TKFEN overview

TEKFEN HOLDİNG A.Ş. (TKFEN) — Income Statement

Detailed income statement with YoY comparison · latest 3A26

Income statement and cash flow are cumulative (6A = 6-month cumulative, 12A = full year). YoY Δ compares the same period last year.

Line item3A2612A259A256A253A2512A24YoY Δ
Hasılat14.74B53.91B38.85B26.01B13.56B58.19B+8.7%
TOPLAM HASILAT14.74B38.85B26.01B13.56B58.19B+8.7%
Satışların Maliyeti-13.71B-51.99B-38.05B-25.60B-12.48B-52.21B+9.8%
TOPLAM MALİYETLER-13.71B-38.05B-25.60B-12.48B-52.21B+9.8%
TİCARİ FAALİYETLERDEN BRÜT KAR (ZARAR)1.04B1.92B796.5M410.2M1.08B5.98B-3.9%
BRÜT KAR (ZARAR)1.04B1.92B796.5M410.2M1.08B5.98B-3.9%
Genel Yönetim Giderleri-724.3M-2.60B-1.92B-1.23B-648.7M-2.42B+11.7%
Pazarlama Giderleri-738.2M-2.05B-1.51B-1.10B-624.6M-2.81B+18.2%
Araştırma ve Geliştirme Giderleri-15.0M-57.1M-41.6M-23.6M-10.3M-56.7M+45.9%
Esas Faaliyetlerden Diğer Gelirler1.24B3.91B2.48B2.11B1.10B2.37B+13.1%
Esas Faaliyetlerden Diğer Giderler-1.38B-4.41B-3.17B-2.26B-1.18B-3.03B+16.6%
Özkaynak Yöntemiyle Değerlenen Yatırımların Karlarından (Zararlarından) Paylar24.9M2.0M-75.5M-55.9M-29.1M-187.5M
ESAS FAALİYET KARI (ZARARI)-552.6M-3.30B-3.45B-2.14B-317.3M-160.7M+74.2%
Yatırım Faaliyetlerinden Gelirler51.6M344.2M245.4M203.6M87.2M606.9M-40.8%
Yatırım Faaliyetlerinden Giderler-2.0M-779.0M-248.0M-239.6M-595K-218.4M+229.2%
FİNANSMAN GELİRİ (GİDERİ) ÖNCESİ FAALİYET KARI (ZARARI)-503.0M-3.73B-3.45B-2.18B-230.7M227.8M+118%
Finansman Gelirleri331.2M1.55B1.01B727.6M388.2M1.39B-14.7%
Finansman Giderleri-1.26B-4.38B-3.34B-2.54B-1.32B-2.67B-4.2%
Net Parasal Pozisyon Kazançları (Kayıpları)1.18B2.64B2.31B1.42B656.4M1.40B+79.3%
SÜRDÜRÜLEN FAALİYETLER VERGİ ÖNCESİ KARI (ZARARI)-256.0M-3.93B-3.47B-2.58B-502.3M346.2M-49%
Sürdürülen Faaliyetler Vergi (Gideri) Geliri-283.4M-1.80B111.6M171.8M-233.1M67.5M+21.6%
Dönem Vergi (Gideri) Geliri-69.6M-471.8M-225.5M-169.9M-231.4M-552.3M-69.9%
Ertelenmiş Vergi (Gideri) Geliri-213.8M-1.33B337.1M341.7M-1.7M619.7M+12701%
SÜRDÜRÜLEN FAALİYETLER DÖNEM KARI (ZARARI)-539.4M-5.73B-3.36B-2.40B-735.4M413.7M-26.7%
DÖNEM KARI (ZARARI)-539.4M-5.73B-3.36B-2.40B-735.4M413.7M-26.7%
Kontrol Gücü Olmayan Paylar-4.4M-10.7M-24.7M-2.0M-2.0M9.6M+124.8%
Ana Ortaklık Payları-535.0M-5.72B-3.34B-2.40B-733.4M404.1M-27.1%
Pay Başına Zarar-150.00B-199.80B-24.9%
Pay Başına Kazanç (Kayıp)-1604.00B109.90B
Sürdürülen Faaliyetlerden Pay Başına Kazanç (Zarar)-935.50B-673100.00B

TEKFEN HOLDİNG A.Ş. (TKFEN) Income Statement

TEKFEN HOLDİNG A.Ş. (TKFEN) Income Statement

This page shows the income statement of TEKFEN HOLDİNG A.Ş. (TKFEN) as reported to the Turkish Public Disclosure Platform (KAP), broken down line by line across the most recent periods, with year-over-year percentage change so you can compare each figure to the same period last year.

Latest period 3A26: TOPLAM HASILAT: 14.74B TL (YoY +8.7%) · TOPLAM MALİYETLER: -13.71B TL (YoY +9.8%) · TİCARİ FAALİYETLERDEN BRÜT KAR (ZARAR): 1.04B TL (YoY -3.9%).

How to read this statement

The income statement and cash flow statement are cumulative: the 6-month column covers the first two quarters combined, the 9-month column the first three, and the full-year column all four. Compare each period to the same period last year (YoY) for a like-for-like view.

Frequently Asked Questions

Where does TKFEN's income statement data come from?

The figures are sourced from TEKFEN HOLDİNG A.Ş.'s official quarterly financial statements filed with KAP (the Turkish Public Disclosure Platform) and updated automatically after each new disclosure.

Is the income statement cumulative or per quarter?

The income statement and cash flow statement are cumulative within the year (6-month, 9-month, full-year), matching the official filings.

Is TKFEN financial data free on Borsafolio?

Yes. Balance sheet, income statement and cash flow statements for every BIST company are free and require no signup.