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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 Akışları18.049.584115.654.24281.702.33273.536.26538.982.42448.408.00130.235.7007.809.12519.409.249104.093.14186.001.41162.015.70140.713.03371.223.8777.914.3717.163.3703.961.9188.702.4515.508.277248.8001.338.3947.390.6613.900.9651.459.253702.4233.007.6641.164.719990.853436.6032.176.4071.311.486831.506241.9632.158.569952.132765.931254.5841.612.405472.589129.271-140.453
Dönem Karı (Zararı)5.498.81837.399.09225.681.19516.033.4608.489.33855.977.69839.285.77626.179.78716.217.299102.015.62963.129.81032.338.90214.740.53457.666.75910.322.1716.505.9812.801.7798.801.0054.710.7612.818.5771.819.3744.194.9132.267.706909.437629.4291.959.4841.342.707888.288477.9601.683.1961.272.358918.519432.2651.489.983979.864633.918272.268955.308638.022464.103203.050
Dönem Net Karı (Zararı) Mutabakatı İle İlgili Düzeltmeler11.504.28646.373.94542.701.02731.043.1708.925.11711.098.90212.215.5307.878.7036.302.11122.175.22320.763.83629.029.7883.207.47630.840.1876.694.8964.210.6812.110.8276.373.4851.759.1711.214.403503.8572.755.7942.102.2741.148.892485.8062.047.5801.318.7551.059.962494.8941.718.1701.759.171753.519289.6421.176.370748.116425.546216.365930.238613.694379.320195.813
Amortisman ve İtfa Gideri İle İlgili Düzeltmeler5.125.51918.933.19514.220.5119.465.6534.588.51815.429.82311.438.8697.384.6403.809.15612.612.08610.084.8527.295.3663.878.35614.964.2971.250.885584.235294.2791.054.264772.257509.926252.357916.575673.900443.599218.696775.988561.709360.798178.053569.203417.724269.910128.162473.624353.128235.931117.975456.387338.875223.376110.412
Değer Düşüklüğü (İptali) İle İlgili Düzeltmeler-105.969-170.980-227.630-329.802175.4951.019.530891.297845.587405.40423.759-3.222-44.028-46.3532.1882.8365.68716.924-5.431-2.439-8.913-3.6831.408-5283.91139-6.182-3.83056-74918.94115.0204.584463-1.326-1.467-22509034552.1382.343
Karşılıklar İle İlgili Düzeltmeler2.097.7753.871.2237.042.1524.794.1672.849.4252.470.7882.787.9823.050.9481.915.8097.482.3537.415.6516.535.4241.546.5887.659.5441.350.679560.028167.043799.014196.31886.187-58.866598.423301.048108.745-8.561386.234251.728163.38469.251154.867159.55886.111-7.295324.250162.44080.81715.753213.848121.83678.08447.169
Kar Payı (Geliri) Gideri ile İlgili Düzeltmeler0-7.38700-18.787-2.929-2.929-2.929-2.343-2.343-2.343-2.343-1.172-1.172-1.172-1.172-422-422-422-422-410-410-410-410-351-351-351-351-422-422-4220
Faiz (Gelirleri) ve Giderleri İle İlgili Düzeltmeler2.544.8489.163.1078.339.0285.793.8672.900.30515.110.48512.215.9548.420.1724.020.5747.089.5814.257.8414.388.7062.169.8363.835.051435.657148.404-20.447-517.584-436.836-285.018-158.866-141.373-14.34628.83717.536275.385236.380154.85680.252104.14054.94136.53815.9515.91010.26510.5587.75743.49836.94726.2575.338
Gerçekleşmemiş Yabancı Para Çevrim Farkları İle İlgili Düzeltmeler-1.170.343-1.933.109-1.663.764-2.000.398-818.8284.067.2423.800.3523.753.8181.224.426-2.160.981-337.023-1.160.882422.215-4.420.288
Özkaynak Yöntemiyle Değerlenen Yatırımların Dağıtılmamış Karları ile İlgili Düzeltmeler000009339331503294210000
Vergi (Geliri) Gideri İle İlgili Düzeltmeler2.460.6686.031.0325.877.9074.001.5403.554.445-2.673.7931.951.831-276.8421.655.849-3.384.19111.840.1598.904.7211.948.445-5.238.210-1.050.990-849.829-516.558-114.246-15.839-26.052-2.195-86.58340.169-17.645-17.580-9.311-50.983-10.153-1.30177.916157.47621.8949.087-8.8226.622-3.5997.81814.86318.15812.1626.936
Duran Varlıkların Elden Çıkarılmasından Kaynaklanan Kayıplar (Kazançlar) İle İlgili Düzeltmeler3.760162.46593.49583.502-1.619830.152000134.2423.2654.0854.66581.09611.94114.99515.55437.44034.5931.345-121-18-6497282867141.1621.1118763.8553.6162.1701.4803.3951.6731.466-136.2631.9821.1531.157
Yatırım ya da Finansman Faaliyetlerinden Kaynaklanan Nakit Akışlarına Neden Olan Diğer Kalemlere İlişkin Düzeltmeler5.099.50729.445.47825.074.84222.202.7267.084.71319.350.00115.630.00010.827.3843.783.24022.113.63316.673.57714.678.3955.620.65826.643.6954.696.8173.750.0902.156.9615.122.3711.213.460939.271477.5741.468.5341.103.852581.889276.562624.241322.078390.182168.902789.564951.225332.722142.204379.690215.806100.72667.176194.89895.86336.57222.458
Kar (Zarar) Mutabakatı İle İlgili Diğer Düzeltmeler-12.336.933-12.668.399
İşletme Sermayesinde Gerçekleşen Değişimler1.956.65335.868.42721.021.76131.242.46823.363.481-14.763.029-13.994.525-21.441.631-57.564-10.435.92011.152.7737.220.14825.079.736-11.537.564-8.077.185-2.969.110-637.294-5.726.339-432.700-3.474.295-778.036779.512-244.105-440.587-293.234-434.244-1.067.971-669.613-377.049-876.546-1.500.512-704.854-396.268-332.578-649.192-204.579-171.829-102.135-634.284-622.048-512.676
Ticari Alacaklardaki Azalış (Artış) ile İlgili Düzeltmeler23.774.862567.9107.373.9864.713.2392.282.276-3.373.2631.373.7254.062.669-10.681.122-7.152.19916.819.1252.251.40711.591.655-15.737.722-8.366.393-698.543306.039-6.015.248-509.424-172.403-207.100-1.678.624-1.802.354309.816719.549-943.931-251.091-692.979-450.284200.967-237.399320.610415.897-1.213.698-376.321-23.106-106.763-374.652217.220-111.708-24.174
Stoklardaki Azalışlar (Artışlar) İle İlgili Düzeltmeler-13.514.3589.243.692-6.960.548-12.603.365-824.143-57.764-10.223.937-25.055.477-4.206.448-12.666.003-20.859.444-10.919.450-5.807.455-4.969.677-6.503.596-6.368.856-3.781.480-2.821.203-2.246.234-2.172.507-903.822-628.966-846.665-352.523-565.19125.498-854.296-593.465-182.170-734.965-1.205.611-1.005.458-687.938-129.440-67.518-207.582-145.583-77.448-497.938-335.585-205.207
Peşin Ödenmiş Giderlerdeki Azalış (Artış)319.142-167.2702.758.9792.797.810-171.042278.785-3.178.075-929.880-261.221318.0841.153.987-1.434.0211.243.488-2.107.955-290.994-183.230-35.948-82.047-54.359-170.66235.994-41.083-261.338-27.233-36.323-135.142-51.094-18.61716.77121.099-111.491-42.418-163.570-42.968-130.611-35.942-76.986-23.885-71.610-94.249-41.630
Ticari Borçlardaki Artış (Azalış) ile İlgili Düzeltmeler-11.540.79917.246.5606.627.08530.156.63315.903.208-13.977.770-14.370.782-12.368.68412.368.4256.638.4454.908.45116.199.06614.629.55818.200.0938.637.2874.858.8742.822.8063.647.7792.568.683-1.513.045109.0183.228.8332.165.809-952.641-682.147505.82737.379509.593460.452231.959219.251244.612145.3541.211.171-154.976154.074209.266302.813-308.517-143.622-144.678
İşletme Sermayesinde Gerçekleşen Diğer Artış (Azalış) ile İlgili Düzeltmeler2.917.8068.977.53511.222.2596.178.1526.173.1822.366.98412.404.54212.849.7412.722.8032.425.7549.130.6551.123.1473.422.490-6.922.302-1.553.489-577.35551.289-455.620-191.366554.322187.874-100.648500.443581.994270.878113.50451.131125.855-221.818-595.606-165.262-222.200-106.011-157.64380.234-92.023-51.76371.03726.56163.116-96.988
Faaliyetlerden Elde Edilen Nakit Akışları18.959.757119.641.46489.403.98378.319.09940.777.93652.313.57137.506.78112.616.85922.461.847113.754.93295.046.42068.588.83843.027.74776.969.3818.939.8827.747.5524.275.3129.448.1516.037.232558.6851.545.1957.730.2194.125.8751.617.742822.0013.572.8201.593.4911.278.637595.8052.524.8201.531.017967.184325.6392.333.7751.078.788854.885316.8041.783.411617.432221.375-113.813
Vergi İadeleri (Ödemeleri)-197.858-1.729.194-1.317.280-1.183.847-768.294-1.251.349-442.460-430.435-314.373-3.543.553-3.856.076-2.486.031-58.312-538.804-158.101-51.797-52.183-81.397-47.259-46.356-51.853-33.725-33.275-33.275-36.828-18.294-12.083-11.862-16.969-14.829-14.829-11.281-19.511-11.364-10.370-10.370-20.414-21.147-21.147-9.712
Çalışanlara Sağlanan Faydalara İlişkin Karşılıklar Kapsamında Yapılan Ödemeler-45.721-256.486-168.514-135.236-81.178-1.645.090-467.828-125.077-135.590-1.306.392-1.233.744-886.573-687.281-146.380-36.613-18.313-10.912-19.221-15.197-9.862-5.462-14.473-10.616-7.251-4.848-16.757-13.651-9.258-4.988-15.260-12.901-8.698-4.711-10.442-8.366-5.576-3.494-14.522-10.826-7.228-3.935
Diğer Karşılıklara İlişkin Ödemeler-952.989-164.573-5.104.924-3.147.196-1.417.926-89.994-3.171.750-1.868.838-851.360-2.959.641-2.327.497-1.464.664-584.174-2.477.223-431.925-271.206-124.923-317.595-205.349-124.980-47.386-210.489-134.841-80.371-41.844-205.590-128.991-79.325-39.822-151.043-97.844-61.243-26.866-116.290-77.677-48.444-22.208-110.259-88.162-56.037-22.705
Yatırım Faaliyetlerinden Kaynaklanan Nakit Akışları-2.093.635-26.112.513-18.616.095-11.398.620-5.048.874-46.868.124-35.307.756-22.044.546-12.126.043-66.695.667-35.612.019-20.506.926-8.243.799-71.120.295-14.933.344-12.456.168-2.256.608-3.441.485-2.048.189-994.063-327.493-1.066.005-554.094-339.910-153.390-1.048.828-787.114-547.602-259.537-1.144.606-785.655-391.921-207.157-938.317-593.131-368.796-157.121-585.715-437.439-247.826-95.001
Bağlı Ortaklıkların Kontrolünün Elde Edilmesine Yönelik Alışlara İlişkin Nakit Çıkışları0-27.354.820-6.825.590-7.119.0470000
İştiraklar ve/veya İş Ortaklıkları Pay Alımı veya Sermaye Artırımı Sebebiyle Oluşan Nakit Çıkışları-341.159-110.818-128.695-17.881-17.881-308.820-122.979-122.978-17.878-123.465-91.359-91.358-102.131-43.856-1.875-1.250-625-12.9590000-1.027-1.02700
Maddi ve Maddi Olmayan Duran Varlıkların Satışından Kaynaklanan Nakit Girişleri247.0721.528.464893.852640.795481.6721.273.846542.517167.68863.3231.841.120179.783202.908141.05220.66116.9806.2161.33825.77012.0309.4005.79436.50728.5481.7261.3603.2611.8141.02778746.09035.92731.6601.5795711.11264539910.4256.8804.3482.292
Maddi ve Maddi Olmayan Duran Varlıkların Alımından Kaynaklanan Nakit Çıkışları-3.878.340-34.253.794-22.589.372-15.958.536-7.591.466-58.884.908-38.031.745-24.471.856-8.576.944-66.672.696-28.211.947-13.905.511-7.937.980-27.390.350-3.737.192-2.588.896-808.120-2.394.798-1.262.903-673.627-264.475-945.759-515.321-360.833-164.685-1.239.620-817.314-598.812-259.029-1.125.456-721.014-376.328-150.459-806.280-425.649-261.747-97.434-509.785-378.608-263.213-99.674
Verilen Nakit Avans ve Borçlar1.878.7926.723.6353.208.1203.937.0032.078.80111.044.3722.304.4512.382.600-3.594.544-1.740.626-7.488.496-6.712.965-344.740-16.370.717-4.388.596-2.756.120-1.452.130-1.061.841-799.659-332.179-71.155-157.925-68.49318.0258.763187.10927.96449.761-1.717-64.623-99.951-47.663-58.687-132.959-168.945-108.045-60.437-86.777-66.13310.618-2.329
Alınan Temettüler07.3870018.7872.9292.9292.9292.3432.3432.3432.3431.1721.1721.1721.1724224224224224104104104103513513513514224224220
Alınan Faiz1.251.3967.471.8004.264.3072.978.3281.298.5346.282.2874.032.1942.219.1461.142.6316.769.3555.279.5022.467.464985.6742.938.292528.549393.948313.7901.056.172798.930539.508286.573376.243175.86893.81452.332129.82682.15857.28928.859106.05460.88236.11625.26872.36150.50728.46911.09822.31115.46010.6994.710
Finansman Faaliyetlerinden Nakit Akışları-17.800.319-38.261.352-21.773.906-17.320.9441.721.68611.876.13529.949.99622.194.39711.960.813-16.745.9924.300.7764.380.8491.854.214-13.190.211-27.6344.721.214-642.016771.6451.995.311-2.319.877107.402-1.451.256249.819868.223-77.500-149.628-5.43882.161532.818-1.443.697-950.940-957.893200.543-605.875-52.596150.76375.606-818.294-408.339-69.146292.772
Borçlanmadan Kaynaklanan Nakit Girişleri13.206.43557.328.14840.027.93430.663.79713.702.459116.752.223101.387.07885.891.82424.016.93161.886.83352.570.25140.938.31320.917.26788.054.41116.763.82716.235.8637.114.31315.183.31410.174.1544.512.0042.382.3605.685.6286.488.3005.074.4282.240.3556.237.3814.063.4653.295.3781.358.5242.759.1952.115.9301.145.097766.0042.304.8902.113.7761.667.413504.8591.780.9221.325.0051.185.941579.700
Borç Ödemelerine İlişkin Nakit Çıkışları-15.906.352-59.165.303-48.472.171-37.058.338-10.522.444-57.844.310-36.955.328-31.101.501-10.901.001-38.358.945-31.632.173-19.291.586-2.952.664-71.885.231-12.327.358-7.087.919-3.444.709-11.620.512-6.540.507-4.978.186-260.035-6.202.154-5.186.975-3.114.466-1.247.854-5.119.841-3.225.443-2.364.637-836.159-3.051.482-2.278.222-1.308.985-576.413-2.141.327-1.779.532-1.124.312-427.396-1.911.685-1.362.142-891.153-278.252
Kira Sözleşmelerinden Kaynaklanan Borç Ödemelerine İlişkin Nakit Çıkışları-296.193-1.203.736-873.029-577.865-290.792-997.903-667.137-363.101-117.824-437.932-279.226-183.445-79.214-312.002-61.270-41.638-18.315-66.134-40.101-26.707-11.743-52.397-39.902-26.308-12.618-47.642-34.532-23.122-11.3340000
Ödenen Temettüler-12.773.124-31.422.036-7.852.815-7.852.8250-33.891.575-26.615.086-26.615.154-37.236.659-15.227.816-15.227.794-15.227.788-28.537.106-4.561.830-4.561.830-4.561.830-3.575.773-2.252.842-2.252.842-2.252.842-1.094.839-1.094.839-1.094.839-1.094.839-1.284.331-852.711-852.7110-1.203.622-800.075-800.075-789.548-400.037-400.0370-663.220-350.910-350.9100
Ödenen Faiz-3.282.481-11.270.224-8.868.132-5.474.041-2.466.071-18.424.587-11.231.724-7.836.818-2.179.924-9.368.643-6.409.761-4.322.103-1.789.061-3.448.575-369.552-217.210-45.265-205.422-144.323-113.654-36.911-163.737-92.633-64.406-14.876-65.021-38.375-30.036-7.072-53.842-49.455-30.046-14.316-52.251-37.310-20.770-12.955-46.622-35.752-23.724-8.676
Yabancı Para Çevrim Farklarının Etkisinden Önce Nakit ve Nakit Benzerlerindeki Net Artış (Azalış)-1.844.37051.280.37741.312.33144.816.70135.655.23613.416.01324.877.9417.958.97619.244.01920.651.48154.690.16845.889.62434.323.448-13.086.629-7.046.607-571.5841.063.2946.032.6115.455.399-3.065.1401.118.3034.873.4003.596.6901.987.566471.5331.809.208372.167525.412709.884-411.896-425.109-518.308235.349614.377306.405547.898173.069208.396-373.189-187.70157.319
Yabancı Para Çevrim Farklarının Nakit ve Nakit Benzerleri Üzerindeki Etkisi423.719466.270128.420112.30552.92264.33885.07843.23641.7721.039.897539.574537.343-4.213.007-31.673.778189.4160000
Nakit ve Nakit Benzerlerindeki Net Artış (Azalış)-1.420.65151.746.64741.440.75144.929.00635.708.15813.480.35224.963.0198.002.21119.285.79121.691.37855.229.74146.426.96730.110.440-44.760.407-6.857.191-571.5841.063.2946.032.6115.455.399-3.065.1401.118.3034.873.4003.596.6901.987.566471.5331.809.208372.167525.412709.884-411.896-425.109-518.308235.349614.377306.405547.898173.069208.396-373.189-187.70157.319
Dönem Başı Nakit ve Nakit Benzerleri70.379.16932.151.74132.151.92832.161.88832.161.22931.596.75831.596.70331.596.97131.605.29134.641.64334.641.50234.641.70234.633.61279.401.99514.106.24014.106.24014.106.2408.073.6298.073.6298.073.6298.073.6293.200.2293.200.2293.200.2293.200.2291.391.0211.391.0211.391.0211.391.0211.802.9171.802.9171.802.9171.802.9171.188.5401.189.0331.189.0331.188.540980.144980.361980.361980.361
Dönem Sonu Nakit ve Nakit Benzerleri56.672.69370.378.79562.604.88870.332.44564.538.47532.151.74146.125.08531.791.25846.610.30431.596.83269.667.49774.067.63564.744.05234.641.5887.249.04913.534.65615.169.53414.106.24013.529.0285.008.4899.191.9328.073.6296.796.9195.187.7953.671.7623.200.2291.763.1881.916.4332.100.9051.391.0211.377.8081.284.6092.038.2661.802.9171.495.4381.736.9311.361.6091.188.540607.172792.6611.037.680

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