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MTRYO Metro Yatırım Ortaklığı A.Ş.

10,16−%1,36
Son güncelleme 12:48
Taban
9,27
Tavan
11,33
Yüksek
10,42
Düşük
10,12
Hacim
82.151
Önc. Kapanış
10,30

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 Benzerleri84.80520.974171.310244.605206.195184.81788.67075.64262.33057.05925.95322.33124.930201.04858.21734.41029.26641.75343.69438.58634.45545.98252.12252.97045.06741.36232.42421.39511.79818.57315.41115.6336.22015.66112.74813.0598.67723.51914.44613.777
Finansal Yatırımlar499.973480.212382.808291.554288.498339.625447.309461.834471.069453.383239.441178.781148.689627.93077.66070.837052.8720046.15738.16632.31828.4105.83113.60719.94023.82433.03024.57951730.38341.09031.37233.02230.64936.99820.29128.83630.261
Ticari Alacaklar145030.5044.81640.58733.9602.50434.6513.35205.2583128.731021.22526.2881.7092.71002.06254103362548.6742869983855368071.6683.9951.301348
Diğer Alacaklar9968247764167410561200121133330000000101100013037
Peşin Ödenmiş Giderler41053261471372853958731.0851.06200072000004134015282741424248101227239922311
Cari Dönem Vergisiyle İlgili Varlıklar000000000000
Diğer Dönen Varlıklar24421330101103710024
Toplam Dönen Varlıklar585.287501.307554.403536.781495.141524.531536.390568.927539.311511.510306.160235.168176.244863.702139.278105.305103.27094.93994.04982.316101.875110.43986.16984.12150.92757.03652.92245.24545.18843.41456.32946.31548.34747.44246.38944.62047.48647.82844.65744.523
Maddi Duran Varlıklar2622935084118154195236437319738189484106119132182329344049495460667277831614456670
Maddi Olmayan Duran Varlıklar0002727212727272830333335373941434527412533364453617078
Toplam Duran Varlıklar2622935084118154195236437319738189484134147153455156637082829097105113120128560552938516061617179
Toplam Varlıklar585.549501.600554.453536.865495.259524.685536.585569.163539.747511.829306.233235.248176.333864.186139.412105.451103.42294.98594.10082.372101.938110.50986.25184.20351.01757.13353.02745.35845.30843.54256.88946.37048.37647.48046.44044.68047.54847.89044.72844.603
Finansal Borçlar0
Ticari Borçlar4724787.3166283964756434.18823.2072.24422.35834.5987.713175.1051591284.1171.35011.3429119.83226.4012.7174.174502876722012.5252959.983589091721142.0122.831105130
Çalışanlara Sağlanan Faydalar Kapsamında Borçlar2713333248307412417027221901737959421100115181413201812121210151110111412108828261968242234
Diğer Borçlar033516330333642311720.79996272.1582.127331.65422102.6829612811184184362010222
Kısa Vadeli Karşılıklar335449293253346280230165237306564436181213334211121201312568030001159109928881766065
Diğer Kısa Vadeli Yükümlülükler95
Toplam Kısa Vadeli Yükümlülükler1.0781.2937.9851.1381.0251.1241.0814.61223.6652.74043.29234.7097.798175.4232.3392.3104.1711.38813.02113419.87226.4375.4224.201723226912152.53631110.8369133432311912222.1612.933188230
Uzun vadeli Karşılıklar9649418227101.0461.0674213241896111351414970695146363736192118201610902919161412108
Toplam Uzun Vadeli Yükümlülükler9649418228307417107027221.0461.0674213241896111351151414970695146363736192118201610902919161412108
Ana Ortaklığa Ait Özkaynaklar583.507499.366545.646534.897493.492522.851534.802563.830515.036508.022262.521200.215168.346688.152136.939103.02699.11093.54781.00982.16982.01584.02680.79479.96550.90956.79252.31545.12542.75243.21546.04245.44748.03447.22046.23044.44245.37344.94544.53044.365
Ödenmiş Sermaye42.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00042.00021.00021.00021.00021.00021.00021.00021.00021.00021.00021.00021.00021.00021.00021.00021.00021.000
Sermaye Düzeltme Farkları278.404278.404278.406278.405278.405278.404798.299798.301798.301798.2981.3731.3731.373798.2981.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.3731.373
Pay Sahiplerinin İlave Sermaye Katkıları4.4744.474
Paylara İlişkin Primler (İskontolar)4.4744.4744.4744.4744.4744.4744.4744.4743403403404.474340340340340340340340340340340134134134134134134134134134134134134134134134134
Kar veya Zararda Yeniden Sınıflandırılmayacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)-1.553-1.851-1.708-1.790-1.729-1.695-1.123-1.458-942-871-259-178-15-281-41-31-6519-6-11-1-3-1-6-9400-5-4-33-111111111
Kardan Ayrılan Kısıtlanmış Yedekler53.41553.41553.41553.41553.41553.41553.41553.41553.41553.4159.6554.1724.17239.0884.1724.1723.6233.6233.6233.1813.1813.1813.1812.5092.5092.5092.5092.5092.5092.5092.5092.5092.2832.2832.2832.2832.1782.1782.1782.178
Geçmiş Yıllar Kar/Zararları122.925143.862146.254146.254146.254130.599-389.295-389.296-389.296-264.080126.687152.961152.961-366.17743.52243.52246.19235.04035.04037.13537.13528.42828.42831.77231.77218.20418.20418.20418.20421.36321.36321.36322.42818.52318.52318.05420.25917.54617.54617.546
Dönem Net Kar/Zararı83.843-20.93722.80612.140-29.32715.65427.03356.3937.083-125.21582.725-453-32.485170.75045.57211.6505.64611.152-1.361-1.849-2.0138.7075.4731.976-5.87013.5689.0951.905-463-3.159-303-9308143.9052.9161.5974282.7142.2982.133
Toplam Özkaynaklar583.507499.366545.646534.897493.492522.851534.802563.830515.036508.022262.521200.215168.346688.152136.939103.02699.11093.54781.00982.16982.01584.02680.79479.96550.90956.79252.31545.12542.75243.21546.04245.44748.03447.22046.23044.44245.37344.94544.53044.365
Toplam Kaynaklar585.549501.600554.453536.865495.259524.685536.585569.163539.747511.829306.233235.248176.333864.186139.412105.451103.42294.98594.10082.372101.938110.50986.25184.20351.01757.13353.02745.35845.30843.54256.88946.37048.37647.48046.44044.68047.54847.89044.72844.603
Hedge Dahil Net Yabancı Para Pozisyonu0000019.47811.05614.43013.084

Bu Sayfa Hakkında

Metro Yatırım Ortaklığı A.Ş. (MTRYO) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket Mali Kuruluşlar sektöründe işlem gören.