INVES yeni halka arz olduğu için yeterince finansal verisi bulunmamaktadır.

Investco Holding A.Ş. (INVES) Bilanço Tablosu

PRO üyemiz olmadığınız için INVES 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
127.297.44472.26712.920.26114.326.11627.636.328689.937.8011.346.503.3701.034.499.452675.880.270542.357.848500.053.613869.149.591548.721.125585.207.644855.161.85222.830.466
finansal yatırımlar
3.949.497.6863.215.696.2782.074.876.8412.996.170.1271.870.668.878836.426.001580.399.53716.582.222.00011.696.545.7449.402.463.4518.207.491.01511.088.482.214468.020.676335.917.394199.522.534186.088.636
diğer dönen varlıklar
6.307.5565.510.9195.340.6415.649.5593.952.5203.104.3043.010.1234.482.1913.043.8083.001.9472.961.6255.107.5501.477.0121.427.1041.348.2311.006.184
ara toplam
4.084.293.6093.226.632.7942.096.598.173118.188.4202.139.043.4321.531.160.5921.950.808.1852.272.212.3432.326.749.3981.672.639.2601.480.106.559153.970.8111.018.297.289923.431.9771.057.324.81924.765.690
toplam dönen varlıklar
4.084.293.6093.226.632.7942.096.598.1733.016.190.6542.139.043.4321.531.160.5921.950.808.1852.272.212.3432.326.749.3981.672.639.2601.480.106.5592.426.150.0461.018.297.289923.431.9771.057.324.819209.928.029
diğer alacaklar
284.610.308261.634.248213.001.071217.243.936109.346.726353.088.37811.270.69067.934.609383.274361.523268.044431.336259.053233.366205.041181.685
yatırım amaçlı gayrimenkuller
30.811.77828.660.95127.036.91930.811.77822.145.23620.331.73818.755.37123.533.74011.200.00011.200.00011.200.00018.454.5675.084.7005.084.7005.084.7005.084.700
maddi duran varlıklar
204.007.611191.913.962183.108.564211.268.405170.705.395158.402.572147.619.517187.113.29279.533.95180.343.46281.154.139135.131.98829.097.60329.248.58529.354.79210.182.200
toplam varlıklar
25.988.016.11022.863.991.94720.171.708.91727.488.068.83422.710.470.71122.827.053.33718.387.269.99919.133.246.01414.114.485.11011.167.085.3879.780.297.72113.668.858.1264.517.728.5604.093.414.5433.746.709.2702.599.204.562
maddi olmayan duran varlıklar
91.43792.52294.323117.85772.43980.66587.715131.15434.14939.09744.045122.61357.52761.72471.17111.259
peşin ödenmiş giderler
1.190.9234.6524.65544.852879.57511.6756.380.10255.84338.59438.5941.370.45022.35078.476134.70118.7792.743
toplam duran varlıklar
21.903.722.50119.637.359.15318.075.110.74424.471.878.18020.571.427.27921.295.892.74516.436.461.81416.861.033.67111.787.735.7129.494.446.1278.300.191.16211.242.708.0803.499.431.2713.169.982.5662.689.384.4512.389.276.533
ticari borçlar
1.658.4605.414.73919.138.9758.026.051227.642.5831.162875.66695.817.3677.618442.660170.692114.003.2225784.128178.468238.668
çalışanlara sağlanan faydalar kapsamında borçlar
455.058419.311470.542433.552332.303289.694265.825285.163188.877275.912128.081131.48785.71062.42781.40125.133
diğer borçlar
71.635.77738.487.48934.426.90324.932.0760
dönem karı vergi yükümlülüğü
22.053.1291.066.43017.864.26783.561.13524.240.8538.784.792019.551.48631.649.7387.721.92415.165.65038.165.0197.279.3285.137.948024.404.729
kısa vadeli karşılıklar
64.51464.514230.761289.44376.66276.66276.662110.68476.66276.66276.66291.79510.59028.79826.6020
diğer kısa vadeli yükümlülükler
832.527691.75559.525.349946.163814.564641.60875.547.668708.704515.11743.450.48323.338.8571.579.288135.62087.957199.18397.160
toplam yükümlülükler
2.681.165.5902.255.209.6101.981.398.5952.774.764.6721.351.575.2751.149.549.657786.213.505653.076.7901.196.567.663666.463.490523.499.309843.791.268177.390.347143.004.819120.194.263141.101.144
toplam kısa vadeli yükümlülükler
96.699.46546.144.238131.656.797118.188.420253.106.9659.793.91876.765.821116.473.40432.438.01251.967.64138.879.942153.970.8117.511.3055.401.258485.65424.765.690
uzun vadeli karşılıklar
570.154710.154699.818877.779713.417713.417713.4171.030.023431.707385.696289.645417.48896.72888.47566.27252.547
ertelenmiş vergi yükümlülüğü
2.583.895.9712.208.355.2181.849.041.9802.655.698.4731.097.754.8931.139.042.322708.734.267535.573.3631.163.697.944614.110.153484.329.722689.402.969169.782.314137.515.086119.642.337116.282.907
toplam uzun vadeli yükümlülükler
2.584.466.1252.209.065.3721.849.741.7982.656.576.2521.098.468.3101.139.755.739709.447.684536.603.3861.164.129.651614.495.849484.619.367689.820.457169.879.042137.603.561119.708.609116.335.454
toplam kaynaklar
25.988.016.11022.863.991.94720.171.708.91727.488.068.83422.710.470.71122.827.053.33718.387.269.99919.133.246.01414.114.485.11011.167.085.3879.780.297.72113.668.858.1264.517.728.5604.093.414.5433.746.709.2702.599.204.562
ana ortaklığa ait özkaynaklar
23.306.850.52020.608.782.33718.190.310.32224.713.304.16221.358.895.43621.677.503.68017.601.056.49418.480.169.22412.917.917.44710.500.621.8979.256.798.41212.825.066.8584.340.338.2133.950.409.7243.626.515.0072.458.103.418
toplam özkaynaklar
23.306.850.52020.608.782.33718.190.310.32224.713.304.16221.358.895.43621.677.503.68017.601.056.49418.480.169.22412.917.917.44710.500.621.8979.256.798.41212.825.066.8584.340.338.2133.950.409.7243.626.515.0072.458.103.418