Pasifik Gayrimenkul Yatırım Ortaklığı A.Ş. (PSGYO) Bilanço Tablosu

PRO üyemiz olmadığınız için PSGYO bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122020/12
nakit ve nakit benzerleri
27.988.85835.716.583201.101.34314.872.61726.061.88421.913.380154.062.35298.724.08465.828.404252.192.341290.909.06433.972.662851.31315.905.166243.856.179887.687
finansal yatırımlar
3.291.8802.638.5025.665.4053.735.01546.904.7181.336.0622.374.63471.420.814157.043.04321.068.476660.700.07236.970.47957.800.616325.706.274467.435.8450
ticari alacaklar
5.883.019.5393.529.210.7264.406.744.9704.165.851.5563.423.415.319962.827.6544.895.779.529842.225.376498.805.730518.673.0451.145.509.595171.800.975211.513.55563.569.97455.254.25497.397.331
peşin ödenmiş giderler
2.055.372.6982.151.718.2231.812.158.2071.610.996.9671.676.355.876924.027.0971.791.374.197405.900.1632.722.850503.957.6421.182.758.949355.071.919354.270.715292.073.725264.816.517141.783.047
diğer dönen varlıklar
234.200.656214.313.485206.648.253147.786.785130.312.845116.809.013138.624.044240.967.639208.232.75252.565.72965.217.66332.225.97724.517.78220.711.61218.359.97917.877.485
ara toplam
26.612.390.01822.358.273.67123.305.757.95518.524.038.2425.020.348.0114.303.489.57516.570.554.6184.896.249.8714.113.190.8383.675.218.67410.191.938.6732.894.016.0472.546.779.1432.930.098.893120.164.91023.206.695
toplam dönen varlıklar
26.612.390.01822.358.273.67123.305.757.95518.524.038.24216.176.143.2428.660.235.55716.570.554.6184.896.249.8714.113.190.8383.675.218.67410.191.938.6732.894.016.0472.546.779.1432.930.098.8932.983.125.870970.759.854
toplam varlıklar
64.025.175.06657.972.252.56359.276.290.23347.003.153.35440.860.262.49734.601.426.89643.809.534.07219.055.368.17710.728.226.2139.454.413.97520.260.000.5677.305.130.6655.101.452.0773.647.963.8503.562.512.1461.127.887.846
diğer alacaklar
11.145.96625.888.62110.343.93420.652.1587.296.4515.458.0515.086.777130.195130.195618.2871.043.6773.170.658131.705127.3841.817.680731.176
stoklar
18.397.370.42116.398.787.53116.663.095.84312.560.143.14410.865.796.1496.627.864.3009.583.253.0853.236.881.6002.674.434.989275.138.3907.258.989.268112.679.4171.976.195.5422.212.004.7581.933.275.712783.114.907
maddi duran varlıklar
82.484.21295.835.436106.574.92191.776.06686.142.22782.410.205119.890.50546.856.25838.535.25038.724.68252.766.49927.663.87523.582.47715.648.98015.532.4238.080.054
kullanım hakkı varlıkları
10.654.15714.887.62817.216.60215.042.67514.873.18514.707.51019.674.8927.982.5609.538.61511.118.20425.224.90516.703.81312.587.8709.383.3342.374.341489.176
maddi olmayan duran varlıklar
2.217.3232.322.7222.667.3082.470.8172.543.2542.610.6513.594.084478.189426.563412.4851.948.469388.761414.100439.163463.953284.523
ertelenmiş vergi varlığı
53.296.49649.029.130005.760.016
diğer duran varlıklar
697.774.856638.285.717618.529.969433.600.505379.221.483338.319.064400.251.89669.828.34369.828.343191.343.072267.837.188202.736.175184.324.241171.826.647153.754.6230
toplam duran varlıklar
37.412.785.04835.613.978.89235.970.532.27828.479.115.11224.684.119.25525.941.191.33927.238.979.45414.159.118.3066.615.035.3755.779.195.30110.068.061.8944.411.114.6182.554.672.934717.864.957579.386.276157.127.992
kısa vadeli borçlanmalar
8.442.631.8576.732.932.4656.124.679.0913.854.188.5362.560.633.4402.041.275.8251.621.724.258559.675.546278.615.909317.414.566438.459.585184.100.488148.772.1993.880.8321.019.308320.454
ticari borçlar
1.024.696.9073.369.511.4003.814.662.5693.658.883.5892.428.962.5162.217.092.1613.155.601.9262.973.436.4811.017.442.5911.106.755.26901.385.604.8971.555.386.20593.946.512100.128.85221.612.341
toplam yükümlülükler
37.049.446.64437.988.795.74438.609.206.57726.675.036.42123.445.448.40519.963.867.94525.143.342.08013.525.611.1625.689.040.4654.379.741.3379.079.197.9463.964.200.7103.527.133.9712.363.471.3172.291.164.0471.145.965.974
çalışanlara sağlanan faydalar kapsamında borçlar
13.712.37518.702.86415.429.91612.854.92415.381.50814.598.5607.683.35710.992.4527.994.0336.486.3463.089.7104.478.1922.587.5081.651.450345.117362.153
diğer borçlar
123.673.074113.112.60368.287.599329.580.03411.624.99226.347.102129.133.54170.542.75315.544.7337.429.465698.549.988360.268.647276.544.362182.439.97518.429.351769.004
kısa vadeli karşılıklar
5.830.2115.699.4684.436.6453.816.7103.745.5554.175.9273.797.0231.813.3941.475.9021.569.1442.003.672876.783770.613399.149242.28293.879
toplam kısa vadeli yükümlülükler
12.410.408.19711.219.276.61410.027.495.8207.541.265.7455.020.348.0114.303.489.5754.917.940.1053.616.467.1611.321.078.4191.439.655.5623.742.536.0931.578.908.2531.710.302.222102.581.863120.164.91023.206.695
uzun vadeli borçlanmalar
5.556.202.8715.850.513.5936.557.685.9885.451.902.0534.869.654.5364.041.643.8515.893.773.3782.060.965.9161.642.403.274947.474.174980.494.703610.401.110412.525.551524.973.812442.850.503149.428
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
15.847.204.69614.647.238.60415.226.626.37412.466.505.65411.712.277.2209.907.519.44811.754.675.8403.038.119.9732.445.660.2261.793.875.7483.634.646.0171.403.702.0411.117.770.0341.548.127.4291.397.333.56648.007
toplam kaynaklar
64.025.175.06657.972.252.56359.276.290.23347.003.153.35440.860.262.49734.601.426.89643.809.534.07219.055.368.17710.728.226.2139.454.413.97520.260.000.5677.305.130.6655.101.452.0773.647.963.8503.562.512.1461.127.887.846
uzun vadeli karşılıklar
60.870.67555.976.06739.597.20122.899.56423.635.71821.612.65930.012.33619.296.56317.211.68417.089.17822.971.14510.920.6599.991.8025.348.2384.885.8141.029.480
ertelenmiş vergi yükümlülüğü
2.026.390.2245.104.859.3554.632.482.0620
toplam uzun vadeli yükümlülükler
24.639.038.44726.769.519.13028.581.710.75719.133.770.67618.425.100.39415.660.378.37020.225.401.9759.909.144.0014.367.962.0462.940.085.7755.336.661.8532.385.292.4571.816.831.7492.260.889.4542.170.999.1371.122.759.279
ana ortaklığa ait özkaynaklar
26.976.068.73419.983.312.57220.666.523.34320.327.529.73917.414.239.05014.636.975.34018.665.344.2135.529.166.9425.038.595.8645.074.074.51811.180.802.6213.340.929.9551.574.318.1061.284.492.5331.271.348.099-18.078.128
kontrol gücü olmayan paylar
-340.312144.247560.313587.194575.042583.611847.779590.073589.884598.1200
toplam özkaynaklar
26.975.728.42219.983.456.81920.667.083.65620.328.116.93317.414.814.09214.637.558.95118.666.191.9925.529.757.0155.039.185.7485.074.672.63811.180.802.6213.340.929.9551.574.318.1061.284.492.5331.271.348.099-18.078.128