Manas Enerji Yönetimi Sanayi ve Ticaret A.Ş. (MANAS) Bilanço Tablosu

PRO üyemiz olmadığınız için MANAS bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62020/12
nakit ve nakit benzerleri
17.972.9616.705.6355.660.7922.973.81615.418.9781.888.0025.861.6324.971.5207.398.76424.858.52128.898.10214.792.06212.540.7484.266.5415.477.90628.628.2784.576.5934.520.413
ticari alacaklar
77.702.46377.761.508134.952.92653.363.40856.058.69969.321.77877.138.60550.830.10360.176.75762.733.283104.120.73657.343.99057.943.13146.347.74248.223.90421.750.38413.405.53018.094.174
diğer alacaklar
3.701.9003.652.3454.192.0954.511.0566.327.0002.573.4265.624.919969.5973.575.4022.508.4073.339.430790.207613.4462.477.7832.717.333865.8781.514.749838.552
stoklar
413.013.242375.848.119416.686.426332.174.967282.774.932243.481.047289.647.901155.733.484112.832.969106.556.266132.499.51358.540.14839.423.88838.972.37129.534.79943.806.73722.330.87112.964.333
peşin ödenmiş giderler
2.471.60152.512.67365.012.5832.772.23781.270.826472.975588.01355.920.96121.351.013585.3511.160.98724.098.62027.319.93322.185.2293.432.3537.222.287216.187139.783
diğer dönen varlıklar
1.801.0461.517.5335.745.35710.465.95010.166.9197.252.0002.289.5564.400.0875.530.3325.840.0924.702.9453.174.897430.9892.191.2781.087.6972.879.252117.35368.525
ara toplam
566.320.248517.997.813612.840.524519.610.092433.349.118372.841.094384.854.015275.432.919213.887.654166.569.278225.040.942104.600.49681.249.65348.003.97590.473.99250.833.49545.604.37942.157.546
toplam dönen varlıklar
566.320.248517.997.813632.250.179511.307.499452.017.354372.841.094493.830.533275.432.919213.887.654228.971.035342.456.643158.739.924138.272.135116.440.94490.473.992105.378.70545.604.37942.157.546
yatırım amaçlı gayrimenkuller
19.890.24618.763.19319.890.24619.876.36818.248.67016.833.80821.122.6146.650.3927.427.6687.449.5909.293.8935.650.9675.661.5095.672.0515.682.5945.693.1365.703.6785.724.762
toplam varlıklar
1.652.541.0561.543.259.5121.721.094.1921.227.070.7301.117.414.160972.441.9391.229.346.550404.289.108337.736.662350.276.095656.825.720257.381.450231.062.154186.175.045157.588.525171.681.854110.541.276106.055.485
maddi duran varlıklar
778.321.565742.938.188807.771.279537.429.066497.860.642457.170.263575.427.47081.669.57181.679.53682.363.923234.533.10869.930.02768.423.98947.273.00546.342.40346.137.38246.046.59046.327.615
kullanım hakkı varlıkları
826.677886.1771.052.134144.520199.026244.793383.949791.413841.245891.078946.559210.898232.476254.053275.631320.921361.094473.809
maddi olmayan duran varlıklar
284.710.719262.357.292259.906.597155.377.328141.702.118118.518.629131.835.67439.324.91333.460.44330.015.11868.434.53021.972.86917.980.23816.335.87014.700.20313.921.72512.609.34811.231.970
toplam duran varlıklar
1.086.220.8081.025.261.6991.088.844.013715.763.231665.396.806599.600.845735.516.017128.856.189123.849.008121.305.060314.369.07798.641.52692.790.01969.734.10167.114.53366.303.14964.936.89763.897.939
kısa vadeli borçlanmalar
301.129.367227.078.258235.667.655275.815.751212.628.572116.881.659120.972.25399.148.71139.932.73147.298.64168.868.18933.078.58626.944.81616.540.5135.875.7908.271.70425.212.69922.646.449
uzun vadeli borçlanmaların kısa vadeli kısımları
191.946.629183.725.335233.689.269115.539.280120.059.38598.483.072122.601.28042.967.42745.676.06444.028.95754.728.25925.113.11621.037.48110.022.27410.662.89617.794.95421.953.65418.565.620
diğer finansal yükümlülükler
12.612.74112.997.12514.331.87211.848.97312.485.5388.570.89910.539.38304.469.9547.233.205
ticari borçlar
51.317.23349.346.97353.821.03050.419.49539.307.52136.303.33734.617.21424.716.56430.837.13324.153.76463.168.64338.441.26128.613.05514.031.33314.632.23816.076.43711.390.5887.153.377
çalışanlara sağlanan faydalar kapsamında borçlar
18.528.09413.053.0489.328.13010.076.1309.191.4577.640.9437.675.8475.181.0562.676.3194.217.2932.385.5231.630.226921.0801.056.537671.577662.794783.0021.008.132
toplam yükümlülükler
818.122.711717.250.045787.191.085624.234.850534.789.413389.167.697491.912.658256.471.977189.845.552208.176.643321.524.218131.409.976108.887.13771.444.54941.507.79758.331.61774.702.68468.648.691
diğer borçlar
28.661.18223.468.67626.569.73433.219.94919.981.34918.566.35020.776.1046.006.9096.406.631649.4791.078.838215.647327.067144.42196.1443.566.634399.02265.008
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
31.277.06723.054.80628.343.43715.081.73714.255.85325.464.46056.743.68436.407.79126.083.18538.805.73624.008.3393.162.1831.271.0694.404.4611.074.0472.709.1885.278.8523.319.560
kısa vadeli karşılıklar
4.660.4583.432.2193.005.5322.226.5012.389.5162.884.9651.952.4312.398.1091.688.5931.550.6462.581.0181.268.5381.113.3591.164.239952.391727.811677.308587.084
diğer kısa vadeli yükümlülükler
9.976.4433.629.4828.083.8655.382.2763.049.9276.226.4418.975.8193.898.9483.064.0531.394.808988.9281.690.9391.021.726640.197892.514641.254544.842982.618
toplam kısa vadeli yükümlülükler
650.109.214539.785.922612.840.524519.610.092433.349.118321.022.126384.854.015220.725.515156.364.709166.569.278225.040.942104.600.49681.249.65348.003.97534.857.59750.833.49566.454.78354.735.194
uzun vadeli borçlanmalar
75.858.67167.243.26172.760.82937.303.07946.398.43436.806.06753.085.55925.660.77627.822.76235.846.08750.372.33020.379.12222.022.28415.950.9281.394.3662.305.0753.573.7239.660.929
uzun vadeli karşılıklar
14.576.10914.761.18915.398.60410.729.41310.874.9045.598.1996.219.4304.119.7293.124.1653.301.0637.333.7361.998.6681.771.5824.220.9431.496.5481.561.6651.003.5691.222.414
ertelenmiş vergi yükümlülüğü
77.578.71795.459.67386.191.12856.592.26644.166.95725.741.30547.753.6545.965.9572.533.9162.460.21538.777.2104.431.6903.843.6183.268.7033.759.2863.631.3823.670.6093.030.154
toplam uzun vadeli yükümlülükler
168.013.497177.464.123174.350.561104.624.758101.440.29568.145.571107.058.64335.746.46233.480.84341.607.36596.483.27626.809.48027.637.48423.440.5746.650.2007.498.1228.247.90113.913.497
toplam kaynaklar
1.652.541.0561.543.259.5121.721.094.1921.227.070.7301.117.414.160972.441.9391.229.346.550404.289.108337.736.662350.276.095656.825.720257.381.450231.062.154186.175.045157.588.525171.681.854110.541.276106.055.485
ana ortaklığa ait özkaynaklar
834.418.345826.009.467933.903.107602.835.880582.624.747583.274.242737.433.892147.817.131147.891.110142.099.452335.301.502125.971.474122.175.017114.730.496116.080.728113.350.23735.838.59237.406.794
kontrol gücü olmayan paylar
00
toplam özkaynaklar
834.418.345826.009.467933.903.107602.835.880582.624.747583.274.242737.433.892147.817.131147.891.110142.099.452335.301.502125.971.474122.175.017114.730.496116.080.728113.350.23735.838.59237.406.794