Peker Gayrimenkul Yatırım Ortaklığı A.Ş. (PEKGY) Bilanço Tablosu

Kalem2022/122022/92022/62022/32021/122021/92021/62021/32020/122018/122018/92018/62018/32017/12
dönen varlıklar
470.680.751488.907.669416.099.540518.492.775347.828.591310.405.220200.657.008105.698.831108.036.355198.906.550285.122.038284.857.879295.563.182328.321.034
nakit ve nakit benzerleri
52.579.530286.958.717203.758.368382.559.782254.026.452207.818.56797.627.7581.178.0402.233.1015.368.5132.736.7253.195.3721.789.6272.173.469
ticari alacaklar
26.414.38554.964.56583.253.0563.398.5452.912.1861.906.2011.821.2321.822.505542.9774.353.43165.283.05722.568.48217.837.72526.466.404
diğer alacaklar
701.918721.982674.116653.201314.616198.265210.045235.425238.6011.248.1581.019.4201.109.1161.108.805926.216
stoklar
65.065.27184.879.69488.326.41290.738.49589.563.87091.884.74198.154.73999.404.317101.429.318187.103.020215.143.197257.171.555274.292.214297.913.230
peşin ödenmiş giderler
323.288.49254.523.00139.048.08940.110.116501.7917.010.869153.00093.00090.765299.319260.819326.60355.539114.836
diğer dönen varlıklar
2.631.1556.859.7101.039.4991.032.636509.6761.586.5772.690.2342.965.5443.501.593451.608678.820486.751479.272726.879
(ara toplam) 1
470.680.751488.907.669416.099.540518.492.775347.828.591310.405.220200.657.008105.698.831108.036.355198.906.550285.122.038284.857.879295.563.182328.321.034
duran varlıklar
1.520.576.572908.852.527949.509.654920.145.021876.323.478575.405.899522.269.725425.281.260400.108.553327.550.496409.200.897339.770.212350.062.545300.794.603
ticari alacaklar
514.880.218463.620.526454.658.862432.057.859404.715.554268.135.858268.128.595260.060.502228.399.209254.570.842319.936.137253.619.576265.041.551242.552.194
diğer alacaklar
529529529529529529529529529529529529529529
yatırım amaçlı gayrimenkuller
979.680.061434.139.985322.648.592346.889.480310.409.179199.001.066172.249.276165.205.271171.705.86471.056.90867.240.13150.867.91762.998.44730.129.180
maddi duran varlıklar
17.751.11011.009.96212.633.17711.889.99712.338.6529.500.7086.323.41714.9582.9519.60810.45411.2996.778329
peşin ödenmiş giderler
260.69481.525159.568.494129.307.156148.859.56498.767.73875.567.908013.257.2455.016.721
ertelenmiş vergi varlığı
8.003.9601.912.6091.506.3511.506.3511.507.9451.508.113
toplam varlıklar
1.991.257.3231.397.760.1961.365.609.1941.438.637.7961.224.152.069885.811.119722.926.733530.980.091508.144.908526.457.046694.322.935624.628.091645.625.727629.115.637
kısa vadeli yükümlülükler
187.292.623192.743.100170.385.472297.301.584158.751.18624.445.67333.003.139103.016.264118.941.139195.232.902271.620.384267.116.489282.531.552267.378.853
finansal borçlar
151.605.370167.665.353145.773.248273.852.440125.958.12410.100.0006.400.00075.600.00071.599.995114.462.319115.578.292120.120.778123.877.807110.245.724
ticari borçlar
17.347.45212.693.68811.841.25213.843.63814.138.3226.162.55612.070.60413.852.99017.219.54340.766.06941.996.64843.542.38842.874.18437.422.968
çalışanlara sağlanan faydalar kapsamında borçlar
797.691467.641519.591363.029150.015132.015113.076174.829177.780132.052134.001
diğer borçlar
626.133514.1543.383.864566.6039.543.9625.600.7436.601.7715.034.96620.955.34025.411.50022.721.50030.634.29444.564.35748.595.217
ertelenmiş gelirler
12.861.33881.393.38772.678.67569.060.02070.777.553
dönem karı vergi yükümlülüğü
04.123.2914.085.1003.748.2033.547.1982.425.1292.431.6611.815.7981.671.353
borç karşılıkları
427.003995.228255.498172.121188.1687.23003.959122.127167.470
türev araçlar
0
müşteri sözleşmelerinden doğan yükümlülükler
16.182.2695.903.4494.403.4494.403.4494.603.44905.363.2866.595.4757.372.781
diğer kısa vadeli yükümlülükler
306.705847.937175.420195.539408.9343.8021.556.8479.752.7778.3022.021.183169.921
(ara toplam) 2
187.292.623192.743.100170.385.472297.301.584158.751.18624.445.67333.003.139103.016.264118.941.139195.232.902271.620.384267.116.489282.531.552267.378.853
uzun vadeli yükümlülükler
24.662.090924.403678.498459.294384.667377.814324.850300.456198.0208.645.48422.423.35627.731.91442.975.41248.532.135
finansal borçlar
8.602.65922.391.63027.700.18842.939.89648.499.473
ticari borçlar
0
uzun vadeli karşılıklar
1.232.413924.403678.498459.294384.667377.814324.850300.45631.72631.72635.51632.662
ertelenmiş vergi yükümlülüğü
23.429.6770
özkaynaklar
1.779.302.6101.204.092.6931.194.545.2241.140.876.9181.065.016.216860.987.632689.598.744427.663.371389.005.749322.578.660400.279.195329.779.688320.118.763313.204.649
ana ortaklığa ait özkaynaklar
1.779.302.6101.204.092.6931.195.321.4661.141.433.9661.065.476.527860.987.632689.598.744427.663.371389.005.749322.578.660400.279.195329.779.688320.118.763313.204.649
ödenmiş sermaye
669.833.747669.833.747669.833.747669.833.747669.833.747669.833.747253.000.000253.000.000253.000.00073.100.00030.000.00030.000.00030.000.00030.000.000
yabancı para çevrim farkları
56.585.73637.983.4321.003.565647.894
kardan ayrılan kısıtlanmış yedekler
29.292.03429.292.03429.292.0349.963.9269.963.9269.963.9269.963.9269.963.9269.963.9266.000.000
geçmiş yıllar kar/zararları
702.557.572408.482.681408.482.681427.810.789124.868.151125.941.175125.941.175125.941.17558.512.190234.108.027283.208.027283.208.027283.208.027234.062.050
dönem net kar/zararı
360.214.176127.523.210107.489.15169.490.272302.942.63853.956.22540.411.27137.950.87067.428.9859.364.46587.067.49716.567.9906.913.44449.145.977
diğer özkaynak kalemleri
91.270.79756.654.75554.089.56938.200.94831.733.7811.292.5591.150.954807.400100.6486.1683.6713.671-2.708-3.378
azınlık payları
0-776.242-557.048-460.311
toplam kaynaklar
1.991.257.3231.397.760.1961.365.609.1941.438.637.7961.224.152.069885.811.119722.926.733530.980.091508.144.908526.457.046694.322.935624.628.091645.625.727629.115.637
hedge dahil net yabancı para pozisyonu
533.520.070721.633.156638.567.596630.840.224621.900.259406.202.904263.233.554253.968.109223.706.413258.231.892277.087.677221.420.903206.653.929185.248.051