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HEPS D-MARKET Electronic Services & Trading

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  • 3.280
  • 0.0000.00%
Close Dec 20 16:00 ET
  • 3.280
  • 0.0000.00%
Post 16:00 ET
1.05BMarket Cap-20.89P/E (TTM)

D-MARKET Electronic Services & Trading Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
27.02%8.13B
27.31%6.86B
60.22%7.97B
-17.04%7.22B
-17.04%7.22B
47.47%6.4B
33.97%5.39B
37.40%4.97B
6.60%8.71B
6.60%8.71B
-Cash and cash equivalents
-25.51%4.26B
-24.40%3.68B
-28.34%3.56B
-36.61%5.5B
-36.61%5.5B
64.49%5.71B
81.23%4.87B
113.52%4.97B
38.51%8.68B
38.51%8.68B
-Short-term investments
464.48%3.87B
507.30%3.18B
--4.4B
5,855.08%1.72B
5,855.08%1.72B
-20.77%686.2M
-60.83%524.34M
--0
-98.48%28.93M
-98.48%28.93M
Receivables
149.71%3.92B
362.05%3.09B
437.90%3.05B
63.01%2.75B
63.01%2.75B
423.57%1.57B
184.04%668.12M
55.83%567.57M
186.26%1.68B
186.26%1.68B
-Accounts receivable
117.17%3.34B
361.84%2.78B
446.35%2.96B
116.85%2.37B
116.85%2.37B
446.78%1.54B
179.07%601.88M
58.78%542.15M
196.52%1.09B
196.52%1.09B
-Loans receivable
323,239.88%543.21M
13,332.70%255.89M
2,023.52%46.87M
--0
--0
-97.46%168K
-78.04%1.91M
-79.90%2.21M
--5.79M
--5.79M
-Taxes receivable
----
----
----
-38.68%341.06M
-38.68%341.06M
----
----
----
173.03%556.16M
173.03%556.16M
-Related party accounts receivable
62.78%7.14M
122.79%21.72M
371.22%10M
224.45%9.18M
224.45%9.18M
367.80%4.39M
547.71%9.75M
-32.60%2.12M
-21.13%2.83M
-21.13%2.83M
-Other receivables
20.07%35.94M
-45.68%29.65M
61.35%34.04M
-11.30%22.43M
-11.30%22.43M
160.13%29.93M
482.86%54.59M
144.03%21.09M
109.42%25.29M
109.42%25.29M
Inventory
80.75%6.91B
112.51%5.61B
146.21%4.83B
34.56%3.96B
34.56%3.96B
76.04%3.82B
18.48%2.64B
1.28%1.96B
2.44%2.95B
2.44%2.95B
Prepaid assets
----
----
----
61.83%462.99M
61.83%462.99M
----
----
----
143.29%286.09M
143.29%286.09M
Restricted cash
-13.44%117.56M
20.00%111.26M
-0.44%102.64M
2.99%182.31M
2.99%182.31M
79.18%135.82M
75.81%92.72M
162.96%103.1M
169.41%177.01M
169.41%177.01M
Other current assets
-19.20%776.67M
35.32%866.79M
71.33%891.83M
830.42%45.27M
830.42%45.27M
77.49%961.2M
41.57%640.52M
92.18%520.53M
-39.83%4.87M
-39.83%4.87M
Total current assets
54.04%19.86B
75.33%16.54B
107.32%16.85B
5.93%14.62B
5.93%14.62B
73.53%12.89B
34.89%9.43B
30.41%8.13B
16.77%13.8B
16.77%13.8B
Non current assets
Net PPE
85.81%1.79B
79.99%1.45B
44.94%1.21B
-16.51%1.07B
-16.51%1.07B
35.29%960.91M
32.35%808.03M
154.65%831.62M
94.97%1.28B
94.97%1.28B
-Gross PPE
85.81%1.79B
79.99%1.45B
44.94%1.21B
11.34%3.68B
11.34%3.68B
35.29%960.91M
32.35%808.03M
154.65%831.62M
107.08%3.31B
107.08%3.31B
-Accumulated depreciation
----
----
----
-28.91%-2.61B
-28.91%-2.61B
----
----
----
-115.54%-2.03B
-115.54%-2.03B
Goodwill and other intangible assets
74.97%2.75B
109.48%2.5B
107.53%2.22B
33.00%1.85B
33.00%1.85B
136.94%1.57B
135.49%1.19B
299.05%1.07B
243.78%1.39B
243.78%1.39B
-Goodwill
----
----
----
0.00%285K
0.00%285K
----
----
----
--285K
--285K
-Other intangible assets
----
----
----
33.01%1.85B
33.01%1.85B
----
----
----
243.71%1.39B
243.71%1.39B
Long-term notes receivables
3,697.31%60.64M
2,668.15%41.8M
329.99%10.85M
-87.43%799K
-87.43%799K
-75.93%1.6M
-81.21%1.51M
-68.69%2.52M
--6.36M
--6.36M
Non current accounts receivable
----
----
----
----
----
----
----
----
-87.51%60.87M
-87.51%60.87M
Related parties assets
62.78%7.14M
122.79%21.72M
371.22%10M
224.45%9.18M
224.45%9.18M
367.80%4.39M
547.71%9.75M
-32.60%2.12M
-21.13%2.83M
-21.13%2.83M
Non current prepaid assets
----
----
----
-22.46%32.74M
-22.46%32.74M
----
----
----
190.09%42.22M
190.09%42.22M
Other non current assets
-54.26%19.47M
3.31%27.43M
43.42%35.57M
31.20%984K
31.20%984K
-48.09%42.56M
-87.41%26.55M
-92.48%24.8M
45.63%750K
45.63%750K
Total non current assets
79.12%4.62B
98.25%4.02B
80.01%3.47B
6.22%2.96B
6.22%2.96B
76.25%2.58B
51.86%2.03B
106.80%1.93B
77.98%2.78B
77.98%2.78B
Total assets
58.22%24.48B
79.38%20.56B
102.08%20.32B
5.98%17.58B
5.98%17.58B
73.98%15.47B
37.61%11.46B
40.36%10.05B
23.92%16.59B
23.92%16.59B
Liabilities
Current liabilities
Payables
67.65%14.9B
93.91%12.34B
106.08%11.97B
6.56%10.74B
6.56%10.74B
86.96%8.89B
50.52%6.36B
64.43%5.81B
47.24%10.08B
47.24%10.08B
-accounts payable
67.62%14.89B
93.96%12.34B
106.42%11.96B
8.90%10.56B
8.90%10.56B
87.52%8.88B
50.95%6.36B
64.77%5.8B
45.36%9.7B
45.36%9.7B
-Total tax payable
----
----
----
-15.88%163.68M
-15.88%163.68M
----
----
----
99.23%194.58M
99.23%194.58M
-Due to related parties current
103.98%13.34M
24.04%5.65M
-47.23%6.69M
-49.54%4.64M
-49.54%4.64M
-63.36%6.54M
-69.71%4.56M
-15.39%12.68M
-38.15%9.19M
-38.15%9.19M
-Other payable
----
----
----
-94.43%9.86M
-94.43%9.86M
----
----
----
192.92%176.86M
192.92%176.86M
Current accrued expenses
----
----
----
20.49%119.26M
20.49%119.26M
----
----
----
122.73%98.98M
122.73%98.98M
Current provisions
-52.48%33.82M
17.52%78.96M
-79.23%83.41M
-79.53%138.37M
-79.53%138.37M
-81.89%71.16M
-49.02%67.19M
203.13%401.57M
191.81%675.86M
191.81%675.86M
Current debt and capital lease obligation
205.79%1.05B
169.24%593.44M
145.42%442.07M
20.35%338.05M
20.35%338.05M
66.83%344.35M
-44.14%220.41M
-40.70%180.13M
-43.48%280.88M
-43.48%280.88M
-Current debt
386.48%950.54M
494.88%473.2M
1,091.80%313.48M
753.32%183.47M
753.32%183.47M
283.68%195.39M
-69.45%79.55M
-85.09%26.3M
-93.22%21.5M
-93.22%21.5M
-Current capital lease obligation
-31.23%102.44M
-14.65%120.23M
-16.40%128.6M
-40.41%154.57M
-40.41%154.57M
-4.20%148.95M
5.01%140.86M
20.80%153.83M
44.45%259.38M
44.45%259.38M
Current deferred liabilities
84.54%2.08B
88.06%1.72B
194.62%2.18B
54.88%1.93B
54.88%1.93B
119.67%1.13B
163.66%914.26M
149.48%740.4M
190.85%1.25B
190.85%1.25B
Other current liabilities
97.93%1.11B
243.51%937.05M
105.94%918.56M
-27.86%88.89M
-27.86%88.89M
106.09%562.8M
19.58%272.79M
140.61%446.04M
127.72%123.22M
127.72%123.22M
Current liabilities
74.34%19.51B
100.05%15.94B
106.55%15.79B
6.92%13.65B
6.92%13.65B
79.41%11.19B
47.91%7.97B
70.13%7.64B
55.31%12.76B
55.31%12.76B
Non current liabilities
Long term debt and capital lease obligation
582.77%646.3M
245.09%331.07M
60.66%183.61M
-34.73%124.63M
-34.73%124.63M
-24.39%94.66M
-16.68%95.94M
11.26%114.29M
14.02%190.93M
14.02%190.93M
-Long term debt
----
----
-85.24%1.15M
-84.39%2.81M
-84.39%2.81M
-68.38%4.39M
-64.65%5.89M
61.78%7.8M
--18M
--18M
-Long term capital lease obligation
615.95%646.3M
267.66%331.07M
71.34%182.45M
-29.56%121.82M
-29.56%121.82M
-18.90%90.27M
-8.57%90.05M
8.77%106.49M
3.27%172.93M
3.27%172.93M
Non current deferred liabilities
----
----
----
66.77%402.84M
66.77%402.84M
----
----
----
33.58%241.55M
33.58%241.55M
Employee benefits
53.75%128.33M
55.79%120.41M
377.55%111.22M
284.57%104.28M
284.57%104.28M
731.88%83.46M
687.62%77.29M
197.60%23.29M
211.62%27.12M
211.62%27.12M
Other non current liabilities
34.75%526.67M
154.25%529.4M
243.39%541.42M
----
----
169.30%390.86M
56.78%208.22M
70.36%157.67M
----
----
Total non current liabilities
128.71%1.3B
157.14%980.88M
183.24%836.24M
37.46%631.75M
37.46%631.75M
102.18%568.98M
46.37%381.45M
41.97%295.24M
28.75%459.6M
28.75%459.6M
Total liabilities
76.97%20.81B
102.66%16.92B
109.41%16.62B
7.98%14.28B
7.98%14.28B
80.39%11.76B
47.84%8.35B
68.88%7.94B
54.20%13.22B
54.20%13.22B
Shareholders'equity
Share capital
49.39%677.48M
71.60%622M
68.50%573.78M
0.00%498.66M
0.00%498.66M
61.53%453.51M
38.21%362.48M
422.29%340.53M
64.77%498.66M
64.77%498.66M
-common stock
49.39%677.48M
71.60%622M
68.50%573.78M
0.00%498.66M
0.00%498.66M
61.53%453.51M
38.21%362.48M
422.29%340.53M
64.77%498.66M
64.77%498.66M
Retained earnings
---17.38B
---15.68B
---14.11B
----
----
----
----
----
----
----
Paid-in capital
49.38%19.68B
71.60%18.07B
68.50%16.67B
0.00%14.48B
0.00%14.48B
61.53%13.17B
38.21%10.53B
132.13%9.89B
64.77%14.48B
64.77%14.48B
Less: Treasury stock
--230.75M
--211.85M
--195.43M
--169.84M
--169.84M
----
----
----
--0
--0
Gains losses not affecting retained earnings
109.36%927.45M
110.76%837.04M
109.35%758.9M
0.92%-11.51B
0.92%-11.51B
-63.55%-9.91B
-49.63%-7.78B
-335.60%-8.11B
-171.37%-11.62B
-171.37%-11.62B
Total stockholders'equity
-1.19%3.67B
16.89%3.63B
74.59%3.69B
-1.87%3.3B
-1.87%3.3B
56.36%3.71B
16.06%3.11B
-14.08%2.12B
-30.05%3.37B
-30.05%3.37B
Total equity
-1.19%3.67B
16.89%3.63B
74.59%3.69B
-1.87%3.3B
-1.87%3.3B
56.36%3.71B
16.06%3.11B
-14.08%2.12B
-30.05%3.37B
-30.05%3.37B
Currency Unit
TRY
TRY
TRY
TRY
TRY
TRY
TRY
TRY
TRY
TRY
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
--
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 27.02%8.13B27.31%6.86B60.22%7.97B-17.04%7.22B-17.04%7.22B47.47%6.4B33.97%5.39B37.40%4.97B6.60%8.71B6.60%8.71B
-Cash and cash equivalents -25.51%4.26B-24.40%3.68B-28.34%3.56B-36.61%5.5B-36.61%5.5B64.49%5.71B81.23%4.87B113.52%4.97B38.51%8.68B38.51%8.68B
-Short-term investments 464.48%3.87B507.30%3.18B--4.4B5,855.08%1.72B5,855.08%1.72B-20.77%686.2M-60.83%524.34M--0-98.48%28.93M-98.48%28.93M
Receivables 149.71%3.92B362.05%3.09B437.90%3.05B63.01%2.75B63.01%2.75B423.57%1.57B184.04%668.12M55.83%567.57M186.26%1.68B186.26%1.68B
-Accounts receivable 117.17%3.34B361.84%2.78B446.35%2.96B116.85%2.37B116.85%2.37B446.78%1.54B179.07%601.88M58.78%542.15M196.52%1.09B196.52%1.09B
-Loans receivable 323,239.88%543.21M13,332.70%255.89M2,023.52%46.87M--0--0-97.46%168K-78.04%1.91M-79.90%2.21M--5.79M--5.79M
-Taxes receivable -------------38.68%341.06M-38.68%341.06M------------173.03%556.16M173.03%556.16M
-Related party accounts receivable 62.78%7.14M122.79%21.72M371.22%10M224.45%9.18M224.45%9.18M367.80%4.39M547.71%9.75M-32.60%2.12M-21.13%2.83M-21.13%2.83M
-Other receivables 20.07%35.94M-45.68%29.65M61.35%34.04M-11.30%22.43M-11.30%22.43M160.13%29.93M482.86%54.59M144.03%21.09M109.42%25.29M109.42%25.29M
Inventory 80.75%6.91B112.51%5.61B146.21%4.83B34.56%3.96B34.56%3.96B76.04%3.82B18.48%2.64B1.28%1.96B2.44%2.95B2.44%2.95B
Prepaid assets ------------61.83%462.99M61.83%462.99M------------143.29%286.09M143.29%286.09M
Restricted cash -13.44%117.56M20.00%111.26M-0.44%102.64M2.99%182.31M2.99%182.31M79.18%135.82M75.81%92.72M162.96%103.1M169.41%177.01M169.41%177.01M
Other current assets -19.20%776.67M35.32%866.79M71.33%891.83M830.42%45.27M830.42%45.27M77.49%961.2M41.57%640.52M92.18%520.53M-39.83%4.87M-39.83%4.87M
Total current assets 54.04%19.86B75.33%16.54B107.32%16.85B5.93%14.62B5.93%14.62B73.53%12.89B34.89%9.43B30.41%8.13B16.77%13.8B16.77%13.8B
Non current assets
Net PPE 85.81%1.79B79.99%1.45B44.94%1.21B-16.51%1.07B-16.51%1.07B35.29%960.91M32.35%808.03M154.65%831.62M94.97%1.28B94.97%1.28B
-Gross PPE 85.81%1.79B79.99%1.45B44.94%1.21B11.34%3.68B11.34%3.68B35.29%960.91M32.35%808.03M154.65%831.62M107.08%3.31B107.08%3.31B
-Accumulated depreciation -------------28.91%-2.61B-28.91%-2.61B-------------115.54%-2.03B-115.54%-2.03B
Goodwill and other intangible assets 74.97%2.75B109.48%2.5B107.53%2.22B33.00%1.85B33.00%1.85B136.94%1.57B135.49%1.19B299.05%1.07B243.78%1.39B243.78%1.39B
-Goodwill ------------0.00%285K0.00%285K--------------285K--285K
-Other intangible assets ------------33.01%1.85B33.01%1.85B------------243.71%1.39B243.71%1.39B
Long-term notes receivables 3,697.31%60.64M2,668.15%41.8M329.99%10.85M-87.43%799K-87.43%799K-75.93%1.6M-81.21%1.51M-68.69%2.52M--6.36M--6.36M
Non current accounts receivable ---------------------------------87.51%60.87M-87.51%60.87M
Related parties assets 62.78%7.14M122.79%21.72M371.22%10M224.45%9.18M224.45%9.18M367.80%4.39M547.71%9.75M-32.60%2.12M-21.13%2.83M-21.13%2.83M
Non current prepaid assets -------------22.46%32.74M-22.46%32.74M------------190.09%42.22M190.09%42.22M
Other non current assets -54.26%19.47M3.31%27.43M43.42%35.57M31.20%984K31.20%984K-48.09%42.56M-87.41%26.55M-92.48%24.8M45.63%750K45.63%750K
Total non current assets 79.12%4.62B98.25%4.02B80.01%3.47B6.22%2.96B6.22%2.96B76.25%2.58B51.86%2.03B106.80%1.93B77.98%2.78B77.98%2.78B
Total assets 58.22%24.48B79.38%20.56B102.08%20.32B5.98%17.58B5.98%17.58B73.98%15.47B37.61%11.46B40.36%10.05B23.92%16.59B23.92%16.59B
Liabilities
Current liabilities
Payables 67.65%14.9B93.91%12.34B106.08%11.97B6.56%10.74B6.56%10.74B86.96%8.89B50.52%6.36B64.43%5.81B47.24%10.08B47.24%10.08B
-accounts payable 67.62%14.89B93.96%12.34B106.42%11.96B8.90%10.56B8.90%10.56B87.52%8.88B50.95%6.36B64.77%5.8B45.36%9.7B45.36%9.7B
-Total tax payable -------------15.88%163.68M-15.88%163.68M------------99.23%194.58M99.23%194.58M
-Due to related parties current 103.98%13.34M24.04%5.65M-47.23%6.69M-49.54%4.64M-49.54%4.64M-63.36%6.54M-69.71%4.56M-15.39%12.68M-38.15%9.19M-38.15%9.19M
-Other payable -------------94.43%9.86M-94.43%9.86M------------192.92%176.86M192.92%176.86M
Current accrued expenses ------------20.49%119.26M20.49%119.26M------------122.73%98.98M122.73%98.98M
Current provisions -52.48%33.82M17.52%78.96M-79.23%83.41M-79.53%138.37M-79.53%138.37M-81.89%71.16M-49.02%67.19M203.13%401.57M191.81%675.86M191.81%675.86M
Current debt and capital lease obligation 205.79%1.05B169.24%593.44M145.42%442.07M20.35%338.05M20.35%338.05M66.83%344.35M-44.14%220.41M-40.70%180.13M-43.48%280.88M-43.48%280.88M
-Current debt 386.48%950.54M494.88%473.2M1,091.80%313.48M753.32%183.47M753.32%183.47M283.68%195.39M-69.45%79.55M-85.09%26.3M-93.22%21.5M-93.22%21.5M
-Current capital lease obligation -31.23%102.44M-14.65%120.23M-16.40%128.6M-40.41%154.57M-40.41%154.57M-4.20%148.95M5.01%140.86M20.80%153.83M44.45%259.38M44.45%259.38M
Current deferred liabilities 84.54%2.08B88.06%1.72B194.62%2.18B54.88%1.93B54.88%1.93B119.67%1.13B163.66%914.26M149.48%740.4M190.85%1.25B190.85%1.25B
Other current liabilities 97.93%1.11B243.51%937.05M105.94%918.56M-27.86%88.89M-27.86%88.89M106.09%562.8M19.58%272.79M140.61%446.04M127.72%123.22M127.72%123.22M
Current liabilities 74.34%19.51B100.05%15.94B106.55%15.79B6.92%13.65B6.92%13.65B79.41%11.19B47.91%7.97B70.13%7.64B55.31%12.76B55.31%12.76B
Non current liabilities
Long term debt and capital lease obligation 582.77%646.3M245.09%331.07M60.66%183.61M-34.73%124.63M-34.73%124.63M-24.39%94.66M-16.68%95.94M11.26%114.29M14.02%190.93M14.02%190.93M
-Long term debt ---------85.24%1.15M-84.39%2.81M-84.39%2.81M-68.38%4.39M-64.65%5.89M61.78%7.8M--18M--18M
-Long term capital lease obligation 615.95%646.3M267.66%331.07M71.34%182.45M-29.56%121.82M-29.56%121.82M-18.90%90.27M-8.57%90.05M8.77%106.49M3.27%172.93M3.27%172.93M
Non current deferred liabilities ------------66.77%402.84M66.77%402.84M------------33.58%241.55M33.58%241.55M
Employee benefits 53.75%128.33M55.79%120.41M377.55%111.22M284.57%104.28M284.57%104.28M731.88%83.46M687.62%77.29M197.60%23.29M211.62%27.12M211.62%27.12M
Other non current liabilities 34.75%526.67M154.25%529.4M243.39%541.42M--------169.30%390.86M56.78%208.22M70.36%157.67M--------
Total non current liabilities 128.71%1.3B157.14%980.88M183.24%836.24M37.46%631.75M37.46%631.75M102.18%568.98M46.37%381.45M41.97%295.24M28.75%459.6M28.75%459.6M
Total liabilities 76.97%20.81B102.66%16.92B109.41%16.62B7.98%14.28B7.98%14.28B80.39%11.76B47.84%8.35B68.88%7.94B54.20%13.22B54.20%13.22B
Shareholders'equity
Share capital 49.39%677.48M71.60%622M68.50%573.78M0.00%498.66M0.00%498.66M61.53%453.51M38.21%362.48M422.29%340.53M64.77%498.66M64.77%498.66M
-common stock 49.39%677.48M71.60%622M68.50%573.78M0.00%498.66M0.00%498.66M61.53%453.51M38.21%362.48M422.29%340.53M64.77%498.66M64.77%498.66M
Retained earnings ---17.38B---15.68B---14.11B----------------------------
Paid-in capital 49.38%19.68B71.60%18.07B68.50%16.67B0.00%14.48B0.00%14.48B61.53%13.17B38.21%10.53B132.13%9.89B64.77%14.48B64.77%14.48B
Less: Treasury stock --230.75M--211.85M--195.43M--169.84M--169.84M--------------0--0
Gains losses not affecting retained earnings 109.36%927.45M110.76%837.04M109.35%758.9M0.92%-11.51B0.92%-11.51B-63.55%-9.91B-49.63%-7.78B-335.60%-8.11B-171.37%-11.62B-171.37%-11.62B
Total stockholders'equity -1.19%3.67B16.89%3.63B74.59%3.69B-1.87%3.3B-1.87%3.3B56.36%3.71B16.06%3.11B-14.08%2.12B-30.05%3.37B-30.05%3.37B
Total equity -1.19%3.67B16.89%3.63B74.59%3.69B-1.87%3.3B-1.87%3.3B56.36%3.71B16.06%3.11B-14.08%2.12B-30.05%3.37B-30.05%3.37B
Currency Unit TRYTRYTRYTRYTRYTRYTRYTRYTRYTRY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------
Heat List
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