Yeni Gimat Gayrimenkul Yatırım Ortaklığı A.Ş. (YGGYO) Bilanço Tablosu

PRO üyemiz olmadığınız için YGGYO bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/12
nakit ve nakit benzerleri
3.034.915.3903.120.480.9433.517.432.2342.470.678.2301.402.737.8592.192.010.2152.442.784.141219.519.71545.932.43140.221.3201.493.912.001721.156.636540.365.205607.847.100525.790.494370.477.153293.705.458408.884.828355.675.578319.577.019278.063.119433.236.277372.141.334289.206.437235.849.748327.996.976271.022.785
ticari alacaklar
062.147.286126.458.84885.046.89373.766.47266.266.169115.368.40349.657.92551.019.19736.638.25970.539.09434.428.41226.330.43323.212.63218.283.49620.637.10820.274.87717.131.77813.296.01416.806.99314.102.25510.571.76811.938.80614.624.07213.809.9639.729.46710.171.956
finans sektörü faaliyetlerinden alacaklar
00
türev araçlar
00733.0490
stoklar
4.984.3845.965.9518.981.77210.908.6469.550.2588.669.28710.759.2034.602.9704.310.2874.327.6589.231.1243.724.8752.153.7271.880.3161.659.929771.724693.594693.740524.660465.825515.790584.580540.226999.405587.513739.935152.700
cari dönem vergisiyle ilgili varlıklar
2.707.7840558.686451.051100.7000003.8121.094.646568.95556510.7262.1731.4347493062.8932.6001.7734.2742.966915660.902261.664
diğer dönen varlıklar
34.658.77746.872.78047.197.2875.454.8977.120.0807.127.9964.061.3912.700.0061.576.5321.327.4461.644.2791.362.975706.286650.2311.776.2761.562.4701.095.3632.409.328521.813376.181274.198232.643224.151259.252127
toplam dönen varlıklar
3.289.512.7964.213.890.9593.766.908.7702.601.042.9602.730.241.7682.306.578.6362.667.061.2411.423.093.957901.292.1951.214.979.5731.677.502.542847.847.373660.467.329652.202.184550.994.084396.968.621321.720.477435.176.979374.329.562341.896.515300.152.510452.620.761392.407.846310.636.791253.914.213341.332.960284.066.905
toplam varlıklar
22.089.209.29621.964.107.57022.663.361.28118.226.148.39917.065.310.03515.509.381.15519.254.410.2986.588.985.8696.024.307.5316.178.103.0959.867.831.3563.123.077.0402.935.189.4413.006.354.7692.834.952.1472.272.865.2482.197.617.6652.311.207.8932.234.541.6462.241.832.8292.199.555.3502.352.003.0662.301.984.9602.139.690.6952.079.896.5942.167.279.7672.109.119.413
finansal yatırımlar
0885.630.90920.269.82013.988.8821.214.514.013995.31065.811.6121.129.625.031778.000.87815.350.0001.228.66281.148.84074.822.09880.338.371010.727.87925.522.28222.926.34422.940.91422.594.814
diğer alacaklar
085.853.03145.611.22912.736.5209.826.22418.353.58927.507.14313.798.64213.840.4178.417.17724.770.7064.510.40513.096.12114.347.4991.789.6191.512.2414.273.7784.310.4383.728.6954.492.6636.978.4977.711.5356.873.8815.352.2072.776.7502.261.1012.260.801
müşteri sözleşmelerinden doğan varlıklar
00
yatırım amaçlı gayrimenkuller
16.121.548.68215.208.043.84016.121.548.68214.193.506.05613.024.562.99512.014.610.33315.073.975.6784.656.649.1794.630.522.3264.468.954.8327.363.083.8322.070.216.8702.070.216.8702.070.216.8702.070.216.8701.705.068.1101.705.068.1101.705.068.1101.705.068.1101.748.904.5611.748.904.5611.748.904.5611.748.904.5611.802.458.8621.802.462.8621.802.317.6381.801.719.540
maddi duran varlıklar
2.579.364.1972.386.946.3892.419.895.8601.404.564.4641.304.374.8281.180.889.8871.457.264.202478.613.991472.071.647472.465.232770.900.597188.070.527187.938.955185.575.447185.009.482153.558.896153.342.804153.003.375152.387.470150.888.763150.148.947150.070.326149.748.487832.806554.740580.726589.246
maddi olmayan duran varlıklar
692.453266.310769.228272.992301.274271.2343.418.283121.295152.064174.4291.461.294214.478247.073229.78523.10426.11631.26736.41142.21149.06456.83064.07864.53471.05438.43540.02928.625
peşin ödenmiş giderler
98.091.1686.940.059398.89426.761.9275.829.1707.031.065769.34830.388.6194.800.4718.997.4973.993.683946.2752.993.4033.753.68016.717.4712.006.4911.676.6581.746.5612.368.769175.234216.878279.684686.482168.900229.21067.500120.283
diğer duran varlıklar
000
toplam duran varlıklar
18.799.696.50017.750.216.61118.896.452.51115.625.105.43914.335.068.26713.202.802.51916.587.349.0575.165.891.9125.123.015.3364.963.123.5228.190.328.8142.275.229.6672.274.722.1122.354.152.5852.283.958.0631.875.896.6271.875.897.1881.876.030.9141.860.212.0841.899.936.3141.899.402.8401.899.382.3051.909.577.1141.829.053.9041.825.982.3811.825.946.8071.825.052.508
toplam yükümlülükler
5.544.387.7065.457.369.2085.109.478.676210.414.985215.698.026201.990.112229.821.352146.855.512112.113.06889.796.759155.006.83591.670.61090.422.31482.979.86467.176.13953.364.28954.337.642221.266.59531.353.43132.274.91034.368.48840.759.10634.422.65433.907.45630.687.11325.180.23926.730.545
kısa vadeli borçlanmalar
120.622.6651.486.65726.563.3686.995.045434.7402.891.08512.021.21728.33322.1117.68112.65617.600119.542119.542168.239197.881191.966186.228180.66220.63469.183104.933147.8861.2297.803
uzun vadeli borçlanmaların kısa vadeli kısımları
0186.822.38409.546.5160178.9001.162.6101.252.5171.776.7970
diğer finansal yükümlülükler
0016.554.19958.07020.17211.96134.975
ticari borçlar
84.460.969178.324.060365.948.66122.473.41335.307.15332.159.98741.897.52022.099.90926.162.86427.109.82154.575.39238.226.92236.539.05236.390.38436.146.71126.856.77329.184.51830.117.0616.876.1695.143.1353.634.6164.755.9964.817.2055.047.1244.168.5983.973.1804.508.885
çalışanlara sağlanan faydalar kapsamında borçlar
10.937.09310.752.5468.255.7978.322.0819.443.2578.734.1339.125.9245.825.1713.687.5512.697.9063.804.6091.942.3722.303.4591.566.789875.078793.644681.337670.871519.694625.097554.053715.163614.611587.287103.37987.618114.838
diğer borçlar
24.399.38023.773.0454.369.49819.154.85116.640.3362.980.8023.797.03814.121.4273.064.40910.118.82816.537.1419.856.8279.070.6017.259.7616.429.0673.795.3103.026.190167.044.1325.579.5944.638.4964.941.6858.085.4206.052.6114.304.2844.211.9783.569.4052.160.139
müşteri sözleşmelerinden doğan yükümlülükler
00
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
860.51047.960.63940.722.4171.705.282813.10252.594.4343.019.30832.438.49026.730.50920.723.6981.441.339289.71318.217.529423.032506.3644.147.1303.812.8163.995.800376.7026.490.9706.623.7649.403.3036.074.0234.631.5342.936.8104.157.5086.718.712
dönem karı vergi yükümlülüğü
06.562.735673.4122.033.1082.963.0627.104.3263.775.433001.212.2723.927.7251.367.532690.004202.1040
kısa vadeli karşılıklar
18.077.10617.709.64618.584.88415.414.59614.756.55214.617.2598.437.8586.843.64612.594.69112.454.35119.041.96711.204.06810.982.81610.366.90710.251.93310.258.09210.386.40111.988.71611.786.0668.492.89612.152.27212.157.47811.972.26511.904.35511.899.6729.494.0679.516.219
diğer kısa vadeli yükümlülükler
45.354.46847.261.03758.461.75332.297.16928.736.53025.413.72837.216.06718.537.66923.808.31010.886.15116.623.22002.543054.655
ara toplam
3.289.512.796501.216.7313.766.908.770154.454.246158.293.069146.515.9262.667.061.24198.401.78296.070.44577.736.9511.677.502.542847.847.373660.467.329652.202.18457.700.39246.048.83047.283.228435.176.979374.329.562341.896.515300.152.51035.222.293392.407.846310.636.791253.914.21321.414.41923.026.596
toplam kaynaklar
22.089.209.29621.964.107.57022.663.361.28118.226.148.39917.065.310.03515.509.381.15519.254.410.2986.588.985.8696.024.307.5316.178.103.0959.867.831.3563.123.077.0402.935.189.4413.006.354.7692.834.952.1472.272.865.2482.197.617.6652.311.207.8932.234.541.6462.241.832.8292.199.555.3502.352.003.0662.301.984.9602.139.690.6952.079.896.5942.167.279.7672.109.119.413
toplam kısa vadeli yükümlülükler
340.893.770501.216.731523.579.790154.454.246158.293.069146.515.926162.042.69298.401.78296.070.44577.736.951134.701.67280.487.61980.235.41073.191.18457.700.39246.048.83047.283.228214.002.80824.927.15225.411.22827.975.57335.222.29329.678.60128.265.73125.276.42021.414.41923.026.596
uzun vadeli borçlanmalar
582.206.931514.977.237370.166.71726.082.24934.594.52934.017.94838.804.95830.453.48400000017.60069.344119.542168.2395.874.1375.425.6264.698.3644.499.9533.405.585
finans sektörü faaliyetlerinden borçlar
0000
uzun vadeli karşılıklar
12.511.36312.636.62214.716.6009.018.3575.356.9904.254.0453.973.4522.211.7751.230.3861.066.4072.326.6831.036.451759.566620.352606.156498.752470.454443.238301.744271.182327.919269.913244.100222.707192.429177.148298.364
ertelenmiş vergi yükümlülüğü
4.583.515.7524.404.086.3814.171.549.855
diğer uzun vadeli yükümlülükler
00
toplam uzun vadeli yükümlülükler
5.203.493.9364.956.152.4774.585.898.88655.960.73957.404.95755.474.18667.778.66048.453.73016.042.62312.059.80820.305.16311.182.99110.186.9049.788.6809.475.7477.315.4597.054.4147.263.7876.426.2796.863.6826.392.9155.536.8134.744.0535.641.7255.410.6933.765.8203.703.949
ana ortaklığa ait özkaynaklar
16.544.821.59016.506.738.36217.553.882.60518.015.733.41416.849.612.00915.307.391.04319.024.588.9466.442.130.3575.912.194.4636.088.306.3369.712.824.5213.031.406.4302.844.767.1272.923.374.9052.767.776.0082.219.500.9592.143.280.0232.089.941.2982.203.188.2152.209.557.9192.165.186.8622.311.243.9602.267.562.3062.105.783.2392.049.209.4812.142.099.5282.082.388.868
toplam özkaynaklar
16.544.821.59016.506.738.36217.553.882.60518.015.733.41416.849.612.00915.307.391.04319.024.588.9466.442.130.3575.912.194.4636.088.306.3369.712.824.5213.031.406.4302.844.767.1272.923.374.9052.767.776.0082.219.500.9592.143.280.0232.089.941.2982.203.188.2152.209.557.9192.165.186.8622.311.243.9602.267.562.3062.105.783.2392.049.209.4812.142.099.5282.082.388.868