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TUPRS Tüpraş-türkiye Petrol Rafinerileri A.Ş.

227,70+%1,02
Son güncelleme 13:35
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225,40

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 Akışları6.288.38354.432.08456.446.93914.028.845-26.462.31250.803.13730.753.5469.003.050-28.121.965177.339.702160.763.25633.199.32821.887.658171.552.94130.136.58730.834.2962.663.290-1.429.0884.162.624416.355-449.5842.114.010-5.528.990-329.167-2.342.62511.334.5889.846.7337.801.0984.477.8411.351.9782.854.5852.023.996-618.9472.917.4384.057.7922.107.420872.9044.705.4474.159.3582.006.780545.877
Dönem Karı (Zararı)3.815.10032.872.54725.271.25711.196.456157.20427.415.37821.227.4869.205.428750.484112.031.95136.374.07121.067.8005.198.188127.988.59323.617.63311.998.9651.145.0643.613.2242.136.411981.346-741.070-2.422.925-2.806.342-2.411.376-2.249.085585.330383.437523.609-362.2953.761.4451.972.7641.422.077386.7873.840.5563.339.0982.339.280875.7591.812.7901.003.863418.12583.114
Dönem Net Karı (Zararı) Mutabakatı İle İlgili Düzeltmeler33.038.82945.073.73328.907.61014.903.89813.701.51241.219.52637.527.63116.259.3112.873.80631.991.58860.034.47533.097.26128.913.062105.943.06520.281.99013.522.358748.825-302.5283.675.7581.581.0982.362.1391.920.2952.926.7381.558.7862.042.8072.574.1772.146.0181.491.036940.8742.491.8821.136.031709.262630.7561.782.0861.227.057720.999574.8691.114.178576.410555.516336.340
Amortisman ve İtfa Gideri İle İlgili Düzeltmeler4.139.35716.094.62111.998.3987.993.8033.930.04113.850.70311.018.4507.613.1953.867.41512.609.6579.376.9246.991.0223.849.75513.063.161680.255453.594233.210853.530631.563389.674192.934742.238567.620375.498186.165706.116522.790344.861171.048622.494466.184310.247155.462573.640427.737284.666142.377541.003406.223269.862134.281
Değer Düşüklüğü (İptali) İle İlgili Düzeltmeler-279.214221.021-86.125-85.519-94.201-210.152-173.070-281.893-296.335-1.300.380-1.601.540-1.570.065-1.483.3531.604.733226.20439.026000030.6741.003.880-87.855-87.855-66.289-87.85586.6091.708-9202.2751.246013.4705.877-102.114-102.114-100.959-86.691
Karşılıklar İle İlgili Düzeltmeler1.825.2954.084.0392.746.2682.378.0702.070.9985.345.3795.547.6623.842.2662.097.5297.910.1056.222.0974.698.3192.906.3264.000.175823.427446.185151.772285.411226.542127.55570.632157.500165.769118.69955.215151.777127.509135.978108.162117.957113.04027.41643.136110.19789.70176.85135.49157.55863.81641.22433.004
Kar Payı (Geliri) Gideri ile İlgili Düzeltmeler0-3020
Pazarlıklı Satın Alım Sonucu Oluşan Kazanç ile İlgili Düzeltmeler0-10.301-10.301-10.301-10.2480000
Faiz (Gelirleri) ve Giderleri İle İlgili Düzeltmeler-2.686.514-10.620.373-7.345.605-4.198.165-1.361.530-26.096.036-23.527.816-16.134.344-9.868.096-15.455.752-6.453.193-3.713.805-1.722.9358.077.0231.539.7761.231.430551.965682.812355.251198.56254.2801.174.768853.361460.499203.3011.371.3571.207.948999.733430.214940.320573.958305.547104.756160.195112.051117.11880.059388.846292.021188.38663.872
Gerçekleşmemiş Yabancı Para Çevrim Farkları İle İlgili Düzeltmeler-669.552-1.000.858-1.871.825-528.221-571.8343.767.2564.496.8973.535.5853.771.47710.046.13515.319.57713.407.704-1.018.1705.957.680-4.439.817-2.493.806-2.340.510-10.880.584-1.991.236715.559-65.011-2.634.829-2.028.498-999.890-496.073-883.805-549.113-763.236-469.074-2.918.108-4.766.116-1.548.823-445.696-461.105-55.00143.977-67.870-709.477-124.87468.898161.431
Gerçeğe Uygun Değer Kayıpları (Kazançları) İle İlgili Düzeltmeler19.623.9819.277.8995.052.870833.2821.341.928-4.032.3007.917.179-4.456.275-9.771.543-14.211.541-20.741.135-7.982.228-3.286.19571.202.26212.317.1488.750.78786.6512.127.0991.821.165738.863347.810392.344194.09743.183199.859537.019239.83517.73061.011130.739-131.742-340.79820.291-92.66255.476-9.6923.605-2.179-105.33096.78764.814
Özkaynak Yöntemiyle Değerlenen Yatırımların Dağıtılmamış Karları ile İlgili Düzeltmeler83.253-1.400.111-1.275.106-698.44473.359-2.093.902-1.256.043-510.542-509.596-2.186.654-3.473.903-1.545.906774.77432.317-514.326-334.211-208.662-592.989-305.510-61.452-9.54229.615148.036226.034168.432-197.393-172.084-109.748-63.072-265.880-191.202-144.657-58.586-244.639-184.980-118.887-57.125-158.750-130.147-68.671-14.733
Vergi (Geliri) Gideri İle İlgili Düzeltmeler6.567.74715.291.52010.610.9505.722.1183.158.11918.309.71814.729.0739.204.7002.669.1738.210.62651.059.75917.038.87117.349.72514.480.0682.141.501512.978186.586-1.254.869-457.483-644.725-218.982-1.372.469-876.520-715.601-548.718-896.678-256.210-249.97952.166-37.065102.431-25.06085.023633.482381.126147.277175.970131.23244.46076.42812.787
Duran Varlıkların Elden Çıkarılmasından Kaynaklanan Kayıplar (Kazançlar) İle İlgili Düzeltmeler15314.261284-44.800-8.88410.4246.8615.876-664-154.799-155.30310.3387.74883.5222.346-2.168-2.173-107.675-1411.274-222-1.805-572-351451.917.033-385-1191409.3786.5986.7106.38310.19911.55012.147-926-161126136201
Yatırım ya da Finansman Faaliyetlerinden Kaynaklanan Nakit Akışlarına Neden Olan Diğer Kalemlere İlişkin Düzeltmeler0104.657473.51215.46072.580545.372432.304485.131167.62517.107.1009.365.9572.314.3724.345.36011.113.9887.458.3044.599.9951.874.0898.181.8523.243.5131.936.0813.444.6983.819.8251.983.5781.227.7041.141.5431.194.954757.9903.777.9524.971.8802.121.391710.6981.033.591358.230138.693247.285976.068227.733-16.568-123.896
Kar (Zarar) Mutabakatı İle İlgili Diğer Düzeltmeler-161.497418.406260.781-292.472358.1846.183.991328.430-1.555.048116.137-1.518.8051.329.8752.717.5157.190.027-23.671.86347.172318.548215.897402.885152.094115.78854.159-11.76552.94667.13742.997-43.394-27.960-12.849-19.85627.486-10.708-1.7917.01457.94231.16715.37910.126-7.8484.496-791.270
İşletme Sermayesinde Gerçekleşen Değişimler5.538.590-19.739.2895.531.297-9.217.331-39.152.377-10.703.152-20.986.776-11.254.320-28.358.92355.285.90878.366.983-10.416.992-8.022.240-53.961.800-11.543.9975.490.062873.566-4.342.583-1.464.602-2.045.471-2.000.8842.728.593-5.592.991573.202-2.108.4318.354.5427.476.0155.965.5444.075.268-4.675.072-167.733-52.665-1.588.481-2.152.135-143.011-759.023-513.5681.723.0582.510.376854.855338.589
Ticari Alacaklardaki Azalış (Artış) ile İlgili Düzeltmeler-18.833.521-4.637.290-10.469.742-12.619.659-4.721.83830.806.75322.406.7829.123.73314.109.841-11.016.822-22.933.889-14.139.18321.549.6388.402.766-15.541.913-13.831.809-5.821.358-12.099.380-6.413.359-4.289.513-2.028.0573.056.261117.2283.075.701370.711656.894-626.039-3.272.484-993.591-403.568-4.402.088-1.769.182-475.677-1.873.499-2.352.739-827.861-756.180-638.101328.143-53.562589.130
Faaliyetlerle İlgili Diğer Alacaklardaki Azalış (Artış) ile İlgili Düzeltmeler520.9522.279.2021.274.451-13.435.166-5.058.30511.268.325215.31611.178.769125.941-7.586.116-4.890.842203.1149.464.390-7.563.364-7.711.443-3.163.316-1.147.526-3.005.769-2.729.944-1.713.859-59.7221.449.3791.448.0111.455.5491.253.932-381.602-527.138-38.642913.220-1.990.959-1.237.992-533.822-104.595-148.602-588.269-265.737-79.324177.40570.127335.374407.003
Türev Varlıklardaki Azalış (Artış)630.5481.381.451412.1102.185.350-1.791.1122.503.315683.7188.151.2727.902.4296.978.8565.127.9539.250.862-2.073.7301.214.4033.160.912-3.398.135-349.096-43.399-1.261.993-65.279-784.960-456.000-457.490-58.935-127.916-66.872-194.859103.671-288.57740.113-144.757-43.8561.43200032.946
Stoklardaki Azalışlar (Artışlar) İle İlgili Düzeltmeler6.507.21018.214.53315.064.62915.542.963484.1605.854.980-4.979.843-15.962.545-19.840.24232.470.7215.575.57312.179.74017.127.6458.669.433-11.637.413-23.189.194-10.370.091-16.056.896-8.559.288-7.364.273-3.684.4881.767.9512.204.0963.965.1103.164.236-2.615.981-2.636.110-1.553.336-1.557.739-1.560.264-3.205.933-2.410.367-1.427.550-1.683.897-847.734-593.219-796.613-1.404.164-714.115-378.824-36.465
Ticari Borçlardaki Artış (Azalış) ile İlgili Düzeltmeler29.921.723-33.666.171-5.281.005-13.645.684-31.053.085-54.619.097-41.950.305-11.612.679-31.510.43623.797.00351.787.000-11.433.618-57.048.934-69.663.47324.582.15939.993.47813.287.63029.702.64017.147.50112.481.0866.382.277-3.707.698-8.498.140-7.671.823-6.142.79510.348.50410.360.44510.354.9765.753.360-719.2758.491.2174.347.017457.8911.222.9482.545.983617.253920.5103.136.4332.006.912961.438-436.321
Faaliyetler ile İlgili Diğer Borçlardaki Artış (Azalış) ile İlgili Düzeltmeler-12.577.774915.1135.180.64912.869.7181.196.691-8.848.9575.029.512-10.676.816-250.71911.815.79432.422.917-2.732.263-1.987.85412.436.4303.254.1833.468.391-8.777-2.176.965-418.071-658.632-761.798-469.142-172.064-138.171-448.186572.752976.419599.500138.374-202.463-296.578185.008138.260225.506779.533310.541198.039451.485620.993-9.571-184.758
Türev Yükümlülüklerdeki Artış (Azalış)-3.475.225-1.619.1371.658.3862.649.49482.8734.191.9018.322.976-2.345.9438.503.796-1.473.639-2.255.078-15.494.454-2.415.840998.1091.772.7762.691.922-142.345-456.881-587.103697.12192.838342.836151.161-167.09056.354-57.59816.50397.786772.21888.568-32.053149.265318.783000165.370
Faaliyetlerden Elde Edilen Nakit Akışları42.392.51958.206.99059.710.16316.883.024-25.293.66157.931.75337.768.34214.210.419-24.734.633199.309.447174.775.52943.748.07026.089.010179.969.85832.355.62631.011.3852.767.455-1.031.8874.347.567516.973-379.8152.225.963-5.472.595-279.388-2.314.70911.514.04910.005.4707.980.1894.653.8471.578.2552.941.0622.078.674-570.9383.470.5074.423.1442.301.256937.0604.650.0264.090.6491.828.496758.043
Vergi İadeleri (Ödemeleri)-1.006.874-4.335.494-2.576.054-1.520.454-1.234.002-5.108.052-5.092.815-4.089.962-2.960.361-18.233.590-10.951.843-8.568.698-3.213.479-6.419.627-1.824.580-81.535-81.734-40.062-11.214-9.280-7.650-13.256-6.603-6.228-4.616-105.823-104.918-105.137-102.171-140.935-25.183-23.221-21.892-488.895-314.278-160.448-45.512-136.717-135.991-41.734-195.290
Diğer Nakit Girişleri (Çıkışları)-242405601.463.144661.2821.235.093-5.956.2175.873.079305.8857.133.3086.616.626-7.316.38400-285.1310-173.729-91.338-62.119-98.697-49.792-43.551-23.300-73.638-53.819-73.954-73.835-85.342-61.294-31.457-26.117-64.174-51.074-33.388-18.644192.138204.700220.018-16.876
Yatırım Faaliyetlerinden Kaynaklanan Nakit Akışları-2.909.578-21.366.211-14.607.942-10.626.410-4.036.263-17.126.586-10.755.904-6.411.788-9.508.792-19.858.721-12.160.516-2.255.575395.178-15.737.932-1.458.815-672.147-319.016-1.556.836-824.798-509.614-173.908-942.404-542.776-329.414-199.401-1.240.172-909.665-635.251-57.969-715.982-535.140-307.964-122.828-1.030.148-633.011-308.221-104.787-841.751-547.914-330.529-179.594
Bağlı Ortaklıkların Kontrolünün Elde Edilmesine Yönelik Alışlara İlişkin Nakit Çıkışları0-1.484.935-1.484.937-1.484.934-1.276.3900000
Bağlı Ortaklıklarda İlave Pay Alımlarına ilişkin Nakit Çıkışları-5.000-2.500-1.500000
Başka İşletmelerin veya Fonların Paylarının veya Borçlanma Araçlarının Satılması Sonucu Elde Edilen Nakit Girişleri-3.696
Başka İşletmelerin veya Fonların Paylarının veya Borçlanma Araçlarının Edinimi İçin Yapılan Nakit Çıkışları-10.183-170.077-55.728-56.377-11.533-233.486000-1.630.635-615.416-435.710-2.264-400-400-3.696000
Maddi ve Maddi Olmayan Duran Varlıkların Satışından Kaynaklanan Nakit Girişleri31845.3034.22548.60410.25630.09160.75250.932-55.34919.573236.15615.342-11.7872.112.056-8204.6062.444169.6431.26672330624.18822.2014271.1951.6951.4291.0819708105524.8023.0722.4561.3151.65030926450
Maddi ve Maddi Olmayan Duran Varlıkların Alımından Kaynaklanan Nakit Çıkışları-4.149.789-21.038.242-14.086.023-10.224.360-3.849.225-19.892.865-12.984.493-9.157.631-3.497.225-25.774.051-13.463.936-10.165.604-6.971.039-11.018.456-1.698.050-916.753-276.329-1.370.769-903.800-589.937-253.814-1.082.896-681.281-449.841-319.401-1.337.367-1.007.360-732.680-153.969-941.063-656.110-428.774-243.380-1.099.950-703.583-379.177-176.102-885.401-590.223-372.793-221.644
Alınan Temettüler1.250.1001.281.4991.014.5171.090.6501.090.6291.506.5311.506.5541.459.81801.653.312761.380761.379761.3781.100.267240.055240.000240.00080.00080.00080.00080.000120.000120.000120.000120.00096.00096.00096.00096.000224.000120.000120.000120.00070.00070.00070.00070.00042.00042.00042.00042.000
Finansman Faaliyetlerinden Nakit Akışları-18.164.529158.4872.676.78910.975.328-6.468.869-83.160.347-23.456.921-30.385.76511.829.353-72.317.107-89.356.722-48.698.275-39.594.039-79.612.462-15.048.367-18.930.115-10.874.956-11.035.826-4.742.830-2.537.7361.740.9664.958.9474.118.2787.076.1072.361.976-6.790.553-5.742.921-4.278.098416.451-6.593.759-6.126.036-6.288.683-1.844.636221.938-1.911.106-2.339.240423.963-1.749.939437.549-122.4571.364.134
Borçlanmadan Kaynaklanan Nakit Girişleri10.921.46257.615.69453.334.16545.649.48819.429.61954.202.78450.822.57424.245.11316.999.26719.039.06714.776.46310.358.283370.77170.710.30516.853.78613.550.2336.281.96315.173.78313.036.65811.650.26510.343.92241.075.70836.227.06526.822.7329.654.72849.759.25239.137.34324.960.94916.721.99538.952.11529.690.14519.020.6698.823.51343.859.85433.024.69523.009.30014.097.03736.558.82224.908.31816.714.0969.634.332
Borç Ödemelerine İlişkin Nakit Çıkışları-7.403.978-23.095.974-26.750.300-18.343.825-17.425.482-89.601.308-42.977.689-34.219.710-15.688.241-39.577.944-42.526.220-25.331.783-10.791.947-98.643.092-20.531.111-16.948.032-7.211.401-21.640.328-15.664.619-13.279.509-8.270.806-34.590.312-31.294.726-19.094.323-7.052.976-50.788.791-39.655.310-24.547.944-14.052.566-41.005.302-32.194.993-22.098.167-8.874.590-42.051.025-33.240.818-23.685.054-13.673.346-36.280.598-22.615.274-15.028.064-8.268.373
Kira Sözleşmelerinden Kaynaklanan Borç Ödemelerine İlişkin Nakit Çıkışları-48.988-298.136-192.867-177.036-134.180-160.560-122.461-85.802-47.293-160.991-134.009-86.913-58.859-334.637-63.762-58.746-23.323-35.698-26.740-33.690-20.761-62.208-42.948-29.157-18.710-34.535-24.191-20.427-23.2000000
Türev Araçlardan Nakit Girişleri57.175.7031.647.321888.210705.79295.133868.323771.072578.97856.6808.907.5054.104.8081.023.3467.405.20510.260.6382.812.3391.371.456171.571896.087433.762420.390244.735539.254415.876136.89879.35284.99768.357153.89526.358405.021547.234585.67814.054180.44626.2428.1750022.3124.605
Türev Araçlardan Nakit Çıkışları-62.648.883-8.340.014-4.979.226-2.177.911-866.592-7.790.747-5.707.469-3.496.467-998.043-310.062-271.572-199.208-889.431-54.354.574-12.752.087-15.593.571-9.582.843-4.920.032-2.261.918-1.216.393-566.406-880.836-518.717-405.151-171.497-649.449-376.228-132.390-54.980-666.358-345.057-115.305-68.767-93.501-104.620000-38.600
Ödenen Temettüler-20.000.186-38.344.076-28.093.377-19.362.516-10.430.363-70.237.242-53.741.515-35.031.3800-71.220.795-71.221.738-38.065.793-38.065.874-142.828000-20.020-20.020-20.020-20.020-5.606000-3.793.851-3.793.851-3.793.851-1.925.317-3.406.452-3.406.452-3.406.452-1.728.721-1.557.107-1.557.107-1.557.1070-1.627.725-1.627.725-1.627.725
Ödenen Faiz-2.267.090-12.134.077-9.225.340-5.699.632-2.965.783-12.970.512-7.768.740-5.728.211-2.155.603-10.010.896-7.192.866-4.563.503-2.435.153-14.008.863-2.190.236-1.606.940-679.796-2.566.398-1.803.329-1.123.052-493.811-1.630.755-1.095.568-676.391-305.470-1.961.722-1.478.721-1.044.124-343.269-1.248.137-685.768-441.124-108.731-673.139-450.863-350.662-99.868-698.377-420.002-294.807-55.358
Alınan Faiz6.107.43123.107.74917.695.52410.380.9685.828.77942.528.91435.267.30723.351.71413.662.58521.017.01113.108.4128.167.2964.871.2506.900.587822.704355.485168.8732.076.7801.563.3761.064.273524.113513.702427.296321.499176.549593.546379.680145.79467.430375.354268.855166.01898.606556.410391.365236.108100.140297.939208.520109.43853.533
Yabancı Para Çevrim Farklarının Etkisinden Önce Nakit ve Nakit Benzerlerindeki Net Artış (Azalış)-14.785.72433.224.35944.515.78514.377.764-36.967.444-49.483.796-3.459.280-27.794.504-25.801.40485.163.87459.246.018-17.754.522-17.311.20376.202.54713.629.40511.232.034-8.530.682-14.021.750-1.405.004-2.630.9951.117.4746.130.553-1.953.4886.417.526-180.0503.303.8633.194.1472.887.7494.836.323-5.957.763-3.806.591-4.572.651-2.586.4112.109.2281.513.675-540.0411.192.0802.113.7574.048.9931.553.7941.730.417
Yabancı Para Çevrim Farklarının Nakit ve Nakit Benzerleri Üzerindeki Etkisi1.801.9375.567.7024.224.7642.269.5461.013.8483.183.9783.082.5012.220.0501.416.84814.829.77012.368.97011.030.868-19.375.222-29.783.7014.439.8172.493.8062.340.51010.880.2291.991.2361.992.78164.8812.634.8292.028.498999.890495.705883.852548.364762.611469.0742.918.1084.766.1161.548.823445.696461.10555.001-43.97767.870709.477124.874-68.898-161.431
Nakit ve Nakit Benzerlerindeki Net Artış (Azalış)-12.983.78738.792.06148.740.54916.647.310-35.953.596-46.299.818-376.779-25.574.454-24.384.55699.993.64471.614.988-6.723.653-36.686.42546.418.84618.069.22213.725.840-6.190.172-3.141.521586.232-638.2141.182.3558.765.38275.0107.417.416315.6554.187.7153.742.5113.650.3605.305.397-3.039.655959.525-3.023.828-2.140.7152.570.3331.568.676-584.0181.259.9502.823.2344.173.8671.484.8961.568.986
Dönem Başı Nakit ve Nakit Benzerleri99.732.37985.290.23485.290.72685.290.49985.288.754178.927.828178.927.528178.929.037178.928.799141.575.557141.575.235141.575.176141.575.02195.156.48716.913.46216.905.13116.905.13120.046.65217.999.55917.506.17717.506.1778.740.7958.740.7958.740.7958.740.7954.553.0804.553.0804.553.0804.553.0807.592.7357.592.7357.592.7357.592.7355.022.4025.022.4025.022.4025.022.4022.199.1682.199.1682.199.1682.199.168
Dönem Sonu Nakit ve Nakit Benzerleri76.385.78399.734.376114.693.37490.414.84141.724.07185.290.234137.212.255123.170.606133.423.097178.928.276170.404.838113.153.866104.888.596141.575.33334.982.68430.630.97110.714.95916.905.13118.585.79116.867.96318.688.53217.506.1778.815.80516.158.2119.056.4508.740.7958.295.5918.203.4409.858.4774.553.0808.552.2604.568.9075.452.0207.592.7356.591.0784.438.3846.282.3525.022.4026.373.0353.684.0643.768.154

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Tüpraş-türkiye Petrol Rafinerileri A.Ş. (TUPRS) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket İmalat sektöründe işlem gören.