Turkcell Iletisim Hizmetleri A.S. financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
₺3.20B ₺4.53B ₺4.70B ₺6.33B ₺6.97B ₺5.79B ₺5.98B ₺5.61B ₺5.87B ₺11.41B ₺12.04B ₺12.77B ₺14.29B ₺17.63B ₺21.29B ₺25.14B ₺29.10B ₺35.92B ₺53.88B ₺107.12B ₺0.00M
GM % Gross Margin %
37.48% 40.34% 44.09% 50.96% 51.20% 47.19% 45.10% 39.67% 39.01% 39.07% 39.51% 39.16% 35.65% 35.73% 33.61% 32.01% 30.13% 29.80% 31.98% 21.17% 0.00%
OM Operating Margin
22.28% 21.70% 23.20% 28.81% 27.22% 23.33% 20.32% 17.24% 18.23% 17.80% 17.54% 18.84% 17.28% 20.00% 20.86% 22.65% 22.55% 21.01% 22.77% 7.74% 0.00%
EPS Earnings Per Share
₺0.63 ₺0.56 ₺0.72 ₺1.42 ₺0.97 ₺0.80 ₺0.54 ₺1.05 ₺1.13 ₺0.97 ₺1.18 ₺1.15 ₺1.13 ₺1.06 ₺1.58 ₺1.81 ₺2.30 ₺2.97 ₺5.34 ₺0.00
Div. Dividends
₺0.14 ₺0.29 ₺0.37 ₺0.31 ₺0.56 ₺0.39 ₺0.60 ₺0.57 ₺0.61 ₺0.60 ₺0.00 ₺0.55 ₺1.36 ₺0.56 ₺0.46 ₺0.37 ₺1.18 ₺1.18 ₺0.57 ₺2.86 ₺0.00
PR % Payout Ratio %
33.33% 46.03% 66.07% 43.06% 39.44% 40.21% 75.00% 105.56% 58.10% 53.10% 0.00% 46.61% 118.26% 49.56% 43.40% 23.42% 65.19% 51.30% 19.19% 53.56% 0
Sha. Shares
2200.01m 2200.01m 2,200m 2,200m 2,200m 2,200m 2,200m 2,200m 2,200m 2,200m 2,200m 2,200m 2195.34m 2193.18m 2184.75m 2058.47m 2183.11m 2181.78m 2181.78m 0m 2182.11m
OCF Operating Cash Flow
₺603.92M ₺1.07B ₺1.85B ₺2.16B ₺1.75B ₺1.32B ₺1.26B ₺925.83M ₺1.19B ₺2.21B ₺1.99B ₺2.66B ₺1.22B ₺3.10B ₺5.83B ₺9.88B ₺14.09B ₺21.17B ₺25.15B ₺47.55B ₺0.00M
FCF Free Cash Flow
₺294.69M ₺428.56M ₺1.48B ₺1.59B ₺1.14B ₺272.44M ₺1.41B ₺468.74M ₺773.18M ₺791.18M ₺791.18M ₺527.28M ₺-1354.43M ₺-1008.78M ₺3.60B ₺3.01B ₺6.81B ₺11.59B ₺12.81B ₺4.45B ₺0.00M
FCFS Free Cash Flow Per Share
₺0.05 ₺0.14 ₺0.57 ₺0.63 ₺0.43 ₺-0.21 ₺0.10 ₺0.03 ₺0.10 ₺0.18 ₺-0.17 ₺-0.88 ₺-1.01 ₺-0.46 ₺0.18 ₺1.77 ₺3.12 ₺5.31 ₺5.07 ₺8.27 ₺0.00