İhlas Haber Ajansı A.Ş. (IHAAS) Bilanço Tablosu

PRO üyemiz olmadığınız için IHAAS bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92020/12
nakit ve nakit benzerleri
7.827.60158.544.61547.784.3038.182.27513.226.39611.456.27683.799.970122.497.573137.849.340138.520.924268.181.083136.989.360124.390.551128.592.079135.685.13625.445.17736.518.637
finansal yatırımlar
1.845.0842.388.8413.027.2672.530.1822.157.71914.152.64719.156.3361.981.1436.980.9889.642.20015.076.78213.256.71124.009.8408.022.9131.173.505984.453807.267
ticari alacaklar
72.207.24795.158.85493.836.52258.446.95377.296.75784.064.78696.943.93380.650.29868.154.66758.367.77852.410.23641.462.94638.749.26433.038.78927.172.60227.878.43919.811.924
stoklar
000000000000000
cari dönem vergisiyle ilgili varlıklar
291.980107.6481.295.13248.906743.2552.743.4293.775.696247.2120173.994189.012265.618257.9801.535.1581.245.604521.7520
diğer dönen varlıklar
000000000000141.7550
toplam dönen varlıklar
297.263.432299.490.745339.983.909281.771.036261.574.604259.731.950363.181.224254.960.959238.859.173209.988.490347.085.485193.593.538189.199.870173.995.036166.927.86562.066.20360.575.546
toplam varlıklar
479.355.545484.845.251546.804.653447.241.283422.105.809405.532.624555.534.222309.603.664294.244.879256.504.774450.522.752225.580.973221.870.652206.681.714193.892.87583.009.88475.308.629
diğer alacaklar
206.418.107130.561.9842.130.850208.533.151163.948.466141.524.9132.462.1781.609.0681.579.887723.119262.047182.681209.177592.985189.7782.949.3792.776.213
yatırım amaçlı gayrimenkuller
28.272.47326.670.45328.272.47322.192.47120.375.10518.795.37523.583.9366.808.7556.808.7556.808.75511.919.3363.226.2004.010.6333.226.2003.212.7001.196.5161.196.516
maddi duran varlıklar
97.359.18499.151.398112.370.81296.475.32194.021.84492.528.903122.636.70131.392.24531.258.55030.969.88769.192.88119.720.72120.813.57619.791.34415.068.62211.640.5616.359.861
kullanım hakkı varlıkları
54.289.65857.242.37364.044.03044.748.99343.571.56732.596.54243.294.07010.647.48011.073.3793.656.83020.489.3663.116.8693.331.8344.950.2544.074.5343.691.9324.356.840
maddi olmayan duran varlıklar
002.57914.97171.688180.766376.113115.443147.771183.788703.385255.821292.016328.570339.429294.80240.281
peşin ödenmiş giderler
8.673.41312.728.8030215.7684.202.0115.789.8996.445.09207.942.5683.144.56810.966.3251.436.2221.583.0582.453.5861.461.2404.287.003661.505
ertelenmiş vergi varlığı
00000004.069.7144.503.3474.172.7063.994.6894.992.9813.628.6923.797.3253.655.3283.523.7172.231.680
toplam duran varlıklar
182.092.113185.354.506206.820.744165.470.247160.531.205145.800.674192.352.99854.642.70555.385.70646.516.284103.437.26731.987.43532.670.78232.686.67826.965.01020.943.68114.733.083
kısa vadeli borçlanmalar
4.552.0084.783.7425.112.6172.893.9162.970.5111.734.7942.490.595957.6431.061.9561.032.2381.773.699851.038857.3561.024.292815.223450.805614.864
ticari borçlar
26.543.80025.359.58728.187.87320.932.50520.382.96019.862.46639.909.30717.807.23915.233.67710.518.77018.016.57210.430.22011.481.93710.869.5805.565.9854.049.1053.983.297
toplam yükümlülükler
168.590.070174.693.285167.031.310149.153.710145.525.709129.483.042157.713.93085.331.98381.741.29863.951.481102.038.38054.831.13655.514.95245.780.41136.140.25527.482.30927.825.994
çalışanlara sağlanan faydalar kapsamında borçlar
16.191.91922.935.00316.375.02014.199.25419.318.18720.515.85720.998.96716.065.38315.913.52415.902.99127.305.9535.675.6723.380.3543.226.2523.320.1771.969.980768.023
diğer borçlar
167.47471.1252.771.6575.350.007110.51014.66648.95383.539100.66657.80260.40240.55833.59832.78761.34060.51920.531
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
1.871.180277.7288.890.5778.121.6028.045.989274.4406.661.75100185.6554.978.8943.400.33412.757.24811.0001.280.468251.5591.305.580
dönem karı vergi yükümlülüğü
0004.930.6270907.97104.804.6422.698.65901.832.4242.255.3761.501.3961.302.79303.387.100
kısa vadeli karşılıklar
38.036.40537.316.95627.176.69223.419.39124.630.52223.402.72121.498.14814.424.42710.382.9449.791.30411.445.7549.031.8567.490.1787.483.5477.501.1005.117.5604.067.589
diğer kısa vadeli yükümlülükler
24.396.66322.163.69820.950.40518.425.49317.967.8439.267.37110.019.9334.890.3126.731.1214.327.9665.384.0422.190.3381.769.9271.239.4212.036.7451.630.5201.226.021
ara toplam
297.263.432299.490.745109.464.84198.272.795261.574.604259.731.950101.627.654254.960.959238.859.173209.988.490347.085.485193.593.53839.271.994173.995.036166.927.86562.066.20315.373.005
toplam kısa vadeli yükümlülükler
121.927.345125.923.772109.464.84198.272.79593.426.52285.633.199101.627.65463.829.18457.855.40746.422.53870.797.74033.875.39239.271.99428.069.75320.581.03813.530.04815.373.005
uzun vadeli borçlanmalar
27.629.05031.540.38838.391.10325.114.74126.022.57317.492.73026.043.03812.319.23012.643.0004.848.0218.436.0234.470.8214.741.4626.218.8685.515.8165.324.4495.748.083
toplam kaynaklar
479.355.545484.845.251546.804.653447.241.283422.105.809405.532.624555.534.222309.603.664294.244.879256.504.774450.522.752225.580.973221.870.652206.681.714193.892.87583.009.88475.308.629
uzun vadeli karşılıklar
15.390.99614.824.04211.768.31311.546.98513.482.03415.235.59113.862.8999.183.56911.242.89112.495.26717.101.69616.480.92311.480.79911.480.79010.043.4018.571.6136.704.906
ertelenmiş vergi yükümlülüğü
1.771.4992.127.3557.407.05314.216.14311.511.33210.847.08216.180.3395.702.921
toplam uzun vadeli yükümlülükler
46.662.72548.769.51357.566.46950.880.91552.099.18743.849.84356.086.27621.502.79923.885.89117.528.94331.240.64020.955.74416.242.95817.710.65815.559.21713.952.26112.452.989
ana ortaklığa ait özkaynaklar
310.765.475310.151.966379.773.343298.087.573276.580.100276.049.582397.820.292224.271.681212.503.581192.553.293348.484.372170.749.837166.355.700160.901.303157.752.62055.527.57547.482.635
toplam özkaynaklar
310.765.475310.151.966379.773.343298.087.573276.580.100276.049.582397.820.292224.271.681212.503.581192.553.293348.484.372170.749.837166.355.700160.901.303157.752.62055.527.57547.482.635