Link Bilgisayar Sistemleri Yazılımı ve Donanımı Sanayi ve Ticaret A.Ş. (LINK) Bilanço Tablosu

PRO üyemiz olmadığınız için LINK bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/12
nakit ve nakit benzerleri
995.5311.723.92147.801.0863.370.6223.522.6513.315.171101.867.7983.006.3562.296.86578.346.821125.658.74161.980.29956.484.64461.756.99459.268.02439.686.17039.377.54339.823.74533.818.36033.692.96730.017.82028.154.07323.785.10621.450.45022.380.27921.251.00918.840.389
finansal yatırımlar
312.306.652263.703.959307.377.169136.527.008129.274.662126.411.50851.966.71885.089.45978.792.2377.803.82211.502.9140000000
ticari alacaklar
527.300.482638.030.233578.435.39930.937.06510.533.35011.837.34030.357.7714.775.7115.132.3635.875.16019.874.6363.764.3763.456.7033.190.5356.761.5481.935.4352.223.1583.106.2886.065.7002.542.6494.065.94807.169.7151.804.8541.537.2782.242.7284.880.840
stoklar
59.898.25180.134.78087.701.0417.701.834106.548242.771858.00126.02224.60922.833373.4943.5093.53647.138214.3887.59049.8388.2595.34718.57649.70519.01817.1698.21622.03322.4649.563
peşin ödenmiş giderler
67.318.30542.057.6394.124.1126.902.7421.594.1301.096.7731.619.019493.875163.206178.052445.6252.7352.9653.24746.3063.468124.68698.90345.27442.50051.9243.07051.9483.1288.0283.105561
diğer dönen varlıklar
142.49100354.214000029.99830.01926.07213.45435.0428.110
ara toplam
1.108.247.0151.026.548.160476.159.090188.093.615148.212.448142.950.499186.809.0064.604.05786.839.60292.603.65815.551.96766.489.72460.545.03565.334.3568.677.73841.734.11841.910.7372.421.3363.163.55836.332.65934.221.36431.336.4173.400.28223.620.6321.279.20023.726.3561.626.934
toplam dönen varlıklar
1.108.247.0151.026.548.1601.025.966.018188.093.615148.212.448142.950.499186.809.00693.475.86186.839.60292.603.658158.027.75066.489.72460.545.03565.334.35666.311.94241.734.11841.910.73743.056.24339.953.72836.332.65934.221.36431.336.41731.091.22423.620.63224.182.29323.726.35623.847.267
diğer alacaklar
140.285.303897.628401102.061119.28846.936139.69964.40934490.7935673.937344344344344135.51219.04834435.96734435.76737.2673.84720.06888.901843
toplam varlıklar
1.752.923.5511.645.024.8161.660.025.631253.827.641204.391.301192.887.114248.157.655115.283.480106.245.662110.486.829195.882.99084.156.94076.875.77880.789.95781.117.09154.396.25954.125.66054.831.25251.392.88246.219.97544.244.86240.882.26340.421.99232.394.87732.710.67931.957.48931.805.417
maddi duran varlıklar
5.483.2204.194.6434.414.3301.795.0291.825.5201.662.5422.303.903760.614824.179894.4212.484.225675.478689.922628.578562.731428.363455.207467.935501.451402.766411.949126.219115.23377.95256.07768.95476.532
maddi olmayan duran varlıklar
639.192.972614.281.669629.644.88263.938.65354.352.98948.273.72959.044.25020.949.71118.418.33116.810.35434.924.82311.768.65910.417.5129.603.4328.877.0708.237.9667.762.3317.304.5796.942.4126.731.3426.861.2056.666.2136.461.9946.192.8215.963.9375.658.7305.380.214
toplam duran varlıklar
644.676.536618.476.656634.059.61365.734.02656.178.85349.936.61561.348.64921.807.61919.406.06017.883.17137.855.24017.667.21616.330.74315.455.60114.805.14912.662.14112.214.92311.775.00911.439.1549.887.31610.023.4989.545.8469.330.7688.774.2458.528.3868.231.1337.958.150
kısa vadeli borçlanmalar
5.9704.084390.326000000000
ticari borçlar
290.730.241413.916.930421.797.48833.535.2451.060.418709.5933.280.759653.289869.196708.8462.220.274353.956500.897423.9601.048.457370.856470.609368.825446.1630408.63900191.152244.985140.936173.256
çalışanlara sağlanan faydalar kapsamında borçlar
6.998.2637.284.9699.114.2074.403.5723.944.5323.301.1181.341.7092.052.8621.653.3511.502.5072.482.0341.152.475919.6241.225.8411.021.5001.086.029702.999839.8771.439.679610.129616.225710.531957.143600.435724.438685.328479.600
diğer borçlar
792.89814.396.1054.252.5741.712.0392.326.0489.962.1636.903.5441.341.2111.317.7084.087.9194.419.371798.6481.046.893245.3761.393.505244.018905.085174.940521.1480668.5910849.615148.91072.61899.482685.410
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
76.018.18634.715.50925.392.928778.9491.125.6751.981.6482.543.349556.695504.128735.486924.997602.936280.703239.725199.932197.787129.041254.3680000165.80185.954134.429163.783124.834
dönem karı vergi yükümlülüğü
606.96210.203.81615.211.56702.477.29610.639.924635.58705.505.29166.8491.572.5611.272.2485.014.34414.338567.409783.326594.440781.346471.882390.197916.462102.730133.619163.834
toplam yükümlülükler
432.269.077513.885.366500.066.88957.100.43622.500.20231.727.33439.701.70110.266.8049.338.81510.990.63125.918.4598.151.5758.479.8807.301.90412.610.7635.434.2276.101.6155.468.5805.886.2514.971.4644.962.8614.181.9075.713.4023.081.8453.238.4193.295.0043.813.822
kısa vadeli karşılıklar
2.631.457000000000
toplam kısa vadeli yükümlülükler
377.783.977480.521.413476.159.09040.429.8058.456.67318.431.81824.709.2854.604.0574.979.9707.034.75815.551.9672.974.8644.320.6783.407.1508.677.7381.913.0282.775.1432.421.3363.163.5582.269.5862.344.6371.687.6983.400.2821.026.4511.279.2001.223.1481.626.934
uzun vadeli karşılıklar
6.373.9865.949.9246.201.7646.613.9455.637.7805.359.6835.537.9373.859.5553.302.7033.187.6608.525.0314.486.1403.433.7933.358.7262.942.0742.805.7652.817.0122.714.3112.559.0732.592.0412.510.9082.431.5072.286.2081.688.7461.590.3101.753.3381.922.355
ertelenmiş vergi yükümlülüğü
48.111.11427.414.02917.706.03510.056.6868.405.7497.935.8339.454.4791.803.1921.056.142768.2131.841.461690.571725.409536.028990.951715.434509.460332.933163.620109.837107.31662.70226.912366.648368.909318.518264.533
toplam uzun vadeli yükümlülükler
54.485.10033.363.95323.907.79916.670.63114.043.52913.295.51614.992.4165.662.7474.358.8453.955.87310.366.4925.176.7114.159.2023.894.7543.933.0253.521.1993.326.4723.047.2442.722.6932.701.8782.618.2242.494.2092.313.1202.055.3941.959.2192.071.8562.186.888
toplam kaynaklar
1.752.923.5511.645.024.8161.660.025.631253.827.641204.391.301192.887.114248.157.655115.283.480106.245.662110.486.829195.882.99084.156.94076.875.77880.789.95781.117.09154.396.25954.125.66054.831.25251.392.88246.219.97544.244.86240.882.26340.421.99232.394.87732.710.67931.957.48931.805.417
ana ortaklığa ait özkaynaklar
1.320.654.4741.131.139.4501.159.958.742196.727.205181.891.099161.159.780208.455.954105.016.67696.906.84799.496.198169.964.53176.005.36568.395.89873.488.05368.506.32848.962.03248.024.04549.362.67245.506.63141.248.51139.282.00136.700.35634.708.59029.313.03229.472.26028.662.48527.991.595
toplam özkaynaklar
1.320.654.4741.131.139.4501.159.958.742196.727.205181.891.099161.159.780208.455.954105.016.67696.906.84799.496.198169.964.53176.005.36568.395.89873.488.05368.506.32848.962.03248.024.04549.362.67245.506.63141.248.51139.282.00136.700.35634.708.59029.313.03229.472.26028.662.48527.991.595