Anel Elektrik Proje Taahhüt ve Ticaret A.Ş. (ANELE)

Çeyreklik Gelir Tablosu

Kalem2025/092025/062025/032024/122024/092024/062024/032023/122023/092023/062023/032022/122022/092022/062022/032021/12
Hasılat2.413.163.7721.834.066.0291.901.541.581873.238.7502.470.358.934717.997.4531.354.030.740631.443.0541.268.154.841732.861.7791.187.887.0760858.512.227653.093.734582.859.329348.384.600
Satışların Maliyeti (-)-2.362.955.386-1.895.450.410-1.813.874.046-399.876.867-2.406.165.494-602.269.134-1.188.016.908-268.219.023-1.371.273.920-744.666.276-1.030.340.0350-851.294.145-640.132.644-563.917.147-384.445.585
Ticari Faaliyetlerden Brüt Kar (Zarar)50.208.387-61.384.38187.667.534473.361.88264.193.441115.728.318166.013.832363.224.031-103.119.079-11.804.497157.547.03807.218.08212.961.09018.942.182-36.060.985
Finans Sektörü Faaliyetleri Hasılatı0000000000000000
Finans Sektörü Faaliyetleri Maliyeti (-)0000000000000000
Finans Sektörü Faaliyetlerinden Brüt Kar (Zarar)0000000000000000
Brüt Kar/Zarar50.208.387-61.384.38187.667.534473.361.88264.193.441115.728.318166.013.832363.224.031-103.119.079-11.804.497157.547.03807.218.08212.961.09018.942.182-36.060.985
Genel Yönetim Giderleri (-)-60.641.262-23.148.386-85.513.923-71.270.240-53.856.929-56.375.776-60.187.602-55.937.603-45.924.522-74.883.873-62.988.9500-19.344.430-13.643.404-16.448.237-22.192.825
Pazarlama Giderleri (-)0000000000000000
Araştırma ve Geliştirme Giderleri (-)0000000000000000
Esas Faaliyetlerden Diğer Gelirler181.600.588394.725.062345.217.47460.551.13088.297.96637.679.189315.053.799317.457.377-121.897.993657.991.623494.974.283071.070.007151.498.855121.197.213289.907.924
Esas Faaliyetlerden Diğer Giderler-138.449.320-402.829.331-341.873.316-109.406.829-1.528.096.157-29.508.334-316.888.192-392.743.596114.402.222-644.252.311-511.391.3140-94.795.146-163.421.296-108.318.751-243.887.049
Esas Faaliyet Karı/Zararı32.718.392-92.637.0355.497.769353.235.943-1.429.461.67967.523.398103.991.836232.000.208-156.539.367-72.949.05478.141.0500-35.851.487-12.604.75515.372.407-12.232.935
Yatırım Faaliyetlerinden Gelirler-11.51413.3768.00319.591.576-57.90988.12447.9501.235.656-220.278163.519111.897028.709-14.79219.49260.157.623
Finansman Gideri Öncesi Faaliyet Karı/Zararı32.706.878-92.623.6615.505.774372.827.519-1.429.315.40567.605.691103.841.434208.905.498-156.759.645-72.786.91478.192.2110-35.822.654-13.035.69215.390.32145.802.843
Finansman Gelirleri14.323.06142.719.84356.427.84224.897.99745.955.66978.155.49213.740.758-958.388.593742.272.034245.664.6087.777.2310697.8184.285.2364.313.39528.792.143
Finansman Giderleri (-)-92.645.694-162.149.811-117.439.138-74.373.874-155.660.076-62.746.555-114.292.7661.007.156.002-1.055.241.683-491.497.727-109.423.0850-43.810.403-52.281.523-43.667.172-100.022.735
Sürdürülen Faaliyetler Vergi Öncesi Karı/Zararı39.513.593-77.156.910204.614.25525.424.228-201.217.772696.479.961-438.212.628324.081.551129.496.248-171.149.299217.092.1080-78.935.239-61.031.979-23.963.456-25.427.749
Sürdürülen Faaliyetler Vergi Gelir/Gideri35.584.2642.927.0673.905.891-7.218.307-73.355.928-187.020.848-9.005.366607.530-28.864.082-48.574.039-969.17309.193.52512.503.4903.540.145-26.290.027
- Dönem Vergi Gelir/Gideri-5.834.666-3.297.112-649.6833.930.867-2.170.467-201.029-7.823.213-9.829.069-5.798.980-12.793.916-4.328.03305.771.9622.098.684-14.096.988-1.440.575
- Ertelenmiş Vergi Gelir/Gideri41.418.9306.224.1784.555.575-11.149.176-71.185.461-186.819.819-1.182.15310.436.599-23.065.105-35.780.1173.358.85803.421.56310.404.80617.637.133-24.849.452
Dönem Karı/Zararı75.097.857-74.229.844208.520.14718.205.921-274.573.700509.459.114-447.217.995324.689.083100.632.159-219.723.332216.122.9320-69.741.714-48.528.489-20.423.311-51.717.776
Ana Ortaklık Payları72.946.168-72.239.254212.203.08314.528.569-289.993.820551.646.477-475.395.842319.033.525114.744.672-242.609.117211.904.1890-70.228.373-48.072.136-20.363.718-51.808.241

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