Özerden Plastik Sanayi ve Ticaret A.Ş. (OZRDN) Bilanço Tablosu

PRO üyemiz olmadığınız için OZRDN bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/62019/122019/62018/12
nakit ve nakit benzerleri
75.122.25767.852.82462.055.22468.033.04356.302.78749.465.95258.773.02485.637.66051.592.91146.882.71848.312.24925.459.1006.879.9839.685.9688.919.8495.388.419922.3702.567.803610.3712.423.1467.023.2211.894.575501.6531.086.650
finansal yatırımlar
8.945.4276.894.5487.072.8566.774.6509.611.6748.611.0076.433.5557.158.6291.245.55300000
ticari alacaklar
75.788.02067.772.35574.755.58376.178.84355.418.22266.626.82860.209.93475.572.25449.694.67735.403.21958.821.89255.022.80535.648.90237.288.23634.263.10622.124.31115.167.34919.725.47915.457.31913.969.1359.818.98510.813.97212.828.43412.379.893
diğer alacaklar
1.327.8841.362.7379.44611.848339.399317.4519.44613.637203.256219.806806.34815.5649.446787.2859.4469.446283.535396.120550.48116.071428.86516.07116.07116.071
stoklar
77.041.16585.882.84679.972.40793.881.38496.931.34375.935.69367.697.28276.852.90153.002.95543.005.85948.597.06239.778.32527.433.48918.266.62419.075.44315.456.91915.816.07712.752.59815.034.83014.334.14715.642.04112.715.44013.690.33311.471.841
peşin ödenmiş giderler
13.687.17117.696.92314.209.76719.852.29815.591.45119.333.89433.051.79432.326.05716.521.66610.593.0227.958.57611.072.4904.726.8036.956.0863.202.5592.929.8822.448.2231.253.1101.549.9351.324.258552.6661.904.125443.364308.057
cari dönem vergisiyle ilgili varlıklar
1.835.0142.644.5773.999.4554.403.3353.162.8563.011.773224.543224.54544.353
diğer dönen varlıklar
2.072.6101.972.1923.254.0784.817.2183.112.3173.473.125760.0487.997463.7091.32739.0701.274.588897.98963.574655.458469.940365.5105.038603.339833.8151.622.8761.288.211875.360468.985
ara toplam
61.780.94163.788.640239.599.960276.504.709237.752.923225.237.572227.642.79669.242.382180.090.181142.539.506171.693.82679.457.12048.582.48073.047.77367.084.42837.068.04935.567.40536.700.14833.806.27537.660.34634.721.46828.081.19121.717.92525.825.596
toplam dönen varlıklar
246.874.121245.184.454239.599.960276.504.709237.752.923225.237.572227.642.796280.211.607180.090.181142.539.506171.693.826135.042.45276.880.01173.047.77367.084.42847.126.94035.003.06436.700.14833.806.27533.640.16334.721.46829.232.17128.657.50425.825.596
toplam varlıklar
403.111.032393.642.994384.023.474447.287.405368.957.663348.730.496336.031.740437.100.047231.261.809207.240.168224.959.752205.885.965120.126.391113.951.180106.270.98887.088.45582.927.67685.013.39683.075.33283.209.19481.493.92672.227.21858.798.15554.588.990
maddi duran varlıklar
155.305.876147.496.409143.425.345168.099.283129.562.280121.505.299106.277.322131.769.82233.974.30746.937.63734.742.74840.356.34612.990.81712.752.93012.524.95912.336.5448.844.5558.605.4438.324.0307.749.9187.206.8686.414.72721.003.46719.665.823
kullanım hakkı varlıkları
1.442.2081.275.7111.623.5941.738.60321.558.32915.592.10016.252.41316.912.72728.385.60929.619.05127.917.19926.426.89727.383.80728.908.63629.395.29530.289.83130.877.53429.014.44526.719.951
maddi olmayan duran varlıklar
921.589952.685988.7231.229.357357.303354.585363.573509.53977.83890.14290.1428.2196.0097.3658.7056.47611.471196.43931.07346.61666.60088.915102.743128.443
toplam duran varlıklar
156.236.911148.458.540144.423.514170.782.696131.204.740123.492.924108.388.944156.888.44051.171.62864.700.66253.265.92670.843.51343.246.38040.903.40739.186.56039.961.51547.924.61248.313.24849.269.05749.569.03146.772.45842.995.04730.140.65128.763.394
kısa vadeli borçlanmalar
1.055.4221.023.9031.535.2722.210.4283.760.9306.571.4238.754.82910.079.14810.541.47912.996.32511.131.84422.516.47612.071.53212.229.17510.084.42215.274.22114.328.69215.807.28916.567.66014.875.49719.402.49516.489.9739.816.3147.802.409
ticari borçlar
40.750.05436.391.04842.123.21150.568.58833.371.16635.788.04431.806.58735.020.26722.067.07322.106.13050.008.76539.695.61530.419.27026.305.39326.056.13914.453.47912.439.95411.090.44412.045.61806.251.33207.084.1254.963.919
çalışanlara sağlanan faydalar kapsamında borçlar
14.883.87311.226.50414.207.71712.227.3439.125.09410.545.62310.186.10710.212.0656.628.5138.490.1247.549.3285.402.2402.799.6141.896.5231.716.2221.372.7302.080.4181.594.4231.290.2191.389.5671.119.0971.559.7961.233.5871.139.796
diğer borçlar
0000000218.858454.95200072100104.193933.994
toplam yükümlülükler
79.849.18977.920.75975.941.55081.044.61659.514.95965.120.83671.489.28992.142.44269.081.13785.218.454130.556.704112.498.84369.438.79465.049.57863.878.80256.748.96755.631.06058.569.95163.299.07162.627.66062.978.50752.792.69936.226.56728.064.529
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
787.80410.942.7483.288.5462.593.4212.837.7922.950.8595.081.3172.220.2843.216.8847.780.33529.232.8133.216.4301.119.8031.816.4751.702.1822.056.965840.094309.727383.349514.8541.174.1620388.3900
kısa vadeli karşılıklar
4.138.6874.204.4373.343.0754.193.2063.395.9003.395.9003.829.6792.794.5461.244.6101.424.0581.242.0092.019.370151.640151.640151.640151.640214.390214.390167.482167.482113.702158.7020
diğer kısa vadeli yükümlülükler
165.101682.11695.465108.1494.491.690222.1975.260.0833.487.175251.2950062.426187.343000
toplam kısa vadeli yükümlülükler
61.780.94163.788.64064.497.82171.792.98653.172.99859.347.31467.116.37469.242.38253.009.26064.962.096109.824.74179.457.12048.582.48046.272.13645.506.37237.068.04935.567.40536.342.38539.523.78037.660.34636.991.99128.081.19121.717.92517.082.551
uzun vadeli borçlanmalar
000000020.829.98214.807.30915.471.77816.112.89927.639.48319.229.72017.242.50616.979.26518.611.57718.522.23920.321.24222.394.44523.709.73424.761.50723.686.86513.673.99810.068.135
uzun vadeli karşılıklar
6.861.6046.563.2735.966.6127.483.8972.321.1552.321.1512.321.1502.070.0781.264.5684.784.5804.619.0643.278.5971.626.5941.534.9361.393.1651.069.3411.023.2011.302.9311.380.8461.257.5801.225.0091.024.643778.431663.985
ertelenmiş vergi yükümlülüğü
11.206.6447.568.8465.477.1171.767.7334.020.8063.452.3712.051.7650518.21556.213249.858
toplam uzun vadeli yükümlülükler
18.068.24814.132.11911.443.7299.251.6306.341.9615.773.5224.372.91522.900.06016.071.87720.256.35820.731.96333.041.72320.856.31418.777.44218.372.43019.680.91820.063.65522.227.56623.775.29124.967.31425.986.51624.711.50814.508.64210.981.978
toplam kaynaklar
403.111.032393.642.994384.023.474447.287.405368.957.663348.730.496336.031.740437.100.047231.261.809207.240.168224.959.752205.885.965120.126.391113.951.180106.270.98887.088.45582.927.67685.013.39683.075.33283.209.19481.493.92672.227.21858.798.15554.588.990
ana ortaklığa ait özkaynaklar
323.261.843315.722.235308.081.924366.242.789309.442.704283.609.660264.542.451344.957.605162.180.672122.021.71494.403.04893.387.12250.687.59748.901.60242.392.18630.339.48827.296.61626.443.44519.776.26120.581.53418.515.41919.434.51922.571.58826.524.461
toplam özkaynaklar
323.261.843315.722.235308.081.924366.242.789309.442.704283.609.660264.542.451344.957.605162.180.672122.021.71494.403.04893.387.12250.687.59748.901.60242.392.18630.339.48827.296.61626.443.44519.776.26120.581.53418.515.41919.434.51922.571.58826.524.461