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SELEC Selçuk Ecza Deposu Ticaret ve Sanayi A.Ş.

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Son güncelleme 12:19
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122,20
Tavan
149,20
Yüksek
149,20
Düşük
149,20
Hacim
1,60 mn
Önc. Kapanış
135,70

Finansal Tablolar

Enflasyon MuhasebeliKonsolide
Bin TRYEn yeni dönem solda
Kalem2026/32025/122025/92025/62025/32024/122024/92024/62024/32023/122023/92023/62023/32022/122022/92022/62022/32021/122021/92021/62021/32020/122020/92020/62020/32019/122019/92019/62019/32018/122018/92018/62018/32017/122017/92017/62017/32016/122016/92016/62016/3
İşletme Faaliyetlerinden Nakit Akışları-1.927.3367.811.5696.704.2577.643.9195.733.415-12.638.945221.950-3.107.044-694.3463.259.9142.580.475268.423-233.991-2.161.232-632.256-766.518-537.050186.873371.810-694.826-427.016498.992235.511-597.233-99.931851.777633.433504.650315.71256.320-176.418-325.51228.125154.58360.013-380.776-67.592206.57077.331-10.88267.437
Dönem Karı (Zararı)1.539.514-417.943-649.734-394.0872.7922.965.333981.939668.600447.943464.213-592.494367.2871.146.9991.322.0061.661.581919.342548.698922.718719.680547.582283.517586.798483.616383.390246.846694.900581.932454.673253.325391.270292.741230.597152.046301.100244.128193.672105.788243.617207.437147.85987.429
Dönem Net Karı (Zararı) Mutabakatı İle İlgili Düzeltmeler1.777.4181.300.1621.174.822781.495-59.0121.408.975-854.055-72.5661.061.3442.365.7903.846.6242.480.9642.017.1782.754.444698.989412.940252.914198.369263.920221.542113.169231.655220.426191.835125.041207.633239.908195.227147.880245.651278.585163.026114.279156.437160.948116.58582.420134.430106.36474.99154.490
Amortisman ve İtfa Gideri İle İlgili Düzeltmeler248.864980.712689.619457.794228.154898.274633.588425.842216.263868.259647.663434.772221.089950.12471.09946.10322.53581.57060.12039.69619.56773.66254.30735.38317.31162.07645.52729.88311.87939.87429.15118.8739.10728.80020.59413.2476.36121.20615.3689.9424.892
Değer Düşüklüğü (İptali) İle İlgili Düzeltmeler8.319203.988131.76680.49027.040100.33960.59531.3425.336126.35578.68418.6289.06236.4167.9162.7311.65912.2608.7564.1851.72415.21113.5517.6932.00223.55218.36413.4618.79620.43614.57910.2094.91515.9999.6587.1014.07532.23117.4687.1644.112
Karşılıklar İle İlgili Düzeltmeler54.304212.305145.355100.23952.752203.306150.88196.47448.785168.970126.48283.83143.062217.98437.20521.55611.18526.16617.81012.1636.11517.49312.5088.3304.69212.8299.8236.7474.09411.8178.0405.0862.8188.4273.7882.2691.7369.5357.0896.5471.559
Faiz (Gelirleri) ve Giderleri İle İlgili Düzeltmeler-160.687-800.586-445.412-193.208-18.590-2.401.278-1.734.478-1.002.320-601.504-819.647-295.701-125.380-97.458-367.358-55.869-58.726-48.788-180.968-108.194-58.738-43.231-93.036-48.058-32.567-24.558-73.542-47.616-22.621-12.09256.80148.38213.675-1.99012.73715.9447.754-1.224-2.26277-1.009-1.403
Gerçekleşmemiş Yabancı Para Çevrim Farkları İle İlgili Düzeltmeler210.032893.246
Gerçeğe Uygun Değer Kayıpları (Kazançları) İle İlgili Düzeltmeler-652.403-3.857.009-3.496.625-2.502.586-1.567.907-2.173.692-1.545.470-920.630-631.411-823.885-401.597-76.935-42.76318.4866.15516.98120.09614.824-16.376-2.36410.716-11.170-7.9606.611333-7.395-5.53435016.0954.66044.08237.34925.17420.24917.05122.41818.82411.94412.53211.52414.986
Vergi (Geliri) Gideri İle İlgili Düzeltmeler1.257.0941.773.7451.809.323843.940579.9641.625.438598.063433.6101.468.3411.836.4842.950.6201.394.0141.187.175520.565501.079277.700165.897309.008240.082182.01965.707167.917137.457108.62970.128196.993165.042128.71071.804112.04383.97866.13543.15175.41061.48448.74326.69861.45452.40137.38922.038
Duran Varlıkların Elden Çıkarılmasından Kaynaklanan Kayıplar (Kazançlar) İle İlgili Düzeltmeler-15.032-95.841-90.550-68.878-38.585-111.148-78.579-61.551-40.040-90.046-70.632-66.862-27.528-105.961-21.818-14.152-5.392-5.533-4.189-2.174-1.462-8.850-7.004-4.603-2.128-4.503-3.384-2.179-906-5.151-2.139-1.315-622-3.210-2.318-1.533-378-2.604-1.656-1.203-816
Kar (Zarar) Mutabakatı İle İlgili Diğer Düzeltmeler351.710253.847284.689327.57924.204-12.345240.653308.105188.524357.360183.191507.298514.508590.942153.223120.74785.721-58.95965.91146.75454.03370.42865.62562.35957.263-2.37757.68640.87748.2095.17052.51213.01531.725-1.97534.74816.58626.3272.9273.0854.6369.122
İşletme Sermayesinde Gerçekleşen Değişimler-4.586.42810.285.5388.618.3029.325.9006.678.984-12.855.2213.546.055-2.134.028-1.289.1903.924.8171.850.988-601.077-2.302.298-3.703.748-2.549.579-1.825.216-1.266.076-617.480-363.172-1.330.672-779.744-76.359-259.131-1.012.459-419.242161.408-14.456-29.771-56.811-354.390-585.954-628.223-218.079-197.888-257.141-633.909-244.441-92.158-173.907-189.453-58.714
Finansal Yatırımlardaki Azalış (Artış)-1.833.73810.223.7286.078.4857.336.5464.538.827-11.884.494-66.988-268.371-450.465-1.272.542-1.427.544-851.637-912.9540000
Ticari Alacaklardaki Azalış (Artış) ile İlgili Düzeltmeler-5.257.542-2.807.828-2.119.205234.606-3.224.497-80.584-9.234.390-4.233.600-8.699.775-21.918.040-16.951.347-11.405.340-12.723.075-16.228.785-4.248.750-2.676.874-1.304.250-2.404.040-1.206.170-549.226-524.708-861.705-510.291-12.367-751.097-861.200-643.220-628.006-593.070-828.488-986.555-780.745-561.407-639.858-423.060-424.932-441.568-418.233-198.692-299.398-254.317
Faaliyetlerle İlgili Diğer Alacaklardaki Azalış (Artış) ile İlgili Düzeltmeler950.2331.144.275535.593638.566696.600734.376-583.355-26.06630.563-479.029-674.910-193.814-137.587356.186-91.27517.35845.616-9.629-80.37417.23831.36314.439-4.24749.365-13.2887.982-21.00635.33021.36716.2343.4023.995-16.3225.739-23.595-4.249-33.34110.395-14.482-4.628-16.731
Stoklardaki Azalışlar (Artışlar) İle İlgili Düzeltmeler-681.951-297.135749.0822.418.277851.818-1.446.6011.685.7351.582.905-2.523.6121.100.2752.523.2353.525.158-2.943.190-2.358.882-1.891.436-1.027.927-931.012-140.67153.71994.971-411.639-421.4523.022-76.124-618.794-313.182-183.542-154.450-110.204-432.213-174.721-359.252-372.098-69.934-53.754-135.253-265.915-86.39084.888-60.604-17.243
Peşin Ödenmiş Giderlerdeki Azalış (Artış)-182.503-26.907-71.830-151.985-258.34873.9306.098-75.832-348.644-16.365-44.540-123.799-254.106-49.742-29.341-24.742-29.521-5.192-8.658-14.983-20.704-1.327-5.228-26.435-20.365-3.927-6.856-10.116-14.262409-10.066-9.849-11.430300-1.624-8.630-8.951162-1.031-4.076-6.848
Ticari Borçlardaki Artış (Azalış) ile İlgili Düzeltmeler3.457.8023.226.4714.730.548-531.9084.349.788822.10312.525.7271.624.31311.012.32727.085.42119.248.2609.079.60515.243.60015.252.2753.842.8372.021.3791.121.1121.925.8321.021.580-743.704294.9071.215.032299.771-933.9561.011.4661.381.080901.524769.793691.348922.194624.584558.385789.628509.419261.028-39.309535.265404.825-30.233191.756256.675
Çalışanlara Sağlanan Faydalar Kapsamında Borçlardaki Artış (Azalış)-283.939-339.517-462.170-307.140-354.145-277.566-262.811-156.545-293.335-184.875-287.582-178.193-305.188-137.497-16.479-8.011-30.509-21.414-37.203-28.253-42.796-19.945-28.618-20.815-32.161-18.951-25.705-15.141-24.437-15.906-16.102-13.332-19.178-15.695-13.091-12.598-18.185-11.208-15.945-8.311-17.912
Ertelenmiş Gelirlerdeki Artış (Azalış)-9.553-14.152-26.015-1.974-4.13124.18427.47614.88526.0182.738-8.4382.829-10.7264.4561.2823.542-1.275-6.872-6.424-7.142-8.0217.6721.65615.12012.5501.418-20-213-140301-1.084225-1521.360-9842.7797211.6122.1711.151447
İşletme Sermayesinde Gerçekleşen Diğer Artış (Azalış) ile İlgili Düzeltmeler-745.237-823.397-796.185-309.08983.073-820.570-551.435-595.717-42.268-392.766-526.146-455.887-259.072-541.759-116.417-129.940-136.23644.505-99.642-99.572-98.147-9.073-15.197-7.247-7.554-31.812-35.632-26.968-27.413-16.921-25.411-27.649-27.12010.780-2.062-11.716-12.4666.678-582-5.342-2.784
Faaliyetlerden Elde Edilen Nakit Akışları-1.269.49611.167.7579.143.3899.713.3086.622.764-8.480.9133.673.939-1.537.993220.0976.754.8195.105.1192.247.174861.879372.703-189.010-492.934-464.464503.606620.428-561.549-383.058742.094444.911-437.234-47.3551.063.941807.384620.129344.394282.531-14.629-234.60048.246259.649147.935-323.653-56.233285.890139.89433.39883.205
Ödenen Faiz-109.198-1.232.849-768.287-743.584-163.122-2.092.309-1.968.378-320.156-188.794-868.362-811.577-202.384-42.923-287.415-60.853-16.377-692-9.216-8.621-8.075-4.430-65.592-64.675-49.866-18.895-9.190-6.521-5.258-2.472-101.483-69.288-20.436-1.813-21.172-19.658-10.873-1.354-6.825-5.881-3.416-1.247
Vergi İadeleri (Ödemeleri)-481.067-1.919.638-1.527.716-1.232.435-666.099-1.794.901-1.244.965-1.075.621-612.920-2.063.032-1.141.631-1.195.912-524.013-2.077.124-352.283-241.319-63.826-283.830-221.722-116.206-34.952-165.413-134.990-103.844-29.043-184.475-153.447-101.021-21.251-108.594-81.382-63.058-14.548-71.643-59.020-40.494-7.065-61.603-46.776-33.862-10.820
Çalışanlara Sağlanan Faydalara İlişkin Karşılıklar Kapsamında Yapılan Ödemeler-67.576-203.701-143.129-93.369-60.128-270.821-238.646-173.273-112.730-563.511-571.436-580.454-528.934-169.395-30.110-15.888-8.069-23.688-18.275-8.996-4.577-12.098-9.734-6.289-4.638-18.499-13.983-9.202-4.958-16.134-11.119-7.418-3.759-12.251-9.243-5.757-2.940-10.891-9.906-7.003-3.702
Yatırım Faaliyetlerinden Kaynaklanan Nakit Akışları142.2271.357.8431.170.241815.721431.7985.214.5383.835.0192.422.3401.234.5611.727.3491.028.155578.121174.06540.1897.44220.31221.49135.86142.25814.77825.379-2.859-23.322-42.03616.852-17.792-15.905-20.219-7.688-80.373-70.031-58.280-32.014-100.497-64.820-38.784-15.943-84.713-47.278-30.146-11.941
Maddi ve Maddi Olmayan Duran Varlıkların Satışından Kaynaklanan Nakit Girişleri18.921123.064107.33079.15945.250128.10188.26868.76942.85998.46576.33971.10830.035118.72323.26814.6585.5436.9595.1813.1142.11610.4228.3295.4502.6725.9864.5363.3131.2914.1652.8051.6758363.9062.8381.7664745.5653.2962.7721.045
Maddi ve Maddi Olmayan Duran Varlıkların Alımından Kaynaklanan Nakit Çıkışları-146.579-802.371-575.574-370.663-205.462-809.945-493.907-338.125-223.752-810.628-565.104-329.450-195.787-741.304-133.086-69.989-33.995-161.750-80.119-55.529-24.778-184.062-155.708-137.228-31.025-107.965-75.857-51.996-23.543-137.749-94.014-66.987-36.726-112.838-71.373-43.668-18.996-99.857-56.869-37.683-15.976
Yatırım Amaçlı Gayrimenkul Satımından Kaynaklanan Nakit Girişleri03.7153.7153.71584000007.99853953946546938038038012.15311.3247.3091.7511.4551.27958508.530272272720000491491340340
Alınan Faiz269.8852.033.4351.634.7701.103.511591.9265.896.3824.240.6582.691.6951.415.4542.439.5121.516.919836.464339.816654.773116.72275.10449.479190.183116.81566.81347.661158.628112.73382.43343.45482.73254.13727.87914.56444.68220.9066.7603.8038.4353.7153.1182.5789.0885.8044.4252.649
Finansman Faaliyetlerinden Nakit Akışları5.233.699-10.222.986-9.056.386-9.073.704-7.623.3367.129.3022.625.8713.023.6122.748.8453.407.9953.852.2534.915.0255.862.949-869.045-164.96476.87869.604-84.620-73.867-81.68058.646-305.177-300.754607.123811.24968.434-61.472-121.640-76.244-3.279507.820552.734-8.346-46.865-59.295310.33929.886-88.260-71.897-50.191-51.637
Borçlanmadan Kaynaklanan Nakit Girişleri5.781.272619.53018.268230.4981.655.01912.208.3547.095.9967.413.3912.774.6164.859.6465.282.0136.313.9986.775.8151.089.821239.331478.708158.46886.39494.66584.370116.64555.51657.610963.1561.059.383245.795113.65351.33930.601106.846617.945662.85939.67948.02535.595405.22973.23343.34759.71081.41637.470
Borç Ödemelerine İlişkin Nakit Çıkışları-499.606-10.369.573-8.689.832-8.939.161-9.249.441-4.672.229-4.145.646-4.077.382-312-845.611-845.611-845.611-845.611-486.302-86.394-86.394-86.394-55.516-55.516-55.516-55.516-245.795-245.795-245.795-245.795-106.846-106.846-106.846-106.846-48.025-48.025-48.025-48.025-43.347-43.347-43.347-43.347-89.107-89.107-89.107-89.107
Kira Sözleşmelerinden Kaynaklanan Borç Ödemelerine İlişkin Nakit Çıkışları-47.946-157.326-69.204-49.421-28.915-134.882-52.538-40.456-25.459-144.276-122.385-91.600-67.255-145.573-7.395-4.930-2.465-9.928-7.446-4.964-2.482-9.320-6.990-4.660-2.330-8.416-6.179-4.0340000
Ödenen Temettüler-21-315.618-315.617-315.6190-271.941-271.941-271.941-461.764-461.764-461.7630-1.326.992-310.505-310.505-5-105.570-105.570-105.5700-105.578-105.578-105.578-8-62.100-62.100-62.1000-62.100-62.100-62.100-51.543-51.543-51.543-42.500-42.500-42.5000
Yabancı Para Çevrim Farklarının Etkisinden Önce Nakit ve Nakit Benzerlerindeki Net Artış (Azalış)3.448.590-1.053.574-1.181.888-614.063-1.458.123-295.1056.682.8402.338.9083.289.0618.395.2587.460.8835.761.5695.803.023-2.990.088-789.777-669.328-445.955138.114340.200-761.729-342.991190.956-88.564-32.146728.171902.419556.056362.790231.781-27.332261.371168.943-12.2357.221-64.102-109.221-53.64933.597-41.844-91.2193.859
Yabancı Para Çevrim Farklarının Nakit ve Nakit Benzerleri Üzerindeki Etkisi-346.290-1.900.028
Nakit ve Nakit Benzerlerindeki Net Artış (Azalış)3.448.590-1.053.574-1.181.888-614.063-1.458.123-295.1056.682.8402.338.9083.289.0618.395.2587.460.8835.761.5695.456.733-4.890.116-789.777-669.328-445.955138.114340.200-761.729-342.991190.956-88.564-32.146728.171902.419556.056362.790231.781-27.332261.371168.943-12.2357.221-64.102-109.221-53.64933.597-41.844-91.2193.859
Dönem Başı Nakit ve Nakit Benzerleri3.252.2995.496.5295.496.5295.496.5295.496.42910.283.81610.283.81610.283.81610.283.8163.111.8343.111.8343.111.8343.111.8348.001.9491.421.5951.421.5951.421.5951.283.4821.283.4821.283.4821.283.4821.092.5251.092.5251.092.5251.092.525190.107190.107190.107190.107217.439217.439217.439217.439210.218210.218210.218210.218176.621176.621176.621176.621
Dönem Sonu Nakit ve Nakit Benzerleri6.436.9273.252.3583.295.4554.130.5983.911.8435.496.52914.252.24310.583.46712.226.56510.283.8169.537.4458.359.6578.568.5673.111.834631.818752.267975.6401.421.5951.623.682521.753940.4911.283.4821.003.9611.060.3791.820.6961.092.525746.162552.897421.887190.107478.810386.382205.204217.439146.117100.997156.569210.218134.77785.402180.480

Bu Sayfa Hakkında

Selçuk Ecza Deposu Ticaret ve Sanayi A.Ş. (SELEC) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket Toptan ve Perakende Ticaret sektöründe işlem gören.