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NUGYO Nurol Gayrimenkul Yatırım Ortaklığı A.Ş.

10,74+%0,75
Son güncelleme 12:19
Taban
9,60
Tavan
11,72
Yüksek
11,17
Düşük
10,57
Hacim
2,07 mn
Önc. Kapanış
10,66

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 Benzerleri14.28631.99525.89239.82042.19323.30757.449166.247131.177221.723147.62194.550141.023802.859149.234152.761277.462204.589107.93759.005149.447112.335109.53548.56395.472139.15689.71057.95396.74830.10050.43513.93921.19512.47023.81620.94620.16822.7324.909529
Finansal Yatırımlar358.989400.064220.216215.677283.069296.968499.772445.388315.998221.51635.86032.646055.58648.50147.49900
Ticari Alacaklar356.087378.76830.93120.85421.51116.94515.58516.50225.66220.18200049.4521132664396389381.0381.2581.5992.0771.9222.6723.7606.7685.9316.9977.50410.1505.6229.5468.38711.18813.96919.50619.85027.55428.819
Stoklar216.341216.341484.032533.004545.611636.205828.1741.027.810755.1341.128.46028.14228.14232.437485.05663.06670.402137.871158.966196.532211.797231.195269.033300.325323.168339.791360.814400.637420.767460.969485.371526.658549.341582.252770.889846.312768.8901.006.856989.32700
Ertelenmiş Sigortacılık Üretim Giderleri297272258
Cari Dönem Vergisiyle İlgili Varlıklar2221.5241.3068073237876936.6766.9987.5362.9772.7402.3895.9091.4191.2701.1161.0259909538908388007413242381291111051341321271271161029595
Nakit Dışı Serbest Kullanılabilir Teminatlar23.42923.29622.001
Diğer Dönen Varlıklar4.2593.58738.85740.34058.236105.57991.582108.305128.507105.64050.22348.39855.632178.33121.11027.66527.90321.47524.89626.26027.54226.90817.54329.79323.36123.91620.98814.98513.00212.75812.38735.38633.64538.97340.45061.80665.981
Toplam Dönen Varlıklar999.9361.088.393862.311933.7391.041.4781.132.7961.567.1721.842.8781.433.8281.782.265319.050275.826282.5831.679.337334.107373.189539.184432.580371.551344.010456.397473.922490.573452.655508.708581.571588.430592.985666.348649.507699.022645.498705.176895.7291.059.9561.039.4271.307.4961.294.2651.426.8721.461.230
Finans Sektörü Faaliyetlerinden Alacaklar00
Diğer Alacaklar212324262832384147705635365572.5217521.1821.2191.2721.2691.2691.2691.2691.2691.0789711.3952.1202.0622.0651.6971.5851.5931.2741.2651.105570597490115114
Müşteri Sözleşmelerinden Doğan Varlıklar00
Yatırım Amaçlı Gayrimenkuller5.227.6775.336.5925.967.3825.960.3805.960.3415.959.4465.848.9225.961.9485.961.8755.961.8751.288.2381.290.8831.303.3074.530.828977.375997.4051.040.9661.065.021995.666995.6661.036.4951.036.4951.021.0181.021.0181.028.3581.028.3581.003.6181.003.4781.003.3401.005.791961.877961.026958.284786.845731.459729.827461.155461.565318.710318.149
Maddi Duran Varlıklar130.808132.243121.355123.191125.159127.003127.158116.525118.074117.86336.61022.38422.45895.20414.67514.42314.06714.18513.45513.58813.54613.67312.94911.67011.60411.7473.1333.1963.2603.3763.6113.6093.6453.6493.4403.4593.3063.3633.3963.660
Maddi Olmayan Duran Varlıklar68119170221271322373424475526244000
Peşin Ödenmiş Giderler14.74314.5276.8016.0264.24814.3899.2546.9684.6406.7093.1193.6826202.23510.29110.0119.93213.3839.6597.1514.3896.87513.70313.96213.44312.00610.8858.70311.02711.52513.28413.54513.89515.36512.2397.3665.2405.206729
Ertelenmiş Vergi Varlığı662.288829.493888.596851.835683.971963.990
Diğer Duran Varlıklar000133.604119.893104.679117.462110.108106.885108.752106.239112.011107.086108.324105.11299.62794.250104.508101.831128.721133.292133.428129.77197.66293.64481.24476.19861.73265.901
Toplam Duran Varlıklar6.035.6056.312.9966.984.3276.941.6796.774.0187.065.1825.985.7456.085.9066.085.1116.087.0421.328.7741.317.4841.326.9424.630.7881.136.8101.143.1801.171.3031.211.9611.131.0951.125.5971.165.7081.166.1501.163.0271.156.7361.165.3721.162.3781.126.1521.117.6201.131.1971.131.7251.119.2281.118.6861.120.071945.282857.094848.834571.048566.672411.515416.672
Toplam Varlıklar7.035.5417.401.3897.846.6387.875.4187.815.4968.197.9797.552.9177.928.7857.518.9397.869.3071.647.8241.593.3091.609.5256.310.1241.470.9161.516.3691.710.4871.644.5411.502.6461.469.6061.622.1051.640.0721.653.6001.609.3901.674.0801.743.9491.714.5821.710.6051.797.5451.781.2321.818.2511.764.1851.825.2471.841.0111.917.0501.888.2611.878.5431.860.9371.838.3871.877.903
Finansal Borçlar109.047154.858156.644186.960278.900335.807339.152431.4060001.215.519268.716267.601349.065395.156420.627225.199156.237181.073296.206507.514654.076507.181458.539442.101556.393571.795657.213569.496476.674466.385542.283547.611442.485490.697390.297430.146
Ticari Borçlar41.22184.34790.046128.946222.644251.616514.801530.759329.197579.2754.5291.9034.64430.70918.60129.42115.453022.50519.69031.706033.12024.47720.84428.00945.39353.169374.403361.867646.421644.728647.483654.316631.542583.722575.303541.083472.102441.833
Çalışanlara Sağlanan Faydalar Kapsamında Borçlar5.0672.6512.2222.9612.4702.8002.2242.7751.9872.2107207827731.756321378207341201305191513515579147705158222145439156298532140107189141159138641
Diğer Borçlar93.283100.02799.950103.533104.530106.103109.468142.291152.096130.0563.7383.2872.8136.8446.06334.89930.338088.92576.21719.9750156.20646.46139.10257.051384.973338.335274.035209.78535.13162.503403418306274228157150134
Türev Araçlar00004699139230
Ertelenmiş Gelirler19.29660.143112.25956.08920.99418.97191.371348.325202.791380.835000216.5971132664396389381.0381.2581.6031754084086.7002.6321.9253001.23310.15098510.30311.50311.53414.27119.50619.85027.55429.203
Kısa Vadeli Karşılıklar32.54827.67728.91521.50631.02429.06030.76621.87630.28629.68112.45111.28016.66797.84911.42415.20210.92210.5929.0538.8469.3749.25310.12711.1129.35410.7338.64810.01211.50410.98412.87113.35114.21220.95634.76118.49519.48219.01141.45015.224
Diğer Kısa Vadeli Yükümlülükler12.64752.5334.9246.6806.3909.4756.8336.5438.9597.4922.8125.3941.7119.4693.53814.9611.5814.3276256056507695658652621.0842142852347041803151378911.2808441.7541.7051.9162.225
Toplam Kısa Vadeli Yükümlülükler204.063327.378447.363474.574544.696604.9841.034.3631.388.3771.064.4671.560.955347.506272.917327.8541.578.742538.255652.253946.870845.549835.222989.4151.160.6771.126.9401.217.976885.426745.057872.7411.212.2891.155.9831.354.9551.226.4451.220.1791.082.4851.136.0991.145.4111.149.1471.115.3111.229.3591.143.7591.275.4971.265.767
Diğer Finansal Yükümlülükler00
Finans Sektörü Faaliyetlerinden Borçlar00
Müşteri Sözleşmelerinden Doğan Yükümlülükler00
Uzun vadeli Karşılıklar6.0765.6625.2015.4414.7545.1734.4694.4973.7463.6031.4661.6001.2974.480682479469505569569740408667645645557460430383297273260251238198244225221247348
Diğer Uzun Vadeli Yükümlülükler00
Toplam Uzun Vadeli Yükümlülükler6.0765.6625.2015.4414.7545.1734.4694.4973.7463.6031.4661.6001.2974.480269.510268.346349.973396.298422.134226.806158.235183.084297.047508.567655.129514.437461.631444.456557.075573.326667.636570.741487.227478.126554.015562.126462.216510.767418.098459.697
Ana Ortaklığa Ait Özkaynaklar6.825.4017.068.3507.394.0747.395.4027.266.0467.587.8216.514.0856.535.9116.450.7256.304.7501.298.8531.318.7931.280.3744.726.903663.151595.770413.643402.693245.291253.386303.192330.048138.576215.398273.895356.77140.662110.166-114.485-18.539-69.564110.958201.921217.473213.888210.825186.969206.411144.792152.438
Ödenmiş Sermaye335.348335.348335.348335.348335.348335.348335.348335.348335.348335.348335.348335.348335.348335.348335.348335.348310.200310.200310.200310.200310.200295.000295.000295.000205.000205.000205.00080.00080.00080.00080.00080.00080.00080.00080.00080.00080.00080.00080.00080.000
Sermaye Düzeltme Farkları3.415.6333.415.6333.415.6333.415.6333.415.6333.415.6333.415.6333.415.6333.415.6333.415.6333.415.633
Sermaye Avansı000170.000170.000000190.00000360.000360.0000300.000000
Geri Alınmış Paylar (-)0000000-2.219-2.219-2.219-2.219-2.219-2.219-2.219-2.2190
Karşılıklı İştirak Sermaye Düzeltmesi (-)-2.219-2.219
Paylara İlişkin Primler (İskontolar)7.230.8567.230.8567.230.8557.230.8557.230.8557.230.8567.230.8567.230.8567.230.8557.230.855864.652864.652864.6527.230.856864.652864.652719.800719.800719.800719.800719.800545.000545.000545.000275.000275.000275.000100.000100.000100.000100.000100.000100.000100.000100.000100.000100.000100.000100.000100.000
Kar veya Zararda Yeniden Sınıflandırılmayacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)-1.645-3.051-2.761-2.417-1.967-3.619-3.180-2.943-2.300-4.49817.13416.93316.9162889.132-555-8518.697-157-386-296-4467.9727.9737.918-277-123-97-136-34-44-31-818-374162558-55
Kar veya Zararda Yeniden Sınıflandırılacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)5.0525.0521.2011.2011.2011.2011.28400
Kardan Ayrılan Kısıtlanmış Yedekler95.39195.39195.39195.39195.39195.39195.39195.39195.39195.3917.0227.0227.02295.3917.0227.0227.0227.0227.0227.0227.0227.0227.0227.0227.0227.0227.0227.0224.8034.8034.8034.8034.8034.8032.3992.3992.3992.3992.0462.046
Geçmiş Yıllar Kar/Zararları-4.010.879-3.486.989-3.486.989-3.486.989-3.486.989-3.737.379-4.769.264-4.769.264-4.769.264-6.350.61245.48845.48845.488-7.462.156-813.025-813.025-813.025-709.389-712.882-712.882-712.882-495.673-496.043-496.043-495.988-205.526-205.526-205.526-203.30732.65332.65332.65332.65321.58323.98723.98723.987-127.083-126.731-126.731
Dönem Net Kar/Zararı-244.354-523.890-194.605-193.620-323.426250.390209.302230.891145.0621.581.34829.20949.35010.9481.111.544260.022193.01511.184-103.636-85.047-76.722-27.006-217.208-218.155-141.335-82.838-290.516-238.492-169.014-95.845-235.960-286.975-106.466-15.52611.0707.5404.436-19.432151.07089.41997.178
Toplam Özkaynaklar6.825.4017.068.3507.394.0747.395.4027.266.0467.587.8216.514.0856.535.9116.450.7256.304.7501.298.8531.318.7931.280.3744.726.903663.151595.770413.643402.693245.291253.386303.192330.048138.576215.398273.895356.77140.662110.166-114.485-18.539-69.564110.958201.921217.473213.888210.825186.969206.411144.792152.438
Toplam Kaynaklar7.035.5417.401.3897.846.6387.875.4187.815.4968.197.9797.552.9177.928.7857.518.9397.869.3071.647.8241.593.3091.609.5256.310.1241.470.9161.516.3691.710.4871.644.5411.502.6461.469.6061.622.1051.640.0721.653.6001.609.3901.674.0801.743.9491.714.5821.710.6051.797.5451.781.2321.818.2511.764.1851.825.2471.841.0111.917.0501.888.2611.878.5431.860.9371.838.3871.877.903
Hedge Dahil Net Yabancı Para Pozisyonu254.872108.749119.34788.958142.60183.36744.692-74.500-7.48843.70232.368144.035-41.512-33.682-274.278-259.063-357.450-361.370-425.599-328.552-330.278-420.279-480.694-501.437-634.590-470.376-449.862-550.491-545.079-602.300-529.400-529.931

Bu Sayfa Hakkında

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