VBT Yazılım A.Ş. (VBTYZ) Bilanço Tablosu

PRO üyemiz olmadığınız için VBTYZ bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62020/12
nakit ve nakit benzerleri
114.138.370124.135.227125.059.001231.703.534213.177.590171.832.522263.037.238236.786.804130.181.955136.093.524116.492.886389.986.44397.005.45971.529.326113.839.753224.819.83683.640.69122.028.71975.739.812
finansal yatırımlar
00763.85151.386.81863.201.04986.440.30366.083.75787.905.36455.756.72940.411.437294.519485.2883.101.63410.888.96000
ticari alacaklar
127.290.844174.809.009268.999.687211.658.848112.193.636247.420.280136.132.685188.600.73772.159.05459.316.57542.189.416172.662.36826.338.72457.645.66625.032.99118.735.97014.216.88307.165.775
diğer alacaklar
74.127.53395.871.40022.779.402964.385887.17519.134.98453.522.94867.428.838710.53037.50044.268.705772.4643.202.174604.22419.4172.027.59264.72315.9041.089.211
stoklar
111.133.54550.093.18478.254.17098.575.091120.105.622110.289.811222.612.82883.834.11037.348.03016.714.38724.339.94614.387.52222.530.1125.498.04971.155.28316.330.2514.662.99513.466.2064.347.659
peşin ödenmiş giderler
9.337.63723.761.67420.820.94411.417.23861.218.4511.723.23698.697.5298.94041.672.90313.810.55467.769.82946.763.80515.387.7826.225.80341.585.4592.932.26714.822.87311.766.0441.630.625
cari dönem vergisiyle ilgili varlıklar
1.553.3961.484.338261.65401.037.895359.6750303036.130373.7650
diğer dönen varlıklar
7.532.8718.865.5595.492.2771.459.2066.292.536439.25421.475.152263.76881.20468.43839.94877.5521.556.4003.741.6588.931.2855.8192.550.3353.732.626623.222
ara toplam
608.772.180443.071.469584.412.529714.535.485584.633.698243.881.480861.562.137351.753.536404.828.297344.921.547295.395.2491.039.157.35842.443.78186.909.260149.929.886291.837.655125.422.81861.603.04571.965.203
toplam dönen varlıklar
608.772.180541.765.785584.412.529741.645.644584.633.698717.315.273861.562.137788.786.904404.828.297344.921.547295.395.2491.323.399.398169.122.285181.011.860262.436.176291.837.655125.422.81861.603.045104.415.287
toplam varlıklar
2.137.287.9152.049.541.6291.987.152.3722.400.538.898924.728.753923.548.8401.064.871.4791.102.027.712470.053.045424.481.808377.497.8391.541.822.115235.365.362270.989.012314.847.244342.582.428161.926.09185.998.699124.586.341
müşteri sözleşmelerinden doğan varlıklar
161.679.37862.745.39462.745.39455.617.33922.502.3351.871.9881.871.9885.428.1884.804.1884.804.188
özkaynak yöntemiyle değerlenen yatırımlar
1.044.4314.413.8121.855.761263.0234.431.08113.257.22825.089.59657.234.5557.313.03816.897.71818.010.35428.128.41910.750.2589.477.3978.049.0108.371.05274.45858.69918.786
maddi duran varlıklar
158.605.432151.629.083147.147.200160.319.554126.597.975108.121.066100.575.898131.529.79623.866.40423.799.31122.160.08362.337.91120.175.17920.097.13218.196.72517.350.35116.746.8143.865.1501.814.359
kullanım hakkı varlıkları
18.170.01419.093.59018.852.49522.391.64417.171.34515.245.35811.951.13715.576.3514.094.2654.094.2652.510.7569.725.0563.006.5303.233.9653.461.399279.08281.310228.404587.732
maddi olmayan duran varlıklar
1.260.006.1171.239.721.4301.186.244.1881.361.796.599169.824.38567.029.19764.871.56085.216.06716.589.99717.275.40718.472.32370.695.06219.557.88046.302.47919.451.29419.274.75617.703.35617.215.11816.117.052
ertelenmiş vergi varlığı
004.906.2526.153.8925.202.7913.645.506572.18100
cari dönem vergisiyle ilgili duran varlıklar
1.608.9771.463.5370
toplam duran varlıklar
1.528.515.7351.507.775.8441.402.739.8431.658.893.254340.095.055206.233.567203.309.342313.240.80865.224.74879.560.26182.102.590218.422.71766.243.07789.977.15252.411.06850.744.77336.503.27324.395.65420.171.054
toplam yükümlülükler
1.152.356.9261.095.273.5161.059.220.2131.438.221.649196.076.928259.025.303460.773.350379.057.750167.184.655140.164.355133.298.9961.108.535.58559.105.124109.477.611164.006.091203.199.67733.785.44734.391.77581.449.033
kısa vadeli borçlanmalar
10.0951.669626051.234.6980308.7201.118.8432.688.8252.659.3452.474.8963.091.7302.461.1202.000.0003.500.0000
uzun vadeli borçlanmaların kısa vadeli kısımları
97.458.60965.474.606109.844.115293.376.6201.180.8521.495.6951.229.6482.496.8763.172.1924.077.9602.618.0913.311.2262.461.1202.772.7703.082.3485.201.303
diğer finansal yükümlülükler
5.276.8465.276.8461.364.3191.382.0080283.986212.477273.862421.9751.497.665288.160261.150289.264139.987132.134106.40760.521
ticari borçlar
271.435.120258.007.325196.579.74125.370.51769.568.927166.817.578350.659.03679.897.19846.423.26914.920.4748.178.138205.396.06511.999.93416.558.29689.815.637126.911.6064.761.5518.267.34247.286.631
çalışanlara sağlanan faydalar kapsamında borçlar
12.789.62614.694.99035.878.31213.203.85015.054.75419.035.20414.568.52813.460.91211.293.7667.035.3813.668.7918.130.1602.721.4903.252.8731.839.2111.531.1081.326.3251.236.302992.240
diğer borçlar
7.297.4083.851.4277.875.383121.897.34615.281.63922.397.07014.384.50241.484.6489.786.80614.621.04015.961.01649.680.5843.634.11818.229.9651.562.1846.898.375896.408799.0183.016.839
müşteri sözleşmelerinden doğan yükümlülükler
0036.017.602175.650.65082.53713.429.30126.002.7013.329.76067.432.45310.764.41671.084.716754.694.87514.978.53810.607.0094.051.93244.857.011182.9077.111.9311.044.423
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
546.558553.862980.8121.539.0295.591.9656.293.2842.303.9790521.02200
dönem karı vergi yükümlülüğü
5.091.2475.089.2978.981.9294.941.6860213.5946.095.5295.271.79210.909.8562.515.0069.802.4991.819.1244.073.569883.1293.917.565709.11136.1201.193.063
kısa vadeli karşılıklar
15.226.04514.698.92534.841.44529.508.09617.263.10913.774.36712.828.5008.313.0435.900.9404.773.8484.003.8105.477.1324.340.1783.544.6586.145.2159.138.7481.275.6961.314.763865.854
diğer kısa vadeli yükümlülükler
11.070.22837.283.01324.416.11547.665.683430.572359.505606.460485.534180.194133.433192.01000013.580
toplam kısa vadeli yükümlülükler
491.185.452443.071.469456.780.399714.535.485175.466.890243.881.480423.351.108351.753.536149.327.533118.256.499108.670.3781.039.157.35842.443.78186.909.260149.929.886195.899.66826.637.93325.498.37971.965.203
toplam kaynaklar
2.137.287.9152.049.541.6291.987.152.3722.400.538.898924.728.753923.548.8401.064.871.4791.102.027.712470.053.045424.481.808377.497.8391.541.822.115235.365.362270.989.012314.847.244342.582.428161.926.09185.998.699124.586.341
uzun vadeli borçlanmalar
617.560.231623.019.832593.122.066640.730.2584.998.9174.172.2022.497.7203.730.8982.981.0073.361.8022.390.6415.098.7393.633.6225.674.4594.532.5822.351.2762.787.9623.308.5264.565.189
uzun vadeli karşılıklar
17.539.87415.900.3723.640.5468.295.3188.957.0197.148.91913.107.79312.786.7468.948.7757.693.3425.665.5319.890.0206.013.7885.477.6353.485.1213.274.2593.281.5452.811.8592.499.646
ertelenmiş vergi yükümlülüğü
20.794.5234.153.57005.681.1863.463.08721.504.1167.005.46313.927.1361.757.771369.8431.863.0891.132.680729.5451.589.0031.175.906
diğer uzun vadeli yükümlülükler
000188.708
toplam uzun vadeli yükümlülükler
661.171.474652.202.047602.439.814723.686.16420.610.03815.143.82337.422.24227.304.21417.857.12221.907.85624.628.61869.378.22716.661.34322.568.35114.076.2057.300.0097.147.5148.893.3969.483.830
ana ortaklığa ait özkaynaklar
987.589.449956.778.417929.931.866964.439.666733.406.628666.216.193606.135.348724.543.574303.532.651284.848.022244.322.787433.799.760175.892.053153.440.963150.841.153139.382.751128.140.64451.606.92443.137.308
kontrol gücü olmayan paylar
-2.658.460-2.510.304-1.999.707-2.122.417-4.754.803-1.692.656-2.037.219-1.573.612-664.261-530.569-123.944-513.230368.1858.070.438
toplam özkaynaklar
984.930.989954.268.113927.932.159962.317.249728.651.825664.523.537604.098.129722.969.962302.868.390284.317.453244.198.843433.286.530176.260.238161.511.401150.841.153139.382.751128.140.64451.606.92443.137.308