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GLCVY GELECEK VARLIK YÖNETİMİ A.Ş. Stock

Varlık Yönetimi

Gelecek Varlık Yönetimi A.Ş., varlık yönetimi alanında faaliyet gösteren bir şirkettir. Yatırımcıların portföylerini yöneterek, finansal hedeflerine ulaşmalarına yardımcı olmaktadır.

57.00 TRY
+2.24%
2026-07-17
Sortino (21d)
-3.75
Momentum 21d
-5.6%
Momentum 63d
-10.2%
Momentum 252d
-12.7%
Volatility 21d
+30.2%
E/P (TTM)
P/B
Market Cap
Sector Comparison — Varlık Yönetimi
Momentum 21g
Very Good3/3
GLCVY: -5.6%Sector avg: -9.6%
Momentum 63g
Very Good3/3
GLCVY: -10.2%Sector avg: -34.8%
Momentum 252g
Average2/3
GLCVY: -12.7%Sector avg: -25.2%
Fiyat Grafiği
Historical Returns
1 Month
-4.8%
3 Months
-3%
6 Months
-27.7%
1 Year
-10.9%
3 Years
+101.3%
Quarterly Financials
Hasılat
EBITDA
Net Kar
Q2/24Q3/24Q4/24Q1/25Q2/25Q3/25Q4/25Q1/26
PeriodRevenueEBITDANet Income
2026 Q1
2025 Q4
2025 Q3
2025 Q2
2025 Q1
2024 Q4
2024 Q3
2024 Q2
Financial Metrics
PeriodNet MarginGross MarginROEROADebt/EquityRev. Growth (YoY)
2026 Q12.23
2025 Q42.22
2025 Q32.13
2025 Q22.21
2025 Q11.89
2024 Q41.95
2024 Q32.03
2024 Q21.92
What is the GLCVY stock price?

The current price of GLCVY is 57.00 TRY. (2026-07-17)

What sector is GLCVY in?

GLCVY (GELECEK VARLIK YÖNETİMİ A.Ş.) operates in the Varlık Yönetimi sector.

GLCVY Stock Analysis — Borsa Istanbul

This page provides a comprehensive analysis of GLCVY (GELECEK VARLIK YÖNETİMİ A.Ş.), a company listed on Borsa Istanbul in the Varlık Yönetimi sector. The current share price, daily percentage change, and trading volume are updated at the end of each trading session using official BIST data.

Momentum and Technical Indicators

Short-term and medium-term momentum indicators for GLCVY are calculated using 21-day and 63-day return windows. The 21-day Sortino ratio measures risk-adjusted performance by penalizing only downside volatility, providing a cleaner signal than standard deviation-based metrics. Annualized volatility and 252-day (one-year) momentum are also displayed to help investors assess both trend strength and risk characteristics of GLCVY relative to its sector peers.

Fundamental Metrics

Key valuation ratios include the Earnings-to-Price (E/P) ratio calculated on both quarterly and trailing twelve-month (TTM) bases, the Price-to-Book (P/B) ratio derived from the most recent balance sheet equity, and market capitalization. Financial health indicators such as ROE (Return on Equity), ROA (Return on Assets), net profit margin, gross margin, and debt-to-equity ratio are sourced from the latest disclosed quarterly financial statements filed with KAP (Public Disclosure Platform).

Sector Comparison

GLCVY is compared against other stocks in the Varlık Yönetimi sector across momentum, valuation, and profitability dimensions. The sector comparison table ranks GLCVY against its peers using percentile scores, making it easy to identify whether the stock is relatively cheap (high E/P), growing faster (high momentum), or more profitable (high ROE) compared to the sector median. All data is refreshed daily and financial ratios are updated each quarter after earnings disclosures.

This page does not constitute investment advice. All information is for educational and analysis purposes.