İçeriğe geç
Borsa Hisse Fon
KONTR logo

KONTR Kontrolmatik Teknoloji Enerji ve Mühendislik A.Ş.

6,83+%9,98
Son güncelleme 12:18
Taban
5,59
Tavan
6,83
Yüksek
6,83
Düşük
6,22
Hacim
131,21 mn
Önc. Kapanış
6,21

Finansal Tablolar

Enflasyon MuhasebeliKonsolide
Bin TRYEn yeni dönem solda
Kalem2026/32025/122025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62019/122018/122017/12
Nakit ve Nakit Benzerleri579.070522.490527.945262.612490.6323.295.463880.4612.124.9421.528.0431.433.592351.239346.537700.9144.050.567129.866124.011192.47177.14948.79884.17939.43152.08717.99920.17121.25120.6771.723
Finansal Yatırımlar1.440.6271.135.226000494001.1971.197130.71730287.64508.3567.6864.4392.1095265203.9214.8820
Ticari Alacaklar4.593.5525.647.2645.030.1524.884.6372.200.3433.835.5012.451.12502.185.3302.743.6561.188.222953.707730.8812.862.438530.939534.060524.820393.794216.265140.009160.564113.25176.06260.64756.35217.97414.618
Diğer Alacaklar29.87713.72512.63868.79411.52070.13012.19913.58916.77315.88370.24337.31139.609096.22075.14367.48836.30835.14128.34631.06025.39934.88136.54128.5913.4141.815
Müşteri Sözleşmelerinden Doğan Varlıklar4.982.4084.775.6334.706.4435.402.6184.025.7623.364.3692.601.50301.899.8921.572.795197.345133.25474.860113.8606.4434.6115.6914.0976.9392.9343.7326437.1079.266
Türev Araçlar003.4993.8514.09304.8325.56021414.6620
Stoklar3.855.6703.692.1424.400.5073.706.0543.921.6423.934.8373.197.5912.363.1052.162.1391.956.108771.685522.575469.7101.568.186366.180193.559162.406133.99192.25755.36654.47459.84150.4042.4978.94116.0601.963
Cari Dönem Vergisiyle İlgili Varlıklar4.25641.4906.1904.64517.2241.52415.2308.4341.40862228716.2608.902254.6101.8491.1796733.0053.0052.8092.7092.3281.325
Diğer Dönen Varlıklar904.573875.354803.194797.692755.471630.907692.004448.275477.762473.657158.35463.39739.45572.44023.64912.25221.86319.92215.6906.0202.7871.6323.1205.7731.2011.712482
Toplam Dönen Varlıklar20.188.77819.615.51120.133.72919.424.73416.452.04519.036.32813.372.63613.370.05711.847.36211.094.5333.584.4462.944.9282.797.94410.794.5131.608.5181.273.0461.176.750778.898522.364377.875338.314281.013221.764158.136141.24366.67322.474
Finans Sektörü Faaliyetlerinden Alacaklar0
Özkaynak Yöntemiyle Değerlenen Yatırımlar83.712443.628406.311379.296435.113395.141338.106212.182246.088285.44799.90578.36740.458162.50328.47528.4324.6824.7891.141-50-56-54-37-27-145
Yatırım Amaçlı Gayrimenkuller289.916289.916302.911302.911302.911302.911295.031295.031295.031295.03175.39775.39789.123305.38852.40852.40845.43846.37423.18223.18223.18223.18220.16120.16220.1641.5501.554
Maddi Duran Varlıklar15.239.88515.405.67014.316.34213.858.55712.615.78311.070.07510.586.52010.288.8709.458.9609.158.9732.611.0341.556.2031.022.5862.203.509280.988158.90470.87765.82934.80914.59214.08012.76612.79113.00512.75113.78310.686
Kullanım Hakkı Varlıkları121.160127.486183.365142.258166.332203.035189.079202.468216.562230.01675.95967.4381.1897.5051.2781.570758788
Maddi Olmayan Duran Varlıklar2.414.1152.415.2892.394.0982.211.3242.175.1222.091.7511.815.2001.666.5221.588.7461.681.461665.05270.29858.953173.00034.10224.24123.81122.60719.61312.4889.826213228142175197188
Peşin Ödenmiş Giderler146.439400.705613.2751.000.8681.101.9411.385.5981.613.8071.485.643236.432282.74432.455520.882248.3761.001.677167.78998.98062.19111.5761.3453212963392492893605621.715
Ertelenmiş Vergi Varlığı674.4031.045.9931.749.4892.010.9692.714.4412.000.8391.291.2421.977.3231.678.4951.072.076499.966349.141221.550584.85912.91410.1596.0197.4564.7333.7412.9922.6141.2751.2531.319832528
Cari Dönem Vergisiyle İlgili Duran Varlıklar131.381117.51786.39767.17624.473
Diğer Duran Varlıklar175.564180.685174.341156.569178.343051.925557.80541.028
Toplam Duran Varlıklar20.615.69721.458.32020.152.77120.131.54519.701.50717.651.35516.258.70016.228.02513.805.46013.074.7534.818.5342.755.3391.850.5164.462.915586.309382.379218.214161.52885.35054.79350.32039.06034.66734.82434.75516.93614.670
Toplam Varlıklar40.804.47541.073.83140.286.50039.556.28036.153.55236.687.68329.631.33629.598.08125.652.82324.169.2878.402.9795.700.2684.648.46115.257.4282.194.8271.655.4241.394.964940.426607.714432.669388.633320.073256.431192.960175.99783.60937.145
Ticari Borçlar7.583.7656.886.8805.952.6464.590.1135.113.5866.529.9693.669.05002.267.9452.680.6841.416.190711.6381.4751.622.456494.633160.600175.278157.81986.35246.886115.71181.33089.26346.42950.05615.7178.346
Çalışanlara Sağlanan Faydalar Kapsamında Borçlar441.425285.159257.183197.821270.618234.723187.827191.994200.517195.36261.39628.65819.25547.2787.2564.3114.1292.9292.1871.7231.8351.3211.0881.2091.495890623
Diğer Borçlar5.131.9225.318.8116.396.4845.750.2783.279.9754.092.5483.917.3774.471.8123.055.8794.260.1851.472.7981.120.1391.153.0194.118.268160.492243.29731.57002.2012.005142698381.6483.874366690
Müşteri Sözleşmelerinden Doğan Yükümlülükler145.57718.255143.491137.80355.1887.79148.991026.67344.1369.2662.38528.534132.56441.8263.2046.9132.0472.0843.2851.6922.2621.9462.4991.09235
Ertelenmiş Gelirler4.107.7842.156.2123.013.1533.370.9641.874.0521.855.0981.276.60101.070.8641.120.679438.476484.616130.938282.13539.931128.812206.716175.211147.13477.54742.57737.56331.08224.85842.61638.0952.167
Dönem Karı Vergi Yükümlülüğü08104.76895.7921.46160.20863.71447.40627.00913.248124.59724.91015.4697.93710.2643.2175.0703.9301.3601.658990062284
Kısa Vadeli Karşılıklar54.79073.29589.950106.12374.40159.27451.59038.16534.32331.32212.7525.7114.8889.2712.1991.7901.8341.224987884804649650725513290158
Diğer Kısa Vadeli Yükümlülükler12.692430.2621.2714.58240.5251.26876633.0481.0819122230.71942.09605.3055.2315.7504.3703.6561.0222.6701.1001.848966438463237
Toplam Kısa Vadeli Yükümlülükler21.311.65420.330.85718.732.92417.754.41815.947.09014.190.86610.599.2299.713.61110.009.3718.529.5013.943.9942.182.3951.432.5073.951.4081.233.1481.024.763891.324579.886370.836242.084225.502174.829188.227129.998124.53264.94120.056
Finansal Borçlar5.329.3946.392.1245.939.2036.586.5495.860.8938.049.1365.655.4305.724.5573.575.9343.223.921885.889910.751684.0232.360.519470.102225.890167.16867.94234.0499.5316.8776.8868.0898.0365.4125.1905.932
Diğer Finansal Yükümlülükler0
Finans Sektörü Faaliyetlerinden Borçlar0
Uzun vadeli Karşılıklar21.40238.92954.44656.14186.13184.06084.95264.71255.56960.6196.8742.0731.9529.1592.7551.1589931.2946545427349037549031.044387242
Ertelenmiş Vergi Yükümlülüğü911.383949.4031.269.454797.7042.070.7631.743.256262.253867.333704.189424.59437.61005.743136.96814.4228.0845.4034.9054.8144.4764.0823.7273.6613.0682.600637327
Diğer Uzun Vadeli Yükümlülükler1.0172.67917.20012.86855.28366.30630.72536.400
Toplam Uzun Vadeli Yükümlülükler11.395.11812.701.94513.676.78713.203.54111.353.04614.035.3079.920.01211.159.1397.427.9717.969.3192.403.1712.032.9631.846.2126.624.913487.279235.133173.56474.14139.51714.54911.69211.51712.50412.0079.0566.2146.596
Ana Ortaklığa Ait Özkaynaklar6.516.9736.428.0405.868.3086.615.1546.831.8566.398.4517.307.1606.929.3366.341.0405.630.0001.934.4911.448.1131.344.3064.441.719471.584395.289330.006286.578197.537176.211151.512133.79155.79751.04542.48312.44910.493
Ödenmiş Sermaye1.300.000650.000650.000650.000650.000650.000650.000200.000200.000200.000200.000200.000200.000200.000200.00038.06338.06338.06338.06338.06338.06338.06330.00030.00010.0007.5707.000
Sermaye Düzeltme Farkları1.049.5271.049.527984.257984.257984.257984.2571.003.539764.733764.733764.733-95.958764.733
Geri Alınmış Paylar (-)00-83.566-48.4860
Paylara İlişkin Primler (İskontolar)1.936.5401.936.5401.936.5441.936.5441.936.5441.936.5441.937.1831.914.3491.914.3491.914.349400.502400.502438.5881.590.77110.66159.33259.33259.33259.33259.33259.33259.3320
Kar veya Zararda Yeniden Sınıflandırılmayacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)568.124574.474514.912511.321507.447490.712473.291475.526469.462470.748150.441152.533151.458283.78430.80032.81733.15832.8554.1944.2504.2374.2994.2624.364
Kar veya Zararda Yeniden Sınıflandırılacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)163.36792.08224.280113.96453.10432.9654.2771.655-4.805-49.67740.91925.9354.72302.9562.285612469126
Kardan Ayrılan Kısıtlanmış Yedekler95.29495.294102.57495.29495.29495.29485.59385.59383.05283.0529.3219.32111.33342.43811.1299.3201.7711.6171.6171010101010101010
Diğer Özkaynak Payları0650.0000
Diğer Yedekler164.267
Geçmiş Yıllar Kar/Zararları1.380.1222.183.6452.175.2252.208.6782.208.6781.814.1411.813.1312.244.2542.246.7951.350.493415.348453.830487.774244.33021.010133.935153.84123.57423.57432.08832.0888.1098.1098.109454-959-1.505
Dönem Net Kar/Zararı23.998-803.523-519.484115.095396.532394.5371.340.1471.243.225667.454896.302553.692301.949133.9971.364.149195.028119.53843.231130.66870.74542.46217.78323.97913.4158.61127.6541.413546
Azınlık Payları1.580.7301.612.9902.008.4821.983.1672.021.5602.063.0591.804.9341.795.9951.874.4402.040.466121.32336.79625.435239.3882.81723970-178-176-175-73-64-97-89-735
Toplam Özkaynaklar8.097.7038.041.0297.876.7898.598.3208.853.4178.461.5109.112.0948.725.3318.215.4807.670.4662.055.8141.484.9101.369.7414.681.107474.401395.528330.076286.400197.361176.035151.439133.72755.69950.95642.41012.45310.493
Toplam Kaynaklar40.804.47541.073.83140.286.50039.556.28036.153.55236.687.68329.631.33629.598.08125.652.82324.169.2878.402.9795.700.2684.648.46115.257.4282.194.8271.655.4241.394.964940.426607.714432.669388.633320.073256.431192.960175.99783.60937.145
Hedge Dahil Net Yabancı Para Pozisyonu-4.780.911-4.611.849-6.033.851-4.949.179-7.356.859-3.500.877-4.036.304-211.355183.294258.020929.2443.590.354163.598285.475140.20646.18356.17056.83923.0488.0687.856-8.460516

Bu Sayfa Hakkında

Kontrolmatik Teknoloji Enerji ve Mühendislik A.Ş. (KONTR) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket Mesleki, Bilimsel ve Teknik Faaliyetler sektöründe işlem gören.