Turkcell Ilet

Visual Financials
Company Name: Turkcell Iletisim Hizmetleri AS
Ticker Symbol: TKC
CIK Number: 0001071321
WWW Address: http://www.turkcell.com.tr
CEO: Mr. Kaan Terzioglu
No. of Employees: 18,999
Common Issue Type: CS
Business Description:Turkcell Iletisim Hizmetleri AS is a mobile service provider in Turkey. The Company provides mobile voice, internet & services over its mobile communications network.

 
Industry Information: TELECOMMUNICATIONS - Wireless Communications [more like this]
 Price  Day Change  Bid  Ask  Open  High  Low  Volume 
 8.74 Down -0.13 - - 8.76 8.78 8.67 334901
 Market Cap (mil) Shares Outstanding (mil) Beta EPS DPS P/E Yield 52-Wks-Range
 7,691.2 880.0 0.00 2.25 0.29 4.0 9.0 11.29 - 7.79
KEY FIGURES (Latest Twelve Months - LTM)
Yesterday's Close8.74$
PE Ratio - LTM4.0
Market Capitalisation7,691.2mil
Latest Shares Outstanding880.0mil
Earnings pS (EPS)2.25$
Dividend pS (DPS)0.29¢
Dividend Yield9.0%
Dividend Payout Ratio1%
Revenue per Employee891,950$
Effective Tax Rate0.2%
Float0.0mil
Float as % of Shares Outstanding%
Foreign Salesmil
Domestic Salesmil
Selling, General & Adm/tive (SG&A) as % of Revenue0.10%
Research & Devlopment (R&D) as % of Revenue0.00%
Gross Profit Margin35.6%
EBITDA Margin33.3%
Pre-Tax Profit Margin0.0%
Assets Turnover53.8%
Return on Assets (ROA)6.0%
Return on Equity (ROE)12.8%
Return on Capital Invested (ROCI)8.0%
Current Ratio1.5
Leverage Ratio (Assets/Equity)2.3
Interest Cover5.0
Total Debt/Equity (Gearing Ratio)0.84
LT Debt/Total Capital36.0%
Working Capital pS5.51$
Cash pS0.00$
Book-Value pS4.24$
Tangible Book-Value pS7.56$
Cash Flow pS0.88$
Free Cash Flow pS-0.29$
KEY FIGURES (LTM): Price info
Price/Book Ratio2.10
Price/Tangible Book Ratio0.00
Price/Cash Flow10.1
Price/Free Cash Flow
P/E as % of Industry Group56.0%
P/E as % of Sector Segment77.0%
 
Balance Sheet (at a glance) in Millions
DIVIDEND INFO
Type of Payment-
Dividend Rate0.29
Current Dividend Yield9.0
5-Y Average Dividend Yield3.7
Payout Ratio1.0
5-Y Average Payout Ratio27.0
Share price performance previous 3 years

Share price performance intraday

 
PRICE/VOLUMEHighLowClose% Price Chg% Price Chg vs. Mkt.Avg. Daily VolTotal Vol
1 Week----2.01273,571790,595
4 Weeks9.618.289.15-3.1-4414,1158,282,308
13 Weeks11.058.2810.95-19.0-12347,38822,232,885
26 Weeks11.298.289.22-3.8-7380,02647,503,326
52 Weeks11.297.798.652.5-8439,230110,686,117
YTD11.298.28--14.5-12354,64428,016,903
Moving Average5-Days10-Days10-Weeks30-Weeks200-DaysBeta (60-Mnth)Beta (36-Mnth)
8.858.809.459.579.430.000.00
 
GROWTH RATES5-Year
Growh
R² of 5-Year Growth3-Year
Growth
Revenue0.110.40.11
Income-0.010.3-0.01
Dividend0.4
Capital Spending0.08NA0.18
R&D0.00NA0.00
Normalized Inc.-9.64NA1.17
 
CHANGESYTD vs.
Last YTD
Curr Qtr vs.
Qtr 1-Yr ago
Annual vs.
Last Annual
Revenue %12.812.84.6
Earnings %10.210.258.2
EPS %7.77.755.9
EPS $0.030.030.48
 
SOLVENCY RATIOS
SHORT-TERM SOLVENCY RATIOS (LIQUIDITY)
Net Working Capital Ratio14.26
Current Ratio1.5
Quick Ratio (Acid Test)1.1
Liquidity Ratio (Cash)1.04
Receivables Turnover7.9
Average Collection Period46
Working Capital/Equity32.3
Working Capital pS5.51
Cash-Flow pS0.90
Free Cash-Flow pS-0.29
FINANCIAL STRUCTURE RATIOS
Altman's Z-Score Ratio1.44
Financial Leverage Ratio (Assets/Equity)0.8
Debt Ratio36.9
Total Debt/Equity (Gearing Ratio)0.84
LT Debt/Equity0.55
LT Debt/Capital Invested35.7
LT Debt/Total Liabilities65.0
Interest Cover5.0
Interest/Capital Invested2.66
 
VALUATION RATIOS
MULTIPLES
PQ Ratio0.00
Tobin's Q Ratio0.23
Current P/E Ratio - LTM4.00
Enterprise Value (EV)/EBITDA2.94
Enterprise Value (EV)/Free Cash Flow-15.75
Dividend Yield9.0
Price/Tangible Book Ratio - LTM0.00
Price/Book Ratio - LTM2.10
Price/Cash Flow Ratio10.1
Price/Free Cash Flow Ratio - LTM
Price/Sales Ratio0.00
P/E Ratio (1 month ago) - LTM11.4
P/E Ratio (26 weeks ago) - LTM12.0
P/E Ratio (52 weeks ago) - LTM12.5
5-Y High P/E Ratio29.8
5-Y Low P/E Ratio11.3
5-Y Average P/E Ratio12.0
Current P/E Ratio as % of 5-Y Average P/E-23
P/E as % of Industry Group56.0
P/E as % of Sector Segment77.0
Current 12 Month Normalized P/E Ratio - LTM11.0
PER SHARE FIGURES
LT Debt pS0.00
Current Liabilities pS0.00
Tangible Book Value pS - LTM7.56
Book Value pS - LTM4.24
Capital Invested pS31.14
Cash pS - LTM0.00
Cash Flow pS - LTM0.88
Free Cash Flow pS - LTM-0.29
Earnings pS (EPS)2.25
 
OPERATING RATIOS
PROFITABILITY RATIOS
Free Cash Flow Margin-5.72
Free Cash Flow Margin 5YEAR AVG-9.65
Net Profit Margin0.1
Net Profit Margin - 5YEAR AVRG.0.1
Equity Productivity1.18
Return on Equity (ROE)0.1
Return on Equity (ROE) - 5YEAR AVRG.0.1
Capital Invested Productivity0.64
Return on Capital Invested (ROCI)0.1
Return on Capital Invested (ROCI) - 5YEAR AVRG.0.1
Assets Productivity0.50
Return on Assets (ROA)0.1
Return on Assets (ROA) - 5YEAR AVRG.0.1
Gross Profit Margin35.6
Gross Profit Margin - 5YEAR AVRG.0.4
EBITDA Margin - LTM33.3
EBIT Margin - LTM18.5
Pre-Tax Profit Margin0.2
Pre-Tax Profit Margin - 5YEAR AVRG.0.2
Effective Tax Rate0.0
Effective Tax Rate - 5YEAR AVRG.2.3
EFFICIENCY RATIOS
Cash Conversion Cycle119,139,020
Revenue per Employee891,950
Net Income per Employee100,118
Average Collection Period119,139,020
Receivables Turnover7.9
Day's Inventory Turnover Ratio
Inventory Turnover96.2
Inventory/Sales0.6
Accounts Payble/Sales14.33
Assets/Revenue2.00
Net Working Capital Turnover3.64
Fixed Assets Turnover0.89
Total Assets Turnover0.5
Revenue per $ Cash91833.67
Revenue per $ Plant1.82
Revenue per $ Common Equity1.18
Revenue per $ Capital Invested0.64
Selling, General & Adm/tive (SG&A) as % of Revenue14.7
SG&A Expense as % of Revenue - 5YEAR AVRG.1.0
Research & Devlopment (R&D) as % of Revenue0.0
R&D Expense as % of Revenue - 5YEAR AVRG.0.0

  


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