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Finansal Tablolar

Enflasyon MuhasebeliKonsolide
Bin TRYEn yeni dönem solda
Kalem2026/32025/122025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/122018/92018/62018/32017/122017/92017/62017/32016/122016/92016/62016/3
İşletme Faaliyetlerinden Nakit Akışları5.863.22953.812.80527.668.87416.832.9925.533.36430.848.9191.382.860-3.166.075-5.370.79017.416.2495.886.69345.0856.869.13125.047.518558.672392.694-1.047.3392.432.551-654.021-740.368-634.8091.718.600-666.290-1.211.607-716.505976.852-1.585.990-1.330.169-394.155272.200-912.972-529.020-605.029662.532-399.962-185.127-146.045980.527504.197118.409-199.860
Dönem Karı (Zararı)5.549.45332.922.12613.306.7797.914.0532.791.99321.926.2629.298.4146.078.6312.239.14015.335.4166.669.7842.613.399-1.771.5972.473.2705.735.2343.796.8111.676.9417.127.3413.135.4922.534.0441.228.8274.461.2662.998.5251.847.971920.2143.352.6731.978.9341.335.324629.5612.319.3471.735.534941.806351.3421.375.980752.326544.628343.698795.201389.135235.960111.780
Dönem Net Karı (Zararı) Mutabakatı İle İlgili Düzeltmeler-2.197.42838.951.89711.423.4922.865.8892.140.87130.480.1287.312.1673.571.274-1.055.74931.306.79519.942.58120.478.6475.827.80934.905.7663.643.4352.962.494915.9136.098.7711.613.0881.377.453696.0243.465.3082.067.0651.071.824602.4631.924.377824.025663.400403.8711.907.656810.898440.912142.851357.785-112.415-135.769-177.708677.591128.276142.73217.986
Amortisman ve İtfa Gideri İle İlgili Düzeltmeler1.894.7246.105.7984.304.3322.772.5871.532.6414.752.5323.434.5932.355.7581.246.6987.075.0924.708.1112.651.9341.095.0835.086.315414.921268.323130.834432.191305.115195.05196.752285.498212.475135.96965.891241.216166.592105.90951.125171.391124.47781.75940.052132.62595.57361.74729.954110.16081.78154.49826.311
Değer Düşüklüğü (İptali) İle İlgili Düzeltmeler-343.500553.525231.570164.14753.815-192.505-77.977-126.018-40.525-84.753-28.849-45.591-86.392-122.764-22.936-22.4599.76141.08630.937-20714.563-31.191-34.709-36.864-36.39164.4504.5912.199562-36.78015.4695.3683.3297.1183.2201.9381.2734.4112.9382.4611.414
Karşılıklar İle İlgili Düzeltmeler-3.448.07211.971.461568.565-1.226.955434.36418.736.2363.521.8341.932.980-1.115.8449.074.0712.930.7471.376.244967.74714.894.0091.299.711798.256181.2842.038.842648.514489.240186.2391.643.549680.348361.526253.366729.803310.211173.46398.026747.129353.158260.08468.508214.975169.33574.46526.767290.486159.695118.11066.686
Faiz (Gelirleri) ve Giderleri İle İlgili Düzeltmeler-711.247-544.362-868.924-780.018-475.598-508.790-577.144-455.100-824.265646.502-466.920198.931-713.467167.633-6.27329.496-15.430346.941-214.650-21.86129.089-207.223-131.506-35.33218.495-152.226-23.50722.41313.118-112.645-2.77079.75450.582114.307106.15478.78145.891-8.474-5.859-4.359-2.936
Devlet Teşviklerinden Elde Edilen Gelirler ile İlgili Düzeltmeler000
Özkaynak Yöntemiyle Değerlenen Yatırımların Dağıtılmamış Karları ile İlgili Düzeltmeler127.062279.751242.685256.267131.90783.53337.40534.19649.0943.06413.67513.5934.750-66.32818.6885.5098.3902.82020.9557.1895.016-12.40812.3209.5078.439-2.325-6.036-4.8511.1388.9517.5245.9482.701-9.302-2.230-5.722-8.120-213-1.4082273.742
Vergi (Geliri) Gideri İle İlgili Düzeltmeler-3.424.322-3.881.315-10.259.431-10.858.801-5.586.656-10.020.422-10.831.901-7.696.238-3.202.957-342.368930.86334.6662.941.720-4.370.320-401.081-59.152-305.91869.082-46.54074.47699.738423.885250.163131.36255.883-44.142-122.431-24.71426.051-77.58139.083-35.830-36.294-211.018-136.110-126.326-37.687-61.178-33.138-25.004-258
Duran Varlıkların Elden Çıkarılmasından Kaynaklanan Kayıplar (Kazançlar) İle İlgili Düzeltmeler00000000000000000000000000000073.07458.5894.984111.31356.25635.2096.04127.23815.90112.655678
Yatırım ya da Finansman Faaliyetlerinden Kaynaklanan Nakit Akışlarına Neden Olan Diğer Kalemlere İlişkin Düzeltmeler905.2609.319.2718.686.4887.569.3493.626.89114.183.2227.925.4992.068.6391.884.4739.812.3267.908.5478.655.636852.6297.690.4471.278.2991.085.047588.3862.156.388490.661544.815318.334658.136727.746321.161212.964137.3026.48561.52350.907108.318218.022-3.37710.406-19.559-20.453-24.015-14.10865.439851-11.548-20.940
Kar (Zarar) Mutabakatı İle İlgili Diğer Düzeltmeler2.802.66715.147.7678.518.2064.969.3122.423.5073.446.3223.879.8595.457.057947.5765.122.8623.946.4077.593.234765.74111.626.7741.062.106857.474318.6061.011.421378.09688.750-53.707705.062350.228184.49523.816950.299488.120327.458162.9441.098.873-17.139-11.383-1.417-18.435-17.639-12.653-29.328-89.192-10.6963.1546.677
İşletme Sermayesinde Gerçekleşen Değişimler5.942.380-11.599.6437.283.1238.901.4142.616.069-15.447.029-11.483.639-10.375.999-5.318.638-23.097.788-16.741.908-19.613.5393.767.243-8.019.121-8.236.074-5.990.607-3.475.126-10.227.847-5.059.686-4.433.787-2.476.706-5.878.957-5.508.956-3.974.250-2.146.907-4.060.678-4.219.154-3.215.163-1.361.633-3.715.776-3.346.413-1.845.993-1.068.440-956.305-962.615-542.316-289.750-363.67671.055-212.915-308.734
Ticari Alacaklardaki Azalış (Artış) ile İlgili Düzeltmeler9.306.592-24.147.1555.370.66716.381.81812.460.1653.192.681-2.955.9651.446.4879.558.316-39.157.953-9.592.413-10.293.03910.854.069-43.076.107-2.532.769-2.689.747-436.966-6.489.8321.426.736687.040728.924-3.468.468-811.438191.136186.499-3.374.680-1.784.228-1.751.936-1.020.080-1.268.990-1.128.975-613.218-591.798385.312580.575666.689198.601-1.135.344-226.002-191.558-28.844
Faaliyetlerle İlgili Diğer Alacaklardaki Azalış (Artış) ile İlgili Düzeltmeler-1.162.003-2.041.804-824.12344.034-572.389-149.591-476.652497.031-308.983-1.300.066-139.775681.288-8.158-1.055.444124.466237.61945.970-50.986180.827132.82744.607-292.008-90.920-53.658-7.355-176.737-110.277-57.036-41.874-91.4594.392-37513.153-28.415-10.905-16.163-12.511-36.477-4.221-18.599-9.540
Stoklardaki Azalışlar (Artışlar) İle İlgili Düzeltmeler-4.101.303-18.301.529-12.334.661-2.590.5171.871.4164.961.8882.847.8874.330.3271.468.569-8.625.022-9.729.443-5.148.5031.711.503-2.663.569-3.726.304-2.258.572-1.170.127-2.094.115-1.777.219-1.108.184-323.707-1.012.940-1.505.942-879.560-532.581-877.880-1.342.757-960.220-465.401-1.316.341-1.226.081-695.177-282.059-612.500-420.137-157.564-87.694-149.986-240.895-82.676-56.102
Peşin Ödenmiş Giderlerdeki Azalış (Artış)-7.268.730-8.586.481-6.906.915-5.676.962-5.063.6011.161.846-3.196.587-2.913.448-1.629.800-2.504.498-5.764.030-7.030.718-2.916.304-791.272-1.055.282-622.018-64.434-611.899-371.993-268.692-218.863-204.986-209.534-117.807-59.004-49.364-150.437-172.126-86.524-690.885-706.941-440.528-344.833-503.556-521.737-417.452-257.239-276.581-208.983-180.947-68.111
Ticari Borçlardaki Artış (Azalış) ile İlgili Düzeltmeler-11.104.49215.030.251-2.390.556-4.810.747-9.417.031-1.149.648-1.382.497-2.661.713-4.253.43812.295.9906.193.8802.990.060-4.164.14414.741.704-176.849-577.800-735.4341.961.552-940.923-1.017.401-887.4751.183.552-285.234-1.473.032-462.8001.302.132541.495195.546500.980770.883-281.99919.646-78.148561.079245.598-31.800-46.217324.04732.334-17.579-53.828
Çalışanlara Sağlanan Faydalar Kapsamında Borçlardaki Artış (Azalış)4.617.330-666.850552.760322.833-601.6602.594.5181.618.4311.017.1341.608.6021.180.0041.058.432462.462219.4671.133.224256.72275.73511.756101.01958.95526.419-8.49959.56736.32520.561-15.186111.066103.44021.20813.088-11.260-975.863-2.1079.2978.369-12.761-16.47315.2481.607-1.777-2.305
Müşteri Sözleşmelerinden Doğan Yükümlülüklerdeki Artış (Azalış) İle İlgili Düzeltmeler4.706.906-3.950.14613.092.6931.098.967-1.857.250-20.295.247-14.672.535-11.649.959-6.616.387-3.583.528-17.573.863-7.362.254-5.494.1304.314.458-3.007.047-1.721.537-1.258.193-1.479.884-1.521.556-1.651.175-1.261.815-1.062.025-493.798-991.162-1.551.91583.418-254.451397.676148.294-731.312-78.066-124.55184.159
Faaliyetler ile İlgili Diğer Borçlardaki Artış (Azalış) ile İlgili Düzeltmeler-554.327-942.190-507.445-512.356-359.911-459.819-354.444-434.050-440.916-930.409-683.866-743.508-938.249-1.622.998-278.725-249.777-251.229-78.433-82.428-69.958-93.694-8.816-18.596-51.276-23.26860.59114.8946.3696.1351.2391.133644562-4.692-1.1102.0903433.3833.9175.2613.248
Devlet Teşvik ve Yardımlarındaki Artış (Azalış)19.186-11.635-23.093-13.593-8.696-24.4072.501362393-119.847-85.678-62.275-38.32184.864-2.7562.6432.231-2.222-8.483-2.010-1.907-13.681-6.083-4.789-2.451-10.624-7.847-6.212-2.29412.1755.535900-1.31713.3758.0344.848-1195.6864.283310-1.393
Ertelenmiş Gelirlerdeki Artış (Azalış)14.333.39843.043.44120.306.44111.271.48510.319.4109.673.611-49.617-4.360.710-7.908.4143.177.5376.608.2891.945.494660.538-1.351.7492.839.3782.366.971601.322-1.023.483-1.482.834-798.590-310.727-780.047-1.896.735-496.851386.778-891.292-1.068.089-746.707-387.143-87.993351.662171.853230.439-609.111-709.019-488.797-15.196931.595727.002273.447-73.637
İşletme Sermayesinde Gerçekleşen Diğer Artış (Azalış) ile İlgili Düzeltmeler-2.850.177-11.025.543-9.052.645-6.613.547-4.154.384-14.952.8607.135.8404.352.5403.203.41916.470.00312.966.5594.947.4553.880.97322.267.767-676.908-554.124-220.022-459.564-540.768-364.063-143.550-279.105-227.001-117.812-65.624-237.308-160.897-141.725-26.814-301.833-286.976-171.050-96.491-167.094-142.283-91.406-53.245-45.247-17.9871.203-18.222
Faaliyetlerden Elde Edilen Nakit Akışları9.294.40560.274.37932.013.39319.681.3567.548.93336.959.3615.126.943-726.094-4.135.24723.544.4239.870.4563.478.5077.823.45529.359.9151.142.595768.698-882.2722.998.265-311.106-522.290-551.8552.047.617-443.366-1.054.455-624.2301.216.372-1.416.195-1.216.439-328.201511.227-799.981-463.275-574.247777.460-322.704-133.457-123.7601.109.116588.466165.777-178.968
Vergi İadeleri (Ödemeleri)-2.005.294-565.726-105.624-138.565-114.768-77.882-18.221-13.3813.630-2.348.964-1.517.680-1.578.880-971-18.872-2.401-2.401-2.139-4.634-4.634-3.946-4.202-12.847-13.005-12.864-12.847-4.859-5.029-2.176-2.836-8.903-716-718-717-1.746-427-427-427-3.754-2.633-2.633-2.633
Çalışanlara Sağlanan Faydalara İlişkin Karşılıklar Kapsamında Yapılan Ödemeler-167.502-662.580-428.607-260.754-587.000-1.215.309-530.875-304.413-189.048-681.280-459.540-367.011-253.970-1.581.105-89.225-50.385-19.895-77.292-64.284-47.867-15.575-40.376-30.037-19.368-12.555-44.141-36.113-19.021-11.561-25.426-19.159-10.166-4.625-16.724-13.146-6.902-4.062-29.233-25.174-8.814-2.859
Diğer Karşılıklara İlişkin Ödemeler-1.258.380-5.233.269-3.810.288-2.449.044-1.313.801-4.817.250-3.194.986-2.122.187-1.050.126-3.097.931-2.006.543-1.487.532-699.383-2.712.420-492.297-323.218-143.033-483.788-273.997-166.265-63.177-275.794-179.882-124.920-66.873-190.520-128.653-92.533-51.557-204.698-93.116-54.861-25.440-96.458-63.685-44.341-17.796-95.602-56.462-35.921-15.400
Yatırım Faaliyetlerinden Kaynaklanan Nakit Akışları-13.579.892-42.790.265-28.328.128-15.825.065-7.558.206-30.748.677-22.617.245-14.015.917-4.367.819-24.292.899-20.667.148-17.572.463-10.220.560-24.653.105-4.229.864-2.759.740-1.153.081-3.505.944-1.898.660-1.103.822-484.930-2.001.277-1.186.765-788.054-389.033-1.695.069-1.018.302-705.215-375.207-1.746.003-458.430-250.921-139.283-568.246-364.352-233.312-107.850-359.443-184.060-104.537-46.453
Maddi ve Maddi Olmayan Duran Varlıkların Satışından Kaynaklanan Nakit Girişleri476.442539.641166.052189.09254.684956.964597.924407.319279.672639.931-47.84648.37739.138248.0435.5321.2222636.4001.8751.1391.22313.249834881312.9393921841821.0578955391.2791.2271.086322786459367245
Maddi ve Maddi Olmayan Duran Varlıkların Alımından Kaynaklanan Nakit Çıkışları-13.558.725-42.001.422-27.577.694-16.064.391-7.791.420-30.678.246-23.201.375-14.666.719-4.756.461-25.885.781-20.453.259-17.416.057-10.211.042-25.305.667-4.055.045-2.622.973-1.083.376-3.439.341-1.923.050-1.175.021-536.763-2.080.789-1.209.140-781.503-403.896-1.656.858-954.652-639.062-375.866-1.738.434-434.552-242.201-135.201-561.464-361.747-231.829-103.619-352.576-187.581-111.391-54.818
Türev Araçlardan Nakit Girişleri00000000000006.0396.0396.0390-6.0391.1551.15500
Alınan Temettüler073.22976.41882.153064.45768.46374.60832.00430.14431.008020.5114.9584.95906.9977.172005.4365.2145.2143.4094.6180005.2225.1843.4607008.9388.9388.9388.9388.1718.1718.1718.171
Diğer Nakit Girişleri (Çıkışları)-497.609-1.401.713-992.904-31.919178.530-1.091.853-82.257168.874108.970920.948-196.187-235.792-48.655384.008-185.309-142.948-69.968-80.00015.34370.06050.61054.78810.288-18.68511.423-39.729-65.197-67.492477-13.848-29.151-12.235-4.821-16.999-12.770-11.507-13.491-15.824-5.109-1.684-51
Finansman Faaliyetlerinden Nakit Akışları9.128.0072.155.580-2.281.697-2.379.175-3.125.56614.428.62216.634.8289.443.5903.307.4208.632.9094.663.5723.621.088-3.259.7279.973.9402.308.8201.951.8221.808.856-754.301-397.29755.84519.699742.088174.34845.141-669.7111.130.6601.266.518550.472220.2503.268.7543.111.8392.938.099-44.782-21.154-88.198-81.580-72.347-222.580-190.635-138.642-86.897
Pay ve Diğer Özkaynağa Dayalı Araçların İhracından Kaynaklanan Nakit Girişleri000000000000000000000000000002.936.7232.936.7232.941.742000
Borçlanmadan Kaynaklanan Nakit Girişleri29.373.17032.105.35021.209.3358.867.3058.749.98349.808.07937.047.70121.260.01812.697.93340.585.40421.897.36819.969.48811.617.52736.640.2097.239.6484.255.7803.238.6756.008.5895.329.0773.152.762237.1436.854.5523.444.9201.342.953277.7013.568.2372.318.2781.537.974790.5141.128.345847.599423.18296.582905.412536.599376.651202.748410.750427.361196.28885.022
Borç Ödemelerine İlişkin Nakit Çıkışları-20.245.163-29.949.770-23.491.032-11.246.481-11.875.549-35.135.110-20.412.874-11.816.428-9.390.513-31.496.577-16.958.709-16.348.400-14.877.254-25.804.990-4.930.828-2.303.958-1.429.819-6.659.498-5.726.374-3.096.917-217.444-5.860.267-3.158.905-1.297.812-947.412-2.263.577-935.760-929.502-570.264-991.092-735.885-425.070-146.961-863.072-578.383-442.727-281.461-600.364-596.998-326.291-176.083
Ödenen Temettüler00000-244.348000-455.918-275.08800-861.279000-103.392000-252.197-111.66700-174.000-116.000-58.0000-84.600-56.400-28.200-75.500-54.167-25.1670-42.000-28.000-14.0000
Ödenen Faiz00000000000000000000000000000-25.142-12.501-8.334-954-15.508-13.263-7.199-3.453-7.510-4.642-2.687-1.339
Alınan Faiz00000000000000000000000000000304.520132.30334.7796.55127.51421.01616.8629.81916.61111.7118.1035.547
Yabancı Para Çevrim Farklarının Etkisinden Önce Nakit ve Nakit Benzerlerindeki Net Artış (Azalış)1.411.34413.178.120-2.940.951-1.371.248-5.150.40814.528.863-4.599.557-7.738.402-6.431.1891.756.259-10.116.883-13.906.289-6.611.15510.368.352-1.362.372-415.224-391.564-1.827.694-2.949.978-1.788.345-1.100.040459.411-1.678.707-1.954.520-1.775.249412.443-1.337.774-1.484.912-549.1121.794.9511.740.4372.158.158-789.09473.132-852.512-500.019-326.242398.504129.502-124.770-333.210
Yabancı Para Çevrim Farklarının Nakit ve Nakit Benzerleri Üzerindeki Etkisi-2.412.372-5.134.443-4.443.562-3.097.221-2.080.638-4.292.611-3.622.362-2.794.349-1.745.390-7.509.331-5.414.734-1.915.723-1.756.000-4.912.653222.521144.41454.285240.544181.513219.593168.451105.942106.37589.58685.74213.5738.9837.1606.15130.68541.81318.7437.23020.72716.46712.22132.43289.23710.412-3.362-6.626
Nakit ve Nakit Benzerlerindeki Net Artış (Azalış)-1.001.0288.043.677-7.384.513-4.468.469-7.231.04610.236.252-8.221.919-10.532.752-8.176.579-5.753.072-15.531.617-15.822.012-8.367.1555.455.699-1.139.851-270.810-337.279-1.587.150-2.768.465-1.568.752-931.589565.353-1.572.332-1.864.934-1.689.507426.016-1.328.791-1.477.752-542.9611.825.6361.782.2502.176.901-781.86493.859-836.045-487.798-293.810487.741139.914-128.132-339.836
Dönem Başı Nakit ve Nakit Benzerleri32.006.75823.963.72223.963.86223.963.79723.963.30713.727.47013.727.50313.727.54013.727.52219.480.57919.480.57919.480.56119.480.57914.024.8802.491.6062.491.6052.491.6064.078.7564.078.7564.078.7564.078.7563.513.4033.513.4033.513.4033.513.4033.087.3873.087.3873.087.3873.087.3881.261.7521.261.7531.261.7531.261.7531.167.8941.167.8941.167.8941.167.894680.153680.153680.153680.153
Dönem Sonu Nakit ve Nakit Benzerleri31.005.73032.007.39916.579.34919.495.32816.732.26123.963.7225.505.5843.194.7885.550.94313.727.5073.948.9623.658.54911.113.42319.480.5791.351.7552.220.7952.154.3272.491.6061.310.2912.510.0043.147.1674.078.7561.941.0711.648.4691.823.8963.513.4031.758.5961.609.6352.544.4273.087.3883.044.0033.438.654479.8891.261.753331.849680.096874.0841.167.894820.067552.021340.317

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Aselsan Elektronik Sanayi ve Ticaret A.Ş. (ASELS) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket Teknoloji sektöründe işlem gören.