Sodaş Sodyum Sanayii A.Ş. (SODSN) Bilanço Tablosu

PRO üyemiz olmadığınız için SODSN bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62024/122024/62023/122023/62022/122022/62021/122021/62020/122020/62019/122019/62018/12
nakit ve nakit benzerleri
90.409.065104.733.15460.076.11182.527.40138.928.29666.566.65721.763.57037.578.76622.385.72729.920.88224.896.70622.440.89213.745.70114.847.472
ticari alacaklar
18.813.66819.559.60015.517.87713.093.28510.483.15310.865.7258.699.0815.220.6453.292.5481.735.6741.699.9951.360.9742.550.3412.072.475
stoklar
62.590.03558.873.71431.784.08136.171.91517.556.32720.147.82310.254.1185.491.8734.928.9544.959.8055.334.6094.667.6406.019.2645.204.447
peşin ödenmiş giderler
8.841.3592.375.05411.443.1991.817.1155.681.1511.268.0921.088.695268.826525.965452.764424.662320.14510.07137.592
diğer dönen varlıklar
1.404.2404101.367.23397.298394.206219.2211.445.5344.30992.2749.346127.61552352.6692.416
toplam dönen varlıklar
182.058.367185.541.932138.669.322156.621.62385.954.683114.917.53451.596.72348.585.45931.225.46837.078.47132.483.58728.790.17422.635.25322.399.556
diğer alacaklar
3.517.1092.657.0992.277.3732.080.4011.441.1331.530.96911.225706.365706.365547.150547.150405.519405.519340.310
maddi duran varlıklar
58.269.61961.282.76546.388.91556.739.37914.195.54342.398.90912.883.75112.409.93610.931.21210.055.5439.673.6189.758.3329.053.4369.309.910
toplam varlıklar
251.271.283260.926.218201.127.221236.768.615107.367.482165.934.01469.193.15164.738.90745.558.19450.493.32145.322.89241.600.20734.485.66934.226.123
kullanım hakkı varlıkları
604.222805.6301.360.6632.326.784796.5111.633.696108.565204.662155.759122.421184.665246.409318.1190
maddi olmayan duran varlıklar
1.92017.1793.887.5624.331.214334.0222.876.248590.799593.379593.379637.079731.026723.777715.440725.661
ertelenmiş vergi varlığı
6.820.04610.621.6138.543.38614.669.2144.645.5902.576.6583.084.1751.970.2801.946.0112.052.5631.702.7521.675.9021.347.7371.413.000
toplam duran varlıklar
69.212.91675.384.28662.457.89980.146.99221.412.79951.016.48017.596.42816.153.44814.332.72613.414.85012.839.30512.810.03311.850.41611.826.567
kısa vadeli borçlanmalar
266.214805.630947.027697.765230.726387.98396.280177.21591.623308.901310.815124.704129.2460
ticari borçlar
18.787.08119.353.08113.386.59515.943.6477.973.11918.525.4778.745.4914.639.4142.392.6082.070.0972.223.9152.688.0901.365.1242.061.932
çalışanlara sağlanan faydalar kapsamında borçlar
2.801.0418.192.9603.515.0926.862.6545.882.1414.585.1981.413.5141.327.5241.043.466866.2961.012.474838.0201.500.163562.138
diğer borçlar
623.879727.904623.879904.752642.833746.465453.639298.710303.7567.473.3377.492.879113.287149.51174.548
dönem karı vergi yükümlülüğü
1.022.4071.349.12204.840.9905.447.2832.569.9662.741.1873.539.7381.559.374338.934581.532499.334618.272200.885
kısa vadeli karşılıklar
12.746.93410.007.8639.680.22711.009.3135.973.14048.83201.431011.264
toplam yükümlülükler
60.930.40363.851.62653.539.83964.864.35442.484.08960.296.72328.530.94320.109.50913.117.89919.256.66819.125.0939.866.7938.296.8177.150.462
ara toplam
182.058.367185.541.932138.669.32240.481.58885.954.68333.134.60551.596.72312.041.58731.225.46812.755.77332.483.58728.790.17422.635.2533.682.495
toplam kısa vadeli yükümlülükler
36.247.55640.436.56028.485.86240.481.58823.708.62833.134.60517.027.90812.041.5876.719.57212.755.77314.029.8265.399.5254.773.7403.682.495
uzun vadeli karşılıklar
24.682.84723.415.06625.053.97723.431.51217.747.65226.108.62911.470.4848.051.8986.357.0906.492.7245.016.0654.323.3023.320.2343.467.967
toplam uzun vadeli yükümlülükler
24.682.84723.415.06625.053.97724.382.76618.775.46127.162.11811.503.0358.067.9226.398.3276.500.8955.095.2674.467.2683.523.0773.467.967
toplam kaynaklar
251.271.283260.926.218201.127.221236.768.615107.367.482165.934.01469.193.15164.738.90745.558.19450.493.32145.322.89241.600.20734.485.66934.226.123
ana ortaklığa ait özkaynaklar
190.340.880197.074.592147.587.382171.904.26164.883.393105.637.29140.662.20844.629.39832.440.29531.236.65326.197.79931.733.41426.188.85227.075.661
toplam özkaynaklar
190.340.880197.074.592147.587.382171.904.26164.883.393105.637.29140.662.20844.629.39832.440.29531.236.65326.197.79931.733.41426.188.85227.075.661