Mmc Sanayi ve Ticari Yatırımlar A.Ş. (MMCAS) Bilanço Tablosu

PRO üyemiz olmadığınız için MMCAS bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/12
nakit ve nakit benzerleri
2.697.9564.745.2162.624.334343.839522.09581.42130.74435.22531.14446.65633.92855.27255.31755.38796.833313.321286.675573.3741.173.556246.236207.148261.344103.94226.939526.78226.941
ticari alacaklar
2.427.1182.305.538426.6961.311.9511.730.7152.550.5751.690.5281.538.9241.651.1662.646.9801.667.8691.615.2191.615.219012.754.57810.049.53311.531.68610.417.8587.606.5077.681.5408.926.3466.949.6921.442.2971.654.5143.411.6040
diğer alacaklar
29.626103.88111.926257.25995.94902.70201.7002.80176.576076.57614.00014.00068613.6426.9746.9741.035.7789912.58150564.816249.460231.179
peşin ödenmiş giderler
226.54383.534813.3062.880.3491.644.0961.006.8821993.05613.64323.10111.17811.41110.5000106.815109.3931.275.5241.403.175147.065174.685818.7062.286.099142.31097.636299.995300.653
cari dönem vergisiyle ilgili varlıklar
489.2710262.5560
diğer dönen varlıklar
629.585563.188562.223472.757422.359427.887285.432217.840177.713271.181152.753131.102125.848103.8681.652.1801.353.247123.75163.441137.349151.732167.489162.156161.697185.522197.685194.785
toplam dönen varlıklar
6.500.0997.801.3574.438.4855.528.7115.534.7374.066.7652.009.6051.795.0451.875.3662.990.7191.942.3041.889.5801.883.4601.892.90114.670.89212.519.36213.231.27812.460.42811.462.10711.444.47211.338.4459.661.8721.850.2462.029.4278.384.7013.091.220
maddi duran varlıklar
139.891139.891127.10142.14638.87872.4260006.78021.824276.324160.516179.555195.247202.306215.428195.087212.797129.347141.626246.740166.185
maddi olmayan duran varlıklar
48.16948.16943.76516.89415.58420.7072.1152.1962.27816.7912.4402.5212.6032.6842.7652.8472.9283.0093.0913.1723.2533.3353.4163.4973.6583.659
toplam varlıklar
10.336.44112.093.8608.261.7879.507.8179.695.6359.781.3782.692.2222.307.9282.404.9578.157.5756.054.7107.590.4527.015.5424.368.67319.398.66017.049.22217.041.22718.328.37017.538.36717.514.71316.744.10115.282.5278.429.9658.602.00511.253.8265.880.449
ertelenmiş vergi varlığı
3.648.2824.104.4433.652.4363.920.0664.106.4365.621.480680.502510.687527.3135.150.0654.109.9664.014.5233.655.775960.7124.434.6794.243.1043.613.1813.565.7853.466.9673.447.7453.103.4153.007.0963.133.0233.111.1612.318.2272.318.227
toplam duran varlıklar
3.836.3424.292.5033.823.3023.979.1064.160.8985.714.613682.617512.883529.5915.166.8564.112.4065.700.8725.132.0822.475.7724.727.7684.529.8603.809.9495.867.9426.076.2606.070.2415.405.6565.620.6556.579.7196.572.5782.869.1252.789.229
ticari borçlar
1.741.3191.973.1761.718.5111.863.4182.065.2912.738.382768.474558.273355.726107.3610039.15137.6082.401.1692.231.8921.513.5211.952.6072.125.8912.201.2520571.773229.379229.3792.840.6750
çalışanlara sağlanan faydalar kapsamında borçlar
717.911382.528385.30310.534631.334227.053483.478342.779178.9070708.151706.766820.806181.254784.874793.399797.418753.871951.795926.2331.023.142924.259847.224855.784990.981824.758
diğer borçlar
2.059.7522.240.1902.332.0251.376.177998.4711.019.9234.598.5502.550.3202.722.0164.313.77603.829.8354.108.3443.987.1107.086.9494.649.5865.653.2696.307.7855.892.6395.853.1614.484.0705.711.4556.232.3406.209.0664.328.3062.579.253
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
2.653.6492.951.8788.99525.649291.30712.9878.9958.9958.99514.8218.9958.9950000
dönem karı vergi yükümlülüğü
0524.397470.824262.5550051.215132.968196.057119.19191.545211.073016.0511.9710
kısa vadeli karşılıklar
1.598.3501.759.1881.598.3501.606.5491.606.5492.316.716345.062254.126239.726395.004396.410396.4100000
ara toplam
6.500.0999.831.3574.438.4856.021.3365.534.7374.066.7652.009.6051.795.0451.875.3667.450.1565.582.6061.889.5801.883.4604.957.92414.670.89212.519.36213.231.27812.460.42811.462.10711.444.47211.338.4459.661.8721.850.2467.311.9058.384.7013.091.220
toplam yükümlülükler
8.832.8899.898.2426.069.6026.031.8705.962.0646.462.3126.616.1195.235.5385.009.2307.450.1565.582.6066.731.5316.369.4365.708.53911.996.7568.974.3549.421.23910.521.4109.831.2739.836.5299.755.2158.014.5177.336.9507.318.6418.177.6384.176.082
toplam kısa vadeli yükümlülükler
8.770.9819.831.3576.043.1846.021.3365.951.5306.451.1006.608.6965.235.5385.009.2307.450.1565.582.6066.731.5315.767.6964.957.92411.328.1108.719.5499.406.96510.505.4969.816.6329.810.4289.651.4997.918.3937.326.6197.311.9058.177.6384.176.082
uzun vadeli karşılıklar
61.90814.79026.41811.2127.423000175.594141.99418.71114.06414.27415.91414.64163.39854.67710.3316.73600
ertelenmiş vergi yükümlülüğü
52.095010.6501.56200
toplam uzun vadeli yükümlülükler
61.90866.88526.41810.53410.53411.2127.42300000601.740750.615668.646254.80514.27415.91414.64126.101103.71696.12410.3316.73600
toplam kaynaklar
10.336.44112.093.8608.261.7879.507.8179.695.6359.781.3782.692.2222.307.9282.404.9578.157.5756.054.7107.590.4527.015.5424.368.67319.398.66017.049.22217.041.22718.328.37017.538.36717.514.71316.744.10115.282.5278.429.9658.602.00511.253.8265.880.449
ana ortaklığa ait özkaynaklar
1.503.5522.195.6182.192.185-9.869.737-9.616.232-13.493.403-4.326.505-3.362.756-3.056.078-7.444.077-84.635329.646112.758-1.918.573104.166862.258427.218883.9721.169.0281.140.118587.992860.253477.049610.659699.172670.228
toplam özkaynaklar
1.503.5522.195.6182.192.1853.475.9473.733.5713.319.066-3.923.897-2.927.610-2.604.273707.419472.104858.921646.106-1.339.8667.401.9048.074.8687.619.9887.806.9607.707.0947.678.1846.988.8867.268.0101.093.0151.283.3643.076.1881.704.367