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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HEDEF

HEDEF HOLDİNG A.Ş.

Bullish
Trend
Bullish
High
Volatility
High
Medium
Volume
Medium
Overbought
Momentum
Overbought
Top
Position
Top
Gap Up
Gap
Gap Up
Session Information
17.09.2025 07:00:01
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Valuation
  • P/B ratio is at 18.00. This is higher than both the sector median (1.26) 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 -672.14. This is lower than both the sector median (0.34) 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 -54.89%. This is below both the sector median (-0.05%) and the market median (0.33%). Margins directly inform on cost structure and pricing power.
  • Gross Margin is at 100.00%. This is above both the sector median (24.33%) and the market median (20.22%). Margins directly inform on cost structure and pricing power.
  • Operating Margin is at 85.81%. This is above both the sector median (7.11%) and the market median (6.09%). Margins directly inform on cost structure and pricing power.
  • ROA is at 6.34%. This is above both the sector median (2.36%) and the market median (2.27%). ROA gauges efficiency of asset utilization; capital intensity matters.
  • ROE is at -5.56%. This is below both the sector median (0.70%) and the market median (0.31%). ROE captures return on equity; leverage and profitability dynamics drive outcomes.
Capital Structure & Liquidity
  • Debt/Equity is at 0.27. This is lower than both the sector median (0.33) and the market median (0.39). Debt/Equity denotes leverage; cash-flow resilience is key.
  • Leverage Ratio is at 27.07. This is lower than both the sector median (32.77) and the market median (38.87). Leverage ratio reflects debt-funded assets; higher levels may amplify volatility.
  • Current Ratio is at 0.21. This is below both the sector median (1.57) and the market median (1.47). Current ratio shows coverage of short-term obligations by current assets.
  • Cash Ratio is at 0.10. This is below both the sector median (0.38) and the market median (0.33). Cash ratio is the narrowest liquidity gauge; benchmark against sector norms.
Performance

1D

0,00%

1W

46,20%

1M

92,54%

1Y

655,25%
Ratios
Earnings Per Share
-0.83
Book Value Per Share
22.85
Total Debt / Total Assets
0.27
Operating Income / Interest Expense
-
P/E
-
P/B
18
EV/EBITDA
-672.14
EBITDA
265.520.066
Current Ratio
0.21
Quick Ratio
-
Cash Ratio
-
Leverage Ratio
27.07
Debt / Equity
0.27
Non-Current Assets / Equity
1.32
Short-Term Debt / Total Debt
0.1
Receivables Turnover
38.22
Receivables Collection Period
9.55
Inventory Turnover
-
Inventory Holding Period
-
Net Working Capital Turnover
-0.57
Equity Turnover
0.1
Asset Turnover
0.07
Trade Payables Turnover
-
Trade Payables Payment Period
-
Gross Profit Margin
100
Net Profit Margin
-54.89
Operating Profit Margin
85.81
Return on Assets (ROA)
6.34
Return on Equity (ROE)
-5.56
Operating Income/Loss
257.276.160
Profit Before Financial Expenses
257.263.535
Net Profit/Loss
-164.570.025
Net Working Capital
-526.898.561
Stock Signals
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My Notes