🔴 DAPGM 2026-03 Bilanço Analizi | DAP Gayrimenkul Geliştirme

EPISODE · May 4, 2026 · 23 MIN

🔴 DAPGM 2026-03 Bilanço Analizi | DAP Gayrimenkul Geliştirme

from Market Risk TR · host Market Risk

Önemli Finansal Göstergeler (31 Mart 2026)Hasılat ve Kar: Şirket, 2026 yılının ilk üç aylık döneminde 2.350.899.907 TL hasılat elde etmiştir. Bu dönemdeki net dönem karı ise 51.151.779 TL olarak gerçekleşmiştir.Varlık Yapısı: Şirketin toplam varlıkları 31 Mart 2026 itibarıyla 33.714.633.241 TL seviyesindedir. Bu varlıkların 11.110.436.716 TL'sini dönen varlıklar, 22.604.196.525 TL'sini ise duran varlıklar oluşturmaktadır.Özkaynaklar: Şirketin toplam özkaynakları 16.202.777.314 TL olarak kaydedilmiştir.Proje Gelirleri: Dönem hasılatının büyük bir kısmı 2.201.310.632 TL ile Levent Projesi'nden sağlanırken, Ataşehir Projesi'nden 149.589.275 TL gelir elde edilmiştir.Enflasyon Muhasebesi: Finansal tablolar, TMS 29 "Yüksek Enflasyonlu Ekonomilerde Finansal Raporlama" standardı uyarınca, 31 Mart 2026 tarihindeki satın alma gücü cinsinden düzenlenmiştir.Personel Durumu: 2026 yılının ilk üç ayında şirkette çalışan ortalama personel sayısı 106'dır.

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🔴 DAPGM 2026-03 Bilanço Analizi | DAP Gayrimenkul Geliştirme

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