KRPLS yeni halka arz olduğu için yeterince finansal verisi bulunmamaktadır.

Koroplast Temizlik Ambalaj Ürünleri Sanayi ve Dış Ticaret A.Ş. (KRPLS) Bilanço Tablosu

PRO üyemiz olmadığınız için KRPLS bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62021/12
nakit ve nakit benzerleri
12.802.34455.288.21440.024.53632.921.27130.915.51131.058.31044.536.05552.642.79132.660.68827.477.19313.436.2628.144.2248.658.5158.264.54627.152.553
ticari alacaklar
663.186.544643.266.338588.378.500652.964.593568.204.969518.385.976417.705.703552.745.496358.613.171338.133.125258.647.716447.676.8760354.376.784163.367.779
stoklar
210.812.718215.155.055213.299.010242.832.294203.463.194195.299.487175.991.673213.991.454121.291.835109.127.000136.535.052215.121.109150.116.525107.691.76494.414.491
peşin ödenmiş giderler
32.813.38724.037.74017.275.2521.450.3912.192.8308.311.9931.199.08024.694.5493.147.4612.105.621384.186574.466179.231175.22119.128
cari dönem vergisiyle ilgili varlıklar
1.427.4721.125.740741.177611.136311.2785.738.17465.1680119.82707.591.174007.835.020
diğer dönen varlıklar
7.513.7785.226.49733.008.79619.045.4621.735.7671.446.31837.1191.002.6004.135.9213.252.6291.830.6989.907.9782.004.3682.482.5655.643.792
ara toplam
928.556.243573.263.964892.727.271973.954.416830.965.808436.357.132651.487.901460.682.482525.616.002273.905.589417.573.865302.799.266520.128.735473.642.375169.013.074
toplam dönen varlıklar
928.556.243944.099.584892.727.271973.954.416830.965.808760.240.258651.487.901845.076.890525.616.002495.447.515417.573.865709.953.855520.128.735473.642.375304.510.259
maddi duran varlıklar
326.680.069316.093.504315.042.793378.500.511277.278.494261.752.909256.638.156331.222.28676.331.65573.079.37271.224.849266.115.82273.044.58974.323.60876.253.529
kullanım hakkı varlıkları
123.239.410331.680.342321.031.026367.474.570282.042.617262.285.284245.333.023305.609.67723.634.71519.542.65420.364.50043.947.21814.270.35215.326.42815.615.850
toplam varlıklar
1.490.264.0471.691.283.8891.609.320.7941.817.820.8001.470.126.1001.356.108.8101.239.458.7641.592.157.099682.832.921641.329.056560.470.0791.099.385.270628.444.973572.197.374405.999.940
maddi olmayan duran varlıklar
75.149.49072.408.36871.061.40882.289.86763.141.28159.360.93456.527.45372.772.5366.827.1767.356.6317.491.70455.800.7978.247.5248.588.2969.182.502
ertelenmiş vergi varlığı
35.339.52425.821.1978.277.40114.151.04514.505.07011.453.90628.273.15133.733.89249.053.46144.957.70143.430.97522.993.11212.574.542141.446418.672
toplam duran varlıklar
561.707.804747.184.305716.593.523843.866.384639.160.292595.868.552587.970.863747.080.209157.216.919145.881.541142.896.214389.431.415108.316.23898.554.999101.489.681
kısa vadeli borçlanmalar
228.089.146242.413.853230.293.652246.704.192225.677.292165.665.632167.962.531237.100.352131.132.46776.178.41072.445.941117.962.15159.900.00030.550.63130.277.267
ticari borçlar
253.259.560289.610.830255.109.610256.311.104212.469.234230.043.797177.135.442164.550.304128.408.847141.997.55492.517.811150.749.150206.009.953174.811.33780.273.426
çalışanlara sağlanan faydalar kapsamında borçlar
24.278.39019.132.14431.061.57921.676.92217.494.57019.553.31918.378.93917.438.59112.942.3297.418.0428.365.5999.176.2484.123.7683.044.2922.384.222
diğer borçlar
27.843.29910.778.72760.908.08339.161.13629.665.18512.410.35816.335.75516.926.21116.126.26241.172.1036.120.5403.783.72810.410.80421.712.5231.611.116
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
627.9902.821.433991.93312.221.21315.277.0486.541.9790013.292.6670795.7901.269.656
kısa vadeli karşılıklar
6.063.7918.506.9779.876.48722.029.9825.953.7346.788.6726.169.18413.557.5953.396.6123.152.3949.483.1547.835.3222.471.4511.900.4243.849.499
toplam yükümlülükler
635.009.918861.993.514826.840.262868.072.497717.574.552635.028.253582.492.557723.399.836336.452.385315.033.319225.029.431347.316.342313.632.609380.421.712247.063.922
toplam kısa vadeli yükümlülükler
540.162.176573.263.964588.241.344598.104.549506.537.063436.357.132389.145.370460.682.482293.318.884273.905.589192.542.540302.799.266295.125.825313.804.809169.013.074
uzun vadeli borçlanmalar
57.825.861258.558.222207.524.126234.378.122186.808.375176.730.953174.449.544233.403.14315.421.48715.598.08716.460.02718.777.17358.749.38973.102.328
uzun vadeli karşılıklar
37.021.88130.171.32831.074.79235.589.82621.940.16818.897.64329.314.21116.026.86425.739.9037.867.5144.948.520
toplam uzun vadeli yükümlülükler
94.847.742288.729.550238.598.918269.967.948211.037.489198.671.121193.347.187262.717.35443.133.50141.127.73032.486.89144.517.07618.506.78466.616.90378.050.848
toplam kaynaklar
1.490.264.0471.691.283.8891.609.320.7941.817.820.8001.470.126.1001.356.108.8101.239.458.7641.592.157.099682.832.921641.329.056560.470.0791.099.385.270628.444.973572.197.374405.999.940
ana ortaklığa ait özkaynaklar
855.254.129829.290.375782.480.532949.748.303752.551.548721.080.557656.966.207868.757.263346.380.536326.295.737335.440.648752.068.928314.812.364191.775.662158.936.018
toplam özkaynaklar
855.254.129829.290.375782.480.532949.748.303752.551.548721.080.557656.966.207868.757.263346.380.536326.295.737335.440.648752.068.928314.812.364191.775.662158.936.018