Mia Teknoloji A.Ş. (MIATK) Bilanço Tablosu

PRO üyemiz olmadığınız için MIATK bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92020/12
nakit ve nakit benzerleri
711.969.755825.139.712811.556.7801.069.695.148647.952.237521.724.572406.473.927281.120.283223.547.50894.313.240173.929.319291.509.01198.818.90466.023.37250.283.23068.406.51116.569.3718.417.053
ticari alacaklar
1.680.267.4451.628.719.1951.508.439.1551.638.587.8991.086.924.4621.031.561.0571.034.867.733696.958.677523.298.480378.397.294211.293.852283.163.774177.728.536112.575.39458.332.44255.339.72531.975.34320.850.524
diğer alacaklar
024.737.53727.793.676150.028.3456.468.2286.036.7344.822.41111.095.4183.262.3063.715.4042.960.9744.767.116628.822628.822601.111583.599520.2139.260.744
stoklar
13.110.30627.998.33525.339.44946.323.6477.299.67022.404.298127.830.69151.848.3516.127.86613.036.26010.179.41712.673.1143.710.0993.853.0013.387.6505.120.2265.025.6103.265.196
peşin ödenmiş giderler
857.852.829369.754.362169.262.152125.320.696131.297.65914.702.97051.046.41022.566.84647.079.47931.994.73545.702.51006.704.5972.083.88613.8731.301.32829.8101.281.937
cari dönem vergisiyle ilgili varlıklar
5.818.2982.921.8486.294.4767.397.9934.219.2021.304.8841.051.2930982.287109.99672.28813.14911.842
diğer dönen varlıklar
25.482.26535.848.84524.835.12628.547.47214.465.46713.966.69935.459.57028.007.72513.832.9747.637.6763.624.403884.9465.944.8263.358.5833.116.8542.895.6151.841.112652.073
ara toplam
1.945.960.6082.915.119.8342.675.738.8333.065.901.2001.898.626.925702.180.1611.661.552.035519.236.811817.148.613530.195.109447.690.475275.451.568293.535.784188.523.05857.989.63850.094.80662.834.59221.281.249
toplam dönen varlıklar
3.282.225.7022.915.119.8342.675.738.8333.065.901.2001.898.626.9251.694.054.1561.661.552.0351.091.597.300817.148.613530.195.109447.690.475644.371.060293.535.784188.523.058143.149.870133.719.29262.834.59243.739.369
toplam varlıklar
7.594.126.6007.905.832.0966.806.563.6827.845.664.8234.265.509.8983.624.911.1193.340.609.3633.140.143.1361.424.437.1011.052.340.669928.566.1161.470.336.285586.942.957421.140.847334.463.656300.674.516144.830.05194.954.217
iştirakler, iş ortaklıkları ve bağlı ortaklıklardaki yatırımlar
1.050.755.7882.104.158.4731.668.042.2651.997.443.35755.571.86355.493.70253.476.60517.739.7970
yatırım amaçlı gayrimenkuller
57.634.89653.611.67150.573.84157.634.89642.903.19239.490.05136.613.24545.941.32511.200.00011.200.00011.200.00018.454.5674.325.0004.325.0004.325.0004.325.0002.629.8388.154.365
maddi duran varlıklar
310.043.642306.450.030299.828.481330.031.079113.799.799107.759.158105.041.141128.430.53063.353.12922.222.36616.479.0198.042.6782.983.1151.259.1741.083.127963.307738.471710.439
kullanım hakkı varlıkları
2.808.1823.344.3593.845.5695.169.6334.468.9064.645.1194.785.1146.631.7982.238.3122.426.9242.615.5366.331.9913.149.824784.670880.334995.228894.5321.206.465
maddi olmayan duran varlıklar
2.870.650.5352.517.141.2132.080.741.0172.358.780.2671.801.350.0311.629.029.9851.449.762.2251.749.926.109525.633.651482.266.669450.473.996793.135.989277.858.477221.875.185181.026.101159.061.22476.135.49340.276.423
ertelenmiş vergi varlığı
20.007.855065.759.34779.735.97812.843.07078.648.3104.813.3964.029.60104.825.8543.138.2892.695.2941.396.7351.567.315867.156
diğer duran varlıklar
1.925.43301.832.95801.226.8041.290.057194.6630
toplam duran varlıklar
4.311.900.8984.990.712.2624.130.824.8494.779.763.6232.366.882.9731.930.856.9631.679.057.3282.048.545.836607.288.488522.145.560480.875.641825.965.225293.407.173232.617.789191.313.786166.955.22481.995.45951.214.848
toplam yükümlülükler
1.985.263.3141.936.233.1191.550.387.4041.893.377.2721.023.291.401737.396.859640.807.493599.199.071359.065.663293.982.585263.288.337333.679.012151.837.12068.907.34063.003.99155.179.93542.871.19827.667.422
kısa vadeli borçlanmalar
892.371.494805.391.273754.528.492622.239.947497.114.957388.243.943217.015.675128.431.77275.528.09572.717.72570.798.75795.663.45942.038.24722.183.99310.492.910279.4579.012.515585.662
uzun vadeli borçlanmaların kısa vadeli kısımları
104.639.221103.305.28197.067.564115.359.15238.822.37329.860.67836.825.420159.784.58637.176.58421.015.99823.706.63026.423.80717.767.6196.792.8004.378.0033.947.8004.421.7264.548.508
diğer finansal yükümlülükler
99.15085.651639.4491.331.8971.265.8821.042.4392.841.7451.779.3331.162.210
ticari borçlar
851.638.213418.204.036289.478.877552.785.694269.966.930123.686.372246.186.379184.110.362106.637.882132.820.999130.250.101136.542.88480.018.43130.487.17530.016.95235.171.88224.061.73715.480.351
çalışanlara sağlanan faydalar kapsamında borçlar
6.930.99613.133.33916.343.66513.253.0708.818.4159.841.2228.985.2558.171.2055.305.1904.765.3983.777.6793.846.2741.870.5861.300.9531.129.617817.884586.086285.995
diğer borçlar
0027.793.67660.884.42948.486.79548.486.79512.930.0720720.21912.574
türev araçlar
1.219.6760854.0192.890.485204.8810
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
124.972.399193.514.248118.460.992217.899.154113.356.90795.392.95271.797.02730.675.97953.199.22633.717.69715.233.8048.883.3502.280.35310.803.5878.636.119364.40375.772
dönem karı vergi yükümlülüğü
3.260.8232.294.6586.712.1885.303.759971.3490973.1671.405.047184.474194.2661.408.153559.449159.688159.0180214.3981.487
kısa vadeli karşılıklar
4.668.0758.267.8866.407.0824.693.8673.474.6813.728.5611.621.3242.245.1791.252.8871.131.5661.160.1621.300.396635.028626.865649.239518.083416.984167.778
diğer kısa vadeli yükümlülükler
1.506.2322.101.1171.635.8132.635.8251.980.1361.712.8521.387.0031.767.3491.218.79318.079.454989.157221.03585.300201.480360.312723.58126.051135.696
toplam kısa vadeli yükümlülükler
1.945.960.6081.613.333.8421.354.884.8711.599.277.279984.463.306702.180.161598.909.254519.236.811281.223.350284.261.411246.110.556275.451.568142.974.66064.033.30757.989.63850.094.80639.103.90021.281.249
toplam kaynaklar
7.594.126.6007.905.832.0966.806.563.6827.845.664.8234.265.509.8983.624.911.1193.340.609.3633.140.143.1361.424.437.1011.052.340.669928.566.1161.470.336.285586.942.957421.140.847334.463.656300.674.516144.830.05194.954.217
uzun vadeli borçlanmalar
31.680.89256.050.21284.079.012138.161.14930.601.26429.219.67236.090.39863.678.10769.228.5411.861.0214.817.0662.073.6834.711.2761.361.5992.492.6692.547.6602.936.8075.266.630
uzun vadeli karşılıklar
7.522.6649.603.0737.613.86111.411.6197.481.8394.954.5872.966.09614.504.8207.860.1538.554.4188.011.7454.151.1843.512.4342.521.6842.537.469830.4911.119.543
ertelenmiş vergi yükümlülüğü
0257.160.34175.376.535113.020.776003.806.29744.352.969
toplam uzun vadeli yükümlülükler
39.302.706322.899.277195.502.533294.099.99338.828.09535.216.69841.898.23979.962.26077.842.3139.721.17417.177.78158.227.4448.862.4604.874.0335.014.3535.085.1293.767.2986.386.173
ana ortaklığa ait özkaynaklar
5.606.043.4835.968.474.8755.248.768.3825.944.789.3773.240.427.4372.885.752.8032.699.551.0532.540.257.3271.065.314.119758.300.765665.277.7791.136.657.273435.105.837352.233.507271.459.665245.494.581101.958.85367.286.795
kontrol gücü olmayan paylar
2.819.8031.124.1027.407.8967.498.1741.791.0601.761.457250.817686.73857.31957.3190
toplam özkaynaklar
5.608.863.2865.969.598.9775.256.176.2785.952.287.5513.242.218.4972.887.514.2602.699.801.8702.540.944.0651.065.371.438758.358.084665.277.7791.136.657.273435.105.837352.233.507271.459.665245.494.581101.958.85367.286.795