Kron Telekomünikasyon Hizmetleri A.Ş. (KRONT)

Çeyreklik Bilanço

Kalem2024/092024/062024/032023/122023/092023/062023/032022/122022/092022/062022/032021/122021/092021/062021/032020/12
Dönen Varlıklar232.804.467258.259.688293.425.932267.804.929157.899.181164.247.436127.988.560142.874.612116.724.87980.132.03075.650.14699.732.16151.566.88856.043.16953.432.47860.453.113
Nakit ve Nakit Benzerleri35.443.78358.757.05049.146.39852.920.46025.941.30028.614.84933.104.68336.430.02826.803.05232.905.20926.809.83831.590.86720.427.42324.684.6177.339.91014.965.003
Finansal Yatırımlar54.550.42656.756.97343.671.0097.630.08028.347.77249.253.02610.777.9073.504.15000000000
Ticari Alacaklar131.613.970128.767.654185.868.611196.968.71398.692.30778.352.49377.133.44695.481.09885.379.38043.374.47944.504.24464.898.66927.614.41828.403.26142.220.61842.882.958
Finans Sektörü Faaliyetlerinden Alacaklar0000000000000000
Diğer Alacaklar21.46498.4404.9983.0203.0203.0203.0203.0205.10844.56058.88326.65867.44067.04466.10130.648
Stoklar1.451.2791.704.4162.040.7201.857.5311.386.8422.718.0541.355.1471.355.1472.436.851987.7501.871.5551.467.708751.603797.696795.749807.424
Diğer Dönen Varlıklar752.014848.060934.897369.910374.073334.780372.249124.5352.100.4882.820.0322.405.6261.748.2592.706.0042.090.5513.010.1001.767.080
Ara Toplam232.804.467258.259.688293.425.932267.804.929157.899.181164.247.436127.988.560142.874.612116.724.87980.132.03075.650.14699.732.16151.566.88856.043.16953.432.47860.453.113
Satış Amaçlı Sınıflandırılan Duran Varlıklar0000000000000000
Duran Varlıklar364.574.534305.276.554275.931.309228.791.957145.650.557132.745.114107.592.95583.072.44576.755.21969.785.93167.316.39058.450.46350.459.75649.512.06644.964.93141.291.822
Finansal Yatırımlar1.587.5671.490.2691.442.2021.312.788693.328657.5320001.8401.8401.8401.8401.8401.8401.840
Ticari Alacaklar0000001.196.487000005.000.9034.889.2654.796.5224.275.672
Diğer Alacaklar2.123.3922.013.1911.985.6471.829.8901.683.0881.605.22701.159.9661.115.3891.094.392986.0931.115.243616.991609.281582.744525.140
Özkaynak Yöntemiyle Değerlenen Yatırımlar0000000000000000
Yatırım Amaçlı Gayrimenkuller0000000000000000
Maddi Duran Varlıklar10.250.6849.373.64019.813.65312.780.2363.257.7263.162.7192.284.0632.447.7842.122.7961.891.6988.779.0431.506.8204.544.4324.383.2473.755.0564.161.020
Maddi Olmayan Duran Varlıklar291.113.793248.314.444209.865.077177.299.236108.255.06699.983.37980.604.92271.968.17366.692.25659.718.67350.584.29546.464.15835.397.49133.615.53131.792.67728.958.470
Toplam Varlıklar597.379.001563.536.242569.357.241496.596.886303.549.738296.992.550235.581.515225.947.057193.480.098149.917.961142.966.536158.182.624102.026.644105.555.23598.397.409101.744.935
Kısa Vadeli Yükümlülükler99.802.517120.855.124153.823.979117.313.41093.322.513111.035.71792.900.84094.104.37971.994.05963.736.93949.584.35369.137.75140.083.43539.322.52735.580.33339.494.312
Kısa Vadeli Borçlanmalar21.930.35920.608.46543.231.01433.695.66848.594.73858.323.88150.940.86335.393.58633.540.76332.198.76626.842.44134.669.70623.186.93825.188.38616.094.95619.911.410
Uzun Vadeli Borçlanmaların Kısa Vadeli Kısımları0000000000000000
Ticari Borçlar3.712.4516.514.35112.368.1824.047.9382.688.9122.906.0985.780.6949.086.6974.218.5894.191.0342.387.5543.741.3461.029.9401.501.5911.012.7111.451.784
Finans Sektörü Faaliyetlerinden Borçlar0000000000000000
Diğer Borçlar3.595.7904.212.34811.586.05010.402.596736.4192.861.786720.1634.403.7991.957.4231.348.329441.3913.235.516735.7901.284.9991.091.1971.161.023
Borç Karşılıkları12.821.01511.419.63411.603.1516.657.4555.777.6314.970.4524.866.7303.816.1262.150.0511.916.2251.914.0951.335.1601.499.5441.538.851991.484761.141
Diğer Kısa Vadeli Yükümlülükler2.318.8122.402.0203.265.7918.910.1552.619.9534.000.3893.675.7043.786.69110.234.3344.618.7686.210.71612.270.5052.839.2292.680.9663.697.9647.408.230
Ara Toplam99.802.517120.855.124153.823.979117.313.41093.322.513111.035.71792.900.84094.104.37971.994.05963.736.93949.584.35369.137.75140.083.43539.322.52735.580.33339.494.312
Uzun Vadeli Yükümlülükler122.704.23878.130.01482.006.04466.605.08053.015.40042.841.24027.310.69511.924.05817.349.91710.151.95114.119.2888.843.4562.072.9256.028.6812.915.9932.735.504
Uzun Vadeli Borçlanmalar28.677.16226.175.67527.290.21724.553.62924.440.31019.947.90416.619.0543.405.7402.187.0902.529.9582.534.6131.054.2161.103.5821.428.9391.818.5751.868.458
Ticari Borçlar0000000000000000
Finans Sektörü Faaliyetlerinden Borçlar0000000000000000
Diğer Borçlar0000000000000000
Uzun Vadeli Karşılıklar6.060.8215.439.8453.682.1722.857.9381.846.6271.761.5461.519.1131.596.289943.780954.8841.274.1671.197.089722.604840.057774.338559.823
Diğer Uzun Vadeli Yükümlülükler0000000000000000
Özkaynaklar374.872.246364.551.104333.527.218312.678.396157.211.825143.115.593115.369.980119.918.620104.136.12276.029.07179.262.89580.201.41759.870.28460.204.02759.901.08359.515.119
Ana Ortaklığa Ait Özkaynaklar374.872.246364.551.104333.527.218312.678.396157.211.825143.115.593115.369.980119.918.620104.136.12276.029.07179.262.89580.201.41759.870.28460.204.02759.901.08359.515.119
Ödenmiş Sermaye85.611.07885.611.07885.611.07885.611.07842.805.53942.805.53942.805.53914.268.51314.268.51314.268.51314.268.51314.268.51314.268.51314.268.51314.268.51314.268.513
Geçmiş Yıllar Kar/Zararları189.430.682173.919.005148.148.73382.383.032101.698.044101.698.044101.698.04481.446.53981.446.53981.446.53981.930.56646.850.46746.850.46746.850.46746.915.50836.325.254
Net Dönem Karı/Zararı-36.903.700-11.546.055-20.595.93046.370.29936.881.46322.537.313-3.499.02250.177.00734.263.5343.519.4842.672.25535.080.0993.792.1903.573.5972.484.09610.590.254
Toplam Kaynaklar597.379.001563.536.242569.357.241496.596.886303.549.738296.992.550235.581.515225.947.057193.480.098149.917.961142.966.536158.182.624102.026.644105.555.23598.397.409101.744.935

Tabvendor'daki gelişmelerden ilk sen haberdar olmak istersen e-mail adresini bırakabilirsin!