Rodrigo Tekstil Sanayi ve Ticaret A.Ş. (RODRG) Bilanço Tablosu

PRO üyemiz olmadığınız için RODRG bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/62019/122019/62018/12
gayrimenkul projeleri kapsamında açılan nakit hesapları
4.489.6263.452.217
finansal yatırımlar
101.2942.181.2321.715.4671.682.236445.481496.601840.754409.642409.225317.236578.427251.742247.646160.212174.833265.944207.647252.449201.7130
ticari alacaklar
1.142.1991.126.0511.673.3422.003.3731.262.65555.58699.4602.192.4352.251.1051.700.4053.754.6465.966.3232.246.9582.014.6981.001.059585.339992.8512.289.2774.193.2983.793.1584.755.9854.761.7785.277.217
diğer alacaklar
110.000474.4811.035.2311.227.3661.271.7721.262.358311.92752.000308.399549.787637.073437.702294.408299.239272.982310.009275.827207.200258.296344.192854.828638.655403.669
stoklar
65.781.59964.447.91384.628.31468.810.64270.019.65264.473.98160.812.94735.322.38235.737.80433.789.99445.599.05326.217.66226.666.08023.368.73321.143.19618.146.36016.996.93016.278.83012.725.84813.976.77211.716.5309.463.2037.161.030
peşin ödenmiş giderler
310.285324.189501.202866.985388.94135.8583.26420.08928.52024.21556.17175.6478.74920.03465.22996.612723.496176.995101.505127.532269.36522.96035.352
cari dönem vergisiyle ilgili varlıklar
43.193151.18465.50805.0665.0665.0665.0661.4967.4312.4692.072
diğer dönen varlıklar
66.54765.07219.951784.77852.606405.078599.708246.063221.648223.412718.929241.824311.661122.55237.02733.558208.798243.500122.92099.29368.48296.843173.500
ara toplam
72.044.74375.915.86593.025.72450.763.10978.993.90572.107.52968.878.69431.862.08244.140.82930.327.12949.784.18524.369.17121.875.42127.047.75225.460.61020.607.81520.366.65019.968.78813.456.36320.311.15412.005.18016.651.0589.387.015
toplam dönen varlıklar
72.044.74375.915.86593.025.72479.465.85078.993.90572.107.52968.878.69443.506.51144.140.82940.350.45555.397.73934.823.90231.995.35027.047.75225.460.61020.607.81520.366.65019.968.78818.562.97920.311.15418.118.14416.651.05814.933.537
toplam varlıklar
118.405.988127.224.966147.889.694123.963.430133.905.215133.619.998129.798.34180.826.06482.835.96268.979.581103.545.30762.339.68958.325.10640.835.09740.669.69534.593.21733.679.23531.982.15030.839.37228.647.12925.234.67823.621.06522.050.264
yatırım amaçlı gayrimenkuller
17.937.99016.990.75718.084.70014.644.68713.499.88312.503.31315.751.6951.410.9561.413.7451.416.53911.084.1671.422.1231.424.9131.427.7061.430.4981.433.3131.436.1271.438.9121.441.6651.447.2951.452.8331.505.0001.464.000
maddi duran varlıklar
9.357.42715.327.21916.292.87310.092.21822.476.20430.818.53721.439.54525.195.43526.312.82316.046.26618.370.46614.325.69113.514.89711.335.06310.190.8868.173.6058.378.0827.421.1976.735.7786.063.2125.296.9355.435.5405.374.162
kullanım hakkı varlıkları
19.065.82818.991.12520.486.39719.760.67518.935.22318.190.61923.728.40710.316.85010.659.44811.000.93018.692.93511.688.4213.248.7152.619.0753.325.3910
toplam duran varlıklar
46.361.24551.309.10154.863.97044.497.58054.911.31061.512.46960.919.64737.319.55338.695.13328.629.12648.147.56827.515.78726.329.75613.787.34515.209.08513.985.40213.312.58512.013.36212.276.3938.335.9757.116.5346.970.0077.116.727
kısa vadeli borçlanmalar
5.488.9831.469.4081.810.8001.548.251628.8721.188.266632.158610.658807.43778.597572.764674.9332.524.0781.707.3292.588.7990488.398582.26678.480246.9210695.7321.137.916
ticari borçlar
25.223.59731.579.62538.098.70533.491.97234.355.63627.507.50626.740.09312.917.14216.759.53316.218.25829.389.59112.574.38411.168.7119.432.3507.946.1507.546.1187.184.3956.973.3226.283.4985.935.2526.290.2295.588.3545.219.975
çalışanlara sağlanan faydalar kapsamında borçlar
516.694574.064581.336500.231243.416272.905414.988494.482319.471330.074481.928254.935153.221151.588106.71885.43578.48856.26745.32428.82434.58940.48724.003
diğer borçlar
17.579.58917.024.07417.718.37614.717.67214.090.69115.529.07022.187.70516.122.63114.318.65711.825.40415.316.1268.092.1296.235.6365.669.6755.543.9105.542.8735.237.3644.605.7253.564.1492.972.9273.030.0672.049.8051.606.029
kısa vadeli karşılıklar
102.52192.99761.38275.83781.03936.49234.36522.28520.18030.37728.53006.8106.810
toplam yükümlülükler
63.527.48466.007.59578.944.13067.860.51267.849.65061.928.47183.255.49742.415.71343.529.86340.384.56369.338.46534.459.94533.450.43019.005.88320.771.12219.639.85722.132.96721.131.06819.085.23816.103.61114.417.39213.787.79813.144.864
diğer kısa vadeli yükümlülükler
52.79564.09594.744429.14660.63948.97256.35295.83039.58625.45259.35837.67924.10724.71144.85923.80614.63111.78711.46114.27015.53716.59118.347
toplam kısa vadeli yükümlülükler
48.964.17950.804.26358.365.34350.763.10950.359.60045.452.52653.179.19531.862.08233.137.01330.327.12949.784.18524.369.17121.875.42118.093.05017.293.80115.196.54216.559.67917.288.38913.456.36312.013.81612.005.18010.711.3249.387.015
uzun vadeli borçlanmalar
6.514.6136.736.2608.113.0557.160.0137.476.8937.802.09823.476.381422.83710.214.2629.877.57816.339.814416.70911.563.901904.2581.036.7544.300.9155.468.5943.740.6835.532.6813.998.3242.340.8862.808.1413.681.689
uzun vadeli karşılıklar
92.15477.28660.054207.521498.707225.412189.184178.588178.588179.85688.9102.5678.575159.982142.400104.694101.99696.19491.47171.32689.65376.160
ertelenmiş vergi yükümlülüğü
7.956.5388.389.78612.405.6789.729.8699.514.4508.448.4356.410.7373.125.556178.6800
toplam uzun vadeli yükümlülükler
14.563.30515.203.33220.578.78717.097.40317.490.05016.475.94530.076.30210.553.63110.392.85010.057.43419.554.28010.090.77411.575.009912.8333.477.3214.443.3155.573.2883.842.6795.628.8754.089.7952.412.2123.076.4743.757.849
toplam kaynaklar
118.405.988127.224.966147.889.694123.963.430133.905.215133.619.998129.798.34180.826.06482.835.96268.979.581103.545.30762.339.68958.325.10640.835.09740.669.69534.593.21733.679.23531.982.15030.839.37228.647.12925.234.67823.621.06522.050.264
ana ortaklığa ait özkaynaklar
54.878.50461.217.37168.945.56456.102.91866.055.56571.691.52746.542.84438.410.35139.306.09928.595.01834.206.84227.879.74424.874.67621.829.21419.898.57314.953.36011.546.26810.851.08211.754.13412.543.51810.817.2869.833.2678.905.400
kontrol gücü olmayan paylar
000000000
toplam özkaynaklar
54.878.50461.217.37168.945.56456.102.91866.055.56571.691.52746.542.84438.410.35139.306.09928.595.01834.206.84227.879.74424.874.67621.829.21419.898.57314.953.36011.546.26810.851.08211.754.13412.543.51810.817.2869.833.2678.905.400