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INTEM İntema İnşaat ve Tesisat Malzemeleri Yatırım ve Pazarlama A.Ş.

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Finansal Tablolar

Enflasyon MuhasebeliSolo
Bin TRYEn yeni dönem solda
Kalem2026/32025/122025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/122018/92018/62018/32017/122017/92017/62017/32016/122016/92016/6
Nakit ve Nakit Benzerleri26.5156.4103.66010.39265.04768.45739.14364.85872.72488.75734.01915.7509.20459.94623.88618.46020.61410.55834.32210.4739.01320.82718.53517.5266.59812.2125.1045.07013.2495.9711.90854.1985571.7529421.4021.4143921.2403.380
Ticari Alacaklar3.719.9392.262.5362.972.1943.566.0052.633.5271.483.8613.755.7265.163.4583.960.1643.644.9942.188.2432.592.3461.742.6142.057.75301.114.397000001969352.5735.4142.1434.4206.5638.1566.4371.0142.1535.8193.3901.6374243021.545143311.398
Türev Araçlar000
Stoklar239.220179.539219.705218.799230.842243.603283.542258.696225.562251.072114.254123.986130.355407.81694.18462.35342.33222.37719.70217.85217.37015.21516.29516.28915.79013.86415.42114.43215.04514.09715.89017.11915.19013.58713.17314.39613.76512.42313.66713.550
Cari Dönem Vergisiyle İlgili Varlıklar6031960000001.0112742.1261.385785285662559548522355176108949042725252326
Diğer Dönen Varlıklar7.9497.0951.4754.9559.0233.5791.7964.14916.1831.8990002.9990002.87404576.2355.8744.6024.3105.7026.3624.0623.4805.0755.9554.5482.3363.5714.8883.4303.7332.7141.716627473
Toplam Dönen Varlıklar4.036.9332.480.4703.245.9343.847.7802.981.7311.863.2604.133.1865.526.0964.332.7094.033.9932.356.6502.750.2401.896.7032.571.0531.108.8171.203.135774.258408.667548.473529.315401.195301.051374.547375.161345.696329.967401.202402.759370.751376.532428.707452.456350.308311.543326.436361.995350.186284.545301.453332.962
Finansal Yatırımlar284284284284284227121315178882888888888888888888864.71064.71038.32638.32638.32638.32629.49329.493
Finans Sektörü Faaliyetlerinden Alacaklar000
Diğer Alacaklar4244246616616616616616616616611441441446617474712627272727272626283434343433345222222225252525
Müşteri Sözleşmelerinden Doğan Varlıklar00
Maddi Duran Varlıklar52.25467.85072.37977.77083.596103.140112.140122.813131.690142.85320.39321.07522.509178.78221.52621.13519.03319.99217.60617.34717.69718.88520.41321.63522.71423.77125.01025.22487.41827.09125.29126.36225.91227.08024.39222.14817.29913.82710.72710.173
Kullanım Hakkı Varlıkları157.705141.397157.637175.096190.748161.503186.512216.003212.111166.12637.19028.22534.374191.82725.00722.20325.70625.74628.68230.43533.10335.68441.16944.35947.22048.29353.50057.3880
Maddi Olmayan Duran Varlıklar28.52230.97433.56936.13438.78541.50144.14947.15349.99953.1738.4648.9309.36065.78010.32110.80611.35411.9022.3332.1582.1862.4822.6362.9713.2553.6893.3573.8014.3274.8325.0255.7376.3226.9426.5175.3585.9116.6726.3687.117
Peşin Ödenmiş Giderler2.0503.1756246088561.1771.1941.4571.7201.96340121629951511952631769532873324026081127392103323121163240331248332426521478561
Ertelenmiş Vergi Varlığı2.62522.64621.5672.1491.9962.7853.2822.3042.2874.8274.1872.0282.2192.0343.0825.3885.2174.3034.3424.4204.2052.4672.1252.7862.8333.0202.8922.0681.373
Diğer Duran Varlıklar000
Toplam Duran Varlıklar241.240244.106265.154290.554314.929308.209344.670388.101396.196364.79368.86481.14988.024438.07459.23756.41659.22161.13451.91252.54958.18061.87167.82373.79280.67381.03991.72198.327104.34943.06735.91238.663105.521104.60173.92869.44465.30963.80749.30248.743
Toplam Varlıklar4.278.1722.724.5753.511.0884.138.3343.296.6612.171.4684.477.8565.914.1974.728.9054.398.7862.425.5152.831.3891.984.7273.009.1271.168.0541.259.550833.479469.801600.385581.864459.375362.921442.370448.952426.368411.006492.923501.086475.100419.599464.619491.118455.829416.144400.365431.439415.495348.352350.755381.704
Finansal Borçlar32.66039.38739.11743.37249.06852.68564.10776.15271.91152.76325.98215.72815.48756.91419.67815.64521.75921.07523.46824.01426.35227.06729.71629.71634.34631.78042.76044.69642.59901.00852.14247.52040.76233.13229.08317.7757.2193.3293.387
Ticari Borçlar2.998.6881.501.7762.188.3582.783.6341.993.765815.3462.318.2363.866.9591.423.9471.103.6311.572.8151.886.5591.424.270557.067643.412892.528577.884307.37700334.392260.012323.848337.642306.365294.327385.056386.212356.253398.211424.447378.484362.046316.385320.186348.795349.668294.246305.063323.823
Finans Sektörü Faaliyetlerinden Borçlar000
Çalışanlara Sağlanan Faydalar Kapsamında Borçlar21.86718.3977.0137.47518.60713.5177.79014.87218.89526.5516.1264.6662.48828.3491.5301.1131.1172.8767117731.0412.2291.0058449302.3329401.9532.2691.9101.5991.6181.8322.1421.4588139311.957814704
Diğer Borçlar001.358.2782.001.021606.750000351101141140
Dönem Karı Vergi Yükümlülüğü012.12938.6896.31608.15713.292007.69918.08239.90719.5701.83613.52618.7807.3031.6712.6141.85906885394962.0340
Kısa Vadeli Karşılıklar15.08432.99060.25967.47669.93279.289707.383614.119462.9419.207325.237273.655178.420617.929162.291107.11570.74227.52638.39623.03422.19514.82816.74012.31415.51912.93322.37720.43012.28715.65111.49223.11111.32516.32915.15720.81610.50417.84016.05916.973
Diğer Kısa Vadeli Yükümlülükler31.47913.72016.04032.23653.20617.72724.87651.58611.59322.44914.32833.53613.13218.79411.46013.1988.2083.7663.1701.1581.2632.4521.0521.6073.0362.5521.3051.7351.8352.4362.2711.5031.4722.1131.1323.3131.5332.0761.6483.266
Toplam Kısa Vadeli Yükümlülükler3.220.2261.701.5002.449.2633.077.8632.318.9021.152.3323.267.7824.736.7113.510.2713.327.6722.023.2592.489.5711.718.0672.070.724970.2071.098.433719.615387.694520.429512.819396.501303.831378.534386.941359.115349.141440.534439.452408.707432.138459.438482.040448.542401.559395.116422.090402.942333.593334.973360.389
Diğer Finansal Yükümlülükler00
Müşteri Sözleşmelerinden Doğan Yükümlülükler00
Ertelenmiş Gelirler1223457079123966427205438993328545169871051231421782142503554866207517495476587701.4601.219
Uzun vadeli Karşılıklar11.39911.80711.07112.79410.50310.40617.29911.32216.13713.97411.4157.67913.17337.6158.6898.5766.6485.8285.2214.6494.6974.8594.4294.4564.5545.5815.5304.9644.9504.5134.5424.4203.9703.8723.8633.8904.3084.1234.2204.442
Ertelenmiş Vergi Yükümlülüğü94.12938.46943.85152.80740.19911.36168.81856.16974.3668.64621.651
Diğer Uzun Vadeli Yükümlülükler000004
Toplam Uzun Vadeli Yükümlülükler138.18989.66594.040108.97799.77374.457150.293143.722162.53775.47937.40223.44928.667116.38428.41024.22928.41526.91128.72228.69131.10331.97734.21434.26039.00537.48448.43249.83947.7634.7634.8974.9064.5914.6234.6124.4374.9674.8965.6805.661
Ana Ortaklığa Ait Özkaynaklar919.758933.411967.785951.494877.986944.6791.059.7811.033.7641.056.097995.635364.854318.369237.992822.018169.436136.88785.44855.19651.23440.35431.77027.11329.62227.75128.24924.3813.95611.79518.630-17.3012844.1732.6979.9626364.9127.5879.86310.10215.654
Ödenmiş Sermaye19.44019.44019.44019.44019.44019.44019.44019.44019.44019.44019.44019.44019.440146.66719.44019.44019.44019.44019.44019.44019.44019.44019.44019.44019.44019.44019.44019.44019.4404.8604.8604.8604.8604.8604.8604.8604.8604.8604.8604.860
Sermaye Düzeltme Farkları1.896.6491.896.6491.896.6841.896.6841.896.6841.896.6841.896.6841.896.6841.896.6841.896.68447.44147.44147.4411.769.45747.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.44147.441
Geri Alınmış Paylar (-)-17.872-17.872-17.872-17.872-17.872-17.872-17.872-17.872-17.872-17.872-1.862-1.862-1.862-17.872-1.862-1.862-1.862-1.862-1.862-1.862-1.862-1.862-1.862-1.862-1.862-1.862-1.8620
Paylara İlişkin Primler (İskontolar)635.707635.707635.719635.719635.719635.719635.719635.719635.719635.71929.25329.25329.253635.71929.25329.25329.25329.25329.25329.25329.25329.25329.25329.25329.25329.25329.25329.25329.2530
Kar veya Zararda Yeniden Sınıflandırılmayacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)-15.858-15.444-15.377-16.781-14.948-14.988-20.052-16.839-15.498-18.319-9.581-9.248-7.398-15.384-1.427-1.427-1.427-1.427-1.427-1.427-1.427-1.427-1.427-1.427-1.427-1.427-1.427-1.427-1.427-1.427-1.427-1.427-1.42752.269-1.427-1.427-1.427-1.427-1.427-1.427
Kar veya Zararda Yeniden Sınıflandırılacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)00053.695028.63028.63028.63028.63020.24020.240
Kardan Ayrılan Kısıtlanmış Yedekler198.628198.628198.632198.632198.632198.632198.632198.632198.632198.6321.9781.9781.978198.6321.9781.9781.9781.9781.9781.9781.9781.9781.9781.9781.9781.9781.978116116116116116116116116116116116116116
Geçmiş Yıllar Kar/Zararları-1.783.698-1.772.903-1.772.935-1.772.935-1.772.935-1.718.648-1.718.648-1.718.648-1.718.648-1.895.20090.95290.95290.952-2.209.877-39.628-39.628-39.628-67.710-67.710-67.710-67.710-70.443-70.443-70.443-70.443-70.153-70.153-68.292-68.292-30.429-30.429-30.429-94.723-69.758-69.758-69.758-69.758-52.806-52.806-52.806
Dönem Net Kar/Zararı-13.240-10.79523.4948.608-66.734-54.28765.87836.64957.640176.552187.233140.41558.188314.677114.24081.69230.25228.08324.12113.2404.6572.7335.2413.3713.868-290-20.714-14.736-7.901-37.863-20.277-16.388-7.266-24.965-9.226-4.951-2.276-16.952-8.322-2.769
Toplam Özkaynaklar919.758933.411967.785951.494877.986944.6791.059.7811.033.7641.056.097995.635364.854318.369237.992822.018169.436136.88785.44855.19651.23440.35431.77027.11329.62227.75128.24924.3813.95611.79518.630-17.3012844.1732.6979.9626364.9127.5879.86310.10215.654
Toplam Kaynaklar4.278.1722.724.5753.511.0884.138.3343.296.6612.171.4684.477.8565.914.1974.728.9054.398.7862.425.5152.831.3891.984.7273.009.1271.168.0541.259.550833.479469.801600.385581.864459.375362.921442.370448.952426.368411.006492.923501.086475.100419.599464.619491.118455.829416.144400.365431.439415.495348.352350.755381.704
Hedge Dahil Net Yabancı Para Pozisyonu19.9787.22710.74918.64425.81214.23323.36318.65023.731208.019130.291126.47795.07334.90036.256-6035.051888155-1593.5162.3427584.0056.6735.2674.8502.9423.58912.1267.2878.708

Bu Sayfa Hakkında

İntema İnşaat ve Tesisat Malzemeleri Yatırım ve Pazarlama A.Ş. (INTEM) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket Toptan ve Perakende Ticaret sektöründe işlem gören.

INTEM — İntema İnşaat ve Tesisat Malzemeleri Yatırım ve Pazarlama A.Ş. Bilanço, Gelir Tablosu ve Nakit Akım | Borsa Hisse Fon