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TURSG Türkiye Sigorta A.Ş.

6,50−%0,61
Son güncelleme 11:50
Taban
5,89
Tavan
7,19
Yüksek
6,61
Düşük
6,45
Hacim
23,84 mn
Önc. Kapanış
6,54

Finansal Tablolar

Konsolide
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
Sigortacılık Faaliyetlerinden Elde Edilen Nakit Girişleri40.637.955107.412.02887.351.15864.012.73035.890.75873.849.68840.541.34430.160.82630.806.91667.772.24945.714.59031.717.86414.369.13427.696.79417.363.49312.567.54927.696.79413.716.5869.140.2187.087.9033.752.75810.463.1966.667.4504.879.2532.644.9006.351.9324.517.2571.304.188614.0362.424.1951.639.7061.109.208549.7992.035.4451.388.5531.011.860504.0321.651.4101.223.531867.489440.421
Reasürans Faaliyetlerinden Elde Edilen Nakit Girişleri0000000000000000000000000000000000000
Emeklilik Faaliyetlerinden Elde Edilen Nakit Girişleri0000000000000000000000000000000000000
Sigortacılık Faaliyetleri Nedeniyle Yapılan Nakit Çıkışı (-)-40.306.225-94.119.409-75.176.900-58.362.214-34.112.631-62.170.820-37.133.884-29.163.653-28.148.687-56.551.238-37.470.036-29.700.255-13.318.938-22.594.606-14.728.415-10.301.475-22.594.606-12.724.420-8.837.461-6.609.459-3.424.086-9.467.769-6.614.345-4.348.982-2.005.787-5.560.781-3.994.616-1.255.421-624.664-2.345.443-1.584.616-1.083.201-590.035-1.927.637-1.297.521-889.142-477.552-1.627.697-1.197.337-872.687-480.008
Reasürans Faaliyetleri Nedeniyle Nakit Çıkışı (-)0000000000000000000000000000000000000
Emeklilik Faaliyetleri Nedeniyle Nakit Çıkışı (-)0000000000000000000000000000000000000
Esas Faaliyetler Sonucu Oluşan Nakit331.73013.292.61912.174.2585.650.5161.778.12711.678.8683.407.460997.1732.658.22911.221.0118.244.5542.017.6091.050.1965.102.1892.635.0772.266.0735.102.189992.165302.757478.443328.671995.42853.104530.271639.113791.151522.64148.768-10.62878.75255.09026.008-40.236107.80891.033122.71826.48023.71326.195-5.198-39.587
Faiz Ödemeleri (-)0000000000000000000000000000000000000
Gelir Vergisi Ödemeleri (-)-2.354.678-4.685.847-2.948.257-2.086.987-751.650-3.845.409-2.897.932-2.077.744-1.499.385-1.273.160-1.399.933-1.018.035-318.067-391.065-274.603-180.332-391.065-232.723-195.278-83.328-80.034-165.571-178.269-63.662-169.548-159.431-79.705-14.497-6.968-16.141-13.222-7.274-3.434-12.155-8.602-4.841-2.112-7.088-5.049-3.370-1.932
Esas Faaliyetlerden Kaynaklanan Net Nakit-5.667.2489.446.9604.847.9352.889.496-409.6602.658.558-4.165.260-2.584.940-3.967.6377.060.0744.474.688-575.7924.455.9994.037.7002.017.0641.704.4534.037.700639.163104.206307.505112.942692.575-130.810348.270382.011526.561419.55230.570-42.57056.02834.21432.474-22.005107.12597.894130.38324.6495.38717.451-7.538-44.971
Maddi Varlıkların Satışı5.82030.71929.6953.66504.1813.8432.2232.2002.9492.2081.7741.80514.69914.26221614.6997.8202.8942.8291294.88242262648412318912.2661700927639412261.8981.401777175
Maddi Varlıkların İktisabı (-)-37.458-403.939-258.762-84.372-34.112-232.156-116.882-63.033-38.899-165.675-95.107-44.257-26.218-97.604-58.521-16.780-97.604-49.037-35.852-28.111-12.194-28.625-11.190-4.557-3.670-33.017-7.669-3.668-1.228-2.072-2.046-952-588-837-600-538-32-4.613-731-578-122
Mali Varlık İktisabı (-)-47.395.998-158.567.104-95.523.897-58.232.171-24.337.824-66.862.170-4.810.810-28.137.344-10.432.816-27.744.642-16.920.016-6.566.580-2.565.360-14.623.666-11.131.507-3.072.939-14.623.666-3.839.129-2.308.832-1.413.949-773.241-208.217-95.000-257.383-233.238-1.315.328-975.006-43.644-116.046-42.000-20.0000-20.375000000
Mali Varlıkların Satışı37.912.094115.676.23352.583.11229.842.62317.077.45259.468.5923.507.12623.394.7217.179.38616.140.3868.440.0555.454.5861.070.0149.958.9737.823.3051.730.5319.958.9731.793.6011.008.945762.891119.789421.666410.742502.750324.8051.242.992868.68722.24268518.97121.618-20.37503.1093.1093.1090182182182182
Alınan Faiz7.890.31422.541.08917.704.3409.877.0035.937.51412.678.93010.931.3837.366.0293.984.5059.854.6225.512.6072.022.185414.9971.166.2831.136.370488.6131.166.2831.135.9831.206.268526.650230.814640.954571.594382.956173.063839.324644.42897.89849.663144.92088.15048.49122.89281.03057.34832.27111.26747.25333.66022.49411.645
Alınan Temettüler0184.0880184.0880165.67900029.62800092.91692.9162.87692.91649.88349.88349.8830106.088105.989104.011129.65529.51629.516020.56920.56920.56909.2679.28160492492492
Diğer Nakit Girişleri8.999.7499.836.56615.373.2698.902.5375.125.9571.570.17900016.489.0448.858.6526.267.87901.871.275001.871.275000000000270.00000001.58700000001.413
Diğer Nakit Çıkışları (-)0-6.979.549-1.467.629-354.9360-17.156.129-16.872.645-12.696.9210-3.086.9600-877.6290000000000-12.32800-412-4120000-5.3080000000-3.593-1.354
Yatırım Faaliyetlerden Kaynaklanan Net Nakit-1.698.708-20.538.914-25.465.512-18.409.165-1.714.7495.485.3129.514.6602.562.596-639.555-1.947.797275.201868.322-1.547.183-3.432.107-2.252.294-889.339-3.432.107-364.289-120.913-134.421-451.761914.352666.254675.056236.007706.495547.33894.085-65.191137.451102.31044.0111.64291.20868.19733.76011.90041.99432.60121.18610.526
Hisse Senedi İhracı000007.0707.070000000000000000000276.2676.267000000000120.655
Kredilerle İlgili Nakit Girişleri00000000000000000000000005581.5580000001.14427828101.0491.006973
Finansal Kiralama Borçları Ödemeleri (-)-31.253-97.076-91.507-7.321-5.971-32.858-25.724-18.174-6.631-25.319-28.177-9.151-4.215-12.647-8.625-3.987-12.647-7.426-5.360-3.2400-7.834-615-3.274-2.211-2.2342490-78000-1.658-1.658-1.302-700-3.052-2.160-1.214-728
Ödenen Temettüler (-)0-2.000.000-2.000.00000-1.000.000000-155.556-155.55600-530.216-530.216-530.216-530.216-493.000-493.000-493.0000-560.8580-360.0000-300.000-300.0000000000000
Finansman Faaliyetlerinden Kaynaklanan Net Nakit8.968.496759.94111.814.1338.540.2795.119.986-16.611.737-16.891.299-12.715.096-6.63113.221.2108.674.9195.381.100-4.2151.328.412-538.841-534.2031.328.412-500.426-498.360-496.2400-568.692-12.943-363.274-2.211-25.821-22.3390-780000-1.658-515-1.024-419117.603-1.111-207245
Kur Farklarının Nakit Ve Nakit Benzerlerine Olan Etkisi73.481635.511534.603486.598204.383575.379730.306626.905157.585157.5856.171769.90962.156210.270178.714158.648210.270282.17639.42246.64153.54346.64199.40642.67732.15728.597-4.2545.224-2.6762.9919.5868.9755.99912.8605.6471.8543.274-5.695-5.192-7.326-8.312
Nakit ve Nakit Benzerlerinde Meydana Gelen Net Artış1.676.021-9.696.503-8.268.841-6.492.7913.199.960-7.892.488-10.811.593-12.110.535-4.456.23718.491.07213.430.9786.443.5382.966.7572.144.275-595.357439.5602.144.27556.623-475.646-276.515-285.2771.084.877621.906702.729647.9651.235.832940.297129.878-110.515196.470146.11085.460-14.364209.534171.223164.97439.403159.28843.7506.116-42.512

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Türkiye Sigorta A.Ş. (TURSG) hissesinin gelir tablosu ve bilanço kalemleri (hasılat, net kâr, varlık ve yükümlülükler) dönemsel olarak bu sayfada sunulur. Şirket Mali Kuruluşlar sektöründe işlem gören.