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TKC Turkcell Iletisim Hizmetleri

Watchlist
  • 6.460
  • +0.050+0.78%
Close Dec 24 13:00 ET
  • 6.530
  • +0.070+1.08%
Post 17:01 ET
5.68BMarket Cap5.10P/E (TTM)

Turkcell Iletisim Hizmetleri 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
65.22%87.69B
28.97%59.43B
80.46%59.06B
16.17%58.85B
16.17%58.85B
81.89%53.07B
88.26%46.08B
66.40%32.73B
65.05%50.66B
65.05%50.66B
-Cash and cash equivalents
107.43%81.01B
43.27%50.19B
78.57%48.78B
16.84%49.98B
16.84%49.98B
60.42%39.05B
59.43%35.03B
45.27%27.32B
39.79%42.78B
39.79%42.78B
-Short-term investments
-52.34%6.68B
-16.39%9.24B
90.01%10.28B
12.53%8.87B
12.53%8.87B
190.02%14.02B
341.35%11.05B
526.99%5.41B
8,572.13%7.88B
8,572.13%7.88B
Receivables
46.31%28.22B
59.21%26.54B
51.63%23.77B
3.56%21.55B
3.56%21.55B
74.65%19.29B
59.65%16.67B
81.46%15.68B
59.65%20.81B
59.65%20.81B
-Accounts receivable
1.55%16.31B
5.69%14.97B
8.11%14.18B
1.73%10.3B
1.73%10.3B
82.93%16.06B
65.99%14.16B
81.40%13.11B
9.07%10.13B
9.07%10.13B
-Taxes receivable
----
----
----
39.30%1.35B
39.30%1.35B
753.92%384.07M
61.27%83.22M
--21.47M
472.05%967.16M
472.05%967.16M
-Related party accounts receivable
--233.93M
--330.71M
--207.67M
36.05%171.37M
36.05%171.37M
----
----
----
-56.22%125.97M
-56.22%125.97M
-Other receivables
310.57%11.67B
363.84%11.24B
269.50%9.38B
1.46%9.73B
1.46%9.73B
28.12%2.84B
30.50%2.42B
102.34%2.54B
122.04%9.59B
122.04%9.59B
Inventory
25.31%745.1M
38.92%697.45M
43.26%593.57M
9.20%540.51M
9.20%540.51M
80.76%594.63M
32.50%502.07M
-11.70%414.34M
7.91%494.99M
7.91%494.99M
Prepaid assets
----
----
----
-6.66%1.56B
-6.66%1.56B
150.91%1.13B
143.51%1.22B
--1.11B
103.20%1.68B
103.20%1.68B
Restricted cash
----
----
----
192.93%784.79M
192.93%784.79M
----
----
----
--267.91M
--267.91M
Other current assets
454.19%5.41B
527.37%5.09B
576.85%4.99B
96.05%103.77M
96.05%103.77M
185.22%975.52M
199.92%812.05M
-42.14%737.86M
1.40%52.93M
1.40%52.93M
Total current assets
56.73%124.15B
62.65%112.9B
107.26%109.43B
32.64%102.55B
32.64%102.55B
80.73%79.21B
80.17%69.41B
63.84%52.8B
59.19%77.31B
59.19%77.31B
Non current assets
Net PPE
225.33%100.75B
214.93%91.76B
222.87%83.7B
-7.98%75.74B
-7.98%75.74B
41.43%30.97B
33.72%29.14B
24.75%25.92B
55.60%82.31B
55.60%82.31B
-Gross PPE
398.28%308.62B
376.22%278.97B
393.81%253.78B
-3.48%221.11B
-3.48%221.11B
34.14%61.94B
28.84%58.58B
22.57%51.39B
65.18%229.07B
65.18%229.07B
-Accumulated depreciation
-571.21%-207.87B
-535.84%-187.21B
-567.80%-170.08B
0.95%-145.37B
0.95%-145.37B
-27.57%-30.97B
-24.35%-29.44B
-20.42%-25.47B
-71.10%-146.76B
-71.10%-146.76B
Goodwill and other intangible assets
200.33%76.52B
196.41%71.57B
241.02%66.9B
-6.31%58.93B
-6.31%58.93B
49.92%25.48B
46.69%24.15B
24.15%19.62B
48.51%62.91B
48.51%62.91B
-Goodwill
1,243.71%554.21M
950.84%508.83M
869.37%469.38M
-2.82%407.93M
-2.82%407.93M
-14.82%41.25M
0.00%48.42M
0.00%48.42M
61.84%419.75M
61.84%419.75M
-Other intangible assets
198.64%75.96B
194.89%71.06B
239.47%66.43B
-6.34%58.53B
-6.34%58.53B
50.10%25.44B
46.83%24.1B
24.23%19.57B
48.42%62.49B
48.42%62.49B
Investments and advances
349.51%15.41B
213.28%13.17B
210.71%11.57B
-10.44%6.52B
-10.44%6.52B
-1.12%3.43B
31.88%4.21B
44.50%3.72B
100.15%7.28B
100.15%7.28B
Non current accounts receivable
-59.19%758.92M
-44.68%880.23M
-22.72%950.21M
-4.79%1.1B
-4.79%1.1B
108.88%1.86B
94.97%1.59B
145.44%1.23B
47.07%1.16B
47.07%1.16B
Related parties assets
--233.93M
--330.71M
--207.67M
36.05%171.37M
36.05%171.37M
----
----
----
-56.22%125.97M
-56.22%125.97M
Non current deferred assets
-55.54%2.05B
-61.17%1.93B
-56.59%2.01B
-58.69%1.13B
-58.69%1.13B
154.04%4.6B
148.39%4.97B
163.66%4.62B
18.46%2.73B
18.46%2.73B
Non current prepaid assets
----
----
----
-8.12%972.36M
-8.12%972.36M
106.12%3.54B
53.21%2.63B
--1.84B
66.56%1.06B
66.56%1.06B
Other non current assets
9,804.43%6.86B
10,659.98%7.33B
10,125.29%7.54B
-99.74%154K
-99.74%154K
146.52%69.22M
202.15%68.12M
-95.55%73.76M
10,037.69%59.71M
10,037.69%59.71M
Total non current assets
189.48%202.52B
179.81%186.81B
202.98%172.83B
-8.33%144.54B
-8.33%144.54B
49.40%69.96B
45.08%66.76B
32.36%57.04B
53.48%157.68B
53.48%157.68B
Total assets
118.99%326.66B
120.09%299.71B
156.97%282.26B
5.15%247.08B
5.15%247.08B
64.55%149.17B
61.07%136.18B
45.83%109.84B
55.32%234.99B
55.32%234.99B
Liabilities
Current liabilities
Payables
65.42%28.06B
90.66%26.96B
62.20%19.46B
22.49%19.44B
22.49%19.44B
112.04%16.96B
81.50%14.14B
67.33%12B
53.36%15.87B
53.36%15.87B
-accounts payable
144.29%23.96B
153.47%24.02B
126.88%18.74B
11.51%12.68B
11.51%12.68B
82.98%9.81B
108.16%9.48B
19.24%8.26B
49.92%11.37B
49.92%11.37B
-Total tax payable
1,032.10%1.29B
-41.63%143.51M
-49.57%242.08M
-3.50%2.94B
-3.50%2.94B
-75.41%114.18M
57.13%245.88M
211.79%480.08M
49.60%3.05B
49.60%3.05B
-Due to related parties current
171.60%2.81B
--2.8B
7,984,900.00%479.1M
38.94%552.45M
38.94%552.45M
--1.03B
--0
-99.99%6K
271.49%397.61M
271.49%397.61M
-Other payable
----
----
----
208.96%3.27B
208.96%3.27B
176.13%6.01B
73.86%4.42B
--3.26B
70.12%1.06B
70.12%1.06B
Current accrued expenses
----
----
----
-0.79%1.93B
-0.79%1.93B
----
----
----
62.84%1.94B
62.84%1.94B
Current provisions
4,361.38%2.15B
3,242.03%1.43B
2,423.56%909.11M
59.03%1.98B
59.03%1.98B
--48.12M
59.46%42.88M
-81.31%36.03M
31.83%1.24B
31.83%1.24B
Current debt and capital lease obligation
26.66%35.69B
39.14%35.16B
69.12%32.87B
-5.13%26.14B
-5.13%26.14B
98.14%28.18B
91.07%25.27B
80.81%19.44B
89.55%27.55B
89.55%27.55B
-Current debt
28.29%34.41B
41.65%33.88B
73.10%31.47B
-2.86%25.37B
-2.86%25.37B
102.49%26.82B
96.54%23.92B
86.03%18.18B
99.82%26.11B
99.82%26.11B
-Current capital lease obligation
-5.52%1.28B
-5.19%1.28B
11.53%1.4B
-46.36%771.81M
-46.36%771.81M
39.02%1.36B
28.01%1.35B
28.56%1.26B
-1.92%1.44B
-1.92%1.44B
Current deferred liabilities
54.50%2.08B
54.23%1.87B
84.90%1.79B
-3.42%1.56B
-3.42%1.56B
80.38%1.35B
68.46%1.21B
52.03%967.84M
43.62%1.62B
43.62%1.62B
Other current liabilities
253.24%247.78M
5,413.94%6.71B
2,920.29%6.55B
2,586.98%6.68B
2,586.98%6.68B
60.92%70.15M
143.90%121.65M
2,360.32%217.03M
112.25%248.68M
112.25%248.68M
Current liabilities
43.81%68.23B
74.07%72.13B
86.43%61.59B
19.09%57.73B
19.09%57.73B
102.34%47.44B
86.87%41.44B
76.10%33.04B
71.51%48.48B
71.51%48.48B
Non current liabilities
Long term provisions
31.88%1.73B
33.14%1.62B
47.97%1.52B
-13.58%1.38B
-13.58%1.38B
-14.50%1.31B
67.23%1.21B
57.82%1.03B
57.80%1.6B
57.80%1.6B
Long term debt and capital lease obligation
28.52%71.04B
23.31%64.03B
66.91%65.18B
-5.29%57.95B
-5.29%57.95B
46.62%55.27B
48.33%51.93B
29.71%39.05B
33.36%61.19B
33.36%61.19B
-Long term debt
30.39%68.43B
26.18%62.26B
71.70%63.38B
-2.26%56.29B
-2.26%56.29B
47.54%52.48B
50.13%49.35B
31.37%36.91B
35.27%57.59B
35.27%57.59B
-Long term capital lease obligation
-6.60%2.61B
-31.53%1.77B
-15.88%1.8B
-53.95%1.66B
-53.95%1.66B
31.19%2.8B
20.72%2.58B
6.42%2.14B
8.74%3.6B
8.74%3.6B
Non current deferred liabilities
1,567.35%6.82B
1,022.56%5.63B
946.52%5.68B
-65.20%3.57B
-65.20%3.57B
-74.22%409.01M
-61.32%501.22M
-41.34%543.19M
20.38%10.25B
20.38%10.25B
Due to related parties non current
--32.2M
--157K
--256K
2,379.75%38.34M
2,379.75%38.34M
----
----
----
--1.55M
--1.55M
Employee benefits
54.88%2.68B
51.05%2.54B
51.76%2.4B
-30.42%2.05B
-30.42%2.05B
--1.73B
123.97%1.68B
125.02%1.58B
192.14%2.95B
192.14%2.95B
Other non current liabilities
38.97%1.5B
33.07%1.33B
73.68%1.24B
-6.03%1.03B
-6.03%1.03B
26.01%1.08B
32.48%996.93M
-11.00%713.19M
26,262.78%1.09B
26,262.78%1.09B
Total non current liabilities
38.21%83.96B
31.63%75.29B
79.79%77.22B
-12.98%67.12B
-12.98%67.12B
45.76%60.75B
48.43%57.2B
29.44%42.95B
33.76%77.14B
33.76%77.14B
Total liabilities
40.66%152.19B
49.46%147.42B
82.67%138.81B
-0.61%124.85B
-0.61%124.85B
66.13%108.19B
62.47%98.64B
46.29%75.99B
46.17%125.61B
46.17%125.61B
Shareholders'equity
Share capital
1,896.81%43.93B
1,733.29%40.33B
1,591.15%37.21B
0.00%32.33B
0.00%32.33B
0.00%2.2B
0.00%2.2B
0.00%2.2B
64.77%32.33B
64.77%32.33B
-common stock
1,896.81%43.93B
1,733.29%40.33B
1,591.15%37.21B
0.00%32.33B
0.00%32.33B
0.00%2.2B
0.00%2.2B
0.00%2.2B
64.77%32.33B
64.77%32.33B
Retained earnings
255.53%130.25B
219.39%107.42B
236.87%102.88B
12.58%87.12B
12.58%87.12B
68.40%36.64B
72.91%33.63B
60.42%30.54B
73.37%77.39B
73.37%77.39B
Paid-in capital
3,779.93%10.44M
3,462.45%9.58M
3,186.25%8.84M
0.00%7.68M
0.00%7.68M
-99.24%269K
-99.24%269K
-99.24%269K
-87.69%7.68M
-87.69%7.68M
Less: Treasury stock
840.45%1.26B
473.13%872.78M
460.13%852.98M
4.30%741.31M
4.30%741.31M
13.09%133.9M
28.62%152.28M
18.92%152.28M
60.62%710.77M
60.62%710.77M
Gains losses not affecting retained earnings
-31.99%1.54B
192.93%5.42B
234.78%4.22B
897.12%3.53B
897.12%3.53B
36.79%2.27B
-18.31%1.85B
-43.55%1.26B
-76.18%353.79M
-76.18%353.79M
Total stockholders'equity
325.83%174.48B
305.82%152.31B
323.84%143.46B
11.77%122.25B
11.77%122.25B
60.48%40.97B
57.47%37.53B
44.78%33.85B
67.32%109.37B
67.32%109.37B
Noncontrolling interests
--0
-588.83%-20.17M
-581.21%-18.39M
-301.74%-12.95M
-301.74%-12.95M
19,406.45%5.99M
12,403.03%4.13M
1,125.00%3.82M
2,005.34%6.42M
2,005.34%6.42M
Total equity
325.77%174.48B
305.72%152.29B
323.73%143.44B
11.75%122.23B
11.75%122.23B
60.50%40.98B
57.49%37.54B
44.79%33.85B
67.33%109.38B
67.33%109.38B
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 65.22%87.69B28.97%59.43B80.46%59.06B16.17%58.85B16.17%58.85B81.89%53.07B88.26%46.08B66.40%32.73B65.05%50.66B65.05%50.66B
-Cash and cash equivalents 107.43%81.01B43.27%50.19B78.57%48.78B16.84%49.98B16.84%49.98B60.42%39.05B59.43%35.03B45.27%27.32B39.79%42.78B39.79%42.78B
-Short-term investments -52.34%6.68B-16.39%9.24B90.01%10.28B12.53%8.87B12.53%8.87B190.02%14.02B341.35%11.05B526.99%5.41B8,572.13%7.88B8,572.13%7.88B
Receivables 46.31%28.22B59.21%26.54B51.63%23.77B3.56%21.55B3.56%21.55B74.65%19.29B59.65%16.67B81.46%15.68B59.65%20.81B59.65%20.81B
-Accounts receivable 1.55%16.31B5.69%14.97B8.11%14.18B1.73%10.3B1.73%10.3B82.93%16.06B65.99%14.16B81.40%13.11B9.07%10.13B9.07%10.13B
-Taxes receivable ------------39.30%1.35B39.30%1.35B753.92%384.07M61.27%83.22M--21.47M472.05%967.16M472.05%967.16M
-Related party accounts receivable --233.93M--330.71M--207.67M36.05%171.37M36.05%171.37M-------------56.22%125.97M-56.22%125.97M
-Other receivables 310.57%11.67B363.84%11.24B269.50%9.38B1.46%9.73B1.46%9.73B28.12%2.84B30.50%2.42B102.34%2.54B122.04%9.59B122.04%9.59B
Inventory 25.31%745.1M38.92%697.45M43.26%593.57M9.20%540.51M9.20%540.51M80.76%594.63M32.50%502.07M-11.70%414.34M7.91%494.99M7.91%494.99M
Prepaid assets -------------6.66%1.56B-6.66%1.56B150.91%1.13B143.51%1.22B--1.11B103.20%1.68B103.20%1.68B
Restricted cash ------------192.93%784.79M192.93%784.79M--------------267.91M--267.91M
Other current assets 454.19%5.41B527.37%5.09B576.85%4.99B96.05%103.77M96.05%103.77M185.22%975.52M199.92%812.05M-42.14%737.86M1.40%52.93M1.40%52.93M
Total current assets 56.73%124.15B62.65%112.9B107.26%109.43B32.64%102.55B32.64%102.55B80.73%79.21B80.17%69.41B63.84%52.8B59.19%77.31B59.19%77.31B
Non current assets
Net PPE 225.33%100.75B214.93%91.76B222.87%83.7B-7.98%75.74B-7.98%75.74B41.43%30.97B33.72%29.14B24.75%25.92B55.60%82.31B55.60%82.31B
-Gross PPE 398.28%308.62B376.22%278.97B393.81%253.78B-3.48%221.11B-3.48%221.11B34.14%61.94B28.84%58.58B22.57%51.39B65.18%229.07B65.18%229.07B
-Accumulated depreciation -571.21%-207.87B-535.84%-187.21B-567.80%-170.08B0.95%-145.37B0.95%-145.37B-27.57%-30.97B-24.35%-29.44B-20.42%-25.47B-71.10%-146.76B-71.10%-146.76B
Goodwill and other intangible assets 200.33%76.52B196.41%71.57B241.02%66.9B-6.31%58.93B-6.31%58.93B49.92%25.48B46.69%24.15B24.15%19.62B48.51%62.91B48.51%62.91B
-Goodwill 1,243.71%554.21M950.84%508.83M869.37%469.38M-2.82%407.93M-2.82%407.93M-14.82%41.25M0.00%48.42M0.00%48.42M61.84%419.75M61.84%419.75M
-Other intangible assets 198.64%75.96B194.89%71.06B239.47%66.43B-6.34%58.53B-6.34%58.53B50.10%25.44B46.83%24.1B24.23%19.57B48.42%62.49B48.42%62.49B
Investments and advances 349.51%15.41B213.28%13.17B210.71%11.57B-10.44%6.52B-10.44%6.52B-1.12%3.43B31.88%4.21B44.50%3.72B100.15%7.28B100.15%7.28B
Non current accounts receivable -59.19%758.92M-44.68%880.23M-22.72%950.21M-4.79%1.1B-4.79%1.1B108.88%1.86B94.97%1.59B145.44%1.23B47.07%1.16B47.07%1.16B
Related parties assets --233.93M--330.71M--207.67M36.05%171.37M36.05%171.37M-------------56.22%125.97M-56.22%125.97M
Non current deferred assets -55.54%2.05B-61.17%1.93B-56.59%2.01B-58.69%1.13B-58.69%1.13B154.04%4.6B148.39%4.97B163.66%4.62B18.46%2.73B18.46%2.73B
Non current prepaid assets -------------8.12%972.36M-8.12%972.36M106.12%3.54B53.21%2.63B--1.84B66.56%1.06B66.56%1.06B
Other non current assets 9,804.43%6.86B10,659.98%7.33B10,125.29%7.54B-99.74%154K-99.74%154K146.52%69.22M202.15%68.12M-95.55%73.76M10,037.69%59.71M10,037.69%59.71M
Total non current assets 189.48%202.52B179.81%186.81B202.98%172.83B-8.33%144.54B-8.33%144.54B49.40%69.96B45.08%66.76B32.36%57.04B53.48%157.68B53.48%157.68B
Total assets 118.99%326.66B120.09%299.71B156.97%282.26B5.15%247.08B5.15%247.08B64.55%149.17B61.07%136.18B45.83%109.84B55.32%234.99B55.32%234.99B
Liabilities
Current liabilities
Payables 65.42%28.06B90.66%26.96B62.20%19.46B22.49%19.44B22.49%19.44B112.04%16.96B81.50%14.14B67.33%12B53.36%15.87B53.36%15.87B
-accounts payable 144.29%23.96B153.47%24.02B126.88%18.74B11.51%12.68B11.51%12.68B82.98%9.81B108.16%9.48B19.24%8.26B49.92%11.37B49.92%11.37B
-Total tax payable 1,032.10%1.29B-41.63%143.51M-49.57%242.08M-3.50%2.94B-3.50%2.94B-75.41%114.18M57.13%245.88M211.79%480.08M49.60%3.05B49.60%3.05B
-Due to related parties current 171.60%2.81B--2.8B7,984,900.00%479.1M38.94%552.45M38.94%552.45M--1.03B--0-99.99%6K271.49%397.61M271.49%397.61M
-Other payable ------------208.96%3.27B208.96%3.27B176.13%6.01B73.86%4.42B--3.26B70.12%1.06B70.12%1.06B
Current accrued expenses -------------0.79%1.93B-0.79%1.93B------------62.84%1.94B62.84%1.94B
Current provisions 4,361.38%2.15B3,242.03%1.43B2,423.56%909.11M59.03%1.98B59.03%1.98B--48.12M59.46%42.88M-81.31%36.03M31.83%1.24B31.83%1.24B
Current debt and capital lease obligation 26.66%35.69B39.14%35.16B69.12%32.87B-5.13%26.14B-5.13%26.14B98.14%28.18B91.07%25.27B80.81%19.44B89.55%27.55B89.55%27.55B
-Current debt 28.29%34.41B41.65%33.88B73.10%31.47B-2.86%25.37B-2.86%25.37B102.49%26.82B96.54%23.92B86.03%18.18B99.82%26.11B99.82%26.11B
-Current capital lease obligation -5.52%1.28B-5.19%1.28B11.53%1.4B-46.36%771.81M-46.36%771.81M39.02%1.36B28.01%1.35B28.56%1.26B-1.92%1.44B-1.92%1.44B
Current deferred liabilities 54.50%2.08B54.23%1.87B84.90%1.79B-3.42%1.56B-3.42%1.56B80.38%1.35B68.46%1.21B52.03%967.84M43.62%1.62B43.62%1.62B
Other current liabilities 253.24%247.78M5,413.94%6.71B2,920.29%6.55B2,586.98%6.68B2,586.98%6.68B60.92%70.15M143.90%121.65M2,360.32%217.03M112.25%248.68M112.25%248.68M
Current liabilities 43.81%68.23B74.07%72.13B86.43%61.59B19.09%57.73B19.09%57.73B102.34%47.44B86.87%41.44B76.10%33.04B71.51%48.48B71.51%48.48B
Non current liabilities
Long term provisions 31.88%1.73B33.14%1.62B47.97%1.52B-13.58%1.38B-13.58%1.38B-14.50%1.31B67.23%1.21B57.82%1.03B57.80%1.6B57.80%1.6B
Long term debt and capital lease obligation 28.52%71.04B23.31%64.03B66.91%65.18B-5.29%57.95B-5.29%57.95B46.62%55.27B48.33%51.93B29.71%39.05B33.36%61.19B33.36%61.19B
-Long term debt 30.39%68.43B26.18%62.26B71.70%63.38B-2.26%56.29B-2.26%56.29B47.54%52.48B50.13%49.35B31.37%36.91B35.27%57.59B35.27%57.59B
-Long term capital lease obligation -6.60%2.61B-31.53%1.77B-15.88%1.8B-53.95%1.66B-53.95%1.66B31.19%2.8B20.72%2.58B6.42%2.14B8.74%3.6B8.74%3.6B
Non current deferred liabilities 1,567.35%6.82B1,022.56%5.63B946.52%5.68B-65.20%3.57B-65.20%3.57B-74.22%409.01M-61.32%501.22M-41.34%543.19M20.38%10.25B20.38%10.25B
Due to related parties non current --32.2M--157K--256K2,379.75%38.34M2,379.75%38.34M--------------1.55M--1.55M
Employee benefits 54.88%2.68B51.05%2.54B51.76%2.4B-30.42%2.05B-30.42%2.05B--1.73B123.97%1.68B125.02%1.58B192.14%2.95B192.14%2.95B
Other non current liabilities 38.97%1.5B33.07%1.33B73.68%1.24B-6.03%1.03B-6.03%1.03B26.01%1.08B32.48%996.93M-11.00%713.19M26,262.78%1.09B26,262.78%1.09B
Total non current liabilities 38.21%83.96B31.63%75.29B79.79%77.22B-12.98%67.12B-12.98%67.12B45.76%60.75B48.43%57.2B29.44%42.95B33.76%77.14B33.76%77.14B
Total liabilities 40.66%152.19B49.46%147.42B82.67%138.81B-0.61%124.85B-0.61%124.85B66.13%108.19B62.47%98.64B46.29%75.99B46.17%125.61B46.17%125.61B
Shareholders'equity
Share capital 1,896.81%43.93B1,733.29%40.33B1,591.15%37.21B0.00%32.33B0.00%32.33B0.00%2.2B0.00%2.2B0.00%2.2B64.77%32.33B64.77%32.33B
-common stock 1,896.81%43.93B1,733.29%40.33B1,591.15%37.21B0.00%32.33B0.00%32.33B0.00%2.2B0.00%2.2B0.00%2.2B64.77%32.33B64.77%32.33B
Retained earnings 255.53%130.25B219.39%107.42B236.87%102.88B12.58%87.12B12.58%87.12B68.40%36.64B72.91%33.63B60.42%30.54B73.37%77.39B73.37%77.39B
Paid-in capital 3,779.93%10.44M3,462.45%9.58M3,186.25%8.84M0.00%7.68M0.00%7.68M-99.24%269K-99.24%269K-99.24%269K-87.69%7.68M-87.69%7.68M
Less: Treasury stock 840.45%1.26B473.13%872.78M460.13%852.98M4.30%741.31M4.30%741.31M13.09%133.9M28.62%152.28M18.92%152.28M60.62%710.77M60.62%710.77M
Gains losses not affecting retained earnings -31.99%1.54B192.93%5.42B234.78%4.22B897.12%3.53B897.12%3.53B36.79%2.27B-18.31%1.85B-43.55%1.26B-76.18%353.79M-76.18%353.79M
Total stockholders'equity 325.83%174.48B305.82%152.31B323.84%143.46B11.77%122.25B11.77%122.25B60.48%40.97B57.47%37.53B44.78%33.85B67.32%109.37B67.32%109.37B
Noncontrolling interests --0-588.83%-20.17M-581.21%-18.39M-301.74%-12.95M-301.74%-12.95M19,406.45%5.99M12,403.03%4.13M1,125.00%3.82M2,005.34%6.42M2,005.34%6.42M
Total equity 325.77%174.48B305.72%152.29B323.73%143.44B11.75%122.23B11.75%122.23B60.50%40.98B57.49%37.54B44.79%33.85B67.33%109.38B67.33%109.38B
Currency Unit TRYTRYTRYTRYTRYTRYTRYTRYTRYTRY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--
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