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BASGZ Başkent Doğalgaz Dağıtım Gayrimenkul Yatırım Ortaklığı A.Ş.

52,20+%1,36
Son güncelleme 11:15
Taban
46,36
Tavan
56,65
Yüksek
52,50
Düşük
51,50
Hacim
246.911
Önc. Kapanış
51,50

Finansal Tablolar

Enflasyon MuhasebeliSolo
Bin TRYEn yeni dönem solda
Kalem2026/32025/122025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122019/122018/12
Nakit ve Nakit Benzerleri6.339.3474.221.0011.765.2664.319.9746.819.4706.287.9431.576.8103.120.1496.509.1384.986.2991.234.5861.716.6543.073.6408.302.347864.7081.016.5051.331.251886.430173.673237.9901.057.128954.572531.764769.177
Finansal Yatırımlar53.81257.00558.90458.85760.35260.9762.053.8382.694.1273.094.5693.826.2611.901.9201.855.8281.798.1766.068.9641.843.9371.793.0252.416.0782.285.6732.311.7902.247.2231.660.5281.651.9491.755.719
Ticari Alacaklar5.607.7456.739.6911.506.4411.675.1124.574.3936.158.9761.671.9971.622.1764.617.1975.830.836851.6781.327.3182.212.5959.337.693991.973654.0511.398.348916.869203.296157.830552.096506.222451.344369.378
Stoklar57.05569.965121.094133.280149.775171.540232.516220.935148.910132.36477.96247.36039.30677.95038.96030.68220.88124.42521.97514.71113.72014.83210.43612.665
Peşin Ödenmiş Giderler2.31231.46828.35726.5444.314104.702105.65436.471123.83009.79612.8792.23317.5035.9464.9914.2102.6616.56922.5871.5902.3872.0925.775
Cari Dönem Vergisiyle İlgili Varlıklar197.516131.053
Diğer Dönen Varlıklar102651.529498.225296.0711.376436.881319.225814.0841.025321.391131.6002.7168418742.7062.076362.66114.3035.10043129154252
Toplam Dönen Varlıklar12.089.69511.756.7264.175.5456.538.78111.672.44913.129.5256.048.3638.511.41814.497.95215.122.1864.225.1224.991.6867.159.76123.864.5283.807.2943.519.3845.185.1614.132.5652.745.9712.699.3853.292.5703.134.9672.810.5691.547.710
Diğer Alacaklar24.98427.72524.53624.38220.00021.23720.59418.32515.7371.4711362.2861.2404.1754.6843.4062.2762.04014356120720672954.076
Özkaynak Yöntemiyle Değerlenen Yatırımlar5.341.9615.320.9915.247.8774.963.5804.507.1204.523.9823.981.4503.527.7003.271.2933.266.762
Maddi Duran Varlıklar230.638227.999223.603222.999223.633225.121226.773228.098226.717228.61015.13915.65714.405236.06915.34816.60818.29420.05321.57223.25524.96626.53335.47345.612
Kullanım Hakkı Varlıkları249.39557.712234.228307.284396.834492.807582.426679.260775.417825.203194.848205.231215.6141.215.768239.662185.559138.888150.944138.169146.788155.407164.025184.782
Maddi Olmayan Duran Varlıklar49.680.63150.094.06149.353.82147.780.95546.451.74446.846.61445.025.51143.306.52742.346.14641.758.8504.954.2144.260.1393.911.02138.740.2013.349.0373.011.6902.835.0882.792.4592.635.1782.528.1802.472.7802.461.2442.301.7732.203.379
Ertelenmiş Vergi Varlığı104.80570.44276.130278.026253.530510.603464.397256.306192.670437.50982.24629.9690
Toplam Duran Varlıklar55.529.92255.759.95555.217.22653.396.18651.603.64552.214.46350.018.53748.037.93646.888.84146.591.4995.628.7344.739.6194.334.94940.633.7223.690.9773.247.2312.994.5462.965.4962.795.0622.698.7842.653.3592.652.0072.524.1923.208.841
Toplam Varlıklar67.619.61767.516.68159.392.77159.934.96763.276.09565.343.98856.066.90056.549.35461.386.79361.713.6859.853.8569.731.30511.494.71164.498.2507.498.2716.766.6168.179.7077.098.0605.541.0335.398.1695.945.9295.786.9755.334.7604.756.551
Diğer Finansal Yükümlülükler7069081.4051.3905965941.50781541448734756167651308232140170185290197193
Ticari Borçlar8.818.24011.210.5654.654.5213.547.6185.628.85711.116.8864.104.4013.418.6136.214.0849.284.6341.530.7571.604.1103.000.65312.430.0521.462.349881.2861.803.8321.338.564372.933256.829808.443790.842855.868659.518
Çalışanlara Sağlanan Faydalar Kapsamında Borçlar331.495196.04263.145146.311407.371136.52269.820101.745202.22063.19426.85926.55660.253161.64812.0218.64814.49114.6078.1296.2436.0536.2325.0804.667
Diğer Borçlar7.6888.34810.0551.737.9806.9187.8896.4266.0496.2495.77521.25917.83117.27054.31316.74614.30014.11213.94712.07911.29010.77032.03933.53316.600
Müşteri Sözleşmelerinden Doğan Yükümlülükler11.856.58912.086.57011.416.05011.538.25011.221.73711.252.01210.821.39610.776.42610.431.56210.365.1624.134.9403.596.8643.293.5889.903.2412.575.8442.306.6171.926.0691.443.2211.332.8021.243.2351.174.4161.078.452
Dönem Karı Vergi Yükümlülüğü907.4590176.0711.016.513240.5020154.8961.061.068249.417113.261129.011253.072
Kısa Vadeli Karşılıklar79.00375.34175.12175.44773.03273.12272.77870.39075.36373.16533.82824.56323.82894.10723.36221.94228.48730.64751.41252.54823.20624.48639.33060.299
Diğer Kısa Vadeli Yükümlülükler1.0501.0889851.0251.0781.6601.3238221.07661717213.4421.9951.7179.4077.2664.8226.491
Toplam Kısa Vadeli Yükümlülükler25.962.62529.002.61320.583.03221.335.56023.049.42127.592.87318.409.79017.906.59522.088.25125.827.1097.401.6416.865.2678.041.18928.147.4254.875.6863.951.7094.569.5523.671.8872.486.6922.248.3182.685.1332.734.7622.546.5212.096.633
Finansal Borçlar626.011557.9911.498.8451.590.5821.915.9352.150.0912.589.2362.783.2602.121.207571.449418.021515.983483.6941.577.256556.188553.086579.088577.533529.938600.381751.455730.244485.557345.500
Ertelenmiş Gelirler6.163.3516.125.1826.015.3925.922.3695.885.4285.893.6925.881.7095.734.0425.756.9595.750.880646.569584.741558.8005.625.552515.528490.574472.568464.227446.105441.881435.220431.638390.668333.819
Uzun vadeli Karşılıklar180.814164.262170.942198.309184.910184.352126.615120.844124.119110.62670.38675.68044.496182.23523.95117.50417.20015.13313.83513.23011.44111.0656.6366.055
Ertelenmiş Vergi Yükümlülüğü1.167.557203.7140296.62498.36804.520.269
Toplam Uzun Vadeli Yükümlülükler8.137.7327.051.1497.685.1797.711.2618.282.8978.326.5038.597.5608.638.1468.002.2846.432.9551.134.9761.176.4041.086.99011.905.3121.095.6661.061.1641.068.8561.056.893989.8791.055.4931.198.1151.172.946882.861685.374
Ana Ortaklığa Ait Özkaynaklar33.519.25931.462.91831.124.56030.888.14731.943.77629.424.61229.059.54930.004.61331.296.25829.453.6211.317.2391.689.6352.366.53124.445.5121.526.9181.753.7432.541.3002.369.2802.064.4622.094.3592.062.6801.879.2671.905.3781.974.544
Ödenmiş Sermaye700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000700.000
Sermaye Düzeltme Farkları18.771.68918.771.68918.772.04918.772.04918.772.04918.772.04918.772.04918.772.04918.772.04918.772.04918.772.049
Kar veya Zararda Yeniden Sınıflandırılmayacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)-165.126-153.101-158.474-180.198-177.868-177.120-120.558-112.251-112.290-95.699-38.454-42.978-17.949-105.841
Kardan Ayrılan Kısıtlanmış Yedekler2.670.3362.670.3362.670.3862.670.3862.406.3352.406.3352.406.3352.406.3352.273.7712.273.771366.728366.728268.3461.981.151268.346268.346199.046199.046199.046199.046199.046118.62290.011267.176
Geçmiş Yıllar Kar/Zararları9.473.9945.730.8575.730.9635.730.9637.723.3484.296.8295.103.4365.103.4367.803.500-304.9454.7244.724915.1066.875.886532.934672.9341.295.234753.578753.578753.578753.578527.954699.774637.538
Dönem Net Kar/Zararı2.068.3663.743.1373.409.6373.194.9472.519.9123.426.5192.198.2883.135.0441.859.2278.108.446284.241661.160501.028-3.777.73325.638112.463347.019716.656411.838441.735410.056532.691415.592369.830
Toplam Özkaynaklar33.519.25931.462.91831.124.56030.888.14731.943.77629.424.61229.059.54930.004.61331.296.25829.453.6211.317.2391.689.6352.366.53124.445.5121.526.9181.753.7432.541.3002.369.2802.064.4622.094.3592.062.6801.879.2671.905.3781.974.544
Toplam Kaynaklar67.619.61767.516.68159.392.77159.934.96763.276.09565.343.98856.066.90056.549.35461.386.79361.713.6859.853.8569.731.30511.494.71164.498.2507.498.2716.766.6168.179.7077.098.0605.541.0335.398.1695.945.9295.786.9755.334.7604.756.551
Hedge Dahil Net Yabancı Para Pozisyonu63.295362.443612.53250.42054.8951.111.3351.479.9611.277.673808.295738.207695.0982.044.991669.701669.701106.39894.138-195.918-191.806

Bu Sayfa Hakkında

Başkent Doğalgaz Dağıtım Gayrimenkul Yatırım Ortaklığı A.Ş. (BASGZ) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket Mali Kuruluşlar sektöründe işlem gören.