Broker | Symbol | Type | Quantity | Price | Amount | Available | Cost | P/L |
---|
Symbol | Type | Quantity | Price | Amount | Available | Cost | P/L |
---|
Symbol | Type | Quantity | Price | Amount | Available | Cost | P/L |
---|
EURO MENKUL KIYMET YATIRIM ORTAKLIĞI A.Ş.
Items | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
CashAndCashEquivalents |
11.104.326
(+29.4%)
|
15.075.176
(+236.1%)
|
12.151.084
(+36.1%)
|
13.212.639
(+17.0%)
|
8.581.550
(-28.5%)
|
4.484.697
(-57.3%)
|
CurrentFinancialAssetsDesignatedAsAtFairValueThroughProfitOrLoss |
57.440.947
-
|
59.183.311
(+15.6%)
|
63.076.185
(+23.1%)
|
53.462.131
(+28.6%)
|
-
-
|
51.195.606
(+43.3%)
|
CurrentTradeReceivablesDueFromUnrelatedParties |
941.750
-
|
178.493
-
|
109.767
-
|
-
-
|
-
-
|
-
-
|
OtherCurrentReceivablesDueFromRelatedParties |
39.184
(+13.9%)
|
51.079
(+52.2%)
|
30.708
(+15.4%)
|
36.128
(-7.2%)
|
34.408
(+49.7%)
|
33.558
(+163.1%)
|
OtherCurrentReceivablesDueFromUnrelatedParties |
-
-
|
1.239
(-100.0%)
|
-
-
|
165.924
(+106.1%)
|
238.698
-
|
2.724.889
(+54397.8%)
|
CurrentPrepaymentsToUnrelatedParties |
51.164
(-72.8%)
|
11.358
(-94.3%)
|
48.671
(-42.7%)
|
122.192
(+94.4%)
|
187.939
(+85.3%)
|
199.763
(+114.2%)
|
CurrentAssetsOtherThanAssetsOrDisposalGroupsClassifiedAsHeldForSaleOrAsHeldForDistributionToOwners |
69.577.371
(+8.2%)
|
74.500.656
(+27.1%)
|
75.443.484
(+25.2%)
|
66.999.014
(+26.3%)
|
64.331.706
(+34.0%)
|
58.638.513
(+26.5%)
|
CurrentAssets |
69.577.371
(+8.2%)
|
74.500.656
(+27.1%)
|
75.443.484
(+25.2%)
|
66.999.014
(+26.3%)
|
64.331.706
(+34.0%)
|
58.638.513
(+26.5%)
|
PropertyPlantAndEquipment |
4.096.604
-
|
4.147.301
(+7.2%)
|
4.480.022
(+10.8%)
|
4.744.464
(+83.5%)
|
-
-
|
3.867.121
(+2173.5%)
|
IntangibleAssetsAndGoodwill |
156.319
-
|
158.806
-
|
170.149
-
|
-
-
|
-
-
|
-
-
|
NoncurrentAssets |
9.034.803
(+6.2%)
|
9.464.224
(+19.3%)
|
9.186.955
(+22.6%)
|
8.929.335
(+107.4%)
|
8.507.531
(+87.3%)
|
7.929.842
(+4562.0%)
|
Assets |
78.612.174
(+7.9%)
|
83.964.880
(+26.1%)
|
84.630.439
(+24.9%)
|
75.928.349
(+32.4%)
|
72.839.237
(+38.6%)
|
66.568.355
(+43.1%)
|
CurrentTradePayablesToUnrelatedParties |
58.376
(-4.2%)
|
68.058
(+20.9%)
|
71.410
(+19.7%)
|
62.791
(+18.3%)
|
60.961
(-21.5%)
|
56.278
(+34.6%)
|
CurrentEmployeeBenefitObligations |
134.121
(+136.7%)
|
138.274
(+272.5%)
|
133.177
(+185.3%)
|
88.769
(+85.9%)
|
56.663
(-62.1%)
|
37.117
(+24.7%)
|
OtherCurrentPayablesToUnrelatedParties |
-
(-100.0%)
|
-
(-100.0%)
|
-
-
|
-
-
|
350.921
(+15150.8%)
|
632.182
-
|
CurrentProvisionsForEmployeeBenefits |
79.026
(-82.8%)
|
168.378
(-60.2%)
|
878.021
(+146.1%)
|
579.474
(+112.6%)
|
460.290
(+160.7%)
|
422.800
(+173.0%)
|
OtherShorttermProvisions |
139.566
(0.0%)
|
139.566
(0.0%)
|
153.610
(-4.3%)
|
139.566
(0.0%)
|
139.566
(0.0%)
|
139.566
(0.0%)
|
OtherCurrentNonfinancialLiabilitiesToUnrelatedParties |
83.155
(+176.2%)
|
98.024
(+28.5%)
|
63.934
(+139.3%)
|
48.880
(+105.4%)
|
30.110
(+101.3%)
|
76.285
(+792.1%)
|
CurrentLiabilitiesOtherThanLiabilitiesIncludedInDisposalGroupsClassifiedAsHeldForSale |
1.490.499
(-12.1%)
|
1.598.369
(-17.9%)
|
1.989.635
(+72.5%)
|
1.928.497
(+119.1%)
|
1.695.791
(+89.7%)
|
1.947.435
(+419.9%)
|
CurrentLiabilities |
1.490.499
(-12.1%)
|
1.598.369
(-17.9%)
|
1.989.635
(+72.5%)
|
1.928.497
(+119.1%)
|
1.695.791
(+89.7%)
|
1.947.435
(+419.9%)
|
NoncurrentEmployeeBenefitObligations |
886.673
-
|
385.479
(+59.0%)
|
385.694
(-13.6%)
|
297.985
(+45.0%)
|
-
-
|
242.392
(+64.4%)
|
NoncurrentLiabilities |
2.571.108
(+15.6%)
|
2.443.878
(+3.6%)
|
2.192.023
(-3.8%)
|
2.101.402
(+27.1%)
|
2.224.780
(+43.8%)
|
2.358.971
(+1500.3%)
|
Liabilities |
4.061.607
(+3.6%)
|
4.042.247
(-6.1%)
|
4.181.658
(+21.9%)
|
4.029.899
(+59.1%)
|
3.920.571
(+60.6%)
|
4.306.406
(+725.0%)
|
IssuedCapital |
20.000.000
(0.0%)
|
20.000.000
(0.0%)
|
20.000.000
(0.0%)
|
20.000.000
(0.0%)
|
20.000.000
(0.0%)
|
20.000.000
(0.0%)
|
SharePremium |
188.441
(+35.0%)
|
177.763
(+38.1%)
|
177.763
(+38.1%)
|
151.982
(+400.4%)
|
139.536
(+359.4%)
|
128.717
(+323.8%)
|
AccumulatedGainsOrLossesOnRemeasurementsOfDefinedBenefitPlans |
960.531
(+541.9%)
|
630.845
(+271.9%)
|
378.298
(+306.9%)
|
118.127
(+452.7%)
|
149.630
(+33.0%)
|
169.629
(+5925.2%)
|
TreasuryShareReserves |
-
-
|
-
-
|
-
-
|
33.703.863
(+1878.3%)
|
-
-
|
8.917.929
(+547.9%)
|
PriorYearsProfitsOrLosses |
37.596.250
(+315.5%)
|
26.444.003
(+113.5%)
|
35.465.912
(+120.4%)
|
9.049.251
(-60.9%)
|
9.049.251
(-63.5%)
|
-195.446.922
(-888.5%)
|
CurrentPeriodNetProfitOrLossClassifiedInEquity |
-11.290.055
(-869.8%)
|
-778.695
(+67.8%)
|
-9.021.909
(+57.6%)
|
-4.390.658
(-144.3%)
|
-1.164.220
(-130.7%)
|
-2.418.847
(-1196.8%)
|
Equity |
74.550.567
(+8.2%)
|
79.922.633
(+28.4%)
|
80.448.781
(+25.1%)
|
71.898.450
(+31.1%)
|
68.918.666
(+37.6%)
|
62.261.949
(+35.3%)
|
EquityAndLiabilities |
78.612.174
(+7.9%)
|
83.964.880
(+26.1%)
|
84.630.439
(+24.9%)
|
75.928.349
(+32.4%)
|
72.839.237
(+38.6%)
|
66.568.355
(+43.1%)
|
RightOfUseAssets |
4.781.880
(+16.0%)
|
5.158.117
(+27.0%)
|
4.536.784
(+31.5%)
|
4.184.871
(+143.4%)
|
4.123.178
(+126.5%)
|
4.062.721
-
|
CurrentLeasingDebtsToRelatedParties |
996.255
(+66.8%)
|
986.069
(+69.1%)
|
689.483
(+37.1%)
|
1.009.017
(+193.7%)
|
597.280
(+79.1%)
|
583.207
-
|
LongTermLeasingDebtsToRelatedParties |
1.684.435
(-14.1%)
|
2.058.399
(-2.7%)
|
1.806.329
(-1.4%)
|
1.803.417
(+24.6%)
|
1.961.872
(+27.6%)
|
2.116.579
-
|
InflationAdjustmentsOnCapital |
14.039.611
(+77.7%)
|
21.132.715
(-90.8%)
|
21.132.715
(-90.8%)
|
13.265.885
-
|
7.902.900
-
|
230.911.443
-
|
CurrentFinancialAssetsAtFairValueThroughProfitOrLoss |
-
-
|
-
-
|
-
-
|
-
-
|
55.289.111
-
|
-
-
|
Vehicles |
-
-
|
-
-
|
-
-
|
-
-
|
4.083.322
-
|
-
-
|
FixturesAndFittings |
-
-
|
-
-
|
-
-
|
-
-
|
301.031
-
|
-
-
|
NoncurrentProvisionsForEmployeeBenefits |
-
-
|
-
-
|
-
-
|
-
-
|
262.908
-
|
-
-
|
OtherRestrictedProfitReserves |
13.055.789
(-60.2%)
|
12.316.002
-
|
12.316.002
-
|
-
-
|
32.841.569
-
|
-
-
|
OtherCurrentAssets |
-
-
|
-
-
|
27.069
-
|
-
-
|
-
-
|
-
-
|
Items | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
Revenue |
23.755.527
(-39.5%)
|
14.620.855
(-20.3%)
|
60.906.543
(+3.2%)
|
47.311.061
(-6.9%)
|
39.269.482
(+78.7%)
|
18.335.662
(+255.7%)
|
CostOfSales |
15.055.777
(-15.1%)
|
4.798.840
(-36.4%)
|
32.515.623
(+2.7%)
|
24.385.760
(-6.0%)
|
17.743.430
(+64.0%)
|
7.543.271
(+118.5%)
|
GrossProfitLossFromCommercialOperations |
8.699.750
(-59.6%)
|
9.822.015
(-9.0%)
|
28.390.920
(+3.7%)
|
22.925.301
(-7.8%)
|
21.526.052
(+93.0%)
|
10.792.391
(+534.2%)
|
GrossProfit |
8.699.750
(-59.6%)
|
9.822.015
(-9.0%)
|
28.390.920
(+3.7%)
|
22.925.301
(-7.8%)
|
21.526.052
(+93.0%)
|
10.792.391
(+534.2%)
|
AdministrativeExpense |
7.607.177
(+45.3%)
|
3.657.878
(+22.3%)
|
10.349.952
(+2.9%)
|
7.341.952
(+8.3%)
|
5.236.764
(+38.8%)
|
2.990.678
(+53.6%)
|
OtherIncome |
-
-
|
-
-
|
-
(-100.0%)
|
-297.690
(+66.6%)
|
-
-
|
-
-
|
OtherExpenseByFunction |
253.134
(-8.9%)
|
141.041
(-36.8%)
|
382.140
(-65.7%)
|
-
-
|
277.999
(-60.1%)
|
223.147
(+413.0%)
|
ProfitLossFromOperatingActivities |
839.439
(-94.8%)
|
6.023.096
(-20.5%)
|
17.658.828
(+7.7%)
|
15.285.659
(-11.2%)
|
16.011.289
(+139.6%)
|
7.578.566
(+2724.4%)
|
ImpairmentLossImpairmentGainAndReversalOfImpairmentLossDeterminedInAccordanceWithIFRS9 |
68.850
(+172.2%)
|
616
(+102.9%)
|
2.319
(-87.8%)
|
29.021
(+396.3%)
|
25.297
(+10995.2%)
|
-21.227
(-1199.3%)
|
ProfitLossBeforeFinancingExpense |
770.589
(-95.2%)
|
6.022.480
(-20.8%)
|
17.656.509
(+7.9%)
|
15.256.638
(-11.3%)
|
15.985.992
(+139.2%)
|
7.599.793
(+2714.2%)
|
FinanceIncome |
-
(-100.0%)
|
-
-
|
378.412
(-5.6%)
|
279.969
(-31.0%)
|
351.840
(+71.6%)
|
-
-
|
FinanceCosts |
1.173.187
(+233.9%)
|
755.498
(+98.7%)
|
376.590
(-10.4%)
|
323.688
(-23.2%)
|
351.395
(+13.9%)
|
380.164
(+537.7%)
|
GainsLossesOnNetMonetaryPosition |
-10.887.457
(+38.0%)
|
-6.045.677
(+42.8%)
|
-25.855.391
(+39.9%)
|
-19.603.577
(+46.0%)
|
-17.558.700
(-17.0%)
|
-10.560.148
(-10.2%)
|
ProfitLossBeforeTax |
-11.290.055
(-618.1%)
|
-778.695
(+76.7%)
|
-8.197.060
(+69.3%)
|
-4.390.658
(+77.1%)
|
-1.572.263
(+81.3%)
|
-3.340.519
(+66.3%)
|
ProfitLossFromContinuingOperations |
-11.290.055
(-618.1%)
|
-778.695
(+76.7%)
|
-8.197.060
(+69.3%)
|
-4.390.658
(+77.1%)
|
-1.572.263
(+81.3%)
|
-3.340.519
(+66.3%)
|
ProfitLoss |
-11.290.055
(-618.1%)
|
-778.695
(+76.7%)
|
-8.197.060
(+69.3%)
|
-4.390.658
(+77.1%)
|
-1.572.263
(+81.3%)
|
-3.340.519
(+66.3%)
|
ProfitLossAttributableToOwnersOfParent |
-11.290.055
(-618.1%)
|
-778.695
(+76.7%)
|
-8.197.060
(+69.3%)
|
-4.390.658
(+77.1%)
|
-1.572.263
(+81.3%)
|
-3.340.519
(+66.3%)
|
ClassesOfShares |
-0,56
(-600.0%)
|
-0,04
-
|
-0,41
(+69.2%)
|
-0,22
(+77.1%)
|
-0,08
(+81.0%)
|
-
(+100.0%)
|
Items | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
ProfitLossForCashFlowStatement |
-11.290.055
(-618.1%)
|
-778.695
(+76.7%)
|
-8.197.060
(+69.3%)
|
-4.390.658
(+77.1%)
|
-1.572.263
(+81.3%)
|
-3.340.519
(+66.3%)
|
AdjustmentsForDepreciationAndAmortisationExpense |
1.711.634
(+100.4%)
|
808.065
(+141.6%)
|
2.549.823
(+32.0%)
|
1.025.825
(-10.8%)
|
854.032
(+42.9%)
|
334.508
(+1439.0%)
|
AdjustmentsForReversalOfProvisionsRelatedWithEmployeeBenefits |
377.031
(-24.6%)
|
-340.959
(-174.3%)
|
487.666
(+78.7%)
|
269.394
(+19.0%)
|
500.314
(+113.6%)
|
459.142
(+99.3%)
|
OtherAdjustmentsToReconcileProfitLoss |
-
-
|
1.200.289
(+315.1%)
|
3.069.612
(-89.8%)
|
-280.128
(+25.8%)
|
-
-
|
-558.101
(-3306.6%)
|
DecreaseIncreaseInOtherUnrelatedPartyReceivablesRelatedWithOperations |
-6.632
(+98.0%)
|
-21.610
(+99.4%)
|
5.479
(-92.2%)
|
-170.642
(-112.0%)
|
-329.882
-
|
-3.772.783
(-7215.8%)
|
DecreaseIncreaseInPrepaidExpenses |
430
(+100.3%)
|
37.313
(+123.5%)
|
62.421
(+162.1%)
|
-21.840
(+84.0%)
|
-129.383
(+28.1%)
|
-158.507
(-1.6%)
|
IncreaseDecreaseInTradeAccountsPayablesToUnrelatedParties |
-17.323
(-248.1%)
|
-3.352
(+27.7%)
|
-9.944
(+40.0%)
|
-7.621
(-13.7%)
|
-4.977
(-109.2%)
|
-4.635
(-94.8%)
|
AdjustmentsForIncreaseDecreaseInEmployeeBenefitLiabilities |
-7.056
(-186.1%)
|
5.097
(+138.6%)
|
62.435
(+3108.4%)
|
33.659
(+1150.8%)
|
8.192
(-96.1%)
|
-13.199
(-361.9%)
|
IncreaseDecreaseInOtherOperatingPayablesToUnrelatedParties |
-
(-100.0%)
|
-
(-100.0%)
|
-
(+100.0%)
|
-
(+100.0%)
|
473.914
(+318.5%)
|
873.068
(+528.6%)
|
DecreaseIncreaseInOtherAssetsRelatedWithOperations |
28.695
(+1760.9%)
|
27.069
-
|
-24.594
(+99.5%)
|
-
-
|
1.542
-
|
-
(+100.0%)
|
IncreaseDecreaseInOtherPayablesRelatedWithOperations |
15.380
-
|
34.090
(-50.2%)
|
24.558
(+219.2%)
|
-
-
|
-
(+100.0%)
|
68.448
(+135.5%)
|
CashFlowsFromUsedInOperations |
-8.402.454
(-431.7%)
|
898.582
(+114.7%)
|
-1.533.698
(-8655.0%)
|
-3.300.850
(+82.0%)
|
2.532.876
(+131.9%)
|
-6.112.578
(+40.1%)
|
PurchaseOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities |
80.999
(-14.9%)
|
14.000
(-84.5%)
|
1.493.070
-
|
76.739
(-98.6%)
|
95.146
(-98.1%)
|
90.060
(-43.3%)
|
OtherInflowsOutflowsOfCashClassifiedAsInvestingActivities |
9.424.048
(+2779.6%)
|
3.892.874
(+9186.2%)
|
5.449.886
(+202.3%)
|
7.022.460
(+193.3%)
|
327.265
(+102.9%)
|
41.921
(+100.3%)
|
CashOutflowFromOtherFinancialLiabilitiesClassifiedAsFinancingActivities |
-
-
|
-
(-100.0%)
|
-
-
|
-
-
|
-
-
|
1.204.122
-
|
PaymentsOfLeaseLiabilitiesClassifiedAsFinancingActivities |
891.685
(-27.9%)
|
-
-
|
420.634
(+118.3%)
|
973.041
(-38.1%)
|
1.237.487
(+154.2%)
|
-
-
|
InterestPaidClassifiedAsFinancingActivities |
-
-
|
35.009
(-61.1%)
|
240.533
(-20.7%)
|
-
-
|
-
-
|
90.033
-
|
IncreaseDecreaseInCashAndCashEquivalentsBeforeEffectOfExchangeRateChanges |
48.910
(-96.8%)
|
4.254.778
(+152.8%)
|
-1.681.202
(+96.0%)
|
2.671.830
(+108.2%)
|
1.527.508
(+106.1%)
|
-8.063.965
(+66.9%)
|
IncreaseDecreaseInCashAndCashEquivalents |
48.910
(-96.8%)
|
4.254.778
(+152.8%)
|
-1.681.202
(+96.0%)
|
2.671.830
(+108.2%)
|
1.527.508
(+106.1%)
|
-8.063.965
(+66.9%)
|
CashAndCashEquivalentsForCashFlowStatement |
10.869.308
(-6.2%)
|
15.075.176
(+152.4%)
|
9.302.598
(-15.3%)
|
13.212.639
(-21.7%)
|
11.589.270
(-43.8%)
|
5.973.798
(-66.2%)
|
AdjustmentsForImpairmentLossReversalOfImpairmentLossOfOtherFinancialAssetsOrInvestments |
-
-
|
-
-
|
-
-
|
17.328
-
|
-
-
|
-
-
|
AdjustmentsForReversalOfOtherProvisions |
-
-
|
-
-
|
535.638
(+146.2%)
|
223.833
(-19.1%)
|
-
-
|
-
-
|
AdjustmentsForDecreaseIncreaseInTradeAccountReceivable |
-
-
|
-
-
|
-99.732
-
|
-
-
|
-
-
|
-
-
|
OtherInflowsOutflowsOfCashClassifiedAsFinancingActivities |
-
-
|
-
-
|
-3.443.153
(+88.7%)
|
-
-
|
-
-
|
-
-
|
DecreaseIncreaseInTradeAccountsReceivablesFromUnrelatedParties |
-825.389
-
|
-68.725
-
|
-
-
|
-
-
|
-
-
|
-
-
|
RentPaidClassifiedAsOperatingActivitiesClassifiedAsOperatingActivities |
-
-
|
1.071.334
(-11.0%)
|
-
-
|
-
-
|
-
-
|
1.204.122
-
|
ProceedsFromOtherFinancialBorrowingsClassifiedAsFinancingActivities |
-
-
|
583.665
(-1.9%)
|
-
-
|
-
-
|
-
-
|
595.029
-
|
InflationEffectOnCashAndCashEquivalents |
-1.840.825
(+38.8%)
|
-1.110.944
(-165.0%)
|
-
-
|
-
-
|
-3.007.720
-
|
1.708.843
-
|
AdjustmentsRelatedtoGainandLossesonNetMonetaryPosition |
1.610.831
(-41.0%)
|
-
-
|
-
-
|
-
-
|
2.731.387
-
|
-
-
|