Brokerage Account Integration

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
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BEYAZ

BEYAZ FİLO OTO KİRALAMA A.Ş.

Bullish
Trend
Bullish
Medium
Volatility
Medium
Medium
Volume
Medium
Neutral
Momentum
Neutral
Mid-Range
Position
Mid-Range
Gap Up
Gap
Gap Up
Session Information
16.09.2025 18:19:01
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Valuation
  • P/E ratio is at 25.95. This is higher than both the sector median (19.31) and the market median (23.64). P/E reflects price paid per unit of earnings; context may imply discount or growth expectations.
  • P/B ratio is at 3.28. This is higher than both the sector median (1.52) and the market median (1.69). P/B indicates market value relative to book; below 1.0 often signals discount to asset base.
  • EV/EBITDA is at 33.44. This is higher than both the sector median (8.54) and the market median (11.40). EV/EBITDA links enterprise value to cash generation; elevated levels are sensitive to forward expectations.
Profitability
  • Net Profit Margin is at 0.67%. This is below the sector median of 5.67% and above the market median of 0.33%. Margins directly inform on cost structure and pricing power.
  • Gross Margin is at 2.64%. This is below both the sector median (17.10%) and the market median (20.22%). Margins directly inform on cost structure and pricing power.
  • Operating Margin is at 0.69%. This is below both the sector median (7.68%) and the market median (6.09%). Margins directly inform on cost structure and pricing power.
  • ROA is at 3.55%. This is below the sector median of 3.90% and above the market median of 2.27%. ROA gauges efficiency of asset utilization; capital intensity matters.
  • ROE is at 5.14%. This is above both the sector median (3.34%) and the market median (0.31%). ROE captures return on equity; leverage and profitability dynamics drive outcomes.
Capital Structure & Liquidity
  • Debt/Equity is at 0.65. This is higher than both the sector median (0.42) and the market median (0.39). Debt/Equity denotes leverage; cash-flow resilience is key.
  • Leverage Ratio is at 64.56. This is higher than both the sector median (41.83) and the market median (38.87). Leverage ratio reflects debt-funded assets; higher levels may amplify volatility.
  • Current Ratio is at 1.13. This is below both the sector median (1.28) and the market median (1.47). Current ratio shows coverage of short-term obligations by current assets.
  • Quick Ratio is at 0.60. This is below both the sector median (1.24) and the market median (0.99). Quick ratio assesses near-cash coverage excluding inventories.
  • Cash Ratio is at 0.25. This is below both the sector median (0.66) and the market median (0.33). Cash ratio is the narrowest liquidity gauge; benchmark against sector norms.
Other
  • Dividend Yield is at 0.49%. This is below both the sector median (1.03%) and the market median (1.44%). Dividend yield signals the cash distribution level; durability depends on earnings quality.
Performance

1D

-2,61%

1W

-1,83%

1M

37,42%

1Y

35,96%
Ratios
Earnings Per Share
1.43
Book Value Per Share
46.23
Total Debt / Total Assets
0.65
Operating Income / Interest Expense
-
P/E
25.95
P/B
3.28
EV/EBITDA
33.44
EBITDA
84.315.986
Current Ratio
1.13
Quick Ratio
0.6
Cash Ratio
-
Leverage Ratio
64.56
Debt / Equity
0.65
Non-Current Assets / Equity
0.79
Short-Term Debt / Total Debt
-
Receivables Turnover
0.35
Receivables Collection Period
1032.72
Inventory Turnover
7.87
Inventory Holding Period
46.39
Net Working Capital Turnover
31.91
Equity Turnover
7.68
Asset Turnover
2.72
Trade Payables Turnover
6.9
Trade Payables Payment Period
52.9
Gross Profit Margin
2.64
Net Profit Margin
0.67
Operating Profit Margin
0.69
Return on Assets (ROA)
3.55
Return on Equity (ROE)
5.14
Operating Income/Loss
59.916.522
Profit Before Financial Expenses
113.324.868
Net Profit/Loss
58.127.492
Net Working Capital
272.303.573
Stock Signals
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My Notes