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Turkcell Iletisim Hizmetleri (TKC)

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  • 5.865
  • +0.025+0.43%
Trading Jul 6 15:32 ET
5.11BMarket Cap13.12P/E (TTM)

Turkcell Iletisim Hizmetleri (TKC) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
5.21%119.81B
6.80%105.99B
6.80%105.99B
56.19%136.96B
113.82%127.07B
92.83%113.88B
16.80%99.24B
16.80%99.24B
65.22%87.69B
28.97%59.43B
-Cash and cash equivalents
-11.66%95.77B
1.77%91.83B
1.77%91.83B
51.03%122.35B
132.32%116.6B
122.27%108.42B
25.04%90.23B
25.04%90.23B
107.43%81.01B
43.27%50.19B
-Short-term investments
340.46%24.04B
57.20%14.16B
57.20%14.16B
118.79%14.62B
13.31%10.47B
-46.91%5.46B
-29.67%9.01B
-29.67%9.01B
-52.34%6.68B
-16.39%9.24B
Receivables
39.19%46.62B
4.96%42.64B
4.96%42.64B
35.23%38.16B
35.11%35.86B
40.92%33.49B
30.57%40.63B
30.57%40.63B
46.31%28.22B
59.21%26.54B
-Accounts receivable
85.70%36.91B
5.93%31.26B
5.93%31.26B
91.62%31.25B
42.24%21.29B
40.19%19.88B
26.61%29.51B
26.61%29.51B
1.55%16.31B
5.69%14.97B
-Taxes receivable
----
37.55%3.58B
37.55%3.58B
----
----
----
33.85%2.6B
33.85%2.6B
----
----
-Related party accounts receivable
-9.15%264.27M
13.90%367.54M
13.90%367.54M
154.47%595.29M
45.01%479.58M
40.06%290.88M
30.42%322.69M
30.42%322.69M
--233.93M
--330.71M
-Other receivables
-29.12%9.45B
-9.26%7.44B
-9.26%7.44B
-45.93%6.31B
25.32%14.08B
42.04%13.33B
45.85%8.2B
45.85%8.2B
310.57%11.67B
363.84%11.24B
Inventory
-1.61%828.3M
1.69%897.95M
1.69%897.95M
9.90%818.86M
4.84%731.24M
41.84%841.89M
13.15%883.01M
13.15%883.01M
25.31%745.1M
38.92%697.45M
Prepaid assets
----
25.68%4.24B
25.68%4.24B
----
----
----
49.38%3.37B
49.38%3.37B
----
----
Restricted cash
----
-7.78%888.47M
-7.78%888.47M
----
----
----
-14.97%963.44M
-14.97%963.44M
----
----
Other current assets
96.88%15.53B
-81.85%191.19M
-81.85%191.19M
34.85%7.29B
51.95%7.74B
57.95%7.89B
603.04%1.05B
603.04%1.05B
454.19%5.41B
527.37%5.09B
Total current assets
16.06%184.36B
5.25%156.63B
5.25%156.63B
49.75%185.91B
54.05%173.92B
45.16%158.85B
0.51%148.81B
0.51%148.81B
56.73%124.15B
62.65%112.9B
Non current assets
Net PPE
55.66%201.54B
12.01%175.4B
12.01%175.4B
51.36%152.5B
52.49%139.92B
54.69%129.48B
43.19%156.59B
43.19%156.59B
225.33%100.75B
214.93%91.76B
-Gross PPE
44.24%543.55B
8.16%481.59B
8.16%481.59B
43.65%443.33B
45.60%406.19B
48.49%376.84B
39.47%445.24B
39.47%445.24B
398.28%308.62B
376.22%278.97B
-Accumulated depreciation
-38.26%-342.01B
-6.08%-306.2B
-6.08%-306.2B
-39.91%-290.84B
-42.23%-266.27B
-45.43%-247.36B
-37.53%-288.65B
-37.53%-288.65B
-571.21%-207.87B
-535.84%-187.21B
Goodwill and other intangible assets
89.59%171.72B
6.57%115.24B
6.57%115.24B
42.11%108.74B
43.76%102.89B
35.40%90.58B
27.09%108.14B
27.09%108.14B
200.33%76.52B
196.41%71.57B
-Goodwill
30.87%848.31M
0.00%770.91M
0.00%770.91M
33.29%738.73M
35.05%687.17M
38.10%648.23M
30.89%770.91M
30.89%770.91M
1,243.71%554.21M
950.84%508.83M
-Other intangible assets
90.01%170.87B
6.61%114.47B
6.61%114.47B
42.17%108B
43.83%102.21B
35.38%89.93B
27.07%107.37B
27.07%107.37B
198.64%75.96B
194.89%71.06B
Investments and advances
66.67%41.93B
36.68%41.34B
36.68%41.34B
84.39%28.41B
85.80%24.48B
117.42%25.16B
221.45%30.25B
221.45%30.25B
349.51%15.41B
213.28%13.17B
Non current accounts receivable
49.13%1.16B
-10.71%1.45B
-10.71%1.45B
-0.06%758.46M
-17.03%730.35M
-18.40%775.36M
2.04%1.62B
2.04%1.62B
-59.19%758.92M
-44.68%880.23M
Related parties assets
-9.15%264.27M
13.90%367.54M
13.90%367.54M
154.47%595.29M
45.01%479.58M
40.06%290.88M
30.42%322.69M
30.42%322.69M
--233.93M
--330.71M
Non current deferred assets
32.94%8.36B
143.26%8.08B
143.26%8.08B
295.24%8.09B
291.86%7.56B
213.29%6.29B
103.84%3.32B
103.84%3.32B
-55.54%2.05B
-61.17%1.93B
Non current prepaid assets
----
41.73%1.95B
41.73%1.95B
----
----
----
-1.98%1.38B
-1.98%1.38B
----
----
Other non current assets
30.34%8.85B
-3.56%262.11M
-3.56%262.11M
-0.48%6.82B
4.88%7.69B
-9.94%6.79B
123,435.91%271.78M
123,435.91%271.78M
9,804.43%6.86B
10,659.98%7.33B
Total non current assets
67.31%433.79B
13.96%343.94B
13.96%343.94B
50.86%305.51B
51.74%283.47B
50.02%259.27B
44.63%301.82B
44.63%301.82B
189.48%202.52B
179.81%186.81B
Total assets
47.84%618.15B
11.08%500.57B
11.08%500.57B
50.44%491.42B
52.61%457.38B
48.13%418.12B
26.32%450.63B
26.32%450.63B
118.99%326.66B
120.09%299.71B
Liabilities
Current liabilities
Payables
102.65%63.92B
10.14%41.06B
10.14%41.06B
27.89%35.89B
36.12%36.7B
62.06%31.54B
32.79%37.28B
32.79%37.28B
65.42%28.06B
90.66%26.96B
-accounts payable
53.53%44.78B
6.91%28.49B
6.91%28.49B
36.20%32.63B
30.84%31.43B
55.62%29.17B
45.62%26.65B
45.62%26.65B
144.29%23.96B
153.47%24.02B
-Total tax payable
-45.40%910.96M
4.08%7.05B
4.08%7.05B
5.20%1.36B
1,586.83%2.42B
589.22%1.67B
59.26%6.77B
59.26%6.77B
1,032.10%1.29B
-41.63%143.51M
-Due to related parties current
2,475.14%18.23B
13.51%1.43B
13.51%1.43B
-32.57%1.89B
1.85%2.85B
47.76%707.91M
57.52%1.26B
57.52%1.26B
171.60%2.81B
--2.8B
-Other payable
----
57.35%4.1B
57.35%4.1B
----
----
----
-44.90%2.6B
-44.90%2.6B
----
----
Current accrued expenses
----
4.38%4.47B
4.38%4.47B
----
----
----
53.95%4.28B
53.95%4.28B
----
----
Current provisions
59.34%2.3B
-3.80%5.86B
-3.80%5.86B
71.83%3.69B
-22.90%1.1B
58.93%1.44B
113.41%6.09B
113.41%6.09B
4,361.38%2.15B
3,242.03%1.43B
Current debt and capital lease obligation
-31.57%38.28B
-47.14%35.92B
-47.14%35.92B
75.56%62.66B
69.06%59.44B
70.19%55.95B
80.03%67.94B
80.03%67.94B
26.66%35.69B
39.14%35.16B
-Current debt
-35.84%34.45B
-50.50%32.95B
-50.50%32.95B
3.00%35.44B
0.21%33.95B
70.59%53.69B
81.78%66.57B
81.78%66.57B
28.29%34.41B
41.65%33.88B
-Current capital lease obligation
69.96%3.84B
116.73%2.96B
116.73%2.96B
2,022.62%27.22B
1,888.78%25.49B
61.19%2.26B
22.74%1.37B
22.74%1.37B
-5.52%1.28B
-5.19%1.28B
Current deferred liabilities
59.02%3.77B
18.73%3.15B
18.73%3.15B
40.43%2.92B
52.77%2.86B
32.40%2.37B
17.94%2.66B
17.94%2.66B
54.50%2.08B
54.23%1.87B
Other current liabilities
-4.58%673.73M
136.33%1.53B
136.33%1.53B
227.70%811.97M
-62.01%2.55B
-89.23%706.07M
-93.28%648.53M
-93.28%648.53M
253.24%247.78M
5,413.94%6.71B
Current liabilities
18.41%108.95B
-22.63%91.99B
-22.63%91.99B
55.32%105.97B
42.31%102.65B
49.39%92.01B
42.65%118.89B
42.65%118.89B
43.81%68.23B
74.07%72.13B
Non current liabilities
Long term provisions
44.01%3.04B
12.36%2.82B
12.36%2.82B
37.52%2.37B
39.45%2.25B
39.18%2.11B
26.11%2.51B
26.11%2.51B
31.88%1.73B
33.14%1.62B
Long term debt and capital lease obligation
77.35%168.06B
78.82%122.73B
78.82%122.73B
66.98%118.62B
77.13%113.42B
45.40%94.76B
-17.96%68.63B
-17.96%68.63B
28.52%71.04B
23.31%64.03B
-Long term debt
71.80%155.67B
73.05%110.21B
73.05%110.21B
55.64%106.5B
63.66%101.9B
42.96%90.61B
-21.63%63.69B
-21.63%63.69B
30.39%68.43B
26.18%62.26B
-Long term capital lease obligation
198.32%12.39B
153.21%12.52B
153.21%12.52B
364.13%12.12B
551.03%11.52B
131.19%4.15B
106.84%4.94B
106.84%4.94B
-6.60%2.61B
-31.53%1.77B
Non current deferred liabilities
77.93%24.88B
87.04%18.64B
87.04%18.64B
123.52%15.24B
137.66%13.37B
145.96%13.98B
93.59%9.97B
93.59%9.97B
1,567.35%6.82B
1,022.56%5.63B
Due to related parties non current
399,221.16%16.55B
28,421.15%94.41M
28,421.15%94.41M
42.54%45.89M
10,646.50%16.87M
1,519.14%4.15M
-99.40%331K
-99.40%331K
--32.2M
--157K
Employee benefits
-6.83%3.28B
-27.16%2.89B
-27.16%2.89B
38.86%3.72B
47.27%3.74B
46.47%3.52B
33.94%3.97B
33.94%3.97B
54.88%2.68B
51.05%2.54B
Other non current liabilities
19.53%2.04B
-3.92%1.64B
-3.92%1.64B
33.48%2.01B
38.32%1.83B
37.66%1.71B
15.17%1.71B
15.17%1.71B
38.97%1.5B
33.07%1.33B
Total non current liabilities
87.74%218.29B
71.53%149.25B
71.53%149.25B
69.63%142.42B
79.34%135.03B
50.57%116.27B
-10.21%87.01B
-10.21%87.01B
38.21%83.96B
31.63%75.29B
Total liabilities
57.11%327.24B
17.16%241.24B
17.16%241.24B
63.22%248.39B
61.22%237.68B
50.05%208.29B
14.23%205.91B
14.23%205.91B
40.66%152.19B
49.46%147.42B
Shareholders'equity
Share capital
30.87%67.24B
0.00%61.11B
0.00%61.11B
33.29%58.56B
35.05%54.47B
38.10%51.38B
30.89%61.11B
30.89%61.11B
1,896.81%43.93B
1,733.29%40.33B
-common stock
30.87%67.24B
0.00%61.11B
0.00%61.11B
33.29%58.56B
35.05%54.47B
38.10%51.38B
30.89%61.11B
30.89%61.11B
1,896.81%43.93B
1,733.29%40.33B
Retained earnings
36.98%218.97B
4.47%194.78B
4.47%194.78B
40.65%183.2B
53.96%165.38B
55.39%159.86B
48.23%186.45B
48.23%186.45B
255.53%130.25B
219.39%107.42B
Paid-in capital
30.86%60.4M
0.00%54.89M
0.00%54.89M
403.99%52.6M
410.58%48.93M
422.14%46.16M
394.83%54.89M
394.83%54.89M
3,779.93%10.44M
3,462.45%9.58M
Less: Treasury stock
38.82%2.1B
9.71%1.91B
9.71%1.91B
30.06%1.64B
74.56%1.52B
77.24%1.51B
62.43%1.74B
62.43%1.74B
840.45%1.26B
473.13%872.78M
Gains losses not affecting retained earnings
12,038.42%6.73B
560.61%5.3B
560.61%5.3B
85.24%2.86B
-75.45%1.33B
-98.69%55.46M
-122.57%-1.15B
-122.57%-1.15B
-31.99%1.54B
192.93%5.42B
Total stockholders'equity
38.64%290.91B
5.97%259.33B
5.97%259.33B
39.29%243.03B
44.25%219.71B
46.26%209.83B
38.65%244.72B
38.65%244.72B
325.83%174.48B
305.82%152.31B
Noncontrolling interests
----
----
----
----
----
--0
--0
--0
--0
-588.83%-20.17M
Total equity
38.64%290.91B
5.97%259.33B
5.97%259.33B
39.29%243.03B
44.27%219.71B
46.28%209.83B
38.67%244.72B
38.67%244.72B
325.77%174.48B
305.72%152.29B
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments 5.21%119.81B6.80%105.99B6.80%105.99B56.19%136.96B113.82%127.07B92.83%113.88B16.80%99.24B16.80%99.24B65.22%87.69B28.97%59.43B
-Cash and cash equivalents -11.66%95.77B1.77%91.83B1.77%91.83B51.03%122.35B132.32%116.6B122.27%108.42B25.04%90.23B25.04%90.23B107.43%81.01B43.27%50.19B
-Short-term investments 340.46%24.04B57.20%14.16B57.20%14.16B118.79%14.62B13.31%10.47B-46.91%5.46B-29.67%9.01B-29.67%9.01B-52.34%6.68B-16.39%9.24B
Receivables 39.19%46.62B4.96%42.64B4.96%42.64B35.23%38.16B35.11%35.86B40.92%33.49B30.57%40.63B30.57%40.63B46.31%28.22B59.21%26.54B
-Accounts receivable 85.70%36.91B5.93%31.26B5.93%31.26B91.62%31.25B42.24%21.29B40.19%19.88B26.61%29.51B26.61%29.51B1.55%16.31B5.69%14.97B
-Taxes receivable ----37.55%3.58B37.55%3.58B------------33.85%2.6B33.85%2.6B--------
-Related party accounts receivable -9.15%264.27M13.90%367.54M13.90%367.54M154.47%595.29M45.01%479.58M40.06%290.88M30.42%322.69M30.42%322.69M--233.93M--330.71M
-Other receivables -29.12%9.45B-9.26%7.44B-9.26%7.44B-45.93%6.31B25.32%14.08B42.04%13.33B45.85%8.2B45.85%8.2B310.57%11.67B363.84%11.24B
Inventory -1.61%828.3M1.69%897.95M1.69%897.95M9.90%818.86M4.84%731.24M41.84%841.89M13.15%883.01M13.15%883.01M25.31%745.1M38.92%697.45M
Prepaid assets ----25.68%4.24B25.68%4.24B------------49.38%3.37B49.38%3.37B--------
Restricted cash -----7.78%888.47M-7.78%888.47M-------------14.97%963.44M-14.97%963.44M--------
Other current assets 96.88%15.53B-81.85%191.19M-81.85%191.19M34.85%7.29B51.95%7.74B57.95%7.89B603.04%1.05B603.04%1.05B454.19%5.41B527.37%5.09B
Total current assets 16.06%184.36B5.25%156.63B5.25%156.63B49.75%185.91B54.05%173.92B45.16%158.85B0.51%148.81B0.51%148.81B56.73%124.15B62.65%112.9B
Non current assets
Net PPE 55.66%201.54B12.01%175.4B12.01%175.4B51.36%152.5B52.49%139.92B54.69%129.48B43.19%156.59B43.19%156.59B225.33%100.75B214.93%91.76B
-Gross PPE 44.24%543.55B8.16%481.59B8.16%481.59B43.65%443.33B45.60%406.19B48.49%376.84B39.47%445.24B39.47%445.24B398.28%308.62B376.22%278.97B
-Accumulated depreciation -38.26%-342.01B-6.08%-306.2B-6.08%-306.2B-39.91%-290.84B-42.23%-266.27B-45.43%-247.36B-37.53%-288.65B-37.53%-288.65B-571.21%-207.87B-535.84%-187.21B
Goodwill and other intangible assets 89.59%171.72B6.57%115.24B6.57%115.24B42.11%108.74B43.76%102.89B35.40%90.58B27.09%108.14B27.09%108.14B200.33%76.52B196.41%71.57B
-Goodwill 30.87%848.31M0.00%770.91M0.00%770.91M33.29%738.73M35.05%687.17M38.10%648.23M30.89%770.91M30.89%770.91M1,243.71%554.21M950.84%508.83M
-Other intangible assets 90.01%170.87B6.61%114.47B6.61%114.47B42.17%108B43.83%102.21B35.38%89.93B27.07%107.37B27.07%107.37B198.64%75.96B194.89%71.06B
Investments and advances 66.67%41.93B36.68%41.34B36.68%41.34B84.39%28.41B85.80%24.48B117.42%25.16B221.45%30.25B221.45%30.25B349.51%15.41B213.28%13.17B
Non current accounts receivable 49.13%1.16B-10.71%1.45B-10.71%1.45B-0.06%758.46M-17.03%730.35M-18.40%775.36M2.04%1.62B2.04%1.62B-59.19%758.92M-44.68%880.23M
Related parties assets -9.15%264.27M13.90%367.54M13.90%367.54M154.47%595.29M45.01%479.58M40.06%290.88M30.42%322.69M30.42%322.69M--233.93M--330.71M
Non current deferred assets 32.94%8.36B143.26%8.08B143.26%8.08B295.24%8.09B291.86%7.56B213.29%6.29B103.84%3.32B103.84%3.32B-55.54%2.05B-61.17%1.93B
Non current prepaid assets ----41.73%1.95B41.73%1.95B-------------1.98%1.38B-1.98%1.38B--------
Other non current assets 30.34%8.85B-3.56%262.11M-3.56%262.11M-0.48%6.82B4.88%7.69B-9.94%6.79B123,435.91%271.78M123,435.91%271.78M9,804.43%6.86B10,659.98%7.33B
Total non current assets 67.31%433.79B13.96%343.94B13.96%343.94B50.86%305.51B51.74%283.47B50.02%259.27B44.63%301.82B44.63%301.82B189.48%202.52B179.81%186.81B
Total assets 47.84%618.15B11.08%500.57B11.08%500.57B50.44%491.42B52.61%457.38B48.13%418.12B26.32%450.63B26.32%450.63B118.99%326.66B120.09%299.71B
Liabilities
Current liabilities
Payables 102.65%63.92B10.14%41.06B10.14%41.06B27.89%35.89B36.12%36.7B62.06%31.54B32.79%37.28B32.79%37.28B65.42%28.06B90.66%26.96B
-accounts payable 53.53%44.78B6.91%28.49B6.91%28.49B36.20%32.63B30.84%31.43B55.62%29.17B45.62%26.65B45.62%26.65B144.29%23.96B153.47%24.02B
-Total tax payable -45.40%910.96M4.08%7.05B4.08%7.05B5.20%1.36B1,586.83%2.42B589.22%1.67B59.26%6.77B59.26%6.77B1,032.10%1.29B-41.63%143.51M
-Due to related parties current 2,475.14%18.23B13.51%1.43B13.51%1.43B-32.57%1.89B1.85%2.85B47.76%707.91M57.52%1.26B57.52%1.26B171.60%2.81B--2.8B
-Other payable ----57.35%4.1B57.35%4.1B-------------44.90%2.6B-44.90%2.6B--------
Current accrued expenses ----4.38%4.47B4.38%4.47B------------53.95%4.28B53.95%4.28B--------
Current provisions 59.34%2.3B-3.80%5.86B-3.80%5.86B71.83%3.69B-22.90%1.1B58.93%1.44B113.41%6.09B113.41%6.09B4,361.38%2.15B3,242.03%1.43B
Current debt and capital lease obligation -31.57%38.28B-47.14%35.92B-47.14%35.92B75.56%62.66B69.06%59.44B70.19%55.95B80.03%67.94B80.03%67.94B26.66%35.69B39.14%35.16B
-Current debt -35.84%34.45B-50.50%32.95B-50.50%32.95B3.00%35.44B0.21%33.95B70.59%53.69B81.78%66.57B81.78%66.57B28.29%34.41B41.65%33.88B
-Current capital lease obligation 69.96%3.84B116.73%2.96B116.73%2.96B2,022.62%27.22B1,888.78%25.49B61.19%2.26B22.74%1.37B22.74%1.37B-5.52%1.28B-5.19%1.28B
Current deferred liabilities 59.02%3.77B18.73%3.15B18.73%3.15B40.43%2.92B52.77%2.86B32.40%2.37B17.94%2.66B17.94%2.66B54.50%2.08B54.23%1.87B
Other current liabilities -4.58%673.73M136.33%1.53B136.33%1.53B227.70%811.97M-62.01%2.55B-89.23%706.07M-93.28%648.53M-93.28%648.53M253.24%247.78M5,413.94%6.71B
Current liabilities 18.41%108.95B-22.63%91.99B-22.63%91.99B55.32%105.97B42.31%102.65B49.39%92.01B42.65%118.89B42.65%118.89B43.81%68.23B74.07%72.13B
Non current liabilities
Long term provisions 44.01%3.04B12.36%2.82B12.36%2.82B37.52%2.37B39.45%2.25B39.18%2.11B26.11%2.51B26.11%2.51B31.88%1.73B33.14%1.62B
Long term debt and capital lease obligation 77.35%168.06B78.82%122.73B78.82%122.73B66.98%118.62B77.13%113.42B45.40%94.76B-17.96%68.63B-17.96%68.63B28.52%71.04B23.31%64.03B
-Long term debt 71.80%155.67B73.05%110.21B73.05%110.21B55.64%106.5B63.66%101.9B42.96%90.61B-21.63%63.69B-21.63%63.69B30.39%68.43B26.18%62.26B
-Long term capital lease obligation 198.32%12.39B153.21%12.52B153.21%12.52B364.13%12.12B551.03%11.52B131.19%4.15B106.84%4.94B106.84%4.94B-6.60%2.61B-31.53%1.77B
Non current deferred liabilities 77.93%24.88B87.04%18.64B87.04%18.64B123.52%15.24B137.66%13.37B145.96%13.98B93.59%9.97B93.59%9.97B1,567.35%6.82B1,022.56%5.63B
Due to related parties non current 399,221.16%16.55B28,421.15%94.41M28,421.15%94.41M42.54%45.89M10,646.50%16.87M1,519.14%4.15M-99.40%331K-99.40%331K--32.2M--157K
Employee benefits -6.83%3.28B-27.16%2.89B-27.16%2.89B38.86%3.72B47.27%3.74B46.47%3.52B33.94%3.97B33.94%3.97B54.88%2.68B51.05%2.54B
Other non current liabilities 19.53%2.04B-3.92%1.64B-3.92%1.64B33.48%2.01B38.32%1.83B37.66%1.71B15.17%1.71B15.17%1.71B38.97%1.5B33.07%1.33B
Total non current liabilities 87.74%218.29B71.53%149.25B71.53%149.25B69.63%142.42B79.34%135.03B50.57%116.27B-10.21%87.01B-10.21%87.01B38.21%83.96B31.63%75.29B
Total liabilities 57.11%327.24B17.16%241.24B17.16%241.24B63.22%248.39B61.22%237.68B50.05%208.29B14.23%205.91B14.23%205.91B40.66%152.19B49.46%147.42B
Shareholders'equity
Share capital 30.87%67.24B0.00%61.11B0.00%61.11B33.29%58.56B35.05%54.47B38.10%51.38B30.89%61.11B30.89%61.11B1,896.81%43.93B1,733.29%40.33B
-common stock 30.87%67.24B0.00%61.11B0.00%61.11B33.29%58.56B35.05%54.47B38.10%51.38B30.89%61.11B30.89%61.11B1,896.81%43.93B1,733.29%40.33B
Retained earnings 36.98%218.97B4.47%194.78B4.47%194.78B40.65%183.2B53.96%165.38B55.39%159.86B48.23%186.45B48.23%186.45B255.53%130.25B219.39%107.42B
Paid-in capital 30.86%60.4M0.00%54.89M0.00%54.89M403.99%52.6M410.58%48.93M422.14%46.16M394.83%54.89M394.83%54.89M3,779.93%10.44M3,462.45%9.58M
Less: Treasury stock 38.82%2.1B9.71%1.91B9.71%1.91B30.06%1.64B74.56%1.52B77.24%1.51B62.43%1.74B62.43%1.74B840.45%1.26B473.13%872.78M
Gains losses not affecting retained earnings 12,038.42%6.73B560.61%5.3B560.61%5.3B85.24%2.86B-75.45%1.33B-98.69%55.46M-122.57%-1.15B-122.57%-1.15B-31.99%1.54B192.93%5.42B
Total stockholders'equity 38.64%290.91B5.97%259.33B5.97%259.33B39.29%243.03B44.25%219.71B46.26%209.83B38.65%244.72B38.65%244.72B325.83%174.48B305.82%152.31B
Noncontrolling interests ----------------------0--0--0--0-588.83%-20.17M
Total equity 38.64%290.91B5.97%259.33B5.97%259.33B39.29%243.03B44.27%219.71B46.28%209.83B38.67%244.72B38.67%244.72B325.77%174.48B305.72%152.29B
Currency Unit TRYTRYTRYTRYTRYTRYTRYTRYTRYTRY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion------
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