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
000003322222222
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
diğer alacaklar
00354.237.305764.292.0330303.763.219292.370.426596.736.992571.029.918500.412.122541.148.925855.168.272158.873.848229.372.042813.529.77951.350.01528.422.21332.139.85845.310.300256.676.89451.768.86419.580.47214.832.00317.918.06335.114.48027.809.81445.398.62031.858.000
müşteri sözleşmelerinden doğan varlıklar
0000000
türev araçlar
000000
peşin ödenmiş giderler
10.389.76612.106.94414.707.9162.326.3941.854.7417.277.822554.82715.862.2653.461.8735.136.449186.312318.2271.867.929240.2032.814.351116.8921.137.8281.712.18417.8541.902.174111.8291.004.6321.254.7561.360.694672.177144.8221.241.43985.996
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
2.796.343.504683.882.612713.757.184965.329.2571.334.230.9731.363.732.5401.499.070.0881.127.139.6701.312.621.1041.645.545.8971.276.195.1161.529.381.549779.847.613551.670.5841.076.762.063438.555.711375.904.085348.342.643344.764.125334.701.905189.343.571150.066.563156.834.17038.085.099164.002.180149.376.110237.791.394121.825.033
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
finans sektörü faaliyetlerinden alacaklar
00000
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
ticari borçlar
0038.558.45449.394.84033.404.47937.777.03533.265.82958.892.43911.397.72417.320.88913.270.49229.206.94511.461.63713.114.12410.214.4587.738.2292.626.3583.797.5985.763.5746.073.6104.578.2120230.749210.3582.226.2233.850.2091.887.9352.922.281
diğer borçlar
0186.858.560148.401.017132.056.06993.368.51677.889.915101.833.310262.918.07756.496.534264.622.8115.003.2076.974.7664.075.1794.501.05174.651.7523.066.2724.474.98037.911.11122.699.8966.712.5471.108.8721.104.0281.270.27015.261.44615.560.83915.381.08945.586.00064.382.926
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
diğer finansal yükümlülükler
00000
finans sektörü faaliyetlerinden borçlar
00000
müşteri sözleşmelerinden doğan yükümlülükler
00000
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
00000
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