Broker | Symbol | Type | Quantity | Price | Amount | Available | Cost | P/L |
---|
Symbol | Type | Quantity | Price | Amount | Available | Cost | P/L |
---|
Symbol | Type | Quantity | Price | Amount | Available | Cost | P/L |
---|
VESTEL ELEKTRONİK SANAYİ VE TİCARET A.Ş.
Items | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
CashAndCashEquivalents |
2.064.871.000
(-43.9%)
|
2.658.167.000
(+55.8%)
|
2.993.741.000
(+13.4%)
|
4.747.455.000
(+215.9%)
|
3.678.116.000
(+33.9%)
|
1.706.591.000
(+34.8%)
|
CurrentTradeReceivablesDueFromRelaedParties |
1.494.340.000
(+93.8%)
|
1.205.791.000
(+46.1%)
|
1.262.395.000
(+140.3%)
|
767.707.000
(+193.1%)
|
771.189.000
(+420.8%)
|
825.343.000
(+1597.3%)
|
CurrentTradeReceivablesDueFromUnrelatedParties |
15.865.996.000
(-20.7%)
|
14.412.183.000
(-19.6%)
|
20.981.677.000
(+5.0%)
|
20.916.151.000
(+52.3%)
|
20.004.446.000
(+49.3%)
|
17.918.590.000
(+60.2%)
|
OtherCurrentReceivablesDueFromRelatedParties |
1.158.979.000
(+18.5%)
|
1.107.205.000
(+14.9%)
|
1.145.335.000
(+11.9%)
|
1.010.937.000
(-49.7%)
|
977.837.000
(-47.7%)
|
963.673.000
(-38.1%)
|
OtherCurrentReceivablesDueFromUnrelatedParties |
1.341.381.000
(+9.4%)
|
1.670.578.000
(+39.3%)
|
1.570.431.000
(-0.1%)
|
1.485.143.000
(+32.5%)
|
1.225.720.000
(+24.5%)
|
1.199.131.000
(+31.6%)
|
Inventories |
30.070.783.000
(-4.3%)
|
29.526.131.000
(+10.6%)
|
30.231.395.000
(+11.8%)
|
32.111.904.000
(+58.1%)
|
31.427.268.000
(+83.8%)
|
26.691.386.000
(+95.4%)
|
CurrentPrepaymentsToRelatedParties |
786.683.000
-
|
400.194.000
-
|
561.820.000
-
|
-
-
|
-
-
|
-
-
|
CurrentPrepaymentsToUnrelatedParties |
1.417.341.000
(-5.8%)
|
1.234.056.000
(+28.2%)
|
1.198.166.000
(-31.7%)
|
1.325.220.000
(+0.8%)
|
1.504.595.000
(+125.2%)
|
962.540.000
(+116.9%)
|
CurrentTaxAssetsCurrent |
25.908.000
(+180.6%)
|
40.046.000
(+704.5%)
|
36.060.000
(+125.8%)
|
16.134.000
(-49.4%)
|
9.232.000
(-77.4%)
|
4.978.000
(-91.2%)
|
OtherCurrentAssetsDueFromUnrelatedParties |
798.366.000
(+142.8%)
|
950.135.000
(+120.3%)
|
875.075.000
(+66.3%)
|
488.329.000
(-2.6%)
|
328.802.000
(-44.7%)
|
431.294.000
(-10.0%)
|
CurrentAssetsOtherThanAssetsOrDisposalGroupsClassifiedAsHeldForSaleOrAsHeldForDistributionToOwners |
55.219.010.000
(-8.4%)
|
53.483.364.000
(+5.2%)
|
61.567.531.000
(+11.2%)
|
62.993.994.000
(+52.7%)
|
60.286.601.000
(+58.3%)
|
50.822.554.000
(+69.2%)
|
CurrentAssets |
55.219.010.000
(-8.4%)
|
53.483.364.000
(+5.2%)
|
61.567.531.000
(+11.2%)
|
62.993.994.000
(+52.7%)
|
60.286.601.000
(+58.3%)
|
50.822.554.000
(+69.2%)
|
NoncurrentFinancialInvestments |
495.107.000
(+65.6%)
|
499.383.000
(+64.1%)
|
559.884.000
(+68.2%)
|
286.177.000
(+163.3%)
|
298.932.000
(+237.8%)
|
304.254.000
(+206.4%)
|
InvestmentsInSubsidiariesJointVenturesAndAssociates |
3.814.421.000
(-41.1%)
|
4.695.814.000
(-29.7%)
|
5.564.714.000
(-17.4%)
|
6.371.052.000
(+373.8%)
|
6.479.140.000
(+320.0%)
|
6.677.836.000
(+256.3%)
|
NoncurrentTradeReceivablesDueFromUnrelatedParties |
3.729.000
(+10258.3%)
|
200.000
(+19.8%)
|
620.000
(-34.4%)
|
266.000
(-79.6%)
|
36.000
(-76.9%)
|
167.000
(-60.3%)
|
OtherNoncurrentReceivablesDueFromRelatedParties |
54.320.866.000
(+56.3%)
|
49.128.077.000
(+47.8%)
|
48.277.055.000
(+45.8%)
|
38.728.208.000
(+54.8%)
|
34.744.005.000
(+51.4%)
|
33.246.590.000
(+94.7%)
|
OtherNoncurrentReceivablesDueFromUnrelatedParties |
45.098.000
(+63.4%)
|
37.157.000
(+59.2%)
|
111.472.000
(+187.4%)
|
61.774.000
(+191.7%)
|
27.595.000
(-3.7%)
|
23.339.000
(-27.1%)
|
RightOfUseAssets |
3.903.457.000
(+112.6%)
|
3.335.473.000
(+86.3%)
|
2.697.900.000
(+90.5%)
|
1.895.293.000
(+263.6%)
|
1.836.344.000
(+229.5%)
|
1.790.601.000
(+260.9%)
|
NoncurrentPrepaymentsToUnrelatedParties |
723.847.000
(-24.9%)
|
833.380.000
(+94.9%)
|
907.969.000
(+119.9%)
|
833.027.000
(+330.0%)
|
963.441.000
(+204.5%)
|
427.671.000
(+28.0%)
|
NoncurrentAssets |
139.386.165.000
(+45.5%)
|
130.966.091.000
(+47.1%)
|
130.485.310.000
(+47.1%)
|
104.487.578.000
(+122.8%)
|
95.794.266.000
(+120.1%)
|
89.018.234.000
(+151.6%)
|
Assets |
194.605.175.000
(+24.7%)
|
184.449.455.000
(+31.9%)
|
192.052.841.000
(+33.3%)
|
167.481.572.000
(+90.0%)
|
156.080.867.000
(+91.2%)
|
139.840.788.000
(+113.8%)
|
CurrentBankLoansFromUnrelatedParties |
38.552.558.000
(+64.9%)
|
36.798.478.000
(+32.8%)
|
36.518.156.000
(+56.5%)
|
28.776.740.000
(+47.4%)
|
23.379.273.000
(+16.3%)
|
27.719.835.000
(+54.5%)
|
CurrentLeasingDebtsToUnrelatedParties |
650.933.000
(+148.5%)
|
585.813.000
(+107.9%)
|
356.871.000
(+34.3%)
|
264.115.000
(+103.3%)
|
261.983.000
(+75.5%)
|
281.765.000
(+74.8%)
|
IssuedShortTermDebtInstrumentsToUnrelatedParties |
1.730.447.000
(-66.9%)
|
4.748.892.000
(+3.1%)
|
4.233.339.000
(+3.6%)
|
3.452.912.000
(+31.9%)
|
5.222.929.000
(+349.7%)
|
4.603.873.000
(+232.5%)
|
CurrentPortionOfLongTermBankLoansFromUnrelatedParties |
3.243.931.000
(+165.0%)
|
2.414.892.000
(+34.0%)
|
3.115.460.000
(-4.1%)
|
1.615.120.000
(-37.6%)
|
1.223.979.000
(-46.2%)
|
1.802.333.000
(+2.2%)
|
CurrentTradePayablesToRelatedParties |
434.095.000
(+66.6%)
|
321.778.000
(+89.7%)
|
178.776.000
(+38.1%)
|
230.689.000
(+61.6%)
|
260.631.000
(+123.2%)
|
169.608.000
(+222.2%)
|
CurrentTradePayablesToUnrelatedParties |
48.243.267.000
(+16.8%)
|
43.598.398.000
(+7.4%)
|
47.829.570.000
(-0.7%)
|
44.563.863.000
(+26.0%)
|
41.315.526.000
(+27.7%)
|
40.605.363.000
(+82.4%)
|
CurrentEmployeeBenefitObligations |
3.246.352.000
(+162.3%)
|
2.811.647.000
(+77.8%)
|
1.307.543.000
(+24.5%)
|
1.111.274.000
(+9.4%)
|
1.237.651.000
(+17.5%)
|
1.581.523.000
(+96.5%)
|
OtherCurrentPayablesToUnrelatedParties |
653.327.000
(+94.4%)
|
256.052.000
(+616.5%)
|
240.482.000
(+1375.3%)
|
162.474.000
(+580.3%)
|
336.079.000
(+325.9%)
|
35.735.000
(+502.2%)
|
DeferredIncomeFromUnrelatedPartiesClassifiedAsCurrent |
632.392.000
(-70.2%)
|
758.570.000
(-61.3%)
|
745.965.000
(-39.4%)
|
2.110.112.000
(+57.7%)
|
2.121.621.000
(+34.2%)
|
1.960.790.000
(+112.9%)
|
CurrentTaxLiabilitiesCurrent |
54.425.000
(+93.5%)
|
56.308.000
(+46.7%)
|
18.898.000
(+4.8%)
|
25.725.000
(-68.2%)
|
28.126.000
(-63.1%)
|
38.378.000
(-78.4%)
|
OtherShorttermProvisions |
4.560.715.000
(+25.8%)
|
4.081.058.000
(+26.3%)
|
4.060.881.000
(+18.7%)
|
3.467.487.000
-
|
3.626.371.000
-
|
3.232.483.000
(+110.4%)
|
CurrentLiabilitiesOtherThanLiabilitiesIncludedInDisposalGroupsClassifiedAsHeldForSale |
111.968.228.000
(+33.2%)
|
103.347.289.000
(+20.4%)
|
105.550.011.000
(+17.4%)
|
93.091.010.000
(+37.6%)
|
84.087.465.000
(+31.6%)
|
85.826.956.000
(+75.4%)
|
CurrentLiabilities |
111.968.228.000
(+33.2%)
|
103.347.289.000
(+20.4%)
|
105.550.011.000
(+17.4%)
|
93.091.010.000
(+37.6%)
|
84.087.465.000
(+31.6%)
|
85.826.956.000
(+75.4%)
|
LongTermBankLoansFromUnrelatedParties |
7.900.323.000
(+400.5%)
|
1.981.813.000
(+9.7%)
|
2.131.474.000
(-0.8%)
|
1.119.119.000
-
|
1.578.492.000
(-8.3%)
|
1.806.233.000
(+69.9%)
|
LongTermLeasingDebtsToUnrelatedParties |
1.405.138.000
(+98.7%)
|
1.415.874.000
(+90.8%)
|
1.003.001.000
(+31.1%)
|
692.445.000
-
|
707.317.000
(+49.3%)
|
742.224.000
(+99.1%)
|
NoncurrentTradePayablesToUnrelatedParties |
136.609.000
(-14.9%)
|
138.977.000
(-27.4%)
|
135.318.000
(-34.0%)
|
173.673.000
(-56.7%)
|
160.615.000
-
|
191.325.000
(+10.5%)
|
NoncurrentProvisionsForEmployeeBenefits |
2.227.483.000
(+30.5%)
|
2.276.221.000
(+39.6%)
|
2.409.832.000
(+32.5%)
|
1.767.401.000
(+44.3%)
|
1.707.150.000
(+28.2%)
|
1.630.800.000
(+32.2%)
|
OtherLongtermProvisions |
567.604.000
(+21.3%)
|
599.711.000
(+13.3%)
|
660.548.000
(+64.4%)
|
548.576.000
(+114.0%)
|
468.023.000
(+117.2%)
|
529.420.000
(+317.2%)
|
OtherNoncurrentNonfinancialLiabilitiesToUnrelatedParties |
12.137.000
(-5.2%)
|
5.493.000
(-9.1%)
|
13.044.000
(-11.7%)
|
5.991.000
-
|
12.802.000
(+801.5%)
|
6.046.000
(-6.6%)
|
NoncurrentLiabilities |
35.631.686.000
(+60.7%)
|
28.984.890.000
(+284.1%)
|
28.822.048.000
(+305.1%)
|
23.912.511.000
(+446.7%)
|
22.173.351.000
(+443.8%)
|
7.546.748.000
(+153.6%)
|
Liabilities |
147.599.914.000
(+38.9%)
|
132.332.179.000
(+41.7%)
|
134.372.059.000
(+38.5%)
|
117.003.521.000
(+62.5%)
|
106.260.816.000
(+56.3%)
|
93.373.704.000
(+79.8%)
|
IssuedCapital |
335.456.000
(0.0%)
|
335.456.000
(0.0%)
|
335.456.000
(0.0%)
|
335.456.000
(0.0%)
|
335.456.000
(0.0%)
|
335.456.000
(0.0%)
|
InflationAdjustmentsOnCapital |
26.364.187.000
(+35.7%)
|
24.851.289.000
(+38.8%)
|
24.851.289.000
(+38.8%)
|
21.199.309.000
(+2979.9%)
|
19.434.932.000
(+2723.6%)
|
17.902.087.000
(+2500.9%)
|
AccumulatedIncreasesOrDecreasesOnRevaluationOfPropertyPlantAndEquipment |
19.533.327.000
(+74.1%)
|
18.461.902.000
(+78.0%)
|
18.496.163.000
(+77.8%)
|
12.188.309.000
(+114.9%)
|
11.221.812.000
(+96.3%)
|
10.370.323.000
(+79.1%)
|
AccumulatedGainsOrLossesOnRemeasurementsOfDefinedBenefitPlans |
-2.492.029.000
(-54.1%)
|
-2.344.594.000
(-57.5%)
|
-2.339.449.000
(-58.2%)
|
-1.772.474.000
(-104.7%)
|
-1.616.659.000
(-93.2%)
|
-1.488.172.000
(-102.0%)
|
AccumulatedExchangeDifferencesThatWillBeReclassifiedToProfitOrLoss |
2.711.903.000
(+61.9%)
|
2.389.477.000
(+118.0%)
|
2.356.394.000
(+27.2%)
|
1.452.462.000
(-34.8%)
|
1.674.790.000
(-24.5%)
|
1.095.882.000
(-34.0%)
|
AccumulatedGainsOrLossesOnCashFlowHedges |
-644.111.000
(-613.4%)
|
-79.819.000
(-143.1%)
|
140.171.000
(+173.7%)
|
-85.649.000
(-133.3%)
|
125.464.000
(+1385.4%)
|
-32.838.000
(+13.0%)
|
AccumulatedGainsOrLossesOnRemeasuringAndOrReclassificationOfAvailableForSaleFinancialAssets |
51.756.000
(-30.9%)
|
55.056.000
(-23.5%)
|
68.441.000
(-2.2%)
|
61.206.000
(+68.3%)
|
74.928.000
(+288.1%)
|
71.934.000
(+157.4%)
|
LegalReserves |
2.111.035.000
(+35.0%)
|
1.991.416.000
(+38.1%)
|
1.991.416.000
(+38.1%)
|
1.702.593.000
(+576.6%)
|
1.563.166.000
(+507.5%)
|
1.441.970.000
(+452.2%)
|
PriorYearsProfitsOrLosses |
3.610.496.000
(-70.2%)
|
3.370.508.000
(-69.8%)
|
15.465.926.000
(+63.3%)
|
13.246.696.000
(+173.4%)
|
12.130.293.000
(+171.8%)
|
11.171.239.000
(+163.6%)
|
CurrentPeriodNetProfitOrLossClassifiedInEquity |
-12.640.989.000
(-957.6%)
|
-5.076.976.000
(-2250.6%)
|
-12.129.679.000
(-827.2%)
|
-4.310.594.000
(-1018.3%)
|
-1.195.296.000
(-75.8%)
|
-215.988.000
(-238.9%)
|
NoncontrollingInterests |
8.064.230.000
(+32.8%)
|
8.163.561.000
(+40.4%)
|
8.444.654.000
(+52.4%)
|
6.460.737.000
(+187.1%)
|
6.071.165.000
(+318.2%)
|
5.815.191.000
(+336.1%)
|
Equity |
47.005.261.000
(-5.6%)
|
52.117.276.000
(+12.2%)
|
57.680.782.000
(+22.7%)
|
50.478.051.000
(+212.2%)
|
49.820.051.000
(+265.6%)
|
46.467.084.000
(+244.3%)
|
EquityAndLiabilities |
194.605.175.000
(+24.7%)
|
184.449.455.000
(+31.9%)
|
192.052.841.000
(+33.3%)
|
167.481.572.000
(+90.0%)
|
156.080.867.000
(+91.2%)
|
139.840.788.000
(+113.8%)
|
CurrentFinancialInvestments |
92.478.000
(+107.6%)
|
92.800.000
(+125.0%)
|
101.517.000
(+149.7%)
|
56.672.000
(+109.5%)
|
44.548.000
(+10.8%)
|
41.249.000
-
|
NoncurrentPrepaymentsToRelatedParties |
418.945.000
(-86.0%)
|
815.758.000
(-67.4%)
|
858.247.000
(-62.4%)
|
2.573.482.000
(+109.7%)
|
3.000.060.000
(+165.7%)
|
2.504.800.000
-
|
CurrentDerivativeFinancialAssets |
101.884.000
(-67.6%)
|
186.078.000
(+139.2%)
|
609.919.000
(+183.3%)
|
68.342.000
-
|
314.848.000
-
|
77.779.000
-
|
PropertyPlantAndEquipment |
65.543.456.000
(+53.4%)
|
62.273.212.000
(+58.0%)
|
62.297.314.000
(+56.3%)
|
46.991.604.000
-
|
42.714.820.000
-
|
39.406.830.000
-
|
IntangibleAssetsAndGoodwill |
8.252.060.000
(+44.0%)
|
7.588.146.000
(+63.7%)
|
7.450.644.000
(+65.4%)
|
6.746.695.000
-
|
5.729.893.000
-
|
4.636.146.000
-
|
OtherCurrentFinancialLiabilities |
1.877.113.000
(+161.4%)
|
1.679.193.000
(+51.8%)
|
1.097.086.000
(-24.3%)
|
1.534.154.000
-
|
718.230.000
-
|
1.106.124.000
-
|
CurrentDerivativeFinancialLiabilities |
1.140.791.000
(+66.0%)
|
430.028.000
(+34.9%)
|
237.744.000
(-67.0%)
|
249.416.000
-
|
687.282.000
-
|
318.871.000
-
|
OtherCurrentNonfinancialLiabilitiesToUnrelatedParties |
2.507.260.000
(+33.2%)
|
2.656.482.000
(+12.1%)
|
2.999.199.000
(+8.1%)
|
2.125.229.000
-
|
1.881.813.000
-
|
2.370.275.000
-
|
OtherNoncurrentFinancialLiabilities |
299.875.000
(+17.3%)
|
200.813.000
(-19.0%)
|
225.620.000
(-23.7%)
|
256.221.000
-
|
255.755.000
-
|
247.767.000
-
|
DeferredTaxLiabilities |
4.848.833.000
(+88.7%)
|
4.352.538.000
(+81.9%)
|
4.428.115.000
(+202.4%)
|
3.322.790.000
-
|
2.570.164.000
-
|
2.392.933.000
-
|
CurrentPortionOfLongTermDebtInstrumentsIssuedToUnrelatedParties |
4.440.622.000
(+148.6%)
|
2.149.700.000
-
|
2.610.041.000
-
|
3.401.700.000
-
|
1.785.971.000
-
|
-
-
|
LongTermDebtInstrumentsIssuedToUnrelatedParties |
18.233.684.000
(+23.9%)
|
18.013.450.000
-
|
17.815.096.000
-
|
16.026.295.000
-
|
14.713.033.000
-
|
-
-
|
InvestmentProperty |
1.865.179.000
-
|
1.759.491.000
-
|
1.759.491.000
-
|
-
-
|
-
-
|
-
-
|
Items | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
Revenue |
67.964.755.000
(-16.5%)
|
31.461.435.000
(-14.5%)
|
142.736.499.000
(-11.9%)
|
99.152.986.000
(-11.9%)
|
81.359.286.000
(+22.6%)
|
36.780.730.000
(+28.0%)
|
CostOfSales |
56.439.403.000
(-9.5%)
|
25.409.113.000
(-10.3%)
|
112.927.251.000
(-10.3%)
|
75.611.206.000
(-15.0%)
|
62.387.718.000
(+17.0%)
|
28.330.833.000
(+15.8%)
|
GrossProfitLossFromCommercialOperations |
11.525.352.000
(-39.2%)
|
6.052.322.000
(-28.4%)
|
29.809.248.000
(-17.3%)
|
23.541.780.000
(-0.1%)
|
18.971.568.000
(+45.6%)
|
8.449.897.000
(+98.4%)
|
GrossProfit |
11.525.352.000
(-39.2%)
|
6.052.322.000
(-28.4%)
|
29.809.248.000
(-17.3%)
|
23.541.780.000
(-0.1%)
|
18.971.568.000
(+45.6%)
|
8.449.897.000
(+98.4%)
|
AdministrativeExpense |
2.498.224.000
(+6.3%)
|
1.264.857.000
(+7.3%)
|
4.230.891.000
(+3.2%)
|
2.920.340.000
(-0.4%)
|
2.349.393.000
(+29.0%)
|
1.178.459.000
(+21.4%)
|
MarketingExpense |
10.826.032.000
(-4.5%)
|
5.033.328.000
(-8.7%)
|
19.790.832.000
(-2.7%)
|
13.722.976.000
(-6.8%)
|
11.331.713.000
(+30.8%)
|
5.513.463.000
(+53.9%)
|
ResearchAndDevelopmentExpense |
1.314.884.000
(-15.9%)
|
552.358.000
(-34.2%)
|
2.252.683.000
(-19.5%)
|
1.766.237.000
(-16.2%)
|
1.564.331.000
(+18.9%)
|
839.142.000
(+4.0%)
|
OtherIncome |
2.223.293.000
(-7.6%)
|
924.429.000
(-23.5%)
|
4.074.625.000
(+34.1%)
|
3.011.204.000
(-17.8%)
|
2.406.391.000
(-25.8%)
|
1.209.139.000
(+71.1%)
|
OtherExpenseByFunction |
8.414.206.000
(+10.7%)
|
4.013.588.000
(-16.6%)
|
11.994.332.000
(-47.8%)
|
8.795.507.000
(-41.2%)
|
7.604.145.000
(-35.5%)
|
4.811.754.000
(+197.8%)
|
ProfitLossFromOperatingActivities |
-9.304.701.000
(-532.3%)
|
-3.887.380.000
(-44.8%)
|
-4.384.865.000
(+60.5%)
|
-652.076.000
(+91.3%)
|
-1.471.623.000
(+79.9%)
|
-2.683.782.000
(-33.6%)
|
ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod |
-2.191.736.000
(-100.1%)
|
-988.012.000
(-292.2%)
|
-3.515.707.000
(-376.5%)
|
-1.593.627.000
(-90.2%)
|
-1.095.476.000
(-33.7%)
|
-251.935.000
(-5884.2%)
|
ProfitLossBeforeFinancingExpense |
-11.496.437.000
(-347.8%)
|
-4.875.392.000
(-66.1%)
|
-7.900.572.000
(+19.7%)
|
-2.245.703.000
(+73.1%)
|
-2.567.099.000
(+68.4%)
|
-2.935.717.000
(-45.8%)
|
FinanceIncome |
11.569.032.000
(+31.1%)
|
5.687.650.000
(+0.7%)
|
14.006.373.000
(-47.4%)
|
10.138.340.000
(-46.3%)
|
8.823.928.000
(-34.7%)
|
5.647.561.000
(+159.4%)
|
FinanceCosts |
19.288.507.000
(+38.9%)
|
8.937.147.000
(+32.8%)
|
24.023.510.000
(-9.3%)
|
17.247.893.000
(-11.2%)
|
13.889.954.000
(+4.2%)
|
6.730.958.000
(+139.7%)
|
GainsLossesOnNetMonetaryPosition |
6.865.458.000
(-10.9%)
|
3.175.521.000
(-37.9%)
|
7.852.397.000
(-44.2%)
|
7.218.625.000
(-38.5%)
|
7.709.282.000
(+29.6%)
|
5.111.767.000
(+51.2%)
|
ProfitLossBeforeTax |
-12.350.454.000
(-16317.1%)
|
-4.949.368.000
(-553.0%)
|
-10.065.312.000
(-331.2%)
|
-2.136.631.000
(-174.9%)
|
76.157.000
(+103.8%)
|
1.092.653.000
(+48.3%)
|
CurrentPeriodTaxExpenseContinuingOperations |
5.952.000
(-76.0%)
|
753.000
(-94.0%)
|
21.083.000
(-95.5%)
|
30.034.000
(-93.1%)
|
24.810.000
(-93.3%)
|
12.585.000
(-95.7%)
|
DeferredIncomeTaxExpenseContinuingOperations |
934.909.000
(-29.6%)
|
356.731.000
(-66.4%)
|
760.770.000
(+45.6%)
|
1.966.907.000
(-33.9%)
|
1.328.599.000
(+4530.0%)
|
1.060.646.000
(+64.2%)
|
ProfitLossFromContinuingOperations |
-13.291.315.000
(-940.6%)
|
-5.306.852.000
(-27423.9%)
|
-10.847.165.000
(-422.3%)
|
-4.133.572.000
(-639.1%)
|
-1.277.252.000
(+45.4%)
|
19.422.000
(+109.6%)
|
ProfitLoss |
-13.291.315.000
(-940.6%)
|
-5.306.852.000
(-27423.9%)
|
-10.847.165.000
(-422.3%)
|
-4.133.572.000
(-639.1%)
|
-1.277.252.000
(+45.4%)
|
19.422.000
(+109.6%)
|
ProfitLossAttributableToNoncontrollingInterests |
-650.326.000
(-293.0%)
|
-229.876.000
(-172.4%)
|
173.527.000
(-86.4%)
|
177.022.000
(-83.7%)
|
336.983.000
(+82.2%)
|
317.713.000
(+89.8%)
|
ProfitLossAttributableToOwnersOfParent |
-12.640.989.000
(-683.1%)
|
-5.076.976.000
(-1602.0%)
|
-11.020.692.000
(-626.6%)
|
-4.310.594.000
(-162.2%)
|
-1.614.235.000
(+36.0%)
|
-298.291.000
(+19.4%)
|
ClassesOfShares |
-0,377
(-683.4%)
|
-0,151
(-1600.0%)
|
-
-
|
-0,129
(-162.2%)
|
-0,048
(+36.0%)
|
-0,009
(+19.1%)
|
OtherComprehensiveIncomeBeforeTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans |
-21.977.000
(+19.1%)
|
-9.437.000
(+49.7%)
|
-398.778.000
(+37.6%)
|
-41.353.000
(+87.0%)
|
-27.157.000
(+90.6%)
|
-18.761.000
(+60.4%)
|
IncomeTaxRelatingToRemeasurementsOfDefinedBenefitPlansOfOtherComprehensiveIncome |
-5.494.000
(+19.1%)
|
-2.359.000
(+49.7%)
|
-99.695.000
(+62.4%)
|
-10.338.000
(+87.0%)
|
-6.789.000
(+88.2%)
|
-4.690.000
(+50.5%)
|
OtherComprehensiveIncomeBeforeTaxExchangeDifferencesOnTranslation |
106.779.000
(+123.8%)
|
-86.029.000
(+92.9%)
|
-244.165.000
(-127.5%)
|
-734.184.000
(-199.5%)
|
-449.427.000
-
|
-1.210.780.000
(-646.0%)
|
OtherComprehensiveIncomeBeforeTaxAvailableforsaleFinancialAssets |
-27.724.000
(-1519.4%)
|
-17.847.000
(-600.1%)
|
-34.197.000
(+17.8%)
|
-28.588.000
(+62.8%)
|
-1.712.000
-
|
3.569.000
(+105.2%)
|
GainsLossesOnCashFlowHedgesBeforeTax |
-1.346.261.000
(-280.0%)
|
-359.032.000
(-196.5%)
|
616.524.000
(+522.4%)
|
234.660.000
(-76.5%)
|
748.089.000
(+94.0%)
|
372.101.000
(+41.1%)
|
IncomeTaxRelatingToAvailableforsaleFinancialAssetsOfOtherComprehensiveIncome |
-6.931.000
(-1519.4%)
|
-4.462.000
(-600.2%)
|
-8.549.000
(+17.8%)
|
-7.147.000
(+62.8%)
|
-428.000
(+97.8%)
|
892.000
(+106.5%)
|
IncomeTaxRelatingToCashFlowHedgesOfOtherComprehensiveIncome |
-336.565.000
(-280.0%)
|
-89.758.000
(-196.5%)
|
154.131.000
(+371.1%)
|
58.665.000
(-76.5%)
|
187.022.000
(+142.5%)
|
93.025.000
(+76.4%)
|
OtherComprehensiveIncome |
-833.007.000
(-1025.7%)
|
-256.654.000
(+66.9%)
|
4.570.644.000
(-58.1%)
|
-610.645.000
(-151.3%)
|
89.988.000
(-87.3%)
|
-776.445.000
(-1672.4%)
|
ComprehensiveIncome |
-14.124.322.000
(-1089.7%)
|
-5.563.506.000
(-634.9%)
|
-6.276.521.000
(-144.0%)
|
-4.744.217.000
(-853.0%)
|
-1.187.264.000
(+27.3%)
|
-757.023.000
(-206.9%)
|
ComprehensiveIncomeAttributableToNoncontrollingInterests |
-871.747.000
(-294.6%)
|
-281.093.000
(-174.3%)
|
1.029.141.000
(-59.9%)
|
209.266.000
(-82.0%)
|
447.867.000
(+100.9%)
|
378.102.000
(+91.2%)
|
ComprehensiveIncomeAttributableToOwnersOfParent |
-13.252.575.000
(-710.5%)
|
-5.282.413.000
(-365.4%)
|
-7.305.662.000
(-162.4%)
|
-4.953.483.000
(-834.6%)
|
-1.635.131.000
(+11.9%)
|
-1.135.125.000
(-155.4%)
|
ClassesOfShares |
-
-
|
-
-
|
-0,329
(-626.4%)
|
-
-
|
-
-
|
-
-
|
OtherComprehensiveIncomeBeforeTaxGainsLossesOnRevaluationOfPropertyPlantAndEquipment |
-
-
|
-
-
|
5.614.690.000
(-56.2%)
|
-
-
|
-
-
|
-
-
|
ShareOfOtherComprehensiveIncomeOfAssociatesAndJointVenturesAccountedForUsingEquityMethodThatWillNotBeReclassifiedToProfitOrLossBeforeTax |
-
-
|
-
-
|
53.561.000
(+120.0%)
|
-
-
|
-
-
|
-
-
|
TaxesRelatingToGainsLossesOnRevaluationOfPropertyPlantAndEquipment |
-
-
|
-
-
|
1.052.476.000
(-45.2%)
|
-
-
|
-
-
|
-
-
|
ShareOfOtherComprehensiveIncomeOfAssociatesAndJointVenturesAccountedForUsingEquityMethodThatWillBeReclassifiedToProfitOrLossBeforeTax |
107.186.000
-
|
119.112.000
(-28.5%)
|
61.372.000
(+122.9%)
|
-
-
|
-
-
|
166.653.000
-
|
Items | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
ProfitLossFromContinuingOperationsForCashFlowStatement |
-13.291.315.000
(-940.6%)
|
-5.306.852.000
(-27423.9%)
|
-10.847.165.000
(-422.3%)
|
-4.133.572.000
(-639.1%)
|
-1.277.252.000
(+45.4%)
|
19.422.000
(+109.6%)
|
AdjustmentsForDepreciationAndAmortisationExpense |
3.813.833.000
(-3.0%)
|
1.964.096.000
(-9.0%)
|
5.063.432.000
(-18.6%)
|
3.978.686.000
(-18.6%)
|
3.931.081.000
(+13.0%)
|
2.158.158.000
(+19.0%)
|
AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLossTradeAndOtherReceivables |
-10.651.000
(+57.7%)
|
-4.984.000
(+74.7%)
|
317.904.000
(+178.3%)
|
-17.193.000
(+90.5%)
|
-25.199.000
(+59.3%)
|
-19.707.000
(+83.3%)
|
AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLossInventories |
271.424.000
(+400.1%)
|
16.917.000
(+145.9%)
|
-147.803.000
(-302.0%)
|
45.161.000
(-63.9%)
|
54.277.000
(-52.8%)
|
-36.835.000
(-775.5%)
|
AdjustmentsForReversalOfProvisionsRelatedWithEmployeeBenefits |
630.208.000
(+55.3%)
|
246.105.000
(+22.9%)
|
667.369.000
(-10.3%)
|
475.237.000
(+75.9%)
|
405.694.000
(+3.7%)
|
200.289.000
(-48.0%)
|
AdjustmentsForReversalOfLawsuitAndOrPenaltyProvisions |
97.789.000
(+287.1%)
|
39.345.000
(+448.7%)
|
45.029.000
(+234.4%)
|
1.552.000
(+194.1%)
|
25.262.000
(+2067.4%)
|
7.170.000
(+162.5%)
|
AdjustmentsForReversalOfWarrantyProvisions |
837.449.000
(+21.0%)
|
398.358.000
(+10.7%)
|
872.604.000
(-32.4%)
|
751.974.000
(+3.5%)
|
692.043.000
(-48.0%)
|
359.737.000
(+1001.0%)
|
AdjustmentsForReversalOfOtherProvisions |
-54.750.000
(-113.6%)
|
-37.246.000
(+91.7%)
|
193.967.000
(+136.3%)
|
25.945.000
(-95.0%)
|
403.014.000
(+158.9%)
|
-449.387.000
(-14.8%)
|
AdjustmentsForInterestIncome |
3.224.492.000
(+1.2%)
|
1.490.256.000
(-5.5%)
|
5.281.652.000
(+12.9%)
|
3.776.057.000
(+28.3%)
|
3.186.213.000
(+82.5%)
|
1.576.323.000
(+111.1%)
|
AdjustmentsForInterestExpense |
8.359.947.000
(+27.8%)
|
3.989.062.000
(+34.9%)
|
12.033.158.000
(+49.4%)
|
8.226.363.000
(+42.7%)
|
6.542.529.000
(+76.3%)
|
2.956.682.000
(+127.8%)
|
AdjustmentsForUnrealisedForeignExchangeLossesGains |
-1.564.750.000
(+50.6%)
|
-747.817.000
(+69.3%)
|
-4.295.637.000
(+62.8%)
|
-2.852.248.000
(+65.3%)
|
-3.168.961.000
(+40.7%)
|
-2.438.187.000
(-598.7%)
|
AdjustmentsForFairValueGainsLossesOnDerivativeFinancialInstruments |
87.176.000
(-82.9%)
|
257.093.000
(+3545.7%)
|
-355.813.000
(+17.0%)
|
-181.038.000
(+43.9%)
|
511.121.000
(+436.8%)
|
7.052.000
(-84.4%)
|
AdjustmentsForUndistributedProfitsOfAssociates |
-2.191.736.000
(-100.1%)
|
-988.012.000
(-292.2%)
|
-3.515.707.000
(-376.5%)
|
-
-
|
-1.095.476.000
(-33.7%)
|
-251.935.000
(-5884.2%)
|
AdjustmentsForIncomeTaxExpense |
940.861.000
(-30.5%)
|
357.484.000
(-66.7%)
|
781.853.000
(-20.8%)
|
1.996.941.000
(-41.5%)
|
1.353.409.000
(+295.0%)
|
1.073.231.000
(+14.2%)
|
AdjustmentsForLossesGainsArisedFromSaleOfTangibleAssets |
-26.274.000
(-135.0%)
|
-15.598.000
(-185.3%)
|
116.374.000
(+240.8%)
|
81.895.000
(+302.4%)
|
74.970.000
(+485.7%)
|
18.279.000
(+255.0%)
|
AdjustmentsRelatedtoGainandLossesonNetMonetaryPosition |
-6.507.464.000
(+42.2%)
|
-4.006.199.000
(+40.9%)
|
-10.716.389.000
(+23.1%)
|
-1.093.139.000
(-215.4%)
|
-11.258.539.000
(-1754.6%)
|
-6.780.173.000
(-778.5%)
|
OtherAdjustmentsToReconcileProfitLoss |
4.000
(-42.9%)
|
2.000
(-50.0%)
|
10.000
(-50.0%)
|
8.000
(-50.0%)
|
7.000
(0.0%)
|
4.000
(-20.0%)
|
DecreaseIncreaseInFinancialInvestments |
113.544.000
(+36.9%)
|
69.218.000
(+79.1%)
|
-132.294.000
(-112.4%)
|
97.688.000
(+200.9%)
|
82.912.000
(-24.8%)
|
38.641.000
(-71.8%)
|
DecreaseIncreaseInTradeAccountsReceivablesFromRelatedParties |
-364.732.000
(+20.0%)
|
-60.235.000
(+88.5%)
|
-792.497.000
(-15.0%)
|
-349.111.000
(+14.6%)
|
-455.976.000
(-134.0%)
|
-521.636.000
(-11559.3%)
|
DecreaseIncreaseInTradeAccountsReceivablesFromUnrelatedParties |
3.364.831.000
(+188.7%)
|
4.768.988.000
(+730.8%)
|
-2.261.713.000
(+78.0%)
|
-3.961.274.000
(+20.7%)
|
-3.792.145.000
(+14.2%)
|
-756.055.000
(-137.9%)
|
DecreaseIncreaseInOtherUnrelatedPartyReceivablesRelatedWithOperations |
162.812.000
(-27.0%)
|
-175.302.000
(-168.0%)
|
-122.161.000
(+58.9%)
|
-149.362.000
(-144.3%)
|
223.176.000
(-42.4%)
|
257.717.000
(-63.7%)
|
AdjustmentsForDecreaseIncreaseInInventories |
1.705.104.000
(+159.0%)
|
688.347.000
(+28.5%)
|
6.625.217.000
(+556.2%)
|
-9.694.984.000
(+39.1%)
|
-2.891.616.000
(+66.2%)
|
535.625.000
(+6.0%)
|
DecreaseIncreaseInPrepaidExpenses |
-536.274.000
(-2015.5%)
|
-36.026.000
(-106.7%)
|
-86.270.000
(+92.8%)
|
222.924.000
(+123.4%)
|
27.997.000
(-88.2%)
|
535.636.000
(+138.9%)
|
IncreaseDecreaseInTradeAccountsPayablesToRelatedParties |
285.247.000
(+32.9%)
|
163.197.000
(+102.1%)
|
57.280.000
(-49.5%)
|
132.571.000
(-27.4%)
|
214.626.000
(+62.4%)
|
80.734.000
(+1470.1%)
|
IncreaseDecreaseInTradeAccountsPayablesToUnrelatedParties |
5.159.921.000
(+745.2%)
|
109.689.000
(+106.3%)
|
1.724.871.000
(-95.0%)
|
3.046.116.000
(-88.3%)
|
-799.731.000
(-104.0%)
|
-1.754.572.000
(+48.1%)
|
AdjustmentsForIncreaseDecreaseInEmployeeBenefitLiabilities |
2.025.506.000
(+329.8%)
|
1.662.884.000
(+75.7%)
|
316.276.000
(-58.4%)
|
223.067.000
(-78.5%)
|
471.266.000
(-56.8%)
|
946.339.000
(+91.0%)
|
IncreaseDecreaseInOtherOperatingPayablesToUnrelatedParties |
456.573.000
(-2.1%)
|
38.464.000
(+26.1%)
|
234.535.000
(+1144.2%)
|
166.394.000
(+326.6%)
|
466.505.000
(+237.2%)
|
30.507.000
(+548.0%)
|
AdjustmentsForIncreaseDecreaseInDeferredIncome |
-47.640.000
(-103.1%)
|
82.760.000
(-93.4%)
|
-453.861.000
(-52.4%)
|
1.163.392.000
(+587.7%)
|
1.519.374.000
(+143.3%)
|
1.255.454.000
(+315.1%)
|
DecreaseIncreaseInOtherAssetsRelatedWithOperations |
-8.418.000
(-104.4%)
|
-166.112.000
(-427.6%)
|
-409.205.000
(+11.5%)
|
-37.178.000
(+94.1%)
|
193.163.000
(+124.0%)
|
50.708.000
(+109.3%)
|
IncreaseDecreaseInOtherPayablesRelatedWithOperations |
-228.313.000
(+70.2%)
|
-76.672.000
(+69.3%)
|
359.778.000
(-81.9%)
|
-327.805.000
(-125.0%)
|
-766.290.000
(-516.2%)
|
-249.523.000
(-28.8%)
|
CashFlowsFromUsedInOperations |
4.638.892.000
(+149.7%)
|
3.716.722.000
(+197.8%)
|
-2.977.096.000
(-126.4%)
|
-4.343.420.000
(-143.5%)
|
-9.334.020.000
(-189.1%)
|
-3.799.078.000
(-411.6%)
|
PaymentsRelatedWithProvisionsForEmployeeBenefits |
593.665.000
(+135.8%)
|
147.611.000
(-0.0%)
|
448.154.000
(-47.1%)
|
337.485.000
(-51.3%)
|
251.752.000
(-51.9%)
|
147.612.000
(-66.7%)
|
IncomeTaxesPaidRefundClassifiedAsOperatingActivities |
7.715.000
(-69.5%)
|
22.884.000
(+3907.7%)
|
35.348.000
(-85.3%)
|
31.496.000
(-76.5%)
|
25.299.000
(-73.5%)
|
-601.000
(-102.9%)
|
ProceedsFromSalesOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities |
29.459.000
(+160.0%)
|
16.799.000
(+444.9%)
|
-78.095.000
(-180.6%)
|
-65.068.000
(-238.3%)
|
-49.083.000
-
|
-4.871.000
(-135.6%)
|
PurchaseOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities |
2.042.504.000
(-11.0%)
|
1.268.742.000
(+9.7%)
|
5.310.469.000
(-6.0%)
|
3.098.430.000
(-24.6%)
|
2.295.523.000
(-2.0%)
|
1.156.229.000
(+23.9%)
|
PurchaseOfIntangibleAssetsClassifiedAsInvestingActivities |
1.169.364.000
(-36.2%)
|
547.626.000
(+10.9%)
|
1.752.513.000
(-21.6%)
|
2.167.580.000
(+8.7%)
|
1.832.446.000
(+48.5%)
|
493.846.000
(+16.9%)
|
CashAdvancesAndLoansMadeToRelatedPartiesClassifiedAsInvestingActivities |
1.563.135.000
(+515.8%)
|
602.834.000
(-17.9%)
|
3.387.946.000
(-15.8%)
|
2.213.969.000
(-37.9%)
|
253.840.000
(-92.1%)
|
733.891.000
(+584.6%)
|
OtherCashAdvancesAndLoansMadeToOtherPartiesClassifiedAsInvestingActivities |
-101.109.000
(-125.4%)
|
-202.214.000
(-312.6%)
|
238.875.000
(+196.1%)
|
164.056.000
(+26.3%)
|
397.678.000
(+447.5%)
|
95.096.000
(+265.1%)
|
ProceedsFromLoansClassifiedAsFinancingActivities |
32.616.748.000
(-5.0%)
|
8.426.177.000
(-57.3%)
|
54.936.308.000
(-10.7%)
|
42.786.161.000
(+63.8%)
|
34.344.377.000
(+110.9%)
|
19.730.900.000
(+137.1%)
|
ProceedsFromIssueOfDebtInstrumentsClassifiedAsFinancingActivities |
3.748.510.000
(-85.8%)
|
2.415.000.000
(+11.4%)
|
25.419.900.000
(+197.1%)
|
22.374.500.000
(+532.0%)
|
26.351.572.000
(+1457.5%)
|
2.168.230.000
(+213.7%)
|
LoanRepaymantsClassifiedAsFinancingActivities |
25.538.141.000
(-25.0%)
|
7.966.109.000
(-35.6%)
|
45.245.830.000
(-23.7%)
|
37.960.027.000
(+62.1%)
|
34.039.541.000
(+160.5%)
|
12.367.239.000
(+67.0%)
|
PaymentsOfIssuedDebtInstrumentsClassifiedAsFinancingActivities |
3.893.000.000
(+89.2%)
|
1.799.000.000
(+234.0%)
|
6.816.000.000
(+161.4%)
|
3.767.570.000
(+163.5%)
|
2.058.142.000
(+16.0%)
|
538.605.000
(+45.7%)
|
CashOutflowFromOtherFinancialLiabilitiesClassifiedAsFinancingActivities |
-711.296.000
(-157.6%)
|
-99.263.000
(-135.0%)
|
616.960.000
(+135.6%)
|
247.091.000
-
|
1.234.800.000
-
|
283.982.000
-
|
PaymentsOfLeaseLiabilitiesClassifiedAsFinancingActivities |
434.920.000
(+117.6%)
|
201.819.000
(+2092.3%)
|
427.603.000
(+2990.8%)
|
293.380.000
(-3.1%)
|
199.849.000
(+623.3%)
|
9.206.000
(-91.3%)
|
InterestPaidClassifiedAsFinancingActivities |
7.272.481.000
(+9.9%)
|
2.393.933.000
(-22.4%)
|
12.201.853.000
(+52.0%)
|
7.548.094.000
(+54.6%)
|
6.618.247.000
(+40.7%)
|
3.084.941.000
(+214.0%)
|
InterestReceivedClassifiedAsFinancingActivities |
13.755.000
(-70.7%)
|
12.521.000
(+365.1%)
|
354.400.000
(+6.5%)
|
53.364.000
(-50.9%)
|
46.916.000
(+226.4%)
|
2.692.000
(-56.9%)
|
InflationEffect |
-514.461.000
(+37.4%)
|
-367.280.000
(+34.2%)
|
-1.013.231.000
(+35.7%)
|
-979.023.000
(+18.7%)
|
-822.441.000
(+36.1%)
|
-558.042.000
(-51.1%)
|
IncreaseDecreaseInCashAndCashEquivalentsBeforeEffectOfExchangeRateChanges |
-1.169.617.000
(-211.8%)
|
-429.142.000
(+68.7%)
|
-587.873.000
(-16.4%)
|
1.473.757.000
(+215.4%)
|
1.045.874.000
(+37.1%)
|
-1.370.215.000
(-60.8%)
|
EffectOfExchangeRateChangesOnCashAndCashEquivalents |
60.925.000
(+8.9%)
|
93.570.000
(+16.0%)
|
-5.121.000
(-104.1%)
|
156.142.000
(+229.0%)
|
55.932.000
(-92.7%)
|
80.669.000
(+93.3%)
|
IncreaseDecreaseInCashAndCashEquivalents |
-1.108.692.000
(-200.6%)
|
-335.572.000
(+74.0%)
|
-592.994.000
(-56.0%)
|
1.629.899.000
(+232.5%)
|
1.101.806.000
(-27.7%)
|
-1.289.546.000
(-59.2%)
|
CashAndCashEquivalentsForCashFlowStatement |
2.064.849.000
(-58.4%)
|
2.658.145.000
(+12.8%)
|
2.720.009.000
(-17.9%)
|
4.747.433.000
(+111.5%)
|
4.967.217.000
(+5.4%)
|
2.356.837.000
(+10.5%)
|
CashFlowsUsedInObtainingControlOfSubsidiariesOrOtherBusinessesClassifiedAsInvestingActivities |
-
(-100.0%)
|
-
-
|
438.668.000
-
|
232.020.000
-
|
284.330.000
-
|
-
-
|
AdjustmentsForUndistributedProfitsOfInvestmentsAccountedForUsingEquityMethod |
-
-
|
-
-
|
-
-
|
-1.593.627.000
(-90.2%)
|
-
-
|
-
-
|
CashOutflowsArisingFromCapitalAdvancePaymentsToAssociatesAndOrJointVenturesClassifiedAsInvestingActivities |
-
-
|
-
-
|
64.000
(-100.0%)
|
60.000
(-100.0%)
|
-
-
|
-
-
|
DividendsPaidClassifiedAsFinancingActivities |
-
-
|
-
-
|
309.776.000
(+87.6%)
|
291.499.000
(+87.6%)
|
-
-
|
-
-
|