Dogan Sirketler Grubu Holding A.S.

BIST:DOHOL.IS

13.3 (TRY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 12,123.0587,049.5644,645.5432,905.1153,278.8323,807.8511,708.4671,512.1321,893.8242,024.6912,069.0562,097.123,468.2873,464.5372,055.6393,363.0822,351.6342,354.977899.3041,025.613977.2641,011.319
Kortetermijnbeleggingen 22,398.5810,082.4415,076.8722,424.0231,177.726423.68271.741114.882129.30888.773136.465173.674191.672198.152215.89999.19324.45829.56158.77122.3467.9675.281
Liquide middelen en kortetermijnbeleggingen 34,521.63817,132.0059,722.4155,329.1384,456.5584,231.5331,780.2081,627.0142,023.1322,113.4642,205.5212,270.7943,659.9593,662.6892,271.5383,462.2752,376.0922,384.538958.0751,047.96985.2311,016.6
Nettovorderingen 13,714.2178,572.1533,732.6632,054.2641,896.1742,119.0472,485.6981,821.31,556.4351,324.9531,488.0971,670.469808.05681.2871,115.1791,221.2691,617.2251,420.851,488.212721.861533.922451.266
Voorraad 8,149.5074,326.6852,057.727793.472634.95666.42601.962441.565367.45247.911274.036245.157253.104216.179637.148725.859594.887526.182638.142303.847193.035168.973
Overige vlottende activa 1,575.72511.4170.8670.780.5650.59224.38115.62411.71673.40110.1676.869272.28211.994271.592307.9811,641.6831,450.41186.7514,902.2883,805.5563,793.956
Totaal vlottende activa 57,961.08730,042.2615,513.6728,177.6546,988.2477,017.5924,892.2493,905.5033,958.7333,759.7293,977.8214,193.2894,993.3934,772.1494,295.4575,717.3844,588.2044,331.573,171.1796,975.9555,517.7435,430.796
Niet-vlottende activa:
Materiële vaste activa, netto 12,867.9913,959.3842,395.2451,998.7811,339.2291,033.431,319.4381,167.9011,041.089820.434901.2841,648.9831,217.645929.331,610.9071,544.7391,425.821,368.3321,583.3161,299.9291,175.7781,232.747
Goodwill 1,240.236437.023108.843105.10164.27434.476403.713403.713403.713395.567520.005518.957539.951896.6531,715.5691,612.1651,542.9211,282.0312,808.941000
Immateriële activa 9,413.9942,437.8821,228.9991,057.872599.6683.234947.5961,116.872953.972852.2691,055.8441,078.567727.226859.3351,311.4531,317.7611,247.261732.747208.1041,472.1411,385.7241,494.294
Goodwill en immateriële activa 10,654.232,874.9051,337.8421,162.973663.874717.711,351.3091,520.5851,357.6851,247.8361,575.8491,597.5241,267.1771,755.9883,027.0222,929.9262,790.1822,014.7783,017.0451,472.1411,385.7241,494.294
Langetermijnbeleggingen -18,269.165-8,601.945-4,447.802-1,993.188-846.324-106.311411.811285.305221.421284.601207.215-171.458-185.942-189.838-188.332-85.483.464-25.167-53.7931,149.742830.485624.829
Belastingvorderingen 943.675889.666138.916111.51697.79667.30653.06442.303106.105105.827132.903116.46890.12496.99171.248118.56184.437100.702131.397189.536156.203296.28
Overige niet-vlottende activa 29,259.90413,067.3037,356.8654,235.4672,997.7692,220.0831,250.64910.299756.331658.908792.9011,283.8571,265.674668.707728.525383.337176.34494.35157.772661.52159.68464.518
Totaal niet-vlottende activa 35,456.63512,189.3136,781.0665,515.5494,252.3443,932.2184,386.2623,926.3933,482.6313,117.6063,610.1524,475.3743,654.6783,261.1785,249.374,891.0834,480.2473,552.9954,835.7384,772.8693,607.8733,712.669
Totaal activa 93,417.72342,231.57322,294.73813,693.20311,240.59110,949.819,278.5117,831.8967,441.3646,877.3357,587.9738,668.6638,648.0718,033.3279,544.82710,608.4679,068.4517,884.5658,006.91711,748.8249,125.6169,143.464
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,834.0522,984.1161,916.105715.907746.083819.7111,304.301964.513753.902611.976534.442412.91445.243396.3451,257.4091,315.225867.3661,002.671976.4291,095.281768.467631.989
Kortlopende schulden 15,695.529,301.7673,219.1851,837.2161,855.0531,862.8282,617.6031,393.8371,456.059994.5481,038.9481,389.045934.851,024.3411,354.5851,098.211339.274283.705674.621000
Belastingschulden 545.044367.9485.083158.965127.855115.158137.62104.5773.2948.63568.74673.6338.85876.46210.69971.142196.38202.929019.19616.77633.99
Uitgestelde opbrengsten 10,197.8942,561.017796.719329.509223.88963.08493.08393.545482.536373.934450.695613.363251.029312.562424.158452.894318.499321.947925.119000
Overige kortlopende verplichtingen 52.8423.8340.4394.4476.09242.287293.18536.7961.3460.0950.2080.006396.167100.669141.303103.295151.742233.3014.656,578.0394,768.2915,243.778
Totaal kortlopende verplichtingen 28,780.30814,850.7345,932.4482,887.0792,831.1152,987.914,308.1692,788.6912,693.8431,980.5532,024.2932,415.3242,027.2891,833.9173,177.4552,969.6251,676.8811,841.6242,580.8197,673.325,536.7595,875.767
Langlopende verplichtingen:
Langetermijnschulden 5,192.5672,598.9331,438.1151,061.045596.455625.813747.215895.383665.5251,108.6371,059.4391,474.2261,623.2321,085.6761,473.3232,035.3881,382.9751,237.8011,319.053763.8031,077.9821,303.903
Uitgestelde opbrengsten niet-vlottend 98.97622.88219.95612.074.976.0475.6267.4571.410.5623.56312.364603.1400-212.4400-209.9277.846111.4112.794
Uitgestelde belastingverplichtingen niet-vlottend 3,508.099644.196362.457274.575128.88585.548104.536137.51152.384150.338199.145196.289138.35128.09226.03257.748272.944164.569121.92443.9922.45985.788
Overige niet-vlottende verplichtingen 541.18610.56222.08280.19747.826242.6011,112.899985.691885.991727.395301.098480.038404.991364.602426.767852.322772.295472.135791.717314.426107.47590.692
Totaal niet-vlottende verplichtingen 9,340.8223,876.5712,042.611,427.887778.136960.0091,970.2762,026.0411,705.311,986.9321,563.2452,162.9172,769.7131,578.3682,126.122,933.0182,428.2141,874.5052,022.7671,130.0671,299.3161,593.177
Totaal passiva 38,121.1318,727.3057,975.0584,314.9663,609.2513,947.9196,278.4454,814.7324,399.1533,967.4853,587.5384,578.2414,797.0023,412.2855,303.5755,902.6434,105.0953,716.1294,603.5868,803.3876,836.0757,468.943
Eigen vermogen:
Preferente aandelen 0000000000000000000000
Gewone aandelen 2,616.9962,616.9382,616.9382,616.9382,616.9382,616.9382,616.9382,616.9382,616.9382,616.9382,4502,4502,4502,4502,4502,4501,5001,500735.288735.288588.231452.485
Ingehouden winsten -10,545.18312,026.1667,110.1594,052.7273,129.8173,216.105-816.991-777.936-1,479.935-1,338.452-600.119-675.706-1,068.739563.521837.2761,022.944645.936980.183655.479472.726323.107-60.22
Overige gereserveerde algehele resultaten 22,318.1255,454.7923,058.8871,607.6741,218.242652.922632.437512.33399.533160.406257.01300000000000
Overige totale aandeelhoudersvermogen 34,036.873119.152119.152162.65171.612175.714175.979227.0111,415.5861,316.3271,143.2931,406.7131,657.777851.023186.829380.5581,611.639909.3571,220.846-211.31-125.4578.191
Totaal eigen vermogen van aandeelhouders 48,426.81120,217.04812,905.1368,439.9897,136.6096,661.6792,608.3632,578.3462,652.1222,755.2193,250.1873,181.0073,039.0383,864.5443,474.1053,853.5023,757.5753,389.542,611.613996.704785.881400.455
Totaal eigen vermogen 55,296.59323,504.26814,319.689,378.2377,631.347,001.8923,000.0663,017.1643,042.2112,909.854,000.4354,090.4223,851.0694,621.0424,241.2524,705.8244,963.3564,168.4363,403.331,971.071,537.7111,037.488
Totaal passiva en aandeelhoudersvermogen 93,417.72342,231.57322,294.73813,693.20311,240.59110,949.8119,278.5117,831.8967,441.3646,877.3357,587.9738,668.6638,648.0718,033.3279,544.82710,608.4679,068.4517,884.5658,006.91711,748.8249,125.6169,143.464