Turkcell Iletisim Hizmetleri AS Financial Ratios for Analysis 2009-2024 | TKC

Fifteen years of historical annual and quarterly financial ratios and margins for Turkcell Iletisim Hizmetleri AS (TKC).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.781.591.731.781.531.561.531.811.402.672.702.332.162.451.85
0.320.360.550.440.410.450.350.300.190.070.090.080.160.180.12
0.690.811.631.041.121.260.830.610.290.220.230.240.330.300.26
21.1913.8629.7630.1332.0433.5635.6335.3439.1638.7738.1938.2537.0944.0246.51
7.294.3420.4719.8320.0220.4816.6315.2717.6017.7317.2616.0711.8120.0623.05
7.294.3420.4719.8320.0220.4816.6315.2717.6017.7317.2616.0711.8120.0623.05
38.5439.0540.6640.3640.1040.6131.3630.7030.6631.2931.0929.5228.2924.9633.25
5.504.1612.6415.9013.0912.5514.8014.0620.1318.2325.7824.5318.1324.2024.96
11.726.7814.0114.5612.929.4911.2210.4416.1912.1620.5819.5612.9318.8419.08
0.430.430.510.570.550.500.520.450.490.540.600.560.620.610.62
15617696.8499.8395.7678.4010969.9910311011274.08135137110
6.326.145.665.424.613.673.042.993.113.644.584.856.666.616.49
57.7259.4264.4967.3379.2599.5212012211710079.6975.2354.8155.2256.27
8.646.2922.3020.4013.8513.5613.549.8713.2013.0918.9016.2111.7317.8422.74
16.5814.3763.6850.3736.9636.2730.3920.2530.7715.3422.5119.8014.9924.5833.53
4.272.937.128.235.485.096.005.027.269.2313.0811.077.3911.3514.38
5.864.039.9611.428.147.468.746.8910.6312.1817.1214.929.9014.5519.96
6.014.622.973.393.613.764.696.046.05------
2.071.782.652.151.821.380.970.230.800.911.131.351.061.391.47
1.381.121.891.451.220.700.13-0.800.010.160.430.500.310.400.29

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.571.781.781.671.681.601.591.871.741.721.611.961.781.921.881.821.531.521.731.811.561.561.421.241.531.621.461.921.811.591.631.501.401.711.631.372.672.802.732.752.702.872.922.802.332.271.961.862.162.432.492.882.452.511.962.051.851.891.612.13
0.300.310.320.570.580.540.360.600.600.560.480.470.440.450.420.430.410.430.460.470.450.500.440.400.350.340.340.310.300.290.290.180.190.040.040.040.070.060.070.080.090.090.100.100.080.080.060.060.160.180.170.180.180.180.160.120.120.090.030.03
0.650.680.692.042.061.730.812.032.021.751.191.151.041.131.011.041.121.191.271.341.261.551.231.060.830.800.790.650.610.530.480.270.290.250.300.320.220.220.220.230.230.220.230.230.240.250.270.300.330.330.310.280.300.280.320.250.260.200.150.15
24.0221.55-6.6239.8638.6933.28-14.3232.8128.6129.1428.2128.8529.0131.4528.5131.3730.9835.0330.8031.1430.0835.4233.5634.5935.3236.2035.5035.4335.5435.1533.3937.4139.3744.9438.7243.5136.5342.2337.8938.9836.1241.2740.4137.5037.4839.5439.4341.4426.8741.6736.7741.0348.7245.2545.5643.2041.5747.3346.9750.85
12.8110.72-48.9730.9256.5230.96-45.3541.9336.1420.8716.7320.9315.4424.4019.0920.1718.2723.5019.6018.5217.1122.3320.7221.188.1720.4818.6119.1318.1612.2414.1816.6116.1713.5214.725.4415.1217.6719.7117.0914.2721.2811.4716.0614.1117.8915.375.69-2.0521.2315.6916.422.7523.7719.9420.2617.7524.8722.6027.58
12.8110.72-48.9730.9256.5230.96-45.3541.9336.1420.8716.7320.9315.4424.4019.0920.1718.2723.5019.6018.5217.1122.3320.7221.188.1720.4818.6119.1318.1612.2414.1816.6116.1713.5214.725.4415.1217.6719.7117.0914.2721.2811.4716.0614.1117.8915.375.69-2.0521.2315.6916.422.7523.7719.9420.2617.7524.8722.6027.58
------------------------------------------------------------
6.3611.06-18.7621.6716.8920.58-13.5119.7614.288.8710.2518.5110.3220.4715.7116.8014.8215.6210.3811.1317.407.3411.2014.605.8516.8820.8315.5112.737.6614.5922.2324.0427.1030.962.3910.3530.3120.4011.3422.3829.9926.1326.1521.2126.2525.7328.5821.9127.343.1419.5124.0929.0323.3523.4716.6926.9520.7336.89
8.328.552.1821.0814.6016.30-3.9316.3414.897.5113.0114.1217.0415.8312.3013.1110.6712.167.5121.5715.864.168.1310.524.0513.0616.3111.328.404.4512.3917.4517.5323.9023.0412.6314.8423.9016.8612.6917.9223.6119.5521.0916.3920.7320.8915.5913.5621.3018.8415.5718.0723.8418.8418.5911.2520.9617.5826.83
0.120.110.160.170.160.160.160.160.150.140.150.140.140.150.150.150.140.140.140.120.100.130.120.130.130.140.140.120.120.120.120.120.120.160.150.120.140.140.140.130.140.150.140.140.150.150.150.120.150.160.150.140.130.150.160.160.160.180.180.17
38.0340.7477.7726.2926.4427.8286.0329.9523.5116.1515.1014.6424.6218.4418.2817.8625.2326.4023.5216.5817.3624.1712.6826.8527.3430.2119.5018.3918.2216.7419.9424.3625.5930.3726.7127.4528.5429.7327.7926.4527.5829.2027.8821.1920.1727.8526.8326.1636.8739.9439.8534.7635.3641.1741.9633.6731.5136.0738.2628.08
1.621.532.331.611.511.262.261.571.381.451.451.371.321.391.241.201.201.201.060.710.770.850.800.800.760.870.840.810.780.790.740.760.750.830.800.720.910.960.970.971.091.141.111.161.292.522.621.291.661.591.541.511.421.501.571.641.701.811.852.23
55.5758.9838.6755.9859.5671.6239.8857.1965.2962.1462.0665.8468.3864.8372.6774.7475.3075.1684.6712611710611211211910410711111511412111812010911312498.6993.3692.6092.8182.8379.1781.1777.7269.5535.7134.3670.0154.3056.7558.2659.4663.5459.9857.3054.8452.8149.6048.5540.34
1.561.46-0.9213.368.428.32-1.349.387.803.435.495.085.795.974.374.684.084.592.772.764.891.892.873.681.324.155.042.852.321.132.793.853.735.675.322.742.854.753.252.373.685.013.984.293.584.574.492.933.305.504.523.263.725.714.984.542.905.774.666.55
2.922.71-1.7733.1122.0018.72-3.0625.6622.699.6615.9312.3414.3014.6110.8211.9510.9011.996.966.9413.085.618.0910.572.959.1211.825.644.752.375.888.508.707.186.763.483.335.533.812.814.385.944.775.184.375.605.563.694.227.035.894.405.128.077.426.584.288.757.348.71
0.790.74-0.463.672.322.56-0.622.642.201.071.991.972.342.351.811.931.621.761.051.021.840.621.051.420.581.902.241.431.180.581.502.192.053.803.481.482.013.392.321.662.553.532.803.022.453.143.061.942.083.482.902.142.373.673.092.971.843.753.124.50
1.101.00-0.635.693.533.86-0.863.793.161.502.862.713.243.262.522.682.402.641.501.452.690.941.612.220.852.723.351.971.620.801.983.143.015.445.092.622.654.453.032.183.334.563.593.883.304.204.242.752.794.543.752.673.034.704.183.992.555.264.526.34
--6.01---4.62-----3.39---3.61---3.76---4.69---6.04-------------------------------
0.590.212.071.250.960.201.781.090.600.260.840.342.151.610.920.461.821.270.600.211.381.090.600.080.970.38-0.04-0.020.230.39-0.220.010.810.650.08-0.320.910.520.10-0.081.170.620.13-0.101.360.590.14-0.121.050.730.27-0.061.430.840.36-0.041.471.010.420.02
0.15-0.051.380.920.690.071.120.840.410.130.580.201.451.220.700.391.220.830.30-0.010.700.600.30-0.100.13-0.12-0.31-0.12-0.80-0.40-0.74-0.210.010.12-0.35-0.440.160.05-0.15-0.210.440.21-0.09-0.190.500.11-0.13-0.230.310.300.01-0.170.410.18-0.02-0.230.290.20-0.08-0.08