Europap Tezol Kağıt Sanayi ve Ticaret A.Ş. (TEZOL) Bilanço Tablosu

PRO üyemiz olmadığınız için TEZOL bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92020/12
nakit ve nakit benzerleri
997.762.000623.087.000602.287.000371.298.914429.983.281289.435.136611.928.924625.314.885577.021.473316.550.210480.798.238378.784.234357.648.130487.030.086537.346.501287.465.015154.245.449
ticari alacaklar
1.071.690.0001.134.991.0001.221.416.0001.052.062.882679.366.525730.758.413795.200.706498.342.655618.511.749567.020.522983.791.257498.715.137338.017.874259.985.592236.887.226209.457.274138.073.426
stoklar
1.085.458.000779.458.000818.522.0001.140.865.9971.051.731.9961.087.993.5441.192.233.819517.333.052525.949.207385.262.276693.249.481373.639.039416.683.200256.721.318171.175.707143.367.858137.361.977
cari dönem vergisiyle ilgili varlıklar
022.647.0001.297.27810.696.4021.070.665643.557230.6097.717.7540
diğer dönen varlıklar
1.036.00020.306.0006.546.00035.166.52531.304.10111.046.5095.117.6022.862.65025.218.12024.105.21115.486.6031.082.54014.284.78413.136.237501.944364.859210.193
toplam dönen varlıklar
3.370.038.0002.775.803.0003.205.954.0002.892.047.9872.643.982.9712.740.246.4492.835.236.1161.810.763.3861.913.436.2721.432.486.0782.322.227.5891.310.587.2221.221.046.8521.054.307.757968.945.180653.247.313456.869.434
toplam varlıklar
6.878.080.0006.148.454.0006.835.567.0005.976.374.3515.362.121.3715.185.996.0906.004.465.6962.756.130.8402.724.761.9862.152.709.9204.192.576.1941.800.655.4371.701.822.0131.379.956.8331.250.805.170914.414.501679.164.770
finansal yatırımlar
0169.666.000166.845.000227.774.709289.745.492435.833.571139.214.64240.630.81050.507.98340.773.32536.154.68321.942.12721.942.12712.440.4486.742.34449.41511.985.321
diğer alacaklar
90.203.00094.809.000487.00055.156.57149.506.08073.103.177167.03813.683.09744.187.81944.711.6382.38138.130.54056.804.11597.5321.445195.1231.445
maddi duran varlıklar
3.264.885.0003.153.211.0003.368.756.0002.729.272.5882.494.403.4022.297.978.5992.736.884.113645.592.048578.949.611534.859.1851.707.972.063334.944.123246.940.865225.145.216207.615.894198.323.925186.319.455
kullanım hakkı varlıkları
39.325.00035.857.00071.997.00031.238.85130.223.86030.664.84640.451.6456.521.9476.836.2877.150.62723.592.8603.541.9693.798.6484.055.9374.311.8423.871.9593.332.958
maddi olmayan duran varlıklar
5.410.0006.028.0007.465.0007.622.7356.519.888416.881644.646239.176280.823324.950847.616377.085429.983230.920163.337185.356334.886
peşin ödenmiş giderler
123.889.000123.152.00014.063.000128.748.703101.649.09434.250.391251.867.49629.104.95410.018.80913.009.50165.371.842122.386.617182.506.51073.707.2286.662.44846.344.0553.956.467
toplam duran varlıklar
3.508.042.0003.372.651.0003.629.613.0003.084.326.3642.718.138.4002.445.749.6413.169.229.580945.367.454811.325.714720.223.8421.870.348.605490.068.215480.775.161325.649.076281.859.990261.167.188222.295.336
uzun vadeli borçlanmaların kısa vadeli kısımları
122.239.000109.875.000498.631.000107.508.085102.582.17084.495.009131.888.771115.683.539129.526.783139.712.895130.397.359169.167.389142.795.19050.581.01363.969.59140.425.81533.193.446
diğer finansal yükümlülükler
51.673.00086.135.00034.00018.012.23260.553.762139.646.166190.141.443200.224109.51481.492123.230185.21892.886212.54439.00638.5856.611
ticari borçlar
817.285.000465.724.000511.947.000533.405.063479.460.646532.355.846644.543.158361.470.533526.029.276204.333.104376.836.495189.273.837194.917.995136.719.270109.471.84768.030.53541.461.252
toplam yükümlülükler
1.511.552.0001.212.830.0001.508.452.0001.450.111.5901.389.633.9081.568.354.1351.500.090.286854.948.7751.038.874.947707.530.2331.124.891.805713.701.886801.880.382651.982.004556.190.892354.557.771224.803.271
çalışanlara sağlanan faydalar kapsamında borçlar
40.553.00024.785.00018.120.00030.024.21639.354.18133.152.26017.339.25122.639.17511.037.01826.647.36210.004.3698.465.9558.046.1475.880.3252.017.0674.169.2931.493.585
diğer borçlar
1.192.000881.000924.000792.14235.929.303951.2901.225.2761.030.943777.084565.7261.015.1632.837.5649.429.57549.915.907393.122261.465161.870
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
5.722.00032.813.00018.954.00016.553.84624.661.39352.409.20922.007.10824.615.50515.825.5571.647.7226.359.95112.700.13818.686.5454.602.8932.905.9140559.994
dönem karı vergi yükümlülüğü
2.193.00016.075.000031.823.84222.738.43657.374.61861.812.69762.683.41516.012.6731.880.3102.535.5601.198.8876.155.376339.9341.502.905
kısa vadeli karşılıklar
23.624.00022.303.00021.741.00023.270.76418.216.27514.942.57014.119.7769.110.9268.260.1192.557.0077.539.2622.113.3962.907.8542.707.1612.678.4252.360.2092.404.279
diğer kısa vadeli yükümlülükler
14.786.00010.116.00018.035.00013.098.60911.932.0027.718.86312.856.6765.500.9324.007.8463.628.7075.696.5303.015.0096.586.175266.441103.482539.399669.080
ara toplam
3.370.038.0002.775.803.0001.088.386.0002.892.047.9872.643.982.9712.740.246.4491.056.859.8951.810.763.3861.913.436.2721.432.486.078739.567.063471.086.143527.137.936429.658.356968.945.180653.247.313129.339.846
toplam kısa vadeli yükümlülükler
1.079.267.000768.707.0001.088.386.0001.062.664.9571.092.689.732897.495.0551.056.859.895597.626.395757.385.894471.234.313739.567.063471.086.143527.137.936429.658.356333.891.080180.163.337129.339.846
uzun vadeli borçlanmalar
188.963.000186.292.000240.969.000214.858.392229.304.022562.834.524371.234.184234.811.205253.658.356201.944.715337.983.464217.461.404256.169.176204.647.906209.001.749155.872.90080.351.894
uzun vadeli karşılıklar
70.542.00077.640.00082.303.00063.346.93256.980.69053.202.92171.358.74322.511.17527.830.69732.703.48344.626.27823.506.61716.925.54817.675.74212.210.17111.988.4489.484.635
toplam kaynaklar
6.878.080.0006.148.454.0006.835.567.0005.976.374.3515.362.121.3715.185.996.0906.004.465.6962.756.130.8402.724.761.9862.152.709.9204.192.576.1941.800.655.4371.701.822.0131.379.956.8331.250.805.170914.414.501679.164.770
ertelenmiş vergi yükümlülüğü
172.780.000180.191.00096.794.000109.241.30910.659.46454.821.635637.46401.087.8926.533.0865.547.957
toplam uzun vadeli yükümlülükler
432.285.000444.123.000420.066.000387.446.633296.944.176670.859.080443.230.391257.322.380281.489.053236.295.920385.324.742242.615.743274.742.446222.323.648222.299.812174.394.43495.463.425
ana ortaklığa ait özkaynaklar
5.366.528.0004.935.624.0005.327.115.0004.526.262.7613.972.487.4633.617.641.9554.504.375.4101.901.182.0651.685.887.0391.445.179.6873.067.684.3891.086.953.551899.941.631727.974.829694.614.278559.856.730454.361.499
toplam özkaynaklar
5.366.528.0004.935.624.0005.327.115.0004.526.262.7613.972.487.4633.617.641.9554.504.375.4101.901.182.0651.685.887.0391.445.179.6873.067.684.3891.086.953.551899.941.631727.974.829694.614.278559.856.730454.361.499