Meditera Tıbbi Malzeme Sanayi ve Ticaret A.Ş. (MEDTR) Bilanço Tablosu

PRO üyemiz olmadığınız için MEDTR 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
340.346.512248.246.774352.668.945227.622.184143.498.84182.189.944216.567.601167.099.226129.826.123225.877.534161.078.308187.175.956221.694.010340.431.003261.277.977161.103.520244.574.51855.693.932
finansal yatırımlar
86.542.931138.448.983153.806.097174.438.804253.521.2910397.219.083245.562.785236.141.846174.410.65192.476.27155.497.688133.789.858117.551.113133.290.00088.433.000
ticari alacaklar
532.028.038513.020.718497.596.358429.457.319307.864.618394.451.018418.451.616322.414.373205.603.817196.765.593257.507.753167.604.343161.194.844146.215.392130.447.700112.522.33984.663.420106.871.360
stoklar
645.718.332571.230.904618.903.008473.904.850472.109.587399.828.929397.632.921235.437.267191.894.728179.881.560278.362.340164.346.059132.144.090102.067.78766.611.55571.096.36677.999.68649.526.399
peşin ödenmiş giderler
132.660.020124.493.654121.751.36591.015.20796.213.01199.202.47974.883.66149.435.29644.259.24320.328.05130.411.56339.365.53040.114.0576.817.9085.956.6042.938.0037.453.0664.749.029
cari dönem vergisiyle ilgili varlıklar
8.270.5409.228.0857.698.0315.939.08112.338.35822.841.701457.55700003.120.214
diğer dönen varlıklar
17.965.38619.499.26526.476.12420.337.24020.976.05614.730.54914.739.23812.425.69811.892.08214.232.27724.504.01518.625.69815.550.52814.984.94313.168.41417.025.05616.430.30615.061.731
ara toplam
1.795.240.1011.653.453.898535.968.376403.380.201359.467.757349.493.9861.559.862.0961.045.273.636828.722.546832.227.953240.087.456733.519.064712.821.385737.891.645127.036.44386.094.881436.009.421241.131.580
toplam dönen varlıklar
1.795.240.1011.653.453.8981.812.135.4881.454.072.7721.330.883.6081.309.031.6851.559.862.0961.045.273.636828.722.546832.227.9531.206.762.127733.519.064712.821.385737.891.645618.338.113456.787.592436.009.421241.131.580
toplam varlıklar
3.204.726.6373.007.677.2513.278.640.8162.628.184.5612.384.226.5512.247.110.9142.732.983.6251.363.910.9381.170.941.3781.159.963.7681.889.909.415899.419.084821.512.697837.542.271719.211.228552.081.531530.780.425341.686.096
diğer alacaklar
39.978.88230.243.060121.22029.599.13730.761.12319.019.22083.27856.3309.104.70720.274.73016.470.1547.885.0248.333.9989.823.49934.3813.669.30833.78929.671
özkaynak yöntemiyle değerlenen yatırımlar
16.393.55527.359.75928.498.98546.898.16441.647.72337.263.84825.655.2127.789.4682.544.3933.840.84714.279.3635.072.7835.500.266000500.384
yatırım amaçlı gayrimenkuller
62.414.71958.878.07762.414.71948.909.72344.904.45241.422.90451.976.35816.200.00016.200.00016.200.00026.693.2139.555.0009.555.0009.555.0009.555.0005.340.0005.340.0005.340.000
maddi duran varlıklar
1.321.126.5921.257.936.0971.364.040.7031.077.253.402965.369.072857.677.1181.092.761.028293.540.723322.076.751306.013.605542.980.33487.178.34885.207.96782.258.45183.274.73483.811.12382.824.33586.696.043
kullanım hakkı varlıkları
00306.222562.292778.0431.301.692520.092726.598933.1054.650.3631.346.1181.552.6241.759.1311.965.6372.172.1432.378.6502.791.663
maddi olmayan duran varlıklar
9.468.8189.945.52411.429.701638.082766.680879.6361.343.961530.689636.203713.3712.012.202684.680639.429511.858596.882530.468611.705642.148
toplam duran varlıklar
1.409.486.5361.354.223.3531.466.505.3281.174.111.7891.053.342.943938.079.2291.173.121.529318.637.302342.218.832327.735.815683.147.288165.900.020108.691.31299.650.626100.873.11595.293.93994.771.004100.554.516
kısa vadeli borçlanmalar
16.001.45205.000.00010.000.00021.656.81620.000.00000000322.126467.275999.9574.485.002
uzun vadeli borçlanmaların kısa vadeli kısımları
23.720.47127.407.35731.700.58127.297.69127.222.26126.473.75237.776.16722.826.84919.042.26916.014.66123.483.77415.282.87215.722.14124.015.83223.337.07424.205.66825.059.43514.270.574
toplam yükümlülükler
671.002.213601.937.790670.980.129546.986.234499.051.886524.382.091596.542.604375.159.928309.085.616275.115.730381.047.682230.541.183228.086.588198.430.754149.838.740104.461.265118.831.682124.532.278
ticari borçlar
357.393.844338.289.083417.679.020311.142.860275.681.609263.617.985292.742.808167.231.426160.576.178132.776.931176.567.535121.677.492128.342.450114.521.01970.074.70949.421.36357.357.79353.796.534
çalışanlara sağlanan faydalar kapsamında borçlar
41.283.91145.914.59737.515.50430.282.76428.590.48529.074.38128.332.15819.133.54313.644.63611.588.52912.546.5056.736.5235.534.1185.702.2423.523.0303.593.4703.506.5183.445.668
diğer borçlar
6.019.8044.350.5936.947.3733.893.9232.917.8462.192.6524.244.7061.795.3825.936.68712.682.6112.204.7841.016.287894.653526.208734.829638.442488.2396.911.133
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
35.390.19314.431.53221.385.14517.885.90710.313.1489.345.80016.617.72817.582.3477.770.63914.230.18315.311.6047.775.79911.019.5798.342.1757.831.7784.055.3099.026.9022.738.640
dönem karı vergi yükümlülüğü
1.191.291028.300.2369.527.81503.923.64412.759.9212.509.44618.167.07418.871.7531.471.0951.047.3160
kısa vadeli karşılıklar
22.212.31922.490.58020.740.75312.877.0569.742.4088.789.4169.708.0167.209.7794.295.0404.521.6866.049.6104.516.7123.864.6952.673.4102.341.1442.242.2592.553.6611.976.042
toplam kısa vadeli yükümlülükler
503.213.285452.883.742535.968.376403.380.201359.467.757349.493.986411.078.399284.079.562220.793.264191.814.601240.087.456169.765.606167.887.082173.947.960127.036.44386.094.881100.039.82187.623.593
uzun vadeli borçlanmalar
10.582.78813.644.97622.993.18926.723.57032.694.48039.528.74165.364.34651.538.69357.380.59953.121.23261.154.57140.048.65742.384.1796.948.9487.469.8886.766.4987.561.71225.796.559
uzun vadeli karşılıklar
39.223.86739.707.31636.962.61031.584.96728.752.64419.952.76822.426.37616.892.26913.351.88712.754.81020.178.76213.055.00211.409.71610.267.6577.550.4867.021.5166.679.4796.318.787
toplam kaynaklar
3.204.726.6373.007.677.2513.278.640.8162.628.184.5612.384.226.5512.247.110.9142.732.983.6251.363.910.9381.170.941.3781.159.963.7681.889.909.415899.419.084821.512.697837.542.271719.211.228552.081.531530.780.425341.686.096
ertelenmiş vergi yükümlülüğü
117.982.27395.701.75675.055.95485.297.49678.137.005115.406.59697.673.48322.649.40417.559.86617.425.08759.626.8937.671.9186.405.6117.266.1897.781.9234.578.3704.550.6704.793.339
toplam uzun vadeli yükümlülükler
167.788.928149.054.048135.011.753143.606.033139.584.129174.888.105185.464.20591.080.36688.292.35283.301.129140.960.22660.775.57760.199.50624.482.79422.802.29718.366.38418.791.86136.908.685
ana ortaklığa ait özkaynaklar
2.531.515.7922.402.014.7632.601.811.2912.074.225.4371.878.656.7121.715.898.7532.128.322.568983.450.337858.116.757883.437.1431.506.422.618668.877.901593.426.109639.111.517569.372.488447.620.266411.948.743217.153.818
kontrol gücü olmayan paylar
2.208.6323.724.6985.849.3966.972.8906.517.9536.830.0708.118.4535.300.6733.739.0051.410.8952.439.1150
toplam özkaynaklar
2.533.724.4242.405.739.4612.607.660.6872.081.198.3271.885.174.6651.722.728.8232.136.441.021988.751.010861.855.762884.848.0381.508.861.733668.877.901593.426.109639.111.517569.372.488447.620.266411.948.743217.153.818