SUWEN yeni halka arz olduğu için yeterince finansal verisi bulunmamaktadır.

Suwen Tekstil Sanayi Pazarlama A.Ş. (SUWEN) Bilanço Tablosu

PRO üyemiz olmadığınız için SUWEN bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/12
nakit ve nakit benzerleri
194.610.295184.221.626112.783.443287.012.977164.429.748211.167.597101.043.011265.608.435167.527.441133.643.27284.731.390205.606.10576.096.47275.070.00420.935.23810.181.882
ticari alacaklar
244.399.881219.692.626108.112.035138.023.59666.877.24676.552.01242.645.20761.623.14166.204.49147.861.62132.759.25253.715.97243.018.28430.863.48914.264.69414.365.022
diğer alacaklar
492.624492.624492.6249.397.93116.04716.0475.090.6906.616.7572.767.3482.635.2072.062.720525.6981.702.0191.377.610245.3341.158.892
stoklar
1.220.645.4031.342.637.9121.359.807.3171.486.039.5121.061.098.184960.832.170812.637.520719.268.962396.333.355382.051.745389.922.881536.536.344195.456.040172.346.835144.615.171103.806.642
peşin ödenmiş giderler
35.293.35672.376.86631.849.257109.564.98688.956.60379.737.64149.165.88492.716.30518.759.72631.144.88314.753.14931.859.57530.601.95510.542.2721.024.43417.614.370
diğer dönen varlıklar
32.668.32318.845.36331.738.16520.170.71121.190.70025.060.38337.322.29321.202.3917.180.6675.497.12511.840.16419.757.8731.273.4956.883.8397.731.8062.971.556
ara toplam
1.728.109.8821.840.984.7171.646.182.8291.272.280.1351.402.568.5281.353.365.8501.064.553.185595.715.318656.901.076601.104.114543.077.217510.395.915347.015.385295.951.773198.621.427145.185.643
toplam dönen varlıklar
1.728.109.8821.840.984.7171.646.182.8292.041.429.6801.402.568.5281.353.365.8501.064.553.1851.160.967.651656.901.076601.104.114543.077.217848.206.945347.015.385295.951.773198.621.427148.983.841
toplam varlıklar
3.416.683.3043.316.178.0092.830.946.8363.305.831.1972.280.164.4842.194.519.9861.879.722.3072.114.643.6261.056.254.475946.869.930806.845.8701.343.814.870531.261.994440.543.951316.452.900263.759.020
maddi duran varlıklar
531.032.027428.708.502363.690.598368.374.016279.888.999266.811.584234.402.128290.540.775112.598.33982.307.73669.615.141143.883.12751.809.25339.331.11832.820.23130.642.884
kullanım hakkı varlıkları
1.095.115.556985.630.593784.364.354849.311.825560.082.183537.994.659547.793.643616.287.199253.775.065233.312.162174.832.027332.411.960115.205.58797.146.46477.632.43980.669.287
maddi olmayan duran varlıklar
52.745.39851.506.72027.903.88337.317.74530.059.48929.452.12827.882.66140.231.24417.706.50315.355.68610.537.31514.994.1914.868.8444.006.4164.345.0432.304.116
toplam duran varlıklar
1.688.573.4221.475.193.2921.184.764.0071.264.401.517877.595.956841.154.136815.169.122953.675.975399.353.399345.765.816263.768.653495.607.925184.246.609144.592.178117.831.473114.775.179
kısa vadeli borçlanmalar
660.436.124671.543.563595.745.061851.318.320432.119.930443.330.549300.061.198232.974.783126.498.632127.776.439116.699.206143.929.54380.778.10881.668.54279.356.17357.471.741
uzun vadeli borçlanmaların kısa vadeli kısımları
266.437.028267.977.927214.318.36288.023.643024.525.86814.473.73830.192.84422.108.39622.719.87124.027.52343.473.11828.376.99330.884.11434.178.44725.724.914
ticari borçlar
126.996.088118.305.879148.985.041197.372.958190.158.219202.794.755200.153.383191.801.885121.575.286141.913.040179.390.070257.053.01241.412.06637.397.39760.892.45244.788.324
çalışanlara sağlanan faydalar kapsamında borçlar
70.230.01676.995.09942.793.89568.971.27749.118.88567.956.31154.805.11464.630.70238.270.08520.105.47617.834.14528.933.34810.755.6277.427.9547.432.6826.503.695
diğer borçlar
2.619.1542.506.3452.191.3502.481.25601.612.4453.574.4524.774.5182.994.54328.000.00002.750.5981.561.5821.994.1321.923.203
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
01.015.3361.015.33612.403.37411.898.73211.073.1128.326.92913.111.1035.720.33912.881.2972.326.5981.644.42301.311.738685.417463.821
toplam yükümlülükler
1.830.531.2521.800.921.3471.569.238.9211.728.870.1841.046.489.5931.135.011.092917.755.354917.717.443541.007.724552.647.990462.588.624655.895.246254.536.962237.529.487254.548.930205.105.398
dönem karı vergi yükümlülüğü
40.553.7240012.847.94227.226.42331.160.3862.080.76030.105.98441.178.92131.852.0892.944.01118.364.90714.554.0539.466.4581.626.6545.159.455
kısa vadeli karşılıklar
20.385.53424.806.31117.957.21817.988.73717.616.84313.121.9079.306.64010.041.7779.353.8688.888.4446.633.38311.241.1256.050.4744.221.3143.775.7323.150.490
diğer kısa vadeli yükümlülükler
16.898.69021.947.82426.584.45320.872.62813.071.48312.857.68831.055.80721.676.6127.766.7025.488.28214.723.8935.756.4391.923.203
toplam kısa vadeli yükümlülükler
1.215.619.9451.195.109.5821.064.030.0081.272.280.135743.265.624864.711.853622.591.520595.715.318374.583.027399.624.938364.578.829510.395.915186.112.529173.939.099189.941.689145.185.643
uzun vadeli borçlanmalar
428.027.339425.443.936366.194.853329.270.137203.130.069203.571.790218.267.082239.151.097155.112.622144.280.91194.942.480124.521.39066.479.25961.999.57263.112.18658.859.623
uzun vadeli karşılıklar
7.992.1357.728.7507.351.1847.753.7497.111.9287.135.4136.497.3256.113.5652.597.1932.068.4123.067.3152.235.0381.945.1741.590.8161.042.363
ertelenmiş vergi yükümlülüğü
178.891.833171.623.743130.647.540117.096.78787.225.85949.872.64658.498.04662.119.315018.742.90317.769
toplam uzun vadeli yükümlülükler
614.911.307605.811.765505.208.913456.590.049303.223.969270.299.239295.163.834322.002.125166.424.697153.023.05298.009.795145.499.33168.424.43363.590.38864.607.24159.919.755
toplam kaynaklar
3.416.683.3043.316.178.0092.830.946.8363.305.831.1972.280.164.4842.194.519.9861.879.722.3072.114.643.6261.056.254.475946.869.930806.845.8701.343.814.870531.261.994440.543.951316.452.900263.759.020
ana ortaklığa ait özkaynaklar
1.586.152.0521.515.256.6621.261.707.9151.576.961.0131.233.674.8911.059.508.894961.966.9531.196.926.183515.246.751394.221.940344.257.246687.919.624276.725.032203.014.46461.903.97058.653.622
toplam özkaynaklar
1.586.152.0521.515.256.6621.261.707.9151.576.961.0131.233.674.8911.059.508.894961.966.9531.196.926.183515.246.751394.221.940344.257.246687.919.624276.725.032203.014.46461.903.97058.653.622