239150.905.600179.637.643201.834.77227.860.260
toplam varlıklar
8.492.560.9248.042.875.9477.336.858.9537.155.255.9316.855.598.2806.339.255.3905.944.261.8075.688.116.3534.169.252.0924.201.259.7884.392.873.1303.775.033.5203.104.434.8652.793.034.0151.134.720.914
diğer alacaklar
52.648.727884.96041.032.09063.049.40867.795.369557.637152.641.081125.027.64113.583.922172.80067.741.6708.598.08974.885.818137.999.0917.386.801
özkaynak yöntemiyle değerlenen yatırımlar
4.1336314.6231.95091
maddi duran varlıklar
2.087.122.9601.972.346.4683.270.868.6813.185.989.9303.170.568.3092.927.822.5662.696.112.4672.557.341.7431.912.240.3501.894.960.4841.886.091.3971.714.873.6171.517.567.2181.344.114.709361.040.182
kullanım hakkı varlıkları
4.417.721.2084.114.555.6863.575.252.2173.464.193.3453.431.065.7063.151.214.0342.950.550.5362.802.479.5432.092.109.7442.112.550.5692.104.439.6191.908.195.9841.406.498.6621.246.184.297733.660.140
maddi olmayan duran varlıklar
1.482.843.4131.396.696.25618.618.6594.737.7224.790.3491.928.246
toplam duran varlıklar
8.034.321.8197.531.155.5266.884.410.7256.671.893.0506.617.428.9426.092.755.7885.667.738.7005.377.562.1094.020.678.3924.025.335.8313.992.676.8913.624.127.9202.924.797.2222.591.199.2431.106.860.654
kısa vadeli borçlanmalar
340.936.358292.167.308257.598.272253.974.777255.720.252236.530.713151.527.889
uzun vadeli borçlanmaların kısa vadeli kısımları
298.727.429321.393.718316.313.475349.656.755243.213.547223.337.350435.006.394415.177.171289.563.588134.929.840198.691.326182.275.358190.967.343200.911.35871.589.684
ticari borçlar
169.125.608178.850.06917.764.30892.308.297109.320.369106.335.81975.407.90277.240.77469.999.26079.730.181238.477.51525.882.23437.498.86428.852.010658.101
toplam yükümlülükler
3.816.306.8113.493.015.8153.378.365.7403.460.201.2123.613.561.3913.332.178.8803.137.458.4083.033.858.2462.244.407.0112.238.020.9862.419.011.3392.057.347.6931.764.428.1021.737.848.052758.694.754
çalışanlara sağlanan faydalar kapsamında borçlar
6.700.7885.265.4963.041.1505.089.1173.269.0032.064.6713.457.8812.048.1421.004.8641.226.411838.706668.4331.653.5471.267.80463.935
diğer borçlar
719.259.786185.042.548503.932.977457.587.148633.936.773417.749.081559.233.631521.900.354391.162.736123.015.590140.292.09098.045.18825.042.8058.759.3643.090.559
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
324.61965.3400142.147702.6441.816.4491.0501.7501.561.7771.550.7954.833.4323.825.7735.618.402976.261
kısa vadeli karşılıklar
4.276.2792.423.1342.360.5682.170.6791.575.7241.561.3591.684.2121.307.342701.233257.329231.812203.677150.396
ara toplam
458.239.105511.720.421452.448.228483.362.881238.169.338246.499.602276.523.107310.554.244148.573.700175.923.957584.665.523150.905.600179.637.643201.834.772185.357.607
toplam kısa vadeli yükümlülükler
1.093.617.643985.207.6131.101.010.7501.160.786.7731.247.177.815988.281.637942.196.699848.413.155577.595.661492.692.921584.665.523314.379.597259.192.009245.559.334185.357.607
uzun vadeli borçlanmalar
1.392.126.8531.338.658.9241.087.072.6891.165.272.5681.354.290.9291.346.267.9351.292.741.2861.337.760.6211.060.471.2501.112.461.7431.190.039.3021.158.720.475961.312.335901.877.452317.041.293
uzun vadeli karşılıklar
44.504.63543.531.29136.034.12829.332.03029.287.66423.399.32623.388.70018.618.7659.700.8097.234.8086.517.4194.326.9613.807.20818.066
ertelenmiş vergi yükümlülüğü
566.797.894524.489.943584.063.949434.498.837323.537.115372.920.818319.898.092307.164.301215.175.614240.840.371244.063.279223.637.883177.156.250159.064.96288.924.917
toplam kaynaklar
8.492.560.9248.042.875.9477.336.858.9537.155.255.9316.855.598.2806.339.255.3905.944.261.8075.688.116.3534.169.252.0924.201.259.7884.392.873.1303.775.033.5203.104.434.8652.793.034.0151.134.720.914
toplam uzun vadeli yükümlülükler
2.722.689.1682.507.808.2022.277.354.9902.299.414.4392.366.383.5762.343.897.2432.195.261.7092.185.445.0911.666.811.3501.745.328.0651.834.345.8161.742.968.0961.505.236.0931.492.288.718573.337.147
ana ortaklığa ait özkaynaklar
4.677.161.0374.550.795.1313.958.391.7403.688.100.5863.292.479.6242.996.364.2922.797.055.6572.644.669.4791.855.148.6461.893.210.4241.904.266.5651.650.367.7011.333.102.5011.048.126.806376.026.160
kontrol gücü olmayan paylar
-906.924-934.999101.4736.954.133-50.442.73510.712.2189.747.7429.588.62869.696.43570.028.37869.595.22667.318.1266.904.2627.059.157
toplam özkaynaklar
4.676.254.1134.549.860.1323.958.493.2133.695.054.7193.242.036.8893.007.076.5102.806.803.3992.654.258.1071.924.845.0811.963.238.8021.973.861.7911.717.685.8271.340.006.7631.055.185.963376.026.160