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LUKSK Lüks Kadife Ticaret ve Sanayii 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 Benzerleri42.7504441.61832.18329.35358.21325.93625.42019.32870.52641.76148.07156.750147.75158.45962.70374.50783.12717.92022.49627.21429.40734.65225.78212.49616.08612.51012.8775.1299.37325.35522.2072.7963.5701.0706406441.5314.1203.321
Finansal Yatırımlar18925.4354.336021.80728.3291.79320.23548.15852.60726.73129.68828.177152.35704.606001511511511511511511511514545002121212121212121
Ticari Alacaklar120.862120.604119.114139.908132.249137.845165.371200.742236.685229.100131.357105.44193.991209.886051.27955.48438.97038.87231.00634.859031.04625.70826.464023.45026.46727.59719.14321.96916.67115.86113.88213.14012.35213.36511.01811.09311.099
Finans Sektörü Faaliyetlerinden Alacaklar000000
Diğer Alacaklar4.0662.5073.6514.7423.1781.5942.6863.9859203.8163.0152.4772.5206.10301.591425774736529690552444604976646287958096794626300349319194100198
Türev Araçlar11.78512.96816.75914.54815.42235.8120001.852000006254151151152580193
Stoklar151.453114.713130.010130.184138.186146.065147.337142.412136.057128.57466.12357.51052.012183.23156.26548.97845.87135.07828.63023.00522.15319.20118.16317.74116.80015.58715.03514.96415.19515.04222.10317.93715.24614.70213.96015.91414.80912.95712.90111.906
Peşin Ödenmiş Giderler9.35361838911.76814.5201.6721.23413.93915.9354.0644.5594.53699310467000023101.3234071.13517171.2401717333368978801.0121.018972483573
Cari Dönem Vergisiyle İlgili Varlıklar25720867589209139862252301382293421267001264151
Diğer Dönen Varlıklar29922602764543344933.8914.2005.7245.71321.1886.2336.6426.7294.5793.6043.4284.0704.6094.8134.7134.0634.1483.8433.8123.8433.7193.9003.7263.6713.3883.3313.8143.4673.2513.2483.263
Toplam Dönen Varlıklar344.280289.977322.796346.381352.520424.488353.322401.899455.646505.037277.460253.609243.784735.651207.749179.763185.317166.32293.26283.67489.55784.07990.05374.37561.40560.63356.44860.05354.99649.47476.34761.94838.72436.95933.09034.08333.62229.99632.20830.512
Müşteri Sözleşmelerinden Doğan Varlıklar000
Yatırım Amaçlı Gayrimenkuller904.547904.547840.923840.923840.923840.923779.845650.265779.847779.845189.770189.770189.770650.265100.000100.000100.000100.00070.00070.00070.00070.00070.00070.00070.00070.00067.35067.35067.35067.35071.21671.21671.21671.21671.21671.21671.21671.21664.64264.923
Proje Halindeki Yatırım Amaçlı Gayrimenkuller0
Maddi Duran Varlıklar955.016970.753978.5731.024.0881.038.9701.022.3361.037.8721.049.4721.064.8131.056.282216.745214.091208.4331.086.632120.212114.260114.971111.25659.59058.94456.78648.87938.69039.65040.17338.15640.94740.22934.61333.86229.91429.57929.77931.71530.44430.94431.45732.9999.3539.778
Kullanım Hakkı Varlıkları4.1615.9331044101.4382.2482.9873.1203.1203.11519.2523.1152.820176811716867117319369419470464511
Maddi Olmayan Duran Varlıklar329031391107.0292324801221611971.6152763172402393123382124222422913517761012212938463135
Ertelenmiş Vergi Varlığı00700
Diğer Duran Varlıklar00000
Toplam Duran Varlıklar1.863.7241.881.2951.819.5791.865.1321.880.9001.863.8081.819.4991.709.4381.847.1401.839.594409.757407.141401.5151.758.758223.612217.864215.227211.563130.169129.601127.255119.171109.181110.194110.764108.802108.958108.136101.979101.235101.170100.835101.026102.964101.702102.210102.731104.47574.04775.456
Toplam Varlıklar2.208.0042.171.2722.142.3752.211.5132.233.4202.288.2962.172.8212.111.3372.302.7872.344.631687.217660.750645.2992.494.408431.362397.627400.544377.885223.431213.275216.812203.250199.234184.569172.169169.435165.406168.188156.975150.709177.516162.783139.750139.923134.792136.293136.353134.471106.255105.968
Diğer Finansal Yükümlülükler13.5330000
Ticari Borçlar45.85642.99739.54745.47144.59033.32339.51847.52655.46935.299118.80130.62361.9900012.73915.3755.8107.8129.916011.6184.9667.12906.6517.41810.2835.2029.5766.7685.0314.2273.7754.6845.0523.3403.8333.542
Finans Sektörü Faaliyetlerinden Borçlar00000
Çalışanlara Sağlanan Faydalar Kapsamında Borçlar17.1379.11313.20610.0196.32610.46118.3319.56814.64510.9523.6974.1259.0948.3072.0282.6801.5301.1501.8081.7976098243.0312.867789818892919953745807598666492682416590378379307
Diğer Borçlar1.9942.7912.5071.9131.6905.1541329.1678910.5002.8878461.681003463183511.6961.06402031.237944034516275255347220229303246197241192153110
Müşteri Sözleşmelerinden Doğan Yükümlülükler0000
Devlet Teşvik ve Yardımları0
Ertelenmiş Gelirler11.44411.6819.3208339.85015.5467205812.3368.93607.9818.38916.355001.2061621.8947541.158013.08213.26733901801.4298457188341.5367472.0121.4005048551.146536435
Dönem Karı Vergi Yükümlülüğü2.9515.4792.5761.4049187262.2136164716101.707463592697396506688403360715436229369274287200239141247229448262
Kısa Vadeli Karşılıklar6.6029.2894.8423.5054.5744.8594.3588.1326.0278.0661.8711.8251.6016.3922.1712.2411.9321.637716651513967485423913972671620583482524619483438409309267283219232
Diğer Kısa Vadeli Yükümlülükler9621.9452.2221.0531.1481.0111.9401.5713.2755143852900260025420350
Satış Amaçlı Sınıflandırılan Varlık Gruplarına İlişkin Yükümlülükler0
Toplam Kısa Vadeli Yükümlülükler161.521132.133181.991200.540218.876308.839231.738210.284296.552376.332198.499198.309181.911477.424120.46594.71794.27985.73353.25651.13549.10039.92538.11738.37030.33325.37626.08328.18532.76230.29645.30836.98428.58128.71722.80422.45621.42418.64217.63015.629
Finansal Borçlar18.61322.37127.28241.48339.9391.29730.759101.377105.942113.44177.34273.05266.191259.70485.52791.38791.85991.14531.58833.06042.02642.78662.78344.91437.82539.22934.99939.79527.29224.94735.43428.03613.46412.53214.90415.36218.43418.75719.51519.670
Uzun vadeli Karşılıklar31.78530.02328.07625.41426.22827.78533.75051.65740.49728.3138.8878.28818.92876.8649.5739.9206.5455.4604.5934.3713.8473.5132.5102.3863.4373.0131.5531.4881.2521.2105.7351.1914.8464.1204.4211.0234.2564.295
Ertelenmiş Vergi Yükümlülüğü356.198342.948346.604346.011341.790334.534181.292152.140116.001153.39548.62147.44046.029271.59422.34021.22423.28623.23214.89515.06215.19015.19613.53413.72713.35613.42014.36414.23615.17914.88314.52515.25114.69514.86814.77415.2988.8309.566
Diğer Uzun Vadeli Yükümlülükler0000
Toplam Uzun Vadeli Yükümlülükler406.596395.341401.961412.907407.958363.617245.801305.173262.440295.150134.852128.780131.148608.163117.441122.530121.690119.83751.07652.49361.06361.49578.89761.04853.86955.34151.79256.22843.36040.82251.88044.15433.72429.05534.44534.34937.62935.07832.60033.531
Ana Ortaklığa Ait Özkaynaklar1.639.8871.643.7971.558.4231.598.0651.606.5861.615.8401.695.2821.595.8801.743.7941.673.150353.866333.661332.2401.408.821193.456180.379184.575172.314119.099109.648106.650101.82982.22185.15187.96788.71887.53183.77480.85379.59180.32981.64477.44582.15177.54379.48877.30080.75156.02556.809
Ödenmiş Sermaye28.00028.00028.00028.00028.00028.00028.00028.00028.00028.00028.00028.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.00010.000
Sermaye Düzeltme Farkları337.651337.651337.651337.651337.651337.651337.359337.428337.361337.3591.2371.2371.403302.1911.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.4031.403
Pay Sahiplerinin İlave Sermaye Katkıları0
Sermaye Avansı0
Geri Alınmış Paylar (-)0
Karşılıklı İştirak Sermaye Düzeltmesi (-)0
Paylara İlişkin Primler (İskontolar)0
Kar veya Zararda Yeniden Sınıflandırılmayacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)219.399226.465228.698241.781244.782240.723178.578190.609213.585201.628131.952131.819123.477219.99956.55356.16458.69159.27419.56719.59020.00420.07613.18213.17213.31513.26613.13813.18114.25814.36742.23042.23044.23216.10143.45943.11842.83616.20838.47638.269
Kar veya Zararda Yeniden Sınıflandırılacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)000-1.42600
Kardan Ayrılan Kısıtlanmış Yedekler59.27259.27259.27259.27259.27259.27258.35646.24458.35658.3567.2657.2657.01049.8035.8195.8195.2764.1954.1954.1953.7082.9572.8982.8982.8982.2732.2732.2731.8001.8001.8001.8001.3891.3891.3891.3891.3891.1021.1021.102
Diğer Yedekler0
Geçmiş Yıllar Kar/Zararları992.410950.139950.137950.132949.8781.047.7281.047.8061.034.0541.046.688768.466164.822164.822181.264729.46594.03193.91897.78763.49563.32763.32766.63761.09161.15161.15161.15151.54851.54851.54852.02153.05825.35925.35820.49951.75121.31421.31421.31438.2327.7947.794
Dönem Net Kar/Zararı3.15542.271-45.334-18.771-12.996-97.53445.183-40.45659.804279.34020.5915199.08597.36425.65013.07611.41735.37320.60711.1334.8986.302-6.413-3.473-79910.2279.1705.3691.371-1.037-463853-781.507-222.26435813.806-2.751-1.760
Azınlık Payları00000000
Toplam Özkaynaklar1.639.8871.643.7971.558.4231.598.0651.606.5861.615.8401.695.2821.595.8801.743.7941.673.150353.866333.661332.2401.408.821193.456180.379184.575172.314119.099109.648106.650101.82982.22185.15187.96788.71887.53183.77480.85379.59180.32981.64477.44582.15177.54379.48877.30080.75156.02556.809
Toplam Kaynaklar2.208.0042.171.2722.142.3752.211.5132.233.4202.288.2962.172.8212.111.3372.302.7872.344.631687.217660.750645.2992.494.408431.362397.627400.544377.885223.431213.275216.812203.250199.234184.569172.169169.435165.406168.188156.975150.709177.516162.783139.750139.923134.792136.293136.353134.471106.255105.968
Hedge Dahil Net Yabancı Para Pozisyonu47.19744.184-6.931107.629108.921-35.157138.035-14.092-26.857-73.384-64.190-84.796-70.044-376.731-82.570-58.445290.465331.299-45.327-41.707-46.980-49.439-41.625-38.658-44.038-54.421-32.893-32.211-23.841-21.132-20.806-22.701-23.241-19.481-27.569

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Lüks Kadife Ticaret ve Sanayii A.Ş. (LUKSK) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket İmalat sektöründe işlem gören.