Broker | Symbol | Type | Quantity | Price | Amount | Available | Cost | P/L |
---|
Symbol | Type | Quantity | Price | Amount | Available | Cost | P/L |
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Symbol | Type | Quantity | Price | Amount | Available | Cost | P/L |
---|
YİBİTAŞ YOZGAT İŞÇİ BİRLİĞİ İNŞAAT MALZEMELERİ TİCARET VE SANAYİ A.Ş.
Items | 2025-Q2 | 2024-Q4 | 2024-Q2 |
---|---|---|---|
CashAndCashEquivalents |
33.706.867
(+23367.0%)
|
6.836.376
(+16708.6%)
|
143.635
(-92.4%)
|
CurrentTradeReceivablesDueFromUnrelatedParties |
388.038.198
(+56.4%)
|
279.183.925
(+41.0%)
|
248.054.128
(+25.2%)
|
OtherCurrentReceivablesDueFromRelatedParties |
275.367
(0.0%)
|
-
(-100.0%)
|
275.367
-
|
OtherCurrentReceivablesDueFromUnrelatedParties |
713.176
(+4496.7%)
|
-
(-100.0%)
|
15.515
(-78.7%)
|
Inventories |
272.781.396
(+31.0%)
|
237.965.904
(+19.0%)
|
208.305.198
(+35.4%)
|
CurrentPrepaymentsToUnrelatedParties |
14.826.770
(+200.3%)
|
9.401.614
(-1.8%)
|
4.937.436
(-60.8%)
|
OtherCurrentAssetsDueFromUnrelatedParties |
3.395.614
(+13.5%)
|
285.187
(+1627.8%)
|
2.991.229
-
|
CurrentAssetsOtherThanAssetsOrDisposalGroupsClassifiedAsHeldForSaleOrAsHeldForDistributionToOwners |
713.737.388
(+53.6%)
|
533.673.006
(+13.4%)
|
464.722.508
(+26.8%)
|
CurrentAssets |
713.737.388
(+53.6%)
|
533.673.006
(+13.4%)
|
464.722.508
(+26.8%)
|
OtherNoncurrentReceivablesDueFromUnrelatedParties |
370.117
(0.0%)
|
431.830
(-52.7%)
|
370.117
(+37.0%)
|
PropertyPlantAndEquipment |
1.454.702.454
(+33.9%)
|
1.464.854.813
(+38.9%)
|
1.086.642.958
(+725.6%)
|
IntangibleAssetsAndGoodwill |
998.121
(+2.9%)
|
1.191.424
(+0.1%)
|
970.457
(+587.1%)
|
DeferredTaxAssets |
9.494.900
(-87.6%)
|
73.412.029
(-28.2%)
|
76.761.008
(+2279.7%)
|
NoncurrentAssets |
1.465.592.243
(+25.8%)
|
1.539.890.096
(+32.8%)
|
1.164.748.065
(+761.1%)
|
Assets |
2.179.329.631
(+33.7%)
|
2.073.563.102
(+27.2%)
|
1.629.470.573
(+224.7%)
|
CurrentTradePayablesToRelatedParties |
65.596.796
(+17.6%)
|
45.567.394
(-10.5%)
|
55.786.424
(-41.5%)
|
CurrentTradePayablesToUnrelatedParties |
304.484.190
(-3.7%)
|
268.592.490
(-13.0%)
|
316.062.150
(+314.1%)
|
CurrentEmployeeBenefitObligations |
12.863.946
(+27.4%)
|
6.306.634
(+34.6%)
|
10.093.393
(+251.0%)
|
OtherCurrentPayablesToRelatedParties |
249.093.487
(+172.7%)
|
186.994.719
(+16485.5%)
|
91.348.116
(-30.7%)
|
OtherCurrentPayablesToUnrelatedParties |
2.920.156
(-38.6%)
|
1.946.185
(-45.4%)
|
4.757.651
(+33.5%)
|
DeferredIncomeFromUnrelatedPartiesClassifiedAsCurrent |
33.070.807
(+12.3%)
|
16.031.653
(-20.4%)
|
29.451.161
(+25.1%)
|
CurrentProvisionsForEmployeeBenefits |
6.616.046
(+6.1%)
|
7.084.827
(+52.7%)
|
6.236.322
(+187.5%)
|
OtherShorttermProvisions |
2.823.696
(-50.4%)
|
6.123.889
(+46.0%)
|
5.691.208
(-34.0%)
|
CurrentLiabilitiesOtherThanLiabilitiesIncludedInDisposalGroupsClassifiedAsHeldForSale |
677.469.124
(+30.4%)
|
538.647.791
(+32.4%)
|
519.426.425
(+50.4%)
|
CurrentLiabilities |
677.469.124
(+30.4%)
|
538.647.791
(+32.4%)
|
519.426.425
(+50.4%)
|
NoncurrentProvisionsForEmployeeBenefits |
15.941.250
(+4.7%)
|
16.847.487
(+3.1%)
|
15.225.417
(+70.2%)
|
OtherLongtermProvisions |
-
-
|
-
-
|
452.861
(0.0%)
|
NoncurrentLiabilities |
15.947.550
(+1.7%)
|
16.876.212
(-0.2%)
|
15.684.578
(+66.9%)
|
Liabilities |
693.416.674
(+29.6%)
|
555.524.003
(+31.1%)
|
535.111.003
(+50.9%)
|
IssuedCapital |
100.000
(0.0%)
|
100.000
(0.0%)
|
100.000
(0.0%)
|
InflationAdjustmentsOnCapital |
891.062.416
(+35.1%)
|
891.062.416
(+35.1%)
|
659.782.473
(+1943.0%)
|
AccumulatedGainsOrLossesOnRemeasurementsOfDefinedBenefitPlans |
-21.494.706
(-68.7%)
|
-21.494.706
(-68.7%)
|
-12.739.931
(-51.8%)
|
PriorYearsProfitsOrLosses |
431.389.398
(+8.3%)
|
537.920.675
(+529.5%)
|
398.316.190
(+339.7%)
|
CurrentPeriodNetProfitOrLossClassifiedInEquity |
-32.126.142
(+71.3%)
|
-106.531.277
(-134.1%)
|
-111.768.655
(-670.0%)
|
Equity |
1.485.912.957
(+35.8%)
|
1.518.039.099
(+25.9%)
|
1.094.359.570
(+643.7%)
|
EquityAndLiabilities |
2.179.329.631
(+33.7%)
|
2.073.563.102
(+27.2%)
|
1.629.470.573
(+224.7%)
|
NoncurrentPrepaymentsToUnrelatedParties |
26.651
(+656.1%)
|
-
-
|
3.525
-
|
OtherNoncurrentPayablesToUnrelatedParties |
6.300
(0.0%)
|
28.725
-
|
6.300
-
|
LegalReserves |
216.981.991
(+35.0%)
|
216.981.991
(+35.0%)
|
160.669.493
-
|
Items | 2025-Q2 | 2024-Q4 | 2024-Q2 |
---|---|---|---|
Revenue |
745.297.114
(+5.4%)
|
1.375.434.328
(-14.2%)
|
706.942.114
(+23.0%)
|
CostOfSales |
555.698.614
(-19.3%)
|
1.169.512.841
(-9.0%)
|
688.439.866
(+54.5%)
|
GrossProfitLossFromCommercialOperations |
189.598.500
(+924.7%)
|
205.921.487
(-34.9%)
|
18.502.248
(-85.7%)
|
GrossProfit |
189.598.500
(+924.7%)
|
205.921.487
(-34.9%)
|
18.502.248
(-85.7%)
|
AdministrativeExpense |
35.622.255
(-4.2%)
|
55.798.066
(+8.5%)
|
37.170.314
(+110.1%)
|
MarketingExpense |
32.383.172
(+1.7%)
|
63.078.385
(-25.4%)
|
31.856.479
(+19.1%)
|
OtherIncome |
5.250.674
(+114.8%)
|
17.862.219
(-22.6%)
|
2.444.200
(-85.2%)
|
OtherExpenseByFunction |
39.979.616
(-35.1%)
|
84.721.101
(-24.3%)
|
61.578.837
(+84.6%)
|
ProfitLossFromOperatingActivities |
86.864.131
(+179.2%)
|
20.186.154
(-78.0%)
|
-109.659.182
(-261.6%)
|
InvestmentActivityIncome |
5.593.589
-
|
5.176.480
(-15.3%)
|
-
(-100.0%)
|
ProfitLossBeforeFinancingExpense |
92.457.720
(+184.3%)
|
25.362.634
(-74.1%)
|
-109.659.182
(-249.9%)
|
FinanceIncome |
-
(-100.0%)
|
27.080
-
|
2.308
-
|
FinanceCosts |
72.521.430
(+96.7%)
|
105.570.030
(+131.4%)
|
36.875.032
(+44.3%)
|
GainsLossesOnNetMonetaryPosition |
11.854.697
(-60.5%)
|
45.542.792
(-5.7%)
|
30.025.606
(+112.2%)
|
ProfitLossBeforeTax |
31.790.987
(+127.3%)
|
-34.637.524
(-134.5%)
|
-116.506.300
(-288.7%)
|
DeferredIncomeTaxExpenseContinuingOperations |
63.917.129
(+85.6%)
|
56.669.314
(+119.3%)
|
34.435.767
(+129.4%)
|
ProfitLossFromContinuingOperations |
-32.126.142
(+78.7%)
|
-91.306.838
(-125.2%)
|
-150.942.067
(-494.9%)
|
ProfitLoss |
-32.126.142
(+78.7%)
|
-91.306.838
(-125.2%)
|
-150.942.067
(-494.9%)
|
ProfitLossAttributableToOwnersOfParent |
-32.126.142
(+78.7%)
|
-91.306.838
(-125.2%)
|
-150.942.067
(-494.9%)
|
OtherComprehensiveIncome |
-
-
|
-3.676.573
(-142.2%)
|
-
-
|
ComprehensiveIncome |
-32.126.142
(+78.7%)
|
-94.983.411
(-126.3%)
|
-150.942.067
(-494.9%)
|
ComprehensiveIncomeAttributableToOwnersOfParent |
-32.126.142
(+78.7%)
|
-94.983.411
(-126.3%)
|
-150.942.067
(-494.9%)
|
OtherComprehensiveIncomeBeforeTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans |
-
-
|
-4.902.097
(-142.2%)
|
-
-
|
DeferredIncomeTaxExpenseOrIncomeRelatingToComponentsOfOtherComprehensiveIncomeThatWillNotBeReclassifiedToProfitOrLoss |
-
-
|
-1.225.524
(-142.2%)
|
-
-
|
Items | 2025-Q2 | 2024-Q4 | 2024-Q2 |
---|---|---|---|
ProfitLossFromContinuingOperationsForCashFlowStatement |
-32.126.142
(+78.7%)
|
-91.306.838
(-125.2%)
|
-150.942.067
(-494.9%)
|
AdjustmentsForDepreciationAndAmortisationExpense |
29.761.133
(-18.3%)
|
63.276.140
(+4.6%)
|
36.410.607
(+30.8%)
|
AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLossTradeAndOtherReceivables |
-
-
|
119.767
-
|
-
-
|
AdjustmentsForReversalOfLawsuitAndOrPenaltyProvisions |
-
-
|
649.697
-
|
-
-
|
AdjustmentsForReversalOfOtherProvisions |
1.237.223
(+725.3%)
|
784.362
(-79.2%)
|
149.911
(-95.3%)
|
AdjustmentsForInterestExpense |
68.811.975
(-7.5%)
|
141.756.124
(+98.7%)
|
74.371.791
(+641.0%)
|
AdjustmentsForIncomeTaxExpense |
63.917.129
(+85.6%)
|
56.669.314
(+121.7%)
|
34.435.767
(+46.4%)
|
AdjustmentsForDecreaseIncreaseInTradeAccountReceivable |
-
-
|
-7.130.083
(-115.7%)
|
-
-
|
AdjustmentsForDecreaseIncreaseInOtherReceivablesRelatedWithOperations |
-
-
|
73.463.729
(+228.8%)
|
-
-
|
AdjustmentsForDecreaseIncreaseInInventories |
-34.815.492
(-206.4%)
|
27.527.752
(-17.9%)
|
-11.361.799
(+88.0%)
|
AdjustmentsForIncreaseDecreaseInTradeAccountPayable |
-
-
|
-216.326.962
(-1546.6%)
|
-
-
|
AdjustmentsForIncreaseDecreaseInOtherOperatingPayables |
-
-
|
76.923.985
(+152.2%)
|
-
-
|
CashFlowsFromUsedInOperations |
49.435.856
(-45.6%)
|
121.278.581
(-2.7%)
|
90.831.343
(+164.7%)
|
IncomeTaxesPaidRefundClassifiedAsOperatingActivities |
-
(-100.0%)
|
10.098.081
(-54.7%)
|
11.781.828
(+972.6%)
|
OtherInflowsOutflowsOfCashClassifiedAsOperatingActivities |
-2.172.904
-
|
-8.037.018
(+43.7%)
|
-
(+100.0%)
|
ProceedsFromSalesOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities |
7.950.696
-
|
-
-
|
-
-
|
IncreaseDecreaseInCashAndCashEquivalentsBeforeEffectOfExchangeRateChanges |
27.847.481
(+17156.9%)
|
5.826.779
(+255.1%)
|
161.370
(-96.7%)
|
IncreaseDecreaseInCashAndCashEquivalents |
27.847.481
(+17156.9%)
|
5.826.779
(+255.1%)
|
161.370
(-96.7%)
|
CashAndCashEquivalentsForCashFlowStatement |
33.706.867
(+17276.7%)
|
5.859.386
(+12346.1%)
|
193.977
(-94.0%)
|
InflationEffectOnCashAndCashEquivalents |
-976.990
(-4277.2%)
|
-14.471
(+99.7%)
|
-22.320
(+99.8%)
|
AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLossInventories |
-
-
|
-113.170
(-1497.0%)
|
-
-
|
AdjustmentsForReversalOfProvisionsRelatedWithEmployeeBenefits |
3.560.778
(-21.0%)
|
988.019
(-90.0%)
|
4.505.498
-
|
AdjustmentsRelatedtoGainandLossesonNetMonetaryPosition |
-7.830.987
(-71.5%)
|
-6.003.255
(+44.9%)
|
-4.566.792
-
|
PurchaseOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities |
27.366.167
(-65.3%)
|
97.148.572
(+6.5%)
|
78.888.145
-
|
PurchaseOfIntangibleAssetsClassifiedAsInvestingActivities |
-
-
|
168.131
(-71.9%)
|
-
-
|
DecreaseIncreaseInTradeAccountsReceivablesFromUnrelatedParties |
-109.323.083
(-72.2%)
|
-
-
|
-63.483.949
-
|
DecreaseIncreaseInOtherUnrelatedPartyReceivablesRelatedWithOperations |
-9.509.365
(-111.3%)
|
-
-
|
84.250.352
-
|
IncreaseDecreaseInTradeAccountsPayablesToUnrelatedParties |
36.637.281
(+207.1%)
|
-
-
|
-34.192.946
-
|
IncreaseDecreaseInOtherOperatingPayablesToUnrelatedParties |
39.115.406
(-67.7%)
|
-
-
|
121.254.970
-
|