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Korfez Gayrimenkul Yatirim Ortakligi AS
Previous close
₺3.16
Day range
₺3.16 - ₺3.24
Year range
₺2.42 - ₺6.51
Market cap
3.15B TRY
Avg Volume
15.25M
P/E ratio
12.85
Dividend yield
-
Primary exchange
IST
Market news
Financials
Income Statement
Revenue
Net income
| (TRY) | Jun 2025info | Y/Y change | 
|---|---|---|
| Revenue | 122.92M | 533.46% | 
| Operating expense | -47.05M | -322.38% | 
| Net income | 120.85M | 7,448.41% | 
| Net profit margin | 98.31 | 1,091.64% | 
| Earnings per share | — | — | 
| EBITDA | 157.81M | 1,493.68% | 
| Effective tax rate | 15.05% | — | 
Balance Sheet
Total assets
Total liabilities
| (TRY) | Jun 2025info | Y/Y change | 
|---|---|---|
| Cash and short-term investments | 76.07M | -54.52% | 
| Total assets | 1.69B | 60.01% | 
| Total liabilities | 161.75M | 95.93% | 
| Total equity | 1.52B | — | 
| Shares outstanding | 330.00M | — | 
| Price to book | 0.68 | — | 
| Return on assets | 23.48% | — | 
| Return on capital | 26.36% | — | 
Cash Flow
Net change in cash
| (TRY) | Jun 2025info | Y/Y change | 
|---|---|---|
| Net income | 120.85M | 7,448.41% | 
| Cash from operations | 63.25M | 644.51% | 
| Cash from investing | -54.68M | -8,179.11% | 
| Cash from financing | -7.36M | -2,192.32% | 
| Net change in cash | 1.02M | -87.95% | 
| Free cash flow | 14.25M | 138.62% | 
About
Founded
1996
Website
Employees
8
