TEB YATIRIM MENKUL DEĞERLER A.Ş. (TEBYT) Bilanço Tablosu

PRO üyemiz olmadığınız için TEBYT bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/12
nakit ve nakit benzerleri
162.759.770155.435.182110.067.675122.340.83794.791.16996.149.957325.858.842271.495.190144.292.049910.879.538326.329.75585.183.19668.133.97167.789.84380.257.749199.803.88628.894.26135.729.90529.779.45561.888.71214.026.23015.835.36877.612.55117.835.29415.856.36916.630.99950.530.92263.485.371
finansal yatırımlar
000003320222222
ticari alacaklar
2.622.796.6041.535.436.9131.592.207.52401.232.269.3221.260.294.5711.162.382.3771.382.235.5231.164.672.145728.997.892943.966.6961.434.204.171709.841.713561.544.223465.528.656458.221.094345.871.950310.900.491312.983.574185.950.974174.520.852133.147.39077.857.516126.216.132147.381.478131.525.102185.798.229135.183.292
finans sektörü faaliyetlerinden alacaklar
00000
diğer alacaklar
00354.237.305764.292.033481.924.025303.763.219292.370.426596.736.992571.029.918500.412.122541.148.925855.168.272158.873.848229.372.042813.529.77951.350.01528.422.21332.139.85845.310.300256.676.89451.768.86419.580.47214.832.00317.918.06335.114.48027.809.81445.398.62031.858.000
müşteri sözleşmelerinden doğan varlıklar
0000000
türev araçlar
000000
peşin ödenmiş giderler
10.389.76612.106.94414.707.9162.326.3947.065.3227.277.822554.82715.862.2651.012.3395.136.4495.890.703318.2271.867.929240.2032.814.3512.444.2731.137.8281.712.18417.8541.902.174111.8291.004.63221.9151.360.694672.177144.8221.241.43985.996
diğer dönen varlıklar
397.364245.26272.2355.035105.16010.190456.314194195.037532.0187.9627.6834.0004.382.53630.9374663242.986087.35479.173109.34777.00092.156200.640220.80480.583
ara toplam
2.796.343.504683.882.612713.757.184965.329.2571.334.230.9731.363.732.540870.766.7041.127.139.6701.312.621.1041.645.545.8971.276.195.1161.529.381.549779.847.613551.670.5841.076.762.063660.500.190375.904.085348.342.643344.764.125334.701.905189.343.571150.066.563156.834.17038.085.099164.002.180149.376.110237.791.394121.825.033
toplam dönen varlıklar
2.796.343.5041.703.224.3011.717.055.3501.778.038.6021.334.230.9731.363.732.5401.499.070.0881.669.593.1721.312.621.1041.645.545.8971.276.195.1161.529.381.549779.847.613631.653.744552.983.292660.500.190375.904.085348.342.643344.764.125249.741.860189.343.571150.066.563156.834.170145.489.120164.002.180149.376.110237.791.394200.139.241
toplam varlıklar
3.785.117.3762.573.843.5152.406.081.6402.891.901.8702.050.602.9411.842.526.3681.943.433.4932.445.558.9311.967.817.9922.212.185.0851.878.731.9022.494.830.982974.495.002893.627.6141.396.429.987741.334.400430.006.384403.641.779410.027.610527.902.263259.449.915185.711.442186.897.001177.211.056211.882.176189.843.235296.093.409243.338.790
özkaynak yöntemiyle değerlenen yatırımlar
308.847.646255.346.504211.458.708211.074.550132.515.10793.726.27168.236.39873.520.32439.039.73029.902.98522.637.84432.419.93513.390.40710.869.1168.884.04911.728.7439.964.8978.680.8517.640.8379.983.8418.473.2977.537.2386.818.2036.056.3365.399.6725.212.8244.964.4235.530.187
maddi duran varlıklar
26.670.51625.500.84625.161.96629.896.45320.473.31818.100.4629.466.30312.289.1343.015.8543.205.4823.297.2789.167.7963.153.4493.367.1923.315.4123.148.5572.507.4692.757.7472.554.6782.439.6362.223.2141.972.7232.051.8171.931.7141.214.1291.430.4961.573.0681.872.763
kullanım hakkı varlıkları
34.650.21735.413.14817.954.93916.908.59110.779.26211.917.22912.888.13914.625.8726.309.0966.270.2216.091.03812.992.3554.880.7275.340.8854.719.5823.746.5984.141.8864.305.5601.305.4571.190.2291.011.541989.1541.166.8931.320.1831.792.1261.773.2721.962.0310
maddi olmayan duran varlıklar
46.052.65844.535.25943.012.43753.667.65335.974.29434.748.72830.793.04941.870.71314.881.94814.586.45313.762.05232.413.8407.744.6377.858.4536.449.1455.427.8514.389.3524.340.5604.029.4684.163.2072.840.5022.676.6852.615.2472.543.9102.348.7342.119.0831.222.6131.241.716
ertelenmiş vergi varlığı
21.525.42311.786.37036.819.40335.697.59432.851.22115.983.09230.054.26335.996.24019.908.00311.935.17515.413.33722.969.0086.035.0884.925.9796.398.8095.315.5544.470.6883.045.6164.404.8883.703.3213.677.0952.804.2132.556.7511.937.7081.861.2471.976.8123.091.7462.610.885
diğer duran varlıklar
00084.39214.0200
toplam duran varlıklar
988.773.872870.619.214689.026.2901.113.863.268716.371.968478.793.828444.363.405775.965.759655.196.888566.639.188602.536.786965.449.433194.647.389261.973.870843.446.69580.834.21054.102.29955.299.13665.263.485278.160.40370.106.34435.644.87930.062.83131.721.93647.879.99640.467.12558.302.01543.199.549
toplam yükümlülükler
1.713.000.698721.028.795737.600.543991.550.995667.382.469636.885.009909.126.8071.180.306.1421.249.807.3521.641.774.6741.369.896.8171.746.589.316607.264.122566.027.7301.089.985.985450.283.921163.328.933175.385.563193.263.583341.721.964101.417.56147.535.41867.453.91744.645.19389.636.46674.288.246186.795.180125.886.244
kısa vadeli borçlanmalar
1.186.348.573305.399.554231.167.945527.506.657324.450.085357.971.896474.041.706563.587.922984.045.8001.268.779.2281.117.467.9051.485.548.401470.842.499445.342.542953.141.114194.569.71291.456.000106.742.927126.588.464297.688.17056.519.5657.801.82705.801.73956.223.76040.177.603100.437.65642.434.210
uzun vadeli borçlanmaların kısa vadeli kısımları
8.606.6217.021.4414.530.3740
diğer finansal yükümlülükler
00000
ticari borçlar
0038.558.45449.394.84033.404.47937.777.03533.265.82958.892.43911.397.72417.320.88913.270.49229.206.94511.461.63713.114.12410.214.4587.738.2292.626.3583.797.5985.763.5746.073.6104.578.2125.079.7084.308.732210.358200.4043.850.2091.887.9352.922.281
finans sektörü faaliyetlerinden borçlar
00000
diğer borçlar
0186.858.560148.401.017132.056.06993.368.5166.104.1486.084.804262.918.0775.110.6825.192.3665.003.2076.974.7664.075.1794.501.05174.651.7523.066.2724.474.98037.911.11122.699.8966.712.5471.108.87211.114.3211.270.27015.261.44615.560.83915.381.08945.586.00064.382.926
müşteri sözleşmelerinden doğan yükümlülükler
00000
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
00000
dönem karı vergi yükümlülüğü
82.898.24934.722.486102.437.62459.683.85362.064.08842.722.955131.223.72393.928.84479.173.04113.318.22858.949.02144.038.45113.587.3725.024.5116.701.61610.498.92314.149.7314.629.5748.526.9447.722.0186.254.8745.361.3424.886.9892.866.1441.732.188612.1212.868.7031.622.293
kısa vadeli karşılıklar
90.651.96264.884.499147.584.866144.966.85893.950.96158.755.016107.739.043120.400.67756.795.77035.068.06047.121.86257.201.14717.256.94412.871.95822.601.09418.984.29515.598.3979.720.75718.292.51213.662.14713.446.0599.529.0668.247.9375.688.6957.042.9225.916.79211.046.4269.183.528
diğer kısa vadeli yükümlülükler
39.145.90838.936.36645.607.27847.190.60629.180.06025.437.56622.663.09327.411.71137.117.55716.442.23628.365.63616.731.69010.158.3636.809.7379.452.0294.112.7452.801.0432.920.7883.939.5262.843.4132.732.7242.558.65730.516.1711.698.14601.780.96818.677.8821.279.795
toplam kısa vadeli yükümlülükler
1.676.198.678683.882.612713.757.184965.329.257636.418.189600.554.383870.766.7041.127.139.6701.225.026.4261.615.551.4521.343.008.1921.704.196.611592.735.770551.670.5841.076.762.063438.555.711152.240.152165.722.755185.810.916334.701.90595.095.54841.444.92160.778.71738.085.09982.785.93267.718.782180.504.602121.825.033
toplam kaynaklar
3.785.117.3762.573.843.5152.406.081.6402.891.901.8702.050.602.9411.842.526.3681.943.433.4932.445.558.9311.967.817.9922.212.185.0851.878.731.9022.494.830.982974.495.002893.627.6141.396.429.987741.334.400430.006.384403.641.779410.027.610527.902.263259.449.915185.711.442186.897.001177.211.056211.882.176189.843.235296.093.409243.338.790
uzun vadeli borçlanmalar
20.307.99822.026.88410.706.2850
uzun vadeli karşılıklar
16.494.02215.119.29913.744.57515.515.45324.762.28230.226.47832.275.29944.245.30619.670.24421.030.85621.885.41835.417.93910.453.1739.856.0959.259.0178.661.9386.613.8016.316.8466.019.8925.722.9375.213.1414.986.4695.174.1814.947.5094.772.2704.535.2514.298.2314.061.211
diğer uzun vadeli yükümlülükler
00001.992.3470
toplam uzun vadeli yükümlülükler
36.802.02037.146.18323.843.35926.221.73830.964.28036.330.62638.360.10353.166.47224.780.92626.223.22226.888.62542.392.70514.528.35214.357.14613.223.92211.728.21011.088.7819.662.8087.452.6677.020.0596.322.0136.090.4976.675.2006.560.0946.850.5346.569.4646.290.5784.061.211
ana ortaklığa ait özkaynaklar
2.072.116.6781.852.814.7201.668.481.0971.900.350.8751.383.220.4721.205.641.3591.034.306.6861.265.252.789718.010.640570.410.411508.835.085748.241.666367.230.880327.599.884306.444.002291.050.479266.677.451228.256.216216.764.027186.180.299158.032.354138.176.024119.443.084132.565.863122.245.710115.554.989109.298.229117.452.546
toplam özkaynaklar
2.072.116.6781.852.814.7201.668.481.0971.900.350.8751.383.220.4721.205.641.3591.034.306.6861.265.252.789718.010.640570.410.411508.835.085748.241.666367.230.880327.599.884306.444.002291.050.479266.677.451228.256.216216.764.027186.180.299158.032.354138.176.024119.443.084132.565.863122.245.710115.554.989109.298.229117.452.546