Konfrut Gıda Sanayi ve Ticaret A.Ş. (KNFRT)

Çeyreklik Gelir Tablosu

Kalem2024/092024/062024/032023/122023/092023/062023/032022/122022/092022/062022/032021/122021/092021/062021/032020/12
Hasılat1.462.731.460-118.604.263758.719.6742.306.826.6321.191.798.999436.606.889365.417.337684.035.255810.288.740464.236.152208.608.679340.818.030258.524.507141.433.39270.673.04367.156.133
Satışların Maliyeti (-)-1.363.761.761104.046.282-730.825.139-2.224.125.419-1.070.635.151-324.983.648-278.355.391-575.392.096-748.966.622-374.544.210-146.346.377-303.030.092-237.864.619-119.182.149-56.837.557-52.458.524
Ticari Faaliyetlerden Brüt Kar (Zarar)98.969.699-14.557.98127.894.53582.701.213121.163.848111.623.24187.061.946108.643.15961.322.11889.691.94262.262.30237.787.93820.659.88822.251.24313.835.48614.697.609
Finans Sektörü Faaliyetleri Hasılatı0000000000000000
Finans Sektörü Faaliyetlerinden Brüt Kar (Zarar)0000000000000000
Brüt Kar/Zarar98.969.699-14.557.98127.894.53582.701.213121.163.848111.623.24187.061.946108.643.15961.322.11889.691.94262.262.30237.787.93820.659.88822.251.24313.835.48614.697.609
Genel Yönetim Giderleri (-)-38.678.430-6.156.541-31.131.868-43.369.590-19.762.538-13.818.153-11.906.581-9.997.366-8.182.635-7.794.256-6.706.668-4.443.835-4.869.504-2.926.561-3.488.031-4.964.981
Pazarlama Giderleri (-)-64.812.550-16.953.536-42.089.978-72.430.219-26.359.426-17.860.372-14.474.176-17.218.540-15.369.368-14.069.299-11.319.366-8.915.758-4.836.700-4.065.171-3.024.964-3.903.587
Araştırma ve Geliştirme Giderleri (-)0000000000000000
Esas Faaliyetlerden Diğer Gelirler13.498.234-20.977.26367.886.25862.626.62216.438.80141.040.69327.425.03831.022.25111.264.81518.637.23327.282.11671.969.6181.759.3907.042.66511.984.7335.931.752
Esas Faaliyetlerden Diğer Giderler-18.599.76128.722.894-52.814.182-56.979.170-10.913.970-33.389.176-17.279.168-46.168.326-6.411.081-12.982.122-18.933.722-44.248.767-5.287.461-6.359.221-6.429.171-2.497.725
Esas Faaliyet Karı/Zararı-9.622.808-29.922.427-30.255.235-27.451.14480.566.71587.596.23370.827.05966.281.17842.623.84973.483.49852.584.66252.149.1967.425.61315.942.95512.878.0539.263.068
Yatırım Faaliyetlerinden Gelirler65.868.82300-1.419.8661.602.59501.017.6476.092.7336.153.5332.665.89675.768156.1312.303.7442.060.1271.882.0052.439.136
Finansman Gideri Öncesi Faaliyet Karı/Zararı55.788.294-17.973.696-47.335.642-36.865.24782.169.31087.596.23371.844.70672.373.91148.777.38276.149.39452.660.43052.305.3279.729.35718.003.08214.760.05811.701.741
Finansman Gelirleri20.984.1897.238.5049.159.74417.500.7074.736.4159.478.1845.843.3330-4.364.8383.034.9601.329.878-1.156.953-681.1761.838.12900
Finansman Giderleri (-)-19.583.78239.388.058-57.085.292-125.781.201-29.979.381-54.274.265-31.006.197-36.019.263-27.843.320-17.587.467-7.089.931-11.185.020-3.687.714-12.009.526-8.265.497-6.953.848
Sürdürülen Faaliyetler Vergi Öncesi Karı/Zararı96.913.21211.819.541-27.648.533-79.459.76356.926.34442.800.15246.681.84236.354.64816.569.22461.596.88746.900.37739.963.3545.360.4677.831.6856.494.5614.747.893
Sürdürülen Faaliyetler Vergi Gelir/Gideri-11.257.53113.091.286-18.358.957121.919.174-15.081.923-8.637.319-9.980.540-10.768.327-2.270.514-10.768.786-9.112.964-8.347.163-616.9881.275.404-1.249.243-796.653
- Dönem Vergi Gelir/Gideri05.256.004-5.256.004-20.861.214-7.582.400-9.257.326-6.405.665-13.480.368-1.374.518-11.298.335-9.311.395-7.158.845-262.477-422.528-1.394.476-602.127
- Ertelenmiş Vergi Gelir/Gideri-11.257.5317.835.282-13.102.953142.780.388-7.499.523620.007-3.574.8752.712.041-895.996529.549198.431-1.188.318-354.5111.697.932145.233-194.526
Dönem Karı/Zararı23.825.531-50.429.841-46.007.49042.459.41141.844.42134.162.83336.701.30225.586.32114.298.71050.828.10137.787.41331.616.1914.743.4799.107.0895.245.3183.951.240
Ana Ortaklık Payları20.554.856-50.429.841-46.007.49042.459.41141.844.42134.162.83336.701.30225.586.32114.298.71050.828.10137.787.41331.616.1914.743.4799.107.0895.245.3183.951.240

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