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CUSAN Çuhadaroğlu Metal Sanayi ve Pazarlama A.Ş.

24,30+%1,17
Son güncelleme 13:16
Taban
21,62
Tavan
26,42
Yüksek
24,36
Düşük
24,04
Hacim
281.035
Önc. Kapanış
24,02

Finansal Tablolar

Enflasyon MuhasebeliKonsolide
Bin TRYEn yeni dönem solda
Kalem2026/32025/122025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/122018/92018/62018/32017/122017/92017/62017/32016/122016/92016/6
Nakit ve Nakit Benzerleri63.503341.91857.666106.078462.7311.251.306225.704261.587386.446217.037299.467154.468309.571104.68486.9529.18564.98937.65063.87878.37133.80045.35929.2455.71418.80716.18537.99961.00763.80112.1926.0378.79030.05031.91715.01042.93747.13727.05132.895
Gayrimenkul Projeleri Kapsamında Açılan Nakit Hesapları693.961
Finansal Yatırımlar1.9712.1695936376757433663984324978971571971.8390000000000000
Ticari Alacaklar632.495691.761617.970693.695702.746705.069782.212483.605734.977948.871483.703538.112320.4181.398.821348.752284.9350192.378118.858118.61089.9720095.66489.368083.20787.01366.69967.67802891.32400006.8646.16770.525
Diğer Alacaklar51.82660.02561.38479.83199.92819.01611.33913.31715.66714.5834.93510.14112.57119.0946.7295.22404.0445.3796.2671.911003.4612.28202.2052.8256636380000000000
Müşteri Sözleşmelerinden Doğan Varlıklar117.892156.097303.424338.233401.853490.385605.981655.871643.178488.902158.689152.301187.290832.297187.690177.499104.80070.34953.74651.00341.7920073064303.2621.78712.68127.118
Stoklar737.603669.970798.325949.311844.113817.314794.390951.701854.9641.163.852448.494519.528556.0272.013.189604.616585.798475.923297.578186.548155.414118.75697.02699.80080.66695.79485.58689.86383.09965.03060.24155.77965.82857.22546.81338.22446.08044.64735.88933.74927.623
Cari Dönem Vergisiyle İlgili Varlıklar1.0056.6022.25566656623.3136.5058.5002.8401741.5625.83318624191.5311076744392320101721671591292.749223213921.1391.737002.8721.917
Diğer Dönen Varlıklar67.01463.31197.95676.41473.97688.44176.77369.71969.472116.62248.38841.50258.405222.73770.52877.84563.16530.26822.28011.4127.9893.0194.2852.6604.6973.6525.9414.9473.0852.8232.3764.7524.6461.0383.1823.9443.1711441.247601
Toplam Dönen Varlıklar1.835.9052.158.6032.298.0182.606.4763.462.6563.484.2474.533.1603.102.0103.330.9843.606.9191.567.5201.650.8921.336.7674.911.3721.356.5361.244.465926.343690.653450.092431.552359.615280.980269.031225.015213.114212.356212.575236.258233.270235.736204.983201.581174.899180.884189.900170.986192.928170.821135.515145.372
Finans Sektörü Faaliyetlerinden Alacaklar00000
Özkaynak Yöntemiyle Değerlenen Yatırımlar0
Yatırım Amaçlı Gayrimenkuller16.40416.404143.97514.97414.97414.97414.97414.97414.97414.9744.3704.3704.92319.1902.8982.8982.8982.8923.1423.1422.8922.892510510510510510510510510510510510510425425425425425425
Maddi Duran Varlıklar3.702.5663.673.1543.142.9042.919.3332.296.2412.312.8281.856.391881.504897.627902.742221.351222.713217.330991.98398.26792.20890.24386.84282.67778.78672.71272.85057.79759.47461.57061.97862.28363.56265.23663.69462.24163.05363.66563.20151.42751.79850.66649.09663.12861.473
Kullanım Hakkı Varlıkları53.59853.66681.51486.520112.830118.620139.800160.980118.736132.21216.08117.44118.801181.36719.02320.28421.54522.95526.30326.47428.96730.35316.42617.08317.74018.39719.05419.71120.36821.025
Maddi Olmayan Duran Varlıklar125.026123.288115.559105.93393.47779.88868.48260.34054.55448.23311.2589.9228.56232.4055.5714.5081.3301.3425.5025.1124.6814.3594.1143.8233.5233.1532.1501.9721.4709549701.080872952934990897815757708
Peşin Ödenmiş Giderler3.0655.6476.6988.5177.8809.00815.1367.60511.38315.8501.2351.7272.09312.9903.4243.910842634646686751818274174446273907819.13919.74420.40721.06221.68722.33922.99623.65300
Ertelenmiş Vergi Varlığı106.384103.00948.77415.88667.20659.16449.15745.41915.9950000001.6231.2951.37604.3802360
Cari Dönem Vergisiyle İlgili Duran Varlıklar26.72628.00121.99022.72021.01891.05291.66091.28993.19096.18443.07439.69335.702124.59830.23323.66017.80816.6229.2947.0066.4955.7854.9054.2055.0174.6444.4754.3283.5035.0184.5113.8602.5072.3145.1194.0693.7563.4644.9304.663
Diğer Duran Varlıklar0000000
Toplam Duran Varlıklar3.927.3853.900.1603.619.0243.261.0072.595.1942.642.2572.253.6491.275.8571.239.6201.255.614313.363295.865287.4111.362.533159.416147.467134.666131.286127.564121.206116.497117.05683.78085.13688.43590.35089.83090.15692.55191.27991.75288.77189.28688.03879.59379.62078.74084.31675.40667.270
Toplam Varlıklar5.763.2906.058.7635.917.0425.867.4836.057.8496.126.5046.786.8094.377.8664.570.6044.862.5341.880.8831.946.7571.624.1796.273.9051.515.9531.391.9321.061.010821.939577.656552.758476.112398.036352.811310.151301.549302.706302.406326.414325.821327.015296.736290.352264.184268.923269.492250.606271.668255.137210.922212.642
Finansal Borçlar969.6491.214.9291.219.2041.397.3841.433.7171.367.0971.851.676278.994152.290190.484122.53394.85314.13414.13113.03013.56114.06012.92813.22111.73913.82314.4258103.19818.5900001.2641.2062.7802.1242.9202.7093.3543.2023.9083.7104.0333.845
Diğer Finansal Yükümlülükler0000000
Ticari Borçlar595.610387.588516.339417.513246.446231.509244.595254.691342.188320.649135.15395.452115.113543.567165.802142.176154.470119.42677.61569.14054.9900027.64432.255029.54239.36229.60630.175033.33631.697036.44635.14929.97222.3769.33711.411
Finans Sektörü Faaliyetlerinden Borçlar0000000
Çalışanlara Sağlanan Faydalar Kapsamında Borçlar67.94954.03855.20168.57887.73075.16475.25991.21679.99636.50827.25123.28036.18350.29512.87421.3309.6466.6347.1417.5366.9943.0036.4056.2823.7513.6183.8944.5154.9662.8164.0874.3214.7753.9743.5892.5412.8904.4071.5342.380
Diğer Borçlar570.648627.941476.073511.799678.255761.652809.40924.76849.639014.01514.19516.63120.6205.5038.40702.9933.1401.8961.3910072993701.1391.2891.8661.15901.44783309971.2139504.7117611.262
Müşteri Sözleşmelerinden Doğan Yükümlülükler0032.03293.040146.52259.52217.9572.750000038.440006.50000016303.3682.974800
Türev Araçlar000000
Ertelenmiş Gelirler856.519785.187973.512981.9281.153.1931.236.4041.202.1221.337.9591.601.7091.583.019534.652518.52699.495671.952205.210242.663147.928159.627136.692145.145139.7890055.10771.788090.419105.836123.402119.816073.66542.869060.62340.32252.92143.95536.31735.144
Dönem Karı Vergi Yükümlülüğü005.222303.234014.42124.47715.9847281.92534.09410.57417.07310.2398.7414.2266.0571.2426853.2602.1858831.4871.3211.63410666922877406478671.0042.0288991.1792.769
Kısa Vadeli Karşılıklar68.39476.81929.89738.86238.68139.40137.06339.65623.70223.8008.5815.1667.16925.1696.5407.0366.4244.9124.4194.2873.2353.6833.2843.4734.0073.7973.6123.8353.8823.1192.9143.1092.6522.2992.0832.3262.1901.9091.0301.147
Diğer Kısa Vadeli Yükümlülükler3.313000000
Toplam Kısa Vadeli Yükümlülükler3.445.5563.411.7293.439.3613.142.0572.882.9872.691.8872.628.4252.512.3962.904.2093.019.9011.294.9571.377.1761.013.7203.599.5271.088.738982.328691.421485.776281.810281.096239.752177.596173.619138.489132.375138.117136.869162.328166.718169.063141.483129.59794.89299.276110.82889.817100.00887.32659.65960.142
Uzun vadeli Karşılıklar88.40051.72167.90876.31478.87482.73484.85614.74918.54114.71463.41716.65713.84711.9927.8696.59506.2846.3574.1903.9593.9153.8592.6412.6482.6712.5331.9371.8411.8091.8871.6101.751
Ertelenmiş Vergi Yükümlülüğü78.70423.586008.58624.340256.54415.01813.9347.56314.29512.19011.0029.4564.0837911.5861.859001642.0489712.7411.1662.3723.5404.8125.3045.9933.7894.843
Diğer Uzun Vadeli Yükümlülükler00000000
Toplam Uzun Vadeli Yükümlülükler1.707.4021.918.1771.750.4781.977.0912.188.2852.207.6222.743.819370.211237.146226.992137.281121.98053.189334.09244.70641.34233.61535.09232.55230.27730.27325.1038.00711.0688.2164.1903.9594.0797.1704.8178.1694.7956.6197.0198.7359.82311.09911.3139.35610.439
Ana Ortaklığa Ait Özkaynaklar739.486807.1501.005.049996.6231.186.1491.378.4911.482.8881.573.5481.484.9841.681.285468.431445.582527.5332.194.979359.809340.767310.005276.170244.715226.333199.901191.232168.650157.753155.808154.845153.747150.652143.310144.442138.549144.591149.562149.373135.974135.617144.827140.676129.298128.308
Ödenmiş Sermaye71.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.25071.250
Sermaye Düzeltme Farkları1.126.9321.126.9321.126.9631.126.9591.126.9591.126.9561.126.9591.126.9591.126.9591.126.9591.126.959
Geri Alınmış Paylar (-)-6.737-6.737-6.737-29.052-29.052-31.268-32.343-32.343-28.731-37.511-10.403-10.403-8.530-19.704-4.6360
Paylara İlişkin Primler (İskontolar)93.70093.70093.70393.70293.70293.70293.70293.70293.70293.7026.6496.6496.64993.7026.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.6496.649
Kar veya Zararda Yeniden Sınıflandırılmayacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)170.677198.577210.574145.284147.909140.483143.920145.596153.034178.728116.531113.508115.749196.77421.61823.55524.65925.82127.41727.40027.79727.80914.90015.07714.91815.34015.55915.57615.58516.26716.19616.23316.23816.5866.4936.5236.5116.6856.6836.983
Kar veya Zararda Yeniden Sınıflandırılacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)000000000
Kardan Ayrılan Kısıtlanmış Yedekler405.523405.523405.533405.532405.532405.531405.532405.532405.532405.53242.47542.47538.028397.87434.13429.49723.50621.59221.59221.59219.67819.67819.67819.67818.69418.69418.69418.69418.13218.13218.13218.13216.66916.66916.75216.75214.50414.50414.50414.504
Geçmiş Yıllar Kar/Zararları-1.082.095-438.621-438.633-425.531-425.604-152.861-153.826-154.930-146.665338.272301.415301.415305.863377.263106.650111.286148.94455.55055.55055.55065.84641.92741.92741.92742.91131.58231.58231.58232.14432.68332.86532.86538.22027.42427.34027.34041.58812.58912.58912.589
Dönem Net Kar/Zararı-39.765-643.474-457.604-391.522-204.547-275.303-172.306-82.219-190.097-495.649-59.486-79.312-1.475-49.139124.14598.53034.99895.30862.25643.8938.68123.91914.2453.1721.38611.32910.0126.901-450-539-6.543-53953610.7977.4907.1034.32528.99917.62316.332
Azınlık Payları-129.154-78.292-277.846-248.287-199.573-151.496-68.324-78.288-55.735-65.645-19.7862.01929.737145.30722.70027.49425.96824.90218.58015.0516.1864.1042.5362.8415.1515.5557.8319.3548.6238.6938.53411.36913.11213.25413.95515.35015.73515.82212.60813.752
Toplam Özkaynaklar610.332728.858727.202748.336986.5771.226.9951.414.5651.495.2591.429.2491.615.640448.645447.601557.2702.340.286382.508368.262335.973301.072263.295241.384206.087195.337171.185160.594160.959160.399161.578160.006151.933153.135147.083155.960162.673162.628149.929150.966160.562156.498141.906142.061
Toplam Kaynaklar5.763.2906.058.7635.917.0425.867.4836.057.8496.126.5046.786.8094.377.8664.570.6044.862.5341.880.8831.946.7571.624.1796.273.9051.515.9531.391.9321.061.010821.939577.656552.758476.112398.036352.811310.151301.549302.706302.406326.414325.821327.015296.736290.352264.184268.923269.492250.606271.668255.137210.922212.642
Hedge Dahil Net Yabancı Para Pozisyonu-2.097.409-2.356.166-2.602.332-1.106.829-931.827-676.167-222.351-290.519-298.417-455.301-329.26072.752-640.026-351.417-148.752-256.485-124.916-61.571-19.65412.06613.74126.237-11.649-19.600-10.629-12.157-30.395-36.0051.281-3.317-1.29613.42733.29032.935

Bu Sayfa Hakkında

Çuhadaroğlu Metal Sanayi ve Pazarlama A.Ş. (CUSAN) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket İmalat sektöründe işlem gören.