İşbir Sentetik Dokuma Sanayi A.Ş. (ISSEN) Bilanço Tablosu

PRO üyemiz olmadığınız için ISSEN 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
783.070.359618.178.790677.934.987928.740.400601.019.975483.668.985559.478.674243.699.06997.368.652163.234.166488.278.995335.254.720334.056.332351.576.028274.480.692144.607.706135.977.617
finansal yatırımlar
2.803.5006.623.0857.727.412872.4202.639.72433.563.95798.817.305162.387.757236.759.628244.449.004257.035.023114.393270.274667.83110.589.75678.065.22270.814.632
ticari alacaklar
1.339.883.2201.151.551.687961.175.917800.287.362704.636.405750.517.640840.458.357603.434.356507.563.958480.987.155805.948.013530.787.059481.314.072445.221.374375.616.300290.986.461188.870.731
diğer alacaklar
52.178.54362.595.83979.843.12335.422.33527.388.76427.308.54825.064.83623.852.59622.605.20818.174.15224.189.81520.492.89617.864.44614.691.5508.561.8646.553.56314.808.510
türev araçlar
003.691.4831.478.1760761.8791.749.786671.7599.828.7372.453.2875.373.8461.684.8402.529.37101.066.283445.3272.503.313
stoklar
1.146.437.6261.230.969.2581.306.919.8041.067.543.972942.491.253721.260.585930.554.269622.891.459551.709.791507.173.133785.635.321538.921.226521.578.708411.619.051331.068.617241.268.295163.808.068
peşin ödenmiş giderler
201.786.408224.481.641133.336.82996.679.30799.415.821087.015.11076.810.165155.692.50498.426.36784.246.96679.505.06832.934.62029.378.09722.592.90220.693.8072.817.600
cari dönem vergisiyle ilgili varlıklar
7.806.84614.491.64715.065.1577.492.9496.016.17053.095561.893383.425434.238118.5838.574.274424.376281.959121.79037.88007.425
diğer dönen varlıklar
119.972.851106.985.481128.471.264113.925.357101.954.97072.128.90283.234.13344.924.24354.357.03155.649.734121.074.44165.314.93164.630.79552.705.67140.851.34029.723.26627.337.087
toplam dönen varlıklar
3.653.939.3533.415.877.4283.314.165.9763.052.442.2782.486.986.4592.337.387.8372.625.184.5771.779.054.8291.636.319.7471.570.665.5812.580.356.6941.572.499.5091.455.460.5771.305.981.3921.064.865.634812.343.647604.441.670
toplam varlıklar
9.000.367.8498.265.046.1818.411.102.6126.764.512.7866.139.035.5495.468.316.1866.342.160.0283.020.905.6822.831.329.6712.748.791.7684.929.038.3172.062.052.0081.924.511.4101.757.368.6641.507.526.2751.072.219.956832.578.818
yatırım amaçlı gayrimenkuller
115.683.369109.128.334115.683.3690
maddi duran varlıklar
4.843.501.6424.388.537.1684.515.150.2823.086.974.5472.800.179.7252.555.524.4852.965.077.6351.158.495.8261.118.293.4871.105.372.4511.973.208.899419.774.763397.166.238388.356.707382.050.459189.561.229186.266.086
kullanım hakkı varlıkları
141.792.722119.346.358133.242.442159.314.900149.702.844138.769.091191.658.38336.589.16036.856.16736.585.067143.894.83238.926.22440.427.59433.450.48533.397.44348.115.70020.057.754
maddi olmayan duran varlıklar
241.205.692225.550.689324.126.634263.605.145222.917.977203.279.941301.222.86744.614.59337.804.51934.635.101229.131.70428.739.87029.489.04528.743.55826.014.26221.359.73620.868.063
diğer duran varlıklar
4.245.0714.043.0103.014.2272.599.0952.571.4422.528.9652.182.4452.151.2742.055.7511.533.5682.446.1882.111.6421.967.956836.5221.198.477839.644945.245
toplam duran varlıklar
5.346.428.4964.849.168.7535.096.936.6363.712.070.5083.652.049.0903.130.928.3493.716.975.4511.241.850.8531.195.009.9241.178.126.1872.348.681.623489.552.499469.050.833451.387.272442.660.641259.876.309228.137.148
kısa vadeli borçlanmalar
1.736.123.7561.181.791.304897.995.9271.016.106.075828.313.603596.633.875701.697.075397.378.652371.178.435364.221.459794.981.165428.022.110302.539.996337.483.171278.850.195374.802.942291.172.552
toplam yükümlülükler
4.079.789.0563.364.000.0492.819.458.1512.452.395.1651.976.132.6491.819.424.6111.824.341.0871.319.597.7281.261.348.5421.209.913.8362.045.655.4931.122.839.4421.071.745.792979.585.924825.487.191773.587.874614.610.393
uzun vadeli borçlanmaların kısa vadeli kısımları
571.069.181638.985.948585.134.023596.291.864509.454.052530.569.129480.758.112338.094.027275.432.891422.099.587266.504.187261.559.197296.822.155199.532.481175.129.845122.092.87185.602.320
ticari borçlar
342.725.887332.081.937318.486.298205.696.184199.492.148183.708.024175.559.534130.295.491139.705.69680.996.765171.217.779139.201.898134.528.565137.095.366121.445.353110.389.14972.206.775
çalışanlara sağlanan faydalar kapsamında borçlar
58.140.52248.354.24448.924.56035.429.88245.491.67158.433.82636.010.55820.722.27118.342.99319.988.89637.690.01912.426.72112.828.6128.516.50313.648.6484.850.4976.303.871
diğer borçlar
46.076.487654.3122.007.8353.712.25733.001.4037.627.4403.966.3974.351.2757.423.4405.511.6167.377.1336.067.5125.787.6284.886.9803.552.2941.042.631343.003
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
7.245.5139.669.18112.492.51017.494.1008.146.41014.033.65424.063.20395.840.9527.432.1054.553.3081.101.472
kısa vadeli karşılıklar
21.529.0317.776.4937.429.8034.458.0276.036.5582.456.8442.692.8002.725.32210.018.1172.213.8592.652.7301.989.045891.9784.136.0494.562.5222.981.6724.656.293
diğer kısa vadeli yükümlülükler
12.891.08712.203.53418.281.8667.939.1439.621.6557.062.8867.892.3559.527.4216.242.5465.937.35310.876.3822.666.8892.358.6992.886.7005.307.6751.144.273954.601
ara toplam
3.653.939.3533.415.877.4283.314.165.9763.052.442.2782.486.986.4592.337.387.8371.452.004.200933.845.8521.636.319.7471.570.665.5812.580.356.6941.572.499.509777.182.253719.275.789615.201.701812.343.647475.311.373
toplam kısa vadeli yükümlülükler
2.812.089.7932.285.456.5081.890.752.8221.887.127.5321.639.557.5001.414.055.6771.452.004.200933.845.852838.810.561906.293.3221.284.363.335872.505.367777.182.253719.275.789615.201.701630.050.802475.311.373
uzun vadeli borçlanmalar
775.079.006783.817.744713.843.028525.657.475299.988.538366.773.714336.326.329258.180.138288.554.598181.676.867485.251.076215.372.977261.176.124231.254.457182.588.491129.248.117131.685.850
toplam kaynaklar
9.000.367.8498.265.046.1818.411.102.6126.764.512.7866.139.035.5495.468.316.1866.342.160.0283.020.905.6822.831.329.6712.748.791.7684.929.038.3172.062.052.0081.924.511.4101.757.368.6641.507.526.2751.072.219.956832.578.818
uzun vadeli karşılıklar
81.324.07649.109.81738.595.22028.698.85425.645.81826.244.42026.102.69522.873.91611.433.38310.282.20611.727.1279.479.1389.749.4866.124.268
ertelenmiş vergi yükümlülüğü
411.296.181245.660.491165.752.4840101.925.920107.738.963238.351.06323.527.71523.105.20917.328.55118.217.8614.539.4691.488.902
toplam uzun vadeli yükümlülükler
1.267.699.2631.078.543.541928.705.329565.267.633336.575.149405.368.934372.336.887385.751.876422.537.981303.620.514761.292.158250.334.075294.563.539260.310.135210.285.490143.537.072139.299.020
ana ortaklığa ait özkaynaklar
4.920.917.1114.901.352.8985.592.201.2914.312.577.4754.162.702.2593.648.655.2934.517.902.9421.701.400.4641.570.117.5471.539.068.9712.883.722.171939.461.705852.982.529778.002.992682.206.459298.805.623218.089.269
kontrol gücü olmayan paylar
-338.318-306.766-556.830-459.854200.641236.282-84.001-92.510-136.418-191.039-339.347-249.139-216.911-220.252-167.375-173.541-120.844
toplam özkaynaklar
4.920.578.7934.901.046.1325.591.644.4614.312.117.6214.162.902.9003.648.891.5754.517.818.9411.701.307.9541.569.981.1291.538.877.9322.883.382.824939.212.566852.765.618777.782.740682.039.084298.632.082217.968.425