KT SUKUK VARLIK KİRALAMA A.Ş. (KTSVK) Bilanço Tablosu

PRO üyemiz olmadığınız için KTSVK bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/12
nakit ve nakit benzerleri
2.071.4572.974.3831.318.0601.584.0481.289.214971.1861.041.7671.301.742715.397533.674704.0841.200.517700.928674.002680.605625.239630.347630.756631.180586.843579.918620.642611.156633.127659.888664.242674.177349.628
finans sektörü faaliyetlerinden alacaklar
5.942.553.4355.940.597.7462.969.984.283505.218.36800000012.607.96125.230.46625.193.09925.193.033153.101.060126.322.037
diğer alacaklar
102.338.125849.8050307.45214.95915.17314.95958.49598.960273.65766.27125.59127.33129.56129.56141.36117.76117.76129.56146.60859.30858.16811.03192592592528.540194.749
stoklar
00000000
peşin ödenmiş giderler
12.29024.08734.7818.3499.66316.48808.2675.2978.92612.5562.3241.9074.8657.8233.1545.4614.3597.0189.6761.3393.3895.4437.4951.1622.9994.8362.023
cari dönem vergisiyle ilgili varlıklar
4.4705.23700013.2360012.72361006.7306.79807.28610.1067.1493.8382.2770
diğer dönen varlıklar
3781031031251031031031497.176265002.9556.7917.5619.9708.1367.0518.0667.8294.1286.7534.4662.0991.2081.272925
ara toplam
6.046.980.1555.944.451.3612.971.352.186505.640.3951.313.9391.016.1861.078.5911.368.65338.28946.431783.1761.228.432730.166711.38342.0934.664663.600661.012674.810657.923655.192686.32712.629.49525.886.58525.864.32225.231.486153.812.162126.869.362
toplam dönen varlıklar
6.046.980.1555.944.451.3612.971.352.186507.118.3421.313.9391.016.1861.078.5911.368.653839.553816.257783.1761.228.432730.166711.383724.780677.315663.600661.012674.810657.923655.192686.32713.249.63025.886.58525.864.32225.866.245153.812.162126.869.362
toplam varlıklar
6.046.980.1555.944.451.3612.971.352.186507.118.3421.313.9391.016.1861.078.5911.368.653839.553816.257783.1761.228.432730.166711.383724.780677.315663.600661.012674.810657.923655.192686.32713.249.63025.886.58525.864.32225.866.245153.812.162126.869.362
toplam duran varlıklar
000000000000000000000000000
kısa vadeli borçlanmalar
6.045.635.1035.943.182.2322.970.075.565505.625.910117.12455.75154.42981.4739.86337.26045.71310.1085.5047.40040.3793.2955.6081.23011.3928.95010.93021.29612.629.49525.248.72825.225.72025.231.486153.138.455126.347.855
dönem karı vergi yükümlülüğü
0024.06914.48556.970045.84535.92428.4269.171-3446.3145.2524.5371.7141.3691.2462.229002.74800038.42322.452
toplam kısa vadeli yükümlülükler
6.045.635.1035.943.182.2322.970.099.634505.640.395174.09455.751100.274117.39738.28946.43145.36916.42210.75611.93742.0934.6645.6082.47613.6218.95010.93024.04412.629.49525.248.72825.225.72025.231.486153.176.878126.370.307
toplam yükümlülükler
6.045.635.1035.943.182.2322.970.099.634505.640.395174.09455.751100.274117.39738.28946.43145.36916.42210.75611.93742.0934.6645.6082.47613.6218.95010.93024.04412.629.49525.248.72825.225.72025.231.486153.176.878126.370.307
toplam uzun vadeli yükümlülükler
000000000000000000000000000
toplam kaynaklar
6.046.980.1555.944.451.3612.971.352.186507.118.3421.313.9391.016.1861.078.5911.368.653839.553816.257783.1761.228.432730.166711.383724.780677.315663.600661.012674.810657.923655.192686.32713.249.63025.886.58525.864.32225.866.245153.812.162126.869.362
ana ortaklığa ait özkaynaklar
1.345.0521.269.1291.252.5521.477.9471.139.845960.435978.3171.251.256801.264769.826737.8071.212.010719.410699.446682.687672.651657.992658.536661.189648.973644.262662.283620.135637.857638.602634.759635.284499.055
toplam özkaynaklar
1.345.0521.269.1291.252.5521.477.9471.139.845960.435978.3171.251.256801.264769.826737.8071.212.010719.410699.446682.687672.651657.992658.536661.189648.973644.262662.283620.135637.857638.602634.759635.284499.055