İş Gayrimenkul Yatırım Ortaklığı A.Ş. (ISGYO)

Çeyreklik Gelir Tablosu

Kalem2025/032024/122024/092024/062024/032023/122023/092023/062023/032022/122022/092022/062022/032021/122021/092021/06
Hasılat740.179.5391.713.116.9591.014.051.2261.291.126.844436.890.770618.059.325329.493.609329.024.330374.114.474929.017.800212.302.787171.753.868139.481.365202.042.482120.618.34893.884.211
Satışların Maliyeti (-)-380.791.625-1.212.976.300-740.499.807-908.428.412-80.976.106-219.114.401-79.667.958-84.553.091-79.087.946-439.845.497-114.542.573-43.816.633-43.861.149-83.629.865-51.035.608-39.720.170
Ticari Faaliyetlerden Brüt Kar (Zarar)359.387.914500.140.659273.551.419382.698.432355.914.664398.944.924249.825.651244.471.239295.026.528489.172.30397.760.214127.937.23595.620.216118.412.61769.582.74054.164.041
Finans Sektörü Faaliyetleri Hasılatı0000000000000000
Finans Sektörü Faaliyetleri Maliyeti (-)0000000000000000
Finans Sektörü Faaliyetlerinden Brüt Kar (Zarar)0000000000000000
Brüt Kar/Zarar359.387.914500.140.659273.551.419382.698.432355.914.664398.944.924249.825.651244.471.239295.026.528489.172.30397.760.214127.937.23595.620.216118.412.61769.582.74054.164.041
Genel Yönetim Giderleri (-)-67.494.380-96.018.456-55.236.248-63.646.520-55.592.800-49.580.253-42.916.803-52.976.076-55.545.821-60.505.277-13.664.320-13.464.901-9.834.602-6.073.749-6.135.279-10.312.204
Pazarlama Giderleri (-)-26.939.770-33.104.895-16.834.437-14.935.511-11.177.406-20.779.621-11.248.037-13.162.029-14.699.094-22.179.891-2.645.941-6.949.883-4.475.639-9.788.650-1.583.231-1.602.229
Araştırma ve Geliştirme Giderleri (-)0000000000000000
Esas Faaliyetlerden Diğer Gelirler6.433.3951.180.752.54561.874.1612.399.717.6706.848.960-52.970.571-808.489.1443.705.252.261101.452.9977.526.457.35219.062.19613.404.1207.896.9521.227.179.5501.493.0802.237.735
Esas Faaliyetlerden Diğer Giderler-511.010.27019.625.963-327.190.913455.894.159-591.945.361790.143.323-943.878.211144.636.249-144.636.2493.014.220-1.375.917-1.034.746-1.083.3722.074.636-737.137-620.855
Esas Faaliyet Karı/Zararı-239.623.1111.571.395.816-63.836.0183.159.728.230-295.951.9431.065.757.802-1.556.706.5444.028.221.645181.598.3607.935.958.70799.136.232119.891.82588.123.5551.331.804.40462.620.17343.866.488
Yatırım Faaliyetlerinden Gelirler0000022.477.17038.405.7000019.230.57914.698.78400000
Yatırım Faaliyetlerinden Giderler (-)00000-964.38000-15.380.8710000000
Finansman Gideri Öncesi Faaliyet Karı/Zararı-232.264.1051.575.874.292-61.291.5883.160.108.099-294.906.7431.091.038.713-1.515.014.5494.025.569.599168.444.0227.951.745.895115.709.579121.333.97089.528.8871.332.467.29363.268.07344.237.587
Finansman Gelirleri199.181.544139.092.28028.538.20715.320.13153.457.117122.321.92516.240.7249.848.04510.710.91400-2.905.9622.905.96228.821.634-5.527.172-3.152.570
Finansman Giderleri (-)-1.120.888.484-369.445.996-226.983.599-367.313.16498.172.748-407.063.460791.131.483-304.275.565511.932.701471.222.882-70.956.132-51.352.996-26.327.233-42.120.969-42.374.686-49.297.663
Sürdürülen Faaliyetler Vergi Öncesi Karı/Zararı-1.153.971.0451.345.520.576-259.736.9802.808.115.066-143.276.878806.297.178-707.642.3423.731.142.079691.087.6378.422.968.77744.753.44767.075.01266.107.6161.319.167.95815.366.215-8.212.646
Sürdürülen Faaliyetler Vergi Gelir/Gideri275.752.997-2.768.829.23000000000000000
- Dönem Vergi Gelir/Gideri-122.124.485000000000000000
- Ertelenmiş Vergi Gelir/Gideri397.877.482-2.768.829.23000000000000000
Dönem Karı/Zararı-878.218.048-1.423.308.655-259.736.9802.808.115.066-143.276.878806.297.178-707.642.3423.731.142.079691.087.6378.422.968.77744.753.44767.075.01266.107.6161.319.167.95815.366.215-8.212.646
Ana Ortaklık Payları-878.218.048-1.423.308.655-259.736.9802.808.115.066-143.276.878806.297.178-707.642.3423.731.142.079691.087.6378.422.968.77744.753.44767.075.01266.107.6161.319.167.95815.366.215-8.212.646

Tabvendor'daki gelişmelerden ilk sen haberdar olmak istersen e-mail adresini bırakabilirsin!