İçeriğe geç
Borsa Hisse Fon
RYSAS logo

RYSAS Reysaş Taşımacılık ve Lojistik Ticaret A.Ş.

24,80−%0,64
Son güncelleme 12:19
Taban
22,48
Tavan
27,44
Yüksek
25,40
Düşük
24,66
Hacim
1,19 mn
Önc. Kapanış
24,96

Finansal Tablolar

Enflasyon MuhasebeliKonsolide
Bin TRYEn yeni dönem solda
Kalem2026/32025/122025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/122018/92018/62018/32017/122017/92017/62017/32016/122016/92016/6
Nakit ve Nakit Benzerleri5.979.9695.009.0954.815.5594.066.2872.550.8143.154.3074.266.2641.221.4582.129.3752.753.597875.181242.504311.2012.132.377386.283485.389414.902440.061418.885452.008255.342285.290142.289207.633119.835131.45499.47584.77881.45897.277220.595199.88666.941147.15249.35443.02346.29471.66238.41350.875
Gayrimenkul Projeleri Kapsamında Açılan Nakit Hesapları0000000000000000000000
Finansal Yatırımlar925.0001.191.5700811.8471.234.0891.010.897156.9182.364.1501.807.335717.238354.3210206.411248.85904.9822.9820000000000000000000000
Teminata Verilen Finansal Varlıklar0000000000000000000000
Ticari Alacaklar1.521.3141.547.9641.804.5131.696.8872.509.1741.983.8421.433.81310.74511.6481.219.344441.830353.636510.0841.336.1100105.144142.887111.1180000000000000000000835882
Finans Sektörü Faaliyetlerinden Alacaklar0000000000000000000000000
Türkiye Cumhuriyet Merkez Bankası Hesabı0000000000000000000000
Diğer Alacaklar92.136116.499136.515160.147181.155215.30720.413603.5711.029.073925.73734.86200537.5657.7263.7081111.5371.1401101.2191.2401.2981.2871.3261.3601.3431.4081.4291.4101.4491.4211.1881.1621.1691.1441.053792849894
Müşteri Sözleşmelerinden Doğan Varlıklar000000000000000
Türev Araçlar0000000000000000000000000
Stoklar59.72573.65032.95449.061144.407125.152198.460216.455340.926381.80041.15946.40337.095143.30434.97934.97922.09429.77429.77429.77429.77429.77429.77429.77429.77429.77429.77429.77429.74229.74229.74229.74229.74229.74229.74229.74229.74229.74200
Proje Halindeki Stoklar0000000000000000000000
Ertelenmiş Sigortacılık Üretim Giderleri0000000000000000000000
Cari Dönem Vergisiyle İlgili Varlıklar70.468220.920142.22082.80825.49964.36967.73252.45931.706213.23244.62819.42365866.92610.5885921696.9622.4341.8431.5141.1761.1248723167044543051081.4151.082598128521166140246279260252
Diğer Dönen Varlıklar14.15020.65118.43426.71316.55031.29217.241180.52169.97937.37818.48013.44520.48261.8355.82234.40720.29821.04122.91810.0897.02410.4743.0443.0523.0655.0073.1173.1225.63711.58317.62523.10325.82424.66522.53321.08420.98223.22822.48922.376
Satış Amacıyla Elde Tutulan Duran Varlıklar0000000000000000000000
Ortaklara Dağıtılmak Üzere Elde Tutulan Duran Varlıklar0000000000000000000000
Toplam Dönen Varlıklar8.981.2738.332.6316.912.4266.871.6696.711.5716.408.7977.941.5896.411.2436.241.5436.466.4981.812.5591.245.5161.107.8564.718.459737.988681.712612.802608.956569.809590.478376.264405.305277.688313.776223.255213.035181.267187.166205.881234.305359.908313.076189.569262.875175.017174.991209.660217.156185.166190.364
İştirakler, İş Ortaklıkları ve Bağlı Ortaklıklardaki Yatırımlar0000000000000000000000
İmtiyaz Sözleşmelerine İlişkin Finansal Varlıklar0000000000000000000000
Özkaynak Yöntemiyle Değerlenen Yatırımlar1.386.1231.462.032353.194373.502373.5381.270.078343.060156.91892.84586.66981.73972.09272.09272.09277.16031.51029.91629.15129.67928.40627.36927.36726.44326.25027.51526.87526.14925.66225.18226.52625.91525.36825.08624.40225.12824.64524.168
Canlı Varlıklar0000000000000000000000
Yatırım Amaçlı Gayrimenkuller26.380.57026.196.26523.161.67222.010.88221.975.18420.818.1916.519.9126.387.4975.861.7216.061.2021.359.3641.330.2001.299.8873.937.3621.275.1221.248.4391.253.8461.217.3931.122.9841.034.827955.418926.552669.095674.499679.776685.858688.878689.108690.116683.993549.188531.965482.775451.231395.871421.173400.402402.136163.710164.215
Proje Halindeki Yatırım Amaçlı Gayrimenkuller0000000000000000000000
Maddi Duran Varlıklar12.694.04612.771.32810.824.63310.742.88810.426.87812.396.3254.578.5143.687.0532.383.3837.420.9503.787.7913.246.0282.944.7654.877.8092.013.2701.854.2331.552.4371.419.316919.064898.594886.838942.701539.218490.257467.764455.963414.011385.032382.470382.666498.249502.629522.224512.670539.129461.296419.541406.272619.615601.273
Kullanım Hakkı Varlıkları8.250183.623715.382759.230755.925786.456000000000000
Maddi Olmayan Duran Varlıklar1.8192.1132.4162.7183.0233.33094938477153376969697070530000000018101112141517
Peşin Ödenmiş Giderler278.885373.613696.437651.863477.690319.608904.144324.282371.450366.610237.953211.282156.044192.74330.06346.84123.39534.25513.34512.91513.20812.40812.96313.52914.05014.61017.79118.09318.46918.79518.97122.59420.04920.56420.84022.90625.88526.64028.11628.642
Ertelenmiş Vergi Varlığı00217.10299.01495.7843.73311.46813.401121.4417.3193.2011.485000000000000000742.0982.0282.5162.3513.2752.412
Cari Dönem Vergisiyle İlgili Duran Varlıklar0000000000000000000000
Nakit Dışı Serbest Kullanılabilir Teminatlar0000000000000000000000
Diğer Duran Varlıklar00000000000000000000000
Toplam Duran Varlıklar40.841.82941.105.47235.890.25034.701.23034.410.49535.809.29512.159.48710.409.57710.877.61214.101.4645.522.8464.932.0594.533.4239.378.2133.441.4173.264.2082.925.7972.779.5042.117.8852.006.2051.915.6781.942.4251.280.7591.236.7181.220.0581.214.0091.178.0461.150.9291.149.1021.142.7571.123.2601.113.5341.082.5041.041.3661.014.227963.387903.554893.158840.285821.704
Toplam Varlıklar49.823.10249.438.10342.802.67541.572.89941.122.06642.218.09220.101.07716.820.82017.119.15520.567.9617.335.4056.177.5755.641.27814.096.6714.179.4053.945.9203.538.6003.388.4602.687.6942.596.6842.291.9432.347.7301.558.4471.550.4951.443.3131.427.0441.359.3131.338.0951.354.9831.377.0621.483.1681.426.6101.272.0731.304.2421.189.2441.138.3781.113.2141.110.3141.025.4501.012.067
Diğer Finansal Yükümlülükler242.134315.315000000000000000000000000
Ticari Borçlar448.244817.730587.642480.898454.8001.362.340344.789456.211764.539728.889168.94321.933267.137828.21700059.7410000000000000000000000
Finans Sektörü Faaliyetlerinden Borçlar000000000000000000000000
Çalışanlara Sağlanan Faydalar Kapsamında Borçlar158.84097.98595.00397.184130.48172.00774.76994.258114.70186.03635.29912.97014.73921.5844.8183.6253.7762.6750000000000000000000000
Diğer Borçlar1.1974.4794.6745.0245.32611.07611.77033.69677.117105.25227.320162.07011.22823.14813.35624.12924.35415.38914.4145.1966.0383.953681991736117831.0971.4892.3633.9913.4411.1851.8181.7932.1662270756123
Ertelenmiş Gelirler3.009020.25120.50420.47536.05934.08235.371209281851761411.0701451451225812514146241.6593.5995.4457.3389.23111.12413.01714.91016.02517.83119.72221.44423.28621.35223.09322.7232.1462.315
Dönem Karı Vergi Yükümlülüğü0008.98125.44210.395160.863312.82068.93439.14913.36931.93520.13614.386198591.8363.4441.1113.5094816211.07704942621.4040002506401.1106541.4872.0161.9991.089
Kısa Vadeli Karşılıklar39.42128.67532.27240.197120.786130.28489.49585.076139.405102.7394.8985.0923.26674.2243.0851.9501.7631.1291.0679097431.046710597886751630759821568411514507465300459465239353351
Diğer Kısa Vadeli Yükümlülükler29246.117248.352216.935248.81753.285000000000000000553050058320560
Satış Amaçlı Sınıflandırılan Varlık Gruplarına İlişkin Yükümlülükler0000000000000000000000
Ortaklara Dağıtılmak Üzere Elde Tutulan Varlık Gruplarına İlişkin Yükümlülükler0000000000000000000000
Toplam Kısa Vadeli Yükümlülükler7.369.8656.452.3665.099.6215.956.8795.908.3276.229.5984.790.3875.183.3386.514.7486.559.0802.156.1441.595.9691.155.9064.867.3741.033.241846.599965.4101.066.139892.023948.857821.973819.737744.276653.582706.011667.408589.193566.778546.069538.025596.525506.913441.202441.660330.184279.716327.529261.185238.831211.237
Finansal Borçlar4.617.0966.133.1734.984.0673.889.4793.483.3054.140.5315.148.6002.084.0304.342.8562.840.0061.578.6201.530.1441.881.6066.311.1351.341.8281.403.8231.211.744964.256890.347889.223830.442856.198804.161853.083680.788667.057663.242706.577743.779746.670907.827788.388646.850657.398627.443623.628567.458621.804530.656539.787
Müşteri Sözleşmelerinden Doğan Yükümlülükler0000000000000
Özkaynak Yöntemiyle Değerlenen Yatırımlardan Yükümlülükler0000000000000000000000
Devlet Teşvik ve Yardımları0000000000000000000000
Uzun vadeli Karşılıklar87.80292.22094.00397.38293.52663.506424.538773.498546.310512.397207.973213.165180.735135.42932.98527.34051.88331.66924.87923.69722.27123.01520.63321.36716.22416.22714.33813.83413.35813.14113.44912.90212.39511.72112.99012.68912.16511.76411.74011.788
Cari Dönem Vergisiyle İlgili Borçlar000000000000000000000
Ertelenmiş Vergi Yükümlülüğü1.147.286938.902263.74890.9121.437.796845.456917.0941.162.7291.553.765131.489137.037133.118354.680147.367151.68764.514144.49536.40136.39644.65342.1926.6264.3255.1725.0244.5834.1163.5033.7081.4655832910000000
Diğer Uzun Vadeli Yükümlülükler00000000000000000000000
Toplam Uzun Vadeli Yükümlülükler5.856.3917.168.7745.366.7434.103.3013.602.6335.652.9096.464.4454.085.8246.444.5365.011.4481.945.5871.902.4562.206.8286.825.4621.535.6821.607.1251.352.6161.155.867966.166954.526903.418925.982833.147882.573707.802696.257692.177736.748775.145780.792942.756823.145680.443692.381665.512659.836602.738656.997544.597554.013
Ana Ortaklığa Ait Özkaynaklar27.061.28226.661.38723.666.45223.092.88523.567.66921.947.9958.163.4237.367.3553.543.7906.943.5302.762.3672.363.3692.236.0682.502.1081.217.5581.151.7731.228.967934.349581.347555.710406.368427.9844.69621.13532.91352.76261.99634.13633.03745.730-25.99668.664105.287118.089131.768131.652121.120125.330156.700156.976
Ödenmiş Sermaye2.000.0002.000.0002.000.0002.000.0002.000.0002.000.0002.000.000500.000500.000500.000250.000250.000250.000250.000250.000250.000250.000250.000250.000250.000119.350119.350119.350119.350119.350119.350119.350119.350119.350119.350119.350119.350119.350119.350119.350119.350119.350119.350119.350119.350
Sermaye Düzeltme Farkları2.633.1072.633.1072.633.1072.633.1072.633.1072.633.1076.370.0496.140.6503.613.0936.401.0604141416.131.1632074141414141414141414141414141414141414141414141
Birleşme Denkleştirme Hesabı0000000000000000000000
Pay Sahiplerinin İlave Sermaye Katkıları28.5589460000000000000000000000
Sermaye Avansı0000000000000000000000
Geri Alınmış Paylar (-)-70.364-70.364-66.154-39.298-39.2982.5193.608-3.0523.608-5.964-5.964-5.964-5.964-5.964-3.959-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177-2.177
Karşılıklı İştirak Sermaye Düzeltmesi (-)1.6351.6351.635-1.2020000000000000000000000
Paylara İlişkin Primler (İskontolar)79.80479.80479.80479.80479.80079.80059.32667.98959.17170.1359465.0535386906141.23667200000000000000000000
Pay Bazlı Ödemeler (-)0000000000000000000000
Kar veya Zararda Yeniden Sınıflandırılmayacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)4.406.4264.396.8623.525.5983.577.4253.623.5852.838.8511.685.4213.110.4722.071.2871.933.6721.524.0731.467.9431.132.727861.346878.349218.269790.144386.363386.361364.427351.19811.35910.75210.47210.6089.3509.6519.9799.9789.3639.5839.59710.32410.20310.50110.82410.6779.0839.058
Kar veya Zararda Yeniden Sınıflandırılacak Birikmiş Diğer Kapsamlı Gelirler (Giderler)-3.3751.28987380421501.478.0100002.367.6370000000000000000000000
Kardan Ayrılan Kısıtlanmış Yedekler264.984264.984260.779233.924233.858233.858672.673149.428106.9061.015.87516.59913.90110.0432.006.71830.80735.2239.45254.44857.13555.13053.34850.69253.34853.34852.81352.81352.81352.81352.81352.81352.81352.81343.97843.97844.00644.00644.00642.57542.57545.068
Diğer Özkaynak Payları0000000000000000000000
Diğer Yedekler0000000000000000000000
Ödenen Kar Payı Avansları (Net) (-)0000000000000000000000
Geçmiş Yıllar Kar/Zararları17.355.70414.180.30814.235.89414.263.50815.082.61111.574.146-7.485.955-4.970.448-4.219.606-4.062.158-225.577254.210358.520-7.541.711-147.579-128.917-1.644.534-93.662-122.539-121.287-119.506-68.470-128.408-128.408-127.873-134.276-134.276-134.276-134.276-61.747-61.747-61.747-53.427-38.231-46.567-46.567-46.567-11.666-13.708-14.513
Dönem Net Kar/Zararı394.9953.175.396996.549343.611-85.5092.627.5294.861.9102.238.3461.394.2791.540.608493.048310.596132.918518.158231.282119.65629.699-57.67915.856-10.466-8.335-21.593-48.817-31.772-19.7126.40216.894-11.267-12.694-72.529-143.639-49.199-12.074-15.1976.9126.497-4.356-33.4691.536149
Azınlık Payları9.535.5649.155.5778.669.8598.419.8348.043.4388.387.590682.822184.303616.0812.053.904471.307315.78242.477-98.274392.924340.424-8.393232.105248.159137.590160.184174.027-23.671-6.795-3.41310.61715.94743473112.515-30.11727.88845.14152.11261.78067.17561.82666.80285.32289.842
Toplam Özkaynaklar36.596.84635.816.96432.336.31131.512.71931.611.10630.335.5858.846.2467.551.6584.159.8728.997.4343.233.6742.679.1512.278.5442.403.8341.610.4821.492.1971.220.5731.166.453829.505693.300566.552602.011-18.97614.34029.50163.37977.94334.57033.76958.245-56.11396.552150.428170.201193.548198.827182.946192.132242.022246.818
Toplam Kaynaklar49.823.10249.438.10342.802.67541.572.89941.122.06642.218.09220.101.07716.820.82017.119.15520.567.9617.335.4056.177.5755.641.27814.096.6714.179.4053.945.9203.538.6003.388.4602.687.6942.596.6842.291.9432.347.7301.558.4471.550.4951.443.3131.427.0441.359.3131.338.0951.354.9831.377.0621.483.1681.426.6101.272.0731.304.2421.189.2441.138.3781.113.2141.110.3141.025.4501.012.067
Hedge Dahil Net Yabancı Para Pozisyonu-4.536.500-2.514.084-1.909.260-1.255.524447.029573.067527.642610.328692.251287.43135.52275.201178.68372.620-461.732-337.192-445.965-410.737-373.197-1.011.194-923.859-888.369-734.814-737.737-709.510-708.296-524.019-433.742396.155386.074-332.252-287.781-279.682

Bu Sayfa Hakkında

Reysaş Taşımacılık ve Lojistik Ticaret A.Ş. (RYSAS) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket Ulaştırma ve Depolama sektöründe işlem gören.