Aracı Kurum | Sembol | Tip | Miktar | Fiyat | Tutar | Satılabilir | Maliyet | K/Z |
---|
Sembol | Tip | Miktar | Fiyat | Tutar | Satılabilir | Maliyet | K/Z |
---|
Sembol | Tip | Miktar | Fiyat | Tutar | Satılabilir | Maliyet | K/Z |
---|
EKİZ KİMYA SANAYİ VE TİCARET A.Ş.
Kalemler | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
CashAndCashEquivalents |
42.774
(+97.0%)
|
41.791
(+122.6%)
|
46.174
(+120.8%)
|
55.187
(+218.1%)
|
21.711
(+25.3%)
|
18.778
(+6.3%)
|
CurrentTradeReceivablesDueFromUnrelatedParties |
18.900.322
(+93.6%)
|
16.885.099
(+102.9%)
|
14.060.535
(+86.1%)
|
12.326.882
(+103.0%)
|
9.763.788
(+93.2%)
|
8.322.386
(+141.8%)
|
OtherCurrentReceivablesDueFromRelatedParties |
-
-
|
500.000
-
|
-
-
|
-
-
|
-
-
|
-
-
|
OtherCurrentReceivablesDueFromUnrelatedParties |
55.521
-
|
1.883
-
|
2.072
-
|
-
-
|
-
-
|
-
-
|
CurrentPrepaymentsToUnrelatedParties |
7.072
(-85.0%)
|
82.862
(+27.3%)
|
4.522
-
|
39.844
(-40.4%)
|
47.014
(-43.3%)
|
65.073
(-29.8%)
|
OtherCurrentAssetsDueFromUnrelatedParties |
904.377
(+91.5%)
|
752.213
(+101.7%)
|
706.985
(+146.7%)
|
572.860
(+209.7%)
|
472.253
(+470.3%)
|
372.995
(+754.7%)
|
CurrentAssetsOtherThanAssetsOrDisposalGroupsClassifiedAsHeldForSaleOrAsHeldForDistributionToOwners |
19.910.066
(+93.2%)
|
18.263.848
(+108.0%)
|
14.820.288
(+88.5%)
|
12.995.992
(+104.9%)
|
10.304.766
(+95.4%)
|
8.779.232
(+144.2%)
|
CurrentAssets |
19.910.066
(+93.2%)
|
18.263.848
(+108.0%)
|
14.820.288
(+88.5%)
|
12.995.992
(+104.9%)
|
10.304.766
(+95.4%)
|
8.779.232
(+144.2%)
|
InvestmentProperty |
364.320.604
(+29.3%)
|
343.677.619
(+32.2%)
|
343.677.619
(+148.9%)
|
293.832.115
(+144.9%)
|
281.852.702
(+134.9%)
|
260.000.000
(+110.9%)
|
FixturesAndFittings |
41.100
(-19.4%)
|
37.916
(-7.5%)
|
45.236
(-5.8%)
|
46.054
(+1.8%)
|
50.975
(+85.2%)
|
41.008
(+10.8%)
|
OtherRights |
-
-
|
-
-
|
-
(-100.0%)
|
-
-
|
16.190
(+46.1%)
|
-
-
|
OtherNoncurrentAssetsDueFromUnrelatedParties |
-
-
|
8.017
(-76.0%)
|
8.824
(-73.6%)
|
39.455
(+392.1%)
|
36.224
(+351.8%)
|
33.416
(+316.8%)
|
NoncurrentAssets |
369.479.083
(+30.2%)
|
345.600.952
(+32.0%)
|
345.843.779
(+145.9%)
|
293.917.624
(+144.8%)
|
283.689.163
(+136.3%)
|
261.815.526
(+112.2%)
|
Assets |
389.389.149
(+32.4%)
|
363.864.800
(+34.5%)
|
360.664.067
(+142.9%)
|
306.913.616
(+142.8%)
|
293.993.929
(+134.6%)
|
270.594.758
(+113.1%)
|
CurrentTradePayablesToUnrelatedParties |
2.815.878
(+584.7%)
|
247.991
(-38.3%)
|
246.279
(+33.4%)
|
339.267
(-50.6%)
|
411.282
(-44.6%)
|
402.019
(-48.2%)
|
CurrentEmployeeBenefitObligations |
953.472
(+37.1%)
|
619.943
(-13.4%)
|
1.056.602
(+55.1%)
|
713.201
(-65.7%)
|
695.442
(-63.4%)
|
715.977
(-61.7%)
|
OtherCurrentPayablesToRelatedParties |
29.441.826
(+37.7%)
|
28.144.830
(+41.7%)
|
27.563.088
(+29.1%)
|
23.723.004
(+47.3%)
|
21.384.799
(+40.7%)
|
19.866.825
(+14218.4%)
|
OtherCurrentPayablesToUnrelatedParties |
-
-
|
-
(-100.0%)
|
2.399
(-99.9%)
|
3.894.379
(+65.8%)
|
3.646.905
(+84.6%)
|
3.135.706
(-43.5%)
|
DeferredIncomeFromUnrelatedPartiesClassifiedAsCurrent |
-
-
|
-
-
|
94.642
(+7544.7%)
|
-
-
|
-
-
|
-
-
|
CurrentProvisionsForEmployeeBenefits |
554.648
(+59.6%)
|
550.313
(+43.0%)
|
368.143
(+77.9%)
|
313.346
(+84.1%)
|
347.601
(+193.4%)
|
384.875
(+1538.5%)
|
OtherShorttermProvisions |
6.544.475
(+552.6%)
|
1.018.417
-
|
1.120.900
-
|
1.002.904
-
|
1.002.904
-
|
-
-
|
OtherCurrentNonfinancialLiabilitiesToUnrelatedParties |
6.438.619
-
|
7.253.588
(+623.3%)
|
7.380.065
(+1165.4%)
|
-
-
|
-
-
|
1.002.904
(+47.5%)
|
CurrentLiabilitiesOtherThanLiabilitiesIncludedInDisposalGroupsClassifiedAsHeldForSale |
46.748.918
(+70.1%)
|
37.835.082
(+48.3%)
|
37.832.118
(+43.4%)
|
29.986.101
(+35.9%)
|
27.488.933
(+33.3%)
|
25.508.306
(+10.4%)
|
CurrentLiabilities |
46.748.918
(+70.1%)
|
37.835.082
(+48.3%)
|
37.832.118
(+43.4%)
|
29.986.101
(+35.9%)
|
27.488.933
(+33.3%)
|
25.508.306
(+10.4%)
|
NoncurrentProvisionsForEmployeeBenefits |
1.029.798
(+36.4%)
|
1.071.074
(+48.9%)
|
964.464
(+78.5%)
|
898.557
(+240.7%)
|
755.090
(-35.5%)
|
719.474
(-36.2%)
|
NoncurrentLiabilities |
1.029.798
(+36.4%)
|
1.071.074
(+48.9%)
|
964.464
(+78.5%)
|
6.716.350
(+89.3%)
|
755.090
(-83.3%)
|
719.474
(-97.8%)
|
Liabilities |
47.778.716
(+69.2%)
|
38.906.156
(+48.3%)
|
38.796.582
(+44.1%)
|
36.702.451
(+43.3%)
|
28.244.023
(+12.3%)
|
26.227.780
(-53.4%)
|
IssuedCapital |
9.284.470
(0.0%)
|
9.284.470
(0.0%)
|
9.284.470
(0.0%)
|
9.284.470
(0.0%)
|
9.284.470
(0.0%)
|
9.284.470
(0.0%)
|
InflationAdjustmentsOnCapital |
159.388.303
(+37.9%)
|
149.831.036
(+41.4%)
|
149.831.036
(+41.4%)
|
126.753.059
(+259916.9%)
|
115.613.522
(+237065.7%)
|
105.929.885
(+217201.0%)
|
SharePremium |
200.271.336
(+35.0%)
|
188.923.644
(+38.1%)
|
188.923.644
(+38.1%)
|
161.522.321
(+659.2%)
|
148.295.942
(+597.1%)
|
136.798.207
(+543.0%)
|
AccumulatedGainsOrLossesOnRemeasurementsOfDefinedBenefitPlans |
486.898
-
|
296.523
-
|
229.311
-
|
-
-
|
-
-
|
-
-
|
LegalReserves |
6.351.303
(+35.0%)
|
5.991.417
(+38.1%)
|
5.991.417
(+38.1%)
|
5.122.427
(+1966.9%)
|
4.702.974
(+1797.7%)
|
4.338.341
(+1650.5%)
|
OtherRestrictedProfitReserves |
17.357.117
(+35.0%)
|
16.373.647
(+38.1%)
|
16.373.647
(+38.1%)
|
13.998.827
(+771.6%)
|
12.852.522
(+700.2%)
|
11.856.036
(+638.2%)
|
PriorYearsProfitsOrLosses |
-51.695.189
(+67.5%)
|
-48.833.252
(+66.7%)
|
-202.746.600
(-66.5%)
|
-173.144.366
(-862.2%)
|
-158.966.310
(-799.8%)
|
-146.641.275
(-745.5%)
|
CurrentPeriodNetProfitOrLossClassifiedInEquity |
166.195
(-99.9%)
|
3.091.159
(-97.5%)
|
153.980.560
(+719.6%)
|
126.674.427
(+348.5%)
|
133.966.786
(+383.2%)
|
122.801.314
(+2071.5%)
|
Equity |
341.610.433
(+28.5%)
|
324.958.644
(+33.0%)
|
321.867.485
(+164.8%)
|
270.211.165
(+168.1%)
|
265.749.906
(+165.3%)
|
244.366.978
(+245.9%)
|
EquityAndLiabilities |
389.389.149
(+32.4%)
|
363.864.800
(+34.5%)
|
360.664.067
(+142.9%)
|
306.913.616
(+142.8%)
|
293.993.929
(+134.6%)
|
270.594.758
(+113.1%)
|
DeferredTaxLiabilities |
-
-
|
-
-
|
-
-
|
5.817.793
(+77.2%)
|
-
-
|
-
-
|
DeferredTaxAssets |
5.117.379
(+195.3%)
|
1.877.400
(+7.8%)
|
2.112.100
(-14.4%)
|
-
-
|
1.733.072
-
|
1.741.102
-
|
Inventories |
-
-
|
-
-
|
-
-
|
1.219
-
|
-
-
|
-
-
|
Kalemler | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
Revenue |
256.919.125
(+56.2%)
|
125.469.669
(+53.0%)
|
267.396.494
(-19.8%)
|
221.331.468
(-12.6%)
|
164.511.164
(+2.9%)
|
81.985.717
(+41.0%)
|
CostOfSales |
249.782.483
(+56.0%)
|
121.984.401
(+53.1%)
|
260.110.128
(-20.0%)
|
215.316.347
(-12.8%)
|
160.106.499
(+2.8%)
|
79.658.044
(+41.1%)
|
GrossProfitLossFromCommercialOperations |
7.136.642
(+62.0%)
|
3.485.268
(+49.7%)
|
7.286.366
(-8.8%)
|
6.015.121
(-4.9%)
|
4.404.665
(+4.2%)
|
2.327.673
(+37.4%)
|
GrossProfit |
7.136.642
(+62.0%)
|
3.485.268
(+49.7%)
|
7.286.366
(-8.8%)
|
6.015.121
(-4.9%)
|
4.404.665
(+4.2%)
|
2.327.673
(+37.4%)
|
AdministrativeExpense |
7.156.535
(+34.0%)
|
3.352.755
(+21.6%)
|
9.686.723
(+56.0%)
|
6.586.435
(-17.4%)
|
5.339.679
(-20.2%)
|
2.757.222
(-36.0%)
|
OtherIncome |
1.347.969
(+806.8%)
|
100.918
(-25.1%)
|
129.330
(-99.8%)
|
119.889
(-99.0%)
|
148.650
(-85.6%)
|
134.805
(-90.1%)
|
OtherExpenseByFunction |
7.861.478
(+985.7%)
|
35.339
(-95.2%)
|
2.432.790
(-64.5%)
|
536.148
(-93.6%)
|
724.061
(-92.0%)
|
740.436
(-70.7%)
|
ProfitLossFromOperatingActivities |
-6.533.402
(-332.6%)
|
198.092
(+119.1%)
|
-4.703.817
(-106.9%)
|
-987.573
(-109.5%)
|
-1.510.425
(+88.0%)
|
-1.035.180
(+82.2%)
|
InvestmentActivityIncome |
103.510
(-99.9%)
|
80.000.000
(-48.6%)
|
99.101.843
(+222.8%)
|
143.921.770
(+124.9%)
|
194.364.419
(+164.4%)
|
155.510.396
-
|
ProfitLossBeforeFinancingExpense |
-6.429.892
(-103.3%)
|
80.198.092
(-48.1%)
|
94.398.026
(-4.3%)
|
142.934.197
(+125.0%)
|
192.853.994
(+216.5%)
|
154.475.216
(+2756.2%)
|
FinanceIncome |
389.185
(+189.3%)
|
688.656
(+511.1%)
|
188.259
(+254.9%)
|
204.394
(-76.3%)
|
134.508
(-77.1%)
|
112.695
(-5.8%)
|
FinanceCosts |
2.003
(-55.5%)
|
6.848
(+74.3%)
|
311.561
(-96.8%)
|
3.943
(-100.0%)
|
4.499
(-99.9%)
|
3.928
(-99.9%)
|
GainsLossesOnNetMonetaryPosition |
3.249.217
(+128.2%)
|
-77.747.149
(-599.5%)
|
44.220.045
(+136.3%)
|
-8.498.395
(+37.1%)
|
-11.508.660
(+47.0%)
|
15.564.774
(+193.6%)
|
ProfitLossBeforeTax |
-2.793.493
(-101.5%)
|
3.132.751
(-98.2%)
|
138.494.769
(+524.0%)
|
134.636.253
(+233.7%)
|
181.475.343
(+487.1%)
|
170.148.757
(+720.4%)
|
DeferredIncomeTaxExpenseContinuingOperations |
-2.959.688
(-633.3%)
|
41.592
(-92.5%)
|
-1.918.992
(-29.8%)
|
7.961.826
(-53.9%)
|
554.998
(-94.0%)
|
556.458
-
|
ProfitLossFromContinuingOperations |
166.195
(-99.9%)
|
3.091.159
(-98.2%)
|
139.902.200
(+548.6%)
|
126.674.427
(+596.8%)
|
180.920.345
(+736.7%)
|
169.592.299
(+718.4%)
|
ProfitLoss |
166.195
(-99.9%)
|
3.091.159
(-98.2%)
|
139.902.200
(+548.6%)
|
126.674.427
(+596.8%)
|
180.920.345
(+736.7%)
|
169.592.299
(+718.4%)
|
ProfitLossAttributableToOwnersOfParent |
166.195
(-99.9%)
|
3.091.159
(-98.2%)
|
139.902.200
(+548.6%)
|
126.674.427
(+596.8%)
|
180.920.345
(+736.7%)
|
169.592.299
(+718.4%)
|
ClassesOfShares |
0,07
(-99.6%)
|
0,36
(-98.0%)
|
15,09
(+549.1%)
|
13,64
(+595.9%)
|
19,49
(+736.5%)
|
18,27
(+719.3%)
|
OtherComprehensiveIncome |
486.898
-
|
296.523
-
|
208.345
-
|
-
-
|
-
-
|
-
-
|
ComprehensiveIncome |
653.093
(-99.6%)
|
3.387.682
(-98.0%)
|
140.110.545
(+549.3%)
|
126.674.427
(+596.8%)
|
180.920.345
(+736.7%)
|
169.592.299
(+718.4%)
|
ComprehensiveIncomeAttributableToOwnersOfParent |
653.093
(-99.6%)
|
3.387.682
(-98.0%)
|
140.110.545
(+549.3%)
|
126.674.427
(+596.8%)
|
180.920.345
(+736.7%)
|
169.592.299
(+718.4%)
|
CurrentPeriodTaxExpenseContinuingOperations |
-
-
|
-
-
|
511.561
-
|
-
-
|
-
-
|
-
-
|
OtherComponentsOfOtherComprehensiveIncomeThatWillNotBeReclassifiedToProfitOrLossBeforeTax |
-
-
|
385.480
-
|
297.636
-
|
-
-
|
-
-
|
-
-
|
DeferredIncomeTaxExpenseOrIncomeRelatingToComponentsOfOtherComprehensiveIncomeThatWillNotBeReclassifiedToProfitOrLoss |
-
-
|
88.957
-
|
89.291
-
|
-
-
|
-
-
|
-
-
|
OtherComprehensiveIncomeBeforeTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans |
486.898
-
|
-
-
|
-
-
|
-
-
|
-
-
|
-
-
|
Kalemler | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
ProfitLossFromContinuingOperationsForCashFlowStatement |
166.195
(-99.9%)
|
3.091.159
(-98.2%)
|
139.902.200
(+548.6%)
|
126.674.427
(+596.8%)
|
180.920.345
(+736.7%)
|
169.592.299
(+718.4%)
|
AdjustmentsForDepreciationAndAmortisationExpense |
74.431
(0.0%)
|
7.320
(-65.1%)
|
20.058
(-89.2%)
|
20.301
(-16.4%)
|
74.431
(-16.8%)
|
20.978
(-90.9%)
|
AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLossTradeAndOtherReceivables |
3.408.077
(+449.1%)
|
838.390
(+237.9%)
|
3.759.417
(-30.8%)
|
-1.048.156
-
|
-976.376
-
|
-608.077
-
|
AdjustmentsForReversalOfProvisionsRelatedWithEmployeeBenefits |
-16.519
(-107.2%)
|
1.071.074
(+332.6%)
|
1.210.768
(+29.1%)
|
260.737
(-61.6%)
|
228.903
(-66.3%)
|
247.595
(-63.7%)
|
AdjustmentsForReversalOfLawsuitAndOrPenaltyProvisions |
-
-
|
2.626.026
(+353.1%)
|
506.856
(-30.7%)
|
-
-
|
-
-
|
579.611
(+155.7%)
|
AdjustmentsForFairValueLossesOrGainsOfInvestmentProperty |
52.065.242
(-70.8%)
|
-
-
|
-
-
|
130.800.115
(+885.4%)
|
178.494.758
(+1267.4%)
|
-
-
|
AdjustmentsForIncomeTaxExpense |
2.959.688
(+633.3%)
|
-41.592
(+92.5%)
|
1.918.992
(+29.8%)
|
-7.961.826
(+53.9%)
|
-554.997
(+94.0%)
|
-556.458
-
|
DecreaseIncreaseInTradeAccountsReceivablesFromUnrelatedParties |
3.995.241
(+287.8%)
|
-2.824.564
(-166.0%)
|
-3.297.081
(+12.9%)
|
-3.408.214
(-145.5%)
|
-2.127.598
(-130.9%)
|
-1.061.863
(+16.0%)
|
DecreaseIncreaseInOtherRelatedPartyReceivablesRelatedWithOperations |
-
-
|
-500.000
-
|
-
-
|
-
-
|
-
-
|
-
-
|
DecreaseIncreaseInOtherUnrelatedPartyReceivablesRelatedWithOperations |
53.324
(-95.2%)
|
-122.572
(-113.2%)
|
-254.903
(-102.3%)
|
2.717.786
(+530.8%)
|
1.101.811
(+178.5%)
|
929.226
(+291.0%)
|
AdjustmentsForDecreaseIncreaseInInventories |
-
-
|
-
-
|
-
-
|
-1.219
(+98.9%)
|
-
-
|
-
-
|
DecreaseIncreaseInPrepaidExpenses |
2.923.305
(+4586.1%)
|
-
-
|
-
-
|
-41.082
-
|
-65.164
-
|
-
-
|
IncreaseDecreaseInTradeAccountsPayablesToUnrelatedParties |
2.434.792
(+753.6%)
|
1.712
(-99.4%)
|
-9.365
(+99.4%)
|
121.359
(+149.9%)
|
285.246
(+227.7%)
|
300.326
(+508.7%)
|
AdjustmentsForIncreaseDecreaseInEmployeeBenefitLiabilities |
-
-
|
-
-
|
-
-
|
-91.060
-
|
-58.018
-
|
-
-
|
IncreaseDecreaseInOtherOperatingPayablesToRelatedParties |
-125.668
(+94.7%)
|
581.742
(+128.5%)
|
-1.740.278
(-106.5%)
|
-1.479.951
(-920.5%)
|
-2.369.284
(-1530.7%)
|
-2.041.618
(-106.5%)
|
IncreaseDecreaseInOtherOperatingPayablesToUnrelatedParties |
-
-
|
-141.432
(+63.7%)
|
3.135.293
(+133.9%)
|
-11.482
(-100.1%)
|
82.216
(-99.4%)
|
-389.475
(+98.4%)
|
CashFlowsFromUsedInOperations |
67.938.108
(-80.9%)
|
7.792
(+364.3%)
|
509.831
(-98.9%)
|
246.551.735
(+844.6%)
|
355.036.273
(+901.5%)
|
-2.948
(+100.0%)
|
InflationEffect |
-67.944.261
(+80.9%)
|
-
-
|
-
-
|
-246.530.047
(-7795.2%)
|
-355.037.568
(-4056.6%)
|
-
-
|
IncreaseDecreaseInCashAndCashEquivalentsBeforeEffectOfExchangeRateChanges |
-6.153
(-375.1%)
|
7.792
(+364.3%)
|
7.628
(+100.4%)
|
30.495
(+101.6%)
|
-1.295
(+99.9%)
|
-2.948
(+99.8%)
|
IncreaseDecreaseInCashAndCashEquivalents |
-6.153
(-375.1%)
|
7.792
(+364.3%)
|
7.628
(+100.4%)
|
30.495
(+101.6%)
|
-1.295
(+99.9%)
|
-2.948
(+99.8%)
|
CashAndCashEquivalentsForCashFlowStatement |
42.774
(+45.9%)
|
41.791
(+61.1%)
|
41.935
(+59.8%)
|
55.187
(+85.4%)
|
29.321
(-1.5%)
|
25.933
(-12.9%)
|
ProceedsFromSalesOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities |
-
-
|
-
-
|
9.358
(-99.9%)
|
8.807
(-99.9%)
|
-
-
|
-
-
|
OtherAdjustmentsForWhichCashEffectsAreInvestingOrFinancingCashFlow |
-
-
|
80.000.000
(-52.5%)
|
52.255.362
(-9.5%)
|
-
-
|
-
-
|
168.379.597
-
|
AdjustmentsRelatedtoGainandLossesonNetMonetaryPosition |
-
-
|
-84.579.471
(+74.8%)
|
-196.897.488
(-1705.3%)
|
-
-
|
-
-
|
-335.395.089
-
|
IncomeTaxesPaidRefundClassifiedAsOperatingActivities |
-
-
|
-
-
|
511.561
-
|
-
-
|
-
-
|
-
-
|
InflationEffectOnCashAndCashEquivalents |
-
-
|
8.066
-
|
8.066
-
|
-
-
|
-
-
|
-
-
|