İçeriğe geç
Borsa Hisse Fon
INTEM logo

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

262,50−%0,38
Son güncelleme 12:47
Taban
237,20
Tavan
289,75
Yüksek
267,00
Düşük
262,25
Hacim
26.317
Önc. Kapanış
263,50

Finansal Tablolar

Enflasyon MuhasebeliSolo
Bin TRYEn yeni dönem solda
Kalem2026/32025/122025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/122018/92018/62018/32017/122017/92017/62017/32016/122016/92016/62016/3
Satış Gelirleri470.7622.107.0181.481.7051.024.411471.5712.062.8151.602.2251.157.989615.8132.648.5332.106.3211.548.007759.9232.227.274405.130267.883112.960239.426167.980108.09449.261157.617109.71268.52938.579747.452570.445371.192166.632825.292642.420438.719219.010824.610631.623449.700212.892787.089599.630417.759188.444
Yurt İçi Satışlar353.4631.829.5291.216.219803.685386.9411.848.7931.301.792875.640441.0012.361.0611.964.5211.169.640644.9992.155.450365.175235.288101.030261.699171.557
Satışların Maliyeti (-)-167.175-1.014.532-651.251-430.576-190.304-960.425-676.055-461.483-224.828-1.119.924-782.519-518.005-222.622-823.167-133.061-87.342-38.459-104.336-68.679-44.720-19.571-76.330-50.258-31.150-16.846-669.863-510.346-330.974-148.967-746.003-582.439-399.472-201.010-751.771-574.512-410.041-193.524-715.524-544.852-378.228-170.902
Ticari Faaliyetlerden Brüt Kar (Zarar)303.5871.092.485830.454593.835281.2671.102.390926.170696.506390.9851.528.6091.323.8021.030.002537.3011.404.107272.069180.54174.501135.09099.30163.37429.69081.28859.45437.37921.73277.58860.09940.21817.66579.28959.98139.24718.00072.83957.11139.65919.36771.56554.77839.53217.542
Brüt Kar (Zarar)303.5871.092.485830.454593.835281.2671.102.390926.170696.506390.9851.528.6091.323.8021.030.002537.3011.404.107272.069180.54174.501135.09099.30163.37429.69081.28859.45437.37921.73277.58860.09940.21817.66579.28959.98139.24718.00072.83957.11139.65919.36771.56554.77839.53217.542
Genel Yönetim Giderleri (-)-72.571-224.881-161.245-122.352-66.628-206.622-151.699-98.792-63.570-226.814-169.913-114.961-74.442-208.559-40.201-27.767-13.476-32.024-20.624-13.536-6.676-26.502-17.378-10.670-4.252-34.270-21.827-14.673-6.339-36.473-24.154-18.354-8.701-26.106-19.287-12.458-6.157-26.861-18.386-11.965-5.132
Pazarlama, Satış ve Dağıtım Giderleri (-)-156.727-687.106-493.378-341.297-194.847-733.455-541.061-375.836-187.097-764.107-520.548-344.808-213.074-604.401-87.560-53.887-26.238-73.133-49.042-31.781-17.352-59.326-39.640-26.061-14.459-68.136-49.625-34.377-17.759-77.435-54.094-35.153-17.142-72.420-49.382-32.010-15.304-63.521-45.417-30.152-14.469
Diğer Faaliyet Gelirleri71.852240.228298.687380.726156.328145.017225.867386.761352.712156.166187.750244.774203.99348.82573.40953.58440.22713.26934.67931.66023.43630.79723.31314.2219.07385.57640.64925.85111.24548.75039.71522.78711.54531.82025.41416.2326.11227.42116.04810.7294.615
Diğer Faaliyet Giderleri (-)-51.971-165.666-248.019-381.747-157.346-139.371-139.250-397.209-256.338-95.723-199.154-307.260-268.939-66.508-62.102-42.250-34.766-5.751-31.694-28.968-21.806-13.499-11.182-4.847-3.982-47.293-42.747-26.568-9.591-46.699-36.752-20.501-9.762-31.089-23.908-15.195-6.093-27.780-16.347-11.389-5.162
Faaliyet Karı (Zararı)94.170255.060226.498129.16618.774167.959320.028211.430236.692598.130621.937507.746184.839573.464155.615110.22140.24637.45232.62120.7487.29212.75814.56710.0238.11113.465-13.451-9.550-4.778-32.568-15.304-11.975-6.060-24.956-10.051-3.771-2.074-19.176-9.324-3.246-2.606
Yatırım Faaliyetlerinden Gelirler24451391390404218221242214725487655166424254680235018951502424111712323227753.2663.35398-03512164
Yatırım Faaliyetlerinden Giderler (-)-85-5-20-275-56-70-22-254-900-55-10-10-2.138-13-2-200-00
Finansman Geliri (Gideri) Öncesi Faaliyet Karı (Zararı)94.171255.420226.632129.30418.774168.362320.245211.651236.717598.077622.352508.223184.824573.865155.772110.26340.28837.94333.41221.0887.47110.67114.60410.0458.13413.576-13.380-9.527-4.755-32.546-15.298-11.968-6.055-21.690-6.699-3.673-2.074-19.141-9.313-3.231-2.602
(Esas Faaliyet Dışı) Finansal Gelirler229201163185247202
(Esas Faaliyet Dışı) Finansal Giderler (-)-7.669-32.992-25.087-17.798-9.414-40.124-32.336-22.487-11.051-22.176-16.523-10.681-5.841-25.833-4.938-2.452-1.261-6.018-4.625-3.057-1.624-9.044-7.620-5.273-2.723-10.572-8.381-6.084-3.108-4.707-4.677-3.875-1.716-3.828-2.608-1.466-532-267-199-35-2
Net Parasal Pozisyon Kazançları (Kayıpları)-43.944-132.024-81.462-54.284-47.269-160.785-147.428-105.485-103.245-318.531-221.705-87.912-24.414-65.026
Sürdürülen Faaliyetler Vergi Öncesi Karı (Zararı)42.55890.404120.08357.222-37.909-32.547140.48283.679122.421257.370384.124409.630154.569483.006150.834107.81139.02731.92528.78718.0305.8471.6286.9844.7735.4113.004-21.760-15.611-7.863-37.253-19.746-15.643-7.607-25.518-9.121-4.892-2.404-19.408-9.512-3.265-2.605
Sürdürülen Faaliyetler Vergi Geliri (Gideri)-55.798-101.200-96.589-48.614-28.824-21.740-74.604-47.030-64.780-80.818-127.194-108.738-29.173-168.329-36.594-26.119-8.775-3.842-4.666-4.790-1.1901.105-1.743-1.402-1.543-3.2941.047875-39-609-531-746342553-105-591282.4561.19049690
Dönem Vergi Geliri (Gideri)-73.939-63.970-6.570-20.134-13.85400-93.090-95.309-140.119-62.785-136.779-35.475-24.848-8.293-2.935-2.784-2.890-1.8300-688-539-496-2.0340000
Ertelenmiş Vergi Geliri (Gideri)-55.798-27.261-32.619-42.044-28.824-1.606-60.750-47.030-64.78012.272-31.88531.38133.612-31.550-1.119-1.272-482-907-1.883-1.9006401.105-1.054-863-1.048-1.2601.047875-39-609-531-746342553-105-591282.4561.19049690
Sürdürülen Faaliyetler Dönem Karı/Zararı-13.240-10.79523.4948.608-66.733-54.28765.87836.64957.640176.552256.931300.893125.396314.677114.24081.69230.25228.08324.12113.2404.6572.7335.2413.3713.868-290-20.714-14.736-7.901-37.863-20.277-16.388-7.266-24.965-9.226-4.951-2.276-16.952-8.322-2.769-2.515
Dönem Karı (Zararı)-13.240-10.79523.4948.608-66.733-54.28765.87836.64957.640176.552256.931300.893125.396314.677114.24081.69230.25228.08324.12113.2404.6572.7335.2413.3713.868-290-20.714-14.736-7.901-37.863-20.277-16.388-7.266-24.965-9.226-4.951-2.276-16.952-8.322-2.769-2.515
Azınlık Payları0000000000000000000000000000000000000
Ana Ortaklık Payları-13.240-10.79523.4948.608-66.733-54.28765.87836.64957.640176.552256.931300.893125.396314.677114.24081.69230.25228.08324.12113.2404.6572.7335.2413.3713.868-290-20.714-14.736-7.901-37.863-20.277-16.388-7.266-24.965-9.226-4.951-2.276-16.952-8.322-2.769-2.515
Amortisman43.277143.138107.50975.36744.045193.547151.066107.72454.936188.707141.05589.53492.262133.81010.6508.7993.44517.24711.0327.9343.86620.34115.06710.1235.08022.49117.74511.9466.0309.3607.3114.5332.3086.8914.8443.0291.5466.4974.8683.2641.518

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.