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 |
---|
PLASTİKKART AKILLI KART İLETİŞİM SİSTEMLERİ SANAYİ VE TİCARET A.Ş.
Items | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
CashAndCashEquivalents |
24.341.587
(-83.1%)
|
58.661.244
(-68.0%)
|
66.008.816
(-76.4%)
|
144.409.152
(+36.9%)
|
143.804.832
(+27.5%)
|
183.473.136
(+1080.9%)
|
CurrentTradeReceivablesDueFromRelaedParties |
-
(-100.0%)
|
336.323
-
|
307.305
-
|
-
-
|
528.648
-
|
-
-
|
CurrentTradeReceivablesDueFromUnrelatedParties |
198.450.788
(+24.5%)
|
132.607.592
(-38.5%)
|
135.148.682
(+0.9%)
|
174.425.794
(+37.4%)
|
159.351.944
(+33.7%)
|
215.725.750
(+255.6%)
|
OtherCurrentReceivablesDueFromUnrelatedParties |
278.046
(-87.5%)
|
-
-
|
-
-
|
2.460.255
(+2327.0%)
|
2.225.302
(+2771.4%)
|
2.240.247
(+1900.2%)
|
Inventories |
84.227.568
(+13.8%)
|
77.826.268
(-0.5%)
|
45.074.892
(-41.4%)
|
53.432.716
(-6.4%)
|
74.032.398
(+2.6%)
|
78.215.018
(+4.9%)
|
CurrentPrepayments |
61.573.907
(+67.8%)
|
95.150.782
(+195.9%)
|
34.587.758
(+45.6%)
|
65.858.944
(+63.4%)
|
36.694.482
(-8.4%)
|
32.154.939
(+12.6%)
|
CurrentTaxAssetsCurrent |
-
-
|
-
-
|
-
-
|
2.448.494
-
|
2.448.494
(+93.4%)
|
-
-
|
OtherCurrentAssets |
-
-
|
14.528
(-76.6%)
|
7.006
(-39.9%)
|
92.385
(+44.0%)
|
950.821
(+1110.6%)
|
62.156
(-50.8%)
|
CurrentAssetsOtherThanAssetsOrDisposalGroupsClassifiedAsHeldForSaleOrAsHeldForDistributionToOwners |
369.112.901
(-12.1%)
|
364.898.704
(-28.7%)
|
281.343.041
(-45.6%)
|
443.127.740
(+34.3%)
|
420.036.921
(+21.6%)
|
511.871.246
(+176.4%)
|
CurrentAssets |
369.112.901
(-12.1%)
|
364.898.704
(-28.7%)
|
281.343.041
(-45.6%)
|
443.127.740
(+34.3%)
|
420.036.921
(+21.6%)
|
511.871.246
(+176.4%)
|
PropertyPlantAndEquipment |
300.405.091
(+41.4%)
|
287.429.215
(+57.0%)
|
287.823.641
(+58.5%)
|
248.824.071
(+416.3%)
|
212.422.289
(+383.4%)
|
183.063.827
(+450.6%)
|
IntangibleAssetsAndGoodwill |
3.172.046
(-4.4%)
|
3.224.398
(+65.3%)
|
3.790.237
(+71.0%)
|
3.725.458
(+240.5%)
|
3.316.911
(+173.1%)
|
1.950.929
(+386.2%)
|
DeferredTaxAssets |
10.303.984
(+51.7%)
|
304.812
(-97.4%)
|
2.143.979
(-71.9%)
|
6.632.305
(+291.1%)
|
6.792.490
(+579.4%)
|
11.597.565
(+629.6%)
|
NoncurrentAssets |
313.881.121
(+41.1%)
|
290.958.425
(+48.0%)
|
293.757.857
(+53.4%)
|
259.181.834
(+408.3%)
|
222.531.690
(+382.1%)
|
196.612.321
(+458.0%)
|
Assets |
682.994.022
(+6.3%)
|
655.857.129
(-7.4%)
|
575.100.898
(-18.8%)
|
702.309.574
(+84.3%)
|
642.568.611
(+64.1%)
|
708.483.567
(+221.4%)
|
CurrentTradePayablesToRelatedParties |
204.686.876
(+2.2%)
|
186.028.268
(-20.7%)
|
101.778.908
(-42.9%)
|
235.096.512
(+8.8%)
|
200.221.095
(-1.5%)
|
234.474.048
(+128.1%)
|
CurrentTradePayablesToUnrelatedParties |
14.745.120
(+85.8%)
|
25.509.028
(+145.0%)
|
19.682.673
(+239.9%)
|
24.030.598
(+224.8%)
|
7.936.561
(-19.5%)
|
10.410.150
(+158.2%)
|
CurrentEmployeeBenefitObligations |
3.374.934
(+58.4%)
|
4.931.164
(+70.2%)
|
3.296.399
(+57.2%)
|
2.641.160
(+46.0%)
|
2.130.246
(+114.6%)
|
2.896.786
(+3.5%)
|
CurrentContractLiabilities |
133.831
(-99.3%)
|
3.131.163
(-90.7%)
|
7.016.268
(-85.3%)
|
9.042.863
(+33.5%)
|
18.828.361
(+124.5%)
|
33.818.561
(+245.5%)
|
DeferredIncomeClassifiedAsCurrent |
-
(-100.0%)
|
-
(-100.0%)
|
4.058.068
(-98.0%)
|
61.677.853
(+82.7%)
|
99.403.744
(+47.9%)
|
133.965.140
-
|
CurrentTaxLiabilitiesCurrent |
2.105.408
-
|
12.506.424
(+1.6%)
|
13.244.622
(+179.4%)
|
-
(-100.0%)
|
-
-
|
12.311.720
-
|
OtherShorttermProvisions |
-
-
|
-
-
|
-
-
|
-
-
|
4.483.475
-
|
2.459.475
(+6.7%)
|
OtherCurrentNonfinancialLiabilities |
6.267.429
(+206.8%)
|
8.906.600
(+7.9%)
|
7.878.467
(-48.2%)
|
20.671.038
(+137.7%)
|
2.043.021
(-63.5%)
|
8.257.112
(+27.8%)
|
CurrentLiabilitiesOtherThanLiabilitiesIncludedInDisposalGroupsClassifiedAsHeldForSale |
249.272.446
(-25.6%)
|
248.233.686
(-43.4%)
|
165.267.969
(-64.5%)
|
358.488.499
(+29.2%)
|
335.046.503
(+12.8%)
|
438.592.992
(+240.0%)
|
CurrentLiabilities |
249.272.446
(-25.6%)
|
248.233.686
(-43.4%)
|
165.267.969
(-64.5%)
|
358.488.499
(+29.2%)
|
335.046.503
(+12.8%)
|
438.592.992
(+240.0%)
|
NoncurrentEmployeeBenefitObligations |
25.228.868
-
|
-
-
|
-
-
|
-
-
|
-
-
|
14.519.188
(+145.8%)
|
NoncurrentLiabilities |
25.228.868
(+49.5%)
|
24.243.556
(+67.0%)
|
24.273.836
(+290.9%)
|
15.987.092
(+229.5%)
|
16.875.402
(+249.7%)
|
14.519.188
(+145.8%)
|
Liabilities |
274.501.314
(-22.0%)
|
272.477.242
(-39.9%)
|
189.541.805
(-59.8%)
|
374.475.591
(+32.7%)
|
351.921.905
(+16.6%)
|
453.112.180
(+235.9%)
|
IssuedCapital |
22.750.000
(0.0%)
|
22.750.000
(0.0%)
|
22.750.000
(0.0%)
|
22.750.000
(0.0%)
|
22.750.000
(0.0%)
|
22.750.000
(0.0%)
|
InflationAdjustmentsOnCapital |
650.727.265
(+36.7%)
|
612.565.626
(+40.1%)
|
612.565.626
(+40.1%)
|
520.423.369
(+29945.7%)
|
475.942.308
(+27377.7%)
|
437.277.523
(+25145.4%)
|
AccumulatedIncreasesOrDecreasesOnRevaluationOfPropertyPlantAndEquipment |
41.400.157
(+35.0%)
|
39.054.276
(+38.1%)
|
39.054.276
(+38.1%)
|
33.390.085
(+199.4%)
|
30.655.734
(+174.9%)
|
28.278.923
(+153.6%)
|
AccumulatedGainsOrLossesOnRemeasurementsOfDefinedBenefitPlans |
-15.169.124
(-48.9%)
|
-14.947.296
(-89.2%)
|
-13.821.343
(-277.6%)
|
-11.312.829
(-215.2%)
|
-10.186.576
(-288.9%)
|
-7.901.547
(-109.1%)
|
RestrictedReservesAppropriatedFromProfits |
31.410.869
(+35.0%)
|
29.631.015
(+38.1%)
|
29.631.015
(+38.1%)
|
25.333.516
(+323.0%)
|
23.258.927
(+385.6%)
|
21.455.608
(+348.0%)
|
PriorYearsProfitsOrLosses |
-322.918.185
(-10.7%)
|
-304.620.481
(-13.2%)
|
-371.549.483
(-38.6%)
|
-317.662.239
(-729.4%)
|
-291.648.532
(-664.4%)
|
-269.036.337
(-620.7%)
|
CurrentPeriodNetProfitOrLossClassifiedInEquity |
291.726
(-99.3%)
|
-1.053.253
(-104.7%)
|
66.929.002
(+7220.6%)
|
54.912.081
(+438.8%)
|
39.874.845
(+9707.2%)
|
22.547.217
(+902.9%)
|
Equity |
408.492.708
(+40.5%)
|
383.379.887
(+50.1%)
|
385.559.093
(+62.6%)
|
327.833.983
(+232.2%)
|
290.646.706
(+223.4%)
|
255.371.387
(+198.7%)
|
EquityAndLiabilities |
682.994.022
(+6.3%)
|
655.857.129
(-7.4%)
|
575.100.898
(-18.8%)
|
702.309.574
(+84.3%)
|
642.568.611
(+64.1%)
|
708.483.567
(+221.4%)
|
CurrentProvisions |
17.958.848
-
|
7.221.039
-
|
8.312.564
-
|
5.328.475
(+140.3%)
|
-
-
|
-
-
|
NoncurrentProvisionsForEmployeeBenefits |
-
-
|
24.243.556
-
|
24.273.836
-
|
15.987.092
-
|
16.875.402
-
|
-
-
|
OtherCurrentReceivables |
-
-
|
301.967
-
|
208.582
-
|
-
-
|
-
-
|
-
-
|
OtherCurrentAssetsDueFromUnrelatedParties |
241.005
-
|
-
-
|
-
-
|
-
-
|
-
-
|
-
-
|
Items | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
Revenue |
821.319.980
(-34.3%)
|
338.539.672
(-43.5%)
|
1.940.640.425
(+8.3%)
|
1.461.825.041
(+22.1%)
|
1.250.408.345
(+100.5%)
|
599.152.646
(+143.8%)
|
CostOfSales |
763.499.156
(-34.6%)
|
322.079.976
(-41.4%)
|
1.818.502.538
(+11.0%)
|
1.372.074.398
(+18.9%)
|
1.166.810.580
(+104.2%)
|
549.871.606
(+128.1%)
|
GrossProfitLossFromCommercialOperations |
57.820.824
(-30.8%)
|
16.459.696
(-66.6%)
|
122.137.887
(-20.7%)
|
89.750.643
(+105.6%)
|
83.597.765
(+60.0%)
|
49.281.040
(+951.2%)
|
GrossProfit |
57.820.824
(-30.8%)
|
16.459.696
(-66.6%)
|
122.137.887
(-20.7%)
|
89.750.643
(+105.6%)
|
83.597.765
(+60.0%)
|
49.281.040
(+951.2%)
|
AdministrativeExpense |
26.255.602
(+75.4%)
|
10.023.171
(+24.2%)
|
32.213.757
(-15.3%)
|
20.516.431
(-25.7%)
|
14.968.527
(-25.4%)
|
8.068.524
(-38.0%)
|
MarketingExpense |
1.768.948
(+15.4%)
|
865.117
(+14.4%)
|
2.127.423
(-50.9%)
|
1.577.338
(-49.3%)
|
1.532.573
(-37.8%)
|
755.915
(-60.5%)
|
OtherIncome |
10.782.517
(-49.5%)
|
6.244.755
(-66.6%)
|
27.652.726
(-54.8%)
|
30.132.842
(-28.4%)
|
21.349.378
(-37.5%)
|
18.674.311
(+1735.5%)
|
OtherExpenseByFunction |
42.769.584
(+110.0%)
|
9.096.463
(-49.0%)
|
27.094.106
(-79.8%)
|
30.837.242
(-67.8%)
|
20.367.994
(-74.0%)
|
17.829.231
(+235.8%)
|
ProfitLossFromOperatingActivities |
-2.190.793
(-103.2%)
|
2.719.700
(-93.4%)
|
88.355.327
(+129.1%)
|
66.952.474
(+264.8%)
|
68.078.049
(+571.0%)
|
41.301.681
(+384.1%)
|
ProfitLossBeforeFinancingExpense |
-2.190.793
(-103.2%)
|
2.719.700
(-93.4%)
|
88.173.510
(+130.1%)
|
67.534.531
(+266.2%)
|
68.078.049
(+571.0%)
|
41.301.681
(+384.1%)
|
FinanceCosts |
1.422.221
(-33.5%)
|
698.936
(-25.8%)
|
3.542.456
(-5.3%)
|
2.455.297
(-1.9%)
|
2.138.455
(+32.0%)
|
941.615
(+11.9%)
|
GainsLossesOnNetMonetaryPosition |
932.791
(-13.6%)
|
1.785.588
(+164.6%)
|
7.614.571
(+116.4%)
|
5.215.769
(-72.6%)
|
1.080.083
(+287.5%)
|
-2.766.152
(-215.1%)
|
ProfitLossBeforeTax |
-2.680.223
(-104.0%)
|
3.806.352
(-89.9%)
|
92.245.625
(+881.5%)
|
70.295.003
(+391.7%)
|
67.019.677
(+502.5%)
|
37.593.914
(+389.7%)
|
CurrentPeriodTaxExpenseContinuingOperations |
4.886.748
(-41.6%)
|
2.645.190
(-76.7%)
|
21.148.715
(+198.4%)
|
10.670.064
(+828.1%)
|
8.365.562
(+12953.9%)
|
11.355.873
-
|
DeferredIncomeTaxExpenseContinuingOperations |
-7.858.697
(-263.6%)
|
2.214.415
(+145.2%)
|
10.287.061
(+158.1%)
|
4.712.858
(+128.4%)
|
4.803.673
(+135.8%)
|
-4.900.529
(+61.5%)
|
ProfitLossFromContinuingOperations |
291.726
(-99.5%)
|
-1.053.253
(-103.4%)
|
60.809.849
(+5256.0%)
|
54.912.081
(+733.9%)
|
53.850.442
(+1728.3%)
|
31.138.570
(+11935.1%)
|
ProfitLoss |
291.726
(-99.5%)
|
-1.053.253
(-103.4%)
|
60.809.849
(+5256.0%)
|
54.912.081
(+733.9%)
|
53.850.442
(+1728.3%)
|
31.138.570
(+11935.1%)
|
ProfitLossAttributableToOwnersOfParent |
291.726
(-99.5%)
|
-1.053.253
(-103.4%)
|
60.809.849
(+5256.0%)
|
54.912.081
(+733.9%)
|
53.850.442
(+1728.3%)
|
31.138.570
(+11935.1%)
|
ClassesOfShares |
0,013
(-99.5%)
|
-0,046
(-103.4%)
|
2,673
(+5260.2%)
|
2,41
(+734.2%)
|
2,367
(+1728.0%)
|
1,369
(+11899.1%)
|
InvestmentActivityIncome |
-
-
|
-
-
|
-
-
|
582.057
-
|
-
-
|
-
-
|
InvestmentActivityExpenses |
-
-
|
-
-
|
181.817
(-23.1%)
|
-
-
|
-
-
|
-
-
|
Items | 2025-Q2 | 2025-Q1 | 2024-Q4 | 2024-Q3 | 2024-Q2 | 2024-Q1 |
---|---|---|---|---|---|---|
ProfitLossFromContinuingOperationsForCashFlowStatement |
291.726
(-99.5%)
|
-1.053.253
(-103.4%)
|
60.809.849
(+5256.0%)
|
54.912.081
(+733.9%)
|
53.850.443
(+1728.3%)
|
31.138.570
(+11935.1%)
|
AdjustmentsForDepreciationAndAmortisationExpense |
14.586.916
(-3.2%)
|
6.798.311
(-1.1%)
|
31.306.409
(+64.9%)
|
19.386.031
(+47.5%)
|
15.070.761
(+104.4%)
|
6.876.513
(+122.3%)
|
AdjustmentsForProvisions |
21.206.954
(+66.8%)
|
8.398.028
(+12.9%)
|
18.460.663
(+155.1%)
|
6.364.138
(+120.0%)
|
12.710.562
(+306.6%)
|
7.441.464
(+376.5%)
|
AdjustmentsForInterestIncome |
1.621.739
(-13.4%)
|
666.265
(-22.4%)
|
2.872.803
(+120.6%)
|
2.059.168
(+215.5%)
|
1.871.728
(+484.7%)
|
858.886
(+444.5%)
|
AdjustmentsForUnrealisedForeignExchangeLossesGains |
15.407.899
(+335.1%)
|
4.771.565
(-72.8%)
|
2.161.559
(-2.2%)
|
4.215.611
(-91.4%)
|
3.541.454
(-66.1%)
|
17.560.062
(+527.6%)
|
AdjustmentsForIncomeTaxExpense |
-2.971.949
(-122.6%)
|
14.805.521
(+129.4%)
|
31.435.776
(+395.9%)
|
15.382.922
(+199.7%)
|
13.169.235
(+198.7%)
|
6.455.344
(+150.8%)
|
DecreaseIncreaseInTradeAccountsReceivablesFromUnrelatedParties |
-75.627.289
(-30.8%)
|
-9.819.915
(+92.8%)
|
-6.766.279
(+93.2%)
|
-57.672.059
(+49.7%)
|
-57.833.589
(+52.8%)
|
-137.035.413
(-515.0%)
|
AdjustmentsForDecreaseIncreaseInOtherReceivablesRelatedWithOperations |
-27.238.225
(-21.3%)
|
-74.012.945
(-497.6%)
|
573.844
(-98.4%)
|
-43.573.099
(-100.8%)
|
-22.457.240
-
|
-12.384.607
(-8568.6%)
|
AdjustmentsForDecreaseIncreaseInInventories |
-36.445.153
(-390.0%)
|
-32.751.376
(-1671.1%)
|
50.931.647
(-48.4%)
|
37.337.981
(-60.8%)
|
12.566.260
(-68.9%)
|
-1.849.177
(-108.0%)
|
IncreaseDecreaseInTradeAccountsPayablesToRelatedParties |
97.141.967
(+72.8%)
|
85.487.685
(+65.2%)
|
-64.141.969
(-199.6%)
|
76.481.485
(+0.3%)
|
56.212.969
(-53.6%)
|
51.761.246
(+542.4%)
|
IncreaseDecreaseInTradeAccountsPayablesToUnrelatedParties |
-3.138.015
(-180.0%)
|
7.625.893
(-80.8%)
|
12.850.602
(-86.0%)
|
18.998.065
(-74.2%)
|
3.921.851
(-88.7%)
|
39.658.918
(+117.4%)
|
AdjustmentsForIncreaseDecreaseInOtherOperatingPayables |
-
-
|
-9.631.367
(+92.2%)
|
-297.294.834
(-201.3%)
|
-201.352.774
(-1414.5%)
|
-
-
|
-122.768.420
(-972.7%)
|
CashFlowsFromUsedInOperations |
-10.104.583
(+88.2%)
|
2.634.916
(+103.2%)
|
-183.137.883
(-150.3%)
|
-22.534.987
(-115.2%)
|
-85.631.796
(-158.4%)
|
-82.574.904
(-169.1%)
|
InterestReceivedClassifiedAsOperatingActivities |
1.621.739
(-13.4%)
|
666.265
(-22.4%)
|
2.872.803
(+120.6%)
|
2.059.168
(+215.5%)
|
1.871.728
(+484.7%)
|
858.886
(+444.5%)
|
PaymentsRelatedWithProvisionsForEmployeeBenefits |
2.886.363
(+15.8%)
|
2.048.205
(+308.1%)
|
4.762.826
(-22.1%)
|
4.476.399
(-23.1%)
|
2.492.291
(-45.5%)
|
501.949
(-88.4%)
|
PurchaseOfPropertyPlantEquipmentAndIntangibleAssetsClassifiedAsInvestingActivities |
9.034.509
(-75.8%)
|
5.838.046
(-31.5%)
|
66.895.785
(-6.6%)
|
55.012.796
(+56.1%)
|
37.305.389
(+54.2%)
|
8.519.919
(+569.7%)
|
OtherInflowsOutflowsOfCashClassifiedAsInvestingActivities |
-
(-100.0%)
|
-
-
|
264.669.144
(+198.4%)
|
178.092.390
(+382.2%)
|
162.947.845
(+211.9%)
|
-206.041.854
-
|
IncreaseDecreaseInCashAndCashEquivalentsBeforeEffectOfExchangeRateChanges |
-35.217.986
(-228.6%)
|
-4.585.070
(+98.5%)
|
-1.204.509
(-106.5%)
|
80.119.940
(+84.1%)
|
27.390.731
(+170.2%)
|
-296.779.740
(-575.0%)
|
EffectOfExchangeRateChangesOnCashAndCashEquivalents |
-414.185
(-134.5%)
|
3.272.103
(-59.7%)
|
-130.435
(-101.2%)
|
-912.584
(-285.0%)
|
1.199.986
(-94.8%)
|
8.123.558
(+2526.5%)
|
IncreaseDecreaseInCashAndCashEquivalents |
-35.632.171
(-224.6%)
|
-1.312.967
(+99.5%)
|
-1.334.944
(-104.6%)
|
79.207.356
(+80.0%)
|
28.590.717
(+280.0%)
|
-288.656.182
(-551.6%)
|
CashAndCashEquivalentsForCashFlowStatement |
24.341.587
(-43.8%)
|
58.661.244
(+23.9%)
|
55.643.638
(-32.4%)
|
69.373.357
(-26.6%)
|
43.302.284
(-9.6%)
|
47.341.573
(+80.8%)
|
AdjustmentsRelatedtoGainandLossesonNetMonetaryPosition |
6.636.340
(-86.7%)
|
2.712.052
(-91.4%)
|
-20.494.955
(+59.0%)
|
49.625.856
(+406.8%)
|
49.996.770
(+530.4%)
|
31.429.482
-
|
DecreaseIncreaseInTradeAccountsReceivablesFromRelatedParties |
325.764
(+145.6%)
|
-29.018
-
|
-279.209
-
|
-
-
|
-713.932
-
|
-
-
|
IncreaseDecreaseInOtherOperatingPayablesToUnrelatedParties |
-18.659.779
(+91.7%)
|
-
-
|
-
-
|
-
-
|
-223.795.612
(-352.0%)
|
-
-
|
IncomeTaxesPaidRefundClassifiedAsOperatingActivities |
14.815.038
(+23.5%)
|
-
-
|
15.063.614
(+1222.0%)
|
18.716.185
(+1527.9%)
|
11.999.366
(+2.3%)
|
-
-
|
InflationEffectOnCashAndCashEquivalents |
-10.000.024
(+87.7%)
|
-6.034.605
(+88.1%)
|
-25.286.395
(+28.2%)
|
-87.245.295
(-166.4%)
|
-81.270.215
(-544.3%)
|
-50.613.425
-
|
AdjustmentsForLossesGainsOnDisposalOfNoncurrentAssets |
-
-
|
-
-
|
181.817
(-23.1%)
|
-582.057
-
|
-
-
|
-
-
|
ProceedsFromSalesOfPropertyPlantEquipmentAndIntangibleAssetsClassifiedAsInvestingActivities |
768
-
|
-
-
|
1.113.652
(+80.6%)
|
708.749
-
|
-
-
|
-
-
|