LDR Turizm A.Ş. (LIDER) Bilanço Tablosu

PRO üyemiz olmadığınız için LIDER bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122020/122019/122019/62018/12
nakit ve nakit benzerleri
700.582.251801.021.804712.911.660723.611.7972.630.397.8422.055.563.636583.068.2921.188.123.962533.894.890481.001.309742.074.503192.593.399220.121.212349.681.345175.330.44463.524.82220.846.4783.686.7644.970.692
ticari alacaklar
0038.617.18529.618.17735.341.5570020.308.267011.266.89008.713.8828.401.3917.713.08706.722.4555.385.4374.890.3353.864.386
stoklar
376.422.770290.332.410366.087.386381.300.403430.358.776446.009.284653.216.227260.451.192132.292.109144.669.134331.339.193123.956.699106.953.98466.088.01074.098.31976.164.19155.918.10340.161.52917.474.176
peşin ödenmiş giderler
0025.260.176040.500.901000036.913.293013.372.796004.706.6993.835.0313.155.9075.164.0033.094.543
diğer dönen varlıklar
000006.182.087000001.164.4147.248.60101.566.940196.716427.832309.996
toplam dönen varlıklar
8.555.299.4836.626.285.4556.115.375.5263.428.348.5463.138.985.4042.588.612.4963.023.914.0081.503.368.550717.493.855697.202.7761.139.369.807418.247.109467.081.746501.251.962262.775.791178.551.188100.799.94677.497.33454.555.197
finansal yatırımlar
004.972.450.60100000023.338.000078.441.769113.902.69455.300.012018.409.623
toplam varlıklar
11.461.265.5089.576.126.0719.544.726.0577.020.150.8726.387.086.2786.026.394.7157.065.042.8162.858.991.0452.042.244.9011.854.949.3114.183.426.1281.469.647.2361.456.903.5141.300.044.848994.122.960668.816.401578.504.793460.836.042433.486.434
diğer alacaklar
959.3062.495.20200014.2070031.75514.15004.150688.493688.49303.012.89197.9853.71610.793
yatırım amaçlı gayrimenkuller
290.325.000290.325.000338.733.589432.773.509397.333.214366.527.037459.908.369231.550.000231.550.000139.840.000230.418.449139.840.000139.840.00065.460.00065.460.00052.680.00043.900.00043.244.10043.230.000
maddi duran varlıklar
2.615.159.4982.659.012.8223.090.025.0273.158.465.0192.850.149.9753.070.593.0903.580.273.8491.123.783.5911.092.878.4211.017.550.1902.812.661.380911.273.202836.272.374733.025.830665.555.994437.357.108431.226.817331.640.717317.084.864
maddi olmayan duran varlıklar
481.527502.794591.915563.798617.685662.092946.590288.904322.625356.345976.492286.925313.799307.056331.17532.36551.4353.6256.331
ertelenmiş vergi varlığı
000000000000000
diğer duran varlıklar
000000000000000005.737.234
toplam duran varlıklar
2.905.966.0252.949.840.6163.429.350.5313.591.802.3263.248.100.8743.437.782.2194.041.128.8081.355.622.4951.324.751.0461.157.746.5353.044.056.3211.051.400.127989.821.768798.792.886731.347.169490.265.213477.704.847383.338.708378.931.237
toplam yükümlülükler
3.372.876.8852.856.967.8952.675.788.9031.971.441.8531.916.265.9181.897.460.0272.267.651.4791.104.974.128876.942.085898.201.4631.545.022.324766.412.281772.095.122742.189.932705.252.149514.110.376423.782.313373.698.809367.550.933
kısa vadeli borçlanmalar
353.509.492233.687.220103.756.17099.116.015205.190.282307.609.125535.182.792373.033.968128.257.567203.220.565314.568.22582.556.42413.992.09822.506.74624.362.50737.827.930188.564.209178.964.708181.001.408
uzun vadeli borçlanmaların kısa vadeli kısımları
828.054.675933.769.8981.006.554.092750.112.953720.053.634636.308.186690.327.049306.587.433419.053.798339.167.917507.945.377340.521.806351.662.947347.917.581313.625.980204.204.818
ticari borçlar
0033.159.522108.698.7710118.426.40977.905.64157.229.12448.002.983048.562.32300017.273.17524.296.69230.986.61618.596.0358.738.801
çalışanlara sağlanan faydalar kapsamında borçlar
1.247.2781.239.9991.272.6831.094.622848.125846.058856.394563.883486.330360.314403.330222.649184.221156.028212.659117.55994.93762.56190.816
diğer borçlar
024.066.12131.015.061005.617.92932.452.495020.091.026011.248.232003.182.4411.035.518481.709617.318318.992602.234
müşteri sözleşmelerinden doğan yükümlülükler
0325.14828.8280125.2631.256.0662.609.760746.9771.325.91702.646.11500807.953834.313255.015
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
06.162.8575.619.140004.924.7866.500.3395.563.6361.923.0562.422.0143.130.918002.871.18502.033.7001.380.1151.955.827611.194
dönem karı vergi yükümlülüğü
3.201.2801.213.8046.206.79919.755.1485.525.65517.373.07525.083.03218.977.57013.964.2745.912.38434.826.7583.895.5264.564.2703.770.0323.201.393769.351378.11462.4070
kısa vadeli karşılıklar
1.708.5141.750.7782.176.5271.682.5151.530.1871.703.5371.482.506986.563968.486632.530673.412439.357308.549328.157229.838116.71780.58195.60553.177
diğer kısa vadeli yükümlülükler
00000000000000
ara toplam
8.555.299.4831.283.166.0641.189.788.8223.428.348.5463.138.985.4041.094.065.1711.372.400.0081.503.368.550634.073.437697.202.776924.004.690418.247.109467.081.746398.096.655262.775.791270.103.491100.799.94677.497.334191.097.630
toplam kısa vadeli yükümlülükler
1.286.312.2841.283.166.0641.189.788.822996.839.0091.029.226.5681.094.065.1711.372.400.008772.881.950634.073.437629.673.589924.004.690446.744.252426.245.918398.096.655362.226.049270.103.491222.101.890200.056.135191.097.630
toplam kaynaklar
11.461.265.5089.576.126.0719.544.726.0577.020.150.8726.387.086.2786.026.394.7157.065.042.8162.858.991.0452.042.244.9011.854.949.3114.183.426.1281.469.647.2361.456.903.5141.300.044.848994.122.960668.816.401578.504.793460.836.042433.486.434
uzun vadeli borçlanmalar
518.489.478445.172.215478.435.202356.828.843362.203.362307.413.199279.550.01894.494.534100.665.584142.953.731268.216.187211.072.848259.049.436285.520.024292.027.943220.125.319172.612.407162.501.070169.805.856
uzun vadeli karşılıklar
6.775.4306.775.4305.923.0412.947.8733.043.4582.866.1403.266.2332.713.4892.150.0421.597.1532.137.1771.074.9191.064.224541.583431.043191.398227.724216.245161.874
ertelenmiş vergi yükümlülüğü
1.561.299.6931.121.854.1861.001.641.838614.826.128521.667.267493.115.517612.435.220234.884.155140.053.022123.976.990350.664.270107.520.26285.735.54458.031.67050.567.11423.690.16828.840.29210.925.3596.485.573
diğer uzun vadeli yükümlülükler
000000000000000
toplam uzun vadeli yükümlülükler
2.086.564.6011.573.801.8311.486.000.081974.602.844887.039.350803.394.856895.251.471332.092.178242.868.648268.527.874621.017.634319.668.029345.849.204344.093.277343.026.100244.006.885201.680.423173.642.674176.453.303
ana ortaklığa ait özkaynaklar
8.088.388.6236.719.158.1766.868.937.1545.048.709.0194.470.820.3604.128.934.6884.797.391.3371.754.016.9171.165.302.816956.747.8482.638.403.804703.234.955684.808.392557.854.916288.870.811154.706.025154.722.48087.137.23365.935.501
toplam özkaynaklar
8.088.388.6236.719.158.1766.868.937.1545.048.709.0194.470.820.3604.128.934.6884.797.391.3371.754.016.9171.165.302.816956.747.8482.638.403.804703.234.955684.808.392557.854.916288.870.811154.706.025154.722.48087.137.23365.935.501