Aksigorta A.Ş. (AKGRT)

Çeyreklik Nakit Akışı

Kalem2024/062024/032023/122023/092023/062023/032022/122022/092022/062022/032021/122021/092021/062021/032020/122020/09
Esas Faaliyetlerden Kaynaklanan Net Nakit1.725.413.0652.249.927.7021.541.331.266311.038.9691.280.343.909357.583.901441.730.819529.884.917400.935.871-115.910.902240.312.618-62.176.266322.368.876-2.252.038-11.777.309335.412.903
Sigortacılık Faaliyetlerinden Elde Edilen Nakit Girişleri11.065.501.79615.663.323.90015.285.896.95411.312.429.93311.605.153.5737.567.623.7436.893.359.6743.527.495.0414.410.632.4883.283.324.0523.797.098.4991.746.738.6521.712.766.3031.987.443.9502.438.472.2691.572.605.128
Sigortacılık Faaliyetleri Nedeniyle Yapılan Nakit Çıkışı (-)-9.075.307.101-13.348.399.102-13.885.150.729-10.941.327.474-10.649.846.775-6.835.214.851-6.504.283.071-2.567.356.091-4.135.974.018-3.207.912.768-3.453.259.268-1.687.064.534-1.347.118.081-1.811.194.974-2.302.174.799-1.140.077.092
Reasürans Faaliyetlerinden Elde Edilen Nakit Girişleri0000000000000000
Emeklilik Faaliyetlerinden Elde Edilen Nakit Girişleri0000000000000000
Esas Faaliyetler Sonucu Oluşan Nakit1.990.194.6952.314.924.7981.400.746.225371.102.459955.306.798732.408.892389.076.603960.138.950274.658.47075.411.284343.839.23159.674.118365.648.222176.248.976136.297.470432.528.036
Reasürans Faaliyetleri Nedeniyle Nakit Çıkışı (-)0000000000000000
Emeklilik Faaliyetleri Nedeniyle Nakit Çıkışı (-)0000000000000000
Gelir Vergisi Ödemeleri (-)-133.464.440-5.453.391747.1432.923.636-7.541.9830-695.521-734.670-4.608.047-19.690.867-15.999.252-47.161.579-22.573.285-18.176.934-26.288.409-49.207.593
Faiz Ödemeleri (-)0000000000000000
Yatırım Faaliyetlerden Kaynaklanan Net Nakit-441.171.076-917.240.810-338.334.776-406.629.894-2.213.342.921-1.146.606.4612.271.119.196-1.021.597.996-243.320.242-343.664.317-429.625.880-105.300.518188.139.917-139.602.921709.772.465-71.923.113
Maddi Varlıkların Satışı284.024849.9132.211.024241.601922.851197.058823.57758.780327.5651.906.728-989.661989.66112.395302.4841.450.291-36.618
Maddi Varlıkların İktisabı (-)-41.950.225-108.187.646-54.623.822-105.503.252-85.345.433-32.209.752-47.212.685-26.623.878-21.539.114-21.344.777-47.242.359-14.052.370-27.931.375-7.991.102-14.871.708-7.765.806
Mali Varlık İktisabı (-)-1.268.820.704-1.643.212.995-879.241.704-850.905.5461.018.430.279-5.643.602.502-3.724.167.897-4.485.632.591-1.063.332.647-1.060.112.637-1.526.719.999-710.127.261-440.527.608-1.234.366.801-639.628.015-611.452.358
Mali Varlıkların Satışı684.098.526753.304.425239.359.440389.682.673-3.044.637.6114.012.377.7995.517.495.7483.274.728.999610.793.238642.139.792786.810.632543.283.640436.399.8301.064.694.8601.157.130.302506.262.170
Alınan Faiz185.217.30380.005.493353.960.286159.854.63014.687.787399.230.142466.898.366312.704.289134.275.021189.902.272255.257.373149.464.934148.917.16092.220.770145.746.14040.372.615
Alınan Temettüler0000000000000000
Finansman Faaliyetlerinden Kaynaklanan Net Nakit-25.244.7824.207.24780.510.143-13.569.366-346.020.636-217.307.971435.662.830976.522.626-11.439.88577.042.091863.079-107.341.546-3.693.325-205.670.103-3.889.709-3.853.713
Finansal Kiralama Borçları Ödemeleri (-)-25.244.7824.207.247-4.453.385-13.569.366-11.224.236-7.631.246-7.101.741-4.834.465-2.888.541-5.823.882863.079-3.301.546-3.693.325-3.710.103-3.889.709-3.853.713
Hisse Senedi İhracı0000003.463.617000000000
Kredilerle İlgili Nakit Girişleri0000219.819.167-219.819.167185.271.971190.701.15382.589.58385.910.417000000
Ödenen Temettüler (-)00000000000-104.040.0000-201.960.00000

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