Kimteks Poliüretan Sanayi ve Ticaret A.Ş. (KMPUR) Bilanço Tablosu

PRO üyemiz olmadığınız için KMPUR bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/12
nakit ve nakit benzerleri
483.040.049430.566.811370.366.8331.269.838.238364.123.5611.096.107.7301.527.256.5141.056.525.582826.348.329568.924.1851.546.091.318341.428.918335.256.367246.281.095522.234.256
finansal yatırımlar
1.000.0001.000.0006.459.460330.758.4001.722.997.0403.550.0912.998.219500.300500.300500.300829.064.671742.929.429228.300338.559.57231.337.870
ticari alacaklar
5.716.205.5415.248.605.6545.508.211.7484.732.866.3964.946.493.9404.599.279.9411.710.8883.214.837.103350.0002.340.728.5583.140.906.5121.690.851.1681.636.034.1811.413.372.3790
diğer alacaklar
51.425.56485.995.40012.115.81612.297.21810.422.32210.664.20505.864.3757.501.07018.090.50621.387.9242.864.5943.522.9325.481.9986.817.745
stoklar
1.733.750.4792.144.652.6902.043.070.9311.968.816.8771.105.340.2741.028.869.7521.282.851.940853.999.343768.189.271718.442.4071.076.727.074540.015.464657.706.488458.324.001360.185.736
cari dönem vergisiyle ilgili varlıklar
1.646.751832.44562.203.4586.854.0530001.971.58911.313.55412.946.41101.859.1810
diğer dönen varlıklar
188.049.742388.443.506325.939.301308.228.440303.702.371115.005.51968.996.95970.536.36952.449.53754.914.32587.617.45464.721.70779.915.05250.962.69144.521.722
ara toplam
8.211.092.5318.744.650.2369.089.501.2668.903.988.7648.809.311.3359.168.168.2778.227.026.9056.484.645.6945.759.245.4054.512.297.6126.740.802.4343.431.183.3962.511.567.4402.005.354.3851.630.105.417
toplam dönen varlıklar
8.449.703.0198.744.650.2369.089.501.2668.903.988.7648.809.311.3359.168.168.27711.061.725.7266.484.645.6945.759.245.4054.512.297.6126.740.802.4343.431.183.3963.386.953.5562.549.309.3482.071.253.090
toplam varlıklar
10.715.104.09010.799.043.27011.324.745.75410.651.344.95410.439.516.76310.602.274.67412.831.927.2227.141.288.3546.387.745.9235.073.758.8297.722.063.2173.773.222.4283.621.365.9712.758.919.5712.208.353.772
özkaynak yöntemiyle değerlenen yatırımlar
123.324000
maddi duran varlıklar
1.980.303.3381.769.448.0121.870.345.8721.557.279.0961.454.293.1251.310.164.1901.604.970.929587.582.758554.092.587483.945.422837.319.053283.053.375208.004.141173.625.827108.016.454
kullanım hakkı varlıkları
17.361.95717.045.05918.775.86415.713.29014.987.32714.411.54018.818.7829.944.6544.244.2114.623.88610.383.0833.012.3823.323.0073.633.6312.780.727
maddi olmayan duran varlıklar
257.734.756256.592.585299.388.296166.232.164125.057.865105.669.212140.588.92740.622.65943.074.41947.041.739121.544.71424.164.62122.261.38623.791.60226.010.293
peşin ödenmiş giderler
274.584.8936.169.23040.274.996274.329.142356.231.827232.161.06775.642.82179.935.0265.590.72545.336.1598.26535.425.70515.975.46829.48364.908
toplam duran varlıklar
2.265.401.0712.054.393.0342.235.244.4881.747.356.1901.630.205.4281.434.106.3971.770.201.496656.642.660628.500.518561.461.217981.260.783342.039.032234.412.415209.610.223137.100.682
kısa vadeli borçlanmalar
4.706.728.6644.028.174.0633.950.713.0372.666.639.0223.953.158.7283.590.726.0954.619.559.1182.767.225.8422.168.620.2731.822.157.8672.726.977.7711.788.892.1501.700.512.7981.372.600.8351.034.138.932
diğer finansal yükümlülükler
406.854.7660954.660.07200014.703.33229.500.29643.442.86724.251.5300
toplam yükümlülükler
8.364.194.9648.172.945.8828.246.991.3167.736.599.6627.683.122.0287.445.944.2668.907.983.1645.156.854.1184.383.775.2453.498.302.8805.194.946.5992.496.606.6942.522.203.4512.013.898.8661.641.701.255
çalışanlara sağlanan faydalar kapsamında borçlar
12.015.35323.170.48010.946.13310.592.18816.219.72413.988.43019.644.5843.909.4553.861.79020.789.45820.223.0432.922.7572.039.3633.557.7202.091.462
diğer borçlar
3.307.51302.547.77900222.5300200.775651.175162.475443.699105.959249.043176.350165.252
türev araçlar
106.301.706174.541.068259.179.709004.863.02607.759.21102.534.09453.4230117.0441.574.5603.749.135
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
387.051.195392.148.345387.082.4510260.373.407381.546.817449.199.831140.447.44713.074.45449.184.780115.887.02066.161.73827.118.33651.054.28949.522.634
kısa vadeli karşılıklar
18.980.81924.523.61929.744.33813.917.64613.748.915124.214.93161.500.5916.649.6238.816.8514.811.69431.154.3682.684.5642.140.7642.002.76931.225.682
diğer kısa vadeli yükümlülükler
16.166.467162.648.14011.944.4028.626.928179.134.8034.525.7616.803.6395.655.0105.619.2615.005.8696.648.8311.866.24316.114.33811.543.9693.469.860
toplam kısa vadeli yükümlülükler
8.211.092.5318.054.632.4578.178.471.8097.051.969.7987.063.486.4727.002.932.2898.227.026.9054.739.069.0064.003.291.7663.116.160.2904.566.093.8312.487.341.1592.511.567.4402.005.354.3851.630.105.417
uzun vadeli borçlanmalar
8.130.9028.199.7849.643.156373.397.291373.397.291373.449.824539.263.289373.593.241368.525.956368.772.352605.588.2582.661.6042.882.7722.994.7352.490.818
toplam kaynaklar
10.715.104.09010.799.043.27011.324.745.75410.651.344.95410.439.516.76310.602.274.67412.831.927.2227.141.288.3546.387.745.9235.073.758.8297.722.063.2173.773.222.4283.621.365.9712.758.919.5712.208.353.772
ticari borçlar
095.2002.571.653.888265.386.430229.747.1152.862.988.229137.4491.742.964.18095.2001.150.423.173779.903603.230.093751.275.3251.229.5601.380.608
uzun vadeli karşılıklar
22.385.70119.232.52422.439.34816.905.09816.491.150012.937.99911.862.32313.218.99012.273.2815.903.7395.315.5744.320.1863.605.524
ertelenmiş vergi yükümlülüğü
122.585.83090.785.91736.325.92928.941.045050.303.385121.910.93731.158.6722.261.56401.510.60104.118.888
toplam uzun vadeli yükümlülükler
153.102.433118.313.42568.519.507684.629.864619.635.556443.011.977680.956.259417.785.112380.483.479382.142.590628.852.7689.265.53510.636.0118.544.48111.595.838
ana ortaklığa ait özkaynaklar
2.369.420.3852.630.151.2823.079.594.6192.915.776.7142.750.980.5473.147.578.9013.909.985.9981.976.214.3991.997.251.0731.570.291.4992.514.763.8311.270.304.6951.092.835.564739.685.719564.109.134
kontrol gücü olmayan paylar
-18.511.259-4.053.894-1.840.181-1.031.4225.414.1888.751.50713.958.0608.219.8376.719.6055.164.45012.352.7876.311.0396.326.9565.334.9862.543.383
toplam özkaynaklar
2.350.909.1262.626.097.3883.077.754.4382.914.745.2922.756.394.7353.156.330.4083.923.944.0581.984.434.2362.003.970.6781.575.455.9492.527.116.6181.276.615.7341.099.162.520745.020.705566.652.517