Işık Plastik Sanayi ve Dış Ticaret Pazarlama A.Ş. (ISKPL)

Çeyreklik Gelir Tablosu

Kalem2023/092023/062023/032022/122022/092022/062022/032021/122021/092021/062021/032020/122020/092020/062020/032019/12
Hasılat342.884.784280.258.063281.771.413201.987.027217.860.657185.567.356196.662.531116.831.597112.912.20693.292.768104.838.048109.006.396138.534.423112.421.26661.159.5230
Satışların Maliyeti (-)-224.075.566-203.518.389-208.308.646-161.858.192-177.462.574-135.572.629-149.529.609-80.360.273-81.396.087-67.221.867-77.195.090-76.024.686-76.553.342-71.077.562-45.858.3430
Ticari Faaliyetlerden Brüt Kar (Zarar)118.809.21876.739.67473.462.76740.128.83540.398.08349.994.72747.132.92236.471.32431.516.11926.070.90127.642.95832.981.71061.981.08141.343.70415.301.1800
Finans Sektörü Faaliyetleri Hasılatı0000000000000000
Finans Sektörü Faaliyetlerinden Brüt Kar (Zarar)0000000000000000
Brüt Kar/Zarar118.809.21876.739.67473.462.76740.128.83540.398.08349.994.72747.132.92236.471.32431.516.11926.070.90127.642.95832.981.71061.981.08141.343.70415.301.1800
Genel Yönetim Giderleri (-)-30.195.200-14.474.579-10.935.083-12.539.095-7.675.408-10.597.169-6.212.421-7.632.079-5.812.523-5.871.231-4.863.582-7.808.780-1.971.034-3.670.912-2.985.1130
Pazarlama Giderleri (-)-30.623.930-16.597.093-9.406.682-10.290.349-10.166.652-13.069.856-7.585.450-6.239.914-5.930.517-6.143.314-3.951.819-3.359.080-7.818.663-4.872.831-2.888.6890
Araştırma ve Geliştirme Giderleri (-)00000000213.111-97.396-115.7151.588.249-2.195.879-99.241-75.4460
Esas Faaliyetlerden Diğer Gelirler22.720.09657.896.0119.702.66215.613.68519.882.44448.489.35118.528.94246.100.3133.972.4526.919.2449.290.5722.456.58913.722.3242.949.9405.162.1710
Esas Faaliyetlerden Diğer Giderler-39.839.291-37.656.489-7.554.525-6.566.442-17.190.678-41.226.056-15.743.600-28.763.373-3.844.188-5.956.556-8.823.861-2.140.617-15.130.599-3.066.675-4.683.1760
Esas Faaliyet Karı/Zararı40.870.89365.907.52455.269.13926.346.63425.247.78933.590.99736.120.39339.936.27120.114.45414.921.64819.178.55323.718.07148.587.23032.583.9859.830.9270
Yatırım Faaliyetlerinden Gelirler755.4721.515.919838.0960000000000000
Finansman Gideri Öncesi Faaliyet Karı/Zararı41.626.36567.423.44356.107.23524.991.30824.474.63433.389.25536.086.19236.573.65620.114.45414.921.64819.178.55323.718.07148.587.23032.583.9859.830.9270
Finansman Gelirleri8.757.9765.385.820954.869-659.7001.373.488-2.261.2263.193.1909.902.212-768.5771.507.7569.250.8322.474.1621.436.903598.848318.8510
Finansman Giderleri (-)-20.788.100-25.479.359-15.562.513-14.512.262-8.777.326-11.212.805-6.313.458-19.815.971-1.840.983-2.019.345-2.833.956-7.485.167-11.644.934-5.976.008-11.029.7220
Sürdürülen Faaliyetler Vergi Öncesi Karı/Zararı29.596.24147.329.90441.499.5919.819.34617.070.79619.915.22432.965.92426.659.89717.504.89414.410.05925.595.42918.707.06638.379.19927.206.825-879.9440
Sürdürülen Faaliyetler Vergi Gelir/Gideri11.272.940-12.115.514-3.953.7356.030.7913.155.85215.676.119-7.097.370-5.608.009-3.822.081-3.772.202-4.900.309-3.329.998-8.702.395-4.721.380-1.151.8260
- Dönem Vergi Gelir/Gideri-9.080.941-8.594.431-6.101.876-670.565-1.949.206-2.457.625-7.290.417-7.181.789-3.286.427-4.375.984-5.017.301-4.178.465-8.295.503-5.000.76100
- Ertelenmiş Vergi Gelir/Gideri20.353.881-3.521.0832.148.1416.701.3565.105.05818.133.744193.0471.573.780-535.654603.782116.992848.467-406.892279.381-1.151.8260
Dönem Karı/Zararı40.869.18135.214.39037.545.85615.850.13720.226.64835.591.34325.868.55421.051.88813.682.81310.637.85720.695.12015.377.06829.676.80422.485.445-2.031.7700
Ana Ortaklık Payları40.869.18135.214.39037.545.85615.850.13720.226.64835.591.34325.868.55421.051.88813.682.81310.637.85720.695.12015.377.06829.676.80422.485.445-2.031.7700

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