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PRZMA Prizma Pres Matbaacılık Yayıncılık Sanayi ve Ticaret A.Ş.

50,00+%1,71
Son güncelleme 12:49
Taban
44,26
Tavan
54,05
Yüksek
52,50
Düşük
48,12
Hacim
5,98 mn
Önc. Kapanış
49,16

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 Benzerleri2.60810.6521.9041.6053.4585.5322.7043.9782.0915.0553.9759121.2821.75953446616513145839040710295739532016021713291162311102893135644627780620
Finansal Yatırımlar8353336272214161719999320
Ticari Alacaklar33.52558.623444725.07726.40400010621.58923.35017.891014.58214.85711.73012.05321.5810857024.39911.571117014.54813.73412.44210.88227014.06612.23616.69861911.465571140710.333
Diğer Alacaklar2502754.22144650282932352741919192741919191919383835343434333131313131313131313127252525
Stoklar272.382227.768217.034227.967206.282193.935157.108172.536195.092205.41459.06744.40142.356199.09132.10730.49521.14020.43116.46619.59717.53215.86816.51512.03610.3708.7748.8487.6978.1028.5539.2305.6914.6444.4688.2786.5846.9066.6106.6666.889
Peşin Ödenmiş Giderler9.2609.07100088910104422061181.0321.369001108222011861731591631334894476605165326234582471821.0301.0304678791.274
Cari Dönem Vergisiyle İlgili Varlıklar07700028900000670181816440
Diğer Dönen Varlıklar4557983.2183.0342.7952.2492184492.1211.6068831.2582.33211.5021.9452.2161.7321.4271.4551.26271252063243119126649312321851224510826212354409407503503
Toplam Dönen Varlıklar318.328309.154287.279280.174238.214228.828188.546202.432243.627278.40386.40371.60664.039266.39950.58448.94235.25534.22840.64834.35431.56029.18241.89224.43323.28823.86224.18022.12221.50620.60522.32720.95917.66021.81424.58819.52421.13321.83721.76019.623
Finans Sektörü Faaliyetlerinden Alacaklar0
Müşteri Sözleşmelerinden Doğan Varlıklar07.759
Türev Araçlar00
Yatırım Amaçlı Gayrimenkuller137.316137.31698.95398.95398.95398.953108.866108.866108.866108.86632.14532.14532.145110.14810.20510.20535.15035.15035.15035.15035.15035.15022.83222.83222.80522.80522.78522.78522.30822.25010.79010.79010.79013.61110.79010.79010.79010.79010.64910.649
Maddi Duran Varlıklar266.330267.272266.558266.303267.018267.861268.642269.132269.842270.50177.90178.01878.137277.45726.30726.4061.4011.4711.5461.5971.6931.5451.6241.6491.7491.8261.8241.9211.9892.0849.4169.3909.4188.8827.7587.8367.2277.1567.3397.370
Kullanım Hakkı Varlıkları1.2801.0191.1991.5581.7381.9182.1201733495226951.053
Maddi Olmayan Duran Varlıklar18.04415.19316.37617.55816.61817.76518.91220.05921.20622.3531.6211.6921.76426.9421.9061.9772.0482.1192.1762.2432.3152.3542.4252.1772.2242.2932.3572.2832.3412.4142.4772.5412.6042.5272.4482.5072.5652.6232.6822.738
Ertelenmiş Vergi Varlığı4.0453.4102.2862.3633.3532.8860
Diğer Duran Varlıklar0
Toplam Duran Varlıklar421.940420.057381.931382.862382.639384.614396.458398.098399.949402.101117.011116.509115.549422.58042.35843.69843.42240.87939.14639.37839.80339.84926.91526.69226.92828.01026.99827.02026.66826.77922.98522.75322.84425.05121.64521.16320.66720.60521.10120.781
Toplam Varlıklar740.268729.211669.209663.036620.853613.442585.004600.529643.576680.504203.415188.115179.587688.97992.94292.64078.67775.10779.79373.73271.36369.03168.80751.12650.21651.87251.17849.14248.17447.38445.31243.71140.50346.86446.23340.68841.80042.44242.86140.404
Finansal Borçlar2.2803.2974.8263.5514.5662.746001285531753074852.2608301.0101.2591.4401341579.2915.2813.4868501.3916195.6804.7674.4902.8303.335562413.4404.8849932.1822.7162.877386
Diğer Finansal Yükümlülükler00
Ticari Borçlar3.3265.4566.8683.0243.3974.95512.39113.85936.73140.48826.70327.18224.168109.19722.40818.4806.7865.2599.1644.5583.4575.85715.8922.2741.1716631.1136657628111.393433351837946431246439571497
Finans Sektörü Faaliyetlerinden Borçlar0
Çalışanlara Sağlanan Faydalar Kapsamında Borçlar2.0041.1062.6712.9603.0801.6721.8272.4582.2082.049799545588625272240382197223207837011775164991051731148757887376788175788676
Diğer Borçlar76.24543.92630.099109.20274.26566.88360.48162.47666.11676.06031.23717.88313.07024.847559607260245693.2015822.76444177758110881961381349893861158678749480
Müşteri Sözleşmelerinden Doğan Yükümlülükler00
Ertelenmiş Gelirler541283386.2051.6051019111.6362.53426519849501691321752722275328741.5331.2283.5692.3491.44325118394181653123.0502093147182891317174
Dönem Karı Vergi Yükümlülüğü9208833454315595235119742300110032633622082031218482456757
Kısa Vadeli Karşılıklar473472493506472457421497522504258213196588177154156658
Diğer Kısa Vadeli Yükümlülükler27725910533777253516557480708201762248551671521562161811263291520111714111012141811
Toplam Kısa Vadeli Yükümlülükler100.43485.05574.471141.736109.066100.999101.465101.836135.426149.28773.22858.53250.120182.93436.21534.11920.96319.07823.76318.14715.06815.20323.5215.6424.5817.0387.2086.0515.4884.0475.3874.2425974.5446.3941.6662.8843.4123.7311.281
Uzun vadeli Karşılıklar2.9902.6742.6762.6062.9843.2452.6291.3759969592.8608967467333663001318317319115115415920759677574838494
Ertelenmiş Vergi Yükümlülüğü57.58448.67234.59134.40331.01022.9398.2853.26820.11114.68723.01412.94510.07846.7773.0234.1853.8071.3471.7888221.8621.4108241.2301.2368491.4341.404844936927888983873453465481496182156
Toplam Uzun Vadeli Yükümlülükler62.85454.64342.08840.91438.65628.36110.8926.25223.48417.87024.56314.24811.52251.8974.7485.9405.7993.1532.2911.1091.9461.4939971.4221.3881.6221.5931.5771.0509959849551.058950531539564574266249
Ana Ortaklığa Ait Özkaynaklar576.980589.513552.651480.385473.131484.082472.647492.442484.665513.347105.624115.335117.946454.14851.97852.58151.91552.87653.74054.47554.35052.33544.28944.06244.24843.21242.37741.51541.63642.34238.94238.51438.84841.37139.30838.48238.35238.45638.86538.873
Ödenmiş Sermaye77.45077.45077.45072.00072.00072.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.00024.000
Sermaye Düzeltme Farkları401.600401.600401.861401.053401.053401.053449.053449.053449.053449.053449.053
Geri Alınmış Paylar (-)00-2.389-2.389-2.389-2.389-2.389-2.389-177-177-177-2.389-312-312-312-312-312-312-312-312-312-312-312-312-312-312-573-312-573-573-573-573-573-573-573-522-374
Paylara İlişkin Primler (İskontolar)85.61085.61085.6100
Kar veya Zararda Yeniden Sınıflandırılmayacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)6.1015.7476.0356.3231.2481.10914.38718.13516.09018.12451.13556.53057.84752.95211.33511.47711.49911.61211.66411.71611.73411.72111.53811.60211.62211.65911.64911.67511.65011.7579.9369.9419.96111.1769.9619.9619.9619.9279.9619.966
Kar veya Zararda Yeniden Sınıflandırılacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)000-4-155
Kardan Ayrılan Kısıtlanmış Yedekler13.79313.79314.08014.5967.1977.1977.1977.1977.1977.1971.6951.6951.6957.0641.0481.0481.03299937694994994994994989089089089088988588988983583583583566161046288
Geçmiş Yıllar Kar/Zararları5.3145.1125.1125.1125.11217.36217.18317.18317.183-76.66635.23035.23035.230-131.19416.52716.52716.54315.92716.55015.97715.9776.9166.9756.9757.0346.0076.0076.0076.2695.6224.2534.2534.3075.4144.2164.2164.3903.6484.0704.444
Dönem Net Kar/Zararı-12.887202-37.496-18.699-11.090-12.250-36.783-20.737-26.46894.028-6.259-1.943-64854.661-620-159-8476491.4622.1462.0039.0611.1398481.014968143-745-600390437432351987139-92793747375
Azınlık Payları00
Toplam Özkaynaklar576.980589.513552.651480.385473.131484.082472.647492.442484.665513.347105.624115.335117.946454.14851.97852.58151.91552.87653.74054.47554.35052.33544.28944.06244.24843.21242.37741.51541.63642.34238.94238.51438.84841.37139.30838.48238.35238.45638.86538.873
Toplam Kaynaklar740.268729.211669.209663.036620.853613.442585.004600.529643.576680.504203.415188.115179.587688.97992.94292.64078.67775.10779.79373.73271.36369.03168.80751.12650.21651.87251.17849.14248.17447.38445.31243.71140.50346.86446.23340.68841.80042.44242.86140.404
Hedge Dahil Net Yabancı Para Pozisyonu242-98.778328995-4.142.893-9.920.086-22.995-24.553-21.035-24.03019.153-63.354-1.93700087780054594552-822-434-26529371

Bu Sayfa Hakkında

Prizma Pres Matbaacılık Yayıncılık Sanayi ve Ticaret A.Ş. (PRZMA) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket İmalat sektöründe işlem gören.