Ziraat Gayrimenkul Yatırım Ortaklığı A.Ş. (ZRGYO) Bilanço Tablosu

PRO üyemiz olmadığınız için ZRGYO bilanço tablolarının sadece bir kısmını görüntüleyebiliyorsunuz. Detaylı bilgi
Kalem2025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/12
nakit ve nakit benzerleri
367.217.529188.950.638292.337.9621.358.064.546351.321.619510.249.984915.410.0622.014.954.386122.292.083361.835.85550.945.78568.046.32738.428.99122.146.676297.277.908607.345.3441.162.724.9861.311.641.29011.084.21830.497.497
ticari alacaklar
160.742.011213.344.813252.952.051348.058.91617.905.93125.129.9986.565.010797.828.9659.504.257570.897.73566.455.01921.409.3161.136.9491.136.697648.227648.2273.002.6011.865.1621.838.9522.356.900
diğer alacaklar
0206.230149.6872.275.374730.3283.116.583311.23381.957382.9352.019.80559.13388.712732.5502.251.383670.2245.000177.878149.797191.383582.592
diğer dönen varlıklar
28.037.27125.730.22819.871.99028.448.06735.302.25613.277.61613.593.992105.543.192108.158.87949.658.69348.252.89849.345.27029.555.91526.687.00227.730.31326.711.96229.968.12630.985.21910.316.71211.729.256
ara toplam
3.633.544.4983.762.027.6883.245.687.2162.592.784.096963.356.849840.571.3301.008.126.7963.340.580.818598.966.8821.412.093.124640.682.594249.685.373114.044.25488.141.172376.453.439689.346.589256.922.469114.264.497417.849.173339.174.748
toplam dönen varlıklar
1.886.229.9161.540.157.5041.392.336.4212.592.784.096963.356.849840.571.3301.008.126.7963.347.211.837598.966.8821.412.093.124640.682.594249.685.373114.044.25488.141.172376.453.439689.346.5891.248.412.2141.408.599.034106.599.578138.414.105
stoklar
5.943.082.7731.022.556.2034.657.446.812821.195.896522.830.434262.030.20834.402.460352.237.3756.333.8606.279.8907.030.28291.687.81524.480.03624.285.75341.194.76746.008.70850.469.59760.801.37380.273.08791.339.193
toplam varlıklar
82.547.600.35475.440.560.97869.983.429.86879.820.923.61955.319.697.39250.564.028.31846.304.817.68158.153.786.71023.463.577.84022.301.280.98921.757.716.79534.192.392.1659.617.170.6359.227.506.0188.845.304.6718.643.897.0927.368.764.9987.158.936.6305.533.930.8335.435.903.353
yatırım amaçlı gayrimenkuller
71.264.577.38665.830.665.73061.374.123.24269.425.572.40452.597.764.39948.221.932.08744.317.787.70450.544.183.82422.051.834.18120.200.930.32920.274.476.55232.594.889.3778.848.359.8298.256.876.1887.629.387.0757.144.690.4565.389.228.7235.060.040.5494.783.137.6604.681.482.102
maddi duran varlıklar
478.116.852440.461.282416.657.587470.243.446305.293.392238.499.562218.655.933271.706.735119.653.158113.004.98435.150.91044.063.6307.104.2906.900.0576.766.2806.789.3206.244.3386.279.328681.328669.750
kullanım hakkı varlıkları
00011.688.80310.806.47511.791.97210.410.08914.833.7934.478.6454.958.1685.437.99011.276.1583.655.6933.929.8704.204.0473.678.7803.904.0114.129.2434.354.4740
maddi olmayan duran varlıklar
690.677853.323984.4072.529.0231.725.8351.687.7411.770.5392.697.0991.855.3632.019.9391.319.6612.990.316436.658226.337221.185232.40732.53537.28440.85746.817
peşin ödenmiş giderler
2.315.460.2352.042.456.1871.646.845.50734.741.29735.266.28126.766.94137.844.039131.618.899352.294.868421.401.146467.443.43918.391.895112.879.470369.273.767394.395.2244.875.100414.962.698412.269.3552.895.226385.548.733
diğer duran varlıklar
659.442.515510.926.245495.035.892560.313.014598.103.047559.532.117562.277.118584.946.063652.473.054554.798.276559.508.808787.720.741409.878.129381.358.319313.594.879279.388.582185.586.516146.889.040129.853.562110.365.854
toplam duran varlıklar
80.661.370.43873.900.403.47468.591.093.44777.228.139.52354.356.340.54349.723.456.98845.296.690.88554.806.574.87322.864.610.95820.889.187.86521.117.034.20133.942.706.7929.503.126.3819.139.364.8468.468.851.2327.954.550.5036.120.352.7845.750.337.5965.427.331.2555.297.489.248
kısa vadeli borçlanmalar
9.178.2786.860.1601.431.710902.319304.213506.243361.115737.8162.653.306382.368211.506484.112126.74668.54163.81940.31427.10117.271339.225.999201.480.849
uzun vadeli borçlanmaların kısa vadeli kısımları
2.626.222.0022.531.810.8512.769.766.0633.527.025.0602.660.242.1222.336.380.1592.141.396.3722.743.812.7411.123.633.955808.928.036613.664.726481.273.552125.318.60932.390.5541.132.234930.970965.1201.000.5231.297.6820
ticari borçlar
388.758.079444.663.054307.971.767476.463.649344.122.693232.687.323270.207.647468.641.727558.517.614258.516.625154.367.759200.109.028408.447.798373.035.792269.038.212213.644.012206.154.47563.189.52016.031.87361.483.358
toplam yükümlülükler
11.134.195.2189.357.533.7059.263.039.70410.734.325.6735.798.249.4485.239.201.5154.481.143.5435.688.450.7533.025.926.2392.468.132.5242.305.943.1172.082.393.459951.271.321666.619.963326.605.414271.285.977261.742.325119.198.977422.914.021345.345.738
diğer borçlar
297.051.948582.577.282979.9547.814.3743.279.446202.278.4422.427.682598.844591.6611.477.6131.598.5972.019.962394.5681.829.7192.704.2711.249.755312.527345.720446.3370
ertelenmiş gelirler (müşteri sözleşmelerinden doğan yükümlülüklerin dışında kalanlar)
137.303.9536.883.47768.363.480470.95863.263.66755.112.42129.279.7264.002.06030.989.7244.460.94807.245.179599.803121.992.1132.102.4888.218.63818.642.5632.023.26327.775.25529.651.955
dönem karı vergi yükümlülüğü
61.374.60999.503.82546.191.7354.8372.368171.6850501.568203.169185.00176.704000251.828171.201
kısa vadeli karşılıklar
1.290.2231.200.1581.132.1531.290.223665.056622.971435.256546.147266.709266.709152.475251.23778.18178.18149.14149.141345.9904.432.13711.044.62610.233.590
diğer kısa vadeli yükümlülükler
112.365.40688.528.88174.780.31066.918.46762.901.83054.585.99958.086.625122.241.48398.280.09376.013.44651.307.26548.713.86043.920.95330.646.20245.474.21741.637.15730.474.69323.237.98021.775.57336.140.111
toplam kısa vadeli yükümlülükler
3.633.544.4983.762.027.6883.245.687.2164.080.889.8873.134.781.3952.882.173.5582.493.833.0263.340.580.8181.815.434.6301.170.165.081824.100.097740.173.634584.180.058560.041.102320.564.382265.769.987256.922.469114.264.497417.849.173339.174.748
uzun vadeli borçlanmalar
4.518.120.2303.243.776.5512.436.822.9202.847.309.9802.279.995.4692.142.471.8011.904.813.6742.308.683.7421.189.890.2931.290.472.5551.479.727.4101.339.771.330365.539.321103.700.6852.986.6132.590.4002.711.7812.826.4052.940.7280
uzun vadeli karşılıklar
1.757.7801.635.0781.542.4281.757.7802.736.6992.636.6391.746.4512.191.4001.135.7041.135.704714.1871.176.786198.261198.261120.595120.59584.81284.812100.85772.995
toplam kaynaklar
82.547.600.35475.440.560.97869.983.429.86879.820.923.61955.319.697.39250.564.028.31846.304.817.68158.153.786.71023.463.577.84022.301.280.98921.757.716.79534.192.392.1659.617.170.6359.227.506.0188.845.304.6718.643.897.0927.368.764.9987.158.936.6305.533.930.8335.435.903.353
ertelenmiş vergi yükümlülüğü
1.169.722.6081.042.550.3952.736.470.4563.068.097.23120.290.32918.421.40918.037.8673.784.2082.142.6111.898.2361.401.423870.240359.310221.3860
diğer uzun vadeli yükümlülükler
1.683.855.4631.213.130.233774.153.204675.445.080317.628.252162.048.08333.432.7990
toplam uzun vadeli yükümlülükler
7.500.650.7205.595.506.0176.017.352.4886.653.435.7862.663.468.0532.357.027.9571.987.310.5172.347.869.9351.210.491.6091.297.967.4431.481.843.0201.342.219.825367.091.263106.578.8616.041.0325.515.9904.819.8564.934.4805.064.8486.170.990
ana ortaklığa ait özkaynaklar
71.413.405.13666.083.027.27360.720.390.16469.086.597.94649.521.447.94445.324.826.80341.823.674.13852.465.335.95720.437.651.60119.833.148.46519.451.773.67832.109.998.7068.665.899.3148.560.886.0558.518.699.2578.372.611.1157.107.022.6737.039.737.6535.111.016.8125.090.557.615
toplam özkaynaklar
71.413.405.13666.083.027.27360.720.390.16469.086.597.94649.521.447.94445.324.826.80341.823.674.13852.465.335.95720.437.651.60119.833.148.46519.451.773.67832.109.998.7068.665.899.3148.560.886.0558.518.699.2578.372.611.1157.107.022.6737.039.737.6535.111.016.8125.090.557.615