Dogus Otomotiv Servis ve Ticaret A.S.

BIST:DOAS.IS

211 (TRY) • At close November 7, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) TRY.

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,643.6083,366.153,409.576655.599648.342365.892156.26689.09871.8740.62182.24637.22547.82927.72730.26374.159104.214-0.006-0.027
Kortetermijnbeleggingen 1,258.1022,033.691-122.835-115.534-114.429-21.532-32.398-20.323-20.4820000000000
Liquide middelen en kortetermijnbeleggingen 8,901.715,399.8413,409.576655.599648.342365.892156.26689.09871.8740.62182.24637.22547.82927.72730.26374.159104.214-0.006-0.027
Nettovorderingen 12,879.3397,133.9251,201.0211,192.301929.1011,083.8941,611.1141,331.5031,182.837743.529672.270376.751264.27153.976135.257166.452168.131167.506
Voorraad 10,649.5984,270.1031,969.4812,751.843935.9071,365.8961,425.3441,650.961,214.122569.259520.176483.841549.234402.562294.021653.817306.96422.129366.684
Overige vlottende activa 633.968-3,506.4923.2142.1311.2751.4611.54368.83720.40388.7737.009030.5217.95645.31761.8837.459132.799134.044
Totaal vlottende activa 33,214.45913,297.3776,583.2924,601.8742,514.6252,817.1433,194.2673,140.3982,489.2321,442.1821,281.7011,019.9031,004.334712.515523.577925.113615.085723.053668.207
Niet-vlottende activa:
Materiële vaste activa, netto 11,786.3942,165.8991,205.359976.783958.764982.378975.368780.965664.043541.971498.211436.822372.117256.534243.856223.788206.792108.72197.453
Goodwill 0000000000000000000
Immateriële activa 519.191154.90989.64555.4134.39435.35431.73126.22620.84816.19912.4947.3685.0184.39306.1345.82500
Goodwill en immateriële activa 519.191154.90989.64555.4134.39435.35431.73126.22620.84816.19912.4947.3685.0184.3935.7416.1345.8255.5896.706
Langetermijnbeleggingen 11,885.1874,340.5441,834.8741,467.8091,128.156963.45963.998876.659771.307782.882656.7980518.259517.467440.1380329.69900
Belastingvorderingen 154.206912.51822.6395.51526.39823.8951.5387.4855.6626.2876.5764.8493.3592.1775.47223.8582.2962.2781.17
Overige niet-vlottende activa 10,307.427-206.06718.799.7432.607-23.558-0.0220.12128.81137.7368.566753.912.0056.2830.224264.7850.491287.845240.136
Totaal niet-vlottende activa 34,652.4057,367.8033,171.3072,515.262,150.3191,981.5191,972.6151,711.4561,490.6711,385.0751,182.6451,202.949900.758786.854695.431518.565545.103404.433345.465
Totaal activa 67,866.86420,665.189,754.5997,117.1344,664.9444,798.6625,166.8824,851.8543,979.9032,827.2572,464.3462,222.8521,905.0921,499.3691,219.0081,443.6781,160.1881,127.4861,013.672
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 6,922.483,586.6471,231.2021,853.83713.263554.172633.545770.675509.411357.159323.233325.632349.0285.8214.47742.266330.097483.977387.573
Kortlopende schulden 4,553.8312,373.0452,937.6152,152.6092,201.9332,650.6652,963.7322,730.2631,644.9161,029.34638.044495.42400295.439143.54643.26130.22520.924
Belastingschulden 189.009873.311423.232174.93284.2976.83167.25968.21764.66769.67742.8246.5135.6639.0900000
Uitgestelde opbrengsten 724.3992,382.803916.833458.951169.38618.32532.64429.23900094.835002.6826.23682.91973.21971.014
Overige kortlopende verplichtingen 6,247.5273.081.0881.7318.588139.983162.141155.069149.708142.325114.2434.227550.433661.46235.85433.07942.29118.0723.423
Totaal kortlopende verplichtingen 18,448.2378,345.5755,086.7384,467.1213,093.173,363.1453,792.0623,685.2462,304.0351,528.8241,075.52920.118899.461667.262548.445925.127498.568605.491502.934
Langlopende verplichtingen:
Langetermijnschulden 6,144.191221.45890.669161.762236.1196011.10628.172296.20846.603259.2196.33800135.786164.629109.20930.83728.616
Uitgestelde opbrengsten niet-vlottend 414.426103.56335.27914.2196.0872.4891.1781.99513.9370000000000
Uitgestelde belastingverplichtingen niet-vlottend 609.35995.17835.5687.147-4.6311.99823.8582.8722.6253.69109.5552.287.228005.3156.4053.465
Overige niet-vlottende verplichtingen 405.061192.88142.662171.15181.65863.15811.23314.8560.21511.80411.5529.948130.87887.4271.7112.1191.7892.1742.637
Totaal niet-vlottende verplichtingen 7,573.037613.079304.178354.279319.233127.64547.37547.895312.98562.098270.762115.841133.15894.655137.497166.748116.31339.41634.718
Totaal passiva 26,021.2748,958.6545,390.9164,821.43,412.4033,490.793,839.4373,733.1412,617.021,590.9221,346.2821,035.9591,032.619761.917685.9421,091.875614.881644.907537.652
Eigen vermogen:
Preferente aandelen 0000000000000000000
Gewone aandelen 220220220220220220220220220220220220220220110110139.165110110
Ingehouden winsten 38,540.0899,751.3793,170.9451,396.9368.324350.691360.349177.131538.837400.101388.355436.325295.997161.013110.65380.118219.277161.993197.369
Overige gereserveerde algehele resultaten 584.2492,726.2671,156.758867.261854.122928.046939.16914.119436.923478.686393.49300000000
Overige totale aandeelhoudersvermogen 1,994.679-1,028.265-197.278-197.21-197.195-197.173-197.173-197.159162.756132.704112.815527.947354.366354.807311.037160.303184.943206.237161.322
Totaal eigen vermogen van aandeelhouders 41,339.01711,669.3814,350.4252,286.9511,245.2511,301.5641,322.3361,114.0911,358.5161,231.4911,114.6631,184.272870.363735.82531.69350.421543.385478.23468.691
Totaal eigen vermogen 41,845.5911,706.5264,363.6832,295.7341,252.5411,307.8721,327.4451,118.7131,362.8831,236.3351,118.0641,186.893872.473737.452533.066351.803545.307482.579476.02
Totaal passiva en aandeelhoudersvermogen 67,866.86420,665.189,754.5997,117.1344,664.9444,798.6625,166.8824,851.8543,979.9032,827.2572,464.3462,222.8521,905.0921,499.3691,219.0081,443.6781,160.1881,127.4861,013.672