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KNFRT Konfrut Tarım A.Ş.

15,21−%2,81
Son güncelleme 11:18
Taban
14,09
Tavan
17,21
Yüksek
16,20
Düşük
15,00
Hacim
2,40 mn
Önc. Kapanış
15,65

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 Benzerleri49.38231.19313.59012.0966.47126.25760.25989.22758.02368.69732.5364.0426.81211.95521.3307.92113.5913.5413663.8902.1982.4542.1731.8031.0851.5711.3922.3269344161.5564192536437726072351.1293.336
Finansal Yatırımlar8170000
Ticari Alacaklar2.060.5842.076.5212.038.692503.106352.5871.042.771573.3071.764.658846.506897.011278.205202.547124.5481.119.363408.56900167.016150.065139.162110.98081.82400046.93000003942473944571875075075010.55813.279
Diğer Alacaklar33.00832.098727.529843.1471.230.8021.185.5561.584.39555.04835.54549.01329.49335.61623.75386.18910.772009.6864.66030.48233.12652.0700008.49700000000000000
Stoklar297.715387.875183.256145.058237.307285.805230.6211.705.5531.669.9512.092.830639.476472.164518.4292.400.251448.592275.469278.796276.721156.038134.889148.445162.928107.50879.359111.159143.23582.83374.62098.664105.95558.09940.87955.18648.91723.15730.21544.64555.29437.72032.473
Peşin Ödenmiş Giderler544031.964254.560167.902196.450276.276754.417518.958622.627289.876254.763201.059527.162182.0880077.29212.3835.2555.2555.2555.2555.2555.2555.2552.7302.7303.0602.10063542309413.3622.4032781673.8703.170
Diğer Dönen Varlıklar186.054159.279131.11946.59894.327122.605473.869290.576330.497415.008159.315173.231156.247546.074139.34969.12162.70255.26745.12840.37341.51039.27637.36732.07526.76925.49117.82014.36215.43412.3958.2405.2525.8727.4203.9743.5584.4134.8653.9552.683
Satış Amacıyla Elde Tutulan Duran Varlıklar783.805000000
Ortaklara Dağıtılmak Üzere Elde Tutulan Duran Varlıklar000000
Toplam Dönen Varlıklar2.627.2882.686.9663.126.1511.804.5652.089.3972.859.4433.198.7284.659.4784.243.2874.145.1861.428.9001.142.3631.030.8484.690.9941.210.700879.720729.262589.524368.640357.283341.174349.220288.794245.043256.486231.354150.322150.433163.848144.303105.69985.23284.28664.04751.88856.51070.06667.29856.38555.236
Finans Sektörü Faaliyetlerinden Alacaklar000
Müşteri Sözleşmelerinden Doğan Varlıklar00
Özkaynak Yöntemiyle Değerlenen Yatırımlar1.6671.5651.1011.250
Maddi Duran Varlıklar1.243.8981.293.4021.233.601908.875926.802888.326898.250342.350427.9491.250.591197.532195.287188.0221.258.839161.747111.97693.91793.32677.06670.66072.17575.02670.99569.69967.88767.66661.85761.05358.56260.80955.03742.69941.74140.91830.21122.24718.69717.41512.51411.519
Kullanım Hakkı Varlıkları42.04537.19038.21439.23740.26155.92845.02748.27651.52454.77318.81419.6412.68015.8182.9183.0593.2003.341222267311355400444489
Maddi Olmayan Duran Varlıklar159.995160.796161.92110.60811.92313.33411.76812.89613.70114.9264.1324.2624.17417.7108.1913.40558062234567891010121411131011131416131486
Ertelenmiş Vergi Varlığı002.72625.41701370002730298633008911.6553.0822.9973.5554.2824.6302.1856.6435.7921.2297649061.0653391.026
Diğer Duran Varlıklar000
Toplam Duran Varlıklar1.445.9381.491.3891.433.736958.720978.986957.588955.862403.522495.9001.345.708220.478219.327194.8761.292.367172.856118.71297.69797.28979.25778.38478.84780.64277.90775.40674.53174.58667.67966.79365.19167.20360.70845.56548.78947.71035.53526.18020.64419.41116.73215.721
Toplam Varlıklar4.073.2264.178.3564.559.8872.763.2853.068.3833.817.0314.154.5905.063.0004.739.1875.490.8941.649.3781.361.6901.225.7245.983.3611.383.556998.432826.959686.813447.896435.667420.021429.861366.701320.449331.017305.940218.001217.226229.040211.506166.407130.797133.076111.75787.42382.69090.70986.71073.11870.956
Finansal Borçlar212.593184.756182.047186.054176.118175.778186.277184.758199.312216.37697.32499.88670.411233.5056.5772.8142.8682.935521031532002472913358.8453.7218.71210.93210.4287.6469.7168.90702.5162.4027.8194.45200
Ticari Borçlar1.591.6411.594.9172.008.731276.039484.1251.037.758950.315851.890731.0801.518.758569.875188.835248.2151.458.670458.47500304.095128.42589.43358.84079.33742.34855.32160.05167.47451.03156.99974.23375.65436.35719.47723.49004.2132.1084.9809.3293.4482.144
Çalışanlara Sağlanan Faydalar Kapsamında Borçlar31.44033.82624.44516.87911.93524.71022.668100.41728.81829.6298.3936.61216.63221.6886.5314.3093.1562.6101.2361.5771.2877371.0408331.2356481.3386712.0561.3161.4555165476564192721.422529150591
Diğer Borçlar34.76442.65744.51420.94222.20024.43425.9661.053.964828.327010.0101521.810442.070261.8950026.59771.121106.498126.369107.73390.40849.69190.69583.99111141411111.12100000161.084
Müşteri Sözleşmelerinden Doğan Yükümlülükler000
Ertelenmiş Gelirler44.93549.117128.046159.76158.44343.42345.809427.811421.728422.386120.368238.46843.44595.62093.5080058.8322.4532.1662.2182.3072762.3471.7936.2154.5855.4921.4612.2681.8492.130078506906965
Dönem Karı Vergi Yükümlülüğü041.6900519027.79425.3997.5829.2486.40646.2081.37511.2809.2937.0322627701.3946027055907142.37735446347206002130000
Kısa Vadeli Karşılıklar27.52838.16970.17882.50055.42770.22166.22069.11546.44643.40318.46110.59210.15552.46016.2478.9469.6495.7334.9684.3535.8179.2597.3235.7524.2792.2241.0911.8996372.2101.556692735715843667429423494384
Diğer Kısa Vadeli Yükümlülükler3.4642.45943425225617318400765.0315.01102.1351.281777.4849.7744.6814.0209.6819.4799.4798.7071.5086588791.8700598232161182139133130431106
Toplam Kısa Vadeli Yükümlülükler1.710.2551.771.8212.243.730566.700727.9581.316.9641.358.0382.659.6062.270.6812.924.2671.078.917839.546766.2113.447.1291.056.289690.211569.652467.496264.251256.825248.828262.800205.114160.630184.631166.48369.28273.76097.61191.10550.33732.82937.29825.3108.1375.80215.28616.0704.2054.314
Diğer Finansal Yükümlülükler000
Finans Sektörü Faaliyetlerinden Borçlar000
Türev Araçlar000
Uzun vadeli Karşılıklar16.28621.46620.18617.09518.87621.17721.57719.93740.45437.95413.92510.5408.46239.4219.9527.8537.2136.0473.9973.7133.6103.2632.8322.7512.7622.7492.7122.5952.4542.3032.2781.9891.9541.7601.5401.5491.4361.3441.2601.238
Ertelenmiş Vergi Yükümlülüğü151.684142.318127.353112.635117.98370.445117.38855.0836.536852256.815241031066201.0611.2431.116696
Diğer Uzun Vadeli Yükümlülükler000
Toplam Uzun Vadeli Yükümlülükler415.326391.197374.101336.726335.177291.834351.208259.778239.766254.330117.786110.42679.726529.74116.77010.66710.3909.6444.0493.8164.8244.7064.1953.7393.0972.7496.4332.5952.4542.3032.2781.9891.9541.7601.5401.5491.4361.3441.2601.238
Ana Ortaklığa Ait Özkaynaklar1.535.1191.607.4471.582.1341.628.4061.761.1131.929.6572.185.7582.143.6162.228.7402.312.297452.675411.718379.7872.006.491310.498297.554246.916209.673179.596175.025166.369162.354157.392156.079143.289136.708142.286140.871128.974118.098113.79295.97993.82384.68877.74675.33973.98769.29667.65365.404
Ödenmiş Sermaye264.000264.000264.000264.000264.000264.000264.000264.000264.000264.000132.000132.000132.000132.000132.000132.000132.000132.000132.00033.00033.00033.00033.00033.00033.00033.00033.0006.6006.6006.6006.6006.6006.6006.6006.6006.6006.6006.6006.6006.600
Sermaye Düzeltme Farkları1.399.3981.399.3981.399.3981.399.3981.399.3981.399.3981.399.3981.399.3981.399.3981.399.3986.2316.2316.2311.239.5876.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.2316.231
Geri Alınmış Paylar (-)-995
Paylara İlişkin Primler (İskontolar)102.041102.041102.041102.041102.041102.041102.041102.041102.041102.041142142142102.041142142142142142142142142142142142142142142142142142142142142142142142142142142
Kar veya Zararda Yeniden Sınıflandırılmayacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)11.4396.36613.53711.71212.4119.970-18.405-15.917-8.423-8.0173692.2513.4888.862-3.514-2.159-1.968-1.424-616-545-559-429-190-250-374-419-328-189-118-345-280-366-1723111104-292257
Kar veya Zararda Yeniden Sınıflandırılacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)000
Kardan Ayrılan Kısıtlanmış Yedekler126.615126.615126.615126.615126.615126.615126.615126.615126.615126.61512.22611.7505.738107.3225.7385.7383.4983.4983.4983.4982.1352.1352.1352.1352.1352.1352.1352.1352.1352.1352.1352.1352.1352.1352.1352.1352.1352.1352.1352.135
Geçmiş Yıllar Kar/Zararları-290.97436.52542.98834.09434.094415.137434.722434.722434.722112.037190.146190.623196.635306.69168.13468.13470.37419.66219.775118.775120.13895.61895.61895.61895.61876.93476.934103.334103.33469.73369.75169.75169.75154.21654.21654.21654.21644.32844.32844.328
Dönem Net Kar/Zararı-77.401-327.499-359.982-302.992-170.984-381.043-116.152-160.781-83.151322.685112.70970.86436.701116.450102.91488.61637.78750.71218.56613.9245.28124.40720.45619.2036.53718.68424.17122.61810.65033.60129.21211.1568.95715.5358.3916.0044.5589.8888.1945.910
Azınlık Payları412.526407.890359.922231.453244.136278.575259.5860
Toplam Özkaynaklar1.947.6452.015.3371.942.0561.859.8592.005.2492.208.2322.445.3442.143.6162.228.7402.312.297452.675411.718379.7872.006.491310.498297.554246.916209.673179.596175.025166.369162.354157.392156.079143.289136.708142.286140.871128.974118.098113.79295.97993.82384.68877.74675.33973.98769.29667.65365.404
Toplam Kaynaklar4.073.2264.178.3564.559.8872.763.2853.068.3833.817.0314.154.5905.063.0004.739.1875.490.8941.649.3781.361.6901.225.7245.983.3611.383.556998.432826.959686.813447.896435.667420.021429.861366.701320.449331.017305.940218.001217.226229.040211.506166.407130.797133.076111.75787.42382.69090.70986.71073.11870.956
Hedge Dahil Net Yabancı Para Pozisyonu-132.922-679.018-148.642-15.163-150.615-51.3757.60488.386-51.348-76.436-79.214-94.781-261.34229.527122.95374.63055.71765.02433.77630.2454.16222.330-5.15373.01026.11515.32311.00227.3277306653.68616.6087.82411.763

Bu Sayfa Hakkında

Konfrut Tarım A.Ş. (KNFRT) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket Tarım, Ormancılık ve Balıkçılık sektöründe işlem gören.

KNFRT — Konfrut Tarım A.Ş. Bilanço, Gelir Tablosu ve Nakit Akım | Borsa Hisse Fon